|
Acts not included in the list of sources. The list of sources |
is not a part of the text of the Section. |
(d) Public Acts 97-1145 through 98-589 were considered in |
the preparation of the combining revisories included in this |
Act. Many of those combining revisories contain no striking or |
underscoring because no additional changes are being made in |
the material that is being combined. |
Section 5. The Regulatory Sunset Act is amended by changing |
Section 4.34 as follows: |
(5 ILCS 80/4.34) |
Sec. 4.34. Acts and Section Act repealed on January 1, |
2024. The following Acts and
Section of an Act are is repealed
|
on January 1, 2024: |
The Electrologist Licensing Act. |
The Illinois Certified Shorthand Reporters Act of |
1984. |
The Illinois Occupational Therapy Practice Act. |
The Illinois Public Accounting Act. |
The Private Detective, Private Alarm, Private |
Security, Fingerprint Vendor, and Locksmith Act of 2004. |
The Registered Surgical Assistant and Registered |
Surgical Technologist
Title Protection Act. |
Section 2.5 of the Illinois Plumbing License Law.
|
The Veterinary Medicine and Surgery Practice Act of |
|
2004. |
(Source: P.A. 98-140, eff. 12-31-13; 98-253, eff. 8-9-13; |
98-254, eff. 8-9-13; 98-264, eff. 12-31-13; 98-339, eff. |
12-31-13; 98-363, eff. 8-16-13; 98-364, eff. 12-31-13; 98-445, |
eff. 12-31-13; revised 9-10-13.) |
Section 10. The Open Meetings Act is amended by changing |
Section 2 as follows:
|
(5 ILCS 120/2) (from Ch. 102, par. 42)
|
Sec. 2. Open meetings.
|
(a) Openness required. All meetings of public
bodies shall |
be open to the public unless excepted in subsection (c)
and |
closed in accordance with Section 2a.
|
(b) Construction of exceptions. The exceptions contained |
in subsection
(c) are in derogation of the requirement that |
public bodies
meet in the open, and therefore, the exceptions |
are to be strictly
construed, extending only to subjects |
clearly within their scope.
The exceptions authorize but do not |
require the holding of
a closed meeting to discuss a subject |
included within an enumerated exception.
|
(c) Exceptions. A public body may hold closed meetings to |
consider the
following subjects:
|
(1) The appointment, employment, compensation, |
discipline, performance,
or dismissal of specific |
employees of the public body or legal counsel for
the |
|
public body, including hearing
testimony on a complaint |
lodged against an employee of the public body or
against |
legal counsel for the public body to determine its |
validity.
|
(2) Collective negotiating matters between the public |
body and its
employees or their representatives, or |
deliberations concerning salary
schedules for one or more |
classes of employees.
|
(3) The selection of a person to fill a public office,
|
as defined in this Act, including a vacancy in a public |
office, when the public
body is given power to appoint |
under law or ordinance, or the discipline,
performance or |
removal of the occupant of a public office, when the public |
body
is given power to remove the occupant under law or |
ordinance.
|
(4) Evidence or testimony presented in open hearing, or |
in closed
hearing where specifically authorized by law, to
|
a quasi-adjudicative body, as defined in this Act, provided |
that the body
prepares and makes available for public |
inspection a written decision
setting forth its |
determinative reasoning.
|
(5) The purchase or lease of real property for the use |
of
the public body, including meetings held for the purpose |
of discussing
whether a particular parcel should be |
acquired.
|
(6) The setting of a price for sale or lease of |
|
property owned
by the public body.
|
(7) The sale or purchase of securities, investments, or |
investment
contracts. This exception shall not apply to the |
investment of assets or income of funds deposited into the |
Illinois Prepaid Tuition Trust Fund.
|
(8) Security procedures and the use of personnel and
|
equipment to respond to an actual, a threatened, or a |
reasonably
potential danger to the safety of employees, |
students, staff, the public, or
public
property.
|
(9) Student disciplinary cases.
|
(10) The placement of individual students in special |
education
programs and other matters relating to |
individual students.
|
(11) Litigation, when an action against, affecting or |
on behalf of the
particular public body has been filed and |
is pending before a court or
administrative tribunal, or |
when the public body finds that an action is
probable or |
imminent, in which case the basis for the finding shall be
|
recorded and entered into the minutes of the closed |
meeting.
|
(12) The establishment of reserves or settlement of |
claims as provided
in the Local Governmental and |
Governmental Employees Tort Immunity Act, if
otherwise the |
disposition of a claim or potential claim might be
|
prejudiced, or the review or discussion of claims, loss or |
risk management
information, records, data, advice or |
|
communications from or with respect
to any insurer of the |
public body or any intergovernmental risk management
|
association or self insurance pool of which the public body |
is a member.
|
(13) Conciliation of complaints of discrimination in |
the sale or rental
of housing, when closed meetings are |
authorized by the law or ordinance
prescribing fair housing |
practices and creating a commission or
administrative |
agency for their enforcement.
|
(14) Informant sources, the hiring or assignment of |
undercover personnel
or equipment, or ongoing, prior or |
future criminal investigations, when
discussed by a public |
body with criminal investigatory responsibilities.
|
(15) Professional ethics or performance when |
considered by an advisory
body appointed to advise a |
licensing or regulatory agency on matters
germane to the |
advisory body's field of competence.
|
(16) Self evaluation, practices and procedures or |
professional ethics,
when meeting with a representative of |
a statewide association of which the
public body is a |
member.
|
(17) The recruitment, credentialing, discipline or |
formal peer review
of physicians or other
health care |
professionals for a hospital, or
other institution |
providing medical care, that is operated by the public |
body.
|
|
(18) Deliberations for decisions of the Prisoner |
Review Board.
|
(19) Review or discussion of applications received |
under the
Experimental Organ Transplantation Procedures |
Act.
|
(20) The classification and discussion of matters |
classified as
confidential or continued confidential by |
the State Government Suggestion Award
Board.
|
(21) Discussion of minutes of meetings lawfully closed |
under this Act,
whether for purposes of approval by the |
body of the minutes or semi-annual
review of the minutes as |
mandated by Section 2.06.
|
(22) Deliberations for decisions of the State
|
Emergency Medical Services Disciplinary
Review Board.
|
(23) The operation by a municipality of a municipal |
utility or the
operation of a
municipal power agency or |
municipal natural gas agency when the
discussion involves |
(i) contracts relating to the
purchase, sale, or delivery |
of electricity or natural gas or (ii) the results
or |
conclusions of load forecast studies.
|
(24) Meetings of a residential health care facility |
resident sexual
assault and death review
team or
the |
Executive
Council under the Abuse Prevention Review
Team |
Act.
|
(25) Meetings of an independent team of experts under |
Brian's Law. |
|
(26) Meetings of a mortality review team appointed |
under the Department of Juvenile Justice Mortality Review |
Team Act. |
(27) (Blank). |
(28) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Public Aid Code or (ii) |
that pertain to appeals under Section 11-8 of the Public |
Aid Code. |
(29) Meetings between internal or external auditors |
and governmental audit committees, finance committees, and |
their equivalents, when the discussion involves internal |
control weaknesses, identification of potential fraud risk |
areas, known or suspected frauds, and fraud interviews |
conducted in accordance with generally accepted auditing |
standards of the United States of America. |
(30) Those meetings or portions of meetings of an |
at-risk adult fatality review team or the Illinois At-Risk |
Adult Fatality Review Team Advisory Council during which a |
review of the death of an eligible adult in which abuse or |
neglect is suspected, alleged, or substantiated is |
conducted pursuant to Section 15 of the Adult Protective |
Services Act. |
(31) (30) Meetings and deliberations for decisions of |
the Concealed Carry Licensing Review Board under the |
Firearm Concealed Carry Act. |
(d) Definitions. For purposes of this Section:
|
|
"Employee" means a person employed by a public body whose |
relationship
with the public body constitutes an |
employer-employee relationship under
the usual common law |
rules, and who is not an independent contractor.
|
"Public office" means a position created by or under the
|
Constitution or laws of this State, the occupant of which is |
charged with
the exercise of some portion of the sovereign |
power of this State. The term
"public office" shall include |
members of the public body, but it shall not
include |
organizational positions filled by members thereof, whether
|
established by law or by a public body itself, that exist to |
assist the
body in the conduct of its business.
|
"Quasi-adjudicative body" means an administrative body |
charged by law or
ordinance with the responsibility to conduct |
hearings, receive evidence or
testimony and make |
determinations based
thereon, but does not include
local |
electoral boards when such bodies are considering petition |
challenges.
|
(e) Final action. No final action may be taken at a closed |
meeting.
Final action shall be preceded by a public recital of |
the nature of the
matter being considered and other information |
that will inform the
public of the business being conducted.
|
(Source: P.A. 97-318, eff. 1-1-12; 97-333, eff. 8-12-11; |
97-452, eff. 8-19-11; 97-813, eff. 7-13-12; 97-876, eff. |
8-1-12; 98-49, eff. 7-1-13; 98-63, eff. 7-9-13; revised |
7-23-13.)
|
|
Section 15. The Freedom of Information Act is amended by |
changing Sections 3.2 and 7.5 as follows: |
(5 ILCS 140/3.2) |
Sec. 3.2. Recurrent requesters. |
(a) Notwithstanding Nothwithstanding any provision of this |
Act to the contrary, a public body shall respond to a request |
from a recurrent requester, as defined in subsection (g) of |
Section 2, within 21 business days after receipt. The response |
shall (i) provide to the requester an estimate of the time |
required by the public body to provide the records requested |
and an estimate of the fees to be charged, which the public |
body may require the person to pay in full before copying the |
requested documents, (ii) deny the request pursuant to one or |
more of the exemptions set out in this Act, (iii) notify the |
requester that the request is unduly burdensome and extend an |
opportunity to the requester to attempt to reduce the request |
to manageable proportions, or (iv) provide the records |
requested. |
(b) Within 5 business days after receiving a request from a |
recurrent requester, as defined in subsection (g) of Section 2, |
the public body shall notify the requester (i) that the public |
body is treating the request as a request under subsection (g) |
of Section 2, (ii) of the reasons why the public body is |
treating the request as a request under subsection (g) of |
|
Section 2, and (iii) that the public body will send an initial |
response within 21 business days after receipt in accordance |
with subsection (a) of this Section. The public body shall also |
notify the requester of the proposed responses that can be |
asserted pursuant to subsection (a) of this Section. |
(c) Unless the records are exempt from disclosure, a public |
body shall comply with a request within a reasonable period |
considering the size and complexity of the request.
|
(Source: P.A. 97-579, eff. 8-26-11; revised 9-4-13.) |
(5 ILCS 140/7.5) |
Sec. 7.5. Statutory Exemptions. To the extent provided for |
by the statutes referenced below, the following shall be exempt |
from inspection and copying: |
(a) All information determined to be confidential under |
Section 4002 of the Technology Advancement and Development Act. |
(b) Library circulation and order records identifying |
library users with specific materials under the Library Records |
Confidentiality Act. |
(c) Applications, related documents, and medical records |
received by the Experimental Organ Transplantation Procedures |
Board and any and all documents or other records prepared by |
the Experimental Organ Transplantation Procedures Board or its |
staff relating to applications it has received. |
(d) Information and records held by the Department of |
Public Health and its authorized representatives relating to |
|
known or suspected cases of sexually transmissible disease or |
any information the disclosure of which is restricted under the |
Illinois Sexually Transmissible Disease Control Act. |
(e) Information the disclosure of which is exempted under |
Section 30 of the Radon Industry Licensing Act. |
(f) Firm performance evaluations under Section 55 of the |
Architectural, Engineering, and Land Surveying Qualifications |
Based Selection Act. |
(g) Information the disclosure of which is restricted and |
exempted under Section 50 of the Illinois Prepaid Tuition Act. |
(h) Information the disclosure of which is exempted under |
the State Officials and Employees Ethics Act, and records of |
any lawfully created State or local inspector general's office |
that would be exempt if created or obtained by an Executive |
Inspector General's office under that Act. |
(i) Information contained in a local emergency energy plan |
submitted to a municipality in accordance with a local |
emergency energy plan ordinance that is adopted under Section |
11-21.5-5 of the Illinois Municipal Code. |
(j) Information and data concerning the distribution of |
surcharge moneys collected and remitted by wireless carriers |
under the Wireless Emergency Telephone Safety Act. |
(k) Law enforcement officer identification information or |
driver identification information compiled by a law |
enforcement agency or the Department of Transportation under |
Section 11-212 of the Illinois Vehicle Code. |
|
(l) Records and information provided to a residential |
health care facility resident sexual assault and death review |
team or the Executive Council under the Abuse Prevention Review |
Team Act. |
(m) Information provided to the predatory lending database |
created pursuant to Article 3 of the Residential Real Property |
Disclosure Act, except to the extent authorized under that |
Article. |
(n) Defense budgets and petitions for certification of |
compensation and expenses for court appointed trial counsel as |
provided under Sections 10 and 15 of the Capital Crimes |
Litigation Act. This subsection (n) shall apply until the |
conclusion of the trial of the case, even if the prosecution |
chooses not to pursue the death penalty prior to trial or |
sentencing. |
(o) Information that is prohibited from being disclosed |
under Section 4 of the Illinois Health and Hazardous Substances |
Registry Act. |
(p) Security portions of system safety program plans, |
investigation reports, surveys, schedules, lists, data, or |
information compiled, collected, or prepared by or for the |
Regional Transportation Authority under Section 2.11 of the |
Regional Transportation Authority Act or the St. Clair County |
Transit District under the Bi-State Transit Safety Act. |
(q) Information prohibited from being disclosed by the |
Personnel Records Review Act. |
|
(r) Information prohibited from being disclosed by the |
Illinois School Student Records Act. |
(s) Information the disclosure of which is restricted under |
Section 5-108 of the Public Utilities Act.
|
(t) All identified or deidentified health information in |
the form of health data or medical records contained in, stored |
in, submitted to, transferred by, or released from the Illinois |
Health Information Exchange, and identified or deidentified |
health information in the form of health data and medical |
records of the Illinois Health Information Exchange in the |
possession of the Illinois Health Information Exchange |
Authority due to its administration of the Illinois Health |
Information Exchange. The terms "identified" and |
"deidentified" shall be given the same meaning as in the Health |
Insurance Accountability and Portability Act of 1996, Public |
Law 104-191, or any subsequent amendments thereto, and any |
regulations promulgated thereunder. |
(u) Records and information provided to an independent team |
of experts under Brian's Law. |
(v) Names and information of people who have applied for or |
received Firearm Owner's Identification Cards under the |
Firearm Owners Identification Card Act or applied for or |
received a concealed carry license under the Firearm Concealed |
Carry Act, unless otherwise authorized by the Firearm Concealed |
Carry Act; and databases under the Firearm Concealed Carry Act, |
records of the Concealed Carry Licensing Review Board under the |
|
Firearm Concealed Carry Act, and law enforcement agency |
objections under the Firearm Concealed Carry Act. |
(w) Personally identifiable information which is exempted |
from disclosure under subsection (g) of Section 19.1 of the |
Toll Highway Act. |
(x) Information which is exempted from disclosure under |
Section 5-1014.3 of the Counties Code or Section 8-11-21 of the |
Illinois Municipal Code. |
(y) Confidential information under the Adult Protective |
Services Act and its predecessor enabling statute, the Elder |
Abuse and Neglect Act, including information about the identity |
and administrative finding against any caregiver of a verified |
and substantiated decision of significant abuse, neglect, or |
financial exploitation of an eligible adult maintained in the |
Department of Public Health's Health Care Worker Registry. |
(z) Records and information provided to an at-risk adult |
fatality review team or the Illinois At-Risk Adult Fatality |
Review Team Advisory Council under Section 15 of the Adult |
Protective Services Act. |
(Source: P.A. 97-80, eff. 7-5-11; 97-333, eff. 8-12-11; 97-342, |
eff. 8-12-11; 97-813, eff. 7-13-12; 97-976, eff. 1-1-13; 98-49, |
eff. 7-1-13; 98-63, eff. 7-9-13; revised 7-23-13.) |
Section 20. The State Employee Indemnification Act is |
amended by changing Section 1 as follows: |
|
(5 ILCS 350/1) (from Ch. 127, par. 1301)
|
Sec. 1. Definitions. For the purpose of this Act:
|
(a) The term "State" means the State of Illinois, the |
General
Assembly, the court, or any State office, department, |
division, bureau,
board, commission, or committee, the |
governing boards of the public
institutions of higher education |
created by the State, the Illinois
National Guard, the |
Comprehensive Health Insurance Board, any poison control
|
center designated under the Poison Control System Act that |
receives State
funding, or any other agency or instrumentality |
of the State. It
does not mean any local public entity as that |
term is defined in Section
1-206 of the Local Governmental and |
Governmental Employees Tort Immunity
Act or a pension fund.
|
(b) The term "employee" means any present or former elected |
or
appointed officer, trustee or employee of the State, or of a |
pension
fund,
any present or former commissioner or employee of |
the Executive Ethics
Commission or of the Legislative Ethics |
Commission, any present or former
Executive, Legislative, or |
Auditor General's Inspector General, any present or
former |
employee of an Office of an Executive, Legislative, or Auditor |
General's
Inspector General, any present or former member of |
the Illinois National
Guard
while on active duty, individuals |
or organizations who contract with the
Department of |
Corrections, the Department of Juvenile Justice, the |
Comprehensive Health Insurance Board, or the
Department of |
Veterans' Affairs to provide services, individuals or
|
|
organizations who contract with the Department of Human |
Services (as
successor to the Department of Mental Health and |
Developmental
Disabilities) to provide services including but |
not limited to treatment and
other services for sexually |
violent persons, individuals or organizations who
contract |
with the Department of
Military
Affairs for youth programs, |
individuals or
organizations who contract to perform carnival |
and amusement ride safety
inspections for the Department of |
Labor, individual representatives of or
designated |
organizations authorized to represent the Office of State |
Long-Term
Ombudsman for the Department on Aging, individual |
representatives of or
organizations designated by the |
Department on Aging in the performance of their
duties as adult |
protective services agencies or regional administrative |
agencies
under the Adult Protective Services Act, individuals |
or organizations appointed as members of a review team or the |
Advisory Council under the Adult Protective Services Act, |
individuals or organizations who perform
volunteer services |
for the State where such volunteer relationship is reduced
to |
writing, individuals who serve on any public entity (whether |
created by law
or administrative action) described in paragraph |
(a) of this Section,
individuals or not for profit |
organizations who, either as volunteers, where
such volunteer |
relationship is reduced to writing, or pursuant to contract,
|
furnish professional advice or consultation to any agency or |
instrumentality of
the State, individuals who serve as foster |
|
parents for the Department of
Children and Family Services when |
caring for a Department ward, individuals who serve as members |
of an independent team of experts under Brian's Law, and |
individuals
who serve as arbitrators pursuant to Part 10A of
|
Article II of the Code of Civil Procedure and the rules of the |
Supreme Court
implementing Part 10A, each as now or hereafter |
amended, but does not mean an
independent contractor except as |
provided in this Section. The term includes an
individual |
appointed as an inspector by the Director of State Police when
|
performing duties within the scope of the activities of a |
Metropolitan
Enforcement Group or a law enforcement |
organization established under the
Intergovernmental |
Cooperation Act. An individual who renders professional
advice |
and consultation to the State through an organization which |
qualifies as
an "employee" under the Act is also an employee. |
The term includes the estate
or personal representative of an |
employee.
|
(c) The term "pension fund" means a retirement system or |
pension
fund created under the Illinois Pension Code.
|
(Source: P.A. 98-49, eff. 7-1-13; 98-83, eff. 7-15-13; revised |
8-9-13.)
|
Section 25. The State Employees Group Insurance Act of 1971 |
is amended by setting forth, renumbering, and changing multiple |
versions of Section 2.5 as follows: |
|
(5 ILCS 375/2.5) |
Sec. 2.5. Application to Regional Transportation Authority |
Board members. Notwithstanding any other provision of this Act |
to the contrary, this Act does not apply to any member of the |
Regional Transportation Authority Board who first becomes a |
member of that Board on or after July 23, 2013 ( the effective |
date of Public Act 98-108) this amendatory Act of the 98th |
General Assembly with respect to service of that Board.
|
(Source: P.A. 98-108, eff. 7-23-13; revised 9-6-13.) |
(5 ILCS 375/2.9) |
Sec. 2.9 2.5 . State healthcare purchasing. On and after the |
date 6 months after August 16, 2013 ( the effective date of |
Public Act 98-488) this amendatory Act of the 98th General |
Assembly , as provided in the Executive Order 1 (2012) |
Implementation Act, all of the powers, duties, rights, and |
responsibilities related to State healthcare purchasing under |
this Act that were transferred from the Department of Central |
Management Services to the Department of Healthcare and Family |
Services by Executive Order 3 (2005) are transferred back to |
the Department.
|
(Source: P.A. 98-488, eff. 8-16-13; revised 9-6-13.) |
Section 30. The State Commemorative Dates Act is amended by |
setting forth, renumbering, and changing multiple versions of |
Section 175 as follows: |
|
(5 ILCS 490/175) |
Sec. 175. Mother Mary Ann Bickerdyke Day. The second |
Wednesday in May of each year is designated as Mother Mary Ann |
Bickerdyke Day, to be observed throughout the State as a day |
set apart to honor Mother Mary Ann Bickerdyke of Galesburg, |
military nurses, and the contribution of nurses to the State of |
Illinois and the United States of America.
|
(Source: P.A. 98-141, eff. 8-2-13.) |
(5 ILCS 490/180) |
Sec. 180 175 . Chronic Obstructive Pulmonary Disease (COPD) |
Month. The month of November in each year is designated as |
Chronic Obstructive Pulmonary Disease (COPD) Month to be |
observed throughout the State as a month for the people of |
Illinois to support efforts to decrease the prevalence of COPD, |
develop better treatments, and work toward an eventual cure |
through increased research, treatment, and prevention.
|
(Source: P.A. 98-220, eff. 8-9-13; revised 9-9-13.) |
(5 ILCS 490/185) |
Sec. 185 175 . Eat Local, Buy Illinois Products Day. The |
first Saturday of each month is designated as Eat Local, Buy |
Illinois Products Day to promote local food initiatives and , |
Illinois agribusiness , and to encourage residents to re-invest |
in the local economy. The Department of Agriculture's Illinois |
|
Product Logo Program shall assist in increasing awareness and |
sales of Illinois food and agribusiness products.
|
(Source: P.A. 98-341, eff. 8-13-13; revised 9-9-13.) |
Section 35. The Election Code is amended by changing |
Sections 1A-16.5, 4-10, 5-9, 10-4, 19-4, 24A-15.1, 24A-16, and |
28-3 as follows: |
(10 ILCS 5/1A-16.5) |
Sec. 1A-16.5. Online voter registration. |
(a) The State Board of Elections shall establish and |
maintain a system for online voter registration that permits a |
person to apply to register to vote or to update his or her |
existing voter registration. In accordance with technical |
specifications provided by the State Board of Elections, each |
election authority shall maintain a voter registration system |
capable of receiving and processing voter registration |
application information, including electronic signatures, from |
the online voter registration system established by the State |
Board of Elections. |
(b) The online voter registration system shall employ |
security measures to ensure the accuracy and integrity of voter |
registration applications submitted electronically pursuant to |
this Section. |
(c) The Board may receive voter registration information |
provided by applicants using the State Board of Elections' |
|
website, may cross reference that information with data or |
information contained in the Secretary of State's database in |
order to match the information submitted by applicants, and may |
receive from the Secretary of State the applicant's digitized |
signature upon a successful match of that applicant's |
information with that contained in the Secretary of State's |
database. |
(d) Notwithstanding any other provision of law, a person |
who is qualified to register to vote and who has an authentic |
Illinois driver's license or State identification card issued |
by the Secretary of State may submit an application to register |
to vote electronically on a website maintained by the State |
Board of Elections. |
(e) An online voter registration application shall contain |
all of the information that is required for a paper application |
as provided in Section 1A-16 of this Code, except that the |
applicant shall be required to provide: |
(1) the applicant's full Illinois driver's license or |
State identification card number; |
(2) the last 4 digits of the applicant's social |
security number; and |
(3) the date the Illinois driver's license or State |
identification card was issued. |
(f) For an applicant's registration or change in |
registration to be accepted, the applicant shall mark the box |
associated with the following statement included as part of the |
|
online voter registration application: |
" By clicking on the box below, I swear or affirm all of the |
following: |
(1) I am the person whose name and identifying information |
is provided on this form, and I desire to register to vote in |
the State of Illinois. |
(2) All the information I have provided on this form is |
true and correct as of the date I am submitting this form. |
(3) I authorize the Secretary of State to transmit to the |
State Board of Elections my signature that is on file with the |
Secretary of State and understand that such signature will be |
used by my local election authority on this online voter |
registration application for admission as an elector as if I |
had signed this form personally.". |
(g) Immediately upon receiving a completed online voter |
registration application, the online voter registration system |
shall send, by electronic mail, a confirmation notice that the |
application has been received. Within 48 hours of receiving |
such an application, the online voter registration system shall |
send by electronic mail, a notice informing the applicant of |
whether the following information has been matched with the |
Secretary of State database: |
(1) that the applicant has an authentic Illinois |
driver's license or State identification card issued by the |
Secretary of State and that the driver's license or State |
identification number provided by the applicant matches |
|
the driver's license or State identification card number |
for that person on file with the Secretary of State; |
(2) that the date of issuance of the Illinois driver's |
license or State identification card listed on the |
application matches the date of issuance of that card for |
that person on file with the Secretary of State; |
(3) that the date of birth provided by the applicant |
matches the date of birth for that person on file with the |
Secretary of State; and |
(4) that the last 4 digits of the applicant's social |
security number matches the last 4 four digits for that |
person on file with the Secretary of State. |
(h) If the information provided by the applicant matches |
the information on the Secretary of State's databases for any |
driver's license and State identification card holder and is |
matched as provided in subsection (g) above, the online voter |
registration system shall: |
(1) retrieve from the Secretary of State's database |
files an electronic copy of the applicant's signature from |
his or her Illinois driver's license or State |
identification card and such signature shall be deemed to |
be the applicant's signature on his or her online voter |
registration application; |
(2) within 2 days of receiving the application, forward |
to the county clerk or board of election commissioners |
having jurisdiction over the applicant's voter |
|
registration: (i) the application, along with the |
applicant's relevant data that can be directly loaded into |
the jurisdiction's voter registration system and (ii) a |
copy of the applicant's electronic signature and a |
certification from the State Board of Elections that the |
applicant's driver's license or State identification card |
number, driver's license or State identification card date |
of issuance, and date of birth and social security |
information have been successfully matched. |
(i) Upon receipt of the online voter registration |
application, the county clerk or board of election |
commissioners having jurisdiction over the applicant's voter |
registration shall promptly search its voter registration |
database to determine whether the applicant is already |
registered to vote at the address on the application and |
whether the new registration would create a duplicate |
registration. If the applicant is already registered to vote at |
the address on the application, the clerk or board, as the case |
may be, shall send the applicant by first class mail, and |
electronic mail if the applicant has provided an electronic |
mail address on the original voter registration form for that |
address, a disposition notice as otherwise required by law |
informing the applicant that he or she is already registered to |
vote at such address. If the applicant is not already |
registered to vote at the address on the application and the |
applicant is otherwise eligible to register to vote, the clerk |
|
or board, as the case may be, shall: |
(1) enter the name and address of the applicant on the |
list of registered voters in the jurisdiction; and |
(2) send by mail, and electronic mail if the applicant |
has provided an electronic mail address on the voter |
registration form, a disposition notice to the applicant as |
otherwise provided by law setting forth the applicant's |
name and address as it appears on the application and |
stating that the person is registered to vote. |
(j) An electronic signature of the person submitting a |
duplicate registration application or a change of address form |
that is retrieved and imported from the Secretary of State's |
driver's license or State identification card database as |
provided herein may, in the discretion of the clerk or board, |
be substituted for and replace any existing signature for that |
individual in the voter registration database of the county |
clerk or board of election commissioners. |
(k) Any new registration or change of address submitted |
electronically as provided in this Section shall become |
effective as of the date it is received by the county clerk or |
board of election commissioners having jurisdiction over said |
registration. Disposition notices prescribed in this Section |
shall be sent within 5 business days of receipt of the online |
application or change of address by the county clerk or board |
of election commissioners. |
(l) All provisions of this Code governing voter |
|
registration and applicable thereto and not inconsistent with |
this Section shall apply to online voter registration under |
this Section. All applications submitted on a website |
maintained by the State Board of Elections shall be deemed |
timely filed if they are submitted no later than 11:59 p.m. on |
the final day for voter registration prior to an election. |
After the registration period for an upcoming election has |
ended and until the 2nd day following such election, the web |
page containing the online voter registration form on the State |
Board of Elections website shall inform users of the procedure |
for grace period voting. |
(m) The State Board of Elections shall maintain a list of |
the name, street address, e-mail address, and likely precinct, |
ward, township, and district numbers, as the case may be, of |
people who apply to vote online through the voter registration |
system and those names and that information shall be stored in |
an electronic format on its website, arranged by county and |
accessible to State and local political committees. |
(n) The Illinois State Board of Elections shall submit a |
report to the General Assembly and the Governor by January 31, |
2014 detailing the progress made to implement the online voter |
registration system described in this Section. |
(o) The online voter registration system provided for in |
this Section shall be fully operational by July 1, 2014.
|
(Source: P.A. 98-115, eff. 7-29-13; revised 9-4-13.)
|
|
(10 ILCS 5/4-10) (from Ch. 46, par. 4-10)
|
Sec. 4-10.
Except as herein provided, no person shall be |
registered,
unless he applies in person to a registration |
officer, answers such
relevant questions as may be asked of him |
by the registration officer,
and executes the affidavit of |
registration. The registration officer shall
require the |
applicant to furnish two forms of identification, and except in |
the
case of a homeless individual, one of which must include |
his or her residence
address. These forms of identification |
shall include, but not be limited to,
any of the following: |
driver's license, social security card, public aid
|
identification card, utility bill, employee or student |
identification card,
lease or contract for a residence, credit |
card, or a civic, union or professional association membership |
card.
The registration officer shall require a homeless |
individual to furnish
evidence of his or her use of the mailing |
address stated. This use may be
demonstrated by a piece of mail |
addressed to that individual and received at
that address or by |
a statement from a person authorizing use of the mailing
|
address. The registration officer shall require each applicant |
for
registration to read or have read to him the affidavit of |
registration
before permitting him to execute the affidavit.
|
One of the registration officers or a deputy registration |
officer,
county clerk, or clerk in the office of the county |
clerk, shall
administer to all persons who shall personally |
apply to register the
following oath or affirmation:
|
|
"You do solemnly swear (or affirm) that you will fully and |
truly
answer all such questions as shall be put to you touching |
your name,
place of residence, place of birth, your |
qualifications as an elector
and your right as such to register |
and vote under the laws of the State
of Illinois."
|
The registration officer shall satisfy himself that each |
applicant
for registration is qualified to register before |
registering him. If the
registration officer has reason to |
believe that the applicant is a resident
of a Soldiers' and |
Sailors' Home or any facility which is licensed or certified
|
pursuant to the Nursing Home Care Act, the Specialized Mental |
Health Rehabilitation Act of 2013, or the ID/DD Community Care |
Act, the following question shall be put,
"When you entered the |
home which is your present address, was it your bona
fide |
intention to become a resident thereof?" Any voter of a |
township, city,
village or incorporated town in which such |
applicant resides, shall be
permitted to be present at the |
place of any precinct registration and shall
have the right to |
challenge any applicant who applies to be registered.
|
In case the officer is not satisfied that the applicant is |
qualified
he shall forthwith notify such applicant in writing |
to appear before the
county clerk to complete his registration. |
Upon the card of such
applicant shall be written the word |
"incomplete" and no such applicant
shall be permitted to vote |
unless such registration is satisfactorily
completed as |
hereinafter provided. No registration shall be taken and
marked |
|
as incomplete if information to complete it can be furnished on
|
the date of the original application.
|
Any person claiming to be an elector in any election |
precinct and
whose registration card is marked "Incomplete" may |
make and sign an
application in writing, under oath, to the |
county clerk in substance in
the following form:
|
"I do solemnly swear that I, ...., did on (insert date) |
make
application to the board of registry of the .... precinct |
of the township of
.... (or to the county clerk of .... county) |
and that said board or clerk
refused to complete my |
registration as a qualified voter in said
precinct. That I |
reside in said precinct, that I intend to reside in said
|
precinct, and am a duly qualified voter of said precinct and am |
entitled to be
registered to vote in said precinct at the next |
election.
|
(Signature of applicant) ............................."
|
All such applications shall be presented to the county |
clerk or to
his duly authorized representative by the |
applicant, in person between
the hours of 9:00 a.m. and 5:00 |
p.m. on any day after the days on
which the 1969 and 1970 |
precinct re-registrations are held but not on
any day within 27 |
days preceding the ensuing general election and
thereafter for |
the registration provided in Section 4-7 all such
applications |
shall be presented to the county clerk or his duly
authorized |
representative by the applicant in person between the hours
of |
|
9:00 a.m. and 5:00 p.m. on any day prior to 27 days preceding |
the
ensuing general election. Such application shall be heard |
by the county
clerk or his duly authorized representative at |
the time the application
is presented. If the applicant for |
registration has registered with the
county clerk, such |
application may be presented to and heard by the
county clerk |
or by his duly authorized representative upon the dates
|
specified above or at any time prior thereto designated by the |
county clerk.
|
Any otherwise qualified person who is absent from his |
county of
residence either due to business of the United States |
or because he is
temporarily outside the territorial limits of |
the United States may
become registered by mailing an |
application to the county clerk within
the periods of |
registration provided for in this Article, or by simultaneous
|
application for absentee registration and absentee ballot as |
provided in
Article 20 of this Code.
|
Upon receipt of such application the county clerk shall |
immediately
mail an affidavit of registration in duplicate, |
which affidavit shall
contain the following and such other |
information as the State Board of
Elections may think it proper |
to require for the identification of the
applicant:
|
Name. The name of the applicant, giving surname and first |
or
Christian name in full, and the middle name or the initial |
for such
middle name, if any.
|
Sex.
|
|
Residence. The name and number of the street, avenue or |
other
location of the dwelling, and such additional clear and |
definite
description as may be necessary to determine the exact |
location of the
dwelling of the applicant. Where the location |
cannot be determined by
street and number, then the Section, |
congressional township and range
number may be used, or such |
other information as may be necessary,
including post office |
mailing address.
|
Electronic mail address, if the registrant has provided |
this information. |
Term of residence in the State of Illinois and the |
precinct.
|
Nativity. The State or country in which the applicant was |
born.
|
Citizenship. Whether the applicant is native born or |
naturalized. If
naturalized, the court, place and date of |
naturalization.
|
Age. Date of birth, by month, day and year.
|
Out of State address of ..........................
|
AFFIDAVIT OF REGISTRATION
|
State of ...........)
|
)ss
|
County of ..........)
|
I hereby swear (or affirm) that I am a citizen of the |
United States;
that on the day of the next election I shall |
have resided in the State
of Illinois and in the election |
|
precinct 30 days; that I am
fully qualified to vote, that I am |
not registered to vote anywhere else
in the United States, that |
I intend to remain a resident of the State of
Illinois and of |
the election precinct, that I intend to return to the State
of |
Illinois, and that the above statements are true.
|
..............................
|
(His or her signature or mark)
|
Subscribed and sworn to before me, an officer qualified to |
administer
oaths, on (insert date).
|
........................................
|
Signature of officer administering oath.
|
Upon receipt of the executed duplicate affidavit of |
Registration, the
county clerk shall transfer the information |
contained thereon to
duplicate Registration Cards provided for |
in Section 4-8 of this Article
and shall attach thereto a copy |
of each of the duplicate affidavit of
registration and |
thereafter such registration card and affidavit shall
|
constitute the registration of such person the same as if he |
had applied
for registration in person.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-104, eff. 7-22-13; 98-115, eff. 10-1-13; |
revised 8-9-13.)
|
(10 ILCS 5/5-9) (from Ch. 46, par. 5-9)
|
Sec. 5-9.
Except as herein provided, no person shall be |
registered
unless he applies in person to registration officer, |
|
answers such
relevant questions as may be asked of him by the |
registration officer,
and executes the affidavit of |
registration. The registration officer shall
require the |
applicant to furnish two forms of identification, and except in |
the
case of a homeless individual, one of which must include |
his or her residence
address. These forms of identification |
shall include, but not be limited to,
any of the following: |
driver's license, social security card, public aid
|
identification card, utility bill, employee or student |
identification card,
lease or contract for a residence, credit |
card, or a civic, union or professional association membership |
card.
The registration officer shall require a homeless |
individual to furnish
evidence of his or her use of the mailing |
address stated. This use may be
demonstrated by a piece of mail |
addressed to that individual and received at
that address or by |
a statement from a person authorizing use of the mailing
|
address. The registration officer shall require each applicant |
for registration
to read or have read to him the affidavit of |
registration before permitting him
to execute the affidavit.
|
One of the Deputy Registrars, the Judge of Registration, or |
an
Officer of Registration, County Clerk, or clerk in the |
office of the
County Clerk, shall administer to all persons who |
shall personally apply
to register the following oath or |
affirmation:
|
"You do solemnly swear (or affirm) that you will fully and |
truly
answer all such questions as shall be put to you touching |
|
your place of
residence, name, place of birth, your |
qualifications as an elector and
your right as such to register |
and vote under the laws of the State of
Illinois."
|
The Registration Officer shall satisfy himself that each |
applicant
for registration is qualified to register before |
registering him. If the
registration officer has reason to |
believe that the applicant is a resident
of a Soldiers' and |
Sailors' Home or any facility which is licensed or certified
|
pursuant to the Nursing Home Care Act, the Specialized Mental |
Health Rehabilitation Act of 2013, or the ID/DD Community Care |
Act, the following question shall be put,
"When you entered the |
home which is your present address, was it your bona fide
|
intention to become a resident thereof?" Any voter of a |
township, city,
village or incorporated town in which such |
applicant resides, shall be
permitted to be present at the |
place of precinct registration, and shall have
the right to |
challenge any applicant who applies to be registered.
|
In case the officer is not satisfied that the applicant is |
qualified,
he shall forthwith in writing notify such applicant |
to appear before the
County Clerk to furnish further proof of |
his qualifications. Upon the
card of such applicant shall be |
written the word "Incomplete" and no
such applicant shall be |
permitted to vote unless such registration is
satisfactorily |
completed as hereinafter provided. No registration shall
be |
taken and marked as "incomplete" if information to complete it |
can be
furnished on the date of the original application.
|
|
Any person claiming to be an elector in any election |
precinct in such
township, city, village or incorporated town |
and whose registration is
marked "Incomplete" may make and sign |
an application in writing, under
oath, to the County Clerk in |
substance in the following form:
|
"I do solemnly swear that I, .........., did on (insert |
date) make application to the Board of Registry of the ........
|
precinct of ........ ward of the City of .... or of the |
......... District
......... Town of .......... (or to the |
County Clerk of .............) and
............ County; that |
said Board or Clerk refused to complete my
registration as a |
qualified voter in said precinct, that I reside in said
|
precinct (or that I intend to reside in said precinct), am a |
duly qualified
voter and entitled to vote in said precinct at |
the next election.
|
...........................
|
(Signature of Applicant)"
|
All such applications shall be presented to the County |
Clerk by the
applicant, in person between the hours of nine |
o'clock a.m. and five
o'clock p.m., on Monday and Tuesday of |
the third week subsequent to
the weeks in which the 1961 and |
1962 precinct re-registrations are to be
held, and thereafter |
for the registration provided in Section 5-17 of
this Article, |
all such applications shall be presented to the County
Clerk by |
the applicant in person between the hours of nine o'clock a.m.
|
and nine o'clock p.m. on Monday and Tuesday of the third week
|
|
prior to the date on which such election is to be held.
|
Any otherwise qualified person who is absent from his |
county of
residence either due to business of the United States |
or because he is
temporarily outside the territorial limits of |
the United States may
become registered by mailing an |
application to the county clerk within
the periods of |
registration provided for in this Article or by simultaneous
|
application for absentee registration and absentee ballot as |
provided in
Article 20 of this Code.
|
Upon receipt of such application the county clerk shall |
immediately
mail an affidavit of registration in duplicate, |
which affidavit shall
contain the following and such other |
information as the State Board of
Elections may think it proper |
to require for the identification of the
applicant:
|
Name. The name of the applicant, giving surname and first |
or
Christian name in full, and the middle name or the initial |
for such
middle name, if any.
|
Sex.
|
Residence. The name and number of the street, avenue or |
other
location of the dwelling, and such additional clear and |
definite
description as may be necessary to determine the exact |
location of the
dwelling of the applicant. Where the location |
cannot be determined by
street and number, then the Section, |
congressional township and range
number may be used, or such |
other information as may be necessary,
including post office |
mailing address.
|
|
Electronic mail address, if the registrant has provided |
this information. |
Term of residence in the State of Illinois and the |
precinct.
|
Nativity. The State or country in which the applicant was |
born.
|
Citizenship. Whether the applicant is native born or |
naturalized. If
naturalized, the court, place and date of |
naturalization.
|
Age. Date of birth, by month, day and year.
|
Out of State address of ..........................
|
AFFIDAVIT OF REGISTRATION
|
State of .........)
|
)ss
|
County of ........)
|
I hereby swear (or affirm) that I am a citizen of the |
United States;
that on the day of the next election I shall |
have resided in the State
of Illinois for 6 months and in the |
election precinct 30 days; that I am
fully qualified to vote, |
that I am not registered to vote anywhere else
in the United |
States, that I intend to remain a resident of the State of
|
Illinois and of the election precinct, that I intend to return |
to the State
of Illinois, and that the above statements are |
true.
|
..............................
|
(His or her signature or mark)
|
|
Subscribed and sworn to before me, an officer qualified to |
administer
oaths, on (insert date).
|
........................................
|
Signature of officer administering oath.
|
Upon receipt of the executed duplicate affidavit of |
Registration, the
county clerk shall transfer the information |
contained thereon to
duplicate Registration Cards provided for |
in Section 5-7 of this Article
and shall attach thereto a copy |
of each of the duplicate affidavit of
registration and |
thereafter such registration card and affidavit shall
|
constitute the registration of such person the same as if he |
had applied
for registration in person.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-104, eff. 7-22-13; 98-115, eff. 10-1-13; |
revised 8-9-13.)
|
(10 ILCS 5/10-4) (from Ch. 46, par. 10-4)
|
Sec. 10-4. Form of petition for nomination. All petitions |
for nomination
under this Article 10 for
candidates for public |
office in this State, shall in addition to other
requirements |
provided by law, be as follows: Such petitions shall
consist of |
sheets of uniform size and each sheet shall contain, above
the |
space for signature, an appropriate heading, giving the |
information
as to name of candidate or candidates in whose |
behalf such petition is
signed; the office; the party; place of |
|
residence; and such other
information or wording as required to |
make same valid, and the heading
of each sheet shall be the |
same. Such petition shall be signed by the
qualified voters in |
their own proper persons only, and opposite the
signature of |
each signer his residence address shall be written or
printed. |
The residence address required to be written or printed
|
opposite each qualified primary elector's name shall include |
the street
address or rural route number of the signer, as the |
case may be, as well as
the signer's county, and city, village |
or town, and state. However,
the county or city, village or
|
town, and state of residence of such electors may be printed on |
the
petition forms where all of the such electors signing the |
petition
reside in the same county or city, village or town, |
and state. Standard
abbreviations may be used in writing the |
residence address, including
street number, if any. No |
signature shall be valid or be counted in
considering the |
validity or sufficiency of such petition unless the
|
requirements of this Section are complied with. At the bottom |
of each
sheet of such petition shall be added a circulator's |
statement, signed by a
person 18
years of age or older who is a |
citizen of the United States; stating the street address or |
rural route
number, as the case may be, as well as the county,
|
city,
village or town, and state; certifying that the |
signatures on that sheet of
the petition
were signed in his or |
her presence; certifying that the signatures are
genuine;
and |
either (1) indicating the dates on which that sheet was |
|
circulated, or (2)
indicating the first and last dates on which |
the sheet was circulated, or (3)
certifying that none of the |
signatures on the sheet were signed more than 90
days preceding |
the last day for the filing of the petition; and
certifying
|
that to the best of his knowledge and belief the persons so |
signing were at the
time of signing the petition duly |
registered voters under Articles 4, 5 or 6 of
the Code of the |
political subdivision or district for which the candidate or
|
candidates shall be nominated, and certifying that their |
respective residences
are correctly stated therein. Such |
statement shall be sworn to before some
officer authorized to |
administer oaths in this State. No petition sheet shall
be |
circulated more than 90 days preceding the last day provided in |
Section 10-6
for the filing of such petition. Such sheets, |
before being presented to the
electoral board or filed with the |
proper officer of the electoral district or
division of the |
state or municipality, as the case may be, shall be neatly
|
fastened together in book form, by placing the sheets in a pile |
and fastening
them together at one edge in a secure and |
suitable manner, and the sheets shall
then be numbered |
consecutively. The sheets shall not be fastened by pasting
them |
together end to end, so as to form a continuous strip or roll. |
All
petition sheets which are filed with the proper local |
election officials,
election authorities or the State Board of |
Elections shall be the original
sheets which have been signed |
by the voters and by the circulator, and not
photocopies or |
|
duplicates of such sheets. A petition, when presented or
filed, |
shall not be withdrawn, altered, or added to, and no signature |
shall be
revoked except by revocation in writing presented or |
filed with the officers or
officer with whom the petition is |
required to be presented or filed, and before
the presentment |
or filing of such petition. Whoever forges any name of a
signer |
upon any petition shall be deemed guilty of a forgery, and on |
conviction
thereof, shall be punished accordingly. The word |
"petition" or "petition for
nomination", as used herein, shall |
mean what is sometimes known as nomination
papers, in |
distinction to what is known as a certificate of nomination. |
The
words "political division for which the candidate is |
nominated", or its
equivalent, shall mean the largest political |
division in which all qualified
voters may vote upon such |
candidate or candidates, as the state in the case of
state |
officers; the township in the case of township officers et |
cetera.
Provided, further, that no person shall circulate or |
certify petitions for
candidates of more than one political |
party, or for an independent candidate or
candidates in |
addition to one political party, to be voted upon at the next
|
primary or general election, or for such candidates and parties |
with respect to
the same political subdivision at the next |
consolidated election.
|
(Source: P.A. 91-57, eff. 6-30-99; 92-129, eff. 7-20-01; |
revised 9-4-13.)
|
|
(10 ILCS 5/19-4)
(from Ch. 46, par. 19-4)
|
Sec. 19-4. Mailing or delivery of ballots; time. ballots - |
Time.) Immediately upon
the receipt of such application either |
by mail or electronic means, not more than 40 days
nor less |
than 5 days prior to such election, or by personal delivery not
|
more than 40 days nor less than one day prior to such election, |
at the
office of such election authority, it shall be the duty |
of such election
authority to examine the records to ascertain |
whether or not such
applicant is lawfully entitled to vote as
|
requested, including a verification of the applicant's |
signature by comparison with the signature on the official |
registration record card, and if found so to be entitled to |
vote, to post within one business day thereafter
the name, |
street address,
ward and precinct number or township and |
district number, as the case may be,
of such applicant given on |
a list, the pages of which are to be numbered
consecutively to |
be kept by such election authority for such purpose in a
|
conspicuous, open and public place accessible to the public at |
the entrance of
the office of such election authority, and in |
such a manner that such list may
be viewed without necessity of |
requesting permission therefor. Within one
day after posting |
the name and other information of an applicant for
an absentee |
ballot, the election authority shall transmit by electronic |
means pursuant to a process established by the State Board of |
Elections that name and other
posted information to the State |
Board of Elections, which shall maintain those
names and other |
|
information in an electronic format on its website, arranged by
|
county and accessible to State and local political committees. |
Within 2
business days after posting a name and other |
information on the list within
its
office, the election |
authority shall mail,
postage prepaid, or deliver in person in |
such office an official ballot
or ballots if more than one are |
to be voted at said election. Mail delivery
of Temporarily |
Absent Student ballot applications pursuant to Section
19-12.3 |
shall be by nonforwardable mail. However,
for the consolidated |
election, absentee ballots for certain precincts may
be |
delivered to applicants not less than 25 days before the |
election if
so much time is required to have prepared and |
printed the ballots containing
the names of persons nominated |
for offices at the consolidated primary.
The election authority |
shall enclose with each absentee ballot or
application written |
instructions on how voting assistance shall be provided
|
pursuant to Section 17-14 and a document, written and approved |
by the State
Board of Elections,
enumerating
the circumstances |
under which a person is authorized to vote by absentee
ballot |
pursuant to this Article; such document shall also include a
|
statement informing the applicant that if he or she falsifies |
or is
solicited by another to falsify his or her
eligibility to |
cast an absentee ballot, such applicant or other is subject
to
|
penalties pursuant to Section 29-10 and Section 29-20 of the |
Election Code.
Each election authority shall maintain a list of |
the name, street address,
ward and
precinct, or township and |
|
district number, as the case may be, of all
applicants who have |
returned absentee ballots to such authority, and the name of |
such absent voter shall be added to such list
within one |
business day from receipt of such ballot.
If the absentee |
ballot envelope indicates that the voter was assisted in
|
casting the ballot, the name of the person so assisting shall |
be included on
the list. The list, the pages of which are to be |
numbered consecutively,
shall be kept by each election |
authority in a conspicuous, open, and public
place accessible |
to the public at the entrance of the office of the election
|
authority and in a manner that the list may be viewed without |
necessity of
requesting permission for viewing.
|
Each election authority shall maintain a list for each |
election
of the
voters to whom it has issued absentee ballots. |
The list shall be
maintained for each precinct within the |
jurisdiction of the election
authority. Prior to the opening of |
the polls on election day, the
election authority shall deliver |
to the judges of election in each
precinct the list of |
registered voters in that precinct to whom absentee
ballots |
have been issued by mail.
|
Each election authority shall maintain a list for each |
election of
voters to whom it has issued temporarily absent |
student ballots. The list
shall be maintained for each election |
jurisdiction within which such voters
temporarily abide. |
Immediately after the close of the period during which
|
application may be made by mail or electronic means for |
|
absentee ballots, each election
authority shall mail to each |
other election authority within the State a
certified list of |
all such voters temporarily abiding within the
jurisdiction of |
the other election authority.
|
In the event that the return address of an
application for |
ballot by a physically incapacitated elector
is that of a |
facility licensed or certified under the Nursing Home Care
Act, |
the Specialized Mental Health Rehabilitation Act of 2013, or |
the ID/DD Community Care Act, within the jurisdiction of the |
election authority, and the applicant
is a registered voter in |
the precinct in which such facility is located,
the ballots |
shall be prepared and transmitted to a responsible judge of
|
election no later than 9 a.m. on the Saturday, Sunday or Monday |
immediately
preceding the election as designated by the |
election authority under
Section 19-12.2. Such judge shall |
deliver in person on the designated day
the ballot to the |
applicant on the premises of the facility from which
|
application was made. The election authority shall by mail |
notify the
applicant in such facility that the ballot will be |
delivered by a judge of
election on the designated day.
|
All applications for absentee ballots shall be available at |
the office
of the election authority for public inspection upon |
request from the
time of receipt thereof by the election |
authority until 30 days after the
election, except during the |
time such applications are kept in the
office of the election |
authority pursuant to Section 19-7, and except during
the time |
|
such applications are in the possession of the judges of |
election.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-104, eff. 7-22-13; 98-115, eff. 7-29-13; |
revised 8-9-13.)
|
(10 ILCS 5/24A-15.1) (from Ch. 46, par. 24A-15.1)
|
Sec. 24A-15.1. Except as herein provided, discovery |
recounts and election
contests shall be conducted as otherwise |
provided for in "The Election Code",
as amended. The automatic |
tabulating equipment shall be tested prior to the
discovery |
recount or election contest as provided in Section 24A-9, and
|
then the official ballots or ballot cards shall be recounted on |
the
automatic tabulating equipment. In addition, (1) the ballot |
or ballot cards
shall be checked for the presence or absence of |
judges' initials and other
distinguishing marks, and (2) the |
ballots marked "Rejected", "Defective",
Objected to",
|
"Absentee Ballot", and "Early Ballot" shall be
examined
to |
determine the
propriety of the such labels, and (3) the |
"Duplicate Absentee Ballots",
"Duplicate Early Ballots",
|
"Duplicate Overvoted Ballots" and "Duplicate
Damaged Ballots" |
shall be
compared with their respective originals to determine |
the correctness of
the duplicates.
|
Any person who has filed a petition for discovery recount |
may request that
a redundant count be conducted in those |
precincts in which the discovery
recount is being conducted. |
|
The additional costs of such a redundant count
shall be borne |
by the requesting party.
|
The log of the computer operator and all materials retained |
by the election
authority in relation to vote tabulation and |
canvass shall be made available
for any discovery recount or |
election contest.
|
(Source: P.A. 94-645, eff. 8-22-05; revised 9-4-13.)
|
(10 ILCS 5/24A-16) (from Ch. 46, par. 24A-16)
|
Sec. 24A-16. The State Board of Elections shall approve all |
voting
systems provided by this Article. |
No voting system shall be approved
unless it fulfills the |
following requirements:
|
(1) It enables a voter to vote in absolute secrecy;
|
(2) (Blank);
|
(3) It enables a voter to vote a ticket selected in |
part from the
nominees of one party, and in part from the |
nominees of any or all parties,
and in part from |
independent candidates and in part of candidates whose
|
names are written in by the voter;
|
(4) It enables a voter to vote a written or printed |
ticket of his own
selection for any person for any office |
for whom he may desire to vote;
|
(5) It will reject all votes for an office or upon a |
proposition when
the voter has cast more votes for such |
office or upon such proposition than
he is entitled to |
|
cast;
|
(5.5) It will identify when a voter has not voted for |
all statewide constitutional offices;
|
(6) It will accommodate all propositions to be |
submitted to the voters
in the form provided by law or, |
where no such form is provided, then in
brief form, not to |
exceed 75 words ; .
|
(7) It will accommodate the tabulation programming |
requirements of Sections 24A-6.2, 24B-6.2, and 24C-6.2. |
The State Board of Elections shall not approve any voting |
equipment or system that includes an external Infrared Data |
Association (IrDA) communications port.
|
The State Board of Elections is authorized to withdraw its |
approval of a
voting system if the system fails to fulfill the |
above requirements.
|
The vendor, person, or other private entity shall be solely |
responsible for the production and cost of: all application |
fees; all ballots; additional temporary workers; and other |
equipment or facilities needed and used in the testing of the |
vendor's, person's, or other private entity's respective |
equipment and software.
|
Any voting system vendor, person, or other private entity |
seeking the State Board of Elections' approval of a voting |
system shall, as part of the approval application, submit to |
the State Board a non-refundable fee. The State Board of |
Elections by rule shall establish an appropriate fee structure, |
|
taking into account the type of voting system approval that is |
requested (such as approval of a new system, a modification of |
an existing system, the size of the modification, etc.). No |
voting system or modification of a voting system shall be |
approved unless the fee is paid.
|
No vendor, person, or other entity may sell, lease, or |
loan, or have a written contract, including a contract |
contingent upon State Board approval of the voting system or |
voting system component, to sell, lease, or loan, a voting
|
system or voting system component to any election jurisdiction |
unless the
voting system or voting system component is first |
approved by the State
Board of Elections pursuant to this |
Section.
|
(Source: P.A. 98-115, eff. 7-29-13; revised 9-4-13.)
|
(10 ILCS 5/28-3) (from Ch. 46, par. 28-3)
|
Sec. 28-3. Form of petition for public question. Petitions |
for the
submission of public questions shall
consist of sheets |
of uniform size and each sheet shall contain, above
the space |
for signature, an appropriate heading, giving the information
|
as to the question of public policy to be submitted, and |
specifying the
state at large or the political subdivision or |
district or precinct or
combination of precincts or other |
territory in which it is to be submitted and,
where by law the |
public question must be submitted at a particular election,
the |
election at which it is to be submitted. In the case of a |
|
petition for the
submission of a public question described in |
subsection (b) of Section 28-6,
the heading shall also specify |
the regular election at which the question is to
be submitted |
and include the precincts included in the territory concerning
|
which the public question is to be submitted, as well as a |
common description
of such territory in plain and nonlegal |
language, such description to describe
the territory by |
reference to streets, natural or artificial landmarks,
|
addresses or any other method which would enable a voter |
signing the petition
to be informed of the territory concerning |
which the question is to be
submitted. The heading of each |
sheet shall be the same. Such petition shall be
signed by the |
registered voters of the political subdivision or district or
|
precinct or combination of precincts in which the question of |
public policy is
to be submitted in their own proper persons |
only, and opposite the
signature of each signer his residence |
address shall be written or
printed, which residence address |
shall include the street address or
rural route number of the |
signer, as the case may be, as well as the
signer's county, and |
city, village or town, and state; provided that
the county or |
city, village or
town, and state of residence of such electors |
may be printed on the
petition forms where all of the such |
electors signing the petition
reside in the same county or |
city, village or town, and state. Standard
abbreviations may be |
used in writing the residence address, including
street number, |
if any. No signature shall be valid or be counted in
|
|
considering the validity or sufficiency of such petition unless |
the
requirements of this Section are complied with.
|
At the bottom of each sheet of such petition shall be added |
a
circulator's statement, signed by a person 18 years of age or |
older who
is a citizen of the United States, stating the street |
address or rural route
number, as the case may be, as well as |
the county,
city,
village or town, and state; certifying that |
the signatures on that sheet of
the
petition were signed in his |
or her presence and are genuine, and that to
the best
of his or |
her knowledge and belief the persons so signing were at the |
time
of
signing the petition registered voters of the political |
subdivision or
district or precinct or combination of precincts |
in which the question of
public policy is to be submitted and |
that their respective residences are
correctly stated therein. |
Such statement shall be sworn to before some
officer authorized |
to administer oaths in this State.
|
Such sheets, before being filed with the proper officer or |
board
shall be bound securely and numbered consecutively. The |
sheets shall not be
fastened by pasting them together end to |
end, so as to form a continuous strip
or roll. All petition |
sheets which are filed with the proper local election
|
officials, election authorities or the State Board of Elections |
shall be the
original sheets which have been signed by the |
voters and by the circulator, and
not photocopies or duplicates |
of such sheets. A petition, when presented or
filed, shall not |
be withdrawn, altered, or added to, and no signature shall be
|
|
revoked except by revocation in writing presented or filed with |
the board or
officer with whom the petition is required to be |
presented or filed, and before
the presentment or filing of |
such petition, except as may otherwise be provided
in another |
statute which authorize the public question. Whoever forges any |
name
of a signer upon any petition shall be deemed guilty of a |
forgery, and on
conviction thereof, shall be punished |
accordingly.
|
In addition to the foregoing requirements, a petition |
proposing an amendment
to Article IV of the Constitution |
pursuant to Section 3 of Article XIV of
the Constitution or a |
petition proposing a question of public policy to
be submitted |
to the voters of the entire State shall be in conformity with
|
the requirements of Section 28-9 of this Article.
|
If multiple sets of petitions for submission of the same |
public
questions are filed, the State Board of Elections, |
appropriate election
authority or local election official |
where the petitions are filed shall
within 2 business days |
notify the proponent of his or her multiple petition
filings |
and that proponent has 3 business days after receipt of the |
notice
to notify the State Board of Elections, appropriate |
election authority or
local election official that he or she |
may cancel prior sets of petitions.
If the proponent notifies |
the State Board of Elections, appropriate
election authority or |
local election official, the last set of petitions
filed shall |
be the only petitions to be considered valid by the State Board
|
|
of Elections, appropriate election authority or local election |
official. If the
proponent fails to notify the State Board of |
Elections, appropriate
election authority or local election |
official then only the first set of
petitions filed shall be |
valid and all subsequent petitions shall be void.
|
(Source: P.A. 91-57, eff. 6-30-99; 92-129, eff. 7-20-01; |
revised 9-12-13.)
|
Section 40. The Executive Reorganization Implementation |
Act is amended by changing Section 5 as follows:
|
(15 ILCS 15/5) (from Ch. 127, par. 1805)
|
Sec. 5.
An executive order of the Governor proposing |
reorganization may
not provide for, and a reorganization under |
this Act may not have the effect of:
|
(a) continuing Continuing any function beyond the period |
authorized by law for its
exercise, or beyond the time when it |
would have terminated if the reorganization
had not been made;
|
(b) authorizing Authorizing any agency to exercise any |
function which is not expressly
authorized by law to be |
exercised by an agency in the executive branch when
the |
executive order is transmitted to the General Assembly;
|
(c) increasing Increasing the term of any office beyond |
that provided by law for the office; or
|
(d) eliminating any qualifications of or procedures for |
selecting or appointing
any agency or department head or |
|
commission or board member; or
|
(e) abolishing Abolishing any agency created by the |
Illinois Constitution, or transferring
to any other agency any |
function conferred by the Illinois Constitution
on an agency |
created by that Constitution.
|
(Source: P.A. 81-984; revised 9-4-13.)
|
Section 45. The Illinois Identification Card Act is amended |
by changing Section 4 as follows:
|
(15 ILCS 335/4) (from Ch. 124, par. 24)
|
Sec. 4. Identification Card.
|
(a) The Secretary of State shall issue a
standard Illinois |
Identification Card to any natural person who is a resident
of |
the State of Illinois who applies for such card, or renewal |
thereof,
or who applies for a standard Illinois Identification |
Card upon release as a
committed person on parole, mandatory |
supervised release, aftercare release, final discharge, or
|
pardon from the Department of Corrections or Department of |
Juvenile Justice by submitting an identification card
issued by |
the Department of Corrections or Department of Juvenile Justice |
under Section 3-14-1 or Section 3-2.5-70 of the Unified
Code of |
Corrections,
together with the prescribed fees. No |
identification card shall be issued to any person who holds a |
valid
foreign state
identification card, license, or permit |
unless the person first surrenders to
the Secretary of
State |
|
the valid foreign state identification card, license, or |
permit. The card shall be prepared and
supplied by the |
Secretary of State and shall include a photograph and signature |
or mark of the
applicant. However, the Secretary of State may |
provide by rule for the issuance of Illinois Identification |
Cards without photographs if the applicant has a bona fide |
religious objection to being photographed or to the display of |
his or her photograph. The Illinois Identification Card may be |
used for
identification purposes in any lawful situation only |
by the person to
whom it was issued.
As used in this Act, |
"photograph" means any color photograph or digitally
produced |
and captured image of an applicant for an identification card. |
As
used in this Act, "signature" means the name of a person as |
written by that
person and captured in a manner acceptable to |
the Secretary of State. |
(a-5) If an applicant for an identification card has a |
current driver's license or instruction permit issued by the |
Secretary of State, the Secretary may require the applicant to |
utilize the same residence address and name on the |
identification card, driver's license, and instruction permit |
records maintained by the Secretary. The Secretary may |
promulgate rules to implement this provision.
|
(a-10) If the applicant is a judicial officer as defined in |
Section 1-10 of the Judicial Privacy Act or a peace officer, |
the applicant may elect to have his or her office or work |
address listed on the card instead of the applicant's residence |
|
or mailing address. The Secretary may promulgate rules to |
implement this provision. For the purposes of this subsection |
(a-10), "peace officer" means any person who by virtue of his |
or her office or public employment is vested by law with a duty |
to maintain public order or to make arrests for a violation of |
any penal statute of this State, whether that duty extends to |
all violations or is limited to specific violations. |
(b) The Secretary of State shall issue a special Illinois
|
Identification Card, which shall be known as an Illinois Person |
with a Disability
Identification Card, to any natural person |
who is a resident of the State
of Illinois, who is a person |
with a disability as defined in Section 4A of this Act,
who |
applies for such card, or renewal thereof. No Illinois Person |
with a Disability Identification Card shall be issued to any |
person who
holds a valid
foreign state identification card, |
license, or permit unless the person first
surrenders to the
|
Secretary of State the valid foreign state identification card, |
license, or
permit. The Secretary of State
shall charge no fee |
to issue such card. The card shall be prepared and
supplied by |
the Secretary of State, and shall include a photograph and |
signature or mark of the
applicant, a designation indicating |
that the card is an Illinois
Person with a Disability |
Identification Card, and shall include a comprehensible |
designation
of the type and classification of the applicant's |
disability as set out in
Section 4A of this Act. However, the |
Secretary of State may provide by rule for the issuance of |
|
Illinois Person with a Disability Identification Cards without |
photographs if the applicant has a bona fide religious |
objection to being photographed or to the display of his or her |
photograph. If the applicant so requests, the card shall
|
include a description of the applicant's disability and any |
information
about the applicant's disability or medical |
history which the Secretary
determines would be helpful to the |
applicant in securing emergency medical
care. If a mark is used |
in lieu of a signature, such mark
shall be affixed to the card |
in the presence of two witnesses who attest to
the authenticity |
of the mark. The Illinois
Person with a Disability |
Identification Card may be used for identification purposes
in |
any lawful situation by the person to whom it was issued.
|
The Illinois Person with a Disability Identification Card |
may be used as adequate
documentation of disability in lieu of |
a physician's determination of
disability, a determination of |
disability from a physician assistant who has
been delegated |
the authority to make this determination by his or her
|
supervising physician, a determination of disability from an |
advanced practice
nurse who has a written collaborative |
agreement with a collaborating physician
that
authorizes the |
advanced practice nurse to make this determination, or any
|
other documentation
of disability whenever
any
State law
|
requires that a disabled person provide such documentation of |
disability,
however an Illinois Person with a Disability |
Identification Card shall not qualify
the cardholder to |
|
participate in any program or to receive any benefit
which is |
not available to all persons with like disabilities.
|
Notwithstanding any other provisions of law, an Illinois Person |
with a Disability
Identification Card, or evidence that the |
Secretary of State has issued an
Illinois Person with a |
Disability Identification Card, shall not be used by any
person |
other than the person named on such card to prove that the |
person
named on such card is a disabled person or for any other |
purpose unless the
card is used for the benefit of the person |
named on such card, and the
person named on such card consents |
to such use at the time the card is so used.
|
An optometrist's determination of a visual disability |
under Section 4A of this Act is acceptable as documentation for |
the purpose of issuing an Illinois Person with a Disability |
Identification Card. |
When medical information is contained on an Illinois Person |
with a Disability
Identification Card, the Office of the |
Secretary of State shall not be
liable for any actions taken |
based upon that medical information.
|
(c) The Secretary of State shall provide
that each original |
or renewal Illinois Identification Card or Illinois
Person with |
a Disability Identification Card issued to a person under the |
age of 21
shall be of a distinct nature from those Illinois |
Identification Cards or
Illinois Person with a Disability |
Identification Cards issued to individuals 21
years of age or |
older. The color designated for Illinois Identification
Cards |
|
or Illinois Person with a Disability Identification Cards for |
persons under
the age of 21 shall be at the discretion of the |
Secretary of State.
|
(c-1) Each original or renewal Illinois
Identification |
Card or Illinois Person with a Disability Identification Card |
issued to
a person under the age of 21 shall display the date |
upon which the person
becomes 18 years of age and the date upon |
which the person becomes 21 years of
age.
|
(c-3) The General Assembly recognizes the need to identify |
military veterans living in this State for the purpose of |
ensuring that they receive all of the services and benefits to |
which they are legally entitled, including healthcare, |
education assistance, and job placement. To assist the State in |
identifying these veterans and delivering these vital services |
and benefits, the Secretary of State is authorized to issue |
Illinois Identification Cards and Illinois Person with a |
Disability Identification Cards with the word "veteran" |
appearing on the face of the cards. This authorization is |
predicated on the unique status of veterans. The Secretary may |
not issue any other identification card which identifies an |
occupation, status, affiliation, hobby, or other unique |
characteristics of the identification card holder which is |
unrelated to the purpose of the identification card.
|
(c-5) Beginning on or before July 1, 2015, the Secretary of |
State shall designate a space on each original or renewal |
identification card where, at the request of the applicant, the |
|
word "veteran" shall be placed. The veteran designation shall |
be available to a person identified as a veteran under |
subsection (b) of Section 5 of this Act who was discharged or |
separated under honorable conditions. |
(d) The Secretary of State may issue a Senior Citizen
|
discount card, to any natural person who is a resident of the |
State of
Illinois who is 60 years of age or older and who |
applies for such a card or
renewal thereof. The Secretary of |
State shall charge no fee to issue such
card. The card shall be |
issued in every county and applications shall be
made available |
at, but not limited to, nutrition sites, senior citizen
centers |
and Area Agencies on Aging. The applicant, upon receipt of such
|
card and prior to its use for any purpose, shall have affixed |
thereon in
the space provided therefor his signature or mark.
|
(e) The Secretary of State, in his or her discretion, may |
designate on each Illinois
Identification Card or Illinois |
Person with a Disability Identification Card a space where the |
card holder may place a sticker or decal, issued by the |
Secretary of State, of uniform size as the Secretary may |
specify, that shall indicate in appropriate language that the |
card holder has renewed his or her Illinois
Identification Card |
or Illinois Person with a Disability Identification Card. |
(Source: P.A. 97-371, eff. 1-1-12; 97-739, eff. 1-1-13; 97-847, |
eff. 1-1-13; 97-1064, eff. 1-1-13; 98-323, eff. 1-1-14; 98-463, |
eff. 8-16-13; 98-558, eff. 1-1-14; revised 9-4-13.)
|
|
Section 50. The State Comptroller Act is amended by |
changing Sections 10 and 10.10 as follows:
|
(15 ILCS 405/10) (from Ch. 15, par. 210)
|
Sec. 10. Warrants; procedure
Warrants-
Procedure . The |
powers and duties of the Comptroller comptroller as respects |
warrants are set
out in the Sections following this Section and |
preceding Section 11 Sections 10.01 through 10.15 .
|
(Source: P.A. 77-2807; revised 9-4-13.)
|
(15 ILCS 405/10.10) (from Ch. 15, par. 210.10)
|
Sec. 10.10.
(a) If any Comptroller's warrant is lost, |
mislaid or destroyed,
or becomes void after issuance, so that |
it cannot be presented for payment
by the person entitled |
thereto, the Comptroller, at any time before that
warrant is |
paid by the State Treasurer, but within 5 years of the
date of |
issuance, may issue a replacement warrant to the person |
entitled
thereto. If the original warrant was not cancelled or |
did not become void,
the Comptroller, before issuing the |
replacement warrant, shall issue a stop
payment order on the |
State Treasurer and receive a confirmation of the stop
payment |
order on the original warrant from the State Treasurer.
|
(b) Only the person entitled to the original warrant, or |
his heirs or
legal representatives, or a third party to whom it |
was properly negotiated
or the heirs or legal representatives |
of such party, may request a replacement
warrant. In the case |
|
of a warrant issued to a payee who dies before the
warrant is |
paid by the State Treasurer and whose estate has been probated
|
pursuant to law, the Comptroller, upon receipt of a certified |
copy of a
judicial order establishing the person or entity |
entitled to payment, may
issue a replacement warrant to such |
person or entity.
|
(c) Within 12 months from the date of issuance of the
|
original warrant, if the original warrant has not been canceled |
for redeposit,
the Comptroller may issue a replacement warrant |
on the original voucher drawing
upon the same fund and charging |
the same appropriation or other expenditure
authorization as |
the original warrant.
|
(d) Within 12 months from the date of issuance of the |
original
warrant, if the original warrant has been canceled for |
redeposit, and if the
issuance of the replacement warrant would |
not over-obligate the appropriation
or other expenditure |
authority against which it is drawn, the Comptroller may
issue |
the replacement warrant. If the original warrant was issued |
against
an appropriation or other expenditure authority which |
has lapsed, the
replacement warrant shall be drawn on the |
Warrant Escheat Fund. If the
appropriation or other |
obligational authority against which the replacement
warrant |
is drawn has not lapsed, the Comptroller shall notify the
|
originating agency of the request for a replacement warrant and |
shall
receive a replacement voucher from that agency before |
drawing the
replacement warrant, which shall be drawn on the |
|
same fund and charged to
the same appropriation or other |
expenditure authority as the original warrant.
|
(e) Within 12 months from the date of issuance of the |
original
warrant, if the original warrant has been canceled for |
redeposit, the Comptroller
may not issue a replacement warrant |
where such issuance would over-obligate
the appropriation or |
other expenditure authority against which the original
warrant |
was drawn. Whenever the Comptroller is presented with a request
|
for a replacement warrant which may not be issued under the |
limitation of
this subsection, if the appropriation or other |
expenditure authority
against which the original warrant was |
drawn has not lapsed, the Comptroller
shall immediately inform |
the originating agency of the request and that
the request may |
not be honored because of the resulting
over-obligation, and |
shall request the agency to determine whether or not
that |
agency will take some corrective action before the applicable |
expenditure
authorization lapses. The originating agency shall |
respond to the Comptroller's
inquiry within 5 business days.
|
(f) After 12 months from the date of issuance of the
|
original warrant,
if the original warrant has not been |
cancelled for redeposit, the Comptroller
shall issue the |
replacement warrant on the Warrant Escheat Fund.
|
(f-5) After 5 years from the date of issuance of the |
original warrant but no later than 10 years after that date, |
the Comptroller may issue a replacement warrant on the Warrant |
Escheat Fund to a person or entity entitled thereto, as those |
|
persons and entities are described in subsection (b) of this |
Section, if the following requirements are met: |
(1) the person or entity verifies that the person or |
entity is they are entitled to the original warrant; |
(2) in the case of a warrant that is not presented by |
the requestor, the paying agency certifies that the |
original payee is still entitled to the payment; and |
(3) the Comptroller's records are available and |
confirm that the warrant was not replaced. |
(g) Except as provided in this Section, requests for |
replacement warrants
for more than $500 shall show entitlement |
to such warrant by
including an affidavit, in writing, sworn |
before a person authorized to
administer oaths and |
affirmations, stating the loss or destruction of the
warrant, |
or the
fact that the warrant is void. However, when the written |
request for a
replacement warrant submitted by the person to |
whom the original warrant was
issued is accompanied by the |
original warrant, no affidavit is
required. Requests for |
replacement warrants for $500 or less shall show entitlement to |
such
warrant by submitting a written statement of the loss
or |
destruction of the warrant, or the fact that the warrant is |
void on an
application form prescribed by the Comptroller. If |
the person requesting the
replacement is in possession of the |
original warrant, or any part thereof, the
original warrant or |
the part thereof must accompany the request for
replacement. |
The Comptroller shall then draw such replacement warrant, and |
|
the
treasurer
shall pay the replacement warrant. If at the time |
of a loss or destruction
a warrant was negotiated to a third |
party, however (which fact shall be
ascertained by the oath of |
the party making the application, or otherwise),
before the |
replacement warrant is drawn
by the Comptroller, the person |
requesting the replacement warrant must give
the Comptroller a |
bond or bonds with sufficient sureties, to be approved
by the |
Comptroller, when required by regulation of the Comptroller, |
payable
to the People of the State of Illinois, for the |
refunding of the
amount, together with all costs and charges, |
should the State afterwards
be compelled to pay the original |
warrant.
|
(Source: P.A. 98-411, eff. 8-16-13; revised 11-14-13.)
|
Section 55. The Illinois Act on the Aging is amended by |
changing Section 4.01 as follows:
|
(20 ILCS 105/4.01) (from Ch. 23, par. 6104.01)
|
Sec. 4.01. Additional powers and duties of the Department. |
In addition
to powers and duties otherwise provided by law, the |
Department shall have the
following powers and duties:
|
(1) To evaluate all programs, services, and facilities for |
the aged
and for minority senior citizens within the State and |
determine the extent
to which present public or private |
programs, services and facilities meet the
needs of the aged.
|
(2) To coordinate and evaluate all programs, services, and |
|
facilities
for the Aging and for minority senior citizens |
presently furnished by State
agencies and make appropriate |
recommendations regarding such services, programs
and |
facilities to the Governor and/or the General Assembly.
|
(2-a) To request, receive, and share information |
electronically through the use of data-sharing agreements for |
the purpose of (i) establishing and verifying the initial and |
continuing eligibility of older adults to participate in |
programs administered by the Department; (ii) maximizing |
federal financial participation in State assistance |
expenditures; and (iii) investigating allegations of fraud or |
other abuse of publicly funded benefits. Notwithstanding any |
other law to the contrary, but only for the limited purposes |
identified in the preceding sentence, this paragraph (2-a) |
expressly authorizes the exchanges of income, identification, |
and other pertinent eligibility information by and among the |
Department and the Social Security Administration, the |
Department of Employment Security, the Department of |
Healthcare and Family Services, the Department of Human |
Services, the Department of Revenue, the Secretary of State, |
the U.S. Department of Veterans Affairs, and any other |
governmental entity. The confidentiality of information |
otherwise shall be maintained as required by law. In addition, |
the Department on Aging shall verify employment information at |
the request of a community care provider for the purpose of |
ensuring program integrity under the Community Care Program. |
|
(3) To function as the sole State agency to develop a |
comprehensive
plan to meet the needs of the State's senior |
citizens and the State's
minority senior citizens.
|
(4) To receive and disburse State and federal funds made |
available
directly to the Department including those funds made |
available under the
Older Americans Act and the Senior |
Community Service Employment Program for
providing services |
for senior citizens and minority senior citizens or for
|
purposes related thereto, and shall develop and administer any |
State Plan
for the Aging required by federal law.
|
(5) To solicit, accept, hold, and administer in behalf of |
the State
any grants or legacies of money, securities, or |
property to the State of
Illinois for services to senior |
citizens and minority senior citizens or
purposes related |
thereto.
|
(6) To provide consultation and assistance to communities, |
area agencies
on aging, and groups developing local services |
for senior citizens and
minority senior citizens.
|
(7) To promote community education regarding the problems |
of senior
citizens and minority senior citizens through |
institutes, publications,
radio, television and the local |
press.
|
(8) To cooperate with agencies of the federal government in |
studies
and conferences designed to examine the needs of senior |
citizens and minority
senior citizens and to prepare programs |
and facilities to meet those needs.
|
|
(9) To establish and maintain information and referral |
sources
throughout the State when not provided by other |
agencies.
|
(10) To provide the staff support that may reasonably be |
required
by the Council.
|
(11) To make and enforce rules and regulations necessary |
and proper
to the performance of its duties.
|
(12) To establish and fund programs or projects or |
experimental facilities
that are specially designed as |
alternatives to institutional care.
|
(13) To develop a training program to train the counselors |
presently
employed by the Department's aging network to provide |
Medicare
beneficiaries with counseling and advocacy in |
Medicare, private health
insurance, and related health care |
coverage plans. The Department shall
report to the General |
Assembly on the implementation of the training
program on or |
before December 1, 1986.
|
(14) To make a grant to an institution of higher learning |
to study the
feasibility of establishing and implementing an |
affirmative action
employment plan for the recruitment, |
hiring, training and retraining of
persons 60 or more years old |
for jobs for which their employment would not
be precluded by |
law.
|
(15) To present one award annually in each of the |
categories of community
service, education, the performance |
and graphic arts, and the labor force
to outstanding Illinois |
|
senior citizens and minority senior citizens in
recognition of |
their individual contributions to either community service,
|
education, the performance and graphic arts, or the labor |
force. The awards
shall be presented to 4 senior citizens and |
minority senior citizens
selected from a list of 44 nominees |
compiled annually by
the Department. Nominations shall be |
solicited from senior citizens'
service providers, area |
agencies on aging, senior citizens'
centers, and senior |
citizens' organizations. The Department shall establish a |
central location within
the State to be designated as the |
Senior Illinoisans Hall of Fame for the
public display of all |
the annual awards, or replicas thereof.
|
(16) To establish multipurpose senior centers through area |
agencies on
aging and to fund those new and existing |
multipurpose senior centers
through area agencies on aging, the |
establishment and funding to begin in
such areas of the State |
as the Department shall designate by rule and as
specifically |
appropriated funds become available.
|
(17) To develop the content and format of the |
acknowledgment regarding
non-recourse reverse mortgage loans |
under Section 6.1 of the Illinois
Banking Act; to provide |
independent consumer information on reverse
mortgages and |
alternatives; and to refer consumers to independent
counseling |
services with expertise in reverse mortgages.
|
(18) To develop a pamphlet in English and Spanish which may |
be used by
physicians licensed to practice medicine in all of |
|
its branches pursuant
to the Medical Practice Act of 1987, |
pharmacists licensed pursuant to the
Pharmacy Practice Act, and |
Illinois residents 65 years of age or
older for the purpose of |
assisting physicians, pharmacists, and patients in
monitoring |
prescriptions provided by various physicians and to aid persons
|
65 years of age or older in complying with directions for |
proper use of
pharmaceutical prescriptions. The pamphlet may |
provide space for recording
information including but not |
limited to the following:
|
(a) name and telephone number of the patient;
|
(b) name and telephone number of the prescribing |
physician;
|
(c) date of prescription;
|
(d) name of drug prescribed;
|
(e) directions for patient compliance; and
|
(f) name and telephone number of dispensing pharmacy.
|
In developing the pamphlet, the Department shall consult |
with the
Illinois State Medical Society, the Center for |
Minority Health Services,
the Illinois Pharmacists Association |
and
senior citizens organizations. The Department shall |
distribute the
pamphlets to physicians, pharmacists and |
persons 65 years of age or older
or various senior citizen |
organizations throughout the State.
|
(19) To conduct a study of the feasibility of
implementing |
the Senior Companion Program throughout the State.
|
(20) The reimbursement rates paid through the community |
|
care program
for chore housekeeping services and home care |
aides
shall be the same.
|
(21) From funds appropriated to the Department from the |
Meals on Wheels
Fund, a special fund in the State treasury that |
is hereby created, and in
accordance with State and federal |
guidelines and the intrastate funding
formula, to make grants |
to area agencies on aging, designated by the
Department, for |
the sole purpose of delivering meals to homebound persons 60
|
years of age and older.
|
(22) To distribute, through its area agencies on aging, |
information
alerting seniors on safety issues regarding |
emergency weather
conditions, including extreme heat and cold, |
flooding, tornadoes, electrical
storms, and other severe storm |
weather. The information shall include all
necessary |
instructions for safety and all emergency telephone numbers of
|
organizations that will provide additional information and |
assistance.
|
(23) To develop guidelines for the organization and |
implementation of
Volunteer Services Credit Programs to be |
administered by Area Agencies on
Aging or community based |
senior service organizations. The Department shall
hold public |
hearings on the proposed guidelines for public comment, |
suggestion,
and determination of public interest. The |
guidelines shall be based on the
findings of other states and |
of community organizations in Illinois that are
currently |
operating volunteer services credit programs or demonstration
|
|
volunteer services credit programs. The Department shall offer |
guidelines for
all aspects of the programs including, but not |
limited to, the following:
|
(a) types of services to be offered by volunteers;
|
(b) types of services to be received upon the |
redemption of service
credits;
|
(c) issues of liability for the volunteers and the |
administering
organizations;
|
(d) methods of tracking service credits earned and |
service credits
redeemed;
|
(e) issues of time limits for redemption of service |
credits;
|
(f) methods of recruitment of volunteers;
|
(g) utilization of community volunteers, community |
service groups, and
other resources for delivering |
services to be received by service credit
program clients;
|
(h) accountability and assurance that services will be |
available to
individuals who have earned service credits; |
and
|
(i) volunteer screening and qualifications.
|
The Department shall submit a written copy of the guidelines to |
the General
Assembly by July 1, 1998.
|
(24) To function as the sole State agency to receive and |
disburse State and federal funds for providing adult protective |
services in a domestic living situation in accordance with the |
Adult Protective Services Act. |
|
(25) (24) To hold conferences, trainings, and other |
programs for which the Department shall determine by rule a |
reasonable fee to cover related administrative costs. Rules to |
implement the fee authority granted by this paragraph (25) (24) |
must be adopted in accordance with all provisions of the |
Illinois Administrative Procedure Act and all rules and |
procedures of the Joint Committee on Administrative Rules; any |
purported rule not so adopted, for whatever reason, is |
unauthorized. |
(Source: P.A. 98-8, eff. 5-3-13; 98-49, eff. 7-1-13; 98-380, |
eff. 8-16-13; revised 9-4-13.)
|
Section 60. The Department of Central Management Services |
Law of the
Civil Administrative Code of Illinois is amended by |
changing Sections 405-120 and 405-335 as follows:
|
(20 ILCS 405/405-120) (was 20 ILCS 405/67.29)
|
Sec. 405-120. Hispanic , Asian-American, and bilingual |
employees. The
Department shall develop and implement plans to
|
increase the number of Hispanics employed by State government |
and the
number of bilingual persons employed in State |
government at supervisory,
technical, professional, and |
managerial levels.
|
The Department shall prepare and revise annually a State |
Hispanic Employment Plan and a State Asian-American Employment |
Plan in consultation with individuals and organizations |
|
informed on these subjects, including the Hispanic Employment |
Plan Advisory Council and the Asian-American Employment Plan |
Advisory Council. The Department shall report to the General |
Assembly by February 1 of each year each State agency's |
activities in implementing the State Hispanic Employment Plan |
and the State Asian-American Employment Plan. |
(Source: P.A. 97-856, eff. 7-27-12; 98-329, eff. 1-1-14; |
revised 10-8-13.)
|
(20 ILCS 405/405-335) |
Sec. 405-335. Illinois Transparency and Accountability |
Portal (ITAP).
|
(a) The Department, within 12 months after the effective |
date of this amendatory Act of the 96th General Assembly, shall |
establish and maintain a website, known as the Illinois |
Transparency and Accountability Portal (ITAP), with a |
full-time webmaster tasked with compiling and updating the ITAP |
database with information received from all State agencies as |
defined in this Section. Subject to appropriation, the |
full-time webmaster must also compile and update the ITAP |
database with information received from all counties, |
townships, library districts, and municipalities. |
(b) For purposes of this Section: |
"State agency" means the offices of the constitutional |
officers identified in Article V of the Illinois Constitution, |
executive agencies, and departments, boards, commissions, and |
|
Authorities under the Governor. |
"Contracts" means payment obligations with vendors on file |
with the Office of the Comptroller to purchase goods and |
services exceeding $10,000 in value (or, in the case of |
professional or artistic services, exceeding $5,000 in value). |
"Appropriation" means line-item detail of spending |
approved by the General Assembly and Governor, categorized by |
object of expenditure. |
"Individual consultants" means temporary workers eligible |
to receive State benefits paid on a State payroll. |
"Recipients" means State agencies receiving |
appropriations. |
(c) The ITAP shall provide direct access to each of the |
following: |
(1) A database of all current State employees and |
individual consultants, except sworn law enforcement |
officers, sorted separately by: |
(i) Name. |
(ii) Employing State agency. |
(iii) Employing State division. |
(iv) Employment position title. |
(v) Current pay rate and year-to-date pay. |
(2) A database of all current State expenditures, |
sorted separately by agency, category, recipient, and |
Representative District. |
(3) A database of all development assistance |
|
reportable pursuant to the Corporate Accountability for |
Tax Expenditures Act, sorted separately by tax credit |
category, taxpayer, and Representative District. |
(4) A database of all revocations and suspensions of |
State occupation and use tax certificates of registration |
and all revocations and suspensions of State professional |
licenses, sorted separately by name, geographic location, |
and certificate of registration number or license number, |
as applicable. Professional license revocations and |
suspensions shall be posted only if resulting from a |
failure to pay taxes, license fees, or child support. |
(5) A database of all current State contracts, sorted |
separately by contractor name, awarding officer or agency, |
contract value, and goods or services provided. |
(6) A database of all employees hired after the |
effective date of this amendatory Act of 2010, sorted |
searchably by each of the following at the time of |
employment: |
(i) Name. |
(ii) Employing State agency. |
(iii) Employing State division. |
(iv) Employment position title. |
(v) Current pay rate and year-to-date pay. |
(vi) County of employment location. |
(vii) Rutan status. |
(viii) Status of position as subject to collective |
|
bargaining, subject to merit compensation, or exempt |
under Section 4d of the Personnel Code. |
(ix) Employment status as probationary, trainee, |
intern, certified, or exempt from certification. |
(x) Status as a military veteran. |
(7) A searchable database of all current county, |
township, library district, and municipal employees sorted |
separately by: |
(i) Employing unit of local government. |
(ii) Employment position title. |
(iii) Current pay rate and year-to-date pay. |
(8) A searchable database of all county, township, and |
municipal employees hired on or after the effective date of |
this amendatory Act of the 97th General Assembly, sorted |
separately by each of the following at the time of |
employment: |
(i) Employing unit of local government. |
(ii) Employment position title. |
(iii) Current pay rate and year-to-date pay. |
(9) A searchable database of all library district |
employees hired on or after August 9, 2013 ( the effective |
date of Public Act 98-246) this amendatory Act of the 98th |
General Assembly , sorted separately by each of the |
following at the time of employment: |
(i) Employing unit of local government. |
(ii) Employment position title. |
|
(iii) Current pay rate and year-to-date pay. |
(d) The ITAP shall include all information required to be |
published by subsection (c) of this Section that is available |
to the Department in a format the Department can compile and |
publish on the ITAP. The Department shall update the ITAP as |
additional information becomes available in a format that can |
be compiled and published on the ITAP by the Department. |
(e) Each State agency, county, township, library district, |
and municipality shall cooperate with the Department in |
furnishing the information necessary for the implementation of |
this Section within a timeframe specified by the Department. |
(f) Each county, township, library district, or |
municipality submitting information to be displayed on the |
Illinois Transparency and Accountability Portal (ITAP) is |
responsible for the accuracy of the information provided. |
(g) The Department, within 6 months after January 1, 2014 |
( the effective date of Public Act 98-283) this amendatory Act |
of the 98th General Assembly , shall distribute a spreadsheet or |
otherwise make data entry available to each State agency to |
facilitate the collection of data on the State's annual |
workforce characteristics, workforce compensation, and |
employee mobility. The Department shall determine the data to |
be collected by each State agency. Each State agency shall |
cooperate with the Department in furnishing the data necessary |
for the implementation of this subsection within the timeframe |
specified by the Department. The Department shall publish the |
|
data received from each State agency on the ITAP or another |
open data site annually. |
(Source: P.A. 97-744, eff. 1-1-13; 98-246, eff. 8-9-13; 98-283, |
eff. 1-1-14; revised 9-4-13.) |
Section 65. The Children and Family Services Act is amended |
by changing Section 5 as follows:
|
(20 ILCS 505/5) (from Ch. 23, par. 5005)
|
Sec. 5. Direct child welfare services; Department of |
Children and Family
Services. To provide direct child welfare |
services when not available
through other public or private |
child care or program facilities.
|
(a) For purposes of this Section:
|
(1) "Children" means persons found within the State who |
are under the
age of 18 years. The term also includes |
persons under age 21 who:
|
(A) were committed to the Department pursuant to |
the
Juvenile Court Act or the Juvenile Court Act of |
1987, as amended, prior to
the age of 18 and who |
continue under the jurisdiction of the court; or
|
(B) were accepted for care, service and training by
|
the Department prior to the age of 18 and whose best |
interest in the
discretion of the Department would be |
served by continuing that care,
service and training |
because of severe emotional disturbances, physical
|
|
disability, social adjustment or any combination |
thereof, or because of the
need to complete an |
educational or vocational training program.
|
(2) "Homeless youth" means persons found within the
|
State who are under the age of 19, are not in a safe and |
stable living
situation and cannot be reunited with their |
families.
|
(3) "Child welfare services" means public social |
services which are
directed toward the accomplishment of |
the following purposes:
|
(A) protecting and promoting the health, safety |
and welfare of
children,
including homeless, dependent |
or neglected children;
|
(B) remedying, or assisting in the solution
of |
problems which may result in, the neglect, abuse, |
exploitation or
delinquency of children;
|
(C) preventing the unnecessary separation of |
children
from their families by identifying family |
problems, assisting families in
resolving their |
problems, and preventing the breakup of the family
|
where the prevention of child removal is desirable and |
possible when the
child can be cared for at home |
without endangering the child's health and
safety;
|
(D) restoring to their families children who have |
been
removed, by the provision of services to the child |
and the families when the
child can be cared for at |
|
home without endangering the child's health and
|
safety;
|
(E) placing children in suitable adoptive homes, |
in
cases where restoration to the biological family is |
not safe, possible or
appropriate;
|
(F) assuring safe and adequate care of children |
away from their
homes, in cases where the child cannot |
be returned home or cannot be placed
for adoption. At |
the time of placement, the Department shall consider
|
concurrent planning,
as described in subsection (l-1) |
of this Section so that permanency may
occur at the |
earliest opportunity. Consideration should be given so |
that if
reunification fails or is delayed, the |
placement made is the best available
placement to |
provide permanency for the child;
|
(G) (blank);
|
(H) (blank); and
|
(I) placing and maintaining children in facilities |
that provide
separate living quarters for children |
under the age of 18 and for children
18 years of age |
and older, unless a child 18 years of age is in the |
last
year of high school education or vocational |
training, in an approved
individual or group treatment |
program, in a licensed shelter facility,
or secure |
child care facility.
The Department is not required to |
place or maintain children:
|
|
(i) who are in a foster home, or
|
(ii) who are persons with a developmental |
disability, as defined in
the Mental
Health and |
Developmental Disabilities Code, or
|
(iii) who are female children who are |
pregnant, pregnant and
parenting or parenting, or
|
(iv) who are siblings, in facilities that |
provide separate living quarters for children 18
|
years of age and older and for children under 18 |
years of age.
|
(b) Nothing in this Section shall be construed to authorize |
the
expenditure of public funds for the purpose of performing |
abortions.
|
(c) The Department shall establish and maintain |
tax-supported child
welfare services and extend and seek to |
improve voluntary services
throughout the State, to the end |
that services and care shall be available
on an equal basis |
throughout the State to children requiring such services.
|
(d) The Director may authorize advance disbursements for |
any new program
initiative to any agency contracting with the |
Department. As a
prerequisite for an advance disbursement, the |
contractor must post a
surety bond in the amount of the advance |
disbursement and have a
purchase of service contract approved |
by the Department. The Department
may pay up to 2 months |
operational expenses in advance. The amount of the
advance |
disbursement shall be prorated over the life of the contract
or |
|
the remaining months of the fiscal year, whichever is less, and |
the
installment amount shall then be deducted from future |
bills. Advance
disbursement authorizations for new initiatives |
shall not be made to any
agency after that agency has operated |
during 2 consecutive fiscal years.
The requirements of this |
Section concerning advance disbursements shall
not apply with |
respect to the following: payments to local public agencies
for |
child day care services as authorized by Section 5a of this |
Act; and
youth service programs receiving grant funds under |
Section 17a-4.
|
(e) (Blank).
|
(f) (Blank).
|
(g) The Department shall establish rules and regulations |
concerning
its operation of programs designed to meet the goals |
of child safety and
protection,
family preservation, family |
reunification, and adoption, including but not
limited to:
|
(1) adoption;
|
(2) foster care;
|
(3) family counseling;
|
(4) protective services;
|
(5) (blank);
|
(6) homemaker service;
|
(7) return of runaway children;
|
(8) (blank);
|
(9) placement under Section 5-7 of the Juvenile Court |
Act or
Section 2-27, 3-28, 4-25 or 5-740 of the Juvenile |
|
Court Act of 1987 in
accordance with the federal Adoption |
Assistance and Child Welfare Act of
1980; and
|
(10) interstate services.
|
Rules and regulations established by the Department shall |
include
provisions for training Department staff and the staff |
of Department
grantees, through contracts with other agencies |
or resources, in alcohol
and drug abuse screening techniques |
approved by the Department of Human
Services, as a successor to |
the Department of Alcoholism and Substance Abuse,
for the |
purpose of identifying children and adults who
should be |
referred to an alcohol and drug abuse treatment program for
|
professional evaluation.
|
(h) If the Department finds that there is no appropriate |
program or
facility within or available to the Department for a |
ward and that no
licensed private facility has an adequate and |
appropriate program or none
agrees to accept the ward, the |
Department shall create an appropriate
individualized, |
program-oriented plan for such ward. The
plan may be developed |
within the Department or through purchase of services
by the |
Department to the extent that it is within its statutory |
authority
to do.
|
(i) Service programs shall be available throughout the |
State and shall
include but not be limited to the following |
services:
|
(1) case management;
|
(2) homemakers;
|
|
(3) counseling;
|
(4) parent education;
|
(5) day care; and
|
(6) emergency assistance and advocacy.
|
In addition, the following services may be made available |
to assess and
meet the needs of children and families:
|
(1) comprehensive family-based services;
|
(2) assessments;
|
(3) respite care; and
|
(4) in-home health services.
|
The Department shall provide transportation for any of the |
services it
makes available to children or families or for |
which it refers children
or families.
|
(j) The Department may provide categories of financial |
assistance and
education assistance grants, and shall
|
establish rules and regulations concerning the assistance and |
grants, to
persons who
adopt physically or mentally |
handicapped, older and other hard-to-place
children who (i) |
immediately prior to their adoption were legal wards of
the |
Department
or (ii) were determined eligible for financial |
assistance with respect to a
prior adoption and who become |
available for adoption because the
prior adoption has been |
dissolved and the parental rights of the adoptive
parents have |
been
terminated or because the child's adoptive parents have |
died.
The Department may continue to provide financial |
assistance and education assistance grants for a child who was |
|
determined eligible for financial assistance under this |
subsection (j) in the interim period beginning when the child's |
adoptive parents died and ending with the finalization of the |
new adoption of the child by another adoptive parent or |
parents. The Department may also provide categories of |
financial
assistance and education assistance grants, and
|
shall establish rules and regulations for the assistance and |
grants, to persons
appointed guardian of the person under |
Section 5-7 of the Juvenile Court
Act or Section 2-27, 3-28, |
4-25 or 5-740 of the Juvenile Court Act of 1987
for children |
who were wards of the Department for 12 months immediately
|
prior to the appointment of the guardian.
|
The amount of assistance may vary, depending upon the needs |
of the child
and the adoptive parents,
as set forth in the |
annual
assistance agreement. Special purpose grants are |
allowed where the child
requires special service but such costs |
may not exceed the amounts
which similar services would cost |
the Department if it were to provide or
secure them as guardian |
of the child.
|
Any financial assistance provided under this subsection is
|
inalienable by assignment, sale, execution, attachment, |
garnishment, or any
other remedy for recovery or collection of |
a judgment or debt.
|
(j-5) The Department shall not deny or delay the placement |
of a child for
adoption
if an approved family is available |
either outside of the Department region
handling the case,
or |
|
outside of the State of Illinois.
|
(k) The Department shall accept for care and training any |
child who has
been adjudicated neglected or abused, or |
dependent committed to it pursuant
to the Juvenile Court Act or |
the Juvenile Court Act of 1987.
|
(l) The Department shall
offer family preservation |
services, as defined in Section 8.2 of the Abused
and
Neglected |
Child
Reporting Act, to help families, including adoptive and |
extended families.
Family preservation
services shall be |
offered (i) to prevent the
placement
of children in
substitute |
care when the children can be cared for at home or in the |
custody of
the person
responsible for the children's welfare,
|
(ii) to
reunite children with their families, or (iii) to
|
maintain an adoptive placement. Family preservation services |
shall only be
offered when doing so will not endanger the |
children's health or safety. With
respect to children who are |
in substitute care pursuant to the Juvenile Court
Act of 1987, |
family preservation services shall not be offered if a goal |
other
than those of subdivisions (A), (B), or (B-1) of |
subsection (2) of Section 2-28
of
that Act has been set.
|
Nothing in this paragraph shall be construed to create a |
private right of
action or claim on the part of any individual |
or child welfare agency, except that when a child is the |
subject of an action under Article II of the Juvenile Court Act |
of 1987 and the child's service plan calls for services to |
facilitate achievement of the permanency goal, the court |
|
hearing the action under Article II of the Juvenile Court Act |
of 1987 may order the Department to provide the services set |
out in the plan, if those services are not provided with |
reasonable promptness and if those services are available.
|
The Department shall notify the child and his family of the
|
Department's
responsibility to offer and provide family |
preservation services as
identified in the service plan. The |
child and his family shall be eligible
for services as soon as |
the report is determined to be "indicated". The
Department may |
offer services to any child or family with respect to whom a
|
report of suspected child abuse or neglect has been filed, |
prior to
concluding its investigation under Section 7.12 of the |
Abused and Neglected
Child Reporting Act. However, the child's |
or family's willingness to
accept services shall not be |
considered in the investigation. The
Department may also |
provide services to any child or family who is the
subject of |
any report of suspected child abuse or neglect or may refer |
such
child or family to services available from other agencies |
in the community,
even if the report is determined to be |
unfounded, if the conditions in the
child's or family's home |
are reasonably likely to subject the child or
family to future |
reports of suspected child abuse or neglect. Acceptance
of such |
services shall be voluntary. The Department may also provide |
services to any child or family after completion of a family |
assessment, as an alternative to an investigation, as provided |
under the "differential response program" provided for in |
|
subsection (a-5) of Section 7.4 of the Abused and Neglected |
Child Reporting Act.
|
The Department may, at its discretion except for those |
children also
adjudicated neglected or dependent, accept for |
care and training any child
who has been adjudicated addicted, |
as a truant minor in need of
supervision or as a minor |
requiring authoritative intervention, under the
Juvenile Court |
Act or the Juvenile Court Act of 1987, but no such child
shall |
be committed to the Department by any court without the |
approval of
the Department. A minor charged with a criminal |
offense under the Criminal
Code of 1961 or the Criminal Code of |
2012 or adjudicated delinquent shall not be placed in the |
custody of or
committed to the Department by any court, except |
(i) a minor less than 15 years
of age committed to the |
Department under Section 5-710 of the Juvenile Court
Act
of |
1987, (ii) a minor for whom an independent basis of abuse, |
neglect, or dependency exists, which must be defined by |
departmental rule, or (iii) a minor for whom the court has |
granted a supplemental petition to reinstate wardship pursuant |
to subsection (2) of Section 2-33 of the Juvenile Court Act of |
1987. An independent basis exists when the allegations or |
adjudication of abuse, neglect, or dependency do not arise from |
the same facts, incident, or circumstances which give rise to a |
charge or adjudication of delinquency.
|
As soon as is possible after August 7, 2009 (the effective |
date of Public Act 96-134), the Department shall develop and |
|
implement a special program of family preservation services to |
support intact, foster, and adoptive families who are |
experiencing extreme hardships due to the difficulty and stress |
of caring for a child who has been diagnosed with a pervasive |
developmental disorder if the Department determines that those |
services are necessary to ensure the health and safety of the |
child. The Department may offer services to any family whether |
or not a report has been filed under the Abused and Neglected |
Child Reporting Act. The Department may refer the child or |
family to services available from other agencies in the |
community if the conditions in the child's or family's home are |
reasonably likely to subject the child or family to future |
reports of suspected child abuse or neglect. Acceptance of |
these services shall be voluntary. The Department shall develop |
and implement a public information campaign to alert health and |
social service providers and the general public about these |
special family preservation services. The nature and scope of |
the services offered and the number of families served under |
the special program implemented under this paragraph shall be |
determined by the level of funding that the Department annually |
allocates for this purpose. The term "pervasive developmental |
disorder" under this paragraph means a neurological condition, |
including but not limited to, Asperger's Syndrome and autism, |
as defined in the most recent edition of the Diagnostic and |
Statistical Manual of Mental Disorders of the American |
Psychiatric Association. |
|
(l-1) The legislature recognizes that the best interests of |
the child
require that
the child be placed in the most |
permanent living arrangement as soon as is
practically
|
possible. To achieve this goal, the legislature directs the |
Department of
Children and
Family Services to conduct |
concurrent planning so that permanency may occur at
the
|
earliest opportunity. Permanent living arrangements may |
include prevention of
placement of a child outside the home of |
the family when the child can be cared
for at
home without |
endangering the child's health or safety; reunification with |
the
family,
when safe and appropriate, if temporary placement |
is necessary; or movement of
the child
toward the most |
permanent living arrangement and permanent legal status.
|
When determining reasonable efforts to be made with respect |
to a child, as
described in this
subsection, and in making such |
reasonable efforts, the child's health and
safety shall be the
|
paramount concern.
|
When a child is placed in foster care, the Department shall |
ensure and
document that reasonable efforts were made to |
prevent or eliminate the need to
remove the child from the |
child's home. The Department must make
reasonable efforts to |
reunify the family when temporary placement of the child
occurs
|
unless otherwise required, pursuant to the Juvenile Court Act |
of 1987.
At any time after the dispositional hearing where the |
Department believes
that further reunification services would |
be ineffective, it may request a
finding from the court that |
|
reasonable efforts are no longer appropriate. The
Department is |
not required to provide further reunification services after |
such
a
finding.
|
A decision to place a child in substitute care shall be |
made with
considerations of the child's health, safety, and |
best interests. At the
time of placement, consideration should |
also be given so that if reunification
fails or is delayed, the |
placement made is the best available placement to
provide |
permanency for the child.
|
The Department shall adopt rules addressing concurrent |
planning for
reunification and permanency. The Department |
shall consider the following
factors when determining |
appropriateness of concurrent planning:
|
(1) the likelihood of prompt reunification;
|
(2) the past history of the family;
|
(3) the barriers to reunification being addressed by |
the family;
|
(4) the level of cooperation of the family;
|
(5) the foster parents' willingness to work with the |
family to reunite;
|
(6) the willingness and ability of the foster family to |
provide an
adoptive
home or long-term placement;
|
(7) the age of the child;
|
(8) placement of siblings.
|
(m) The Department may assume temporary custody of any |
child if:
|
|
(1) it has received a written consent to such temporary |
custody
signed by the parents of the child or by the parent |
having custody of the
child if the parents are not living |
together or by the guardian or
custodian of the child if |
the child is not in the custody of either
parent, or
|
(2) the child is found in the State and neither a |
parent,
guardian nor custodian of the child can be located.
|
If the child is found in his or her residence without a parent, |
guardian,
custodian or responsible caretaker, the Department |
may, instead of removing
the child and assuming temporary |
custody, place an authorized
representative of the Department |
in that residence until such time as a
parent, guardian or |
custodian enters the home and expresses a willingness
and |
apparent ability to ensure the child's health and safety and |
resume
permanent
charge of the child, or until a
relative |
enters the home and is willing and able to ensure the child's |
health
and
safety and assume charge of the
child until a |
parent, guardian or custodian enters the home and expresses
|
such willingness and ability to ensure the child's safety and |
resume
permanent charge. After a caretaker has remained in the |
home for a period not
to exceed 12 hours, the Department must |
follow those procedures outlined in
Section 2-9, 3-11, 4-8, or |
5-415 of the Juvenile Court Act
of 1987.
|
The Department shall have the authority, responsibilities |
and duties that
a legal custodian of the child would have |
pursuant to subsection (9) of
Section 1-3 of the Juvenile Court |
|
Act of 1987. Whenever a child is taken
into temporary custody |
pursuant to an investigation under the Abused and
Neglected |
Child Reporting Act, or pursuant to a referral and acceptance
|
under the Juvenile Court Act of 1987 of a minor in limited |
custody, the
Department, during the period of temporary custody |
and before the child
is brought before a judicial officer as |
required by Section 2-9, 3-11,
4-8, or 5-415 of the Juvenile |
Court Act of 1987, shall have
the authority, responsibilities |
and duties that a legal custodian of the child
would have under |
subsection (9) of Section 1-3 of the Juvenile Court Act of
|
1987.
|
The Department shall ensure that any child taken into |
custody
is scheduled for an appointment for a medical |
examination.
|
A parent, guardian or custodian of a child in the temporary |
custody of the
Department who would have custody of the child |
if he were not in the
temporary custody of the Department may |
deliver to the Department a signed
request that the Department |
surrender the temporary custody of the child.
The Department |
may retain temporary custody of the child for 10 days after
the |
receipt of the request, during which period the Department may |
cause to
be filed a petition pursuant to the Juvenile Court Act |
of 1987. If a
petition is so filed, the Department shall retain |
temporary custody of the
child until the court orders |
otherwise. If a petition is not filed within
the 10 day period, |
the child shall be surrendered to the custody of the
requesting |
|
parent, guardian or custodian not later than the expiration of
|
the 10 day period, at which time the authority and duties of |
the Department
with respect to the temporary custody of the |
child shall terminate.
|
(m-1) The Department may place children under 18 years of |
age in a secure
child care facility licensed by the Department |
that cares for children who are
in need of secure living |
arrangements for their health, safety, and well-being
after a |
determination is made by the facility director and the Director |
or the
Director's designate prior to admission to the facility |
subject to Section
2-27.1 of the Juvenile Court Act of 1987. |
This subsection (m-1) does not apply
to a child who is subject |
to placement in a correctional facility operated
pursuant to |
Section 3-15-2 of the Unified Code of Corrections, unless the
|
child is a ward who was placed under the care of the Department |
before being
subject to placement in a correctional facility |
and a court of competent
jurisdiction has ordered placement of |
the child in a secure care facility.
|
(n) The Department may place children under 18 years of age |
in
licensed child care facilities when in the opinion of the |
Department,
appropriate services aimed at family preservation |
have been unsuccessful and
cannot ensure the child's health and |
safety or are unavailable and such
placement would be for their |
best interest. Payment
for board, clothing, care, training and |
supervision of any child placed in
a licensed child care |
facility may be made by the Department, by the
parents or |
|
guardians of the estates of those children, or by both the
|
Department and the parents or guardians, except that no |
payments shall be
made by the Department for any child placed |
in a licensed child care
facility for board, clothing, care, |
training and supervision of such a
child that exceed the |
average per capita cost of maintaining and of caring
for a |
child in institutions for dependent or neglected children |
operated by
the Department. However, such restriction on |
payments does not apply in
cases where children require |
specialized care and treatment for problems of
severe emotional |
disturbance, physical disability, social adjustment, or
any |
combination thereof and suitable facilities for the placement |
of such
children are not available at payment rates within the |
limitations set
forth in this Section. All reimbursements for |
services delivered shall be
absolutely inalienable by |
assignment, sale, attachment, garnishment or
otherwise.
|
(n-1) The Department shall provide or authorize child |
welfare services, aimed at assisting minors to achieve |
sustainable self-sufficiency as independent adults, for any |
minor eligible for the reinstatement of wardship pursuant to |
subsection (2) of Section 2-33 of the Juvenile Court Act of |
1987, whether or not such reinstatement is sought or allowed, |
provided that the minor consents to such services and has not |
yet attained the age of 21. The Department shall have |
responsibility for the development and delivery of services |
under this Section. An eligible youth may access services under |
|
this Section through the Department of Children and Family |
Services or by referral from the Department of Human Services. |
Youth participating in services under this Section shall |
cooperate with the assigned case manager in developing an |
agreement identifying the services to be provided and how the |
youth will increase skills to achieve self-sufficiency. A |
homeless shelter is not considered appropriate housing for any |
youth receiving child welfare services under this Section. The |
Department shall continue child welfare services under this |
Section to any eligible minor until the minor becomes 21 years |
of age, no longer consents to participate, or achieves |
self-sufficiency as identified in the minor's service plan. The |
Department of Children and Family Services shall create clear, |
readable notice of the rights of former foster youth to child |
welfare services under this Section and how such services may |
be obtained. The Department of Children and Family Services and |
the Department of Human Services shall disseminate this |
information statewide. The Department shall adopt regulations |
describing services intended to assist minors in achieving |
sustainable self-sufficiency as independent adults. |
(o) The Department shall establish an administrative |
review and appeal
process for children and families who request |
or receive child welfare
services from the Department. Children |
who are wards of the Department and
are placed by private child |
welfare agencies, and foster families with whom
those children |
are placed, shall be afforded the same procedural and appeal
|
|
rights as children and families in the case of placement by the |
Department,
including the right to an initial review of a |
private agency decision by
that agency. The Department shall |
insure that any private child welfare
agency, which accepts |
wards of the Department for placement, affords those
rights to |
children and foster families. The Department shall accept for
|
administrative review and an appeal hearing a complaint made by |
(i) a child
or foster family concerning a decision following an |
initial review by a
private child welfare agency or (ii) a |
prospective adoptive parent who alleges
a violation of |
subsection (j-5) of this Section. An appeal of a decision
|
concerning a change in the placement of a child shall be |
conducted in an
expedited manner. A court determination that a |
current foster home placement is necessary and appropriate |
under Section 2-28 of the Juvenile Court Act of 1987 does not |
constitute a judicial determination on the merits of an |
administrative appeal, filed by a former foster parent, |
involving a change of placement decision.
|
(p) There is hereby created the Department of Children and |
Family
Services Emergency Assistance Fund from which the |
Department may provide
special financial assistance to |
families which are in economic crisis when
such assistance is |
not available through other public or private sources
and the |
assistance is deemed necessary to prevent dissolution of the |
family
unit or to reunite families which have been separated |
due to child abuse and
neglect. The Department shall establish |
|
administrative rules specifying
the criteria for determining |
eligibility for and the amount and nature of
assistance to be |
provided. The Department may also enter into written
agreements |
with private and public social service agencies to provide
|
emergency financial services to families referred by the |
Department.
Special financial assistance payments shall be |
available to a family no
more than once during each fiscal year |
and the total payments to a
family may not exceed $500 during a |
fiscal year.
|
(q) The Department may receive and use, in their entirety, |
for the
benefit of children any gift, donation or bequest of |
money or other
property which is received on behalf of such |
children, or any financial
benefits to which such children are |
or may become entitled while under
the jurisdiction or care of |
the Department.
|
The Department shall set up and administer no-cost, |
interest-bearing accounts in appropriate financial |
institutions
for children for whom the Department is legally |
responsible and who have been
determined eligible for Veterans' |
Benefits, Social Security benefits,
assistance allotments from |
the armed forces, court ordered payments, parental
voluntary |
payments, Supplemental Security Income, Railroad Retirement
|
payments, Black Lung benefits, or other miscellaneous |
payments. Interest
earned by each account shall be credited to |
the account, unless
disbursed in accordance with this |
subsection.
|
|
In disbursing funds from children's accounts, the |
Department
shall:
|
(1) Establish standards in accordance with State and |
federal laws for
disbursing money from children's |
accounts. In all
circumstances,
the Department's |
"Guardianship Administrator" or his or her designee must
|
approve disbursements from children's accounts. The |
Department
shall be responsible for keeping complete |
records of all disbursements for each account for any |
purpose.
|
(2) Calculate on a monthly basis the amounts paid from |
State funds for the
child's board and care, medical care |
not covered under Medicaid, and social
services; and |
utilize funds from the child's account, as
covered by |
regulation, to reimburse those costs. Monthly, |
disbursements from
all children's accounts, up to 1/12 of |
$13,000,000, shall be
deposited by the Department into the |
General Revenue Fund and the balance over
1/12 of |
$13,000,000 into the DCFS Children's Services Fund.
|
(3) Maintain any balance remaining after reimbursing |
for the child's costs
of care, as specified in item (2). |
The balance shall accumulate in accordance
with relevant |
State and federal laws and shall be disbursed to the child |
or his
or her guardian, or to the issuing agency.
|
(r) The Department shall promulgate regulations |
encouraging all adoption
agencies to voluntarily forward to the |
|
Department or its agent names and
addresses of all persons who |
have applied for and have been approved for
adoption of a |
hard-to-place or handicapped child and the names of such
|
children who have not been placed for adoption. A list of such |
names and
addresses shall be maintained by the Department or |
its agent, and coded
lists which maintain the confidentiality |
of the person seeking to adopt the
child and of the child shall |
be made available, without charge, to every
adoption agency in |
the State to assist the agencies in placing such
children for |
adoption. The Department may delegate to an agent its duty to
|
maintain and make available such lists. The Department shall |
ensure that
such agent maintains the confidentiality of the |
person seeking to adopt the
child and of the child.
|
(s) The Department of Children and Family Services may |
establish and
implement a program to reimburse Department and |
private child welfare
agency foster parents licensed by the |
Department of Children and Family
Services for damages |
sustained by the foster parents as a result of the
malicious or |
negligent acts of foster children, as well as providing third
|
party coverage for such foster parents with regard to actions |
of foster
children to other individuals. Such coverage will be |
secondary to the
foster parent liability insurance policy, if |
applicable. The program shall
be funded through appropriations |
from the General Revenue Fund,
specifically designated for such |
purposes.
|
(t) The Department shall perform home studies and |
|
investigations and
shall exercise supervision over visitation |
as ordered by a court pursuant
to the Illinois Marriage and |
Dissolution of Marriage Act or the Adoption
Act only if:
|
(1) an order entered by an Illinois court specifically
|
directs the Department to perform such services; and
|
(2) the court has ordered one or both of the parties to
|
the proceeding to reimburse the Department for its |
reasonable costs for
providing such services in accordance |
with Department rules, or has
determined that neither party |
is financially able to pay.
|
The Department shall provide written notification to the |
court of the
specific arrangements for supervised visitation |
and projected monthly costs
within 60 days of the court order. |
The Department shall send to the court
information related to |
the costs incurred except in cases where the court
has |
determined the parties are financially unable to pay. The court |
may
order additional periodic reports as appropriate.
|
(u) In addition to other information that must be provided, |
whenever the Department places a child with a prospective |
adoptive parent or parents or in a licensed foster home,
group |
home, child care institution, or in a relative home, the |
Department
shall provide to the prospective adoptive parent or |
parents or other caretaker:
|
(1) available detailed information concerning the |
child's educational
and health history, copies of |
immunization records (including insurance
and medical card |
|
information), a history of the child's previous |
placements,
if any, and reasons for placement changes |
excluding any information that
identifies or reveals the |
location of any previous caretaker;
|
(2) a copy of the child's portion of the client service |
plan, including
any visitation arrangement, and all |
amendments or revisions to it as
related to the child; and
|
(3) information containing details of the child's |
individualized
educational plan when the child is |
receiving special education services.
|
The caretaker shall be informed of any known social or |
behavioral
information (including, but not limited to, |
criminal background, fire
setting, perpetuation of
sexual |
abuse, destructive behavior, and substance abuse) necessary to |
care
for and safeguard the children to be placed or currently |
in the home. The Department may prepare a written summary of |
the information required by this paragraph, which may be |
provided to the foster or prospective adoptive parent in |
advance of a placement. The foster or prospective adoptive |
parent may review the supporting documents in the child's file |
in the presence of casework staff. In the case of an emergency |
placement, casework staff shall at least provide known |
information verbally, if necessary, and must subsequently |
provide the information in writing as required by this |
subsection.
|
The information described in this subsection shall be |
|
provided in writing. In the case of emergency placements when |
time does not allow prior review, preparation, and collection |
of written information, the Department shall provide such |
information as it becomes available. Within 10 business days |
after placement, the Department shall obtain from the |
prospective adoptive parent or parents or other caretaker a |
signed verification of receipt of the information provided. |
Within 10 business days after placement, the Department shall |
provide to the child's guardian ad litem a copy of the |
information provided to the prospective adoptive parent or |
parents or other caretaker. The information provided to the |
prospective adoptive parent or parents or other caretaker shall |
be reviewed and approved regarding accuracy at the supervisory |
level.
|
(u-5) Effective July 1, 1995, only foster care placements |
licensed as
foster family homes pursuant to the Child Care Act |
of 1969 shall be eligible to
receive foster care payments from |
the Department.
Relative caregivers who, as of July 1, 1995, |
were approved pursuant to approved
relative placement rules |
previously promulgated by the Department at 89 Ill.
Adm. Code |
335 and had submitted an application for licensure as a foster |
family
home may continue to receive foster care payments only |
until the Department
determines that they may be licensed as a |
foster family home or that their
application for licensure is |
denied or until September 30, 1995, whichever
occurs first.
|
(v) The Department shall access criminal history record |
|
information
as defined in the Illinois Uniform Conviction |
Information Act and information
maintained in the adjudicatory |
and dispositional record system as defined in
Section 2605-355 |
of the
Department of State Police Law (20 ILCS 2605/2605-355)
|
if the Department determines the information is necessary to |
perform its duties
under the Abused and Neglected Child |
Reporting Act, the Child Care Act of 1969,
and the Children and |
Family Services Act. The Department shall provide for
|
interactive computerized communication and processing |
equipment that permits
direct on-line communication with the |
Department of State Police's central
criminal history data |
repository. The Department shall comply with all
certification |
requirements and provide certified operators who have been
|
trained by personnel from the Department of State Police. In |
addition, one
Office of the Inspector General investigator |
shall have training in the use of
the criminal history |
information access system and have
access to the terminal. The |
Department of Children and Family Services and its
employees |
shall abide by rules and regulations established by the |
Department of
State Police relating to the access and |
dissemination of
this information.
|
(v-1) Prior to final approval for placement of a child, the |
Department shall conduct a criminal records background check of |
the prospective foster or adoptive parent, including |
fingerprint-based checks of national crime information |
databases. Final approval for placement shall not be granted if |
|
the record check reveals a felony conviction for child abuse or |
neglect, for spousal abuse, for a crime against children, or |
for a crime involving violence, including rape, sexual assault, |
or homicide, but not including other physical assault or |
battery, or if there is a felony conviction for physical |
assault, battery, or a drug-related offense committed within |
the past 5 years. |
(v-2) Prior to final approval for placement of a child, the |
Department shall check its child abuse and neglect registry for |
information concerning prospective foster and adoptive |
parents, and any adult living in the home. If any prospective |
foster or adoptive parent or other adult living in the home has |
resided in another state in the preceding 5 years, the |
Department shall request a check of that other state's child |
abuse and neglect registry.
|
(w) Within 120 days of August 20, 1995 (the effective date |
of Public Act
89-392), the Department shall prepare and submit |
to the Governor and the
General Assembly, a written plan for |
the development of in-state licensed
secure child care |
facilities that care for children who are in need of secure
|
living
arrangements for their health, safety, and well-being. |
For purposes of this
subsection, secure care facility shall |
mean a facility that is designed and
operated to ensure that |
all entrances and exits from the facility, a building
or a |
distinct part of the building, are under the exclusive control |
of the
staff of the facility, whether or not the child has the |
|
freedom of movement
within the perimeter of the facility, |
building, or distinct part of the
building. The plan shall |
include descriptions of the types of facilities that
are needed |
in Illinois; the cost of developing these secure care |
facilities;
the estimated number of placements; the potential |
cost savings resulting from
the movement of children currently |
out-of-state who are projected to be
returned to Illinois; the |
necessary geographic distribution of these
facilities in |
Illinois; and a proposed timetable for development of such
|
facilities. |
(x) The Department shall conduct annual credit history |
checks to determine the financial history of children placed |
under its guardianship pursuant to the Juvenile Court Act of |
1987. The Department shall conduct such credit checks starting |
when a ward turns 12 years old and each year thereafter for the |
duration of the guardianship as terminated pursuant to the |
Juvenile Court Act of 1987. The Department shall determine if |
financial exploitation of the child's personal information has |
occurred. If financial exploitation appears to have taken place |
or is presently ongoing, the Department shall notify the proper |
law enforcement agency, the proper State's Attorney, or the |
Attorney General. |
(y) Beginning on the effective date of this amendatory Act |
of the 96th General Assembly, a child with a disability who |
receives residential and educational services from the |
Department shall be eligible to receive transition services in |
|
accordance with Article 14 of the School Code from the age of |
14.5 through age 21, inclusive, notwithstanding the child's |
residential services arrangement. For purposes of this |
subsection, "child with a disability" means a child with a |
disability as defined by the federal Individuals with |
Disabilities Education Improvement Act of 2004. |
(z) The Department shall access criminal history record |
information as defined as "background information" in this |
subsection and criminal history record information as defined |
in the Illinois Uniform Conviction Information Act for each |
Department employee or Department applicant. Each Department |
employee or Department applicant shall submit his or her |
fingerprints to the Department of State Police in the form and |
manner prescribed by the Department of State Police. These |
fingerprints shall be checked against the fingerprint records |
now and hereafter filed in the Department of State Police and |
the Federal Bureau of Investigation criminal history records |
databases. The Department of State Police shall charge a fee |
for conducting the criminal history record check, which shall |
be deposited into the State Police Services Fund and shall not |
exceed the actual cost of the record check. The Department of |
State Police shall furnish, pursuant to positive |
identification, all Illinois conviction information to the |
Department of Children and Family Services. |
For purposes of this subsection: |
"Background information" means all of the following: |
|
(i) Upon the request of the Department of Children and |
Family Services, conviction information obtained from the |
Department of State Police as a result of a |
fingerprint-based criminal history records check of the |
Illinois criminal history records database and the Federal |
Bureau of Investigation criminal history records database |
concerning a Department employee or Department applicant. |
(ii) Information obtained by the Department of |
Children and Family Services after performing a check of |
the Department of State Police's Sex Offender Database, as |
authorized by Section 120 of the Sex Offender Community |
Notification Law, concerning a Department employee or |
Department applicant. |
(iii) Information obtained by the Department of |
Children and Family Services after performing a check of |
the Child Abuse and Neglect Tracking System (CANTS) |
operated and maintained by the Department. |
"Department employee" means a full-time or temporary |
employee coded or certified within the State of Illinois |
Personnel System. |
"Department applicant" means an individual who has |
conditional Department full-time or part-time work, a |
contractor, an individual used to replace or supplement staff, |
an academic intern, a volunteer in Department offices or on |
Department contracts, a work-study student, an individual or |
entity licensed by the Department, or an unlicensed service |
|
provider who works as a condition of a contract or an agreement |
and whose work may bring the unlicensed service provider into |
contact with Department clients or client records. |
(Source: P.A. 97-1150, eff. 1-25-13; 98-249, eff. 1-1-14; |
98-570, eff. 8-27-13; revised 9-4-13.) |
Section 70. The Department of Commerce and Economic |
Opportunity Law of the
Civil Administrative Code of Illinois is |
amended by changing Sections 605-300 and 605-320 as follows:
|
(20 ILCS 605/605-300) (was 20 ILCS 605/46.2)
|
Sec. 605-300. Economic and business development plans; |
Illinois Business Development Council. |
(a) Economic development plans. The Department shall |
develop a strategic economic development plan for the State by |
July 1, 2014. By no later than July 1, 2015, and by July 1 |
annually thereafter, the Department shall make modifications |
to the plan as modifications are warranted by changes in |
economic conditions or by other factors, including changes in |
policy. In addition to the annual modification, the plan shall |
be reviewed and redeveloped in full every 5 years. In the |
development of the annual economic development plan, the |
Department shall consult with representatives of the private |
sector, other State agencies, academic institutions, local |
economic development organizations, local governments, and |
not-for-profit organizations. The annual economic development |
|
plan shall set specific, measurable, attainable, relevant, and |
time-sensitive goals and shall include a focus on areas of high |
unemployment or poverty. |
The term "economic development" shall be construed broadly |
by the Department and may include, but is not limited to, job |
creation, job retention, tax base enhancements, development of |
human capital, workforce productivity, critical |
infrastructure, regional competitiveness, social inclusion, |
standard of living, environmental sustainability, energy |
independence, quality of life, the effective use of financial |
incentives, the utilization of public private partnerships |
where appropriate, and other metrics determined by the |
Department. |
The plan shall be based on relevant economic data, focus on |
economic development as prescribed by this Section, and |
emphasize strategies to retain and create jobs. |
The plan shall identify and develop specific strategies for |
utilizing the assets of regions within the State defined as |
counties and municipalities or other political subdivisions in |
close geographical proximity that share common economic traits |
such as commuting zones, labor market areas, or other |
economically integrated characteristics. |
If the plan includes strategies that have a fiscal impact |
on the Department or any other agency, the plan shall include a |
detailed description of the estimated fiscal impact of such |
strategies. |
|
Prior to publishing the plan in its final form, the |
Department shall allow for a reasonable time for public input. |
The Department shall transmit copies of the economic |
development plan to the Governor and the General Assembly no |
later than July 1, 2014, and by July 1 annually thereafter. The |
plan and its corresponding modifications shall be published and |
made available to the public in both paper and electronic |
media, on the Department's website, and by any other method |
that the Department deems appropriate. |
The Department shall annually submit legislation to |
implement the strategic economic development plan or |
modifications to the strategic economic development plan to the |
Governor, the President and Minority Leader of the Senate, and |
the Speaker and the Minority Leader of the House of |
Representatives. The legislation shall be in the form of one or |
more substantive bills drafted by the Legislative Reference |
Bureau. |
(b) Business development plans; Illinois Business |
Development Council. |
(1) There is created the Illinois Business Development |
Council, hereinafter referred to as the Council. The |
Council shall consist of the Director, who shall serve as |
co-chairperson, and 12 voting members who shall be |
appointed by the Governor with the advice and consent of |
the Senate. |
(A) The voting members of the Council shall include |
|
one representative from each of the following |
businesses and groups: small business, coal, |
healthcare, large manufacturing, small or specialized |
manufacturing, agriculture, high technology or applied |
science, local economic development entities, private |
sector organized labor, a local or state business |
association or chamber of commerce. |
(B) There shall be 2 at-large voting members who |
reside within areas of high unemployment within |
counties or municipalities that have had an annual |
average unemployment rate of at least 120% of the |
State's annual average unemployment rate as reported |
by the Department of Employment Security for the 5 |
years preceding the date of appointment. |
(2) All appointments shall be made in a geographically |
diverse manner. |
(3) For the initial appointments to the Council, 6 |
voting members shall be appointed to serve a 2-year term |
and 6 voting members shall be appointed to serve a 4-year |
term. Thereafter, all appointments shall be for terms of 4 |
years. The initial term of voting members shall commence on |
the first Wednesday in February 2014. Thereafter, the terms |
of voting members shall commence on the first Wednesday in |
February, except in the case of an appointment to fill a |
vacancy. Vacancies occurring among the members shall be |
filled in the same manner as the original appointment for |
|
the remainder of the unexpired term. For a vacancy |
occurring when the Senate is not in session, the Governor |
may make a temporary appointment until the next meeting of |
the Senate when a person shall be nominated to fill the |
office, and, upon confirmation by the Senate, he or she |
shall hold office during the remainder of the term. A |
vacancy in membership does not impair the ability of a |
quorum to exercise all rights and perform all duties of the |
Council. A member is eligible for reappointment. |
(4) Members shall serve without compensation, but may |
be reimbursed for necessary expenses incurred in the |
performance of their duties from funds appropriated for |
that purpose. |
(5) In addition, the following shall serve as ex |
officio, non-voting members of the Council in order to |
provide specialized advice and support to the Council: the |
Secretary of Transportation, or his or her designee; the |
Director of Employment Security, or his or her designee; |
the Executive Director of the Illinois Finance Authority, |
or his or her designee; the Director of Agriculture, or his |
or her designee; the Director of Revenue, or his or her |
designee; the Director of Labor, or his or her designee; |
and the Director of the Environmental Protection Agency, or |
his or her designee. Ex officio Ex-officio members shall |
provide staff and technical assistance to the Council when |
appropriate. |
|
(6) In addition to the Director, the voting members |
shall elect a co-chairperson. |
(7) The Council shall meet at least twice annually and |
at such other times as the co-chairpersons or any 5 voting |
members consider necessary. Seven voting members shall |
constitute a quorum of the Council. |
(8) The Department shall provide staff assistance to |
the Council. |
(9) The Council shall provide the Department relevant |
information in a timely manner pursuant to its duties as |
enumerated in
this Section that can be used by the |
Department to enhance the State's strategic economic |
development plan. |
(10) The Council shall: |
(A) Develop an overall strategic business |
development plan for the State of Illinois and update |
the plan at least annually. |
(B) Develop business marketing plans for the State |
of Illinois to effectively solicit new company |
investment and existing business expansion. Insofar as |
allowed under the Illinois Procurement Code, and |
subject to appropriations made by the General Assembly |
for such purposes, the Council may assist the |
Department in the procurement of outside vendors to |
carry out such marketing plans. |
(C) Seek input from local economic development |
|
officials to develop specific strategies to |
effectively link State and local business development |
and marketing efforts focusing on areas of high |
unemployment or poverty. |
(D) Provide the Department with advice on |
strategic business development
and business marketing |
for the State of Illinois. |
(E) Provide the Department research and recommend |
best practices for developing investment tools for |
business attraction and retention.
|
(Source: P.A. 98-397, eff. 8-16-13; revised 10-8-13.)
|
(20 ILCS 605/605-320) (was 20 ILCS 605/46.5)
|
Sec. 605-320. Encouragement of existing industries. To |
encourage
the growth and expansion of industries now existing
|
within the State by providing comprehensive business services |
and promoting
interdepartmental cooperation for assistance to |
industries.
|
As a condition of any financial incentives provided by the |
Department in the form of (1) tax credits and tax exemptions |
(other than given under tax increment financing) given as an |
incentive to a recipient business organization pursuant to an |
initial certification or an initial designation made by the |
Department under the Economic Development for a Growing Economy |
Tax Credit Act, the River Edge Redevelopment Zone Act, and the |
Illinois Enterprise Zone Act, including the High Impact |
|
Business program, (2) grants or loans given to a recipient as |
an incentive to a business organization pursuant to the River |
Edge Redevelopment Zone Act, the Large Business Development |
Program, the Business Development Public Infrastructure |
Program, or the Industrial Training Program, the Department |
shall require the recipient of such financial incentives to |
report at least quarterly the number of jobs to be created or |
retained, or both created and retained, by the recipient as a |
result of the financial incentives, including the number of |
full-time, permanent jobs, the number of part-time jobs, and |
the number of temporary jobs. Further, the recipient of such |
financial incentives shall provide the Department at least |
annually a detailed list of the occupation or job |
classifications and number of new employees or retained |
employees to be hired in full-time, permanent jobs, a schedule |
of anticipated starting dates of the new hires and the actual |
average wage by occupation or job classification and total |
payroll to be created as a result of the financial incentives. |
(Source: P.A. 98-397, eff. 8-16-13; revised 10-8-13.)
|
Section 75. The Lake Michigan Wind Energy Act is amended by |
changing Section 20 as follows: |
(20 ILCS 896/20)
|
Sec. 20. Offshore Wind Energy Economic Development Policy |
Task Force. |
|
(a) The Governor shall convene an Offshore Wind Energy |
Economic Development Policy Task Force, to be chaired by the |
Director of Commerce and Economic Opportunity, or his or her |
designee, to analyze and evaluate policy and economic options |
to facilitate the development of offshore wind energy, and to |
propose an appropriate Illinois mechanism for purchasing and |
selling power from possible offshore wind energy projects. The |
Task Force shall examine mechanisms used in other states and |
jurisdictions, including, without limitation, feed-in tariffs |
feed-in-tariffs , renewable energy certificates, renewable |
energy certificate carve-outs, power purchase agreements, and |
pilot projects. The Task Force shall report its findings and |
recommendations to the Governor and General Assembly by |
December 31, 2013.
|
(b) The Director of the Illinois Power Agency (or his or |
her designee), the Executive Director of the Illinois Commerce |
Commission (or his or her designee), the Director of Natural |
Resources (or his or her designee), and the Attorney General |
(or his or her designee) shall serve as ex officio members of |
the Task Force.
|
(c) The Governor shall appoint the following public members |
to serve on the Task Force:
|
(1) one individual from an institution of higher |
education in Illinois representing the discipline of |
economics with experience in the study of renewable energy;
|
(2) one individual representing an energy industry |
|
with experience in renewable energy markets;
|
(3) one individual representing a Statewide consumer |
or electric ratepayer organization;
|
(4) one individual representing the offshore wind |
energy industry;
|
(5) one individual representing the wind energy supply |
chain industry;
|
(6) one individual representing an Illinois electrical |
cooperative, municipal electrical utility, or association |
of such cooperatives or utilities;
|
(7) one individual representing an Illinois industrial |
union involved in the construction, maintenance, or |
transportation of electrical generation, distribution, or |
transmission equipment or components;
|
(8) one individual representing an Illinois commercial |
or industrial electrical consumer;
|
(9) one individual representing an Illinois public |
education electrical consumer;
|
(10) one individual representing an independent |
transmission company;
|
(11) one individual from the Illinois legal community |
with experience in contracts, utility law, municipal law, |
and constitutional law;
|
(12) one individual representing a Great Lakes |
regional organization with experience assessing or |
studying wind energy;
|
|
(13) one individual representing a Statewide |
environmental organization; |
(14) one resident of the State representing an |
organization advocating for persons of low or limited |
incomes;
|
(15) one individual representing Argonne National |
Laboratory; and
|
(16) one individual representing a local community |
that has aggregated the purchase of electricity.
|
(d) The Governor may appoint additional public members to |
the Task Force. |
(e) The Speaker of the House of Representatives, Minority |
Leader of the House of Representatives,
Senate President, and |
Minority Leader of the Senate shall each appoint one member of |
the General Assembly to serve on the Task Force.
|
(f) Members of the Task Force shall serve without |
compensation.
|
(Source: P.A. 98-447, eff. 8-16-13; revised 10-7-13.) |
Section 80. The Mental Health and Developmental |
Disabilities Administrative Act is amended by changing Section |
14 as follows:
|
(20 ILCS 1705/14) (from Ch. 91 1/2, par. 100-14)
|
Sec. 14. Chester Mental Health Center. To maintain and |
operate a
facility for the care, custody, and treatment of |
|
persons with mental
illness or habilitation of persons with |
developmental disabilities hereinafter
designated, to be known |
as the Chester Mental Health Center.
|
Within the Chester Mental Health Center there shall be |
confined the
following classes of persons, whose history, in |
the opinion of the
Department, discloses dangerous or violent |
tendencies and who, upon
examination under the direction of the |
Department, have been found a fit
subject for confinement in |
that facility:
|
(a) Any male person who is charged with the commission |
of a
crime but has been acquitted by reason of insanity as |
provided in Section
5-2-4 of the Unified Code of |
Corrections.
|
(b) Any male person who is charged with the commission |
of
a crime but has been found unfit under Article 104 of |
the Code of Criminal
Procedure of 1963.
|
(c) Any male person with mental illness or |
developmental disabilities or
person in need of mental |
treatment now confined under the supervision of the
|
Department or hereafter
admitted to any facility thereof or |
committed thereto by any court of competent
jurisdiction.
|
If and when it shall appear to the facility director of the |
Chester Mental
Health Center that it is necessary to confine |
persons in order to maintain
security or provide for the |
protection and safety of recipients and staff, the
Chester |
Mental Health Center may confine all persons on a unit to their |
|
rooms.
This period of confinement shall not exceed 10 hours in |
a 24 hour period,
including the recipient's scheduled hours of |
sleep, unless approved by the
Secretary of the Department. |
During the period of
confinement, the
persons confined shall be |
observed at least every 15 minutes. A record shall
be kept of |
the observations. This confinement shall not be considered
|
seclusion as defined in the Mental Health and Developmental |
Disabilities
Code.
|
The facility director of the Chester Mental Health Center |
may authorize
the temporary use of handcuffs on a recipient for |
a period not to exceed 10
minutes when necessary in the course |
of transport of the recipient within the
facility to maintain |
custody or security. Use of handcuffs is subject to the
|
provisions of Section 2-108 of the Mental Health and |
Developmental Disabilities
Code. The facility shall keep a |
monthly record listing each instance in which
handcuffs are |
used, circumstances indicating the need for use of handcuffs, |
and
time of application of handcuffs and time of release |
therefrom. The facility
director shall allow the Illinois |
Guardianship and Advocacy Commission, the
agency designated by |
the Governor under Section 1 of the Protection and
Advocacy for |
Developmentally Disabled Persons Act, and the Department to
|
examine and copy such record upon request.
|
The facility director of the Chester Mental Health Center |
may authorize the temporary use of transport devices on a civil |
recipient when necessary in the course of transport of the |
|
civil recipient outside the facility to maintain custody or |
security. The decision whether to use any transport devices |
shall be reviewed and approved on an individualized basis by a |
physician based upon a determination of the civil recipient's: |
(1) history of violence, (2) history of violence during |
transports, (3) history of escapes and escape attempts, (4) |
history of trauma, (5) history of incidents of restraint or |
seclusion and use of involuntary medication, (6) current |
functioning level and medical status, and (7) prior experience |
during similar transports, and (8) the length, duration, and |
purpose of the transport. The least restrictive transport |
device consistent with the individual's need shall be used. |
Staff transporting the individual shall be trained in the use |
of the transport devices, recognizing and responding to a |
person in distress, and shall observe and monitor the |
individual while being transported. The facility shall keep a |
monthly record listing all transports, including those |
transports for which use of transport devices was were not |
sought, those for which use of transport devices was were |
sought but denied, and each instance in which transport devices |
are used, circumstances indicating the need for use of |
transport devices, time of application of transport devices, |
time of release from those devices, and any adverse events. The |
facility director shall allow the Illinois Guardianship and |
Advocacy Commission, the agency designated by the Governor |
under Section 1 of the Protection and Advocacy for |
|
Developmentally Disabled Persons Act, and the Department to |
examine and copy the record upon request. This use of transport |
devices shall not be considered restraint as defined in the |
Mental Health and Developmental Disabilities Code. For the |
purpose of this Section "transport device" means ankle cuffs, |
handcuffs, waist chains or wrist-waist devices designed to |
restrict an individual's range of motion while being |
transported. These devices must be approved by the Division of |
Mental Health, used in accordance with the manufacturer's |
instructions, and used only by qualified staff members who have |
completed all training required to be eligible to transport |
patients and all other required training relating to the safe |
use and application of transport devices, including |
recognizing and responding to signs of distress in an |
individual whose movement is being restricted by a transport |
device. |
If and when it shall appear to the satisfaction of the |
Department that
any person confined in the Chester Mental |
Health Center is not or has
ceased to be such a source of |
danger to the public as to require his
subjection to the |
regimen of the center, the Department is hereby
authorized to |
transfer such person to any State facility for treatment of
|
persons with mental illness or habilitation of persons with |
developmental
disabilities, as the nature of the individual |
case may require.
|
Subject to the provisions of this Section, the Department, |
|
except where
otherwise provided by law, shall, with respect to |
the management, conduct
and control of the Chester Mental |
Health Center and the discipline, custody
and treatment of the |
persons confined therein, have and exercise the same
rights and |
powers as are vested by law in the Department with respect to
|
any and all of the State facilities for treatment of persons |
with mental
illness or habilitation of persons with |
developmental disabilities, and the
recipients thereof, and |
shall be subject to the same duties as are imposed by
law upon |
the Department with respect to such facilities and the |
recipients
thereof. |
The Department may elect to place persons who have been |
ordered by the court to be detained under the Sexually Violent |
Persons Commitment Act in a distinct portion of the Chester |
Mental Health Center. The persons so placed shall be separated |
and shall not comingle with the recipients of the Chester |
Mental Health Center. The portion of Chester Mental Health |
Center that is used for the persons detained under the Sexually |
Violent Persons Commitment Act shall not be a part of the |
mental health facility for the enforcement and implementation |
of the Mental Health and Developmental Disabilities Code nor |
shall their care and treatment be subject to the provisions of |
the Mental Health and Developmental Disabilities Code. The |
changes added to this Section by this amendatory Act of the |
98th General Assembly are inoperative on and after June 30, |
2015.
|
|
(Source: P.A. 98-79, eff. 7-15-13; 98-356, eff. 8-16-13; |
revised 9-4-13.)
|
Section 85. The Department of Professional Regulation Law |
of the
Civil Administrative Code of Illinois is amended by |
changing Section 2105-15 as follows:
|
(20 ILCS 2105/2105-15)
|
Sec. 2105-15. General powers and duties.
|
(a) The Department has, subject to the provisions of the |
Civil
Administrative Code of Illinois, the following powers and |
duties:
|
(1) To authorize examinations in English to ascertain |
the qualifications
and fitness of applicants to exercise |
the profession, trade, or occupation for
which the |
examination is held.
|
(2) To prescribe rules and regulations for a fair and |
wholly
impartial method of examination of candidates to |
exercise the respective
professions, trades, or |
occupations.
|
(3) To pass upon the qualifications of applicants for |
licenses,
certificates, and authorities, whether by |
examination, by reciprocity, or by
endorsement.
|
(4) To prescribe rules and regulations defining, for |
the
respective
professions, trades, and occupations, what |
shall constitute a school,
college, or university, or |
|
department of a university, or other
institution, |
reputable and in good standing, and to determine the
|
reputability and good standing of a school, college, or |
university, or
department of a university, or other |
institution, reputable and in good
standing, by reference |
to a compliance with those rules and regulations;
provided, |
that no school, college, or university, or department of a
|
university, or other institution that refuses admittance |
to applicants
solely on account of race, color, creed, sex, |
or national origin shall be
considered reputable and in |
good standing.
|
(5) To conduct hearings on proceedings to revoke, |
suspend, refuse to
renew, place on probationary status, or |
take other disciplinary action
as authorized in any |
licensing Act administered by the Department
with regard to |
licenses, certificates, or authorities of persons
|
exercising the respective professions, trades, or |
occupations and to
revoke, suspend, refuse to renew, place |
on probationary status, or take
other disciplinary action |
as authorized in any licensing Act
administered by the |
Department with regard to those licenses,
certificates, or |
authorities. The Department shall issue a monthly
|
disciplinary report. The Department shall deny any license |
or
renewal authorized by the Civil Administrative Code of |
Illinois to any person
who has defaulted on an
educational |
loan or scholarship provided by or guaranteed by the |
|
Illinois
Student Assistance Commission or any governmental |
agency of this State;
however, the Department may issue a |
license or renewal if the
aforementioned persons have |
established a satisfactory repayment record as
determined |
by the Illinois Student Assistance Commission or other |
appropriate
governmental agency of this State. |
Additionally, beginning June 1, 1996,
any license issued by |
the Department may be suspended or revoked if the
|
Department, after the opportunity for a hearing under the |
appropriate licensing
Act, finds that the licensee has |
failed to make satisfactory repayment to the
Illinois |
Student Assistance Commission for a delinquent or |
defaulted loan.
For the purposes of this Section, |
"satisfactory repayment record" shall be
defined by rule. |
The Department shall refuse to issue or renew a license to,
|
or shall suspend or revoke a license of, any person who, |
after receiving
notice, fails to comply with a subpoena or |
warrant relating to a paternity or
child support |
proceeding. However, the Department may issue a license or
|
renewal upon compliance with the subpoena or warrant.
|
The Department, without further process or hearings, |
shall revoke, suspend,
or deny any license or renewal |
authorized by the Civil Administrative Code of
Illinois to |
a person who is certified by the Department of Healthcare |
and Family Services (formerly Illinois Department of |
Public Aid)
as being more than 30 days delinquent in |
|
complying with a child support order
or who is certified by |
a court as being in violation of the Non-Support
Punishment |
Act for more than 60 days. The Department may, however, |
issue a
license or renewal if the person has established a |
satisfactory repayment
record as determined by the |
Department of Healthcare and Family Services (formerly
|
Illinois Department of Public Aid) or if the person
is |
determined by the court to be in compliance with the |
Non-Support Punishment
Act. The Department may implement |
this paragraph as added by Public Act 89-6
through the use |
of emergency rules in accordance with Section 5-45 of the
|
Illinois Administrative Procedure Act. For purposes of the |
Illinois
Administrative Procedure Act, the adoption of |
rules to implement this
paragraph shall be considered an |
emergency and necessary for the public
interest, safety, |
and welfare.
|
(6) To transfer jurisdiction of any realty under the |
control of the
Department to any other department of the |
State Government or to acquire
or accept federal lands when |
the transfer, acquisition, or acceptance is
advantageous |
to the State and is approved in writing by the Governor.
|
(7) To formulate rules and regulations necessary for |
the enforcement of
any Act administered by the Department.
|
(8) To exchange with the Department of Healthcare and |
Family Services information
that may be necessary for the |
enforcement of child support orders entered
pursuant to the |
|
Illinois Public Aid Code, the Illinois Marriage and |
Dissolution
of Marriage Act, the Non-Support of Spouse and |
Children Act, the Non-Support
Punishment Act, the Revised |
Uniform Reciprocal Enforcement of Support Act, the
Uniform |
Interstate Family Support Act, or the Illinois Parentage |
Act of 1984.
Notwithstanding any provisions in this Code to |
the contrary, the Department of
Professional Regulation |
shall not be liable under any federal or State law to
any |
person for any disclosure of information to the Department |
of Healthcare and Family Services (formerly Illinois |
Department of
Public Aid)
under this paragraph (8) or for |
any other action taken in good faith
to comply with the |
requirements of this paragraph (8).
|
(9) To perform other duties prescribed
by law.
|
(a-5) Except in cases involving default on an educational |
loan or scholarship provided by or guaranteed by the Illinois |
Student Assistance Commission or any governmental agency of |
this State or in cases involving delinquency in complying with |
a child support order or violation of the Non-Support |
Punishment Act, no person or entity whose license, certificate, |
or authority has been revoked as authorized in any licensing |
Act administered by the Department may apply for restoration of |
that license, certification, or authority until 3 years after |
the effective date of the revocation. |
(b) The Department may, when a fee is payable to the |
Department for a wall
certificate of registration provided by |
|
the Department of Central Management
Services, require that |
portion of the payment for printing and distribution
costs be |
made directly or through the Department to the Department of |
Central
Management Services for deposit into the Paper and |
Printing Revolving Fund.
The remainder shall be deposited into |
the General Revenue Fund.
|
(c) For the purpose of securing and preparing evidence, and |
for the purchase
of controlled substances, professional |
services, and equipment necessary for
enforcement activities, |
recoupment of investigative costs, and other activities
|
directed at suppressing the misuse and abuse of controlled |
substances,
including those activities set forth in Sections |
504 and 508 of the Illinois
Controlled Substances Act, the |
Director and agents appointed and authorized by
the Director |
may expend sums from the Professional Regulation Evidence Fund
|
that the Director deems necessary from the amounts appropriated |
for that
purpose. Those sums may be advanced to the agent when |
the Director deems that
procedure to be in the public interest. |
Sums for the purchase of controlled
substances, professional |
services, and equipment necessary for enforcement
activities |
and other activities as set forth in this Section shall be |
advanced
to the agent who is to make the purchase from the |
Professional Regulation
Evidence Fund on vouchers signed by the |
Director. The Director and those
agents are authorized to |
maintain one or more commercial checking accounts with
any |
State banking corporation or corporations organized under or |
|
subject to the
Illinois Banking Act for the deposit and |
withdrawal of moneys to be used for
the purposes set forth in |
this Section; provided, that no check may be written
nor any |
withdrawal made from any such account except upon the written
|
signatures of 2 persons designated by the Director to write |
those checks and
make those withdrawals. Vouchers for those |
expenditures must be signed by the
Director. All such |
expenditures shall be audited by the Director, and the
audit |
shall be submitted to the Department of Central Management |
Services for
approval.
|
(d) Whenever the Department is authorized or required by |
law to consider
some aspect of criminal history record |
information for the purpose of carrying
out its statutory |
powers and responsibilities, then, upon request and payment
of |
fees in conformance with the requirements of Section 2605-400 |
of the
Department of State Police Law (20 ILCS 2605/2605-400), |
the Department of State
Police is authorized to furnish, |
pursuant to positive identification, the
information contained |
in State files that is necessary to fulfill the request.
|
(e) The provisions of this Section do not apply to private |
business and
vocational schools as defined by Section 15 of the |
Private Business and
Vocational Schools Act of 2012.
|
(f) Beginning July 1, 1995, this Section does not apply to |
those
professions, trades, and occupations licensed under the |
Real Estate License
Act of 2000, nor does it apply to any |
permits, certificates, or other
authorizations to do business |
|
provided for in the Land Sales Registration Act
of 1989 or the |
Illinois Real Estate Time-Share Act.
|
(g) Notwithstanding anything that may appear in any |
individual licensing statute or administrative rule, the |
Department shall deny any license application or renewal |
authorized under any licensing Act administered by the |
Department to any person who has failed to file a return, or to |
pay the tax, penalty, or interest shown in a filed return, or |
to pay any final assessment of tax, penalty, or interest, as |
required by any tax Act administered by the Illinois Department |
of Revenue, until such time as the requirement of any such tax |
Act are satisfied; however, the Department may issue a license |
or renewal if the person has established a satisfactory |
repayment record as determined by the Illinois Department of |
Revenue. For the purpose of this Section, "satisfactory |
repayment record" shall be defined by rule.
|
In addition, a complaint filed with the Department by the |
Illinois Department of Revenue that includes a certification, |
signed by its Director or designee, attesting to the amount of |
the unpaid tax liability or the years for which a return was |
not filed, or both, is prima facie facia evidence of the |
licensee's failure to comply with the tax laws administered by |
the Illinois Department of Revenue. Upon receipt of that |
certification, the Department shall, without a hearing, |
immediately suspend all licenses held by the licensee. |
Enforcement of the Department's order shall be stayed for 60 |
|
days. The Department shall provide notice of the suspension to |
the licensee by mailing a copy of the Department's order by |
certified and regular mail to the licensee's last known address |
as registered with the Department. The notice shall advise the |
licensee that the suspension shall be effective 60 days after |
the issuance of the Department's order unless the Department |
receives, from the licensee, a request for a hearing before the |
Department to dispute the matters contained in the order.
|
Any suspension imposed under this subsection (g) shall be |
terminated by the Department upon notification from the |
Illinois Department of Revenue that the licensee is in |
compliance with all tax laws administered by the Illinois |
Department of Revenue.
|
The Department shall promulgate rules for the |
administration of this subsection (g).
|
(h) The Department may grant the title "Retired", to be |
used immediately adjacent to the title of a profession |
regulated by the Department, to eligible retirees. The use of |
the title "Retired" shall not constitute representation of |
current licensure, registration, or certification. Any person |
without an active license, registration, or certificate in a |
profession that requires licensure, registration, or |
certification shall not be permitted to practice that |
profession. |
(i) Within 180 days after December 23, 2009 (the effective |
date of Public Act 96-852), the Department shall promulgate |
|
rules which permit a person with a criminal record, who seeks a |
license or certificate in an occupation for which a criminal |
record is not expressly a per se bar, to apply to the |
Department for a non-binding, advisory opinion to be provided |
by the Board or body with the authority to issue the license or |
certificate as to whether his or her criminal record would bar |
the individual from the licensure or certification sought, |
should the individual meet all other licensure requirements |
including, but not limited to, the successful completion of the |
relevant examinations. |
(Source: P.A. 96-459, eff. 8-14-09; 96-852, eff. 12-23-09; |
96-1000, eff. 7-2-10; 97-650, eff. 2-1-12; revised 9-9-13.)
|
Section 90. The Department of Public Health Powers and |
Duties Law of the
Civil Administrative Code of Illinois is |
amended by setting forth, renumbering, and changing multiple |
versions of Section 2310-665 as follows: |
(20 ILCS 2310/2310-665) |
Sec. 2310-665. Educational materials on streptococcal |
infection. The Department, in conjunction with the Illinois |
State Board of Education, shall develop educational material on |
streptococcal infection for distribution in elementary and |
secondary schools. The material shall include, but not be |
limited to: |
(1) a process to notify parents or guardians of an |
|
outbreak in the school; |
(2) a process to provide information on all of the |
symptoms of streptococcal infection to teachers, parents, |
and students; and |
(3) guidelines for schools to control the spread of |
streptococcal infections.
|
(Source: P.A. 98-236, eff. 8-9-13; revised 9-12-13.) |
(20 ILCS 2310/2310-670) |
Sec. 2310-670 2310-665 . Breast cancer patient education. |
(a) The General Assembly makes the following findings: |
(1) Annually, about 207,090 new cases of breast cancer |
are diagnosed, according to the American Cancer Society. |
(2) Breast cancer has a disproportionate and |
detrimental impact on African-American women and is the |
most common cancer among Hispanic and Latina women. |
(3) African-American women under the age of 40 have a |
greater incidence of breast cancer than Caucasian women of |
the same age. |
(4) Individuals undergoing surgery for breast cancer |
should give due consideration to the option of breast |
reconstructive surgery, either at the same time as the |
breast cancer surgery or at a later date. |
(5) According to the American Cancer Society, |
immediate breast reconstruction offers the advantage of |
combining the breast cancer surgery with the |
|
reconstructive surgery and is cost effective. |
(6) According to the American Cancer Society, delayed |
breast reconstruction may be advantageous in women who |
require post-surgical radiation or other treatments. |
(7) A woman suffering from the loss of her breast may |
not be a candidate for surgical breast reconstruction or |
may choose not to undergo additional surgery and instead |
choose breast prostheses. |
(8) The federal Women's Health and Cancer Rights Act of |
1998 requires health plans that offer breast cancer |
coverage to also provide for breast reconstruction. |
(9) Required coverage for breast reconstruction |
includes all the necessary stages of reconstruction. |
Surgery of the opposite breast for symmetry may be |
required. Breast prostheses may be necessary. Other |
sequelae of breast cancer treatment, such as lymphedema, |
must be covered. |
(10) Several states have enacted laws to require that |
women receive information on their breast cancer treatment |
and reconstruction options. |
(b) In this Section: |
"Hispanic" has the same meaning as in Section 1707 of |
the federal Public Health Services Act. |
"Racial and ethnic minority group" has the same meaning |
as in Section 1707 of the federal Public Health Services |
Act. |
|
(c) The Director shall provide for the planning and |
implementation of an education campaign to inform breast cancer |
patients, especially those in racial and ethnic minority |
groups, anticipating surgery regarding the availability and |
coverage of breast reconstruction, prostheses, and other |
options. The
campaign shall include the dissemination, at a |
minimum, on relevant State health Internet websites, including |
the Department of Public Health's Internet website, of the |
following information: |
(1) Breast reconstruction is possible at the time of |
breast cancer surgery or in a delayed fashion. |
(2) Prostheses or breast forms may be available. |
(3) Federal law mandates both public and private health |
plans to include coverage of breast reconstruction and |
prostheses. |
(4) The patient has a right to choose the provider of |
reconstructive care, including the potential transfer of |
care to a surgeon that provides breast reconstructive care. |
(5) The patient may opt to undergo breast |
reconstruction in a delayed fashion for personal reasons or |
after completion of all other breast cancer treatments. |
The campaign may include dissemination of such other |
information, whether developed by the Director or by other |
entities, as the Director determines relevant.
The campaign |
shall not specify, or be designed to serve as a tool to limit, |
the health care providers available to patients. |
|
(d) In developing the information to be disseminated under |
this Section, the Director shall consult with appropriate |
medical societies and patient advocates related to breast |
cancer, patient advocates representing racial and ethnic |
minority groups, with a special emphasis on African-American |
and Hispanic populations' population's breast reconstructive |
surgery, and breast prostheses and breast forms. |
(e) Beginning no later than January 1, 2016 ( 2 years after |
the effective date of Public Act 98-479) this amendatory Act of |
the 98th General Assembly and continuing each second year |
thereafter, the Director shall submit to the General Assembly a |
report describing the activities carried out under this Section |
during the preceding 2 fiscal years, including evaluating the |
extent to which the activities have been effective in improving |
the health of racial and ethnic minority groups.
|
(Source: P.A. 98-479, eff. 1-1-14; revised 9-12-13.) |
(20 ILCS 2310/2310-675) |
(Section scheduled to be repealed on January 1, 2016) |
Sec. 2310-675 2310-665 . Hepatitis C Task Force. |
(a) The General Assembly finds and declares the following: |
(1) Viral hepatitis is a contagious and |
life-threatening disease that has a substantial and |
increasing effect upon the lifespans and quality of life of |
at least 5,000,000 persons living in the United States and |
as many as 180,000,000 worldwide. According to the U.S. |
|
Department of Health and Human Services (HHS), the chronic |
form of the hepatitis C virus (HCV) and hepatitis B virus |
(HBV) account for the vast majority of hepatitis-related |
mortalities in the U.S., yet as many as 65% to 75% of |
infected Americans remain unaware that they are infected |
with the virus, prompting the U.S. Centers for Disease |
Control and Prevention (CDC) to label these viruses as the |
silent epidemic. HCV and HBV are major public health |
problems that cause chronic liver diseases, such as |
cirrhosis, liver failure, and liver cancer. The 5-year |
survival rate for primary liver cancer is less than 5%. |
These viruses are also the leading cause of liver |
transplantation in the United States. While there is a |
vaccine for HBV, no vaccine exists for HCV. However, there |
are anti-viral treatments for HCV that can improve the |
prognosis or actually clear the virus from the patient's |
system. Unfortunately, the vast majority of infected |
patients remain unaware that they have the virus since |
there are generally no symptoms. Therefore, there is a dire |
need to aid the public in identifying certain risk factors |
that would warrant testing for these viruses. Millions of |
infected patients remain undiagnosed and continue to be at |
elevated risks for developing more serious complications. |
More needs to be done to educate the public about this |
disease and the risk factors that warrant testing. In some |
cases, infected patients play an unknowing role in further |
|
spreading this infectious disease. |
(2) The existence of HCV was definitively published and |
discovered by medical researchers in 1989. Prior to this |
date, HCV is believed to have spread unchecked. The |
American Association for the Study of Liver Diseases |
(AASLD) recommends that primary care physicians screen all |
patients for a history of any viral hepatitis risk factor |
and test those individuals with at least one identifiable |
risk factor for the virus. Some of the most common risk |
factors have been identified by AASLD, HHS, and the U.S. |
Department of Veterans Affairs, as well as other public |
health and medical research organizations, and include the |
following: |
(A) anyone who has received a blood transfusion |
prior to 1992; |
(B) anyone who is a Vietnam-era veteran; |
(C) anyone who has abnormal liver function tests; |
(D) anyone infected with the HIV virus; |
(E) anyone who has used a needle to inject drugs; |
(F) any health care, emergency medical, or public |
safety worker who has been stuck by a needle or exposed |
to any mucosal fluids of an HCV-infected person; and |
(G) any children born to HCV-infected mothers. |
A 1994 study determined that Caucasian Americans |
statistically accounted for the most number of infected |
persons in the United States, while the highest incidence |
|
rates were among African and Hispanic Americans. |
(3) In January of 2010, the Institute of Medicine |
(IOM), commissioned by the CDC, issued a comprehensive |
report entitled Hepatitis and Liver Cancer: A National |
Strategy for Prevention and Control of Hepatitis B and C . |
The key findings and recommendations from the IOM's report |
are (A) there is a lack of knowledge and awareness about |
chronic viral hepatitis on the part of health care and |
social service providers, (B) there is a lack of knowledge |
and awareness about chronic viral hepatitis among at-risk |
populations, members of the public, and policy makers, and |
(C) there is insufficient understanding about the extent |
and seriousness of the public health problem, so inadequate |
public resources are being allocated to prevention, |
control, and surveillance programs. |
(4) In this same 2010 IOM report, researchers compared |
the prevalence and incidences of HCV, HBV, and HIV and |
found that, although there are only 1,100,000 HIV/AIDS |
infected persons in the United States and over 4,000,000 |
Americans infected with viral hepatitis, the percentage of |
those with HIV that are unaware they have HIV is only 21% |
as opposed to approximately 70% of those with viral |
hepatitis being unaware that they have viral hepatitis. It |
appears that public awareness of risk factors associated |
with each of these diseases could be a major factor in the |
alarming disparity between the percentage of the |
|
population that is infected with one of these blood |
viruses, but unaware that they are infected. |
(5) In light of the widely varied nature of the risk |
factors mentioned in this subsection (a), the previous |
findings by the Institute of Medicine, and the clear |
evidence of the disproportional public awareness between |
HIV and viral hepatitis, it is clearly in the public |
interest for this State to establish a task force to gather |
testimony and develop an action plan to (A) increase public |
awareness of the risk factors for these viruses, (B) |
improve access to screening for these viruses, and (C) |
provide those infected with information about the |
prognosis, treatment options, and elevated risk of |
developing cirrhosis and liver cancer. There is clear and |
increasing evidence that many adults in Illinois and in the |
United States have at least one of the risk factors |
mentioned in this subsection (a). |
(6) The General Assembly also finds that it is in the |
public interest to bring communities of Illinois-based |
veterans of American military service into familiarity |
with the issues created by this disease, because many |
veterans, especially Vietnam-era veterans, have at least |
one of the previously enumerated risk factors and are |
especially prone to being affected by this disease; and |
because veterans of American military service should enjoy |
in all cases, and do enjoy in most cases, adequate access |
|
to health care services that include medical management and |
care for preexisting and long-term medical conditions, |
such as infection with the hepatitis virus. |
(b) There is established the Hepatitis C Task Force
within |
the Department of Public Health. The purpose of the Task Force |
shall be to: |
(1) develop strategies to identify and address the |
unmet needs of persons
with hepatitis C in order to enhance |
the quality of life of persons with hepatitis C by |
maximizing
productivity and independence and addressing |
emotional, social, financial, and vocational
challenges of |
persons with hepatitis C; |
(2) develop strategies to provide persons with |
hepatitis C greater access to
various treatments and other |
therapeutic options that may be available; and |
(3) develop strategies to improve hepatitis C |
education and awareness. |
(c) The Task Force shall consist of 17 members as follows: |
(1) the Director of Public Health, the Director of |
Veterans' Affairs, and the Director of Human Services,
or |
their designees, who shall serve ex officio; |
(2) ten public members who shall be appointed by
the |
Director of Public Health from the medical, patient, and |
service provider communities, including, but not limited |
to, HCV Support, Inc.; and |
(3) four members of the General Assembly, appointed
one |
|
each by the President of the Senate, the Minority Leader of |
the Senate, the Speaker of the House of Representatives, |
and the Minority Leader of the House of Representatives. |
Vacancies in the membership of the Task Force shall be |
filled in the same
manner provided for in the original |
appointments. |
(d) The Task Force shall organize within 120 days following |
the
appointment of a majority of its members and shall select a |
chairperson and
vice-chairperson from among the members. The |
chairperson shall appoint a
secretary, who need not be a member |
of the Task Force. |
(e) The public members shall serve without compensation and |
shall not be reimbursed for necessary expenses incurred in the
|
performance of their duties, unless funds
become available to |
the Task Force. |
(f) The Task Force shall be entitled to call to its |
assistance and avail
itself of the services of the employees of |
any State, county, or municipal
department, board, bureau, |
commission, or agency as it may require and as may be
available |
to it for its purposes. |
(g) The Task Force may meet and hold hearings as it deems |
appropriate. |
(h) The Department of Public Health shall provide staff
|
support to the Task Force. |
(i) The Task Force shall report its findings and |
recommendations to the
Governor and to the General Assembly, |
|
along with any legislative bills that it desires to recommend
|
for adoption by the General Assembly, no later than December |
31, 2015. |
(j) The Task Force is abolished and this Section is |
repealed on January 1, 2016.
|
(Source: P.A. 98-493, eff. 8-16-13; revised 9-12-13.) |
(20 ILCS 2310/2310-680) |
(Section scheduled to be repealed on January 1, 2016) |
Sec. 2310-680 2310-665 . Multiple Sclerosis Task Force. |
(a) The General Assembly finds and declares the following: |
(1) Multiple sclerosis (MS) is a chronic, often |
disabling, disease that
attacks the central nervous |
system, which is comprised of the brain, spinal
cord, and |
optic nerves. MS is the number one disabling disease among |
young adults, striking in the prime of life. It is a |
disease in which the body, through its immune
system, |
launches a defensive and damaging attack against its own |
tissues. MS
damages the nerve-insulating myelin sheath |
that surrounds and protects the
brain. The damage to the |
myelin sheath slows down or blocks messages between
the |
brain and the body. |
(2) Most people experience their first symptoms of MS |
between the ages of
20 and 40, but MS can appear in young |
children and teens as well as much older adults. MS |
symptoms can include visual disturbances, muscle weakness,
|
|
trouble with coordination and balance, sensations such as |
numbness, prickling or
pins and needles, and thought and |
memory problems. MS patients can also
experience partial or |
complete paralysis, speech impediments, tremors,
|
dizziness, stiffness and spasms, fatigue, paresthesias, |
pain, and loss of
sensation. |
(3) The cause of MS remains unknown; however, having a |
first-degree
relative, such as a parent or sibling, with MS |
significantly increases a
person's risk of developing the |
disease. According to the National Institute of
|
Neurological Disorders and Stroke, it is estimated that |
there are approximately
250,000 to 350,000 persons in the |
United States who are diagnosed with MS. This
estimate |
suggests that approximately 200 new cases are diagnosed |
each week. Other sources report a population of at least |
400,000 in the United States. The estimate of persons with |
MS in Illinois is 20,000, with at least 2 areas of MS |
clusters identified in Illinois. |
(4) Presently, there is no cure for MS. The complex and |
variable nature of the disease makes it very difficult to |
diagnose, treat, and research. The cost to the family, |
often with young children, can be overwhelming. Among |
common diagnoses, non-stroke neurologic illnesses, such as |
multiple sclerosis, were associated with the highest |
out-of-pocket expenditures (a mean of $34,167), followed |
by diabetes ($26,971), injuries ($25,096), stroke |
|
($23,380), mental illnesses ($23,178), and heart disease |
($21,955). Median out-of-pocket costs for health care |
among people with MS, excluding insurance premiums, were |
almost twice as much as the general population. The costs |
associated with MS increase with greater disability. Costs |
for severely disabled individuals are more than twice those |
for persons with a relatively mild form of the disease. A |
recent study of medical bankruptcy found that 62.1% of all |
personal bankruptcies in the United States were related to |
medical costs. |
(5) Therefore, it is in the public interest for the |
State to establish a
Multiple Sclerosis Task Force in order |
to identify and address the unmet needs
of persons with MS |
and develop ways to enhance their quality of life. |
(b) There is established the Multiple Sclerosis Task Force
|
in the Department of Public Health. The purpose of the Task |
Force shall be to: |
(1) develop strategies to identify and address the |
unmet needs of persons
with MS in order to enhance the |
quality of life of persons with MS by maximizing
|
productivity and independence and addressing emotional, |
social, financial, and vocational
challenges of persons |
with MS; |
(2) develop strategies to provide persons with MS |
greater access to
various treatments and other therapeutic |
options that may be available; and |
|
(3) develop strategies to improve multiple sclerosis |
education and awareness. |
(c) The Task Force shall consist of 16 members as follows: |
(1) the Director of Public Health and the Director of |
Human Services,
or their designees, who shall serve ex |
officio; and |
(2) fourteen public members, who shall be appointed by |
the Director of Public Health as
follows: 2 neurologists |
licensed to practice medicine in this State; 3 registered |
nurses or other health professionals with MS certification |
and extensive expertise with progressed MS; one
person upon |
the recommendation of the National Multiple Sclerosis |
Society; 3 persons who represent agencies that provide |
services
or support to individuals with MS in this State; 3 |
persons who have MS, at least one of whom having progressed |
MS; and
2 members of the public with a demonstrated |
expertise in issues relating to
the work of the Task Force. |
Vacancies in the membership of the Task Force shall be |
filled in the same
manner provided for in the original |
appointments. |
(d) The Task Force shall organize within 120 days following |
the
appointment of a majority of its members and shall select a |
chairperson and
vice-chairperson from among the members. The |
chairperson shall appoint a
secretary who need not be a member |
of the Task Force. |
(e) The public members shall serve without compensation and |
|
shall not be reimbursed for necessary expenses incurred in the
|
performance of their duties unless funds
become available to |
the Task Force. |
(f) The Task Force may meet and hold hearings as it deems |
appropriate. |
(g) The Department of Public Health shall provide staff
|
support to the Task Force. |
(h) The Task Force shall report its findings and |
recommendations to the
Governor and to the General Assembly, |
along with any legislative bills that it desires to recommend
|
for adoption by the General Assembly, no later than December |
31, 2015. |
(i) The Task Force is abolished and this Section is |
repealed on January 1, 2016.
|
(Source: P.A. 98-530, eff. 8-23-13; revised 9-12-13.) |
Section 95. The Disabilities Services Act of 2003 is |
amended by changing Section 10 as follows: |
(20 ILCS 2407/10)
|
Sec. 10. Application of Act; definitions.
|
(a) This Act
applies to persons with disabilities. The |
disabilities included are
defined for purposes of this Act as |
follows:
|
"Disability" means a disability as defined by the Americans
|
with Disabilities Act of 1990 that is attributable to a
|
|
developmental disability, a mental illness, or a physical
|
disability, or combination of those.
|
"Developmental disability" means a disability that is
|
attributable to an intellectual disability or a related |
condition. A
related condition must meet all of the following |
conditions:
|
(1) It must be attributable to cerebral palsy,
|
epilepsy, or any other condition (other than
mental |
illness) found to be closely related to an intellectual |
disability because that condition results in impairment of
|
general intellectual functioning or adaptive behavior |
similar
to that of individuals with an intellectual |
disability, and requires
treatment or services similar to |
those required for those
individuals. For purposes of this |
Section, autism is considered a related
condition.
|
(2) It must be manifested before the individual reaches
|
age 22.
|
(3) It must be likely to continue indefinitely.
|
(4) It must result in substantial functional
|
limitations in 3 or more of the following areas of major |
life
activity: self-care, language, learning, mobility, |
self-direction, and capacity
for independent living.
|
"Mental Illness" means a mental or emotional disorder
|
verified by a diagnosis contained in the
Diagnostic and |
Statistical Manual of Mental Disorders-Fourth Edition, |
published
by the American Psychiatric Association (DSM-IV), or |
|
its successor, or
International Classification of Diseases, |
9th Revision, Clinical Modification
(ICD-9-CM), or its |
successor, that
substantially impairs a person's cognitive, |
emotional, or
behavioral functioning, or any combination of |
those, excluding
(i) conditions that may be the focus of |
clinical attention but are not of
sufficient duration or |
severity to be categorized as a mental illness, such as
|
parent-child relational problems, partner-relational problems, |
sexual abuse of
a child, bereavement, academic problems, |
phase-of-life problems, and
occupational problems |
(collectively, "V codes"), (ii) organic disorders such as
|
substance intoxication dementia, substance withdrawal |
dementia, Alzheimer's
disease, vascular dementia, dementia due |
to HIV infection, and dementia due to Creutzfeldt-Jakob
|
Creutzfeld-Jakob disease
and disorders associated with
known |
or unknown physical conditions such as hallucinosis, amnestic
|
disorders and delirium, and psychoactive substance-induced |
organic
disorders, and (iii) an intellectual disability or |
psychoactive substance use
disorders.
|
"Intellectual disability" means significantly sub-average |
general
intellectual functioning existing concurrently with |
deficits in
adaptive behavior and manifested before the age of |
22 years.
|
"Physical disability" means a disability as defined by the
|
Americans with Disabilities Act of 1990 that meets the |
following
criteria:
|
|
(1) It is attributable to a physical impairment.
|
(2) It results in a substantial functional limitation
|
in any of the following areas of major life activity:
(i) |
self-care, (ii) receptive and expressive language, (iii)
|
learning, (iv) mobility, (v) self-direction, (vi) capacity
|
for independent living, and (vii) economic sufficiency.
|
(3) It reflects the person's need for a combination and
|
sequence of special, interdisciplinary, or general care,
|
treatment, or other services that are of lifelong or of
|
extended duration and must be individually planned and
|
coordinated.
|
(b) In this Act:
|
"Chronological age-appropriate services" means services, |
activities,
and strategies for persons with disabilities that |
are
representative of the lifestyle activities of nondisabled |
peers of similar
age in the community.
|
"Comprehensive evaluation" means procedures used by |
qualified professionals
selectively with an individual to
|
determine whether a person has a disability and the nature
and |
extent of the services that the person with a disability
needs.
|
"Department" means the Department on Aging, the Department |
of Human Services,
the Department of Public Health, the |
Department of
Public Aid (now Department Healthcare and Family |
Services), the University of Illinois Division of Specialized |
Care for
Children, the Department of Children and Family |
Services, and the Illinois
State
Board of Education, where |
|
appropriate, as designated in the implementation plan
|
developed under Section 20.
|
"Family" means a natural, adoptive, or foster parent or |
parents or
other person or persons responsible for the care of |
an individual with a
disability in a family setting.
|
"Family or individual support" means those resources and |
services
that are necessary to maintain an individual with a
|
disability within the family home or his or her own home. These |
services may
include, but are not
limited to, cash subsidy, |
respite care, and counseling services.
|
"Independent service coordination" means a social service |
that enables
persons
with developmental disabilities and their |
families to locate, use, and
coordinate resources
and
|
opportunities in their communities on the basis of individual |
need. Independent
service
coordination is independent of |
providers of services and funding sources and is
designed
to |
ensure accessibility, continuity of care, and accountability |
and to maximize
the
potential of persons with developmental |
disabilities for independence,
productivity, and
integration |
into
the community. Independent service coordination includes, |
at a minimum: (i)
outreach to
identify eligible individuals; |
(ii) assessment and periodic reassessment to
determine each
|
individual's strengths, functional limitations, and need for |
specific services;
(iii)
participation in the development of a |
comprehensive individual service or
treatment plan;
(iv) |
referral to and linkage with needed services and supports; (v) |
|
monitoring
to ensure
the delivery of appropriate services and |
to determine individual progress in
meeting goals
and |
objectives; and (vi) advocacy to assist the person in obtaining |
all
services for which
he or she is eligible or entitled.
|
"Individual service or treatment plan" means a recorded |
assessment of the
needs
of a person with a disability, a |
description of the services
recommended, the goals of each type |
of element of service, an anticipated
timetable for the |
accomplishment of the goals, and a designation of the
qualified |
professionals responsible for the implementation of the plan.
|
"Least restrictive environment" means an environment that
|
represents the least departure from the normal patterns of |
living and that
effectively meets the needs of the person |
receiving the service.
|
(Source: P.A. 97-227, eff. 1-1-12; revised 9-4-13.) |
Section 100. The Department of State Police Law of the
|
Civil Administrative Code of Illinois is amended by setting |
forth and renumbering multiple versions of Section 2605-595 as |
follows: |
(20 ILCS 2605/2605-595) |
Sec. 2605-595. State Police Firearm Services Fund. |
(a) There is created in the State treasury a special fund |
known as the State Police Firearm Services Fund. The Fund shall |
receive revenue under the Firearm Concealed Carry Act and |
|
Section 5 of the Firearm Owners Identification Card Act. The |
Fund may also receive revenue from grants, pass-through grants, |
donations, appropriations, and any other legal source. |
(b) The Department of State Police may use moneys in the |
Fund to finance any of its lawful purposes, mandates, |
functions, and duties under the Firearm Owners Identification |
Card Act and the Firearm Concealed Carry Act, including the |
cost of sending notices of expiration of Firearm Owner's |
Identification Cards, concealed carry licenses, the prompt and |
efficient processing of applications under the Firearm Owners |
Identification Card Act and the Firearm Concealed Carry Act, |
the improved efficiency and reporting of the LEADS and federal |
NICS law enforcement data systems, and support for |
investigations required under these Acts and law. Any surplus |
funds beyond what is needed to comply with the aforementioned |
purposes shall be used by the Department to improve the Law |
Enforcement Agencies Data System (LEADS) and criminal history |
background check system. |
(c) Investment income that is attributable to the |
investment of moneys in the Fund shall be retained in the Fund |
for the uses specified in this Section.
|
(Source: P.A. 98-63, eff. 7-9-13.) |
(20 ILCS 2605/2605-600) |
Sec. 2605-600 2605-595 . Crimes Against Police Officers |
Advisory. |
|
(a) For purposes of this Section: |
"Attempt" has the meaning ascribed to that term in |
Section 8-4 of the Criminal Code of 2012. |
"Concealment of homicidal death" has the meaning |
ascribed to that term in Section 9-3.4 of the Criminal Code |
of 2012. |
"First degree murder" has the meaning ascribed to that |
term in Section 9-1 of the Criminal Code of 2012. |
"Involuntary manslaughter" and "reckless homicide" |
have the meanings ascribed to those terms in Section 9-3 of |
the Criminal Code of 2012. |
"Second degree murder" has the meaning ascribed to that |
term in Section 9-2 of the Criminal Code of 2012. |
(b) A coordinated program known as the Crimes Against |
Police Officers Advisory is established within
the Department |
of State Police. The purpose of the Crimes Against Police |
Officers Advisory is to
provide a regional system for the rapid |
dissemination of information regarding a person who is |
suspected of committing or attempting to commit any of the |
offenses described in subsection (c). |
(c) The Department of State Police shall develop an |
advisory to assist law enforcement agencies when the commission |
or attempted commission of the following offenses against a |
peace officer occur: |
(1) first degree murder; |
(2) second degree murder; |
|
(3) involuntary manslaughter; |
(4) reckless homicide; and |
(5)
concealment of homicidal death. |
(d) Law enforcement agencies participating in the advisory |
may request assistance when: |
(1) the agency believes that a suspect has not been |
apprehended; |
(2) the agency believes that the suspect may be a |
serious threat to the public; and |
(3) sufficient information is available to disseminate |
to the public that could assist in locating the suspect. |
(e) The Department of State Police shall reserve the |
authority to determine if dissemination of the information will |
pose a significant risk to the public or jeopardize the |
investigation. |
(f) The Department of State Police may partner with media |
and may request a media broadcast concerning details of the |
suspect in order to obtain the public's assistance in locating |
the suspect or vehicle used in the offense, or both.
|
(Source: P.A. 98-263, eff. 1-1-14; revised 10-17-13.) |
Section 105. The Criminal Identification Act is amended by |
changing Sections 4 and 5.2 as follows:
|
(20 ILCS 2630/4) (from Ch. 38, par. 206-4)
|
Sec. 4. The Department may use the following systems of |
|
identification: the Bertillon The
Bertillion system, the |
finger print system, and any system of measurement
or |
identification that may be adopted by law or rule in the |
various penal
institutions or bureaus of identification |
wherever located.
|
The Department shall make a record consisting of duplicates |
of all
measurements, processes, operations, signalletic cards, |
plates,
photographs, outline pictures, measurements, |
descriptions of and data
relating to all persons confined in |
penal institutions wherever located, so
far as the same are |
obtainable, in accordance with whatever system or
systems may |
be found most efficient and practical.
|
(Source: Laws 1957, p. 1422; revised 9-4-13.)
|
(20 ILCS 2630/5.2)
|
Sec. 5.2. Expungement and sealing. |
(a) General Provisions. |
(1) Definitions. In this Act, words and phrases have
|
the meanings set forth in this subsection, except when a
|
particular context clearly requires a different meaning. |
(A) The following terms shall have the meanings |
ascribed to them in the Unified Code of Corrections, |
730 ILCS 5/5-1-2 through 5/5-1-22: |
(i) Business Offense (730 ILCS 5/5-1-2), |
(ii) Charge (730 ILCS 5/5-1-3), |
(iii) Court (730 ILCS 5/5-1-6), |
|
(iv) Defendant (730 ILCS 5/5-1-7), |
(v) Felony (730 ILCS 5/5-1-9), |
(vi) Imprisonment (730 ILCS 5/5-1-10), |
(vii) Judgment (730 ILCS 5/5-1-12), |
(viii) Misdemeanor (730 ILCS 5/5-1-14), |
(ix) Offense (730 ILCS 5/5-1-15), |
(x) Parole (730 ILCS 5/5-1-16), |
(xi) Petty Offense (730 ILCS 5/5-1-17), |
(xii) Probation (730 ILCS 5/5-1-18), |
(xiii) Sentence (730 ILCS 5/5-1-19), |
(xiv) Supervision (730 ILCS 5/5-1-21), and |
(xv) Victim (730 ILCS 5/5-1-22). |
(B) As used in this Section, "charge not initiated |
by arrest" means a charge (as defined by 730 ILCS |
5/5-1-3) brought against a defendant where the |
defendant is not arrested prior to or as a direct |
result of the charge. |
(C) "Conviction" means a judgment of conviction or |
sentence entered upon a plea of guilty or upon a |
verdict or finding of guilty of an offense, rendered by |
a legally constituted jury or by a court of competent |
jurisdiction authorized to try the case without a jury. |
An order of supervision successfully completed by the |
petitioner is not a conviction. An order of qualified |
probation (as defined in subsection (a)(1)(J)) |
successfully completed by the petitioner is not a |
|
conviction. An order of supervision or an order of |
qualified probation that is terminated |
unsatisfactorily is a conviction, unless the |
unsatisfactory termination is reversed, vacated, or |
modified and the judgment of conviction, if any, is |
reversed or vacated. |
(D) "Criminal offense" means a petty offense, |
business offense, misdemeanor, felony, or municipal |
ordinance violation (as defined in subsection |
(a)(1)(H)). As used in this Section, a minor traffic |
offense (as defined in subsection (a)(1)(G)) shall not |
be considered a criminal offense. |
(E) "Expunge" means to physically destroy the |
records or return them to the petitioner and to |
obliterate the petitioner's name from any official |
index or public record, or both. Nothing in this Act |
shall require the physical destruction of the circuit |
court file, but such records relating to arrests or |
charges, or both, ordered expunged shall be impounded |
as required by subsections (d)(9)(A)(ii) and |
(d)(9)(B)(ii). |
(F) As used in this Section, "last sentence" means |
the sentence, order of supervision, or order of |
qualified probation (as defined by subsection |
(a)(1)(J)), for a criminal offense (as defined by |
subsection (a)(1)(D)) that terminates last in time in |
|
any jurisdiction, regardless of whether the petitioner |
has included the criminal offense for which the |
sentence or order of supervision or qualified |
probation was imposed in his or her petition. If |
multiple sentences, orders of supervision, or orders |
of qualified probation terminate on the same day and |
are last in time, they shall be collectively considered |
the "last sentence" regardless of whether they were |
ordered to run concurrently. |
(G) "Minor traffic offense" means a petty offense, |
business offense, or Class C misdemeanor under the |
Illinois Vehicle Code or a similar provision of a |
municipal or local ordinance. |
(H) "Municipal ordinance violation" means an |
offense defined by a municipal or local ordinance that |
is criminal in nature and with which the petitioner was |
charged or for which the petitioner was arrested and |
released without charging. |
(I) "Petitioner" means an adult or a minor |
prosecuted as an
adult who has applied for relief under |
this Section. |
(J) "Qualified probation" means an order of |
probation under Section 10 of the Cannabis Control Act, |
Section 410 of the Illinois Controlled Substances Act, |
Section 70 of the Methamphetamine Control and |
Community Protection Act, Section 5-6-3.3 or 5-6-3.4 |
|
of the Unified Code of Corrections, Section |
12-4.3(b)(1) and (2) of the Criminal Code of 1961 (as |
those provisions existed before their deletion by |
Public Act 89-313), Section 10-102 of the Illinois |
Alcoholism and Other Drug Dependency Act, Section |
40-10 of the Alcoholism and Other Drug Abuse and |
Dependency Act, or Section 10 of the Steroid Control |
Act. For the purpose of this Section, "successful |
completion" of an order of qualified probation under |
Section 10-102 of the Illinois Alcoholism and Other |
Drug Dependency Act and Section 40-10 of the Alcoholism |
and Other Drug Abuse and Dependency Act means that the |
probation was terminated satisfactorily and the |
judgment of conviction was vacated. |
(K) "Seal" means to physically and electronically |
maintain the records, unless the records would |
otherwise be destroyed due to age, but to make the |
records unavailable without a court order, subject to |
the exceptions in Sections 12 and 13 of this Act. The |
petitioner's name shall also be obliterated from the |
official index required to be kept by the circuit court |
clerk under Section 16 of the Clerks of Courts Act, but |
any index issued by the circuit court clerk before the |
entry of the order to seal shall not be affected. |
(L) "Sexual offense committed against a minor" |
includes but is
not limited to the offenses of indecent |
|
solicitation of a child
or criminal sexual abuse when |
the victim of such offense is
under 18 years of age. |
(M) "Terminate" as it relates to a sentence or |
order of supervision or qualified probation includes |
either satisfactory or unsatisfactory termination of |
the sentence, unless otherwise specified in this |
Section. |
(2) Minor Traffic Offenses.
Orders of supervision or |
convictions for minor traffic offenses shall not affect a |
petitioner's eligibility to expunge or seal records |
pursuant to this Section. |
(3) Exclusions. Except as otherwise provided in |
subsections (b)(5), (b)(6), (b)(8), (e), (e-5), and (e-6) |
of this Section, the court shall not order: |
(A) the sealing or expungement of the records of |
arrests or charges not initiated by arrest that result |
in an order of supervision for or conviction of:
(i) |
any sexual offense committed against a
minor; (ii) |
Section 11-501 of the Illinois Vehicle Code or a |
similar provision of a local ordinance; or (iii) |
Section 11-503 of the Illinois Vehicle Code or a |
similar provision of a local ordinance, unless the |
arrest or charge is for a misdemeanor violation of |
subsection (a) of Section 11-503 or a similar provision |
of a local ordinance, that occurred prior to the |
offender reaching the age of 25 years and the offender |
|
has no other conviction for violating Section 11-501 or |
11-503 of the Illinois Vehicle Code or a similar |
provision of a local ordinance. |
(B) the sealing or expungement of records of minor |
traffic offenses (as defined in subsection (a)(1)(G)), |
unless the petitioner was arrested and released |
without charging. |
(C) the sealing of the records of arrests or |
charges not initiated by arrest which result in an |
order of supervision, an order of qualified probation |
(as defined in subsection (a)(1)(J)), or a conviction |
for the following offenses: |
(i) offenses included in Article 11 of the |
Criminal Code of 1961 or the Criminal Code of 2012 |
or a similar provision of a local ordinance, except |
Section 11-14 of the Criminal Code of 1961 or the |
Criminal Code of 2012, or a similar provision of a |
local ordinance; |
(ii) Section 11-1.50, 12-3.4, 12-15, 12-30, |
26-5, or 48-1 of the Criminal Code of 1961 or the |
Criminal Code of 2012, or a similar provision of a |
local ordinance; |
(iii) offenses defined as "crimes of violence" |
in Section 2 of the Crime Victims Compensation Act |
or a similar provision of a local ordinance; |
(iv) offenses which are Class A misdemeanors |
|
under the Humane Care for Animals Act; or |
(v) any offense or attempted offense that |
would subject a person to registration under the |
Sex Offender Registration Act. |
(D) the sealing of the records of an arrest which |
results in
the petitioner being charged with a felony |
offense or records of a charge not initiated by arrest |
for a felony offense unless: |
(i) the charge is amended to a misdemeanor and |
is otherwise
eligible to be sealed pursuant to |
subsection (c); |
(ii) the charge is brought along with another |
charge as a part of one case and the charge results |
in acquittal, dismissal, or conviction when the |
conviction was reversed or vacated, and another |
charge brought in the same case results in a |
disposition for a misdemeanor offense that is |
eligible to be sealed pursuant to subsection (c) or |
a disposition listed in paragraph (i), (iii), or |
(iv) of this subsection; |
(iii) the charge results in first offender |
probation as set forth in subsection (c)(2)(E); |
(iv) the charge is for a felony offense listed |
in subsection (c)(2)(F) or the charge is amended to |
a felony offense listed in subsection (c)(2)(F); |
(v) the charge results in acquittal, |
|
dismissal, or the petitioner's release without |
conviction; or |
(vi) the charge results in a conviction, but |
the conviction was reversed or vacated. |
(b) Expungement. |
(1) A petitioner may petition the circuit court to |
expunge the
records of his or her arrests and charges not |
initiated by arrest when: |
(A) He or she has never been convicted of a |
criminal offense; and |
(B) Each arrest or charge not initiated by arrest
|
sought to be expunged resulted in:
(i) acquittal, |
dismissal, or the petitioner's release without |
charging, unless excluded by subsection (a)(3)(B);
|
(ii) a conviction which was vacated or reversed, unless |
excluded by subsection (a)(3)(B);
(iii) an order of |
supervision and such supervision was successfully |
completed by the petitioner, unless excluded by |
subsection (a)(3)(A) or (a)(3)(B); or
(iv) an order of |
qualified probation (as defined in subsection |
(a)(1)(J)) and such probation was successfully |
completed by the petitioner. |
(2) Time frame for filing a petition to expunge. |
(A) When the arrest or charge not initiated by |
arrest sought to be expunged resulted in an acquittal, |
dismissal, the petitioner's release without charging, |
|
or the reversal or vacation of a conviction, there is |
no waiting period to petition for the expungement of |
such records. |
(B) When the arrest or charge not initiated by |
arrest
sought to be expunged resulted in an order of |
supervision, successfully
completed by the petitioner, |
the following time frames will apply: |
(i) Those arrests or charges that resulted in |
orders of
supervision under Section 3-707, 3-708, |
3-710, or 5-401.3 of the Illinois Vehicle Code or a |
similar provision of a local ordinance, or under |
Section 11-1.50, 12-3.2, or 12-15 of the Criminal |
Code of 1961 or the Criminal Code of 2012, or a |
similar provision of a local ordinance, shall not |
be eligible for expungement until 5 years have |
passed following the satisfactory termination of |
the supervision. |
(i-5) Those arrests or charges that resulted |
in orders of supervision for a misdemeanor |
violation of subsection (a) of Section 11-503 of |
the Illinois Vehicle Code or a similar provision of |
a local ordinance, that occurred prior to the |
offender reaching the age of 25 years and the |
offender has no other conviction for violating |
Section 11-501 or 11-503 of the Illinois Vehicle |
Code or a similar provision of a local ordinance |
|
shall not be eligible for expungement until the |
petitioner has reached the age of 25 years. |
(ii) Those arrests or charges that resulted in |
orders
of supervision for any other offenses shall |
not be
eligible for expungement until 2 years have |
passed
following the satisfactory termination of |
the supervision. |
(C) When the arrest or charge not initiated by |
arrest sought to
be expunged resulted in an order of |
qualified probation, successfully
completed by the |
petitioner, such records shall not be eligible for
|
expungement until 5 years have passed following the |
satisfactory
termination of the probation. |
(3) Those records maintained by the Department for
|
persons arrested prior to their 17th birthday shall be
|
expunged as provided in Section 5-915 of the Juvenile Court
|
Act of 1987. |
(4) Whenever a person has been arrested for or |
convicted of any
offense, in the name of a person whose |
identity he or she has stolen or otherwise
come into |
possession of, the aggrieved person from whom the identity
|
was stolen or otherwise obtained without authorization,
|
upon learning of the person having been arrested using his
|
or her identity, may, upon verified petition to the chief |
judge of
the circuit wherein the arrest was made, have a |
court order
entered nunc pro tunc by the Chief Judge to |
|
correct the
arrest record, conviction record, if any, and |
all official
records of the arresting authority, the |
Department, other
criminal justice agencies, the |
prosecutor, and the trial
court concerning such arrest, if |
any, by removing his or her name
from all such records in |
connection with the arrest and
conviction, if any, and by |
inserting in the records the
name of the offender, if known |
or ascertainable, in lieu of
the aggrieved's name. The |
records of the circuit court clerk shall be sealed until |
further order of
the court upon good cause shown and the |
name of the
aggrieved person obliterated on the official |
index
required to be kept by the circuit court clerk under
|
Section 16 of the Clerks of Courts Act, but the order shall
|
not affect any index issued by the circuit court clerk
|
before the entry of the order. Nothing in this Section
|
shall limit the Department of State Police or other
|
criminal justice agencies or prosecutors from listing
|
under an offender's name the false names he or she has
|
used. |
(5) Whenever a person has been convicted of criminal
|
sexual assault, aggravated criminal sexual assault,
|
predatory criminal sexual assault of a child, criminal
|
sexual abuse, or aggravated criminal sexual abuse, the
|
victim of that offense may request that the State's
|
Attorney of the county in which the conviction occurred
|
file a verified petition with the presiding trial judge at
|
|
the petitioner's trial to have a court order entered to |
seal
the records of the circuit court clerk in connection
|
with the proceedings of the trial court concerning that
|
offense. However, the records of the arresting authority
|
and the Department of State Police concerning the offense
|
shall not be sealed. The court, upon good cause shown,
|
shall make the records of the circuit court clerk in
|
connection with the proceedings of the trial court
|
concerning the offense available for public inspection. |
(6) If a conviction has been set aside on direct review
|
or on collateral attack and the court determines by clear
|
and convincing evidence that the petitioner was factually
|
innocent of the charge, the court that finds the petitioner |
factually innocent of the charge shall enter an
expungement |
order for the conviction for which the petitioner has been |
determined to be innocent as provided in subsection (b) of |
Section
5-5-4 of the Unified Code of Corrections. |
(7) Nothing in this Section shall prevent the |
Department of
State Police from maintaining all records of |
any person who
is admitted to probation upon terms and |
conditions and who
fulfills those terms and conditions |
pursuant to Section 10
of the Cannabis Control Act, Section |
410 of the Illinois
Controlled Substances Act, Section 70 |
of the
Methamphetamine Control and Community Protection |
Act,
Section 5-6-3.3 or 5-6-3.4 of the Unified Code of |
Corrections, Section 12-4.3 or subdivision (b)(1) of |
|
Section 12-3.05 of the Criminal Code of 1961 or the |
Criminal Code of 2012, Section 10-102
of the Illinois |
Alcoholism and Other Drug Dependency Act,
Section 40-10 of |
the Alcoholism and Other Drug Abuse and
Dependency Act, or |
Section 10 of the Steroid Control Act. |
(8) If the petitioner has been granted a certificate of |
innocence under Section 2-702 of the Code of Civil |
Procedure, the court that grants the certificate of |
innocence shall also enter an order expunging the |
conviction for which the petitioner has been determined to |
be innocent as provided in subsection (h) of Section 2-702 |
of the Code of Civil Procedure. |
(c) Sealing. |
(1) Applicability. Notwithstanding any other provision |
of this Act to the contrary, and cumulative with any rights |
to expungement of criminal records, this subsection |
authorizes the sealing of criminal records of adults and of |
minors prosecuted as adults. |
(2) Eligible Records. The following records may be |
sealed: |
(A) All arrests resulting in release without |
charging; |
(B) Arrests or charges not initiated by arrest |
resulting in acquittal, dismissal, or conviction when |
the conviction was reversed or vacated, except as |
excluded by subsection (a)(3)(B); |
|
(C) Arrests or charges not initiated by arrest |
resulting in orders of supervision successfully |
completed by the petitioner, unless excluded by |
subsection (a)(3); |
(D) Arrests or charges not initiated by arrest |
resulting in convictions unless excluded by subsection |
(a)(3); |
(E) Arrests or charges not initiated by arrest |
resulting in orders of first offender probation under |
Section 10 of the Cannabis Control Act, Section 410 of |
the Illinois Controlled Substances Act, Section 70 of |
the Methamphetamine Control and Community Protection |
Act, or Section 5-6-3.3 of the Unified Code of |
Corrections; and |
(F) Arrests or charges not initiated by arrest |
resulting in felony convictions for the following |
offenses: |
(i) Class 4 felony convictions for: |
Prostitution under Section 11-14 of the |
Criminal Code of 1961 or the Criminal Code of |
2012. |
Possession of cannabis under Section 4 of |
the Cannabis Control Act. |
Possession of a controlled substance under |
Section 402 of the Illinois Controlled |
Substances Act. |
|
Offenses under the Methamphetamine |
Precursor Control Act. |
Offenses under the Steroid Control Act. |
Theft under Section 16-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Retail theft under Section 16A-3 or |
paragraph (a) of 16-25 of the Criminal Code of |
1961 or the Criminal Code of 2012. |
Deceptive practices under Section 17-1 of |
the Criminal Code of 1961 or the Criminal Code |
of 2012. |
Forgery under Section 17-3 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Possession of burglary tools under Section |
19-2 of the Criminal Code of 1961 or the |
Criminal Code of 2012. |
(ii) Class 3 felony convictions for: |
Theft under Section 16-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Retail theft under Section 16A-3 or |
paragraph (a) of 16-25 of the Criminal Code of |
1961 or the Criminal Code of 2012. |
Deceptive practices under Section 17-1 of |
the Criminal Code of 1961 or the Criminal Code |
of 2012. |
Forgery under Section 17-3 of the Criminal |
|
Code of 1961 or the Criminal Code of 2012. |
Possession with intent to manufacture or |
deliver a controlled substance under Section |
401 of the Illinois Controlled Substances Act. |
(3) When Records Are Eligible to Be Sealed. Records |
identified as eligible under subsection (c)(2) may be |
sealed as follows: |
(A) Records identified as eligible under |
subsection (c)(2)(A) and (c)(2)(B) may be sealed at any |
time. |
(B) Records identified as eligible under |
subsection (c)(2)(C) may be sealed
(i) 3 years after |
the termination of petitioner's last sentence (as |
defined in subsection (a)(1)(F)) if the petitioner has |
never been convicted of a criminal offense (as defined |
in subsection (a)(1)(D)); or
(ii) 4 years after the |
termination of the petitioner's last sentence (as |
defined in subsection (a)(1)(F)) if the petitioner has |
ever been convicted of a criminal offense (as defined |
in subsection (a)(1)(D)). |
(C) Records identified as eligible under |
subsections (c)(2)(D), (c)(2)(E), and (c)(2)(F) may be |
sealed 4 years after the termination of the |
petitioner's last sentence (as defined in subsection |
(a)(1)(F)). |
(D) Records identified in subsection |
|
(a)(3)(A)(iii) may be sealed after the petitioner has |
reached the age of 25 years. |
(4) Subsequent felony convictions. A person may not |
have
subsequent felony conviction records sealed as |
provided in this subsection
(c) if he or she is convicted |
of any felony offense after the date of the
sealing of |
prior felony convictions as provided in this subsection |
(c). The court may, upon conviction for a subsequent felony |
offense, order the unsealing of prior felony conviction |
records previously ordered sealed by the court. |
(5) Notice of eligibility for sealing. Upon entry of a |
disposition for an eligible record under this subsection |
(c), the petitioner shall be informed by the court of the |
right to have the records sealed and the procedures for the |
sealing of the records. |
(d) Procedure. The following procedures apply to |
expungement under subsections (b), (e), and (e-6) and sealing |
under subsections (c) and (e-5): |
(1) Filing the petition. Upon becoming eligible to |
petition for
the expungement or sealing of records under |
this Section, the petitioner shall file a petition |
requesting the expungement
or sealing of records with the |
clerk of the court where the arrests occurred or the |
charges were brought, or both. If arrests occurred or |
charges were brought in multiple jurisdictions, a petition |
must be filed in each such jurisdiction. The petitioner |
|
shall pay the applicable fee, if not waived. |
(2) Contents of petition. The petition shall be
|
verified and shall contain the petitioner's name, date of
|
birth, current address and, for each arrest or charge not |
initiated by
arrest sought to be sealed or expunged, the |
case number, the date of
arrest (if any), the identity of |
the arresting authority, and such
other information as the |
court may require. During the pendency
of the proceeding, |
the petitioner shall promptly notify the
circuit court |
clerk of any change of his or her address. If the |
petitioner has received a certificate of eligibility for |
sealing from the Prisoner Review Board under paragraph (10) |
of subsection (a) of Section 3-3-2 of the Unified Code of |
Corrections, the certificate shall be attached to the |
petition. |
(3) Drug test. The petitioner must attach to the |
petition proof that the petitioner has passed a test taken |
within 30 days before the filing of the petition showing |
the absence within his or her body of all illegal |
substances as defined by the Illinois Controlled |
Substances Act, the Methamphetamine Control and Community |
Protection Act, and the Cannabis Control Act if he or she |
is petitioning to: |
(A) seal felony records under clause (c)(2)(E); |
(B) seal felony records for a violation of the |
Illinois Controlled Substances Act, the |
|
Methamphetamine Control and Community Protection Act, |
or the Cannabis Control Act under clause (c)(2)(F); |
(C) seal felony records under subsection (e-5); or |
(D) expunge felony records of a qualified |
probation under clause (b)(1)(B)(iv). |
(4) Service of petition. The circuit court clerk shall |
promptly
serve a copy of the petition and documentation to |
support the petition under subsection (e), (e-5), or (e-6) |
on the State's Attorney or
prosecutor charged with the duty |
of prosecuting the
offense, the Department of State Police, |
the arresting
agency and the chief legal officer of the |
unit of local
government effecting the arrest. |
(5) Objections. |
(A) Any party entitled to notice of the petition |
may file an objection to the petition. All objections |
shall be in writing, shall be filed with the circuit |
court clerk, and shall state with specificity the basis |
of the objection. |
(B) Objections to a petition to expunge or seal |
must be filed within 60 days of the date of service of |
the petition. |
(6) Entry of order. |
(A) The Chief Judge of the circuit wherein the |
charge was brought, any judge of that circuit |
designated by the Chief Judge, or in counties of less |
than 3,000,000 inhabitants, the presiding trial judge |
|
at the petitioner's trial, if any, shall rule on the |
petition to expunge or seal as set forth in this |
subsection (d)(6). |
(B) Unless the State's Attorney or prosecutor, the |
Department of
State Police, the arresting agency, or |
the chief legal officer
files an objection to the |
petition to expunge or seal within 60 days from the |
date of service of the petition, the court shall enter |
an order granting or denying the petition. |
(7) Hearings. If an objection is filed, the court shall |
set a date for a hearing and notify the petitioner and all |
parties entitled to notice of the petition of the hearing |
date at least 30 days prior to the hearing. Prior to the |
hearing, the State's Attorney shall consult with the |
Department as to the appropriateness of the relief sought |
in the petition to expunge or seal. At the hearing, the |
court shall hear evidence on whether the petition should or |
should not be granted, and shall grant or deny the petition |
to expunge or seal the records based on the evidence |
presented at the hearing. The court may consider the |
following: |
(A) the strength of the evidence supporting the |
defendant's conviction; |
(B) the reasons for retention of the conviction |
records by the State; |
(C) the petitioner's age, criminal record history, |
|
and employment history; |
(D) the period of time between the petitioner's |
arrest on the charge resulting in the conviction and |
the filing of the petition under this Section; and |
(E) the specific adverse consequences the |
petitioner may be subject to if the petition is denied. |
(8) Service of order. After entering an order to |
expunge or
seal records, the court must provide copies of |
the order to the
Department, in a form and manner |
prescribed by the Department,
to the petitioner, to the |
State's Attorney or prosecutor
charged with the duty of |
prosecuting the offense, to the
arresting agency, to the |
chief legal officer of the unit of
local government |
effecting the arrest, and to such other
criminal justice |
agencies as may be ordered by the court. |
(9) Implementation of order. |
(A) Upon entry of an order to expunge records |
pursuant to (b)(2)(A) or (b)(2)(B)(ii), or both: |
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency, |
the Department, and any other agency as ordered by |
the court, within 60 days of the date of service of |
the order, unless a motion to vacate, modify, or |
reconsider the order is filed pursuant to |
paragraph (12) of subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
|
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
circuit court clerk before the entry of the order; |
and |
(iii) in response to an inquiry for expunged |
records, the court, the Department, or the agency |
receiving such inquiry, shall reply as it does in |
response to inquiries when no records ever |
existed. |
(B) Upon entry of an order to expunge records |
pursuant to (b)(2)(B)(i) or (b)(2)(C), or both: |
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency |
and any other agency as ordered by the court, |
within 60 days of the date of service of the order, |
unless a motion to vacate, modify, or reconsider |
the order is filed pursuant to paragraph (12) of |
subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
|
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
circuit court clerk before the entry of the order; |
(iii) the records shall be impounded by the
|
Department within 60 days of the date of service of |
the order as ordered by the court, unless a motion |
to vacate, modify, or reconsider the order is filed |
pursuant to paragraph (12) of subsection (d) of |
this Section; |
(iv) records impounded by the Department may |
be disseminated by the Department only as required |
by law or to the arresting authority, the State's |
Attorney, and the court upon a later arrest for the |
same or a similar offense or for the purpose of |
sentencing for any subsequent felony, and to the |
Department of Corrections upon conviction for any |
offense; and |
(v) in response to an inquiry for such records |
from anyone not authorized by law to access such |
records , the court, the Department, or the agency |
receiving such inquiry shall reply as it does in |
response to inquiries when no records ever |
existed. |
(B-5) Upon entry of an order to expunge records |
under subsection (e-6): |
|
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency |
and any other agency as ordered by the court, |
within 60 days of the date of service of the order, |
unless a motion to vacate, modify, or reconsider |
the order is filed under paragraph (12) of |
subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
circuit court clerk before the entry of the order; |
(iii) the records shall be impounded by the
|
Department within 60 days of the date of service of |
the order as ordered by the court, unless a motion |
to vacate, modify, or reconsider the order is filed |
under paragraph (12) of subsection (d) of this |
Section; |
(iv) records impounded by the Department may |
be disseminated by the Department only as required |
by law or to the arresting authority, the State's |
Attorney, and the court upon a later arrest for the |
same or a similar offense or for the purpose of |
|
sentencing for any subsequent felony, and to the |
Department of Corrections upon conviction for any |
offense; and |
(v) in response to an inquiry for these records |
from anyone not authorized by law to access the |
records , the court, the Department, or the agency |
receiving the inquiry shall reply as it does in |
response to inquiries when no records ever |
existed. |
(C) Upon entry of an order to seal records under |
subsection
(c), the arresting agency, any other agency |
as ordered by the court, the Department, and the court |
shall seal the records (as defined in subsection |
(a)(1)(K)). In response to an inquiry for such records |
from anyone not authorized by law to access such |
records , the court, the Department, or the agency |
receiving such inquiry shall reply as it does in |
response to inquiries when no records ever existed. |
(D) The Department shall send written notice to the |
petitioner of its compliance with each order to expunge |
or seal records within 60 days of the date of service |
of that order or, if a motion to vacate, modify, or |
reconsider is filed, within 60 days of service of the |
order resolving the motion, if that order requires the |
Department to expunge or seal records. In the event of |
an appeal from the circuit court order, the Department |
|
shall send written notice to the petitioner of its |
compliance with an Appellate Court or Supreme Court |
judgment to expunge or seal records within 60 days of |
the issuance of the court's mandate. The notice is not |
required while any motion to vacate, modify, or |
reconsider, or any appeal or petition for |
discretionary appellate review, is pending. |
(10) Fees. The Department may charge the petitioner a |
fee equivalent to the cost of processing any order to |
expunge or seal records. Notwithstanding any provision of |
the Clerks of Courts Act to the contrary, the circuit court |
clerk may charge a fee equivalent to the cost associated |
with the sealing or expungement of records by the circuit |
court clerk. From the total filing fee collected for the |
petition to seal or expunge, the circuit court clerk shall |
deposit $10 into the Circuit Court Clerk Operation and |
Administrative Fund, to be used to offset the costs |
incurred by the circuit court clerk in performing the |
additional duties required to serve the petition to seal or |
expunge on all parties. The circuit court clerk shall |
collect and forward the Department of State Police portion |
of the fee to the Department and it shall be deposited in |
the State Police Services Fund. |
(11) Final Order. No court order issued under the |
expungement or sealing provisions of this Section shall |
become final for purposes of appeal until 30 days after |
|
service of the order on the petitioner and all parties |
entitled to notice of the petition. |
(12) Motion to Vacate, Modify, or Reconsider. Under |
Section 2-1203 of the Code of Civil Procedure, the |
petitioner or any party entitled to notice may file a |
motion to vacate, modify, or reconsider the order granting |
or denying the petition to expunge or seal within 60 days |
of service of the order. If filed more than 60 days after |
service of the order, a petition to vacate, modify, or |
reconsider shall comply with subsection (c) of Section |
2-1401 of the Code of Civil Procedure. Upon filing of a |
motion to vacate, modify, or reconsider, notice of the |
motion shall be served upon the petitioner and all parties |
entitled to notice of the petition. |
(13) Effect of Order. An order granting a petition |
under the expungement or sealing provisions of this Section |
shall not be considered void because it fails to comply |
with the provisions of this Section or because of any error |
asserted in a motion to vacate, modify, or reconsider. The |
circuit court retains jurisdiction to determine whether |
the order is voidable and to vacate, modify, or reconsider |
its terms based on a motion filed under paragraph (12) of |
this subsection (d). |
(14) Compliance with Order Granting Petition to Seal |
Records. Unless a court has entered a stay of an order |
granting a petition to seal, all parties entitled to notice |
|
of the petition must fully comply with the terms of the |
order within 60 days of service of the order even if a |
party is seeking relief from the order through a motion |
filed under paragraph (12) of this subsection (d) or is |
appealing the order. |
(15) Compliance with Order Granting Petition to |
Expunge Records. While a party is seeking relief from the |
order granting the petition to expunge through a motion |
filed under paragraph (12) of this subsection (d) or is |
appealing the order, and unless a court has entered a stay |
of that order, the parties entitled to notice of the |
petition must seal, but need not expunge, the records until |
there is a final order on the motion for relief or, in the |
case of an appeal, the issuance of that court's mandate. |
(16) The changes to this subsection (d) made by Public |
Act 98-163 this amendatory Act of the 98th General Assembly |
apply to all petitions pending on August 5, 2013 ( the |
effective date of Public Act 98-163) this amendatory Act of |
the 98th General Assembly and to all orders ruling on a |
petition to expunge or seal on or after August 5, 2013 ( the |
effective date of Public Act 98-163) this amendatory Act of |
the 98th General Assembly . |
(e) Whenever a person who has been convicted of an offense |
is granted
a pardon by the Governor which specifically |
authorizes expungement, he or she may,
upon verified petition |
to the Chief Judge of the circuit where the person had
been |
|
convicted, any judge of the circuit designated by the Chief |
Judge, or in
counties of less than 3,000,000 inhabitants, the |
presiding trial judge at the
defendant's trial, have a court |
order entered expunging the record of
arrest from the official |
records of the arresting authority and order that the
records |
of the circuit court clerk and the Department be sealed until
|
further order of the court upon good cause shown or as |
otherwise provided
herein, and the name of the defendant |
obliterated from the official index
requested to be kept by the |
circuit court clerk under Section 16 of the Clerks
of Courts |
Act in connection with the arrest and conviction for the |
offense for
which he or she had been pardoned but the order |
shall not affect any index issued by
the circuit court clerk |
before the entry of the order. All records sealed by
the |
Department may be disseminated by the Department only to the |
arresting authority, the State's Attorney, and the court upon a |
later
arrest for the same or similar offense or for the purpose |
of sentencing for any
subsequent felony. Upon conviction for |
any subsequent offense, the Department
of Corrections shall |
have access to all sealed records of the Department
pertaining |
to that individual. Upon entry of the order of expungement, the
|
circuit court clerk shall promptly mail a copy of the order to |
the
person who was pardoned. |
(e-5) Whenever a person who has been convicted of an |
offense is granted a certificate of eligibility for sealing by |
the Prisoner Review Board which specifically authorizes |
|
sealing, he or she may, upon verified petition to the Chief |
Judge of the circuit where the person had been convicted, any |
judge of the circuit designated by the Chief Judge, or in |
counties of less than 3,000,000 inhabitants, the presiding |
trial judge at the petitioner's trial, have a court order |
entered sealing the record of arrest from the official records |
of the arresting authority and order that the records of the |
circuit court clerk and the Department be sealed until further |
order of the court upon good cause shown or as otherwise |
provided herein, and the name of the petitioner obliterated |
from the official index requested to be kept by the circuit |
court clerk under Section 16 of the Clerks of Courts Act in |
connection with the arrest and conviction for the offense for |
which he or she had been granted the certificate but the order |
shall not affect any index issued by the circuit court clerk |
before the entry of the order. All records sealed by the |
Department may be disseminated by the Department only as |
required by this Act or to the arresting authority, a law |
enforcement agency, the State's Attorney, and the court upon a |
later arrest for the same or similar offense or for the purpose |
of sentencing for any subsequent felony. Upon conviction for |
any subsequent offense, the Department of Corrections shall |
have access to all sealed records of the Department pertaining |
to that individual. Upon entry of the order of sealing, the |
circuit court clerk shall promptly mail a copy of the order to |
the person who was granted the certificate of eligibility for |
|
sealing. |
(e-6) Whenever a person who has been convicted of an |
offense is granted a certificate of eligibility for expungement |
by the Prisoner Review Board which specifically authorizes |
expungement, he or she may, upon verified petition to the Chief |
Judge of the circuit where the person had been convicted, any |
judge of the circuit designated by the Chief Judge, or in |
counties of less than 3,000,000 inhabitants, the presiding |
trial judge at the petitioner's trial, have a court order |
entered expunging the record of arrest from the official |
records of the arresting authority and order that the records |
of the circuit court clerk and the Department be sealed until |
further order of the court upon good cause shown or as |
otherwise provided herein, and the name of the petitioner |
obliterated from the official index requested to be kept by the |
circuit court clerk under Section 16 of the Clerks of Courts |
Act in connection with the arrest and conviction for the |
offense for which he or she had been granted the certificate |
but the order shall not affect any index issued by the circuit |
court clerk before the entry of the order. All records sealed |
by the Department may be disseminated by the Department only as |
required by this Act or to the arresting authority, a law |
enforcement agency, the State's Attorney, and the court upon a |
later arrest for the same or similar offense or for the purpose |
of sentencing for any subsequent felony. Upon conviction for |
any subsequent offense, the Department of Corrections shall |
|
have access to all expunged records of the Department |
pertaining to that individual. Upon entry of the order of |
expungement, the circuit court clerk shall promptly mail a copy |
of the order to the person who was granted the certificate of |
eligibility for expungement. |
(f) Subject to available funding, the Illinois Department
|
of Corrections shall conduct a study of the impact of sealing,
|
especially on employment and recidivism rates, utilizing a
|
random sample of those who apply for the sealing of their
|
criminal records under Public Act 93-211. At the request of the
|
Illinois Department of Corrections, records of the Illinois
|
Department of Employment Security shall be utilized as
|
appropriate to assist in the study. The study shall not
|
disclose any data in a manner that would allow the
|
identification of any particular individual or employing unit.
|
The study shall be made available to the General Assembly no
|
later than September 1, 2010.
|
(Source: P.A. 97-443, eff. 8-19-11; 97-698, eff. 1-1-13; |
97-1026, eff. 1-1-13; 97-1108, eff. 1-1-13; 97-1109, eff. |
1-1-13; 97-1118, eff. 1-1-13; 97-1120, eff. 1-1-13; 97-1150, |
eff. 1-25-13; 98-133, eff. 1-1-14; 98-142, eff. 1-1-14; 98-163, |
eff. 8-5-13; 98-164, eff. 1-1-14; 98-399, eff. 8-16-13; revised |
9-4-13.)
|
Section 110. The Governor's Office of Management and Budget |
Act is amended by changing Section 2.7 as follows:
|
|
(20 ILCS 3005/2.7)
|
Sec. 2.7. Securities information. To assist those entities |
underwriting
securities that are payable from State |
appropriations, whether issued by the
State or by others, by |
providing financial and other information regarding the
State |
to securities investors, nationally recognized securities |
information
repositories,
or the federal Municipal Securities |
Rulemaking Board, and to any State
information depository as |
required by the federal Securities and Exchange Act
of 1934 and |
the rules promulgated thereunder. The Governor's Office of
|
Management and Budget is the
only State office authorized to |
provide such
information.
|
(Source: P.A. 93-25, eff. 6-20-03; revised 9-4-13.)
|
Section 115. The Capital Development Board Act is amended |
by changing Section 14 as follows:
|
(20 ILCS 3105/14) (from Ch. 127, par. 783.01)
|
Sec. 14.
(a) It is the purpose of this Act to provide for |
the promotion
and preservation of the arts by securing suitable |
works of art for the
adornment of public buildings constructed |
or subjected to major renovation by
the State or which utilize |
State funds, and thereby reflecting the diverse cultural |
heritage of Illinois, with emphasis on the works of Illinois |
artists.
|
|
(b) As used in this Act , "works : "Works of art" shall apply |
to and include
paintings, prints, sculptures, graphics, mural |
decorations, stained glass,
statues, bas reliefs, ornaments, |
fountains, ornamental
gateways, or other creative works which |
reflect form, beauty and aesthetic
perceptions.
|
(c) Beginning with the fiscal year ending June 30, 1979, |
and for each
succeeding fiscal year thereafter, for |
construction projects managed by the Capital Development |
Board, the Capital Development Board shall set
aside 1/2 of 1 |
percent of the amount authorized and appropriated for
|
construction or reconstruction of each public building |
financed in whole or in
part by State funds and generally |
accessible to and used by the public for
purchase and placement |
of suitable works of art in such public buildings. The
location |
and character of the work or works of art to be installed in |
such
public buildings shall be determined by the Chairperson of |
the Illinois Arts Council, in consultation with the designing |
architect. The work or works of art shall be in a permanent and |
prominent location. .
|
(d) There is created a Fine Arts Review Committee |
consisting of the
designing
architect, the Chairperson of the |
Illinois Arts Council or his or her designee, who shall serve |
as the chair of the Committee, the
Director of the Illinois |
State Museum or his or her designee, and a representative of |
the using agency.
The Committee, after such study as it deems |
necessary, shall recommend three
artists or works of art in |
|
order of preference. The Chairperson of the Illinois Arts |
Council will make the final selection from among the |
recommendations
submitted. The Illinois Arts Council shall |
provide administrative support for the Fine Arts Review |
Committee and may promulgate rules to implement this |
subsection.
|
(e) Subsection (c) does not apply to construction projects |
for which the amount appropriated is less than $1,000,000.
|
(f) The Capital Development Board shall enter into a |
contract with the artist, or with the owner of the work or |
works of art, selected by the Chairperson of the Illinois Arts |
Council as provided in subsection (d) of this Section. The |
total amount of the contract or contracts shall not exceed the |
amount set aside pursuant to subsection (c) of this Section. If |
the Capital Development Board cannot reach an agreement with |
the artist or owner of the work or works of art, then the Board |
shall notify the Chairperson of the Illinois Arts Council, and |
the Chairperson may select a different artist or work or works |
of art from the three recommendations made by the Fine Arts |
Review Committee.
|
(Source: P.A. 98-572, eff. 1-1-14; revised 11-12-13.)
|
Section 120. The Illinois Emergency Management Agency Act |
is amended by changing Section 21 as follows:
|
(20 ILCS 3305/21) (from Ch. 127, par. 1071)
|
|
Sec. 21. No Private Liability.
|
(a) Any person owning or controlling
real estate or other |
premises who voluntarily and without compensation grants a
|
license or privilege, or otherwise permits the designation or |
use of the
whole or any part or parts of such real estate or |
premises for the purpose
of sheltering persons during an actual |
or impending disaster, or an a exercise together with his or |
her successors in
interest, if any, shall not be civilly liable |
for negligently causing the
death of, or injury to, any person |
on or about such real estate or premises
under such license, |
privilege or other permission, or for negligently
causing loss |
of, or damage to, the property of such person.
|
(b) Any private person, firm or corporation and employees |
and agents of such
person, firm or corporation in the |
performance of a contract with, and under
the direction of, the |
State, or any political
subdivision of the State under the |
provisions of this Act shall not be
civilly liable for causing |
the death of, or injury to, any person or damage
to any |
property except in the event of willful misconduct.
|
(c) Any private person, firm or corporation, and any |
employee or agent
of such person, firm or corporation, who |
renders assistance or advice at
the request of the State, or |
any political
subdivision of the State under this Act during an |
actual or impending
disaster, shall not be civilly liable for |
causing the death of, or injury
to, any person or damage to any |
property except in the event of willful
misconduct.
|
|
The immunities provided in this subsection (c) shall not |
apply to any
private person, firm or corporation, or to any |
employee or agent of such
person, firm or corporation
whose act |
or omission caused in whole or in part such actual or
impending |
disaster and who would otherwise be liable therefor.
|
(Source: P.A. 92-73, eff. 1-1-02; revised 10-7-13.)
|
Section 125. The Illinois Finance Authority Act is amended |
by changing Section 801-10 as follows:
|
(20 ILCS 3501/801-10)
|
Sec. 801-10. Definitions. The following terms, whenever |
used or referred
to
in this Act, shall have the following |
meanings, except in such instances where
the context may |
clearly indicate otherwise:
|
(a) The term "Authority" means the Illinois Finance |
Authority created by
this Act.
|
(b) The term "project" means an industrial project, |
conservation project, housing project, public
purpose project, |
higher education project, health facility project, cultural
|
institution project, municipal bond program project, |
agricultural facility or agribusiness, and "project" may
|
include any combination of one or more of the foregoing |
undertaken jointly by
any person with one or more other |
persons.
|
(c) The term "public purpose project" means any project or |
|
facility ,
including
without limitation land, buildings, |
structures, machinery, equipment and all
other real and |
personal property, which is authorized or required by law to be
|
acquired, constructed, improved, rehabilitated, reconstructed, |
replaced or
maintained by any unit of government or any other |
lawful public purpose which
is authorized or required by law to |
be undertaken by any unit of government.
|
(d) The term "industrial project" means the acquisition, |
construction,
refurbishment, creation, development or |
redevelopment of any facility,
equipment, machinery, real |
property or personal property for use by any
instrumentality of |
the State or its political subdivisions, for use by any
person |
or institution, public or private, for profit or not for |
profit, or for
use in any trade or business , including, but not |
limited to, any industrial,
manufacturing or commercial |
enterprise that is located within or outside the State, |
provided that, with respect to a project involving property |
located outside the State, the property must be owned, |
operated, leased or managed by an entity located within the |
State or an entity affiliated with an entity located within the |
State, and which is (1) a capital project ,
including , but not |
limited to: (i) land and any rights therein, one or more
|
buildings, structures or other improvements, machinery and |
equipment, whether
now existing or hereafter acquired, and |
whether or not located on the same site
or sites; (ii) all |
appurtenances and facilities incidental to the foregoing,
|
|
including, but not limited to , utilities, access roads, |
railroad sidings, track,
docking and similar facilities, |
parking facilities, dockage, wharfage, railroad
roadbed, |
track, trestle, depot, terminal, switching and signaling or |
related
equipment, site preparation and landscaping; and (iii) |
all non-capital costs
and expenses relating thereto or (2) any |
addition to, renovation,
rehabilitation or
improvement of a |
capital project or (3) any activity or undertaking within or |
outside the State, provided that, with respect to a project |
involving property located outside the State, the property must |
be owned, operated, leased or managed by an entity located |
within the State or an entity affiliated with an entity located |
within the State, which the
Authority determines will aid, |
assist or encourage economic growth, development
or |
redevelopment within the State or any area thereof, will |
promote the
expansion, retention or diversification of |
employment opportunities within the
State or any area thereof |
or will aid in stabilizing or developing any industry
or |
economic sector of the State economy. The term "industrial |
project" also
means the production of motion pictures.
|
(e) The term "bond" or "bonds" shall include bonds, notes |
(including bond,
grant or revenue anticipation notes), |
certificates and/or other evidences of
indebtedness |
representing an obligation to pay money, including refunding
|
bonds.
|
(f) The terms "lease agreement" and "loan agreement" shall |
|
mean: (i) an
agreement whereby a project acquired by the |
Authority by purchase, gift or
lease
is leased to any person, |
corporation or unit of local government which will use
or cause |
the project to be used as a project as heretofore defined upon |
terms
providing for lease rental payments at least sufficient |
to pay when due all
principal of, interest and premium, if any, |
on any bonds of the Authority
issued
with respect to such |
project, providing for the maintenance, insuring and
operation |
of the project on terms satisfactory to the Authority, |
providing for
disposition of the project upon termination of |
the lease term, including
purchase options or abandonment of |
the premises, and such other terms as may be
deemed desirable |
by the Authority, or (ii) any agreement pursuant to which the
|
Authority agrees to loan the proceeds of its bonds issued with |
respect to a
project or other funds of the Authority to any |
person which will use or cause
the project to be used as a |
project as heretofore defined upon terms providing
for loan |
repayment installments at least sufficient to pay when due all
|
principal of, interest and premium, if any, on any bonds of the |
Authority, if
any, issued with respect to the project, and |
providing for maintenance,
insurance and other matters as may |
be deemed desirable by the Authority.
|
(g) The term "financial aid" means the expenditure of |
Authority funds or
funds provided by the Authority through the |
issuance of its bonds, notes or
other
evidences of indebtedness |
or from other sources for the development,
construction, |
|
acquisition or improvement of a project.
|
(h) The term "person" means an individual, corporation, |
unit of government,
business trust, estate, trust, partnership |
or association, 2 or more persons
having a joint or common |
interest, or any other legal entity.
|
(i) The term "unit of government" means the federal |
government, the State or
unit of local government, a school |
district, or any agency or instrumentality,
office, officer, |
department, division, bureau, commission, college or
|
university thereof.
|
(j) The term "health facility" means: (a) any public or |
private institution,
place, building, or agency required to be |
licensed under the Hospital Licensing
Act; (b) any public or |
private institution, place, building, or agency required
to be |
licensed under the Nursing Home Care Act, the Specialized |
Mental Health Rehabilitation Act of 2013, or the ID/DD |
Community Care Act; (c)
any public or licensed private hospital |
as defined in the Mental Health and
Developmental Disabilities |
Code; (d) any such facility exempted from such
licensure when |
the Director of Public Health attests that such exempted
|
facility
meets the statutory definition of a facility subject |
to licensure; (e) any
other
public or private health service |
institution, place, building, or agency which
the Director of |
Public Health attests is subject to certification by the
|
Secretary, U.S. Department of Health and Human Services under |
the Social
Security Act, as now or hereafter amended, or which |
|
the Director of Public
Health attests is subject to |
standard-setting by a recognized public or
voluntary |
accrediting or standard-setting agency; (f) any public or |
private
institution, place, building or agency engaged in |
providing one or more
supporting services to a health facility; |
(g) any public or private
institution,
place, building or |
agency engaged in providing training in the healing arts,
|
including , but not limited to , schools of medicine, dentistry, |
osteopathy,
optometry, podiatry, pharmacy or nursing, schools |
for the training of x-ray,
laboratory or other health care |
technicians and schools for the training of
para-professionals |
in the health care field; (h) any public or private
congregate, |
life or extended care or elderly housing facility or any public |
or
private home for the aged or infirm, including, without |
limitation, any
Facility as defined in the Life Care Facilities |
Act; (i) any public or private
mental, emotional or physical |
rehabilitation facility or any public or private
educational, |
counseling, or rehabilitation facility or home, for those |
persons
with a developmental disability, those who are |
physically ill or disabled, the
emotionally disturbed, those |
persons with a mental illness or persons with
learning or |
similar disabilities or problems; (j) any public or private
|
alcohol, drug or substance abuse diagnosis, counseling |
treatment or
rehabilitation
facility, (k) any public or private |
institution, place, building or agency
licensed by the |
Department of Children and Family Services or which is not so
|
|
licensed but which the Director of Children and Family Services |
attests
provides child care, child welfare or other services of |
the type provided by
facilities
subject to such licensure; (l) |
any public or private adoption agency or
facility; and (m) any |
public or private blood bank or blood center. "Health
facility" |
also means a public or private structure or structures suitable
|
primarily for use as a laboratory, laundry, nurses or interns |
residence or
other housing or hotel facility used in whole or |
in part for staff, employees
or
students and their families, |
patients or relatives of patients admitted for
treatment or |
care in a health facility, or persons conducting business with |
a
health facility, physician's facility, surgicenter, |
administration building,
research facility, maintenance, |
storage or utility facility and all structures
or facilities |
related to any of the foregoing or required or useful for the
|
operation of a health facility, including parking or other |
facilities or other
supporting service structures required or |
useful for the orderly conduct of
such health facility. "Health |
facility" also means, with respect to a project located outside |
the State, any public or private institution, place, building, |
or agency which provides services similar to those described |
above, provided that such project is owned, operated, leased or |
managed by a participating health institution located within |
the State, or a participating health institution affiliated |
with an entity located within the State.
|
(k) The term "participating health institution" means (i) a |
|
private corporation
or association or (ii) a public entity of |
this State, in either case authorized by the laws of this
State |
or the applicable state to provide or operate a health facility |
as defined in this Act and which,
pursuant to the provisions of |
this Act, undertakes the financing, construction
or |
acquisition of a project or undertakes the refunding or |
refinancing of
obligations, loans, indebtedness or advances as |
provided in this Act.
|
(l) The term "health facility project", means a specific |
health facility
work
or improvement to be financed or |
refinanced (including without limitation
through reimbursement |
of prior expenditures), acquired, constructed, enlarged,
|
remodeled, renovated, improved, furnished, or equipped, with |
funds provided in
whole or in part hereunder, any accounts |
receivable, working capital, liability
or insurance cost or |
operating expense financing or refinancing program of a
health |
facility with or involving funds provided in whole or in part |
hereunder,
or any combination thereof.
|
(m) The term "bond resolution" means the resolution or |
resolutions
authorizing the issuance of, or providing terms and |
conditions related to,
bonds issued
under this Act and |
includes, where appropriate, any trust agreement, trust
|
indenture, indenture of mortgage or deed of trust providing |
terms and
conditions for such bonds.
|
(n) The term "property" means any real, personal or mixed |
property, whether
tangible or intangible, or any interest |
|
therein, including, without limitation,
any real estate, |
leasehold interests, appurtenances, buildings, easements,
|
equipment, furnishings, furniture, improvements, machinery, |
rights of way,
structures, accounts, contract rights or any |
interest therein.
|
(o) The term "revenues" means, with respect to any project, |
the rents, fees,
charges, interest, principal repayments, |
collections and other income or profit
derived therefrom.
|
(p) The term "higher education project" means, in the case |
of a private
institution of higher education, an educational |
facility to be acquired,
constructed, enlarged, remodeled, |
renovated, improved, furnished, or equipped,
or any |
combination thereof.
|
(q) The term "cultural institution project" means, in the |
case of a cultural
institution, a cultural facility to be |
acquired, constructed, enlarged,
remodeled, renovated, |
improved, furnished, or equipped, or any combination
thereof.
|
(r) The term "educational facility" means any property |
located within the
State, or any property located outside the |
State, provided that, if the property is located outside the |
State, it must be owned, operated, leased or managed by an |
entity located within the State or an entity affiliated with an |
entity located within the State, in each case
constructed or |
acquired before or after the effective date of this Act, which
|
is
or will be, in whole or in part, suitable for the |
instruction, feeding,
recreation or housing of students, the |
|
conducting of research or other work of
a
private institution |
of higher education, the use by a private institution of
higher |
education in connection with any educational, research or |
related or
incidental activities then being or to be conducted |
by it, or any combination
of the foregoing, including, without |
limitation, any such property suitable for
use as or in |
connection with any one or more of the following: an academic
|
facility, administrative facility, agricultural facility, |
assembly hall,
athletic facility, auditorium, boating |
facility, campus, communication
facility,
computer facility, |
continuing education facility, classroom, dining hall,
|
dormitory, exhibition hall, fire fighting facility, fire |
prevention facility,
food service and preparation facility, |
gymnasium, greenhouse, health care
facility, hospital, |
housing, instructional facility, laboratory, library,
|
maintenance facility, medical facility, museum, offices, |
parking area,
physical education facility, recreational |
facility, research facility, stadium,
storage facility, |
student union, study facility, theatre or utility.
|
(s) The term "cultural facility" means any property located |
within the State, or any property located outside the State, |
provided that, if the property is located outside the State, it |
must be owned, operated, leased or managed by an entity located |
within the State or an entity affiliated with an entity located |
within the State, in each case
constructed or acquired before |
or after the effective date of this Act, which
is or will be, |
|
in whole or in part, suitable for the particular purposes or
|
needs
of a cultural institution, including, without |
limitation, any such property
suitable for use as or in |
connection with any one or more of the following: an
|
administrative facility, aquarium, assembly hall, auditorium, |
botanical garden,
exhibition hall, gallery, greenhouse, |
library, museum, scientific laboratory,
theater or zoological |
facility, and shall also include, without limitation,
books, |
works of art or music, animal, plant or aquatic life or other |
items for
display, exhibition or performance. The term |
"cultural facility" includes
buildings on the National |
Register of Historic Places which are owned or
operated by |
nonprofit entities.
|
(t) "Private institution of higher education" means a |
not-for-profit
educational institution which is not owned by |
the State or any political
subdivision, agency, |
instrumentality, district or municipality thereof, which
is
|
authorized by law to provide a program of education beyond the |
high school
level
and which:
|
(1) Admits as regular students only individuals having |
a
certificate of graduation from a high school, or the |
recognized equivalent of
such a certificate;
|
(2) Provides an educational program for which it awards |
a
bachelor's degree, or provides an educational program, |
admission into which is
conditioned upon the prior |
attainment of a bachelor's degree or its equivalent,
for |
|
which it awards a postgraduate degree, or provides not less |
than a 2-year
program which is acceptable for full credit |
toward such a degree, or offers a
2-year program in |
engineering, mathematics, or the physical or biological
|
sciences
which is designed to prepare the student to work |
as a technician and at a
semiprofessional level in |
engineering, scientific, or other technological
fields
|
which require the understanding and application of basic |
engineering,
scientific, or mathematical principles or |
knowledge;
|
(3) Is accredited by a nationally recognized |
accrediting agency or
association or, if not so accredited, |
is an institution whose credits are
accepted, on transfer, |
by not less than 3 institutions which are so accredited,
|
for credit on the same basis as if transferred from an |
institution so
accredited, and holds an unrevoked |
certificate of approval under the Private
College Act from |
the Board of Higher Education, or is qualified as a
"degree |
granting institution" under the Academic Degree Act; and
|
(4) Does not discriminate in the admission of students |
on the basis
of race or color.
"Private institution of |
higher education" also includes any "academic
|
institution".
|
(u) The term "academic institution" means any |
not-for-profit institution
which
is not owned by the State or |
any political subdivision, agency,
instrumentality,
district |
|
or municipality thereof, which institution engages in, or |
facilitates
academic, scientific, educational or professional |
research or learning in a
field or fields of study taught at a |
private institution of higher education.
Academic institutions |
include, without limitation, libraries, archives,
academic, |
scientific, educational or professional societies, |
institutions,
associations or foundations having such |
purposes.
|
(v) The term "cultural institution" means any |
not-for-profit institution
which
is not owned by the State or |
any political subdivision, agency,
instrumentality,
district |
or municipality thereof, which institution engages in the |
cultural,
intellectual, scientific, educational or artistic |
enrichment of the people of
the State. Cultural institutions |
include, without limitation, aquaria,
botanical societies, |
historical societies, libraries, museums, performing arts
|
associations or societies, scientific societies and zoological |
societies.
|
(w) The term "affiliate" means, with respect to financing |
of an agricultural
facility or an agribusiness, any lender, any |
person, firm or corporation
controlled by, or under common |
control with, such lender, and any person, firm
or corporation |
controlling such lender.
|
(x) The term "agricultural facility" means land, any |
building or other
improvement thereon or thereto, and any |
personal properties deemed necessary or
suitable for use, |
|
whether or not now in existence, in farming, ranching, the
|
production of agricultural commodities (including, without |
limitation, the
products of aquaculture, hydroponics and |
silviculture) or the treating,
processing or storing of such |
agricultural commodities when such activities are
customarily |
engaged in by farmers as a part of farming and which land, |
building, improvement or personal property is located within |
the State, or is located outside the State, provided , that , if |
such property is located outside the State, it must be owned, |
operated, leased, or managed by an entity located within the |
State or an entity affiliated with an entity located within the |
State.
|
(y) The term "lender" with respect to financing of an |
agricultural facility
or an agribusiness, means any federal or |
State chartered bank, Federal Land
Bank,
Production Credit |
Association, Bank for Cooperatives, federal or State
chartered |
savings and loan association or building and loan association, |
Small
Business
Investment Company or any other institution |
qualified within this State to
originate and service loans, |
including, but without limitation to, insurance
companies, |
credit unions and mortgage loan companies. "Lender" also means |
a
wholly owned subsidiary of a manufacturer, seller or |
distributor of goods or
services that makes loans to businesses |
or individuals, commonly known as a
"captive finance company".
|
(z) The term "agribusiness" means any sole proprietorship, |
limited
partnership, co-partnership, joint venture, |
|
corporation or cooperative which
operates or will operate a |
facility located within the State or outside the State, |
provided , that , if any facility is located outside the State, |
it must be owned, operated, leased, or managed by an entity |
located within the State or an entity affiliated with an entity |
located within the State, that
is related to the
processing of |
agricultural commodities (including, without limitation, the
|
products of aquaculture, hydroponics and silviculture) or the |
manufacturing,
production or construction of agricultural |
buildings, structures, equipment,
implements, and supplies, or |
any other facilities or processes used in
agricultural |
production. Agribusiness includes but is not limited to the
|
following:
|
(1) grain handling and processing, including grain |
storage,
drying, treatment, conditioning, mailing and |
packaging;
|
(2) seed and feed grain development and processing;
|
(3) fruit and vegetable processing, including |
preparation, canning
and packaging;
|
(4) processing of livestock and livestock products, |
dairy products,
poultry and poultry products, fish or |
apiarian products, including slaughter,
shearing, |
collecting, preparation, canning and packaging;
|
(5) fertilizer and agricultural chemical |
manufacturing,
processing, application and supplying;
|
(6) farm machinery, equipment and implement |
|
manufacturing and
supplying;
|
(7) manufacturing and supplying of agricultural |
commodity
processing machinery and equipment, including |
machinery and equipment used in
slaughter, treatment, |
handling, collecting, preparation, canning or packaging
of |
agricultural commodities;
|
(8) farm building and farm structure manufacturing, |
construction
and supplying;
|
(9) construction, manufacturing, implementation, |
supplying or
servicing of irrigation, drainage and soil and |
water conservation devices or
equipment;
|
(10) fuel processing and development facilities that |
produce fuel
from agricultural commodities or byproducts;
|
(11) facilities and equipment for processing and |
packaging
agricultural commodities specifically for |
export;
|
(12) facilities and equipment for forestry product |
processing and
supplying, including sawmilling operations, |
wood chip operations, timber
harvesting operations, and |
manufacturing of prefabricated buildings, paper,
furniture |
or other goods from forestry products;
|
(13) facilities and equipment for research and |
development of
products, processes and equipment for the |
production, processing, preparation
or packaging of |
agricultural commodities and byproducts.
|
(aa) The term "asset" with respect to financing of any |
|
agricultural facility
or
any agribusiness, means, but is not |
limited to the following: cash crops or
feed on hand; livestock |
held for sale; breeding stock; marketable bonds and
securities; |
securities not readily marketable; accounts receivable; notes
|
receivable; cash invested in growing crops; net cash value of |
life insurance;
machinery and equipment; cars and trucks; farm |
and other real estate including
life estates and personal |
residence; value of beneficial interests in trusts;
government |
payments or grants; and any other assets.
|
(bb) The term "liability" with respect to financing of any |
agricultural
facility or any agribusiness shall include, but |
not be limited to the
following:
accounts payable; notes or |
other indebtedness owed to any source; taxes; rent;
amounts |
owed on real estate contracts or real estate mortgages; |
judgments;
accrued interest payable; and any other liability.
|
(cc) The term "Predecessor Authorities" means those |
authorities as described
in Section 845-75.
|
(dd) The term "housing project" means a specific work or |
improvement located within the State or outside the State and
|
undertaken
to provide residential dwelling accommodations, |
including the acquisition,
construction or rehabilitation of |
lands, buildings and community facilities and
in connection |
therewith to provide nonhousing facilities which are part of |
the
housing project, including land, buildings, improvements, |
equipment and all
ancillary facilities for use for offices, |
stores, retirement homes, hotels,
financial institutions, |
|
service, health care, education, recreation or research
|
establishments, or any other commercial purpose which are or |
are to be related
to a housing development, provided that any |
work or improvement located outside the State is owned, |
operated, leased or managed by an entity located within the |
State, or any entity affiliated with an entity located within |
the State. |
(ee) The term "conservation project" means any project |
including the acquisition, construction, rehabilitation, |
maintenance, operation, or upgrade that is intended to create |
or expand open space or to reduce energy usage through |
efficiency measures. For the purpose of this definition, "open |
space" has the definition set forth under Section 10 of the |
Illinois Open Land Trust Act.
|
(ff) The term "significant presence" means the existence |
within the State of the national or regional headquarters of an |
entity or group or such other facility of an entity or group of |
entities where a significant amount of the business functions |
are performed for such entity or group of entities. |
(gg) The term "municipal bond issuer" means the State or |
any other state or commonwealth of the United States, or any |
unit of local government, school district, agency or |
instrumentality, office, department, division, bureau, |
commission, college or university thereof located in the State |
or any other state or commonwealth of the United States. |
(hh) The term "municipal bond program project" means a |
|
program for the funding of the purchase of bonds, notes or |
other obligations issued by or on behalf of a municipal bond |
issuer. |
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-90, eff. 7-15-13; 98-104, eff. 7-22-13; |
revised 8-9-13.)
|
Section 130. The Illinois Power Agency Act is amended by |
changing Sections 1-57 and 1-92 as follows: |
(20 ILCS 3855/1-57)
|
Sec. 1-57. Facility financing. |
(a) The Agency shall have the power (1) to borrow from the |
Authority, through one or more Agency loan agreements, the net |
proceeds of revenue bonds for costs incurred in connection with |
the development and construction of a facility, provided that |
the stated maturity date of any of those revenue bonds shall |
not exceed 40 years from their respective issuance dates, (2) |
to accept prepayments from purchasers of electric energy from a |
project and to apply the same to costs incurred in connection |
with the development and construction of a facility, subject to |
any obligation to refund the same under the circumstances |
specified in the purchasers' contract for the purchase and sale |
of electric energy from that project, (3) to enter into leases |
or similar arrangements to finance the property constituting a |
part of a project and associated costs incurred in connection |
|
with the development and construction of a facility, provided |
that the term of any such lease or similar arrangement shall |
not exceed 40 years from its inception, and (4) to enter into |
agreements for the sale of revenue bonds that bear interest at |
a rate or rates not exceeding the maximum rate permitted by the |
Bond Authorization Act. All Agency loan agreements shall |
include terms making the obligations thereunder subject to |
redemption before maturity. |
(b) The Agency may from time to time engage the services of |
the Authority, attorneys, appraisers, architects, engineers, |
accountants, credit analysts, bond underwriters, bond |
trustees, credit enhancement providers, and other financial |
professionals and consultants, if the Agency deems it |
advisable. |
(c) The Agency may pledge, as security for the payment of |
its revenue bonds in respect of a project, (1) revenues derived |
from the operation of the project in part or whole, (2) the |
real and personal property, machinery, equipment, structures, |
fixtures, and inventories directly associated with the |
project, (3) grants or other revenues or taxes expected to be |
received by the Agency directly linked to the project, (4) |
payments to be made by another governmental unit or other |
entity pursuant to a service, user, or other similar agreement |
with that governmental unit or other entity that is a result of |
the project, (5) any other revenues or moneys deposited or to |
be deposited directly linked to the project, (6) all design, |
|
engineering, procurement, construction, installation, |
management, and operation agreements associated with the |
project, (7) any reserve or debt service funds created under |
the agreements governing the indebtedness, (8) the Illinois |
Power Agency Facilities Fund or the Illinois Power Agency Debt |
Service Fund, or (9) any combination thereof. Any such pledge |
shall be authorized in a writing, signed by the Director of the |
Agency, and then signed by the Governor of Illinois. At no time |
shall the funds contained in the Illinois Power Agency Trust |
Fund be pledged or used in any way to pay for the indebtedness |
of the Agency. The Director shall not authorize the issuance or |
grant of any pledge until he or she has certified that any |
associated project is in full compliance with Sections 1-85 and |
1-86 of this Act. The certification shall be duly attached or |
referenced in the agreements reflecting the pledge. Any such |
pledge made by the Agency shall be valid and binding from the |
time the pledge is made. The revenues, property, or funds that |
are pledged and thereafter received by the Agency shall |
immediately be subject to the lien of the pledge without any |
physical delivery thereof or further act; and, subject only to |
the provisions of prior liens, the lien of the pledge shall be |
valid and binding as against all parties having claims of any |
kind in tort, contract, or otherwise against the Agency |
irrespective of whether the parties have notice thereof. All |
bonds issued on behalf of the Agency must be issued by the |
Authority and must be revenue bonds. These revenue bonds may be |
|
taxable or tax-exempt. |
(d) All indebtedness issued by or on behalf of the Agency, |
including, without limitation, any revenue bonds issued by the |
Authority on behalf of the Agency, shall not be a debt of the |
State, the Authority, any political subdivision thereof (other |
than the Agency to the extent provided in agreements governing |
the indebtedness), any local government, any governmental |
aggregator as defined in the this Act, or any local government, |
and none of the State, the Authority, any political subdivision |
thereof (other than the Agency to the extent provided in |
agreements governing the indebtedness), any local government, |
or any government aggregator shall be liable thereon. Neither |
the Authority nor the Agency shall have the power to pledge the |
credit, the revenues, or the taxing power of the State, any |
political subdivision thereof (other than the Agency), any |
governmental aggregator, or of any local government, and |
neither the credit, the revenues, nor the taxing power of the |
State, any political subdivision thereof (other than the |
Agency), any governmental aggregator, or any local government |
shall be, or shall be deemed to be, pledged to the payment of |
any revenue bonds, notes, or other obligations of the Agency. |
In addition, the agreements governing any issue of indebtedness |
shall provide that all holders of that indebtedness, by virtue |
of their acquisition thereof, have agreed to waive and release |
all claims and causes of action against the State of Illinois |
in respect of the indebtedness or any project associated |
|
therewith based on any theory of law. However, the waiver shall |
not prohibit the holders of indebtedness issued on behalf of |
the Agency from filing any cause of action against or |
recovering damages from the Agency, recovering from any |
property or funds pledged to secure the indebtedness, or |
recovering from any property or funds to which the Agency holds |
title, provided the property or funds are directly associated |
with the project for which the indebtedness was specifically |
issued. Each evidence of indebtedness of the Agency, including |
the revenue bonds issued by the Authority on behalf of the |
Agency, shall contain a clear and explicit statement of the |
provisions of this Section. |
(e) The Agency may from time to time enter into an |
agreement or agreements to defease indebtedness issued on its |
behalf or to refund, at maturity, at a redemption date or in |
advance of either, any indebtedness issued on its behalf or |
pursuant to redemption provisions or at any time before |
maturity. All such refunding indebtedness shall be subject to |
the requirements set forth in subsections (a), (c), and (d) of |
this Section. No revenue bonds issued to refund or advance |
refund revenue bonds issued under this Section may mature later |
than the longest maturity date of the series of bonds being |
refunded. After the aggregate original principal amount of |
revenue bonds authorized in this Section has been issued, the |
payment of any principal amount of those revenue bonds does not |
authorize the issuance of additional revenue bonds (except |
|
refunding revenue bonds). |
(f) If the Agency fails to pay the principal of, interest, |
or premium, if any, on any indebtedness as the same becomes |
due, a civil action to compel payment may be instituted in the |
appropriate circuit court by the holder or holders of the |
indebtedness on which the default of payment exists or by any |
administrative agent, collateral agent, or indenture trustee |
acting on behalf of those holders. Delivery of a summons and a |
copy of the complaint to the Director of the Agency shall |
constitute sufficient service to give the circuit court |
jurisdiction over the subject matter of the suit and |
jurisdiction over the Agency and its officers named as |
defendants for the purpose of compelling that payment. Any |
case, controversy, or cause of action concerning the validity |
of this Act shall relate to the revenue of the Agency. Any such |
claims and related proceedings are subject in all respects to |
the provisions of subsection (d) of this Section. The State of |
Illinois shall not be liable or in any other way financially |
responsible for any indebtedness issued by or on behalf of the |
Agency or the performance or non-performance of any covenants |
associated with any such indebtedness. The foregoing statement |
shall not prohibit the holders of any indebtedness issued on |
behalf of the Agency from filing any cause of action against or |
recovering damages from the Agency recovering from any property |
pledged to secure that indebtedness or recovering from any |
property or funds to which the Agency holds title provided such |
|
property or funds are directly associated with the project for |
which the indebtedness is specifically issued. |
(g) Upon each delivery of the revenue bonds authorized to |
be issued by the Authority under this Act, the Agency shall |
compute and certify to the State Comptroller the total amount |
of principal of and interest on the Agency loan agreement |
supporting the revenue bonds issued that will be payable in |
order to retire those revenue bonds and the amount of principal |
of and interest on the Agency loan agreement that will be |
payable on each payment date during the then current and each |
succeeding fiscal year. As soon as possible after the first day |
of each month, beginning on the date set forth in the Agency |
loan agreement where that date specifies when the Agency shall |
begin setting aside revenues and other moneys for repayment of |
the revenue bonds per the agreed to schedule, the Agency shall |
certify to the Comptroller and the Comptroller shall order |
transferred and the Treasurer shall transfer from the Illinois |
Power Agency Facilities Fund to the Illinois Power Agency Debt |
Service Fund for each month remaining in the State fiscal year |
a sum of money, appropriated for that purpose, equal to the |
result of the amount of principal of and interest on those |
revenue bonds payable on the next payment date divided by the |
number of full calendar months between the date of those |
revenue bonds, and the first such payment date, and thereafter |
divided by the number of months between each succeeding payment |
date after the first. The Comptroller is authorized and |
|
directed to draw warrants on the State Treasurer from the |
Illinois Power Agency Facilities Fund and the Illinois Power |
Agency Debt Service Fund for the amount of all payments of |
principal and interest on the Agency loan agreement relating to |
the Authority revenue bonds issued under this Act. The State |
Treasurer or the State Comptroller shall deposit or cause to be |
deposited any amount of grants or other revenues expected to be |
received by the Agency that the Agency has pledged to the |
payment of revenue bonds directly into the Illinois Power |
Agency Debt Service Fund.
|
(Source: P.A. 95-481, eff. 8-28-07; revised 9-12-13.) |
(20 ILCS 3855/1-92) |
Sec. 1-92. Aggregation of electrical load by |
municipalities, townships, and counties. |
(a) The corporate authorities of a municipality, township |
board, or county board of a county
may
adopt an ordinance under |
which it may aggregate in accordance with this
Section |
residential and small commercial retail electrical loads |
located, respectively, within the
municipality, the township, |
or the unincorporated areas of the county and, for that |
purpose, may solicit bids and enter into service
agreements to |
facilitate
for those
loads the sale and purchase of electricity |
and related services and equipment. |
The corporate authorities, township board, or county
board |
may also exercise such authority jointly with any other |
|
municipality, township, or county.
Two or
more
municipalities, |
townships, or counties, or a combination of both, may initiate |
a
process
jointly to authorize aggregation by a majority vote |
of each particular
municipality, township, or
county as |
required by this Section. |
If the corporate authorities, township board, or the county |
board seek to operate the aggregation program as an opt-out |
program for residential and small commercial retail customers, |
then prior to the adoption of an ordinance with respect to |
aggregation of residential and small commercial retail |
electric loads, the corporate authorities of a municipality, |
the township board, or the county board of a county shall |
submit a referendum to its residents to determine whether or |
not the aggregation program shall operate as an opt-out program |
for residential and small commercial retail customers. Any |
county board that seeks to submit such a referendum to its |
residents shall do so only in unincorporated areas of the |
county where no electric aggregation ordinance has been |
adopted. |
In addition to the notice and conduct requirements of the |
general election law, notice of the referendum shall state |
briefly the purpose of the referendum. The question of whether |
the corporate authorities, the township board, or the county |
board shall adopt an opt-out aggregation program for |
residential and small commercial retail customers shall be |
submitted to the electors of the municipality, township board, |
|
or county board at a regular election and approved by a |
majority of the electors voting on the question. The corporate |
authorities, township board, or county board must certify to |
the proper election authority, which must submit the question |
at an election in accordance with the Election Code. |
The election authority must submit the question in |
substantially the following form: |
Shall the (municipality, township, or county in which |
the question is being voted upon) have the authority to |
arrange for the supply of electricity for its residential |
and small commercial retail customers who have not opted |
out of such program? |
The election authority must record the votes as "Yes" or "No". |
If a majority of the electors voting on the question vote |
in the affirmative, then the corporate authorities, township |
board, or county board may implement an opt-out aggregation |
program for residential and small commercial retail customers. |
A referendum must pass in each particular municipality, |
township, or county that is engaged in the aggregation program. |
If the referendum fails, then the corporate authorities, |
township board, or county board shall operate the aggregation |
program as an opt-in program for residential and small |
commercial retail customers. |
An
ordinance under this Section shall specify whether the |
aggregation will occur
only with
the prior consent of each |
person owning, occupying, controlling, or using an
electric |
|
load
center proposed to be aggregated. Nothing in this Section,
|
however,
authorizes the aggregation of electric loads that are |
served or authorized to be served by an electric cooperative as |
defined by and pursuant to the Electric Supplier Act or loads |
served by a municipality that owns and operates its own |
electric distribution system. No
aggregation shall take
effect |
unless
approved by a majority of the members of the corporate |
authority, township board, or county board voting upon the |
ordinance.
|
A governmental aggregator under this Section is not a |
public utility or an
alternative retail electric supplier.
|
For purposes of this Section, "township" means the portion |
of a township that is an unincorporated portion of a county |
that is not otherwise a part of a municipality. In addition to |
such other limitations as are included in this Section, a |
township board shall only have authority to aggregate |
residential and small commercial customer loads in accordance |
with this Section if the county board of the county in which |
the township is located (i) is not also submitting a referendum |
to its residents at the same general election that the township |
board proposes to submit a referendum under this subsection |
(a), (ii) has not received authorization through passage of a |
referendum to operate an opt-out aggregation program for |
residential and small commercial retail customers under this |
subsection (a), and (iii) has not otherwise enacted an |
ordinance under this subsection (a) authorizing the operation |
|
of an opt-in aggregation program for residential and small |
commercial retail customers as described in this Section. |
(b) Upon the applicable requisite authority under this |
Section, the corporate
authorities, the township board, or the |
county board, with assistance from the Illinois Power Agency, |
shall develop a plan of operation and
governance for the
|
aggregation program so authorized. Before adopting a plan under |
this Section,
the
corporate authorities, township board, or |
county board shall hold at least 2 public hearings on
the plan.
|
Before the first hearing, the corporate authorities, township |
board, or county board shall
publish notice of
the hearings |
once a week for 2 consecutive weeks in a newspaper of general
|
circulation
in the jurisdiction. The notice shall summarize the |
plan and state the date,
time, and
location of each hearing.
|
Any load aggregation plan established pursuant to this Section |
shall: |
(1) provide for universal
access to all applicable |
residential customers and equitable treatment of |
applicable
residential customers; |
(2) describe demand management and energy efficiency |
services to be
provided to each class of customers;
and |
(3) meet any requirements established by law
|
concerning aggregated service offered pursuant to this |
Section. |
(c) The process for soliciting bids for electricity and |
other related services and awarding proposed agreements for the |
|
purchase of electricity and other related services shall be |
conducted in the following order: |
(1) The corporate authorities, township board, or |
county board may solicit bids for electricity and other |
related services. The bid specifications may include a |
provision requiring the bidder to disclose the fuel type of |
electricity to be procured or generated on behalf of the |
aggregation program customers. The corporate authorities, |
township board, or county board
may consider the proposed |
source of electricity to be procured or generated to be put |
into the grid on behalf of aggregation program customers in |
the competitive
bidding process. The Agency and Commission |
may collaborate to issue joint
guidance on voluntary |
uniform standards for bidder disclosures of the source of
|
electricity to be procured or generated to be put into the |
grid on behalf of aggregation program customers. |
(1.5) A township board shall request from the electric |
utility those residential and small commercial customers |
within their aggregate area either by zip code or zip codes |
or other means as determined by the electric utility. The |
electric utility shall then provide to the township board |
the residential and small commercial customers, including |
the names and addresses of residential and small commercial |
customers, electronically. The township board shall be |
responsible for authenticating the residential and small |
commercial customers contained in this listing and |
|
providing edits of the data to affirm, add, or delete the |
residential and small commercial customers located within |
its jurisdiction. The township board shall provide the |
edited list to the electric utility in an electronic format |
or other means selected by the electric utility and certify |
that the information is accurate. |
(2) Notwithstanding Section 16-122 of the Public |
Utilities Act and Section 2HH of the Consumer Fraud and |
Deceptive Business Practices Act, an electric utility that |
provides residential and small commercial retail electric |
service in the aggregate area must, upon request of the |
corporate authorities, township board, or the county board |
in the aggregate area, submit to the requesting party, in |
an electronic format, those account numbers, names, and |
addresses of residential and small commercial retail |
customers in the aggregate area that are reflected in the |
electric utility's records at the time of the request; |
provided, however, that any township board has first |
provided an accurate customer list to the electric utility |
as provided for herein. |
Any corporate authority, township board, or county board |
receiving customer information from an electric utility shall |
be subject to the limitations on the disclosure of the |
information described in Section 16-122 of the Public Utilities |
Act and Section 2HH of the Consumer Fraud and Deceptive |
Business Practices Act, and an electric utility shall not be |
|
held liable for any claims arising out of the provision of |
information pursuant to this item (2). |
(d) If the corporate authorities, township board, or county |
board operate under an opt-in program for residential and small |
commercial retail customers, then the corporate authorities, |
township board, or county board shall comply with all of the |
following: |
(1) Within 60 days after receiving the bids, the |
corporate authorities, township board, or county board |
shall allow residential and small commercial retail |
customers to commit to the terms and conditions of a bid |
that has been selected by the corporate authorities, |
township board, or county board. |
(2) If (A) the corporate authorities, township board, |
or county board award proposed agreements for the purchase |
of electricity and other related services and (B) an |
agreement is reached between the corporate authorities, |
township board, or county board for those services, then |
customers committed to the terms and conditions according |
to item (1) of this subsection (d) shall be committed to |
the agreement. |
(e) If the corporate authorities, township board, or county |
board operate as an opt-out program for residential and small |
commercial retail customers, then it shall be the duty of the |
aggregated entity to fully inform
residential and small |
commercial retail customers in advance that they have the right |
|
to opt out of the aggregation program.
The disclosure shall |
prominently state all charges to be made and
shall include
full |
disclosure of the cost to obtain service pursuant to Section |
16-103 of the Public Utilities Act, how
to access it,
and the |
fact that it is available to them without penalty, if they are
|
currently receiving
service under that Section. The Illinois |
Power Agency shall furnish, without charge, to
any citizen a
|
list of all supply options available to them in a format that
|
allows
comparison of prices and products. |
(f) Any person or entity retained by a municipality or |
county, or jointly by more than one such unit of local |
government, to provide input, guidance, or advice in the |
selection of an electricity supplier for an aggregation program |
shall disclose in writing to the involved units of local |
government the nature of any relationship through which the |
person or entity may receive, either directly or indirectly, |
commissions or other remuneration as a result of the selection |
of any particular electricity supplier. The written disclosure |
must be made prior to formal approval by the involved units of |
local government of any professional services agreement with |
the person or entity, or no later than October 1, 2012 with |
respect to any such professional services agreement entered |
into prior to the effective date of this amendatory Act of the |
97th General Assembly. The disclosure shall cover all direct |
and indirect relationships through which commissions or |
remuneration may result, including the pooling of commissions |
|
or remuneration among multiple persons or entities, and shall |
identify all involved electricity suppliers. The disclosure |
requirements in this subsection (f) are to be liberally |
construed to ensure that the nature of financial interests are |
fully revealed, and these disclosure requirements shall apply |
regardless of whether the involved person or entity is licensed |
under Section 16-115C of the Public Utilities Act. Any person |
or entity that fails to make the disclosure required under this |
subsection (f) is liable to the involved units of local |
government in an amount equal to all compensation paid to such |
person or entity by the units of local government for the |
input, guidance, or advice in the selection of an electricity |
supplier, plus reasonable attorneys fees and court costs |
incurred by the units of local government in connection with |
obtaining such amount. |
(g) The Illinois Power Agency shall provide assistance to |
municipalities, townships, counties, or associations working |
with municipalities to help complete the plan and bidding |
process. |
(h) This Section does not prohibit municipalities or |
counties from entering into an intergovernmental agreement to |
aggregate residential and small commercial retail electric |
loads.
|
(Source: P.A. 97-338, eff. 8-12-11; 97-823, eff. 7-18-12; |
97-1067, eff. 8-24-12; 98-404, eff. 1-1-14; 98-434, eff. |
1-1-14; 98-463, eff. 8-16-13; revised 9-24-13.) |
|
Section 135. The Addison Creek Restoration Commission Act |
is amended by changing Section 20 as follows: |
(20 ILCS 3901/20)
|
(Section scheduled to be repealed on January 1, 2015) |
Sec. 20. Taxing powers. |
(a) After the first Monday in October and by the first |
Monday in December in each year, the Commission shall levy the |
general taxes for the Commission by general categories for the |
next fiscal year. A certified copy of the levy ordinance shall |
be filed with the county clerk of each county in which the that |
part of the territory of the Commission that is within the |
Addison Creek floodplain is located by the last Tuesday in |
December each year. |
(b) The amount of taxes levied for general corporate |
purposes for a fiscal year may not exceed the rate of .01% of |
the value, as equalized or assessed by the Department of |
Revenue, of the taxable property located within that part of |
the territory of the Commission that is within the Addison |
Creek floodplain, provided that the total amount levied and |
extended under this Section and Section 17, in the aggregate, |
in any single taxable year, shall not exceed $10,000,000. |
(c) This tax and tax rate are exclusive of the taxes |
required for the payment of the principal of and interest on |
bonds. |
|
(d) The rate of the tax levied for general corporate |
purposes of the Commission may be initially imposed or |
thereafter increased, up to the maximum rate identified in |
subsection (b), by the Commission by a resolution calling for |
the submission of the question of imposing or increasing the |
rate to the voters of that part of the territory of the |
Commission that is within the Addison Creek floodplain in |
accordance with the general election law. The question must be |
in substantially the following form: |
Shall the Commission be authorized to establish its |
general corporate tax rate at (insert rate) on the |
equalized assessed value on all taxable property located |
within that part of the territory of the Commission that is |
within the Addison Creek floodplain for its general |
purposes? |
The ballot must have printed on it, but not as part of the |
proposition submitted, the following: "The approximate impact |
of the proposed (tax rate or increase) on the owner of a single |
family home having a market value of (insert value) would be |
(insert amount) in the first year of the (tax rate or increase) |
if the (tax rate or increase) is fully implemented." The ballot |
may have printed on it, but not as part of the proposition, one |
or both of the following: "The last tax rate extended for the |
purposes of the Commission was (insert rate). The last rate |
increase approved for the purposes of the Commission was in |
(insert year)." No other information needs to be included on |
|
the ballot. |
The votes must be recorded as "Yes" or "No". |
If a majority of the electors voting on the question vote |
in the affirmative, the Commission may thereafter levy the tax.
|
(Source: P.A. 93-948, eff. 8-19-04; 94-682, eff. 11-3-05; |
revised 9-24-13.) |
Section 140. The Illinois Criminal Justice Information Act |
is amended by changing Sections 3 and 14 as follows:
|
(20 ILCS 3930/3) (from Ch. 38, par. 210-3)
|
(Text of Section before amendment by P.A. 98-528) |
Sec. 3. Definitions. Whenever used in this Act, and for the |
purposes
of this Act unless the context clearly denotes |
otherwise:
|
(a) The term "criminal justice system" includes all |
activities by
public agencies pertaining to the prevention or
|
reduction of crime or enforcement of the criminal law, and |
particularly,
but without limitation, the prevention, |
detection, and investigation of
crime; the apprehension of |
offenders; the protection of victims and
witnesses; the |
administration of juvenile justice; the prosecution and
|
defense of criminal cases; the trial, conviction, and |
sentencing of
offenders; as well as the correction and |
rehabilitation of offenders,
which includes imprisonment, |
probation, parole, aftercare release, and treatment.
|
|
(b) The term "Authority" means the Illinois Criminal |
Justice Information
Authority created by this Act.
|
(c) The term "criminal justice information" means any and |
every type of
information that is collected, transmitted, or |
maintained by the criminal
justice system.
|
(d) The term "criminal history record information" means |
data
identifiable to an individual and consisting of |
descriptions or notations
of arrests, detentions, indictments, |
informations, pre-trial proceedings,
trials, or other formal |
events in the criminal justice system or
descriptions or |
notations of criminal charges (including criminal
violations |
of local municipal ordinances) and the nature of any |
disposition
arising therefrom, including sentencing, court or |
correctional supervision,
rehabilitation, and release. The |
term does not apply to statistical
records and reports in which |
individuals are not identified and from which
their identities |
are not ascertainable, or to information that is for
criminal |
investigative or intelligence purposes.
|
(e) The term "unit of general local government" means any |
county,
municipality or other general purpose political |
subdivision of this State.
|
(Source: P.A. 98-558, eff. 1-1-14.)
|
(Text of Section after amendment by P.A. 98-528) |
Sec. 3. Definitions. Whenever used in this Act, and for the |
purposes
of this Act unless the context clearly denotes |
|
otherwise:
|
(a) The term "criminal justice system" includes all |
activities by
public agencies pertaining to the prevention or
|
reduction of crime or enforcement of the criminal law, and |
particularly,
but without limitation, the prevention, |
detection, and investigation of
crime; the apprehension of |
offenders; the protection of victims and
witnesses; the |
administration of juvenile justice; the prosecution and
|
defense of criminal cases; the trial, conviction, and |
sentencing of
offenders; as well as the correction and |
rehabilitation of offenders,
which includes imprisonment, |
probation, parole, aftercare release, and treatment.
|
(b) The term "Authority" means the Illinois Criminal |
Justice Information
Authority created by this Act.
|
(c) The term "criminal justice information" means any and |
every type of
information that is collected, transmitted, or |
maintained by the criminal
justice system.
|
(d) The term "criminal history record information" means |
data
identifiable to an individual, including information |
collected under Section 4.5 of the Criminal Identification Act, |
and consisting of descriptions or notations
of arrests, |
detentions, indictments, informations, pre-trial proceedings,
|
trials, or other formal events in the criminal justice system |
or
descriptions or notations of criminal charges (including |
criminal
violations of local municipal ordinances) and the |
nature of any disposition
arising therefrom, including |
|
sentencing, court or correctional supervision,
rehabilitation, |
and release. The term does not apply to statistical
records and |
reports in which individuals are not identified and from which
|
their identities are not ascertainable, or to information that |
is for
criminal investigative or intelligence purposes.
|
(e) The term "unit of general local government" means any |
county,
municipality or other general purpose political |
subdivision of this State.
|
(Source: P.A. 98-528, eff. 1-1-15; 98-558, eff. 1-1-14; revised |
9-4-13.)
|
(20 ILCS 3930/14) (from Ch. 38, par. 210-14)
|
Sec. 14. Illinois Law Enforcement Commission. Effective |
April 1, 1983:
|
(a) The position of Executive Director of the Illinois Law |
Enforcement
Commission is abolished;
|
(b) The Illinois Law Enforcement Commission is abolished, |
and the terms
and appointments of its members and Chairman are |
terminated; and
|
(Ch. 38, rep. pars. 209-1 through 209-16)
|
(c) "An Act creating an Illinois Law Enforcement Commission |
and defining
its powers and duties", approved September 20, |
1977, as now or hereafter
amended, is repealed.
|
(Source: P.A. 82-1039; revised 11-14-13.)
|
Section 145. The Violence Prevention Task Force Act is |
|
amended by changing Section 5 as follows: |
(20 ILCS 4028/5)
|
Sec. 5. Violence Prevention Task Force; members. |
(a) There is created the Violence Prevention Task Force |
(hereinafter referred to as the Task Force) consisting of 6 |
members appointed as follows: |
(1) one member of the Senate appointed by the |
President of the Senate; |
(2) one member of the Senate appointed by the |
Minority Leader of the Senate; |
(3) one member of the House of Representatives |
appointed by the Speaker of the House of |
Representatives; |
(4) one member of the House of Representatives |
appointed by the Minority Leader of the House of |
Representatives; and |
(5) 2 members appointed by the Governor , one of |
whom shall be designated the chairperson by the |
Governor. |
(b) The members of the Task Force shall serve without |
compensation but shall be reimbursed for their reasonable and |
necessary expenses from funds appropriated for that purpose. |
(c) The Task Force may employ skilled experts with the |
approval of the chairperson, and shall receive the cooperation |
of those State agencies it deems appropriate to assist the Task |
|
Force in carrying out its duties. |
(d) The Illinois African-American African American Family |
Commission, the Illinois Department of Public Health, and the |
Illinois Latino Family Commission shall provide administrative |
and other support to the Task Force.
|
(Source: P.A. 98-194, eff. 8-7-13; revised 9-4-13.) |
Section 150. The State Finance Act is amended by setting |
forth and renumbering multiple versions of Sections 5.826, |
5.827, 5i, and 6z-98 and by changing Section 25 as follows: |
(30 ILCS 105/5.826) |
Sec. 5.826. The Driver Services Administration Fund. |
(Source: P.A. 97-1157, eff. 11-28-13.) |
(30 ILCS 105/5.827) |
Sec. 5.827. The Illinois State Museum Fund. |
(Source: P.A. 97-1136, eff. 1-1-13; 98-463, eff. 8-16-13.) |
(30 ILCS 105/5.830) |
Sec. 5.830 5.826 . The Chicago State University Education |
Improvement Fund. |
(Source: P.A. 98-18, eff. 6-7-13; revised 10-17-13.) |
(30 ILCS 105/5.831) |
Sec. 5.831 5.826 . The Foreclosure Prevention Program |
|
(30 ILCS 105/5i) |
Sec. 5i. Transfers. Each year, the Governor's Office of |
Management and Budget shall, at the time set forth for the |
submission of the State budget under Section 50-5 of the State |
Budget Law, provide to the Chairperson and the Minority |
Spokesperson of each of the appropriations
committees of the |
House of Representatives and the Senate a report of (i) all |
full fiscal year transfers from State general funds to any |
other special fund of the State in the previous fiscal year and |
during the current fiscal year to date, and (ii) all projected |
full fiscal year transfers from State general funds to those |
funds for the remainder of the current fiscal year and the next |
fiscal year, based on estimates prepared by the Governor's |
Office of Management and Budget. The report shall include a |
detailed summary of the estimates upon which the projected |
transfers are based. The report shall also indicate, for each |
transfer: |
(1) whether or not there is statutory authority for the |
transfer; |
(2) if there is statutory authority for the transfer, |
whether that statutory authority exists for the next fiscal |
year; and |
(3) whether there is debt service associated with the |
transfer. |
The General Assembly shall consider the report in the |
appropriations process.
|
|
(Source: P.A. 98-24, eff. 6-19-13.) |
(30 ILCS 105/5j) |
Sec. 5j 5i . Closure of State mental health facilities or |
developmental disabilities facilities. Consistent with the |
provisions of Sections 4.4 and 4.5 of the Community Services |
Act, whenever a State mental health facility operated by the |
Department of Human Services or a State developmental |
disabilities facility operated by the Department of Human |
Services is closed, the Department of Human Services, at the |
direction of the Governor, shall transfer funds from the closed |
facility to the appropriate line item providing appropriation |
authority for the new venue of care to facilitate the |
transition of services to the new venue of care, provided that |
the new venue of care is a Department of Human Services funded |
provider or facility. |
As used in this Section, the terms "mental health facility" |
and "developmental disabilities facility" have the meanings |
ascribed to those terms in the Mental Health and Developmental |
Disabilities Code.
|
(Source: P.A. 98-403, eff. 1-1-14; revised 10-17-13.) |
(30 ILCS 105/6z-98) |
Sec. 6z-98. The Chicago State University Education |
Improvement Fund. The Chicago State University Education |
Improvement Fund is hereby created as a special fund in the |
|
State treasury. The moneys deposited into the Fund shall be |
used by Chicago State University, subject to appropriation, for |
expenses incurred by the University. All interest earned on |
moneys in the Fund shall remain in the Fund.
|
(Source: P.A. 98-18, eff. 6-7-13.) |
(30 ILCS 105/6z-99) |
Sec. 6z-99 6z-98 . The Mental Health Reporting Fund. |
(a) There is created in the State treasury a special fund |
known as the Mental Health Reporting Fund. The Fund shall |
receive revenue under the Firearm Concealed Carry Act. The Fund |
may also receive revenue from grants, pass-through grants, |
donations, appropriations, and any other legal source. |
(b) The Department of State Police and Department of Human |
Services shall coordinate to use moneys in the Fund to finance |
their respective duties of collecting and reporting data on |
mental health records and ensuring that mental health firearm |
possession prohibitors are enforced as set forth under the |
Firearm Concealed Carry Act and the Firearm Owners |
Identification Card Act. Any surplus in the Fund beyond what is |
necessary to ensure compliance with mental health reporting |
under these Acts shall be used by the Department of Human |
Services for mental health treatment programs. |
(c) Investment income that is attributable to the |
investment of moneys in the Fund shall be retained in the Fund |
for the uses specified in this Section.
|
|
(Source: P.A. 98-63, eff. 7-9-13; revised 7-19-13.)
|
(30 ILCS 105/25) (from Ch. 127, par. 161)
|
Sec. 25. Fiscal year limitations.
|
(a) All appropriations shall be
available for expenditure |
for the fiscal year or for a lesser period if the
Act making |
that appropriation so specifies. A deficiency or emergency
|
appropriation shall be available for expenditure only through |
June 30 of
the year when the Act making that appropriation is |
enacted unless that Act
otherwise provides.
|
(b) Outstanding liabilities as of June 30, payable from |
appropriations
which have otherwise expired, may be paid out of |
the expiring
appropriations during the 2-month period ending at |
the
close of business on August 31. Any service involving
|
professional or artistic skills or any personal services by an |
employee whose
compensation is subject to income tax |
withholding must be performed as of June
30 of the fiscal year |
in order to be considered an "outstanding liability as of
June |
30" that is thereby eligible for payment out of the expiring
|
appropriation.
|
(b-1) However, payment of tuition reimbursement claims |
under Section 14-7.03 or
18-3 of the School Code may be made by |
the State Board of Education from its
appropriations for those |
respective purposes for any fiscal year, even though
the claims |
reimbursed by the payment may be claims attributable to a prior
|
fiscal year, and payments may be made at the direction of the |
|
State
Superintendent of Education from the fund from which the |
appropriation is made
without regard to any fiscal year |
limitations, except as required by subsection (j) of this |
Section. Beginning on June 30, 2021, payment of tuition |
reimbursement claims under Section 14-7.03 or 18-3 of the |
School Code as of June 30, payable from appropriations that |
have otherwise expired, may be paid out of the expiring |
appropriation during the 4-month period ending at the close of |
business on October 31.
|
(b-2) All outstanding liabilities as of June 30, 2010, |
payable from appropriations that would otherwise expire at the |
conclusion of the lapse period for fiscal year 2010, and |
interest penalties payable on those liabilities under the State |
Prompt Payment Act, may be paid out of the expiring |
appropriations until December 31, 2010, without regard to the |
fiscal year in which the payment is made, as long as vouchers |
for the liabilities are received by the Comptroller no later |
than August 31, 2010. |
(b-2.5) All outstanding liabilities as of June 30, 2011, |
payable from appropriations that would otherwise expire at the |
conclusion of the lapse period for fiscal year 2011, and |
interest penalties payable on those liabilities under the State |
Prompt Payment Act, may be paid out of the expiring |
appropriations until December 31, 2011, without regard to the |
fiscal year in which the payment is made, as long as vouchers |
for the liabilities are received by the Comptroller no later |
|
than August 31, 2011. |
(b-2.6) All outstanding liabilities as of June 30, 2012, |
payable from appropriations that would otherwise expire at the |
conclusion of the lapse period for fiscal year 2012, and |
interest penalties payable on those liabilities under the State |
Prompt Payment Act, may be paid out of the expiring |
appropriations until December 31, 2012, without regard to the |
fiscal year in which the payment is made, as long as vouchers |
for the liabilities are received by the Comptroller no later |
than August 31, 2012. |
(b-2.7) For fiscal years 2012, 2013, and 2014, interest |
penalties payable under the State Prompt Payment Act associated |
with a voucher for which payment is issued after June 30 may be |
paid out of the next fiscal year's appropriation. The future |
year appropriation must be for the same purpose and from the |
same fund as the original payment. An interest penalty voucher |
submitted against a future year appropriation must be submitted |
within 60 days after the issuance of the associated voucher, |
and the Comptroller must issue the interest payment within 60 |
days after acceptance of the interest voucher. |
(b-3) Medical payments may be made by the Department of |
Veterans' Affairs from
its
appropriations for those purposes |
for any fiscal year, without regard to the
fact that the |
medical services being compensated for by such payment may have
|
been rendered in a prior fiscal year, except as required by |
subsection (j) of this Section. Beginning on June 30, 2021, |
|
medical payments payable from appropriations that have |
otherwise expired may be paid out of the expiring appropriation |
during the 4-month period ending at the close of business on |
October 31.
|
(b-4) Medical payments and child care
payments may be made |
by the Department of
Human Services (as successor to the |
Department of Public Aid) from
appropriations for those |
purposes for any fiscal year,
without regard to the fact that |
the medical or child care services being
compensated for by |
such payment may have been rendered in a prior fiscal
year; and |
payments may be made at the direction of the Department of
|
Healthcare and Family Services (or successor agency) from the |
Health Insurance Reserve Fund without regard to any fiscal
year |
limitations, except as required by subsection (j) of this |
Section. Beginning on June 30, 2021, medical and child care |
payments made by the Department of Human Services and payments |
made at the discretion of the Department of Healthcare and |
Family Services (or successor agency) from the Health Insurance |
Reserve Fund and payable from appropriations that have |
otherwise expired may be paid out of the expiring appropriation |
during the 4-month period ending at the close of business on |
October 31.
|
(b-5) Medical payments may be made by the Department of |
Human Services from its appropriations relating to substance |
abuse treatment services for any fiscal year, without regard to |
the fact that the medical services being compensated for by |
|
such payment may have been rendered in a prior fiscal year, |
provided the payments are made on a fee-for-service basis |
consistent with requirements established for Medicaid |
reimbursement by the Department of Healthcare and Family |
Services, except as required by subsection (j) of this Section. |
Beginning on June 30, 2021, medical payments made by the |
Department of Human Services relating to substance abuse |
treatment services payable from appropriations that have |
otherwise expired may be paid out of the expiring appropriation |
during the 4-month period ending at the close of business on |
October 31. |
(b-6) Additionally, payments may be made by the Department |
of Human Services from
its appropriations, or any other State |
agency from its appropriations with
the approval of the |
Department of Human Services, from the Immigration Reform
and |
Control Fund for purposes authorized pursuant to the |
Immigration Reform
and Control Act of 1986, without regard to |
any fiscal year limitations, except as required by subsection |
(j) of this Section. Beginning on June 30, 2021, payments made |
by the Department of Human Services from the Immigration Reform |
and Control Fund for purposes authorized pursuant to the |
Immigration Reform and Control Act of 1986 payable from |
appropriations that have otherwise expired may be paid out of |
the expiring appropriation during the 4-month period ending at |
the close of business on October 31.
|
(b-7) Payments may be made in accordance with a plan |
|
authorized by paragraph (11) or (12) of Section 405-105 of the |
Department of Central Management Services Law from |
appropriations for those payments without regard to fiscal year |
limitations. |
(b-8) Reimbursements to eligible airport sponsors for the |
construction or upgrading of Automated Weather Observation |
Systems may be made by the Department of Transportation from |
appropriations for those purposes for any fiscal year, without |
regard to the fact that the qualification or obligation may |
have occurred in a prior fiscal year, provided that at the time |
the expenditure was made the project had been approved by the |
Department of Transportation prior to June 1, 2012 and, as a |
result of recent changes in federal funding formulas, can no |
longer receive federal reimbursement. |
(b-9) Medical payments not exceeding $150,000,000 may be |
made by the Department on Aging from its appropriations |
relating to the Community Care Program for fiscal year 2014, |
without regard to the fact that the medical services being |
compensated for by such payment may have been rendered in a |
prior fiscal year, provided the payments are made on a |
fee-for-service basis consistent with requirements established |
for Medicaid reimbursement by the Department of Healthcare and |
Family Services, except as required by subsection (j) of this |
Section. |
(c) Further, payments may be made by the Department of |
Public Health and the
Department of Human Services (acting as |
|
successor to the Department of Public
Health under the |
Department of Human Services Act)
from their respective |
appropriations for grants for medical care to or on
behalf of |
premature and high-mortality risk infants and their mothers and
|
for grants for supplemental food supplies provided under the |
United States
Department of Agriculture Women, Infants and |
Children Nutrition Program,
for any fiscal year without regard |
to the fact that the services being
compensated for by such |
payment may have been rendered in a prior fiscal year, except |
as required by subsection (j) of this Section. Beginning on |
June 30, 2021, payments made by the Department of Public Health |
and the Department of Human Services from their respective |
appropriations for grants for medical care to or on behalf of |
premature and high-mortality risk infants and their mothers and |
for grants for supplemental food supplies provided under the |
United States Department of Agriculture Women, Infants and |
Children Nutrition Program payable from appropriations that |
have otherwise expired may be paid out of the expiring |
appropriations during the 4-month period ending at the close of |
business on October 31.
|
(d) The Department of Public Health and the Department of |
Human Services
(acting as successor to the Department of Public |
Health under the Department of
Human Services Act) shall each |
annually submit to the State Comptroller, Senate
President, |
Senate
Minority Leader, Speaker of the House, House Minority |
Leader, and the
respective Chairmen and Minority Spokesmen of |
|
the
Appropriations Committees of the Senate and the House, on |
or before
December 31, a report of fiscal year funds used to |
pay for services
provided in any prior fiscal year. This report |
shall document by program or
service category those |
expenditures from the most recently completed fiscal
year used |
to pay for services provided in prior fiscal years.
|
(e) The Department of Healthcare and Family Services, the |
Department of Human Services
(acting as successor to the |
Department of Public Aid), and the Department of Human Services |
making fee-for-service payments relating to substance abuse |
treatment services provided during a previous fiscal year shall |
each annually
submit to the State
Comptroller, Senate |
President, Senate Minority Leader, Speaker of the House,
House |
Minority Leader, the respective Chairmen and Minority |
Spokesmen of the
Appropriations Committees of the Senate and |
the House, on or before November
30, a report that shall |
document by program or service category those
expenditures from |
the most recently completed fiscal year used to pay for (i)
|
services provided in prior fiscal years and (ii) services for |
which claims were
received in prior fiscal years.
|
(f) The Department of Human Services (as successor to the |
Department of
Public Aid) shall annually submit to the State
|
Comptroller, Senate President, Senate Minority Leader, Speaker |
of the House,
House Minority Leader, and the respective |
Chairmen and Minority Spokesmen of
the Appropriations |
Committees of the Senate and the House, on or before
December |
|
31, a report
of fiscal year funds used to pay for services |
(other than medical care)
provided in any prior fiscal year. |
This report shall document by program or
service category those |
expenditures from the most recently completed fiscal
year used |
to pay for services provided in prior fiscal years.
|
(g) In addition, each annual report required to be |
submitted by the
Department of Healthcare and Family Services |
under subsection (e) shall include the following
information |
with respect to the State's Medicaid program:
|
(1) Explanations of the exact causes of the variance |
between the previous
year's estimated and actual |
liabilities.
|
(2) Factors affecting the Department of Healthcare and |
Family Services' liabilities,
including but not limited to |
numbers of aid recipients, levels of medical
service |
utilization by aid recipients, and inflation in the cost of |
medical
services.
|
(3) The results of the Department's efforts to combat |
fraud and abuse.
|
(h) As provided in Section 4 of the General Assembly |
Compensation Act,
any utility bill for service provided to a |
General Assembly
member's district office for a period |
including portions of 2 consecutive
fiscal years may be paid |
from funds appropriated for such expenditure in
either fiscal |
year.
|
(i) An agency which administers a fund classified by the |
|
Comptroller as an
internal service fund may issue rules for:
|
(1) billing user agencies in advance for payments or |
authorized inter-fund transfers
based on estimated charges |
for goods or services;
|
(2) issuing credits, refunding through inter-fund |
transfers, or reducing future inter-fund transfers
during
|
the subsequent fiscal year for all user agency payments or |
authorized inter-fund transfers received during the
prior |
fiscal year which were in excess of the final amounts owed |
by the user
agency for that period; and
|
(3) issuing catch-up billings to user agencies
during |
the subsequent fiscal year for amounts remaining due when |
payments or authorized inter-fund transfers
received from |
the user agency during the prior fiscal year were less than |
the
total amount owed for that period.
|
User agencies are authorized to reimburse internal service |
funds for catch-up
billings by vouchers drawn against their |
respective appropriations for the
fiscal year in which the |
catch-up billing was issued or by increasing an authorized |
inter-fund transfer during the current fiscal year. For the |
purposes of this Act, "inter-fund transfers" means transfers |
without the use of the voucher-warrant process, as authorized |
by Section 9.01 of the State Comptroller Act.
|
(i-1) Beginning on July 1, 2021, all outstanding |
liabilities, not payable during the 4-month lapse period as |
described in subsections (b-1), (b-3), (b-4), (b-5), (b-6), and |
|
(c) of this Section, that are made from appropriations for that |
purpose for any fiscal year, without regard to the fact that |
the services being compensated for by those payments may have |
been rendered in a prior fiscal year, are limited to only those |
claims that have been incurred but for which a proper bill or |
invoice as defined by the State Prompt Payment Act has not been |
received by September 30th following the end of the fiscal year |
in which the service was rendered. |
(j) Notwithstanding any other provision of this Act, the |
aggregate amount of payments to be made without regard for |
fiscal year limitations as contained in subsections (b-1), |
(b-3), (b-4), (b-5), (b-6), and (c) of this Section, and |
determined by using Generally Accepted Accounting Principles, |
shall not exceed the following amounts: |
(1) $6,000,000,000 for outstanding liabilities related |
to fiscal year 2012; |
(2) $5,300,000,000 for outstanding liabilities related |
to fiscal year 2013; |
(3) $4,600,000,000 for outstanding liabilities related |
to fiscal year 2014; |
(4) $4,000,000,000 for outstanding liabilities related |
to fiscal year 2015; |
(5) $3,300,000,000 for outstanding liabilities related |
to fiscal year 2016; |
(6) $2,600,000,000 for outstanding liabilities related |
to fiscal year 2017; |
|
(7) $2,000,000,000 for outstanding liabilities related |
to fiscal year 2018; |
(8) $1,300,000,000 for outstanding liabilities related |
to fiscal year 2019; |
(9) $600,000,000 for outstanding liabilities related |
to fiscal year 2020; and |
(10) $0 for outstanding liabilities related to fiscal |
year 2021 and fiscal years thereafter. |
(k) Department of Healthcare and Family Services Medical |
Assistance Payments. |
(1) Definition of Medical Assistance. |
For purposes of this subsection, the term "Medical |
Assistance" shall include, but not necessarily be |
limited to, medical programs and services authorized |
under Titles XIX and XXI of the Social Security Act, |
the Illinois Public Aid Code, the Children's Health |
Insurance Program Act, the Covering ALL KIDS Health |
Insurance Act, the Long Term Acute Care Hospital |
Quality Improvement Transfer Program Act, and medical |
care to or on behalf of persons suffering from chronic |
renal disease, persons suffering from hemophilia, and |
victims of sexual assault. |
(2) Limitations on Medical Assistance payments that |
may be paid from future fiscal year appropriations. |
(A) The maximum amounts of annual unpaid Medical |
Assistance bills received and recorded by the |
|
Department of Healthcare and Family Services on or |
before June 30th of a particular fiscal year |
attributable in aggregate to the General Revenue Fund, |
Healthcare Provider Relief Fund, Tobacco Settlement |
Recovery Fund, Long-Term Care Provider Fund, and the |
Drug Rebate Fund that may be paid in total by the |
Department from future fiscal year Medical Assistance |
appropriations to those funds are:
$700,000,000 for |
fiscal year 2013 and $100,000,000 for fiscal year 2014 |
and each fiscal year thereafter. |
(B) Bills for Medical Assistance services rendered |
in a particular fiscal year, but received and recorded |
by the Department of Healthcare and Family Services |
after June 30th of that fiscal year, may be paid from |
either appropriations for that fiscal year or future |
fiscal year appropriations for Medical Assistance. |
Such payments shall not be subject to the requirements |
of subparagraph (A). |
(C) Medical Assistance bills received by the |
Department of Healthcare and Family Services in a |
particular fiscal year, but subject to payment amount |
adjustments in a future fiscal year may be paid from a |
future fiscal year's appropriation for Medical |
Assistance. Such payments shall not be subject to the |
requirements of subparagraph (A). |
(D) Medical Assistance payments made by the |
|
Department of Healthcare and Family Services from |
funds other than those specifically referenced in |
subparagraph (A) may be made from appropriations for |
those purposes for any fiscal year without regard to |
the fact that the Medical Assistance services being |
compensated for by such payment may have been rendered |
in a prior fiscal year. Such payments shall not be |
subject to the requirements of subparagraph (A). |
(3) Extended lapse period for Department of Healthcare |
and Family Services Medical Assistance payments. |
Notwithstanding any other State law to the contrary, |
outstanding Department of Healthcare and Family Services |
Medical Assistance liabilities, as of June 30th, payable |
from appropriations which have otherwise expired, may be |
paid out of the expiring appropriations during the 6-month |
period ending at the close of business on December 31st. |
(l) The changes to this Section made by Public Act 97-691 |
shall be effective for payment of Medical Assistance bills |
incurred in fiscal year 2013 and future fiscal years. The |
changes to this Section made by Public Act 97-691 shall not be |
applied to Medical Assistance bills incurred in fiscal year |
2012 or prior fiscal years. |
(m) The Comptroller must issue payments against |
outstanding liabilities that were received prior to the lapse |
period deadlines set forth in this Section as soon thereafter |
as practical, but no payment may be issued after the 4 months |
|
following the lapse period deadline without the signed |
authorization of the Comptroller and the Governor. |
(Source: P.A. 97-75, eff. 6-30-11; 97-333, eff. 8-12-11; |
97-691, eff. 7-1-12; 97-732, eff. 6-30-12; 97-932, eff. |
8-10-12; 98-8, eff. 5-3-13; 98-24, eff. 6-19-13; 98-215, eff. |
8-9-13; 98-463, eff. 8-16-13; revised 9-9-13.)
|
Section 155. The Public Funds Investment Act is amended by |
changing Sections 2 and 6.5 as follows:
|
(30 ILCS 235/2) (from Ch. 85, par. 902)
|
Sec. 2. Authorized investments.
|
(a) Any public agency may invest any public funds as |
follows:
|
(1) in bonds, notes, certificates of indebtedness, |
treasury bills or
other securities now or hereafter issued, |
which are guaranteed by the full
faith and credit of the |
United States of America as to principal and interest;
|
(2) in bonds, notes, debentures, or other similar |
obligations of the
United States of America, its agencies, |
and its instrumentalities;
|
(3) in interest-bearing savings accounts, |
interest-bearing
certificates of deposit or |
interest-bearing time deposits or any other
investments |
constituting direct obligations of any bank as defined by |
the
Illinois Banking Act;
|
|
(4) in short term obligations of corporations
|
organized in the United States with assets exceeding |
$500,000,000 if (i)
such obligations are rated at the time |
of purchase at one of the 3 highest
classifications |
established by at least 2 standard rating services and
|
which mature not later than 270 days from the date of |
purchase, (ii)
such purchases do not exceed 10% of the |
corporation's outstanding
obligations and (iii) no more |
than one-third of the public agency's funds
may be invested |
in short term obligations of corporations; or
|
(5) in money market mutual funds registered under the |
Investment
Company Act of 1940, provided that the portfolio |
of any such money market
mutual fund is limited to |
obligations described in paragraph (1) or (2) of this
|
subsection and to agreements to repurchase such |
obligations.
|
(a-1) In addition to any other investments authorized under |
this Act, a
municipality, park district, forest preserve |
district, conservation district, county, or other governmental |
unit may invest its public funds in interest bearing bonds of |
any
county, township, city, village, incorporated town, |
municipal corporation, or
school district, of the State of |
Illinois, of any other state, or of
any political subdivision |
or
agency of the State of Illinois or of any other state, |
whether the interest
earned thereon is taxable or tax-exempt |
under federal law. The bonds shall
be registered in the name of |
|
the municipality, park district, forest preserve district, |
conservation district, county, or other governmental unit, or |
held under a custodial agreement at a bank. The bonds shall be |
rated at the
time of purchase within the 4 highest general |
classifications established by a
rating service of nationally |
recognized expertise in rating bonds of states and
their |
political subdivisions.
|
(b) Investments may be made only in banks which are insured |
by the
Federal Deposit Insurance Corporation. Any public agency |
may invest any
public funds in short term discount obligations |
of the Federal National
Mortgage Association or in shares or |
other forms of securities legally
issuable by savings banks or |
savings and loan associations incorporated under
the laws of |
this State or any other state or under the laws of the United
|
States. Investments may be made only in those savings banks or |
savings and
loan associations the shares, or investment |
certificates of which are insured
by the Federal Deposit |
Insurance Corporation. Any such securities may be
purchased at |
the offering or market price thereof at the time of such
|
purchase. All such securities so purchased shall mature or be |
redeemable on
a date or dates prior to the time when, in the |
judgment of
such governing authority, the public funds so |
invested will be required
for expenditure by such public agency |
or its governing authority. The
expressed judgment of any such |
governing authority as to the time when
any public funds will |
be required for expenditure or be redeemable is
final and |
|
conclusive. Any public agency may invest any public funds in
|
dividend-bearing share accounts, share certificate accounts or |
class of
share accounts of a credit union chartered under the |
laws of this State
or the laws of the United States; provided, |
however, the principal office
of any such credit union must be |
located within the State of Illinois.
Investments may be made |
only in those credit unions the accounts of which
are insured |
by applicable law.
|
(c) For purposes of this Section, the term "agencies of the |
United States
of America" includes: (i) the federal land banks, |
federal intermediate
credit banks, banks for cooperative, |
federal farm credit banks, or any other
entity authorized to |
issue debt obligations under the Farm Credit Act of
1971 (12 |
U.S.C. 2001 et seq.) and Acts amendatory thereto; (ii) the |
federal
home loan banks and the federal home loan mortgage |
corporation; and (iii)
any other agency created by Act of |
Congress.
|
(d) Except for pecuniary interests permitted under |
subsection (f) of
Section 3-14-4 of the Illinois Municipal Code |
or under Section 3.2 of
the Public Officer Prohibited Practices |
Act, no person acting as treasurer
or financial officer or who |
is employed in any similar capacity by or for a
public agency |
may do any of the following:
|
(1) have any interest, directly or indirectly, in any |
investments in
which the agency is authorized to invest.
|
(2) have any interest, directly or indirectly, in the |
|
sellers,
sponsors, or managers of those investments.
|
(3) receive, in any manner, compensation of any kind |
from any
investments in which the agency is authorized to |
invest.
|
(e) Any public agency may also invest any public funds in a |
Public
Treasurers' Investment Pool created under Section 17 of |
the State Treasurer
Act. Any public agency may also invest any |
public funds in a fund managed,
operated, and administered by a |
bank, subsidiary of a bank, or
subsidiary of a bank holding |
company or use the services of such an entity to
hold and |
invest or advise regarding the investment of any public funds.
|
(f) To the extent a public agency has custody of funds not |
owned by it or
another public agency and does not otherwise |
have authority to invest
such funds, the public agency may |
invest such funds as if they were its
own. Such funds must be |
released to the appropriate person at the
earliest reasonable |
time, but in no case exceeding 31 days, after the
private |
person becomes entitled to the receipt of them. All earnings
|
accruing on any investments or deposits made pursuant to the |
provisions
of this Act shall be credited to the public agency |
by or for which such
investments or deposits were made, except |
as provided otherwise in Section
4.1 of the State Finance Act |
or the Local Governmental Tax Collection Act,
and except where |
by specific statutory provisions such earnings are
directed to |
be credited to and paid to a particular fund.
|
(g) A public agency may purchase or invest in repurchase |
|
agreements of
government securities having the meaning set out |
in the Government
Securities Act of 1986, as now or hereafter |
amended or succeeded, subject to the provisions of said Act and |
the
regulations issued thereunder. The government securities, |
unless
registered or inscribed in the name of the public |
agency, shall be
purchased through banks or trust companies |
authorized to do business in the
State of Illinois.
|
(h) Except for repurchase agreements of government |
securities which are
subject to the Government Securities Act |
of 1986, as now or hereafter amended or succeeded, no public |
agency may
purchase or invest in instruments which constitute |
repurchase agreements,
and no financial institution may enter |
into such an agreement with or on
behalf of any public agency |
unless the instrument and the transaction meet
the following |
requirements:
|
(1) The securities, unless registered or inscribed in |
the name of the
public agency, are purchased through banks |
or trust companies authorized to
do business in the State |
of Illinois.
|
(2) An authorized public officer after ascertaining |
which firm will give
the most favorable rate of interest, |
directs the custodial bank to
"purchase" specified |
securities from a designated institution.
The "custodial |
bank" is the bank or trust company, or agency of
|
government, which acts for the public agency in connection |
with repurchase
agreements involving the investment of |
|
funds by the public agency. The
State Treasurer may act as |
custodial bank for public agencies executing
repurchase |
agreements. To the extent the Treasurer acts in this |
capacity,
he is hereby authorized to pass through to such |
public agencies any charges
assessed by the Federal Reserve |
Bank.
|
(3) A custodial bank must be a member bank of the |
Federal Reserve System
or maintain accounts with member |
banks. All transfers of book-entry
securities must be |
accomplished on a Reserve Bank's computer records
through a |
member bank of the Federal Reserve System. These securities |
must
be credited to the public agency on the records of the |
custodial bank and
the transaction must be confirmed in |
writing to the public agency by
the custodial bank.
|
(4) Trading partners shall be limited to banks or trust |
companies
authorized to do business in the State of |
Illinois or to registered primary
reporting dealers.
|
(5) The security interest must be perfected.
|
(6) The public agency enters into a written master |
repurchase agreement
which outlines the basic |
responsibilities and liabilities of both buyer and
seller.
|
(7) Agreements shall be for periods of 330 days or |
less.
|
(8) The authorized public officer of the public agency |
informs the
custodial bank in writing of the maturity |
details of the repurchase agreement.
|
|
(9) The custodial bank must take delivery of and |
maintain the
securities in its custody for the account of |
the public agency and confirm
the transaction in writing to |
the public agency. The Custodial Undertaking
shall provide |
that the custodian takes possession of the securities
|
exclusively for the public agency; that the securities are |
free of any
claims against the trading partner; and any |
claims by the custodian are
subordinate to the public |
agency's claims to rights to those securities.
|
(10) The obligations purchased by a public agency may |
only be sold or
presented for redemption or payment by the |
fiscal agent bank or trust
company holding the obligations |
upon the written instruction of the
public agency or |
officer authorized to make such investments.
|
(11) The custodial bank shall be liable to the public |
agency for any
monetary loss suffered by the public agency |
due to the failure of the
custodial bank to take and |
maintain possession of such securities.
|
(i) Notwithstanding the foregoing restrictions on |
investment in
instruments constituting repurchase agreements |
the Illinois Housing
Development Authority may invest in, and |
any financial institution with
capital of at least $250,000,000 |
may act as custodian for, instruments
that constitute |
repurchase agreements, provided that the Illinois Housing
|
Development Authority, in making each such investment, |
complies with the
safety and soundness guidelines for engaging |
|
in repurchase transactions
applicable to federally insured |
banks, savings banks, savings and loan
associations or other |
depository institutions as set forth in the Federal
Financial |
Institutions Examination Council Policy Statement Regarding
|
Repurchase Agreements and any regulations issued, or which may |
be issued by the
supervisory federal authority pertaining |
thereto and any amendments thereto;
provided further that the |
securities shall be either (i) direct general
obligations of, |
or obligations the payment of the principal of and/or interest
|
on which are unconditionally guaranteed by, the United States |
of America or
(ii) any obligations of any agency, corporation |
or subsidiary thereof
controlled or supervised by and acting as |
an instrumentality of the United
States Government pursuant to |
authority granted by the Congress of the United
States and |
provided further that the security interest must be perfected |
by
either the Illinois Housing Development Authority, its |
custodian or its agent
receiving possession of the securities |
either physically or transferred through
a nationally |
recognized book entry system.
|
(j) In addition to all other investments authorized
under |
this Section, a community college district may
invest public |
funds in any mutual funds that
invest primarily in corporate |
investment grade or global government short term
bonds.
|
Purchases of mutual funds that invest primarily in global |
government short
term bonds shall be limited to funds with |
assets of at least $100 million and
that are rated at the time |
|
of purchase as one of the 10 highest classifications
|
established by a recognized rating service. The investments |
shall be subject
to approval by the local community college |
board of trustees. Each community
college board of trustees |
shall develop a policy regarding the percentage of
the |
college's investment portfolio that can be invested in such |
funds.
|
Nothing in this Section shall be construed to authorize an
|
intergovernmental risk management entity to accept the deposit |
of public funds
except for risk management purposes.
|
(Source: P.A. 97-129, eff. 7-14-11; 98-297, eff. 1-1-14; |
98-390, eff. 8-16-13; revised 9-10-13.)
|
(30 ILCS 235/6.5) |
Sec. 6.5. Federally insured deposits at Illinois financial |
institutions. |
(a) Notwithstanding any other provision of this Act or any |
other statute, whenever a public agency invests public funds in |
an interest-bearing savings account, interest-bearing |
certificate of deposit, or interest-bearing time deposit under |
Section 2 of this Act, the provisions of Section 6 of this Act |
and any other statutory requirements pertaining to the |
eligibility of a bank to receive or hold public deposits or to |
the pledging of collateral by a bank to secure public deposits |
do not apply to any bank receiving or holding all or part of |
the invested public funds if (i) the public agency initiates |
|
the investment at or through a bank located in Illinois and |
(ii) the invested public funds are at all times time fully |
insured by an agency or instrumentality of the federal |
government. |
(b) Nothing in this Section is intended to: |
(1) prohibit a public agency from requiring the bank at |
or through which the investment of public funds is |
initiated to provide the public agency with the information |
otherwise required by subsection subsections (a), (b), or |
(c) of Section 6 of this Act as a condition of investing |
the public funds at or through that bank; or |
(2) permit a bank to receive or hold public deposits if |
that bank is prohibited from doing so by any rule, |
sanction, or order issued by a regulatory agency or by a |
court. |
(c) For purposes of this Section, the term "bank" includes |
any person doing a banking business whether subject to the laws |
of this or any other jurisdiction.
|
(Source: P.A. 93-756, eff. 7-16-04; revised 10-7-13.) |
Section 160. The Illinois Procurement Code is amended by |
changing Section 1-10 as follows:
|
(30 ILCS 500/1-10)
|
Sec. 1-10. Application.
|
(a) This Code applies only to procurements for which |
|
contractors were first
solicited on or after July 1, 1998. This |
Code shall not be construed to affect
or impair any contract, |
or any provision of a contract, entered into based on a
|
solicitation prior to the implementation date of this Code as |
described in
Article 99, including but not limited to any |
covenant entered into with respect
to any revenue bonds or |
similar instruments.
All procurements for which contracts are |
solicited between the effective date
of Articles 50 and 99 and |
July 1, 1998 shall be substantially in accordance
with this |
Code and its intent.
|
(b) This Code shall apply regardless of the source of the |
funds with which
the contracts are paid, including federal |
assistance moneys.
This Code shall
not apply to:
|
(1) Contracts between the State and its political |
subdivisions or other
governments, or between State |
governmental bodies except as specifically
provided in |
this Code.
|
(2) Grants, except for the filing requirements of |
Section 20-80.
|
(3) Purchase of care.
|
(4) Hiring of an individual as employee and not as an |
independent
contractor, whether pursuant to an employment |
code or policy or by contract
directly with that |
individual.
|
(5) Collective bargaining contracts.
|
(6) Purchase of real estate, except that notice of this |
|
type of contract with a value of more than $25,000 must be |
published in the Procurement Bulletin within 7 days after |
the deed is recorded in the county of jurisdiction. The |
notice shall identify the real estate purchased, the names |
of all parties to the contract, the value of the contract, |
and the effective date of the contract.
|
(7) Contracts necessary to prepare for anticipated |
litigation, enforcement
actions, or investigations, |
provided
that the chief legal counsel to the Governor shall |
give his or her prior
approval when the procuring agency is |
one subject to the jurisdiction of the
Governor, and |
provided that the chief legal counsel of any other |
procuring
entity
subject to this Code shall give his or her |
prior approval when the procuring
entity is not one subject |
to the jurisdiction of the Governor.
|
(8) Contracts for
services to Northern Illinois |
University by a person, acting as
an independent |
contractor, who is qualified by education, experience, and
|
technical ability and is selected by negotiation for the |
purpose of providing
non-credit educational service |
activities or products by means of specialized
programs |
offered by the university.
|
(9) Procurement expenditures by the Illinois |
Conservation Foundation
when only private funds are used.
|
(10) Procurement expenditures by the Illinois Health |
Information Exchange Authority involving private funds |
|
from the Health Information Exchange Fund. "Private funds" |
means gifts, donations, and private grants. |
(11) Public-private agreements entered into according |
to the procurement requirements of Section 20 of the |
Public-Private Partnerships for Transportation Act and |
design-build agreements entered into according to the |
procurement requirements of Section 25 of the |
Public-Private Partnerships for Transportation Act. |
(12) Contracts for legal, financial, and other |
professional and artistic services entered into on or |
before December 31, 2018 by the Illinois Finance Authority |
in which the State of Illinois is not obligated. Such |
contracts shall be awarded through a competitive process |
authorized by the Board of the Illinois Finance Authority |
and are subject to Sections 5-30, 20-160, 50-13, 50-20, |
50-35, and 50-37 of this Code, as well as the final |
approval by the Board of the Illinois Finance Authority of |
the terms of the contract. |
Notwithstanding any other provision of law, contracts |
entered into under item (12) of this subsection (b) shall be |
published in the Procurement Bulletin within 14 days after |
contract execution. The chief procurement officer shall |
prescribe the form and content of the notice. The Illinois |
Finance Authority shall provide the chief procurement officer, |
on a monthly basis, in the form and content prescribed by the |
chief procurement officer, a report of contracts that are |
|
related to the procurement of goods and services identified in |
item (12) of this subsection (b). At a minimum, this report |
shall include the name of the contractor, a description of the |
supply or service provided, the total amount of the contract, |
the term of the contract, and the exception to the Code |
utilized. A copy of each of these contracts shall be made |
available to the chief procurement officer immediately upon |
request. The chief procurement officer shall submit a report to |
the Governor and General Assembly no later than November 1 of |
each year that shall include, at a minimum, an annual summary |
of the monthly information reported to the chief procurement |
officer. |
(c) This Code does not apply to the electric power |
procurement process provided for under Section 1-75 of the |
Illinois Power Agency Act and Section 16-111.5 of the Public |
Utilities Act. |
(d) Except for Section 20-160 and Article 50 of this Code, |
and as expressly required by Section 9.1 of the Illinois |
Lottery Law, the provisions of this Code do not apply to the |
procurement process provided for under Section 9.1 of the |
Illinois Lottery Law. |
(e) This Code does not apply to the process used by the |
Capital Development Board to retain a person or entity to |
assist the Capital Development Board with its duties related to |
the determination of costs of a clean coal SNG brownfield |
facility, as defined by Section 1-10 of the Illinois Power |
|
Agency Act, as required in subsection (h-3) of Section 9-220 of |
the Public Utilities Act, including calculating the range of |
capital costs, the range of operating and maintenance costs, or |
the sequestration costs or monitoring the construction of clean |
coal SNG brownfield facility for the full duration of |
construction. |
(f) This Code does not apply to the process used by the |
Illinois Power Agency to retain a mediator to mediate sourcing |
agreement disputes between gas utilities and the clean coal SNG |
brownfield facility, as defined in Section 1-10 of the Illinois |
Power Agency Act, as required under subsection (h-1) of Section |
9-220 of the Public Utilities Act. |
(g) This Code does not apply to the processes used by the |
Illinois Power Agency to retain a mediator to mediate contract |
disputes between gas utilities and the clean coal SNG facility |
and to retain an expert to assist in the review of contracts |
under subsection (h) of Section 9-220 of the Public Utilities |
Act. This Code does not apply to the process used by the |
Illinois Commerce Commission to retain an expert to assist in |
determining the actual incurred costs of the clean coal SNG |
facility and the reasonableness of those costs as required |
under subsection (h) of Section 9-220 of the Public Utilities |
Act. |
(h) This Code does not apply to the process to procure or |
contracts entered into in accordance with Sections 11-5.2 and |
11-5.3 of the Illinois Public Aid Code. |
|
(i) Each chief procurement officer may access records |
necessary to review whether a contract, purchase, or other |
expenditure is or is not subject to the provisions of this |
Code, unless such records would be subject to attorney-client |
privilege. |
(j) This Code does not apply to the process used by the |
Capital Development Board to retain an artist or work or works |
of art as required in Section 14 of the Capital Development |
Board Act. |
(Source: P.A. 97-96, eff. 7-13-11; 97-239, eff. 8-2-11; 97-502, |
eff. 8-23-11; 97-689, eff. 6-14-12; 97-813, eff. 7-13-12; |
97-895, eff. 8-3-12; 98-90, eff. 7-15-13; 98-463, eff. 8-16-13; |
98-572, eff. 1-1-14; revised 9-9-13.)
|
Section 165. The State Mandates Act is amended by changing |
Section 8.37 as follows: |
(30 ILCS 805/8.37) |
Sec. 8.37. Exempt mandate. Notwithstanding Sections 6 and 8 |
of this Act, no reimbursement by the State is required for the |
implementation of any mandate created by Public Act 98-218, |
98-389, 98-391, 98-427, 98-599, or 98-622 this amendatory Act |
of the 98th General Assembly .
|
(Source: P.A. 98-218, eff. 8-9-13; 98-389, eff. 8-16-13; |
98-391, eff. 8-16-13; 98-427, eff. 8-16-13; 98-599, eff. |
6-1-14; 98-622, eff. 6-1-14; revised 1-15-14.) |
|
Section 170. The Illinois Income Tax Act is amended by |
changing Sections 201 and 304 as follows: |
(35 ILCS 5/201) (from Ch. 120, par. 2-201) |
Sec. 201. Tax Imposed. |
(a) In general. A tax measured by net income is hereby |
imposed on every
individual, corporation, trust and estate for |
each taxable year ending
after July 31, 1969 on the privilege |
of earning or receiving income in or
as a resident of this |
State. Such tax shall be in addition to all other
occupation or |
privilege taxes imposed by this State or by any municipal
|
corporation or political subdivision thereof. |
(b) Rates. The tax imposed by subsection (a) of this |
Section shall be
determined as follows, except as adjusted by |
subsection (d-1): |
(1) In the case of an individual, trust or estate, for |
taxable years
ending prior to July 1, 1989, an amount equal |
to 2 1/2% of the taxpayer's
net income for the taxable |
year. |
(2) In the case of an individual, trust or estate, for |
taxable years
beginning prior to July 1, 1989 and ending |
after June 30, 1989, an amount
equal to the sum of (i) 2 |
1/2% of the taxpayer's net income for the period
prior to |
July 1, 1989, as calculated under Section 202.3, and (ii) |
3% of the
taxpayer's net income for the period after June |
|
30, 1989, as calculated
under Section 202.3. |
(3) In the case of an individual, trust or estate, for |
taxable years
beginning after June 30, 1989, and ending |
prior to January 1, 2011, an amount equal to 3% of the |
taxpayer's net
income for the taxable year. |
(4) In the case of an individual, trust, or estate, for |
taxable years beginning prior to January 1, 2011, and |
ending after December 31, 2010, an amount equal to the sum |
of (i) 3% of the taxpayer's net income for the period prior |
to January 1, 2011, as calculated under Section 202.5, and |
(ii) 5% of the taxpayer's net income for the period after |
December 31, 2010, as calculated under Section 202.5. |
(5) In the case of an individual, trust, or estate, for |
taxable years beginning on or after January 1, 2011, and |
ending prior to January 1, 2015, an amount equal to 5% of |
the taxpayer's net income for the taxable year. |
(5.1) In the case of an individual, trust, or estate, |
for taxable years beginning prior to January 1, 2015, and |
ending after December 31, 2014, an amount equal to the sum |
of (i) 5% of the taxpayer's net income for the period prior |
to January 1, 2015, as calculated under Section 202.5, and |
(ii) 3.75% of the taxpayer's net income for the period |
after December 31, 2014, as calculated under Section 202.5. |
(5.2) In the case of an individual, trust, or estate, |
for taxable years beginning on or after January 1, 2015, |
and ending prior to January 1, 2025, an amount equal to |
|
3.75% of the taxpayer's net income for the taxable year. |
(5.3) In the case of an individual, trust, or estate, |
for taxable years beginning prior to January 1, 2025, and |
ending after December 31, 2024, an amount equal to the sum |
of (i) 3.75% of the taxpayer's net income for the period |
prior to January 1, 2025, as calculated under Section |
202.5, and (ii) 3.25% of the taxpayer's net income for the |
period after December 31, 2024, as calculated under Section |
202.5. |
(5.4) In the case of an individual, trust, or estate, |
for taxable years beginning on or after January 1, 2025, an |
amount equal to 3.25% of the taxpayer's net income for the |
taxable year. |
(6) In the case of a corporation, for taxable years
|
ending prior to July 1, 1989, an amount equal to 4% of the
|
taxpayer's net income for the taxable year. |
(7) In the case of a corporation, for taxable years |
beginning prior to
July 1, 1989 and ending after June 30, |
1989, an amount equal to the sum of
(i) 4% of the |
taxpayer's net income for the period prior to July 1, 1989,
|
as calculated under Section 202.3, and (ii) 4.8% of the |
taxpayer's net
income for the period after June 30, 1989, |
as calculated under Section
202.3. |
(8) In the case of a corporation, for taxable years |
beginning after
June 30, 1989, and ending prior to January |
1, 2011, an amount equal to 4.8% of the taxpayer's net |
|
income for the
taxable year. |
(9) In the case of a corporation, for taxable years |
beginning prior to January 1, 2011, and ending after |
December 31, 2010, an amount equal to the sum of (i) 4.8% |
of the taxpayer's net income for the period prior to |
January 1, 2011, as calculated under Section 202.5, and |
(ii) 7% of the taxpayer's net income for the period after |
December 31, 2010, as calculated under Section 202.5. |
(10) In the case of a corporation, for taxable years |
beginning on or after January 1, 2011, and ending prior to |
January 1, 2015, an amount equal to 7% of the taxpayer's |
net income for the taxable year. |
(11) In the case of a corporation, for taxable years |
beginning prior to January 1, 2015, and ending after |
December 31, 2014, an amount equal to the sum of (i) 7% of |
the taxpayer's net income for the period prior to January |
1, 2015, as calculated under Section 202.5, and (ii) 5.25% |
of the taxpayer's net income for the period after December |
31, 2014, as calculated under Section 202.5. |
(12) In the case of a corporation, for taxable years |
beginning on or after January 1, 2015, and ending prior to |
January 1, 2025, an amount equal to 5.25% of the taxpayer's |
net income for the taxable year. |
(13) In the case of a corporation, for taxable years |
beginning prior to January 1, 2025, and ending after |
December 31, 2024, an amount equal to the sum of (i) 5.25% |
|
of the taxpayer's net income for the period prior to |
January 1, 2025, as calculated under Section 202.5, and |
(ii) 4.8% of the taxpayer's net income for the period after |
December 31, 2024, as calculated under Section 202.5. |
(14) In the case of a corporation, for taxable years |
beginning on or after January 1, 2025, an amount equal to |
4.8% of the taxpayer's net income for the taxable year. |
The rates under this subsection (b) are subject to the |
provisions of Section 201.5. |
(c) Personal Property Tax Replacement Income Tax.
|
Beginning on July 1, 1979 and thereafter, in addition to such |
income
tax, there is also hereby imposed the Personal Property |
Tax Replacement
Income Tax measured by net income on every |
corporation (including Subchapter
S corporations), partnership |
and trust, for each taxable year ending after
June 30, 1979. |
Such taxes are imposed on the privilege of earning or
receiving |
income in or as a resident of this State. The Personal Property
|
Tax Replacement Income Tax shall be in addition to the income |
tax imposed
by subsections (a) and (b) of this Section and in |
addition to all other
occupation or privilege taxes imposed by |
this State or by any municipal
corporation or political |
subdivision thereof. |
(d) Additional Personal Property Tax Replacement Income |
Tax Rates.
The personal property tax replacement income tax |
imposed by this subsection
and subsection (c) of this Section |
in the case of a corporation, other
than a Subchapter S |
|
corporation and except as adjusted by subsection (d-1),
shall |
be an additional amount equal to
2.85% of such taxpayer's net |
income for the taxable year, except that
beginning on January |
1, 1981, and thereafter, the rate of 2.85% specified
in this |
subsection shall be reduced to 2.5%, and in the case of a
|
partnership, trust or a Subchapter S corporation shall be an |
additional
amount equal to 1.5% of such taxpayer's net income |
for the taxable year. |
(d-1) Rate reduction for certain foreign insurers. In the |
case of a
foreign insurer, as defined by Section 35A-5 of the |
Illinois Insurance Code,
whose state or country of domicile |
imposes on insurers domiciled in Illinois
a retaliatory tax |
(excluding any insurer
whose premiums from reinsurance assumed |
are 50% or more of its total insurance
premiums as determined |
under paragraph (2) of subsection (b) of Section 304,
except |
that for purposes of this determination premiums from |
reinsurance do
not include premiums from inter-affiliate |
reinsurance arrangements),
beginning with taxable years ending |
on or after December 31, 1999,
the sum of
the rates of tax |
imposed by subsections (b) and (d) shall be reduced (but not
|
increased) to the rate at which the total amount of tax imposed |
under this Act,
net of all credits allowed under this Act, |
shall equal (i) the total amount of
tax that would be imposed |
on the foreign insurer's net income allocable to
Illinois for |
the taxable year by such foreign insurer's state or country of
|
domicile if that net income were subject to all income taxes |
|
and taxes
measured by net income imposed by such foreign |
insurer's state or country of
domicile, net of all credits |
allowed or (ii) a rate of zero if no such tax is
imposed on such |
income by the foreign insurer's state of domicile.
For the |
purposes of this subsection (d-1), an inter-affiliate includes |
a
mutual insurer under common management. |
(1) For the purposes of subsection (d-1), in no event |
shall the sum of the
rates of tax imposed by subsections |
(b) and (d) be reduced below the rate at
which the sum of: |
(A) the total amount of tax imposed on such foreign |
insurer under
this Act for a taxable year, net of all |
credits allowed under this Act, plus |
(B) the privilege tax imposed by Section 409 of the |
Illinois Insurance
Code, the fire insurance company |
tax imposed by Section 12 of the Fire
Investigation |
Act, and the fire department taxes imposed under |
Section 11-10-1
of the Illinois Municipal Code, |
equals 1.25% for taxable years ending prior to December 31, |
2003, or
1.75% for taxable years ending on or after |
December 31, 2003, of the net
taxable premiums written for |
the taxable year,
as described by subsection (1) of Section |
409 of the Illinois Insurance Code.
This paragraph will in |
no event increase the rates imposed under subsections
(b) |
and (d). |
(2) Any reduction in the rates of tax imposed by this |
subsection shall be
applied first against the rates imposed |
|
by subsection (b) and only after the
tax imposed by |
subsection (a) net of all credits allowed under this |
Section
other than the credit allowed under subsection (i) |
has been reduced to zero,
against the rates imposed by |
subsection (d). |
This subsection (d-1) is exempt from the provisions of |
Section 250. |
(e) Investment credit. A taxpayer shall be allowed a credit
|
against the Personal Property Tax Replacement Income Tax for
|
investment in qualified property. |
(1) A taxpayer shall be allowed a credit equal to .5% |
of
the basis of qualified property placed in service during |
the taxable year,
provided such property is placed in |
service on or after
July 1, 1984. There shall be allowed an |
additional credit equal
to .5% of the basis of qualified |
property placed in service during the
taxable year, |
provided such property is placed in service on or
after |
July 1, 1986, and the taxpayer's base employment
within |
Illinois has increased by 1% or more over the preceding |
year as
determined by the taxpayer's employment records |
filed with the
Illinois Department of Employment Security. |
Taxpayers who are new to
Illinois shall be deemed to have |
met the 1% growth in base employment for
the first year in |
which they file employment records with the Illinois
|
Department of Employment Security. The provisions added to |
this Section by
Public Act 85-1200 (and restored by Public |
|
Act 87-895) shall be
construed as declaratory of existing |
law and not as a new enactment. If,
in any year, the |
increase in base employment within Illinois over the
|
preceding year is less than 1%, the additional credit shall |
be limited to that
percentage times a fraction, the |
numerator of which is .5% and the denominator
of which is |
1%, but shall not exceed .5%. The investment credit shall |
not be
allowed to the extent that it would reduce a |
taxpayer's liability in any tax
year below zero, nor may |
any credit for qualified property be allowed for any
year |
other than the year in which the property was placed in |
service in
Illinois. For tax years ending on or after |
December 31, 1987, and on or
before December 31, 1988, the |
credit shall be allowed for the tax year in
which the |
property is placed in service, or, if the amount of the |
credit
exceeds the tax liability for that year, whether it |
exceeds the original
liability or the liability as later |
amended, such excess may be carried
forward and applied to |
the tax liability of the 5 taxable years following
the |
excess credit years if the taxpayer (i) makes investments |
which cause
the creation of a minimum of 2,000 full-time |
equivalent jobs in Illinois,
(ii) is located in an |
enterprise zone established pursuant to the Illinois
|
Enterprise Zone Act and (iii) is certified by the |
Department of Commerce
and Community Affairs (now |
Department of Commerce and Economic Opportunity) as |
|
complying with the requirements specified in
clause (i) and |
(ii) by July 1, 1986. The Department of Commerce and
|
Community Affairs (now Department of Commerce and Economic |
Opportunity) shall notify the Department of Revenue of all |
such
certifications immediately. For tax years ending |
after December 31, 1988,
the credit shall be allowed for |
the tax year in which the property is
placed in service, |
or, if the amount of the credit exceeds the tax
liability |
for that year, whether it exceeds the original liability or |
the
liability as later amended, such excess may be carried |
forward and applied
to the tax liability of the 5 taxable |
years following the excess credit
years. The credit shall |
be applied to the earliest year for which there is
a |
liability. If there is credit from more than one tax year |
that is
available to offset a liability, earlier credit |
shall be applied first. |
(2) The term "qualified property" means property |
which: |
(A) is tangible, whether new or used, including |
buildings and structural
components of buildings and |
signs that are real property, but not including
land or |
improvements to real property that are not a structural |
component of a
building such as landscaping, sewer |
lines, local access roads, fencing, parking
lots, and |
other appurtenances; |
(B) is depreciable pursuant to Section 167 of the |
|
Internal Revenue Code,
except that "3-year property" |
as defined in Section 168(c)(2)(A) of that
Code is not |
eligible for the credit provided by this subsection |
(e); |
(C) is acquired by purchase as defined in Section |
179(d) of
the Internal Revenue Code; |
(D) is used in Illinois by a taxpayer who is |
primarily engaged in
manufacturing, or in mining coal |
or fluorite, or in retailing, or was placed in service |
on or after July 1, 2006 in a River Edge Redevelopment |
Zone established pursuant to the River Edge |
Redevelopment Zone Act; and |
(E) has not previously been used in Illinois in |
such a manner and by
such a person as would qualify for |
the credit provided by this subsection
(e) or |
subsection (f). |
(3) For purposes of this subsection (e), |
"manufacturing" means
the material staging and production |
of tangible personal property by
procedures commonly |
regarded as manufacturing, processing, fabrication, or
|
assembling which changes some existing material into new |
shapes, new
qualities, or new combinations. For purposes of |
this subsection
(e) the term "mining" shall have the same |
meaning as the term "mining" in
Section 613(c) of the |
Internal Revenue Code. For purposes of this subsection
(e), |
the term "retailing" means the sale of tangible personal |
|
property for use or consumption and not for resale, or
|
services rendered in conjunction with the sale of tangible |
personal property for use or consumption and not for |
resale. For purposes of this subsection (e), "tangible |
personal property" has the same meaning as when that term |
is used in the Retailers' Occupation Tax Act, and, for |
taxable years ending after December 31, 2008, does not |
include the generation, transmission, or distribution of |
electricity. |
(4) The basis of qualified property shall be the basis
|
used to compute the depreciation deduction for federal |
income tax purposes. |
(5) If the basis of the property for federal income tax |
depreciation
purposes is increased after it has been placed |
in service in Illinois by
the taxpayer, the amount of such |
increase shall be deemed property placed
in service on the |
date of such increase in basis. |
(6) The term "placed in service" shall have the same
|
meaning as under Section 46 of the Internal Revenue Code. |
(7) If during any taxable year, any property ceases to
|
be qualified property in the hands of the taxpayer within |
48 months after
being placed in service, or the situs of |
any qualified property is
moved outside Illinois within 48 |
months after being placed in service, the
Personal Property |
Tax Replacement Income Tax for such taxable year shall be
|
increased. Such increase shall be determined by (i) |
|
recomputing the
investment credit which would have been |
allowed for the year in which
credit for such property was |
originally allowed by eliminating such
property from such |
computation and, (ii) subtracting such recomputed credit
|
from the amount of credit previously allowed. For the |
purposes of this
paragraph (7), a reduction of the basis of |
qualified property resulting
from a redetermination of the |
purchase price shall be deemed a disposition
of qualified |
property to the extent of such reduction. |
(8) Unless the investment credit is extended by law, |
the
basis of qualified property shall not include costs |
incurred after
December 31, 2018, except for costs incurred |
pursuant to a binding
contract entered into on or before |
December 31, 2018. |
(9) Each taxable year ending before December 31, 2000, |
a partnership may
elect to pass through to its
partners the |
credits to which the partnership is entitled under this |
subsection
(e) for the taxable year. A partner may use the |
credit allocated to him or her
under this paragraph only |
against the tax imposed in subsections (c) and (d) of
this |
Section. If the partnership makes that election, those |
credits shall be
allocated among the partners in the |
partnership in accordance with the rules
set forth in |
Section 704(b) of the Internal Revenue Code, and the rules
|
promulgated under that Section, and the allocated amount of |
the credits shall
be allowed to the partners for that |
|
taxable year. The partnership shall make
this election on |
its Personal Property Tax Replacement Income Tax return for
|
that taxable year. The election to pass through the credits |
shall be
irrevocable. |
For taxable years ending on or after December 31, 2000, |
a
partner that qualifies its
partnership for a subtraction |
under subparagraph (I) of paragraph (2) of
subsection (d) |
of Section 203 or a shareholder that qualifies a Subchapter |
S
corporation for a subtraction under subparagraph (S) of |
paragraph (2) of
subsection (b) of Section 203 shall be |
allowed a credit under this subsection
(e) equal to its |
share of the credit earned under this subsection (e) during
|
the taxable year by the partnership or Subchapter S |
corporation, determined in
accordance with the |
determination of income and distributive share of
income |
under Sections 702 and 704 and Subchapter S of the Internal |
Revenue
Code. This paragraph is exempt from the provisions |
of Section 250. |
(f) Investment credit; Enterprise Zone; River Edge |
Redevelopment Zone. |
(1) A taxpayer shall be allowed a credit against the |
tax imposed
by subsections (a) and (b) of this Section for |
investment in qualified
property which is placed in service |
in an Enterprise Zone created
pursuant to the Illinois |
Enterprise Zone Act or, for property placed in service on |
or after July 1, 2006, a River Edge Redevelopment Zone |
|
established pursuant to the River Edge Redevelopment Zone |
Act. For partners, shareholders
of Subchapter S |
corporations, and owners of limited liability companies,
|
if the liability company is treated as a partnership for |
purposes of
federal and State income taxation, there shall |
be allowed a credit under
this subsection (f) to be |
determined in accordance with the determination
of income |
and distributive share of income under Sections 702 and 704 |
and
Subchapter S of the Internal Revenue Code. The credit |
shall be .5% of the
basis for such property. The credit |
shall be available only in the taxable
year in which the |
property is placed in service in the Enterprise Zone or |
River Edge Redevelopment Zone and
shall not be allowed to |
the extent that it would reduce a taxpayer's
liability for |
the tax imposed by subsections (a) and (b) of this Section |
to
below zero. For tax years ending on or after December |
31, 1985, the credit
shall be allowed for the tax year in |
which the property is placed in
service, or, if the amount |
of the credit exceeds the tax liability for that
year, |
whether it exceeds the original liability or the liability |
as later
amended, such excess may be carried forward and |
applied to the tax
liability of the 5 taxable years |
following the excess credit year.
The credit shall be |
applied to the earliest year for which there is a
|
liability. If there is credit from more than one tax year |
that is available
to offset a liability, the credit |
|
accruing first in time shall be applied
first. |
(2) The term qualified property means property which: |
(A) is tangible, whether new or used, including |
buildings and
structural components of buildings; |
(B) is depreciable pursuant to Section 167 of the |
Internal Revenue
Code, except that "3-year property" |
as defined in Section 168(c)(2)(A) of
that Code is not |
eligible for the credit provided by this subsection |
(f); |
(C) is acquired by purchase as defined in Section |
179(d) of
the Internal Revenue Code; |
(D) is used in the Enterprise Zone or River Edge |
Redevelopment Zone by the taxpayer; and |
(E) has not been previously used in Illinois in |
such a manner and by
such a person as would qualify for |
the credit provided by this subsection
(f) or |
subsection (e). |
(3) The basis of qualified property shall be the basis |
used to compute
the depreciation deduction for federal |
income tax purposes. |
(4) If the basis of the property for federal income tax |
depreciation
purposes is increased after it has been placed |
in service in the Enterprise
Zone or River Edge |
Redevelopment Zone by the taxpayer, the amount of such |
increase shall be deemed property
placed in service on the |
date of such increase in basis. |
|
(5) The term "placed in service" shall have the same |
meaning as under
Section 46 of the Internal Revenue Code. |
(6) If during any taxable year, any property ceases to |
be qualified
property in the hands of the taxpayer within |
48 months after being placed
in service, or the situs of |
any qualified property is moved outside the
Enterprise Zone |
or River Edge Redevelopment Zone within 48 months after |
being placed in service, the tax
imposed under subsections |
(a) and (b) of this Section for such taxable year
shall be |
increased. Such increase shall be determined by (i) |
recomputing
the investment credit which would have been |
allowed for the year in which
credit for such property was |
originally allowed by eliminating such
property from such |
computation, and (ii) subtracting such recomputed credit
|
from the amount of credit previously allowed. For the |
purposes of this
paragraph (6), a reduction of the basis of |
qualified property resulting
from a redetermination of the |
purchase price shall be deemed a disposition
of qualified |
property to the extent of such reduction. |
(7) There shall be allowed an additional credit equal |
to 0.5% of the basis of qualified property placed in |
service during the taxable year in a River Edge |
Redevelopment Zone, provided such property is placed in |
service on or after July 1, 2006, and the taxpayer's base |
employment within Illinois has increased by 1% or more over |
the preceding year as determined by the taxpayer's |
|
employment records filed with the Illinois Department of |
Employment Security. Taxpayers who are new to Illinois |
shall be deemed to have met the 1% growth in base |
employment for the first year in which they file employment |
records with the Illinois Department of Employment |
Security. If, in any year, the increase in base employment |
within Illinois over the preceding year is less than 1%, |
the additional credit shall be limited to that percentage |
times a fraction, the numerator of which is 0.5% and the |
denominator of which is 1%, but shall not exceed 0.5%.
|
(g) (Blank). |
(h) Investment credit; High Impact Business. |
(1) Subject to subsections (b) and (b-5) of Section
5.5 |
of the Illinois Enterprise Zone Act, a taxpayer shall be |
allowed a credit
against the tax imposed by subsections (a) |
and (b) of this Section for
investment in qualified
|
property which is placed in service by a Department of |
Commerce and Economic Opportunity
designated High Impact |
Business. The credit shall be .5% of the basis
for such |
property. The credit shall not be available (i) until the |
minimum
investments in qualified property set forth in |
subdivision (a)(3)(A) of
Section 5.5 of the Illinois
|
Enterprise Zone Act have been satisfied
or (ii) until the |
time authorized in subsection (b-5) of the Illinois
|
Enterprise Zone Act for entities designated as High Impact |
Businesses under
subdivisions (a)(3)(B), (a)(3)(C), and |
|
(a)(3)(D) of Section 5.5 of the Illinois
Enterprise Zone |
Act, and shall not be allowed to the extent that it would
|
reduce a taxpayer's liability for the tax imposed by |
subsections (a) and (b) of
this Section to below zero. The |
credit applicable to such investments shall be
taken in the |
taxable year in which such investments have been completed. |
The
credit for additional investments beyond the minimum |
investment by a designated
high impact business authorized |
under subdivision (a)(3)(A) of Section 5.5 of
the Illinois |
Enterprise Zone Act shall be available only in the taxable |
year in
which the property is placed in service and shall |
not be allowed to the extent
that it would reduce a |
taxpayer's liability for the tax imposed by subsections
(a) |
and (b) of this Section to below zero.
For tax years ending |
on or after December 31, 1987, the credit shall be
allowed |
for the tax year in which the property is placed in |
service, or, if
the amount of the credit exceeds the tax |
liability for that year, whether
it exceeds the original |
liability or the liability as later amended, such
excess |
may be carried forward and applied to the tax liability of |
the 5
taxable years following the excess credit year. The |
credit shall be
applied to the earliest year for which |
there is a liability. If there is
credit from more than one |
tax year that is available to offset a liability,
the |
credit accruing first in time shall be applied first. |
Changes made in this subdivision (h)(1) by Public Act |
|
88-670
restore changes made by Public Act 85-1182 and |
reflect existing law. |
(2) The term qualified property means property which: |
(A) is tangible, whether new or used, including |
buildings and
structural components of buildings; |
(B) is depreciable pursuant to Section 167 of the |
Internal Revenue
Code, except that "3-year property" |
as defined in Section 168(c)(2)(A) of
that Code is not |
eligible for the credit provided by this subsection |
(h); |
(C) is acquired by purchase as defined in Section |
179(d) of the
Internal Revenue Code; and |
(D) is not eligible for the Enterprise Zone |
Investment Credit provided
by subsection (f) of this |
Section. |
(3) The basis of qualified property shall be the basis |
used to compute
the depreciation deduction for federal |
income tax purposes. |
(4) If the basis of the property for federal income tax |
depreciation
purposes is increased after it has been placed |
in service in a federally
designated Foreign Trade Zone or |
Sub-Zone located in Illinois by the taxpayer,
the amount of |
such increase shall be deemed property placed in service on
|
the date of such increase in basis. |
(5) The term "placed in service" shall have the same |
meaning as under
Section 46 of the Internal Revenue Code. |
|
(6) If during any taxable year ending on or before |
December 31, 1996,
any property ceases to be qualified
|
property in the hands of the taxpayer within 48 months |
after being placed
in service, or the situs of any |
qualified property is moved outside
Illinois within 48 |
months after being placed in service, the tax imposed
under |
subsections (a) and (b) of this Section for such taxable |
year shall
be increased. Such increase shall be determined |
by (i) recomputing the
investment credit which would have |
been allowed for the year in which
credit for such property |
was originally allowed by eliminating such
property from |
such computation, and (ii) subtracting such recomputed |
credit
from the amount of credit previously allowed. For |
the purposes of this
paragraph (6), a reduction of the |
basis of qualified property resulting
from a |
redetermination of the purchase price shall be deemed a |
disposition
of qualified property to the extent of such |
reduction. |
(7) Beginning with tax years ending after December 31, |
1996, if a
taxpayer qualifies for the credit under this |
subsection (h) and thereby is
granted a tax abatement and |
the taxpayer relocates its entire facility in
violation of |
the explicit terms and length of the contract under Section
|
18-183 of the Property Tax Code, the tax imposed under |
subsections
(a) and (b) of this Section shall be increased |
for the taxable year
in which the taxpayer relocated its |
|
facility by an amount equal to the
amount of credit |
received by the taxpayer under this subsection (h). |
(i) Credit for Personal Property Tax Replacement Income |
Tax.
For tax years ending prior to December 31, 2003, a credit |
shall be allowed
against the tax imposed by
subsections (a) and |
(b) of this Section for the tax imposed by subsections (c)
and |
(d) of this Section. This credit shall be computed by |
multiplying the tax
imposed by subsections (c) and (d) of this |
Section by a fraction, the numerator
of which is base income |
allocable to Illinois and the denominator of which is
Illinois |
base income, and further multiplying the product by the tax |
rate
imposed by subsections (a) and (b) of this Section. |
Any credit earned on or after December 31, 1986 under
this |
subsection which is unused in the year
the credit is computed |
because it exceeds the tax liability imposed by
subsections (a) |
and (b) for that year (whether it exceeds the original
|
liability or the liability as later amended) may be carried |
forward and
applied to the tax liability imposed by subsections |
(a) and (b) of the 5
taxable years following the excess credit |
year, provided that no credit may
be carried forward to any |
year ending on or
after December 31, 2003. This credit shall be
|
applied first to the earliest year for which there is a |
liability. If
there is a credit under this subsection from more |
than one tax year that is
available to offset a liability the |
earliest credit arising under this
subsection shall be applied |
first. |
|
If, during any taxable year ending on or after December 31, |
1986, the
tax imposed by subsections (c) and (d) of this |
Section for which a taxpayer
has claimed a credit under this |
subsection (i) is reduced, the amount of
credit for such tax |
shall also be reduced. Such reduction shall be
determined by |
recomputing the credit to take into account the reduced tax
|
imposed by subsections (c) and (d). If any portion of the
|
reduced amount of credit has been carried to a different |
taxable year, an
amended return shall be filed for such taxable |
year to reduce the amount of
credit claimed. |
(j) Training expense credit. Beginning with tax years |
ending on or
after December 31, 1986 and prior to December 31, |
2003, a taxpayer shall be
allowed a credit against the
tax |
imposed by subsections (a) and (b) under this Section
for all |
amounts paid or accrued, on behalf of all persons
employed by |
the taxpayer in Illinois or Illinois residents employed
outside |
of Illinois by a taxpayer, for educational or vocational |
training in
semi-technical or technical fields or semi-skilled |
or skilled fields, which
were deducted from gross income in the |
computation of taxable income. The
credit against the tax |
imposed by subsections (a) and (b) shall be 1.6% of
such |
training expenses. For partners, shareholders of subchapter S
|
corporations, and owners of limited liability companies, if the |
liability
company is treated as a partnership for purposes of |
federal and State income
taxation, there shall be allowed a |
credit under this subsection (j) to be
determined in accordance |
|
with the determination of income and distributive
share of |
income under Sections 702 and 704 and subchapter S of the |
Internal
Revenue Code. |
Any credit allowed under this subsection which is unused in |
the year
the credit is earned may be carried forward to each of |
the 5 taxable
years following the year for which the credit is |
first computed until it is
used. This credit shall be applied |
first to the earliest year for which
there is a liability. If |
there is a credit under this subsection from more
than one tax |
year that is available to offset a liability the earliest
|
credit arising under this subsection shall be applied first. No |
carryforward
credit may be claimed in any tax year ending on or |
after
December 31, 2003. |
(k) Research and development credit. For tax years ending |
after July 1, 1990 and prior to
December 31, 2003, and |
beginning again for tax years ending on or after December 31, |
2004, and ending prior to January 1, 2016, a taxpayer shall be
|
allowed a credit against the tax imposed by subsections (a) and |
(b) of this
Section for increasing research activities in this |
State. The credit
allowed against the tax imposed by |
subsections (a) and (b) shall be equal
to 6 1/2% of the |
qualifying expenditures for increasing research activities
in |
this State. For partners, shareholders of subchapter S |
corporations, and
owners of limited liability companies, if the |
liability company is treated as a
partnership for purposes of |
federal and State income taxation, there shall be
allowed a |
|
credit under this subsection to be determined in accordance |
with the
determination of income and distributive share of |
income under Sections 702 and
704 and subchapter S of the |
Internal Revenue Code. |
For purposes of this subsection, "qualifying expenditures" |
means the
qualifying expenditures as defined for the federal |
credit for increasing
research activities which would be |
allowable under Section 41 of the
Internal Revenue Code and |
which are conducted in this State, "qualifying
expenditures for |
increasing research activities in this State" means the
excess |
of qualifying expenditures for the taxable year in which |
incurred
over qualifying expenditures for the base period, |
"qualifying expenditures
for the base period" means the average |
of the qualifying expenditures for
each year in the base |
period, and "base period" means the 3 taxable years
immediately |
preceding the taxable year for which the determination is
being |
made. |
Any credit in excess of the tax liability for the taxable |
year
may be carried forward. A taxpayer may elect to have the
|
unused credit shown on its final completed return carried over |
as a credit
against the tax liability for the following 5 |
taxable years or until it has
been fully used, whichever occurs |
first; provided that no credit earned in a tax year ending |
prior to December 31, 2003 may be carried forward to any year |
ending on or after December 31, 2003. |
If an unused credit is carried forward to a given year from |
|
2 or more
earlier years, that credit arising in the earliest |
year will be applied
first against the tax liability for the |
given year. If a tax liability for
the given year still |
remains, the credit from the next earliest year will
then be |
applied, and so on, until all credits have been used or no tax
|
liability for the given year remains. Any remaining unused |
credit or
credits then will be carried forward to the next |
following year in which a
tax liability is incurred, except |
that no credit can be carried forward to
a year which is more |
than 5 years after the year in which the expense for
which the |
credit is given was incurred. |
No inference shall be drawn from this amendatory Act of the |
91st General
Assembly in construing this Section for taxable |
years beginning before January
1, 1999. |
(l) Environmental Remediation Tax Credit. |
(i) For tax years ending after December 31, 1997 and on |
or before
December 31, 2001, a taxpayer shall be allowed a |
credit against the tax
imposed by subsections (a) and (b) |
of this Section for certain amounts paid
for unreimbursed |
eligible remediation costs, as specified in this |
subsection.
For purposes of this Section, "unreimbursed |
eligible remediation costs" means
costs approved by the |
Illinois Environmental Protection Agency ("Agency") under
|
Section 58.14 of the Environmental Protection Act that were |
paid in performing
environmental remediation at a site for |
which a No Further Remediation Letter
was issued by the |
|
Agency and recorded under Section 58.10 of the |
Environmental
Protection Act. The credit must be claimed |
for the taxable year in which
Agency approval of the |
eligible remediation costs is granted. The credit is
not |
available to any taxpayer if the taxpayer or any related |
party caused or
contributed to, in any material respect, a |
release of regulated substances on,
in, or under the site |
that was identified and addressed by the remedial
action |
pursuant to the Site Remediation Program of the |
Environmental Protection
Act. After the Pollution Control |
Board rules are adopted pursuant to the
Illinois |
Administrative Procedure Act for the administration and |
enforcement of
Section 58.9 of the Environmental |
Protection Act, determinations as to credit
availability |
for purposes of this Section shall be made consistent with |
those
rules. For purposes of this Section, "taxpayer" |
includes a person whose tax
attributes the taxpayer has |
succeeded to under Section 381 of the Internal
Revenue Code |
and "related party" includes the persons disallowed a |
deduction
for losses by paragraphs (b), (c), and (f)(1) of |
Section 267 of the Internal
Revenue Code by virtue of being |
a related taxpayer, as well as any of its
partners. The |
credit allowed against the tax imposed by subsections (a) |
and
(b) shall be equal to 25% of the unreimbursed eligible |
remediation costs in
excess of $100,000 per site, except |
that the $100,000 threshold shall not apply
to any site |
|
contained in an enterprise zone as determined by the |
Department of
Commerce and Community Affairs (now |
Department of Commerce and Economic Opportunity). The |
total credit allowed shall not exceed
$40,000 per year with |
a maximum total of $150,000 per site. For partners and
|
shareholders of subchapter S corporations, there shall be |
allowed a credit
under this subsection to be determined in |
accordance with the determination of
income and |
distributive share of income under Sections 702 and 704 and
|
subchapter S of the Internal Revenue Code. |
(ii) A credit allowed under this subsection that is |
unused in the year
the credit is earned may be carried |
forward to each of the 5 taxable years
following the year |
for which the credit is first earned until it is used.
The |
term "unused credit" does not include any amounts of |
unreimbursed eligible
remediation costs in excess of the |
maximum credit per site authorized under
paragraph (i). |
This credit shall be applied first to the earliest year
for |
which there is a liability. If there is a credit under this |
subsection
from more than one tax year that is available to |
offset a liability, the
earliest credit arising under this |
subsection shall be applied first. A
credit allowed under |
this subsection may be sold to a buyer as part of a sale
of |
all or part of the remediation site for which the credit |
was granted. The
purchaser of a remediation site and the |
tax credit shall succeed to the unused
credit and remaining |
|
carry-forward period of the seller. To perfect the
|
transfer, the assignor shall record the transfer in the |
chain of title for the
site and provide written notice to |
the Director of the Illinois Department of
Revenue of the |
assignor's intent to sell the remediation site and the |
amount of
the tax credit to be transferred as a portion of |
the sale. In no event may a
credit be transferred to any |
taxpayer if the taxpayer or a related party would
not be |
eligible under the provisions of subsection (i). |
(iii) For purposes of this Section, the term "site" |
shall have the same
meaning as under Section 58.2 of the |
Environmental Protection Act. |
(m) Education expense credit. Beginning with tax years |
ending after
December 31, 1999, a taxpayer who
is the custodian |
of one or more qualifying pupils shall be allowed a credit
|
against the tax imposed by subsections (a) and (b) of this |
Section for
qualified education expenses incurred on behalf of |
the qualifying pupils.
The credit shall be equal to 25% of |
qualified education expenses, but in no
event may the total |
credit under this subsection claimed by a
family that is the
|
custodian of qualifying pupils exceed $500. In no event shall a |
credit under
this subsection reduce the taxpayer's liability |
under this Act to less than
zero. This subsection is exempt |
from the provisions of Section 250 of this
Act. |
For purposes of this subsection: |
"Qualifying pupils" means individuals who (i) are |
|
residents of the State of
Illinois, (ii) are under the age of |
21 at the close of the school year for
which a credit is |
sought, and (iii) during the school year for which a credit
is |
sought were full-time pupils enrolled in a kindergarten through |
twelfth
grade education program at any school, as defined in |
this subsection. |
"Qualified education expense" means the amount incurred
on |
behalf of a qualifying pupil in excess of $250 for tuition, |
book fees, and
lab fees at the school in which the pupil is |
enrolled during the regular school
year. |
"School" means any public or nonpublic elementary or |
secondary school in
Illinois that is in compliance with Title |
VI of the Civil Rights Act of 1964
and attendance at which |
satisfies the requirements of Section 26-1 of the
School Code, |
except that nothing shall be construed to require a child to
|
attend any particular public or nonpublic school to qualify for |
the credit
under this Section. |
"Custodian" means, with respect to qualifying pupils, an |
Illinois resident
who is a parent, the parents, a legal |
guardian, or the legal guardians of the
qualifying pupils. |
(n) River Edge Redevelopment Zone site remediation tax |
credit.
|
(i) For tax years ending on or after December 31, 2006, |
a taxpayer shall be allowed a credit against the tax |
imposed by subsections (a) and (b) of this Section for |
certain amounts paid for unreimbursed eligible remediation |
|
costs, as specified in this subsection. For purposes of |
this Section, "unreimbursed eligible remediation costs" |
means costs approved by the Illinois Environmental |
Protection Agency ("Agency") under Section 58.14a of the |
Environmental Protection Act that were paid in performing |
environmental remediation at a site within a River Edge |
Redevelopment Zone for which a No Further Remediation |
Letter was issued by the Agency and recorded under Section |
58.10 of the Environmental Protection Act. The credit must |
be claimed for the taxable year in which Agency approval of |
the eligible remediation costs is granted. The credit is |
not available to any taxpayer if the taxpayer or any |
related party caused or contributed to, in any material |
respect, a release of regulated substances on, in, or under |
the site that was identified and addressed by the remedial |
action pursuant to the Site Remediation Program of the |
Environmental Protection Act. Determinations as to credit |
availability for purposes of this Section shall be made |
consistent with rules adopted by the Pollution Control |
Board pursuant to the Illinois Administrative Procedure |
Act for the administration and enforcement of Section 58.9 |
of the Environmental Protection Act. For purposes of this |
Section, "taxpayer" includes a person whose tax attributes |
the taxpayer has succeeded to under Section 381 of the |
Internal Revenue Code and "related party" includes the |
persons disallowed a deduction for losses by paragraphs |
|
(b), (c), and (f)(1) of Section 267 of the Internal Revenue |
Code by virtue of being a related taxpayer, as well as any |
of its partners. The credit allowed against the tax imposed |
by subsections (a) and (b) shall be equal to 25% of the |
unreimbursed eligible remediation costs in excess of |
$100,000 per site. |
(ii) A credit allowed under this subsection that is |
unused in the year the credit is earned may be carried |
forward to each of the 5 taxable years following the year |
for which the credit is first earned until it is used. This |
credit shall be applied first to the earliest year for |
which there is a liability. If there is a credit under this |
subsection from more than one tax year that is available to |
offset a liability, the earliest credit arising under this |
subsection shall be applied first. A credit allowed under |
this subsection may be sold to a buyer as part of a sale of |
all or part of the remediation site for which the credit |
was granted. The purchaser of a remediation site and the |
tax credit shall succeed to the unused credit and remaining |
carry-forward period of the seller. To perfect the |
transfer, the assignor shall record the transfer in the |
chain of title for the site and provide written notice to |
the Director of the Illinois Department of Revenue of the |
assignor's intent to sell the remediation site and the |
amount of the tax credit to be transferred as a portion of |
the sale. In no event may a credit be transferred to any |
|
taxpayer if the taxpayer or a related party would not be |
eligible under the provisions of subsection (i). |
(iii) For purposes of this Section, the term "site" |
shall have the same meaning as under Section 58.2 of the |
Environmental Protection Act. |
(o) For each of taxable years during the Compassionate Use |
of Medical Cannabis Pilot Program, a surcharge is imposed on |
all taxpayers on income arising from the sale or exchange of |
capital assets, depreciable business property, real property |
used in the trade or business, and Section 197 intangibles of |
an organization registrant under the Compassionate Use of |
Medical Cannabis Pilot Program Act. The amount of the surcharge |
is equal to the amount of federal income tax liability for the |
taxable year attributable to those sales and exchanges. The |
surcharge imposed does not apply if: |
(1) the medical cannabis cultivation center |
registration, medical cannabis dispensary registration, or |
the property of a registration is transferred as a result |
of any of the following: |
(A) bankruptcy, a receivership, or a debt |
adjustment initiated by or against the initial |
registration or the substantial owners of the initial |
registration; |
(B) cancellation, revocation, or termination of |
any registration by the Illinois Department of Public |
Health; |
|
(C) a determination by the Illinois Department of |
Public Health that transfer of the registration is in |
the best interests of Illinois qualifying patients as |
defined by the Compassionate Use of Medical Cannabis |
Pilot Program Act; |
(D) the death of an owner of the equity interest in |
a registrant; |
(E) the acquisition of a controlling interest in |
the stock or substantially all of the assets of a |
publicly traded company; |
(F) a transfer by a parent company to a wholly |
owned subsidiary; or |
(G) the transfer or sale to or by one person to |
another person where both persons were initial owners |
of the registration when the registration was issued; |
or |
(2) the cannabis cultivation center registration, |
medical cannabis dispensary registration, or the |
controlling interest in a registrant's property is |
transferred in a transaction to lineal descendants in which |
no gain or loss is recognized or as a result of a |
transaction in accordance with Section 351 of the Internal |
Revenue Code in which no gain or loss is recognized. |
(Source: P.A. 97-2, eff. 5-6-11; 97-636, eff. 6-1-12; 97-905, |
eff. 8-7-12; 98-109, eff. 7-25-13; 98-122, eff. 1-1-14; revised |
8-9-13.)
|
|
(35 ILCS 5/304) (from Ch. 120, par. 3-304)
|
Sec. 304. Business income of persons other than residents.
|
(a) In general. The business income of a person other than |
a
resident shall be allocated to this State if such person's |
business
income is derived solely from this State. If a person |
other than a
resident derives business income from this State |
and one or more other
states, then, for tax years ending on or |
before December 30, 1998, and
except as otherwise provided by |
this Section, such
person's business income shall be |
apportioned to this State by
multiplying the income by a |
fraction, the numerator of which is the sum
of the property |
factor (if any), the payroll factor (if any) and 200% of the
|
sales factor (if any), and the denominator of which is 4 |
reduced by the
number of factors other than the sales factor |
which have a denominator
of zero and by an additional 2 if the |
sales factor has a denominator of zero.
For tax years ending on |
or after December 31, 1998, and except as otherwise
provided by |
this Section, persons other than
residents who derive business |
income from this State and one or more other
states shall |
compute their apportionment factor by weighting their |
property,
payroll, and sales factors as provided in
subsection |
(h) of this Section.
|
(1) Property factor.
|
(A) The property factor is a fraction, the numerator of |
which is the
average value of the person's real and |
|
tangible personal property owned
or rented and used in the |
trade or business in this State during the
taxable year and |
the denominator of which is the average value of all
the |
person's real and tangible personal property owned or |
rented and
used in the trade or business during the taxable |
year.
|
(B) Property owned by the person is valued at its |
original cost.
Property rented by the person is valued at 8 |
times the net annual rental
rate. Net annual rental rate is |
the annual rental rate paid by the
person less any annual |
rental rate received by the person from
sub-rentals.
|
(C) The average value of property shall be determined |
by averaging
the values at the beginning and ending of the |
taxable year but the
Director may require the averaging of |
monthly values during the taxable
year if reasonably |
required to reflect properly the average value of the
|
person's property.
|
(2) Payroll factor.
|
(A) The payroll factor is a fraction, the numerator of |
which is the
total amount paid in this State during the |
taxable year by the person
for compensation, and the |
denominator of which is the total compensation
paid |
everywhere during the taxable year.
|
(B) Compensation is paid in this State if:
|
(i) The individual's service is performed entirely |
within this
State;
|
|
(ii) The individual's service is performed both |
within and without
this State, but the service |
performed without this State is incidental
to the |
individual's service performed within this State; or
|
(iii) Some of the service is performed within this |
State and either
the base of operations, or if there is |
no base of operations, the place
from which the service |
is directed or controlled is within this State,
or the |
base of operations or the place from which the service |
is
directed or controlled is not in any state in which |
some part of the
service is performed, but the |
individual's residence is in this State.
|
(iv) Compensation paid to nonresident professional |
athletes. |
(a) General. The Illinois source income of a |
nonresident individual who is a member of a |
professional athletic team includes the portion of the |
individual's total compensation for services performed |
as a member of a professional athletic team during the |
taxable year which the number of duty days spent within |
this State performing services for the team in any |
manner during the taxable year bears to the total |
number of duty days spent both within and without this |
State during the taxable year. |
(b) Travel days. Travel days that do not involve |
either a game, practice, team meeting, or other similar |
|
team event are not considered duty days spent in this |
State. However, such travel days are considered in the |
total duty days spent both within and without this |
State. |
(c) Definitions. For purposes of this subpart |
(iv): |
(1) The term "professional athletic team" |
includes, but is not limited to, any professional |
baseball, basketball, football, soccer, or hockey |
team. |
(2) The term "member of a professional |
athletic team" includes those employees who are |
active players, players on the disabled list, and |
any other persons required to travel and who travel |
with and perform services on behalf of a |
professional athletic team on a regular basis. |
This includes, but is not limited to, coaches, |
managers, and trainers. |
(3) Except as provided in items (C) and (D) of |
this subpart (3), the term "duty days" means all |
days during the taxable year from the beginning of |
the professional athletic team's official |
pre-season training period through the last game |
in which the team competes or is scheduled to |
compete. Duty days shall be counted for the year in |
which they occur, including where a team's |
|
official pre-season training period through the |
last game in which the team competes or is |
scheduled to compete, occurs during more than one |
tax year. |
(A) Duty days shall also include days on |
which a member of a professional athletic team |
performs service for a team on a date that does |
not fall within the foregoing period (e.g., |
participation in instructional leagues, the |
"All Star Game", or promotional "caravans"). |
Performing a service for a professional |
athletic team includes conducting training and |
rehabilitation activities, when such |
activities are conducted at team facilities. |
(B) Also included in duty days are game |
days, practice days, days spent at team |
meetings, promotional caravans, preseason |
training camps, and days served with the team |
through all post-season games in which the team |
competes or is scheduled to compete. |
(C) Duty days for any person who joins a |
team during the period from the beginning of |
the professional athletic team's official |
pre-season training period through the last |
game in which the team competes, or is |
scheduled to compete, shall begin on the day |
|
that person joins the team. Conversely, duty |
days for any person who leaves a team during |
this period shall end on the day that person |
leaves the team. Where a person switches teams |
during a taxable year, a separate duty-day |
calculation shall be made for the period the |
person was with each team. |
(D) Days for which a member of a |
professional athletic team is not compensated |
and is not performing services for the team in |
any manner, including days when such member of |
a professional athletic team has been |
suspended without pay and prohibited from |
performing any services for the team, shall not |
be treated as duty days. |
(E) Days for which a member of a |
professional athletic team is on the disabled |
list and does not conduct rehabilitation |
activities at facilities of the team, and is |
not otherwise performing services for the team |
in Illinois, shall not be considered duty days |
spent in this State. All days on the disabled |
list, however, are considered to be included in |
total duty days spent both within and without |
this State. |
(4) The term "total compensation for services |
|
performed as a member of a professional athletic |
team" means the total compensation received during |
the taxable year for services performed: |
(A) from the beginning of the official |
pre-season training period through the last |
game in which the team competes or is scheduled |
to compete during that taxable year; and |
(B) during the taxable year on a date which |
does not fall within the foregoing period |
(e.g., participation in instructional leagues, |
the "All Star Game", or promotional caravans). |
This compensation shall include, but is not |
limited to, salaries, wages, bonuses as described |
in this subpart, and any other type of compensation |
paid during the taxable year to a member of a |
professional athletic team for services performed |
in that year. This compensation does not include |
strike benefits, severance pay, termination pay, |
contract or option year buy-out payments, |
expansion or relocation payments, or any other |
payments not related to services performed for the |
team. |
For purposes of this subparagraph, "bonuses" |
included in "total compensation for services |
performed as a member of a professional athletic |
team" subject to the allocation described in |
|
Section 302(c)(1) are: bonuses earned as a result |
of play (i.e., performance bonuses) during the |
season, including bonuses paid for championship, |
playoff or "bowl" games played by a team, or for |
selection to all-star league or other honorary |
positions; and bonuses paid for signing a |
contract, unless the payment of the signing bonus |
is not conditional upon the signee playing any |
games for the team or performing any subsequent |
services for the team or even making the team, the |
signing bonus is payable separately from the |
salary and any other compensation, and the signing |
bonus is nonrefundable.
|
(3) Sales factor.
|
(A) The sales factor is a fraction, the numerator of |
which is the
total sales of the person in this State during |
the taxable year, and the
denominator of which is the total |
sales of the person everywhere during
the taxable year.
|
(B) Sales of tangible personal property are in this |
State if:
|
(i) The property is delivered or shipped to a |
purchaser, other than
the United States government, |
within this State regardless of the f. o.
b. point or |
other conditions of the sale; or
|
(ii) The property is shipped from an office, store, |
warehouse,
factory or other place of storage in this |
|
State and either the purchaser
is the United States |
government or the person is not taxable in the
state of |
the purchaser; provided, however, that premises owned |
or leased
by a person who has independently contracted |
with the seller for the printing
of newspapers, |
periodicals or books shall not be deemed to be an |
office,
store, warehouse, factory or other place of |
storage for purposes of this
Section.
Sales of tangible |
personal property are not in this State if the
seller |
and purchaser would be members of the same unitary |
business group
but for the fact that either the seller |
or purchaser is a person with 80%
or more of total |
business activity outside of the United States and the
|
property is purchased for resale.
|
(B-1) Patents, copyrights, trademarks, and similar |
items of intangible
personal property.
|
(i) Gross receipts from the licensing, sale, or |
other disposition of a
patent, copyright, trademark, |
or similar item of intangible personal property, other |
than gross receipts governed by paragraph (B-7) of this |
item (3),
are in this State to the extent the item is |
utilized in this State during the
year the gross |
receipts are included in gross income.
|
(ii) Place of utilization.
|
(I) A patent is utilized in a state to the |
extent that it is employed
in production, |
|
fabrication, manufacturing, or other processing in |
the state or
to the extent that a patented product |
is produced in the state. If a patent is
utilized |
in
more than one state, the extent to which it is |
utilized in any one state shall
be a fraction equal |
to the gross receipts of the licensee or purchaser |
from
sales or leases of items produced, |
fabricated, manufactured, or processed
within that |
state using the patent and of patented items |
produced within that
state, divided by the total of |
such gross receipts for all states in which the
|
patent is utilized.
|
(II) A copyright is utilized in a state to the |
extent that printing or
other publication |
originates in the state. If a copyright is utilized |
in more
than one state, the extent to which it is |
utilized in any one state shall be a
fraction equal |
to the gross receipts from sales or licenses of |
materials
printed or published in that state |
divided by the total of such gross receipts
for all |
states in which the copyright is utilized.
|
(III) Trademarks and other items of intangible |
personal property
governed by this paragraph (B-1) |
are utilized in the state in which the
commercial |
domicile of the licensee or purchaser is located.
|
(iii) If the state of utilization of an item of |
|
property governed by
this paragraph (B-1) cannot be |
determined from the taxpayer's books and
records or |
from the books and records of any person related to the |
taxpayer
within the meaning of Section 267(b) of the |
Internal Revenue Code, 26 U.S.C.
267, the gross
|
receipts attributable to that item shall be excluded |
from both the numerator
and the denominator of the |
sales factor.
|
(B-2) Gross receipts from the license, sale, or other |
disposition of
patents, copyrights, trademarks, and |
similar items of intangible personal
property, other than |
gross receipts governed by paragraph (B-7) of this item |
(3), may be included in the numerator or denominator of the |
sales factor
only if gross receipts from licenses, sales, |
or other disposition of such items
comprise more than 50% |
of the taxpayer's total gross receipts included in gross
|
income during the tax year and during each of the 2 |
immediately preceding tax
years; provided that, when a |
taxpayer is a member of a unitary business group,
such |
determination shall be made on the basis of the gross |
receipts of the
entire unitary business group.
|
(B-5) For taxable years ending on or after December 31, |
2008, except as provided in subsections (ii) through (vii), |
receipts from the sale of telecommunications service or |
mobile telecommunications service are in this State if the |
customer's service address is in this State. |
|
(i) For purposes of this subparagraph (B-5), the |
following terms have the following meanings: |
"Ancillary services" means services that are |
associated with or incidental to the provision of |
"telecommunications services", including but not |
limited to "detailed telecommunications billing", |
"directory assistance", "vertical service", and "voice |
mail services". |
"Air-to-Ground Radiotelephone service" means a |
radio service, as that term is defined in 47 CFR 22.99, |
in which common carriers are authorized to offer and |
provide radio telecommunications service for hire to |
subscribers in aircraft. |
"Call-by-call Basis" means any method of charging |
for telecommunications services where the price is |
measured by individual calls. |
"Communications Channel" means a physical or |
virtual path of communications over which signals are |
transmitted between or among customer channel |
termination points. |
"Conference bridging service" means an "ancillary |
service" that links two or more participants of an |
audio or video conference call and may include the |
provision of a telephone number. "Conference bridging |
service" does not include the "telecommunications |
services" used to reach the conference bridge. |
|
"Customer Channel Termination Point" means the |
location where the customer either inputs or receives |
the communications. |
"Detailed telecommunications billing service" |
means an "ancillary service" of separately stating |
information pertaining to individual calls on a |
customer's billing statement. |
"Directory assistance" means an "ancillary |
service" of providing telephone number information, |
and/or address information. |
"Home service provider" means the facilities based |
carrier or reseller with which the customer contracts |
for the provision of mobile telecommunications |
services. |
"Mobile telecommunications service" means |
commercial mobile radio service, as defined in Section |
20.3 of Title 47 of the Code of Federal Regulations as |
in effect on June 1, 1999. |
"Place of primary use" means the street address |
representative of where the customer's use of the |
telecommunications service primarily occurs, which |
must be the residential street address or the primary |
business street address of the customer. In the case of |
mobile telecommunications services, "place of primary |
use" must be within the licensed service area of the |
home service provider. |
|
"Post-paid telecommunication service" means the |
telecommunications service obtained by making a |
payment on a call-by-call basis either through the use |
of a credit card or payment mechanism such as a bank |
card, travel card, credit card, or debit card, or by |
charge made to a telephone number which is not |
associated with the origination or termination of the |
telecommunications service. A post-paid calling |
service includes telecommunications service, except a |
prepaid wireless calling service, that would be a |
prepaid calling service except it is not exclusively a |
telecommunication service. |
"Prepaid telecommunication service" means the |
right to access exclusively telecommunications |
services, which must be paid for in advance and which |
enables the origination of calls using an access number |
or authorization code, whether manually or |
electronically dialed, and that is sold in |
predetermined units or dollars of which the number |
declines with use in a known amount. |
"Prepaid Mobile telecommunication service" means a |
telecommunications service that provides the right to |
utilize mobile wireless service as well as other |
non-telecommunication services, including but not |
limited to ancillary services, which must be paid for |
in advance that is sold in predetermined units or |
|
dollars of which the number declines with use in a |
known amount. |
"Private communication service" means a |
telecommunication service that entitles the customer |
to exclusive or priority use of a communications |
channel or group of channels between or among |
termination points, regardless of the manner in which |
such channel or channels are connected, and includes |
switching capacity, extension lines, stations, and any |
other associated services that are provided in |
connection with the use of such channel or channels. |
"Service address" means: |
(a) The location of the telecommunications |
equipment to which a customer's call is charged and |
from which the call originates or terminates, |
regardless of where the call is billed or paid; |
(b) If the location in line (a) is not known, |
service address means the origination point of the |
signal of the telecommunications services first |
identified by either the seller's |
telecommunications system or in information |
received by the seller from its service provider |
where the system used to transport such signals is |
not that of the seller; and |
(c) If the locations in line (a) and line (b) |
are not known, the service address means the |
|
location of the customer's place of primary use. |
"Telecommunications service" means the electronic |
transmission, conveyance, or routing of voice, data, |
audio, video, or any other information or signals to a |
point, or between or among points. The term |
"telecommunications service" includes such |
transmission, conveyance, or routing in which computer |
processing applications are used to act on the form, |
code or protocol of the content for purposes of |
transmission, conveyance or routing without regard to |
whether such service is referred to as voice over |
Internet protocol services or is classified by the |
Federal Communications Commission as enhanced or value |
added. "Telecommunications service" does not include: |
(a) Data processing and information services |
that allow data to be generated, acquired, stored, |
processed, or retrieved and delivered by an |
electronic transmission to a purchaser when such |
purchaser's primary purpose for the underlying |
transaction is the processed data or information; |
(b) Installation or maintenance of wiring or |
equipment on a customer's premises; |
(c) Tangible personal property; |
(d) Advertising, including but not limited to |
directory advertising. |
(e) Billing and collection services provided |
|
to third parties; |
(f) Internet access service; |
(g) Radio and television audio and video |
programming services, regardless of the medium, |
including the furnishing of transmission, |
conveyance and routing of such services by the |
programming service provider. Radio and television |
audio and video programming services shall include |
but not be limited to cable service as defined in |
47 USC 522(6) and audio and video programming |
services delivered by commercial mobile radio |
service providers, as defined in 47 CFR 20.3; |
(h) "Ancillary services"; or |
(i) Digital products "delivered |
electronically", including but not limited to |
software, music, video, reading materials or ring |
tones. |
"Vertical service" means an "ancillary service" |
that is offered in connection with one or more |
"telecommunications services", which offers advanced |
calling features that allow customers to identify |
callers and to manage multiple calls and call |
connections, including "conference bridging services". |
"Voice mail service" means an "ancillary service" |
that enables the customer to store, send or receive |
recorded messages. "Voice mail service" does not |
|
include any "vertical services" that the customer may |
be required to have in order to utilize the "voice mail |
service". |
(ii) Receipts from the sale of telecommunications |
service sold on an individual call-by-call basis are in |
this State if either of the following applies: |
(a) The call both originates and terminates in |
this State. |
(b) The call either originates or terminates |
in this State and the service address is located in |
this State. |
(iii) Receipts from the sale of postpaid |
telecommunications service at retail are in this State |
if the origination point of the telecommunication |
signal, as first identified by the service provider's |
telecommunication system or as identified by |
information received by the seller from its service |
provider if the system used to transport |
telecommunication signals is not the seller's, is |
located in this State. |
(iv) Receipts from the sale of prepaid |
telecommunications service or prepaid mobile |
telecommunications service at retail are in this State |
if the purchaser obtains the prepaid card or similar |
means of conveyance at a location in this State. |
Receipts from recharging a prepaid telecommunications |
|
service or mobile telecommunications service is in |
this State if the purchaser's billing information |
indicates a location in this State. |
(v) Receipts from the sale of private |
communication services are in this State as follows: |
(a) 100% of receipts from charges imposed at |
each channel termination point in this State. |
(b) 100% of receipts from charges for the total |
channel mileage between each channel termination |
point in this State. |
(c) 50% of the total receipts from charges for |
service segments when those segments are between 2 |
customer channel termination points, 1 of which is |
located in this State and the other is located |
outside of this State, which segments are |
separately charged. |
(d) The receipts from charges for service |
segments with a channel termination point located |
in this State and in two or more other states, and |
which segments are not separately billed, are in |
this State based on a percentage determined by |
dividing the number of customer channel |
termination points in this State by the total |
number of customer channel termination points. |
(vi) Receipts from charges for ancillary services |
for telecommunications service sold to customers at |
|
retail are in this State if the customer's primary |
place of use of telecommunications services associated |
with those ancillary services is in this State. If the |
seller of those ancillary services cannot determine |
where the associated telecommunications are located, |
then the ancillary services shall be based on the |
location of the purchaser. |
(vii) Receipts to access a carrier's network or |
from the sale of telecommunication services or |
ancillary services for resale are in this State as |
follows: |
(a) 100% of the receipts from access fees |
attributable to intrastate telecommunications |
service that both originates and terminates in |
this State. |
(b) 50% of the receipts from access fees |
attributable to interstate telecommunications |
service if the interstate call either originates |
or terminates in this State. |
(c) 100% of the receipts from interstate end |
user access line charges, if the customer's |
service address is in this State. As used in this |
subdivision, "interstate end user access line |
charges" includes, but is not limited to, the |
surcharge approved by the federal communications |
commission and levied pursuant to 47 CFR 69. |
|
(d) Gross receipts from sales of |
telecommunication services or from ancillary |
services for telecommunications services sold to |
other telecommunication service providers for |
resale shall be sourced to this State using the |
apportionment concepts used for non-resale |
receipts of telecommunications services if the |
information is readily available to make that |
determination. If the information is not readily |
available, then the taxpayer may use any other |
reasonable and consistent method. |
(B-7) For taxable years ending on or after December 31, |
2008, receipts from the sale of broadcasting services are |
in this State if the broadcasting services are received in |
this State. For purposes of this paragraph (B-7), the |
following terms have the following meanings: |
"Advertising revenue" means consideration received |
by the taxpayer in exchange for broadcasting services |
or allowing the broadcasting of commercials or |
announcements in connection with the broadcasting of |
film or radio programming, from sponsorships of the |
programming, or from product placements in the |
programming. |
"Audience factor" means the ratio that the |
audience or subscribers located in this State of a |
station, a network, or a cable system bears to the |
|
total audience or total subscribers for that station, |
network, or cable system. The audience factor for film |
or radio programming shall be determined by reference |
to the books and records of the taxpayer or by |
reference to published rating statistics provided the |
method used by the taxpayer is consistently used from |
year to year for this purpose and fairly represents the |
taxpayer's activity in this State. |
"Broadcast" or "broadcasting" or "broadcasting |
services" means the transmission or provision of film |
or radio programming, whether through the public |
airwaves, by cable, by direct or indirect satellite |
transmission, or by any other means of communication, |
either through a station, a network, or a cable system. |
"Film" or "film programming" means the broadcast |
on television of any and all performances, events, or |
productions, including but not limited to news, |
sporting events, plays, stories, or other literary, |
commercial, educational, or artistic works, either |
live or through the use of video tape, disc, or any |
other type of format or medium. Each episode of a |
series of films produced for television shall |
constitute separate "film" notwithstanding that the |
series relates to the same principal subject and is |
produced during one or more tax periods. |
"Radio" or "radio programming" means the broadcast |
|
on radio of any and all performances, events, or |
productions, including but not limited to news, |
sporting events, plays, stories, or other literary, |
commercial, educational, or artistic works, either |
live or through the use of an audio tape, disc, or any |
other format or medium. Each episode in a series of |
radio programming produced for radio broadcast shall |
constitute a separate "radio programming" |
notwithstanding that the series relates to the same |
principal subject and is produced during one or more |
tax periods. |
(i) In the case of advertising revenue from |
broadcasting, the customer is the advertiser and |
the service is received in this State if the |
commercial domicile of the advertiser is in this |
State. |
(ii) In the case where film or radio |
programming is broadcast by a station, a network, |
or a cable system for a fee or other remuneration |
received from the recipient of the broadcast, the |
portion of the service that is received in this |
State is measured by the portion of the recipients |
of the broadcast located in this State. |
Accordingly, the fee or other remuneration for |
such service that is included in the Illinois |
numerator of the sales factor is the total of those |
|
fees or other remuneration received from |
recipients in Illinois. For purposes of this |
paragraph, a taxpayer may determine the location |
of the recipients of its broadcast using the |
address of the recipient shown in its contracts |
with the recipient or using the billing address of |
the recipient in the taxpayer's records. |
(iii) In the case where film or radio |
programming is broadcast by a station, a network, |
or a cable system for a fee or other remuneration |
from the person providing the programming, the |
portion of the broadcast service that is received |
by such station, network, or cable system in this |
State is measured by the portion of recipients of |
the broadcast located in this State. Accordingly, |
the amount of revenue related to such an |
arrangement that is included in the Illinois |
numerator of the sales factor is the total fee or |
other total remuneration from the person providing |
the programming related to that broadcast |
multiplied by the Illinois audience factor for |
that broadcast. |
(iv) In the case where film or radio |
programming is provided by a taxpayer that is a |
network or station to a customer for broadcast in |
exchange for a fee or other remuneration from that |
|
customer the broadcasting service is received at |
the location of the office of the customer from |
which the services were ordered in the regular |
course of the customer's trade or business. |
Accordingly, in such a case the revenue derived by |
the taxpayer that is included in the taxpayer's |
Illinois numerator of the sales factor is the |
revenue from such customers who receive the |
broadcasting service in Illinois. |
(v) In the case where film or radio programming |
is provided by a taxpayer that is not a network or |
station to another person for broadcasting in |
exchange for a fee or other remuneration from that |
person, the broadcasting service is received at |
the location of the office of the customer from |
which the services were ordered in the regular |
course of the customer's trade or business. |
Accordingly, in such a case the revenue derived by |
the taxpayer that is included in the taxpayer's |
Illinois numerator of the sales factor is the |
revenue from such customers who receive the |
broadcasting service in Illinois. |
(B-8) Gross receipts from winnings under the Illinois |
Lottery Law from the assignment of a prize under Section |
13-1 of the Illinois Lottery Law are received in this |
State. This paragraph (B-8) applies only to taxable years |
|
ending on or after December 31, 2013.
|
(C) For taxable years ending before December 31, 2008, |
sales, other than sales governed by paragraphs (B), (B-1), |
(B-2), and (B-8) are in
this State if:
|
(i) The income-producing activity is performed in |
this State; or
|
(ii) The income-producing activity is performed |
both within and
without this State and a greater |
proportion of the income-producing
activity is |
performed within this State than without this State, |
based
on performance costs.
|
(C-5) For taxable years ending on or after December 31, |
2008, sales, other than sales governed by paragraphs (B), |
(B-1), (B-2), (B-5), and (B-7), are in this State if any of |
the following criteria are met: |
(i) Sales from the sale or lease of real property |
are in this State if the property is located in this |
State. |
(ii) Sales from the lease or rental of tangible |
personal property are in this State if the property is |
located in this State during the rental period. Sales |
from the lease or rental of tangible personal property |
that is characteristically moving property, including, |
but not limited to, motor vehicles, rolling stock, |
aircraft, vessels, or mobile equipment are in this |
State to the extent that the property is used in this |
|
State. |
(iii) In the case of interest, net gains (but not |
less than zero) and other items of income from |
intangible personal property, the sale is in this State |
if: |
(a) in the case of a taxpayer who is a dealer |
in the item of intangible personal property within |
the meaning of Section 475 of the Internal Revenue |
Code, the income or gain is received from a |
customer in this State. For purposes of this |
subparagraph, a customer is in this State if the |
customer is an individual, trust or estate who is a |
resident of this State and, for all other |
customers, if the customer's commercial domicile |
is in this State. Unless the dealer has actual |
knowledge of the residence or commercial domicile |
of a customer during a taxable year, the customer |
shall be deemed to be a customer in this State if |
the billing address of the customer, as shown in |
the records of the dealer, is in this State; or |
(b) in all other cases, if the |
income-producing activity of the taxpayer is |
performed in this State or, if the |
income-producing activity of the taxpayer is |
performed both within and without this State, if a |
greater proportion of the income-producing |
|
activity of the taxpayer is performed within this |
State than in any other state, based on performance |
costs. |
(iv) Sales of services are in this State if the |
services are received in this State. For the purposes |
of this section, gross receipts from the performance of |
services provided to a corporation, partnership, or |
trust may only be attributed to a state where that |
corporation, partnership, or trust has a fixed place of |
business. If the state where the services are received |
is not readily determinable or is a state where the |
corporation, partnership, or trust receiving the |
service does not have a fixed place of business, the |
services shall be deemed to be received at the location |
of the office of the customer from which the services |
were ordered in the regular course of the customer's |
trade or business. If the ordering office cannot be |
determined, the services shall be deemed to be received |
at the office of the customer to which the services are |
billed. If the taxpayer is not taxable in the state in |
which the services are received, the sale must be |
excluded from both the numerator and the denominator of |
the sales factor. The Department shall adopt rules |
prescribing where specific types of service are |
received, including, but not limited to, publishing, |
and utility service.
|
|
(D) For taxable years ending on or after December 31, |
1995, the following
items of income shall not be included |
in the numerator or denominator of the
sales factor: |
dividends; amounts included under Section 78 of the |
Internal
Revenue Code; and Subpart F income as defined in |
Section 952 of the Internal
Revenue Code.
No inference |
shall be drawn from the enactment of this paragraph (D) in
|
construing this Section for taxable years ending before |
December 31, 1995.
|
(E) Paragraphs (B-1) and (B-2) shall apply to tax years |
ending on or
after December 31, 1999, provided that a |
taxpayer may elect to apply the
provisions of these |
paragraphs to prior tax years. Such election shall be made
|
in the form and manner prescribed by the Department, shall |
be irrevocable, and
shall apply to all tax years; provided |
that, if a taxpayer's Illinois income
tax liability for any |
tax year, as assessed under Section 903 prior to January
1, |
1999, was computed in a manner contrary to the provisions |
of paragraphs
(B-1) or (B-2), no refund shall be payable to |
the taxpayer for that tax year to
the extent such refund is |
the result of applying the provisions of paragraph
(B-1) or |
(B-2) retroactively. In the case of a unitary business |
group, such
election shall apply to all members of such |
group for every tax year such group
is in existence, but |
shall not apply to any taxpayer for any period during
which |
that taxpayer is not a member of such group.
|
|
(b) Insurance companies.
|
(1) In general. Except as otherwise
provided by |
paragraph (2), business income of an insurance company for |
a
taxable year shall be apportioned to this State by |
multiplying such
income by a fraction, the numerator of |
which is the direct premiums
written for insurance upon |
property or risk in this State, and the
denominator of |
which is the direct premiums written for insurance upon
|
property or risk everywhere. For purposes of this |
subsection, the term
"direct premiums written" means the |
total amount of direct premiums
written, assessments and |
annuity considerations as reported for the
taxable year on |
the annual statement filed by the company with the
Illinois |
Director of Insurance in the form approved by the National
|
Convention of Insurance Commissioners
or such other form as |
may be
prescribed in lieu thereof.
|
(2) Reinsurance. If the principal source of premiums |
written by an
insurance company consists of premiums for |
reinsurance accepted by it,
the business income of such |
company shall be apportioned to this State
by multiplying |
such income by a fraction, the numerator of which is the
|
sum of (i) direct premiums written for insurance upon |
property or risk
in this State, plus (ii) premiums written |
for reinsurance accepted in
respect of property or risk in |
this State, and the denominator of which
is the sum of |
(iii) direct premiums written for insurance upon property
|
|
or risk everywhere, plus (iv) premiums written for |
reinsurance accepted
in respect of property or risk |
everywhere. For purposes of this
paragraph, premiums |
written for reinsurance accepted in respect of
property or |
risk in this State, whether or not otherwise determinable,
|
may, at the election of the company, be determined on the |
basis of the
proportion which premiums written for |
reinsurance accepted from
companies commercially domiciled |
in Illinois bears to premiums written
for reinsurance |
accepted from all sources, or, alternatively, in the
|
proportion which the sum of the direct premiums written for |
insurance
upon property or risk in this State by each |
ceding company from which
reinsurance is accepted bears to |
the sum of the total direct premiums
written by each such |
ceding company for the taxable year. The election made by a |
company under this paragraph for its first taxable year |
ending on or after December 31, 2011, shall be binding for |
that company for that taxable year and for all subsequent |
taxable years, and may be altered only with the written |
permission of the Department, which shall not be |
unreasonably withheld.
|
(c) Financial organizations.
|
(1) In general. For taxable years ending before |
December 31, 2008, business income of a financial
|
organization shall be apportioned to this State by |
multiplying such
income by a fraction, the numerator of |
|
which is its business income from
sources within this |
State, and the denominator of which is its business
income |
from all sources. For the purposes of this subsection, the
|
business income of a financial organization from sources |
within this
State is the sum of the amounts referred to in |
subparagraphs (A) through
(E) following, but excluding the |
adjusted income of an international banking
facility as |
determined in paragraph (2):
|
(A) Fees, commissions or other compensation for |
financial services
rendered within this State;
|
(B) Gross profits from trading in stocks, bonds or |
other securities
managed within this State;
|
(C) Dividends, and interest from Illinois |
customers, which are received
within this State;
|
(D) Interest charged to customers at places of |
business maintained
within this State for carrying |
debit balances of margin accounts,
without deduction |
of any costs incurred in carrying such accounts; and
|
(E) Any other gross income resulting from the |
operation as a
financial organization within this |
State. In computing the amounts
referred to in |
paragraphs (A) through (E) of this subsection, any |
amount
received by a member of an affiliated group |
(determined under Section
1504(a) of the Internal |
Revenue Code but without reference to whether
any such |
corporation is an "includible corporation" under |
|
Section
1504(b) of the Internal Revenue Code) from |
another member of such group
shall be included only to |
the extent such amount exceeds expenses of the
|
recipient directly related thereto.
|
(2) International Banking Facility. For taxable years |
ending before December 31, 2008:
|
(A) Adjusted Income. The adjusted income of an |
international banking
facility is its income reduced |
by the amount of the floor amount.
|
(B) Floor Amount. The floor amount shall be the |
amount, if any,
determined
by multiplying the income of |
the international banking facility by a fraction,
not |
greater than one, which is determined as follows:
|
(i) The numerator shall be:
|
The average aggregate, determined on a |
quarterly basis, of the
financial
organization's |
loans to banks in foreign countries, to foreign |
domiciled
borrowers (except where secured |
primarily by real estate) and to foreign
|
governments and other foreign official |
institutions, as reported for its
branches, |
agencies and offices within the state on its |
"Consolidated Report
of Condition", Schedule A, |
Lines 2.c., 5.b., and 7.a., which was filed with
|
the Federal Deposit Insurance Corporation and |
other regulatory authorities,
for the year 1980, |
|
minus
|
The average aggregate, determined on a |
quarterly basis, of such loans
(other
than loans of |
an international banking facility), as reported by |
the financial
institution for its branches, |
agencies and offices within the state, on
the |
corresponding Schedule and lines of the |
Consolidated Report of Condition
for the current |
taxable year, provided, however, that in no case |
shall the
amount determined in this clause (the |
subtrahend) exceed the amount determined
in the |
preceding clause (the minuend); and
|
(ii) the denominator shall be the average |
aggregate, determined on a
quarterly basis, of the |
international banking facility's loans to banks in
|
foreign countries, to foreign domiciled borrowers |
(except where secured
primarily by real estate) |
and to foreign governments and other foreign
|
official institutions, which were recorded in its |
financial accounts for
the current taxable year.
|
(C) Change to Consolidated Report of Condition and |
in Qualification.
In the event the Consolidated Report |
of Condition which is filed with the
Federal Deposit |
Insurance Corporation and other regulatory authorities |
is
altered so that the information required for |
determining the floor amount
is not found on Schedule |
|
A, lines 2.c., 5.b. and 7.a., the financial
institution |
shall notify the Department and the Department may, by
|
regulations or otherwise, prescribe or authorize the |
use of an alternative
source for such information. The |
financial institution shall also notify
the Department |
should its international banking facility fail to |
qualify as
such, in whole or in part, or should there |
be any amendment or change to
the Consolidated Report |
of Condition, as originally filed, to the extent
such |
amendment or change alters the information used in |
determining the floor
amount.
|
(3) For taxable years ending on or after December 31, |
2008, the business income of a financial organization shall |
be apportioned to this State by multiplying such income by |
a fraction, the numerator of which is its gross receipts |
from sources in this State or otherwise attributable to |
this State's marketplace and the denominator of which is |
its gross receipts everywhere during the taxable year. |
"Gross receipts" for purposes of this subparagraph (3) |
means gross income, including net taxable gain on |
disposition of assets, including securities and money |
market instruments, when derived from transactions and |
activities in the regular course of the financial |
organization's trade or business. The following examples |
are illustrative:
|
(i) Receipts from the lease or rental of real or |
|
tangible personal property are in this State if the |
property is located in this State during the rental |
period. Receipts from the lease or rental of tangible |
personal property that is characteristically moving |
property, including, but not limited to, motor |
vehicles, rolling stock, aircraft, vessels, or mobile |
equipment are from sources in this State to the extent |
that the property is used in this State. |
(ii) Interest income, commissions, fees, gains on |
disposition, and other receipts from assets in the |
nature of loans that are secured primarily by real |
estate or tangible personal property are from sources |
in this State if the security is located in this State. |
(iii) Interest income, commissions, fees, gains on |
disposition, and other receipts from consumer loans |
that are not secured by real or tangible personal |
property are from sources in this State if the debtor |
is a resident of this State. |
(iv) Interest income, commissions, fees, gains on |
disposition, and other receipts from commercial loans |
and installment obligations that are not secured by |
real or tangible personal property are from sources in |
this State if the proceeds of the loan are to be |
applied in this State. If it cannot be determined where |
the funds are to be applied, the income and receipts |
are from sources in this State if the office of the |
|
borrower from which the loan was negotiated in the |
regular course of business is located in this State. If |
the location of this office cannot be determined, the |
income and receipts shall be excluded from the |
numerator and denominator of the sales factor.
|
(v) Interest income, fees, gains on disposition, |
service charges, merchant discount income, and other |
receipts from credit card receivables are from sources |
in this State if the card charges are regularly billed |
to a customer in this State. |
(vi) Receipts from the performance of services, |
including, but not limited to, fiduciary, advisory, |
and brokerage services, are in this State if the |
services are received in this State within the meaning |
of subparagraph (a)(3)(C-5)(iv) of this Section. |
(vii) Receipts from the issuance of travelers |
checks and money orders are from sources in this State |
if the checks and money orders are issued from a |
location within this State. |
(viii) Receipts from investment assets and |
activities and trading assets and activities are |
included in the receipts factor as follows: |
(1) Interest, dividends, net gains (but not |
less than zero) and other income from investment |
assets and activities from trading assets and |
activities shall be included in the receipts |
|
factor. Investment assets and activities and |
trading assets and activities include but are not |
limited to: investment securities; trading account |
assets; federal funds; securities purchased and |
sold under agreements to resell or repurchase; |
options; futures contracts; forward contracts; |
notional principal contracts such as swaps; |
equities; and foreign currency transactions. With |
respect to the investment and trading assets and |
activities described in subparagraphs (A) and (B) |
of this paragraph, the receipts factor shall |
include the amounts described in such |
subparagraphs. |
(A) The receipts factor shall include the |
amount by which interest from federal funds |
sold and securities purchased under resale |
agreements exceeds interest expense on federal |
funds purchased and securities sold under |
repurchase agreements. |
(B) The receipts factor shall include the |
amount by which interest, dividends, gains and |
other income from trading assets and |
activities, including but not limited to |
assets and activities in the matched book, in |
the arbitrage book, and foreign currency |
transactions, exceed amounts paid in lieu of |
|
interest, amounts paid in lieu of dividends, |
and losses from such assets and activities. |
(2) The numerator of the receipts factor |
includes interest, dividends, net gains (but not |
less than zero), and other income from investment |
assets and activities and from trading assets and |
activities described in paragraph (1) of this |
subsection that are attributable to this State. |
(A) The amount of interest, dividends, net |
gains (but not less than zero), and other |
income from investment assets and activities |
in the investment account to be attributed to |
this State and included in the numerator is |
determined by multiplying all such income from |
such assets and activities by a fraction, the |
numerator of which is the gross income from |
such assets and activities which are properly |
assigned to a fixed place of business of the |
taxpayer within this State and the denominator |
of which is the gross income from all such |
assets and activities. |
(B) The amount of interest from federal |
funds sold and purchased and from securities |
purchased under resale agreements and |
securities sold under repurchase agreements |
attributable to this State and included in the |
|
numerator is determined by multiplying the |
amount described in subparagraph (A) of |
paragraph (1) of this subsection from such |
funds and such securities by a fraction, the |
numerator of which is the gross income from |
such funds and such securities which are |
properly assigned to a fixed place of business |
of the taxpayer within this State and the |
denominator of which is the gross income from |
all such funds and such securities. |
(C) The amount of interest, dividends, |
gains, and other income from trading assets and |
activities, including but not limited to |
assets and activities in the matched book, in |
the arbitrage book and foreign currency |
transactions (but excluding amounts described |
in subparagraphs (A) or (B) of this paragraph), |
attributable to this State and included in the |
numerator is determined by multiplying the |
amount described in subparagraph (B) of |
paragraph (1) of this subsection by a fraction, |
the numerator of which is the gross income from |
such trading assets and activities which are |
properly assigned to a fixed place of business |
of the taxpayer within this State and the |
denominator of which is the gross income from |
|
all such assets and activities. |
(D) Properly assigned, for purposes of |
this paragraph (2) of this subsection, means |
the investment or trading asset or activity is |
assigned to the fixed place of business with |
which it has a preponderance of substantive |
contacts. An investment or trading asset or |
activity assigned by the taxpayer to a fixed |
place of business without the State shall be |
presumed to have been properly assigned if: |
(i) the taxpayer has assigned, in the |
regular course of its business, such asset |
or activity on its records to a fixed place |
of business consistent with federal or |
state regulatory requirements; |
(ii) such assignment on its records is |
based upon substantive contacts of the |
asset or activity to such fixed place of |
business; and |
(iii) the taxpayer uses such records |
reflecting assignment of such assets or |
activities for the filing of all state and |
local tax returns for which an assignment |
of such assets or activities to a fixed |
place of business is required. |
(E) The presumption of proper assignment |
|
of an investment or trading asset or activity |
provided in subparagraph (D) of paragraph (2) |
of this subsection may be rebutted upon a |
showing by the Department, supported by a |
preponderance of the evidence, that the |
preponderance of substantive contacts |
regarding such asset or activity did not occur |
at the fixed place of business to which it was |
assigned on the taxpayer's records. If the |
fixed place of business that has a |
preponderance of substantive contacts cannot |
be determined for an investment or trading |
asset or activity to which the presumption in |
subparagraph (D) of paragraph (2) of this |
subsection does not apply or with respect to |
which that presumption has been rebutted, that |
asset or activity is properly assigned to the |
state in which the taxpayer's commercial |
domicile is located. For purposes of this |
subparagraph (E), it shall be presumed, |
subject to rebuttal, that taxpayer's |
commercial domicile is in the state of the |
United States or the District of Columbia to |
which the greatest number of employees are |
regularly connected with the management of the |
investment or trading income or out of which |
|
they are working, irrespective of where the |
services of such employees are performed, as of |
the last day of the taxable year.
|
(4) (Blank). |
(5) (Blank). |
(c-1) Federally regulated exchanges. For taxable years |
ending on or after December 31, 2012, business income of a |
federally regulated exchange shall, at the option of the |
federally regulated exchange, be apportioned to this State by |
multiplying such income by a fraction, the numerator of which |
is its business income from sources within this State, and the |
denominator of which is its business income from all sources. |
For purposes of this subsection, the business income within |
this State of a federally regulated exchange is the sum of the |
following: |
(1) Receipts attributable to transactions executed on |
a physical trading floor if that physical trading floor is |
located in this State. |
(2) Receipts attributable to all other matching, |
execution, or clearing transactions, including without |
limitation receipts from the provision of matching, |
execution, or clearing services to another entity, |
multiplied by (i) for taxable years ending on or after |
December 31, 2012 but before December 31, 2013, 63.77%; and |
(ii) for taxable years ending on or after December 31, |
2013, 27.54%. |
|
(3) All other receipts not governed by subparagraphs |
(1) or (2) of this subsection (c-1), to the extent the |
receipts would be characterized as "sales in this State" |
under item (3) of subsection (a) of this Section. |
"Federally regulated exchange" means (i) a "registered |
entity" within the meaning of 7 U.S.C. Section 1a(40)(A), (B), |
or (C), (ii) an "exchange" or "clearing agency" within the |
meaning of 15 U.S.C. Section 78c (a)(1) or (23), (iii) any such |
entities regulated under any successor regulatory structure to |
the foregoing, and (iv) all taxpayers who are members of the |
same unitary business group as a federally regulated exchange, |
determined without regard to the prohibition in Section |
1501(a)(27) of this Act against including in a unitary business |
group taxpayers who are ordinarily required to apportion |
business income under different subsections of this Section; |
provided that this subparagraph (iv) shall apply only if 50% or |
more of the business receipts of the unitary business group |
determined by application of this subparagraph (iv) for the |
taxable year are attributable to the matching, execution, or |
clearing of transactions conducted by an entity described in |
subparagraph (i), (ii), or (iii) of this paragraph. |
In no event shall the Illinois apportionment percentage |
computed in accordance with this subsection (c-1) for any |
taxpayer for any tax year be less than the Illinois |
apportionment percentage computed under this subsection (c-1) |
for that taxpayer for the first full tax year ending on or |
|
after December 31, 2013 for which this subsection (c-1) applied |
to the taxpayer. |
(d) Transportation services. For taxable years ending |
before December 31, 2008, business income derived from |
furnishing
transportation services shall be apportioned to |
this State in accordance
with paragraphs (1) and (2):
|
(1) Such business income (other than that derived from
|
transportation by pipeline) shall be apportioned to this |
State by
multiplying such income by a fraction, the |
numerator of which is the
revenue miles of the person in |
this State, and the denominator of which
is the revenue |
miles of the person everywhere. For purposes of this
|
paragraph, a revenue mile is the transportation of 1 |
passenger or 1 net
ton of freight the distance of 1 mile |
for a consideration. Where a
person is engaged in the |
transportation of both passengers and freight,
the |
fraction above referred to shall be determined by means of |
an
average of the passenger revenue mile fraction and the |
freight revenue
mile fraction, weighted to reflect the |
person's
|
(A) relative railway operating income from total |
passenger and total
freight service, as reported to the |
Interstate Commerce Commission, in
the case of |
transportation by railroad, and
|
(B) relative gross receipts from passenger and |
freight
transportation, in case of transportation |
|
other than by railroad.
|
(2) Such business income derived from transportation |
by pipeline
shall be apportioned to this State by |
multiplying such income by a
fraction, the numerator of |
which is the revenue miles of the person in
this State, and |
the denominator of which is the revenue miles of the
person |
everywhere. For the purposes of this paragraph, a revenue |
mile is
the transportation by pipeline of 1 barrel of oil, |
1,000 cubic feet of
gas, or of any specified quantity of |
any other substance, the distance
of 1 mile for a |
consideration.
|
(3) For taxable years ending on or after December 31, |
2008, business income derived from providing |
transportation services other than airline services shall |
be apportioned to this State by using a fraction, (a) the |
numerator of which shall be (i) all receipts from any |
movement or shipment of people, goods, mail, oil, gas, or |
any other substance (other than by airline) that both |
originates and terminates in this State, plus (ii) that |
portion of the person's gross receipts from movements or |
shipments of people, goods, mail, oil, gas, or any other |
substance (other than by airline) that originates in one |
state or jurisdiction and terminates in another state or |
jurisdiction, that is determined by the ratio that the |
miles traveled in this State bears to total miles |
everywhere and (b) the denominator of which shall be all |
|
revenue derived from the movement or shipment of people, |
goods, mail, oil, gas, or any other substance (other than |
by airline). Where a taxpayer is engaged in the |
transportation of both passengers and freight, the |
fraction above referred to shall first be determined |
separately for passenger miles and freight miles. Then an |
average of the passenger miles fraction and the freight |
miles fraction shall be weighted to reflect the taxpayer's: |
(A) relative railway operating income from total |
passenger and total freight service, as reported to the |
Surface Transportation Board, in the case of |
transportation by railroad; and
|
(B) relative gross receipts from passenger and |
freight transportation, in case of transportation |
other than by railroad.
|
(4) For taxable years ending on or after December 31, |
2008, business income derived from furnishing airline
|
transportation services shall be apportioned to this State |
by
multiplying such income by a fraction, the numerator of |
which is the
revenue miles of the person in this State, and |
the denominator of which
is the revenue miles of the person |
everywhere. For purposes of this
paragraph, a revenue mile |
is the transportation of one passenger or one net
ton of |
freight the distance of one mile for a consideration. If a
|
person is engaged in the transportation of both passengers |
and freight,
the fraction above referred to shall be |
|
determined by means of an
average of the passenger revenue |
mile fraction and the freight revenue
mile fraction, |
weighted to reflect the person's relative gross receipts |
from passenger and freight
airline transportation.
|
(e) Combined apportionment. Where 2 or more persons are |
engaged in
a unitary business as described in subsection |
(a)(27) of
Section 1501,
a part of which is conducted in this |
State by one or more members of the
group, the business income |
attributable to this State by any such member
or members shall |
be apportioned by means of the combined apportionment method.
|
(f) Alternative allocation. If the allocation and |
apportionment
provisions of subsections (a) through (e) and of |
subsection (h) do not, for taxable years ending before December |
31, 2008, fairly represent the
extent of a person's business |
activity in this State, or, for taxable years ending on or |
after December 31, 2008, fairly represent the market for the |
person's goods, services, or other sources of business income, |
the person may
petition for, or the Director may, without a |
petition, permit or require, in respect of all or any part
of |
the person's business activity, if reasonable:
|
(1) Separate accounting;
|
(2) The exclusion of any one or more factors;
|
(3) The inclusion of one or more additional factors |
which will
fairly represent the person's business |
activities or market in this State; or
|
(4) The employment of any other method to effectuate an |
|
equitable
allocation and apportionment of the person's |
business income.
|
(g) Cross reference. For allocation of business income by |
residents,
see Section 301(a).
|
(h) For tax years ending on or after December 31, 1998, the |
apportionment
factor of persons who apportion their business |
income to this State under
subsection (a) shall be equal to:
|
(1) for tax years ending on or after December 31, 1998 |
and before December
31, 1999, 16 2/3% of the property |
factor plus 16 2/3% of the payroll factor
plus
66 2/3% of |
the sales factor;
|
(2) for tax years ending on or after December 31, 1999 |
and before December
31,
2000, 8 1/3% of the property factor |
plus 8 1/3% of the payroll factor plus 83
1/3%
of the sales |
factor;
|
(3) for tax years ending on or after December 31, 2000, |
the sales factor.
|
If, in any tax year ending on or after December 31, 1998 and |
before December
31, 2000, the denominator of the payroll, |
property, or sales factor is zero,
the apportionment
factor |
computed in paragraph (1) or (2) of this subsection for that |
year shall
be divided by an amount equal to 100% minus the |
percentage weight given to each
factor whose denominator is |
equal to zero.
|
(Source: P.A. 97-507, eff. 8-23-11; 97-636, eff. 6-1-12; |
98-478, eff. 1-1-14; 98-496, eff. 1-1-14; revised 9-9-13.)
|
|
Section 175. The Use Tax Act is amended by changing |
Sections 3-5 and 9 as follows:
|
(35 ILCS 105/3-5)
|
Sec. 3-5. Exemptions. Use of the following tangible |
personal property
is exempt from the tax imposed by this Act:
|
(1) Personal property purchased from a corporation, |
society, association,
foundation, institution, or |
organization, other than a limited liability
company, that is |
organized and operated as a not-for-profit service enterprise
|
for the benefit of persons 65 years of age or older if the |
personal property
was not purchased by the enterprise for the |
purpose of resale by the
enterprise.
|
(2) Personal property purchased by a not-for-profit |
Illinois county
fair association for use in conducting, |
operating, or promoting the
county fair.
|
(3) Personal property purchased by a not-for-profit
arts or |
cultural organization that establishes, by proof required by |
the
Department by
rule, that it has received an exemption under |
Section 501(c)(3) of the Internal
Revenue Code and that is |
organized and operated primarily for the
presentation
or |
support of arts or cultural programming, activities, or |
services. These
organizations include, but are not limited to, |
music and dramatic arts
organizations such as symphony |
orchestras and theatrical groups, arts and
cultural service |
|
organizations, local arts councils, visual arts organizations,
|
and media arts organizations.
On and after the effective date |
of this amendatory Act of the 92nd General
Assembly, however, |
an entity otherwise eligible for this exemption shall not
make |
tax-free purchases unless it has an active identification |
number issued by
the Department.
|
(4) Personal property purchased by a governmental body, by |
a
corporation, society, association, foundation, or |
institution organized and
operated exclusively for charitable, |
religious, or educational purposes, or
by a not-for-profit |
corporation, society, association, foundation,
institution, or |
organization that has no compensated officers or employees
and |
that is organized and operated primarily for the recreation of |
persons
55 years of age or older. A limited liability company |
may qualify for the
exemption under this paragraph only if the |
limited liability company is
organized and operated |
exclusively for educational purposes. On and after July
1, |
1987, however, no entity otherwise eligible for this exemption |
shall make
tax-free purchases unless it has an active exemption |
identification number
issued by the Department.
|
(5) Until July 1, 2003, a passenger car that is a |
replacement vehicle to
the extent that the
purchase price of |
the car is subject to the Replacement Vehicle Tax.
|
(6) Until July 1, 2003 and beginning again on September 1, |
2004 through August 30, 2014, graphic arts machinery and |
equipment, including
repair and replacement
parts, both new and |
|
used, and including that manufactured on special order,
|
certified by the purchaser to be used primarily for graphic |
arts production,
and including machinery and equipment |
purchased for lease.
Equipment includes chemicals or chemicals |
acting as catalysts but only if
the
chemicals or chemicals |
acting as catalysts effect a direct and immediate change
upon a |
graphic arts product.
|
(7) Farm chemicals.
|
(8) Legal tender, currency, medallions, or gold or silver |
coinage issued by
the State of Illinois, the government of the |
United States of America, or the
government of any foreign |
country, and bullion.
|
(9) Personal property purchased from a teacher-sponsored |
student
organization affiliated with an elementary or |
secondary school located in
Illinois.
|
(10) A motor vehicle that is used for automobile renting, |
as defined in the
Automobile Renting Occupation and Use Tax |
Act.
|
(11) Farm machinery and equipment, both new and used,
|
including that manufactured on special order, certified by the |
purchaser
to be used primarily for production agriculture or |
State or federal
agricultural programs, including individual |
replacement parts for
the machinery and equipment, including |
machinery and equipment
purchased
for lease,
and including |
implements of husbandry defined in Section 1-130 of
the |
Illinois Vehicle Code, farm machinery and agricultural |
|
chemical and
fertilizer spreaders, and nurse wagons required to |
be registered
under Section 3-809 of the Illinois Vehicle Code,
|
but excluding other motor
vehicles required to be
registered |
under the Illinois Vehicle Code.
Horticultural polyhouses or |
hoop houses used for propagating, growing, or
overwintering |
plants shall be considered farm machinery and equipment under
|
this item (11).
Agricultural chemical tender tanks and dry |
boxes shall include units sold
separately from a motor vehicle |
required to be licensed and units sold mounted
on a motor |
vehicle required to be licensed if the selling price of the |
tender
is separately stated.
|
Farm machinery and equipment shall include precision |
farming equipment
that is
installed or purchased to be |
installed on farm machinery and equipment
including, but not |
limited to, tractors, harvesters, sprayers, planters,
seeders, |
or spreaders.
Precision farming equipment includes, but is not |
limited to, soil testing
sensors, computers, monitors, |
software, global positioning
and mapping systems, and other |
such equipment.
|
Farm machinery and equipment also includes computers, |
sensors, software, and
related equipment used primarily in the
|
computer-assisted operation of production agriculture |
facilities, equipment,
and
activities such as, but not limited |
to,
the collection, monitoring, and correlation of
animal and |
crop data for the purpose of
formulating animal diets and |
agricultural chemicals. This item (11) is exempt
from the |
|
provisions of
Section 3-90.
|
(12) Until June 30, 2013, fuel and petroleum products sold |
to or used by an air common
carrier, certified by the carrier |
to be used for consumption, shipment, or
storage in the conduct |
of its business as an air common carrier, for a
flight destined |
for or returning from a location or locations
outside the |
United States without regard to previous or subsequent domestic
|
stopovers.
|
Beginning July 1, 2013, fuel and petroleum products sold to |
or used by an air carrier, certified by the carrier to be used |
for consumption, shipment, or storage in the conduct of its |
business as an air common carrier, for a flight that (i) is |
engaged in foreign trade or is engaged in trade between the |
United States and any of its possessions and (ii) transports at |
least one individual or package for hire from the city of |
origination to the city of final destination on the same |
aircraft, without regard to a change in the flight number of |
that aircraft. |
(13) Proceeds of mandatory service charges separately
|
stated on customers' bills for the purchase and consumption of |
food and
beverages purchased at retail from a retailer, to the |
extent that the proceeds
of the service charge are in fact |
turned over as tips or as a substitute
for tips to the |
employees who participate directly in preparing, serving,
|
hosting or cleaning up the food or beverage function with |
respect to which
the service charge is imposed.
|
|
(14) Until July 1, 2003, oil field exploration, drilling, |
and production
equipment,
including (i) rigs and parts of rigs, |
rotary
rigs, cable tool rigs, and workover rigs, (ii) pipe and |
tubular goods,
including casing and drill strings, (iii) pumps |
and pump-jack units, (iv)
storage tanks and flow lines, (v) any |
individual replacement part for oil
field exploration, |
drilling, and production equipment, and (vi) machinery and
|
equipment purchased
for lease; but excluding motor vehicles |
required to be registered under the
Illinois Vehicle Code.
|
(15) Photoprocessing machinery and equipment, including |
repair and
replacement parts, both new and used, including that
|
manufactured on special order, certified by the purchaser to be |
used
primarily for photoprocessing, and including
|
photoprocessing machinery and equipment purchased for lease.
|
(16) Coal and aggregate exploration, mining, off-highway |
offhighway hauling,
processing, maintenance, and reclamation |
equipment,
including replacement parts and equipment, and
|
including equipment purchased for lease, but excluding motor
|
vehicles required to be registered under the Illinois Vehicle |
Code. The changes made to this Section by Public Act 97-767 |
apply on and after July 1, 2003, but no claim for credit or |
refund is allowed on or after August 16, 2013 ( the effective |
date of Public Act 98-456) this amendatory Act of the 98th |
General Assembly
for such taxes paid during the period |
beginning July 1, 2003 and ending on August 16, 2013 ( the |
effective date of Public Act 98-456) this amendatory Act of the |
|
98th General Assembly .
|
(17) Until July 1, 2003, distillation machinery and |
equipment, sold as a
unit or kit,
assembled or installed by the |
retailer, certified by the user to be used
only for the |
production of ethyl alcohol that will be used for consumption
|
as motor fuel or as a component of motor fuel for the personal |
use of the
user, and not subject to sale or resale.
|
(18) Manufacturing and assembling machinery and equipment |
used
primarily in the process of manufacturing or assembling |
tangible
personal property for wholesale or retail sale or |
lease, whether that sale
or lease is made directly by the |
manufacturer or by some other person,
whether the materials |
used in the process are
owned by the manufacturer or some other |
person, or whether that sale or
lease is made apart from or as |
an incident to the seller's engaging in
the service occupation |
of producing machines, tools, dies, jigs,
patterns, gauges, or |
other similar items of no commercial value on
special order for |
a particular purchaser. The exemption provided by this |
paragraph (18) does not include machinery and equipment used in |
(i) the generation of electricity for wholesale or retail sale; |
(ii) the generation or treatment of natural or artificial gas |
for wholesale or retail sale that is delivered to customers |
through pipes, pipelines, or mains; or (iii) the treatment of |
water for wholesale or retail sale that is delivered to |
customers through pipes, pipelines, or mains. The provisions of |
Public Act 98-583 this amendatory Act of the 98th General |
|
Assembly are declaratory of existing law as to the meaning and |
scope of this exemption.
|
(19) Personal property delivered to a purchaser or |
purchaser's donee
inside Illinois when the purchase order for |
that personal property was
received by a florist located |
outside Illinois who has a florist located
inside Illinois |
deliver the personal property.
|
(20) Semen used for artificial insemination of livestock |
for direct
agricultural production.
|
(21) Horses, or interests in horses, registered with and |
meeting the
requirements of any of the
Arabian Horse Club |
Registry of America, Appaloosa Horse Club, American Quarter
|
Horse Association, United States
Trotting Association, or |
Jockey Club, as appropriate, used for
purposes of breeding or |
racing for prizes. This item (21) is exempt from the provisions |
of Section 3-90, and the exemption provided for under this item |
(21) applies for all periods beginning May 30, 1995, but no |
claim for credit or refund is allowed on or after January 1, |
2008
for such taxes paid during the period beginning May 30, |
2000 and ending on January 1, 2008.
|
(22) Computers and communications equipment utilized for |
any
hospital
purpose
and equipment used in the diagnosis,
|
analysis, or treatment of hospital patients purchased by a |
lessor who leases
the
equipment, under a lease of one year or |
longer executed or in effect at the
time the lessor would |
otherwise be subject to the tax imposed by this Act, to a
|
|
hospital
that has been issued an active tax exemption |
identification number by
the
Department under Section 1g of the |
Retailers' Occupation Tax Act. If the
equipment is leased in a |
manner that does not qualify for
this exemption or is used in |
any other non-exempt manner, the lessor
shall be liable for the
|
tax imposed under this Act or the Service Use Tax Act, as the |
case may
be, based on the fair market value of the property at |
the time the
non-qualifying use occurs. No lessor shall collect |
or attempt to collect an
amount (however
designated) that |
purports to reimburse that lessor for the tax imposed by this
|
Act or the Service Use Tax Act, as the case may be, if the tax |
has not been
paid by the lessor. If a lessor improperly |
collects any such amount from the
lessee, the lessee shall have |
a legal right to claim a refund of that amount
from the lessor. |
If, however, that amount is not refunded to the lessee for
any |
reason, the lessor is liable to pay that amount to the |
Department.
|
(23) Personal property purchased by a lessor who leases the
|
property, under
a
lease of
one year or longer executed or in |
effect at the time
the lessor would otherwise be subject to the |
tax imposed by this Act,
to a governmental body
that has been |
issued an active sales tax exemption identification number by |
the
Department under Section 1g of the Retailers' Occupation |
Tax Act.
If the
property is leased in a manner that does not |
qualify for
this exemption
or used in any other non-exempt |
manner, the lessor shall be liable for the
tax imposed under |
|
this Act or the Service Use Tax Act, as the case may
be, based |
on the fair market value of the property at the time the
|
non-qualifying use occurs. No lessor shall collect or attempt |
to collect an
amount (however
designated) that purports to |
reimburse that lessor for the tax imposed by this
Act or the |
Service Use Tax Act, as the case may be, if the tax has not been
|
paid by the lessor. If a lessor improperly collects any such |
amount from the
lessee, the lessee shall have a legal right to |
claim a refund of that amount
from the lessor. If, however, |
that amount is not refunded to the lessee for
any reason, the |
lessor is liable to pay that amount to the Department.
|
(24) Beginning with taxable years ending on or after |
December
31, 1995
and
ending with taxable years ending on or |
before December 31, 2004,
personal property that is
donated for |
disaster relief to be used in a State or federally declared
|
disaster area in Illinois or bordering Illinois by a |
manufacturer or retailer
that is registered in this State to a |
corporation, society, association,
foundation, or institution |
that has been issued a sales tax exemption
identification |
number by the Department that assists victims of the disaster
|
who reside within the declared disaster area.
|
(25) Beginning with taxable years ending on or after |
December
31, 1995 and
ending with taxable years ending on or |
before December 31, 2004, personal
property that is used in the |
performance of infrastructure repairs in this
State, including |
but not limited to municipal roads and streets, access roads,
|
|
bridges, sidewalks, waste disposal systems, water and sewer |
line extensions,
water distribution and purification |
facilities, storm water drainage and
retention facilities, and |
sewage treatment facilities, resulting from a State
or |
federally declared disaster in Illinois or bordering Illinois |
when such
repairs are initiated on facilities located in the |
declared disaster area
within 6 months after the disaster.
|
(26) Beginning July 1, 1999, game or game birds purchased |
at a "game
breeding
and hunting preserve area" as that term is
|
used in
the Wildlife Code. This paragraph is exempt from the |
provisions
of
Section 3-90.
|
(27) A motor vehicle, as that term is defined in Section |
1-146
of the
Illinois
Vehicle Code, that is donated to a |
corporation, limited liability company,
society, association, |
foundation, or institution that is determined by the
Department |
to be organized and operated exclusively for educational |
purposes.
For purposes of this exemption, "a corporation, |
limited liability company,
society, association, foundation, |
or institution organized and operated
exclusively for |
educational purposes" means all tax-supported public schools,
|
private schools that offer systematic instruction in useful |
branches of
learning by methods common to public schools and |
that compare favorably in
their scope and intensity with the |
course of study presented in tax-supported
schools, and |
vocational or technical schools or institutes organized and
|
operated exclusively to provide a course of study of not less |
|
than 6 weeks
duration and designed to prepare individuals to |
follow a trade or to pursue a
manual, technical, mechanical, |
industrial, business, or commercial
occupation.
|
(28) Beginning January 1, 2000, personal property, |
including
food,
purchased through fundraising
events for the |
benefit of
a public or private elementary or
secondary school, |
a group of those schools, or one or more school
districts if |
the events are
sponsored by an entity recognized by the school |
district that consists
primarily of volunteers and includes
|
parents and teachers of the school children. This paragraph |
does not apply
to fundraising
events (i) for the benefit of |
private home instruction or (ii)
for which the fundraising |
entity purchases the personal property sold at
the events from |
another individual or entity that sold the property for the
|
purpose of resale by the fundraising entity and that
profits |
from the sale to the
fundraising entity. This paragraph is |
exempt
from the provisions
of Section 3-90.
|
(29) Beginning January 1, 2000 and through December 31, |
2001, new or
used automatic vending
machines that prepare and |
serve hot food and beverages, including coffee, soup,
and
other |
items, and replacement parts for these machines.
Beginning |
January 1,
2002 and through June 30, 2003, machines and parts |
for machines used in
commercial, coin-operated amusement and |
vending business if a use or occupation
tax is paid on the |
gross receipts derived from the use of the commercial,
|
coin-operated amusement and vending machines.
This
paragraph
|
|
is exempt from the provisions of Section 3-90.
|
(30) Beginning January 1, 2001 and through June 30, 2016, |
food for human consumption that is to be consumed off the |
premises
where it is sold (other than alcoholic beverages, soft |
drinks, and food that
has been prepared for immediate |
consumption) and prescription and
nonprescription medicines, |
drugs, medical appliances, and insulin, urine
testing |
materials, syringes, and needles used by diabetics, for human |
use, when
purchased for use by a person receiving medical |
assistance under Article V of
the Illinois Public Aid Code who |
resides in a licensed long-term care facility,
as defined in |
the Nursing Home Care Act, or in a licensed facility as defined |
in the ID/DD Community Care Act or the Specialized Mental |
Health Rehabilitation Act of 2013.
|
(31) Beginning on
the effective date of this amendatory Act |
of the 92nd General Assembly,
computers and communications |
equipment
utilized for any hospital purpose and equipment used |
in the diagnosis,
analysis, or treatment of hospital patients |
purchased by a lessor who leases
the equipment, under a lease |
of one year or longer executed or in effect at the
time the |
lessor would otherwise be subject to the tax imposed by this |
Act, to a
hospital that has been issued an active tax exemption |
identification number by
the Department under Section 1g of the |
Retailers' Occupation Tax Act. If the
equipment is leased in a |
manner that does not qualify for this exemption or is
used in |
any other nonexempt manner, the lessor shall be liable for the |
|
tax
imposed under this Act or the Service Use Tax Act, as the |
case may be, based on
the fair market value of the property at |
the time the nonqualifying use
occurs. No lessor shall collect |
or attempt to collect an amount (however
designated) that |
purports to reimburse that lessor for the tax imposed by this
|
Act or the Service Use Tax Act, as the case may be, if the tax |
has not been
paid by the lessor. If a lessor improperly |
collects any such amount from the
lessee, the lessee shall have |
a legal right to claim a refund of that amount
from the lessor. |
If, however, that amount is not refunded to the lessee for
any |
reason, the lessor is liable to pay that amount to the |
Department.
This paragraph is exempt from the provisions of |
Section 3-90.
|
(32) Beginning on
the effective date of this amendatory Act |
of the 92nd General Assembly,
personal property purchased by a |
lessor who leases the property,
under a lease of one year or |
longer executed or in effect at the time the
lessor would |
otherwise be subject to the tax imposed by this Act, to a
|
governmental body that has been issued an active sales tax |
exemption
identification number by the Department under |
Section 1g of the Retailers'
Occupation Tax Act. If the |
property is leased in a manner that does not
qualify for this |
exemption or used in any other nonexempt manner, the lessor
|
shall be liable for the tax imposed under this Act or the |
Service Use Tax Act,
as the case may be, based on the fair |
market value of the property at the time
the nonqualifying use |
|
occurs. No lessor shall collect or attempt to collect
an amount |
(however designated) that purports to reimburse that lessor for |
the
tax imposed by this Act or the Service Use Tax Act, as the |
case may be, if the
tax has not been paid by the lessor. If a |
lessor improperly collects any such
amount from the lessee, the |
lessee shall have a legal right to claim a refund
of that |
amount from the lessor. If, however, that amount is not |
refunded to
the lessee for any reason, the lessor is liable to |
pay that amount to the
Department. This paragraph is exempt |
from the provisions of Section 3-90.
|
(33) On and after July 1, 2003 and through June 30, 2004, |
the use in this State of motor vehicles of
the second division |
with a gross vehicle weight in excess of 8,000 pounds and
that |
are subject to the commercial distribution fee imposed under |
Section
3-815.1 of the Illinois Vehicle Code. Beginning on July |
1, 2004 and through June 30, 2005, the use in this State of |
motor vehicles of the second division: (i) with a gross vehicle |
weight rating in excess of 8,000 pounds; (ii) that are subject |
to the commercial distribution fee imposed under Section |
3-815.1 of the Illinois Vehicle Code; and (iii) that are |
primarily used for commercial purposes. Through June 30, 2005, |
this exemption applies to repair and
replacement parts added |
after the initial purchase of such a motor vehicle if
that |
motor
vehicle is used in a manner that would qualify for the |
rolling stock exemption
otherwise provided for in this Act. For |
purposes of this paragraph, the term "used for commercial |
|
purposes" means the transportation of persons or property in |
furtherance of any commercial or industrial enterprise, |
whether for-hire or not.
|
(34) Beginning January 1, 2008, tangible personal property |
used in the construction or maintenance of a community water |
supply, as defined under Section 3.145 of the Environmental |
Protection Act, that is operated by a not-for-profit |
corporation that holds a valid water supply permit issued under |
Title IV of the Environmental Protection Act. This paragraph is |
exempt from the provisions of Section 3-90. |
(35) Beginning January 1, 2010, materials, parts, |
equipment, components, and furnishings incorporated into or |
upon an aircraft as part of the modification, refurbishment, |
completion, replacement, repair, or maintenance of the |
aircraft. This exemption includes consumable supplies used in |
the modification, refurbishment, completion, replacement, |
repair, and maintenance of aircraft, but excludes any |
materials, parts, equipment, components, and consumable |
supplies used in the modification, replacement, repair, and |
maintenance of aircraft engines or power plants, whether such |
engines or power plants are installed or uninstalled upon any |
such aircraft. "Consumable supplies" include, but are not |
limited to, adhesive, tape, sandpaper, general purpose |
lubricants, cleaning solution, latex gloves, and protective |
films. This exemption applies only to the use of qualifying |
tangible personal property by persons who modify, refurbish, |
|
complete, repair, replace, or maintain aircraft and who (i) |
hold an Air Agency Certificate and are empowered to operate an |
approved repair station by the Federal Aviation |
Administration, (ii) have a Class IV Rating, and (iii) conduct |
operations in accordance with Part 145 of the Federal Aviation |
Regulations. The exemption does not include aircraft operated |
by a commercial air carrier providing scheduled passenger air |
service pursuant to authority issued under Part 121 or Part 129 |
of the Federal Aviation Regulations. The changes made to this |
paragraph (35) by Public Act 98-534 this amendatory Act of the |
98th General Assembly are declarative of existing law. |
(36) Tangible personal property purchased by a |
public-facilities corporation, as described in Section |
11-65-10 of the Illinois Municipal Code, for purposes of |
constructing or furnishing a municipal convention hall, but |
only if the legal title to the municipal convention hall is |
transferred to the municipality without any further |
consideration by or on behalf of the municipality at the time |
of the completion of the municipal convention hall or upon the |
retirement or redemption of any bonds or other debt instruments |
issued by the public-facilities corporation in connection with |
the development of the municipal convention hall. This |
exemption includes existing public-facilities corporations as |
provided in Section 11-65-25 of the Illinois Municipal Code. |
This paragraph is exempt from the provisions of Section 3-90. |
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-431, |
|
eff. 8-16-11; 97-636, eff. 6-1-12; 97-767, eff. 7-9-12; 98-104, |
eff. 7-22-13; 98-422, eff. 8-16-13; 98-456, eff. 8-16-13; |
98-534, eff. 8-23-13; 98-574, eff. 1-1-14; 98-583, eff. 1-1-14; |
revised 9-9-13.)
|
(35 ILCS 105/9) (from Ch. 120, par. 439.9) |
Sec. 9. Except as to motor vehicles, watercraft, aircraft, |
and
trailers that are required to be registered with an agency |
of this State,
each retailer
required or authorized to collect |
the tax imposed by this Act shall pay
to the Department the |
amount of such tax (except as otherwise provided)
at the time |
when he is required to file his return for the period during
|
which such tax was collected, less a discount of 2.1% prior to
|
January 1, 1990, and 1.75% on and after January 1, 1990, or $5 |
per calendar
year, whichever is greater, which is allowed to |
reimburse the retailer
for expenses incurred in collecting the |
tax, keeping records, preparing
and filing returns, remitting |
the tax and supplying data to the
Department on request. In the |
case of retailers who report and pay the
tax on a transaction |
by transaction basis, as provided in this Section,
such |
discount shall be taken with each such tax remittance instead |
of
when such retailer files his periodic return. The Department |
may disallow the discount for retailers whose certificate of |
registration is revoked at the time the return is filed, but |
only if the Department's decision to revoke the certificate of |
registration has become final. A retailer need not remit
that |
|
part of any tax collected by him to the extent that he is |
required
to remit and does remit the tax imposed by the |
Retailers' Occupation
Tax Act, with respect to the sale of the |
same property. |
Where such tangible personal property is sold under a |
conditional
sales contract, or under any other form of sale |
wherein the payment of
the principal sum, or a part thereof, is |
extended beyond the close of
the period for which the return is |
filed, the retailer, in collecting
the tax (except as to motor |
vehicles, watercraft, aircraft, and
trailers that are required |
to be registered with an agency of this State),
may collect for |
each
tax return period, only the tax applicable to that part of |
the selling
price actually received during such tax return |
period. |
Except as provided in this Section, on or before the |
twentieth day of each
calendar month, such retailer shall file |
a return for the preceding
calendar month. Such return shall be |
filed on forms prescribed by the
Department and shall furnish |
such information as the Department may
reasonably require. |
The Department may require returns to be filed on a |
quarterly basis.
If so required, a return for each calendar |
quarter shall be filed on or
before the twentieth day of the |
calendar month following the end of such
calendar quarter. The |
taxpayer shall also file a return with the
Department for each |
of the first two months of each calendar quarter, on or
before |
the twentieth day of the following calendar month, stating: |
|
1. The name of the seller; |
2. The address of the principal place of business from |
which he engages
in the business of selling tangible |
personal property at retail in this State; |
3. The total amount of taxable receipts received by him |
during the
preceding calendar month from sales of tangible |
personal property by him
during such preceding calendar |
month, including receipts from charge and
time sales, but |
less all deductions allowed by law; |
4. The amount of credit provided in Section 2d of this |
Act; |
5. The amount of tax due; |
5-5. The signature of the taxpayer; and |
6. Such other reasonable information as the Department |
may
require. |
If a taxpayer fails to sign a return within 30 days after |
the proper notice
and demand for signature by the Department, |
the return shall be considered
valid and any amount shown to be |
due on the return shall be deemed assessed. |
Beginning October 1, 1993, a taxpayer who has an average |
monthly tax
liability of $150,000 or more shall make all |
payments required by rules of the
Department by electronic |
funds transfer. Beginning October 1, 1994, a taxpayer
who has |
an average monthly tax liability of $100,000 or more shall make |
all
payments required by rules of the Department by electronic |
funds transfer.
Beginning October 1, 1995, a taxpayer who has |
|
an average monthly tax liability
of $50,000 or more shall make |
all payments required by rules of the Department
by electronic |
funds transfer. Beginning October 1, 2000, a taxpayer who has
|
an annual tax liability of $200,000 or more shall make all |
payments required by
rules of the Department by electronic |
funds transfer. The term "annual tax
liability" shall be the |
sum of the taxpayer's liabilities under this Act, and
under all |
other State and local occupation and use tax laws administered |
by the
Department, for the immediately preceding calendar year. |
The term "average
monthly tax liability" means
the sum of the |
taxpayer's liabilities under this Act, and under all other |
State
and local occupation and use tax laws administered by the |
Department, for the
immediately preceding calendar year |
divided by 12.
Beginning on October 1, 2002, a taxpayer who has |
a tax liability in the
amount set forth in subsection (b) of |
Section 2505-210 of the Department of
Revenue Law shall make |
all payments required by rules of the Department by
electronic |
funds transfer. |
Before August 1 of each year beginning in 1993, the |
Department shall notify
all taxpayers required to make payments |
by electronic funds transfer. All
taxpayers required to make |
payments by electronic funds transfer shall make
those payments |
for a minimum of one year beginning on October 1. |
Any taxpayer not required to make payments by electronic |
funds transfer may
make payments by electronic funds transfer |
with the permission of the
Department. |
|
All taxpayers required to make payment by electronic funds |
transfer and any
taxpayers authorized to voluntarily make |
payments by electronic funds transfer
shall make those payments |
in the manner authorized by the Department. |
The Department shall adopt such rules as are necessary to |
effectuate a
program of electronic funds transfer and the |
requirements of this Section. |
Before October 1, 2000, if the taxpayer's average monthly |
tax liability
to the Department
under this Act, the Retailers' |
Occupation Tax Act, the Service
Occupation Tax Act, the Service |
Use Tax Act was $10,000 or more
during
the preceding 4 complete |
calendar quarters, he shall file a return with the
Department |
each month by the 20th day of the month next following the |
month
during which such tax liability is incurred and shall |
make payments to the
Department on or before the 7th, 15th, |
22nd and last day of the month
during which such liability is |
incurred.
On and after October 1, 2000, if the taxpayer's |
average monthly tax liability
to the Department under this Act, |
the Retailers' Occupation Tax Act,
the
Service Occupation Tax |
Act, and the Service Use Tax Act was $20,000 or more
during the |
preceding 4 complete calendar quarters, he shall file a return |
with
the Department each month by the 20th day of the month |
next following the month
during which such tax liability is |
incurred and shall make payment to the
Department on or before |
the 7th, 15th, 22nd and last day of the
month during
which such |
liability is incurred.
If the month during which such tax
|
|
liability is incurred began prior to January 1, 1985, each |
payment shall be
in an amount equal to 1/4 of the taxpayer's
|
actual liability for the month or an amount set by the |
Department not to
exceed 1/4 of the average monthly liability |
of the taxpayer to the
Department for the preceding 4 complete |
calendar quarters (excluding the
month of highest liability and |
the month of lowest liability in such 4
quarter period). If the |
month during which such tax liability is incurred
begins on or |
after January 1, 1985, and prior to January 1, 1987, each
|
payment shall be in an amount equal to 22.5% of the taxpayer's |
actual liability
for the month or 27.5% of the taxpayer's |
liability for the same calendar
month of the preceding year. If |
the month during which such tax liability
is incurred begins on |
or after January 1, 1987, and prior to January 1,
1988, each |
payment shall be in an amount equal to 22.5% of the taxpayer's
|
actual liability for the month or 26.25% of the taxpayer's |
liability for
the same calendar month of the preceding year. If |
the month during which such
tax liability is incurred begins on |
or after January 1, 1988, and prior to
January 1, 1989,
or |
begins on or after January 1, 1996, each payment shall be in an |
amount equal
to 22.5% of the taxpayer's actual liability for |
the month or 25% of the
taxpayer's liability for the same |
calendar month of the preceding year. If the
month during which |
such tax liability is incurred begins on or after January 1,
|
1989,
and prior to January 1, 1996, each payment shall be in an |
amount equal to 22.5%
of the taxpayer's actual liability for |
|
the month or 25% of the taxpayer's
liability for the same |
calendar month of the preceding year or 100% of the
taxpayer's |
actual liability for the quarter monthly reporting period. The
|
amount of such quarter monthly payments shall be credited |
against the final tax
liability
of the taxpayer's return for |
that month. Before October 1, 2000, once
applicable, the |
requirement
of the making of quarter monthly payments to the |
Department shall continue
until such taxpayer's average |
monthly liability to the Department during
the preceding 4 |
complete calendar quarters (excluding the month of highest
|
liability and the month of lowest liability) is less than
|
$9,000, or until
such taxpayer's average monthly liability to |
the Department as computed for
each calendar quarter of the 4 |
preceding complete calendar quarter period
is less than |
$10,000. However, if a taxpayer can show the
Department that
a |
substantial change in the taxpayer's business has occurred |
which causes
the taxpayer to anticipate that his average |
monthly tax liability for the
reasonably foreseeable future |
will fall below the $10,000 threshold
stated above, then
such |
taxpayer
may petition the Department for change in such |
taxpayer's reporting status.
On and after October 1, 2000, once |
applicable, the requirement of the making
of quarter monthly |
payments to the Department shall continue until such
taxpayer's |
average monthly liability to the Department during the |
preceding 4
complete calendar quarters (excluding the month of |
highest liability and the
month of lowest liability) is less |
|
than $19,000 or until such taxpayer's
average monthly liability |
to the Department as computed for each calendar
quarter of the |
4 preceding complete calendar quarter period is less than
|
$20,000. However, if a taxpayer can show the Department that a |
substantial
change in the taxpayer's business has occurred |
which causes the taxpayer to
anticipate that his average |
monthly tax liability for the reasonably
foreseeable future |
will fall below the $20,000 threshold stated above, then
such |
taxpayer may petition the Department for a change in such |
taxpayer's
reporting status.
The Department shall change such |
taxpayer's reporting status unless it
finds that such change is |
seasonal in nature and not likely to be long
term. If any such |
quarter monthly payment is not paid at the time or in
the |
amount required by this Section, then the taxpayer shall be |
liable for
penalties and interest on
the difference between the |
minimum amount due and the amount of such
quarter monthly |
payment actually and timely paid, except insofar as the
|
taxpayer has previously made payments for that month to the |
Department in
excess of the minimum payments previously due as |
provided in this Section.
The Department shall make reasonable |
rules and regulations to govern the
quarter monthly payment |
amount and quarter monthly payment dates for
taxpayers who file |
on other than a calendar monthly basis. |
If any such payment provided for in this Section exceeds |
the taxpayer's
liabilities under this Act, the Retailers' |
Occupation Tax Act, the Service
Occupation Tax Act and the |
|
Service Use Tax Act, as shown by an original
monthly return, |
the Department shall issue to the taxpayer a credit
memorandum |
no later than 30 days after the date of payment, which
|
memorandum may be submitted by the taxpayer to the Department |
in payment of
tax liability subsequently to be remitted by the |
taxpayer to the Department
or be assigned by the taxpayer to a |
similar taxpayer under this Act, the
Retailers' Occupation Tax |
Act, the Service Occupation Tax Act or the
Service Use Tax Act, |
in accordance with reasonable rules and regulations to
be |
prescribed by the Department, except that if such excess |
payment is
shown on an original monthly return and is made |
after December 31, 1986, no
credit memorandum shall be issued, |
unless requested by the taxpayer. If no
such request is made, |
the taxpayer may credit such excess payment against
tax |
liability subsequently to be remitted by the taxpayer to the |
Department
under this Act, the Retailers' Occupation Tax Act, |
the Service Occupation
Tax Act or the Service Use Tax Act, in |
accordance with reasonable rules and
regulations prescribed by |
the Department. If the Department subsequently
determines that |
all or any part of the credit taken was not actually due to
the |
taxpayer, the taxpayer's 2.1% or 1.75% vendor's discount shall |
be
reduced by 2.1% or 1.75% of the difference between the |
credit taken and
that actually due, and the taxpayer shall be |
liable for penalties and
interest on such difference. |
If the retailer is otherwise required to file a monthly |
return and if the
retailer's average monthly tax liability to |
|
the Department
does not exceed $200, the Department may |
authorize his returns to be
filed on a quarter annual basis, |
with the return for January, February,
and March of a given |
year being due by April 20 of such year; with the
return for |
April, May and June of a given year being due by July 20 of
such |
year; with the return for July, August and September of a given
|
year being due by October 20 of such year, and with the return |
for
October, November and December of a given year being due by |
January 20
of the following year. |
If the retailer is otherwise required to file a monthly or |
quarterly
return and if the retailer's average monthly tax |
liability to the
Department does not exceed $50, the Department |
may authorize his returns to
be filed on an annual basis, with |
the return for a given year being due by
January 20 of the |
following year. |
Such quarter annual and annual returns, as to form and |
substance,
shall be subject to the same requirements as monthly |
returns. |
Notwithstanding any other provision in this Act concerning |
the time
within which a retailer may file his return, in the |
case of any retailer
who ceases to engage in a kind of business |
which makes him responsible
for filing returns under this Act, |
such retailer shall file a final
return under this Act with the |
Department not more than one month after
discontinuing such |
business. |
In addition, with respect to motor vehicles, watercraft,
|
|
aircraft, and trailers that are required to be registered with |
an agency of
this State, every
retailer selling this kind of |
tangible personal property shall file,
with the Department, |
upon a form to be prescribed and supplied by the
Department, a |
separate return for each such item of tangible personal
|
property which the retailer sells, except that if, in the same
|
transaction, (i) a retailer of aircraft, watercraft, motor |
vehicles or
trailers transfers more than
one aircraft, |
watercraft, motor
vehicle or trailer to another aircraft, |
watercraft, motor vehicle or
trailer retailer for the purpose |
of resale
or (ii) a retailer of aircraft, watercraft, motor |
vehicles, or trailers
transfers more than one aircraft, |
watercraft, motor vehicle, or trailer to a
purchaser for use as |
a qualifying rolling stock as provided in Section 3-55 of
this |
Act, then
that seller may report the transfer of all the
|
aircraft, watercraft, motor
vehicles
or trailers involved in |
that transaction to the Department on the same
uniform
|
invoice-transaction reporting return form.
For purposes of |
this Section, "watercraft" means a Class 2, Class 3, or
Class
4 |
watercraft as defined in Section 3-2 of the Boat Registration |
and Safety Act,
a
personal watercraft, or any boat equipped |
with an inboard motor. |
The transaction reporting return in the case of motor |
vehicles
or trailers that are required to be registered with an |
agency of this
State, shall
be the same document as the Uniform |
Invoice referred to in Section 5-402
of the Illinois Vehicle |
|
Code and must show the name and address of the
seller; the name |
and address of the purchaser; the amount of the selling
price |
including the amount allowed by the retailer for traded-in
|
property, if any; the amount allowed by the retailer for the |
traded-in
tangible personal property, if any, to the extent to |
which Section 2 of
this Act allows an exemption for the value |
of traded-in property; the
balance payable after deducting such |
trade-in allowance from the total
selling price; the amount of |
tax due from the retailer with respect to
such transaction; the |
amount of tax collected from the purchaser by the
retailer on |
such transaction (or satisfactory evidence that such tax is
not |
due in that particular instance, if that is claimed to be the |
fact);
the place and date of the sale; a sufficient |
identification of the
property sold; such other information as |
is required in Section 5-402 of
the Illinois Vehicle Code, and |
such other information as the Department
may reasonably |
require. |
The transaction reporting return in the case of watercraft
|
and aircraft must show
the name and address of the seller; the |
name and address of the
purchaser; the amount of the selling |
price including the amount allowed
by the retailer for |
traded-in property, if any; the amount allowed by
the retailer |
for the traded-in tangible personal property, if any, to
the |
extent to which Section 2 of this Act allows an exemption for |
the
value of traded-in property; the balance payable after |
deducting such
trade-in allowance from the total selling price; |
|
the amount of tax due
from the retailer with respect to such |
transaction; the amount of tax
collected from the purchaser by |
the retailer on such transaction (or
satisfactory evidence that |
such tax is not due in that particular
instance, if that is |
claimed to be the fact); the place and date of the
sale, a |
sufficient identification of the property sold, and such other
|
information as the Department may reasonably require. |
Such transaction reporting return shall be filed not later |
than 20
days after the date of delivery of the item that is |
being sold, but may
be filed by the retailer at any time sooner |
than that if he chooses to
do so. The transaction reporting |
return and tax remittance or proof of
exemption from the tax |
that is imposed by this Act may be transmitted to
the |
Department by way of the State agency with which, or State |
officer
with whom, the tangible personal property must be |
titled or registered
(if titling or registration is required) |
if the Department and such
agency or State officer determine |
that this procedure will expedite the
processing of |
applications for title or registration. |
With each such transaction reporting return, the retailer |
shall remit
the proper amount of tax due (or shall submit |
satisfactory evidence that
the sale is not taxable if that is |
the case), to the Department or its
agents, whereupon the |
Department shall issue, in the purchaser's name, a
tax receipt |
(or a certificate of exemption if the Department is
satisfied |
that the particular sale is tax exempt) which such purchaser
|
|
may submit to the agency with which, or State officer with |
whom, he must
title or register the tangible personal property |
that is involved (if
titling or registration is required) in |
support of such purchaser's
application for an Illinois |
certificate or other evidence of title or
registration to such |
tangible personal property. |
No retailer's failure or refusal to remit tax under this |
Act
precludes a user, who has paid the proper tax to the |
retailer, from
obtaining his certificate of title or other |
evidence of title or
registration (if titling or registration |
is required) upon satisfying
the Department that such user has |
paid the proper tax (if tax is due) to
the retailer. The |
Department shall adopt appropriate rules to carry out
the |
mandate of this paragraph. |
If the user who would otherwise pay tax to the retailer |
wants the
transaction reporting return filed and the payment of |
tax or proof of
exemption made to the Department before the |
retailer is willing to take
these actions and such user has not |
paid the tax to the retailer, such
user may certify to the fact |
of such delay by the retailer, and may
(upon the Department |
being satisfied of the truth of such certification)
transmit |
the information required by the transaction reporting return
|
and the remittance for tax or proof of exemption directly to |
the
Department and obtain his tax receipt or exemption |
determination, in
which event the transaction reporting return |
and tax remittance (if a
tax payment was required) shall be |
|
credited by the Department to the
proper retailer's account |
with the Department, but without the 2.1% or 1.75%
discount |
provided for in this Section being allowed. When the user pays
|
the tax directly to the Department, he shall pay the tax in the |
same
amount and in the same form in which it would be remitted |
if the tax had
been remitted to the Department by the retailer. |
Where a retailer collects the tax with respect to the |
selling price
of tangible personal property which he sells and |
the purchaser
thereafter returns such tangible personal |
property and the retailer
refunds the selling price thereof to |
the purchaser, such retailer shall
also refund, to the |
purchaser, the tax so collected from the purchaser.
When filing |
his return for the period in which he refunds such tax to
the |
purchaser, the retailer may deduct the amount of the tax so |
refunded
by him to the purchaser from any other use tax which |
such retailer may
be required to pay or remit to the |
Department, as shown by such return,
if the amount of the tax |
to be deducted was previously remitted to the
Department by |
such retailer. If the retailer has not previously
remitted the |
amount of such tax to the Department, he is entitled to no
|
deduction under this Act upon refunding such tax to the |
purchaser. |
Any retailer filing a return under this Section shall also |
include
(for the purpose of paying tax thereon) the total tax |
covered by such
return upon the selling price of tangible |
personal property purchased by
him at retail from a retailer, |
|
but as to which the tax imposed by this
Act was not collected |
from the retailer filing such return, and such
retailer shall |
remit the amount of such tax to the Department when
filing such |
return. |
If experience indicates such action to be practicable, the |
Department
may prescribe and furnish a combination or joint |
return which will
enable retailers, who are required to file |
returns hereunder and also
under the Retailers' Occupation Tax |
Act, to furnish all the return
information required by both |
Acts on the one form. |
Where the retailer has more than one business registered |
with the
Department under separate registration under this Act, |
such retailer may
not file each return that is due as a single |
return covering all such
registered businesses, but shall file |
separate returns for each such
registered business. |
Beginning January 1, 1990, each month the Department shall |
pay into the
State and Local Sales Tax Reform Fund, a special |
fund in the State Treasury
which is hereby created, the net |
revenue realized for the preceding month
from the 1% tax on |
sales of food for human consumption which is to be
consumed off |
the premises where it is sold (other than alcoholic beverages,
|
soft drinks and food which has been prepared for immediate |
consumption) and
prescription and nonprescription medicines, |
drugs, medical appliances and
insulin, urine testing |
materials, syringes and needles used by diabetics. |
Beginning January 1, 1990, each month the Department shall |
|
pay into
the County and Mass Transit District Fund 4% of the |
net revenue realized
for the preceding month from the 6.25% |
general rate
on the selling price of tangible personal property |
which is purchased
outside Illinois at retail from a retailer |
and which is titled or
registered by an agency of this State's |
government. |
Beginning January 1, 1990, each month the Department shall |
pay into
the State and Local Sales Tax Reform Fund, a special |
fund in the State
Treasury, 20% of the net revenue realized
for |
the preceding month from the 6.25% general rate on the selling
|
price of tangible personal property, other than tangible |
personal property
which is purchased outside Illinois at retail |
from a retailer and which is
titled or registered by an agency |
of this State's government. |
Beginning August 1, 2000, each
month the Department shall |
pay into the
State and Local Sales Tax Reform Fund 100% of the |
net revenue realized for the
preceding month from the 1.25% |
rate on the selling price of motor fuel and
gasohol. Beginning |
September 1, 2010, each
month the Department shall pay into the
|
State and Local Sales Tax Reform Fund 100% of the net revenue |
realized for the
preceding month from the 1.25% rate on the |
selling price of sales tax holiday items. |
Beginning January 1, 1990, each month the Department shall |
pay into
the Local Government Tax Fund 16% of the net revenue |
realized for the
preceding month from the 6.25% general rate on |
the selling price of
tangible personal property which is |
|
purchased outside Illinois at retail
from a retailer and which |
is titled or registered by an agency of this
State's |
government. |
Beginning October 1, 2009, each month the Department shall |
pay into the Capital Projects Fund an amount that is equal to |
an amount estimated by the Department to represent 80% of the |
net revenue realized for the preceding month from the sale of |
candy, grooming and hygiene products, and soft drinks that had |
been taxed at a rate of 1% prior to September 1, 2009 but that |
are is now taxed at 6.25%. |
Beginning July 1, 2011, each
month the Department shall pay |
into the Clean Air Act (CAA) Permit Fund 80% of the net revenue |
realized for the
preceding month from the 6.25% general rate on |
the selling price of sorbents used in Illinois in the process |
of sorbent injection as used to comply with the Environmental |
Protection Act or the federal Clean Air Act, but the total |
payment into the Clean Air Act (CAA) Permit Fund under this Act |
and the Retailers' Occupation Tax Act shall not exceed |
$2,000,000 in any fiscal year. |
Beginning July 1, 2013, each month the Department shall pay |
into the Underground Storage Tank Fund from the proceeds |
collected under this Act, the Service Use Tax Act, the Service |
Occupation Tax Act, and the Retailers' Occupation Tax Act an |
amount equal to the average monthly deficit in the Underground |
Storage Tank Fund during the prior year, as certified annually |
by the Illinois Environmental Protection Agency, but the total |
|
payment into the Underground Storage Tank Fund under this Act, |
the Service Use Tax Act, the Service Occupation Tax Act, and |
the Retailers' Occupation Tax Act shall not exceed $18,000,000 |
in any State fiscal year. As used in this paragraph, the |
"average monthly deficit" shall be equal to the difference |
between the average monthly claims for payment by the fund and |
the average monthly revenues deposited into the fund, excluding |
payments made pursuant to this paragraph. |
Of the remainder of the moneys received by the Department |
pursuant to
this Act, (a) 1.75% thereof shall be paid
into the |
Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and
on |
and after July 1, 1989, 3.8% thereof shall be paid into the
|
Build Illinois Fund; provided, however, that if in any fiscal |
year the
sum of (1) the aggregate of 2.2% or 3.8%, as the case |
may be, of the
moneys received by the Department and required |
to be paid into the Build
Illinois Fund pursuant to Section 3 |
of the Retailers' Occupation Tax Act,
Section 9 of the Use Tax |
Act, Section 9 of the Service Use
Tax Act, and Section 9 of the |
Service Occupation Tax Act, such Acts being
hereinafter called |
the "Tax Acts" and such aggregate of 2.2% or 3.8%, as
the case |
may be, of moneys being hereinafter called the "Tax Act |
Amount",
and (2) the amount transferred to the Build Illinois |
Fund from the State
and Local Sales Tax Reform Fund shall be |
less than the Annual Specified
Amount (as defined in Section 3 |
of the Retailers' Occupation Tax Act), an
amount equal to the |
difference shall be immediately paid into the Build
Illinois |
|
Fund from other moneys received by the Department pursuant to |
the
Tax Acts; and further provided, that if on the last |
business day of any
month the sum of (1) the Tax Act Amount |
required to be deposited into the
Build Illinois Bond Account |
in the Build Illinois Fund during such month
and (2) the amount |
transferred during such month to the Build Illinois Fund
from |
the State and Local Sales Tax Reform Fund shall have been less |
than
1/12 of the Annual Specified Amount, an amount equal to |
the difference
shall be immediately paid into the Build |
Illinois Fund from other moneys
received by the Department |
pursuant to the Tax Acts; and,
further provided, that in no |
event shall the payments required under the
preceding proviso |
result in aggregate payments into the Build Illinois Fund
|
pursuant to this clause (b) for any fiscal year in excess of |
the greater
of (i) the Tax Act Amount or (ii) the Annual |
Specified Amount for such
fiscal year; and, further provided, |
that the amounts payable into the Build
Illinois Fund under |
this clause (b) shall be payable only until such time
as the |
aggregate amount on deposit under each trust
indenture securing |
Bonds issued and outstanding pursuant to the Build
Illinois |
Bond Act is sufficient, taking into account any future |
investment
income, to fully provide, in accordance with such |
indenture, for the
defeasance of or the payment of the |
principal of, premium, if any, and
interest on the Bonds |
secured by such indenture and on any Bonds expected
to be |
issued thereafter and all fees and costs payable with respect |
|
thereto,
all as certified by the Director of the
Bureau of the |
Budget (now Governor's Office of Management and Budget). If
on |
the last
business day of any month in which Bonds are |
outstanding pursuant to the
Build Illinois Bond Act, the |
aggregate of the moneys deposited
in the Build Illinois Bond |
Account in the Build Illinois Fund in such month
shall be less |
than the amount required to be transferred in such month from
|
the Build Illinois Bond Account to the Build Illinois Bond |
Retirement and
Interest Fund pursuant to Section 13 of the |
Build Illinois Bond Act, an
amount equal to such deficiency |
shall be immediately paid
from other moneys received by the |
Department pursuant to the Tax Acts
to the Build Illinois Fund; |
provided, however, that any amounts paid to the
Build Illinois |
Fund in any fiscal year pursuant to this sentence shall be
|
deemed to constitute payments pursuant to clause (b) of the |
preceding
sentence and shall reduce the amount otherwise |
payable for such fiscal year
pursuant to clause (b) of the |
preceding sentence. The moneys received by
the Department |
pursuant to this Act and required to be deposited into the
|
Build Illinois Fund are subject to the pledge, claim and charge |
set forth
in Section 12 of the Build Illinois Bond Act. |
Subject to payment of amounts into the Build Illinois Fund |
as provided in
the preceding paragraph or in any amendment |
thereto hereafter enacted, the
following specified monthly |
installment of the amount requested in the
certificate of the |
Chairman of the Metropolitan Pier and Exposition
Authority |
|
provided under Section 8.25f of the State Finance Act, but not |
in
excess of the sums designated as "Total Deposit", shall be
|
deposited in the aggregate from collections under Section 9 of |
the Use Tax
Act, Section 9 of the Service Use Tax Act, Section |
9 of the Service
Occupation Tax Act, and Section 3 of the |
Retailers' Occupation Tax Act into
the McCormick Place |
Expansion Project Fund in the specified fiscal years. |
|
Fiscal Year | | Total Deposit | |
1993 | | $0 | |
1994 | | 53,000,000 | |
1995 | | 58,000,000 | |
1996 | | 61,000,000 | |
1997 | | 64,000,000 | |
1998 | | 68,000,000 | |
1999 | | 71,000,000 | |
2000 | | 75,000,000 | |
2001 | | 80,000,000 | |
2002 | | 93,000,000 | |
2003 | | 99,000,000 | |
2004 | | 103,000,000 | |
2005 | | 108,000,000 | |
2006 | | 113,000,000 | |
2007 | | 119,000,000 | |
2008 | | 126,000,000 | |
2009 | | 132,000,000 | |
2010 | | 139,000,000 | |
|
|
2011 | | 146,000,000 | |
2012 | | 153,000,000 | |
2013 | | 161,000,000 | |
2014 | | 170,000,000 | |
2015 | | 179,000,000 | |
2016 | | 189,000,000 | |
2017 | | 199,000,000 | |
2018 | | 210,000,000 | |
2019 | | 221,000,000 | |
2020 | | 233,000,000 | |
2021 | | 246,000,000 | |
2022 | | 260,000,000 | |
2023 | | 275,000,000 | |
2024 | | 275,000,000 | |
2025 | | 275,000,000 | |
2026 | | 279,000,000 | |
2027 | | 292,000,000 | |
2028 | | 307,000,000 | |
2029 | | 322,000,000 | |
2030 | | 338,000,000 | |
2031 | | 350,000,000 | |
2032 | | 350,000,000 | |
and | | |
|
each fiscal year | | |
|
thereafter that bonds | | |
|
are outstanding under | | |
|
|
|
Section 13.2 of the | | |
|
Metropolitan Pier and | | |
|
Exposition Authority Act, | | |
|
but not after fiscal year 2060. | | |
|
Beginning July 20, 1993 and in each month of each fiscal |
year thereafter,
one-eighth of the amount requested in the |
certificate of the Chairman of
the Metropolitan Pier and |
Exposition Authority for that fiscal year, less
the amount |
deposited into the McCormick Place Expansion Project Fund by |
the
State Treasurer in the respective month under subsection |
(g) of Section 13
of the Metropolitan Pier and Exposition |
Authority Act, plus cumulative
deficiencies in the deposits |
required under this Section for previous
months and years, |
shall be deposited into the McCormick Place Expansion
Project |
Fund, until the full amount requested for the fiscal year, but |
not
in excess of the amount specified above as "Total Deposit", |
has been deposited. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or
in any amendments thereto
hereafter |
enacted,
beginning July 1, 1993 and ending on September 30, |
2013, the Department shall each month pay into the Illinois
Tax |
Increment Fund 0.27% of 80% of the net revenue realized for the |
preceding
month from the 6.25% general rate on the selling |
price of tangible personal
property. |
Subject to payment of amounts into the Build Illinois Fund |
|
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or in any
amendments thereto hereafter |
enacted, beginning with the receipt of the first
report of |
taxes paid by an eligible business and continuing for a 25-year
|
period, the Department shall each month pay into the Energy |
Infrastructure
Fund 80% of the net revenue realized from the |
6.25% general rate on the
selling price of Illinois-mined coal |
that was sold to an eligible business.
For purposes of this |
paragraph, the term "eligible business" means a new
electric |
generating facility certified pursuant to Section 605-332 of |
the
Department of Commerce and
Economic Opportunity Law of the |
Civil Administrative
Code of Illinois. |
Of the remainder of the moneys received by the Department |
pursuant
to this Act, 75% thereof shall be paid into the State |
Treasury and 25%
shall be reserved in a special account and |
used only for the transfer to
the Common School Fund as part of |
the monthly transfer from the General
Revenue Fund in |
accordance with Section 8a of the State
Finance Act. |
As soon as possible after the first day of each month, upon |
certification
of the Department of Revenue, the Comptroller |
shall order transferred and
the Treasurer shall transfer from |
the General Revenue Fund to the Motor
Fuel Tax Fund an amount |
equal to 1.7% of 80% of the net revenue realized
under this Act |
for the second preceding month.
Beginning April 1, 2000, this |
transfer is no longer required
and shall not be made. |
Net revenue realized for a month shall be the revenue |
|
collected
by the State pursuant to this Act, less the amount |
paid out during that
month as refunds to taxpayers for |
overpayment of liability. |
For greater simplicity of administration, manufacturers, |
importers
and wholesalers whose products are sold at retail in |
Illinois by
numerous retailers, and who wish to do so, may |
assume the responsibility
for accounting and paying to the |
Department all tax accruing under this
Act with respect to such |
sales, if the retailers who are affected do not
make written |
objection to the Department to this arrangement. |
(Source: P.A. 97-95, eff. 7-12-11; 97-333, eff. 8-12-11; 98-24, |
eff. 6-19-13; 98-109, eff. 7-25-13; 98-496, eff. 1-1-14; |
revised 9-9-13.) |
Section 180. The Service Use Tax Act is amended by changing |
Sections 3-5, 3-10, and 9 as follows:
|
(35 ILCS 110/3-5)
|
Sec. 3-5. Exemptions. Use of the following tangible |
personal property
is exempt from the tax imposed by this Act:
|
(1) Personal property purchased from a corporation, |
society,
association, foundation, institution, or |
organization, other than a limited
liability company, that is |
organized and operated as a not-for-profit service
enterprise |
for the benefit of persons 65 years of age or older if the |
personal
property was not purchased by the enterprise for the |
|
purpose of resale by the
enterprise.
|
(2) Personal property purchased by a non-profit Illinois |
county fair
association for use in conducting, operating, or |
promoting the county fair.
|
(3) Personal property purchased by a not-for-profit arts
or |
cultural
organization that establishes, by proof required by |
the Department by rule,
that it has received an exemption under |
Section 501(c)(3) of the Internal
Revenue Code and that is |
organized and operated primarily for the
presentation
or |
support of arts or cultural programming, activities, or |
services. These
organizations include, but are not limited to, |
music and dramatic arts
organizations such as symphony |
orchestras and theatrical groups, arts and
cultural service |
organizations, local arts councils, visual arts organizations,
|
and media arts organizations.
On and after the effective date |
of this amendatory Act of the 92nd General
Assembly, however, |
an entity otherwise eligible for this exemption shall not
make |
tax-free purchases unless it has an active identification |
number issued by
the Department.
|
(4) Legal tender, currency, medallions, or gold or silver |
coinage issued
by the State of Illinois, the government of the |
United States of America,
or the government of any foreign |
country, and bullion.
|
(5) Until July 1, 2003 and beginning again on September 1, |
2004 through August 30, 2014, graphic arts machinery and |
equipment, including
repair and
replacement parts, both new and |
|
used, and including that manufactured on
special order or |
purchased for lease, certified by the purchaser to be used
|
primarily for graphic arts production.
Equipment includes |
chemicals or
chemicals acting as catalysts but only if
the |
chemicals or chemicals acting as catalysts effect a direct and |
immediate
change upon a graphic arts product.
|
(6) Personal property purchased from a teacher-sponsored |
student
organization affiliated with an elementary or |
secondary school located
in Illinois.
|
(7) Farm machinery and equipment, both new and used, |
including that
manufactured on special order, certified by the |
purchaser to be used
primarily for production agriculture or |
State or federal agricultural
programs, including individual |
replacement parts for the machinery and
equipment, including |
machinery and equipment purchased for lease,
and including |
implements of husbandry defined in Section 1-130 of
the |
Illinois Vehicle Code, farm machinery and agricultural |
chemical and
fertilizer spreaders, and nurse wagons required to |
be registered
under Section 3-809 of the Illinois Vehicle Code,
|
but
excluding other motor vehicles required to be registered |
under the Illinois
Vehicle Code.
Horticultural polyhouses or |
hoop houses used for propagating, growing, or
overwintering |
plants shall be considered farm machinery and equipment under
|
this item (7).
Agricultural chemical tender tanks and dry boxes |
shall include units sold
separately from a motor vehicle |
required to be licensed and units sold mounted
on a motor |
|
vehicle required to be licensed if the selling price of the |
tender
is separately stated.
|
Farm machinery and equipment shall include precision |
farming equipment
that is
installed or purchased to be |
installed on farm machinery and equipment
including, but not |
limited to, tractors, harvesters, sprayers, planters,
seeders, |
or spreaders.
Precision farming equipment includes, but is not |
limited to,
soil testing sensors, computers, monitors, |
software, global positioning
and mapping systems, and other |
such equipment.
|
Farm machinery and equipment also includes computers, |
sensors, software, and
related equipment used primarily in the
|
computer-assisted operation of production agriculture |
facilities, equipment,
and activities such as, but
not limited |
to,
the collection, monitoring, and correlation of
animal and |
crop data for the purpose of
formulating animal diets and |
agricultural chemicals. This item (7) is exempt
from the |
provisions of
Section 3-75.
|
(8) Until June 30, 2013, fuel and petroleum products sold |
to or used by an air common
carrier, certified by the carrier |
to be used for consumption, shipment, or
storage in the conduct |
of its business as an air common carrier, for a
flight destined |
for or returning from a location or locations
outside the |
United States without regard to previous or subsequent domestic
|
stopovers.
|
Beginning July 1, 2013, fuel and petroleum products sold to |
|
or used by an air carrier, certified by the carrier to be used |
for consumption, shipment, or storage in the conduct of its |
business as an air common carrier, for a flight that (i) is |
engaged in foreign trade or is engaged in trade between the |
United States and any of its possessions and (ii) transports at |
least one individual or package for hire from the city of |
origination to the city of final destination on the same |
aircraft, without regard to a change in the flight number of |
that aircraft. |
(9) Proceeds of mandatory service charges separately |
stated on
customers' bills for the purchase and consumption of |
food and beverages
acquired as an incident to the purchase of a |
service from a serviceman, to
the extent that the proceeds of |
the service charge are in fact
turned over as tips or as a |
substitute for tips to the employees who
participate directly |
in preparing, serving, hosting or cleaning up the
food or |
beverage function with respect to which the service charge is |
imposed.
|
(10) Until July 1, 2003, oil field exploration, drilling, |
and production
equipment, including
(i) rigs and parts of rigs, |
rotary rigs, cable tool
rigs, and workover rigs, (ii) pipe and |
tubular goods, including casing and
drill strings, (iii) pumps |
and pump-jack units, (iv) storage tanks and flow
lines, (v) any |
individual replacement part for oil field exploration,
|
drilling, and production equipment, and (vi) machinery and |
equipment purchased
for lease; but
excluding motor vehicles |
|
required to be registered under the Illinois
Vehicle Code.
|
(11) Proceeds from the sale of photoprocessing machinery |
and
equipment, including repair and replacement parts, both new |
and
used, including that manufactured on special order, |
certified by the
purchaser to be used primarily for |
photoprocessing, and including
photoprocessing machinery and |
equipment purchased for lease.
|
(12) Coal and aggregate exploration, mining, off-highway |
offhighway hauling,
processing,
maintenance, and reclamation |
equipment, including
replacement parts and equipment, and |
including
equipment purchased for lease, but excluding motor |
vehicles required to be
registered under the Illinois Vehicle |
Code. The changes made to this Section by Public Act 97-767 |
apply on and after July 1, 2003, but no claim for credit or |
refund is allowed on or after August 16, 2013 ( the effective |
date of Public Act 98-456) this amendatory Act of the 98th |
General Assembly
for such taxes paid during the period |
beginning July 1, 2003 and ending on August 16, 2013 ( the |
effective date of Public Act 98-456) this amendatory Act of the |
98th General Assembly .
|
(13) Semen used for artificial insemination of livestock |
for direct
agricultural production.
|
(14) Horses, or interests in horses, registered with and |
meeting the
requirements of any of the
Arabian Horse Club |
Registry of America, Appaloosa Horse Club, American Quarter
|
Horse Association, United States
Trotting Association, or |
|
Jockey Club, as appropriate, used for
purposes of breeding or |
racing for prizes. This item (14) is exempt from the provisions |
of Section 3-75, and the exemption provided for under this item |
(14) applies for all periods beginning May 30, 1995, but no |
claim for credit or refund is allowed on or after the effective |
date of this amendatory Act of the 95th General Assembly for |
such taxes paid during the period beginning May 30, 2000 and |
ending on the effective date of this amendatory Act of the 95th |
General Assembly.
|
(15) Computers and communications equipment utilized for |
any
hospital
purpose
and equipment used in the diagnosis,
|
analysis, or treatment of hospital patients purchased by a |
lessor who leases
the
equipment, under a lease of one year or |
longer executed or in effect at the
time
the lessor would |
otherwise be subject to the tax imposed by this Act,
to a
|
hospital
that has been issued an active tax exemption |
identification number by the
Department under Section 1g of the |
Retailers' Occupation Tax Act.
If the
equipment is leased in a |
manner that does not qualify for
this exemption
or is used in |
any other non-exempt manner,
the lessor shall be liable for the
|
tax imposed under this Act or the Use Tax Act, as the case may
|
be, based on the fair market value of the property at the time |
the
non-qualifying use occurs. No lessor shall collect or |
attempt to collect an
amount (however
designated) that purports |
to reimburse that lessor for the tax imposed by this
Act or the |
Use Tax Act, as the case may be, if the tax has not been
paid by |
|
the lessor. If a lessor improperly collects any such amount |
from the
lessee, the lessee shall have a legal right to claim a |
refund of that amount
from the lessor. If, however, that amount |
is not refunded to the lessee for
any reason, the lessor is |
liable to pay that amount to the Department.
|
(16) Personal property purchased by a lessor who leases the
|
property, under
a
lease of one year or longer executed or in |
effect at the time
the lessor would otherwise be subject to the |
tax imposed by this Act,
to a governmental body
that has been |
issued an active tax exemption identification number by the
|
Department under Section 1g of the Retailers' Occupation Tax |
Act.
If the
property is leased in a manner that does not |
qualify for
this exemption
or is used in any other non-exempt |
manner,
the lessor shall be liable for the
tax imposed under |
this Act or the Use Tax Act, as the case may
be, based on the |
fair market value of the property at the time the
|
non-qualifying use occurs. No lessor shall collect or attempt |
to collect an
amount (however
designated) that purports to |
reimburse that lessor for the tax imposed by this
Act or the |
Use Tax Act, as the case may be, if the tax has not been
paid by |
the lessor. If a lessor improperly collects any such amount |
from the
lessee, the lessee shall have a legal right to claim a |
refund of that amount
from the lessor. If, however, that amount |
is not refunded to the lessee for
any reason, the lessor is |
liable to pay that amount to the Department.
|
(17) Beginning with taxable years ending on or after |
|
December
31,
1995
and
ending with taxable years ending on or |
before December 31, 2004,
personal property that is
donated for |
disaster relief to be used in a State or federally declared
|
disaster area in Illinois or bordering Illinois by a |
manufacturer or retailer
that is registered in this State to a |
corporation, society, association,
foundation, or institution |
that has been issued a sales tax exemption
identification |
number by the Department that assists victims of the disaster
|
who reside within the declared disaster area.
|
(18) Beginning with taxable years ending on or after |
December
31, 1995 and
ending with taxable years ending on or |
before December 31, 2004, personal
property that is used in the |
performance of infrastructure repairs in this
State, including |
but not limited to municipal roads and streets, access roads,
|
bridges, sidewalks, waste disposal systems, water and sewer |
line extensions,
water distribution and purification |
facilities, storm water drainage and
retention facilities, and |
sewage treatment facilities, resulting from a State
or |
federally declared disaster in Illinois or bordering Illinois |
when such
repairs are initiated on facilities located in the |
declared disaster area
within 6 months after the disaster.
|
(19) Beginning July 1, 1999, game or game birds purchased |
at a "game
breeding
and hunting preserve area" as that term is
|
used in
the Wildlife Code. This paragraph is exempt from the |
provisions
of
Section 3-75.
|
(20) A motor vehicle, as that term is defined in Section |
|
1-146
of the
Illinois Vehicle Code, that is donated to a |
corporation, limited liability
company, society, association, |
foundation, or institution that is determined by
the Department |
to be organized and operated exclusively for educational
|
purposes. For purposes of this exemption, "a corporation, |
limited liability
company, society, association, foundation, |
or institution organized and
operated
exclusively for |
educational purposes" means all tax-supported public schools,
|
private schools that offer systematic instruction in useful |
branches of
learning by methods common to public schools and |
that compare favorably in
their scope and intensity with the |
course of study presented in tax-supported
schools, and |
vocational or technical schools or institutes organized and
|
operated exclusively to provide a course of study of not less |
than 6 weeks
duration and designed to prepare individuals to |
follow a trade or to pursue a
manual, technical, mechanical, |
industrial, business, or commercial
occupation.
|
(21) Beginning January 1, 2000, personal property, |
including
food,
purchased through fundraising
events for the |
benefit of
a public or private elementary or
secondary school, |
a group of those schools, or one or more school
districts if |
the events are
sponsored by an entity recognized by the school |
district that consists
primarily of volunteers and includes
|
parents and teachers of the school children. This paragraph |
does not apply
to fundraising
events (i) for the benefit of |
private home instruction or (ii)
for which the fundraising |
|
entity purchases the personal property sold at
the events from |
another individual or entity that sold the property for the
|
purpose of resale by the fundraising entity and that
profits |
from the sale to the
fundraising entity. This paragraph is |
exempt
from the provisions
of Section 3-75.
|
(22) Beginning January 1, 2000
and through December 31, |
2001, new or used automatic vending
machines that prepare and |
serve hot food and beverages, including coffee, soup,
and
other |
items, and replacement parts for these machines.
Beginning |
January 1,
2002 and through June 30, 2003, machines and parts |
for machines used in
commercial, coin-operated
amusement
and |
vending business if a use or occupation tax is paid on the |
gross receipts
derived from
the use of the commercial, |
coin-operated amusement and vending machines.
This
paragraph
|
is exempt from the provisions of Section 3-75.
|
(23) Beginning August 23, 2001 and through June 30, 2016, |
food for human consumption that is to be consumed off the
|
premises
where it is sold (other than alcoholic beverages, soft |
drinks, and food that
has been prepared for immediate |
consumption) and prescription and
nonprescription medicines, |
drugs, medical appliances, and insulin, urine
testing |
materials, syringes, and needles used by diabetics, for human |
use, when
purchased for use by a person receiving medical |
assistance under Article V of
the Illinois Public Aid Code who |
resides in a licensed long-term care facility,
as defined in |
the Nursing Home Care Act, or in a licensed facility as defined |
|
in the ID/DD Community Care Act or the Specialized Mental |
Health Rehabilitation Act of 2013.
|
(24) Beginning on the effective date of this amendatory Act |
of the 92nd
General Assembly, computers and communications |
equipment
utilized for any hospital purpose and equipment used |
in the diagnosis,
analysis, or treatment of hospital patients |
purchased by a lessor who leases
the equipment, under a lease |
of one year or longer executed or in effect at the
time the |
lessor would otherwise be subject to the tax imposed by this |
Act, to a
hospital that has been issued an active tax exemption |
identification number by
the Department under Section 1g of the |
Retailers' Occupation Tax Act. If the
equipment is leased in a |
manner that does not qualify for this exemption or is
used in |
any other nonexempt manner, the lessor shall be liable for the
|
tax imposed under this Act or the Use Tax Act, as the case may |
be, based on the
fair market value of the property at the time |
the nonqualifying use occurs.
No lessor shall collect or |
attempt to collect an amount (however
designated) that purports |
to reimburse that lessor for the tax imposed by this
Act or the |
Use Tax Act, as the case may be, if the tax has not been
paid by |
the lessor. If a lessor improperly collects any such amount |
from the
lessee, the lessee shall have a legal right to claim a |
refund of that amount
from the lessor. If, however, that amount |
is not refunded to the lessee for
any reason, the lessor is |
liable to pay that amount to the Department.
This paragraph is |
exempt from the provisions of Section 3-75.
|
|
(25) Beginning
on the effective date of this amendatory Act |
of the 92nd General Assembly,
personal property purchased by a |
lessor
who leases the property, under a lease of one year or |
longer executed or in
effect at the time the lessor would |
otherwise be subject to the tax imposed by
this Act, to a |
governmental body that has been issued an active tax exemption
|
identification number by the Department under Section 1g of the |
Retailers'
Occupation Tax Act. If the property is leased in a |
manner that does not
qualify for this exemption or is used in |
any other nonexempt manner, the
lessor shall be liable for the |
tax imposed under this Act or the Use Tax Act,
as the case may |
be, based on the fair market value of the property at the time
|
the nonqualifying use occurs. No lessor shall collect or |
attempt to collect
an amount (however designated) that purports |
to reimburse that lessor for the
tax imposed by this Act or the |
Use Tax Act, as the case may be, if the tax has
not been paid by |
the lessor. If a lessor improperly collects any such amount
|
from the lessee, the lessee shall have a legal right to claim a |
refund of that
amount from the lessor. If, however, that amount |
is not refunded to the lessee
for any reason, the lessor is |
liable to pay that amount to the Department.
This paragraph is |
exempt from the provisions of Section 3-75.
|
(26) Beginning January 1, 2008, tangible personal property |
used in the construction or maintenance of a community water |
supply, as defined under Section 3.145 of the Environmental |
Protection Act, that is operated by a not-for-profit |
|
corporation that holds a valid water supply permit issued under |
Title IV of the Environmental Protection Act. This paragraph is |
exempt from the provisions of Section 3-75.
|
(27) Beginning January 1, 2010, materials, parts, |
equipment, components, and furnishings incorporated into or |
upon an aircraft as part of the modification, refurbishment, |
completion, replacement, repair, or maintenance of the |
aircraft. This exemption includes consumable supplies used in |
the modification, refurbishment, completion, replacement, |
repair, and maintenance of aircraft, but excludes any |
materials, parts, equipment, components, and consumable |
supplies used in the modification, replacement, repair, and |
maintenance of aircraft engines or power plants, whether such |
engines or power plants are installed or uninstalled upon any |
such aircraft. "Consumable supplies" include, but are not |
limited to, adhesive, tape, sandpaper, general purpose |
lubricants, cleaning solution, latex gloves, and protective |
films. This exemption applies only to the use of qualifying |
tangible personal property transferred incident to the |
modification, refurbishment, completion, replacement, repair, |
or maintenance of aircraft by persons who (i) hold an Air |
Agency Certificate and are empowered to operate an approved |
repair station by the Federal Aviation Administration, (ii) |
have a Class IV Rating, and (iii) conduct operations in |
accordance with Part 145 of the Federal Aviation Regulations. |
The exemption does not include aircraft operated by a |
|
commercial air carrier providing scheduled passenger air |
service pursuant to authority issued under Part 121 or Part 129 |
of the Federal Aviation Regulations. The changes made to this |
paragraph (27) by Public Act 98-534 this amendatory Act of the |
98th General Assembly are declarative of existing law. |
(28) Tangible personal property purchased by a |
public-facilities corporation, as described in Section |
11-65-10 of the Illinois Municipal Code, for purposes of |
constructing or furnishing a municipal convention hall, but |
only if the legal title to the municipal convention hall is |
transferred to the municipality without any further |
consideration by or on behalf of the municipality at the time |
of the completion of the municipal convention hall or upon the |
retirement or redemption of any bonds or other debt instruments |
issued by the public-facilities corporation in connection with |
the development of the municipal convention hall. This |
exemption includes existing public-facilities corporations as |
provided in Section 11-65-25 of the Illinois Municipal Code. |
This paragraph is exempt from the provisions of Section 3-75. |
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-431, |
eff. 8-16-11; 97-636, eff. 6-1-12; 97-767, eff. 7-9-12; 98-104, |
eff. 7-22-13; 98-422, eff. 8-16-13; 98-456, eff. 8-16-13; |
98-534, eff. 8-23-13; revised 9-9-13.)
|
(35 ILCS 110/3-10) (from Ch. 120, par. 439.33-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
|
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the selling
price of tangible personal property transferred as |
an incident to the sale
of service, but, for the purpose of |
computing this tax, in no event shall
the selling price be less |
than the cost price of the property to the
serviceman.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act applies to (i) 70% of the selling price |
of property transferred
as an incident to the sale of service |
on or after January 1, 1990,
and before July 1, 2003, (ii) 80% |
of the selling price of
property transferred as an incident to |
the sale of service on or after July
1, 2003 and on or before |
December 31, 2018, and (iii)
100% of the selling price |
thereafter.
If, at any time, however, the tax under this Act on |
sales of gasohol, as
defined in
the Use Tax Act, is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
|
With respect to biodiesel blends, as defined in the Use Tax |
Act, with no less
than 1% and no
more than 10% biodiesel, the |
tax imposed by this Act
applies to (i) 80% of the selling price |
of property transferred as an incident
to the sale of service |
on or after July 1, 2003 and on or before December 31, 2018
and |
(ii) 100% of the proceeds of the selling price
thereafter.
If, |
at any time, however, the tax under this Act on sales of |
biodiesel blends,
as
defined in the Use Tax Act, with no less |
than 1% and no more than 10% biodiesel
is imposed at the rate |
of 1.25%, then the
tax imposed by this Act applies to 100% of |
the proceeds of sales of biodiesel
blends with no less than 1% |
and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
more than 10% but no more than 99% biodiesel, the tax imposed |
by this Act
does not apply to the proceeds of the selling price |
of property transferred
as an incident to the sale of service |
on or after July 1, 2003 and on or before
December 31, 2018 but |
applies to 100% of the selling price thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
servicemen engaged in graphic arts production, of the aggregate
|
annual total gross receipts from all sales of service, the tax |
|
imposed by
this Act shall be based on the serviceman's cost |
price of the tangible
personal property transferred as an |
incident to the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale of |
service subject
to this Act or the Service Occupation Tax Act |
by an entity licensed under
the Hospital Licensing Act, the |
Nursing Home Care Act, the ID/DD Community Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, or the
|
Child Care
Act of 1969. The tax shall
also be imposed at the |
rate of 1% on food for human consumption that is to be
consumed |
off the premises where it is sold (other than alcoholic |
beverages,
soft drinks, and food that has been prepared for |
immediate consumption and is
not otherwise included in this |
paragraph) and prescription and nonprescription
medicines, |
drugs, medical appliances, modifications to a motor vehicle for |
the
purpose of rendering it usable by a disabled person, and |
insulin, urine testing
materials,
syringes, and needles used by |
diabetics, for
human use. For the purposes of this Section, |
until September 1, 2009: the term "soft drinks" means any
|
complete, finished, ready-to-use, non-alcoholic drink, whether |
carbonated or
not, including but not limited to soda water, |
cola, fruit juice, vegetable
juice, carbonated water, and all |
other preparations commonly known as soft
drinks of whatever |
kind or description that are contained in any closed or
sealed |
bottle, can, carton, or container, regardless of size; but |
|
"soft drinks"
does not include coffee, tea, non-carbonated |
water, infant formula, milk or
milk products as defined in the |
Grade A Pasteurized Milk and Milk Products Act,
or drinks |
containing 50% or more natural fruit or vegetable juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human
consumption that is to |
be consumed off the premises where it is sold" includes
all |
food sold through a vending machine, except soft drinks and |
food products
that are dispensed hot from a vending machine, |
regardless of the location of
the vending machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
|
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or other |
ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 ( the effective date of Public |
Act 98-122) this amendatory Act of the 98th General Assembly , |
"prescription and nonprescription medicines and drugs" |
includes medical cannabis purchased from a registered |
|
dispensing organization under the Compassionate Use of Medical |
Cannabis Pilot Program Act. |
If the property that is acquired from a serviceman is |
acquired outside
Illinois and used outside Illinois before |
being brought to Illinois for use
here and is taxable under |
this Act, the "selling price" on which the tax
is computed |
shall be reduced by an amount that represents a reasonable
|
allowance for depreciation for the period of prior out-of-state |
use.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-636, |
eff. 6-1-12; 98-104, eff. 7-22-13; 98-122, eff. 1-1-14; revised |
8-9-13.) |
(35 ILCS 110/9) (from Ch. 120, par. 439.39) |
Sec. 9. Each serviceman required or authorized to collect |
the tax
herein imposed shall pay to the Department the amount |
of such tax
(except as otherwise provided) at the time when he |
is required to file
his return for the period during which such |
tax was collected, less a
discount of 2.1% prior to January 1, |
1990 and 1.75% on and after January 1,
1990, or $5 per calendar |
year, whichever is greater, which is allowed to
reimburse the |
serviceman for expenses incurred in collecting the tax,
keeping |
records, preparing and filing returns, remitting the tax and
|
supplying data to the Department on request. The Department may |
disallow the discount for servicemen whose certificate of |
registration is revoked at the time the return is filed, but |
|
only if the Department's decision to revoke the certificate of |
registration has become final. A serviceman need not remit
that |
part of any tax collected by him to the extent that he is |
required to
pay and does pay the tax imposed by the Service |
Occupation Tax Act with
respect to his sale of service |
involving the incidental transfer by him of
the same property. |
Except as provided hereinafter in this Section, on or |
before the twentieth
day of each calendar month, such |
serviceman shall file a return for the
preceding calendar month |
in accordance with reasonable Rules and
Regulations to be |
promulgated by the Department. Such return shall be
filed on a |
form prescribed by the Department and shall contain such
|
information as the Department may reasonably require. |
The Department may require returns to be filed on a |
quarterly basis.
If so required, a return for each calendar |
quarter shall be filed on or
before the twentieth day of the |
calendar month following the end of such
calendar quarter. The |
taxpayer shall also file a return with the
Department for each |
of the first two months of each calendar quarter, on or
before |
the twentieth day of the following calendar month, stating: |
1. The name of the seller; |
2. The address of the principal place of business from |
which he engages
in business as a serviceman in this State; |
3. The total amount of taxable receipts received by him |
during the
preceding calendar month, including receipts |
from charge and time sales,
but less all deductions allowed |
|
by law; |
4. The amount of credit provided in Section 2d of this |
Act; |
5. The amount of tax due; |
5-5. The signature of the taxpayer; and |
6. Such other reasonable information as the Department |
may
require. |
If a taxpayer fails to sign a return within 30 days after |
the proper notice
and demand for signature by the Department, |
the return shall be considered
valid and any amount shown to be |
due on the return shall be deemed assessed. |
Beginning October 1, 1993, a taxpayer who has an average |
monthly tax
liability of $150,000 or more shall make all |
payments required by rules of
the Department by electronic |
funds transfer. Beginning October 1, 1994, a
taxpayer who has |
an average monthly tax liability of $100,000 or more shall
make |
all payments required by rules of the Department by electronic |
funds
transfer. Beginning October 1, 1995, a taxpayer who has |
an average monthly
tax liability of $50,000 or more shall make |
all payments required by rules
of the Department by electronic |
funds transfer.
Beginning October 1, 2000, a taxpayer who has |
an annual tax liability of
$200,000 or more shall make all |
payments required by rules of the Department by
electronic |
funds transfer. The term "annual tax liability" shall be the |
sum of
the taxpayer's liabilities under this Act, and under all |
other State and local
occupation and use tax laws administered |
|
by the Department, for the immediately
preceding calendar year.
|
The term "average monthly tax
liability" means the sum of the |
taxpayer's liabilities under this Act, and
under all other |
State and local occupation and use tax laws administered by the
|
Department, for the immediately preceding calendar year |
divided by 12.
Beginning on October 1, 2002, a taxpayer who has |
a tax liability in the
amount set forth in subsection (b) of |
Section 2505-210 of the Department of
Revenue Law shall make |
all payments required by rules of the Department by
electronic |
funds transfer. |
Before August 1 of each year beginning in 1993, the |
Department shall
notify all taxpayers required to make payments |
by electronic funds transfer.
All taxpayers required to make |
payments by electronic funds transfer shall
make those payments |
for a minimum of one year beginning on October 1. |
Any taxpayer not required to make payments by electronic |
funds transfer
may make payments by electronic funds transfer |
with the permission of the
Department. |
All taxpayers required to make payment by electronic funds |
transfer and
any taxpayers authorized to voluntarily make |
payments by electronic funds
transfer shall make those payments |
in the manner authorized by the Department. |
The Department shall adopt such rules as are necessary to |
effectuate a
program of electronic funds transfer and the |
requirements of this Section. |
If the serviceman is otherwise required to file a monthly |
|
return and
if the serviceman's average monthly tax liability to |
the Department
does not exceed $200, the Department may |
authorize his returns to be
filed on a quarter annual basis, |
with the return for January, February
and March of a given year |
being due by April 20 of such year; with the
return for April, |
May and June of a given year being due by July 20 of
such year; |
with the return for July, August and September of a given
year |
being due by October 20 of such year, and with the return for
|
October, November and December of a given year being due by |
January 20
of the following year. |
If the serviceman is otherwise required to file a monthly |
or quarterly
return and if the serviceman's average monthly tax |
liability to the Department
does not exceed $50, the Department |
may authorize his returns to be
filed on an annual basis, with |
the return for a given year being due by
January 20 of the |
following year. |
Such quarter annual and annual returns, as to form and |
substance,
shall be subject to the same requirements as monthly |
returns. |
Notwithstanding any other provision in this Act concerning |
the time
within which a serviceman may file his return, in the |
case of any
serviceman who ceases to engage in a kind of |
business which makes him
responsible for filing returns under |
this Act, such serviceman shall
file a final return under this |
Act with the Department not more than 1
month after |
discontinuing such business. |
|
Where a serviceman collects the tax with respect to the |
selling price of
property which he sells and the purchaser |
thereafter returns such
property and the serviceman refunds the |
selling price thereof to the
purchaser, such serviceman shall |
also refund, to the purchaser, the tax
so collected from the |
purchaser. When filing his return for the period
in which he |
refunds such tax to the purchaser, the serviceman may deduct
|
the amount of the tax so refunded by him to the purchaser from |
any other
Service Use Tax, Service Occupation Tax, retailers' |
occupation tax or
use tax which such serviceman may be required |
to pay or remit to the
Department, as shown by such return, |
provided that the amount of the tax
to be deducted shall |
previously have been remitted to the Department by
such |
serviceman. If the serviceman shall not previously have |
remitted
the amount of such tax to the Department, he shall be |
entitled to no
deduction hereunder upon refunding such tax to |
the purchaser. |
Any serviceman filing a return hereunder shall also include |
the total
tax upon the selling price of tangible personal |
property purchased for use
by him as an incident to a sale of |
service, and such serviceman shall remit
the amount of such tax |
to the Department when filing such return. |
If experience indicates such action to be practicable, the |
Department
may prescribe and furnish a combination or joint |
return which will
enable servicemen, who are required to file |
returns hereunder and also
under the Service Occupation Tax |
|
Act, to furnish all the return
information required by both |
Acts on the one form. |
Where the serviceman has more than one business registered |
with the
Department under separate registration hereunder, |
such serviceman shall
not file each return that is due as a |
single return covering all such
registered businesses, but |
shall file separate returns for each such
registered business. |
Beginning January 1, 1990, each month the Department shall |
pay into
the State and Local Tax Reform Fund, a special fund in |
the State Treasury,
the net revenue realized for the preceding |
month from the 1% tax on sales
of food for human consumption |
which is to be consumed off the premises
where it is sold |
(other than alcoholic beverages, soft drinks and food
which has |
been prepared for immediate consumption) and prescription and
|
nonprescription medicines, drugs, medical appliances and |
insulin, urine
testing materials, syringes and needles used by |
diabetics. |
Beginning January 1, 1990, each month the Department shall |
pay into
the State and Local Sales Tax Reform Fund 20% of the |
net revenue realized
for the preceding month from the 6.25% |
general rate on transfers of
tangible personal property, other |
than tangible personal property which is
purchased outside |
Illinois at retail from a retailer and which is titled or
|
registered by an agency of this State's government. |
Beginning August 1, 2000, each
month the Department shall |
pay into the
State and Local Sales Tax Reform Fund 100% of the |
|
net revenue realized for the
preceding
month from the 1.25% |
rate on the selling price of motor fuel and gasohol. |
Beginning October 1, 2009, each month the Department shall |
pay into the Capital Projects Fund an amount that is equal to |
an amount estimated by the Department to represent 80% of the |
net revenue realized for the preceding month from the sale of |
candy, grooming and hygiene products, and soft drinks that had |
been taxed at a rate of 1% prior to September 1, 2009 but that |
are is now taxed at 6.25%. |
Beginning July 1, 2013, each month the Department shall pay |
into the Underground Storage Tank Fund from the proceeds |
collected under this Act, the Use Tax Act, the Service |
Occupation Tax Act, and the Retailers' Occupation Tax Act an |
amount equal to the average monthly deficit in the Underground |
Storage Tank Fund during the prior year, as certified annually |
by the Illinois Environmental Protection Agency, but the total |
payment into the Underground Storage Tank Fund under this Act, |
the Use Tax Act, the Service Occupation Tax Act, and the |
Retailers' Occupation Tax Act shall not exceed $18,000,000 in |
any State fiscal year. As used in this paragraph, the "average |
monthly deficit" shall be equal to the difference between the |
average monthly claims for payment by the fund and the average |
monthly revenues deposited into the fund, excluding payments |
made pursuant to this paragraph. |
Of the remainder of the moneys received by the Department |
pursuant
to this Act, (a) 1.75% thereof shall be paid into the |
|
Build
Illinois Fund and (b) prior to July 1, 1989, 2.2% and on |
and after July 1,
1989, 3.8% thereof shall be paid into the |
Build Illinois Fund; provided,
however, that if in any fiscal |
year the sum of (1) the aggregate of 2.2% or
3.8%, as the case |
may be, of the moneys received by the Department and
required |
to be paid into the Build Illinois Fund pursuant to Section 3 |
of
the Retailers' Occupation Tax Act, Section 9 of the Use Tax |
Act, Section 9
of the Service Use Tax Act, and Section 9 of the |
Service Occupation Tax
Act, such Acts being hereinafter called |
the "Tax Acts" and such aggregate
of 2.2% or 3.8%, as the case |
may be, of moneys being hereinafter called the
"Tax Act |
Amount", and (2) the amount transferred to the Build Illinois |
Fund
from the State and Local Sales Tax Reform Fund shall be |
less than the
Annual Specified Amount (as defined in Section 3 |
of the Retailers'
Occupation Tax Act), an amount equal to the |
difference shall be immediately
paid into the Build Illinois |
Fund from other moneys received by the
Department pursuant to |
the Tax Acts; and further provided, that if on the
last |
business day of any month the sum of (1) the Tax Act Amount |
required
to be deposited into the Build Illinois Bond Account |
in the Build Illinois
Fund during such month and (2) the amount |
transferred during such month to
the Build Illinois Fund from |
the State and Local Sales Tax Reform Fund
shall have been less |
than 1/12 of the Annual Specified Amount, an amount
equal to |
the difference shall be immediately paid into the Build |
Illinois
Fund from other moneys received by the Department |
|
pursuant to the Tax Acts;
and, further provided, that in no |
event shall the payments required under
the preceding proviso |
result in aggregate payments into the Build Illinois
Fund |
pursuant to this clause (b) for any fiscal year in excess of |
the
greater of (i) the Tax Act Amount or (ii) the Annual |
Specified Amount for
such fiscal year; and, further provided, |
that the amounts payable into the
Build Illinois Fund under |
this clause (b) shall be payable only until such
time as the |
aggregate amount on deposit under each trust indenture securing
|
Bonds issued and outstanding pursuant to the Build Illinois |
Bond Act is
sufficient, taking into account any future |
investment income, to fully
provide, in accordance with such |
indenture, for the defeasance of or the
payment of the |
principal of, premium, if any, and interest on the Bonds
|
secured by such indenture and on any Bonds expected to be |
issued thereafter
and all fees and costs payable with respect |
thereto, all as certified by
the Director of the
Bureau of the |
Budget (now Governor's Office of Management and Budget). If
on |
the last business day of
any month in which Bonds are |
outstanding pursuant to the Build Illinois
Bond Act, the |
aggregate of the moneys deposited in the Build Illinois Bond
|
Account in the Build Illinois Fund in such month shall be less |
than the
amount required to be transferred in such month from |
the Build Illinois
Bond Account to the Build Illinois Bond |
Retirement and Interest Fund
pursuant to Section 13 of the |
Build Illinois Bond Act, an amount equal to
such deficiency |
|
shall be immediately paid from other moneys received by the
|
Department pursuant to the Tax Acts to the Build Illinois Fund; |
provided,
however, that any amounts paid to the Build Illinois |
Fund in any fiscal
year pursuant to this sentence shall be |
deemed to constitute payments
pursuant to clause (b) of the |
preceding sentence and shall reduce the
amount otherwise |
payable for such fiscal year pursuant to clause (b) of the
|
preceding sentence. The moneys received by the Department |
pursuant to this
Act and required to be deposited into the |
Build Illinois Fund are subject
to the pledge, claim and charge |
set forth in Section 12 of the Build Illinois
Bond Act. |
Subject to payment of amounts into the Build Illinois Fund |
as provided in
the preceding paragraph or in any amendment |
thereto hereafter enacted, the
following specified monthly |
installment of the amount requested in the
certificate of the |
Chairman of the Metropolitan Pier and Exposition
Authority |
provided under Section 8.25f of the State Finance Act, but not |
in
excess of the sums designated as "Total Deposit", shall be |
deposited in the
aggregate from collections under Section 9 of |
the Use Tax Act, Section 9 of
the Service Use Tax Act, Section |
9 of the Service Occupation Tax Act, and
Section 3 of the |
Retailers' Occupation Tax Act into the McCormick Place
|
Expansion Project Fund in the specified fiscal years. |
|
Fiscal Year | | Total Deposit | |
1993 | | $0 | |
|
|
1994 | | 53,000,000 | |
1995 | | 58,000,000 | |
1996 | | 61,000,000 | |
1997 | | 64,000,000 | |
1998 | | 68,000,000 | |
1999 | | 71,000,000 | |
2000 | | 75,000,000 | |
2001 | | 80,000,000 | |
2002 | | 93,000,000 | |
2003 | | 99,000,000 | |
2004 | | 103,000,000 | |
2005 | | 108,000,000 | |
2006 | | 113,000,000 | |
2007 | | 119,000,000 | |
2008 | | 126,000,000 | |
2009 | | 132,000,000 | |
2010 | | 139,000,000 | |
2011 | | 146,000,000 | |
2012 | | 153,000,000 | |
2013 | | 161,000,000 | |
2014 | | 170,000,000 | |
2015 | | 179,000,000 | |
2016 | | 189,000,000 | |
2017 | | 199,000,000 | |
2018 | | 210,000,000 | |
2019 | | 221,000,000 | |
|
|
2020 | | 233,000,000 | |
2021 | | 246,000,000 | |
2022 | | 260,000,000 | |
2023 | | 275,000,000 | |
2024 | | 275,000,000 | |
2025 | | 275,000,000 | |
2026 | | 279,000,000 | |
2027 | | 292,000,000 | |
2028 | | 307,000,000 | |
2029 | | 322,000,000 | |
2030 | | 338,000,000 | |
2031 | | 350,000,000 | |
2032 | | 350,000,000 | |
and | | |
|
each fiscal year | | |
|
thereafter that bonds | | |
|
are outstanding under | | |
|
Section 13.2 of the | | |
|
Metropolitan Pier and | | |
|
Exposition Authority Act, | | |
|
but not after fiscal year 2060. | | |
|
Beginning July 20, 1993 and in each month of each fiscal |
year thereafter,
one-eighth of the amount requested in the |
certificate of the Chairman of
the Metropolitan Pier and |
Exposition Authority for that fiscal year, less
the amount |
deposited into the McCormick Place Expansion Project Fund by |
|
the
State Treasurer in the respective month under subsection |
(g) of Section 13
of the Metropolitan Pier and Exposition |
Authority Act, plus cumulative
deficiencies in the deposits |
required under this Section for previous
months and years, |
shall be deposited into the McCormick Place Expansion
Project |
Fund, until the full amount requested for the fiscal year, but |
not
in excess of the amount specified above as "Total Deposit", |
has been deposited. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick Place Expansion Project Fund
pursuant to the |
preceding paragraphs or in any amendments thereto hereafter
|
enacted, beginning July 1, 1993 and ending on September 30, |
2013, the Department shall each month pay into the
Illinois Tax |
Increment Fund 0.27% of 80% of the net revenue realized for the
|
preceding month from the 6.25% general rate on the selling |
price of tangible
personal property. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or
in any
amendments thereto hereafter |
enacted, beginning with the receipt of the first
report of |
taxes paid by an eligible business and continuing for a 25-year
|
period, the Department shall each month pay into the Energy |
Infrastructure
Fund 80% of the net revenue realized from the |
6.25% general rate on the
selling price of Illinois-mined coal |
that was sold to an eligible business.
For purposes of this |
paragraph, the term "eligible business" means a new
electric |
|
generating facility certified pursuant to Section 605-332 of |
the
Department of Commerce and
Economic Opportunity Law of the |
Civil Administrative
Code of Illinois. |
Of the remainder of the moneys received by the Department |
pursuant to this
Act, 75% thereof shall be paid into the |
General Revenue Fund of the State Treasury and 25% shall be |
reserved in a special account and used only for the transfer to |
the Common School Fund as part of the monthly transfer from the |
General Revenue Fund in accordance with Section 8a of the State |
Finance Act. |
As soon as possible after the first day of each month, upon |
certification
of the Department of Revenue, the Comptroller |
shall order transferred and
the Treasurer shall transfer from |
the General Revenue Fund to the Motor
Fuel Tax Fund an amount |
equal to 1.7% of 80% of the net revenue realized
under this Act |
for the second preceding month.
Beginning April 1, 2000, this |
transfer is no longer required
and shall not be made. |
Net revenue realized for a month shall be the revenue |
collected by the State
pursuant to this Act, less the amount |
paid out during that month as refunds
to taxpayers for |
overpayment of liability. |
(Source: P.A. 98-24, eff. 6-19-13; 98-109, eff. 7-25-13; |
98-298, eff. 8-9-13; 98-496, eff. 1-1-14; revised 9-9-13.) |
Section 185. The Service Occupation Tax Act is amended by |
changing Sections 3-5, 3-10, and 9 as follows:
|
|
(35 ILCS 115/3-5)
|
Sec. 3-5. Exemptions. The following tangible personal |
property is
exempt from the tax imposed by this Act:
|
(1) Personal property sold by a corporation, society, |
association,
foundation, institution, or organization, other |
than a limited liability
company, that is organized and |
operated as a not-for-profit service enterprise
for the benefit |
of persons 65 years of age or older if the personal property
|
was not purchased by the enterprise for the purpose of resale |
by the
enterprise.
|
(2) Personal property purchased by a not-for-profit |
Illinois county fair
association for use in conducting, |
operating, or promoting the county fair.
|
(3) Personal property purchased by any not-for-profit
arts |
or cultural organization that establishes, by proof required by |
the
Department by
rule, that it has received an exemption under |
Section 501(c)(3) of the
Internal Revenue Code and that is |
organized and operated primarily for the
presentation
or |
support of arts or cultural programming, activities, or |
services. These
organizations include, but are not limited to, |
music and dramatic arts
organizations such as symphony |
orchestras and theatrical groups, arts and
cultural service |
organizations, local arts councils, visual arts organizations,
|
and media arts organizations.
On and after the effective date |
of this amendatory Act of the 92nd General
Assembly, however, |
|
an entity otherwise eligible for this exemption shall not
make |
tax-free purchases unless it has an active identification |
number issued by
the Department.
|
(4) Legal tender, currency, medallions, or gold or silver |
coinage
issued by the State of Illinois, the government of the |
United States of
America, or the government of any foreign |
country, and bullion.
|
(5) Until July 1, 2003 and beginning again on September 1, |
2004 through August 30, 2014, graphic arts machinery and |
equipment, including
repair and
replacement parts, both new and |
used, and including that manufactured on
special order or |
purchased for lease, certified by the purchaser to be used
|
primarily for graphic arts production.
Equipment includes |
chemicals or chemicals acting as catalysts but only if
the
|
chemicals or chemicals acting as catalysts effect a direct and |
immediate change
upon a graphic arts product.
|
(6) Personal property sold by a teacher-sponsored student |
organization
affiliated with an elementary or secondary school |
located in Illinois.
|
(7) Farm machinery and equipment, both new and used, |
including that
manufactured on special order, certified by the |
purchaser to be used
primarily for production agriculture or |
State or federal agricultural
programs, including individual |
replacement parts for the machinery and
equipment, including |
machinery and equipment purchased for lease,
and including |
implements of husbandry defined in Section 1-130 of
the |
|
Illinois Vehicle Code, farm machinery and agricultural |
chemical and
fertilizer spreaders, and nurse wagons required to |
be registered
under Section 3-809 of the Illinois Vehicle Code,
|
but
excluding other motor vehicles required to be registered |
under the Illinois
Vehicle
Code.
Horticultural polyhouses or |
hoop houses used for propagating, growing, or
overwintering |
plants shall be considered farm machinery and equipment under
|
this item (7).
Agricultural chemical tender tanks and dry boxes |
shall include units sold
separately from a motor vehicle |
required to be licensed and units sold mounted
on a motor |
vehicle required to be licensed if the selling price of the |
tender
is separately stated.
|
Farm machinery and equipment shall include precision |
farming equipment
that is
installed or purchased to be |
installed on farm machinery and equipment
including, but not |
limited to, tractors, harvesters, sprayers, planters,
seeders, |
or spreaders.
Precision farming equipment includes, but is not |
limited to,
soil testing sensors, computers, monitors, |
software, global positioning
and mapping systems, and other |
such equipment.
|
Farm machinery and equipment also includes computers, |
sensors, software, and
related equipment used primarily in the
|
computer-assisted operation of production agriculture |
facilities, equipment,
and activities such as, but
not limited |
to,
the collection, monitoring, and correlation of
animal and |
crop data for the purpose of
formulating animal diets and |
|
agricultural chemicals. This item (7) is exempt
from the |
provisions of
Section 3-55.
|
(8) Until June 30, 2013, fuel and petroleum products sold |
to or used by an air common
carrier, certified by the carrier |
to be used for consumption, shipment,
or storage in the conduct |
of its business as an air common carrier, for
a flight destined |
for or returning from a location or locations
outside the |
United States without regard to previous or subsequent domestic
|
stopovers.
|
Beginning July 1, 2013, fuel and petroleum products sold to |
or used by an air carrier, certified by the carrier to be used |
for consumption, shipment, or storage in the conduct of its |
business as an air common carrier, for a flight that (i) is |
engaged in foreign trade or is engaged in trade between the |
United States and any of its possessions and (ii) transports at |
least one individual or package for hire from the city of |
origination to the city of final destination on the same |
aircraft, without regard to a change in the flight number of |
that aircraft. |
(9) Proceeds of mandatory service charges separately
|
stated on customers' bills for the purchase and consumption of |
food and
beverages, to the extent that the proceeds of the |
service charge are in fact
turned over as tips or as a |
substitute for tips to the employees who
participate directly |
in preparing, serving, hosting or cleaning up the
food or |
beverage function with respect to which the service charge is |
|
imposed.
|
(10) Until July 1, 2003, oil field exploration, drilling, |
and production
equipment,
including (i) rigs and parts of rigs, |
rotary rigs, cable tool
rigs, and workover rigs, (ii) pipe and |
tubular goods, including casing and
drill strings, (iii) pumps |
and pump-jack units, (iv) storage tanks and flow
lines, (v) any |
individual replacement part for oil field exploration,
|
drilling, and production equipment, and (vi) machinery and |
equipment purchased
for lease; but
excluding motor vehicles |
required to be registered under the Illinois
Vehicle Code.
|
(11) Photoprocessing machinery and equipment, including |
repair and
replacement parts, both new and used, including that |
manufactured on
special order, certified by the purchaser to be |
used primarily for
photoprocessing, and including |
photoprocessing machinery and equipment
purchased for lease.
|
(12) Coal and aggregate exploration, mining, off-highway |
offhighway hauling,
processing,
maintenance, and reclamation |
equipment, including
replacement parts and equipment, and |
including
equipment
purchased for lease, but excluding motor |
vehicles required to be registered
under the Illinois Vehicle |
Code. The changes made to this Section by Public Act 97-767 |
apply on and after July 1, 2003, but no claim for credit or |
refund is allowed on or after August 16, 2013 ( the effective |
date of Public Act 98-456) this amendatory Act of the 98th |
General Assembly
for such taxes paid during the period |
beginning July 1, 2003 and ending on August 16, 2013 ( the |
|
effective date of Public Act 98-456) this amendatory Act of the |
98th General Assembly .
|
(13) Beginning January 1, 1992 and through June 30, 2016, |
food for human consumption that is to be consumed off the |
premises
where it is sold (other than alcoholic beverages, soft |
drinks and food that
has been prepared for immediate |
consumption) and prescription and
non-prescription medicines, |
drugs, medical appliances, and insulin, urine
testing |
materials, syringes, and needles used by diabetics, for human |
use,
when purchased for use by a person receiving medical |
assistance under
Article V of the Illinois Public Aid Code who |
resides in a licensed
long-term care facility, as defined in |
the Nursing Home Care Act, or in a licensed facility as defined |
in the ID/DD Community Care Act or the Specialized Mental |
Health Rehabilitation Act of 2013.
|
(14) Semen used for artificial insemination of livestock |
for direct
agricultural production.
|
(15) Horses, or interests in horses, registered with and |
meeting the
requirements of any of the
Arabian Horse Club |
Registry of America, Appaloosa Horse Club, American Quarter
|
Horse Association, United States
Trotting Association, or |
Jockey Club, as appropriate, used for
purposes of breeding or |
racing for prizes. This item (15) is exempt from the provisions |
of Section 3-55, and the exemption provided for under this item |
(15) applies for all periods beginning May 30, 1995, but no |
claim for credit or refund is allowed on or after January 1, |
|
2008 (the effective date of Public Act 95-88)
for such taxes |
paid during the period beginning May 30, 2000 and ending on |
January 1, 2008 (the effective date of Public Act 95-88).
|
(16) Computers and communications equipment utilized for |
any
hospital
purpose
and equipment used in the diagnosis,
|
analysis, or treatment of hospital patients sold to a lessor |
who leases the
equipment, under a lease of one year or longer |
executed or in effect at the
time of the purchase, to a
|
hospital
that has been issued an active tax exemption |
identification number by the
Department under Section 1g of the |
Retailers' Occupation Tax Act.
|
(17) Personal property sold to a lessor who leases the
|
property, under a
lease of one year or longer executed or in |
effect at the time of the purchase,
to a governmental body
that |
has been issued an active tax exemption identification number |
by the
Department under Section 1g of the Retailers' Occupation |
Tax Act.
|
(18) Beginning with taxable years ending on or after |
December
31, 1995
and
ending with taxable years ending on or |
before December 31, 2004,
personal property that is
donated for |
disaster relief to be used in a State or federally declared
|
disaster area in Illinois or bordering Illinois by a |
manufacturer or retailer
that is registered in this State to a |
corporation, society, association,
foundation, or institution |
that has been issued a sales tax exemption
identification |
number by the Department that assists victims of the disaster
|
|
who reside within the declared disaster area.
|
(19) Beginning with taxable years ending on or after |
December
31, 1995 and
ending with taxable years ending on or |
before December 31, 2004, personal
property that is used in the |
performance of infrastructure repairs in this
State, including |
but not limited to municipal roads and streets, access roads,
|
bridges, sidewalks, waste disposal systems, water and sewer |
line extensions,
water distribution and purification |
facilities, storm water drainage and
retention facilities, and |
sewage treatment facilities, resulting from a State
or |
federally declared disaster in Illinois or bordering Illinois |
when such
repairs are initiated on facilities located in the |
declared disaster area
within 6 months after the disaster.
|
(20) Beginning July 1, 1999, game or game birds sold at a |
"game breeding
and
hunting preserve area" as that term is used
|
in the
Wildlife Code. This paragraph is exempt from the |
provisions
of
Section 3-55.
|
(21) A motor vehicle, as that term is defined in Section |
1-146
of the
Illinois Vehicle Code, that is donated to a |
corporation, limited liability
company, society, association, |
foundation, or institution that is determined by
the Department |
to be organized and operated exclusively for educational
|
purposes. For purposes of this exemption, "a corporation, |
limited liability
company, society, association, foundation, |
or institution organized and
operated
exclusively for |
educational purposes" means all tax-supported public schools,
|
|
private schools that offer systematic instruction in useful |
branches of
learning by methods common to public schools and |
that compare favorably in
their scope and intensity with the |
course of study presented in tax-supported
schools, and |
vocational or technical schools or institutes organized and
|
operated exclusively to provide a course of study of not less |
than 6 weeks
duration and designed to prepare individuals to |
follow a trade or to pursue a
manual, technical, mechanical, |
industrial, business, or commercial
occupation.
|
(22) Beginning January 1, 2000, personal property, |
including
food,
purchased through fundraising
events for the |
benefit of
a public or private elementary or
secondary school, |
a group of those schools, or one or more school
districts if |
the events are
sponsored by an entity recognized by the school |
district that consists
primarily of volunteers and includes
|
parents and teachers of the school children. This paragraph |
does not apply
to fundraising
events (i) for the benefit of |
private home instruction or (ii)
for which the fundraising |
entity purchases the personal property sold at
the events from |
another individual or entity that sold the property for the
|
purpose of resale by the fundraising entity and that
profits |
from the sale to the
fundraising entity. This paragraph is |
exempt
from the provisions
of Section 3-55.
|
(23) Beginning January 1, 2000
and through December 31, |
2001, new or used automatic vending
machines that prepare and |
serve hot food and beverages, including coffee, soup,
and
other |
|
items, and replacement parts for these machines.
Beginning |
January 1,
2002 and through June 30, 2003, machines and parts |
for
machines used in commercial, coin-operated amusement
and |
vending business if a use or occupation tax is paid on the |
gross receipts
derived from
the use of the commercial, |
coin-operated amusement and vending machines.
This paragraph |
is exempt from the provisions of Section 3-55.
|
(24) Beginning
on the effective date of this amendatory Act |
of the 92nd General Assembly,
computers and communications |
equipment
utilized for any hospital purpose and equipment used |
in the diagnosis,
analysis, or treatment of hospital patients |
sold to a lessor who leases the
equipment, under a lease of one |
year or longer executed or in effect at the
time of the |
purchase, to a hospital that has been issued an active tax
|
exemption identification number by the Department under |
Section 1g of the
Retailers' Occupation Tax Act. This paragraph |
is exempt from the provisions of
Section 3-55.
|
(25) Beginning
on the effective date of this amendatory Act |
of the 92nd General Assembly,
personal property sold to a |
lessor who
leases the property, under a lease of one year or |
longer executed or in effect
at the time of the purchase, to a |
governmental body that has been issued an
active tax exemption |
identification number by the Department under Section 1g
of the |
Retailers' Occupation Tax Act. This paragraph is exempt from |
the
provisions of Section 3-55.
|
(26) Beginning on January 1, 2002 and through June 30, |
|
2016, tangible personal property
purchased
from an Illinois |
retailer by a taxpayer engaged in centralized purchasing
|
activities in Illinois who will, upon receipt of the property |
in Illinois,
temporarily store the property in Illinois (i) for |
the purpose of subsequently
transporting it outside this State |
for use or consumption thereafter solely
outside this State or |
(ii) for the purpose of being processed, fabricated, or
|
manufactured into, attached to, or incorporated into other |
tangible personal
property to be transported outside this State |
and thereafter used or consumed
solely outside this State. The |
Director of Revenue shall, pursuant to rules
adopted in |
accordance with the Illinois Administrative Procedure Act, |
issue a
permit to any taxpayer in good standing with the |
Department who is eligible for
the exemption under this |
paragraph (26). The permit issued under
this paragraph (26) |
shall authorize the holder, to the extent and
in the manner |
specified in the rules adopted under this Act, to purchase
|
tangible personal property from a retailer exempt from the |
taxes imposed by
this Act. Taxpayers shall maintain all |
necessary books and records to
substantiate the use and |
consumption of all such tangible personal property
outside of |
the State of Illinois.
|
(27) Beginning January 1, 2008, tangible personal property |
used in the construction or maintenance of a community water |
supply, as defined under Section 3.145 of the Environmental |
Protection Act, that is operated by a not-for-profit |
|
corporation that holds a valid water supply permit issued under |
Title IV of the Environmental Protection Act. This paragraph is |
exempt from the provisions of Section 3-55.
|
(28) Tangible personal property sold to a |
public-facilities corporation, as described in Section |
11-65-10 of the Illinois Municipal Code, for purposes of |
constructing or furnishing a municipal convention hall, but |
only if the legal title to the municipal convention hall is |
transferred to the municipality without any further |
consideration by or on behalf of the municipality at the time |
of the completion of the municipal convention hall or upon the |
retirement or redemption of any bonds or other debt instruments |
issued by the public-facilities corporation in connection with |
the development of the municipal convention hall. This |
exemption includes existing public-facilities corporations as |
provided in Section 11-65-25 of the Illinois Municipal Code. |
This paragraph is exempt from the provisions of Section 3-55. |
(29) Beginning January 1, 2010, materials, parts, |
equipment, components, and furnishings incorporated into or |
upon an aircraft as part of the modification, refurbishment, |
completion, replacement, repair, or maintenance of the |
aircraft. This exemption includes consumable supplies used in |
the modification, refurbishment, completion, replacement, |
repair, and maintenance of aircraft, but excludes any |
materials, parts, equipment, components, and consumable |
supplies used in the modification, replacement, repair, and |
|
maintenance of aircraft engines or power plants, whether such |
engines or power plants are installed or uninstalled upon any |
such aircraft. "Consumable supplies" include, but are not |
limited to, adhesive, tape, sandpaper, general purpose |
lubricants, cleaning solution, latex gloves, and protective |
films. This exemption applies only to the transfer of |
qualifying tangible personal property incident to the |
modification, refurbishment, completion, replacement, repair, |
or maintenance of an aircraft by persons who (i) hold an Air |
Agency Certificate and are empowered to operate an approved |
repair station by the Federal Aviation Administration, (ii) |
have a Class IV Rating, and (iii) conduct operations in |
accordance with Part 145 of the Federal Aviation Regulations. |
The exemption does not include aircraft operated by a |
commercial air carrier providing scheduled passenger air |
service pursuant to authority issued under Part 121 or Part 129 |
of the Federal Aviation Regulations. The changes made to this |
paragraph (29) by Public Act 98-534 this amendatory Act of the |
98th General Assembly are declarative of existing law. |
(Source: P.A. 97-38, eff. 6-28-11; 97-73, eff. 6-30-11; 97-227, |
eff. 1-1-12; 97-431, eff. 8-16-11; 97-636, eff. 6-1-12; 97-767, |
eff. 7-9-12; 98-104, eff. 7-22-13; 98-422, eff. 8-16-13; |
98-456, eff. 8-16-13; 98-534, eff. 8-23-13; revised 9-9-13.)
|
(35 ILCS 115/3-10) (from Ch. 120, par. 439.103-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
|
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the "selling price",
as defined in Section 2 of the Service Use |
Tax Act, of the tangible
personal property. For the purpose of |
computing this tax, in no event
shall the "selling price" be |
less than the cost price to the serviceman of
the tangible |
personal property transferred. The selling price of each item
|
of tangible personal property transferred as an incident of a |
sale of
service may be shown as a distinct and separate item on |
the serviceman's
billing to the service customer. If the |
selling price is not so shown, the
selling price of the |
tangible personal property is deemed to be 50% of the
|
serviceman's entire billing to the service customer. When, |
however, a
serviceman contracts to design, develop, and produce |
special order machinery or
equipment, the tax imposed by this |
Act shall be based on the serviceman's
cost price of the |
tangible personal property transferred incident to the
|
completion of the contract.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act shall apply to (i) 70% of the cost |
price of property
transferred as
an incident to the sale of |
service on or after January 1, 1990, and before
July 1, 2003, |
(ii) 80% of the selling price of property transferred as an
|
|
incident to the sale of service on or after July
1, 2003 and on |
or before December 31, 2018, and (iii) 100%
of
the cost price
|
thereafter.
If, at any time, however, the tax under this Act on |
sales of gasohol, as
defined in
the Use Tax Act, is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
With respect to biodiesel blends, as defined in the Use Tax |
Act, with no less
than 1% and no
more than 10% biodiesel, the |
tax imposed by this Act
applies to (i) 80% of the selling price |
of property transferred as an incident
to the sale of service |
on or after July 1, 2003 and on or before December 31, 2018
and |
(ii) 100% of the proceeds of the selling price
thereafter.
If, |
at any time, however, the tax under this Act on sales of |
biodiesel blends,
as
defined in the Use Tax Act, with no less |
than 1% and no more than 10% biodiesel
is imposed at the rate |
of 1.25%, then the
tax imposed by this Act applies to 100% of |
the proceeds of sales of biodiesel
blends with no less than 1% |
and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
|
more than 10% but no more than 99% biodiesel material, the tax |
imposed by this
Act
does not apply to the proceeds of the |
selling price of property transferred
as an incident to the |
sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
servicemen engaged in graphic arts production, of the aggregate
|
annual total gross receipts from all sales of service, the tax |
imposed by
this Act shall be based on the serviceman's cost |
price of the tangible
personal property transferred incident to |
the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale of |
service subject
to this Act or the Service Occupation Tax Act |
by an entity licensed under
the Hospital Licensing Act, the |
Nursing Home Care Act, the ID/DD Community Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, or the
|
Child Care Act of 1969. The tax shall
also be imposed at the |
rate of 1% on food for human consumption that is
to be consumed |
off the
premises where it is sold (other than alcoholic |
beverages, soft drinks, and
food that has been prepared for |
|
immediate consumption and is not
otherwise included in this |
paragraph) and prescription and
nonprescription medicines, |
drugs, medical appliances, modifications to a motor
vehicle for |
the purpose of rendering it usable by a disabled person, and
|
insulin, urine testing materials, syringes, and needles used by |
diabetics, for
human use. For the purposes of this Section, |
until September 1, 2009: the term "soft drinks" means any
|
complete, finished, ready-to-use, non-alcoholic drink, whether |
carbonated or
not, including but not limited to soda water, |
cola, fruit juice, vegetable
juice, carbonated water, and all |
other preparations commonly known as soft
drinks of whatever |
kind or description that are contained in any closed or
sealed |
can, carton, or container, regardless of size; but "soft |
drinks" does not
include coffee, tea, non-carbonated water, |
infant formula, milk or milk
products as defined in the Grade A |
Pasteurized Milk and Milk Products Act, or
drinks containing |
50% or more natural fruit or vegetable juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human consumption
that is to |
be consumed off the premises where it is sold" includes all |
|
food
sold through a vending machine, except soft drinks and |
food products that are
dispensed hot from a vending machine, |
regardless of the location of the vending
machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or other |
ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
|
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 ( the effective date of Public |
Act 98-122) this amendatory Act of the 98th General Assembly , |
"prescription and nonprescription medicines and drugs" |
includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Pilot Program Act. |
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-636, |
eff. 6-1-12; 98-104, eff. 7-22-13; 98-122, eff. 1-1-14; revised |
8-9-13.) |
(35 ILCS 115/9) (from Ch. 120, par. 439.109) |
Sec. 9. Each serviceman required or authorized to collect |
the tax
herein imposed shall pay to the Department the amount |
of such tax at the
time when he is required to file his return |
for the period during which
such tax was collectible, less a |
discount of 2.1% prior to
January 1, 1990, and 1.75% on and |
after January 1, 1990, or
$5 per calendar year, whichever is |
|
greater, which is allowed to reimburse
the serviceman for |
expenses incurred in collecting the tax, keeping
records, |
preparing and filing returns, remitting the tax and supplying |
data
to the Department on request. The Department may disallow |
the discount for servicemen whose certificate of registration |
is revoked at the time the return is filed, but only if the |
Department's decision to revoke the certificate of |
registration has become final. |
Where such tangible personal property is sold under a |
conditional
sales contract, or under any other form of sale |
wherein the payment of
the principal sum, or a part thereof, is |
extended beyond the close of
the period for which the return is |
filed, the serviceman, in collecting
the tax may collect, for |
each tax return period, only the tax applicable
to the part of |
the selling price actually received during such tax return
|
period. |
Except as provided hereinafter in this Section, on or |
before the twentieth
day of each calendar month, such |
serviceman shall file a
return for the preceding calendar month |
in accordance with reasonable
rules and regulations to be |
promulgated by the Department of Revenue.
Such return shall be |
filed on a form prescribed by the Department and
shall contain |
such information as the Department may reasonably require. |
The Department may require returns to be filed on a |
quarterly basis.
If so required, a return for each calendar |
quarter shall be filed on or
before the twentieth day of the |
|
calendar month following the end of such
calendar quarter. The |
taxpayer shall also file a return with the
Department for each |
of the first two months of each calendar quarter, on or
before |
the twentieth day of the following calendar month, stating: |
1. The name of the seller; |
2. The address of the principal place of business from |
which he engages
in business as a serviceman in this State; |
3. The total amount of taxable receipts received by him |
during the
preceding calendar month, including receipts |
from charge and time sales,
but less all deductions allowed |
by law; |
4. The amount of credit provided in Section 2d of this |
Act; |
5. The amount of tax due; |
5-5. The signature of the taxpayer; and |
6. Such other reasonable information as the Department |
may
require. |
If a taxpayer fails to sign a return within 30 days after |
the proper notice
and demand for signature by the Department, |
the return shall be considered
valid and any amount shown to be |
due on the return shall be deemed assessed. |
Prior to October 1, 2003, and on and after September 1, |
2004 a serviceman may accept a Manufacturer's
Purchase Credit |
certification
from a purchaser in satisfaction
of Service Use |
Tax as provided in Section 3-70 of the
Service Use Tax Act if |
the purchaser provides
the
appropriate
documentation as |
|
required by Section 3-70 of the Service Use Tax Act.
A |
Manufacturer's Purchase Credit certification, accepted prior |
to October 1,
2003 or on or after September 1, 2004 by a |
serviceman as
provided in Section 3-70 of the Service Use Tax |
Act, may be used by that
serviceman to satisfy Service |
Occupation Tax liability in the amount claimed in
the |
certification, not to exceed 6.25% of the receipts subject to |
tax from a
qualifying purchase. A Manufacturer's Purchase |
Credit reported on any
original or amended return
filed under
|
this Act after October 20, 2003 for reporting periods prior to |
September 1, 2004 shall be disallowed. Manufacturer's Purchase |
Credit reported on annual returns due on or after January 1, |
2005 will be disallowed for periods prior to September 1, 2004.
|
No Manufacturer's
Purchase Credit may be used after September |
30, 2003 through August 31, 2004 to
satisfy any
tax liability |
imposed under this Act, including any audit liability. |
If the serviceman's average monthly tax liability to
the |
Department does not exceed $200, the Department may authorize |
his
returns to be filed on a quarter annual basis, with the |
return for
January, February and March of a given year being |
due by April 20 of
such year; with the return for April, May |
and June of a given year being
due by July 20 of such year; with |
the return for July, August and
September of a given year being |
due by October 20 of such year, and with
the return for |
October, November and December of a given year being due
by |
January 20 of the following year. |
|
If the serviceman's average monthly tax liability to
the |
Department does not exceed $50, the Department may authorize |
his
returns to be filed on an annual basis, with the return for |
a given year
being due by January 20 of the following year. |
Such quarter annual and annual returns, as to form and |
substance,
shall be subject to the same requirements as monthly |
returns. |
Notwithstanding any other provision in this Act concerning |
the time within
which a serviceman may file his return, in the |
case of any serviceman who
ceases to engage in a kind of |
business which makes him responsible for filing
returns under |
this Act, such serviceman shall file a final return under this
|
Act with the Department not more than 1 month after |
discontinuing such
business. |
Beginning October 1, 1993, a taxpayer who has an average |
monthly tax
liability of $150,000 or more shall make all |
payments required by rules of the
Department by electronic |
funds transfer. Beginning October 1, 1994, a taxpayer
who has |
an average monthly tax liability of $100,000 or more shall make |
all
payments required by rules of the Department by electronic |
funds transfer.
Beginning October 1, 1995, a taxpayer who has |
an average monthly tax liability
of $50,000 or more shall make |
all payments required by rules of the Department
by electronic |
funds transfer. Beginning October 1, 2000, a taxpayer who has
|
an annual tax liability of $200,000 or more shall make all |
payments required by
rules of the Department by electronic |
|
funds transfer. The term "annual tax
liability" shall be the |
sum of the taxpayer's liabilities under this Act, and
under all |
other State and local occupation and use tax laws administered |
by the
Department, for the immediately preceding calendar year. |
The term "average
monthly tax liability" means
the sum of the |
taxpayer's liabilities under this Act, and under all other |
State
and local occupation and use tax laws administered by the |
Department, for the
immediately preceding calendar year |
divided by 12.
Beginning on October 1, 2002, a taxpayer who has |
a tax liability in the
amount set forth in subsection (b) of |
Section 2505-210 of the Department of
Revenue Law shall make |
all payments required by rules of the Department by
electronic |
funds transfer. |
Before August 1 of each year beginning in 1993, the |
Department shall
notify all taxpayers required to make payments |
by electronic funds transfer.
All taxpayers required to make |
payments by electronic funds transfer shall make
those payments |
for a minimum of one year beginning on October 1. |
Any taxpayer not required to make payments by electronic |
funds transfer may
make payments by electronic funds transfer |
with the
permission of the Department. |
All taxpayers required to make payment by electronic funds |
transfer and
any taxpayers authorized to voluntarily make |
payments by electronic funds
transfer shall make those payments |
in the manner authorized by the Department. |
The Department shall adopt such rules as are necessary to |
|
effectuate a
program of electronic funds transfer and the |
requirements of this Section. |
Where a serviceman collects the tax with respect to the |
selling price of
tangible personal property which he sells and |
the purchaser thereafter returns
such tangible personal |
property and the serviceman refunds the
selling price thereof |
to the purchaser, such serviceman shall also refund,
to the |
purchaser, the tax so collected from the purchaser. When
filing |
his return for the period in which he refunds such tax to the
|
purchaser, the serviceman may deduct the amount of the tax so |
refunded by
him to the purchaser from any other Service |
Occupation Tax, Service Use
Tax, Retailers' Occupation Tax or |
Use Tax which such serviceman may be
required to pay or remit |
to the Department, as shown by such return,
provided that the |
amount of the tax to be deducted shall previously have
been |
remitted to the Department by such serviceman. If the |
serviceman shall
not previously have remitted the amount of |
such tax to the Department,
he shall be entitled to no |
deduction hereunder upon refunding such tax
to the purchaser. |
If experience indicates such action to be practicable, the |
Department
may prescribe and furnish a combination or joint |
return which will
enable servicemen, who are required to file |
returns
hereunder and also under the Retailers' Occupation Tax |
Act, the Use
Tax Act or the Service Use Tax Act, to furnish all |
the return
information required by all said Acts on the one |
form. |
|
Where the serviceman has more than one business
registered |
with the Department under separate registrations hereunder,
|
such serviceman shall file separate returns for each
registered |
business. |
Beginning January 1, 1990, each month the Department shall |
pay into
the Local Government Tax Fund the revenue realized for |
the
preceding month from the 1% tax on sales of food for human |
consumption
which is to be consumed off the premises where it |
is sold (other than
alcoholic beverages, soft drinks and food |
which has been prepared for
immediate consumption) and |
prescription and nonprescription medicines,
drugs, medical |
appliances and insulin, urine testing materials, syringes
and |
needles used by diabetics. |
Beginning January 1, 1990, each month the Department shall |
pay into
the County and Mass Transit District Fund 4% of the |
revenue realized
for the preceding month from the 6.25% general |
rate. |
Beginning August 1, 2000, each
month the Department shall |
pay into the
County and Mass Transit District Fund 20% of the |
net revenue realized for the
preceding month from the 1.25% |
rate on the selling price of motor fuel and
gasohol. |
Beginning January 1, 1990, each month the Department shall |
pay into
the Local Government Tax Fund 16% of the revenue |
realized for the
preceding month from the 6.25% general rate on |
transfers of
tangible personal property. |
Beginning August 1, 2000, each
month the Department shall |
|
pay into the
Local Government Tax Fund 80% of the net revenue |
realized for the preceding
month from the 1.25% rate on the |
selling price of motor fuel and gasohol. |
Beginning October 1, 2009, each month the Department shall |
pay into the Capital Projects Fund an amount that is equal to |
an amount estimated by the Department to represent 80% of the |
net revenue realized for the preceding month from the sale of |
candy, grooming and hygiene products, and soft drinks that had |
been taxed at a rate of 1% prior to September 1, 2009 but that |
are is now taxed at 6.25%. |
Beginning July 1, 2013, each month the Department shall pay |
into the Underground Storage Tank Fund from the proceeds |
collected under this Act, the Use Tax Act, the Service Use Tax |
Act, and the Retailers' Occupation Tax Act an amount equal to |
the average monthly deficit in the Underground Storage Tank |
Fund during the prior year, as certified annually by the |
Illinois Environmental Protection Agency, but the total |
payment into the Underground Storage Tank Fund under this Act, |
the Use Tax Act, the Service Use Tax Act, and the Retailers' |
Occupation Tax Act shall not exceed $18,000,000 in any State |
fiscal year. As used in this paragraph, the "average monthly |
deficit" shall be equal to the difference between the average |
monthly claims for payment by the fund and the average monthly |
revenues deposited into the fund, excluding payments made |
pursuant to this paragraph. |
Of the remainder of the moneys received by the Department |
|
pursuant to
this Act, (a) 1.75% thereof shall be paid into the |
Build Illinois Fund and
(b) prior to July 1, 1989, 2.2% and on |
and after July 1, 1989, 3.8% thereof
shall be paid into the |
Build Illinois Fund; provided, however, that if in
any fiscal |
year the sum of (1) the aggregate of 2.2% or 3.8%, as the case
|
may be, of the moneys received by the Department and required |
to be paid
into the Build Illinois Fund pursuant to Section 3 |
of the Retailers'
Occupation Tax Act, Section 9 of the Use Tax |
Act, Section 9 of the Service
Use Tax Act, and Section 9 of the |
Service Occupation Tax Act, such Acts
being hereinafter called |
the "Tax Acts" and such aggregate of 2.2% or 3.8%,
as the case |
may be, of moneys being hereinafter called the "Tax Act
|
Amount", and (2) the amount transferred to the Build Illinois |
Fund from the
State and Local Sales Tax Reform Fund shall be |
less than the Annual
Specified Amount (as defined in Section 3 |
of the Retailers' Occupation Tax
Act), an amount equal to the |
difference shall be immediately paid into the
Build Illinois |
Fund from other moneys received by the Department pursuant
to |
the Tax Acts; and further provided, that if on the last |
business day of
any month the sum of (1) the Tax Act Amount |
required to be deposited into
the Build Illinois Account in the |
Build Illinois Fund during such month and
(2) the amount |
transferred during such month to the Build Illinois Fund
from |
the State and Local Sales Tax Reform Fund shall have been less |
than
1/12 of the Annual Specified Amount, an amount equal to |
the difference
shall be immediately paid into the Build |
|
Illinois Fund from other moneys
received by the Department |
pursuant to the Tax Acts; and, further provided,
that in no |
event shall the payments required under the preceding proviso
|
result in aggregate payments into the Build Illinois Fund |
pursuant to this
clause (b) for any fiscal year in excess of |
the greater of (i) the Tax Act
Amount or (ii) the Annual |
Specified Amount for such fiscal year; and,
further provided, |
that the amounts payable into the Build Illinois Fund
under |
this clause (b) shall be payable only until such time as the
|
aggregate amount on deposit under each trust indenture securing |
Bonds
issued and outstanding pursuant to the Build Illinois |
Bond Act is
sufficient, taking into account any future |
investment income, to fully
provide, in accordance with such |
indenture, for the defeasance of or the
payment of the |
principal of, premium, if any, and interest on the Bonds
|
secured by such indenture and on any Bonds expected to be |
issued thereafter
and all fees and costs payable with respect |
thereto, all as certified by
the Director of the
Bureau of the |
Budget (now Governor's Office of Management and Budget). If
on |
the last business day of
any month in which Bonds are |
outstanding pursuant to the Build Illinois
Bond Act, the |
aggregate of the moneys deposited
in the Build Illinois Bond |
Account in the Build Illinois Fund in such month
shall be less |
than the amount required to be transferred in such month from
|
the Build Illinois Bond Account to the Build Illinois Bond |
Retirement and
Interest Fund pursuant to Section 13 of the |
|
Build Illinois Bond Act, an
amount equal to such deficiency |
shall be immediately paid
from other moneys received by the |
Department pursuant to the Tax Acts
to the Build Illinois Fund; |
provided, however, that any amounts paid to the
Build Illinois |
Fund in any fiscal year pursuant to this sentence shall be
|
deemed to constitute payments pursuant to clause (b) of the |
preceding
sentence and shall reduce the amount otherwise |
payable for such fiscal year
pursuant to clause (b) of the |
preceding sentence. The moneys received by
the Department |
pursuant to this Act and required to be deposited into the
|
Build Illinois Fund are subject to the pledge, claim and charge |
set forth
in Section 12 of the Build Illinois Bond Act. |
Subject to payment of amounts into the Build Illinois Fund |
as provided in
the preceding paragraph or in any amendment |
thereto hereafter enacted, the
following specified monthly |
installment of the amount requested in the
certificate of the |
Chairman of the Metropolitan Pier and Exposition
Authority |
provided under Section 8.25f of the State Finance Act, but not |
in
excess of the sums designated as "Total Deposit", shall be |
deposited in the
aggregate from collections under Section 9 of |
the Use Tax Act, Section 9 of
the Service Use Tax Act, Section |
9 of the Service Occupation Tax Act, and
Section 3 of the |
Retailers' Occupation Tax Act into the McCormick Place
|
Expansion Project Fund in the specified fiscal years. |
|
|
1993 | | $0 | |
1994 | | 53,000,000 | |
1995 | | 58,000,000 | |
1996 | | 61,000,000 | |
1997 | | 64,000,000 | |
1998 | | 68,000,000 | |
1999 | | 71,000,000 | |
2000 | | 75,000,000 | |
2001 | | 80,000,000 | |
2002 | | 93,000,000 | |
2003 | | 99,000,000 | |
2004 | | 103,000,000 | |
2005 | | 108,000,000 | |
2006 | | 113,000,000 | |
2007 | | 119,000,000 | |
2008 | | 126,000,000 | |
2009 | | 132,000,000 | |
2010 | | 139,000,000 | |
2011 | | 146,000,000 | |
2012 | | 153,000,000 | |
2013 | | 161,000,000 | |
2014 | | 170,000,000 | |
2015 | | 179,000,000 | |
2016 | | 189,000,000 | |
2017 | | 199,000,000 | |
2018 | | 210,000,000 | |
|
|
2019 | | 221,000,000 | |
2020 | | 233,000,000 | |
2021 | | 246,000,000 | |
2022 | | 260,000,000 | |
2023 | | 275,000,000 | |
2024 | | 275,000,000 | |
2025 | | 275,000,000 | |
2026 | | 279,000,000 | |
2027 | | 292,000,000 | |
2028 | | 307,000,000 | |
2029 | | 322,000,000 | |
2030 | | 338,000,000 | |
2031 | | 350,000,000 | |
2032 | | 350,000,000 | |
and | | |
|
each fiscal year | | |
|
thereafter that bonds | | |
|
are outstanding under | | |
|
Section 13.2 of the | | |
|
Metropolitan Pier and | | |
|
Exposition Authority Act, | | |
|
but not after fiscal year 2060. | | |
|
Beginning July 20, 1993 and in each month of each fiscal |
year thereafter,
one-eighth of the amount requested in the |
certificate of the Chairman of
the Metropolitan Pier and |
Exposition Authority for that fiscal year, less
the amount |
|
deposited into the McCormick Place Expansion Project Fund by |
the
State Treasurer in the respective month under subsection |
(g) of Section 13
of the Metropolitan Pier and Exposition |
Authority Act, plus cumulative
deficiencies in the deposits |
required under this Section for previous
months and years, |
shall be deposited into the McCormick Place Expansion
Project |
Fund, until the full amount requested for the fiscal year, but |
not
in excess of the amount specified above as "Total Deposit", |
has been deposited. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick
Place Expansion Project Fund
pursuant to the |
preceding paragraphs or in any amendments thereto hereafter
|
enacted, beginning July 1, 1993 and ending on September 30, |
2013, the Department shall each month pay into the
Illinois Tax |
Increment Fund 0.27% of 80% of the net revenue realized for the
|
preceding month from the 6.25% general rate on the selling |
price of tangible
personal property. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or in any
amendments thereto hereafter |
enacted, beginning with the receipt of the first
report of |
taxes paid by an eligible business and continuing for a 25-year
|
period, the Department shall each month pay into the Energy |
Infrastructure
Fund 80% of the net revenue realized from the |
6.25% general rate on the
selling price of Illinois-mined coal |
that was sold to an eligible business.
For purposes of this |
|
paragraph, the term "eligible business" means a new
electric |
generating facility certified pursuant to Section 605-332 of |
the
Department of Commerce and
Economic Opportunity Law of the |
Civil Administrative
Code of Illinois. |
Of the remainder of the moneys received by the Department |
pursuant to this
Act, 75% shall be paid into the General |
Revenue Fund of the State Treasury and 25% shall be reserved in |
a special account and used only for the transfer to the Common |
School Fund as part of the monthly transfer from the General |
Revenue Fund in accordance with Section 8a of the State Finance |
Act. |
The Department may, upon separate written notice to a |
taxpayer,
require the taxpayer to prepare and file with the |
Department on a form
prescribed by the Department within not |
less than 60 days after receipt
of the notice an annual |
information return for the tax year specified in
the notice. |
Such annual return to the Department shall include a
statement |
of gross receipts as shown by the taxpayer's last Federal |
income
tax return. If the total receipts of the business as |
reported in the
Federal income tax return do not agree with the |
gross receipts reported to
the Department of Revenue for the |
same period, the taxpayer shall attach
to his annual return a |
schedule showing a reconciliation of the 2
amounts and the |
reasons for the difference. The taxpayer's annual
return to the |
Department shall also disclose the cost of goods sold by
the |
taxpayer during the year covered by such return, opening and |
|
closing
inventories of such goods for such year, cost of goods |
used from stock
or taken from stock and given away by the |
taxpayer during such year, pay
roll information of the |
taxpayer's business during such year and any
additional |
reasonable information which the Department deems would be
|
helpful in determining the accuracy of the monthly, quarterly |
or annual
returns filed by such taxpayer as hereinbefore |
provided for in this
Section. |
If the annual information return required by this Section |
is not
filed when and as required, the taxpayer shall be liable |
as follows: |
(i) Until January 1, 1994, the taxpayer shall be liable
|
for a penalty equal to 1/6 of 1% of the tax due from such |
taxpayer
under this Act during the period to be covered by |
the annual return
for each month or fraction of a month |
until such return is filed as
required, the penalty to be |
assessed and collected in the same manner
as any other |
penalty provided for in this Act. |
(ii) On and after January 1, 1994, the taxpayer shall |
be liable for a
penalty as described in Section 3-4 of the |
Uniform Penalty and Interest Act. |
The chief executive officer, proprietor, owner or highest |
ranking
manager shall sign the annual return to certify the |
accuracy of the
information contained therein. Any person who |
willfully signs the
annual return containing false or |
inaccurate information shall be guilty
of perjury and punished |
|
accordingly. The annual return form prescribed
by the |
Department shall include a warning that the person signing the
|
return may be liable for perjury. |
The foregoing portion of this Section concerning the filing |
of an
annual information return shall not apply to a serviceman |
who is not
required to file an income tax return with the |
United States Government. |
As soon as possible after the first day of each month, upon |
certification
of the Department of Revenue, the Comptroller |
shall order transferred and
the Treasurer shall transfer from |
the General Revenue Fund to the Motor
Fuel Tax Fund an amount |
equal to 1.7% of 80% of the net revenue realized
under this Act |
for the second preceding month.
Beginning April 1, 2000, this |
transfer is no longer required
and shall not be made. |
Net revenue realized for a month shall be the revenue |
collected by the State
pursuant to this Act, less the amount |
paid out during that month as
refunds to taxpayers for |
overpayment of liability. |
For greater simplicity of administration, it shall be |
permissible for
manufacturers, importers and wholesalers whose |
products are sold by numerous
servicemen in Illinois, and who |
wish to do so, to
assume the responsibility for accounting and |
paying to the Department
all tax accruing under this Act with |
respect to such sales, if the
servicemen who are affected do |
not make written objection to the
Department to this |
arrangement. |
|
(Source: P.A. 98-24, eff. 6-19-13; 98-109, eff. 7-25-13; |
98-298, eff. 8-9-13; 98-496, eff. 1-1-14; revised 9-9-13.) |
Section 190. The Retailers' Occupation Tax Act is amended |
by changing Sections 2-5, 2a, and 3 as follows:
|
(35 ILCS 120/2-5)
|
Sec. 2-5. Exemptions. Gross receipts from proceeds from the |
sale of
the following tangible personal property are exempt |
from the tax imposed
by this Act:
|
(1) Farm chemicals.
|
(2) Farm machinery and equipment, both new and used, |
including that
manufactured on special order, certified by the |
purchaser to be used
primarily for production agriculture or |
State or federal agricultural
programs, including individual |
replacement parts for the machinery and
equipment, including |
machinery and equipment purchased for lease,
and including |
implements of husbandry defined in Section 1-130 of
the |
Illinois Vehicle Code, farm machinery and agricultural |
chemical and
fertilizer spreaders, and nurse wagons required to |
be registered
under Section 3-809 of the Illinois Vehicle Code,
|
but
excluding other motor vehicles required to be registered |
under the Illinois
Vehicle Code.
Horticultural polyhouses or |
hoop houses used for propagating, growing, or
overwintering |
plants shall be considered farm machinery and equipment under
|
this item (2).
Agricultural chemical tender tanks and dry boxes |
|
shall include units sold
separately from a motor vehicle |
required to be licensed and units sold mounted
on a motor |
vehicle required to be licensed, if the selling price of the |
tender
is separately stated.
|
Farm machinery and equipment shall include precision |
farming equipment
that is
installed or purchased to be |
installed on farm machinery and equipment
including, but not |
limited to, tractors, harvesters, sprayers, planters,
seeders, |
or spreaders.
Precision farming equipment includes, but is not |
limited to,
soil testing sensors, computers, monitors, |
software, global positioning
and mapping systems, and other |
such equipment.
|
Farm machinery and equipment also includes computers, |
sensors, software, and
related equipment used primarily in the
|
computer-assisted operation of production agriculture |
facilities, equipment,
and activities such as, but
not limited |
to,
the collection, monitoring, and correlation of
animal and |
crop data for the purpose of
formulating animal diets and |
agricultural chemicals. This item (2) is exempt
from the |
provisions of
Section 2-70.
|
(3) Until July 1, 2003, distillation machinery and |
equipment, sold as a
unit or kit,
assembled or installed by the |
retailer, certified by the user to be used
only for the |
production of ethyl alcohol that will be used for consumption
|
as motor fuel or as a component of motor fuel for the personal |
use of the
user, and not subject to sale or resale.
|
|
(4) Until July 1, 2003 and beginning again September 1, |
2004 through August 30, 2014, graphic arts machinery and |
equipment, including
repair and
replacement parts, both new and |
used, and including that manufactured on
special order or |
purchased for lease, certified by the purchaser to be used
|
primarily for graphic arts production.
Equipment includes |
chemicals or
chemicals acting as catalysts but only if
the |
chemicals or chemicals acting as catalysts effect a direct and |
immediate
change upon a
graphic arts product.
|
(5) A motor vehicle that is used for automobile renting, as |
defined in the Automobile Renting Occupation and Use Tax Act. |
This paragraph is exempt from
the provisions of Section 2-70.
|
(6) Personal property sold by a teacher-sponsored student |
organization
affiliated with an elementary or secondary school |
located in Illinois.
|
(7) Until July 1, 2003, proceeds of that portion of the |
selling price of
a passenger car the
sale of which is subject |
to the Replacement Vehicle Tax.
|
(8) Personal property sold to an Illinois county fair |
association for
use in conducting, operating, or promoting the |
county fair.
|
(9) Personal property sold to a not-for-profit arts
or |
cultural organization that establishes, by proof required by |
the Department
by
rule, that it has received an exemption under |
Section 501(c)(3) of the
Internal Revenue Code and that is |
organized and operated primarily for the
presentation
or |
|
support of arts or cultural programming, activities, or |
services. These
organizations include, but are not limited to, |
music and dramatic arts
organizations such as symphony |
orchestras and theatrical groups, arts and
cultural service |
organizations, local arts councils, visual arts organizations,
|
and media arts organizations.
On and after the effective date |
of this amendatory Act of the 92nd General
Assembly, however, |
an entity otherwise eligible for this exemption shall not
make |
tax-free purchases unless it has an active identification |
number issued by
the Department.
|
(10) Personal property sold by a corporation, society, |
association,
foundation, institution, or organization, other |
than a limited liability
company, that is organized and |
operated as a not-for-profit service enterprise
for the benefit |
of persons 65 years of age or older if the personal property
|
was not purchased by the enterprise for the purpose of resale |
by the
enterprise.
|
(11) Personal property sold to a governmental body, to a |
corporation,
society, association, foundation, or institution |
organized and operated
exclusively for charitable, religious, |
or educational purposes, or to a
not-for-profit corporation, |
society, association, foundation, institution,
or organization |
that has no compensated officers or employees and that is
|
organized and operated primarily for the recreation of persons |
55 years of
age or older. A limited liability company may |
qualify for the exemption under
this paragraph only if the |
|
limited liability company is organized and operated
|
exclusively for educational purposes. On and after July 1, |
1987, however, no
entity otherwise eligible for this exemption |
shall make tax-free purchases
unless it has an active |
identification number issued by the Department.
|
(12) Tangible personal property sold to
interstate |
carriers
for hire for use as
rolling stock moving in interstate |
commerce or to lessors under leases of
one year or longer |
executed or in effect at the time of purchase by
interstate |
carriers for hire for use as rolling stock moving in interstate
|
commerce and equipment operated by a telecommunications |
provider, licensed as a
common carrier by the Federal |
Communications Commission, which is permanently
installed in |
or affixed to aircraft moving in interstate commerce.
|
(12-5) On and after July 1, 2003 and through June 30, 2004, |
motor vehicles of the second division
with a gross vehicle |
weight in excess of 8,000 pounds
that
are
subject to the |
commercial distribution fee imposed under Section 3-815.1 of
|
the Illinois
Vehicle Code. Beginning on July 1, 2004 and |
through June 30, 2005, the use in this State of motor vehicles |
of the second division: (i) with a gross vehicle weight rating |
in excess of 8,000 pounds; (ii) that are subject to the |
commercial distribution fee imposed under Section 3-815.1 of |
the Illinois Vehicle Code; and (iii) that are primarily used |
for commercial purposes. Through June 30, 2005, this
exemption |
applies to repair and replacement parts added
after the
initial |
|
purchase of such a motor vehicle if that motor vehicle is used |
in a
manner that
would qualify for the rolling stock exemption |
otherwise provided for in this
Act. For purposes of this |
paragraph, "used for commercial purposes" means the |
transportation of persons or property in furtherance of any |
commercial or industrial enterprise whether for-hire or not.
|
(13) Proceeds from sales to owners, lessors, or
shippers of
|
tangible personal property that is utilized by interstate |
carriers for
hire for use as rolling stock moving in interstate |
commerce
and equipment operated by a telecommunications |
provider, licensed as a
common carrier by the Federal |
Communications Commission, which is
permanently installed in |
or affixed to aircraft moving in interstate commerce.
|
(14) Machinery and equipment that will be used by the |
purchaser, or a
lessee of the purchaser, primarily in the |
process of manufacturing or
assembling tangible personal |
property for wholesale or retail sale or
lease, whether the |
sale or lease is made directly by the manufacturer or by
some |
other person, whether the materials used in the process are |
owned by
the manufacturer or some other person, or whether the |
sale or lease is made
apart from or as an incident to the |
seller's engaging in the service
occupation of producing |
machines, tools, dies, jigs, patterns, gauges, or
other similar |
items of no commercial value on special order for a particular
|
purchaser. The exemption provided by this paragraph (14) does |
not include machinery and equipment used in (i) the generation |
|
of electricity for wholesale or retail sale; (ii) the |
generation or treatment of natural or artificial gas for |
wholesale or retail sale that is delivered to customers through |
pipes, pipelines, or mains; or (iii) the treatment of water for |
wholesale or retail sale that is delivered to customers through |
pipes, pipelines, or mains. The provisions of Public Act 98-583 |
this amendatory Act of the 98th General Assembly are |
declaratory of existing law as to the meaning and scope of this |
exemption.
|
(15) Proceeds of mandatory service charges separately |
stated on
customers' bills for purchase and consumption of food |
and beverages, to the
extent that the proceeds of the service |
charge are in fact turned over as
tips or as a substitute for |
tips to the employees who participate directly
in preparing, |
serving, hosting or cleaning up the food or beverage function
|
with respect to which the service charge is imposed.
|
(16) Petroleum products sold to a purchaser if the seller
|
is prohibited by federal law from charging tax to the |
purchaser.
|
(17) Tangible personal property sold to a common carrier by |
rail or
motor that
receives the physical possession of the |
property in Illinois and that
transports the property, or |
shares with another common carrier in the
transportation of the |
property, out of Illinois on a standard uniform bill
of lading |
showing the seller of the property as the shipper or consignor |
of
the property to a destination outside Illinois, for use |
|
outside Illinois.
|
(18) Legal tender, currency, medallions, or gold or silver |
coinage
issued by the State of Illinois, the government of the |
United States of
America, or the government of any foreign |
country, and bullion.
|
(19) Until July 1 2003, oil field exploration, drilling, |
and production
equipment, including
(i) rigs and parts of rigs, |
rotary rigs, cable tool
rigs, and workover rigs, (ii) pipe and |
tubular goods, including casing and
drill strings, (iii) pumps |
and pump-jack units, (iv) storage tanks and flow
lines, (v) any |
individual replacement part for oil field exploration,
|
drilling, and production equipment, and (vi) machinery and |
equipment purchased
for lease; but
excluding motor vehicles |
required to be registered under the Illinois
Vehicle Code.
|
(20) Photoprocessing machinery and equipment, including |
repair and
replacement parts, both new and used, including that |
manufactured on
special order, certified by the purchaser to be |
used primarily for
photoprocessing, and including |
photoprocessing machinery and equipment
purchased for lease.
|
(21) Coal and aggregate exploration, mining, off-highway |
offhighway hauling,
processing,
maintenance, and reclamation |
equipment, including
replacement parts and equipment, and |
including
equipment purchased for lease, but excluding motor |
vehicles required to be
registered under the Illinois Vehicle |
Code. The changes made to this Section by Public Act 97-767 |
apply on and after July 1, 2003, but no claim for credit or |
|
refund is allowed on or after August 16, 2013 ( the effective |
date of Public Act 98-456) this amendatory Act of the 98th |
General Assembly
for such taxes paid during the period |
beginning July 1, 2003 and ending on August 16, 2013 ( the |
effective date of Public Act 98-456) this amendatory Act of the |
98th General Assembly .
|
(22) Until June 30, 2013, fuel and petroleum products sold |
to or used by an air carrier,
certified by the carrier to be |
used for consumption, shipment, or storage
in the conduct of |
its business as an air common carrier, for a flight
destined |
for or returning from a location or locations
outside the |
United States without regard to previous or subsequent domestic
|
stopovers.
|
Beginning July 1, 2013, fuel and petroleum products sold to |
or used by an air carrier, certified by the carrier to be used |
for consumption, shipment, or storage in the conduct of its |
business as an air common carrier, for a flight that (i) is |
engaged in foreign trade or is engaged in trade between the |
United States and any of its possessions and (ii) transports at |
least one individual or package for hire from the city of |
origination to the city of final destination on the same |
aircraft, without regard to a change in the flight number of |
that aircraft. |
(23) A transaction in which the purchase order is received |
by a florist
who is located outside Illinois, but who has a |
florist located in Illinois
deliver the property to the |
|
purchaser or the purchaser's donee in Illinois.
|
(24) Fuel consumed or used in the operation of ships, |
barges, or vessels
that are used primarily in or for the |
transportation of property or the
conveyance of persons for |
hire on rivers bordering on this State if the
fuel is delivered |
by the seller to the purchaser's barge, ship, or vessel
while |
it is afloat upon that bordering river.
|
(25) Except as provided in item (25-5) of this Section, a
|
motor vehicle sold in this State to a nonresident even though |
the
motor vehicle is delivered to the nonresident in this |
State, if the motor
vehicle is not to be titled in this State, |
and if a drive-away permit
is issued to the motor vehicle as |
provided in Section 3-603 of the Illinois
Vehicle Code or if |
the nonresident purchaser has vehicle registration
plates to |
transfer to the motor vehicle upon returning to his or her home
|
state. The issuance of the drive-away permit or having
the
|
out-of-state registration plates to be transferred is prima |
facie evidence
that the motor vehicle will not be titled in |
this State.
|
(25-5) The exemption under item (25) does not apply if the |
state in which the motor vehicle will be titled does not allow |
a reciprocal exemption for a motor vehicle sold and delivered |
in that state to an Illinois resident but titled in Illinois. |
The tax collected under this Act on the sale of a motor vehicle |
in this State to a resident of another state that does not |
allow a reciprocal exemption shall be imposed at a rate equal |
|
to the state's rate of tax on taxable property in the state in |
which the purchaser is a resident, except that the tax shall |
not exceed the tax that would otherwise be imposed under this |
Act. At the time of the sale, the purchaser shall execute a |
statement, signed under penalty of perjury, of his or her |
intent to title the vehicle in the state in which the purchaser |
is a resident within 30 days after the sale and of the fact of |
the payment to the State of Illinois of tax in an amount |
equivalent to the state's rate of tax on taxable property in |
his or her state of residence and shall submit the statement to |
the appropriate tax collection agency in his or her state of |
residence. In addition, the retailer must retain a signed copy |
of the statement in his or her records. Nothing in this item |
shall be construed to require the removal of the vehicle from |
this state following the filing of an intent to title the |
vehicle in the purchaser's state of residence if the purchaser |
titles the vehicle in his or her state of residence within 30 |
days after the date of sale. The tax collected under this Act |
in accordance with this item (25-5) shall be proportionately |
distributed as if the tax were collected at the 6.25% general |
rate imposed under this Act.
|
(25-7) Beginning on July 1, 2007, no tax is imposed under |
this Act on the sale of an aircraft, as defined in Section 3 of |
the Illinois Aeronautics Act, if all of the following |
conditions are met: |
(1) the aircraft leaves this State within 15 days after |
|
the later of either the issuance of the final billing for |
the sale of the aircraft, or the authorized approval for |
return to service, completion of the maintenance record |
entry, and completion of the test flight and ground test |
for inspection, as required by 14 C.F.R. 91.407; |
(2) the aircraft is not based or registered in this |
State after the sale of the aircraft; and |
(3) the seller retains in his or her books and records |
and provides to the Department a signed and dated |
certification from the purchaser, on a form prescribed by |
the Department, certifying that the requirements of this |
item (25-7) are met. The certificate must also include the |
name and address of the purchaser, the address of the |
location where the aircraft is to be titled or registered, |
the address of the primary physical location of the |
aircraft, and other information that the Department may |
reasonably require. |
For purposes of this item (25-7): |
"Based in this State" means hangared, stored, or otherwise |
used, excluding post-sale customizations as defined in this |
Section, for 10 or more days in each 12-month period |
immediately following the date of the sale of the aircraft. |
"Registered in this State" means an aircraft registered |
with the Department of Transportation, Aeronautics Division, |
or titled or registered with the Federal Aviation |
Administration to an address located in this State. |
|
This paragraph (25-7) is exempt from the provisions
of
|
Section 2-70.
|
(26) Semen used for artificial insemination of livestock |
for direct
agricultural production.
|
(27) Horses, or interests in horses, registered with and |
meeting the
requirements of any of the
Arabian Horse Club |
Registry of America, Appaloosa Horse Club, American Quarter
|
Horse Association, United States
Trotting Association, or |
Jockey Club, as appropriate, used for
purposes of breeding or |
racing for prizes. This item (27) is exempt from the provisions |
of Section 2-70, and the exemption provided for under this item |
(27) applies for all periods beginning May 30, 1995, but no |
claim for credit or refund is allowed on or after January 1, |
2008 (the effective date of Public Act 95-88)
for such taxes |
paid during the period beginning May 30, 2000 and ending on |
January 1, 2008 (the effective date of Public Act 95-88).
|
(28) Computers and communications equipment utilized for |
any
hospital
purpose
and equipment used in the diagnosis,
|
analysis, or treatment of hospital patients sold to a lessor |
who leases the
equipment, under a lease of one year or longer |
executed or in effect at the
time of the purchase, to a
|
hospital
that has been issued an active tax exemption |
identification number by the
Department under Section 1g of |
this Act.
|
(29) Personal property sold to a lessor who leases the
|
property, under a
lease of one year or longer executed or in |
|
effect at the time of the purchase,
to a governmental body
that |
has been issued an active tax exemption identification number |
by the
Department under Section 1g of this Act.
|
(30) Beginning with taxable years ending on or after |
December
31, 1995
and
ending with taxable years ending on or |
before December 31, 2004,
personal property that is
donated for |
disaster relief to be used in a State or federally declared
|
disaster area in Illinois or bordering Illinois by a |
manufacturer or retailer
that is registered in this State to a |
corporation, society, association,
foundation, or institution |
that has been issued a sales tax exemption
identification |
number by the Department that assists victims of the disaster
|
who reside within the declared disaster area.
|
(31) Beginning with taxable years ending on or after |
December
31, 1995 and
ending with taxable years ending on or |
before December 31, 2004, personal
property that is used in the |
performance of infrastructure repairs in this
State, including |
but not limited to municipal roads and streets, access roads,
|
bridges, sidewalks, waste disposal systems, water and sewer |
line extensions,
water distribution and purification |
facilities, storm water drainage and
retention facilities, and |
sewage treatment facilities, resulting from a State
or |
federally declared disaster in Illinois or bordering Illinois |
when such
repairs are initiated on facilities located in the |
declared disaster area
within 6 months after the disaster.
|
(32) Beginning July 1, 1999, game or game birds sold at a |
|
"game breeding
and
hunting preserve area" as that term is used
|
in the
Wildlife Code. This paragraph is exempt from the |
provisions
of
Section 2-70.
|
(33) A motor vehicle, as that term is defined in Section |
1-146
of the
Illinois Vehicle Code, that is donated to a |
corporation, limited liability
company, society, association, |
foundation, or institution that is determined by
the Department |
to be organized and operated exclusively for educational
|
purposes. For purposes of this exemption, "a corporation, |
limited liability
company, society, association, foundation, |
or institution organized and
operated
exclusively for |
educational purposes" means all tax-supported public schools,
|
private schools that offer systematic instruction in useful |
branches of
learning by methods common to public schools and |
that compare favorably in
their scope and intensity with the |
course of study presented in tax-supported
schools, and |
vocational or technical schools or institutes organized and
|
operated exclusively to provide a course of study of not less |
than 6 weeks
duration and designed to prepare individuals to |
follow a trade or to pursue a
manual, technical, mechanical, |
industrial, business, or commercial
occupation.
|
(34) Beginning January 1, 2000, personal property, |
including food, purchased
through fundraising events for the |
benefit of a public or private elementary or
secondary school, |
a group of those schools, or one or more school districts if
|
the events are sponsored by an entity recognized by the school |
|
district that
consists primarily of volunteers and includes |
parents and teachers of the
school children. This paragraph |
does not apply to fundraising events (i) for
the benefit of |
private home instruction or (ii) for which the fundraising
|
entity purchases the personal property sold at the events from |
another
individual or entity that sold the property for the |
purpose of resale by the
fundraising entity and that profits |
from the sale to the fundraising entity.
This paragraph is |
exempt from the provisions of Section 2-70.
|
(35) Beginning January 1, 2000 and through December 31, |
2001, new or used
automatic vending machines that prepare and |
serve hot food and beverages,
including coffee, soup, and other |
items, and replacement parts for these
machines. Beginning |
January 1, 2002 and through June 30, 2003, machines
and parts |
for machines used in
commercial, coin-operated amusement and |
vending business if a use or occupation
tax is paid on the |
gross receipts derived from the use of the commercial,
|
coin-operated amusement and vending machines. This paragraph |
is exempt from
the provisions of Section 2-70.
|
(35-5) Beginning August 23, 2001 and through June 30, 2016, |
food for human consumption that is to be consumed off
the |
premises where it is sold (other than alcoholic beverages, soft |
drinks,
and food that has been prepared for immediate |
consumption) and prescription
and nonprescription medicines, |
drugs, medical appliances, and insulin, urine
testing |
materials, syringes, and needles used by diabetics, for human |
|
use, when
purchased for use by a person receiving medical |
assistance under Article V of
the Illinois Public Aid Code who |
resides in a licensed long-term care facility,
as defined in |
the Nursing Home Care Act, or a licensed facility as defined in |
the ID/DD Community Care Act or the Specialized Mental Health |
Rehabilitation Act of 2013.
|
(36) Beginning August 2, 2001, computers and |
communications equipment
utilized for any hospital purpose and |
equipment used in the diagnosis,
analysis, or treatment of |
hospital patients sold to a lessor who leases the
equipment, |
under a lease of one year or longer executed or in effect at |
the
time of the purchase, to a hospital that has been issued an |
active tax
exemption identification number by the Department |
under Section 1g of this Act.
This paragraph is exempt from the |
provisions of Section 2-70.
|
(37) Beginning August 2, 2001, personal property sold to a |
lessor who
leases the property, under a lease of one year or |
longer executed or in effect
at the time of the purchase, to a |
governmental body that has been issued an
active tax exemption |
identification number by the Department under Section 1g
of |
this Act. This paragraph is exempt from the provisions of |
Section 2-70.
|
(38) Beginning on January 1, 2002 and through June 30, |
2016, tangible personal property purchased
from an Illinois |
retailer by a taxpayer engaged in centralized purchasing
|
activities in Illinois who will, upon receipt of the property |
|
in Illinois,
temporarily store the property in Illinois (i) for |
the purpose of subsequently
transporting it outside this State |
for use or consumption thereafter solely
outside this State or |
(ii) for the purpose of being processed, fabricated, or
|
manufactured into, attached to, or incorporated into other |
tangible personal
property to be transported outside this State |
and thereafter used or consumed
solely outside this State. The |
Director of Revenue shall, pursuant to rules
adopted in |
accordance with the Illinois Administrative Procedure Act, |
issue a
permit to any taxpayer in good standing with the |
Department who is eligible for
the exemption under this |
paragraph (38). The permit issued under
this paragraph (38) |
shall authorize the holder, to the extent and
in the manner |
specified in the rules adopted under this Act, to purchase
|
tangible personal property from a retailer exempt from the |
taxes imposed by
this Act. Taxpayers shall maintain all |
necessary books and records to
substantiate the use and |
consumption of all such tangible personal property
outside of |
the State of Illinois.
|
(39) Beginning January 1, 2008, tangible personal property |
used in the construction or maintenance of a community water |
supply, as defined under Section 3.145 of the Environmental |
Protection Act, that is operated by a not-for-profit |
corporation that holds a valid water supply permit issued under |
Title IV of the Environmental Protection Act. This paragraph is |
exempt from the provisions of Section 2-70.
|
|
(40) Beginning January 1, 2010, materials, parts, |
equipment, components, and furnishings incorporated into or |
upon an aircraft as part of the modification, refurbishment, |
completion, replacement, repair, or maintenance of the |
aircraft. This exemption includes consumable supplies used in |
the modification, refurbishment, completion, replacement, |
repair, and maintenance of aircraft, but excludes any |
materials, parts, equipment, components, and consumable |
supplies used in the modification, replacement, repair, and |
maintenance of aircraft engines or power plants, whether such |
engines or power plants are installed or uninstalled upon any |
such aircraft. "Consumable supplies" include, but are not |
limited to, adhesive, tape, sandpaper, general purpose |
lubricants, cleaning solution, latex gloves, and protective |
films. This exemption applies only to the sale of qualifying |
tangible personal property to persons who modify, refurbish, |
complete, replace, or maintain an aircraft and who (i) hold an |
Air Agency Certificate and are empowered to operate an approved |
repair station by the Federal Aviation Administration, (ii) |
have a Class IV Rating, and (iii) conduct operations in |
accordance with Part 145 of the Federal Aviation Regulations. |
The exemption does not include aircraft operated by a |
commercial air carrier providing scheduled passenger air |
service pursuant to authority issued under Part 121 or Part 129 |
of the Federal Aviation Regulations. The changes made to this |
paragraph (40) by Public Act 98-534 this amendatory Act of the |
|
98th General Assembly are declarative of existing law. |
(41) Tangible personal property sold to a |
public-facilities corporation, as described in Section |
11-65-10 of the Illinois Municipal Code, for purposes of |
constructing or furnishing a municipal convention hall, but |
only if the legal title to the municipal convention hall is |
transferred to the municipality without any further |
consideration by or on behalf of the municipality at the time |
of the completion of the municipal convention hall or upon the |
retirement or redemption of any bonds or other debt instruments |
issued by the public-facilities corporation in connection with |
the development of the municipal convention hall. This |
exemption includes existing public-facilities corporations as |
provided in Section 11-65-25 of the Illinois Municipal Code. |
This paragraph is exempt from the provisions of Section 2-70. |
(Source: P.A. 97-38, eff. 6-28-11; 97-73, eff. 6-30-11; 97-227, |
eff. 1-1-12; 97-431, eff. 8-16-11; 97-636, eff. 6-1-12; 97-767, |
eff. 7-9-12; 98-104, eff. 7-22-13; 98-422, eff. 8-16-13; |
98-456, eff. 8-16-13; 98-534, eff. 8-23-13; 98-574, eff. |
1-1-14; 98-583, eff. 1-1-14; revised 9-9-13.)
|
(35 ILCS 120/2a) (from Ch. 120, par. 441a) |
Sec. 2a. It is unlawful for any person to engage in the |
business of
selling tangible personal property at retail in |
this State without a
certificate of registration from the |
Department. Application
for a certificate of registration |
|
shall be made to the Department upon
forms furnished by it. |
Each such application shall be signed and verified
and shall |
state: (1) the name and social security number of the
|
applicant; (2) the address of his principal place
of business; |
(3) the address of the principal place of business from which
|
he engages in the business of selling tangible personal |
property at retail
in this State and the addresses of all other |
places of business, if any
(enumerating such addresses, if any, |
in a separate list attached to and
made a part of the |
application), from which he engages in the business of
selling |
tangible personal property at retail in this State; (4)
the
|
name and address of the person or persons who will be |
responsible for
filing returns and payment of taxes due under |
this Act; (5) in the case of a publicly traded corporation, the |
name and title of the Chief Financial Officer, Chief Operating |
Officer, and any other officer or employee with responsibility |
for preparing tax returns under this Act, along with the last 4 |
digits of each of their social security numbers, and , in the
|
case of
all other corporations, the name, title, and social |
security number of
each corporate officer; (6) in the case of a |
limited liability
company, the
name, social security number, |
and FEIN number of
each
manager and member; and (7) such other |
information
as the Department may reasonably require. The |
application shall contain
an acceptance of responsibility |
signed by the person or persons who will be
responsible for |
filing returns and payment of the taxes due under this
Act. If |
|
the applicant will sell tangible personal property at retail
|
through vending machines, his application to register shall |
indicate the
number of vending machines to be so operated. If |
requested by the Department at any time, that person shall |
verify the total number of vending machines he or she uses in |
his or her business of selling tangible personal property at |
retail. |
The Department may deny a certificate of registration to |
any applicant
if a person who is named as the owner, a partner, |
a manager or member of a limited liability
company, or a |
corporate officer of the applicant on the application for the |
certificate of registration , is or
has been named as the owner, |
a partner, a manager or member of a limited
liability company, |
or a corporate officer , on the application for the certificate |
of registration of another retailer
that is in default for |
moneys due under this Act or any other tax or fee Act |
administered by the Department. For purposes of this paragraph |
only, in determining whether a person is in default for moneys |
due, the Department shall include only amounts established as a |
final liability within the 20 years prior to the date of the |
Department's notice of denial of a certificate of registration. |
The Department may require an applicant for a certificate |
of registration hereunder to, at
the time of filing such |
application, furnish a bond from a surety company
authorized to |
do business in the State of Illinois, or an irrevocable
bank |
letter of credit or a bond signed by 2
personal sureties who |
|
have filed, with the Department, sworn statements
disclosing |
net assets equal to at least 3 times the amount of the bond to
|
be required of such applicant, or a bond secured by an |
assignment of a bank
account or certificate of deposit, stocks |
or bonds, conditioned upon the
applicant paying to the State of |
Illinois all moneys becoming due under
this Act and under any |
other State tax law or municipal or county tax
ordinance or |
resolution under which the certificate of registration that is
|
issued to the applicant under this Act will permit the |
applicant to engage
in business without registering separately |
under such other law, ordinance
or resolution. In making a |
determination as to whether to require a bond or other |
security, the Department shall take into consideration whether |
the owner, any partner, any manager or member of a limited |
liability company, or a corporate officer of the applicant is |
or has been the owner, a partner, a manager or member of a |
limited liability company, or a corporate officer of another |
retailer that is in default for moneys due under this Act or |
any other tax or fee Act administered by the Department; and |
whether the owner, any partner, any manager or member of a |
limited liability company, or a corporate officer of the |
applicant is or has been the owner, a partner, a manager or |
member of a limited liability company, or a corporate officer |
of another retailer whose certificate of registration has been |
revoked within the previous 5 years under this Act or any other |
tax or fee Act administered by the Department. If a bond or |
|
other security is required, the Department shall fix the amount |
of the bond or other security, taking into consideration the |
amount of money expected to become due from the applicant under |
this Act and under any other State tax law or municipal or |
county tax ordinance or resolution under which the certificate |
of registration that is issued to the applicant under this Act |
will permit the applicant to engage in business without |
registering separately under such other law, ordinance, or |
resolution. The amount of security required by
the Department |
shall be such as, in its opinion, will protect the State of
|
Illinois against failure to pay the amount which may become due |
from the
applicant under this Act and under any other State tax |
law or municipal or
county tax ordinance or resolution under |
which the certificate of
registration that is issued to the |
applicant under this Act will permit the
applicant to engage in |
business without registering separately under such
other law, |
ordinance or resolution, but the amount of the security |
required
by the Department shall not exceed three times the |
amount of the
applicant's average monthly tax liability, or |
$50,000.00, whichever amount
is lower. |
No certificate of registration under this Act shall be |
issued by the
Department until the applicant provides the |
Department with satisfactory
security, if required, as herein |
provided for. |
Upon receipt of the application for certificate of |
registration in
proper form, and upon approval by the |
|
Department of the security furnished
by the applicant, if |
required, the Department shall issue to such applicant a
|
certificate of registration which shall permit the person to |
whom it is
issued to engage in the business of selling tangible |
personal property at
retail in this State. The certificate of |
registration shall be
conspicuously displayed at the place of |
business which the person so
registered states in his |
application to be the principal place of business
from which he |
engages in the business of selling tangible personal property
|
at retail in this State. |
No certificate of registration issued to a taxpayer who |
files returns
required by this Act on a monthly basis shall be |
valid after the expiration
of 5 years from the date of its |
issuance or last renewal. The expiration
date of a |
sub-certificate of registration shall be that of the |
certificate
of registration to which the sub-certificate |
relates. A certificate of
registration shall automatically be |
renewed, subject to revocation as
provided by this Act, for an |
additional 5 years from the date of its
expiration unless |
otherwise notified by the Department as provided by this
|
paragraph. Where a taxpayer to whom a certificate of |
registration is
issued under this Act is in default to the |
State of Illinois for delinquent
returns or for moneys due
|
under this Act or any other State tax law or municipal or |
county ordinance
administered or enforced by the Department, |
the Department shall, not less
than 120 days before the |
|
expiration date of such certificate of
registration, give |
notice to the taxpayer to whom the certificate was
issued of |
the account period of the delinquent returns, the amount of
|
tax,
penalty and interest due and owing from the
taxpayer, and |
that the certificate of registration shall not be
automatically |
renewed upon its expiration date unless the taxpayer, on or
|
before the date of expiration, has filed and paid the |
delinquent returns or
paid the defaulted amount in full. A
|
taxpayer to whom such a notice is issued shall be deemed an |
applicant for
renewal. The Department shall promulgate |
regulations establishing
procedures for taxpayers who file |
returns on a monthly basis but desire and
qualify to change to |
a quarterly or yearly filing basis and will no longer
be |
subject to renewal under this Section, and for taxpayers who |
file
returns on a yearly or quarterly basis but who desire or |
are required to
change to a monthly filing basis and will be |
subject to renewal under
this Section. |
The Department may in its discretion approve renewal by an |
applicant
who is in default if, at the time of application for |
renewal, the applicant
files all of the delinquent returns or |
pays to the Department such
percentage of the defaulted amount |
as may be
determined by the Department and agrees in writing to |
waive all limitations
upon the Department for collection of the |
remaining defaulted amount to the
Department over a period not |
to exceed 5 years from the date of renewal of
the certificate; |
however, no renewal application submitted by an applicant
who |
|
is in default shall be approved if the immediately preceding |
renewal by
the applicant was conditioned upon the installment |
payment
agreement described in this Section. The payment |
agreement herein provided
for shall be in addition to and not |
in lieu of the security that may be required by
this Section of |
a taxpayer who is no longer considered a prior continuous
|
compliance taxpayer. The execution of the payment agreement as |
provided in
this Act shall not toll the accrual of interest at |
the statutory rate. |
The Department may suspend a certificate of registration if |
the Department finds that the person to whom the certificate of |
registration has been issued knowingly sold contraband |
cigarettes. |
A certificate of registration issued under this Act more |
than 5 years
before the effective date of this amendatory Act |
of 1989 shall expire and
be subject to the renewal provisions |
of this Section on the next
anniversary of the date of issuance |
of such certificate which occurs more
than 6 months after the |
effective date of this amendatory Act of 1989. A
certificate of |
registration issued less than 5 years before the effective
date |
of this amendatory Act of 1989 shall expire and be subject to |
the
renewal provisions of this Section on the 5th anniversary |
of the issuance
of the certificate. |
If the person so registered states that he operates other |
places of
business from which he engages in the business of |
selling tangible personal
property at retail in this State, the |
|
Department shall furnish him with a
sub-certificate of |
registration for each such place of business, and the
applicant |
shall display the appropriate sub-certificate of registration |
at
each such place of business. All sub-certificates of |
registration shall
bear the same registration number as that |
appearing upon the certificate of
registration to which such |
sub-certificates relate. |
If the applicant will sell tangible personal property at |
retail through
vending machines, the Department shall furnish |
him with a sub-certificate
of registration for each such |
vending machine, and the applicant shall
display the |
appropriate sub-certificate of registration on each such
|
vending machine by attaching the sub-certificate of |
registration to a
conspicuous part of such vending machine. If |
a person who is registered to sell tangible personal property |
at retail through vending machines adds an additional vending |
machine or additional vending machines to the number of vending |
machines he or she uses in his or her business of selling |
tangible personal property at retail, he or she shall notify |
the Department, on a form prescribed by the Department, to |
request an additional sub-certificate or additional |
sub-certificates of registration, as applicable. With each |
such request, the applicant shall report the number of |
sub-certificates of registration he or she is requesting as |
well as the total number of vending machines from which he or |
she makes retail sales. |
|
Where the same person engages in 2 or more businesses of |
selling
tangible personal property at retail in this State, |
which businesses are
substantially different in character or |
engaged in under different trade
names or engaged in under |
other substantially dissimilar circumstances (so
that it is |
more practicable, from an accounting, auditing or bookkeeping
|
standpoint, for such businesses to be separately registered), |
the
Department may require or permit such person (subject to |
the same
requirements concerning the furnishing of security as |
those that are
provided for hereinbefore in this Section as to |
each application for a
certificate of registration) to apply |
for and obtain a separate certificate
of registration for each |
such business or for any of such businesses, under
a single |
certificate of registration supplemented by related
|
sub-certificates of registration. |
Any person who is registered under the "Retailers' |
Occupation Tax Act"
as of March 8, 1963, and who, during the |
3-year period immediately prior to
March 8, 1963, or during a |
continuous 3-year period part of which passed
immediately |
before and the remainder of which passes immediately after
|
March 8, 1963, has been so registered continuously and who is |
determined by
the Department not to have been either delinquent |
or deficient in the
payment of tax liability during that period |
under this Act or under any
other State tax law or municipal or |
county tax ordinance or resolution
under which the certificate |
of registration that is issued to the
registrant under this Act |
|
will permit the registrant to engage in business
without |
registering separately under such other law, ordinance or
|
resolution, shall be considered to be a Prior Continuous |
Compliance
taxpayer. Also any taxpayer who has, as verified by |
the Department,
faithfully and continuously complied with the |
condition of his bond or
other security under the provisions of |
this Act for a period of 3
consecutive years shall be |
considered to be a Prior Continuous Compliance
taxpayer. |
Every Prior Continuous Compliance taxpayer shall be exempt |
from all
requirements under this Act concerning the furnishing |
of a bond or other security as a
condition precedent to his |
being authorized to engage in the business of
selling tangible |
personal property at retail in this State. This exemption
shall |
continue for each such taxpayer until such time as he may be
|
determined by the Department to be delinquent in the filing of |
any returns,
or is determined by the Department (either through |
the Department's
issuance of a final assessment which has |
become final under the Act, or by
the taxpayer's filing of a |
return which admits tax that is not paid to be
due) to be |
delinquent or deficient in the paying of any tax under this Act
|
or under any other State tax law or municipal or county tax |
ordinance or
resolution under which the certificate of |
registration that is issued to
the registrant under this Act |
will permit the registrant to engage in
business without |
registering separately under such other law, ordinance or
|
resolution, at which time that taxpayer shall become subject to |
|
all the
financial responsibility requirements of this Act and, |
as a condition of
being allowed to continue to engage in the |
business of selling tangible
personal property at retail, may |
be required to post bond or other
acceptable security with the |
Department covering liability which such
taxpayer may |
thereafter incur. Any taxpayer who fails to pay an admitted or
|
established liability under this Act may also be required to |
post bond or
other acceptable security with this Department |
guaranteeing the payment of
such admitted or established |
liability. |
No certificate of registration shall be issued to any |
person who is in
default to the State of Illinois for moneys |
due under this Act or under any
other State tax law or |
municipal or county tax ordinance or resolution
under which the |
certificate of registration that is issued to the applicant
|
under this Act will permit the applicant to engage in business |
without
registering separately under such other law, ordinance |
or resolution. |
Any person aggrieved by any decision of the Department |
under this
Section may, within 20 days after notice of such |
decision, protest and
request a hearing, whereupon the |
Department shall give notice to such
person of the time and |
place fixed for such hearing and shall hold a
hearing in |
conformity with the provisions of this Act and then issue its
|
final administrative decision in the matter to such person. In |
the absence
of such a protest within 20 days, the Department's |
|
decision shall become
final without any further determination |
being made or notice given. |
With respect to security other than bonds (upon which the |
Department may
sue in the event of a forfeiture), if the |
taxpayer fails to pay, when due,
any amount whose payment such |
security guarantees, the Department shall,
after such |
liability is admitted by the taxpayer or established by the
|
Department through the issuance of a final assessment that has |
become final
under the law, convert the security which that |
taxpayer has furnished into
money for the State, after first |
giving the taxpayer at least 10 days'
written notice, by |
registered or certified mail, to pay the liability or
forfeit |
such security to the Department. If the security consists of |
stocks
or bonds or other securities which are listed on a |
public exchange, the
Department shall sell such securities |
through such public exchange. If
the security consists of an |
irrevocable bank letter of credit, the
Department shall convert |
the security in the manner provided for in the
Uniform |
Commercial Code. If the security consists of a bank certificate |
of
deposit, the Department shall convert the security into |
money by demanding
and collecting the amount of such bank |
certificate of deposit from the bank
which issued such |
certificate. If the security consists of a type of stocks
or |
other securities which are not listed on a public exchange, the
|
Department shall sell such security to the highest and best |
bidder after
giving at least 10 days' notice of the date, time |
|
and place of the intended
sale by publication in the "State |
Official Newspaper". If the Department
realizes more than the |
amount of such liability from the security, plus the
expenses |
incurred by the Department in converting the security into |
money,
the Department shall pay such excess to the taxpayer who |
furnished such
security, and the balance shall be paid into the |
State Treasury. |
The Department shall discharge any surety and shall release |
and return
any security deposited, assigned, pledged or |
otherwise provided to it by
a taxpayer under this Section |
within 30 days after: |
(1) such taxpayer becomes a Prior Continuous |
Compliance taxpayer; or |
(2) such taxpayer has ceased to collect receipts on |
which he is required
to remit tax to the Department, has |
filed a final tax return, and has paid
to the Department an |
amount sufficient to discharge his remaining tax
|
liability, as determined by the Department, under this Act |
and under every
other State tax law or municipal or county |
tax ordinance or resolution
under which the certificate of |
registration issued under this Act permits
the registrant |
to engage in business without registering separately under
|
such other law, ordinance or resolution. The Department |
shall make a final
determination of the taxpayer's |
outstanding tax liability as expeditiously
as possible |
after his final tax return has been filed; if the |
|
Department
cannot make such final determination within 45 |
days after receiving the
final tax return, within such |
period it shall so notify the taxpayer,
stating its reasons |
therefor. |
(Source: P.A. 97-335, eff. 1-1-12; 98-496, eff. 1-1-14; 98-583, |
eff. 1-1-14; revised 9-9-13.)
|
(35 ILCS 120/3) (from Ch. 120, par. 442)
|
Sec. 3. Except as provided in this Section, on or before |
the twentieth
day of each calendar month, every person engaged |
in the business of
selling tangible personal property at retail |
in this State during the
preceding calendar month shall file a |
return with the Department, stating: |
1. The name of the seller; |
2. His residence address and the address of his |
principal place of
business and the address of the |
principal place of business (if that is
a different |
address) from which he engages in the business of selling
|
tangible personal property at retail in this State; |
3. Total amount of receipts received by him during the |
preceding
calendar month or quarter, as the case may be, |
from sales of tangible
personal property, and from services |
furnished, by him during such
preceding calendar month or |
quarter; |
4. Total amount received by him during the preceding |
calendar month or
quarter on charge and time sales of |
|
tangible personal property, and from
services furnished, |
by him prior to the month or quarter for which the return
|
is filed; |
5. Deductions allowed by law; |
6. Gross receipts which were received by him during the |
preceding
calendar month or quarter and upon the basis of |
which the tax is imposed; |
7. The amount of credit provided in Section 2d of this |
Act; |
8. The amount of tax due; |
9. The signature of the taxpayer; and |
10. Such other reasonable information as the |
Department may require. |
If a taxpayer fails to sign a return within 30 days after |
the proper notice
and demand for signature by the Department, |
the return shall be considered
valid and any amount shown to be |
due on the return shall be deemed assessed. |
Each return shall be accompanied by the statement of |
prepaid tax issued
pursuant to Section 2e for which credit is |
claimed. |
Prior to October 1, 2003, and on and after September 1, |
2004 a retailer may accept a Manufacturer's Purchase
Credit
|
certification from a purchaser in satisfaction of Use Tax
as |
provided in Section 3-85 of the Use Tax Act if the purchaser |
provides the
appropriate documentation as required by Section |
3-85
of the Use Tax Act. A Manufacturer's Purchase Credit
|
|
certification, accepted by a retailer prior to October 1, 2003 |
and on and after September 1, 2004 as provided
in
Section 3-85 |
of the Use Tax Act, may be used by that retailer to
satisfy |
Retailers' Occupation Tax liability in the amount claimed in
|
the certification, not to exceed 6.25% of the receipts
subject |
to tax from a qualifying purchase. A Manufacturer's Purchase |
Credit
reported on any original or amended return
filed under
|
this Act after October 20, 2003 for reporting periods prior to |
September 1, 2004 shall be disallowed. Manufacturer's |
Purchaser Credit reported on annual returns due on or after |
January 1, 2005 will be disallowed for periods prior to |
September 1, 2004. No Manufacturer's
Purchase Credit may be |
used after September 30, 2003 through August 31, 2004 to
|
satisfy any
tax liability imposed under this Act, including any |
audit liability. |
The Department may require returns to be filed on a |
quarterly basis.
If so required, a return for each calendar |
quarter shall be filed on or
before the twentieth day of the |
calendar month following the end of such
calendar quarter. The |
taxpayer shall also file a return with the
Department for each |
of the first two months of each calendar quarter, on or
before |
the twentieth day of the following calendar month, stating: |
1. The name of the seller; |
2. The address of the principal place of business from |
which he engages
in the business of selling tangible |
personal property at retail in this State; |
|
3. The total amount of taxable receipts received by him |
during the
preceding calendar month from sales of tangible |
personal property by him
during such preceding calendar |
month, including receipts from charge and
time sales, but |
less all deductions allowed by law; |
4. The amount of credit provided in Section 2d of this |
Act; |
5. The amount of tax due; and |
6. Such other reasonable information as the Department |
may
require. |
Beginning on October 1, 2003, any person who is not a |
licensed
distributor, importing distributor, or manufacturer, |
as defined in the Liquor
Control Act of 1934, but is engaged in |
the business of
selling, at retail, alcoholic liquor
shall file |
a statement with the Department of Revenue, in a format
and at |
a time prescribed by the Department, showing the total amount |
paid for
alcoholic liquor purchased during the preceding month |
and such other
information as is reasonably required by the |
Department.
The Department may adopt rules to require
that this |
statement be filed in an electronic or telephonic format. Such |
rules
may provide for exceptions from the filing requirements |
of this paragraph. For
the
purposes of this
paragraph, the term |
"alcoholic liquor" shall have the meaning prescribed in the
|
Liquor Control Act of 1934. |
Beginning on October 1, 2003, every distributor, importing |
distributor, and
manufacturer of alcoholic liquor as defined in |
|
the Liquor Control Act of 1934,
shall file a
statement with the |
Department of Revenue, no later than the 10th day of the
month |
for the
preceding month during which transactions occurred, by |
electronic means,
showing the
total amount of gross receipts |
from the sale of alcoholic liquor sold or
distributed during
|
the preceding month to purchasers; identifying the purchaser to |
whom it was
sold or
distributed; the purchaser's tax |
registration number; and such other
information
reasonably |
required by the Department. A distributor, importing |
distributor, or manufacturer of alcoholic liquor must |
personally deliver, mail, or provide by electronic means to |
each retailer listed on the monthly statement a report |
containing a cumulative total of that distributor's, importing |
distributor's, or manufacturer's total sales of alcoholic |
liquor to that retailer no later than the 10th day of the month |
for the preceding month during which the transaction occurred. |
The distributor, importing distributor, or manufacturer shall |
notify the retailer as to the method by which the distributor, |
importing distributor, or manufacturer will provide the sales |
information. If the retailer is unable to receive the sales |
information by electronic means, the distributor, importing |
distributor, or manufacturer shall furnish the sales |
information by personal delivery or by mail. For purposes of |
this paragraph, the term "electronic means" includes, but is |
not limited to, the use of a secure Internet website, e-mail, |
or facsimile. |
|
If a total amount of less than $1 is payable, refundable or |
creditable,
such amount shall be disregarded if it is less than |
50 cents and shall be
increased to $1 if it is 50 cents or more. |
Beginning October 1, 1993,
a taxpayer who has an average |
monthly tax liability of $150,000 or more shall
make all |
payments required by rules of the
Department by electronic |
funds transfer. Beginning October 1, 1994, a taxpayer
who has |
an average monthly tax liability of $100,000 or more shall make |
all
payments required by rules of the Department by electronic |
funds transfer.
Beginning October 1, 1995, a taxpayer who has |
an average monthly tax liability
of $50,000 or more shall make |
all
payments required by rules of the Department by electronic |
funds transfer.
Beginning October 1, 2000, a taxpayer who has |
an annual tax liability of
$200,000 or more shall make all |
payments required by rules of the Department by
electronic |
funds transfer. The term "annual tax liability" shall be the |
sum of
the taxpayer's liabilities under this Act, and under all |
other State and local
occupation and use tax laws administered |
by the Department, for the immediately
preceding calendar year.
|
The term "average monthly tax liability" shall be the sum of |
the
taxpayer's liabilities under this
Act, and under all other |
State and local occupation and use tax
laws administered by the |
Department, for the immediately preceding calendar
year |
divided by 12.
Beginning on October 1, 2002, a taxpayer who has |
a tax liability in the
amount set forth in subsection (b) of |
Section 2505-210 of the Department of
Revenue Law shall make |
|
all payments required by rules of the Department by
electronic |
funds transfer. |
Before August 1 of each year beginning in 1993, the |
Department shall
notify all taxpayers required to make payments |
by electronic funds
transfer. All taxpayers
required to make |
payments by electronic funds transfer shall make those
payments |
for
a minimum of one year beginning on October 1. |
Any taxpayer not required to make payments by electronic |
funds transfer may
make payments by electronic funds transfer |
with
the permission of the Department. |
All taxpayers required to make payment by electronic funds |
transfer and
any taxpayers authorized to voluntarily make |
payments by electronic funds
transfer shall make those payments |
in the manner authorized by the Department. |
The Department shall adopt such rules as are necessary to |
effectuate a
program of electronic funds transfer and the |
requirements of this Section. |
Any amount which is required to be shown or reported on any |
return or
other document under this Act shall, if such amount |
is not a whole-dollar
amount, be increased to the nearest |
whole-dollar amount in any case where
the fractional part of a |
dollar is 50 cents or more, and decreased to the
nearest |
whole-dollar amount where the fractional part of a dollar is |
less
than 50 cents. |
If the retailer is otherwise required to file a monthly |
return and if the
retailer's average monthly tax liability to |
|
the Department does not exceed
$200, the Department may |
authorize his returns to be filed on a quarter
annual basis, |
with the return for January, February and March of a given
year |
being due by April 20 of such year; with the return for April, |
May and
June of a given year being due by July 20 of such year; |
with the return for
July, August and September of a given year |
being due by October 20 of such
year, and with the return for |
October, November and December of a given
year being due by |
January 20 of the following year. |
If the retailer is otherwise required to file a monthly or |
quarterly
return and if the retailer's average monthly tax |
liability with the
Department does not exceed $50, the |
Department may authorize his returns to
be filed on an annual |
basis, with the return for a given year being due by
January 20 |
of the following year. |
Such quarter annual and annual returns, as to form and |
substance,
shall be subject to the same requirements as monthly |
returns. |
Notwithstanding any other provision in this Act concerning |
the time
within which a retailer may file his return, in the |
case of any retailer
who ceases to engage in a kind of business |
which makes him responsible
for filing returns under this Act, |
such retailer shall file a final
return under this Act with the |
Department not more than one month after
discontinuing such |
business. |
Where the same person has more than one business registered |
|
with the
Department under separate registrations under this |
Act, such person may
not file each return that is due as a |
single return covering all such
registered businesses, but |
shall file separate returns for each such
registered business. |
In addition, with respect to motor vehicles, watercraft,
|
aircraft, and trailers that are required to be registered with |
an agency of
this State, every
retailer selling this kind of |
tangible personal property shall file,
with the Department, |
upon a form to be prescribed and supplied by the
Department, a |
separate return for each such item of tangible personal
|
property which the retailer sells, except that if, in the same
|
transaction, (i) a retailer of aircraft, watercraft, motor |
vehicles or
trailers transfers more than one aircraft, |
watercraft, motor
vehicle or trailer to another aircraft, |
watercraft, motor vehicle
retailer or trailer retailer for the |
purpose of resale
or (ii) a retailer of aircraft, watercraft, |
motor vehicles, or trailers
transfers more than one aircraft, |
watercraft, motor vehicle, or trailer to a
purchaser for use as |
a qualifying rolling stock as provided in Section 2-5 of
this |
Act, then
that seller may report the transfer of all aircraft,
|
watercraft, motor vehicles or trailers involved in that |
transaction to the
Department on the same uniform |
invoice-transaction reporting return form. For
purposes of |
this Section, "watercraft" means a Class 2, Class 3, or Class 4
|
watercraft as defined in Section 3-2 of the Boat Registration |
and Safety Act, a
personal watercraft, or any boat equipped |
|
with an inboard motor. |
Any retailer who sells only motor vehicles, watercraft,
|
aircraft, or trailers that are required to be registered with |
an agency of
this State, so that all
retailers' occupation tax |
liability is required to be reported, and is
reported, on such |
transaction reporting returns and who is not otherwise
required |
to file monthly or quarterly returns, need not file monthly or
|
quarterly returns. However, those retailers shall be required |
to
file returns on an annual basis. |
The transaction reporting return, in the case of motor |
vehicles
or trailers that are required to be registered with an |
agency of this
State, shall
be the same document as the Uniform |
Invoice referred to in Section 5-402
of The Illinois Vehicle |
Code and must show the name and address of the
seller; the name |
and address of the purchaser; the amount of the selling
price |
including the amount allowed by the retailer for traded-in
|
property, if any; the amount allowed by the retailer for the |
traded-in
tangible personal property, if any, to the extent to |
which Section 1 of
this Act allows an exemption for the value |
of traded-in property; the
balance payable after deducting such |
trade-in allowance from the total
selling price; the amount of |
tax due from the retailer with respect to
such transaction; the |
amount of tax collected from the purchaser by the
retailer on |
such transaction (or satisfactory evidence that such tax is
not |
due in that particular instance, if that is claimed to be the |
fact);
the place and date of the sale; a sufficient |
|
identification of the
property sold; such other information as |
is required in Section 5-402 of
The Illinois Vehicle Code, and |
such other information as the Department
may reasonably |
require. |
The transaction reporting return in the case of watercraft
|
or aircraft must show
the name and address of the seller; the |
name and address of the
purchaser; the amount of the selling |
price including the amount allowed
by the retailer for |
traded-in property, if any; the amount allowed by
the retailer |
for the traded-in tangible personal property, if any, to
the |
extent to which Section 1 of this Act allows an exemption for |
the
value of traded-in property; the balance payable after |
deducting such
trade-in allowance from the total selling price; |
the amount of tax due
from the retailer with respect to such |
transaction; the amount of tax
collected from the purchaser by |
the retailer on such transaction (or
satisfactory evidence that |
such tax is not due in that particular
instance, if that is |
claimed to be the fact); the place and date of the
sale, a |
sufficient identification of the property sold, and such other
|
information as the Department may reasonably require. |
Such transaction reporting return shall be filed not later |
than 20
days after the day of delivery of the item that is |
being sold, but may
be filed by the retailer at any time sooner |
than that if he chooses to
do so. The transaction reporting |
return and tax remittance or proof of
exemption from the |
Illinois use tax may be transmitted to the Department
by way of |
|
the State agency with which, or State officer with whom the
|
tangible personal property must be titled or registered (if |
titling or
registration is required) if the Department and such |
agency or State
officer determine that this procedure will |
expedite the processing of
applications for title or |
registration. |
With each such transaction reporting return, the retailer |
shall remit
the proper amount of tax due (or shall submit |
satisfactory evidence that
the sale is not taxable if that is |
the case), to the Department or its
agents, whereupon the |
Department shall issue, in the purchaser's name, a
use tax |
receipt (or a certificate of exemption if the Department is
|
satisfied that the particular sale is tax exempt) which such |
purchaser
may submit to the agency with which, or State officer |
with whom, he must
title or register the tangible personal |
property that is involved (if
titling or registration is |
required) in support of such purchaser's
application for an |
Illinois certificate or other evidence of title or
registration |
to such tangible personal property. |
No retailer's failure or refusal to remit tax under this |
Act
precludes a user, who has paid the proper tax to the |
retailer, from
obtaining his certificate of title or other |
evidence of title or
registration (if titling or registration |
is required) upon satisfying
the Department that such user has |
paid the proper tax (if tax is due) to
the retailer. The |
Department shall adopt appropriate rules to carry out
the |
|
mandate of this paragraph. |
If the user who would otherwise pay tax to the retailer |
wants the
transaction reporting return filed and the payment of |
the tax or proof
of exemption made to the Department before the |
retailer is willing to
take these actions and such user has not |
paid the tax to the retailer,
such user may certify to the fact |
of such delay by the retailer and may
(upon the Department |
being satisfied of the truth of such certification)
transmit |
the information required by the transaction reporting return
|
and the remittance for tax or proof of exemption directly to |
the
Department and obtain his tax receipt or exemption |
determination, in
which event the transaction reporting return |
and tax remittance (if a
tax payment was required) shall be |
credited by the Department to the
proper retailer's account |
with the Department, but without the 2.1% or 1.75%
discount |
provided for in this Section being allowed. When the user pays
|
the tax directly to the Department, he shall pay the tax in the |
same
amount and in the same form in which it would be remitted |
if the tax had
been remitted to the Department by the retailer. |
Refunds made by the seller during the preceding return |
period to
purchasers, on account of tangible personal property |
returned to the
seller, shall be allowed as a deduction under |
subdivision 5 of his monthly
or quarterly return, as the case |
may be, in case the
seller had theretofore included the |
receipts from the sale of such
tangible personal property in a |
return filed by him and had paid the tax
imposed by this Act |
|
with respect to such receipts. |
Where the seller is a corporation, the return filed on |
behalf of such
corporation shall be signed by the president, |
vice-president, secretary
or treasurer or by the properly |
accredited agent of such corporation. |
Where the seller is a limited liability company, the return |
filed on behalf
of the limited liability company shall be |
signed by a manager, member, or
properly accredited agent of |
the limited liability company. |
Except as provided in this Section, the retailer filing the |
return
under this Section shall, at the time of filing such |
return, pay to the
Department the amount of tax imposed by this |
Act less a discount of 2.1%
prior to January 1, 1990 and 1.75% |
on and after January 1, 1990, or $5 per
calendar year, |
whichever is greater, which is allowed to
reimburse the |
retailer for the expenses incurred in keeping records,
|
preparing and filing returns, remitting the tax and supplying |
data to
the Department on request. Any prepayment made pursuant |
to Section 2d
of this Act shall be included in the amount on |
which such
2.1% or 1.75% discount is computed. In the case of |
retailers who report
and pay the tax on a transaction by |
transaction basis, as provided in this
Section, such discount |
shall be taken with each such tax remittance
instead of when |
such retailer files his periodic return. The Department may |
disallow the discount for retailers whose certificate of |
registration is revoked at the time the return is filed, but |
|
only if the Department's decision to revoke the certificate of |
registration has become final. |
Before October 1, 2000, if the taxpayer's average monthly |
tax liability
to the Department
under this Act, the Use Tax |
Act, the Service Occupation Tax
Act, and the Service Use Tax |
Act, excluding any liability for prepaid sales
tax to be |
remitted in accordance with Section 2d of this Act, was
$10,000
|
or more during the preceding 4 complete calendar quarters, he |
shall file a
return with the Department each month by the 20th |
day of the month next
following the month during which such tax |
liability is incurred and shall
make payments to the Department |
on or before the 7th, 15th, 22nd and last
day of the month |
during which such liability is incurred.
On and after October |
1, 2000, if the taxpayer's average monthly tax liability
to the |
Department under this Act, the Use Tax Act, the Service |
Occupation Tax
Act, and the Service Use Tax Act, excluding any |
liability for prepaid sales tax
to be remitted in accordance |
with Section 2d of this Act, was $20,000 or more
during the |
preceding 4 complete calendar quarters, he shall file a return |
with
the Department each month by the 20th day of the month |
next following the month
during which such tax liability is |
incurred and shall make payment to the
Department on or before |
the 7th, 15th, 22nd and last day of the month during
which such |
liability is incurred.
If the month
during which such tax |
liability is incurred began prior to January 1, 1985,
each |
payment shall be in an amount equal to 1/4 of the taxpayer's |
|
actual
liability for the month or an amount set by the |
Department not to exceed
1/4 of the average monthly liability |
of the taxpayer to the Department for
the preceding 4 complete |
calendar quarters (excluding the month of highest
liability and |
the month of lowest liability in such 4 quarter period). If
the |
month during which such tax liability is incurred begins on or |
after
January 1, 1985 and prior to January 1, 1987, each |
payment shall be in an
amount equal to 22.5% of the taxpayer's |
actual liability for the month or
27.5% of the taxpayer's |
liability for the same calendar
month of the preceding year. If |
the month during which such tax
liability is incurred begins on |
or after January 1, 1987 and prior to
January 1, 1988, each |
payment shall be in an amount equal to 22.5% of the
taxpayer's |
actual liability for the month or 26.25% of the taxpayer's
|
liability for the same calendar month of the preceding year. If |
the month
during which such tax liability is incurred begins on |
or after January 1,
1988, and prior to January 1, 1989, or |
begins on or after January 1, 1996, each
payment shall be in an |
amount
equal to 22.5% of the taxpayer's actual liability for |
the month or 25% of
the taxpayer's liability for the same |
calendar month of the preceding year. If
the month during which |
such tax liability is incurred begins on or after
January 1, |
1989, and prior to January 1, 1996, each payment shall be in an
|
amount equal to 22.5% of the
taxpayer's actual liability for |
the month or 25% of the taxpayer's
liability for the same |
calendar month of the preceding year or 100% of the
taxpayer's |
|
actual liability for the quarter monthly reporting period. The
|
amount of such quarter monthly payments shall be credited |
against
the final tax liability of the taxpayer's return for |
that month. Before
October 1, 2000, once
applicable, the |
requirement of the making of quarter monthly payments to
the |
Department by taxpayers having an average monthly tax liability |
of
$10,000 or more as determined in the manner provided above
|
shall continue
until such taxpayer's average monthly liability |
to the Department during
the preceding 4 complete calendar |
quarters (excluding the month of highest
liability and the |
month of lowest liability) is less than
$9,000, or until
such |
taxpayer's average monthly liability to the Department as |
computed for
each calendar quarter of the 4 preceding complete |
calendar quarter period
is less than $10,000. However, if a |
taxpayer can show the
Department that
a substantial change in |
the taxpayer's business has occurred which causes
the taxpayer |
to anticipate that his average monthly tax liability for the
|
reasonably foreseeable future will fall below the $10,000 |
threshold
stated above, then
such taxpayer
may petition the |
Department for a change in such taxpayer's reporting
status. On |
and after October 1, 2000, once applicable, the requirement of
|
the making of quarter monthly payments to the Department by |
taxpayers having an
average monthly tax liability of $20,000 or |
more as determined in the manner
provided above shall continue |
until such taxpayer's average monthly liability
to the |
Department during the preceding 4 complete calendar quarters |
|
(excluding
the month of highest liability and the month of |
lowest liability) is less than
$19,000 or until such taxpayer's |
average monthly liability to the Department as
computed for |
each calendar quarter of the 4 preceding complete calendar |
quarter
period is less than $20,000. However, if a taxpayer can |
show the Department
that a substantial change in the taxpayer's |
business has occurred which causes
the taxpayer to anticipate |
that his average monthly tax liability for the
reasonably |
foreseeable future will fall below the $20,000 threshold stated
|
above, then such taxpayer may petition the Department for a |
change in such
taxpayer's reporting status. The Department |
shall change such taxpayer's
reporting status
unless it finds |
that such change is seasonal in nature and not likely to be
|
long term. If any such quarter monthly payment is not paid at |
the time or
in the amount required by this Section, then the |
taxpayer shall be liable for
penalties and interest on the |
difference
between the minimum amount due as a payment and the |
amount of such quarter
monthly payment actually and timely |
paid, except insofar as the
taxpayer has previously made |
payments for that month to the Department in
excess of the |
minimum payments previously due as provided in this Section.
|
The Department shall make reasonable rules and regulations to |
govern the
quarter monthly payment amount and quarter monthly |
payment dates for
taxpayers who file on other than a calendar |
monthly basis. |
The provisions of this paragraph apply before October 1, |
|
2001.
Without regard to whether a taxpayer is required to make |
quarter monthly
payments as specified above, any taxpayer who |
is required by Section 2d
of this Act to collect and remit |
prepaid taxes and has collected prepaid
taxes which average in |
excess of $25,000 per month during the preceding
2 complete |
calendar quarters, shall file a return with the Department as
|
required by Section 2f and shall make payments to the |
Department on or before
the 7th, 15th, 22nd and last day of the |
month during which such liability
is incurred. If the month |
during which such tax liability is incurred
began prior to the |
effective date of this amendatory Act of 1985, each
payment |
shall be in an amount not less than 22.5% of the taxpayer's |
actual
liability under Section 2d. If the month during which |
such tax liability
is incurred begins on or after January 1, |
1986, each payment shall be in an
amount equal to 22.5% of the |
taxpayer's actual liability for the month or
27.5% of the |
taxpayer's liability for the same calendar month of the
|
preceding calendar year. If the month during which such tax |
liability is
incurred begins on or after January 1, 1987, each |
payment shall be in an
amount equal to 22.5% of the taxpayer's |
actual liability for the month or
26.25% of the taxpayer's |
liability for the same calendar month of the
preceding year. |
The amount of such quarter monthly payments shall be
credited |
against the final tax liability of the taxpayer's return for |
that
month filed under this Section or Section 2f, as the case |
may be. Once
applicable, the requirement of the making of |
|
quarter monthly payments to
the Department pursuant to this |
paragraph shall continue until such
taxpayer's average monthly |
prepaid tax collections during the preceding 2
complete |
calendar quarters is $25,000 or less. If any such quarter |
monthly
payment is not paid at the time or in the amount |
required, the taxpayer
shall be liable for penalties and |
interest on such difference, except
insofar as the taxpayer has |
previously made payments for that month in
excess of the |
minimum payments previously due. |
The provisions of this paragraph apply on and after October |
1, 2001.
Without regard to whether a taxpayer is required to |
make quarter monthly
payments as specified above, any taxpayer |
who is required by Section 2d of this
Act to collect and remit |
prepaid taxes and has collected prepaid taxes that
average in |
excess of $20,000 per month during the preceding 4 complete |
calendar
quarters shall file a return with the Department as |
required by Section 2f
and shall make payments to the |
Department on or before the 7th, 15th, 22nd and
last day of the |
month during which the liability is incurred. Each payment
|
shall be in an amount equal to 22.5% of the taxpayer's actual |
liability for the
month or 25% of the taxpayer's liability for |
the same calendar month of the
preceding year. The amount of |
the quarter monthly payments shall be credited
against the |
final tax liability of the taxpayer's return for that month |
filed
under this Section or Section 2f, as the case may be. |
Once applicable, the
requirement of the making of quarter |
|
monthly payments to the Department
pursuant to this paragraph |
shall continue until the taxpayer's average monthly
prepaid tax |
collections during the preceding 4 complete calendar quarters
|
(excluding the month of highest liability and the month of |
lowest liability) is
less than $19,000 or until such taxpayer's |
average monthly liability to the
Department as computed for |
each calendar quarter of the 4 preceding complete
calendar |
quarters is less than $20,000. If any such quarter monthly |
payment is
not paid at the time or in the amount required, the |
taxpayer shall be liable
for penalties and interest on such |
difference, except insofar as the taxpayer
has previously made |
payments for that month in excess of the minimum payments
|
previously due. |
If any payment provided for in this Section exceeds
the |
taxpayer's liabilities under this Act, the Use Tax Act, the |
Service
Occupation Tax Act and the Service Use Tax Act, as |
shown on an original
monthly return, the Department shall, if |
requested by the taxpayer, issue to
the taxpayer a credit |
memorandum no later than 30 days after the date of
payment. The |
credit evidenced by such credit memorandum may
be assigned by |
the taxpayer to a similar taxpayer under this Act, the
Use Tax |
Act, the Service Occupation Tax Act or the Service Use Tax Act, |
in
accordance with reasonable rules and regulations to be |
prescribed by the
Department. If no such request is made, the |
taxpayer may credit such excess
payment against tax liability |
subsequently to be remitted to the Department
under this Act, |
|
the Use Tax Act, the Service Occupation Tax Act or the
Service |
Use Tax Act, in accordance with reasonable rules and |
regulations
prescribed by the Department. If the Department |
subsequently determined
that all or any part of the credit |
taken was not actually due to the
taxpayer, the taxpayer's 2.1% |
and 1.75% vendor's discount shall be reduced
by 2.1% or 1.75% |
of the difference between the credit taken and that
actually |
due, and that taxpayer shall be liable for penalties and |
interest
on such difference. |
If a retailer of motor fuel is entitled to a credit under |
Section 2d of
this Act which exceeds the taxpayer's liability |
to the Department under
this Act for the month which the |
taxpayer is filing a return, the
Department shall issue the |
taxpayer a credit memorandum for the excess. |
Beginning January 1, 1990, each month the Department shall |
pay into
the Local Government Tax Fund, a special fund in the |
State treasury which
is hereby created, the net revenue |
realized for the preceding month from
the 1% tax on sales of |
food for human consumption which is to be consumed
off the |
premises where it is sold (other than alcoholic beverages, soft
|
drinks and food which has been prepared for immediate |
consumption) and
prescription and nonprescription medicines, |
drugs, medical appliances and
insulin, urine testing |
materials, syringes and needles used by diabetics. |
Beginning January 1, 1990, each month the Department shall |
pay into
the County and Mass Transit District Fund, a special |
|
fund in the State
treasury which is hereby created, 4% of the |
net revenue realized
for the preceding month from the 6.25% |
general rate. |
Beginning August 1, 2000, each
month the Department shall |
pay into the
County and Mass Transit District Fund 20% of the |
net revenue realized for the
preceding month from the 1.25% |
rate on the selling price of motor fuel and
gasohol. Beginning |
September 1, 2010, each month the Department shall pay into the |
County and Mass Transit District Fund 20% of the net revenue |
realized for the preceding month from the 1.25% rate on the |
selling price of sales tax holiday items. |
Beginning January 1, 1990, each month the Department shall |
pay into
the Local Government Tax Fund 16% of the net revenue |
realized for the
preceding month from the 6.25% general rate on |
the selling price of
tangible personal property. |
Beginning August 1, 2000, each
month the Department shall |
pay into the
Local Government Tax Fund 80% of the net revenue |
realized for the preceding
month from the 1.25% rate on the |
selling price of motor fuel and gasohol. Beginning September 1, |
2010, each month the Department shall pay into the Local |
Government Tax Fund 80% of the net revenue realized for the |
preceding month from the 1.25% rate on the selling price of |
sales tax holiday items. |
Beginning October 1, 2009, each month the Department shall |
pay into the Capital Projects Fund an amount that is equal to |
an amount estimated by the Department to represent 80% of the |
|
net revenue realized for the preceding month from the sale of |
candy, grooming and hygiene products, and soft drinks that had |
been taxed at a rate of 1% prior to September 1, 2009 but that |
are is now taxed at 6.25%. |
Beginning July 1, 2011, each
month the Department shall pay |
into the Clean Air Act (CAA) Permit Fund 80% of the net revenue |
realized for the
preceding month from the 6.25% general rate on |
the selling price of sorbents used in Illinois in the process |
of sorbent injection as used to comply with the Environmental |
Protection Act or the federal Clean Air Act, but the total |
payment into the Clean Air Act (CAA) Permit Fund under this Act |
and the Use Tax Act shall not exceed $2,000,000 in any fiscal |
year. |
Beginning July 1, 2013, each month the Department shall pay |
into the Underground Storage Tank Fund from the proceeds |
collected under this Act, the Use Tax Act, the Service Use Tax |
Act, and the Service Occupation Tax Act an amount equal to the |
average monthly deficit in the Underground Storage Tank Fund |
during the prior year, as certified annually by the Illinois |
Environmental Protection Agency, but the total payment into the |
Underground Storage Tank Fund under this Act, the Use Tax Act, |
the Service Use Tax Act, and the Service Occupation Tax Act |
shall not exceed $18,000,000 in any State fiscal year. As used |
in this paragraph, the "average monthly deficit" shall be equal |
to the difference between the average monthly claims for |
payment by the fund and the average monthly revenues deposited |
|
into the fund, excluding payments made pursuant to this |
paragraph. |
Of the remainder of the moneys received by the Department |
pursuant
to this Act, (a) 1.75% thereof shall be paid into the |
Build Illinois
Fund and (b) prior to July 1, 1989, 2.2% and on |
and after July 1, 1989,
3.8% thereof shall be paid into the |
Build Illinois Fund; provided, however,
that if in any fiscal |
year the sum of (1) the aggregate of 2.2% or 3.8%, as
the case |
may be, of the moneys received by the Department and required |
to
be paid into the Build Illinois Fund pursuant to this Act, |
Section 9 of the
Use Tax Act, Section 9 of the Service Use Tax |
Act, and Section 9 of the
Service Occupation Tax Act, such Acts |
being hereinafter called the "Tax
Acts" and such aggregate of |
2.2% or 3.8%, as the case may be, of moneys
being hereinafter |
called the "Tax Act Amount", and (2) the amount
transferred to |
the Build Illinois Fund from the State and Local Sales Tax
|
Reform Fund shall be less than the Annual Specified Amount (as |
hereinafter
defined), an amount equal to the difference shall |
be immediately paid into
the Build Illinois Fund from other |
moneys received by the Department
pursuant to the Tax Acts; the |
"Annual Specified Amount" means the amounts
specified below for |
fiscal years 1986 through 1993: |
|
Fiscal Year | Annual Specified Amount | |
1986 | $54,800,000 | |
1987 | $76,650,000 | |
1988 | $80,480,000 | |
|
|
1989 | $88,510,000 | |
1990 | $115,330,000 | |
1991 | $145,470,000 | |
1992 | $182,730,000 | |
1993 | $206,520,000; |
|
and means the Certified Annual Debt Service Requirement (as |
defined in
Section 13 of the Build Illinois Bond Act) or the |
Tax Act Amount, whichever
is greater, for fiscal year 1994 and |
each fiscal year thereafter; and
further provided, that if on |
the last business day of any month the sum of
(1) the Tax Act |
Amount required to be deposited into the Build Illinois
Bond |
Account in the Build Illinois Fund during such month and (2) |
the
amount transferred to the Build Illinois Fund from the |
State and Local
Sales Tax Reform Fund shall have been less than |
1/12 of the Annual
Specified Amount, an amount equal to the |
difference shall be immediately
paid into the Build Illinois |
Fund from other moneys received by the
Department pursuant to |
the Tax Acts; and, further provided, that in no
event shall the |
payments required under the preceding proviso result in
|
aggregate payments into the Build Illinois Fund pursuant to |
this clause (b)
for any fiscal year in excess of the greater of |
(i) the Tax Act Amount or
(ii) the Annual Specified Amount for |
such fiscal year. The amounts payable
into the Build Illinois |
Fund under clause (b) of the first sentence in this
paragraph |
shall be payable only until such time as the aggregate amount |
on
deposit under each trust indenture securing Bonds issued and |
|
outstanding
pursuant to the Build Illinois Bond Act is |
sufficient, taking into account
any future investment income, |
to fully provide, in accordance with such
indenture, for the |
defeasance of or the payment of the principal of,
premium, if |
any, and interest on the Bonds secured by such indenture and on
|
any Bonds expected to be issued thereafter and all fees and |
costs payable
with respect thereto, all as certified by the |
Director of the Bureau of the
Budget (now Governor's Office of |
Management and Budget). If on the last
business day of any |
month in which Bonds are
outstanding pursuant to the Build |
Illinois Bond Act, the aggregate of
moneys deposited in the |
Build Illinois Bond Account in the Build Illinois
Fund in such |
month shall be less than the amount required to be transferred
|
in such month from the Build Illinois Bond Account to the Build |
Illinois
Bond Retirement and Interest Fund pursuant to Section |
13 of the Build
Illinois Bond Act, an amount equal to such |
deficiency shall be immediately
paid from other moneys received |
by the Department pursuant to the Tax Acts
to the Build |
Illinois Fund; provided, however, that any amounts paid to the
|
Build Illinois Fund in any fiscal year pursuant to this |
sentence shall be
deemed to constitute payments pursuant to |
clause (b) of the first sentence
of this paragraph and shall |
reduce the amount otherwise payable for such
fiscal year |
pursuant to that clause (b). The moneys received by the
|
Department pursuant to this Act and required to be deposited |
into the Build
Illinois Fund are subject to the pledge, claim |
|
and charge set forth in
Section 12 of the Build Illinois Bond |
Act. |
Subject to payment of amounts into the Build Illinois Fund |
as provided in
the preceding paragraph or in any amendment |
thereto hereafter enacted, the
following specified monthly |
installment of the amount requested in the
certificate of the |
Chairman of the Metropolitan Pier and Exposition
Authority |
provided under Section 8.25f of the State Finance Act, but not |
in
excess of sums designated as "Total Deposit", shall be |
deposited in the
aggregate from collections under Section 9 of |
the Use Tax Act, Section 9 of
the Service Use Tax Act, Section |
9 of the Service Occupation Tax Act, and
Section 3 of the |
Retailers' Occupation Tax Act into the McCormick Place
|
Expansion Project Fund in the specified fiscal years. |
|
Fiscal Year | | Total Deposit | |
1993 | | $0 | |
1994 | | 53,000,000 | |
1995 | | 58,000,000 | |
1996 | | 61,000,000 | |
1997 | | 64,000,000 | |
1998 | | 68,000,000 | |
1999 | | 71,000,000 | |
2000 | | 75,000,000 | |
2001 | | 80,000,000 | |
2002 | | 93,000,000 | |
|
|
2003 | | 99,000,000 | |
2004 | | 103,000,000 | |
2005 | | 108,000,000 | |
2006 | | 113,000,000 | |
2007 | | 119,000,000 | |
2008 | | 126,000,000 | |
2009 | | 132,000,000 | |
2010 | | 139,000,000 | |
2011 | | 146,000,000 | |
2012 | | 153,000,000 | |
2013 | | 161,000,000 | |
2014 | | 170,000,000 | |
2015 | | 179,000,000 | |
2016 | | 189,000,000 | |
2017 | | 199,000,000 | |
2018 | | 210,000,000 | |
2019 | | 221,000,000 | |
2020 | | 233,000,000 | |
2021 | | 246,000,000 | |
2022 | | 260,000,000 | |
2023 | | 275,000,000 | |
2024 | | 275,000,000 | |
2025 | | 275,000,000 | |
2026 | | 279,000,000 | |
2027 | | 292,000,000 | |
2028 | | 307,000,000 | |
|
|
2029 | | 322,000,000 | |
2030 | | 338,000,000 | |
2031 | | 350,000,000 | |
2032 | | 350,000,000 | |
and | | |
|
each fiscal year | | |
|
thereafter that bonds | | |
|
are outstanding under | | |
|
Section 13.2 of the | | |
|
Metropolitan Pier and | | |
|
Exposition Authority Act, | | |
|
but not after fiscal year 2060. | | |
|
Beginning July 20, 1993 and in each month of each fiscal |
year thereafter,
one-eighth of the amount requested in the |
certificate of the Chairman of
the Metropolitan Pier and |
Exposition Authority for that fiscal year, less
the amount |
deposited into the McCormick Place Expansion Project Fund by |
the
State Treasurer in the respective month under subsection |
(g) of Section 13
of the Metropolitan Pier and Exposition |
Authority Act, plus cumulative
deficiencies in the deposits |
required under this Section for previous
months and years, |
shall be deposited into the McCormick Place Expansion
Project |
Fund, until the full amount requested for the fiscal year, but |
not
in excess of the amount specified above as "Total Deposit", |
has been deposited. |
Subject to payment of amounts into the Build Illinois Fund |
|
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs
or in any amendments
thereto hereafter |
enacted, beginning July 1, 1993 and ending on September 30, |
2013, the Department shall each
month pay into the Illinois Tax |
Increment Fund 0.27% of 80% of the net revenue
realized for the |
preceding month from the 6.25% general rate on the selling
|
price of tangible personal property. |
Subject to payment of amounts into the Build Illinois Fund |
and the
McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or in any
amendments thereto hereafter |
enacted, beginning with the receipt of the first
report of |
taxes paid by an eligible business and continuing for a 25-year
|
period, the Department shall each month pay into the Energy |
Infrastructure
Fund 80% of the net revenue realized from the |
6.25% general rate on the
selling price of Illinois-mined coal |
that was sold to an eligible business.
For purposes of this |
paragraph, the term "eligible business" means a new
electric |
generating facility certified pursuant to Section 605-332 of |
the
Department of Commerce and Economic Opportunity
Law of the |
Civil Administrative Code of Illinois. |
Of the remainder of the moneys received by the Department |
pursuant to
this Act, 75% thereof shall be paid into the State |
Treasury and 25% shall
be reserved in a special account and |
used only for the transfer to the
Common School Fund as part of |
the monthly transfer from the General Revenue
Fund in |
accordance with Section 8a of the State Finance Act. |
|
The Department may, upon separate written notice to a |
taxpayer,
require the taxpayer to prepare and file with the |
Department on a form
prescribed by the Department within not |
less than 60 days after receipt
of the notice an annual |
information return for the tax year specified in
the notice. |
Such annual return to the Department shall include a
statement |
of gross receipts as shown by the retailer's last Federal |
income
tax return. If the total receipts of the business as |
reported in the
Federal income tax return do not agree with the |
gross receipts reported to
the Department of Revenue for the |
same period, the retailer shall attach
to his annual return a |
schedule showing a reconciliation of the 2
amounts and the |
reasons for the difference. The retailer's annual
return to the |
Department shall also disclose the cost of goods sold by
the |
retailer during the year covered by such return, opening and |
closing
inventories of such goods for such year, costs of goods |
used from stock
or taken from stock and given away by the |
retailer during such year,
payroll information of the |
retailer's business during such year and any
additional |
reasonable information which the Department deems would be
|
helpful in determining the accuracy of the monthly, quarterly |
or annual
returns filed by such retailer as provided for in |
this Section. |
If the annual information return required by this Section |
is not
filed when and as required, the taxpayer shall be liable |
as follows: |
|
(i) Until January 1, 1994, the taxpayer shall be liable
|
for a penalty equal to 1/6 of 1% of the tax due from such |
taxpayer under
this Act during the period to be covered by |
the annual return for each
month or fraction of a month |
until such return is filed as required, the
penalty to be |
assessed and collected in the same manner as any other
|
penalty provided for in this Act. |
(ii) On and after January 1, 1994, the taxpayer shall |
be
liable for a penalty as described in Section 3-4 of the |
Uniform Penalty and
Interest Act. |
The chief executive officer, proprietor, owner or highest |
ranking
manager shall sign the annual return to certify the |
accuracy of the
information contained therein. Any person who |
willfully signs the
annual return containing false or |
inaccurate information shall be guilty
of perjury and punished |
accordingly. The annual return form prescribed
by the |
Department shall include a warning that the person signing the
|
return may be liable for perjury. |
The provisions of this Section concerning the filing of an |
annual
information return do not apply to a retailer who is not |
required to
file an income tax return with the United States |
Government. |
As soon as possible after the first day of each month, upon |
certification
of the Department of Revenue, the Comptroller |
shall order transferred and
the Treasurer shall transfer from |
the General Revenue Fund to the Motor
Fuel Tax Fund an amount |
|
equal to 1.7% of 80% of the net revenue realized
under this Act |
for the second preceding
month.
Beginning April 1, 2000, this |
transfer is no longer required
and shall not be made. |
Net revenue realized for a month shall be the revenue |
collected by the
State pursuant to this Act, less the amount |
paid out during that month as
refunds to taxpayers for |
overpayment of liability. |
For greater simplicity of administration, manufacturers, |
importers
and wholesalers whose products are sold at retail in |
Illinois by
numerous retailers, and who wish to do so, may |
assume the responsibility
for accounting and paying to the |
Department all tax accruing under this
Act with respect to such |
sales, if the retailers who are affected do not
make written |
objection to the Department to this arrangement. |
Any person who promotes, organizes, provides retail |
selling space for
concessionaires or other types of sellers at |
the Illinois State Fair, DuQuoin
State Fair, county fairs, |
local fairs, art shows, flea markets and similar
exhibitions or |
events, including any transient merchant as defined by Section |
2
of the Transient Merchant Act of 1987, is required to file a |
report with the
Department providing the name of the merchant's |
business, the name of the
person or persons engaged in |
merchant's business, the permanent address and
Illinois |
Retailers Occupation Tax Registration Number of the merchant, |
the
dates and location of the event and other reasonable |
information that the
Department may require. The report must be |
|
filed not later than the 20th day
of the month next following |
the month during which the event with retail sales
was held. |
Any person who fails to file a report required by this Section
|
commits a business offense and is subject to a fine not to |
exceed $250. |
Any person engaged in the business of selling tangible |
personal
property at retail as a concessionaire or other type |
of seller at the
Illinois State Fair, county fairs, art shows, |
flea markets and similar
exhibitions or events, or any |
transient merchants, as defined by Section 2
of the Transient |
Merchant Act of 1987, may be required to make a daily report
of |
the amount of such sales to the Department and to make a daily |
payment of
the full amount of tax due. The Department shall |
impose this
requirement when it finds that there is a |
significant risk of loss of
revenue to the State at such an |
exhibition or event. Such a finding
shall be based on evidence |
that a substantial number of concessionaires
or other sellers |
who are not residents of Illinois will be engaging in
the |
business of selling tangible personal property at retail at the
|
exhibition or event, or other evidence of a significant risk of |
loss of revenue
to the State. The Department shall notify |
concessionaires and other sellers
affected by the imposition of |
this requirement. In the absence of
notification by the |
Department, the concessionaires and other sellers
shall file |
their returns as otherwise required in this Section. |
(Source: P.A. 97-95, eff. 7-12-11; 97-333, eff. 8-12-11; 98-24, |
|
eff. 6-19-13; 98-109, eff. 7-25-13; 98-496, eff. 1-1-14; |
revised 9-9-13.) |
Section 195. The Property Tax Code is amended by changing |
Sections 9-275 and 15-170 as follows: |
(35 ILCS 200/9-275) |
Sec. 9-275. Erroneous homestead exemptions. |
(a) For purposes of this Section: |
"Erroneous homestead exemption" means a homestead |
exemption that was granted for real property in a taxable year |
if the property was not eligible for that exemption in that |
taxable year. If the taxpayer receives an erroneous homestead |
exemption under a single Section of this Code for the same |
property in multiple years, that exemption is considered a |
single erroneous homestead exemption for purposes of this |
Section. However, if the taxpayer receives erroneous homestead |
exemptions under multiple Sections of this Code for the same |
property, or if the taxpayer receives erroneous homestead |
exemptions under the same Section of this Code for multiple |
properties, then each of those exemptions is considered a |
separate erroneous homestead exemption for purposes of this |
Section. |
"Homestead exemption" means an exemption under Section |
15-165 (disabled veterans), 15-167 (returning veterans), |
15-168 (disabled persons), 15-169 (disabled veterans standard |
|
homestead), 15-170 (senior citizens), 15-172 (senior citizens |
assessment freeze), 15-175 (general homestead), 15-176 |
(alternative general homestead), or 15-177 (long-time |
occupant). |
(b) Notwithstanding any other provision of law, in counties |
with 3,000,000 or more inhabitants, the chief county assessment |
officer shall include the following information with each |
assessment notice sent in a general assessment year: (1) a list |
of each homestead exemption available under Article 15 of this |
Code and a description of the eligibility criteria for that |
exemption; (2) a list of each homestead exemption applied to |
the property in the current assessment year; (3) information |
regarding penalties and interest that may be incurred under |
this Section if the property owner received an erroneous |
homestead exemption in a previous taxable year; and (4) notice |
of the 60-day grace period available under this subsection. If, |
within 60 days after receiving his or her assessment notice, |
the property owner notifies the chief county assessment officer |
that he or she received an erroneous homestead exemption in a |
previous assessment year, and if the property owner pays the |
principal amount of back taxes due and owing with respect to |
that exemption, plus interest as provided in subsection (f), |
then the property owner shall not be liable for the penalties |
provided in subsection (f) with respect to that exemption. |
(c) The chief county assessment officer in a county with |
3,000,000 or more inhabitants may cause a lien to be recorded |
|
against property that (1) is located in the county and (2) |
received one or more erroneous homestead exemptions if, upon |
determination of the chief county assessment officer, the |
property owner received: (A) one or 2 erroneous homestead |
exemptions for real property, including at least one erroneous |
homestead exemption granted for the property against which the |
lien is sought, during any of the 3 assessment years |
immediately prior to the assessment year in which the notice of |
intent to record at tax lien is served; or (B) (2) 3 or more |
erroneous homestead exemptions for real property, including at |
least one erroneous homestead exemption granted for the |
property against which the lien is sought, during any of the 6 |
assessment years immediately prior to the assessment year in |
which the notice of intent to record at tax lien is served. |
Prior to recording the lien against the property, the chief |
county assessment officer shall cause to be served, by both |
regular mail and certified mail, return receipt requested, on |
the person to whom the most recent tax bill was mailed and the |
owner of record, a notice of intent to record a tax lien |
against the property. |
(d) The notice of intent to record a tax lien described in |
subsection (c) shall: (1) identify, by property index number, |
the property against which the lien is being sought; (2) |
identify each specific homestead exemption that was |
erroneously granted and the year or years in which each |
exemption was granted; (3) set forth the arrearage of taxes |
|
that would have been due if not for the erroneous homestead |
exemptions; (4) inform the property owner that he or she may |
request a hearing within 30 days after service and may appeal |
the hearing officer's ruling to the circuit court; and (5) |
inform the property owner that he or she may pay the amount |
due, plus interest and penalties, within 30 days after service. |
(e) The notice must also include a form that the property |
owner may return to the chief county assessment officer to |
request a hearing. The property owner may request a hearing by |
returning the form within 30 days after service. The hearing |
shall be held within 90 days after the property owner is |
served. The chief county assessment officer shall promulgate |
rules of service and procedure for the hearing. The chief |
county assessment officer must generally follow rules of |
evidence and practices that prevail in the county circuit |
courts, but, because of the nature of these proceedings, the |
chief county assessment officer is not bound by those rules in |
all particulars. The chief county assessment officer shall |
appoint a hearing officer to oversee the hearing. The property |
owner shall be allowed to present evidence to the hearing |
officer at the hearing. After taking into consideration all the |
relevant testimony and evidence, the hearing officer shall make |
an administrative decision on whether the property owner was |
erroneously granted a homestead exemption for the assessment |
year in question. The property owner may appeal the hearing |
officer's ruling to the circuit court of the county where the |
|
property is located as a final administrative decision under |
the Administrative Review Law. |
(f) A lien against the property imposed under this Section |
shall be filed with the county recorder of deeds, but may not |
be filed sooner than 60 days after the notice was delivered to |
the property owner if the property owner does not request a |
hearing, or until the conclusion of the hearing and all appeals |
if the property owner does request a hearing. If a lien is |
filed pursuant to this Section and the property owner received |
one or 2 erroneous homestead exemptions during any of the 3 |
assessment years immediately prior to the assessment year in |
which the notice of intent to record at tax lien is served, |
then the arrearages of taxes that might have been assessed for |
that property, plus 10% interest per annum, shall be charged |
against the property by the county treasurer. However, if a |
lien is filed pursuant to this Section and the property owner |
received 3 or more erroneous homestead exemptions during any of |
the 6 assessment years immediately prior to the assessment year |
in which the notice of intent to record at tax lien is served, |
the arrearages of taxes that might have been assessed for that |
property, plus a penalty of 50% of the total amount of unpaid |
taxes for each year for that property and 10% interest per |
annum, shall be charged against the property by the county |
treasurer. |
(g) If a person received an erroneous homestead exemption |
under Section 15-170 and: (1) the person was the spouse, child, |
|
grandchild, brother, sister, niece, or nephew of the previous |
owner; and (2) the person received the property by bequest or |
inheritance; then the person is not liable for the penalties |
imposed under this subsection for any year or years during |
which the county did not require an annual application for the |
exemption. However, that person is responsible for any interest |
owed under subsection (f). |
(h) If the erroneous homestead exemption was granted as a |
result of a clerical error or omission on the part of the chief |
county assessment officer, and if the owner has paid its tax |
bills as received for the year in which the error occurred, |
then the interest and penalties authorized by this Section with |
respect to that homestead exemption shall not be chargeable to |
the owner. However, nothing in this Section shall prevent the |
collection of the principal amount of back taxes due and owing. |
(i) A lien under this Section is not valid as to (1) any |
bona fide purchaser for value without notice of the erroneous |
homestead exemption whose rights in and to the underlying |
parcel arose after the erroneous homestead exemption was |
granted but before the filing of the notice of lien; or (2) any |
mortgagee, judgment creditor, or other lienor whose rights in |
and to the underlying parcel arose before the filing of the |
notice of lien. A title insurance policy for the property that |
is issued by a title company licensed to do business in the |
State showing that the property is free and clear of any liens |
imposed under this Section shall be prima facie evidence that |
|
the property owner is without notice of the erroneous homestead |
exemption. Nothing in this Section shall be deemed to impair |
the rights of subsequent creditors and subsequent purchasers |
under Section 30 of the Conveyances Act. |
(j) When a lien is filed against the property pursuant to |
this Section, the chief county assessment officer shall mail a |
copy of the lien to the person to whom the most recent tax bill |
was mailed and to the owner of record, and the outstanding |
liability created by such a lien is due and payable within 30 |
days after the mailing of the lien by the chief county |
assessment officer. Payment shall be made to the chief county |
assessment officer who shall, upon receipt of the full amount |
due, provide in reasonable form a release of the lien and shall |
transmit the funds received to the county treasurer for |
distribution as provided in subsection (i) of this Section. |
This liability is deemed delinquent and shall bear interest |
beginning on the day after the due date. |
(k) The unpaid taxes shall be paid to the appropriate |
taxing districts. Interest shall be paid to the county where |
the property is located. The penalty shall be paid to the chief |
county assessment officer's office for the administration of |
the provisions of this amendatory Act of the 98th General |
Assembly. |
(l) The chief county assessment officer in a county with |
3,000,000 or more inhabitants shall establish an amnesty period |
for all taxpayers owing any tax due to an erroneous homestead |
|
exemption granted in a tax year prior to the 2013 tax year. The |
amnesty period shall begin on the effective date of this |
amendatory Act of the 98th General Assembly and shall run |
through December 31, 2013. If, during the amnesty period, the |
taxpayer pays the entire arrearage of taxes due for tax years |
prior to 2013, the county clerk shall abate and not seek to |
collect any interest or penalties that may be applicable and |
shall not seek civil or criminal prosecution for any taxpayer |
for tax years prior to 2013. Failure to pay all such taxes due |
during the amnesty period established under this Section shall |
invalidate the amnesty period for that taxpayer. |
The chief county assessment officer in a county with |
3,000,000 or more inhabitants shall (i) mail notice of the |
amnesty period with the tax bills for the second installment of |
taxes for the 2012 assessment year and (ii) as soon as possible |
after the effective date of this amendatory Act of the 98th |
General Assembly, publish notice of the amnesty period in a |
newspaper of general circulation in the county. Notices shall |
include information on the amnesty period, its purpose, and the |
method in which to make payment. |
Taxpayers who are a party to any criminal investigation or |
to any civil or criminal litigation that is pending in any |
circuit court or appellate court, or in the Supreme Court of |
this State, for nonpayment, delinquency, or fraud in relation |
to any property tax imposed by any taxing district located in |
the State on the effective date of this amendatory Act of the |
|
98th General Assembly may not take advantage of the amnesty |
period. |
A taxpayer who has claimed 3 or more homestead exemptions |
in error shall not be eligible for the amnesty period |
established under this subsection.
|
(Source: P.A. 98-93, eff. 7-16-13; revised 9-11-13.) |
(35 ILCS 200/15-170) |
Sec. 15-170. Senior Citizens Homestead Exemption. An |
annual homestead
exemption limited, except as described here |
with relation to cooperatives or
life care facilities, to a
|
maximum reduction set forth below from the property's value, as |
equalized or
assessed by the Department, is granted for |
property that is occupied as a
residence by a person 65 years |
of age or older who is liable for paying real
estate taxes on |
the property and is an owner of record of the property or has a
|
legal or equitable interest therein as evidenced by a written |
instrument,
except for a leasehold interest, other than a |
leasehold interest of land on
which a single family residence |
is located, which is occupied as a residence by
a person 65 |
years or older who has an ownership interest therein, legal,
|
equitable or as a lessee, and on which he or she is liable for |
the payment
of property taxes. Before taxable year 2004, the |
maximum reduction shall be $2,500 in counties with
3,000,000 or |
more inhabitants and $2,000 in all other counties. For taxable |
years 2004 through 2005, the maximum reduction shall be $3,000 |
|
in all counties. For taxable years 2006 and 2007, the maximum |
reduction shall be $3,500. For taxable years 2008 through 2011, |
the maximum reduction is $4,000 in all counties.
For taxable |
year 2012, the maximum reduction is $5,000 in counties with
|
3,000,000 or more inhabitants and $4,000 in all other counties. |
For taxable years 2013 and thereafter, the maximum reduction is |
$5,000 in all counties. |
For land
improved with an apartment building owned and |
operated as a cooperative, the maximum reduction from the value |
of the property, as
equalized
by the Department, shall be |
multiplied by the number of apartments or units
occupied by a |
person 65 years of age or older who is liable, by contract with
|
the owner or owners of record, for paying property taxes on the |
property and
is an owner of record of a legal or equitable |
interest in the cooperative
apartment building, other than a |
leasehold interest. For land improved with
a life care |
facility, the maximum reduction from the value of the property, |
as
equalized by the Department, shall be multiplied by the |
number of apartments or
units occupied by persons 65 years of |
age or older, irrespective of any legal,
equitable, or |
leasehold interest in the facility, who are liable, under a
|
contract with the owner or owners of record of the facility, |
for paying
property taxes on the property. In a
cooperative or |
a life care facility where a
homestead exemption has been |
granted, the cooperative association or the
management firm of |
the cooperative or facility shall credit the savings
resulting |
|
from that exemption only to
the apportioned tax liability of |
the owner or resident who qualified for
the exemption.
Any |
person who willfully refuses to so credit the savings shall be |
guilty of a
Class B misdemeanor. Under this Section and |
Sections 15-175, 15-176, and 15-177, "life care
facility" means |
a facility, as defined in Section 2 of the Life Care Facilities
|
Act, with which the applicant for the homestead exemption has a |
life care
contract as defined in that Act. |
When a homestead exemption has been granted under this |
Section and the person
qualifying subsequently becomes a |
resident of a facility licensed under the Assisted Living and |
Shared Housing Act, the Nursing Home Care Act, the Specialized |
Mental Health Rehabilitation Act of 2013, or the ID/DD |
Community Care Act, the exemption shall continue so long as the |
residence
continues to be occupied by the qualifying person's |
spouse if the spouse is 65
years of age or older, or if the |
residence remains unoccupied but is still
owned by the person |
qualified for the homestead exemption. |
A person who will be 65 years of age
during the current |
assessment year
shall
be eligible to apply for the homestead |
exemption during that assessment
year.
Application shall be |
made during the application period in effect for the
county of |
his residence. |
Beginning with assessment year 2003, for taxes payable in |
2004,
property
that is first occupied as a residence after |
January 1 of any assessment year by
a person who is eligible |
|
for the senior citizens homestead exemption under this
Section |
must be granted a pro-rata exemption for the assessment year. |
The
amount of the pro-rata exemption is the exemption
allowed |
in the county under this Section divided by 365 and multiplied |
by the
number of days during the assessment year the property |
is occupied as a
residence by a
person eligible for the |
exemption under this Section. The chief county
assessment |
officer must adopt reasonable procedures to establish |
eligibility
for this pro-rata exemption. |
The assessor or chief county assessment officer may |
determine the eligibility
of a life care facility to receive |
the benefits provided by this Section, by
affidavit, |
application, visual inspection, questionnaire or other |
reasonable
methods in order to insure that the tax savings |
resulting from the exemption
are credited by the management |
firm to the apportioned tax liability of each
qualifying |
resident. The assessor may request reasonable proof that the
|
management firm has so credited the exemption. |
The chief county assessment officer of each county with |
less than 3,000,000
inhabitants shall provide to each person |
allowed a homestead exemption under
this Section a form to |
designate any other person to receive a
duplicate of any notice |
of delinquency in the payment of taxes assessed and
levied |
under this Code on the property of the person receiving the |
exemption.
The duplicate notice shall be in addition to the |
notice required to be
provided to the person receiving the |
|
exemption, and shall be given in the
manner required by this |
Code. The person filing the request for the duplicate
notice |
shall pay a fee of $5 to cover administrative costs to the |
supervisor of
assessments, who shall then file the executed |
designation with the county
collector. Notwithstanding any |
other provision of this Code to the contrary,
the filing of |
such an executed designation requires the county collector to
|
provide duplicate notices as indicated by the designation. A |
designation may
be rescinded by the person who executed such |
designation at any time, in the
manner and form required by the |
chief county assessment officer. |
The assessor or chief county assessment officer may |
determine the
eligibility of residential property to receive |
the homestead exemption provided
by this Section by |
application, visual inspection, questionnaire or other
|
reasonable methods. The determination shall be made in |
accordance with
guidelines established by the Department. |
In counties with 3,000,000 or more inhabitants, beginning |
in taxable year 2010, each taxpayer who has been granted an |
exemption under this Section must reapply on an annual basis. |
The chief county assessment officer shall mail the application |
to the taxpayer. In counties with less than 3,000,000 |
inhabitants, the county board may by
resolution provide that if |
a person has been granted a homestead exemption
under this |
Section, the person qualifying need not reapply for the |
exemption. |
|
In counties with less than 3,000,000 inhabitants, if the |
assessor or chief
county assessment officer requires annual |
application for verification of
eligibility for an exemption |
once granted under this Section, the application
shall be |
mailed to the taxpayer. |
The assessor or chief county assessment officer shall |
notify each person
who qualifies for an exemption under this |
Section that the person may also
qualify for deferral of real |
estate taxes under the Senior Citizens Real Estate
Tax Deferral |
Act. The notice shall set forth the qualifications needed for
|
deferral of real estate taxes, the address and telephone number |
of
county collector, and a
statement that applications for |
deferral of real estate taxes may be obtained
from the county |
collector. |
Notwithstanding Sections 6 and 8 of the State Mandates Act, |
no
reimbursement by the State is required for the |
implementation of any mandate
created by this Section. |
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-7, eff. 4-23-13; 98-104, eff. 7-22-13; revised |
8-12-13.) |
Section 200. The Illinois Hydraulic Fracturing Tax Act is |
amended by changing Sections 2-15, 2-45, and 2-50 as follows: |
(35 ILCS 450/2-15)
|
Sec. 2-15. Tax imposed. |
|
(a) For oil and gas removed on or after July 1, 2013, there |
is hereby imposed a tax upon the severance and production of |
oil or gas from a well on a production unit in this State |
permitted, or required to be permitted, under the Illinois |
Hydraulic Fracturing Regulatory Act, for sale, transport, |
storage, profit, or commercial use. The tax shall be applied |
equally to all portions of the value of each barrel of oil |
severed and subject to such tax and to the value of the gas |
severed and subject to such tax. For a period of 24 months from |
the month in which oil or gas was first produced from the well, |
the rate of tax shall be 3% of the value of the oil or gas |
severed from the earth or water in this State. Thereafter, the |
rate of the tax shall be as follows: |
(1) For oil: |
(A) where the average daily production from the |
well during the month is less than 25 barrels, 3% of |
the value of the oil severed from the earth or water; |
(B) where the average daily production from the |
well during the month is 25 or more barrels but less |
than 50 barrels, 4% of the value of the oil severed |
from the earth or water; |
(C) where the average daily production from the |
well during the month is 50 or more barrels but less |
than 100 barrels, 5% of the value of the oil severed |
from the earth or water; or |
(D) where the average daily production from the |
|
well during the month is 100 or more barrels, 6% of the |
value of the oil severed from the earth or water. |
(2) For gas, 6% of the value of the gas severed from |
the earth or water. |
If a well is required to be permitted under the Illinois |
Hydraulic Fracturing Regulatory Act, the tax imposed by this |
Section applies, whether or not a permit was obtained. |
(b) Oil produced from a well whose average daily production |
is 15 barrels or less for the 12-month period immediately |
preceding the production is exempt from the tax imposed by this |
Act.
|
(c) For the purposes of the tax imposed by this Act the |
amount of oil produced shall be measured or determined, in the |
case of oil, by tank tables, without deduction for overage or |
losses in handling. Allowance for any reasonable and bona fide |
deduction for basic sediment and water, and for correction of |
temperature to 60 degrees Fahrenheit will be allowed. For the |
purposes of the tax imposed by this Act the amount of gas |
produced shall be measured or determined, by meter readings |
showing 100% of the full volume expressed in cubic feet at a |
standard base and flowing temperature of 60 degrees Fahrenheit, |
and at the absolute pressure at which the gas is sold and |
purchased. Correction shall be made for pressure according to |
Boyle's law, and used for specific gravity according to the |
gravity at which the gas is sold and purchased. |
(d) The following severance and production of gas shall be |
|
exempt from the tax imposed by this Act: gas injected into the |
earth for the purpose of lifting oil, recycling, or |
repressuring; gas used for fuel in connection with the |
operation and development for, or production of, oil or gas in |
the production unit where severed; and gas lawfully vented or |
flared; gas inadvertently lost on the production unit by reason |
of leaks, blowouts, or other accidental losses. |
(e) All oil and gas removed from the premises where severed |
is subject to the tax imposed by this Act unless exempt under |
the terms of this Act.
|
(f) The liability for the tax accrues at the time the oil |
or gas is removed from the production unit.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 10-7-13.)
|
(35 ILCS 450/2-45)
|
Sec. 2-45. Purchaser's return and tax remittance. Each |
purchaser shall make a return to the Department showing the |
quantity of oil or gas purchased during the month for which the |
return is filed, the price paid therefor therefore , total |
value, the name and address of the operator or other person |
from whom the same was purchased, a description of the |
production unit in the manner prescribed by the Department from |
which such oil or gas was severed and the amount of tax due |
from each production unit for each calendar month. All taxes |
due, or to be remitted, by the purchaser shall accompany this |
return. The return shall be filed on or before the last day of |
|
the month after the calendar month for which the return is |
required. The Department shall forward the necessary |
information to each Chief County Assessment Officer for the |
administration and application of ad valorem real property |
taxes at the county level. This information shall be forwarded |
to the Chief County Assessment Officers in a yearly summary |
before March 1 of the following calendar year. The Department |
may require any additional report or information it may deem |
necessary for the proper administration of this Act. |
Such returns shall be filed electronically in the manner |
prescribed by the Department. Purchasers shall make all |
payments of that tax to the Department by electronic funds |
transfer unless, as provided by rule, the Department grants an |
exception upon petition of a purchaser. Purchasers' returns |
must be accompanied by appropriate computer generated magnetic |
media supporting schedule data in the format required by the |
Department, unless, as provided by rule, the Department grants |
an exception upon petition of a purchaser.
|
(Source: P.A. 98-22, eff. 6-17-13; 98-23, eff. 6-17-13; revised |
10-7-13.)
|
(35 ILCS 450/2-50)
|
Sec. 2-50. Operator returns; payment of tax. |
(a) If, on or after July 1, 2013, oil or gas is transported |
off the production unit where severed by the operator, used on |
the production unit where severed, or if the manufacture and |
|
conversion of oil and gas into refined products occurs on the |
production unit where severed, the operator is responsible for |
remitting the tax imposed under subsection subsections (a) of |
Section 2-15 15 , on or before the last day of the month |
following the end of the calendar month in which the oil and |
gas is removed from the production unit, and such payment shall |
be accompanied by a return to the Department showing the gross |
quantity of oil or gas removed during the month for which the |
return is filed, the price paid therefor therefore , and if no |
price is paid therefor therefore , the value of the oil and gas, |
a description of the production unit from which such oil or gas |
was severed, and the amount of tax. The Department may require |
any additional information it may deem necessary for the proper |
administration of this Act. |
(b) Operators shall file all returns electronically in the |
manner prescribed by the Department unless, as provided by |
rule, the Department grants an exception upon petition of an |
operator. Operators shall make all payments of that tax to the |
Department by electronic funds transfer unless, as provided by |
rule, the Department grants an exception upon petition of an |
operator. Operators' returns must be accompanied by |
appropriate computer generated magnetic media supporting |
schedule data in the format required by the Department, unless, |
as provided by rule, the Department grants an exception upon |
petition of a purchaser. |
(c) Any operator who makes a monetary payment to a producer |
|
for his or her portion of the value of products from a |
production unit shall withhold from such payment the amount of |
tax due from the producer. Any operator who pays any tax due |
from a producer shall be entitled to reimbursement from the |
producer for the tax so paid and may take credit for such |
amount from any monetary payment to the producer for the value |
of products. To the extent that an operator required to collect |
the tax imposed by this Act has actually collected that tax, |
such tax is held in trust for the benefit of the State of |
Illinois. |
(d) In the event the operator fails to make payment of the |
tax to the State as required herein, the operator shall be |
liable for the tax. A producer shall be entitled to bring an |
action against such operator to recover the amount of tax so |
withheld together with penalties and interest which may have |
accrued by failure to make such payment. A producer shall be |
entitled to all attorney fees and court costs incurred in such |
action. To the extent that a producer liable for the tax |
imposed by this Act collects the tax, and any penalties and |
interest, from an operator, such tax, penalties, and interest |
are held in trust by the producer for the benefit of the State |
of Illinois. |
(e) When the title to any oil or gas severed from the earth |
or water is in dispute and the operator of such oil or gas is |
withholding payments on account of litigation, or for any other |
reason, such operator is hereby authorized, empowered and |
|
required to deduct from the gross amount thus held the amount |
of the tax imposed and to make remittance thereof to the |
Department as provided in this Section. |
(f) An operator required to file a return and pay the tax |
under this Section shall register with the Department. |
Application for a certificate of registration shall be made to |
the Department upon forms furnished by the Department and shall |
contain any reasonable information the Department may require. |
Upon receipt of the application for a certificate of |
registration in proper form, the Department shall issue to the |
applicant a certificate of registration. |
(g) If oil or gas is transported off the production unit |
where severed by the operator and sold to a purchaser or |
refiner, the State shall have a lien on all the oil or gas |
severed from the production unit in this State in the hands of |
the operator, the first or any subsequent purchaser thereof, or |
refiner to secure the payment of the tax. If a lien is filed by |
the Department, the purchaser or refiner shall withhold from |
the operator the amount of tax, penalty and interest identified |
in the lien.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 10-7-13.) |
Section 205. The Motor Fuel Tax Law is amended by changing |
Sections 1 and 1.13A as follows:
|
(35 ILCS 505/1) (from Ch. 120, par. 417)
|
|
Sec. 1.
For the purposes of this Act the terms set out in |
the Sections following this Section and preceding Section 2 |
Sections 1.1
through 1.21 have the meanings ascribed to them in |
those Sections.
|
(Source: P.A. 86-16; 86-1028; revised 10-7-13.)
|
(35 ILCS 505/1.13A) (from Ch. 120, par. 417.13A)
|
Sec. 1.13A.
"1-K Kerosene" means a special low-sulfur grade |
kerosene
suitable for use in non-flue connected kerosene burner |
appliances, and in
wick-fed illuminate lamps which has a |
maximum limit of .04% sulfur mass, and
a freezing point of -22 |
degrees Fahrenheit, and has a minimum saybolt color of +16.
For |
purposes of this Law, 1-K Kerosene includes 1-K Kerosene that |
has been
dyed in accordance with Section 4d of this Law.
|
(Source: P.A. 91-173, eff. 1-1-00; revised 11-12-13.)
|
Section 210. The Water Company Invested Capital Tax Act is |
amended by changing Section 14 as follows:
|
(35 ILCS 625/14) (from Ch. 120, par. 1424)
|
Sec. 14.
The Illinois Administrative Procedure Act, as now |
or hereafter
amended, is hereby expressly adopted and shall |
apply to all administrative
rules and procedures of the |
Department of Revenue under this Act, except that
(1) paragraph |
(b) of Section 5-10 of the that Act does not apply to final
|
orders, decisions and opinions of the Department; (2) |
|
subparagraph 2 of
paragraph (a) of Section 5-10 of that Act |
does not apply to forms established
by the Department for use |
under this Act; and (3) the provisions of Section
10-45 of that |
Act regarding proposals for decision are excluded and not
|
applicable to the Department under this Act to the extent |
Section 10-45 applies to hearings not otherwise subject to the |
Illinois Independent Tax Tribunal Act of 2012.
|
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-17-13.)
|
Section 215. The Electricity Infrastructure Maintenance |
Fee Law is amended by changing Section 5-6 as follows:
|
(35 ILCS 645/5-6)
|
Sec. 5-6. Validity of existing franchise fees and |
agreement; police
powers. |
(a) On and after the effective date of this Law, no |
electricity deliverer
paying an
infrastructure maintenance fee |
imposed under this Law may be denied the right
to use, directly |
or
indirectly, public rights of way because of the failure to |
pay any other fee or
charge for the right to use those rights |
of way except to the extent that the
electricity deliverer |
during the Initial Period fails under any existing
franchise |
agreement to pay franchise fees which are based on the gross |
receipts
or gross revenues attributable
to non-residential |
customers or to provide free electrical service or other
|
compensation attributable to non-residential customers. A |
|
municipality that
imposes an infrastructure
maintenance fee |
pursuant to Section 5-5 shall impose no other fees or charges
|
upon electricity
deliverers for such use except as provided by
|
subsections (b) or (c) of this Section.
|
(b) Agreements between electricity deliverers and |
municipalities regarding
use of the
public way shall remain |
valid according to and for their stated terms.
However, a |
municipality
that, pursuant to a franchise agreement in |
existence on the effective date of
this Law, receives any
|
franchise fees, permit fees, free electrical service or other |
compensation for
use of the public
rights of way, may impose an |
infrastructure maintenance fee pursuant to this
Law only if the
|
municipality: (1) waives its right to receive all compensation |
from the
electricity deliverer for use of the public rights of |
way during the time the
infrastructure maintenance fee is |
imposed, except as provided in subsection
(c), and except that |
during
the Initial Period any municipality may continue to |
receive franchise fees,
free
electrical service or other |
compensation from the electricity deliverer which
are equal in |
value to the Initial Period Compensation;
and (2) provides |
written notice of this waiver to
the appropriate
electricity |
deliverer at the time that the municipality provides notice of |
the
imposition of the
infrastructure maintenance fee under |
subsection (d) of Section 5-5.
For purposes of this Section, |
"Initial Period Compensation" shall mean the
total amount of |
compensation due under the existing franchise agreement during
|
|
the Initial Period less the amount of the infrastructure |
maintenance fee
imposed under this Section during
the Initial |
Period.
|
(c) Nothing in this Law prohibits a municipality from the |
reasonable
exercise of its police
powers over the public rights |
of way. In addition, a municipality may require
an electricity
|
deliverer to reimburse any special or extraordinary expenses or |
costs
reasonably incurred by the
municipality as a direct |
result of damages to its property or public rights of
way, such |
as the costs
of restoration of streets damaged by an a |
electricity deliverer that does not make
timely repair of the
|
damage, or for the loss of revenue due to the inability to use |
public
facilities as a direct result of
the actions of the |
electricity deliverer, such as parking meters that are
required |
to be removed
because of work of an electricity deliverer.
|
(Source: P.A. 90-561, eff. 8-1-98; revised 10-17-13.)
|
Section 220. The Illinois Pension Code is amended by |
changing Sections 4-114, 8-138, 9-102, 11-134, and 13-809 as |
follows: |
(40 ILCS 5/4-114) (from Ch. 108 1/2, par. 4-114)
|
Sec. 4-114. Pension to survivors. If a firefighter who is |
not receiving a
disability pension under Section 4-110 or |
4-110.1 dies (1) as a result of any
illness or accident, or (2) |
from any cause while in receipt of a disability
pension under |
|
this Article, or (3) during retirement after 20 years service, |
or
(4) while vested for or in receipt of a pension payable |
under subsection (b)
of Section 4-109, or (5) while a deferred |
pensioner, having made all required
contributions, a pension |
shall be paid to his or her survivors, based on the
monthly |
salary attached to the firefighter's rank on the last day of |
service
in the fire department, as follows:
|
(a)(1) To the surviving spouse, a monthly pension of
|
40% of the monthly salary, and if there is a surviving |
spouse, to the guardian of any minor child or
children |
including a child which has been conceived but not yet |
born, 12%
of such monthly salary for each such child until |
attainment of age 18 or
until the child's marriage, |
whichever occurs first. Beginning July 1,
1993, the monthly |
pension to the surviving spouse shall be 54% of the
monthly |
salary for all persons receiving a surviving spouse pension |
under
this Article, regardless of whether the deceased |
firefighter was in service
on or after the effective date |
of this amendatory Act of 1993.
|
(2) Beginning July 1, 2004, unless the amount provided |
under paragraph (1) of this subsection (a) is greater, the |
total monthly pension payable under
this paragraph (a), |
including any amount payable on account of children, to the |
surviving spouse of a firefighter who died (i) while
|
receiving a retirement pension, (ii) while he or she was a |
deferred pensioner with at least 20 years of creditable |
|
service, or (iii) while he or she was in active service |
having at least 20 years of creditable service, regardless |
of age, shall be no less than 100% of the monthly |
retirement pension earned by
the deceased firefighter at |
the time of death, regardless of whether death occurs |
before or after attainment of age 50, including any
|
increases under Section 4-109.1. This minimum applies to |
all such surviving
spouses who are eligible to receive a |
surviving spouse pension, regardless of
whether the |
deceased firefighter was in service on or after the |
effective date
of this amendatory Act of the 93rd General |
Assembly, and notwithstanding any
limitation on maximum |
pension under paragraph (d) or any other provision of
this |
Article.
|
(3) If the pension paid on and after July 1, 2004 to |
the surviving spouse of a firefighter who died on or after |
July 1, 2004 and before the effective date of this |
amendatory Act of the 93rd General Assembly was less than |
the minimum pension payable under paragraph (1) or (2) of |
this subsection (a), the fund shall pay a lump sum equal to |
the difference within 90 days after the effective date of |
this amendatory Act of the 93rd General Assembly.
|
The pension to the surviving spouse shall terminate in |
the event of the
surviving spouse's remarriage prior to |
July 1, 1993; remarriage on or after
that date does not |
affect the surviving spouse's pension, regardless of
|
|
whether the deceased firefighter was in service on or after |
the effective
date of this amendatory Act of 1993.
|
The surviving spouse's pension shall be subject to the |
minimum established
in Section 4-109.2.
|
(b) Upon the death of the surviving spouse leaving one |
or more minor
children, or upon the death of a firefighter |
leaving one or more minor
children but no surviving spouse, |
to the duly appointed guardian of each such child, for |
support
and maintenance of each such child until the child |
reaches age 18 or
marries, whichever occurs first, a |
monthly pension of 20% of the monthly
salary.
|
In a case where the deceased firefighter left one or |
more minor children but no surviving spouse and the |
guardian of a child is receiving a pension of 12% of the |
monthly salary on August 16, 2013 ( the effective date of |
Public Act 98-391) this amendatory Act , the pension is |
increased by Public Act 98-391 this amendatory Act to 20% |
of the monthly salary for each such child, beginning on the |
pension payment date occurring on or next following August |
16, 2013 the effective date of this amendatory Act . The |
changes to this Section made by Public Act 98-391 this |
amendatory Act of the 98th General Assembly apply without |
regard to whether the deceased firefighter was in service
|
on or after August 16, 2013 the effective date of this |
amendatory Act . |
(c) If a deceased firefighter leaves no surviving |
|
spouse or unmarried
minor children under age 18, but leaves |
a dependent father or mother, to
each dependent parent a |
monthly pension of 18% of the monthly salary. To
qualify |
for the pension, a dependent parent must furnish |
satisfactory proof
that the deceased firefighter was at the |
time of his or her death the sole
supporter of the parent |
or that the parent was the deceased's dependent for
federal |
income tax purposes.
|
(d) The total pension provided under paragraphs (a), |
(b) and (c) of this
Section shall not exceed 75% of the |
monthly salary of the deceased firefighter
(1) when paid to |
the survivor of a firefighter who has attained 20 or more
|
years of service credit and who receives or is eligible to |
receive a retirement
pension under this Article, or (2) |
when paid to the survivor of a firefighter
who dies as a |
result of illness or accident, or (3) when paid to the |
survivor
of a firefighter who dies from any cause while in |
receipt of a disability
pension under this Article, or (4) |
when paid to the survivor of a deferred
pensioner. For all |
other survivors of deceased firefighters, the total |
pension
provided under paragraphs (a), (b) and (c) of this |
Section shall not exceed 50%
of the retirement annuity the |
firefighter would have received on the date of
death.
|
The maximum pension limitations in this paragraph (d) |
do not control
over any contrary provision of this Article |
explicitly establishing a minimum
amount of pension or |
|
granting a one-time or annual increase in pension.
|
(e) If a firefighter leaves no eligible survivors under |
paragraphs (a),
(b) and (c), the board shall refund to the |
firefighter's estate the amount
of his or her accumulated |
contributions, less the amount of pension
payments, if any, |
made to the firefighter while living.
|
(f) (Blank).
|
(g) If a judgment of dissolution of marriage between a |
firefighter and
spouse is judicially set aside subsequent |
to the firefighter's death, the
surviving spouse is |
eligible for the pension provided in paragraph (a) only
if |
the judicial proceedings are filed within 2 years after the |
date of the
dissolution of marriage and within one year |
after the firefighter's death and
the board is made a party |
to the proceedings. In such case the pension shall be
|
payable only from the date of the court's order setting |
aside the judgment of
dissolution of marriage.
|
(h) Benefits payable on account of a child under this |
Section shall
not be reduced or terminated by reason of the |
child's attainment of age 18
if he or she is then dependent |
by reason of a physical or mental disability
but shall |
continue to be paid as long as such dependency continues.
|
Individuals over the age of 18 and adjudged as a disabled |
person pursuant
to Article XIa of the Probate Act of 1975, |
except for persons receiving
benefits under Article III of |
the Illinois Public Aid Code, shall be
eligible to receive |
|
benefits under this Act.
|
(i) Beginning January 1, 2000, the pension of the |
surviving spouse of
a firefighter who dies on or after |
January 1, 1994 as a result of sickness,
accident, or |
injury incurred in or resulting from the performance of an |
act of
duty or from the cumulative effects of acts of duty |
shall not be less than 100%
of the salary attached to the |
rank held by the deceased firefighter on the last
day of |
service, notwithstanding subsection (d) or any other |
provision of
this Article.
|
(j) Beginning July 1, 2004, the pension of the |
surviving spouse of
a firefighter who dies on or after |
January 1, 1988 as a result of sickness,
accident, or |
injury incurred in or resulting from the performance of an |
act of
duty or from the cumulative effects of acts of duty |
shall not be less than 100%
of the salary attached to the |
rank held by the deceased firefighter on the last
day of |
service, notwithstanding subsection (d) or any other |
provision of
this Article.
|
Notwithstanding any other provision of this Article, if a |
person who first becomes a firefighter under this Article on or |
after January 1, 2011 and who is not receiving a
disability |
pension under Section 4-110 or 4-110.1 dies (1) as a result of |
any
illness or accident, (2) from any cause while in receipt of |
a disability
pension under this Article, (3) during retirement |
after 20 years service, (4) while vested for or in receipt of a |
|
pension payable under subsection (b)
of Section 4-109, or (5) |
while a deferred pensioner, having made all required
|
contributions, then a pension shall be paid to his or her |
survivors in the amount of 66 2/3% of the firefighter's earned |
pension at the date of death. Nothing in this Section shall act |
to diminish the
survivor's benefits described in subsection (j) |
of this Section. |
Notwithstanding any other provision of this Article, the |
monthly
pension of a survivor of a person who first becomes a |
firefighter under this Article on or after January 1, 2011 |
shall be increased on the January 1 after attainment of age 60 |
by the recipient of the survivor's pension and
each January 1 |
thereafter by 3% or one-half the annual unadjusted percentage |
increase in the consumer price index-u for the
12 months ending |
with the September preceding each November 1, whichever is |
less, of the originally granted survivor's pension. If the |
annual unadjusted percentage change in
the consumer price |
index-u for a 12-month period ending in September is zero or, |
when compared with the preceding period, decreases, then the |
survivor's pension shall not
be increased. |
For the purposes of this Section, "consumer price index-u" |
means the index published by the Bureau of Labor Statistics of |
the United States Department of Labor that measures the average |
change in prices of goods and services purchased by all urban |
consumers, United States city average, all items, 1982-84 = |
100. The new amount resulting from each annual adjustment shall |
|
be determined by the Public Pension Division of the Department |
of Insurance and made available to the boards of the pension |
funds. |
(Source: P.A. 98-391, eff. 8-16-13; revised 10-7-13.)
|
(40 ILCS 5/8-138) (from Ch. 108 1/2, par. 8-138)
|
Sec. 8-138. Minimum annuities - Additional provisions.
|
(a) An employee who withdraws after age 65 or more with at |
least 20
years of service, for whom the amount of age and |
service and prior service
annuity combined is less than the |
amount stated in this Section, shall
from the date of |
withdrawal, instead of all annuities
otherwise provided, be |
entitled to receive an annuity for life of $150 a
year, plus 1 |
1/2% for each year of service, to and including 20 years, and
1 |
2/3% for each year of service over 20 years, of his highest |
average
annual salary for any 4 consecutive years within the |
last 10 years of
service immediately preceding the date of |
withdrawal.
|
An employee who withdraws after 20 or more years of |
service, before age
65, shall be entitled to such annuity, to |
begin not earlier than upon
attained age of 55 years if under |
such age at withdrawal, reduced by 2% for
each full year or |
fractional part thereof that his attained age is less
than 65, |
plus an additional 2% reduction for each full year or |
fractional
part thereof that his attained age when annuity is |
to begin is less than 60
so that the total reduction at age 55 |
|
shall be 30%.
|
(b) An employee who withdraws after July 1, 1957, at age 60 |
or over,
with 20 or more years of service, for whom the age and |
service and prior
service annuity combined, is less than the |
amount stated in this paragraph,
shall, from the date of |
withdrawal, instead of such annuities, be entitled
to receive |
an annuity for life equal to 1 2/3% for each year of service, |
of
the highest average annual salary for any 5 consecutive |
years within the
last 10 years of service immediately preceding |
the date of withdrawal;
provided, that in the case of any |
employee who withdraws on or after July
1, 1971, such employee |
age 60 or over with 20 or more years of service,
shall receive |
an annuity for life equal to 1.67% for each of the
first 10 |
years of service; 1.90% for each of the next 10 years of |
service;
2.10% for each year of service in excess of 20 but not |
exceeding 30; and
2.30% for each year of service in excess of |
30, based on the highest
average annual salary for any 4 |
consecutive years within the last 10 years
of service |
immediately preceding the date of withdrawal.
|
An employee who withdraws after July 1, 1957 and before |
January 1,
1988, with 20 or more years of service, before age |
60 years is entitled to
annuity, to begin not earlier than upon |
attained age of 55 years, if under
such age at withdrawal, as |
computed in the last preceding paragraph,
reduced 0.25% for |
each full month or fractional part thereof that his
attained |
age when annuity is to begin is less than 60 if the employee |
|
was
born before January 1, 1936, or 0.5% for each such month if |
the employee
was born on or after January 1, 1936.
|
Any employee born before January 1, 1936, who withdraws |
with 20 or more
years of service, and any employee with 20 or |
more years of service who
withdraws on or after January 1, |
1988, may elect to receive, in lieu of any
other employee |
annuity provided in this Section, an annuity for life equal
to |
1.80% for each of the first 10 years of service, 2.00% for each |
of the
next 10 years of service, 2.20% for each year of service |
in excess of 20
but not exceeding 30, and 2.40% for each year |
of service in excess of 30,
of the highest average annual |
salary for any 4 consecutive
years within the last 10 years of |
service immediately preceding the date of
withdrawal, to begin |
not earlier than upon attained age of 55 years, if
under such |
age at withdrawal, reduced 0.25% for each full month or |
fractional
part thereof that his attained age when annuity is |
to begin is less than
60; except that an employee retiring on |
or after January 1, 1988, at age
55 or over but less than age |
60, having at least 35 years of service,
or an employee |
retiring on or after July 1, 1990, at age 55 or over but
less |
than age 60, having at least 30 years of service,
or an |
employee retiring on or after the effective date of this |
amendatory
Act of 1997, at age 55 or over but less than age 60, |
having at least 25 years
of service, shall not be subject to |
the reduction in retirement annuity
because of retirement below |
age 60.
|
|
However, in the case of an employee who retired on or after |
January 1,
1985 but before January 1, 1988, at age 55 or older |
and with at least 35
years of service, and who was subject |
under this subsection (b) to the
reduction in retirement |
annuity because of retirement below age 60, that
reduction |
shall cease to be effective January 1, 1991, and the retirement
|
annuity shall be recalculated accordingly.
|
Any employee who withdraws on or after July 1, 1990, with |
20 or more years of
service, may elect to receive, in lieu of |
any other employee annuity provided
in this Section, an annuity |
for life equal to 2.20% for each year of service
if withdrawal |
is before January 1, 2002, or 2.40% for each year of
service if |
withdrawal is on or after January 1, 2002,
of the highest |
average annual salary for any 4 consecutive years within the
|
last 10 years of service immediately preceding the date of |
withdrawal, to begin
not earlier than upon attained
age of 55 |
years, if under such age at withdrawal, reduced 0.25% for each
|
full month or fractional part thereof that his attained age |
when annuity is
to begin is less than 60; except that an |
employee retiring at age 55 or
over but less than age 60, |
having at least 30 years of service, shall not
be subject to |
the reduction in retirement annuity because of retirement below
|
age 60.
|
Any employee who withdraws on or after the effective date |
of this
amendatory Act of 1997 with 20 or more years of service |
may elect to receive,
in lieu of any other employee annuity |
|
provided in this Section, an annuity for
life equal to 2.20% |
for each year of service, if withdrawal is before
January 1, |
2002, or 2.40% for each year of service if withdrawal is
on or
|
after January 1, 2002, of the highest average annual
salary for |
any 4 consecutive years within the last 10 years of service
|
immediately preceding the date of withdrawal, to begin not |
earlier than upon
attainment of age 55 (age 50 if the employee |
has at least 30 years of service),
reduced 0.25% for each full |
month or remaining fractional part thereof that the
employee's |
attained age when annuity is to begin is less than 60; except |
that
an employee retiring at age 50 or over with at least 30 |
years of service or at
age 55 or over with at least 25 years of |
service shall not be subject to the
reduction in retirement |
annuity because of retirement below age 60.
|
The maximum annuity payable under part (a) and (b) of this |
Section shall
not exceed 70% of highest average annual salary |
in the case of an employee
who withdraws prior to July 1, 1971, |
75% if withdrawal takes place on
or after July 1, 1971 and |
prior to January 1, 2002, or 80% if
withdrawal
takes place on |
or after January 1, 2002. For the
purpose of the minimum
|
annuity provided in this Section $1,500 is considered the |
minimum annual
salary for any year; and the maximum annual |
salary for the computation of such
annuity is $4,800 for any |
year before 1953, $6000 for the years 1953 to 1956,
inclusive, |
and the actual annual salary, as salary is defined in this |
Article,
for any year thereafter.
|
|
To preserve rights existing on December 31, 1959, for |
participants and
contributors on that date to the fund created |
by the Court and Law
Department Employees' Annuity Act, who |
became participants in the fund
provided for on January 1, |
1960, the maximum annual salary to be considered
for such |
persons for the years 1955 and 1956 is $7,500.
|
(c) For an employee receiving disability benefit, his |
salary for annuity
purposes under paragraphs (a) and (b) of |
this Section, for all periods of
disability benefit subsequent |
to the year 1956, is the amount on which his
disability benefit |
was based.
|
(d) An employee with 20 or more years of service, whose |
entire disability
benefit credit period expires before
|
attainment of age 55 while still disabled for service, is |
entitled upon
withdrawal to the larger of (1) the minimum |
annuity provided above, assuming he
is then age 55, and |
reducing such annuity to its actuarial equivalent as of his
|
attained age on such date or (2) the annuity provided from his |
age and service
and prior service annuity credits.
|
(e) The minimum annuity provisions do not apply to any |
former municipal
employee receiving an annuity from the fund |
who re-enters service as a
municipal employee, unless he |
renders at least 3 years of additional
service after the date |
of re-entry.
|
(f) An employee in service on July 1, 1947, or who became a |
contributor
after July 1, 1947 and before attainment of age 70, |
|
who withdraws after age
65, with less than 20 years of service |
for whom the annuity has been fixed
under this Article shall, |
instead of the annuity so fixed, receive an
annuity as follows:
|
Such amount as he could have received had the accumulated |
amounts for
annuity been improved with interest at the |
effective rate to the date of
his withdrawal, or to attainment |
of age 70, whichever is earlier, and had
the city contributed |
to such earlier date for age and service annuity the
amount |
that it would have contributed had he been under age 65, after |
the
date his annuity was fixed in accordance with this Article, |
and assuming
his annuity were computed from such accumulations |
as of his age on such
earlier date. The annuity so computed |
shall not exceed the annuity which
would be payable under the |
other provisions of this Section if the employee
was credited |
with 20 years of service and would qualify for annuity |
thereunder.
|
(g) Instead of the annuity provided in this Article, an |
employee having
attained age 65 with at least 15 years of |
service who withdraws from
service on or after July 1, 1971 and |
whose annuity computed under other
provisions of this Article |
is less than the amount provided under this
paragraph, is |
entitled to a minimum annuity for life equal to 1% of the
|
highest average annual salary, as salary is defined and limited |
in this
Section for any 4 consecutive years within the last 10 |
years of service for
each year of service, plus the sum of $25 |
for each year of service. The
annuity shall not exceed 60% of |
|
such highest average annual salary.
|
(g-1) Instead of any other retirement annuity provided in |
this Article,
an employee who has at least 10 years of service |
and withdraws from service
on or after January 1, 1999 may |
elect to receive a retirement annuity for
life, beginning no |
earlier than upon attainment of age 60, equal to 2.2%
if |
withdrawal is before January 1, 2002, or 2.4% if withdrawal is |
on
or after January 1, 2002, of final average salary for each
|
year of service,
subject to a maximum of 75% of final average |
salary if withdrawal is before
January 1, 2002, or 80% if |
withdrawal is on or after January 1, 2002. For
the purpose of |
calculating this annuity, "final average salary" means the
|
highest average annual salary for any 4 consecutive years in |
the last 10 years
of service. Notwithstanding Nothwithstanding |
any provision of this subsection to the contrary, the "final |
average salary" for a participant that received credit under |
subsection (c) of Section 8-226 means the highest average |
salary for any 4 consecutive years (or any 8 consecutive years |
if the employee first became a participant on or after January |
1, 2011) in the 10 years immediately prior to the leave of |
absence, and adding to that highest average salary, the product |
of (i) that highest average salary, (ii) the average percentage |
increase in the Consumer Price Index during each 12-month |
calendar year for the calendar years during the participant's |
leave of absence, and (iii) the length of the leave of absence |
in years, provided that this shall not exceed the participant's |
|
salary at the local labor organization. For purposes of this |
Section, the Consumer Price Index is the Consumer Price Index |
for All Urban Consumers for all items published by the United |
States Department of Labor.
|
(h) The minimum annuities provided under this Section shall |
be paid in
equal monthly installments.
|
(i) The amendatory provisions of part (b) and (g) of this |
Section shall
be effective July 1, 1971 and apply in the case |
of every qualifying
employee withdrawing on or after July 1, |
1971.
|
(j) The amendatory provisions of this amendatory Act of |
1985 (P.A.
84-23) relating to the discount of annuity because |
of retirement prior to
attainment of age 60, and to the |
retirement formula, for those born before
January 1, 1936, |
shall apply only to qualifying employees withdrawing on or
|
after July 18, 1985.
|
(j-1) The changes made to this Section by Public Act 92-609 |
(increasing the retirement
formula to 2.4% per year of service |
and increasing the maximum to 80%) apply
to persons who |
withdraw from service on or after January 1, 2002, regardless
|
of whether that withdrawal takes place before the effective |
date of that Act. In the case of a person who withdraws from |
service
on or after January 1, 2002 but begins to receive a |
retirement annuity before
July 1, 2002, the annuity
shall be |
recalculated, with the increase resulting from Public Act |
92-609
accruing from the date the retirement annuity
began. The |
|
changes made by Public Act 92-609 control over the changes made
|
by Public Act 92-599, as provided in Section 95 of P.A. 92-609.
|
(k) Beginning on January 1, 1999, the minimum amount of |
employee's annuity
shall be $850 per month for life for the |
following classes of employees,
without regard to the fact that |
withdrawal occurred prior to the effective date
of this |
amendatory Act of 1998:
|
(1) any employee annuitant alive and receiving a life |
annuity on
the effective date of this amendatory Act of |
1998,
except a reciprocal annuity;
|
(2) any employee annuitant alive and receiving a term |
annuity on
the effective date of this amendatory Act of |
1998,
except a reciprocal annuity;
|
(3) any employee annuitant alive and receiving a |
reciprocal annuity on
the effective date of this amendatory |
Act of 1998,
whose service in this fund is at least 5 |
years;
|
(4) any employee annuitant withdrawing after age 60 on |
or after
the effective date of this amendatory Act of 1998,
|
with at least 10 years of service in this fund.
|
The increases granted under items (1), (2) and (3) of this |
subsection (k)
shall not be limited by any other Section of |
this Act.
|
(Source: P.A. 97-651, eff. 1-5-12; revised 9-16-13.)
|
(40 ILCS 5/9-102) (from Ch. 108 1/2, par. 9-102)
|
|
Sec. 9-102. Terms defined. The terms used in this Article |
have the meanings ascribed to them in the Sections following |
this Section and preceding Section 9-120
Sections 9-103 to |
9-119, inclusive , except when the context otherwise
requires.
|
(Source: Laws 1963, p. 161; revised 11-13-13.)
|
(40 ILCS 5/11-134) (from Ch. 108 1/2, par. 11-134)
|
Sec. 11-134. Minimum annuities.
|
(a) An employee whose withdrawal occurs after July 1, 1957 |
at age 60 or
over, with 20 or more years of service, (as |
service is defined or computed
in Section 11-216), for whom the |
age and service and prior service annuity
combined is less than |
the amount stated in this Section, shall, from and
after the |
date of withdrawal, in lieu of all annuities otherwise provided
|
in this Article, be entitled to receive an annuity for life of |
an amount
equal to 1 2/3% for each year of service, of the |
highest average annual
salary for any 5 consecutive years |
within the last 10 years of service
immediately preceding the |
date of withdrawal; provided, that in the case of
any employee |
who withdraws on or after July 1, 1971, such employee age 60
or |
over with 20 or more years of service, shall be entitled to |
instead
receive an annuity for life equal to 1.67% for each of |
the first 10 years
of service; 1.90% for each of the next 10 |
years of service; 2.10% for each
year of service in excess of |
20 but not exceeding 30; and 2.30% for each
year of service in |
excess of 30, based on the highest average annual salary
for |
|
any 4 consecutive years within the last 10 years of service |
immediately
preceding the date of withdrawal.
|
An employee who withdraws after July 1, 1957 and before |
January 1,
1988, with 20 or more years of service, before age |
60, shall be entitled to
an annuity, to begin not earlier than |
age 55, if under such age at
withdrawal, as computed in the |
last preceding paragraph, reduced 0.25% if
the employee was |
born before January 1, 1936, or 0.5% if the employee was
born |
on or after January 1, 1936, for each full month or fractional |
part
thereof that his attained age when such annuity is to |
begin is less than 60.
|
Any employee born before January 1, 1936 who withdraws
with |
20 or more years of service, and any employee with 20 or more |
years of
service who withdraws on or after January 1, 1988, may |
elect to receive, in
lieu of any other employee
annuity |
provided in this Section, an annuity for life equal to 1.80% |
for
each of the first 10 years of service, 2.00% for each of |
the next 10 years
of service, 2.20% for each year of service in |
excess of 20, but not
exceeding 30, and 2.40% for each year of |
service in excess of 30,
of the highest average annual salary |
for any 4
consecutive years within the last 10 years of service |
immediately preceding
the date of withdrawal, to begin not |
earlier than upon attained age of 55
years, if under such age |
at withdrawal, reduced 0.25% for each full month
or fractional |
part thereof that his attained age when annuity is to begin
is |
less than 60; except that an employee retiring on or after |
|
January 1,
1988, at age 55 or over but less than age 60, having |
at least 35 years of
service, or an employee retiring on or |
after July 1, 1990, at age 55
or over but less than age 60, |
having at least 30 years of service,
or an employee retiring on |
or after the effective date of this amendatory Act
of 1997, at |
age 55 or over but less than age 60, having at least 25 years of
|
service, shall not be subject to the reduction in retirement |
annuity because
of retirement below age 60.
|
However, in the case of an employee who retired on or after |
January 1,
1985 but before January 1, 1988, at age 55 or older |
and with at least 35
years of service, and who was subject |
under this subsection (a) to the
reduction in retirement |
annuity because of retirement below age 60, that
reduction |
shall cease to be effective January 1, 1991, and the retirement
|
annuity shall be recalculated accordingly.
|
Any employee who withdraws on or after July 1, 1990, with |
20 or more
years of service, may elect to receive, in lieu of |
any other employee
annuity provided in this Section, an annuity |
for life equal to 2.20% for
each year of service if withdrawal |
is before January 1, 2002, or
2.40% for each year of service if |
withdrawal is on or after January 1,
2002, of the highest |
average annual salary for any 4
consecutive years within the |
last 10 years of service immediately preceding
the date of |
withdrawal, to begin not earlier than upon attained age of 55
|
years, if under such age at withdrawal, reduced 0.25% for each |
full month
or fractional part thereof that his attained age |
|
when annuity is to begin
is less than 60; except that an |
employee retiring at age 55 or over but
less than age 60, |
having at least 30 years of service, shall not be subject
to |
the reduction in retirement annuity because of retirement below |
age 60.
|
Any employee who withdraws on or after the effective date |
of this
amendatory Act of 1997 with 20 or more years of service |
may elect to receive,
in lieu of any other employee annuity |
provided in this Section, an annuity for
life equal to 2.20% |
for each year of service if withdrawal is before
January 1, |
2002, or 2.40% for each year of service if withdrawal is
on or
|
after January 1, 2002, of the
highest average annual
salary for |
any 4 consecutive years within the last 10 years of service
|
immediately preceding the date of withdrawal, to begin not |
earlier than upon
attainment of age 55 (age 50 if the employee |
has at least 30 years of service),
reduced 0.25% for each full |
month or remaining fractional part thereof that the
employee's |
attained age when annuity is to begin is less than 60; except |
that
an employee retiring at age 50 or over with at least 30 |
years of service or at
age 55 or over with at least 25 years of |
service shall not be subject to the
reduction in retirement |
annuity because of retirement below age 60.
|
The maximum annuity payable under this paragraph (a) of |
this Section
shall not exceed 70% of highest average annual |
salary in the case of an
employee who withdraws prior to July |
1, 1971, 75% if withdrawal takes place on
or after July 1, 1971 |
|
and prior to January 1, 2002, or 80% if
withdrawal
is on or |
after January 1, 2002. For the purpose of the
minimum annuity
|
provided in said paragraphs $1,500 shall be considered the |
minimum annual
salary for any year; and the maximum annual |
salary to be considered for the
computation of such annuity |
shall be $4,800 for any year prior to 1953,
$6,000 for the |
years 1953 to 1956, inclusive, and the actual annual salary,
as |
salary is defined in this Article, for any year thereafter.
|
(b) For an employee receiving disability benefit, his |
salary for annuity
purposes under this Section shall, for all |
periods of disability benefit
subsequent to the year 1956, be |
the amount on which his disability benefit
was based.
|
(c) An employee with 20 or more years of service, whose |
entire
disability benefit credit period expires prior to |
attainment of age 55
while still disabled for service, shall be |
entitled upon withdrawal to the
larger of (1) the minimum |
annuity provided above assuming that he is then
age 55, and |
reducing such annuity to its actuarial equivalent at his
|
attained age on such date, or (2) the annuity provided from his |
age and
service and prior service annuity credits.
|
(d) The minimum annuity provisions as aforesaid shall not |
apply to any
former employee receiving an annuity from the |
fund, and who re-enters
service as an employee, unless he |
renders at least 3 years of additional
service after the date |
of re-entry.
|
(e) An employee in service on July 1, 1947, or who became a |
|
contributor
after July 1, 1947 and prior to July 1, 1950, or |
who shall become a
contributor to the fund after July 1, 1950 |
prior to attainment of age 70,
who withdraws after age 65 with |
less than 20 years of service, for whom the
annuity has been |
fixed under the foregoing Sections of this Article shall,
in |
lieu of the annuity so fixed, receive an annuity as follows:
|
Such amount as he could have received had the accumulated |
amounts for
annuity been improved with interest at the |
effective rate to the date of
his withdrawal, or to attainment |
of age 70, whichever is earlier, and had
the city contributed |
to such earlier date for age and service annuity the
amount |
that would have been contributed had he been under age 65, |
after the
date his annuity was fixed in accordance with this |
Article, and assuming
his annuity were computed from such |
accumulations as of his age on such
earlier date. The annuity |
so computed shall not exceed the annuity which
would be payable |
under the other provisions of this Section if the employee
was |
credited with 20 years of service and would qualify for annuity
|
thereunder.
|
(f) In lieu of the annuity provided in this or in any other |
Section of
this Article, an employee having attained age 65 |
with at least 15 years of
service who withdraws from service on |
or after July 1, 1971 and whose
annuity computed under other |
provisions of this Article is less than the
amount provided |
under this paragraph shall be entitled to receive a minimum
|
annual annuity for life equal to 1% of the highest average |
|
annual salary
for any 4 consecutive years within the last 10 |
years of service immediately
preceding retirement for each year |
of his service plus the sum of $25 for
each year of service. |
Such annual annuity shall not exceed the maximum
percentages |
stated under paragraph (a) of this Section of such highest
|
average annual salary.
|
(f-1) Instead of any other retirement annuity provided in |
this Article,
an employee who has at least 10 years of service |
and withdraws from service
on or after January 1, 1999 may |
elect to receive a retirement annuity for
life, beginning no |
earlier than upon attainment of age 60, equal to 2.2%
if |
withdrawal is before January 1, 2002, or 2.4% for each year of
|
service if
withdrawal is on or after January 1, 2002, of final
|
average salary for
each
year of service, subject to a maximum |
of 75% of final average salary
if withdrawal is before January |
1, 2002, or 80% if withdrawal is on
or after
January 1, 2002. |
For the purpose of calculating this
annuity, "final average
|
salary" means the highest average annual salary for any 4 |
consecutive years
in the last 10 years of service. |
Notwithstanding Nothwithstanding any provision of this |
subsection to the contrary, the "final average salary" for a |
participant that received credit under item (3) of subsection |
(c) of Section 11-215 means the highest average salary for any |
4 consecutive years (or any 8 consecutive years if the employee |
first became a participant on or after January 1, 2011) in the |
10 years immediately prior to the leave of absence, and adding |
|
to that highest average salary, the product of (i) that highest |
average salary, (ii) the average percentage increase in the |
Consumer Price Index during each 12-month calendar year for the |
calendar years during the participant's leave of absence, and |
(iii) the length of the leave of absence in years, provided |
that this shall not exceed the participant's salary at the |
local labor organization. For purposes of this Section, the |
Consumer Price Index is the Consumer Price Index for All Urban |
Consumers for all items published by the United States |
Department of Labor.
|
(g) Any annuity payable under the preceding subsections of |
this Section
11-134 shall be paid in equal monthly |
installments.
|
(h) The amendatory provisions of part (a) and (f) of this |
Section shall
be effective July 1, 1971 and apply in the case |
of every qualifying
employee withdrawing on or after July 1, |
1971.
|
(h-1) The changes made to this Section by Public Act 92-609 |
(increasing the retirement
formula to 2.4% per year of service |
and increasing the maximum to 80%) apply
to persons who |
withdraw from service on or after January 1, 2002, regardless
|
of whether that withdrawal takes place before the effective |
date of that Act. In the case of a person who withdraws from |
service
on or after January 1, 2002 but begins to receive a |
retirement annuity before
July 1, 2002, the annuity
shall be |
recalculated, with the increase resulting from Public Act |
|
92-609
accruing from the date the retirement annuity
began. The |
changes made by Public Act 92-609 control over the changes made
|
by Public Act 92-599, as provided in Section 95 of P.A. 92-609.
|
(i) The amendatory provisions of this amendatory Act of |
1985 relating to
the discount of annuity because of retirement |
prior to attainment of age 60
and increasing the retirement |
formula for those born before January 1, 1936,
shall apply only |
to qualifying employees withdrawing on or after
August 16, |
1985.
|
(j) Beginning on January 1, 1999, the minimum amount of |
employee's annuity
shall be $850 per month for life for the |
following classes of employees,
without regard to the fact that |
withdrawal occurred prior to the effective
date of this |
amendatory Act of 1998:
|
(1) any employee annuitant alive and receiving a life |
annuity on the
effective date of this amendatory Act of |
1998, except a reciprocal
annuity;
|
(2) any employee annuitant alive and receiving a term |
annuity on the
effective date of this amendatory Act of |
1998, except a reciprocal
annuity;
|
(3) any employee annuitant alive and receiving a |
reciprocal annuity on
the effective date of this amendatory |
Act of 1998, whose service
in this fund is at least 5 |
years;
|
(4) any employee annuitant withdrawing after age 60 on |
or after the
effective date of this amendatory Act of 1998, |
|
with at least 10
years of service in this fund.
|
The increases granted under items (1), (2) and (3) of this |
subsection (j)
shall not be limited by any other Section of |
this Act.
|
(Source: P.A. 97-651, eff. 1-5-12; revised 9-16-13.)
|
(40 ILCS 5/13-809) (from Ch. 108 1/2, par. 13-809)
|
Sec. 13-809. Administrative review. The provisions of the
|
Administrative Review Law Act , and all amendments and |
modifications thereof and
the rules adopted pursuant thereto |
shall apply to and govern all
proceedings for the judicial |
review of final administrative decisions of
the Retirement |
Board provided for under this Article. The term
"administrative |
decision" is as defined in Section 3-101 of the Code of
Civil |
Procedure.
|
(Source: P.A. 87-794; revised 10-7-13.)
|
Section 225. The Illinois Police Training Act is amended by |
changing Section 7 and by setting forth and renumbering |
multiple versions of Section 10.14 as follows:
|
(50 ILCS 705/7) (from Ch. 85, par. 507)
|
Sec. 7. Rules and standards for schools. The Board shall |
adopt rules and
minimum standards for such schools which shall |
include but not be limited to
the following:
|
a. The curriculum for probationary police officers which |
|
shall be
offered by all certified schools shall include but not |
be limited to
courses of arrest, search and seizure, civil |
rights, human relations,
cultural
diversity, including racial |
and ethnic sensitivity,
criminal law, law of criminal |
procedure, vehicle and traffic law including
uniform and |
non-discriminatory enforcement of the Illinois Vehicle Code,
|
traffic control and accident investigation, techniques of |
obtaining
physical evidence, court testimonies, statements, |
reports, firearms
training, training in the use of electronic |
control devices, including the psychological and physiological |
effects of the use of those devices on humans, first-aid |
(including cardiopulmonary resuscitation), handling of
|
juvenile offenders, recognition of
mental conditions which |
require immediate assistance and methods to
safeguard and |
provide assistance to a person in need of mental
treatment, |
recognition of abuse, neglect, financial exploitation, and |
self-neglect of adults with disabilities and older adults, as |
defined in Section 2 of the Adult Protective Services Act, |
crimes against the elderly, law of evidence, the hazards of |
high-speed police vehicle
chases with an emphasis on |
alternatives to the high-speed chase, and
physical training. |
The curriculum shall include specific training in
techniques |
for immediate response to and investigation of cases of |
domestic
violence and of sexual assault of adults and children. |
The curriculum shall include
training in techniques designed to |
promote effective
communication at the initial contact with |
|
crime victims and ways to comprehensively
explain to victims |
and witnesses their rights under the Rights
of Crime Victims |
and Witnesses Act and the Crime
Victims Compensation Act. The |
curriculum shall also include a block of instruction aimed at |
identifying and interacting with persons with autism and other |
developmental disabilities, reducing barriers to reporting |
crimes against persons with autism, and addressing the unique |
challenges presented by cases involving victims or witnesses |
with autism and other developmental disabilities. The |
curriculum for
permanent police officers shall include but not |
be limited to (1) refresher
and in-service training in any of |
the courses listed above in this
subparagraph, (2) advanced |
courses in any of the subjects listed above in
this |
subparagraph, (3) training for supervisory personnel, and (4)
|
specialized training in subjects and fields to be selected by |
the board. The training in the use of electronic control |
devices shall be conducted for probationary police officers, |
including University police officers.
|
b. Minimum courses of study, attendance requirements and |
equipment
requirements.
|
c. Minimum requirements for instructors.
|
d. Minimum basic training requirements, which a |
probationary police
officer must satisfactorily complete |
before being eligible for permanent
employment as a local law |
enforcement officer for a participating local
governmental |
agency. Those requirements shall include training in first aid
|
|
(including cardiopulmonary resuscitation).
|
e. Minimum basic training requirements, which a |
probationary county
corrections officer must satisfactorily |
complete before being eligible for
permanent employment as a |
county corrections officer for a participating
local |
governmental agency.
|
f. Minimum basic training requirements which a |
probationary court
security officer must satisfactorily |
complete before being eligible for
permanent employment as a |
court security officer for a participating local
governmental |
agency. The Board shall
establish those training requirements |
which it considers appropriate for court
security officers and |
shall certify schools to conduct that training.
|
A person hired to serve as a court security officer must |
obtain from the
Board a certificate (i) attesting to his or her |
successful completion of the
training course; (ii) attesting to |
his or her satisfactory
completion of a training program of |
similar content and number of hours that
has been found |
acceptable by the Board under the provisions of this Act; or
|
(iii) attesting to the Board's determination that the training
|
course is unnecessary because of the person's extensive prior |
law enforcement
experience.
|
Individuals who currently serve as court security officers |
shall be deemed
qualified to continue to serve in that capacity |
so long as they are certified
as provided by this Act within 24 |
months of the effective date of this
amendatory Act of 1996. |
|
Failure to be so certified, absent a waiver from the
Board, |
shall cause the officer to forfeit his or her position.
|
All individuals hired as court security officers on or |
after the effective
date of this amendatory Act of 1996 shall |
be certified within 12 months of the
date of their hire, unless |
a waiver has been obtained by the Board, or they
shall forfeit |
their positions.
|
The Sheriff's Merit Commission, if one exists, or the |
Sheriff's Office if
there is no Sheriff's Merit Commission, |
shall maintain a list of all
individuals who have filed |
applications to become court security officers and
who meet the |
eligibility requirements established under this Act. Either
|
the Sheriff's Merit Commission, or the Sheriff's Office if no |
Sheriff's Merit
Commission exists, shall establish a schedule |
of reasonable intervals for
verification of the applicants' |
qualifications under
this Act and as established by the Board.
|
(Source: P.A. 97-815, eff. 1-1-13; 97-862, eff. 1-1-13; 98-49, |
eff. 7-1-13; 98-358, eff. 1-1-14; 98-463, eff. 8-16-13; revised |
9-11-13.)
|
(50 ILCS 705/10.14) |
Sec. 10.14. Training; animal fighting awareness and humane |
response. The Illinois Law Enforcement Training Standards |
Board shall conduct or approve a training program in animal |
fighting awareness and humane response for law enforcement |
officers of local government agencies. The purpose of that |
|
training shall be to equip law enforcement officers of local |
government agencies to identify animal fighting operations and |
respond appropriately. This training shall also include a |
humane response component that will provide guidelines for |
appropriate law enforcement response to animal abuse, cruelty, |
and neglect, or similar condition, as well as training on |
canine behavior and nonlethal ways to subdue a canine.
|
(Source: P.A. 98-311, eff. 1-1-14.) |
(50 ILCS 705/10.15) |
(Section scheduled to be repealed on July 1, 2016) |
Sec. 10.15 10.14 . Electronic control devices used by local |
law enforcement agencies; inspections. |
(a) For the purposes of this Section, "electronic control |
device" means: |
(1) any device
which is powered by electrical charging |
units, such as, batteries, and
which fires one or several |
barbs attached to a length of wire and
which, upon hitting |
a human, can send out a current capable of disrupting
the |
person's nervous system in such a manner as to render the |
person incapable of
normal functioning; or |
(2) any device which is powered by electrical
charging |
units, such as batteries, and which, upon contact with a |
human or
clothing worn by a human, can send out current |
capable of disrupting
the person's nervous system in such a |
manner as to render the person incapable
of normal |
|
functioning. |
(b) Beginning January 1, 2014 and ending December 31, 2015, |
the Board shall randomly inspect police departments of units of |
local government and university police departments concerning |
the use of electronic control devices by law enforcement |
officers of the departments to determine whether the officers |
received appropriate training in their use. The Board shall |
compile the information from the random inspections and analyze |
the results. |
(c) Based on the analysis required in subsection (b), the |
Board shall issue a report and present its report and findings |
to the Governor and General Assembly on or before June 30, |
2016. The Board in its report may recommend legislation |
concerning the use of electronic control devices by law |
enforcement officers and the training of law enforcement |
officers in the use of those devices. |
(d) This Section is repealed on July 1, 2016.
|
(Source: P.A. 98-358, eff. 1-1-14; revised 10-17-13.) |
Section 230. The Counties Code is amended by changing |
Sections 3-3016.5, 3-5018, 5-1062.3, 5-12001.2, 5-44020, and |
6-27005 and by setting forth and renumbering multiple versions |
of Section 5-1134 as follows: |
(55 ILCS 5/3-3016.5) |
Sec. 3-3016.5. Sudden, unexpected death in epilepsy |
|
(SUDEP). |
(a) All autopsies conducted in this State shall include an |
inquiry to determine whether the death was a direct result of a |
seizure or epilepsy. If the findings in an autopsy of a medical |
examiner, examining physician, or coroner are consistent with |
known or suspected sudden, unexpected death in epilepsy |
(SUDEP), then the medical examiner, examining physician, or |
coroner shall: |
(1) cause to be indicated on the death certificate that |
SUDEP is the cause or suspected cause of death; and |
(2) forward a copy of the death certificate to the |
North American SUDEP Registry at the Langone Medical Center |
at New York University within 30 days. |
(b) For the purposes of this Section, "sudden , unexpected |
death in epilepsy" refers to a death in a patient previously |
diagnosed with epilepsy that is not due to trauma, drowning, |
status epilepticus, or other known causes, but for which there |
is often evidence of an associated seizure. A finding of |
sudden, unexpected death in epilepsy is definite when clinical |
criteria are met and autopsy reveals no alternative cause of |
death, such as stroke, myocardial infarction, or drug |
intoxication, although there may be evidence of a seizure.
|
(Source: P.A. 98-340, eff. 1-1-14; revised 10-8-13.) |
(55 ILCS 5/3-5018) (from Ch. 34, par. 3-5018) |
Sec. 3-5018. Fees. The recorder elected as provided for in |
|
this
Division shall receive such fees as are or may be provided |
for him or her by law,
in case of provision therefor: otherwise |
he or she shall receive the same fees as
are or may be provided |
in this Section, except when increased by county
ordinance |
pursuant to the provisions of this Section, to be paid to the
|
county clerk for his or her services in the office of recorder |
for like services. |
For recording deeds or other instruments, $12 for the first |
4 pages
thereof, plus $1 for each additional page thereof, plus |
$1 for each
additional document number therein noted. The |
aggregate minimum fee
for recording any one instrument shall |
not be less than $12. |
For recording deeds or other instruments wherein the |
premises
affected thereby are referred to by document number |
and not by legal
description, a fee of $1 in addition to that |
hereinabove referred to for
each document number therein noted. |
For recording assignments of mortgages, leases or liens, |
$12 for the
first 4 pages thereof, plus $1 for each additional |
page thereof. However,
except for leases and liens pertaining |
to oil, gas and other minerals,
whenever a mortgage, lease or |
lien assignment assigns more than one
mortgage, lease or lien |
document, a $7 fee shall be charged for the recording
of each |
such mortgage, lease or lien document after the first one. |
For recording any document that affects an interest in real |
property other than documents which solely affect or relate to |
an easement for water, sewer, electricity, gas, telephone or |
|
other public service, the recorder shall charge a fee of $1 per |
document to all filers of documents not filed by any State |
agency, any unit of local government, or any school district. |
Fifty cents of the $1 fee hereby established shall be deposited |
into the County General Revenue Fund. The remaining $0.50 shall |
be deposited into the Recorder's Automation Fund and may not be |
appropriated or expended for any other purpose. The additional |
amounts available to the recorder for expenditure from the |
Recorder's Automation Fund shall not offset or reduce any other |
county appropriations or funding for the office of the |
recorder. |
For recording maps or plats of additions or subdivisions |
approved by the
county or municipality (including the spreading |
of the same of record in
map case or other proper books) or |
plats of condominiums, $50 for the first
page, plus $1 for each |
additional page thereof except that in the case of
recording a |
single page, legal size 8 1/2 x 14, plat of survey in which
|
there are no more than two lots or parcels of land, the fee |
shall be $12.
In each county where such maps or plats are to be |
recorded, the recorder
may require the same to be accompanied |
by such number of exact, true and
legible copies thereof as the |
recorder deems necessary for the efficient
conduct and |
operation of his or her office. |
For non-certified copies of records, an amount not to |
exceed one-half of the amount provided in this Section for |
certified copies, according to a standard scale of fees, |
|
established by county ordinance and made public. The provisions |
of this paragraph shall not be applicable to any person or |
entity who obtains non-certified copies of records in the |
following manner: (i) in bulk for all documents recorded on any |
given day in an electronic or paper format for a negotiated |
amount less than the amount provided for in this paragraph for |
non-certified copies, (ii) under a contractual relationship |
with the recorder for a negotiated amount less than the amount |
provided for in this paragraph for non-certified copies, |
or (iii) by means of Internet access pursuant to Section |
5-1106.1. |
For certified copies of records, the same fees as for |
recording, but
in no case shall the fee for a certified copy of |
a map or plat of an
addition, subdivision or otherwise exceed |
$10. |
Each certificate of such recorder of the recording of the |
deed or
other writing and of the date of recording the same |
signed by such
recorder, shall be sufficient evidence of the |
recording thereof, and
such certificate including the indexing |
of record, shall be furnished
upon the payment of the fee for |
recording the instrument, and no
additional fee shall be |
allowed for the certificate or indexing. |
The recorder shall charge an additional fee, in an amount |
equal to the
fee otherwise provided by law, for recording a |
document (other than a
document filed under the Plat Act or the |
Uniform Commercial Code) that does
not conform to the following |
|
standards: |
(1) The document shall consist of one or more |
individual sheets measuring
8.5 inches by 11 inches, not |
permanently bound and not a continuous form.
Graphic |
displays accompanying a document to be recorded that |
measure up to 11
inches by 17 inches shall be recorded |
without charging an additional fee. |
(2) The document shall be legibly printed in black ink, |
by hand, type,
or computer. Signatures and dates may be in |
contrasting colors if they will
reproduce clearly. |
(3) The document shall be on white paper of not less |
than 20-pound
weight and shall have a clean margin of at |
least one-half inch on the top, the
bottom, and each side. |
Margins may be used for non-essential notations that
will |
not affect the validity of the document, including but not |
limited to
form numbers, page numbers, and customer |
notations. |
(4) The first page of the document shall contain a |
blank space, measuring
at least 3 inches by 5 inches, from |
the upper right corner. |
(5) The document shall not have any attachment stapled |
or otherwise
affixed to any page. |
A document that does not conform to these standards shall
not |
be recorded except upon payment of the additional fee required |
under
this paragraph. This paragraph, as amended by this |
amendatory Act of 1995,
applies only to documents dated after |
|
the effective date of this amendatory
Act of 1995. |
The county board of any county may provide for an |
additional charge of $3
for filing every instrument, paper, or |
notice for record, (1)
in order to
defray the cost of |
converting the county recorder's document storage system
to |
computers or micrographics
and (2) in order to defray the cost |
of providing access to records through
the global
information |
system known as the Internet. |
A special fund shall be set up by the treasurer of the |
county and such
funds collected pursuant to Public Act 83-1321 |
shall be used (1)
for
a document storage system to provide the |
equipment, materials and necessary
expenses incurred to help |
defray the costs of implementing and maintaining
such a |
document records system
and (2) for a system to provide |
electronic access to
those records. |
The county board of any county that provides and maintains |
a countywide map
through a Geographic Information System (GIS) |
may provide for an additional
charge of $3 for filing every |
instrument, paper, or notice for record (1)
in order
to defray |
the cost of implementing or maintaining the county's Geographic
|
Information System
and (2) in order to defray the cost of |
providing electronic or automated access to the
county's
|
Geographic
Information System or property records.
Of that |
amount, $2 must be deposited into a special fund
set up by the |
treasurer of the county, and any moneys collected pursuant to
|
this amendatory Act of the 91st General Assembly and deposited |
|
into that fund
must be used solely for the equipment, |
materials, and necessary expenses
incurred in implementing and |
maintaining a Geographic Information System and
in order to |
defray the cost of providing electronic access to the county's
|
Geographic Information System records.
The remaining $1 must be |
deposited into the recorder's special funds created
under |
Section 3-5005.4. The recorder may, in his or her discretion, |
use moneys
in the funds created under Section 3-5005.4 to |
defray the cost of implementing
or maintaining the county's |
Geographic Information System
and to defray the cost of |
providing electronic access to the county's
Geographic
|
Information System records. |
The recorder shall collect a $9 Rental Housing Support |
Program State
surcharge for the recordation of any real |
estate-related document. Payment of the
Rental Housing Support |
Program State surcharge shall be evidenced by a receipt
that |
shall be marked upon or otherwise affixed to the real |
estate-related document
by the recorder. The form of this |
receipt shall be prescribed by the Department
of Revenue and |
the receipts shall be issued by the Department of Revenue to
|
each county recorder. |
The recorder shall not collect the Rental Housing Support |
Program State surcharge from any State agency, any unit of |
local government or any school district. |
On the 15th day of each month, each county recorder shall |
report
to the Department of Revenue, on a form prescribed by |
|
the Department,
the number of real estate-related documents |
recorded for which
the Rental Housing Support Program
State |
surcharge was collected. Each recorder shall submit $9 of each |
surcharge collected in the
preceding month to the Department of |
Revenue and the Department
shall deposit these amounts in the |
Rental Housing Support Program Fund. Subject to appropriation, |
amounts in the Fund may be expended only for the purpose of |
funding and administering the Rental Housing Support Program. |
For purposes of this Section, "real estate-related |
document" means that term as it is defined in Section 7 of the |
Rental Housing Support Program Act.
|
The foregoing fees allowed by this Section are the maximum |
fees that
may be collected from any officer, agency, department |
or other
instrumentality of the State. The county board may, |
however, by ordinance,
increase the fees allowed by this |
Section and collect such increased fees
from all persons and |
entities other than officers, agencies, departments
and other |
instrumentalities of the State if the increase is justified by |
an
acceptable cost study showing that the fees allowed by this |
Section are not
sufficient to cover the cost of providing the |
service.
Regardless of any other provision in this Section, the |
maximum fee that may
be collected from the Department of |
Revenue for filing or indexing a
lien, certificate of lien |
release or subordination, or any other type of notice
or other |
documentation affecting or concerning a lien is $5. Regardless |
of
any other provision in this Section, the maximum fee that |
|
may be collected from
the Department of Revenue for indexing |
each additional name in excess
of one for any lien, certificate |
of lien release or subordination, or any other
type of notice |
or other documentation affecting or concerning a lien is $1. |
A statement of the costs of providing each service, program |
and activity
shall be prepared by the county board. All |
supporting documents shall be
public record and subject to |
public examination and audit. All direct and
indirect costs, as |
defined in the United States Office of Management and
Budget |
Circular A-87, may be included in the determination of the |
costs of
each service, program and activity. |
(Source: P.A. 98-5, eff. 3-22-13; 98-217, eff. 8-9-13; revised |
9-24-13.) |
(55 ILCS 5/5-1062.3) |
Sec. 5-1062.3. Stormwater management; DuPage and Peoria |
Counties. |
(a) The purpose of this Section is to allow management and |
mitigation of the effects of urbanization on stormwater |
drainage in the metropolitan counties of DuPage and Peoria, and |
references to "county" in this Section apply only to those |
counties. This Section does not apply to a municipality that |
only partially lies within one of these counties and, on the |
effective date of this amendatory Act of the 98th General |
Assembly, is served by an existing Section in the Counties Code |
regarding stormwater management. The purpose of this Section |
|
shall be achieved by: |
(1) consolidating the existing stormwater management |
framework into a
united, countywide structure; |
(2) setting minimum standards for floodplain and |
stormwater management;
and |
(3) preparing a countywide plan for the management of |
stormwater runoff,
including the management of natural and |
man-made drainageways. The countywide
plan may incorporate |
watershed plans. |
(b) A stormwater management planning committee may be |
established by county board resolution, with its membership |
consisting of equal numbers of county board and municipal |
representatives from each county board district, and such other |
members as may be determined by the county and municipal |
members. If the county has more than 6 county board districts, |
however, the county board may by ordinance divide the county |
into not less than 6 areas of approximately equal population, |
to be used instead of county board districts for the purpose of |
determining representation on the stormwater management |
planning committee. |
The county board members shall be appointed by the chairman |
of the county board. Municipal members from each county board |
district or other represented area shall be appointed by a |
majority vote of the mayors of those municipalities that have |
the greatest percentage of their respective populations |
residing in that county board district or other represented |
|
area. All municipal and county board representatives shall be |
entitled to a vote; the other members shall be nonvoting |
members, unless authorized to vote by the unanimous consent of |
the municipal and county board representatives. A municipality |
that is located in more than one county may choose, at the time |
of formation of the stormwater management planning committee |
and based on watershed boundaries, to participate in the |
stormwater management planning program of either county. |
Subcommittees of the stormwater management planning committee |
may be established to serve a portion of the county or a |
particular drainage basin that has similar stormwater |
management needs. The stormwater management planning committee |
shall adopt bylaws, by a majority vote of the county and |
municipal members, to govern the functions of the committee and |
its subcommittees. Officers of the committee shall include a |
chair and vice chair, one of whom shall be a county |
representative and one a municipal representative. |
The principal duties of the committee shall be to develop a |
stormwater management plan for presentation to and approval by |
the county board, and to direct the plan's implementation and |
revision. The committee may retain engineering, legal, and |
financial advisors and inspection personnel. The committee |
shall meet at least quarterly and shall hold at least one |
public meeting during the preparation of the plan and prior to |
its submittal to the county board. The committee may make |
grants to units of local government that have adopted an |
|
ordinance requiring actions consistent with the stormwater |
management plan and to landowners for the purposes of |
stormwater management, including special projects; use of the |
grant money must be consistent with the stormwater management |
plan. |
The committee shall not have or exercise any power of |
eminent domain. |
(c) In the preparation of a stormwater management plan, a |
county stormwater management planning committee shall |
coordinate the planning process with each adjoining county to |
ensure that recommended stormwater projects will have no |
significant impact on the levels or flows of stormwaters in |
inter-county watersheds or on the capacity of existing and |
planned stormwater retention facilities. An adopted stormwater |
management plan shall identify steps taken by the county to |
coordinate the development of plan recommendations with |
adjoining counties. |
(d) The stormwater management committee may not enforce any |
rules or regulations that would interfere with (i) any power |
granted by the Illinois Drainage Code (70 ILCS 605/) to |
operate, construct, maintain, or improve drainage systems or |
(ii) the ability to operate, maintain, or improve the drainage |
systems used on or by land or a facility used for production |
agriculture purposes, as defined in the Use Tax Act (35 ILCS |
105/), except newly constructed buildings and newly installed |
impervious paved surfaces. Disputes regarding an exception |
|
shall be determined by a mutually agreed upon arbitrator paid |
by the disputing party or parties. |
(e) Before the stormwater management planning committee |
recommends to the county board a stormwater management plan for |
the county or a portion thereof, it shall submit the plan to |
the Office of Water Resources of the Department of Natural |
Resources for review and recommendations. The Office, in |
reviewing the plan, shall consider such factors as impacts on |
the levels or flows in rivers and streams and the cumulative |
effects of stormwater discharges on flood levels. The Office of |
Water Resources shall determine whether the plan or ordinances |
enacted to implement the plan complies with the requirements of |
subsection (f). Within a period not to exceed 60 days, the |
review comments and recommendations shall be submitted to the |
stormwater management planning committee for consideration. |
Any amendments to the plan shall be submitted to the Office for |
review. |
(f) Prior to recommending the plan to the county board, the |
stormwater management planning committee shall hold at least |
one public hearing thereon and shall afford interested persons |
an opportunity to be heard. The hearing shall be held in the |
county seat. Notice of the hearing shall be published at least |
once and no less than 15 days in advance of the hearing in a |
newspaper of general circulation published in the county. The |
notice shall state the time and place of the hearing and the |
place where copies of the proposed plan will be accessible for |
|
examination by interested parties. If an affected municipality |
having a stormwater management plan adopted by ordinance wishes |
to protest the proposed county plan provisions, it shall appear |
at the hearing and submit in writing specific proposals to the |
stormwater management planning committee. After consideration |
of the matters raised at the hearing, the committee may amend |
or approve the plan and recommend it to the county board for |
adoption. |
The county board may enact the proposed plan by ordinance. |
If the proposals for modification of the plan made by an |
affected municipality having a stormwater management plan are |
not included in the proposed county plan, and the municipality |
affected by the plan opposes adoption of the county plan by |
resolution of its corporate authorities, approval of the county |
plan shall require an affirmative vote of at least two-thirds |
of the county board members present and voting. If the county |
board wishes to amend the county plan, it shall submit in |
writing specific proposals to the stormwater management |
planning committee. If the proposals are not approved by the |
committee, or are opposed by resolution of the corporate |
authorities of an affected municipality having a municipal |
stormwater management plan, amendment of the plan shall require |
an affirmative vote of at least two-thirds of the county board |
members present and voting. |
(g) The county board may prescribe by ordinance reasonable |
rules and regulations for floodplain management and for |
|
governing the location, width, course, and release rate of all |
stormwater runoff channels, streams, and basins in the county, |
in accordance with the adopted stormwater management plan. |
Land, facilities, and drainage district facilities used for |
production agriculture as defined in subsection (d) shall not |
be subjected to regulation by the county board or stormwater |
management committee under this Section for floodplain |
management and for governing location, width, course, |
maintenance, and release rate of stormwater runoff channels, |
streams and basins, or water discharged from a drainage |
district. These rules and regulations shall, at a minimum, meet |
the standards for floodplain management established by the |
Office of Water Resources and the requirements of the Federal |
Emergency Management Agency for participation in the National |
Flood Insurance Program. With respect to DuPage County only, |
the Chicago Metropolitan Agency for Planning may not impose |
more stringent regulations regarding water quality on entities |
discharging in accordance with a valid National Pollution |
Discharge Elimination System permit issued under the |
Environmental Protection Act. |
(h) For the purpose of implementing this Section and for |
the development, design, planning, construction, operation, |
and maintenance of stormwater facilities provided for in the |
adopted stormwater management plan, a county board that has |
established a stormwater management planning committee |
pursuant to this Section or has participated in a stormwater |
|
management planning process may adopt a schedule of fees |
applicable to all real property within the county which |
benefits from the county's stormwater management facilities |
and activities, and as may be necessary to mitigate the effects |
of increased stormwater runoff resulting from development. The |
total amount of the fees assessed must be specifically and |
uniquely attributable to the actual costs of the county in the |
preparation, administration, and implementation of the adopted |
stormwater management plan, construction and maintenance of |
stormwater facilities, and other activities related to the |
management of the runoff from the property. The individual fees |
must be specifically and uniquely attributable to the portion |
of the actual cost to the county of managing the runoff from |
the property. The fees shall be used to finance activities |
undertaken by the county or its included municipalities to |
mitigate the effects of urban stormwater runoff by providing |
and maintaining stormwater collection, retention, detention, |
and particulate treatment facilities, and improving water |
bodies impacted by stormwater runoff, as identified in the |
county plan. In establishing, maintaining, or replacing such |
facilities, the county shall not duplicate facilities operated |
by other governmental bodies within its corporate boundaries. |
The schedule of fees established by the county board shall |
include a procedure for a full or partial fee waiver for |
property owners who have taken actions or put in place |
facilities that reduce or eliminate the cost to the county of |
|
providing stormwater management services to their property. |
The county board may also offer tax or fee rebates or incentive |
payments to property owners who construct, maintain, and use |
approved green infrastructure stormwater management devices or |
any other methods that reduce or eliminate the cost to the |
county of providing stormwater management services to the |
property, including but not limited to facilities that reduce |
the volume, temperature, velocity, and pollutant load of the |
stormwater managed by the county, such as systems that |
infiltrate, evapotranspirate, or harvest stormwater for reuse, |
known as "green infrastructure". In exercising this authority, |
the county shall provide notice to the municipalities within |
its jurisdiction their jurisdictions of any fees proposed under |
this Section and seek the input of each municipality with |
respect to the calculation of the fees. The county shall also |
give property owners at least 2 years' notice of the fee, |
during which time the county shall provide education on green |
infrastructure practices and an opportunity to take action to |
reduce or eliminate the fee. All these fees collected by the |
county shall be held in a separate fund, and shall be expended |
only in the watershed within which they were collected. The |
county may enter into intergovernmental agreements with other |
government bodies for the joint administration of stormwater |
management and the collection of the fees authorized in this |
Section. |
A fee schedule authorized by this subsection must have the |
|
same limit as the authorized stormwater tax. In Peoria County |
only, the fee schedule shall not be adopted unless (i) a |
referendum has been passed approving a stormwater tax as |
provided in subsection (i) of this Section; or (ii) the |
question of the adoption of a fee schedule with the same limit |
as the authorized stormwater tax has been approved in a |
referendum by a majority of those voting on the question. |
(i) In the alternative to a fee imposed under subsection |
(h), the county board may cause an annual tax of not to exceed |
0.20% of the value, as equalized or assessed by the Department |
of Revenue, of all taxable property in the county to be levied |
upon all the taxable property in the county. The property tax |
shall be in addition to all other taxes authorized by law to be |
levied and collected in the county and shall be in addition to |
the maximum tax rate authorized by law for general county |
purposes. The 0.20% limitation provided in this Section may be |
increased or decreased by referendum in accordance with the |
provisions of Sections 18-120, 18-125, and 18-130 of the |
Property Tax Code (35 ILCS 200/). |
Any revenues generated as a result of ownership or |
operation of facilities or land acquired with the tax funds |
collected pursuant to this subsection shall be held in a |
separate fund and be used either to abate such property tax or |
for implementing this Section. |
If at least part of the county has been declared by a |
presidential proclamation after July 1, 1986 and before |
|
December 31, 1987, to be a disaster area as a result of |
flooding, the tax authorized by this subsection does not |
require approval by referendum. However, in Peoria County, the |
tax authorized by this subsection shall not be levied until the |
question of its adoption, either for a specified period or |
indefinitely, has been submitted to the electors thereof and |
approved by a majority of those voting on the question. This |
question may be submitted at any election held in the county |
after the adoption of a resolution by the county board |
providing for the submission of the question to the electors of |
the county. The county board shall certify the resolution and |
proposition to the proper election officials, who shall submit |
the proposition at an election in accordance with the general |
election law. If a majority of the votes cast on the question |
is in favor of the levy of the tax, it may thereafter be levied |
in the county for the specified period or indefinitely, as |
provided in the proposition. The question shall be put in |
substantially the following form: |
Shall an annual tax be levied
for stormwater management |
purposes (for a period of not more than ..... years) at a |
rate not exceeding
.....% of the equalized assessed
value |
of the taxable property of ..... County? |
Votes shall be recorded as Yes or No. |
The following question may be submitted at any election |
held in the county after the adoption of a resolution by the |
county board providing for the submission of the question to |
|
the electors of the county to authorize adoption of a schedule |
of fees applicable to all real property within the county: |
Shall the county board be authorized to adopt a |
schedule of fees, at a rate not exceeding that of the |
stormwater management tax, applicable to all real property |
for preparation, administration, and implementation of an |
adopted stormwater management plan, construction and |
maintenance of related facilities, and management of the |
runoff from the property? |
Votes shall be recorded as Yes or No. |
If these questions have been approved by a majority of |
those voting prior to the effective date of this amendatory Act |
of the 98th General Assembly, this subsection does not apply. |
(j) For those counties that adopt a property tax in |
accordance with the provisions in this Section, the stormwater |
management committee shall offer property tax abatements or |
incentive payments to property owners who construct, maintain, |
and use approved stormwater management devices. The stormwater |
management committee is authorized to offer credits to the |
property tax, if applicable, based on authorized practices |
consistent with the stormwater management plan and approved by |
the committee. Expenses of staff of a stormwater management |
committee that are expended on regulatory project review may be |
no more than 20% of the annual budget of the committee, |
including funds raised under subsections (h) and (i). |
(k) Upon the creation and implementation of a county |
|
stormwater management
plan, the county may petition the circuit |
court to dissolve any or all drainage
districts created |
pursuant to the Illinois Drainage Code or predecessor Acts
|
which are located entirely within the area of the county |
covered by the plan. |
However, any active drainage district implementing a plan |
that is
consistent with and at least as stringent as the county |
stormwater
management plan may petition the stormwater |
management planning committee
for exception from dissolution. |
Upon filing of the petition, the committee
shall set a date for |
hearing not less than 2 weeks, nor more than 4 weeks,
from the |
filing thereof, and the committee shall give at least one |
week's
notice of the hearing in one or more newspapers of |
general circulation
within the district, and in addition shall |
cause a copy of the notice to be
personally served upon each of |
the trustees of the district. At the
hearing, the committee |
shall hear the district's petition and allow the
district |
trustees and any interested parties an opportunity to present |
oral
and written evidence. The committee shall render its |
decision upon the
petition for exception from dissolution based |
upon the best interests of
the residents of the district. In |
the event that the exception is not
allowed, the district may |
file a petition within 30 days of the decision
with the circuit |
court. In that case, the notice and hearing requirements
for |
the court shall be the same as herein provided for the |
committee.
The court shall likewise render its decision of |
|
whether to dissolve the
district based upon the best interests |
of residents of the district. |
The dissolution of any drainage district shall not affect |
the obligation
of any bonds issued or contracts entered into by |
the district nor
invalidate the levy, extension or collection |
of any taxes or special
assessments upon the property in the |
former drainage district. All property
and obligations of the |
former drainage district shall be assumed and
managed by the |
county, and the debts of the former drainage district shall
be |
discharged as soon as practicable. |
If a drainage district lies only partly within a county |
that adopts a
county stormwater management plan, the county may |
petition the circuit
court to disconnect from the drainage |
district that portion of the district
that lies within that |
county. The property of the drainage district within the
|
disconnected area shall be assumed and managed by the county. |
The county shall
also assume a portion of the drainage |
district's debt at the time of
disconnection, based on the |
portion of the value of the taxable property of the
drainage |
district which is located within the area being disconnected. |
The operations of any drainage district that continues to |
exist in a
county that has adopted a stormwater management plan |
in accordance with
this Section shall be in accordance with the |
adopted plan. |
(l) Any county that has adopted a county stormwater |
management plan under this Section may, after 10 days' days |
|
written notice receiving consent of the owner or occupant, |
enter upon any lands or waters within the county for the |
purpose of inspecting stormwater facilities or causing the |
removal of any obstruction to an affected watercourse. If |
consent is denied or cannot be reasonably obtained, the county |
ordinance shall provide a process or procedure for an |
administrative warrant to be obtained. The county shall be |
responsible for any damages occasioned thereby. |
(m) Except as otherwise provided in subsection (a) of this |
Section, upon petition of the municipality, and based on a |
finding of the stormwater management planning committee, the |
county shall not enforce rules and regulations adopted by the |
county in any municipality located wholly or partly within the |
county that has a municipal stormwater management ordinance |
that is consistent with and at least as stringent as the county |
plan and ordinance, and is being enforced by the municipal |
authorities. On issues that the county ordinance is more |
stringent as deemed by the committee, the county shall only |
enforce rules and regulations adopted by the county on the more |
stringent issues and accept municipal permits. The county shall |
have no more than 60 days to review permits or the permits |
shall be deemed approved. |
(n) A county may issue general obligation bonds for |
implementing any stormwater plan adopted under this Section in |
the manner prescribed in Section 5-1012; except that the |
referendum requirement of Section 5-1012 does not apply to |
|
bonds issued pursuant to this Section on which the principal |
and interest are to be paid entirely out of funds generated by |
the taxes and fees authorized by this Section. |
(o) A county that has adopted a fee schedule pursuant to |
this Section may not thereafter issue any bond extensions |
related to implementing a stormwater management plan. |
(p) The powers authorized by this Section may be |
implemented by the county board for a portion of the county |
subject to similar stormwater management needs. |
(q) The powers and taxes authorized by this Section are in |
addition to the powers and taxes authorized by Division 5-15; |
in exercising its powers under this Section, a county shall not |
be subject to the restrictions and requirements of that |
Division. |
(r) Stormwater management projects and actions related to |
stormwater management in a county that has adopted a fee |
schedule or tax pursuant to this Section prior to the effective |
date of this amendatory Act of the 98th General Assembly are |
not altered by this amendatory Act of the 98th General |
Assembly.
|
(Source: P.A. 98-335, eff. 8-13-13; revised 10-8-13.) |
(55 ILCS 5/5-1134) |
Sec. 5-1134. Project labor agreements. |
(a) Any sports, arts, or entertainment facilities that |
receive revenue from a tax imposed under subsection (b) of |
|
Section 5-1030 of this Code shall be considered to be public |
works within the meaning of the Prevailing Wage Act. The county |
authorities responsible for the construction, renovation, |
modification, or alteration of the sports, arts, or |
entertainment facilities shall enter into project labor |
agreements with labor organizations as defined in the National |
Labor Relations Act to assure that no labor dispute interrupts |
or interferes with the construction, renovation, modification, |
or alteration of the projects. |
(b) The project labor agreements must include the |
following: |
(1) provisions establishing the minimum hourly wage |
for each class of labor organization employees; |
(2) provisions establishing the benefits and other |
compensation for such class of labor organization; and |
(3) provisions establishing that no strike or disputes |
will be engaged in by the labor organization employees. |
The county, taxing bodies, municipalities, and the labor |
organizations shall have the authority to include other terms |
and conditions as they deem necessary. |
(c) The project labor agreement shall be filed with the |
Director of the Illinois Department of Labor in accordance with |
procedures established by the Department. At a minimum, the |
project labor agreement must provide the names, addresses, and |
occupations of the owner of the facilities and the individuals |
representing the labor organization employees participating in |
|
the project labor agreement. The agreement must also specify |
the terms and conditions required in subsection (b) of this |
Section. |
(d) In any agreement for the construction or rehabilitation |
of a facility using revenue generated under subsection (b) of |
Section 5-1030 of this Code, in connection with the |
prequalification of general contractors for construction or |
rehabilitation of the facility, it shall be required that a |
commitment will be submitted detailing how the general |
contractor will expend 15% or more of the aggregate dollar |
value of the project as a whole with one or more minority-owned |
businesses, female-owned businesses, or businesses owned by a |
person with a disability, as these terms are defined in Section |
2 of the Business Enterprise for Minorities, Females, and |
Persons with Disabilities Act.
|
(Source: P.A. 98-313, eff. 8-12-13.) |
(55 ILCS 5/5-1135) |
Sec. 5-1135 5-1134 . Borrowing from financial institutions. |
The county board of a county may borrow money for any corporate |
purpose from any bank or other financial institution provided |
such money shall be repaid within 2 years from the time the |
money is borrowed. The county board chairman or county |
executive, as the case may be, shall execute a promissory note |
or similar debt instrument, but not a bond, to evidence the |
indebtedness incurred by the borrowing. The obligation to make |
|
the payments due under the promissory note or other debt |
instrument shall be a lawful direct general obligation of the |
county payable from the general funds of the county and such |
other sources of payment as are otherwise lawfully available. |
The promissory note or other debt instrument shall be |
authorized by an ordinance passed by the county board and shall |
be valid whether or not an appropriation with respect to that |
ordinance is included in any annual or supplemental |
appropriation adopted by the county board. The indebtedness |
incurred under this Section, when aggregated with the existing |
indebtedness of the county, may not exceed any debt limitation |
otherwise provided for by law. "Financial institution" means |
any bank subject to the Illinois Banking Act, any savings and |
loan association subject to the Illinois Savings and Loan Act |
of 1985, any savings bank subject to the Savings Bank Act, any |
credit union subject to the Illinois Credit Union Act, and any |
federally chartered commercial bank, savings and loan |
association, savings bank, or credit union organized and |
operated in this State pursuant to the laws of the United |
States.
|
(Source: P.A. 98-525, eff. 8-23-13; revised 10-17-13.) |
(55 ILCS 5/5-12001.2) |
Sec. 5-12001.2. Regulation of telecommunications |
facilities; Lake County pilot project. In addition to any other |
requirements under this Division concerning the regulation of |
|
telecommunications facilities, the following applies to any |
new telecommunications facilities in Lake County that are not |
AM telecommunications towers or facilities: |
(a) For every new wireless telecommunications facility |
requiring a new tower structure, a telecommunications |
carrier shall provide the county with documentation |
consisting of the proposed location, a site plan, and an |
elevation that sufficiently describes a proposed wireless |
facility location. |
(b) The county shall have 7 days to review the facility |
proposal and contact the telecommunications carrier in |
writing via e-mail or other written means as specified by |
the telecommunications carrier. This written communication |
shall either approve the proposed location or request a |
meeting to review other possible alternative locations. If |
requested, the meeting shall take place within 7 days after |
the date of the written communication. |
(c) At the meeting, the telecommunications carrier |
shall provide the county documentation consisting of radio |
frequency engineering criteria and a corresponding |
telecommunications facility search ring map, together with |
documentation of the carrier's efforts to site the proposed |
facility within the telecommunications facility search |
ring. |
(d) Within 21 days after receipt of the carrier's |
documentation, the county shall propose either an |
|
alternative site within the telecommunications facility |
search ring, or an alternative site outside of the |
telecommunications search ring that meets the radio |
frequency engineering criteria provided by the |
telecommunications carrier and that will not materially |
increase the construction budget beyond what was estimated |
on the original carrier proposed site. |
(e) If the county's proposed alternative site meets the |
radio frequency engineering criteria provided by the |
telecommunications carrier, and will not materially |
increase the construction budget beyond what was estimated |
on the original carrier proposed site, then the |
telecommunications carrier shall agree to build the |
facility at the alternative location, subject to the |
negotiation of a lease with commercially reasonable terms |
and the obtainment of the customary building permits. |
(f) If the telecommunications carrier can demonstrate |
that: (i) the county's proposed alternative site does not |
meet the radio frequency engineering criteria, (ii) the |
county's proposed alternative site will materially |
increase the construction budget beyond what was estimated |
on the original carrier proposed site, (iii) the county has |
failed to provide an alternative alternate site, or (iv) |
after a period of 90 days after receipt of the alternative |
site , the telecommunications carrier has failed, after |
acting in good faith and with due diligence, to obtain a |
|
lease or , at a minimum, a letter of intent to lease the |
alternative site at lease rates not materially greater than |
the lease rate for the original proposed site; then the |
carrier can proceed to permit and construct the site under |
the provisions and standards of Section 5-12001.1 of this |
Code.
|
(Source: P.A. 98-197, eff. 8-9-13; revised 10-8-13.) |
(55 ILCS 5/5-44020) |
Sec. 5-44020. Definitions. In this Division 5-44: |
"Fire protection jurisdiction" means a fire protection |
district, municipal fire department, or service organized |
under Section 5-1056.1 of the Counties Code, Sections 195 and |
200 of the Township Code, Section 10-2.1 of the Illinois |
Municipal Code, or the Illinois Fire Protection District Act. |
"Governing board" means the individual or individuals who |
constitute the
corporate authorities of a unit of local |
government . ; and |
"Unit of local government" or "unit" means any unit of |
local government located entirely within one county, to which |
the county board chairman or county executive directly appoints |
a majority of its governing board with the advice and consent |
of the county board, but shall not include a fire protection |
district that directly employs any regular full-time employees |
or a special district organized under the Water Commission Act |
of 1985.
|
|
(Source: P.A. 98-126, eff. 8-2-13; revised 9-13-13.)
|
(55 ILCS 5/6-27005) (from Ch. 34, par. 6-27005)
|
Sec. 6-27005. Transfer to general corporate fund. Moneys |
shall be transferred from said working cash fund to
the general |
corporate fund only upon the authority of the county board,
|
which shall from time to time by separate resolution direct the |
county
treasurer to make transfers of such sums as may be |
required for the
purposes herein authorized. Every such |
resolution shall set forth (a)
the taxes or other moneys in |
anticipation of the collection or receipt
of which such |
transfer is to be made and from which such working cash
fund is |
to be reimbursed, (b) with respect only to transfers made in
|
anticipation of the levy of real property taxes, the entire |
amount of
taxes extended or which the county board estimates |
will be extended, for
any year, by the county clerk upon the |
books of the collectors of State
and county taxes within such |
county, in anticipation of the collection
of all or part of |
which such transfer is to be made, (c) the aggregate
amount of |
warrants theretofore issued in anticipation of the collection
|
of such taxes, together with the amount of interest accrued, |
and/or
which the county board estimates will accrue, thereon, |
(d) the aggregate
amount of notes theretofore issued in |
anticipation of the collection of
such taxes, together with the |
amount of the interest accrued, and/or
which the county board |
estimates will accrue, thereon, and (e) the
amount of moneys, |
|
which the county board estimates will be earned by the
county |
clerk and the county collector, respectively, as fees or
|
commissions for extending or collecting taxes for any year, in
|
anticipation of the receipt of all or part of which such |
transfer is to
be made, (f) the amount of such taxes, as by law |
now or hereafter
enacted or amended, imposed by the General |
Assembly of the State of
Illinois to replace revenue lost by |
units of local government and school
districts as a result of |
the abolition of ad valorem personal property
taxes, pursuant |
to Article IX, Section 5(c) of the Constitution of the
State of |
Illinois which the county board estimates will be received by
|
the county for any year, (g) the aggregate amount of receipts |
from taxes
imposed to replace revenue lost by units of local |
government and school
districts as a result of the abolition of |
ad valorem personal property
taxes, pursuant to Article IX, |
Section 5(c) of the Constitution of the
State of Illinois, |
which the corporate authorities estimate will be set
aside for |
the payment of the proportionate amount of debt service and
|
pension or retirement obligations, as required by Section 12 of |
"An Act in
relation to State Revenue Sharing with local |
government entities", approved
July 31, 1969, as amended, and |
(h) the aggregate amount of moneys
theretofore transferred from |
the working cash fund to the general corporate
fund in |
anticipation of the collection of such taxes or of the receipt |
of
such other moneys to be derived from fees or commissions or |
of the receipt
of such taxes, as by law now or hereafter |
|
enacted or amended, imposed by
the General Assembly of the |
State of Illinois to replace revenue lost by
units of local |
government and school districts as a result of the abolition
of |
ad valorem personal property taxes, pursuant to Article IX, |
Section 5(c)
of the Constitution of the State of Illinois. The |
amount which any such
resolution shall direct the county |
treasurer so to transfer, in
anticipation of the collection of |
taxes levied for any year, together with
the aggregate amount |
of such anticipation tax warrants and notes
theretofore drawn |
against such taxes and the amount of the interest
accrued, , and |
the aggregate amount of such transfers theretofore made in
|
anticipation of the collection of such taxes, shall not exceed |
ninety (90)
per centum of the actual or estimated amount of |
such taxes extended or to
be extended, as set forth in such |
resolution. The amount which any such
resolution shall direct |
the county treasurer so to transfer, in
anticipation of the |
receipt of any moneys to be derived from fees or
commissions, |
or of the receipt of such taxes, as by law now or hereafter
|
enacted or amended, imposed by the General Assembly of the |
State of
Illinois to replace revenue lost by units of local |
government and school
districts as a result of the abolition of |
ad valorem personal property
taxes, pursuant to Article IX, |
Section 5(c) of the Constitution of the
State of Illinois |
together with the aggregate amount theretofore
transferred in |
anticipation of the receipt of any such moneys and the
amount |
estimated to be required to satisfy debt service and pension or
|
|
retirement obligations, as set forth in Section 12 of "An Act |
in relation
to State revenue sharing with local government |
entities", approved July
31, 1969, as amended, shall not exceed |
the total amount which it is so
estimated will be received from |
such sources. To the extent that at any
time moneys are |
available in the working cash fund they shall be
transferred to |
the general corporate fund and disbursed for the payment of
|
salaries and other corporate expenses so as to avoid, whenever |
possible,
the issuance of anticipation tax warrants or notes.
|
(Source: P.A. 86-962; revised 10-8-13.)
|
Section 235. The Township Code is amended by changing |
Section 27-10 as follows: |
(60 ILCS 1/27-10) |
Sec. 27-10. Petition and referendum to discontinue and |
abolish a township organization within a coterminous |
municipality. Upon adoption of an ordinance adopted by the city |
council of a township described under Section 27-5 of this |
Article, or upon petition of at least 10% of the registered |
voters of that township, the city council shall certify and |
cause to be submitted to the voters of the township, at the |
next election or consolidated election, a proposition to |
discontinue and abolish the township organization and to |
transfer all the rights, powers, duties, assets, property, |
liabilities, obligations, and responsibilities of the township |
|
organization to the coterminous municipality. |
A signature on a petition shall not be valid or counted in |
considering the petition unless the form requirements are |
complied with and the date of each signature is less than 90 |
days before the last day for filing the petition. The statement |
of the person who circulates the petition must include an |
attestation (i) indicating the dates on which that sheet was |
circulated, (ii) indicating the first and last date on which |
that sheet was circulated, or (iii) certifying that none of the |
signatures on the sheet was signed more than 90 days before the |
last day for filing the petition. The petition shall be treated |
and the proposition certified in the manner provided by the |
general election law. After the proposition has once been |
submitted to the electorate, the proposition shall not be |
resubmitted for 4 years. |
The proposition shall be in substantially the following |
form: |
Shall the township organization be continued in [Name |
of Township] Township? |
The votes shall be recorded as "Yes" or "No".
|
(Source: P.A. 98-127, eff. 8-2-13; revised 10-8-13.) |
Section 240. The Illinois Municipal Code is amended by |
changing Section 11-80-9 as follows:
|
(65 ILCS 5/11-80-9) (from Ch. 24, par. 11-80-9)
|
|
Sec. 11-80-9.
The corporate authorities of each |
municipality may prevent
and regulate all amusements and |
activities having a tendency to annoy or
endanger persons or |
property on the sidewalks, streets, and other municipal
|
property. However, no municipality may prohibit a charitable |
organization, as defined in Section 2 of the Charitable Games |
Act, from soliciting for charitable purposes, including |
solicitations taking place on public roadways from passing |
motorists, if all of the following requirements are met.
|
(1) The persons to be engaged in the solicitation are |
law enforcement personnel, firefighters, or other persons |
employed to protect the public safety of a local agency, |
and that are soliciting solely in an area that is within |
the service area of that local agency. |
(2) The charitable organization files an application |
with the municipality having jurisdiction over the |
location or locations where the solicitation is to occur. |
The application applications shall be filed not later than |
10 business days before the date that the solicitation is |
to begin and shall include all of the following: |
(A) The date or dates and times of day when the |
solicitation is to occur. |
(B) The location or locations where the |
solicitation is to occur along with a list of 3 |
alternate locations listed in order of preference. |
(C) The manner and conditions under which the |
|
solicitation is to occur. |
(D) Proof of a valid liability insurance policy in |
the amount of at least $1,000,000 insuring the charity |
or local agency against bodily injury and property |
damage arising out of or in connection with the |
solicitation. |
The municipality shall approve the application within 5 |
business days after the filing date of the application, but may |
impose reasonable conditions in writing that are consistent |
with the intent of this Section and are based on articulated |
public safety concerns. If the municipality determines that the |
applicant's location cannot be permitted due to significant |
safety concerns, such as high traffic volumes, poor geometrics, |
construction, maintenance operations, or past accident |
history, then the municipality may deny the application for |
that location and must approve one of the 3 alternate locations |
following the order of preference submitted by the applicant on |
the alternate location list. By acting under this Section, a |
local agency does not waive or limit any immunity from |
liability provided by any other provision of law. |
(3) For purposes of this Section, "local agency" means a |
municipality, special district, fire district, joint powers of |
authority, or other political subdivision of the State of |
Illinois. |
A home rule unit may not regulate a charitable organization |
in a manner that is inconsistent with this Section. This |
|
Section is a limitation under subsection (i) of Section 6 of |
Article VII of the Illinois Constitution on the concurrent |
exercise by home rule units of powers and functions exercised |
by the State. |
(Source: P.A. 97-692, eff. 6-15-12; 98-134, eff. 8-2-13; |
revised 10-8-13.)
|
Section 245. The Fire Protection District Act is amended by |
changing Sections 8.20 and 11j as follows:
|
(70 ILCS 705/8.20)
|
Sec. 8.20. Open burning.
|
(a) The board of trustees of any fire protection district |
incorporated under
this Act may, by ordinance,
require that the |
district be notified of open burning within the district
before |
it takes
place, but shall not require that a permit for open |
burning be
obtained from the
district. The district may
not |
enforce an ordinance adopted under this Section within the |
corporate limits
of a county with a population of 3,000,000 or |
more or a municipality
with a population of 1,000,000 or more.
|
(b) The fire department of a fire protection district may |
extinguish any
open burn that presents a clear, present, and |
unreasonable danger to persons or
adjacent property or
that |
presents an unreasonable risk because of wind, weather, or the |
types of
combustibles. The
unreasonable risk may include the |
height of flames, windblown embers, the
creation of hazardous
|
|
fumes, or an unattended fire. Fire departments may not |
unreasonably interfere
with permitted and
legal open burning.
|
(c) The fire protection district may provide that persons |
setting open burns
on
any agricultural
land with an area of 50 |
acres or more may voluntarily comply with the
provisions of an |
ordinance
adopted under this Section.
|
(d) The fire chief or any other designated officer of a |
fire department of any fire protection district incorporated |
under this Act may, with the authorization of the board of |
trustees of the fire protection district, prohibit open burning |
within the district on an emergency basis, for a limited period |
of time, if (i) the atmospheric conditions or other |
circumstances create an unreasonable risk of fire because of |
wind, weather, or the types of combustibles and (ii) the |
resources of the fire department are not sufficient to control |
and suppress a fire resulting from one or more of the |
conditions or circumstances described in clause (i) of this |
subsection. For the purposes of this subsection, "open burning" |
includes, but is not limited to, the burning of landscape |
waste, agricultural waste, household trash, and garbage. |
(e) The fire chief or any other designated officer of a |
fire department of any fire protection district incorporated |
under this Act may fix, charge, and collect fees associated |
with the fire department extinguishing an open burning that is |
prohibited under subsection (d) of this Section. The fee may be |
imposed against any person causing or engaging in the |
|
prohibited activity. The total amount collected for |
compensation of the fire protection district shall be assessed |
in accordance with both the rates provided in Section 11f(c) of |
this Act and the fire chief's determination of the cost of |
personnel and equipment utilized to extinguish the fire. |
(f) This Section does not authorize the open burning of any |
waste. The open burning of waste is subject to the restrictions |
and prohibitions of the Environmental Protection Act and the |
rules and regulations adopted under its authority. |
(Source: P.A. 97-488, eff. 1-1-12; 98-279, eff. 8-9-13; revised |
10-8-13.)
|
(70 ILCS 705/11j) |
Sec. 11j. Installation of access or key boxes. The board of |
trustees of any fire protection district may, by ordinance, |
require the installation of an access or key box if: (1) a |
structure is protected by an automatic fire alarm or security |
system or access to or within the structure or area is unduly |
difficult because of secured openings; and (2) immediate access |
is necessary for life-saving purposes. In the case of a health |
care facility that is secured by an electronic code box that is |
in good working order, if the owner of the health care facility |
provides the fire department with a valid access code, then |
that health care facility is not required to be accessible by |
an access or key box. For the purposes of this Section, "health |
care facility" means: a hospital licensed under the Hospital |
|
Licensing Act or the University of Illinois Hospital Act; a |
nursing home or long-term care facility licensed under the |
Nursing Home Care Act; an assisted living establishment, as |
defined in the Assisted Living and Shared Housing Act; a mental |
health facility, as defined in the Mental Health and |
Developmental Disabilities Code; a supportive living facility |
certified to participate in the supportive living facilities |
program under Section 5-5.01a of the Illinois Public Aid Code; |
or a facility licensed under the Specialized Mental Health |
Rehabilitation Act of 2013 . "Access or key box" means a secure |
device with a lock operable only by a fire department master |
key, and containing building entry keys and other keys that may |
be required for access in an emergency. |
The access or key box shall be of an approved type listed |
in accordance with the most recently published version of the |
standard Underwriters Laboratories 1037 and shall contain keys |
to gain access as required by the fire chief of the fire |
protection district, or his or her designee. |
An ordinance enacted under this Section may specify |
particular classes or types of structures or occupancies that |
are required to install an access or key box. However, an |
ordinance enacted under this Section shall not apply to single |
family residential structures or to facilities owned or |
operated by a public utility, as that term is defined under |
Section 3-105 of the Public Utilities Act.
|
(Source: P.A. 98-388, eff. 8-16-13; revised 10-8-13.) |
|
Section 250. The Park District Code is amended by changing |
Section 11.2-1 as follows:
|
(70 ILCS 1205/11.2-1) (from Ch. 105, par. 11.2-1)
|
Sec. 11.2-1.
In each park district a fund to be known as a |
"Working
Cash Fund" may be created, set apart, maintained and |
administered in the
manner prescribed in this Article, for the |
purpose of enabling the district
to have in its treasury at all |
times time sufficient money to meet demands thereon
for |
ordinary and necessary expenditures for corporate purposes.
|
(Source: P.A. 79-1379; revised 9-24-13.)
|
Section 255. The Elmwood Park Grade Separation Authority |
Act is amended by changing Sections 10, 50, and 60 as follows: |
(70 ILCS 1935/10)
|
Sec. 10. Legislative declaration. The General Assembly |
declares that the welfare, health, prosperity, and moral and |
general well being of the people of the State are, in large |
measure, dependent upon the sound and orderly development of |
municipal areas. The Village of Elmwood Park , by reason of the |
location there of Grand Avenue and its use for vehicular travel |
in access to the entire west metropolitan Chicago area, |
including municipalities in 2 counties, as well as commercial |
and industrial growth patterns and accessibility to O'Hare |
|
International Airport, manufacturing and freight related |
services, has become and will increasingly be the hub of |
transportation from all parts of the region and throughout the |
west metropolitan area. Motor vehicle traffic, pedestrian |
travel, and the safety of both motorists and pedestrians are |
substantially aggravated by the location of a major railroad |
right-of-way that divides the Village into north and south |
halves. The presence of the railroad right-of-way has |
effectively impeded the development of highway usage and |
rights-of-way and is detrimental to the orderly expansion of |
industry and commerce and to progress throughout the region. |
Additionally, the railroad grade crossing located on Grand |
Avenue within the Village of Elmwood Park has posed a |
significant safety hazard to the public. The Illinois Commerce |
Commission Collision History illustrates that there have been 8 |
fatalities and 29 injuries since 1956 at the railroad grade |
crossing located on Grand Avenue within the Village. The |
presence of the railroad right-of-way at grade crossing within |
the Village is detrimental to the safety of the public, as well |
as to the orderly expansion of industry and commerce and to |
progress of the region. To alleviate this situation, it is |
necessary to separate the grade crossing on Grand Avenue within |
the Village, to relocate the railroad tracks and right-of-way, |
and to acquire property for separation of the railroad or |
highway , and to create an agency to facilitate and accomplish |
that grade separation.
|
|
(Source: P.A. 98-564, eff. 8-27-13; revised 10-8-13.) |
(70 ILCS 1935/50)
|
Sec. 50. Board; composition; qualification; compensation |
and expenses. The Authority shall be governed by a 9-member |
board consisting of members appointed by the Governor with the |
advice and consent of the Senate. Five members shall be voting |
members and 4 members shall be non-voting members. The voting |
members shall consist of the following: |
(1) two former public officials who served within the |
Township of Leyden or the Village of Elmwood Park and are |
recommended to the Governor by the Village President of the |
Village of Elmwood Park; |
(2) two prior employees of Canadian Pacific Railway |
with management experience; and |
(3) one resident of the Township of Leyden or the |
Village of Elmwood Park. |
The non-voting members shall consist of the following: |
(1) the Village President of the Village of Elmwood |
Park; |
(2) one current employee of Canadian Pacific Railway |
with management experience; |
(3) one current employee of Northeast Illinois |
Regional Commuter Railroad Corporation with management |
experience; and |
(4) one current employee of the Department of |
|
Transportation with management experience. |
The members of the board shall serve without compensation, |
but may be reimbursed for actual expenses incurred by them in |
the performance of their duties prescribed by the Authority. |
However, any member of the board who serves as secretary or |
treasurer may receive compensation for services as that |
officer.
|
(Source: P.A. 98-564, eff. 8-27-13; revised 10-17-13.) |
(70 ILCS 1935/60)
|
Sec. 60. Organization; chair and temporary secretary. As |
soon as possible after the effective date of this amendatory |
Act of the 98th General Assembly , the board shall organize for |
the transaction of business, select a chair from its voting |
members and a temporary secretary from its own number, and |
adopt bylaws to govern its proceedings. The initial chair and |
successors shall be elected by the board from time to time from |
among members. The Authority may act through its board members |
by entering into an agreement that a member act on the |
Authority's behalf, in which instance the act or performance |
directed shall be deemed to be exclusively of, for, and by the |
Authority and not the individual act of the member or its |
represented person.
|
(Source: P.A. 98-564, eff. 8-27-13; revised 10-8-13.) |
Section 260. The Rescue Squad Districts Act is amended by |
|
changing Section 12 as follows:
|
(70 ILCS 2005/12) (from Ch. 85, par. 6862)
|
Sec. 12.
A district organized under
this Act, in the |
preparation of its annual budget and appropriation ordinance,
|
may provide that an amount equal to not more than 0.5%
of the |
total equalized assessed value of real property situated in the |
district
shall be allocated to and accumulated in an a |
Equipment Repair or
Replacement Fund for the purposes of |
equipment repairs
or replacements of specific types of district |
equipment.
Expenditures from the Equipment Repair or
|
Replacement Fund shall be budgeted and appropriated for the |
fiscal year
in which the equipment repair or replacement will |
occur. Upon
completion or abandonment of any object or purpose |
for which an Equipment
Repair or Replacement Fund has been |
initiated, monies remaining in the
fund shall be transferred |
into the general corporate fund of the district on
the first |
day of the fiscal year following the abandonment or completion
|
resulting in the surplus moneys in such fund.
|
(Source: P.A. 86-916; revised 10-8-13.)
|
Section 265. The Regional Transportation Authority Act is |
amended by changing Section 3B.09b as follows: |
(70 ILCS 3615/3B.09b) |
Sec. 3B.09b. Payment of fares by credit card. |
|
(a) By February 28, 2010, the Commuter Rail Board shall |
allow passengers to purchase fares by credit card (i) through |
an Internet website operated by the Board, (ii) at its LaSalle |
Street Station, Union Station, Ogilvie Transportation Center, |
and Millennium Millenium Station, (iii) at stations with |
agents, and (iv) from vending machines capable of providing |
fares by credit card at the 14 largest stations on the Metra |
Electric Line. |
(b) The Board may not require a passenger who chooses to |
purchase a fare by credit card to pay an additional fee.
|
(Source: P.A. 96-621, eff. 1-1-10; revised 9-13-13.) |
Section 270. The School Code is amended by setting forth |
and renumbering multiple versions of Section 2-3.157 and by |
changing Sections 10-19, 20-1, 21B-30, and 27-24 as follows: |
(105 ILCS 5/2-3.157) |
Sec. 2-3.157. (Repealed). |
(Source: P.A. 98-578, eff. 8-27-13. Repealed internally, eff. |
1-2-14.) |
(105 ILCS 5/2-3.158) |
(Section scheduled to be repealed on May 31, 2015) |
Sec. 2-3.158 2-3.157 . Task Force on Civic Education. |
(a) The State Board of Education shall establish the Task |
Force on Civic Education, to be comprised of all of the |
|
following members, with an emphasis on bipartisan legislative |
representation and diverse non-legislative stakeholder |
representation: |
(1) One member appointed by the Speaker of the House of |
Representatives. |
(2) One member appointed by the President of the |
Senate. |
(3) One member appointed by the Minority Leader of the |
House of Representatives. |
(4) One member appointed by the Minority Leader of the |
Senate. |
(5) One member appointed by the head of an association |
representing a teachers union. |
(6) One member appointed by the head of an association |
representing the Chicago Teachers Union. |
(7) One member appointed by the head of an association |
representing social studies teachers. |
(8) One member appointed by the head of an association |
representing school boards. |
(9) One member appointed by the head of an association |
representing the media. |
(10) One member appointed by the head of an association |
representing the non-profit sector that promotes civic |
education as a core mission. |
(11) One member appointed by the head of an association |
representing the non-profit sector that promotes civic |
|
engagement among the general public. |
(12) One member appointed by the president of an |
institution of higher education who teaches college or |
graduate-level government courses or facilitates a program |
dedicated to cultivating civic leaders. |
(13) One member appointed by the head of an association |
representing principals or district superintendents. |
(b) The members of the Task Force shall serve without |
compensation but shall be reimbursed for their reasonable and |
necessary expenses from funds appropriated to the State Board |
of Education for that purpose. The members of the Task Force |
shall be reimbursed for their travel expenses from |
appropriations to the State Board of Education available for |
that purpose and subject to the rules of the appropriate travel |
control board. |
(c) The members of the Task Force shall be considered |
members with voting rights. A quorum of the Task Force shall |
consist of a simple majority of the members of the Task Force. |
All actions and recommendations of the Task Force must be |
approved by a simple majority vote of the members. |
(d) The Task Force shall meet initially at the call of the |
State Superintendent of Education, shall elect one member as |
chairperson at its initial meeting through a simple majority |
vote of the Task Force, and shall thereafter meet at the call |
of the chairperson. |
(e) The State Board of Education shall provide |
|
administrative and other support to the Task Force. |
(f) The Task Force is charged with all of the following |
tasks: |
(1) To analyze the current state of civic education in |
this State. |
(2) To analyze current civic education laws in other |
jurisdictions, both mandated and permissive. |
(3) To identify best practices in civic education in |
other jurisdictions. |
(4) To make recommendations to the General Assembly |
focused on substantially increasing civic literacy and the |
capacity of youth to obtain the requisite knowledge, |
skills, and practices to be civically informed members of |
the public. |
(5) To make funding recommendations if the Task Force's |
recommendations to the General Assembly would require a |
fiscal commitment. |
(g) No later than May 31, 2014, the Task Force shall |
summarize its findings and recommendations in a report to the |
General Assembly, filed as provided in Section 3.1 of the |
General Assembly Organization Act. Upon filing its report, the |
Task Force is dissolved. |
(h) This Section is repealed on May 31, 2015.
|
(Source: P.A. 98-301, eff. 8-9-13; revised 10-4-13.) |
(105 ILCS 5/2-3.159) |
|
Sec. 2-3.159 2-3.157 . State Seal of Biliteracy. |
(a) In this Section, "foreign language" means any language |
other than English, including all modern languages, Latin, |
American Sign Language, Native American languages, and native |
languages. |
(b) The State Seal of Biliteracy program is established to |
recognize public high school graduates who have attained a high |
level of proficiency in one or more languages in addition to |
English. The State Seal of Biliteracy shall be awarded |
beginning with the 2014-2015 school year. School district |
participation in this program is voluntary. |
(c) The purposes of the State Seal of Biliteracy are as |
follows: |
(1) To encourage pupils to study languages. |
(2) To certify attainment of biliteracy. |
(3) To provide employers with a method of identifying |
people with language and biliteracy skills. |
(4) To provide universities with an additional method |
to recognize applicants seeking admission. |
(5) To prepare pupils with 21st century skills. |
(6) To recognize the value of foreign language and |
native language instruction in public schools. |
(7) To strengthen intergroup relationships, affirm the |
value of diversity, and honor the multiple cultures and |
languages of a community. |
(d) The State Seal of Biliteracy certifies attainment of a |
|
high
level of proficiency, sufficient for meaningful use in |
college and a career, by a graduating public high school pupil |
in one or more
languages in addition to English. |
(e) The State Board of Education shall adopt such rules as |
may be necessary to establish the criteria that pupils must |
achieve to earn a State Seal of Biliteracy, which may include |
without limitation attainment of units of credit in English |
language arts and languages other than English and passage of |
such assessments of foreign language proficiency as may be |
approved by the State Board of Education for this purpose. |
(f) The State Board of Education shall do both of the |
following: |
(1) Prepare and deliver to participating school |
districts an appropriate mechanism for designating the |
State Seal of Biliteracy on the diploma and transcript of |
the pupil indicating that the pupil has been awarded a |
State Seal of Biliteracy by the State Board of Education. |
(2) Provide other information the State Board of |
Education deems necessary for school districts to |
successfully participate in the program. |
(g) A school district that participates in the program |
under this
Section shall do both of the following: |
(1) Maintain appropriate records in order to identify |
pupils who have earned a State Seal of Biliteracy. |
(2) Make the appropriate designation on the diploma and |
transcript of each pupil who earns a State Seal of |
|
Biliteracy. |
(h) No fee shall be charged to a pupil to receive the |
designation pursuant to this Section. Notwithstanding this |
prohibition, costs may be incurred by the pupil in |
demonstrating proficiency, including without limitation any |
assessments required under subsection (e) of this Section.
|
(Source: P.A. 98-560, eff. 8-27-13; revised 10-4-13.)
|
(105 ILCS 5/10-19) (from Ch. 122, par. 10-19)
|
Sec. 10-19. Length of school term - experimental programs. |
Each school
board shall annually prepare a calendar for the |
school term, specifying
the opening and closing dates and |
providing a minimum term of at least 185
days to insure 176 |
days of actual pupil attendance, computable under Section
|
18-8.05, except that for the 1980-1981 school year only 175 |
days
of actual
pupil attendance shall be required because of |
the closing of schools pursuant
to Section 24-2 on January 29, |
1981 upon the appointment by the President
of that day as a day |
of thanksgiving for the freedom of the Americans who
had been |
held hostage in Iran. Any days allowed by law for teachers' |
institutes
institute but not used as such or used as parental |
institutes as provided
in Section 10-22.18d shall increase the |
minimum term by the school days not
so used. Except as provided |
in Section 10-19.1, the board may not extend
the school term |
beyond such closing date unless that extension of term is
|
necessary to provide the minimum number of computable days. In |
|
case of
such necessary extension school employees
shall be paid |
for such additional time on the basis of their regular
|
contracts. A school board may specify a closing date earlier |
than that
set on the annual calendar when the schools of the |
district have
provided the minimum number of computable days |
under this Section.
Nothing in this Section prevents the board |
from employing
superintendents of schools, principals and |
other nonteaching personnel
for a period of 12 months, or in |
the case of superintendents for a
period in accordance with |
Section 10-23.8, or prevents the board from
employing other |
personnel before or after the regular school term with
payment |
of salary proportionate to that received for comparable work
|
during the school term.
|
A school board may make such changes in its calendar for |
the school term
as may be required by any changes in the legal |
school holidays prescribed
in Section 24-2. A school board may |
make changes in its calendar for the
school term as may be |
necessary to reflect the utilization of teachers'
institute |
days as parental institute days as provided in Section |
10-22.18d.
|
The calendar for the school term and any changes must be |
submitted to and approved by the regional superintendent of |
schools before the calendar or changes may take effect.
|
With the prior approval of the State Board of Education and |
subject
to review by the State Board of Education every 3 |
years, any school
board may, by resolution of its board and in |
|
agreement with affected
exclusive collective bargaining |
agents, establish experimental
educational programs, including |
but not limited to programs for
self-directed learning or |
outside of formal class periods, which programs
when so |
approved shall be considered to comply with the requirements of
|
this Section as respects numbers of days of actual pupil |
attendance and
with the other requirements of this Act as |
respects courses of instruction.
|
(Source: P.A. 93-1036, eff. 9-14-04; revised 11-12-13.)
|
(105 ILCS 5/20-1) (from Ch. 122, par. 20-1)
|
Sec. 20-1. Authority to create working cash fund. In each |
school district,
whether organized under general law or special |
charter, having a population
of less than 500,000 inhabitants, |
a fund to be known as a "Working Cash
Fund" may be created and |
maintained consistent with the limitations of this Article, for |
the purpose of enabling the district to have in its
treasury at |
all times time sufficient money to meet demands thereon for |
expenditures for corporate purposes.
|
(Source: P.A. 96-1277, eff. 7-26-10; revised 9-12-13.)
|
(105 ILCS 5/21B-30)
|
Sec. 21B-30. Educator testing. |
(a) This Section applies beginning on July 1, 2012. |
(b) The State Board of Education, in consultation with the |
State Educator Preparation and Licensure Board, shall design |
|
and implement a system of examinations, which shall be required |
prior to the issuance of educator licenses. These examinations |
and indicators must be based on national and State professional |
teaching standards, as determined by the State Board of |
Education, in consultation with the State Educator Preparation |
and Licensure Board. The State Board of Education may adopt |
such rules as may be necessary to implement and administer this |
Section. No score on a test required under this Section, other |
than a test of basic skills, shall be more than 5 years old at |
the time that an individual makes application for an educator |
license or endorsement. |
(c) Applicants seeking a Professional Educator License or |
an Educator License with Stipulations shall be required to pass |
a test of basic skills before the license is issued, unless the |
endorsement the individual is seeking does not require passage |
of the test. All applicants completing Illinois-approved, |
teacher education or school service personnel preparation |
programs shall be required to pass the State Board of |
Education's recognized test of basic skills prior to starting |
their student teaching or starting the final semester of their |
internship, unless required earlier at the discretion of the |
recognized, Illinois institution in which they are completing |
their approved program. An individual who passes a test of |
basic skills does not need to do so again for subsequent |
endorsements or other educator licenses. |
(d) All applicants seeking a State license shall be |
|
required to pass a test of content area knowledge for each area |
of endorsement for which there is an applicable test. There |
shall be no exception to this requirement. No candidate shall |
be allowed to student teach or serve as the teacher of record |
until he or she has passed the applicable content area test. |
(e) All applicants seeking a State license endorsed in a |
teaching field shall pass the assessment of professional |
teaching (APT). Passage of the APT is required for completion |
of an approved Illinois educator preparation program. |
(f) Beginning on September 1, 2015, all candidates |
completing teacher preparation programs in this State are |
required to pass an evidence-based assessment of teacher |
effectiveness approved by the State Board of Education, in |
consultation with the State Educator Preparation and Licensure |
Board. All recognized institutions offering approved teacher |
preparation programs must begin phasing in the approved teacher |
performance assessment no later than July 1, 2013. |
(g) Tests of basic skills and content area knowledge and |
the assessment of professional teaching shall be the tests that |
from time to time are designated by the State Board of |
Education, in consultation with the State Educator Preparation |
and Licensure Board, and may be tests prepared by an |
educational testing organization or tests designed by the State |
Board of Education, in consultation with the State Educator |
Preparation and Licensure Board. The areas to be covered by a |
test of basic skills shall include reading, language arts, and |
|
mathematics. The test of content area knowledge shall assess |
content knowledge in a specific subject field. The tests must |
be designed to be racially neutral to ensure that no person |
taking the tests is discriminated against on the basis of race, |
color, national origin, or other factors unrelated to the |
person's ability to perform as a licensed employee. The score |
required to pass the tests shall be fixed by the State Board of |
Education, in consultation with the State Educator Preparation |
and Licensure Board. The tests shall be administered not fewer |
than 3 times a year at such time and place as may be designated |
by the State Board of Education, in consultation with the State |
Educator Preparation and Licensure Board. |
The State Board shall implement a test or tests to assess |
the speaking, reading, writing, and grammar skills of |
applicants for an endorsement or a license issued under |
subdivision (G) of paragraph (2) of Section 21B-20 of this Code |
in the English language and in the language of the transitional |
bilingual education program requested by the applicant. |
(h) Except as provided in Section 34-6 of this Code, the |
provisions of this Section shall apply equally in any school |
district subject to Article 34 of this Code. |
(i) The rules developed to implement and enforce the |
testing requirements under this Section shall include |
provisions governing test selection, test validation and |
determination of a passing score, administration of the tests, |
frequency of administration, applicant fees, frequency of |
|
applicants taking the tests, the years for which a score is |
valid, and appropriate special accommodations. The State Board |
of Education shall develop such rules as may be needed to |
ensure uniformity from year to year in the level of difficulty |
for each form of an assessment.
|
(Source: P.A. 97-607, eff. 8-26-11; 98-361, eff. 1-1-14; |
98-581, eff. 8-27-13; revised 9-9-13.)
|
(105 ILCS 5/27-24) (from Ch. 122, par. 27-24)
|
Sec. 27-24. Short title. Sections 27-24 through 27-24.10 |
27-24.8 of this Article are known and may be
cited as the |
Driver Education Act.
|
(Source: P.A. 76-1835; revised 11-14-13.)
|
Section 275. The Critical Health Problems and |
Comprehensive Health
Education Act is amended by changing |
Section 3 as follows:
|
(105 ILCS 110/3)
|
Sec. 3. Comprehensive Health Education Program. The |
program established
under this Act shall include, but not be |
limited to, the following major
educational areas as a basis |
for curricula in all elementary and secondary
schools in this |
State: human ecology and health, human growth and
development, |
the emotional, psychological, physiological, hygienic and
|
social responsibilities of family life, including sexual |
|
abstinence until
marriage, prevention and control of disease, |
including instruction in
grades 6 through 12 on the prevention, |
transmission and spread of AIDS, age-appropriate sexual abuse |
and assault awareness and prevention education in grades |
pre-kindergarten through 12, public and environmental health, |
consumer health, safety education and
disaster survival, |
mental health and illness, personal health habits,
alcohol, |
drug use, and abuse including the medical and legal |
ramifications
of alcohol, drug, and tobacco use, abuse during |
pregnancy, evidence-based and medically accurate information |
regarding sexual
abstinence, tobacco, nutrition, and dental |
health. The program shall also provide course material and |
instruction to advise pupils of the Abandoned Newborn Infant |
Protection Act.
The program shall include information about |
cancer, including without limitation types of cancer, signs and |
symptoms, risk factors, the importance of early prevention and |
detection, and information on where to go for help. |
Notwithstanding the above educational areas, the following |
areas may also
be included as a basis for curricula in all |
elementary and secondary
schools in this State: basic first aid |
(including, but not limited to,
cardiopulmonary resuscitation |
and the Heimlich maneuver), heart disease, diabetes, stroke, |
the
prevention of child abuse, neglect, and suicide, and teen |
dating violence in grades 7 through 12. |
The school board of each
public elementary and secondary |
school in the State
shall encourage all teachers and other |
|
school personnel to acquire,
develop, and maintain the |
knowledge and skills necessary to properly
administer |
life-saving techniques, including without limitation the
|
Heimlich maneuver and rescue breathing.
The training shall be |
in
accordance with standards of the
American Red Cross, the |
American Heart Association, or another nationally
recognized |
certifying organization.
A school board may use the
services of |
non-governmental entities whose personnel have expertise in
|
life-saving techniques to instruct teachers and other school |
personnel in
these techniques. Each school board
is encouraged |
to have in
its employ, or on its volunteer staff, at least one |
person who is certified, by
the American Red Cross or by |
another qualified certifying agency,
as qualified to |
administer first aid and
cardiopulmonary resuscitation. In |
addition, each school board is authorized to
allocate |
appropriate portions of its institute or inservice days to |
conduct
training programs for teachers and other school |
personnel who have expressed an
interest in becoming qualified |
to administer emergency first aid or
cardiopulmonary |
resuscitation. School boards are urged to
encourage their |
teachers and other school personnel who coach school athletic
|
programs and other extracurricular school activities to |
acquire, develop, and
maintain the knowledge and skills |
necessary to properly administer first aid
and cardiopulmonary |
resuscitation in accordance with standards and requirements
|
established by the American Red Cross or another qualified |
|
certifying agency. Subject to appropriation, the State Board of |
Education shall establish and administer a matching grant |
program to pay for half of the cost that a school district |
incurs in training those teachers and other school personnel |
who express an interest in becoming qualified to administer |
cardiopulmonary resuscitation (which training must be in
|
accordance with standards of the
American Red Cross, the |
American Heart Association, or another nationally
recognized |
certifying organization) or in learning how to use an automated |
external defibrillator. A school district that applies for a |
grant must demonstrate that it has funds to pay half of the |
cost of the training for which matching grant money is sought. |
The State Board of Education shall award the grants on a |
first-come, first-serve basis.
|
No pupil shall be
required to take or participate in any |
class or course on AIDS or family
life instruction if his |
parent or guardian submits written objection
thereto, and |
refusal to take or participate in the course or program shall
|
not be reason for suspension or expulsion of the pupil.
|
Curricula developed under programs established in |
accordance with this
Act in the major educational area of |
alcohol and drug use and abuse shall
include classroom |
instruction in grades 5 through 12. The instruction,
which |
shall include matters relating to both the physical and legal |
effects
and ramifications of drug and substance abuse, shall be |
integrated into
existing curricula; and the State Board of |
|
Education shall develop and make
available to all elementary |
and secondary schools in this State
instructional materials and |
guidelines which will assist the schools in
incorporating the |
instruction into their existing curricula. In
addition, school |
districts may offer, as part of existing curricula during
the |
school day or as part of an after school program, support |
services and
instruction for pupils or pupils whose parent, |
parents, or guardians are
chemically dependent.
|
(Source: P.A. 97-1147, eff. 1-24-13; 98-190, eff. 8-6-13; |
98-441, eff. 1-1-14; revised 9-9-13.)
|
Section 280. The Public Community College Act is amended by |
changing Section 2-16.02 as follows:
|
(110 ILCS 805/2-16.02) (from Ch. 122, par. 102-16.02)
|
Sec. 2-16.02. Grants. Any community college district that |
maintains a
community college recognized by the State Board |
shall receive, when eligible,
grants enumerated in this |
Section. Funded semester credit hours or other
measures or both |
as specified by the State Board shall be used to distribute
|
grants to community colleges. Funded semester credit hours |
shall be defined,
for purposes of this Section, as the greater |
of
(1) the number of semester credit hours, or equivalent, in |
all funded
instructional categories of students who have been |
certified as being in
attendance at midterm during the |
respective terms of the base fiscal year or
(2) the average of |
|
semester credit hours, or equivalent, in all funded
|
instructional categories of students who have been certified as |
being in
attendance at midterm during the respective terms of |
the base fiscal year and
the 2 prior fiscal years. For purposes |
of this Section, "base fiscal year"
means the fiscal year 2 |
years prior to the fiscal year for which the grants are
|
appropriated. Such students shall have been residents of |
Illinois and shall
have been enrolled in courses that are part |
of instructional program categories
approved by the State Board |
and that are applicable toward an associate degree
or |
certificate.
Courses that are eligible for reimbursement are |
those courses for which
the district pays 50% or more of the |
program costs from unrestricted
revenue sources, with the |
exception of courses offered by contract with
the Department of |
Corrections in correctional institutions. For the
purposes of |
this Section, "unrestricted revenue sources" means those
|
revenues in which the provider of the revenue imposes no |
financial
limitations upon the district as it relates to the |
expenditure of the funds. Except for Fiscal Year 2012, base |
operating grants shall be paid based on rates per funded
|
semester credit hour or equivalent calculated by the State |
Board for funded
instructional categories using cost of |
instruction, enrollment, inflation, and
other relevant |
factors. For Fiscal Year 2012, the allocations for base |
operating grants to community college districts shall be the |
same as they were in Fiscal Year 2011, reduced or increased |
|
proportionately according to the appropriation for base |
operating grants for Fiscal Year 2012.
|
Equalization grants shall be calculated by the State Board |
by determining a
local revenue factor for each district by: (A) |
adding (1)
each district's Corporate Personal Property |
Replacement Fund
allocations from the base
fiscal year or the |
average of the base fiscal year and prior year, whichever is
|
less, divided by the applicable statewide average tax rate to |
(2) the
district's most recently audited
year's equalized |
assessed valuation or the average of the most recently audited
|
year and prior year, whichever is less, (B) then dividing by |
the district's
audited full-time equivalent resident students |
for the base fiscal year or the
average for the base fiscal |
year and the 2 prior fiscal years, whichever is
greater, and |
(C) then multiplying by the applicable statewide average tax
|
rate. The State Board
shall calculate a statewide weighted |
average threshold by applying
the same methodology to the |
totals of all districts' Corporate Personal
Property Tax |
Replacement Fund allocations, equalized assessed valuations, |
and
audited full-time equivalent district resident students |
and multiplying by the
applicable statewide average tax rate. |
The difference between the statewide
weighted average |
threshold and the local revenue
factor, multiplied by the |
number of full-time equivalent resident students,
shall |
determine the amount of equalization funding that each district |
is
eligible to receive. A percentage factor, as determined by |
|
the State Board,
may be applied to the statewide threshold as a |
method for allocating
equalization funding. A minimum |
equalization grant of an amount per district
as determined by |
the State Board shall be established for any community college
|
district which qualifies for an equalization grant based upon |
the preceding
criteria, but becomes ineligible for |
equalization funding, or would have
received a grant of less |
than the minimum equalization grant, due to threshold
|
prorations applied to reduce equalization funding.
As of July |
1, 2013, a community college district eligible to receive an |
equalization grant based upon the preceding criteria must |
maintain a
minimum required combined in-district tuition and |
universal fee rate per
semester credit hour equal to 70% of the |
State-average combined rate, as
determined by the State Board, |
or the total revenue received by the community college district |
from combined in-district tuition and universal fees must be at |
least 30% of the total revenue received by the community |
college district, as determined by the State Board, for |
equalization funding. As of July 1,
2004, a community college |
district must maintain a minimum required
operating tax rate |
equal to at least 95% of its maximum authorized tax
rate to |
qualify for equalization funding. This 95% minimum tax rate
|
requirement shall be based upon the maximum operating tax rate |
as
limited by the Property Tax Extension Limitation Law.
|
The State Board shall distribute such other grants as may |
be
authorized or appropriated by the General Assembly.
|
|
Each community college district entitled to State grants |
under this
Section must submit a report of its enrollment to |
the State Board not later
than 30 days following the end of |
each semester, quarter, or term in a
format prescribed by the |
State Board. These semester credit hours, or
equivalent, shall |
be certified by each district on forms provided by the
State |
Board. Each district's certified semester credit hours, or |
equivalent,
are subject to audit pursuant to Section 3-22.1.
|
The State Board shall certify, prepare, and submit monthly |
vouchers to the State Comptroller
setting
forth an amount equal |
to one-twelfth of the grants approved by the State Board for |
base
operating grants and equalization grants. The State Board |
shall prepare and
submit to the State Comptroller vouchers for |
payments of other grants as
appropriated by the General |
Assembly. If the amount appropriated for grants
is different |
from the amount provided for such grants under this Act, the
|
grants shall be proportionately reduced or increased |
accordingly.
|
For the purposes of this Section, "resident student" means |
a student in a
community college district who maintains |
residency in that district or
meets other residency definitions |
established by the State Board, and who
was enrolled either in |
one of the approved instructional program categories
in that |
district, or in another community college district to which the
|
resident's district is paying tuition under Section 6-2 or with |
which the
resident's district has entered into a cooperative |
|
agreement in lieu of such
tuition.
|
For the purposes of this Section, a "full-time equivalent" |
student is
equal to 30 semester credit hours.
|
The Illinois Community College Board Contracts and Grants |
Fund is hereby
created in the State Treasury. Items of income |
to this fund shall include
any grants, awards, endowments, or |
like proceeds, and where appropriate,
other funds made |
available through contracts with governmental, public, and
|
private agencies or persons. The General Assembly shall from |
time to time
make appropriations payable from such fund for the |
support, improvement,
and expenses of the State Board and |
Illinois community college
districts.
|
(Source: P.A. 97-72, eff. 7-1-11; 97-1160, eff. 2-1-13; 98-46, |
eff. 6-28-13; revised 8-12-13.)
|
Section 285. The Pawnbroker Regulation Act is amended by |
changing Section 7 as follows:
|
(205 ILCS 510/7) (from Ch. 17, par. 4657)
|
Sec. 7. Daily report.
|
(a) Except as provided in subsection (b), it
shall be the |
duty of every pawnbroker to make
out and deliver to
the sheriff |
of the county in which such pawnbroker does business, on each
|
day before the hours of 12 o'clock noon, a legible and exact |
copy from
the standard record book, as required in Section 5 of |
this Act, that lists
all personal property and any other |
|
valuable thing received
on deposit or
purchased during the |
preceding day, including the exact
time when
received or |
purchased, and a description of the person or person by whom
|
left in pledge, or from whom the same were purchased; provided, |
that in
cities or towns having 25,000 or more inhabitants,
a |
copy of
the such report shall at the same time also be |
delivered to the
superintendent of police or the chief police |
officer of such city or town.
Such report may be made by |
computer printout or input memory device if the
format has been |
approved by the local law enforcement agency.
|
(b) In counties with more than 3,000,000 inhabitants, a |
pawnbroker must
provide the daily report to the sheriff only if |
the pawnshop is located in an
unincorporated area of the |
county.
Pawnbrokers located in cities or towns in such counties |
must deliver such
reports to the superintendent of police or |
the chief police officer of such
city or town.
|
(Source: P.A. 90-477, eff. 7-1-98; 90-602, eff. 7-1-98; revised |
11-14-13.)
|
Section 290. The Alternative Health Care Delivery Act is |
amended by changing Section 30 as follows:
|
(210 ILCS 3/30)
|
Sec. 30. Demonstration program requirements. The |
requirements set forth in
this Section shall apply to |
demonstration programs.
|
|
(a) (Blank).
|
(a-5) There shall be no more than the total number of |
postsurgical
recovery care centers with a certificate of need |
for beds as of January 1, 2008.
|
(a-10) There shall be no more than a total of 9 children's |
respite care
center alternative health care models in the |
demonstration program, which shall
be located as follows:
|
(1) Two in the City of Chicago.
|
(2) One in Cook County outside the City of Chicago.
|
(3) A total of 2 in the area comprised of DuPage, Kane, |
Lake, McHenry, and
Will counties.
|
(4) A total of 2 in municipalities with a population of |
50,000 or more and
not
located in the areas described in |
paragraphs (1), (2), or (3).
|
(5) A total of 2 in rural areas, as defined by the |
Health Facilities
and Services Review Board.
|
No more than one children's respite care model owned and |
operated by a
licensed skilled pediatric facility shall be |
located in each of the areas
designated in this subsection |
(a-10).
|
(a-15) There shall be 5 authorized community-based |
residential
rehabilitation center alternative health care |
models in the demonstration
program.
|
(a-20) There shall be an authorized
Alzheimer's disease |
management center alternative health care model in the
|
demonstration program. The Alzheimer's disease management |
|
center shall be
located in Will
County, owned by a
|
not-for-profit entity, and endorsed by a resolution approved by |
the county
board before the effective date of this amendatory |
Act of the 91st General
Assembly.
|
(a-25) There shall be no more than 10 birth center |
alternative health care
models in the demonstration program, |
located as follows:
|
(1) Four in the area comprising Cook, DuPage, Kane, |
Lake, McHenry, and
Will counties, one of
which shall be |
owned or operated by a hospital and one of which shall be |
owned
or operated by a federally qualified health center.
|
(2) Three in municipalities with a population of 50,000 |
or more not
located in the area described in paragraph (1) |
of this subsection, one of
which shall be owned or operated |
by a hospital and one of which shall be owned
or operated |
by a federally qualified health center.
|
(3) Three in rural areas, one of which shall be owned |
or operated by a
hospital and one of which shall be owned |
or operated by a federally qualified
health center.
|
The first 3 birth centers authorized to operate by the |
Department shall be
located in or predominantly serve the |
residents of a health professional
shortage area as determined |
by the United States Department of Health and Human
Services. |
There shall be no more than 2 birth centers authorized to |
operate in
any single health planning area for obstetric |
services as determined under the
Illinois Health Facilities |
|
Planning Act. If a birth center is located outside
of a
health |
professional shortage area, (i) the birth center shall be |
located in a
health planning
area with a demonstrated need for |
obstetrical service beds, as determined by
the Health |
Facilities and Services Review Board or (ii) there must be a
|
reduction in
the existing number of obstetrical service beds in |
the planning area so that
the establishment of the birth center |
does not result in an increase in the
total number of |
obstetrical service beds in the health planning area.
|
(b) Alternative health care models, other than a model |
authorized under subsection (a-10) or
(a-20), shall obtain a |
certificate of
need from the Health Facilities and Services |
Review Board under the Illinois
Health Facilities Planning Act |
before receiving a license by the
Department.
If, after |
obtaining its initial certificate of need, an alternative |
health
care delivery model that is a community based |
residential rehabilitation center
seeks to
increase the bed |
capacity of that center, it must obtain a certificate of need
|
from the Health Facilities and Services Review Board before |
increasing the bed
capacity. Alternative
health care models in |
medically underserved areas
shall receive priority in |
obtaining a certificate of need.
|
(c) An alternative health care model license shall be |
issued for a
period of one year and shall be annually renewed |
if the facility or
program is in substantial compliance with |
the Department's rules
adopted under this Act. A licensed |
|
alternative health care model that continues
to be in |
substantial compliance after the conclusion of the |
demonstration
program shall be eligible for annual renewals |
unless and until a different
licensure program for that type of |
health care model is established by
legislation, except that a |
postsurgical recovery care center meeting the following |
requirements may apply within 3 years after August 25, 2009 |
(the effective date of Public Act 96-669) for a Certificate of |
Need permit to operate as a hospital: |
(1) The postsurgical recovery care center shall apply |
to the Health Facilities and Services Review Board for a |
Certificate of Need permit to discontinue the postsurgical |
recovery care center and to establish a hospital. |
(2) If the postsurgical recovery care center obtains a |
Certificate of Need permit to operate as a hospital, it |
shall apply for licensure as a hospital under the Hospital |
Licensing Act and shall meet all statutory and regulatory |
requirements of a hospital. |
(3) After obtaining licensure as a hospital, any |
license as an ambulatory surgical treatment center and any |
license as a postsurgical post-surgical recovery care |
center shall be null and void. |
(4) The former postsurgical recovery care center that |
receives a hospital license must seek and use its best |
efforts to maintain certification under Titles XVIII and |
XIX of the federal Social Security Act. |
|
The Department may issue a provisional license to any
|
alternative health care model that does not substantially |
comply with the
provisions of this Act and the rules adopted |
under this Act if (i)
the Department finds that the alternative |
health care model has undertaken
changes and corrections which |
upon completion will render the alternative
health care model |
in substantial compliance with this Act and rules and
(ii) the |
health and safety of the patients of the alternative
health |
care model will be protected during the period for which the |
provisional
license is issued. The Department shall advise the |
licensee of
the conditions under which the provisional license |
is issued, including
the manner in which the alternative health |
care model fails to comply with
the provisions of this Act and |
rules, and the time within which the changes
and corrections |
necessary for the alternative health care model to
|
substantially comply with this Act and rules shall be |
completed.
|
(d) Alternative health care models shall seek |
certification under Titles
XVIII and XIX of the federal Social |
Security Act. In addition, alternative
health care models shall |
provide charitable care consistent with that provided
by |
comparable health care providers in the geographic area.
|
(d-5) (Blank).
|
(e) Alternative health care models shall, to the extent |
possible,
link and integrate their services with nearby health |
care facilities.
|
|
(f) Each alternative health care model shall implement a |
quality
assurance program with measurable benefits and at |
reasonable cost.
|
(Source: P.A. 96-31, eff. 6-30-09; 96-129, eff. 8-4-09; 96-669, |
eff. 8-25-09; 96-812, eff. 1-1-10; 96-1000, eff. 7-2-10; |
96-1071, eff. 7-16-10; 96-1123, eff. 1-1-11; 97-135, eff. |
7-14-11; 97-333, eff. 8-12-11; 97-813, eff. 7-13-12; revised |
11-12-13.)
|
Section 295. The Illinois Clinical Laboratory and Blood |
Bank Act is amended by changing Section 7-101 as follows:
|
(210 ILCS 25/7-101) (from Ch. 111 1/2, par. 627-101)
|
Sec. 7-101. Examination of specimens. A clinical |
laboratory shall examine
specimens only at the request of (i) a |
licensed physician, (ii) a
licensed dentist, (iii) a licensed |
podiatric physician, (iv) a licensed
optometrist,
(v) a |
licensed
physician assistant in
accordance with the written |
guidelines required under subdivision (3) of
Section 4 and |
under Section 7.5 of the Physician Assistant Practice Act of
|
1987,
(v-A) an advanced practice nurse in accordance with the
|
written collaborative agreement required under Section 65-35 |
of the Nurse Practice Act,
(vi) an authorized law enforcement |
agency or, in the case of blood
alcohol, at the request of the |
individual for whom the test is to be performed
in compliance |
with Sections 11-501 and 11-501.1 of the Illinois Vehicle Code, |
|
or (vii) a genetic counselor with the specific authority from a |
referral to order a test or tests pursuant to subsection (b) of |
Section 20 of the Genetic Counselor Licensing Act.
If the |
request to a laboratory is oral, the physician or other |
authorized
person shall submit a written request to the |
laboratory within 48 hours. If
the laboratory does not receive |
the written request within that period, it
shall note that fact |
in its records. For purposes of this Section, a request
made by |
electronic mail or fax constitutes a written request.
|
(Source: P.A. 97-333, eff. 8-12-11; 98-185, eff. 1-1-14; |
98-214, eff. 8-9-13; revised 10-15-13.)
|
Section 300. The Abused and Neglected Long Term Care |
Facility Residents Reporting
Act is amended by changing Section |
4 as follows:
|
(210 ILCS 30/4) (from Ch. 111 1/2, par. 4164)
|
Sec. 4. Any long term care facility administrator, agent or |
employee
or any physician, hospital, surgeon, dentist, |
osteopath, chiropractor,
podiatric physician, accredited |
religious practitioner who provides treatment by spiritual |
means alone through prayer in accordance with the tenets and |
practices of the accrediting church, coroner, social worker, |
social
services administrator, registered nurse, law |
enforcement officer, field
personnel of the Department of |
Healthcare and Family Services, field personnel of the
Illinois |
|
Department of Public Health and County or Municipal Health
|
Departments, personnel of the Department of Human Services |
(acting as the
successor to the Department of Mental Health and |
Developmental Disabilities
or the Department of Public Aid),
|
personnel of the Guardianship and Advocacy Commission, |
personnel of the
State Fire Marshal, local fire department |
inspectors or other personnel,
or personnel of the Illinois
|
Department on Aging, or its subsidiary Agencies on Aging, or |
employee of a
facility licensed under the Assisted Living and |
Shared Housing
Act, having reasonable
cause to believe any
|
resident with whom they have direct contact has been subjected |
to abuse
or neglect shall immediately report or cause a report
|
to be made
to the Department.
Persons required to make reports |
or cause reports to
be made under this Section include all |
employees of the State of Illinois
who are involved in |
providing services to residents, including
professionals |
providing medical or rehabilitation services and all other
|
persons having direct contact with residents; and further |
include all
employees of community service agencies who provide |
services to a resident
of a public or private long term care |
facility outside of that facility.
Any long term care surveyor |
of the Illinois Department of Public Health
who has reasonable |
cause to believe in the course of a survey that a
resident has |
been abused or neglected and initiates an investigation while
|
on site at the facility shall be exempt from making a report |
under this
Section but the results of any such investigation |
|
shall be forwarded to
the central register in a manner and form |
described by the Department.
|
The requirement of this Act shall not relieve any long term |
care
facility administrator, agent or employee of |
responsibility to report the
abuse or neglect of a resident |
under Section 3-610 of the Nursing Home
Care Act or under |
Section 3-610 of the ID/DD Community Care Act or under Section |
2-107 of the Specialized Mental Health Rehabilitation Act of |
2013.
|
In addition to the above persons required to report |
suspected resident
abuse and neglect, any other person may make |
a report to the Department,
or to any law enforcement officer, |
if such person has reasonable cause to
suspect a resident has |
been abused or neglected.
|
This Section also applies to residents whose death occurs |
from suspected
abuse or neglect before being found or brought |
to a hospital.
|
A person required to make reports or cause reports to be |
made under
this Section who fails to comply with the |
requirements of this Section is
guilty of a Class A |
misdemeanor.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-104, eff. 7-22-13; 98-214, eff. 8-9-13; |
revised 9-9-13.)
|
Section 305. The Community Living Facilities Licensing Act |
|
is amended by changing Section 9 as follows:
|
(210 ILCS 35/9) (from Ch. 111 1/2, par. 4189)
|
Sec. 9. Regular licenses.
|
(1) A regular license shall be valid for
a one-year period |
from the date of authorization. A license is not
transferable.
|
(2) Within 120 to 150 days prior to the date of expiration |
of the license,
the licensee shall apply to the Department for |
renewal of the license. The
procedure for renewing a valid |
license for a Community Living Facility shall
be the same as |
for applying for the initial license, pursuant to subsections
|
(1) through (4) of Section 7 of this Act. If the Department has |
determined
on the basis of available documentation that the |
Community Living Facility
is in substantial compliance with |
this Act and the rules promulgated under
this Act,
and has |
provided to the Department an accurate disclosure document in
|
accordance with the Alzheimer's Disease and Related Dementias |
Special Care Disclosure Act,
it shall renew the regular
license |
for another one-year period.
|
(3) Whenever ownership of a facility is transferred from |
the licensee to
any other person, agency, association, |
corporation, partnership, or
organization,
the transferee |
transferree must obtain a new probationary license. The |
transferee transferree
shall notify the Department of the |
transfer and apply for a new license
at least 30 days prior to |
final transfer. The requirement for an on-site
inspection in |
|
Section 7 may be waived if the Department has conducted a |
survey
of the Community Living Facility within the past 60 days |
and the survey
disclosed substantial compliance with this Act |
and rules and regulations
promulgated hereunder.
|
(Source: P.A. 96-990, eff. 7-2-10; revised 9-11-13.)
|
Section 310. The Nursing Home Care Act is amended by |
changing Sections 3-112 and 3-304.1 as follows:
|
(210 ILCS 45/3-112) (from Ch. 111 1/2, par. 4153-112)
|
Sec. 3-112.
(a) Whenever ownership of a facility is |
transferred from the
person named in the license to any other |
person, the transferee must obtain
a new probationary license. |
The transferee shall notify the Department of
the transfer and |
apply for a new license at least 30 days prior to final |
transfer.
|
(b) The transferor shall notify the Department at least 30 |
days prior
to final transfer. The transferor shall remain |
responsible for the operation
of the facility until such time |
as a license is issued to the transferee transferree .
|
(Source: P.A. 81-223; revised 9-11-13.)
|
(210 ILCS 45/3-304.1)
|
Sec. 3-304.1. Public computer access to information. |
(a) The Department must make information regarding nursing |
homes in the
State
available to the public in electronic form |
|
on the World Wide Web, including all
of the
following |
information: |
(1) who regulates nursing homes; |
(2) information in the possession of the Department |
that is listed in
Sections 3-210 and 3-304; |
(3) deficiencies and plans of correction; |
(4) enforcement remedies; |
(5) penalty letters; |
(6) designation of penalty monies; |
(7) the U.S. Department of Health and Human Services' |
Health Care
Financing Administration special projects or |
federally required inspections; |
(8) advisory standards; |
(9) deficiency-free surveys; |
(10) enforcement actions and enforcement summaries; |
(11) distressed facilities; and |
(12) the report submitted under Section 3-518 ; . |
(13) (12) a link to the most recent facility cost |
report filed with the Department of Healthcare and Family |
Services; |
(14) (13) a link to the most recent Consumer Choice |
Information Report filed with the Department on Aging; |
(15) (14) whether the facility is part of a chain; the |
facility shall be deemed part of a chain if it meets |
criteria established by the United States Department of |
Health and Human Services that identify it as owned by a |
|
chain organization; |
(16) (15) whether the facility is a for-profit or |
not-for-profit facility; and |
(17) (16) whether the facility is or is part of a |
continuing care retirement community. |
(b) No fee or other charge may be imposed by the Department |
as a condition
of accessing the information. |
(c) The electronic public access provided through the World |
Wide Web shall
be
in addition to any other electronic or print |
distribution of the information. |
(d) The information shall be made available as provided in |
this Section in
the
shortest practicable time after it is |
publicly available in any other form. |
(Source: P.A. 98-85, eff. 7-15-13; 98-505, eff. 1-1-14; revised |
9-9-13.) |
Section 315. The Emergency Medical Services (EMS) Systems |
Act is amended by changing Section 3.117 as follows: |
(210 ILCS 50/3.117) |
Sec. 3.117. Hospital Designations. |
(a) The Department shall attempt to designate Primary |
Stroke Centers in all areas of the State. |
(1) The Department shall designate as many certified
|
Primary Stroke Centers as apply for that designation |
provided they are certified by a nationally-recognized |
|
certifying body, approved by the Department, and |
certification criteria are consistent with the most |
current nationally-recognized, evidence-based stroke |
guidelines related to reducing the occurrence, |
disabilities, and death associated with stroke. |
(2) A hospital certified as a Primary Stroke Center by |
a nationally-recognized certifying body approved by the |
Department, shall send a copy of the Certificate to the |
Department and shall be deemed, within 30 days of its |
receipt by the Department, to be a State-designated Primary |
Stroke Center. |
(3) With respect to a hospital that is a designated |
Primary Stroke Center, the Department shall have the |
authority and responsibility to do the following: |
(A) Suspend or revoke a hospital's Primary Stroke |
Center designation upon receiving notice that the |
hospital's Primary Stroke Center certification has |
lapsed or has been revoked by the State recognized |
certifying body. |
(B) Suspend a hospital's Primary Stroke Center |
designation, in extreme circumstances where patients |
may be at risk for immediate harm or death, until such |
time as the certifying body investigates and makes a |
final determination regarding certification. |
(C) Restore any previously suspended or revoked |
Department designation upon notice to the Department |
|
that the certifying body has confirmed or restored the |
Primary Stroke Center certification of that previously |
designated hospital. |
(D) Suspend a hospital's Primary Stroke Center |
designation at the request of a hospital seeking to |
suspend its own Department designation. |
(4) Primary Stroke Center designation shall remain |
valid at all times while the hospital maintains its |
certification as a Primary Stroke Center, in good standing, |
with the certifying body. The duration of a Primary Stroke |
Center designation shall coincide with the duration of its |
Primary Stroke Center certification. Each designated |
Primary Stroke Center shall have its designation |
automatically renewed upon the Department's receipt of a |
copy of the accrediting body's certification renewal. |
(5) A hospital that no longer meets |
nationally-recognized, evidence-based standards for |
Primary Stroke Centers, or loses its Primary Stroke Center |
certification, shall immediately notify the Department and |
the Regional EMS Advisory Committee. |
(b) The Department shall attempt to designate hospitals as |
Emergent Stroke Ready Hospitals capable of providing emergent |
stroke care in all areas of the State. |
(1) The Department shall designate as many Emergent |
Stroke Ready Hospitals as apply for that designation as |
long as they meet the criteria in this Act. |
|
(2) Hospitals may apply for, and receive, Emergent |
Stroke Ready Hospital designation from the Department, |
provided that the hospital attests, on a form developed by |
the Department in consultation with the State Stroke |
Advisory Subcommittee, that it meets, and will continue to |
meet, the criteria for Emergent Stroke Ready Hospital |
designation. |
(3) Hospitals seeking Emergent Stroke Ready Hospital |
designation shall develop policies and procedures that |
consider nationally-recognized, evidence-based protocols |
for the provision of emergent stroke care. Hospital |
policies relating to emergent stroke care and stroke |
patient outcomes shall be reviewed at least annually, or |
more often as needed, by a hospital committee that oversees |
quality improvement. Adjustments shall be made as |
necessary to advance the quality of stroke care delivered. |
Criteria for Emergent Stroke Ready Hospital designation of |
hospitals shall be limited to the ability of a hospital to: |
(A) create written acute care protocols related to |
emergent stroke care; |
(B) maintain a written transfer agreement with one |
or more hospitals that have neurosurgical expertise; |
(C) designate a director of stroke care, which may |
be a clinical member of the hospital staff or the |
designee of the hospital administrator, to oversee the |
hospital's stroke care policies and procedures; |
|
(D) administer thrombolytic therapy, or |
subsequently developed medical therapies that meet |
nationally-recognized, evidence-based stroke |
guidelines; |
(E) conduct brain image tests at all times; |
(F) conduct blood coagulation studies at all |
times; and |
(G) maintain a log of stroke patients, which shall |
be available for review upon request by the Department |
or any hospital that has a written transfer agreement |
with the Emergent Stroke Ready Hospital. |
(4) With respect to Emergent Stroke Ready Hospital |
designation, the Department shall have the authority and |
responsibility to do the following: |
(A) Require hospitals applying for Emergent Stroke |
Ready Hospital designation to attest, on a form |
developed by the Department in consultation with the |
State Stroke Advisory Subcommittee, that the hospital |
meets, and will continue to meet, the criteria for an a |
Emergent Stroke Ready Hospital. |
(B) Designate a hospital as an Emergent Stroke |
Ready Hospital no more than 20 business days after |
receipt of an attestation that meets the requirements |
for attestation. |
(C) Require annual written attestation, on a form |
developed by the Department in consultation with the |
|
State Stroke Advisory Subcommittee, by Emergent Stroke |
Ready Hospitals to indicate compliance with Emergent |
Stroke Ready Hospital criteria, as described in this |
Section, and automatically renew Emergent Stroke Ready |
Hospital designation of the hospital. |
(D) Issue an Emergency Suspension of Emergent |
Stroke Ready Hospital designation when the Director, |
or his or her designee, has determined that the |
hospital no longer meets the Emergent Stroke Ready |
Hospital criteria and an immediate and serious danger |
to the public health, safety, and welfare exists. If |
the Emergent Stroke Ready Hospital fails to eliminate |
the violation immediately or within a fixed period of |
time, not exceeding 10 days, as determined by the |
Director, the Director may immediately revoke the |
Emergent Stroke Ready Hospital designation. The |
Emergent Stroke Ready Hospital may appeal the |
revocation within 15 days after receiving the |
Director's revocation order, by requesting an |
administrative hearing. |
(E) After notice and an opportunity for an |
administrative hearing, suspend, revoke, or refuse to |
renew an Emergent Stroke Ready Hospital designation, |
when the Department finds the hospital is not in |
substantial compliance with current Emergent Stroke |
Ready Hospital criteria. |
|
(c) The Department shall consult with the State Stroke |
Advisory Subcommittee for developing the designation and |
de-designation processes for Primary Stroke Centers and |
Emergent Stroke Ready Hospitals.
|
(Source: P.A. 96-514, eff. 1-1-10; revised 11-12-13.) |
Section 320. The End Stage Renal Disease Facility Act is |
amended by changing Section 60 as follows:
|
(210 ILCS 62/60)
|
Sec. 60. Notice of administrative actions; hearing |
procedures.
|
(a) Notice of all administrative actions taken under this |
Act shall be
effected
by registered mail, certified mail, or |
personal
service and shall set forth the particular reasons for |
the proposed action and
provide the applicant or licensee with |
an opportunity
to request a hearing. If a hearing request is |
not received within 10 days
after receipt of the notice of |
administrative action, the right
to a hearing is waived.
|
(b) The procedure governing hearings authorized by this |
Section shall be in
accordance with rules promulgated by the
|
Department consistent with this Act. A hearing shall be |
conducted by the
Director or by an individual designated in |
writing by
the Director as administrative law judge. A full and |
complete record shall be
kept of
all proceedings, including |
notice of hearing, complaint,
and all other documents in the |
|
nature of pleadings, written motions filed in
the proceedings, |
and the report and orders of the
Director and administrative |
law judge. All testimony shall be reported but
need not be
|
transcribed unless the decision is appealed pursuant
to Section |
70 of this Act. Any interested party may obtain a copy or |
copies of
the transcript on payment of the cost of preparing
|
such copy or copies.
|
(c) The Director or administrative law judge shall, upon |
his own motion or
on the
written request of any party to the |
proceeding, issue
subpoenas requiring the attendance and |
testimony of witnesses and subpoenas
duces tecum requiring the |
production of books,
papers, records or memoranda. The fees of |
witnesses for attendance and travel
shall be the same as the |
fees of witnesses before
any circuit court of this State. Such |
fees shall be paid when the witness is
excused from further |
attendance. When the witness is
subpoenaed at the instance of |
the Director or administrative law judge, such
fees shall
be |
paid in the same manner as other expenses of the
Department. |
When the witness is subpoenaed at the instance of any other |
party
to a proceeding, the Department may require that
the cost |
of service of the subpoena or subpoena duces tecum and the fee |
of the
witness be borne by the party at whose instance the
|
witness is summoned. In such case, the Department, in its |
discretion, may
require a deposit to cover the cost of such |
service and
witness fees. A subpoena or subpoena duces tecum |
issued under this Section
shall be served in the same manner as |
|
a subpoena
issued by a court.
|
(d) Any circuit court of this State, upon the application |
of the Director or
the application of any other party to the
|
proceeding, may, in its discretion, compel the attendance of |
witnesses, the
production of books, papers, records or |
memoranda, and
the giving of testimony before the Director or |
administrative law judge
conducting an
investigation or |
holding a hearing authorized by this
Act, by an attachment for |
contempt, or otherwise, in the same manner as
production of |
evidence may be compelled before the court.
|
(e) The Director or administrative law judge, or any party |
in a
hearing before the Department, may compel the attendance |
of witnesses and the
production of books, papers, records, or
|
memoranda.
|
(f) The Director or administrative law judge shall make |
findings of fact in
such
hearing
and the Director shall render |
his decision
within 60 days after the termination or waiving of |
the hearing unless he or she
requires additional time for a |
proper disposition of
the matter. When an a administrative law |
judge has conducted the hearing, the
Director
shall review the |
record and findings of fact before
rendering a decision. A copy |
of the findings of fact and decision of the
Director shall be |
served upon the applicant or licensee in
person, by registered |
mail or by certified mail in the same manner as the
service of |
the notice of hearing. The decision denying,
suspending, or |
revoking a license shall become final 35 days after it is |
|
mailed
or served, unless the applicant or licensee, within
the |
35-day period, petitions for review pursuant to Section 70 of |
this Act.
|
(Source: P.A. 92-794, eff. 7-1-03; revised 11-13-13.)
|
Section 325. The Hospital Emergency Service Act is amended |
by changing Section 1.3 as follows: |
(210 ILCS 80/1.3) |
Sec. 1.3. Long-term acute care hospitals. For the purpose |
of this Act, general acute care hospitals designated by |
Medicare as long-term acute care hospitals are not required to |
provide hospital emergency services described in Section 1 of |
this Act. Hospitals defined in this Section may provide |
hospital emergency services at their option. |
Any hospital defined in this Section that opts to |
discontinue emergency services described in Section 1 shall: |
(1) comply with all provisions of the federal Emergency |
Medical Treatment and & Labor Act (EMTALA); |
(2) comply with all provisions required under the |
Social Security Act; |
(3) provide annual notice to communities in the |
hospital's service area about available emergency medical |
services; and |
(4) make educational materials available to |
individuals who are present at the hospital concerning the |
|
availability of medical services within the hospital's |
service area. |
Long-term acute care hospitals that operate standby |
emergency services as of January 1, 2011 may discontinue |
hospital emergency services by notifying the Department of |
Public Health. Long-term acute care hospitals that operate |
basic or comprehensive emergency services must notify the |
Health Facilities and Services Review Board and follow the |
appropriate procedures.
|
(Source: P.A. 97-667, eff. 1-13-12; revised 9-11-13.) |
Section 330. The Language Assistance Services Act is |
amended by changing Section 15 as follows:
|
(210 ILCS 87/15)
|
Sec. 15. Language assistance services. |
(a) To ensure insure access to
health care information and |
services for
limited-English-speaking or non-English-speaking |
residents and deaf residents,
a health facility must do the |
following:
|
(1) Adopt and review annually a policy for providing |
language assistance
services to patients with language or |
communication barriers. The policy shall
include |
procedures for providing, to the extent possible as |
determined by the
facility, the use of an interpreter |
whenever a language or communication
barrier
exists, |
|
except where the patient, after being informed of the |
availability of
the interpreter service, chooses to use a |
family member or friend who
volunteers to interpret. The |
procedures shall be designed to maximize
efficient use of |
interpreters and minimize delays in providing interpreters |
to
patients. The procedures shall insure, to the extent |
possible as determined
by the facility, that
interpreters |
are available, either on the premises or accessible by |
telephone,
24 hours a day. The facility shall annually |
transmit to the Department of
Public Health a
copy of the |
updated policy and shall include a description of the |
facility's
efforts to
insure adequate and speedy |
communication between patients with language or
|
communication barriers and staff.
|
(2) Develop, and post in conspicuous locations, |
notices that advise patients
and their families of the |
availability of interpreters, the procedure for
obtaining |
an interpreter, and the telephone numbers to call for |
filing
complaints concerning interpreter service problems, |
including, but not limited
to, a
TTY number for persons who |
are deaf or hard of hearing. The notices shall be posted, |
at a
minimum, in the emergency room, the admitting area, |
the facility entrance, and
the
outpatient area. Notices |
shall inform patients that interpreter services are
|
available on request, shall list the languages most |
commonly encountered at the facility for which interpreter |
|
services
are available, and shall instruct patients to |
direct complaints regarding
interpreter services to the |
Department of Public Health, including the
telephone
|
numbers to call for that purpose.
|
(3) Notify the facility's employees of the language |
services available at the facility and train them on how to |
make those language services available to patients.
|
(b) In addition, a health facility may do one or more of |
the following: |
(1) Identify and record a patient's primary language |
and dialect on one or more of the following: a patient |
medical chart, hospital bracelet, bedside notice, or |
nursing card. |
(2) Prepare and maintain, as needed, a list of |
interpreters who have been identified as proficient in sign |
language according to the Interpreter for the Deaf |
Licensure Act of 2007 Interpreters for the Deaf Act and a |
list of the languages of the population of the geographical |
area served by the facility.
|
(3) Review all standardized written forms, waivers, |
documents, and
informational materials available to |
patients on admission to determine which
to translate into |
languages other than English.
|
(4) Consider providing its nonbilingual staff with |
standardized picture and
phrase sheets for use in routine |
communications with patients who have language
or |
|
communication barriers.
|
(5) Develop community liaison groups to enable the |
facility and the
limited-English-speaking, |
non-English-speaking, and deaf communities to ensure |
insure
the adequacy of the
interpreter services.
|
(Source: P.A. 95-667, eff. 10-11-07; revised 10-7-13.)
|
Section 335. The Mobile Home Park Act is amended by |
changing Section 2 as follows:
|
(210 ILCS 115/2) (from Ch. 111 1/2, par. 712)
|
Sec. 2.
Unless the context clearly requires otherwise, the |
words and phrases set
forth in the Sections following this |
Section and preceding Section 3 Sections 2.1 to 2.9 inclusive, |
shall have the meanings set forth
in this Act.
|
(Source: P.A. 78-1170; revised 11-13-13.)
|
Section 340. The Illinois Insurance Code is amended by |
changing Section 500-100 as follows:
|
(215 ILCS 5/500-100)
|
(Section scheduled to be repealed on January 1, 2017)
|
Sec. 500-100. Limited lines producer license.
|
(a) An individual who is at least 18 years of age and whom |
the Director
considers to
be competent, trustworthy, and of |
good business reputation may obtain a limited
lines producer
|
|
license for one or more of the following classes:
|
(1) insurance on baggage or limited travel health, |
accident, or trip
cancellation
insurance sold in |
connection with transportation provided by a common |
carrier;
|
(2) industrial life insurance, as defined in Section |
228 of this Code;
|
(3) industrial accident and health insurance, as |
defined in
Section 368 of this
Code;
|
(4) insurance issued by a company organized under the |
Farm Mutual
Insurance Company Act of 1986;
|
(5) legal expense insurance;
|
(6) enrollment of recipients of public aid or medicare |
in a health
maintenance
organization;
|
(7) a limited health care plan issued by an |
organization having a
certificate of
authority under the |
Limited Health Service Organization Act;
|
(8) credit life and credit accident and health |
insurance and other credit insurance policies approved or |
permitted by the Director; a credit insurance company must |
conduct a training program in which an applicant shall |
receive basic instruction about the credit insurance |
products that he or she they will be selling. |
(b) The application for a limited lines producer license |
must be submitted
on a form
prescribed by the Director by a |
designee of the insurance company, health
maintenance
|
|
organization, or limited health service organization |
appointing the limited
insurance
representative. The insurance |
company, health maintenance organization, or
limited health
|
service organization must pay the fee required by Section |
500-135.
|
(c) A limited lines producer may represent more than one |
insurance company,
health
maintenance organization, or limited |
health service organization.
|
(d) An applicant who has met the requirements of this |
Section shall be
issued a
perpetual limited lines producer |
license.
|
(e) A limited lines producer license shall remain in effect |
as long as the
appointing
insurance company pays the respective |
fee required by Section 500-135 prior to
January 1 of
each |
year, unless the license is revoked or suspended pursuant to
|
Section 500-70. Failure of the
insurance company to pay the |
license fee or to submit the required documents
shall cause
|
immediate termination of the limited line insurance producer |
license with
respect to which the
failure occurs.
|
(f) A limited lines producer license may be terminated by |
the insurance
company or
the licensee.
|
(g) A person whom the Director considers to be competent, |
trustworthy, and
of
good
business reputation may be issued a |
car rental limited line license. A car
rental limited line
|
license for a rental company shall remain in effect as long as |
the car rental
limited line licensee
pays the respective fee |
|
required by Section 500-135 prior to the next fee date
unless |
the car rental
license is revoked or suspended pursuant to |
Section 500-70. Failure of the car
rental limited line
licensee |
to pay the license fee or to submit the required documents |
shall cause
immediate
suspension of the car rental limited line |
license. A car rental limited line
license for rental
companies |
may be voluntarily
terminated by the car rental limited line |
licensee. The license fee
shall not be refunded upon |
termination of the car rental limited line license
by the car |
rental
limited line licensee.
|
(h) A limited lines producer issued a license pursuant to |
this Section is
not
subject to
the requirements of Section |
500-30.
|
(i) A limited lines producer license must contain the name, |
address and
personal
identification number of the licensee, the |
date the license was issued,
general conditions relative
to the |
license's expiration or termination, and any other information |
the
Director considers
proper. A limited line producer license, |
if applicable, must also contain the
name and address of
the |
appointing insurance company.
|
(Source: P.A. 98-159, eff. 8-2-13; revised 11-12-13.)
|
Section 345. The Reinsurance Intermediary Act is amended by |
changing Sections 20 and 45 as follows:
|
(215 ILCS 100/20) (from Ch. 73, par. 1620)
|
|
Sec. 20. Books and records; reinsurance intermediary |
brokers.
|
(a) For at least 10 years after expiration of each contract |
of
reinsurance transacted by it, the intermediary broker shall |
keep a complete
record for each transaction showing:
|
(1) The type of contract, limits, underwriting |
restrictions, classes or
risks, and territory.
|
(2) Period of coverage, including effective and |
expiration dates,
cancellation provisions, and notice |
required of cancellations.
|
(3) Reporting and settlement requirements of balances.
|
(4) Rate used to compute the reinsurance premium.
|
(5) Names and addresses of assuming reinsurers.
|
(6) Rates of all reinsurance commissions, including |
the commissions on
any retrocessions handled by the |
intermediary broker.
|
(7) Related correspondence and memoranda.
|
(8) Proof of placement.
|
(9) Details regarding retrocessions handled by the |
intermediary broker
including the identity of |
retrocessionaires and percentage of each contract
assumed |
or ceded.
|
(10) Financial records including, but not limited to, |
premium and loss accounts.
|
(11) When an a intermediary broker procures a |
reinsurance contract on
behalf of a licensed ceding |
|
insurer:
|
(A) directly from any assuming reinsurer, written |
evidence that the
assuming reinsurer has agreed to |
assume the risk;
|
(B) if placed through a representative of the |
assuming reinsurer,
other than an employee, written |
evidence that the reinsurer has delegated
binding |
authority to the representative.
|
(b) The insurer shall have access and the right to copy and |
audit all
accounts and records maintained by the intermediary |
broker related to its
business in a form
usable by the insurer.
|
(Source: P.A. 87-108; revised 11-13-13.)
|
(215 ILCS 100/45) (from Ch. 73, par. 1645)
|
Sec. 45.
Duties of reinsurers utilizing the services of a |
reinsurance
intermediary manager.
|
(a) A reinsurer shall not engage the services of any |
person, firm,
association, or corporation to act as an a |
intermediary manager on its behalf
unless the person is |
licensed as required by Section 10.
|
(b) The reinsurer shall annually obtain a copy of |
statements, audited by
an independent certified public |
accountant in a form acceptable to the
Director, of the |
financial condition of each intermediary manager that the
|
reinsurer has contracted.
|
(c) If an intermediary manager establishes loss reserves, |
|
the reinsurer
shall annually obtain the opinion of an actuary |
attesting to the adequacy
of loss reserves established for |
losses incurred and outstanding on
business produced by the |
intermediary manager. This opinion shall be in
addition to any |
other required loss reserve certification.
|
(d) Binding authority for all retrocessional contracts or |
participation
in reinsurance syndicates shall rest with an |
officer of the reinsurer who
shall not be affiliated with the |
intermediary manager.
|
(e) Within 30 days of termination of a contract with an |
intermediary
manager, the reinsurer shall provide written |
notification of termination to the Director.
|
(f) A reinsurer shall not appoint to its board of |
directors, any
officer, director, employee, controlling |
shareholder, or subproducer of its
intermediary manager. This |
subsection shall not apply to relationships
governed by the |
Holding Company Act.
|
(Source: P.A. 87-108; revised 11-14-13.)
|
Section 350. The Illinois Health Benefits Exchange Law is |
amended by changing Section 5-10 as follows: |
(215 ILCS 122/5-10)
|
Sec. 5-10. Exchange functions. |
(a) The Illinois Health Benefits Exchange shall meet the |
core functions identified by Section 1311 of the Patient |
|
Protection and Affordable Care Act and subsequent federal |
guidance and regulations. |
(b) In order to meet the deadline of October 1, 2013 |
established by federal law to have operational a State |
exchange, the Department of Insurance
and the Commission on |
Government Governmental Forecasting and Accountability is |
authorized to apply for, accept, receive, and use as |
appropriate
for and on behalf of the State any grant money |
provided by the
federal government and to share federal grant |
funding with, give support to,
and coordinate with other |
agencies of the State and federal government
or third parties |
as determined by the Governor.
|
(Source: P.A. 97-142, eff. 7-14-11; revised 9-11-13.) |
Section 355. The Viatical Settlements Act of 2009 is |
amended by changing Section 72 as follows: |
(215 ILCS 159/72)
|
Sec. 72. Crimes and offenses. |
(a) A person acting in this State as a viatical settlement
|
provider without having been licensed pursuant to Section 10
of |
this Act who willfully violates any provision of this Act
or |
any rule adopted or order issued under this Act is guilty
of a |
Class A misdemeanor and may be subject to a fine of not
more |
than $3,000. When such violation results in a loss of
more than |
$10,000, the person shall be guilty of
a Class 3 felony and may |
|
be subject to a fine of not more than
$10,000. |
(b) A person acting in this State as a viatical settlement
|
broker without having met the licensure and notification
|
requirements established by Section 10 of this Act who
|
willfully violates any provision of this Act or any rule
|
adopted or order issued under this Act is guilty of a Class A |
misdemeanor and may be subject to a fine of not more
than |
$3,000. When such violation results in a loss of more
than |
$10,000, the person shall be guilty of a
Class 3 felony and may |
be subject to a fine of not more than
$10,000. |
(c) The Director may refer such evidence as is available
|
concerning violations of this Act or any rule adopted or order
|
issued under this Act or of the failure of a person to
comply |
with the licensing requirements of this Act to the
Attorney |
General or the proper county attorney who may, with
or without |
such reference, institute the appropriate criminal
proceedings |
under this Act. |
(d) A person commits the offense of viatical settlement |
fraud when: |
(1) For the purpose of depriving another of property or |
for pecuniary gain any person knowingly:
|
(A) presents, causes to be presented, or prepares |
with knowledge or belief that it will be presented to |
or by a viatical settlement provider, viatical |
settlement broker, life expectancy provider, viatical |
settlement purchaser, financing entity, insurer, |
|
insurance producer, or any other person, false |
material information, or conceals material |
information, as part of, in support of or concerning a |
fact material to one or more of the following:
|
(i) an application for the issuance of a |
viatical settlement contract or insurance policy;
|
(ii) the underwriting of a viatical settlement |
contract or insurance policy;
|
(iii) a claim for payment or benefit pursuant |
to a viatical settlement contract or insurance |
policy;
|
(iv) premiums paid on an insurance policy;
|
(v) payments and changes in ownership or |
beneficiary made in accordance with the terms of a |
viatical settlement contract or insurance policy;
|
(vi) the reinstatement or conversion of an |
insurance policy;
|
(vii) in the solicitation, offer, |
effectuation, or sale of a viatical settlement |
contract or insurance policy;
|
(viii) the issuance of written evidence of a |
viatical settlement contract or insurance; or
|
(ix) a financing transaction; or
|
(B) employs any plan, financial structure, device, |
scheme, or artifice to defraud related to viaticated |
policies; or |
|
(C) enters into any act, practice, or arrangement |
which involves
stranger-originated life insurance ; . |
(2) In furtherance of a scheme to defraud, to further a |
fraud, or to prevent or hinder the detection of a scheme to |
defraud any person knowingly does or permits his employees |
or agents to do any of the following: |
(A) remove, conceal, alter, destroy, or sequester |
from the Director the assets or records of a licensee |
or other person engaged in the business of viatical |
settlements;
|
(B) misrepresent or conceal the financial |
condition of a licensee, financing entity, insurer, or |
other person; |
(C) transact the business of viatical settlements |
in violation of laws requiring a license, certificate |
of authority, or other legal authority for the |
transaction of the business of viatical settlements; |
or
|
(D) file with the Director or the equivalent chief |
insurance regulatory official of another jurisdiction |
a document containing false information or otherwise |
conceals information about a material fact from the |
Director; |
(3) Any person knowingly steals, misappropriates, or |
converts monies, funds, premiums, credits, or other |
property of a viatical settlement provider, insurer, |
|
insured, viator, insurance policyowner, or any other |
person engaged in the business of viatical settlements or |
insurance;
|
(4) Any person recklessly enters into, negotiates, |
brokers, or otherwise deals in a viatical settlement |
contract, the subject of which is a life insurance policy |
that was obtained by presenting false information |
concerning any fact material to the policy or by |
concealing, for the purpose of misleading another, |
information concerning any fact material to the policy, |
where the person or the persons intended to defraud the |
policy's issuer, the viatical settlement provider or the |
viator; or
|
(5) Any person facilitates the change of state of |
ownership of a policy or the state of residency of a viator |
to a state or jurisdiction that does not have a law similar |
to this Act for the express purposes of evading or avoiding |
the provisions of this Act. |
(e) For purposes of this Section, "person" means (i) an |
individual, (ii) a corporation, (iii) an officer, agent, or |
employee of a corporation, (iv) a member, agent, or employee of |
a partnership, or (v) a member, manager, employee, officer, |
director, or agent of a limited liability company who, in any |
such capacity described by this subsection (e), commits |
viatical settlement fraud.
|
(Source: P.A. 96-736, eff. 7-1-10; 97-813, eff. 7-13-12; |
|
revised 11-14-13.) |
Section 360. The Health Carrier External Review Act is |
amended by changing Section 10 as follows: |
(215 ILCS 180/10)
|
Sec. 10. Definitions. For the purposes of this Act: |
"Adverse determination" means: |
(1) a determination by a health carrier or its designee |
utilization review organization that, based upon the |
information provided, a request for a benefit under the |
health carrier's health benefit plan upon application of |
any utilization review technique does not meet the health |
carrier's requirements for medical necessity, |
appropriateness, health care setting, level of care, or |
effectiveness or is determined to be experimental or |
investigational and the requested benefit is therefore |
denied, reduced, or terminated or payment is not provided |
or made, in whole or in part, for the benefit; |
(2) the denial, reduction, or termination of or failure |
to provide or make payment, in whole or in part, for a |
benefit based on a determination by a health carrier or its |
designee utilization review organization that a |
preexisting condition was present before the effective |
date of coverage; or |
(3) a rescission recission of coverage determination, |
|
which does not include a cancellation or discontinuance of |
coverage that is attributable to a failure to timely pay |
required premiums or contributions towards the cost of |
coverage. |
"Authorized representative" means: |
(1) a person to whom a covered person has given express |
written consent to represent the covered person for |
purposes of this Law; |
(2) a person authorized by law to provide substituted |
consent for a covered person; |
(3) a family member of the covered person or the |
covered person's treating health care professional when |
the covered person is unable to provide consent; |
(4) a health care provider when the covered person's |
health benefit plan requires that a request for a benefit |
under the plan be initiated by the health care provider; or |
(5) in the case of an urgent care request, a health |
care provider with knowledge of the covered person's |
medical condition. |
"Best evidence" means evidence based on: |
(1) randomized clinical trials; |
(2) if randomized clinical trials are not available, |
then cohort studies or case-control studies; |
(3) if items (1) and (2) are not available, then |
case-series; or |
(4) if items (1), (2), and (3) are not available, then |
|
expert opinion. |
"Case-series" means an evaluation of a series of patients |
with a particular outcome, without the use of a control group. |
"Clinical review criteria" means the written screening |
procedures, decision abstracts, clinical protocols, and |
practice guidelines used by a health carrier to determine the |
necessity and appropriateness of health care services. |
"Cohort study" means a prospective evaluation of 2 groups |
of patients with only one group of patients receiving specific |
intervention. |
"Concurrent review" means a review conducted during a |
patient's stay or course of treatment in a facility, the office |
of a health care professional, or other inpatient or outpatient |
health care setting. |
"Covered benefits" or "benefits" means those health care |
services to which a covered person is entitled under the terms |
of a health benefit plan. |
"Covered person" means a policyholder, subscriber, |
enrollee, or other individual participating in a health benefit |
plan. |
"Director" means the Director of the Department of |
Insurance. |
"Emergency medical condition" means a medical condition |
manifesting itself by acute symptoms of sufficient severity, |
including, but not limited to, severe pain, such that a prudent |
layperson who possesses an average knowledge of health and |
|
medicine could reasonably expect the absence of immediate |
medical attention to result in: |
(1) placing the health of the individual or, with |
respect to a pregnant woman, the health of the woman or her |
unborn child, in serious jeopardy; |
(2) serious impairment to bodily functions; or
|
(3) serious dysfunction of any bodily organ or part. |
"Emergency services" means health care items and services |
furnished or required to evaluate and treat an emergency |
medical condition. |
"Evidence-based standard" means the conscientious, |
explicit, and judicious use of the current best evidence based |
on an overall systematic review of the research in making |
decisions about the care of individual patients. |
"Expert opinion" means a belief or an interpretation by |
specialists with experience in a specific area about the |
scientific evidence pertaining to a particular service, |
intervention, or therapy. |
"Facility" means an institution providing health care |
services or a health care setting. |
"Final adverse determination" means an adverse |
determination involving a covered benefit that has been upheld |
by a health carrier, or its designee utilization review |
organization, at the completion of the health carrier's |
internal grievance process procedures as set forth by the |
Managed Care Reform and Patient Rights Act. |
|
"Health benefit plan" means a policy, contract, |
certificate, plan, or agreement offered or issued by a health |
carrier to provide, deliver, arrange for, pay for, or reimburse |
any of the costs of health care services. |
"Health care provider" or "provider" means a physician, |
hospital facility, or other health care practitioner licensed, |
accredited, or certified to perform specified health care |
services consistent with State law, responsible for |
recommending health care services on behalf of a covered |
person. |
"Health care services" means services for the diagnosis, |
prevention, treatment, cure, or relief of a health condition, |
illness, injury, or disease. |
"Health carrier" means an entity subject to the insurance |
laws and regulations of this State, or subject to the |
jurisdiction of the Director, that contracts or offers to |
contract to provide, deliver, arrange for, pay for, or |
reimburse any of the costs of health care services, including a |
sickness and accident insurance company, a health maintenance |
organization, or any other entity providing a plan of health |
insurance, health benefits, or health care services. "Health |
carrier" also means Limited Health Service Organizations |
(LHSO) and Voluntary Health Service Plans. |
"Health information" means information or data, whether |
oral or recorded in any form or medium, and personal facts or |
information about events or relationships that relate to:
|
|
(1) the past, present, or future physical, mental, or |
behavioral health or condition of an individual or a member |
of the individual's family; |
(2) the provision of health care services to an |
individual; or |
(3) payment for the provision of health care services |
to an individual. |
"Independent review organization" means an entity that |
conducts independent external reviews of adverse |
determinations and final adverse determinations. |
"Medical or scientific evidence" means evidence found in |
the following sources: |
(1) peer-reviewed scientific studies published in or |
accepted for publication by medical journals that meet |
nationally recognized requirements for scientific |
manuscripts and that submit most of their published |
articles for review by experts who are not part of the |
editorial staff; |
(2) peer-reviewed medical literature, including |
literature relating to therapies reviewed and approved by a |
qualified institutional review board, biomedical |
compendia, and other medical literature that meet the |
criteria of the National Institutes of Health's Library of |
Medicine for indexing in Index Medicus (Medline) and |
Elsevier Science Ltd. for indexing in Excerpta Medicus |
(EMBASE); |
|
(3) medical journals recognized by the Secretary of |
Health and Human Services under Section 1861(t)(2) of the |
federal Social Security Act; |
(4) the following standard reference compendia:
|
(a) The American Hospital Formulary Service-Drug |
Information; |
(b) Drug Facts and Comparisons; |
(c) The American Dental Association Accepted |
Dental Therapeutics; and |
(d) The United States Pharmacopoeia-Drug |
Information; |
(5) findings, studies, or research conducted by or |
under the auspices of federal government agencies and |
nationally recognized federal research institutes, |
including: |
(a) the federal Agency for Healthcare Research and |
Quality; |
(b) the National Institutes of Health; |
(c) the National Cancer Institute; |
(d) the National Academy of Sciences; |
(e) the Centers for Medicare & Medicaid Services; |
(f) the federal Food and Drug Administration; and |
(g) any national board recognized by the National |
Institutes of Health for the purpose of evaluating the |
medical value of health care services; or |
(6) any other medical or scientific evidence that is |
|
comparable to the sources listed in items (1) through (5). |
"Person" means an individual, a corporation, a |
partnership, an association, a joint venture, a joint stock |
company, a trust, an unincorporated organization, any similar |
entity, or any combination of the foregoing. |
"Prospective review" means a review conducted prior to an |
admission or the provision of a health care service or a course |
of treatment in accordance with a health carrier's requirement |
that the health care service or course of treatment, in whole |
or in part, be approved prior to its provision. |
"Protected health information" means health information |
(i) that identifies an individual who is the subject of the |
information; or (ii) with respect to which there is a |
reasonable basis to believe that the information could be used |
to identify an individual. |
"Randomized clinical trial" means a controlled prospective |
study of patients that have been randomized into an |
experimental group and a control group at the beginning of the |
study with only the experimental group of patients receiving a |
specific intervention, which includes study of the groups for |
variables and anticipated outcomes over time. |
"Retrospective review" means any review of a request for a |
benefit that is not a concurrent or prospective review request. |
"Retrospective review" does not include the review of a claim |
that is limited to veracity of documentation or accuracy of |
coding. |
|
"Utilization review" has the meaning provided by the |
Managed Care Reform and Patient Rights Act. |
"Utilization review organization" means a utilization |
review program as defined in the Managed Care Reform and |
Patient Rights Act.
|
(Source: P.A. 96-857, eff. 7-1-10; 97-574, eff. 8-26-11; |
97-813, eff. 7-13-12; revised 11-14-13.) |
Section 365. The Public Utilities Act is amended by |
changing Sections 13-903 and 21-401 as follows:
|
(220 ILCS 5/13-903)
|
(Section scheduled to be repealed on July 1, 2015)
|
Sec. 13-903. Authorization, verification or notification, |
and dispute
resolution for
covered product and service charges |
on the telephone bill. |
(a) Definitions. As used in this Section:
|
(1) "Subscriber" means a
telecommunications
carrier's |
retail business customer served by not more than 20 lines |
or a retail
residential
customer.
|
(2) "Telecommunications carrier" has the
meaning given |
in Section 13-202 of the Public Utilities Act and includes |
agents
and
employees of a telecommunications carrier, |
except that "telecommunications
carrier"
does not include |
a provider of commercial mobile radio services (as defined |
by
47
U.S.C. 332(d)(1)).
|
|
(b) Applicability of Section. This Section does not apply |
to:
|
(1) changes in a subscriber's local exchange |
telecommunications service
or interexchange |
telecommunications service;
|
(2) message telecommunications charges that are |
initiated by dialing 1+,
0+, 0-, 1010XXX, or collect calls |
and charges for video services if the service
provider has |
the necessary call detail record to establish the billing |
for the
call or
service; and
|
(3) telecommunications services available on a |
subscriber's line when the
subscriber activates and pays |
for the services on a per use basis.
|
(c) Requirements for billing authorized charges. A |
telecommunications
carrier shall
meet all of the following |
requirements before submitting charges for any
product or |
service to
be billed on any subscriber's telephone bill:
|
(1) Inform the subscriber. The telecommunications |
carrier offering the
product
or service must thoroughly |
inform the subscriber of the product or service
being
|
offered, including all associated charges, and explicitly |
inform the
subscriber that
the associated charges for the |
product or service will appear on the
subscriber's
|
telephone bill.
|
(2) Obtain subscriber authorization. The subscriber |
must have clearly and
explicitly
consented to obtaining the |
|
product or service offered and to having the
associated |
charges
appear on the subscriber's telephone bill. The |
consent must be verified by the
service
provider in |
accordance with subsection (d) of this Section. A record of |
the
consent must
be maintained by the telecommunications |
carrier offering the product or service
for at
least 24 |
months immediately after the consent and verification were |
obtained.
|
(d) Verification or notification. Except in |
subscriber-initiated
transactions with a
certificated |
telecommunications carrier for which the telecommunications
|
carrier has the
appropriate documentation, the |
telecommunications carrier, after obtaining the
subscriber's
|
authorization in the required manner, shall either verify the |
authorization or
notify the
subscriber as follows:
|
(1) Independent third-party verification:
|
(A) Verification shall be obtained by an |
independent third party
that:
|
(i) operates from a facility physically |
separate from that
of the telecommunications |
carrier;
|
(ii) is not directly or indirectly managed, |
controlled,
directed, or owned wholly or in part by |
the telecommunications
carrier or the carrier's |
marketing agent; and
|
(iii) does not derive commissions or |
|
compensation based
upon the number of sales |
confirmed.
|
(B) The third-party verification agent shall |
state, and shall
obtain the subscriber's |
acknowledgment of, the following disclosures:
|
(i) the subscriber's name, address, and the |
telephone
numbers of all telephone lines that will |
be charged for the
product or service of the |
telecommunications carrier;
|
(ii) that the person speaking to the third |
party verification
agent is in fact the |
subscriber;
|
(iii) that the subscriber wishes to purchase |
the product or
service of the telecommunications |
carrier and is agreeing to do so;
|
(iv) that the subscriber understands that the |
charges for the
product or service of the |
telecommunications carrier will appear
on the |
subscriber's telephone bill; and
|
(v) the name and customer service telephone |
number of
the telecommunications carrier.
|
(C) The telecommunications carrier shall retain, |
electronically
or otherwise, proof of the verification |
of sales for a minimum of 24
months.
|
(2) Notification. Written notification shall be |
provided as follows:
|
|
(A) the telecommunications carrier shall mail a |
letter to the
subscriber using first class mail, |
postage prepaid, no later than 10 days
after initiation |
of the product or service;
|
(B) the letter shall be a separate document sent |
for the sole
purpose of describing the product or |
service of the telecommunications
carrier;
|
(C) the letter shall be printed with 10-point or |
larger type and
clearly and conspicuously disclose the |
material terms and conditions of
the offer of the |
telecommunications carrier, as described in paragraph |
(1)
of subsection (c);
|
(D) the letter shall contain a toll-free telephone |
number the
subscriber can call to cancel the product or |
service;
|
(E) the telecommunications carrier shall retain, |
electronically
or otherwise, proof of written |
notification for a minimum of 24 months; and
|
(F) written notification can be provided via |
electronic mail if
consumers are given the disclosures |
required by Section 101(c) of the
Electronic |
Signatures in Global and National Commerce Act.
|
(e) Unauthorized charges.
|
(1) Responsibilities of the billing telecommunications |
carrier for
unauthorized
charges. If a subscriber's |
telephone bill is charged for any product or
service |
|
without
proper subscriber authorization and verification |
or notification of
authorization in
compliance with this |
Section, the telecommunications carrier that billed the
|
subscriber,
on its knowledge or notification of any |
unauthorized charge, shall promptly,
but not later
than 45 |
days after the date of the knowledge or notification of an |
unauthorized
charge:
|
(A) notify the product or service provider to |
immediately cease charging
the subscriber for the |
unauthorized product or service;
|
(B) remove the unauthorized charge from the |
subscriber's bill; and
|
(C) refund or credit to the subscriber all money |
that the subscriber has
paid for any unauthorized |
charge.
|
(f) The Commission shall promulgate any rules necessary to |
ensure that
subscribers are
not billed on the telephone bill |
for products or services in a manner not in
compliance with |
this
Section. The rules promulgated under this Section shall |
comport with the
rules, if any,
promulgated by the Attorney |
General pursuant to the Consumer Fraud and
Deceptive Business
|
Practices Act and with any rules promulgated by the Federal |
Communications
Commission or
Federal Trade Commission.
|
(g) Complaints may be filed with the Commission under this |
Section by a
subscriber
who has been billed on the telephone |
bill for products or services not in
compliance with this
|
|
Section or by the Commission on its own motion. Upon filing of |
the complaint,
the parties
may mutually agree to submit the |
complaint to the Commission's established
mediation
process. |
Remedies in the mediation process may include, but shall not be
|
limited to, the
remedies set forth in paragraphs (1) through |
(4) of this subsection. In its
discretion, the
Commission may |
deny the availability of the mediation process and submit the
|
complaint to
hearings. If the complaint is not submitted to |
mediation or if no agreement is
reached during
the mediation |
process, hearings shall be held on the complaint pursuant to
|
Article X 10 of this
Act. If after notice and hearing, the |
Commission finds that a
telecommunications carrier has
|
violated this Section or a rule promulgated under this Section, |
the Commission
may in its
discretion order any one or more of |
the following:
|
(1) Require the violating telecommunications carrier |
to pay a fine of up
to $1,000
into the Public Utility Fund |
for each repeated and intentional violation of
this |
Section.
|
(2) Require the violating carrier to refund or cancel |
all charges for
products
or
services not billed in |
compliance with this Section.
|
(3) Issue a cease and desist order.
|
(4) For a pattern of violation of this Section or for |
intentionally
violating a
cease
and desist order, revoke |
the violating telecommunications carrier's certificate
of |
|
service
authority.
|
(Source: P.A. 92-22, eff. 6-30-01; revised 11-12-13.)
|
(220 ILCS 5/21-401) |
(Section scheduled to be repealed on July 1, 2015) |
Sec. 21-401. Applications. |
(a)(1) A person or entity seeking to provide cable service |
or video service pursuant to this Article shall not use the |
public rights-of-way for the installation or construction of |
facilities for the provision of cable service or video service |
or offer cable service or video service until it has obtained a |
State-issued authorization to offer or provide cable or video |
service under this Section, except as provided for in item (2) |
of this subsection (a). All cable or video providers offering |
or providing service in this State shall have authorization |
pursuant to either (i) the Cable and Video Competition Law of |
2007 (220 ILCS 5/21-100 et seq.); (ii) Section 11-42-11 of the |
Illinois Municipal Code (65 ILCS 5/11-42-11); or (iii) Section |
5-1095 of the Counties Code (55 ILCS 5/5-1095). |
(2) Nothing in this Section shall prohibit a local unit of |
government from granting a permit to a person or entity for the |
use of the public rights-of-way to install or construct |
facilities to provide cable service or video service, at its |
sole discretion. No unit of local government shall be liable |
for denial or delay of a permit prior to the issuance of a |
State-issued authorization. |
|
(b) The application to the Commission for State-issued |
authorization shall contain a completed affidavit submitted by |
the applicant and signed by an officer or general partner of |
the applicant affirming all of the following: |
(1) That the applicant has filed or will timely file |
with the Federal Communications Commission all forms |
required by that agency in advance of offering cable |
service or video service in this State. |
(2) That the applicant agrees to comply with all |
applicable federal and State statutes and regulations. |
(3) That the applicant agrees to comply with all |
applicable local unit of government regulations. |
(4) An exact description of the cable service or video |
service area where the cable service or video service will |
be offered during the term of the State-issued |
authorization. The service area shall be identified in |
terms of either (i) exchanges, as that term is defined in |
Section 13-206 of this Act; (ii) a collection of United |
States Census Bureau Block numbers (13 digit); (iii) if the |
area is smaller than the areas identified in either (i) or |
(ii), by geographic information system digital boundaries |
meeting or exceeding national map accuracy standards; or |
(iv) local unit of government. The description shall |
include the number of low-income households within the |
service area or footprint. If an applicant is a an |
incumbent cable operator, the incumbent cable operator and |
|
any successor-in-interest shall be obligated to provide |
access to cable services or video services within any local |
units of government at the same levels required by the |
local franchising authorities for the local unit of |
government on June 30, 2007
(the effective date of Public |
Act 95-9),
and its application shall provide a description |
of an area no smaller than the service areas contained in |
its franchise or franchises
within the jurisdiction of the |
local unit of government in which it seeks to offer cable |
or video service. |
(5) The location and telephone number of the |
applicant's principal place of business within this State |
and the names of the applicant's principal executive |
officers who are responsible for communications concerning |
the application and the services to be offered pursuant to |
the application, the applicant's legal name, and any name |
or names under which the applicant does or will provide |
cable services or video services in this State. |
(6) A certification that the applicant has |
concurrently delivered a copy of the application to all |
local units of government that include all or any part of |
the service area identified in item (4) of this subsection |
(b)
within such local unit of government's jurisdictional |
boundaries. |
(7) The expected date that cable service or video |
service will be initially offered in the area identified in |
|
item (4) of this subsection (b). In the event that a holder |
does not offer cable services or video services within 3
|
months after the expected date, it shall amend its |
application and update the expected date service will be |
offered and explain the delay in offering cable services or |
video services. |
(8) For any entity that received State-issued |
authorization prior to this amendatory Act of the 98th |
General Assembly as a cable operator and that intends to |
proceed as a cable operator under this Article, the entity |
shall file a written affidavit with the Commission and |
shall serve a copy of the affidavit with any local units of |
government affected by the authorization within 30 days |
after the effective date of this amendatory Act of the 98th |
General Assembly stating that the holder will be providing |
cable service under the State-issued authorization. |
The application shall include adequate assurance that the |
applicant possesses the financial, managerial, legal, and |
technical qualifications necessary to construct and operate |
the proposed system, to promptly repair any damage to the |
public right-of-way caused by the applicant, and to pay the |
cost of removal of its facilities. To accomplish these |
requirements, the applicant may, at the time the applicant |
seeks to use the public rights-of-way in that jurisdiction, be |
required by the State of Illinois or
later be required by the |
local unit of government, or both, to post a bond, produce a |
|
certificate of insurance, or otherwise demonstrate its |
financial responsibility. |
The application shall include the applicant's general |
standards related to customer service required by Section |
22-501 of this Act, which shall include, but not be limited to, |
installation, disconnection, service and repair obligations; |
appointment hours; employee ID requirements; customer service |
telephone numbers and hours; procedures for billing, charges, |
deposits, refunds, and credits; procedures for termination of |
service; notice of deletion of programming service and changes |
related to transmission of programming or changes or increases |
in rates; use and availability of parental control or lock-out |
devices; complaint procedures and procedures for bill dispute |
resolution and a description of the rights and remedies |
available to consumers if the holder does not materially meet |
their customer service standards; and special services for |
customers with visual, hearing, or mobility disabilities. |
(c)(1) The applicant may designate information that it |
submits in its application or subsequent reports as |
confidential or proprietary, provided that the applicant |
states the reasons the confidential designation is necessary. |
The Commission shall provide adequate protection for such |
information pursuant to Section 4-404 of this Act. If the |
Commission, a local unit of government, or any other party |
seeks public disclosure of information designated as |
confidential, the Commission shall consider the confidential |
|
designation in a proceeding under the Illinois Administrative |
Procedure
Act, and the burden of proof to demonstrate that the |
designated information is confidential shall be upon the |
applicant. Designated information shall remain confidential |
pending the Commission's determination of whether the |
information is entitled to confidential treatment. Information |
designated as confidential shall be provided to local units of |
government for purposes of assessing compliance with this |
Article as permitted under a Protective Order issued by the |
Commission pursuant to the Commission's rules and to the |
Attorney General pursuant to Section 6.5 of the Attorney |
General Act
(15 ILCS 205/6.5). Information designated as |
confidential under this Section or determined to be |
confidential upon Commission review shall only be disclosed |
pursuant to a valid and enforceable subpoena or court order or |
as required by the Freedom of Information Act. Nothing herein |
shall delay the application approval timeframes set forth in |
this Article. |
(2) Information regarding the location of video services |
that have been or are being offered to the public and aggregate |
information included in the reports required by this Article |
shall not be designated or treated as confidential. |
(d)(1) The Commission shall post all applications it |
receives under this Article on its web site within 5
business |
days. |
(2) The Commission shall notify an applicant for a cable |
|
service or video service authorization whether the applicant's |
application and affidavit are complete on or before the 15th |
business day after the applicant submits the application. If |
the application and affidavit are not complete, the Commission |
shall state in its notice all of the reasons the application or |
affidavit are incomplete, and the applicant shall resubmit a |
complete application. The Commission shall have 30 days after |
submission by the applicant of a complete application and |
affidavit to issue the service authorization. If the Commission |
does not notify the applicant regarding the completeness of the |
application and affidavit or issue the service authorization |
within the time periods required under this subsection, the |
application and affidavit shall be considered complete and the |
service authorization issued upon the expiration of the 30th |
day. |
(e) Any authorization issued by the Commission will expire |
on December 31, 2015 and shall contain or include all of the |
following: |
(1) A grant of authority, including an authorization |
issued prior to this amendatory Act of the 98th General |
Assembly, to provide cable service or video service in the |
service area footprint as requested in the application, |
subject to the provisions of this Article in existence on |
the date the grant of authority was issued, and any |
modifications to this Article enacted at any time prior to |
the date in Section 21-1601 of this Act, and to the laws of |
|
the State and the ordinances, rules, and regulations of the |
local units of government. |
(2) A grant of authority to use, occupy, and construct |
facilities in the public rights-of-way for the delivery of |
cable service or video service in the service area |
footprint, subject to the laws, ordinances, rules, or |
regulations of this State and local units of governments. |
(3) A statement that the grant of authority is subject |
to lawful operation of the cable service or video service |
by the applicant, its affiliated entities, or its |
successors-in-interest. |
(4) The Commission shall notify a local unit of |
government within 3
business days of the grant of any |
authorization within a service area footprint if that |
authorization includes any part of the local unit of |
government's jurisdictional boundaries and state whether |
the holder will be providing video service or cable service |
under the authorization. |
(f) The authorization issued pursuant to this Section
by |
the Commission may be transferred to any successor-in-interest |
to the applicant to which it is initially granted without |
further Commission action if the successor-in-interest (i) |
submits an application and the information required by |
subsection (b) of this Section
for the successor-in-interest |
and (ii) is not in violation of this Article or of any federal, |
State, or local law, ordinance, rule, or regulation. A |
|
successor-in-interest shall file its application and notice of |
transfer with the Commission and the relevant local units of |
government no less than 15
business days prior to the |
completion of the transfer. The Commission is not required or |
authorized to act upon the notice of transfer; however, the |
transfer is not effective until the Commission approves the |
successor-in-interest's application. A local unit of |
government or the Attorney General may seek to bar a transfer |
of ownership by filing suit in a court of competent |
jurisdiction predicated on the existence of a material and |
continuing breach of this Article by the holder, a pattern of |
noncompliance with customer service standards by the potential |
successor-in-interest, or the insolvency of the potential |
successor-in-interest. If a transfer is made when there are |
violations of this Article or of any federal, State, or local |
law, ordinance, rule, or regulation, the successor-in-interest |
shall be subject to 3
times the penalties provided for in this |
Article. |
(g) The authorization issued pursuant to Section 21-401 of |
this Article by the Commission may be terminated, or its cable |
service or video service area footprint may be modified, by the |
cable service provider or video service provider by submitting |
notice to the Commission and to the relevant local unit of |
government containing a description of the change on the same |
terms as the initial description pursuant to item (4) of |
subsection (b) of this Section. The Commission is not required |
|
or authorized to act upon that notice. It shall be a violation |
of this Article for a holder to discriminate against potential |
residential subscribers because of the race or income of the |
residents in the local area in which the group resides by |
terminating or modifying its cable service or video service |
area footprint. It shall be a violation of this Article for a |
holder to terminate or modify its cable service or video |
service area footprint if it leaves an area with no cable |
service or video service from any provider. |
(h) The Commission's authority to administer this Article |
is limited to the powers and duties explicitly provided under |
this Article. Its authority under this Article does not include |
or limit the powers and duties that the Commission has under |
the other Articles of this Act, the Illinois Administrative |
Procedure Act,
or any other law or regulation to conduct |
proceedings, other than as provided in subsection (c), or has |
to promulgate rules or regulations. The Commission shall not |
have the authority to limit or expand the obligations and |
requirements provided in this Section or to regulate or control |
a person or entity to the extent that person or entity is |
providing cable service or video service, except as provided in |
this Article.
|
(Source: P.A. 98-45, eff. 6-28-13; revised 11-12-13.) |
Section 370. The Illinois Gas Pipeline Safety Act is |
amended by changing Section 2 as follows:
|
|
(220 ILCS 20/2) (from Ch. 111 2/3, par. 552)
|
Sec. 2.
As used in this Act, unless the context, otherwise |
requires, the terms
specified in the Sections following this |
Section and preceding Section 3 Sections 2.01 through 2.07 have |
the meanings ascribed to them
in those Sections.
|
(Source: P.A. 76-1588; revised 11-14-13.)
|
Section 375. The Child Care Act of 1969 is amended by |
changing Section 2 as follows:
|
(225 ILCS 10/2) (from Ch. 23, par. 2212)
|
Sec. 2. Terms used in this Act, unless the context |
otherwise requires,
have the meanings ascribed to them in the |
Sections following this Section and preceding Section 3 |
Sections 2.01 through 2.27 .
|
(Source: P.A. 94-586, eff. 8-15-05; revised 11-14-13.)
|
Section 380. The Clinical Social Work and Social Work |
Practice Act is amended by changing Section 19 as follows:
|
(225 ILCS 20/19) (from Ch. 111, par. 6369)
|
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 19. Grounds for disciplinary action.
|
(1) The Department may refuse to issue, refuse to renew, |
suspend, or
revoke any license, or may place on probation, |
|
censure, reprimand, or take
other disciplinary or |
non-disciplinary action deemed appropriate by the Department, |
including the
imposition of fines not to exceed $10,000
for |
each violation, with regard to any
license issued under the |
provisions of this Act for any one or a combination of
the |
following reasons:
|
(a) material misstatements of fact in furnishing |
information to the
Department or to any other State agency |
or in furnishing information to any
insurance company with |
respect to a claim on behalf of a licensee or a patient;
|
(b) violations or negligent or intentional disregard |
of this Act, or any
of the rules promulgated hereunder;
|
(c) conviction of or entry of a plea of guilty or nolo |
contendere to any crime that is a felony under the laws of |
the United States or any
state or territory thereof or that |
is a misdemeanor, of
which an essential
element is |
dishonesty, or any crime that is directly related
to the |
practice of the clinical social work or social work |
professions;
|
(d) making any misrepresentation for the purpose of |
obtaining licenses,
or violating any provision of this Act |
or any of the rules promulgated
hereunder;
|
(e) professional incompetence;
|
(f) malpractice;
|
(g) aiding or assisting another person in violating any |
provision of or this
Act or any rules;
|
|
(h) failing to provide information within 30 days in |
response to a
written request made by the Department;
|
(i) engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public as defined by the
rules of the |
Department, or violating the rules of professional conduct
|
adopted by the Board and published by the Department;
|
(j) habitual
or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other
chemical agent or drug |
that results in a clinical social worker's or social
|
worker's inability to practice
with reasonable judgment, |
skill, or safety;
|
(k) discipline by another jurisdiction, if at least one |
of the grounds
for the discipline is the same or |
substantially equivalent to those set
forth in this |
Section;
|
(l) directly or indirectly giving to or receiving from |
any person, firm,
corporation, partnership, or association |
any fee, commission, rebate or
other form of compensation |
for any professional service not actually rendered. |
Nothing in this paragraph (l) affects any bona fide |
independent contractor or employment arrangements among |
health care professionals, health facilities, health care |
providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
provisions for compensation, health insurance, pension, or |
|
other employment benefits for the provision of services |
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (l) shall be construed to require |
an employment arrangement to receive professional fees for |
services rendered;
|
(m) a finding by the Board that the licensee, after |
having the license
placed on probationary status, has |
violated the terms of probation;
|
(n) abandonment, without cause, of a client;
|
(o) wilfully filing false reports relating to a |
licensee's practice,
including but not limited to false |
records filed with Federal or State
agencies or |
departments;
|
(p) wilfully failing to report an instance of suspected |
child abuse or
neglect as required by the Abused and |
Neglected Child Reporting Act;
|
(q) being named as a perpetrator in an indicated report |
by the
Department of Children and Family Services under the |
Abused and
Neglected Child Reporting Act, and upon proof by |
clear and convincing evidence
that the licensee has caused |
a child to be or failed to take reasonable steps to prevent |
a child from being an abused child or neglected child
as |
defined in the Abused and Neglected Child Reporting Act;
|
(r) physical illness, mental illness, or any other |
impairment or disability, including, but not limited to,
|
deterioration through the
aging process, or loss of motor |
|
skills that results in the inability
to practice the |
profession with reasonable judgment, skill or safety;
|
(s) solicitation of professional services by using |
false or
misleading advertising; or
|
(t) violation of the Health Care Worker Self-Referral |
Act.
|
(2) (Blank).
|
(3) The determination by a court that a licensee is subject |
to
involuntary
admission or judicial admission as provided in |
the Mental Health and
Developmental Disabilities Code, will |
result in an automatic suspension of his
license. Such |
suspension will end upon a finding by a court that the licensee
|
is no longer subject to involuntary admission or judicial |
admission and issues
an order so finding and discharging the |
patient, and upon the recommendation of
the Board to the |
Secretary that the licensee be allowed to resume professional
|
practice.
|
(4) The Department may refuse to issue or renew or may |
suspend the license of a
person who (i) 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 the requirements of the tax Act are satisfied or |
(ii) has failed to pay any court-ordered child support as |
determined by a court order or by
referral from the Department |
of Healthcare and Family Services.
|
|
(5) In enforcing this Section, the Board upon a showing of |
a possible
violation may compel a person licensed to practice |
under this Act, or
who has applied for licensure or |
certification pursuant to this Act, to submit
to a mental or |
physical examination, or both, as required by and at the |
expense
of the Department. The examining physicians
shall be |
those specifically designated by the Board.
The Board or the |
Department may order the examining physician
to present |
testimony concerning this 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 person to be examined may have, at his |
or her own expense, another
physician of his or her choice |
present during all
aspects of the examination. Failure of any |
person to submit to a mental or
physical examination, when |
directed, shall be grounds for suspension of a
license until |
the person submits to the examination if the Board finds,
after |
notice and hearing, that the refusal to submit to the |
examination was
without reasonable cause.
|
If the Board finds a person unable to practice because of |
the reasons
set forth in this Section, the Board may require |
that person to submit to
care, counseling, or treatment by |
physicians
approved
or designated by the Board, as a condition, |
term, or restriction for continued,
reinstated, or
renewed |
licensure to practice; or, in lieu of care, counseling or |
|
treatment,
the
Board may recommend to the Department to file a |
complaint to immediately
suspend, revoke or otherwise |
discipline the license of the person.
Any person 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 person shall have his or her |
license
suspended immediately, pending a hearing by the Board.
|
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 Board within 30 days after the |
suspension and completed without appreciable
delay.
The Board |
shall have the authority to review the subject person'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.
|
A person licensed under this Act and affected under this |
Section shall
be
afforded an opportunity to demonstrate to the |
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. 95-687, eff. 10-23-07; 96-1482, eff. 11-29-10; |
revised 11-14-13.)
|
|
Section 385. The Illinois Dental Practice Act is amended by |
changing Section 17 as follows:
|
(225 ILCS 25/17) (from Ch. 111, par. 2317)
|
(Section scheduled to be repealed on January 1, 2016)
|
Sec. 17. Acts Constituting the Practice of Dentistry. A |
person
practices dentistry, within the meaning of this Act:
|
(1) Who represents himself or herself as being able to |
diagnose or diagnoses,
treats, prescribes, or operates for |
any disease, pain, deformity, deficiency,
injury, or |
physical condition of the human tooth, teeth, alveolar |
process,
gums or jaw; or
|
(2) Who is a manager, proprietor, operator or conductor |
of a
business where
dental operations are performed; or
|
(3) Who performs dental operations of any kind; or
|
(4) Who uses an X-Ray machine or X-Ray films for
dental |
diagnostic purposes; or
|
(5) Who extracts a human tooth or teeth, or corrects or |
attempts to
correct
malpositions of the human teeth or |
jaws; or
|
(6) Who offers or undertakes, by any means or method, |
to diagnose, treat
or remove stains, calculus, and bonding |
materials from human teeth or jaws; or
|
(7) Who uses or administers local or general |
anesthetics in the treatment
of dental or oral diseases or |
in any preparation incident to a dental operation
of any |
|
kind or character; or
|
(8) Who takes impressions of the human tooth, teeth, or |
jaws or performs
any phase of any operation incident to the |
replacement of a part of a tooth,
a tooth, teeth or |
associated tissues by means of a filling, crown, a bridge,
|
a denture or other appliance; or
|
(9) Who offers to furnish, supply, construct, |
reproduce or repair, or
who furnishes, supplies, |
constructs, reproduces or repairs, prosthetic
dentures, |
bridges or other substitutes for natural teeth, to the user |
or
prospective user thereof; or
|
(10) Who instructs students on clinical matters or |
performs any clinical
operation included in the curricula |
of recognized dental schools and colleges; or
|
(11) Who takes impressions of human teeth or places his |
or her hands in the mouth of any person for the purpose of |
applying teeth whitening materials, or who takes |
impressions of human teeth or places his or her hands in |
the mouth of any person for the purpose of assisting in the |
application of teeth whitening materials. A person does not |
practice dentistry when he or she discloses to the consumer |
that he or she is not licensed as a dentist under this Act |
and (i) discusses the use of teeth whitening materials with |
a consumer purchasing these materials; (ii) provides |
instruction on the use of teeth whitening materials with a |
consumer purchasing these materials; or (iii) provides |
|
appropriate equipment on-site to the consumer for the |
consumer to self-apply teeth whitening materials. |
The fact that any person engages in or performs, or offers |
to engage in
or perform, any of the practices, acts, or |
operations set forth in this
Section, shall be prima facie |
evidence that such person is engaged in the
practice of |
dentistry.
|
The following practices, acts, and operations, however, |
are exempt from
the operation of this Act:
|
(a) The rendering of dental relief in emergency cases |
in the practice
of his or her profession by a physician or |
surgeon, licensed as such
under the laws of this State, |
unless he or she undertakes to reproduce or reproduces
lost |
parts of the human teeth in the mouth or to restore or |
replace lost
or missing teeth in the mouth; or
|
(b) The practice of dentistry in the discharge of their |
official duties
by dentists in any branch of the Armed |
Services of the United States, the
United States Public |
Health Service, or the United States Veterans
|
Administration; or
|
(c) The practice of dentistry by students in their |
course of study
in dental schools or colleges approved by |
the Department, when acting under the
direction and |
supervision of dentists acting as instructors; or
|
(d) The practice of dentistry by clinical instructors |
in the course of
their teaching duties in dental schools or |
|
colleges approved by the
Department:
|
(i) when acting under the direction and |
supervision of dentists,
provided that such clinical |
instructors have instructed continuously in
this State |
since January 1, 1986; or
|
(ii) when holding the rank of full professor at |
such approved dental
school or college and possessing a |
current valid license or authorization
to practice |
dentistry in another country; or
|
(e) The practice of dentistry by licensed dentists of |
other states or
countries at meetings of the Illinois State |
Dental Society or component
parts thereof, alumni meetings |
of dental colleges, or any other like dental
organizations, |
while appearing as clinicians; or
|
(f) The use of X-Ray machines for exposing X-Ray films |
of dental or oral
tissues by dental hygienists or dental |
assistants; or
|
(g) The performance of any dental service by a dental |
assistant, if such
service is performed under the |
supervision and full responsibility of a
dentist.
|
For purposes of this paragraph (g), "dental service" is |
defined to mean
any intraoral procedure or act which shall |
be prescribed by rule or
regulation of the Department. |
Dental service, however, shall not include:
|
(1) Any and all diagnosis of or prescription for |
treatment of disease,
pain, deformity, deficiency, |
|
injury or physical condition of the human teeth
or |
jaws, or adjacent structures.
|
(2) Removal of, or restoration of, or addition
to |
the hard or soft tissues of the oral cavity, except for |
the placing, carving, and finishing of amalgam |
restorations by dental assistants who have had |
additional formal education and certification as |
determined by the Department. A dentist utilizing |
dental assistants shall not supervise more than 4 |
dental assistants at any one time for placing, carving, |
and finishing of amalgam restorations.
|
(3) Any and all correction of malformation of teeth |
or of the jaws.
|
(4) Administration of anesthetics, except for |
monitoring of
nitrous oxide, conscious sedation, deep |
sedation, and general anesthetic as provided in |
Section 8.1 of this Act, that may be performed only |
after successful completion of a training
program |
approved by the Department. A dentist utilizing dental |
assistants shall not supervise more than 4 dental |
assistants at any one time for the monitoring of |
nitrous oxide.
|
(5) Removal of calculus from human teeth.
|
(6) Taking of impressions for the fabrication of |
prosthetic
appliances,
crowns,
bridges, inlays, |
onlays, or other restorative or replacement
dentistry.
|
|
(7) The operative procedure of dental hygiene |
consisting of oral
prophylactic procedures, except for |
coronal polishing and pit and fissure sealants,
which |
may be
performed by a
dental assistant who has |
successfully completed a training program approved by
|
the Department. Dental assistants may perform coronal |
polishing under the
following circumstances: (i) the |
coronal polishing shall be limited to
polishing the
|
clinical crown of the tooth and existing restorations, |
supragingivally; (ii)
the
dental assistant performing |
the coronal polishing shall be limited to the use
of
|
rotary instruments using a rubber cup or brush |
polishing method (air polishing
is
not permitted); and |
(iii) the supervising dentist shall not supervise more
|
than 4
dental assistants at any one time for the task |
of coronal polishing or pit and fissure sealants.
|
The limitations on the number of dental assistants a |
dentist may supervise contained in items (2), (4), and (7) |
of this paragraph (g) Section mean a limit of 4 total |
dental assistants or dental hygienists doing expanded |
functions covered by these Sections being supervised by one |
dentist. |
(h) The practice of dentistry by an individual who:
|
(i) has applied in writing to the Department, in |
form and substance
satisfactory to the Department, for |
a general dental license and has
complied with all |
|
provisions of Section 9 of this Act, except for the
|
passage of the examination specified in subsection |
(e) , of Section 9 , of this
Act; or
|
(ii) has applied in writing to the Department, in |
form and substance
satisfactory to the Department, for |
a temporary dental license and has
complied with all |
provisions of subsection (c) , of Section 11 , of this |
Act; and
|
(iii) has been accepted or appointed for specialty |
or residency training
by a hospital situated in this |
State; or
|
(iv) has been accepted or appointed for specialty |
training in an
approved dental program situated in this |
State; or
|
(v) has been accepted or appointed for specialty |
training in a dental
public health agency situated in |
this State.
|
The applicant shall be permitted to practice dentistry |
for a period of 3
months from the starting date of the |
program, unless authorized in writing
by the Department to |
continue such practice for a period specified in
writing by |
the Department.
|
The applicant shall only be entitled to perform such |
acts as may be
prescribed by and incidental to his or her |
program of residency or specialty
training and shall not |
otherwise engage in the practice of dentistry in this
|
|
State.
|
The authority to practice shall terminate immediately |
upon:
|
(1) the decision of the Department that the |
applicant has failed the
examination; or
|
(2) denial of licensure by the Department; or
|
(3) withdrawal of the application.
|
(Source: P.A. 97-526, eff. 1-1-12; 97-886, eff. 8-2-12; |
97-1013, eff. 8-17-12; 98-147, eff. 1-1-14; 98-463, eff. |
8-16-13; revised 11-14-13.)
|
Section 390. The Dietitian Nutritionist Practice Act is |
amended by changing Section 95 as follows:
|
(225 ILCS 30/95) (from Ch. 111, par. 8401-95)
|
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 95. Grounds for discipline.
|
(1) The Department may refuse to issue or
renew, or may |
revoke, suspend, place on probation, reprimand, or take other
|
disciplinary or non-disciplinary action as the Department may |
deem appropriate, including imposing fines not to
exceed |
$10,000 for each violation, with regard to any license or |
certificate for
any one or combination of the following causes:
|
(a) Material misstatement in furnishing information to |
the Department.
|
(b) Violations of this Act or of
rules adopted under |
|
this Act.
|
(c) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States (i) that |
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession.
|
(d) Fraud or any misrepresentation in applying for or |
procuring a license under this Act or in connection with |
applying for renewal of a license under this Act.
|
(e) Professional incompetence or gross negligence.
|
(f) Malpractice.
|
(g) Aiding or assisting another person in violating any |
provision of
this Act or its rules.
|
(h) Failing to provide information within 60 days in |
response to a
written request made by the Department.
|
(i) Engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud, or harm the public.
|
(j) Habitual or excessive use or abuse of drugs defined |
in law as controlled substances, alcohol, or any other |
substance that results in the
inability to practice with |
reasonable judgment, skill, or safety.
|
|
(k) Discipline by another state, the District of |
Columbia, territory, country, or governmental agency if at |
least one
of the grounds for the discipline is the same or |
substantially equivalent
to those set forth in this Act.
|
(l) Charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered. Nothing in this |
paragraph (1) affects any bona fide independent contractor |
or employment arrangements among health care |
professionals, health facilities, health care providers, |
or other entities, except as otherwise prohibited by law. |
Any employment arrangements may include provisions for |
compensation, health insurance, pension, or other |
employment benefits for the provision of services within |
the scope of the licensee's practice under this Act. |
Nothing in this paragraph (1) shall be construed to require |
an employment arrangement to receive professional fees for |
services rendered.
|
(m) A finding by the Department that the licensee, |
after having his or her
license placed on probationary |
status, has violated the terms of probation.
|
(n) Willfully making or filing false records or reports |
in his or her practice, including, but not limited to, |
false records filed with State agencies or departments.
|
(o) Allowing one's license under this Act to be used by |
an unlicensed person in violation of this Act.
|
|
(p) Practicing under a false or, except as provided by |
law, an assumed name.
|
(q) Gross and willful overcharging for professional |
services.
|
(r) (Blank).
|
(s) Willfully failing to report an instance of |
suspected child abuse
or neglect as required by the Abused |
and Neglected Child Reporting Act.
|
(t) Cheating on or attempting to subvert a licensing |
examination administered under this Act. |
(u) Mental illness or disability that results in the |
inability to practice under this Act with reasonable |
judgment, skill, or safety. |
(v) Physical illness, including, but not limited to, |
deterioration through the aging process or loss of motor |
skill that results in a licensee's inability to practice |
under this Act with reasonable judgment, skill, or safety. |
(w) Advising an individual to discontinue, reduce, |
increase, or otherwise alter the intake of a drug |
prescribed by a physician licensed to practice medicine in |
all its branches or by a prescriber as defined in Section |
102 of the Illinois Controlled Substances Substance Act. |
(2) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure, the license of any person who fails to file a |
return, or pay the tax, penalty, or interest shown in a filed |
|
return, or pay any final assessment of the tax, penalty, or |
interest as required by any tax Act administered by the |
Illinois Department of Revenue, until such time as the |
requirements of any such tax Act are satisfied in accordance |
with subsection (g) of Section 2105-15 of the Civil |
Administrative Code of Illinois. |
(3) 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. |
(4) In cases where the Department of Healthcare and Family |
Services has previously determined 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, 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 1205-15 of the Civil |
Administrative Code of Illinois. |
(5) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission, as |
|
provided in the Mental Health and Developmental Disabilities |
Code, operates as an automatic suspension. The suspension shall |
end only upon a finding by a court that the patient is no |
longer subject to involuntary admission or judicial admission |
and the issuance of an order so finding and discharging the |
patient. |
(6) In enforcing this Act, the Department, 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 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 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. The examination shall be performed by a physician |
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, |
when directed, shall result in an automatic suspension without |
hearing. |
A person holding a license under this Act or who has |
|
applied for a license under this Act who, because of a physical |
or mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling, or treatment by physicians approved or |
designated by the Department as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling, or treatment as |
required by the Department shall not be considered discipline |
of a license. If the licensee refuses to enter into a care, |
counseling, or treatment agreement or fails to abide by the |
terms of the agreement, then the Department may file a |
complaint to revoke, suspend, or otherwise discipline the |
license of the individual. The Secretary may order the license |
suspended immediately, pending a hearing by the Department. |
Fines shall not be assessed in disciplinary actions involving |
physical or mental illness or impairment. |
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 15 days after |
the suspension and completed without appreciable delay. The |
Department 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 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. 97-1141, eff. 12-28-12; 98-148, eff. 8-2-13; |
revised 11-14-13.)
|
Section 395. The Funeral Directors and Embalmers Licensing |
Code is amended by changing Sections 5-5, 10-5, and 15-75 as |
follows:
|
(225 ILCS 41/5-5)
|
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 5-5. License requirement. It is unlawful for any |
person to
practice, or to attempt to practice, funeral |
directing without a
license as a funeral director issued by the |
Department.
|
No person shall practice funeral directing unless he or she |
is they are employed by or contracted with a fixed place of |
practice or establishment devoted to the care and preparation |
for burial or for the transportation of deceased human bodies.
|
No person shall practice funeral directing independently |
at the fixed
place of practice or establishment of another |
licensee unless that
person's name is published and displayed |
|
at all
times in connection therewith.
|
(Source: P.A. 97-1130, eff. 8-28-12; revised 11-14-13.)
|
(225 ILCS 41/10-5)
|
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 10-5. License requirement. It is unlawful for any |
person to
practice or attempt to practice funeral directing and |
embalming without
being licensed by the Department.
|
No person shall practice funeral directing and embalming |
unless he or she is they are employed by or contracted with a |
fixed place of practice or establishment devoted to the care |
and preparation for burial or for the transportation of |
deceased human bodies.
|
No person shall practice funeral directing and embalming |
independently at
the fixed place of practice or establishment |
of another licensee unless his
or her name shall be published |
and displayed at all times in connection
therewith.
|
No licensed intern shall independently practice funeral
|
directing and
embalming; however, a licensed funeral director |
and embalmer intern may under
the immediate personal |
supervision of a licensed funeral
director and
embalmer assist |
a licensed funeral director and embalmer in the practice of
|
funeral directing and embalming.
|
No person shall practice as a funeral director and embalmer
|
intern unless he or she possesses a valid license in good
|
standing to do
so in the State of Illinois.
|
|
(Source: P.A. 97-1130, eff. 8-28-12; revised 11-14-13.)
|
(225 ILCS 41/15-75) |
(Section scheduled to be repealed on January 1, 2023) |
Sec. 15-75. Violations; grounds for discipline; penalties. |
(a) Each of the following acts is a Class A misdemeanor
for |
the first offense, and a Class 4 felony for each subsequent |
offense.
These penalties shall also apply to unlicensed owners |
of funeral homes. |
(1) Practicing the profession of funeral directing and |
embalming or
funeral directing, or attempting to practice |
the profession of funeral
directing and embalming or |
funeral directing without a license as a
funeral director |
and embalmer or funeral director. |
(2) Serving or attempting to serve as an intern under a |
licensed funeral
director
and embalmer
without a license as |
a licensed funeral director and embalmer intern. |
(3) Obtaining or attempting to obtain a license, |
practice or business,
or any other thing of value, by fraud |
or misrepresentation. |
(4) Permitting any person in one's employ, under one's |
control or in or
under one's service to serve as a funeral |
director and embalmer, funeral
director, or funeral |
director and embalmer intern when the
person does not have |
the appropriate license. |
(5) Failing to display a license as required by this |
|
Code. |
(6) Giving false information or making a false oath or |
affidavit
required by this Code. |
(b) The Department may refuse to issue or renew, revoke, |
suspend, place on probation or administrative supervision, |
reprimand, or take other disciplinary or non-disciplinary |
action as the Department may deem appropriate, including |
imposing fines not to exceed $10,000 for each violation, with |
regard to any license under the Code for any one or combination |
of the following: |
(1) Fraud or any misrepresentation in applying for or |
procuring a license under this Code or in connection with |
applying for renewal of a license under this Code. |
(2) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession. |
(3) Violation of the laws of this State relating to the |
funeral, burial
or disposition of deceased human bodies or |
of the rules and regulations of the
Department, or the |
Department of Public Health. |
|
(4) Directly or indirectly paying or causing to be paid |
any sum of money
or other valuable consideration for the |
securing of business or for
obtaining authority to dispose |
of any deceased human body. |
(5) Professional incompetence, gross negligence, |
malpractice, or untrustworthiness in the practice of |
funeral
directing and embalming or funeral directing. |
(6) (Blank). |
(7) Engaging in, promoting, selling, or issuing burial |
contracts, burial
certificates, or burial insurance |
policies in connection with the
profession as a funeral |
director and embalmer, funeral director, or funeral
|
director and embalmer intern in violation of any laws of |
the
State
of Illinois. |
(8) Refusing, without cause, to surrender the custody |
of a deceased
human body upon the proper request of the |
person or persons lawfully
entitled to the custody of the |
body. |
(9) Taking undue advantage of a client or clients as to |
amount to the
perpetration of fraud. |
(10) Engaging in funeral directing and embalming or |
funeral
directing without a license. |
(11) Encouraging, requesting, or suggesting by a |
licensee or some person
working on his behalf and with his |
consent for compensation that a person
utilize the services |
of a certain funeral director and embalmer, funeral
|
|
director, or funeral establishment unless that information |
has
been expressly requested by the person. This does not |
prohibit general
advertising or pre-need solicitation. |
(12) Making or causing to be made any false or |
misleading statements
about the laws concerning the |
disposition of human remains, including, but not
limited |
to, the need to embalm, the need for a casket for cremation |
or the
need for an outer burial container. |
(13) (Blank). |
(14) Embalming or attempting to embalm a deceased human |
body without
express prior authorization of the person |
responsible for making the
funeral arrangements for the |
body. This does not apply to cases where
embalming is |
directed by local authorities who have jurisdiction or when
|
embalming is required by State or local law. A licensee may |
embalm without express prior authorization if a good faith |
effort has been made to contact family members and has been |
unsuccessful and the licensee has no reason to believe the |
family opposes embalming. |
(15) Making a false statement on a Certificate of Death |
where the
person making the statement knew or should have |
known that the statement
was false. |
(16) Soliciting human bodies after death or while death |
is imminent. |
(17) Performing any act or practice that is a violation
|
of this Code, the rules for the administration of this |
|
Code, or any
federal,
State or local laws, rules, or |
regulations
governing the practice of funeral directing or |
embalming. |
(18) Performing any act or practice that is a violation |
of Section 2 of
the Consumer Fraud and Deceptive Business |
Practices Act. |
(19) Engaging in dishonorable, unethical, or |
unprofessional conduct of a character
likely to deceive, |
defraud or harm the public. |
(20) Taking possession of a dead human body without |
having first
obtained express permission from the person |
holding the right to control the disposition in accordance |
with Section 5 of the Disposition of Remains Act or a |
public agency legally
authorized to direct, control or |
permit the removal of deceased human bodies. |
(21) Advertising in a false or misleading manner or |
advertising using
the name of an unlicensed person in |
connection with any service being
rendered in the practice |
of funeral directing or funeral directing and
embalming. |
The use of any name of an unlicensed or unregistered person |
in
an advertisement so as to imply that the person will |
perform services is
considered misleading advertising. |
Nothing in this paragraph shall prevent
including the name |
of any owner, officer or corporate director of a funeral
|
home, who is not a licensee, in any advertisement used by a |
funeral home
with which the individual is affiliated, if |
|
the advertisement specifies
the individual's affiliation |
with the funeral home. |
(22) Charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered. |
(23) Failing to account for or remit any monies, |
documents, or personal
property that belongs to others that |
comes into a licensee's possession. |
(24) Treating any person differently to his detriment |
because of
race, color, creed, gender, religion, or |
national origin. |
(25) Knowingly making any false statements, oral or |
otherwise, of a
character likely to influence, persuade or |
induce others in the course of
performing professional |
services or activities. |
(26) Willfully making or filing false records or |
reports in the practice
of funeral directing and embalming, |
including, but not limited to, false records filed with |
State agencies or departments. |
(27) Failing to acquire continuing education required |
under this Code. |
(28) (Blank). |
(29) Aiding or assisting another person in violating |
any provision of this Code or rules adopted pursuant to |
this Code. |
(30) Failing within 10 days, to provide information in |
|
response to a written request made by the Department. |
(31) Discipline by another state, District of |
Columbia, territory, foreign nation, or governmental |
agency, if at least one of the grounds for the discipline |
is the same or substantially equivalent to those set forth |
in this Section. |
(32) (Blank). |
(33) Mental illness or disability which results in the |
inability to practice the profession with reasonable |
judgment, skill, or safety. |
(34) Gross, willful, or continued overcharging for |
professional services, including filing false statements |
for collection of fees for which services are not rendered. |
(35) Physical illness, including, but not limited to, |
deterioration through the aging process or loss of motor |
skill which results in a licensee's inability to practice |
under this Code with reasonable judgment, skill, or safety. |
(36) Failing to comply with any of the following |
required activities: |
(A) When reasonably possible, a funeral director |
licensee or funeral director and embalmer licensee or |
anyone acting on his or
her behalf shall obtain the |
express authorization of the person or persons
|
responsible for making the funeral arrangements for a |
deceased human body
prior to removing a body from the |
place of death or any place it may be or
embalming or |
|
attempting to embalm a deceased human body, unless |
required by
State or local law. This requirement is |
waived whenever removal or
embalming is directed by |
local authorities who have jurisdiction.
If the |
responsibility for the handling of the remains |
lawfully falls under
the jurisdiction of a public |
agency, then the regulations of the public
agency shall |
prevail. |
(B) A licensee shall clearly mark the price of any |
casket offered for
sale or the price of any service |
using the casket on or in the casket if
the casket is |
displayed at the funeral establishment. If the casket |
is
displayed at any other location, regardless of |
whether the licensee is in
control of that location, |
the casket shall be clearly marked and the
registrant |
shall use books, catalogues, brochures, or other |
printed display
aids to show the price of each casket |
or service. |
(C) At the time funeral arrangements are made and |
prior to rendering the
funeral services, a licensee |
shall furnish a written statement of services to be
|
retained by the person or persons making the funeral |
arrangements, signed
by both parties, that shall |
contain: (i) the name, address and telephone number
of |
the funeral establishment and the date on which the |
arrangements were made;
(ii) the price of the service |
|
selected and the services and merchandise
included for |
that price; (iii) a clear disclosure that the person or |
persons
making the arrangement may decline and receive |
credit for any service or
merchandise not desired and |
not required by law or the funeral director or the
|
funeral director and embalmer; (iv) the supplemental |
items of service and
merchandise requested and the |
price of each item; (v) the terms or method of
payment |
agreed upon; and (vi) a statement as to any monetary |
advances made by
the registrant on behalf of the |
family. The licensee shall maintain a copy of the |
written statement of services in its permanent |
records. All written statements of services are |
subject to inspection by the Department. |
(D) In all instances where the place of final |
disposition of a deceased human body or the cremated |
remains of a deceased human body is a cemetery, the |
licensed funeral director and embalmer, or licensed |
funeral director, who has been engaged to provide |
funeral or embalming services shall remain at the |
cemetery and personally witness the placement of the |
human remains in their designated grave or the sealing |
of the above ground depository, crypt, or urn. The |
licensed funeral director or licensed funeral director |
and embalmer may designate a licensed funeral director |
and embalmer intern or representative of the funeral |
|
home to be his or her witness to the placement of the |
remains. If the cemetery authority, cemetery manager, |
or any other agent of the cemetery takes any action |
that prevents compliance with this paragraph (D), then |
the funeral director and embalmer or funeral director |
shall provide written notice to the Department within 5 |
business days after failing to comply. If the |
Department receives this notice, then the Department |
shall not take any disciplinary action against the |
funeral director and embalmer or funeral director for a |
violation of this paragraph (D) unless the Department |
finds that the cemetery authority, manager, or any |
other agent of the cemetery did not prevent the funeral |
director and embalmer or funeral director from |
complying with this paragraph (D) as claimed in the |
written notice. |
(E) A funeral director or funeral director and |
embalmer shall fully complete the portion of the |
Certificate of Death under the responsibility of the |
funeral director or funeral director and embalmer and |
provide all required information. In the event that any |
reported information subsequently changes or proves |
incorrect, a funeral director or funeral director and |
embalmer shall immediately upon learning the correct |
information correct the Certificate of Death. |
(37) A finding by the Department that the license, |
|
after having his or
her license placed on probationary |
status or subjected to conditions or
restrictions, |
violated the terms of the probation or failed to comply |
with such
terms or conditions. |
(38) (Blank). |
(39) Being named as a perpetrator in an indicated |
report by the Department
of Children and Family Services |
pursuant to the Abused and Neglected Child
Reporting Act |
and, upon proof by clear and convincing evidence,
being |
found to have caused a child to be an abused child or |
neglected child as
defined
in the Abused and Neglected |
Child Reporting Act. |
(40) Habitual or excessive use or abuse of drugs |
defined in law as controlled substances, alcohol, or any |
other substance which results in the inability to practice |
with reasonable judgment, skill, or safety. |
(41) Practicing under a false or, except as provided by |
law, an assumed name. |
(42) Cheating on or attempting to subvert the licensing |
examination administered under this Code. |
(c) The Department may refuse to issue or renew or may |
suspend without a hearing, as provided for in the Department of |
Professional Regulation Law of the Civil Administrative Code of |
Illinois, the license
of any person who fails to file a return, |
to pay the tax, penalty or interest
shown in a filed return, or |
to pay any final assessment of tax, penalty or
interest as |
|
required by any tax Act administered by the Illinois Department |
of
Revenue, until the time as the requirements of the tax Act |
are satisfied in accordance with subsection (g) of Section |
2105-15 of the Department of Professional Regulation Law of the |
Civil Administrative Code of Illinois. |
(d) No action may be taken under this Code against a person |
licensed under this Code unless the action is commenced within |
5 years after the occurrence of the alleged violations. A |
continuing violation shall be deemed to have occurred on the |
date when the circumstances last existed that give rise to the |
alleged violation. |
(e) Nothing in this Section shall be construed or enforced |
to give a funeral director and embalmer, or his or her |
designees, authority over the operation of a cemetery or over |
cemetery employees. Nothing in this Section shall be construed |
or enforced to impose duties or penalties on cemeteries with |
respect to the timing of the placement of human remains in |
their designated grave or the sealing of the above ground |
depository, crypt, or urn due to patron safety, the allocation |
of cemetery staffing, liability insurance, a collective |
bargaining agreement, or other such reasons. |
(f) All fines imposed under this Section shall be paid 60 |
days after the effective date of the order imposing the fine. |
(g) The Department shall deny a license or renewal |
authorized by this Code 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) (g) of Section 2105-15 of the Department of Professional |
Regulation Law of the Civil Administrative Code of Illinois. |
(h) In cases where the Department of Healthcare and Family |
Services has previously determined 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, 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) (g) of Section 2105-15 1205-15 of the Department |
of Professional Regulation Law of the Civil Administrative Code |
of Illinois. |
(i) A person not licensed under this Code who is an owner |
of a funeral establishment or funeral business shall not aid, |
abet, assist, procure, advise, employ, or contract with any |
unlicensed person to offer funeral services or aid, abet, |
assist, or direct any licensed person contrary to or in |
violation of any rules or provisions of this Code. A person |
violating this subsection shall be treated as a licensee for |
the purposes of disciplinary action under this Section and |
shall be subject to cease and desist orders as provided in this |
Code, the imposition of a fine up to $10,000 for each violation |
|
and any other penalty provided by law. |
(j) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission as |
provided in the Mental Health and Developmental Disabilities |
Code, as amended, operates as an automatic suspension. The |
suspension may end only upon a finding by a court that the |
licensee is no longer subject to the involuntary admission or |
judicial admission and issues an order so finding and |
discharging the licensee, and upon the recommendation of the |
Board to the Secretary that the licensee be allowed to resume |
his or her practice. |
(k) In enforcing this Code, the Department, upon a showing |
of a possible violation, may compel an individual licensed to |
practice under this Code, or who has applied for licensure |
under this Code, to submit to a mental or physical examination, |
or both, as required by and at the expense of the Department. |
The Department 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 physician shall be |
specifically designated by the 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. The examination shall be performed by a physician |
|
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, |
when directed, shall result in an automatic suspension without |
hearing. |
A person holding a license under this Code or who has |
applied for a license under this Code who, because of a |
physical or mental illness or disability, including, but not |
limited to, deterioration through the aging process or loss of |
motor skill, is unable to practice the profession with |
reasonable judgment, skill, or safety, may be required by the |
Department to submit to care, counseling, or treatment by |
physicians approved or designated by the Department as a |
condition, term, or restriction for continued, reinstated, or |
renewed licensure to practice. Submission to care, counseling, |
or treatment as required by the Department shall not be |
considered discipline of a license. If the licensee refuses to |
enter into a care, counseling, or treatment agreement or fails |
to abide by the terms of the agreement, the Department may file |
a complaint to revoke, suspend, or otherwise discipline the |
license of the individual. The Secretary may order the license |
suspended immediately, pending a hearing by the Department. |
Fines shall not be assessed in disciplinary actions involving |
physical or mental illness or impairment. |
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 15 days after |
|
the suspension and completed without appreciable delay. The |
Department 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 Code and affected under |
this Section shall be afforded an opportunity to demonstrate to |
the Department 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. 96-863, eff. 3-1-10; 96-1463, eff. 1-1-11; |
97-1130, eff. 8-28-12; revised 11-14-13.) |
Section 400. The Health Care Worker Background Check Act is |
amended by changing Section 70 as follows: |
(225 ILCS 46/70) |
Sec. 70. Centers for Medicare and Medicaid Services (CMMS) |
grant. |
(a) In this Section:
|
"Centers for Medicare and Medicaid Services (CMMS) grant" |
means the grant awarded to and distributed by the Department of |
Public Health to enhance the conduct of criminal history |
records checks of certain health care employees. The CMMS grant |
is authorized by Section 307 of the federal Medicare |
|
Prescription Drug, Improvement, and Modernization Act of 2003, |
which establishes the framework for a program to evaluate |
national and state background checks on prospective employees |
with direct access to patients of long-term care facilities or |
providers. |
"Selected health care employer" means any of the following |
selected to participate in the CMMS grant: |
(1) a community living facility as defined in the |
Community Living Facility Act; |
(2) a long-term care facility as defined in the Nursing |
Home Care Act; |
(3) a home health agency as defined in the Home Health, |
Home Services, and Home Nursing Agency Licensing Act; |
(4) a full hospice as defined in the Hospice Licensing |
Act; |
(5) an establishment licensed under the Assisted |
Living and Shared Housing Act; |
(6) a supportive living facility as defined in the |
Illinois Public Aid Code; |
(7) a day training program certified by the Department |
of Human Services; |
(8) a community integrated living arrangement operated |
by a community mental health and developmental service |
agency as defined in the Community-Integrated Community |
Integrated Living Arrangements Licensing and Certification |
Act; or
|
|
(9) a long-term care hospital or hospital with swing |
beds.
|
(b) Selected health care employers shall be phased in to |
participate in the CMMS grant between January 1, 2006 and |
January 1, 2007, as prescribed by the Department of Public |
Health by rule. |
(c) With regards to individuals hired on or after January |
1, 2006 who have direct access to residents, patients, or |
clients of the selected health care employer, selected health |
care employers must comply with Section 25 of this Act. |
"Individuals who have direct access" includes, but is not |
limited to, (i) direct care workers as described in subsection |
(a) of Section 25; (ii) individuals licensed by the Department |
of Financial and Professional Regulation, such as nurses, |
social workers, physical therapists, occupational therapists, |
and pharmacists; (iii) individuals who provide services on |
site, through contract; and (iv) non-direct care workers, such |
as those who work in environmental services, food service, and |
administration. |
"Individuals who have direct access" does not include |
physicians or volunteers. |
The Department of Public Health may further define |
"individuals who have direct access" by rule.
|
(d) Each applicant seeking employment in a position |
described in subsection (c) of this Section with a selected |
health care employer shall, as a condition of employment, have |
|
his or her fingerprints submitted to the Department of State |
Police in an electronic format that complies with the form and |
manner for requesting and furnishing criminal history record |
information by the Department of State Police and the Federal |
Bureau of Investigation criminal history record databases now |
and hereafter filed. The Department of State Police shall |
forward the fingerprints to the Federal Bureau of Investigation |
for a national criminal history records check. The Department |
of State Police shall charge a fee for conducting the criminal |
history records check, which shall not exceed the actual cost |
of the records check and shall be deposited into the State |
Police Services Fund. The Department of State Police shall |
furnish, pursuant to positive identification, records of |
Illinois convictions to the Department of Public Health. |
(e) A selected health care employer who makes a conditional |
offer of employment to an applicant shall: |
(1) ensure that the applicant has complied with the |
fingerprinting requirements of this Section; |
(2) complete documentation relating to any criminal |
history record, as revealed by the applicant, as prescribed |
by rule by the Department of Public Health; |
(3) complete documentation of the applicant's personal |
identifiers as prescribed by rule by the Department of |
Public Health; and |
(4) provide supervision, as prescribed by rule by the |
licensing agency, if the applicant is hired and allowed to |
|
work prior to the results of the criminal history records |
check being obtained. |
(f) A selected health care employer having actual knowledge |
from a source that an individual with direct access to a |
resident, patient, or client has been convicted of committing |
or attempting to commit one of the offenses enumerated in |
Section 25 of this Act shall contact the licensing agency or |
follow other instructions as prescribed by administrative |
rule. |
(g) A fingerprint-based criminal history records check |
submitted in accordance with subsection (d) of this Section |
must be submitted as a fee applicant inquiry in the form and |
manner prescribed by the Department of State Police.
|
(h) This Section shall be inapplicable upon the conclusion |
of the CMMS grant.
|
(Source: P.A. 94-665, eff. 1-1-06; 94-931, eff. 6-26-06; |
95-331, eff. 8-21-07; revised 11-14-13.) |
Section 405. The Hearing Instrument Consumer Protection |
Act is amended by changing Section 31 as follows:
|
(225 ILCS 50/31) (from Ch. 111, par. 7431)
|
(Section scheduled to be repealed on January 1, 2016)
|
Sec. 31.
The provisions of "The Illinois Administrative |
Procedure Act",
approved September 22, 1975, as amended, shall |
apply to this Act. All final
administrative decisions of the |
|
Department are subject to judicial review
pursuant to the |
provisions of Article III 3 of the "Code of Civil Procedure",
|
approved August 19, 1981, as
amended. Any circuit court, upon |
the application of the licensee
or the Department, may
order |
the attendance of witnesses and the production of relevant |
records
in any Departmental hearing
relative to the application |
for or refusal, recall, suspension or revocation
of a license.
|
(Source: P.A. 86-800; revised 11-14-13.)
|
Section 410. The Massage Licensing Act is amended by |
changing Section 45 as follows:
|
(225 ILCS 57/45)
|
(Section scheduled to be repealed on January 1, 2022)
|
Sec. 45. Grounds for discipline.
|
(a) The Department may refuse to issue or renew, or may |
revoke, suspend,
place
on
probation, reprimand, or take other |
disciplinary or non-disciplinary action, as the Department
|
considers appropriate,
including the imposition of fines not to |
exceed $10,000 for each violation, with
regard to any license |
or licensee
for any one or more of the following:
|
(1) violations of this Act or of the rules adopted |
under this Act;
|
(2) conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
|
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony; or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession;
|
(3) professional incompetence;
|
(4) advertising in a false, deceptive, or misleading |
manner; |
(5) aiding, abetting, assisting, procuring, advising, |
employing, or contracting with any unlicensed person to |
practice massage contrary to any rules or provisions of |
this Act; |
(6) engaging in immoral conduct in the commission of |
any act, such as
sexual abuse, sexual misconduct, or sexual |
exploitation, related to the
licensee's practice;
|
(7) engaging in dishonorable, unethical, or |
unprofessional conduct of a
character
likely to deceive, |
defraud, or harm the public;
|
(8) practicing or offering to practice beyond the scope |
permitted by law
or
accepting and performing professional |
responsibilities which the licensee knows
or has reason to
|
know that he or she is not competent to perform;
|
(9) knowingly delegating professional responsibilities |
to a person
unqualified by
training, experience, or |
licensure to perform;
|
|
(10) failing to provide information in response to a |
written request made
by the
Department within 60 days;
|
(11) having a habitual or excessive use of or addiction |
to alcohol,
narcotics,
stimulants, or
any other chemical |
agent or drug which results in the inability to practice
|
with reasonable
judgment, skill, or safety;
|
(12) having a pattern of practice or other behavior |
that demonstrates
incapacity
or
incompetence to practice |
under this Act;
|
(13) discipline by another state, District of |
Columbia, territory, or foreign nation, if at least one of |
the grounds for the discipline is the same or substantially |
equivalent to those set forth in this Section; |
(14) a finding by the Department that the licensee, |
after having his or her license placed on probationary |
status, has violated the terms of probation; |
(15) willfully making or filing false records or |
reports in his or her practice, including, but not limited |
to, false records filed with State agencies or departments; |
(16) making a material misstatement in furnishing |
information to the
Department or
otherwise making |
misleading, deceptive, untrue, or fraudulent |
representations
in violation of this
Act or otherwise in |
the practice of the profession;
|
(17) 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;
|
(18) inability to practice the profession with |
reasonable judgment, skill, or safety as a result of |
physical illness, including, but not limited to, |
deterioration through the aging process, loss of motor |
skill, or a mental illness or disability;
|
(19) charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered; |
(20) practicing under a false or, except as provided by |
law, an assumed name; or |
(21) cheating on or attempting to subvert the licensing |
examination administered under this Act. |
All fines shall be paid within 60 days of the effective |
date of the order imposing the fine. |
(b) A person not licensed under this Act and engaged in the |
business of offering massage therapy services through others, |
shall not aid, abet, assist, procure, advise, employ, or |
contract with any unlicensed person to practice massage therapy |
contrary to any rules or provisions of this Act. A person |
violating this subsection (b) shall be treated as a licensee |
for the purposes of disciplinary action under this Section and |
shall be subject to cease and desist orders as provided in |
Section 90 of this Act. |
(c) The Department shall revoke any license issued under |
this Act of any person who is convicted of prostitution, rape, |
|
sexual misconduct, or any crime that subjects the licensee to |
compliance with the requirements of the Sex Offender |
Registration Act and any such conviction shall operate as a |
permanent bar in the State of Illinois to practice as a massage |
therapist. |
(d) The Department may refuse to issue or may suspend the |
license of any
person who
fails to file a tax return, to pay |
the tax, penalty, or interest shown in a
filed
tax return, or |
to pay any final
assessment of tax, penalty, or interest, as |
required by any tax Act
administered by the Illinois
Department |
of Revenue, until such time as the requirements of the tax Act |
are
satisfied in accordance with subsection (g) of Section |
2105-15 of the Civil Administrative Code of Illinois.
|
(e) 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) (g) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(f) In cases where the Department of Healthcare and Family |
Services 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, 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) (g) of Section 2105-15 of the Civil |
Administrative Code of Illinois. |
(g) The determination by a circuit court that a licensee is
|
subject
to involuntary admission or judicial admission, as |
provided in the Mental
Health and
Developmental Disabilities |
Code, operates as an automatic suspension. The
suspension
will |
end only upon a finding by a court that the patient is no |
longer
subject to
involuntary admission or judicial admission |
and the issuance of a court
order so finding
and discharging |
the patient.
|
(h) In enforcing this Act, 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. The examination |
shall be performed by a physician licensed
to practice
medicine |
in all its branches. Failure of an individual to submit to a |
mental
or physical
examination, when directed, shall result in |
an automatic suspension without hearing.
|
A person holding a license under this Act or who has |
applied for a license under this Act who, because of a physical |
or mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling, or treatment by physicians approved or |
designated by the Department as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling, or treatment as |
required by the Department shall not be considered discipline |
of a license. If the licensee refuses to enter into a care, |
counseling, or treatment agreement or fails to abide by the |
terms of the agreement, the Department may file a complaint to |
revoke, suspend, or otherwise discipline the license of the |
individual. The Secretary may order the license suspended |
immediately, pending a hearing by the Department. Fines shall |
not be assessed in disciplinary actions involving physical or |
mental illness or impairment.
|
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 15 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. 97-514, eff. 8-23-11; revised 11-14-13.)
|
Section 415. The Nurse Practice Act is amended by changing |
Section 65-35 as follows:
|
(225 ILCS 65/65-35)
(was 225 ILCS 65/15-15)
|
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 65-35. Written collaborative
agreements. |
(a) A written collaborative agreement is required for all |
advanced practice nurses engaged in clinical practice, except |
for advanced practice nurses who are authorized to practice in |
a hospital or ambulatory surgical treatment center. |
(a-5) If an advanced practice nurse engages in clinical |
|
practice outside of a hospital or ambulatory surgical treatment |
center in which he or she is authorized to practice, the |
advanced practice nurse must have a written collaborative |
agreement.
|
(b) A written collaborative
agreement shall describe the |
working relationship of the
advanced practice nurse with the |
collaborating
physician or podiatric physician and shall |
authorize the categories of
care, treatment, or procedures to |
be performed by the advanced
practice nurse. A collaborative |
agreement with a dentist must be in accordance with subsection |
(c-10) of this Section. Collaboration does not require an
|
employment relationship between the collaborating physician
|
and advanced practice nurse. Collaboration means
the |
relationship under
which an advanced practice nurse works with |
a collaborating
physician or podiatric physician in an active |
clinical practice to deliver health care services in
accordance |
with
(i) the advanced practice nurse's training, education,
and |
experience and (ii) collaboration and consultation as |
documented in a
jointly developed written collaborative
|
agreement.
|
The agreement shall promote the
exercise of professional |
judgment by the advanced practice
nurse commensurate with his |
or her education and
experience. The services to be provided by |
the advanced
practice nurse shall be services that the
|
collaborating physician or podiatric physician is authorized |
to and generally provides or may provide in his or her clinical |
|
medical or podiatric practice, except as set forth in |
subsection subsections (b-5) or (c-5) of this Section.
The |
agreement need not describe the exact steps that an advanced |
practice
nurse must take with respect to each specific |
condition, disease, or symptom
but must specify
which |
authorized procedures require the presence of the |
collaborating physician or podiatric physician as
the |
procedures are being performed. The collaborative
relationship |
under an agreement shall not be
construed to require the |
personal presence of a physician or podiatric physician at the |
place where services are rendered.
Methods of communication |
shall
be available for consultation with the collaborating
|
physician or podiatric physician in person or by |
telecommunications in accordance with
established written |
guidelines as set forth in the written
agreement.
|
(b-5) Absent an employment relationship, a written |
collaborative agreement may not (1) restrict the categories of |
patients of an advanced practice nurse within the scope of the |
advanced practice nurses training and experience, (2) limit |
third party payors or government health programs, such as the |
medical assistance program or Medicare with which the advanced |
practice nurse contracts, or (3) limit the geographic area or |
practice location of the advanced practice nurse in this State. |
(c) Collaboration and consultation under all collaboration |
agreements
shall be adequate if a
collaborating physician or |
podiatric physician does each of the following:
|
|
(1) Participates in the joint formulation and joint |
approval of orders or
guidelines with the advanced practice |
nurse and he or she periodically reviews such orders and |
the
services provided patients under such orders in |
accordance with accepted
standards of medical practice or |
podiatric practice and advanced practice nursing practice.
|
(2) Provides collaboration and consultation with the |
advanced practice nurse at least once a month. In the case |
of anesthesia services provided by a certified registered |
nurse anesthetist, an anesthesiologist, a physician, a |
dentist, or a podiatric physician must participate through |
discussion of and agreement with the anesthesia plan and |
remain physically present and available on the premises |
during the delivery of anesthesia services for diagnosis, |
consultation, and treatment of emergency medical |
conditions.
|
(3) Is available through telecommunications for |
consultation on medical
problems, complications, or |
emergencies or patient referral. In the case of anesthesia |
services provided by a certified registered nurse |
anesthetist, an anesthesiologist, a physician, a dentist, |
or a podiatric physician must participate through |
discussion of and agreement with the anesthesia plan and |
remain physically present and available on the premises |
during the delivery of anesthesia services for diagnosis, |
consultation, and treatment of emergency medical |
|
conditions.
|
The agreement must contain provisions detailing notice for |
termination or change of status involving a written |
collaborative agreement, except when such notice is given for |
just cause. |
(c-5) A certified registered nurse anesthetist, who |
provides anesthesia services outside of a hospital or |
ambulatory surgical treatment center shall enter into a written |
collaborative agreement with an anesthesiologist or the |
physician licensed to practice medicine in all its branches or |
the podiatric physician performing the procedure. Outside of a |
hospital or ambulatory surgical treatment center, the |
certified registered nurse anesthetist may provide only those |
services that the collaborating podiatric physician is |
authorized to provide pursuant to the Podiatric Medical |
Practice Act of 1987 and rules adopted thereunder. A certified |
registered nurse anesthetist may select, order, and administer |
medication, including controlled substances, and apply |
appropriate medical devices for delivery of anesthesia |
services under the anesthesia plan agreed with by the |
anesthesiologist or the operating physician or operating |
podiatric physician. |
(c-10) A certified registered nurse anesthetist who |
provides anesthesia services in a dental office shall enter |
into a written collaborative agreement with an |
anesthesiologist or the physician licensed to practice |
|
medicine in all its branches or the operating dentist |
performing the procedure. The agreement shall describe the |
working relationship of the certified registered nurse |
anesthetist and dentist and shall authorize the categories of |
care, treatment, or procedures to be performed by the certified |
registered nurse anesthetist. In a collaborating dentist's |
office, the certified registered nurse anesthetist may only |
provide those services that the operating dentist with the |
appropriate permit is authorized to provide pursuant to the |
Illinois Dental Practice Act and rules adopted thereunder. For |
anesthesia services, an anesthesiologist, physician, or |
operating dentist shall participate through discussion of and |
agreement with the anesthesia plan and shall remain physically |
present and be available on the premises during the delivery of |
anesthesia services for diagnosis, consultation, and treatment |
of emergency medical conditions. A certified registered nurse |
anesthetist may select, order, and administer medication, |
including controlled substances, and apply appropriate medical |
devices for delivery of anesthesia services under the |
anesthesia plan agreed with by the operating dentist. |
(d) A copy of the signed, written collaborative agreement |
must be available
to the Department upon request from both the |
advanced practice nurse
and the collaborating physician or |
podiatric physician. |
(e) Nothing in this Act shall be construed to limit the |
delegation of tasks or duties by a physician to a licensed |
|
practical nurse, a registered professional nurse, or other |
persons in accordance with Section 54.2 of the Medical Practice |
Act of 1987. Nothing in this Act shall be construed to limit |
the method of delegation that may be authorized by any means, |
including, but not limited to, oral, written, electronic, |
standing orders, protocols, guidelines, or verbal orders. |
(f) An advanced
practice nurse shall inform each |
collaborating physician, dentist, or podiatric physician of |
all collaborative
agreements he or she
has signed and provide a |
copy of these to any collaborating physician, dentist, or |
podiatric physician upon
request.
|
(g) For the purposes of this Act, "generally provides or |
may provide in his or her clinical medical practice" means |
categories of care or treatment, not specific tasks or duties, |
the physician podiatric physician provides individually or |
through delegation to other persons so that the physician |
podiatric physician has the experience and ability to provide |
collaboration and consultation. This definition shall not be |
construed to prohibit an advanced practice nurse from providing |
primary health treatment or care within the scope of his or her |
training and experience, including, but not limited to, health |
screenings, patient histories, physical examinations, women's |
health examinations, or school physicals that may be provided |
as part of the routine practice of an advanced practice nurse |
or on a volunteer basis. |
For the purposes of this Act, "generally provides or may |
|
provide in to his or her patients in the normal course of his |
or her clinical podiatric practice" means services, not |
specific tasks or duties, that the podiatric physician |
podiatrist routinely provides individually or through |
delegation to other persons so that the podiatric physician |
podiatrist has the experience and ability to provide |
collaboration and consultation. |
(Source: P.A. 97-358, eff. 8-12-11; 98-192, eff. 1-1-14; |
98-214, eff. 8-9-13; revised 9-24-13.)
|
Section 420. The Illinois Occupational Therapy Practice |
Act is amended by changing Sections 3, 3.1, 15, 19, and 21 as |
follows:
|
(225 ILCS 75/3) (from Ch. 111, par. 3703)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 3. Licensure requirement; exempt activities. After |
the effective date of this Act, no person shall practice
|
occupational therapy or hold himself out as an occupational |
therapist or
an occupational therapy assistant, or as being |
able to practice occupational
therapy or to render services |
designated as occupational therapy in this State,
unless
he is |
licensed in accordance with the provisions of this Act.
|
Nothing in this Act shall be construed as preventing or |
restricting the
practice, services, or activities of:
|
(1) Any person licensed in this State by any other law |
|
from engaging in
the profession or occupation for which he |
is licensed; or
|
(2) Any person employed as an occupational therapist or |
occupational therapy
assistant by the Government of the |
United States, if such person provides
occupational |
therapy solely under the direction or control of the |
organization
by which he or she is employed; or
|
(3) Any person pursuing a course of study leading to a |
degree or certificate
in occupational therapy at an |
accredited or approved educational program
if such |
activities and services constitute a part of a supervised |
course
of study, and if such person is designated by a |
title which clearly indicates
his or her status as a |
student or trainee; or
|
(4) Any person fulfilling the supervised work |
experience requirements
of Sections 8 and 9 of this Act, if |
such activities and services constitute
a part of the |
experience necessary to meet the requirement of those |
Sections;
or
|
(5) Any person performing occupational therapy |
services in the State,
if such a person is not a resident |
of this State and is not licensed under
this Act, and if |
such services are performed for no more than 60 days a
|
calendar year in association with an occupational |
therapist licensed under
this Act and if such person meets |
the qualifications for license under this Act
and:
|
|
(i) such person is licensed under the law of |
another state which has
licensure
requirements at |
least as restrictive as the requirements of this Act, |
or
|
(ii) such person meets the requirements for |
certification as an
Occupational
Therapist Registered |
(O.T.R.) or a Certified Occupational Therapy Assistant
|
(C.O.T.A.) established by the National Board for |
Certification of
Occupational Therapy or another |
nationally recognized credentialing body
approved by |
the Board; or
|
(6) The practice of occupational therapy by one who has |
applied in writing
to the Department for a license, in form |
and substance satisfactory to
the Department, and has |
complied with all the provisions
of either Section 8 or 9 |
except the passing of the examination to be eligible
to |
receive such license. In no event shall this exemption
|
extend to any person for longer than 6 months, except as |
follows:
|
(i) if the date on which a person can take the next |
available examination
authorized by the
Department |
extends beyond 6 months from the date the person |
completes the
occupational therapy
program as required |
under Section 8 or 9,
the
Department shall extend the |
exemption until the results of that
examination become |
available to the Department; or
|
|
(ii) if the Department is unable to complete its |
evaluation and processing
of a person's application |
for a license within 6 months after the date on which
|
the application is submitted to the Department in |
proper form, the Department
shall extend the exemption |
until the Department has completed its evaluation
and |
processing of the application.
|
In the event such applicant fails the examination, the |
applicant shall
cease work immediately until such time as |
the applicant is licensed to
practice occupational therapy |
in this State ; or .
|
(7) The practice of occupational therapy by one who has |
applied to the
Department, in form and substance |
satisfactory to the Department, and who
is licensed to |
practice occupational therapy under the laws of another
|
state, territory of the United States or country and who is |
qualified to
receive a license under the provisions of |
either Section 8 or 9 of this
Act. In no event shall this |
exemption extend to any person for longer than 6
months ; |
or .
|
(8) (Blank).
|
(Source: P.A. 98-264, eff. 12-31-13; revised 11-14-13.)
|
(225 ILCS 75/3.1)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 3.1. Referrals. |
|
(a) A licensed occupational therapist or licensed
|
occupational therapy assistant may consult with, educate, |
evaluate, and monitor
services for individuals, groups, and |
populations concerning occupational therapy needs. Except as |
indicated in subsections (b) and (c) of this Section, |
implementation
of direct occupational therapy treatment to |
individuals for their specific
health care conditions shall be |
based upon a referral from a licensed
physician, dentist, |
podiatric physician, or advanced practice nurse who has a |
written collaborative agreement with a collaborating physician |
to provide or accept referrals from licensed occupational |
therapists, physician assistant who has been delegated |
authority to provide or accept referrals from or to licensed |
occupational therapists, or optometrist.
|
(b) A referral is not required for the purpose of providing |
consultation, habilitation, screening, education, wellness, |
prevention, environmental assessments, and work-related |
ergonomic services to individuals, groups, or populations. |
(c) Referral from a physician or other health care provider |
is not required for evaluation or intervention for children and |
youths if an occupational therapist or occupational therapy |
assistant provides services in a school-based or educational |
environment, including the child's home. |
(d) An occupational therapist shall refer to a licensed |
physician, dentist,
optometrist, advanced practice nurse, |
physician assistant, or podiatric physician any patient whose |
|
medical condition should, at the
time of evaluation or |
treatment, be determined to be beyond the scope of
practice of |
the occupational therapist.
|
(Source: P.A. 98-214, eff. 8-9-13; 98-264, eff. 12-31-13; |
revised 9-9-13.)
|
(225 ILCS 75/15) (from Ch. 111, par. 3715)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 15.
Any person who is issued a license as an |
occupational therapist
registered under the terms of this Act |
may use the words "occupational
therapist" or "licensed |
occupational therapist", or
may use the
letters "O.T.", "OT/L", |
or "OTR/L", in connection with his or her name or place
of |
business to denote his or her licensure under this Act.
|
Any person who is issued a license as an a occupational |
therapy
assistant under the terms of this Act may use the |
words, "occupational therapy
assistant" or "licensed |
occupational therapy assistant", or
he or she may use
the |
letters "O.T.A.", "OTA/L", or "COTA/L" in connection with his |
or her
name or place of business to denote his or her licensure |
under this
Act.
|
(Source: P.A. 98-264, eff. 12-31-13; revised 11-12-13.)
|
(225 ILCS 75/19) (from Ch. 111, par. 3719)
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(Section scheduled to be repealed on January 1, 2024)
|
Sec. 19. Grounds for discipline. |
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(a) The Department may refuse to issue or renew, or may |
revoke,
suspend, place on probation, reprimand or take other |
disciplinary or non-disciplinary
action as the Department may |
deem proper, including imposing fines not to exceed
$10,000 for |
each violation and the assessment of costs as provided under |
Section 19.3 of this Act, with regard to any license for
any |
one or combination of the following:
|
(1) Material misstatement in furnishing information to |
the Department;
|
(2) Violations of this Act, or of the rules promulgated |
thereunder;
|
(3) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States that is |
(i) a felony or (ii) a misdemeanor, an essential element of |
which is dishonesty, or that is directly related to the |
practice of the profession;
|
(4) Fraud or any misrepresentation in applying for or |
procuring a license under this Act, or in connection with |
applying for renewal of a license under this Act;
|
(5) Professional incompetence;
|
(6) Aiding or assisting another person, firm, |
partnership or
corporation in violating any provision of |
|
this Act or rules;
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(7) Failing, within 60 days, to provide information in |
response to a
written request made by the Department;
|
(8) Engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public;
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(9) Habitual or excessive use or abuse of drugs defined |
in law as controlled substances, alcohol, or any other |
substance that results in the inability to practice with |
reasonable judgment, skill, or safety;
|
(10) Discipline by another state, unit of government, |
government agency, the District of Columbia, a territory,
|
or foreign nation, if at least one of the grounds for the |
discipline is
the same or substantially equivalent to those |
set forth herein;
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(11) Directly or indirectly giving to or receiving from |
any person, firm,
corporation, partnership, or association |
any fee, commission, rebate or other
form of compensation |
for professional services not actually or personally
|
rendered. Nothing in this paragraph (11) affects any bona |
fide independent contractor or employment arrangements |
among health care professionals, health facilities, health |
care providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
provisions for compensation, health insurance, pension, or |
other employment benefits for the provision of services |
|
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (11) shall be construed to |
require an employment arrangement to receive professional |
fees for services rendered;
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(12) A finding by the Department that the license |
holder, after having his
license disciplined, has violated |
the terms of the discipline;
|
(13) Wilfully making or filing false records or reports |
in the practice
of occupational therapy, including but not |
limited to false records filed
with the State agencies or |
departments;
|
(14) Physical illness, including but not limited to, |
deterioration through
the aging process, or loss of motor |
skill which results in the inability
to practice under this |
Act with reasonable judgment, skill, or safety;
|
(15) Solicitation of professional services other than |
by permitted
advertising;
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(16) Allowing one's license under this Act to be used |
by an unlicensed person in violation of this Act;
|
(17) Practicing under a false or, except as provided by |
law, assumed name;
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(18) Professional incompetence or gross negligence;
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(19) Malpractice;
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(20) Promotion of the sale of drugs, devices, |
appliances, or goods provided for a patient in any manner |
to exploit the client for financial gain of the licensee;
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(21) Gross, willful, or continued overcharging for |
professional services;
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(22) Mental illness or disability that results in the |
inability to practice under this Act with reasonable |
judgment, skill, or safety;
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(23) Violating the Health Care Worker Self-Referral |
Act;
|
(24) Having treated patients other than by the practice |
of occupational
therapy as defined in this Act, or having |
treated patients as a licensed
occupational therapist |
independent of a referral from a physician, advanced |
practice nurse or physician assistant in accordance with |
Section 3.1, dentist,
podiatric physician, or optometrist, |
or having failed to notify the physician,
advanced practice |
nurse, physician assistant,
dentist, podiatric physician, |
or optometrist who established a diagnosis that the
patient |
is
receiving occupational therapy pursuant to that |
diagnosis;
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(25) Cheating on or attempting to subvert the licensing |
examination administered under this Act; and |
(26) Charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered. |
All fines imposed under this Section shall be paid within |
60 days after the effective date of the order imposing the fine |
or in accordance with the terms set forth in the order imposing |
|
the fine. |
(b) The determination by a circuit court that a license |
holder is subject
to involuntary admission or judicial |
admission as provided in the Mental
Health and Developmental |
Disabilities Code, as now or hereafter amended,
operates as an |
automatic suspension. Such suspension will end only upon
a |
finding by a court that the patient is no longer subject to |
involuntary
admission or judicial admission and an order by the |
court so finding and
discharging the patient. In any case where |
a license is suspended under this provision, the licensee shall |
file a petition for restoration and shall include evidence |
acceptable to the Department that the licensee can resume |
practice in compliance with acceptable and prevailing |
standards of their profession.
|
(c) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure,
the license of any person who fails to file a |
return, to pay the tax, penalty,
or interest
shown in a filed |
return, or to pay any final assessment of tax, penalty, or
|
interest as
required by any tax Act administered by the |
Illinois Department of Revenue, until such
time as
the |
requirements of any such tax Act are satisfied in accordance |
with subsection (a) of Section 2105-15 of the Department of |
Professional Regulation Law of the Civil Administrative Code of |
Illinois.
|
(d) In enforcing this Section, the Department, upon a |
|
showing of a possible violation, may compel any individual who |
is licensed under this Act or any individual who has applied |
for licensure to submit to a mental or physical examination or |
evaluation, or both, which may include a substance abuse or |
sexual offender evaluation, at the expense of the Department. |
The Department shall specifically designate the examining |
physician licensed to practice medicine in all of its branches |
or, if applicable, the multidisciplinary team involved in |
providing the mental or physical examination and evaluation. |
The multidisciplinary team shall be led by a physician licensed |
to practice medicine in all of its branches and may consist of |
one or more or a combination of physicians licensed to practice |
medicine in all of its branches, licensed chiropractic |
physicians, licensed clinical psychologists, licensed clinical |
social workers, licensed clinical professional counselors, and |
other professional and administrative staff. Any examining |
physician or member of the multidisciplinary team may require |
any person ordered to submit to an examination and evaluation |
pursuant to this Section to submit to any additional |
supplemental testing deemed necessary to complete any |
examination or evaluation process, including, but not limited |
to, blood testing, urinalysis, psychological testing, or |
neuropsychological testing. |
The Department may order the examining physician or any |
member of the multidisciplinary team to provide to the |
Department any and all records, including business records, |
|
that relate to the examination and evaluation, including any |
supplemental testing performed. The Department may order the |
examining physician or any member of the multidisciplinary team |
to present testimony concerning this examination and |
evaluation of the licensee or applicant, including testimony |
concerning any supplemental testing or documents relating to |
the examination and evaluation. No information, report, |
record, or other documents in any way related to the |
examination and evaluation shall be excluded by reason of any |
common law or statutory privilege relating to communication |
between the licensee or applicant and the examining physician |
or any member of the multidisciplinary team. No authorization |
is necessary from the licensee or applicant ordered to undergo |
an evaluation and examination for the examining physician or |
any member of the multidisciplinary team to provide |
information, reports, records, or other documents or to provide |
any testimony regarding the examination and evaluation. 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 the examination. |
Failure of any individual to submit to mental or physical |
examination or evaluation, or both, when directed, shall result |
in an automatic suspension without hearing, until such time as |
the individual submits to the examination. If the Department |
finds a licensee unable to practice because of the reasons set |
forth in this Section, the Department shall require the |
|
licensee to submit to care, counseling, or treatment by |
physicians approved or designated by the Department as a |
condition for continued, reinstated, or renewed licensure. |
When the Secretary immediately suspends a license under |
this Section, a hearing upon such person's license must be |
convened by the Department within 15 days after the suspension |
and completed without appreciable delay. The Department shall |
have the authority to review the licensee'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. |
Individuals licensed under this Act that are affected under |
this Section, shall be afforded an opportunity to demonstrate |
to the Department that they can resume practice in compliance |
with acceptable and prevailing standards under the provisions |
of their license.
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(e) 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 paragraph (5) of |
subsection (a) of Section 2105-15 of the Department of |
Professional Regulation Law of the Civil Administrative Code of |
Illinois. |
(f) In cases where the Department of Healthcare and Family |
Services has previously determined 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, 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 paragraph (5) |
of subsection (a) of Section 2105-15 of the Department of |
Professional Regulation Law of the Civil Administrative Code of |
Illinois. |
(Source: P.A. 98-214, eff. 8-9-13; 98-264, eff. 12-31-13; |
revised 9-24-13.)
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(225 ILCS 75/21) (from Ch. 111, par. 3737)
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(Section scheduled to be repealed on January 1, 2024)
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Sec. 21. Home rule. The regulation and licensing as an a |
occupational therapist are exclusive powers and functions of |
the State. A home rule unit may not regulate or license an |
occupational therapist or the practice of occupational |
therapy. This Section is a denial and limitation of home rule |
powers and functions under subsection (h) of Section 6 of |
Article VII of the Illinois Constitution.
|
(Source: P.A. 98-264, eff. 12-31-13; revised 11-12-13.)
|
Section 425. The Orthotics, Prosthetics, and Pedorthics |
Practice Act is amended by changing Section 90 as follows:
|
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(225 ILCS 84/90)
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(Section scheduled to be repealed on January 1, 2020)
|
Sec. 90. Grounds for discipline.
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(a) The Department may refuse to issue or renew a license, |
or may revoke or
suspend a license, or may suspend, place on |
probation, or reprimand a
licensee
or take other disciplinary |
or non-disciplinary action as the Department may deem proper, |
including, but not limited to, the imposition of fines not to |
exceed $10,000 for each violation for one or any combination of |
the following:
|
(1) Making a material misstatement in furnishing |
information to the
Department or the Board.
|
(2) Violations of or negligent or intentional |
disregard of this Act or
its rules.
|
(3) Conviction of, or entry of a plea of guilty or nolo |
contendere to any crime that is a felony under the laws of |
the United States or any state or territory thereof or that |
is a misdemeanor of which an essential element is |
dishonesty, or any crime that is directly related to the |
practice of the profession.
|
(4) Making a misrepresentation for the purpose of |
obtaining a
license.
|
(5) A pattern of practice or other behavior that |
demonstrates incapacity
or incompetence to practice under |
this Act.
|
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(6) Gross negligence under this Act.
|
(7) Aiding or assisting another person in violating a |
provision of
this Act or its rules.
|
(8) Failing to provide information within 60 days in |
response to a
written request made by the Department.
|
(9) Engaging in dishonorable, unethical, or |
unprofessional conduct
or conduct of a character likely to |
deceive, defraud, or harm the public.
|
(10) Inability to practice with reasonable judgment, |
skill, or safety as a result of habitual or excessive use |
or addiction to alcohol, narcotics, stimulants, or any |
other chemical agent or drug.
|
(11) Discipline by another state or territory of the |
United States, the
federal government, or foreign nation, |
if at least one of the grounds for the
discipline is the |
same or substantially equivalent to one set forth in this
|
Section.
|
(12) Directly or indirectly giving to or receiving from |
a person,
firm, corporation, partnership, or association a |
fee, commission, rebate, or
other form of compensation for |
professional services not actually or
personally rendered. |
Nothing in this paragraph (12) affects any bona fide |
independent contractor or employment arrangements among |
health care professionals, health facilities, health care |
providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
|
provisions for compensation, health insurance, pension, or |
other employment benefits for the provision of services |
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (12) shall be construed to |
require an employment arrangement to receive professional |
fees for services rendered.
|
(13) A finding by the Board that the licensee or |
registrant, after
having his or her license placed on |
probationary status, has violated the terms
of probation.
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(14) Abandonment of a patient or client.
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(15) Willfully making or filing false records or |
reports in his or her
practice including, but not limited |
to, false records filed with State agencies
or departments.
|
(16) Willfully failing to report an instance of |
suspected child abuse
or neglect as required by the Abused |
and Neglected Child Reporting Act.
|
(17) 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.
|
(18) Solicitation of professional services using false |
or misleading
advertising.
|
(b) In enforcing this Section, the Department or Board upon |
a showing of a possible violation, may compel a licensee or |
applicant 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 the immediate suspension of his or her license |
until the individual submits to the examination if the |
Department finds that the refusal to submit to the examination |
was without reasonable cause as defined by rule. |
In instances in which the Secretary immediately suspends a |
person's license for his or her failure to submit to a mental |
or physical examination, when directed, a hearing on that |
person's license must be convened by the Department within 15 |
days after the suspension and completed without appreciable |
delay. |
In instances in which the Secretary otherwise suspends a |
person's license pursuant to the results of a compelled mental |
or physical examination, a hearing on that person's license |
must be convened by the Department within 15 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.
|
(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 subsection (a)(5) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15).
|
(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, 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 subsection (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(e) The Department may refuse to issue or renew a license, |
or may revoke or suspend a license, for failure to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(Source: P.A. 96-682, eff. 8-25-09; 96-1482, eff. 11-29-10; |
revised 11-14-13.)
|
Section 430. The Pharmacy Practice Act is amended by |
changing Section 3 as follows:
|
(225 ILCS 85/3)
|
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 3. Definitions. For the purpose of this Act, except |
where otherwise
limited therein:
|
|
(a) "Pharmacy" or "drugstore" means and includes every |
store, shop,
pharmacy department, or other place where |
pharmacist
care is
provided
by a pharmacist (1) where drugs, |
medicines, or poisons are
dispensed, sold or
offered for sale |
at retail, or displayed for sale at retail; or
(2)
where
|
prescriptions of physicians, dentists, advanced practice |
nurses, physician assistants, veterinarians, podiatric |
physicians, or
optometrists, within the limits of their
|
licenses, are
compounded, filled, or dispensed; or (3) which |
has upon it or
displayed within
it, or affixed to or used in |
connection with it, a sign bearing the word or
words |
"Pharmacist", "Druggist", "Pharmacy", "Pharmaceutical
Care", |
"Apothecary", "Drugstore",
"Medicine Store", "Prescriptions", |
"Drugs", "Dispensary", "Medicines", or any word
or words of |
similar or like import, either in the English language
or any |
other language; or (4) where the characteristic prescription
|
sign (Rx) or similar design is exhibited; or (5) any store, or
|
shop,
or other place with respect to which any of the above |
words, objects,
signs or designs are used in any advertisement.
|
(b) "Drugs" means and includes (l) articles recognized
in |
the official United States Pharmacopoeia/National Formulary |
(USP/NF),
or any supplement thereto and being intended for and |
having for their
main use the diagnosis, cure, mitigation, |
treatment or prevention of
disease in man or other animals, as |
approved by the United States Food and
Drug Administration, but |
does not include devices or their components, parts,
or |
|
accessories; and (2) all other articles intended
for and having |
for their main use the diagnosis, cure, mitigation,
treatment |
or prevention of disease in man or other animals, as approved
|
by the United States Food and Drug Administration, but does not |
include
devices or their components, parts, or accessories; and |
(3) articles
(other than food) having for their main use and |
intended
to affect the structure or any function of the body of |
man or other
animals; and (4) articles having for their main |
use and intended
for use as a component or any articles |
specified in clause (l), (2)
or (3); but does not include |
devices or their components, parts or
accessories.
|
(c) "Medicines" means and includes all drugs intended for
|
human or veterinary use approved by the United States Food and |
Drug
Administration.
|
(d) "Practice of pharmacy" means (1) the interpretation and |
the provision of assistance in the monitoring, evaluation, and |
implementation of prescription drug orders; (2) the dispensing |
of prescription drug orders; (3) participation in drug and |
device selection; (4) drug administration limited to the |
administration of oral, topical, injectable, and inhalation as |
follows: in the context of patient education on the proper use |
or delivery of medications; vaccination of patients 14 years of |
age and older pursuant to a valid prescription or standing |
order, by a physician licensed to practice medicine in all its |
branches, upon completion of appropriate training, including |
how to address contraindications and adverse reactions set |
|
forth by rule, with notification to the patient's physician and |
appropriate record retention, or pursuant to hospital pharmacy |
and therapeutics committee policies and procedures; (5) |
vaccination of patients ages 10 through 13 limited to the |
Influenza (inactivated influenza vaccine and live attenuated |
influenza intranasal vaccine) and Tdap (defined as tetanus, |
diphtheria, acellular pertussis) vaccines, pursuant to a valid |
prescription or standing order, by a physician licensed to |
practice medicine in all its branches, upon completion of |
appropriate training, including how to address |
contraindications and adverse reactions set forth by rule, with |
notification to the patient's physician and appropriate record |
retention, or pursuant to hospital pharmacy and therapeutics |
committee policies and procedures; (6) drug regimen review; (7) |
drug or drug-related research; (8) the provision of patient |
counseling; (9) the practice of telepharmacy; (10) the |
provision of those acts or services necessary to provide |
pharmacist care; (11) medication therapy management; and (12) |
the responsibility for compounding and labeling of drugs and |
devices (except labeling by a manufacturer, repackager, or |
distributor of non-prescription drugs and commercially |
packaged legend drugs and devices), proper and safe storage of |
drugs and devices, and maintenance of required records. A |
pharmacist who performs any of the acts defined as the practice |
of pharmacy in this State must be actively licensed as a |
pharmacist under this Act.
|
|
(e) "Prescription" means and includes any written, oral, |
facsimile, or
electronically transmitted order for drugs
or |
medical devices, issued by a physician licensed to practice |
medicine in
all its branches, dentist, veterinarian, or |
podiatric physician, or
optometrist, within the
limits of their |
licenses, by a physician assistant in accordance with
|
subsection (f) of Section 4, or by an advanced practice nurse |
in
accordance with subsection (g) of Section 4, containing the
|
following: (l) name
of the patient; (2) date when prescription |
was issued; (3) name
and strength of drug or description of the |
medical device prescribed;
and (4) quantity; (5) directions for |
use; (6) prescriber's name,
address,
and signature; and (7) DEA |
number where required, for controlled
substances.
The |
prescription may, but is not required to, list the illness, |
disease, or condition for which the drug or device is being |
prescribed. DEA numbers shall not be required on inpatient drug |
orders.
|
(f) "Person" means and includes a natural person, |
copartnership,
association, corporation, government entity, or |
any other legal
entity.
|
(g) "Department" means the Department of Financial and
|
Professional Regulation.
|
(h) "Board of Pharmacy" or "Board" means the State Board
of |
Pharmacy of the Department of Financial and Professional |
Regulation.
|
(i) "Secretary"
means the Secretary
of Financial and |
|
Professional Regulation.
|
(j) "Drug product selection" means the interchange for a
|
prescribed pharmaceutical product in accordance with Section |
25 of
this Act and Section 3.14 of the Illinois Food, Drug and |
Cosmetic Act.
|
(k) "Inpatient drug order" means an order issued by an |
authorized
prescriber for a resident or patient of a facility |
licensed under the
Nursing Home Care Act, the ID/DD Community |
Care Act, the Specialized Mental Health Rehabilitation Act of |
2013, or the Hospital Licensing Act, or "An Act in relation to
|
the founding and operation of the University of Illinois |
Hospital and the
conduct of University of Illinois health care |
programs", approved July 3, 1931,
as amended, or a facility |
which is operated by the Department of Human
Services (as |
successor to the Department of Mental Health
and Developmental |
Disabilities) or the Department of Corrections.
|
(k-5) "Pharmacist" means an individual health care |
professional and
provider currently licensed by this State to |
engage in the practice of
pharmacy.
|
(l) "Pharmacist in charge" means the licensed pharmacist |
whose name appears
on a pharmacy license and who is responsible |
for all aspects of the
operation related to the practice of |
pharmacy.
|
(m) "Dispense" or "dispensing" means the interpretation, |
evaluation, and implementation of a prescription drug order, |
including the preparation and delivery of a drug or device to a |
|
patient or patient's agent in a suitable container |
appropriately labeled for subsequent administration to or use |
by a patient in accordance with applicable State and federal |
laws and regulations.
"Dispense" or "dispensing" does not mean |
the physical delivery to a patient or a
patient's |
representative in a home or institution by a designee of a |
pharmacist
or by common carrier. "Dispense" or "dispensing" |
also does not mean the physical delivery
of a drug or medical |
device to a patient or patient's representative by a
|
pharmacist's designee within a pharmacy or drugstore while the |
pharmacist is
on duty and the pharmacy is open.
|
(n) "Nonresident pharmacy"
means a pharmacy that is located |
in a state, commonwealth, or territory
of the United States, |
other than Illinois, that delivers, dispenses, or
distributes, |
through the United States Postal Service, commercially |
acceptable parcel delivery service, or other common
carrier, to |
Illinois residents, any substance which requires a |
prescription.
|
(o) "Compounding" means the preparation and mixing of |
components, excluding flavorings, (1) as the result of a |
prescriber's prescription drug order or initiative based on the |
prescriber-patient-pharmacist relationship in the course of |
professional practice or (2) for the purpose of, or incident |
to, research, teaching, or chemical analysis and not for sale |
or dispensing. "Compounding" includes the preparation of drugs |
or devices in anticipation of receiving prescription drug |
|
orders based on routine, regularly observed dispensing |
patterns. Commercially available products may be compounded |
for dispensing to individual patients only if all of the |
following conditions are met: (i) the commercial product is not |
reasonably available from normal distribution channels in a |
timely manner to meet the patient's needs and (ii) the |
prescribing practitioner has requested that the drug be |
compounded.
|
(p) (Blank).
|
(q) (Blank).
|
(r) "Patient counseling" means the communication between a |
pharmacist or a student pharmacist under the supervision of a |
pharmacist and a patient or the patient's representative about |
the patient's medication or device for the purpose of |
optimizing proper use of prescription medications or devices. |
"Patient counseling" may include without limitation (1) |
obtaining a medication history; (2) acquiring a patient's |
allergies and health conditions; (3) facilitation of the |
patient's understanding of the intended use of the medication; |
(4) proper directions for use; (5) significant potential |
adverse events; (6) potential food-drug interactions; and (7) |
the need to be compliant with the medication therapy. A |
pharmacy technician may only participate in the following |
aspects of patient counseling under the supervision of a |
pharmacist: (1) obtaining medication history; (2) providing |
the offer for counseling by a pharmacist or student pharmacist; |
|
and (3) acquiring a patient's allergies and health conditions.
|
(s) "Patient profiles" or "patient drug therapy record" |
means the
obtaining, recording, and maintenance of patient |
prescription
information, including prescriptions for |
controlled substances, and
personal information.
|
(t) (Blank).
|
(u) "Medical device" means an instrument, apparatus, |
implement, machine,
contrivance, implant, in vitro reagent, or |
other similar or related article,
including any component part |
or accessory, required under federal law to
bear the label |
"Caution: Federal law requires dispensing by or on the order
of |
a physician". A seller of goods and services who, only for the |
purpose of
retail sales, compounds, sells, rents, or leases |
medical devices shall not,
by reasons thereof, be required to |
be a licensed pharmacy.
|
(v) "Unique identifier" means an electronic signature, |
handwritten
signature or initials, thumb print, or other |
acceptable biometric
or electronic identification process as |
approved by the Department.
|
(w) "Current usual and customary retail price" means the |
price that a pharmacy charges to a non-third-party payor.
|
(x) "Automated pharmacy system" means a mechanical system |
located within the confines of the pharmacy or remote location |
that performs operations or activities, other than compounding |
or administration, relative to storage, packaging, dispensing, |
or distribution of medication, and which collects, controls, |
|
and maintains all transaction information. |
(y) "Drug regimen review" means and includes the evaluation |
of prescription drug orders and patient records for (1)
known |
allergies; (2) drug or potential therapy contraindications;
|
(3) reasonable dose, duration of use, and route of |
administration, taking into consideration factors such as age, |
gender, and contraindications; (4) reasonable directions for |
use; (5) potential or actual adverse drug reactions; (6) |
drug-drug interactions; (7) drug-food interactions; (8) |
drug-disease contraindications; (9) therapeutic duplication; |
(10) patient laboratory values when authorized and available; |
(11) proper utilization (including over or under utilization) |
and optimum therapeutic outcomes; and (12) abuse and misuse.
|
(z) "Electronic transmission prescription" means any |
prescription order for which a facsimile or electronic image of |
the order is electronically transmitted from a licensed |
prescriber to a pharmacy. "Electronic transmission |
prescription" includes both data and image prescriptions.
|
(aa) "Medication therapy management services" means a |
distinct service or group of services offered by licensed |
pharmacists, physicians licensed to practice medicine in all |
its branches, advanced practice nurses authorized in a written |
agreement with a physician licensed to practice medicine in all |
its branches, or physician assistants authorized in guidelines |
by a supervising physician that optimize therapeutic outcomes |
for individual patients through improved medication use. In a |
|
retail or other non-hospital pharmacy, medication therapy |
management services shall consist of the evaluation of |
prescription drug orders and patient medication records to |
resolve conflicts with the following: |
(1) known allergies; |
(2) drug or potential therapy contraindications; |
(3) reasonable dose, duration of use, and route of |
administration, taking into consideration factors such as |
age, gender, and contraindications; |
(4) reasonable directions for use; |
(5) potential or actual adverse drug reactions; |
(6) drug-drug interactions; |
(7) drug-food interactions; |
(8) drug-disease contraindications; |
(9) identification of therapeutic duplication; |
(10) patient laboratory values when authorized and |
available; |
(11) proper utilization (including over or under |
utilization) and optimum therapeutic outcomes; and |
(12) drug abuse and misuse. |
"Medication therapy management services" includes the |
following: |
(1) documenting the services delivered and |
communicating the information provided to patients' |
prescribers within an appropriate time frame, not to exceed |
48 hours; |
|
(2) providing patient counseling designed to enhance a |
patient's understanding and the appropriate use of his or |
her medications; and |
(3) providing information, support services, and |
resources designed to enhance a patient's adherence with |
his or her prescribed therapeutic regimens. |
"Medication therapy management services" may also include |
patient care functions authorized by a physician licensed to |
practice medicine in all its branches for his or her identified |
patient or groups of patients under specified conditions or |
limitations in a standing order from the physician. |
"Medication therapy management services" in a licensed |
hospital may also include the following: |
(1) reviewing assessments of the patient's health |
status; and |
(2) following protocols of a hospital pharmacy and |
therapeutics committee with respect to the fulfillment of |
medication orders.
|
(bb) "Pharmacist care" means the provision by a pharmacist |
of medication therapy management services, with or without the |
dispensing of drugs or devices, intended to achieve outcomes |
that improve patient health, quality of life, and comfort and |
enhance patient safety.
|
(cc) "Protected health information" means individually |
identifiable health information that, except as otherwise |
provided, is:
|
|
(1) transmitted by electronic media; |
(2) maintained in any medium set forth in the |
definition of "electronic media" in the federal Health |
Insurance Portability and Accountability Act; or |
(3) transmitted or maintained in any other form or |
medium. |
"Protected health information" does not include |
individually identifiable health information found in: |
(1) education records covered by the federal Family |
Educational Right and Privacy Act; or |
(2) employment records held by a licensee in its role |
as an employer. |
(dd) "Standing order" means a specific order for a patient |
or group of patients issued by a physician licensed to practice |
medicine in all its branches in Illinois. |
(ee) "Address of record" means the 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. |
(ff) "Home pharmacy" means the location of a pharmacy's |
primary operations.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 97-1043, eff. 8-21-12; 98-104, eff. 7-22-13; |
98-214, eff. 8-9-13; revised 9-24-13.) |
Section 435. The Boxing and Full-contact Martial Arts Act |
|
is amended by changing Section 8 as follows:
|
(225 ILCS 105/8) (from Ch. 111, par. 5008)
|
(Section scheduled to be repealed on January 1, 2022)
|
Sec. 8. Permits.
|
(a) A promoter who desires to obtain a permit to conduct a |
professional or amateur
contest, or a combination of both, |
shall apply to the Department at least 20 days prior to the
|
event,
in writing, on forms furnished by the Department. The |
application shall
be accompanied by the required fee and shall
|
contain, but not be limited to, the following information to be |
submitted at times specified by rule:
|
(1) the legal names and addresses of the promoter;
|
(2) the name of the matchmaker;
|
(3) the time and exact location of the professional or |
amateur
contest, or a combination of both. It is the |
responsibility of the promoter to ensure that the building |
to be used for the event complies with all laws, |
ordinances, and regulations in the city, town, village, or |
county where the contest is to be held;
|
(4) proof of adequate security measures, as determined |
by Department rule, to ensure the protection of the
safety |
of contestants and the general public while attending |
professional or amateur contests, or a combination of both;
|
(5) proof of adequate medical supervision, as |
determined by Department rule, to ensure the protection of |
|
the health and safety of professionals' or amateurs' while |
participating in the contest;
|
(6) the names of the professionals or amateurs |
competing subject to Department approval;
|
(7) proof of insurance for not less than $50,000 as |
further defined by rule for each professional or amateur
|
participating in a professional or amateur
contest, or a |
combination of both; insurance required under this |
paragraph (7) (6) shall cover (i)
hospital, medication, |
physician, and other such expenses as would
accrue in the |
treatment of an injury as a result of the professional or |
amateur contest; (ii) payment to the estate of the |
professional or amateur in the event of
his or her death as |
a result
of his or her participation in the professional or |
amateur contest; and (iii) accidental death and |
dismemberment; the terms of the insurance coverage must not |
require the contestant to pay a deductible. The promoter |
may not carry an insurance policy with a deductible in an |
amount greater than $500 for the medical, surgical, or |
hospital care for injuries a contestant sustains while |
engaged in a contest, and if a licensed or registered |
contestant pays for the medical, surgical, or hospital |
care, the insurance proceeds must be paid to the contestant |
or his or her beneficiaries as reimbursement for such |
payment;
|
(8) the amount of the purses to be paid to the |
|
professionals for the event; the Department shall adopt |
rules for payment of the purses;
|
(9) organizational or internationally accepted rules, |
per discipline, for professional or amateur full-contact |
martial arts contests where the Department does not provide |
the rules; |
(10) proof of contract indicating the requisite |
registration and sanctioning by a Department approved |
sanctioning body for any full-contact martial arts contest |
with scheduled amateur bouts; and |
(11) any other information that the Department may |
require to determine whether a permit shall be issued. |
(b)
The Department may issue a permit to any promoter who |
meets the requirements of
this Act
and the rules. The permit |
shall only be issued for a specific date and location
of a |
professional or amateur contest, or a combination of both, and
|
shall not be transferable. The
Department may allow a promoter |
to amend a permit
application to hold a professional or amateur |
contest, or a combination of both, in a different
location |
other than the
application specifies and may allow the promoter |
to substitute professionals or amateurs, respectively.
|
(c) The Department shall be responsible for assigning the |
judges,
timekeepers, referees, and physicians, for a |
professional contest. Compensation shall be determined by the |
Department, and it
shall be the responsibility of the promoter |
to pay the
individuals utilized.
|
|
(Source: P.A. 96-663, eff. 8-25-09; 97-119, eff. 7-14-11; |
revised 11-14-13.)
|
Section 440. The Sex Offender Evaluation and Treatment |
Provider Act is amended by changing Sections 20 and 75 as |
follows: |
(225 ILCS 109/20)
|
Sec. 20. Sex Offender Evaluation and Treatment Provider |
Licensing and Disciplinary Board.
|
(a) There is established within the Department the Sex |
Offender Evaluation and Treatment Licensing and Disciplinary |
Board to be appointed by the Secretary. The Board shall be |
composed of 8 persons who shall serve in an advisory capacity |
to the Secretary. The Board shall elect a chairperson and a |
vice chairperson. |
(b) In appointing members of the Board, the Secretary shall |
give due consideration to recommendations by members of the |
profession of sex offender evaluation and treatment. |
(c) Three members of the Board shall be sex offender |
evaluation or treatment providers, or both, who have been in |
active practice for at least 5 years immediately preceding |
their appointment. The appointees shall be licensed under this |
Act. |
(d) One member shall represent the Department of |
Corrections. |
|
(e) One member shall represent the Department of Human |
Services. |
(f) One member shall represent the Administrative Office of |
the Illinois Courts representing the interests of probation |
services. |
(g) One member shall represent the Sex Offender Management |
Board. |
(h) One member shall be representative of the general |
public who has no direct affiliation or work experience with |
the practice of sex offender evaluation and treatment and who |
clearly represents represent consumer interests. |
(i) Board members shall be appointed for a term of 4 years, |
except that any person chosen to fill a vacancy shall be |
appointed only for the unexpired term of the Board member whom |
he or she shall succeed. Upon the expiration of his or her term |
of office, a Board member shall continue to serve until a |
successor is appointed and qualified. No member shall be |
reappointed to the Board for a term that would cause continuous |
service on the Board to be longer than 8 years. |
(j) The membership of the Board shall reasonably reflect |
representation from the various geographic areas of the State. |
(k) A member of the Board shall be immune from suit in any |
action based upon any disciplinary proceedings or other |
activities performed in good faith as a member of the Board. |
(l) The Secretary may remove a member of the Board for any |
cause that, in the opinion of the Secretary, reasonably |
|
justifies termination. |
(m) The Secretary may consider the recommendations of the |
Board on questions of standards of professional conduct, |
discipline, and qualification of candidates or licensees under |
this Act. |
(n) The members of the Board shall be reimbursed for all |
legitimate, necessary, and authorized expenses. |
(o) A majority of the Board members currently appointed |
shall constitute a quorum. A vacancy in the membership of the |
Board shall not impair the right of a quorum to exercise all |
the rights and perform all the duties of the Board.
|
(Source: P.A. 97-1098, eff. 7-1-13; revised 11-14-13.) |
(225 ILCS 109/75)
|
Sec. 75. Refusal, revocation, or suspension.
|
(a) The Department may refuse to issue or renew, or may |
revoke, suspend, place on probation, reprimand, or take other |
disciplinary or nondisciplinary action, as the Department |
considers appropriate, including the imposition of fines not to |
exceed $10,000 for each violation, with regard to any license |
or licensee for any one or more of the following:
|
(1) violations of this Act or of the rules adopted |
under this Act; |
(2) discipline by the Department under other state law |
and rules which the licensee is subject to; |
(3) conviction by plea of guilty or nolo contendere, |
|
finding of guilt, jury verdict, or entry of judgment or by |
sentencing for any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony; or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession; |
(4) professional incompetence; |
(5) advertising in a false, deceptive, or misleading |
manner; |
(6) aiding, abetting, assisting, procuring, advising, |
employing, or contracting with any unlicensed person to |
provide sex offender evaluation or treatment services |
contrary to any rules or provisions of this Act; |
(7) engaging in immoral conduct in the commission of |
any act, such as sexual abuse, sexual misconduct, or sexual |
exploitation, related to the licensee's practice; |
(8) engaging in dishonorable, unethical, or |
unprofessional conduct of a character likely to deceive, |
defraud, or harm the public; |
(9) practicing or offering to practice beyond the scope |
permitted by law or accepting and performing professional |
responsibilities which the licensee knows or has reason to |
know that he or she is not competent to perform; |
(10) knowingly delegating professional |
|
responsibilities to a person unqualified by training, |
experience, or licensure to perform; |
(11) failing to provide information in response to a |
written request made by the Department within 60 days; |
(12) having a habitual or excessive use of or addiction |
to alcohol, narcotics, stimulants, or any other chemical |
agent or drug which results in the inability to practice |
with reasonable judgment, skill, or safety; |
(13) having a pattern of practice or other behavior |
that demonstrates incapacity or incompetence to practice |
under this Act; |
(14) discipline by another state, District of |
Columbia, territory, or foreign nation, if at least one of |
the grounds for the discipline is the same or substantially |
equivalent to those set forth in this Section; |
(15) a finding by the Department that the licensee, |
after having his or her license placed on probationary |
status, has violated the terms of probation; |
(16) willfully making or filing false records or |
reports in his or her practice, including, but not limited |
to, false records filed with State agencies or departments; |
(17) making a material misstatement in furnishing |
information to the Department or otherwise making |
misleading, deceptive, untrue, or fraudulent |
representations in violation of this Act or otherwise in |
the practice of the profession; |
|
(18) 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; |
(19) inability to practice the profession with |
reasonable judgment, skill, or safety as a result of |
physical illness, including, but not limited to, |
deterioration through the aging process, loss of motor |
skill, or a mental illness or disability; |
(20) charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered; or |
(21) practicing under a false or, except as provided by |
law, an assumed name. |
All fines shall be paid within 60 days of the effective |
date of the order imposing the fine.
|
(b) The Department may refuse to issue or may suspend the |
license of any person who fails to file a tax return, to pay |
the tax, penalty, or interest shown in a filed tax return, or |
to pay any final assessment of tax, penalty, or interest, as |
required by any tax Act administered by the Illinois Department |
of Revenue, until such time as the requirements of the 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) (g) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(d) In cases where the Department of Healthcare and Family |
Services 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, 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) (g) of Section 2105-15 of the Civil |
Administrative Code of Illinois. |
(e) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission, as |
provided in the Mental Health and Developmental Disabilities |
Code, operates as an automatic suspension. The suspension will |
end only upon a finding by a court that the patient is no |
longer subject to involuntary admission or judicial admission |
and the issuance of a court order so finding and discharging |
the patient. |
(f) In enforcing this Act, 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 physician 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. The examination |
shall be performed by a physician licensed to practice medicine |
in all its branches. Failure of an individual to submit to a |
mental or physical examination, when directed, shall result in |
an automatic suspension without hearing.
|
A person holding a license under this Act or who has |
applied for a license under this Act who, because of a physical |
or mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling, or treatment by physicians approved or |
designated by the Department as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling, or treatment as |
|
required by the Department shall not be considered discipline |
of a license. If the licensee refuses to enter into a care, |
counseling, or treatment agreement or fails to abide by the |
terms of the agreement, the Department may file a complaint to |
revoke, suspend, or otherwise discipline the license of the |
individual. The Secretary may order the license suspended |
immediately, pending a hearing by the Department. Fines shall |
not be assessed in disciplinary actions involving physical or |
mental illness or impairment. |
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 15 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 subject to action |
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. 97-1098, eff. 7-1-13; revised 11-14-13.) |
Section 445. The Perfusionist Practice Act is amended by |
|
changing Section 105 as follows:
|
(225 ILCS 125/105)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 105. Disciplinary actions.
|
(a) The Department may refuse to issue, renew, or restore a
|
license, or may revoke or suspend a license, or may place on
|
probation, reprimand, or take other disciplinary or |
non-disciplinary
action with regard to a person licensed under |
this Act,
including but not limited to the imposition of fines |
not to
exceed $10,000 for each violation, for one or any |
combination
of the following causes:
|
(1) Making a material misstatement in furnishing
|
information to the Department.
|
(2) Violation of this Act or any rule promulgated under |
this Act.
|
(3) Conviction of, or entry of a plea of guilty or nolo |
contendere to, any crime that is a felony under the laws of |
the United States or any state or territory thereof, or any |
crime
that is a
misdemeanor of which an essential element |
is dishonesty,
or any crime that is directly related to the |
practice as
a perfusionist.
|
(4) Making a misrepresentation for the purpose of
|
obtaining, renewing, or restoring a license.
|
(5) Aiding or assisting another person in
violating a |
provision of this Act or its rules.
|
|
(6) Failing to provide information within 60 days
in |
response to a written request made by the Department.
|
(7) Engaging in dishonorable, unethical, or
|
unprofessional conduct of a character likely to deceive,
|
defraud, or harm the public, as defined by rule of the
|
Department.
|
(8) Discipline by another state, the District of |
Columbia, or territory, or a foreign nation, if at least |
one of the
grounds for discipline is the same or |
substantially
equivalent to those set forth in this |
Section.
|
(9) Directly or indirectly giving to or receiving
from |
a person, firm, corporation, partnership, or
association a |
fee, commission, rebate, or other form of
compensation for |
professional services not actually or
personally rendered. |
Nothing in this paragraph (9) affects any bona fide |
independent contractor or employment arrangements among |
health care professionals, health facilities, health care |
providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
provisions for compensation, health insurance, pension, or |
other employment benefits for the provision of services |
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (9) shall be construed to require |
an employment arrangement to receive professional fees for |
services rendered.
|
|
(10) A finding by the Board that the licensee, after
|
having his or her license placed on probationary status,
|
has violated the terms of probation.
|
(11) Wilfully making or filing false records or
reports |
in his or her practice, including but not limited
to false |
records or reports filed with State agencies or |
departments.
|
(12) Wilfully making or signing a false statement,
|
certificate, or affidavit to induce payment.
|
(13) Wilfully failing to report an instance of
|
suspected child abuse or neglect as required under the
|
Abused and Neglected Child Reporting Act.
|
(14) Being named as a perpetrator in an indicated
|
report by the Department of Children and Family Services
|
under the Abused and Neglected Child Reporting Act and
upon |
proof by clear and convincing evidence that the
licensee |
has caused a child to be an abused child or
neglected child |
as defined in the Abused and Neglected
Child Reporting Act.
|
(15) Employment of fraud, deception, or any
unlawful |
means in applying for or securing a license as a
|
perfusionist.
|
(16) Allowing another person to use his or her
license |
to practice.
|
(17) Failure to report to the Department (A) any
|
adverse final action taken against the licensee by
another |
licensing jurisdiction,
government agency, law enforcement |
|
agency, or
any court or (B) liability for conduct that |
would
constitute grounds for action as set forth in this
|
Section.
|
(18) 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.
|
(19) Inability to practice the
profession for which he |
or she is licensed with
reasonable judgment, skill, or |
safety as a result of habitual or excessive use or |
addiction to alcohol, narcotics, stimulants, or any other |
chemical agent or drug.
|
(20) Gross malpractice.
|
(21) Immoral conduct in the commission of an act |
related to the licensee's
practice, including but not |
limited to sexual abuse, sexual misconduct,
or sexual |
exploitation.
|
(22) Violation of
the Health Care Worker Self-Referral |
Act.
|
(23) Solicitation of business or professional |
services, other than permitted advertising. |
(24) Conviction of or cash compromise of a charge or |
violation of the Illinois Controlled Substances Act. |
(25) Gross, willful, or continued overcharging for |
professional services, including filing false statements |
|
for collection of fees for which services are not rendered. |
(26) Practicing under a false name or, except as |
allowed by law, an assumed name. |
(27) Violating any provision of this Act or the rules |
promulgated under this Act, including, but not limited to, |
advertising. |
(b) A licensee or applicant who, because of a physical or |
mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling or treatment by physicians approved or |
designated by the Department, as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling or treatment as |
required by the Department shall not be considered discipline |
of the licensee. If the licensee refuses to enter into a care, |
counseling or treatment agreement or fails to abide by the |
terms of the agreement the Department may file a complaint to |
suspend or revoke the license or otherwise discipline the |
licensee. The Secretary may order the license suspended |
immediately, pending a hearing by the Department. Fines shall |
not be assessed in the disciplinary actions involving physical |
or mental illness or impairment.
|
(b-5) The Department may refuse to issue or may suspend, |
without a hearing as provided for in the Civil Administrative |
|
Code of Illinois, the license of a person who fails to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(c) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission as |
provided in the Mental Health and Developmental Disabilities |
Code, as amended, operates as an automatic suspension. The |
suspension will end only upon a finding by a court that the |
licensee is no longer subject to the involuntary admission or |
judicial admission and issues an order so finding and |
discharging the licensee; and upon the recommendation of the |
Board to the Secretary that the licensee be allowed to resume |
his or her practice. |
(d) In enforcing this Section, the Department or Board, |
upon a showing of a possible violation, may order a licensee or |
applicant to submit to a mental or physical examination, or |
both, at the expense of the Department. The Department or Board |
may order the examining physician to present testimony |
concerning his or her 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 licensee or applicant may have, at his |
or her own expense, another physician of his or her choice |
present during all aspects of the examination. Failure of a |
licensee or applicant to submit to any such examination when |
directed, without reasonable cause as defined by rule, shall be |
grounds for either the immediate suspension of his or her |
license or immediate denial of his or her application. |
If the Secretary immediately suspends the license of a |
licensee for his or her failure to submit to a mental or |
physical examination when directed, a hearing must be convened |
by the Department within 15 days after the suspension and |
completed without appreciable delay. |
If the Secretary otherwise suspends a license pursuant to |
the results of the licensee's mental or physical examination, a |
hearing must be convened by the Department within 15 days after |
the suspension and completed without appreciable delay. The |
Department and Board shall have the authority to review the |
licensee's record of treatment and counseling regarding the |
relevant impairment or impairments to the extent permitted by |
applicable federal statutes and regulations safeguarding the |
confidentiality of medical records. |
Any licensee suspended or otherwise affected under this |
subsection (d) shall be afforded an opportunity to demonstrate |
|
to the Department or Board that he or she can resume practice |
in compliance with the acceptable and prevailing standards |
under the provisions of his or her license.
|
(Source: P.A. 96-682, eff. 8-25-09; 96-1482, eff. 11-29-10; |
revised 11-14-13.)
|
Section 450. The Registered Surgical Assistant and |
Registered Surgical
Technologist Title Protection Act is |
amended by changing Section 10 as follows:
|
(225 ILCS 130/10)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 10. Definitions. As used in this Act:
|
"Address of record" means the designated address recorded |
by the Department in the applicant's or registrant's |
application file or registration file as maintained by the |
Department's licensure maintenance unit. It is the duty of the |
applicant or registrant 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. |
"Department" means the Department of Financial and |
Professional Regulation.
|
"Direct supervision" means supervision by a licensed |
physician, licensed
podiatric physician, or licensed dentist |
who is
physically present and who personally directs delegated |
acts and remains
available to personally respond to an |
|
emergency until the patient
is released from the operating |
room.
A registered professional nurse may
also
provide direct |
supervision within the scope of his or her license. A
|
registered surgical assistant or registered surgical |
technologist shall perform
duties as assigned.
|
"Physician" means a person licensed to practice
medicine in |
all of
its branches under the Medical Practice Act of 1987.
|
"Registered surgical assistant" means a person who (i) is |
not
licensed to
practice
medicine in all of its branches, (ii) |
is certified by the National Surgical
Assistant
Association as |
a Certified Surgical Assistant, the National Board of Surgical |
Technology and Surgical Assisting as a Certified Surgical First |
Assistant, or
the American Board of Surgical Assistants as a |
Surgical Assistant-Certified, (iii) performs duties under |
direct
supervision, (iv) provides services only in a licensed |
hospital, ambulatory
treatment center, or office of a physician |
licensed to practice medicine in all
its branches, and (v) is |
registered
under this Act.
|
"Registered surgical technologist" means a person who (i) |
is not
a physician licensed to
practice
medicine in all of its |
branches, (ii) is certified by the National Board for Surgical |
Technology and Surgical Assisting,
(iii) performs duties under |
direct supervision, (iv) provides services only in
a licensed |
hospital, ambulatory treatment center, or office of a physician
|
licensed to practice medicine in all its branches, and (v) is |
registered
under this Act.
|
|
"Secretary" means the Secretary of Financial and |
Professional Regulation. |
(Source: P.A. 98-214, eff. 8-9-13; 98-364, eff. 12-31-13; |
revised 9-24-13.)
|
Section 455. The Illinois Architecture Practice Act of 1989 |
is amended by changing Section 22 as follows:
|
(225 ILCS 305/22) (from Ch. 111, par. 1322)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 22. Refusal, suspension and revocation of licenses; |
Causes.
|
(a) The Department may, singularly or in combination, |
refuse to issue,
renew or restore, or may suspend,
revoke, |
place on probation, or take other disciplinary or |
non-disciplinary action as deemed appropriate, including, but |
not limited to, the imposition of fines not to exceed $10,000 |
for each violation, as the Department may deem proper, with |
regard to a license for any one or combination of the following |
causes:
|
(1) material misstatement in furnishing information to |
the Department;
|
(2) negligence, incompetence or misconduct in the |
practice of
architecture;
|
(3) failure to comply with any of the provisions of |
this Act or any of the
rules;
|
|
(4) making any misrepresentation for the purpose of |
obtaining licensure;
|
(5) purposefully making false statements or signing |
false statements,
certificates or affidavits to induce |
payment;
|
(6) conviction of or plea of guilty or nolo contendere |
to any crime that is a felony under the laws of the United |
States or any
state or territory thereof or that is a
|
misdemeanor, an essential element of which is
dishonesty, |
or any crime that is directly
related to the practice of |
the profession of architecture;
|
(7) aiding or assisting another person in violating any |
provision of
this Act or its rules;
|
(8) signing, affixing the architect's seal or |
permitting the
architect's seal to be affixed to any |
technical submission not prepared
by the architect or under |
that architect's responsible control;
|
(9) engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public;
|
(10) habitual or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other chemical agent or drug |
that results in the inability to practice with reasonable |
judgment, skill, or safety;
|
(11) making a statement of compliance pursuant to the |
Environmental
Barriers Act that technical submissions |
|
prepared by the architect or
prepared under the architect's |
responsible control for
construction or alteration of an |
occupancy required to be in compliance with
the |
Environmental Barriers Act are in compliance with the |
Environmental
Barriers Act when such technical submissions |
are not in compliance;
|
(12) a finding by the Board that an applicant or |
registrant
has failed to pay a fine imposed by the |
Department or a
registrant, whose license has been
placed |
on probationary status, has violated the terms of |
probation;
|
(13) discipline by another state, territory, foreign |
country, the
District of Columbia, the United States |
government, or any other
governmental agency, if at least |
one of the grounds for discipline is the
same or |
substantially equivalent to those set forth herein;
|
(14) failure to provide information in response to a |
written request
made by the Department within 30 days after |
the receipt of such written
request;
|
(15) physical illness, including, but not limited to, |
deterioration
through the aging process or loss of motor |
skill, mental illness, or disability which results in the
|
inability to practice the profession with reasonable |
judgment, skill, and safety, including without limitation |
deterioration through the aging process, mental illness, |
or disability.
|
|
(a-5) In enforcing this Section, the Department or Board, |
upon a showing of a possible violation, may order a licensee or |
applicant to submit to a mental or physical examination, or |
both, at the expense of the Department. The Department or Board |
may order the examining physician to present testimony |
concerning his or her 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 licensee or applicant may have, at his |
or her own expense, another physician of his or her choice |
present during all aspects of the examination. Failure of a |
licensee or applicant to submit to any such examination when |
directed, without reasonable cause as defined by rule, shall be |
grounds for either the immediate suspension of his or her |
license or immediate denial of his or her application. |
If the Secretary immediately suspends the license of a |
licensee for his or her failure to submit to a mental or |
physical examination when directed, a hearing must be convened |
by the Department within 15 days after the suspension and |
completed without appreciable delay. |
If the Secretary otherwise suspends a license pursuant to |
the results of the licensee's mental or physical examination, a |
hearing must be convened by the Department within 15 days after |
the suspension and completed without appreciable delay. The |
|
Department and Board shall have the authority to review the |
licensee's record of treatment and counseling regarding the |
relevant impairment or impairments to the extent permitted by |
applicable federal statutes and regulations safeguarding the |
confidentiality of medical records. |
Any licensee suspended under this subsection (a-5) shall be |
afforded an opportunity to demonstrate to the Department or |
Board that he or she can resume practice in compliance with the |
acceptable and prevailing standards under the provisions of his |
or her license.
|
(b) The determination by a circuit court that a licensee is |
subject to
involuntary admission or judicial admission, as |
provided in the Mental
Health and Developmental Disabilities |
Code, operates as an automatic
suspension. Such suspension will |
end only upon a finding by a court that
the patient is no |
longer subject to involuntary admission or judicial
admission, |
the issuance of an order so finding and discharging the |
patient, and
the recommendation of the Board to the Secretary |
that the licensee be
allowed to resume practice.
|
(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 subdivision (a)(5) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois. |
|
(d) In cases where the Department of Healthcare and Family |
Services (formerly the 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, the |
Department shall refuse to issue or renew or shall revoke or |
suspend that person's license or shall 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 subdivision (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois. |
(e) The Department shall deny a license or renewal |
authorized by this Act to a person who has failed to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois.
|
(f) Persons who assist the Department as consultants or |
expert witnesses in
the investigation or prosecution of alleged |
violations of the Act,
licensure matters, restoration |
proceedings, or criminal prosecutions, shall
not be liable for |
damages in any civil action or proceeding as a result of
such |
|
assistance, except upon proof of actual malice. The attorney |
general
shall defend such persons in any such action or |
proceeding.
|
(Source: P.A. 96-610, eff. 8-24-09; revised 11-14-13.)
|
Section 460. The Professional Engineering Practice Act of |
1989 is amended by changing Sections 24 and 46 as follows:
|
(225 ILCS 325/24) (from Ch. 111, par. 5224)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 24. Rules of professional conduct; disciplinary or
|
administrative
action. |
(a) The Department shall adopt rules setting standards of |
professional
conduct and establish appropriate penalties
|
penalty for the breach of such rules.
|
(a-1) The Department may, singularly or in combination,
|
refuse to issue, renew, or restore a license or may revoke,
|
suspend, place on probation,
reprimand,
or take other |
disciplinary or non-disciplinary action with regard to a person |
licensed under this Act, including but not limited to, the |
imposition of a fine
not to exceed $10,000 per violation upon |
any person, corporation,
partnership, or professional design |
firm licensed or registered under
this Act, for any one or |
combination of the following causes:
|
(1) Material misstatement in furnishing information to |
the
Department.
|
|
(2) Violations of this Act or any of its
rules.
|
(3) Conviction of or entry of a plea of guilty or nolo |
contendere to any crime that is a felony under the laws of |
the United States or
any state or territory thereof, or |
that is a
misdemeanor, an essential element of which is |
dishonesty,
or any crime that is directly related to the |
practice of engineering.
|
(4) Making any misrepresentation for the purpose of |
obtaining, renewing, or restoring a license
or violating |
any provision of this Act or the rules promulgated under |
this Act pertaining to advertising.
|
(5) Willfully making or signing a false statement, |
certificate, or affidavit to induce payment.
|
(6) Negligence, incompetence or misconduct in the |
practice of professional
engineering as a licensed |
professional engineer or in working as an engineer
intern.
|
(7) Aiding or assisting another person in violating any |
provision of
this Act or its rules.
|
(8) Failing to provide information in response to a |
written request
made by the Department within 30 days after |
receipt of such written
request.
|
(9) Engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public.
|
(10) 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 mental illness or disability.
|
(11) Discipline by the United States Government, |
another state,
District of Columbia, territory, foreign |
nation or government agency, if
at least one of the grounds |
for the discipline is the same or
substantially equivalent |
to those set forth in this Act.
|
(12) Directly or indirectly giving to or receiving from |
any person,
firm, corporation, partnership or association |
any fee, commission,
rebate or other form of compensation |
for any professional services not
actually or personally |
rendered.
|
(13) A finding by the Department that
an applicant or |
registrant has failed to pay a fine imposed
by the |
Department, a registrant
whose license has been
placed on |
probationary status has violated the terms of probation, or |
a
registrant has practiced on an expired, inactive, |
suspended, or
revoked license.
|
(14) Signing, affixing the professional engineer's |
seal or permitting
the professional engineer's seal to be |
affixed to any technical
submissions not prepared as |
required by Section 14 or completely reviewed by
the |
professional engineer or under the professional engineer's |
direct
supervision.
|
(15) Inability to practice the profession with |
|
reasonable judgment, skill or
safety as a result of |
habitual or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other chemical agent or drug.
|
(16) The making of a statement pursuant to the |
Environmental Barriers
Act that a plan for construction or |
alteration of a public facility or
for construction of a |
multi-story housing unit is in compliance with the
|
Environmental Barriers Act when such plan is not in |
compliance.
|
(17) (Blank).
|
(a-2) The Department shall deny a license or renewal |
authorized by this Act to a person who has failed to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(a-3) 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 subdivision (a)(5) of |
Section 2105-15 15 of the Department of Professional Regulation |
|
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(a-4) In cases where the Department of Healthcare and |
Family Services (formerly the 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, the Department shall refuse to issue or renew or |
shall revoke or suspend that person's license or shall 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 subdivision |
(a)(5) of Section 2105-15 15 of the Department of Professional |
Regulation Law of the Civil Administrative Code of Illinois (20 |
ILCS 2105/2105-15). |
(a-5) In enforcing this Section, the Department or Board, |
upon a showing of a possible violation, may order a licensee or |
applicant to submit to a mental or physical examination, or |
both, at the expense of the Department. The Department or Board |
may order the examining physician to present testimony |
concerning his or her 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 licensee or applicant may have, at his |
|
or her own expense, another physician of his or her choice |
present during all aspects of the examination. Failure of a |
licensee or applicant to submit to any such examination when |
directed, without reasonable cause as defined by rule, shall be |
grounds for either the immediate suspension of his or her |
license or immediate denial of his or her application. |
If the Secretary immediately suspends the license of a |
licensee for his or her failure to submit to a mental or |
physical examination when directed, a hearing must be convened |
by the Department within 15 days after the suspension and |
completed without appreciable delay. |
If the Secretary otherwise suspends a license pursuant to |
the results of the licensee's mental or physical examination, a |
hearing must be convened by the Department within 15 days after |
the suspension and completed without appreciable delay. The |
Department and Board shall have the authority to review the |
licensee's record of treatment and counseling regarding the |
relevant impairment or impairments to the extent permitted by |
applicable federal statutes and regulations safeguarding the |
confidentiality of medical records. |
Any licensee suspended under this subsection (a-5) shall be |
afforded an opportunity to demonstrate to the Department or |
Board that he or she can resume practice in compliance with the |
acceptable and prevailing standards under the provisions of his |
or her license.
|
(b) The determination by a circuit court that a registrant |
|
is subject
to involuntary admission or judicial admission as |
provided in the Mental
Health and Developmental Disabilities |
Code, as now or hereafter amended,
operates as an automatic |
suspension. Such suspension will end only upon
a finding by a |
court that the patient is no longer subject to
involuntary |
admission or judicial admission, the issuance of an order
so |
finding and discharging the patient, and the recommendation of |
the Board to
the Director that the registrant be allowed to |
resume practice.
|
(Source: P.A. 96-626, eff. 8-24-09; revised 11-13-13.)
|
(225 ILCS 325/46) (from Ch. 111, par. 5246)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 46. Home rule. The regulation and licensing of |
professional
engineers is an exclusive power and function of |
the State. Pursuant to
subsection (h) of Section 6 of Article |
VII 7 of the Illinois Constitution, a
home rule unit may not |
regulate or license the occupation of
professional engineer. |
This section is a denial and limitation of home
rule powers and |
functions.
|
(Source: P.A. 86-667; revised 11-12-13.)
|
Section 465. The Illinois Professional Land Surveyor Act of |
1989 is amended by changing Sections 27 and 47 as follows:
|
(225 ILCS 330/27) (from Ch. 111, par. 3277)
|
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 27. Grounds for disciplinary action.
|
(a) The Department may refuse to
issue or renew a license,
|
or may place on probation or administrative supervision, |
suspend, or revoke any license, or may reprimand or take any |
disciplinary or non-disciplinary action as the Department may |
deem proper, including the imposition of fines not to
exceed |
$10,000 per violation, upon any person, corporation, |
partnership, or professional land
surveying firm licensed or |
registered under this Act for any
of the following reasons:
|
(1) material misstatement in furnishing information to |
the Department;
|
(2) violation, including, but not limited to, neglect |
or intentional
disregard, of this Act, or its rules;
|
(3) conviction of, or entry of a plea of guilty or nolo |
contendere to, any crime that is a felony under the laws of |
the United States or any state or territory thereof or that |
is a misdemeanor of which an essential element is |
dishonesty, or any crime that is directly related to the |
practice of the profession;
|
(4) making any misrepresentation for the purpose of |
obtaining a license,
or in applying for restoration or |
renewal, or the practice of any fraud or
deceit in taking |
any examination to qualify for licensure under this Act;
|
(5) purposefully making false statements or signing |
false statements,
certificates, or affidavits to induce |
|
payment;
|
(6) proof of carelessness, incompetence, negligence, |
or misconduct in
practicing land surveying;
|
(7) aiding or assisting another person in violating any |
provision of
this Act or its rules;
|
(8) failing to provide information in response to a |
written request made
by the Department within 30 days after |
receipt of such written request;
|
(9) engaging in dishonorable, unethical, or |
unprofessional conduct of a
character likely to deceive, |
defraud, or harm the public;
|
(10) inability to practice with reasonable judgment, |
skill, or safety as a result of habitual or excessive use |
of, or addiction to, alcohol, narcotics, stimulants or any |
other chemical agent or drug;
|
(11) discipline by the United States government, |
another state, District
of Columbia, territory, foreign |
nation or government agency if at least
one of the grounds |
for the discipline is the same or substantially
equivalent |
to those set forth in this Act;
|
(12) directly or indirectly giving to or receiving from |
any person,
firm, corporation, partnership, or association |
any fee, commission, rebate,
or other form of compensation |
for any professional services not actually or
personally |
rendered;
|
(12.5) issuing a map or plat of survey where the fee |
|
for professional
services is contingent on a real estate |
transaction closing;
|
(13) a finding by the Department that an applicant or |
licensee has failed to
pay
a fine imposed by the Department |
or a licensee whose license has been
placed on probationary |
status has violated the terms of probation;
|
(14) practicing on an expired, inactive, suspended, or |
revoked license;
|
(15) signing, affixing the Professional Land |
Surveyor's seal or
permitting the Professional Land |
Surveyor's seal to be affixed to any map
or plat of survey |
not prepared by the Professional
Land Surveyor or under the |
Professional Land Surveyor's direct supervision and
|
control;
|
(16)
inability to practice the profession with |
reasonable judgment, skill, or
safety as a result of |
physical illness, including, but not limited to, |
deterioration through the aging process or loss of motor |
skill or a mental illness or disability;
|
(17) (blank); or
|
(18) failure to adequately supervise or control land |
surveying
operations being performed by subordinates.
|
(a-5) In enforcing this Section, the Department or Board, |
upon a showing of a possible violation, may compel a person |
licensed to practice under this Act, or who has applied for |
licensure or certification pursuant to 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 the examination. |
Failure of an individual to submit to a mental or physical |
examination when directed shall be grounds for the immediate |
suspension of his or her license until the individual submits |
to the examination if the Department finds that the refusal to |
submit to the examination was without reasonable cause as |
defined by rule. |
If the Secretary immediately suspends the license of a |
licensee for his or her failure to submit to a mental or |
physical examination when directed, a hearing must be convened |
by the Department within 15 days after the suspension and |
completed without appreciable delay. |
If the Secretary otherwise suspends a person's license |
pursuant to the results of a compelled mental or physical |
examination, a hearing on that person's license must be |
convened by the Department within 15 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 |
impairment to the extent permitted by applicable federal |
statutes and regulations safeguarding the confidentiality of |
medical records. |
Any licensee suspended under this subsection (a-5) shall be |
afforded an opportunity to demonstrate to the Department or |
Board that he or she can resume practice in compliance with the |
acceptable and prevailing standards under the provisions of his |
or her license.
|
(b) The determination by a circuit court that a licensee is |
subject to
involuntary admission or judicial admission as |
provided in the Mental
Health and Developmental Disabilities |
Code, as
now or hereafter amended, operates as an automatic |
license suspension. Such
suspension will end only upon a |
finding by a court that the patient is no
longer subject to |
involuntary admission or judicial admission and the
issuance of |
an order so finding and discharging the patient and upon the
|
recommendation of the Board to the Director that the licensee |
be allowed to
resume his or her practice.
|
(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 subdivision (a)(5) of |
|
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(d) In cases where the Department of Healthcare and Family |
Services (formerly the 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, the |
Department shall refuse to issue or renew or shall revoke or |
suspend that person's license or shall 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 subdivision (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15). |
(e) The Department shall refuse to issue or renew or shall |
revoke or suspend a person's license or shall take other |
disciplinary action against that person for his or her failure |
to file a return, to pay the tax, penalty, or interest shown in |
a filed return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois (20 ILCS |
|
2105/2105-15). |
(Source: P.A. 96-626, eff. 8-24-09; revised 11-14-13.)
|
(225 ILCS 330/47) (from Ch. 111, par. 3297)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 47. Home rule. Pursuant to subsection (h) of Section 6 |
of
Article VII 7 of the Illinois Constitution, a home rule unit |
may not regulate
the profession of land surveying in a manner |
more restrictive than the
regulation by the State of the |
profession of land surveying as provided in
this Act. This |
Section is a limitation on the concurrent exercise by home
rule |
units of powers and functions exercised by the State.
|
(Source: P.A. 86-987; revised 11-14-13.)
|
Section 470. The Structural Engineering Practice Act of |
1989 is amended by changing Sections 20 and 37 as follows:
|
(225 ILCS 340/20) (from Ch. 111, par. 6620)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 20. Refusal; revocation; suspension. |
(a) The Department may refuse to issue or renew, or may |
revoke a license, or may suspend, place on probation, fine, or |
take any disciplinary or non-disciplinary action as the |
Department may deem proper, including a fine not to exceed |
$10,000 for each violation, with regard to any licensee for any |
one or combination of the following reasons:
|
|
(1) Material misstatement in furnishing information to |
the Department;
|
(2) Negligence, incompetence or misconduct in the |
practice of
structural engineering;
|
(3) Making any misrepresentation for the purpose of |
obtaining licensure;
|
(4) The affixing of a licensed structural engineer's |
seal to any plans,
specifications or drawings which have |
not been prepared by or under the
immediate personal |
supervision of that licensed structural engineer or
|
reviewed as provided in this Act;
|
(5) Conviction of, or entry of a plea of guilty or nolo |
contendere to, any crime that is a felony under the laws of |
the United States or of any state or territory thereof, or |
that is a misdemeanor an essential element of which is |
dishonesty, or any crime that is directly related to the |
practice of the profession;
|
(6) Making a statement of compliance pursuant to the |
Environmental
Barriers Act, as now or hereafter amended, |
that a plan for construction or
alteration of a public |
facility or for construction of a multi-story
housing unit |
is in compliance with the Environmental Barriers Act when |
such
plan is not in compliance;
|
(7) Failure to comply with any of the provisions of |
this Act or its rules;
|
(8) Aiding or assisting another person in violating any |
|
provision of
this Act or its rules;
|
(9) Engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public, as defined by
rule;
|
(10) Habitual or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other chemical agent or drug |
that results in the inability to practice with reasonable |
judgment, skill, or safety;
|
(11) Failure of an applicant or licensee
to pay
a fine |
imposed by the Department or a licensee whose license has |
been
placed on probationary status has violated the terms |
of probation;
|
(12) Discipline by another state, territory, foreign |
country, the
District of Columbia, the United States |
government, or any other
governmental agency, if at least |
one of the grounds for discipline is the
same or |
substantially equivalent to those set forth in this |
Section;
|
(13) Failure to provide information in response to a |
written request
made by the Department within 30 days after |
the receipt of such written
request; or
|
(14) Physical illness, including but not limited to, |
deterioration through the aging process or loss of motor |
skill, mental illness, or disability which results in the |
inability to practice the
profession of structural |
engineering with reasonable judgment, skill, or
safety.
|
|
(a-5) In enforcing this Section, the Department or Board, |
upon a showing of a possible violation, may order a licensee or |
applicant to submit to a mental or physical examination, or |
both, at the expense of the Department. The Department or Board |
may order the examining physician to present testimony |
concerning his or her 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 licensee or applicant may have, at his |
or her own expense, another physician of his or her choice |
present during all aspects of the examination. Failure of a |
licensee or applicant to submit to any such examination when |
directed, without reasonable cause as defined by rule, shall be |
grounds for either the immediate suspension of his or her |
license or immediate denial of his or her application. |
If the Secretary immediately suspends the license of a |
licensee for his or her failure to submit to a mental or |
physical examination when directed, a hearing must be convened |
by the Department within 15 days after the suspension and |
completed without appreciable delay. |
If the Secretary otherwise suspends a license pursuant to |
the results of the licensee's mental or physical examination, a |
hearing must be convened by the Department within 15 days after |
the suspension and completed without appreciable delay. The |
|
Department and Board shall have the authority to review the |
licensee's record of treatment and counseling regarding the |
relevant impairment or impairments to the extent permitted by |
applicable federal statutes and regulations safeguarding the |
confidentiality of medical records. |
Any licensee suspended under this subsection (a-5) shall be |
afforded an opportunity to demonstrate to the Department or |
Board that he or she can resume practice in compliance with the |
acceptable and prevailing standards under the provisions of his |
or her license.
|
(b) The determination by a circuit court that a licensee is |
subject to
involuntary admission or judicial admission, as |
provided in the Mental
Health and Developmental Disabilities |
Code, operates as an automatic
suspension. Such suspension will |
end only upon a finding by a court that
the patient is no |
longer subject to involuntary admission or judicial
admission, |
the issuance of an order so finding and discharging the |
patient,
and the recommendation of the Board to the Secretary |
that
the licensee be allowed to resume practice.
|
(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 subdivision (a)(5) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois. |
|
(d) In cases where the Department of Healthcare and Family |
Services (formerly the 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, the |
Department shall refuse to issue or renew or shall revoke or |
suspend that person's license or shall 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 subdivision (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois. |
(e) The Department shall deny a license or renewal |
authorized by this Act to a person who has failed to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to 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 |
the tax Act are satisfied in accordance with subsection (g) of |
Section 2105-15 15 of the Department of Professional Regulation |
Law of the Civil Administrative Code of Illinois.
|
(f) Persons who assist the Department as consultants or |
expert witnesses in
the investigation or prosecution of alleged |
violations of the Act,
licensure matters, restoration |
proceedings, or criminal prosecutions, are
not liable for |
damages in any civil action or proceeding as a result of
such |
|
assistance, except upon proof of actual malice. The Attorney |
General
of the State of Illinois shall defend such persons in |
any such action or
proceeding.
|
(Source: P.A. 96-610, eff. 8-24-09; revised 11-12-13.)
|
(225 ILCS 340/37) (from Ch. 111, par. 6637)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 37.
Pursuant to subsection (i) of Section 6 of Article |
VII 7 of the
Illinois Constitution, a home rule unit may not |
regulate the profession of
structural engineering in a manner |
more restrictive than the regulation by
the State of the |
profession of structural engineering as provided in this
Act. |
This Section is a limitation on the concurrent exercise by home |
rule
units of powers and functions exercised by the State.
|
(Source: P.A. 86-711; revised 11-14-13.)
|
Section 475. The Illinois Certified Shorthand Reporters |
Act of 1984 is amended by changing Sections 23 and 23.2a as |
follows:
|
(225 ILCS 415/23) (from Ch. 111, par. 6223)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 23. Grounds for disciplinary action.
|
(a) The Department may refuse to issue or renew, or may |
revoke,
suspend, place on probation, reprimand or take other |
disciplinary
or non-disciplinary action as the Department may |
|
deem appropriate, including imposing fines not to
exceed |
$10,000 for each violation and the assessment of costs as |
provided for in Section 23.3 of this Act, with regard to any |
license for any one
or combination of the following:
|
(1) Material misstatement in furnishing information to |
the Department;
|
(2) Violations of this Act, or of the rules promulgated |
thereunder;
|
(3) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation under |
the laws of any jurisdiction of the United States: (i) that |
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession;
|
(4) Fraud or any misrepresentation in applying for or |
procuring a license under this Act or in connection with |
applying for renewal of a license under this Act;
|
(5) Professional incompetence;
|
(6) Aiding or assisting another person, firm, |
partnership or corporation
in violating any provision of |
this Act or rules;
|
(7) Failing, within 60 days, to provide information in |
response to a
written request made by the Department;
|
|
(8) Engaging in dishonorable, unethical or |
unprofessional conduct of a
character likely to deceive, |
defraud or harm the public;
|
(9) Habitual or excessive use or abuse of drugs defined |
in law as controlled substances, alcohol, or any other |
substances that results in the inability to practice with |
reasonable judgment, skill, or safety;
|
(10) Discipline by another state, unit of government, |
government agency, the District of Columbia, a territory,
|
or foreign nation, if at least one of the grounds for the |
discipline is
the same or substantially equivalent to those |
set forth herein;
|
(11) Charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services were not rendered, or giving, |
directly or indirectly, any gift or anything of value to |
attorneys or their staff or any other persons or entities |
associated with any litigation, that exceeds $100 total per |
year; for the purposes of this Section, pro bono services, |
as defined by State law, are permissible in any amount;
|
(12) A finding by the Board that the certificate |
holder, after having
his certificate placed on |
probationary status, has violated the terms of
probation;
|
(13) Willfully making or filing false records or |
reports in the practice
of shorthand reporting, including |
but not limited to false records filed
with State agencies |
|
or departments;
|
(14) Physical illness, including but not limited to, |
deterioration through
the aging process, or loss of motor |
skill which results in the inability
to practice under this |
Act with reasonable judgment, skill or safety;
|
(15) Solicitation of professional services other than |
by permitted
advertising;
|
(16) Willful failure to take full and accurate |
stenographic notes of
any proceeding;
|
(17) Willful alteration of any stenographic notes |
taken at any proceeding;
|
(18) Willful failure to accurately transcribe verbatim |
any stenographic
notes taken at any proceeding;
|
(19) Willful alteration of a transcript of |
stenographic notes taken at
any proceeding;
|
(20) Affixing one's signature to any transcript of his |
stenographic notes
or certifying to its correctness unless |
the transcript has been prepared
by him or under his |
immediate supervision;
|
(21) Willful failure to systematically retain |
stenographic notes or transcripts on paper or any |
electronic media for 10 years
from the date that the notes |
or transcripts were taken;
|
(22) Failure to deliver transcripts in a timely manner |
or in accordance
with contractual agreements;
|
(23) Establishing contingent fees as a basis of |
|
compensation;
|
(24) Mental illness or disability that results in the |
inability to practice under this Act with reasonable |
judgment, skill, or safety; |
(25) Practicing under a false or assumed name, except |
as provided by law; |
(26) Cheating on or attempting to subvert the licensing |
examination administered under this Act; |
(27) Allowing one's license under this Act to be used |
by an unlicensed person in violation of this Act. |
All fines imposed under this Section shall be paid within |
60 days after the effective date of the order imposing the fine |
or in accordance with the terms set forth in the order imposing |
the fine. |
(b) The determination by a circuit court that a certificate |
holder is
subject to involuntary admission or judicial |
admission as provided in the
Mental Health and Developmental |
Disabilities Code, operates as an automatic
suspension. Such |
suspension will end only upon a
finding by a court that the |
patient is no longer subject to involuntary
admission or |
judicial admission, an order by the court so finding and
|
discharging the patient. In any case where a license is |
suspended under this Section, the licensee may file a petition |
for restoration and shall include evidence acceptable to the |
Department that the licensee can resume practice in compliance |
with acceptable and prevailing standards of the profession.
|
|
(c) In cases where the Department of Healthcare and Family |
Services has previously determined 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, 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) (g) of Section 2105-15 1205-15 of the Civil |
Administrative Code of Illinois. |
(d) In enforcing this Section, the Department, upon a |
showing of a possible violation, may compel any individual who |
is certified under this Act or any individual who has applied |
for certification under this Act to submit to a mental or |
physical examination and evaluation, or both, which may include |
a substance abuse or sexual offender evaluation, at the expense |
of the Department. The Department shall specifically designate |
the examining physician licensed to practice medicine in all of |
its branches or, if applicable, the multidisciplinary team |
involved in providing the mental or physical examination and |
evaluation, or both. The multidisciplinary team shall be led by |
a physician licensed to practice medicine in all of its |
branches and may consist of one or more or a combination of |
physicians licensed to practice medicine in all of its |
branches, licensed chiropractic physicians, licensed clinical |
|
psychologists, licensed clinical social workers, licensed |
clinical professional counselors, and other professional and |
administrative staff. Any examining physician or member of the |
multidisciplinary team may require any person ordered to submit |
to an examination and evaluation pursuant to this Section to |
submit to any additional supplemental testing deemed necessary |
to complete any examination or evaluation process, including, |
but not limited to, blood testing, urinalysis, psychological |
testing, or neuropsychological testing. |
The Department may order the examining physician or any |
member of the multidisciplinary team to provide to the |
Department any and all records, including business records, |
that relate to the examination and evaluation, including any |
supplemental testing performed. The Department may order the |
examining physician or any member of the multidisciplinary team |
to present testimony concerning this examination and |
evaluation of the certified shorthand reporter or applicant, |
including testimony concerning any supplemental testing or |
documents relating to the examination and evaluation. No |
information, report, record, or other documents in any way |
related to the examination and evaluation shall be excluded by |
reason of any common law or statutory privilege relating to |
communication between the licensee or applicant and the |
examining physician or any member of the multidisciplinary |
team. No authorization is necessary from the certified |
shorthand reporter or applicant ordered to undergo an |
|
evaluation and examination for the examining physician or any |
member of the multidisciplinary team to provide information, |
reports, records, or other documents or to provide any |
testimony regarding the examination and evaluation. 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 the examination. |
Failure of any individual to submit to mental or physical |
examination and evaluation, or both, when directed, shall |
result in an automatic suspension, without hearing, until such |
time as the individual submits to the examination. If the |
Department finds a certified shorthand reporter unable to |
practice because of the reasons set forth in this Section, the |
Department shall require the certified shorthand reporter to |
submit to care, counseling, or treatment by physicians approved |
or designated by the Department, as a condition for continued, |
reinstated, or renewed certification. |
When the Secretary immediately suspends a certificate |
under this Section, a hearing upon the person's certificate |
must be convened by the Department within 15 days after the |
suspension and completed without appreciable delay. The |
Department shall have the authority to review the certified |
shorthand reporter'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. |
|
Individuals certified under this Act, affected under this |
Section, shall be afforded an opportunity to demonstrate to the |
Department that they can resume practice in compliance with |
acceptable and prevailing standards under the provisions of |
their certification. |
(e) 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) (g) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(f) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure, the license of any person who fails to file a |
return, to pay the tax, penalty, or interest shown in a filed |
return, or to pay any final assessment of tax, penalty, or |
interest as required by any tax Act administered by the |
Illinois Department of Revenue, until such time as the |
requirements of any such tax Act are satisfied in accordance |
with subsection (g) of Section 2105-15 of the Civil |
Administrative Code of Illinois. |
(Source: P.A. 98-445, eff. 12-31-13; revised 11-14-13.)
|
(225 ILCS 415/23.2a) |
(Section scheduled to be repealed on January 1, 2024) |
|
Sec. 23.2a. Confidentiality. All information collected by |
the Department in the course of an examination or investigation |
of a licensee or applicant, including, but not limited to, any |
complaint against a licensee filed with the Department and |
information collected to investigate any such complaint, shall |
be maintained for the confidential use of the Department and |
shall not be disclosed. The Department may not disclose the |
information to anyone other than law enforcement officials, |
other regulatory agencies that have an appropriate regulatory |
interest as determined by the Secretary, or to a party |
presenting a lawful subpoena to the Department. Information and |
documents disclosed to a federal, State, county, or local law |
enforcement agency shall not be disclosed by the agency for any |
purpose to any other agency or person. A formal complaint filed |
against a licensee by the Department or any order issued by the |
Department against a licensee or applicant shall be a public |
record, except as otherwise prohibited by law.
|
(Source: P.A. 98-445, eff. 12-31-13; revised 11-12-13.) |
Section 480. The Community Association Manager Licensing |
and Disciplinary Act is amended by changing Section 85 as |
follows: |
(225 ILCS 427/85)
|
(Section scheduled to be repealed on January 1, 2020) |
Sec. 85. Grounds for discipline; refusal, revocation, or |
|
suspension. |
(a) The Department may refuse to issue or renew a license, |
or may place on probation, reprimand, suspend, or revoke any |
license, or take any other disciplinary or non-disciplinary |
action as the Department may deem proper and impose a fine not |
to exceed $10,000 for each violation upon any licensee or |
applicant under this Act or any person or entity who holds |
himself, herself, or itself out as an applicant or licensee for |
any one or combination of the following causes: |
(1) Material misstatement in furnishing information to |
the Department. |
(2) Violations of this Act or its rules. |
(3) Conviction of or entry of a plea of guilty or plea |
of nolo contendere to a felony or a misdemeanor under the |
laws of the United States, any state, or any other |
jurisdiction or entry of an administrative sanction by a |
government agency in this State or any other jurisdiction. |
Action taken under this paragraph (3) for a misdemeanor or |
an administrative sanction is limited to a misdemeanor or |
administrative sanction that has as an essential element |
dishonesty or fraud, that involves larceny, embezzlement, |
or obtaining money, property, or credit by false pretenses |
or by means of a confidence game, or that is directly |
related to the practice of the profession. |
(4) Making any misrepresentation for the purpose of |
obtaining a license or violating any provision of this Act |
|
or its rules. |
(5) Professional incompetence. |
(6) Gross negligence. |
(7) Aiding or assisting another person in violating any |
provision of this Act or its rules. |
(8) Failing, within 30 days, to provide information in |
response to a request made by the Department. |
(9) Engaging in dishonorable, unethical, or |
unprofessional conduct of a character likely to deceive, |
defraud or harm the public as defined by the rules of the |
Department, or violating the rules of professional conduct |
adopted by the Department. |
(10) Habitual or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other chemical agent or drug |
that results in the inability to practice with reasonable |
judgment, skill, or safety. |
(11) 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 the discipline is the same or |
substantially 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. |
(12) Directly or indirectly giving to or receiving from |
any person, firm, corporation, partnership or association |
|
any fee, commission, rebate, or other form of compensation |
for any professional services not actually or personally |
rendered. |
(13) A finding by the Department that the licensee, |
after having his, her, or its license placed on |
probationary status, has violated the terms of probation. |
(14) Willfully making or filing false records or |
reports relating to a licensee's practice, including but |
not limited to false records filed with any State or |
federal agencies or departments. |
(15) Being named as a perpetrator in an indicated |
report by the Department of Children and Family Services |
under the Abused and Neglected Child Reporting Act and upon |
proof by clear and convincing evidence that the licensee |
has caused a child to be an abused child or neglected child |
as defined in the Abused and Neglected Child Reporting Act. |
(16) Physical illness or mental illness or impairment, |
including, but not limited to, deterioration through the |
aging process or loss of motor skill that results in the |
inability to practice the profession with reasonable |
judgment, skill, or safety. |
(17) Solicitation of professional services by using |
false or misleading advertising. |
(18) A finding that licensure has been applied for or |
obtained by fraudulent means. |
(19) Practicing or attempting to practice under a name |
|
other than the full name as shown on the license or any |
other legally authorized name. |
(20) Gross overcharging for professional services |
including, but not limited to, (i) collection of fees or |
moneys for services that are not rendered; and (ii) |
charging for services that are not in accordance with the |
contract between the licensee and the community |
association. |
(21) Improper commingling of personal and client funds |
in violation of this Act or any rules promulgated thereto. |
(22) Failing to account for or remit any moneys or |
documents coming into the licensee's possession that |
belong to another person or entity. |
(23) Giving differential treatment to a person that is |
to that person's detriment because of race, color, creed, |
sex, religion, or national origin. |
(24) Performing and charging for services without |
reasonable authorization to do so from the person or entity |
for whom service is being provided. |
(25) Failing to make available to the Department, upon |
request, any books, records, or forms required by this Act. |
(26) Purporting to be a supervising community |
association manager of a firm without active participation |
in the firm. |
(27) Failing to make available to the Department at the |
time of the request any indicia of licensure or |
|
registration issued under this Act. |
(28) Failing to maintain and deposit funds belonging to |
a community association in accordance with subsection (b) |
of Section 55 of this Act. |
(29) Violating the terms of a disciplinary order issued |
by the Department. |
(b) In accordance with subdivision (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15), 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. |
(c) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission, as |
provided in the Mental Health and Developmental Disabilities |
Code, operates as an automatic suspension. The suspension will |
terminate only upon a finding by a court that the patient is no |
longer subject to involuntary admission or judicial admission |
and the issuance of an order so finding and discharging the |
patient, and upon the recommendation of the Board to the |
Secretary that the licensee be allowed to resume his or her |
practice as a licensed community association manager. |
(d) In accordance with subsection (g) of Section 2105-15 15 |
of the Department of Professional Regulation Law of the Civil |
|
Administrative Code of Illinois (20 ILCS 2105/2105-15), the |
Department may refuse to issue or renew or may suspend the |
license of any person who fails to file a return, to pay the |
tax, penalty, or interest shown in a filed return, or to 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.
|
(e) In accordance with subdivision (a)(5) of Section |
2105-15 15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois (20 ILCS |
2105/2105-15) and 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. |
(f) In enforcing this Section, the Department or Board upon |
a showing of a possible violation may compel a licensee or 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 |
or denial of his or her application or renewal 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, |
deny, 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. 97-333, eff. 8-12-11; 98-365, eff. 1-1-14; |
revised 11-14-13.) |
Section 485. The Detection of Deception Examiners Act is |
amended by changing Section 14 as follows:
|
|
(225 ILCS 430/14) (from Ch. 111, par. 2415)
|
(Section scheduled to be repealed on January 1, 2022)
|
Sec. 14.
(a) The Department may refuse to issue or renew or |
may revoke, suspend, place on probation, reprimand, or take |
other disciplinary or non-disciplinary action as the |
Department may deem appropriate, including imposing fines not |
to exceed $10,000 for each violation, with regard to any |
license for any one or a combination of the following:
|
(1) Material misstatement in furnishing information to |
the Department.
|
(2) Violations of this Act, or of the rules adopted |
under this Act.
|
(3) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession.
|
(4) Making any misrepresentation for the purpose of |
obtaining licensure or violating any provision of this Act |
or the rules adopted under this Act pertaining to |
advertising.
|
(5) Professional incompetence.
|
|
(6) Allowing one's license under this Act to be used by |
an unlicensed
person in violation of this Act.
|
(7) Aiding or assisting another person in violating |
this Act or
any rule adopted under this Act.
|
(8) Where the license holder has been adjudged mentally |
ill, mentally
deficient or subject to involuntary |
admission as provided in the Mental
Health and |
Developmental Disabilities Code.
|
(9) Failing, within 60 days, to provide information in |
response to a written request made
by the Department.
|
(10) Engaging in dishonorable, unethical, or |
unprofessional conduct of a character likely to deceive, |
defraud, or harm the public. |
(11) Inability to practice with reasonable judgment, |
skill, or safety as a result of habitual or excessive use |
or addiction to alcohol, narcotics, stimulants, or any |
other chemical agent or drug. |
(12) Discipline by another state, District of |
Columbia, territory, or foreign nation, if at least one of |
the grounds for the discipline is the same or substantially |
equivalent to those set forth in this Section. |
(13) A finding by the Department that the licensee, |
after having his or her license placed on probationary |
status, has violated the terms of probation. |
(14) Willfully making or filing false records or |
reports in his or her practice, including, but not limited |
|
to, false records filed with State agencies or departments. |
(15) 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. |
(16) Charging for professional services not rendered, |
including filing false statements for the collection of |
fees for which services are not rendered. |
(17) Practicing under a false or, except as provided by |
law, an assumed name. |
(18) 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. |
(19) Cheating on or attempting to subvert the licensing |
examination administered under this Act. |
All fines imposed under this Section shall be paid within |
60 days after the effective date of the order imposing the |
fine.
|
(b) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure, the license of any person who fails to file a |
return, or pay the tax, penalty, or interest shown in a filed |
return, or pay any final assessment of the tax, penalty, or |
interest as required by any tax Act administered by the |
Illinois Department of Revenue, until such time as the |
|
requirements of any such 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) (g) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(d) In cases where the Department of Healthcare and Family |
Services has previously determined 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, 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) (g) of Section 2105-15 1205-15 of the Civil |
Administrative Code of Illinois. |
(e) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission, as |
provided in the Mental Health and Developmental Disabilities |
Code, operates as an automatic suspension. The suspension will |
end only upon a finding by a court that the patient is no |
|
longer subject to involuntary admission or judicial admission |
and the issuance of an order so finding and discharging the |
patient. |
(f) In enforcing this Act, the Department, 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 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 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. The examination shall be performed by a physician |
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, |
when directed, shall result in an automatic suspension without |
hearing. |
A person holding a license under this Act or who has |
applied for a license under this Act who, because of a physical |
or mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
|
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling, or treatment by physicians approved or |
designated by the Department as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling, or treatment as |
required by the Department shall not be considered discipline |
of a license. If the licensee refuses to enter into a care, |
counseling, or treatment agreement or fails to abide by the |
terms of the agreement, the Department may file a complaint to |
revoke, suspend, or otherwise discipline the license of the |
individual. The Secretary may order the license suspended |
immediately, pending a hearing by the Department. Fines shall |
not be assessed in disciplinary actions involving physical or |
mental illness or impairment. |
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 15 days after |
the suspension and completed without appreciable delay. The |
Department 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 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. 97-168, eff. 7-22-11; 98-463, eff. 8-16-13; |
revised 11-14-13.)
|
Section 490. The Highway Advertising Control Act of 1971 is |
amended by changing Section 3 and by setting forth, |
renumbering, and changing multiple versions of Section 15 as |
follows:
|
(225 ILCS 440/3) (from Ch. 121, par. 503)
|
Sec. 3.
As used in this Act, unless the context otherwise |
requires, the
terms defined in the Sections following this |
Section and preceding Section 4 3.01 through 3.16 have the |
meanings
ascribed to them in those Sections.
|
(Source: P.A. 92-651, eff. 7-11-02; revised 11-14-13.)
|
(225 ILCS 440/14.1) |
Sec. 14.1 15 . Applicability. The changes made to this Act |
by Public Act 98-56 this amendatory Act of the 98th General |
Assembly shall not be applicable if the application would |
impact the receipt, use, or reimbursement of federal funds by |
the Illinois Department of Transportation other than the |
reimbursement of Bonus Agreement funds. Any permit granted |
pursuant to an inapplicable provision is void.
|
|
(Source: P.A. 98-56, eff. 7-5-13; revised 10-25-13.) |
(225 ILCS 440/15) |
Sec. 15. "An Act relating to the restriction, prohibition, |
regulation, and control of billboards and other outdoor |
advertising devices on certain lands adjacent to National |
System of Interstate and Defense Highways in Illinois", |
approved June 28, 1965, is repealed.
|
(Source: P.A. 77-1815.) |
Section 495. The Home Inspector License Act is amended by |
changing Section 15-10 as follows:
|
(225 ILCS 441/15-10)
|
(Section scheduled to be repealed on January 1, 2022)
|
Sec. 15-10. Grounds for disciplinary action.
|
(a) The Department may refuse to issue or renew, or may |
revoke, suspend, place on probation, reprimand, or take other |
disciplinary or non-disciplinary action as the Department may |
deem appropriate, including imposing fines not to exceed |
$25,000 for each violation, with regard to any license for any |
one or combination of the following:
|
(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) Failing to meet the minimum qualifications for |
|
licensure as a home
inspector established by this Act.
|
(3) Paying money, other than for the fees provided for |
by this Act, or
anything of value to an employee of the |
Department to procure licensure under this Act.
|
(4) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony; (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession; or (iii) that is a crime |
that subjects the licensee to compliance with the |
requirements of the Sex Offender Registration Act.
|
(5) Committing an act or omission involving |
dishonesty, fraud, or
misrepresentation
with the intent to |
substantially benefit the licensee or another person or |
with
the intent to substantially injure another person.
|
(6) Violating a provision or standard for the |
development or
communication of home inspections as |
provided in Section 10-5 of this Act or as
defined in the |
rules.
|
(7) Failing or refusing to exercise reasonable
|
diligence
in the development, reporting, or communication |
of a home inspection report, as
defined
by this Act or the |
|
rules.
|
(8) Violating a provision of this Act or the rules.
|
(9) Having been disciplined by another state, the |
District of Columbia, a
territory, a foreign nation, a |
governmental agency, or any other entity
authorized to |
impose discipline if at least one of the grounds for
that
|
discipline is the same as or substantially equivalent to |
one of the grounds
for which a licensee may be disciplined |
under this Act.
|
(10) Engaging in dishonorable, unethical, or |
unprofessional conduct of a
character likely to deceive, |
defraud, or harm the public.
|
(11) Accepting an inspection assignment when the |
employment itself is
contingent upon the home inspector |
reporting a predetermined analysis or
opinion, or when the |
fee to be paid is contingent upon the analysis, opinion,
or |
conclusion reached or upon the consequences resulting from |
the home
inspection assignment.
|
(12) Developing home inspection opinions or |
conclusions based on the race,
color, religion, sex, |
national origin, ancestry, age, marital status, family
|
status, physical or mental disability, or unfavorable |
military discharge, as
defined under the Illinois Human |
Rights Act, of the prospective or present
owners or |
occupants of the area or property under home inspection.
|
(13) Being adjudicated liable in a civil proceeding on |
|
grounds of
fraud,
misrepresentation, or deceit. In a |
disciplinary proceeding based upon a
finding of civil |
liability, the home inspector shall be
afforded an |
opportunity to present mitigating and extenuating |
circumstances,
but may not collaterally attack the civil |
adjudication.
|
(14) Being adjudicated liable in a civil proceeding for |
violation of
a
State or federal fair housing law.
|
(15) Engaging in misleading or untruthful advertising |
or using a trade
name or insignia of membership in a home |
inspection organization of
which the licensee is not a |
member.
|
(16) Failing, within 30 days, to provide information in |
response to a written request made by the Department.
|
(17) Failing to include within the home inspection |
report the home
inspector's license number and the date of |
expiration of the license. All
home inspectors providing |
significant contribution to the development and
reporting |
of a home inspection must be disclosed in the home |
inspection report.
It is a violation of this Act for a home |
inspector to sign a home inspection
report knowing that a |
person providing a significant contribution to the report
|
has not been disclosed in the home inspection report.
|
(18) Advising a client as to whether the client should |
or should not
engage in a transaction regarding the |
residential real property that is the
subject of the home |
|
inspection.
|
(19) Performing a home inspection in a manner that |
damages or alters the
residential real property that is the |
subject of the home inspection without
the consent of the |
owner.
|
(20) Performing a home inspection when the home |
inspector is providing
or may also provide other services |
in connection with the residential real
property or |
transaction, or has an interest in the residential real |
property,
without providing prior written notice of the |
potential or actual conflict and
obtaining the prior |
consent of the client as provided by rule.
|
(21) Aiding or assisting another person in violating |
any provision of this Act or rules adopted under this Act. |
(22) Inability to practice with reasonable judgment, |
skill, or safety as a result of habitual or excessive use |
or addiction to alcohol, narcotics, stimulants, or any |
other chemical agent or drug. |
(23) A finding by the Department that the licensee, |
after having his or her license placed on probationary |
status, has violated the terms of probation. |
(24) Willfully making or filing false records or |
reports in his or her practice, including, but not limited |
to, false records filed with State agencies or departments. |
(25) Charging for professional services not rendered, |
including filing false statements for the collection of |
|
fees for which services are not rendered. |
(26) Practicing under a false or, except as provided by |
law, an assumed name. |
(27) Cheating on or attempting to subvert the licensing |
examination administered under this Act. |
(b) The Department may suspend, revoke,
or refuse to issue
|
or renew an education provider's license, may reprimand, place |
on probation, or
otherwise discipline
an education provider
|
licensee, and may suspend or revoke the course approval of any |
course offered
by an education provider, for any of the |
following:
|
(1) Procuring or attempting to procure licensure by |
knowingly making a
false statement, submitting false |
information, making any form of fraud or
|
misrepresentation, or refusing to provide complete |
information in response to a
question in an application for |
licensure.
|
(2) Failing to comply with the covenants certified to |
on the application
for licensure as an education provider.
|
(3) Committing an act or omission involving |
dishonesty, fraud, or
misrepresentation
or allowing any |
such act or omission by any employee or contractor under |
the
control of the education provider.
|
(4) Engaging in misleading or untruthful advertising.
|
(5) Failing to retain competent instructors in |
accordance with rules
adopted under this Act.
|
|
(6) Failing to meet the topic or time requirements for |
course approval as
the provider of a pre-license curriculum |
course or a continuing education
course.
|
(7) Failing to administer an approved course using the |
course materials,
syllabus, and examinations submitted as |
the basis of the course approval.
|
(8) Failing to provide an appropriate classroom |
environment for
presentation of courses, with |
consideration for student comfort, acoustics,
lighting, |
seating, workspace, and visual aid material.
|
(9) Failing to maintain student records in compliance |
with the rules
adopted
under this Act.
|
(10) Failing to provide a certificate, transcript, or |
other student
record to the Department or to a student as |
may be required by rule.
|
(11) Failing to fully cooperate with a Department |
investigation by knowingly
making a false statement, |
submitting false or misleading information, or
refusing to |
provide complete information in
response to written |
interrogatories or a written request for
documentation |
within 30 days of the request.
|
(c) In appropriate cases, the Department may resolve a |
complaint against a licensee
through the issuance of a Consent |
to Administrative Supervision order. A
licensee subject to a |
Consent to Administrative Supervision order
shall be |
considered by the Department as an active licensee in good |
|
standing.
This order shall not be reported as or considered by |
the Department to be a discipline of
the licensee.
The records |
regarding an investigation and a Consent to Administrative
|
Supervision order shall be considered confidential and shall |
not be released by
the Department except as
mandated by law. |
The complainant shall be notified that his or her
complaint has |
been resolved by a Consent to Administrative Supervision order.
|
(d) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure, the license of any person who fails to file a tax |
return, to pay the tax, penalty, or interest shown in a filed |
tax return, or to pay any final assessment of tax, penalty, or |
interest, as required by any tax Act administered by the |
Illinois Department of Revenue, until such time as the |
requirements of the tax Act are satisfied in accordance with |
subsection (g) of Section 2105-15 of the Civil Administrative |
Code of Illinois. |
(e) 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) (g) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(f) In cases where the Department of Healthcare and Family |
Services 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, 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) (g) of Section 2105-15 of the Civil |
Administrative Code of Illinois. |
(g) The determination by a circuit court that a licensee is |
subject to involuntary admission or judicial admission, as |
provided in the Mental Health and Developmental Disabilities |
Code, operates as an automatic suspension. The suspension will |
end only upon a finding by a court that the patient is no |
longer subject to involuntary admission or judicial admission |
and the issuance of a court order so finding and discharging |
the patient. |
(h) In enforcing this Act, the Department, 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 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 physician shall be |
specifically designated by the 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. The examination shall be performed by a physician |
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, |
when directed, shall result in an automatic suspension without |
hearing. |
A person holding a license under this Act or who has |
applied for a license under this Act, who, because of a |
physical or mental illness or disability, including, but not |
limited to, deterioration through the aging process or loss of |
motor skill, is unable to practice the profession with |
reasonable judgment, skill, or safety, may be required by the |
Department to submit to care, counseling, or treatment by |
physicians approved or designated by the Department as a |
condition, term, or restriction for continued, reinstated, or |
renewed licensure to practice. Submission to care, counseling, |
or treatment as required by the Department shall not be |
considered discipline of a license. If the licensee refuses to |
enter into a care, counseling, or treatment agreement or fails |
to abide by the terms of the agreement, the Department may file |
a complaint to revoke, suspend, or otherwise discipline the |
license of the individual. The Secretary may order the license |
|
suspended immediately, pending a hearing by the Department. |
Fines shall not be assessed in disciplinary actions involving |
physical or mental illness or impairment. |
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 15 days after |
the suspension and completed without appreciable delay. The |
Department 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 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. 97-226, eff. 7-28-11; 97-877, eff. 8-2-12; |
revised 11-14-13.)
|
Section 500. The Private Detective, Private Alarm, Private |
Security, Fingerprint Vendor, and
Locksmith Act of 2004 is |
amended by changing Section 25-20 as follows:
|
(225 ILCS 447/25-20)
|
(Section scheduled to be repealed on January 1, 2024)
|
|
Sec. 25-20. Training; private security contractor and
|
employees. |
(a) Registered employees of the private security
|
contractor agency who provide traditional guarding or other
|
private security related functions or who respond to alarm
|
systems shall complete, within 30 days of their employment, a
|
minimum of 20 hours of classroom basic training provided by a
|
qualified instructor, which shall include the following
|
subjects:
|
(1) The law regarding arrest and search and seizure
as |
it applies to private security.
|
(2) Civil and criminal liability for acts related
to |
private security.
|
(3) The use of force, including but not limited to
the |
use of nonlethal force (i.e., disabling spray, baton,
|
stungun or similar weapon).
|
(4) Arrest and control techniques.
|
(5) The offenses under the Criminal Code of 2012
that |
are directly related to the protection of persons and
|
property.
|
(6) The law on private security forces and on
reporting |
to law enforcement agencies.
|
(7) Fire prevention, fire equipment, and fire
safety.
|
(8) The procedures for
report writing.
|
(9) Civil rights and public relations.
|
(10) The identification of terrorists, acts of |
|
terrorism, and terrorist organizations, as defined by |
federal and State statutes.
|
(b) All other employees of a private security contractor
|
agency shall complete a minimum of 20 hours of training
|
provided by the qualified instructor within 30 days of their
|
employment. The substance of the training shall be related to
|
the work performed by the registered employee.
|
(c) Registered employees of the private security |
contractor agency who
provide
guarding or other private |
security related functions, in addition to the
classroom |
training
required under subsection (a), within 6 months of |
their employment,
shall complete
an additional 8 hours of |
training on subjects to be determined by the
employer, which
|
training may be site-specific and may be conducted on the job.
|
(d) In addition to the basic training provided for in |
subsections (a) and
(c),
registered employees of the private |
security contractor agency who provide
guarding or other
|
private security related functions
shall complete an
|
additional
8 hours of refresher training on subjects to be |
determined by the
employer
each calendar year commencing with |
the
calendar year
following the employee's first employment |
anniversary date,
which
refresher training may be |
site-specific and may be conducted on the job.
|
(e) It is the responsibility of the employer to certify,
on |
a form provided by the Department, that the employee has
|
successfully completed the basic and refresher training. The
|
|
form shall be a permanent record of training completed by the
|
employee and shall be placed in the employee's file with the
|
employer for the period the employee remains with the
employer. |
An agency may place a notarized copy of the
Department form in |
lieu of the original into the permanent
employee registration |
card file. The original form shall be
given to the employee |
when his or her employment is
terminated. Failure to return the |
original form to the
employee is grounds for disciplinary |
action. The employee
shall not be required to repeat the |
required training once the
employee has been issued the form. |
An employer may provide or
require additional training.
|
(f) Any certification of completion of the 20-hour basic
|
training issued under the Private Detective, Private Alarm,
|
Private Security and Locksmith Act of 1993 or any prior Act
|
shall be accepted as proof of training under this Act.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-253, eff. 8-9-13; |
revised 9-24-13.)
|
Section 505. The Illinois Public Accounting Act is amended |
by changing Sections 2.1 and 28 as follows:
|
(225 ILCS 450/2.1) (from Ch. 111, par. 5503)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 2.1. Illinois Administrative Procedure Act. The |
Illinois Administrative Procedure
Act is hereby expressly |
adopted and incorporated herein as if all of the
provisions of |
|
that Act were included in this Act, except that the provision |
of
subsection (d) of Section 10-65 of the Illinois |
Administrative Procedure Act
that provides that at hearings the |
licensee has the right to show compliance
with all lawful |
requirements for retention, continuation or renewal of the
|
license is specifically excluded. For the purposes of this Act |
the notice
required under Section 10-25 of the Illinois |
Administrative Procedure Act is deemed
sufficient when mailed |
to the licensee's address of record.
|
(Source: P.A. 98-254, eff. 8-9-13; revised 11-14-13.)
|
(225 ILCS 450/28) (from Ch. 111, par. 5534)
|
(Section scheduled to be repealed on January 1, 2024)
|
Sec. 28. Criminal penalties. Each of the following acts |
perpetrated in the State
of Illinois is a Class A misdemeanor : .
|
(a) the practice of accountancy activities as defined |
in paragraph (1) of subsection (a) of Section 8.05 without |
an active CPA license in
violation of the provisions of |
this Act;
|
(b) the obtaining or attempting to obtain licensure as |
a licensed CPA
or registration as a registered CPA by |
fraud;
|
(c) the use of the title "Certified Public Accountant", |
"public accountant", or the abbreviation "C.P.A.", "RCPA", |
"LCPA", "PA" or use of any similar words or letters |
indicating the user is a certified public accountant, or |
|
the title "Registered Certified Public Accountant"; |
(c-5) (blank);
|
(d) the use of the title
"Certified Public Accountant", |
"public accountant", or the
abbreviation "C.P.A.", "RCPA", |
"LCPA", "PA" or any similar words or letters indicating |
that the
members are certified public accountants, by any |
partnership, limited liability company, corporation, or |
other entity in violation of this Act;
|
(e) the unauthorized practice in the performance of |
accountancy activities as defined in Section 8.05 and in |
violation of this Act;
|
(f) (blank);
|
(g) making false statements to the Department
|
regarding
compliance with
continuing professional |
education or peer review requirements;
|
(h) (Blank). |
(Source: P.A. 98-254, eff. 8-9-13; revised 11-12-13.)
|
Section 510. The Real Estate License Act of 2000 is amended |
by changing Sections 5-32 and 20-20 as follows: |
(225 ILCS 454/5-32) |
(Section scheduled to be repealed on January 1, 2020) |
Sec. 5-32. Real estate auction certification. |
(a) An auctioneer licensed under the Auction License Act |
who does not possess a valid and active broker's or managing |
|
broker's license under this Act, or who is not otherwise exempt |
from licensure, may not engage in the practice of auctioning |
real estate, except as provided in this Section. |
(b) The Department shall issue a real estate auction |
certification to applicants who: |
(1) possess a valid auctioneer's license under the |
Auction License Act; |
(2) successfully complete a real estate auction course |
of at least 30 hours approved by the Department, which |
shall cover the scope of activities that may be engaged in |
by a person holding a real estate auction certification and |
the activities for which a person must hold a real estate |
license, as well as other material as provided by the |
Department; |
(3) provide documentation of the completion of the real |
estate auction course; and |
(4) successfully complete any other reasonable |
requirements as provided by rule. |
(c) The auctioneer's role shall be limited to establishing |
the time, place, and method of the real estate auction, placing |
advertisements regarding the auction, and crying or calling the |
auction; any other real estate brokerage activities must be |
performed by a person holding a valid and active real estate |
broker's or managing broker's license under the provisions of |
this Act or by a person who is exempt from holding a license |
under paragraph (13) of Section 5-20 who has a certificate |
|
under this Section. |
(d) An auctioneer who conducts any real estate auction |
activities in violation of this Section is guilty of unlicensed |
practice under Section 20-10 of this Act. |
(e) The Department may revoke, suspend, or otherwise |
discipline the real estate auction certification of an |
auctioneer who is adjudicated to be in violation of the |
provisions of this Section or Section 20-15 of the Auction |
License Act. |
(f) Advertising for the real estate auction must contain |
the name and address of the licensed real estate broker, |
managing broker, or a licensed auctioneer under paragraph (13) |
of Section 5-20 of this Act who is providing brokerage services |
for the transaction. |
(g) The requirement to hold a real estate auction |
certification shall not apply to a person exempt from this Act |
under the provisions of paragraph (13) of Section subsection |
5-20 of this Act, unless that person is performing licensed |
activities in a transaction in which a licensed auctioneer with |
a real estate certification is providing the limited services |
provided for in subsection (c) of this Section. |
(h) Nothing in this Section shall require a person licensed |
under this Act as a real estate broker or managing broker to |
obtain a real estate auction certification in order to auction |
real estate. |
(i) The Department may adopt rules to implement this |
|
Section.
|
(Source: P.A. 98-553, eff. 1-1-14; revised 11-15-13.)
|
(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 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 real estate |
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
salesperson 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 broker
or salesperson.
|
(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, salesperson, 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. |
(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) (g) 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) (g) 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. 97-813, eff. 7-13-12; 97-1002, eff. 8-17-12; |
98-553, eff. 1-1-14; revised 11-14-13.)
|
Section 515. The Hydraulic Fracturing Regulatory Act is |
amended by changing Sections 1-15, 1-35, 1-60, 1-70, 1-75, and |
1-95 as follows: |
(225 ILCS 732/1-15)
|
Sec. 1-15. Powers and duties. |
|
(a) Except as otherwise provided, the Department shall |
enforce this Act and all rules and orders adopted in accordance |
with this Act.
|
(b) Except as otherwise provided, the Department shall have |
jurisdiction and authority over all persons and property |
necessary to enforce the provisions of this Act effectively. In |
aid of this jurisdiction, the Director, or anyone designated in |
writing by the Director, shall have the authority to administer |
oaths and to issue subpoenas for the production of records or |
other documents and for the attendance of witnesses at any |
proceedings of the Department.
|
(c) The Department may authorize any employee of the |
Department, qualified by training and experience, to perform |
the powers and duties set forth in this Act.
|
(d) For the purpose of determining compliance with the |
provisions of this Act and any orders or rules entered or |
adopted under this Act, the Department shall have the right at |
all times to go upon and inspect properties where high volume |
horizontal hydraulic fracturing operations are being or have |
been conducted.
|
(e) The Department shall make any inquiries as it may deem |
proper to determine whether a violation of this Act or any |
orders or rules entered or adopted under this Act exists or is |
imminent. In the exercise of these powers, the Department shall |
have the authority to collect data; to require testing and |
sampling; to make investigation and inspections; to examine |
|
properties, including records and logs; to examine, check, and |
test hydrocarbon wells; to hold hearings; to adopt |
administrative rules; and to take any action as may be |
reasonably necessary to enforce this Act.
|
(f) Except as otherwise provided, the Department may |
specify the manner in which all information required to be |
submitted under this Act is submitted.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-18-13.) |
(225 ILCS 732/1-35)
|
Sec. 1-35. High volume horizontal hydraulic fracturing |
permit application. |
(a) Every applicant for a permit under this Act shall first |
register with the Department at least 30 days before applying |
for a permit. The Department shall make available a |
registration form within 90 days after the effective date of |
this Act. The registration form shall require the following |
information:
|
(1) the name and address of the registrant and any |
parent, subsidiary, or affiliate thereof;
|
(2) disclosure of all findings of a serious violation |
or an equivalent violation under federal or state laws or |
regulations in the development or operation of an oil or |
gas exploration or production site via hydraulic |
fracturing by the applicant or any parent, subsidiary, or |
affiliate thereof within the previous 5 years; and
|
|
(3) proof of insurance to cover injuries, damages, or |
loss related to pollution or diminution in the amount of at |
least $5,000,000, from an insurance carrier authorized, |
licensed, or permitted to do this insurance business in |
this State that holds at least an A- rating by A.M. Best & |
Co. or any comparable rating service.
|
A registrant must notify the Department of any change in |
the information identified in paragraphs (1), (2), or (3) of |
this subsection (a) at least annually or upon request of the |
Department.
|
(b) Every applicant for a permit under this Act must submit |
the following information to the Department on an application |
form provided by the Department:
|
(1) the name and address of the applicant and any |
parent, subsidiary, or affiliate thereof;
|
(2) the proposed well name and address and legal |
description of the well site and its unit area;
|
(3) a statement whether the proposed location of the |
well site is in compliance with the requirements of Section |
1-25 of this Act and a plat, which shows the proposed |
surface location of the well site, providing the distance |
in feet, from the surface location of the well site to the |
features described in subsection (a) of Section 1-25 of |
this Act;
|
(4) a detailed description of the proposed well to be |
used for the high volume horizontal hydraulic fracturing |
|
operations including, but not limited to, the following |
information:
|
(A) the approximate total depth to which the well |
is to be drilled or deepened;
|
(B) the proposed angle and direction of the well;
|
(C) the actual depth or the approximate depth at |
which the well to be drilled deviates from vertical;
|
(D) the angle and direction of any nonvertical |
portion of the wellbore until the well reaches its |
total target depth or its actual final depth; and
|
(E) the estimated length and direction of the |
proposed horizontal lateral or wellbore;
|
(5) the estimated depth and elevation, according to the |
most recent publication of the Illinois State Geological |
Survey of Groundwater for the location of the well, of the |
lowest potential fresh water along the entire length of the |
proposed wellbore;
|
(6) a detailed description of the proposed high volume |
horizontal hydraulic fracturing operations, including, but |
not limited to, the following:
|
(A) the formation affected by the high volume |
horizontal hydraulic fracturing operations, including, |
but not limited to, geologic name and geologic |
description of the formation that will be stimulated by |
the operation;
|
(B) the anticipated surface treating pressure |
|
range;
|
(C) the maximum anticipated injection treating |
pressure;
|
(D) the estimated or calculated fracture pressure |
of the producing and confining zones; and
|
(E) the planned depth of all proposed perforations |
or depth to the top of the open hole section;
|
(7) a plat showing all known previous wellbores well |
bores within 750 feet of any part of the horizontal |
wellbore well bore that penetrated within 400 vertical feet |
of the formation that will be stimulated as part of the |
high volume horizontal hydraulic fracturing operations;
|
(8) unless the applicant documents why the information |
is not available at the time the application is submitted, |
a chemical disclosure report identifying each chemical and |
proppant anticipated to be used in hydraulic fracturing |
fluid for each stage of the hydraulic fracturing operations |
including the following:
|
(A) the total volume of water anticipated to be |
used in the hydraulic fracturing treatment of the well |
or the type and total volume of the base fluid |
anticipated to be used in the hydraulic fracturing |
treatment, if something other than water;
|
(B) each hydraulic fracturing additive anticipated |
to be used in the hydraulic fracturing fluid, including |
the trade name, vendor, a brief descriptor of the |
|
intended use or function of each hydraulic fracturing |
additive, and the Material Safety Data Sheet (MSDS), if |
applicable;
|
(C) each chemical anticipated to be intentionally |
added to the base fluid, including for each chemical, |
the Chemical Abstracts Service number, if applicable; |
and
|
(D) the anticipated concentration in the base |
fluid, in percent by mass, of each chemical to be |
intentionally added to the base fluid;
|
(9) a certification of compliance with the Water Use |
Act of 1983 and applicable regional water supply plans;
|
(10) a fresh water withdrawal and management plan that |
shall include the following information:
|
(A) the source of the water, such as surface or |
groundwater, anticipated to be used for water |
withdrawals, and the anticipated withdrawal location;
|
(B) the anticipated volume and rate of each water |
withdrawal from each withdrawal location; |
(C) the anticipated months when water withdrawals |
shall be made from each withdrawal location;
|
(D) the methods to be used to minimize water |
withdrawals as much as feasible; and
|
(E) the methods to be used for surface water |
withdrawals to minimize adverse impact to aquatic |
life. |
|
Where a surface water source is wholly contained within |
a single property, and the owner of the property expressly |
agrees in writing to its use for water withdrawals, the |
applicant is not required to include this surface water |
source in the fresh water withdrawal and management plan ; .
|
(11) a plan for the handling, storage, transportation, |
and disposal or reuse of hydraulic fracturing fluids and |
hydraulic fracturing flowback. The plan shall identify the |
specific Class II injection well or wells that will be used |
to dispose of the hydraulic fracturing flowback. The plan |
shall describe the capacity of the tanks to be used for the |
capture and storage of flowback and of the lined reserve |
pit to be used, if necessary, to temporarily store any |
flowback in excess of the capacity of the tanks. |
Identification of the Class II injection well or wells |
shall be by name, identification number, and specific |
location and shall include the date of the most recent |
mechanical integrity test for each Class II injection well;
|
(12) a well site safety plan to address proper safety |
measures to be employed during high volume horizontal |
hydraulic fracturing operations for the protection of |
persons on the site as well as the general public. Within |
15 calendar days after submitting the permit application to |
the Department, the applicant must provide a copy of the |
plan to the county or counties in which hydraulic |
fracturing operations will occur. Within 5 calendar days of |
|
its receipt, the Department shall provide a copy of the |
well site safety plan to the Office of the State Fire |
Marshal;
|
(13) a containment plan describing the containment |
practices and equipment to be used and the area of the well |
site where containment systems will be employed, and within |
5 calendar days of its receipt, the Department shall |
provide a copy of the containment plan to the Office of the |
State Fire Marshal;
|
(14) a casing and cementing plan that describes the |
casing and cementing practices to be employed, including |
the size of each string of pipe, the starting point, and |
depth to which each string is to be set and the extent to |
which each string is to be cemented;
|
(15) a traffic management plan that identifies the |
anticipated roads, streets, and highways that will be used |
for access to and egress from the well site. The traffic |
management plan will include a point of contact to discuss |
issues related to traffic management. Within 15 calendar |
days after submitting the permit application to the |
Department, the applicant must provide a copy of the |
traffic management plan to the county or counties in which |
the well site is located, and within 5 calendar days of its |
receipt, the Department shall provide a copy of the traffic |
management plan to the Office of the State Fire Marshal;
|
(16) the names and addresses of all owners of any real |
|
property within 1,500 feet of the proposed well site, as |
disclosed by the records in the office of the recorder of |
the county or counties;
|
(17) drafts of the specific public notice and general |
public notice as required by Section 1-40 of this Act;
|
(18) a statement that the well site at which the high |
volume horizontal hydraulic fracturing operation will be |
conducted will be restored in compliance with Section |
240.1181 of Title 62 of the Illinois Administrative Code |
and Section 1-95 of this Act;
|
(19) proof of insurance to cover injuries, damages, or |
loss related to pollution in the amount of at least |
$5,000,000; and
|
(20) any other relevant information which the |
Department may, by rule, require.
|
(c) Where an application is made to conduct high volume |
horizontal fracturing operations at a well site located within |
the limits of any city, village, or incorporated town, the |
application shall state the name of the city, village, or |
incorporated town and be accompanied with a certified copy of |
the official consent for the hydraulic fracturing operations to |
occur from the municipal authorities where the well site is |
proposed to be located. No permit shall be issued unless |
consent is secured and filed with the permit application. In |
the event that an amended location is selected, the original |
permit shall not be valid unless a new certified consent is |
|
filed for the amended location.
|
(d) The hydraulic fracturing permit application shall be |
accompanied by a bond as required by subsection (a) of Section |
1-65 of this Act.
|
(e) Each application for a permit under this Act shall |
include payment of a non-refundable fee of $13,500. Of this |
fee, $11,000 shall be deposited into the Mines and Minerals |
Regulatory Fund for the Department to use to administer and |
enforce this Act and otherwise support the operations and |
programs of the Office of Mines and Minerals. The remaining |
$2,500 shall be deposited into the Illinois Clean Water Fund |
for the Agency to use to carry out its functions under this |
Act. The Department shall not initiate its review of the permit |
application until the applicable fee under this subsection (e) |
has been submitted to and received by the Department.
|
(f) Each application submitted under this Act shall be |
signed, under the penalty of perjury, by the applicant or the |
applicant's designee who has been vested with the authority to |
act on behalf of the applicant and has direct knowledge of the |
information contained in the application and its attachments. |
Any person signing an application shall also sign an affidavit |
with the following certification:
|
"I certify, under penalty of perjury as provided by law |
and under penalty of refusal, suspension, or revocation of |
a high volume horizontal hydraulic fracturing permit, that |
this application and all attachments are true, accurate, |
|
and complete to the best of my knowledge.".
|
(g) The permit application shall be submitted to the |
Department in both electronic and hard copy format. The |
electronic format shall be searchable.
|
(h) The application for a high volume horizontal hydraulic |
fracturing permit may be submitted as a combined permit |
application with the operator's application to drill on a form |
as the Department shall prescribe. The combined application |
must include the information required in this Section. If the |
operator elects to submit a combined permit application, |
information required by this Section that is duplicative of |
information required for an application to drill is only |
required to be provided once as part of the combined |
application. The submission of a combined permit application |
under this subsection shall not be interpreted to relieve the |
applicant or the Department from complying with the |
requirements of this Act or the Illinois Oil and Gas Act.
|
(i) Upon receipt of a permit application, the Department |
shall have no more than 60 calendar days from the date it |
receives the permit application to approve, with any conditions |
the Department may find necessary, or reject the application |
for the high volume horizontal hydraulic fracturing permit. The |
applicant may waive, in writing, the 60-day deadline upon its |
own initiative or in response to a request by the Department.
|
(j) If at any time during the review period the Department |
determines that the permit application is not complete under |
|
this Act, does not meet the requirements of this Section, or |
requires additional information, the Department shall notify |
the applicant in writing of the application's deficiencies and |
allow the applicant to correct the deficiencies and provide the |
Department any information requested to complete the |
application. If the applicant fails to provide adequate |
supplemental information within the review period, the |
Department may reject the application.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-12-13.) |
(225 ILCS 732/1-60)
|
Sec. 1-60. High volume horizontal hydraulic fracturing |
permit; denial, suspension, or revocation. |
(a) The Department may suspend, revoke, or refuse to issue |
a high volume horizontal hydraulic fracturing permit under this |
Act for one or more of the following causes:
|
(1) providing incorrect, misleading, incomplete, or |
materially untrue information in a permit application or |
any document required to be filed with the Department;
|
(2) violating any condition of the permit;
|
(3) violating any provision of or any regulation |
adopted under this Act or the Illinois Oil and Gas Act;
|
(4) using fraudulent, coercive, or dishonest |
practices, or demonstrating incompetence, |
untrustworthiness, or financial irresponsibility in the |
conduct of business in this State or elsewhere;
|
|
(5) having a high volume horizontal hydraulic |
fracturing permit, or its equivalent, revoked in any other |
state, province, district, or territory for incurring a |
material or major violation or using fraudulent or |
dishonest practices; or
|
(6) an emergency condition exists under which conduct |
of the high volume horizontal hydraulic fracturing |
operations would pose a significant hazard to public |
health, aquatic life, wildlife, or the environment.
|
(b) In every case in which a permit is suspended or |
revoked, the Department shall serve notice of its action, |
including a statement of the reasons for the action, either |
personally or by certified mail, receipt return requested, to |
the permittee.
|
(c) The order of suspension or revocation of a permit shall |
take effect upon issuance of the order. The permittee may |
request, in writing, within 30 days after the date of receiving |
the notice, a hearing. Except as provided under subsection (d) |
of this Section, in the event a hearing is requested, the order |
shall remain in effect until a final order is entered pursuant |
to the hearing.
|
(d) The order of suspension or revocation of a permit may |
be stayed if requested by the permittee and evidence is |
submitted demonstrating that there is no significant threat to |
the public health, aquatic life, wildlife, or the environment |
if the operation is allowed to continue.
|
|
(e) The hearing shall be held at a time and place |
designated by the Department. The Director of the Department or |
any administrative law judge designated by him or her has have |
the power to administer oaths and affirmations, subpoena |
witnesses and compel their attendance, take evidence, and |
require the production of books, papers, correspondence, and |
other records or information that he or she considers relevant |
or material.
|
(f) The costs of the administrative hearing shall be set by |
rule and shall be borne by the permittee.
|
(g) The Department's decision to suspend or revoke a high |
volume horizontal hydraulic fracturing permit is subject to |
judicial review under the Administrative Review Law.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-12-13.) |
(225 ILCS 732/1-70)
|
Sec. 1-70. Well preparation, construction, and drilling. |
(a) This Section shall apply to all horizontal wells that |
are to be completed using high volume horizontal hydraulic |
fracturing operations under a high volume horizontal hydraulic |
fracturing permit. The requirements of this Section shall be in |
addition to any other laws or rules regarding wells and well |
sites.
|
(b) Site preparation standards shall be as follows: |
(1) The access road to the well site must be located in |
accordance with access rights identified in the Illinois |
|
Oil and Gas Act and located as far as practical from |
occupied structures, places of assembly, and property |
lines of unleased property. |
(2) Unless otherwise approved or directed by the |
Department, all topsoil stripped to facilitate the |
construction of the well pad and access roads must be |
stockpiled, stabilized, and remain on site for use in |
either partial or final reclamation. In the event it is |
anticipated that the final reclamation shall take place in |
excess of one year from drilling the well the topsoil may |
be disposed of in any lawful manner provided the operator |
reclaims the site with topsoil of similar characteristics |
of the topsoil removed. |
(3) Piping, conveyances, valves, and tanks in contact |
with hydraulic fracturing fluid, hydraulic fracturing |
flowback, or produced water must be constructed of |
materials compatible with the composition of the hydraulic |
fracturing fluid, hydraulic fracturing flowback, and |
produced water.
|
(4) The improvement, construction, or repair of a |
publicly owned highway or roadway, if undertaken by the |
owner, operator, permittee, or any other private entity, |
shall be performed using bidding procedures outlined in the |
Illinois Department of Transportation rules governing |
local roads and streets or applicable bidding requirements |
outlined in the Illinois Procurement Code as though the |
|
project were publicly funded. |
(c) Site maintenance standards shall be as follows: |
(1) Secondary containment is required for all fueling |
tanks. |
(2) Fueling tanks shall be subject to Section 1-25 of |
this Act. |
(3) Fueling tank filling operations shall be |
supervised at the fueling truck and at the tank if the tank |
is not visible to the fueling operator from the truck. |
(4) Troughs, drip pads, or drip pans are required |
beneath the fill port of a fueling tank during filling |
operations if the fill port is not within the secondary |
containment required by paragraph (1) of this subsection. |
(d) All wells shall be constructed, and casing and |
cementing activities shall be conducted, in a manner that shall |
provide for control of the well at all times, prevent the |
migration of oil, gas, and other fluids into the fresh water |
and coal seams, and prevent pollution or diminution of fresh |
water. In addition to any of the Department's casing and |
cementing requirements, the following shall apply: |
(1) All casings must conform to the current industry |
standards published by the American Petroleum Institute. |
(2) Casing thread compound and its use must conform to |
the current industry standards published by the American |
Petroleum Institute. |
(3) Surface casing shall be centralized at the shoe, |
|
above and below a stage collar or diverting tool, if run, |
and through usable-quality water zones. In non-deviated |
holes, pipe centralization as follows is required: a |
centralizer shall be placed every fourth joint from the |
cement shoe to the ground surface or to the bottom of the |
cellar. All centralizers shall meet specifications in, or |
equivalent to, API Spec spec 10D, Specification for |
Bow-Spring Casing Centralizers; API Spec 10 TR4, Technical |
Report on Considerations Regarding Selection of |
Centralizers for Primary Cementing Operations; and API RP |
10D-2, Recommended Practice for Centralizer Placement and |
Stop Collar Testing. The Department may require additional |
centralization as necessary to ensure the integrity of the |
well design is adequate. All centralizers must conform to |
the current industry standards published by the American |
Petroleum Institute. |
(4) Cement must conform to current industry standards |
published by the American Petroleum Institute and the |
cement slurry must be prepared to minimize its free water |
content in accordance with the current industry standards |
published by the American Petroleum Institute; the cement |
must also: |
(A) secure the casing in the wellbore; |
(B) isolate and protect fresh groundwater; |
(C) isolate abnormally pressured zones, lost |
circulation zones, and any potential flow zones |
|
including hydrocarbon and fluid-bearing zones; |
(D) properly control formation pressure and any |
pressure from drilling, completion and production; |
(E) protect the casing from corrosion and |
degradation; and |
(F) prevent gas flow in the annulus. |
(5) Prior to cementing any casing string, the borehole |
must be circulated and conditioned to ensure an adequate |
cement bond. |
(6) A pre-flush or spacer must be pumped ahead of the |
cement. |
(7) The cement must be pumped at a rate and in a flow |
regime that inhibits channeling of the cement in the |
annulus. |
(8) Cement compressive strength tests must be |
performed on all surface, intermediate, and production |
casing strings; after the cement is placed behind the |
casing, the operator shall wait on cement to set until the |
cement achieves a calculated compressive strength of at |
least 500 pounds per square inch, and a minimum of 8 hours |
before the casing is disturbed in any way, including |
installation of a blowout preventer. The cement shall have |
a 72-hour compressive strength of at least 1,200 psi, and |
the free water separation shall be no more than 6 |
milliliters per 250 milliliters of cement, tested in |
accordance with current American Petroleum petroleum |
|
Institute standards. |
(9) A copy of the cement job log for any cemented |
casing string in the well shall be maintained in the well |
file and available to the Department upon request. |
(10) Surface casing shall be used and set to a depth of |
at least 200 feet, or 100 feet below the base of the |
deepest fresh water, whichever is deeper, but no more than |
200 feet below the base of the deepest fresh water and |
prior to encountering any hydrocarbon-bearing zones. The |
surface casing must be run and cemented as soon as |
practicable after the hole has been adequately circulated |
and conditioned. |
(11) The Department must be notified at least 24 hours |
prior to surface casing cementing operations. Surface |
casing must be fully cemented to the surface with excess |
cements. Cementing must be by the pump and plug method with |
a minimum of 25% excess cement with appropriate lost |
circulation material, unless another amount of excess |
cement is approved by the Department. If cement returns are |
not observed at the surface, the operator must perform |
remedial actions as appropriate. |
(12) Intermediate casing must be installed when |
necessary to isolate fresh water not isolated by surface |
casing and to seal off potential flow zones, anomalous |
pressure zones, lost circulation zones and other drilling |
hazards. |
|
Intermediate casing must be set to protect fresh water |
if surface casing was set above the base of the deepest |
fresh water, if additional fresh water was found below the |
surface casing shoe, or both. Intermediate casing used to |
isolate fresh water must not be used as the production |
string in the well in which it is installed, and may not be |
perforated for purposes of conducting a hydraulic fracture |
treatment through it. |
When intermediate casing is installed to protect fresh |
water, the operator shall set a full string of new |
intermediate casing at least 100 feet below the base of the |
deepest fresh water and bring cement to the surface. In |
instances where intermediate casing was set solely to |
protect fresh water encountered below the surface casing |
shoe, and cementing to the surface is technically |
infeasible, would result in lost circulation, or both, |
cement must be brought to a minimum of 600 feet above the |
shallowest fresh water zone encountered below the surface |
casing shoe or to the surface if the fresh water zone is |
less than 600 feet from the surface. The location and |
depths of any hydrocarbon-bearing zones or fresh water |
zones that are open to the wellbore above the casing shoe |
must be confirmed by coring, electric logs, or testing and |
must be reported to the Department. |
In the case that intermediate casing was set for a |
reason other than to protect strata that contains fresh |
|
water, the intermediate casing string shall be cemented |
from the shoe to a point at least 600 true vertical feet |
above the shoe. If there is a hydrocarbon-bearing |
hydrocarbon bearing zone capable of producing exposed |
above the intermediate casing shoe, the casing shall be |
cemented from the shoe to a point at least 600 true |
vertical feet above the shallowest hydrocarbon-bearing |
hydrocarbon bearing zone or to a point at least 200 feet |
above the shoe of the next shallower casing string that was |
set and cemented in the well (or to the surface if less |
than 200 feet). |
(13) The Department must be notified prior to |
intermediate casing cementing operations. Cementing must |
be by the pump and plug method with a minimum of 25% excess |
cement. A radial cement bond evaluation log, or other |
evaluation approved by the Department, must be run to |
verify the cement bond on the intermediate casing. Remedial |
cementing is required if the cement bond is not adequate |
for drilling ahead. |
(14) Production casing must be run and fully cemented |
to 500 feet above the top perforated zone, if possible. The |
Department must be notified at least 24 hours prior to |
production casing cementing operations. Cementing must be |
by the pump and plug method with a minimum of 25% excess |
cement. |
(15) At any time, the Department, as it deems |
|
necessary, may require installation of an additional |
cemented casing string or strings in the well. |
(16) After the setting and cementing of a casing |
string, except the conductor casing, and prior to further |
drilling, the casing string shall be tested with fresh |
water, mud, or brine to no less than 0.22 psi per foot of |
casing string length or 1,500 psi, whichever is greater but |
not to exceed 70% of the minimum internal yield, for at |
least 30 minutes with less than a 5% pressure loss, except |
that any casing string that will have pressure exerted on |
it during stimulation of the well shall be tested to at |
least the maximum anticipated treatment pressure. If the |
pressure declines more than 5% or if there are other |
indications of a leak, corrective action shall be taken |
before conducting further drilling and high volume |
horizontal hydraulic fracturing operations. The operator |
shall contact the Department's District Office for any |
county in which the well is located at least 24 hours prior |
to conducting a pressure test to enable an inspector to be |
present when the test is done. A record of the pressure |
test must be maintained by the operator and must be |
submitted to the Department on a form prescribed by the |
Department prior to conducting high volume horizontal |
hydraulic fracturing operations. The actual pressure must |
not exceed the test pressure at any time during high volume |
horizontal hydraulic fracturing operations. |
|
(17) Any hydraulic fracturing string used in the high |
volume horizontal hydraulic fracturing operations must be |
either strung into a production liner or run with a packer |
set at least 100 feet below the deepest cement top and must |
be tested to not less than the maximum anticipated treating |
pressure minus the annulus pressure applied between the |
fracturing string and the production or immediate casing. |
The pressure test shall be considered successful if the |
pressure applied has been held for 30 minutes with no more |
than 5% pressure loss. A function-tested relief valve and |
diversion line must be installed and used to divert flow |
from the hydraulic fracturing string-casing annulus to a |
covered watertight steel tank in case of hydraulic |
fracturing string failure. The relief valve must be set to |
limit the annular pressure to no more than 95% of the |
working pressure rating of the casings forming the annulus. |
The annulus between the hydraulic fracturing string and |
casing must be pressurized to at least 250 psi and |
monitored. |
(18) After a successful pressure test under paragraph |
(16) of this subsection, a formation pressure integrity |
test must be conducted below the surface casing and below |
all intermediate casing. The operator shall notify the |
Department's District Office for any county in which the |
well is located at least 24 hours prior to conducting a |
formation pressure integrity test to enable an inspector to |
|
be present when the test is done. A record of the pressure |
test must be maintained by the operator and must be |
submitted to the Department on a form prescribed by the |
Department prior to conducting high volume horizontal |
hydraulic fracturing operations. The actual hydraulic |
fracturing treatment pressure must not exceed the test |
pressure at any time during high volume horizontal |
hydraulic fracturing operations.
|
(e) Blowout prevention standards shall be set as follows: |
(1) The operator shall use blowout prevention |
equipment after setting casing with a competent casing |
seat. Blowout prevention equipment shall be in good |
working condition at all times. |
(2) The operator shall use pipe fittings, valves, |
and unions placed on or connected to the blow out |
blow-out prevention systems that have a working |
pressure capability that exceeds the anticipated |
pressures. |
(3) During all drilling and completion operations |
when a blowout preventer is installed, tested, or in |
use, the operator or operator's designated |
representative shall be present at the well site and |
that person or personnel shall have a current well |
control certification from an accredited training |
program that is acceptable to the Department. The |
certification shall be available at the well site and |
|
provided to the Department upon request. |
(4) Appropriate pressure control procedures and |
equipment in proper working order must be properly |
installed and employed while conducting drilling and |
completion operations including tripping, logging, |
running casing into the well, and drilling out |
solid-core stage plugs. |
(5) Pressure testing of the blowout preventer and |
related equipment for any drilling or completion |
operation must be performed. Testing must be conducted |
in accordance with current industry standards |
published by the American Petroleum Institute. Testing |
of the blowout preventer shall include testing after |
the blowout preventer is installed on the well but |
prior to drilling below the last cemented casing seat. |
Pressure control equipment, including the blowout |
preventer, that fails any pressure test shall not be |
used until it is repaired and passes the pressure test. |
(6) A remote blowout preventer actuator, that is |
powered by a source other than rig hydraulics, shall be |
located at least 50 feet from the wellhead and have an |
appropriate rated working pressure.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-14-13.) |
(225 ILCS 732/1-75)
|
Sec. 1-75. High volume horizontal hydraulic fracturing |
|
operations. |
(a) General. |
(1) During all phases of high volume horizontal |
hydraulic fracturing operations, the permittee shall |
comply with all terms of the permit. |
(2) All phases of high volume horizontal hydraulic |
fracturing operations shall be conducted in a manner that |
shall not pose a significant risk to public health, life, |
property, aquatic life, or wildlife. |
(3) The permittee shall notify the Department by phone, |
electronic communication, or letter, at least 48 hours |
prior to the commencement of high volume horizontal |
hydraulic fracturing operations. |
(b) Integrity tests and monitoring. |
(1) Before the commencement of high volume horizontal |
hydraulic fracturing operations, all mechanical integrity |
tests required under subsection (d) of Section 1-70 and |
this subsection must be successfully completed. |
(2) Prior to commencing high volume horizontal |
hydraulic fracturing operations and pumping of hydraulic |
fracturing fluid, the injection lines and manifold, |
associated valves, fracture head or tree and any other |
wellhead component or connection not previously tested |
must be tested with fresh water, mud, or brine to at least |
the maximum anticipated treatment pressure for at least 30 |
minutes with less than a 5% pressure loss. A record of the |
|
pressure test must be maintained by the operator and made |
available to the Department upon request. The actual high |
volume horizontal hydraulic fracturing treatment pressure |
must not exceed the test pressure at any time during high |
volume horizontal hydraulic fracturing operations. |
(3) The pressure exerted on treating equipment |
including valves, lines, manifolds, hydraulic fracturing |
head or tree, casing and hydraulic fracturing string, if |
used, must not exceed 95% of the working pressure rating of |
the weakest component. The high volume horizontal |
hydraulic fracturing treatment pressure must not exceed |
the test pressure of any given component at any time during |
high volume horizontal hydraulic fracturing operations. |
(4) During high volume horizontal hydraulic fracturing |
operations, all annulus pressures, the injection pressure, |
and the rate of injection shall be continuously monitored |
and recorded. The records of the monitoring shall be |
maintained by the operator and shall be provided to the |
Department upon request at any time during the period up to |
and including 5 years after the well is permanently plugged |
or abandoned. |
(5) High volume horizontal hydraulic fracturing |
operations must be immediately suspended if any anomalous |
pressure or flow condition or any other anticipated |
pressure or flow condition is occurring in a way that |
indicates the mechanical integrity of the well has been |
|
compromised and continued operations pose a risk to the |
environment. Remedial action shall be undertaken |
immediately prior to recommencing high volume horizontal |
hydraulic fracturing operations. The permittee shall |
notify the Department within 1 hour of suspending |
operations for any matters relating to the mechanical |
integrity of the well or risk to the environment. |
(c) Fluid and waste management. |
(1) For the purposes of storage at the well site and |
except as provided in paragraph (2) of this subsection, |
hydraulic fracturing additives, hydraulic fracturing |
fluid, hydraulic fracturing flowback, and produced water |
shall be stored in above-ground tanks during all phases of |
drilling, high volume horizontal hydraulic fracturing, and |
production operations until removed for proper disposal. |
For the purposes of centralized storage off site for |
potential reuse prior to disposal, hydraulic fracturing |
additives, hydraulic fracturing fluid, hydraulic |
fracturing flowback, and produced water shall be stored in |
above-ground tanks. |
(2) In accordance with the plan required by paragraph |
(11) of subsection (b) of Section 1-35 of this Act and as |
approved by the Department, the use of a reserve pit is |
allowed for the temporary storage of hydraulic fracturing |
flowback. The reserve pit shall be used only in the event |
of a lack of capacity for tank storage due to higher than |
|
expected volume or rate of hydraulic fracturing flowback, |
or other unanticipated flowback occurrence. Any reserve |
pit must comply with the following construction standards |
and liner specifications: |
(A) the synthetic liner material shall have a |
minimum thickness of 24 mils with high puncture and |
tear strength and be impervious and resistant to |
deterioration; |
(B) the pit lining system shall be designed to have |
a capacity at least equivalent to 110% of the maximum |
volume of hydraulic fracturing flowback anticipated to |
be recovered; |
(C) the lined pit shall be constructed, installed, |
and maintained in accordance with the manufacturers' |
specifications and good engineering practices to |
prevent overflow during any use; |
(D) the liner shall have sufficient elongation to |
cover the bottom and interior sides of the pit with the |
edges secured with at least a 12 inch deep anchor |
trench around the pit perimeter to prevent any slippage |
or destruction of the liner materials; and |
(E) the foundation for the liner shall be free of |
rock and constructed with soil having a minimum |
thickness of 12 inches after compaction covering the |
entire bottom and interior sides of the pit. |
(3) Fresh water may be stored in tanks or pits at the |
|
election of the operator. |
(4) Tanks required under this subsection must be |
above-ground tanks that are closed, watertight, and will |
resist corrosion. The permittee shall routinely inspect |
the tanks for corrosion. |
(5) Hydraulic fracturing fluids and hydraulic |
fracturing flowback must be removed from the well site |
within 60 days after completion of high volume horizontal |
fracturing operations, except that any excess hydraulic |
fracturing flowback captured for temporary storage in a |
reserve pit as provided in paragraph (2) of this subsection |
must be removed from the well site within 7 days. |
(6) Tanks, piping, and conveyances, including valves, |
must be constructed of suitable materials, be of sufficient |
pressure rating, be able to resist corrosion, and be |
maintained in a leak-free condition. Fluid transfer |
operations from tanks to tanker trucks must be supervised |
at the truck and at the tank if the tank is not visible to |
the truck operator from the truck. During transfer |
operations, all interconnecting piping must be supervised |
if not visible to transfer personnel at the truck and tank. |
(7) Hydraulic fracturing flowback must be tested for |
volatile organic chemicals, semi-volatile organic |
chemicals, inorganic chemicals, heavy metals, and |
naturally occurring radioactive material prior to removal |
from the site. Testing shall occur once per well site and |
|
the analytical results shall be filed with the Department |
and the Agency, and provided to the liquid oilfield waste |
transportation and disposal operators. Prior to plugging |
and site restoration, the ground adjacent to the storage |
tanks and any hydraulic fracturing flowback reserve pit |
must be measured for radioactivity. |
(8) Hydraulic fracturing flowback may only be disposed |
of by injection into a Class II injection well that is |
below interface between fresh water and naturally |
occurring Class IV groundwater. Produced water may be |
disposed of by injection in a permitted enhanced oil |
recovery operation. Hydraulic fracturing flowback and |
produced water may be treated and recycled for use in |
hydraulic fracturing fluid for high volume horizontal |
hydraulic fracturing operations. |
(9) Discharge of hydraulic fracturing fluids, |
hydraulic fracturing flowback, and produced water into any |
surface water or water drainage way is prohibited. |
(10) Transport of all hydraulic fracturing fluids, |
hydraulic fracturing flowback, and produced water by |
vehicle for disposal must be undertaken by a liquid |
oilfield waste hauler permitted by the Department under |
Section 8c of the Illinois Oil and Gas Act. The liquid |
oilfield waste hauler transporting hydraulic fracturing |
fluids, hydraulic fracturing flowback, or produced water |
under this Act shall comply with all laws, rules, and |
|
regulations concerning liquid oilfield waste. |
(11) Drill cuttings, drilling fluids, and drilling |
wastes not containing oil-based mud or polymer-based mud |
may be stored in tanks or pits. Pits used to store |
cuttings, fluids, and drilling wastes from wells not using |
fresh water mud shall be subject to the construction |
standards identified in paragraph (2) of this subsection |
(c) Section . Drill cuttings not contaminated with |
oil-based mud or polymer-based mud may be disposed of |
onsite subject to the approval of the Department. Drill |
cuttings contaminated with oil-based mud or polymer-based |
mud shall not be disposed of onsite on site . Annular |
disposal of drill cuttings or fluid is prohibited. |
(12) Any release of hydraulic fracturing fluid, |
hydraulic fracturing additive, or hydraulic fracturing |
flowback, used or generated during or after high volume |
horizontal hydraulic fracturing operations shall be |
immediately cleaned up and remediated pursuant to |
Department requirements. Any release of hydraulic |
fracturing fluid or hydraulic fracturing flowback in |
excess of 1 barrel, shall be reported to the Department. |
Any release of a hydraulic fracturing additive shall be |
reported to the Department in accordance with the |
appropriate reportable quantity thresholds established |
under the federal Emergency Planning and Community |
Right-to-Know Act as published in the Code of Federal |
|
Regulations (CFR), 40 CFR Parts 355, 370, and 372, the |
federal Comprehensive Environmental Response, |
Compensation, and Liability Act as published in 40 CFR Part |
302, and subsection (r) of Section 112 of the federal |
Federal Clean Air Act as published in 40 CFR Part 68. Any |
release of produced water in excess of 5 barrels shall be |
cleaned up, remediated, and reported pursuant to |
Department requirements. |
(13) Secondary containment for tanks required under |
this subsection and additive staging areas is required. |
Secondary containment measures may include, as deemed |
appropriate by the Department, one or a combination of the |
following: dikes, liners, pads, impoundments, curbs, |
sumps, or other structures or equipment capable of |
containing the substance. Any secondary containment must |
be sufficient to contain 110% of the total capacity of the |
single largest container or tank within a common |
containment area. No more than one hour before initiating |
any stage of the high volume horizontal hydraulic |
fracturing operations, all secondary containment must be |
visually inspected to ensure all structures and equipment |
are in place and in proper working order. The results of |
this inspection must be recorded and documented by the |
operator, and available to the Department upon request. |
(14) A report on the transportation and disposal of the |
hydraulic fracturing fluids and hydraulic fracturing |
|
flowback shall be prepared and included in the well file. |
The report must include the amount of fluids transported, |
identification of the company that transported the fluids, |
the destination of the fluids, and the method of disposal. |
(15) Operators operating wells permitted under this |
Act must submit an annual report to the Department |
detailing the management of any produced water associated |
with the permitted well. The report shall be due to the |
Department no later than April 30th of each year and shall |
provide information on the operator's management of any |
produced water for the prior calendar year. The report |
shall contain information relative to the amount of |
produced water the well permitted under this Act produced, |
the method by which the produced water was disposed, and |
the destination where the produced water was disposed in |
addition to any other information the Department |
determines is necessary by rule. |
(d) Hydraulic fracturing fluid shall be confined to the |
targeted formation designated in the permit. If the hydraulic |
fracturing fluid or hydraulic fracturing flowback are |
migrating into the freshwater zone or to the surface from the |
well in question or from other wells, the permittee shall |
immediately notify the Department and shut in the well until |
remedial action that prevents the fluid migration is completed. |
The permittee shall obtain the approval of the Department prior |
to resuming operations. |
|
(e) Emissions controls. |
(1) This subsection applies to all horizontal wells |
that are completed with high volume horizontal hydraulic |
fracturing. |
(2) Except as otherwise provided in paragraph (8) of |
this subsection (e), permittees shall be responsible for |
managing gas and hydrocarbon fluids produced during the |
flowback period by routing recovered hydrocarbon fluids to |
one or more storage vessels or re-injecting into the well |
or another well, and routing recovered natural gas into a |
flow line or collection system, re-injecting the gas into |
the well or another well, using the gas as an on-site fuel |
source, or using the gas for another useful purpose that a |
purchased fuel or raw material would serve, with no direct |
release to the atmosphere. |
(3) If it is technically infeasible or economically |
unreasonable to minimize emissions associated with the |
venting of hydrocarbon fluids and natural gas during the |
flowback period using the methods specified in paragraph |
(2) of this subsection (e), the permittee shall capture and |
direct the emissions to a completion combustion device, |
except in conditions that may result in a fire hazard or |
explosion, or where high heat emissions from a completion |
combustion device may negatively impact waterways. |
Completion combustion devices must be equipped with a |
reliable continuous ignition source over the duration of |
|
the flowback period. |
(4) Except as otherwise provided in paragraph (8) of |
this subsection (e), permittees shall be responsible for |
minimizing the emissions associated with venting of |
hydrocarbon fluids and natural gas during the production |
phase by: |
(A) routing the recovered fluids into storage |
vessels and (i) routing the recovered gas into a gas |
gathering line, collection system, or to a generator |
for onsite energy generation, providing that gas to the |
surface owner of the well site for use for heat or |
energy generation, or (ii) using another method other |
than venting or flaring; and |
(B) employing sand traps, surge vessels, |
separators, and tanks as soon as practicable during |
cleanout operations to safely maximize resource |
recovery and minimize releases to the environment. |
(5) If the permittee establishes that it is technically |
infeasible or economically unreasonable to minimize |
emissions associated with the venting of hydrocarbon |
fluids and natural gas during production using the methods |
specified in paragraph (4) of this subsection (e), the |
Department shall require the permittee to capture and |
direct any natural gas produced during the production phase |
to a flare. Any flare used pursuant to this paragraph shall |
be equipped with a reliable continuous ignition source over |
|
the duration of production. In order to establish technical |
infeasibility or economic unreasonableness under this |
paragraph (5), the permittee must demonstrate, for each |
well site on an annual basis, that taking the actions |
listed in paragraph (4) of this subsection (e) are not cost |
effective based on a site-specific analysis. Permittees |
that use a flare during the production phase for operations |
other than emergency conditions shall file an updated |
site-specific analysis annually with the Department. The |
analysis shall be due one year from the date of the |
previous submission and shall detail whether any changes |
have occurred that alter the technical infeasibility or |
economic unreasonableness of the permittee to reduce their |
emissions in accordance with paragraph (4) of this |
subsection (e). |
(6) Uncontrolled emissions exceeding 6 tons per year |
from storage tanks shall be recovered and routed to a flare |
that is designed in accordance with 40 CFR 60.18 and is |
certified by the manufacturer of the device. The permittee |
shall maintain and operate the flare in accordance with |
manufacturer specifications. Any flare used under this |
paragraph must be equipped with a reliable continuous |
ignition source over the duration of production. |
(7) The Department may approve an exemption that waives |
the flaring requirements of paragraphs (5) and (6) of this |
subsection (e) only if the permittee demonstrates that the |
|
use of the flare will pose a significant risk of injury or |
property damage and that alternative methods of collection |
will not threaten harm to the environment. In determining |
whether to approve a waiver, the Department shall consider |
the quantity of casinghead gas produced, the topographical |
and climatological features at the well site, and the |
proximity of agricultural structures, crops, inhabited |
structures, public buildings, and public roads and |
railways. |
(8) For each wildcat well, delineation well, or low |
pressure well, permittees shall be responsible for |
minimizing the emissions associated with venting of |
hydrocarbon fluids and natural gas during the flowback |
period and production phase by capturing and directing the |
emissions to a completion combustion device during the |
flowback period and to a flare during the production phase, |
except in conditions that may result in a fire hazard or |
explosion, or where high heat emissions from a completion |
combustion device or flare may negatively impact |
waterways. Completion combustion devices and flares shall |
be equipped with a reliable continuous ignition source over |
the duration of the flowback period and the production |
phase, as applicable. |
(9) On or after July 1, 2015, all flares used under |
paragraphs (5) and (8) of this subsection (e) shall (i) |
operate with a combustion efficiency of at least 98% and in |
|
accordance with 40 CFR 60.18; and (ii) be certified by the |
manufacturer of the device. The permittee shall maintain |
and operate the flare in accordance with manufacturer |
specifications.
|
(10) Permittees shall employ practices for control of
|
fugitive dust related to their operations. These practices |
shall include, but are not limited to, the use of speed |
restrictions, regular road maintenance, and restriction of |
construction activity during high-wind days. Additional |
management practices such as road surfacing, wind breaks |
and barriers, or automation of wells to reduce truck |
traffic may also be required by the Department if |
technologically feasible and economically reasonable to |
minimize fugitive dust emissions. |
(11) Permittees shall record and report to the |
Department on an annual basis the amount of gas flared or |
vented from each high volume horizontal hydraulic |
fracturing well. Three years after the effective date of |
the first high volume high-volume horizontal hydraulic |
fracturing well permit issued by the Department, and every |
3 years thereafter, the Department shall prepare a report |
that analyzes the amount of gas that has been flared or |
vented and make recommendations to the General Assembly on |
whether steps should be taken to reduce the amount of gas |
that is being flared or vented in this State. |
(f) High volume horizontal hydraulic fracturing operations |
|
completion report. Within 60 calendar days after the conclusion |
of high volume horizontal hydraulic fracturing operations, the |
operator shall file a high volume horizontal hydraulic |
fracturing operations completion report with the Department. A |
copy of each completion report submitted to the Department |
shall be provided by the Department to the Illinois State |
Geological Survey. The completion reports required by this |
Section shall be considered public information and shall be |
made available on the Department's website. The high volume |
horizontal hydraulic fracturing operations completion report |
shall contain the following information: |
(1) the permittee name as listed in the permit |
application; |
(2) the dates of the high volume horizontal hydraulic |
fracturing operations; |
(3) the county where the well is located; |
(4) the well name and Department reference number; |
(5) the total water volume used in the high volume |
horizontal hydraulic fracturing operations of the well, |
and the type and total volume of the base fluid used if |
something other than water; |
(6) each source from which the water used in the high |
volume horizontal hydraulic fracturing operations was |
drawn, and the specific location of each source, including, |
but not limited to, the name of the county and latitude and |
longitude coordinates; |
|
(7) the quantity of hydraulic fracturing flowback |
recovered from the well; |
(8) a description of how hydraulic fracturing flowback |
recovered from the well was disposed and, if applicable, |
reused; |
(9) a chemical disclosure report identifying each |
chemical and proppant used in hydraulic fracturing fluid |
for each stage of the hydraulic fracturing operations |
including the following: |
(A) the total volume of water used in the hydraulic |
fracturing treatment of the well or the type and total |
volume of the base fluid used in the hydraulic |
fracturing treatment, if something other than water; |
(B) each hydraulic fracturing additive used in the |
hydraulic fracturing fluid, including the trade name, |
vendor, a brief descriptor of the intended use or |
function of each hydraulic fracturing additive, and |
the Material Safety Data Sheet (MSDS), if applicable; |
(C) each chemical intentionally added to the base |
fluid, including for each chemical, the Chemical |
Abstracts Service number, if applicable; and |
(D) the actual concentration in the base fluid, in |
percent by mass, of each chemical intentionally added |
to the base fluid;
|
(10) all pressures recorded during the high volume |
horizontal hydraulic fracturing operations; and |
|
(11) any other reasonable or pertinent information |
related to the conduct of the high volume horizontal |
hydraulic fracturing operations the Department may request |
or require by administrative rule.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-12-13.) |
(225 ILCS 732/1-95)
|
Sec. 1-95. Plugging; restoration. |
(a) The permittee shall perform and complete plugging of |
the well and restoration of the well site in accordance with |
the Illinois Oil and Gas Act and any and all rules adopted |
thereunder. The permittee shall bear all costs related to |
plugging of the well and reclamation of the well site. If the |
permittee fails to plug the well in accordance with this |
Section, the owner of the well shall be responsible for |
complying with this Section. |
(b) Prior to conducting high volume horizontal hydraulic |
fracturing operations at a well site, the permittee shall cause |
to be plugged all previously unplugged wellbores well bores |
within 750 feet of any part of the horizontal wellbore well |
bore that penetrated within 400 vertical feet of the formation |
that will be stimulated as part of the high volume horizontal |
hydraulic fracturing operations. |
(c) For well sites where high volume horizontal hydraulic |
fracturing operations were permitted to occur, the operator |
shall restore any lands used by the operator other than the |
|
well site and production facility to a condition as closely |
approximating the pre-drilling conditions that existed before |
the land was disturbed for any stage of site preparation |
activities, drilling, and high volume horizontal hydraulic |
fracturing operations. Restoration shall be commenced within 6 |
months of completion of the well site and completed within 12 |
months. Restoration shall include, but is not limited to, |
repair of tile lines, repair of fences and barriers, mitigation |
of soil compaction and rutting, application of fertilizer or |
lime to restore the fertility of disturbed soil, and repair of |
soil conservation practices such as terraces and grassed |
waterways. |
(d) Unless contractually agreed to the contrary by the |
permittee and surface owner, the permittee shall restore the |
well site and production facility in accordance with the |
applicable restoration requirements in subsection (c) of this |
Section and shall remove all equipment and materials involved |
in site preparation, drilling, and high volume horizontal |
hydraulic fracturing operations, including tank batteries, |
rock and concrete pads, oilfield oil field debris, injection |
and flow lines at or above the surface, electric power lines |
and poles extending on or above the surface, tanks, fluids, |
pipes at or above the surface, secondary containment measures, |
rock or concrete bases, drilling equipment and supplies, and |
any and all other equipment, facilities, or materials used |
during any stage of site preparation work, drilling, or |
|
hydraulic fracturing operations at the well site. Work on the |
removal of equipment and materials at the well site shall begin |
within 6 months after plugging the final well on the well site |
and be completed no later than 12 months after the last |
producing well on the well site has been plugged. Roads |
installed as part of the oil and gas operation may be left in |
place if provided in the lease or pursuant to agreement with |
the surface owner, as applicable.
|
(Source: P.A. 98-22, eff. 6-17-13; revised 11-12-13.) |
Section 520. The Riverboat Gambling Act is amended by |
changing Section 8 as follows:
|
(230 ILCS 10/8) (from Ch. 120, par. 2408)
|
Sec. 8. Suppliers licenses.
|
(a) The Board may issue a suppliers license to such |
persons, firms or
corporations which apply therefor upon the |
payment of a non-refundable
application fee set by the Board, |
upon a determination by the Board that
the applicant is |
eligible for a suppliers license and upon payment of a
$5,000 |
annual license
fee.
|
(b) The holder of a suppliers license is authorized to sell |
or lease,
and to contract to sell or lease, gambling equipment |
and supplies to any
licensee involved in the ownership or |
management of gambling operations.
|
(c) Gambling supplies and equipment may not be distributed
|
|
unless supplies and equipment conform to standards adopted by
|
rules of the Board.
|
(d) A person, firm or corporation is ineligible to receive |
a suppliers
license if:
|
(1) the person has been convicted of a felony under the |
laws of this
State, any other state, or the United States;
|
(2) the person has been convicted of any violation of |
Article 28 of the
Criminal Code of 1961 or the Criminal |
Code of 2012, or substantially similar laws of any other |
jurisdiction;
|
(3) the person has submitted an application for a |
license under this
Act which contains false information;
|
(4) the person is a member of the Board;
|
(5) the firm or corporation is one in which a person |
defined in (1),
(2), (3) or (4), is an officer, director or |
managerial employee;
|
(6) the firm or corporation employs a person who |
participates in the
management or operation of riverboat |
gambling authorized under this Act;
|
(7) the license of the person, firm or corporation |
issued under
this Act, or a license to own or operate |
gambling facilities
in any other jurisdiction, has been |
revoked.
|
(e) Any person that supplies any equipment, devices, or |
supplies to a
licensed riverboat gambling operation must first |
obtain a suppliers
license. A supplier shall furnish to the |
|
Board a list of all equipment,
devices and supplies offered for |
sale or lease in connection with gambling
games authorized |
under this Act. A supplier shall keep books and records
for the |
furnishing of equipment, devices and supplies to gambling
|
operations separate and distinct from any other business that |
the supplier
might operate. A supplier shall file a quarterly |
return with the Board
listing all sales and leases. A supplier |
shall permanently affix its name or a distinctive logo or other |
mark or design element identifying the manufacturer or supplier
|
to all its equipment, devices, and supplies, except gaming |
chips without a value impressed, engraved, or imprinted on it, |
for gambling operations.
The Board may waive this requirement |
for any specific product or products if it determines that the |
requirement is not necessary to protect the integrity of the |
game. Items purchased from a licensed supplier may continue to |
be used even though the supplier subsequently changes its name, |
distinctive logo, or other mark or design element; undergoes a |
change in ownership; or ceases to be licensed as a supplier for |
any reason. Any supplier's equipment, devices or supplies which |
are used by any person
in an unauthorized gambling operation |
shall be forfeited to the State. A
licensed owner may own its |
own equipment, devices and supplies. Each
holder of an owners |
license under the Act shall file an annual report
listing its |
inventories of gambling equipment, devices and supplies.
|
(f) Any person who knowingly makes a false statement on an |
application
is guilty of a Class A misdemeanor.
|
|
(g) Any gambling equipment, devices and supplies provided |
by any
licensed supplier may either be repaired on the |
riverboat or removed from
the riverboat to an on-shore facility |
owned by the holder of an owners
license for repair.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-12, eff. 5-10-13; |
revised 6-10-13.)
|
Section 525. The Raffles Act is amended by changing Section |
8.1 as follows: |
(230 ILCS 15/8.1) (from Ch. 85, par. 2308.1)
|
Sec. 8.1. (a) Political Committees. |
(a) For the purposes of this Section
the terms defined in |
this subsection have the meanings given them.
|
"Net Proceeds" means the gross receipts from the conduct of |
raffles, less
reasonable sums expended for prizes, license fees |
and other reasonable
operating expenses incurred as a result of |
operating a raffle.
|
"Raffle" means a form of lottery, as defined in Section |
28-2 (b) of the
Criminal Code of 2012, conducted by a political |
committee licensed under
this Section, in which:
|
(1) the player pays or agrees to pay something of value |
for a chance,
represented and differentiated by a number or |
by a combination of numbers
or by some other medium, one or |
more of which chances is to be designated
the winning |
chance;
|
|
(2) the winning chance is to be determined through a |
drawing or by some
other method based on an element of |
chance by an act or set of acts on the
part of persons |
conducting or connected with the lottery, except that the
|
winning chance shall not be determined by the outcome of a |
publicly exhibited
sporting contest.
|
"Unresolved claim" means a claim for civil penalty under |
Sections
9-3, 9-10, and 9-23
of The Election Code which has |
been begun by the State Board of Elections,
has been disputed |
by the political committee under the applicable rules of
the |
State Board of Elections, and has not been finally decided |
either by
the State Board of Elections, or, where application |
for review has been
made to the Courts of Illinois, remains |
finally undecided by the Courts.
|
"Owes" means that a political committee has been finally |
determined under
applicable rules of the State Board of |
Elections to be liable for a civil
penalty under Sections
9-3, |
9-10, and 9-23 of The Election
Code.
|
(b) Licenses issued pursuant to this Section shall be valid |
for one
raffle or for a specified number of raffles to be |
conducted during a
specified period not to exceed one year and |
may be suspended or revoked for
any violation of this Section. |
The State Board of Elections shall act on a
license application |
within 30 days from the date of application.
|
(c) Licenses issued by the State Board of Elections are
|
subject to the following restrictions:
|
|
(1) No political committee shall conduct raffles or |
chances without
having first obtained a license therefor |
pursuant to this Section.
|
(2) The application for license shall be prepared in |
accordance with
regulations of the State Board of Elections
|
and must specify the area or
areas within the State in |
which raffle chances will be sold or issued, the
time |
period during which raffle chances will be sold or issued, |
the time of
determination of winning chances and the |
location or locations at which
winning chances will be |
determined.
|
(3) A license authorizes the licensee to conduct |
raffles as defined in
this Section.
|
The following are ineligible for any license under this |
Section:
|
(i) any political committee which has an officer |
who has been
convicted of a felony;
|
(ii) any political committee which has an officer |
who is or has been a
professional gambler or gambling |
promoter;
|
(iii) any political committee which has an officer |
who is not of good
moral character;
|
(iv) any political committee which has an officer |
who is also an officer
of a firm or corporation in |
which a person defined in (i), (ii) or (iii)
has a |
proprietary, equitable or credit interest, or in which |
|
such a person
is active or employed;
|
(v) any political committee in which a person |
defined in (i), (ii) or
(iii) is an officer, director, |
or employee, whether compensated or not;
|
(vi) any political committee in which a person |
defined in (i), (ii) or
(iii) is to participate in the |
management or operation of a raffle as
defined in this |
Section;
|
(vii) any committee which, at the time of its |
application for a
license to conduct a raffle, owes the |
State Board of Elections any unpaid
civil penalty |
authorized by Sections
9-3, 9-10, and 9-23 of
The |
Election Code, or is the
subject of an unresolved claim |
for a civil penalty under Sections
9-3, 9-10, and 9-23 |
of
The Election Code;
|
(viii) any political committee which, at the time |
of its application
to conduct a raffle, has not |
submitted any report or document required to
be filed |
by Article 9 of The Election Code and such report or |
document is
more than 10 days overdue.
|
(d) (1) The conducting of raffles is subject
to the |
following restrictions:
|
(i) The entire net proceeds of any raffle must be |
exclusively devoted
to the lawful purposes of the |
political committee permitted to conduct that
game.
|
(ii) No person except a bona fide member of the |
|
political committee
may participate in the management |
or operation of the raffle.
|
(iii) No person may receive any remuneration or |
profit for participating
in the management or |
operation of the raffle.
|
(iv) Raffle chances may be sold or issued only |
within the area specified
on the license and winning |
chances may be determined only at those locations
|
specified on the license.
|
(v) A person under the age of 18 years may |
participate in the conducting
of raffles or chances |
only with the permission of a parent or guardian.
A |
person under the age of 18 years may be within
the area |
where winning chances are being determined only when |
accompanied
by his parent or guardian.
|
(2) If a lessor rents premises where a winning chance |
or chances on a
raffle are determined, the lessor shall not |
be criminally liable if the
person who uses the premises |
for the determining of winning chances does not
hold a |
license issued under the provisions
of this Section.
|
(e) (1) Each political committee licensed to conduct |
raffles and
chances shall keep records of its gross |
receipts, expenses and net proceeds
for each single |
gathering or occasion at which winning chances are |
determined.
All deductions from gross receipts for each |
single gathering or occasion
shall be documented with |
|
receipts or other records indicating the amount,
a |
description of the purchased item or service or other |
reason for the
deduction, and the recipient. The |
distribution of net proceeds shall be
itemized as to payee, |
purpose, amount and date of payment.
|
(2) Each political committee licensed to conduct |
raffles shall report
on the next report due to be filed |
under Article 9 of The Election Code
its gross receipts, |
expenses and net proceeds
from raffles, and the |
distribution of net proceeds itemized as required in
this |
subsection.
|
Such reports shall be included in the regular reports |
required of
political committees by Article 9 of The Election |
Code.
|
(3) Records required by this subsection shall be |
preserved for 3 years,
and political committees shall make |
available their records relating to
operation of raffles |
for public inspection at reasonable times and places.
|
(f) Violation of any provision of this Section is a Class
C |
misdemeanor.
|
(g) Nothing in this Section shall be construed to authorize |
the conducting
or operating of any gambling scheme, enterprise, |
activity or device other
than raffles as provided for herein.
|
(Source: P.A. 97-1150, eff. 1-25-13; revised 11-12-13.)
|
Section 530. The Video Gaming
Act is amended by changing |
|
Sections 5, 15, 25, and 45 as follows:
|
(230 ILCS 40/5)
|
Sec. 5. Definitions. As used in this Act:
|
"Board" means the Illinois Gaming Board.
|
"Credit" means one, 5, 10, or 25 cents either won or |
purchased by a player.
|
"Distributor" means an individual, partnership, |
corporation, or limited liability company licensed under
this |
Act to buy, sell, lease, or distribute video gaming terminals |
or major
components or parts of video gaming terminals to or |
from terminal
operators.
|
"Electronic card" means a card purchased from a licensed |
establishment, licensed fraternal establishment, licensed |
veterans establishment, or licensed truck stop establishment |
for use in that establishment as a substitute for cash in the |
conduct of gaming on a video gaming terminal. |
"Electronic voucher" means a voucher printed by an |
electronic video game machine that is redeemable in the |
licensed establishment for which it was issued. |
"Terminal operator" means an individual, partnership, |
corporation, or limited liability company that is
licensed |
under this Act and that owns, services, and maintains video
|
gaming terminals for placement in licensed establishments, |
licensed truck stop establishments, licensed fraternal
|
establishments, or licensed veterans establishments.
|
|
"Licensed technician" means an individual
who
is licensed |
under this Act to repair,
service, and maintain
video gaming |
terminals.
|
"Licensed terminal handler" means a person, including but |
not limited to an employee or independent contractor working |
for a manufacturer, distributor, supplier, technician, or |
terminal operator, who is licensed under this Act to possess or |
control a video gaming terminal or to have access to the inner |
workings of a video gaming terminal. A licensed terminal |
handler does not include an individual, partnership, |
corporation, or limited liability company defined as a |
manufacturer, distributor, supplier, technician, or terminal |
operator under this Act. |
"Manufacturer" means an individual, partnership, |
corporation, or limited liability company that is
licensed |
under this Act and that manufactures or assembles video gaming
|
terminals.
|
"Supplier" means an individual, partnership, corporation, |
or limited liability company that is
licensed under this Act to |
supply major components or parts to video gaming
terminals to |
licensed
terminal operators.
|
"Net terminal income" means money put into a video gaming |
terminal minus
credits paid out to players.
|
"Video gaming terminal" means any electronic video game |
machine
that, upon insertion of cash, electronic cards or |
vouchers , or any combination thereof, electronic voucher, or |
|
any combination thereof, is available to play or simulate the |
play of
a video game, including but not limited to video poker, |
line up, and blackjack, as
authorized by the Board utilizing a |
video display and microprocessors in
which the player may |
receive free games or credits that can be
redeemed for cash. |
The term does not include a machine that directly
dispenses |
coins, cash, or tokens or is for amusement purposes only.
|
"Licensed establishment" means any licensed retail |
establishment where
alcoholic liquor is drawn, poured, mixed, |
or otherwise served for consumption
on the premises, whether |
the establishment operates on a nonprofit or for-profit basis. |
"Licensed establishment" includes any such establishment that |
has a contractual relationship with an inter-track wagering |
location licensee licensed under the Illinois Horse Racing Act |
of 1975, provided any contractual relationship shall not |
include any transfer or offer of revenue from the operation of |
video gaming under this Act to any licensee licensed under the |
Illinois Horse Racing Act of 1975. Provided, however, that the |
licensed establishment that has such a contractual |
relationship with an inter-track wagering location licensee |
may not, itself, be (i) an inter-track wagering location |
licensee, (ii) the corporate parent or subsidiary of any |
licensee licensed under the Illinois Horse Racing Act of 1975, |
or (iii) the corporate subsidiary of a corporation that is also |
the corporate parent or subsidiary of any licensee licensed |
under the Illinois Horse Racing Act of 1975. "Licensed |
|
establishment" does not include a facility operated by an |
organization licensee, an inter-track wagering licensee, or an |
inter-track wagering location licensee licensed under the |
Illinois Horse Racing Act of 1975 or a riverboat licensed under |
the Riverboat Gambling Act, except as provided in this |
paragraph. The changes made to this definition by Public Act |
98-587 this amendatory Act of the 98th General Assembly are |
declarative of existing law.
|
"Licensed fraternal establishment" means the location |
where a qualified
fraternal organization that derives its |
charter from a national fraternal
organization regularly |
meets.
|
"Licensed veterans establishment" means the location where |
a qualified
veterans organization that derives its charter from |
a national veterans
organization regularly meets.
|
"Licensed truck stop establishment" means a facility (i) |
that is at least a
3-acre facility with a convenience store, |
(ii) with separate diesel
islands for fueling commercial motor |
vehicles, (iii) that sells at retail more than 10,000 gallons |
of diesel or biodiesel fuel per month, and (iv) with parking |
spaces for commercial
motor vehicles. "Commercial motor |
vehicles" has the same meaning as defined in Section 18b-101 of |
the Illinois Vehicle Code. The requirement of item (iii) of |
this paragraph may be met by showing that estimated future |
sales or past sales average at least 10,000 gallons per month.
|
(Source: P.A. 97-333, eff. 8-12-11; 98-31, eff. 6-24-13; |
|
98-582, eff. 8-27-13; 98-587, eff. 8-27-13; revised 9-19-13.)
|
(230 ILCS 40/15)
|
Sec. 15. Minimum requirements for
licensing and |
registration. Every video gaming terminal offered for
play |
shall first be
tested and approved pursuant to the rules of the |
Board, and
each video gaming terminal offered in this State for |
play shall conform to an
approved
model. For the examination of |
video gaming machines and associated equipment as required by |
this Section, the Board may utilize the services of one or more |
independent outside testing laboratories that have been |
accredited by a national accreditation body and that, in the |
judgment of the Board, are qualified to perform such |
examinations. Every video gaming terminal offered in this State |
for play must meet minimum standards set by an independent |
outside testing laboratory approved by the Board. Each approved |
model shall, at a minimum, meet the following
criteria:
|
(1) It must conform to all requirements of federal law |
and
regulations, including FCC Class A
Emissions |
Standards.
|
(2) It must theoretically pay out a mathematically |
demonstrable percentage
during the expected lifetime of |
the machine
of all amounts played, which must not be less |
than 80%. The Board shall establish a maximum payout |
percentage for approved models by rule. Video gaming
|
terminals that may be affected by skill must meet this |
|
standard when using a
method of play that will provide the |
greatest return to the player over a
period of continuous |
play.
|
(3) It must use a random selection process to determine |
the outcome of
each play of a game. The random selection |
process must meet 99% confidence
limits using a standard |
chi-squared test for (randomness) goodness of fit.
|
(4) It must display an accurate representation of the |
game outcome.
|
(5) It must not automatically alter pay tables or any |
function of the
video gaming terminal based on internal |
computation of hold percentage or have
any means of |
manipulation that affects the random selection process or
|
probabilities of winning a game.
|
(6) It must not be adversely affected by static |
discharge or other
electromagnetic interference.
|
(7) It must be capable of detecting and displaying the |
following
conditions
during idle states or on demand: power |
reset; door open; and door just closed.
|
(8) It must have the capacity to display complete play |
history
(outcome, intermediate play steps, credits |
available, bets placed, credits
paid, and credits cashed |
out) for the most recent game played and 10 games
prior
|
thereto.
|
(9) The theoretical payback percentage of a video |
gaming terminal must
not be
capable of being changed |
|
without making a hardware or software change in
the video |
gaming terminal, either on site or via the central |
communications system.
|
(10) Video gaming terminals must be designed so that |
replacement of
parts or modules required for normal |
maintenance does not necessitate
replacement of the |
electromechanical meters.
|
(11) It must have nonresettable meters housed in a |
locked area of the
terminal that
keep a permanent record of |
all cash inserted into the machine, all winnings
made by |
the terminal printer, credits played in for video gaming |
terminals, and
credits won by video gaming players. The |
video gaming terminal must provide
the means for on-demand |
display of stored information as determined by the
Board.
|
(12) Electronically stored meter information required |
by this Section
must be preserved for a minimum of 180 days |
after a power loss to the service.
|
(13) It must have one or more mechanisms that accept |
cash in the
form of
bills. The mechanisms shall be designed |
to prevent obtaining credits without
paying by stringing, |
slamming, drilling, or other means. If such attempts at |
physical tampering are made, the video gaming terminal |
shall suspend itself from operating until reset.
|
(14) It shall have accounting software that keeps an |
electronic record
which includes, but is not limited to, |
the following: total cash inserted
into the video gaming |
|
terminal; the value of winning tickets claimed by
players; |
the
total credits played; the total
credits awarded
by a |
video gaming terminal; and pay back percentage credited to |
players of each video game.
|
(15) It shall be linked by a central communications |
system
to provide
auditing program information as approved |
by the Board. The central communications system shall use a |
standard industry protocol, as defined by the Gaming |
Standards Association, and shall have the functionality to |
enable the Board or its designee to activate or deactivate |
individual gaming devices from the central communications |
system. In no event may the
communications system approved |
by the Board limit participation to only one
manufacturer |
of video gaming terminals by either the cost in |
implementing
the necessary program modifications to |
communicate or the inability to
communicate with the |
central communications system.
|
(16) The Board, in its discretion, may require video |
gaming terminals to display Amber Alert messages if the |
Board makes a finding that it would be economically and |
technically feasible and pose no risk to the integrity and |
security of the central communications system and video |
gaming terminals.
|
The Board may adopt rules to establish additional criteria |
to preserve the integrity and security of video gaming in this |
State. The central communications system vendor may be licensed |
|
as a video gaming terminal manufacturer or a video gaming |
terminal distributor, or both, but in no event shall the |
central communications system vendor be licensed as a video |
gaming terminal operator. |
The Board shall not permit the development of information |
or the use by any licensee of gaming device or individual game |
performance data. Nothing in this Act shall inhibit or prohibit |
the Board from the use of gaming device or individual game |
performance data in its regulatory duties. The Board shall |
adopt rules to ensure that all licensees are treated and all |
licensees act in a non-discriminatory manner and develop |
processes and penalties to enforce those rules. |
(Source: P.A. 98-31, eff. 6-24-13; 98-377, eff. 1-1-14; 98-582, |
eff. 8-27-13; revised 9-19-13.)
|
(230 ILCS 40/25)
|
Sec. 25. Restriction of licensees.
|
(a) Manufacturer. A person may not be licensed as a |
manufacturer of a
video gaming terminal in Illinois unless the |
person has a valid
manufacturer's license issued
under this |
Act. A manufacturer may only sell video gaming terminals for |
use
in Illinois to
persons having a valid distributor's |
license.
|
(b) Distributor. A person may not sell, distribute, or |
lease
or market a video gaming terminal in Illinois unless the |
person has a valid
distributor's
license issued under this Act. |
|
A distributor may only sell video gaming
terminals for use in
|
Illinois to persons having a valid distributor's or terminal |
operator's
license.
|
(c) Terminal operator. A person may not own, maintain, or |
place a video gaming terminal unless he has a valid terminal |
operator's
license issued
under this Act. A terminal operator |
may only place video gaming terminals for
use in
Illinois in |
licensed establishments, licensed truck stop establishments, |
licensed fraternal establishments,
and
licensed veterans |
establishments.
No terminal operator may give anything of |
value, including but not limited to
a loan or financing |
arrangement, to a licensed establishment, licensed truck stop |
establishment,
licensed fraternal establishment, or licensed |
veterans establishment as
any incentive or inducement to locate |
video terminals in that establishment.
Of the after-tax profits
|
from a video gaming terminal, 50% shall be paid to the terminal
|
operator and 50% shall be paid to the licensed establishment, |
licensed truck stop establishment,
licensed fraternal |
establishment, or
licensed veterans establishment, |
notwithstanding any agreement to the contrary.
A video terminal |
operator that violates one or more requirements of this |
subsection is guilty of a Class 4 felony and is subject to |
termination of his or her license by the Board.
|
(d) Licensed technician. A person may not service, |
maintain, or repair a
video gaming terminal
in this State |
unless he or she (1) has a valid technician's license issued
|
|
under this Act, (2) is a terminal operator, or (3) is employed |
by a terminal
operator, distributor, or manufacturer.
|
(d-5) Licensed terminal handler. No person, including, but |
not limited to, an employee or independent contractor working |
for a manufacturer, distributor, supplier, technician, or |
terminal operator licensed pursuant to this Act, shall have |
possession or control of a video gaming terminal, or access to |
the inner workings of a video gaming terminal, unless that |
person possesses a valid terminal handler's license issued |
under this Act. |
(e) Licensed establishment. No video gaming terminal may be |
placed in any licensed establishment, licensed veterans |
establishment, licensed truck stop establishment,
or licensed |
fraternal establishment
unless the owner
or agent of the owner |
of the licensed establishment, licensed veterans |
establishment, licensed truck stop establishment, or licensed
|
fraternal establishment has entered into a
written use |
agreement with the terminal operator for placement of the
|
terminals. A copy of the use agreement shall be on file in the |
terminal
operator's place of business and available for |
inspection by individuals
authorized by the Board. A licensed |
establishment, licensed truck stop establishment, licensed |
veterans establishment,
or
licensed
fraternal
establishment |
may operate up to 5 video gaming terminals on its premises at |
any
time.
|
(f) (Blank).
|
|
(g) Financial interest restrictions.
As used in this Act, |
"substantial interest" in a partnership, a corporation, an
|
organization, an association, a business, or a limited |
liability company means:
|
(A) When, with respect to a sole proprietorship, an |
individual or
his or her spouse owns, operates, manages, or |
conducts, directly
or indirectly, the organization, |
association, or business, or any part thereof;
or
|
(B) When, with respect to a partnership, the individual |
or his or
her spouse shares in any of the profits, or |
potential profits,
of the partnership activities; or
|
(C) When, with respect to a corporation, an individual |
or his or her
spouse is an officer or director, or the |
individual or his or her spouse is a holder, directly or |
beneficially, of 5% or more of any class
of stock of the |
corporation; or
|
(D) When, with respect to an organization not covered |
in (A), (B) or
(C) above, an individual or his or her |
spouse is an officer or manages the
business affairs, or |
the individual or his or her spouse is the
owner of or |
otherwise controls 10% or more of the assets of the |
organization;
or
|
(E) When an individual or his or her spouse furnishes
|
5% or more of the capital, whether in cash, goods, or |
services, for the
operation of any business, association, |
or organization during any calendar
year; or |
|
(F) When, with respect to a limited liability company, |
an individual or his or her
spouse is a member, or the |
individual or his or her spouse is a holder, directly or |
beneficially, of 5% or more of the membership interest of |
the limited liability company.
|
For purposes of this subsection (g), "individual" includes |
all individuals or their spouses whose combined interest would |
qualify as a substantial interest under this subsection (g) and |
whose activities with respect to an organization, association, |
or business are so closely aligned or coordinated as to |
constitute the activities of a single entity. |
(h) Location restriction. A licensed establishment, |
licensed truck stop establishment, licensed
fraternal
|
establishment, or licensed veterans establishment that is (i) |
located within 1,000
feet of a facility operated by an |
organization licensee licensed under the Illinois Horse Racing |
Act of 1975 or the home dock of a riverboat licensed under the |
Riverboat
Gambling Act or (ii) located within 100 feet of a |
school or a place of worship under the Religious Corporation |
Act, is ineligible to operate a video gaming terminal. The |
location restrictions in this subsection (h) do not apply if |
(A) a facility operated by an organization licensee, a school, |
or a place of worship moves to or is established within the |
restricted area after a licensed establishment, licensed truck |
stop establishment, licensed fraternal establishment, or |
licensed veterans establishment becomes licensed under this |
|
Act or (B) a school or place of worship moves to or is |
established within the restricted area after a licensed |
establishment, licensed truck stop establishment, licensed |
fraternal establishment, or licensed veterans establishment |
obtains its original liquor license. For the purpose of this |
subsection, "school" means an elementary or secondary public |
school, or an elementary or secondary private school registered |
with or recognized by the State Board of Education. |
Notwithstanding the provisions of this subsection (h), the |
Board may waive the requirement that a licensed establishment, |
licensed truck stop establishment, licensed fraternal |
establishment, or licensed veterans establishment not be |
located within 1,000 feet from a facility operated by an |
organization licensee or licensed under the Illinois Horse |
Racing Act of 1975 or the home dock of a riverboat licensed |
under the Riverboat Gambling Act. The Board shall not grant |
such waiver if there is any common ownership or control, shared |
business activity, or contractual arrangement of any type |
between the establishment and the organization licensee or |
owners licensee of a riverboat. The Board shall adopt rules to |
implement the provisions of this paragraph. |
(i) Undue economic concentration. In addition to |
considering all other requirements under this Act, in deciding |
whether to approve the operation of video gaming terminals by a |
terminal operator in a location, the Board shall consider the |
impact of any economic concentration of such operation of video |
|
gaming terminals. The Board shall not allow a terminal operator |
to operate video gaming terminals if the Board determines such |
operation will result in undue economic concentration. For |
purposes of this Section, "undue economic concentration" means |
that a terminal operator would have such actual or potential |
influence over video gaming terminals in Illinois as to: |
(1) substantially impede or suppress competition among |
terminal operators; |
(2) adversely impact the economic stability of the |
video gaming industry in Illinois; or |
(3) negatively impact the purposes of the Video Gaming |
Act. |
The Board shall adopt rules concerning undue economic |
concentration with respect to the operation of video gaming |
terminals in Illinois. The rules shall include, but not be |
limited to, (i) limitations on the number of video gaming |
terminals operated by any terminal operator within a defined |
geographic radius and (ii) guidelines on the discontinuation of |
operation of any such video gaming terminals the Board |
determines will cause undue economic concentration.
|
(j) The provisions of the Illinois Antitrust Act are fully |
and equally applicable to the activities of any licensee under |
this Act.
|
(Source: P.A. 97-333, eff. 8-12-11; 98-31, eff. 6-24-13; 98-77, |
eff. 7-15-13; 98-112, eff. 7-26-13; revised 10-17-13.)
|
|
(230 ILCS 40/45)
|
Sec. 45. Issuance of license.
|
(a) The burden is upon each applicant to
demonstrate his |
suitability for licensure. Each video gaming terminal
|
manufacturer, distributor, supplier, operator, handler, |
licensed establishment, licensed truck stop establishment, |
licensed
fraternal
establishment, and licensed veterans |
establishment shall be
licensed by the Board.
The Board may |
issue or deny a license under this Act to any person pursuant |
to the same criteria set forth in Section 9 of the Riverboat |
Gambling Act.
|
(a-5) The Board shall not grant a license to a person who |
has facilitated, enabled, or participated in the use of |
coin-operated devices for gambling purposes or who is under the |
significant influence or control of such a person. For the |
purposes of this Act, "facilitated, enabled, or participated in |
the use of coin-operated amusement devices for gambling |
purposes" means that the person has been convicted of any |
violation of Article 28 of the Criminal Code of 1961 or the |
Criminal Code of 2012. If there is pending legal action against |
a person for any such violation, then the Board shall delay the |
licensure of that person until the legal action is resolved. |
(b) Each person seeking and possessing a license as a video |
gaming terminal manufacturer, distributor, supplier, operator, |
handler, licensed establishment, licensed truck stop |
establishment, licensed fraternal establishment, or licensed |
|
veterans establishment shall submit to a background |
investigation conducted by the Board with the assistance of the |
State Police or other law enforcement. To the extent that the |
corporate structure of the applicant allows, the background |
investigation shall include any or all of the following as the |
Board deems appropriate or as provided by rule for each |
category of licensure: (i) each beneficiary of a trust, (ii) |
each partner of a partnership, (iii) each member of a limited |
liability company, (iv) each director and officer of a publicly |
or non-publicly held corporation, (v) each stockholder of a |
non-publicly held corporation, (vi) each stockholder of 5% or |
more of a publicly held corporation, or (vii) each stockholder |
of 5% or more in a parent or subsidiary corporation. |
(c) Each person seeking and possessing a license as a video |
gaming terminal manufacturer, distributor, supplier, operator, |
handler, licensed establishment, licensed truck stop |
establishment, licensed fraternal establishment, or licensed |
veterans establishment shall disclose the identity of every |
person, association, trust, corporation, or limited liability |
company having a greater than 1% direct or indirect pecuniary |
interest in the video gaming terminal operation for which the |
license is sought. If the disclosed entity is a trust, the |
application shall disclose the names and addresses of the |
beneficiaries; if a corporation, the names and addresses of all |
stockholders and directors; if a limited liability company, the |
names and addresses of all members; or if a partnership, the |
|
names and addresses of all partners, both general and limited. |
(d) No person may be licensed as a video gaming terminal |
manufacturer, distributor, supplier, operator, handler, |
licensed establishment, licensed truck stop establishment, |
licensed fraternal establishment, or licensed veterans |
establishment if that person has been found by the Board to: |
(1) have a background, including a criminal record, |
reputation, habits, social or business associations, or |
prior activities that pose a threat to the public interests |
of the State or to the security and integrity of video |
gaming; |
(2) create or enhance the dangers of unsuitable, |
unfair, or illegal practices, methods, and activities in |
the conduct of video gaming; or |
(3) present questionable business practices and |
financial arrangements incidental to the conduct of video |
gaming activities. |
(e) Any applicant for any license under this Act has the |
burden of proving his or her qualifications to the satisfaction |
of the Board. The Board may adopt rules to establish additional |
qualifications and requirements to preserve the integrity and |
security of video gaming in this State. |
(f) A non-refundable application fee shall be paid at the |
time an
application for a license is filed with the Board in |
the following amounts:
|
(1) Manufacturer ..........................$5,000
|
|
(2) Distributor ...........................$5,000
|
(3) Terminal operator .....................$5,000
|
(4) Supplier ..............................$2,500
|
(5) Technician ..............................$100
|
(6) Terminal Handler ..............................$50 |
(g) The Board shall establish an
annual fee for each |
license not to exceed the following: |
(1) Manufacturer .........................$10,000
|
(2) Distributor ..........................$10,000
|
(3) Terminal operator .....................$5,000
|
(4) Supplier ..............................$2,000
|
(5) Technician ..............................$100
|
(6) Licensed establishment, licensed truck stop
|
establishment, licensed fraternal establishment,
|
or licensed veterans establishment ..............$100
|
(7) Video gaming terminal ...................$100
|
(8) Terminal Handler ..............................$50
|
(h) A terminal operator and a licensed establishment, |
licensed truck stop establishment, licensed fraternal |
establishment,
or licensed veterans establishment shall |
equally split the fees specified in item (7) of subsection (g). |
(Source: P.A. 97-1150, eff. 1-25-13; 98-31, eff. 6-24-13; |
98-587, eff. 8-27-13; revised 9-19-13.)
|
Section 535. The Liquor Control Act of 1934 is amended by |
changing Sections 5-1, 6-2, 6-6, 6-15, and 7-1 as follows: |
|
(235 ILCS 5/5-1) (from Ch. 43, par. 115) |
Sec. 5-1. Licenses issued by the Illinois Liquor Control |
Commission
shall be of the following classes: |
(a) Manufacturer's license - Class 1.
Distiller, Class 2. |
Rectifier, Class 3. Brewer, Class 4. First Class Wine
|
Manufacturer, Class 5. Second Class Wine Manufacturer,
Class 6. |
First Class Winemaker, Class 7. Second Class Winemaker, Class |
8.
Limited Wine Manufacturer, Class 9. Craft Distiller, Class |
10. Craft Brewer, |
(b) Distributor's license, |
(c) Importing Distributor's license, |
(d) Retailer's license, |
(e) Special Event Retailer's license (not-for-profit), |
(f) Railroad license, |
(g) Boat license, |
(h) Non-Beverage User's license, |
(i) Wine-maker's premises license, |
(j) Airplane license, |
(k) Foreign importer's license, |
(l) Broker's license, |
(m) Non-resident dealer's
license, |
(n) Brew Pub license, |
(o) Auction liquor license, |
(p) Caterer retailer license, |
(q) Special use permit license, |
|
(r) Winery shipper's license.
|
No
person, firm, partnership, corporation, or other legal |
business entity that is
engaged in the manufacturing of wine |
may concurrently obtain and hold a
wine-maker's license and a |
wine manufacturer's license. |
(a) A manufacturer's license shall allow the manufacture,
|
importation in bulk, storage, distribution and sale of |
alcoholic liquor
to persons without the State, as may be |
permitted by law and to licensees
in this State as follows: |
Class 1. A Distiller may make sales and deliveries of |
alcoholic liquor to
distillers, rectifiers, importing |
distributors, distributors and
non-beverage users and to no |
other licensees. |
Class 2. A Rectifier, who is not a distiller, as defined |
herein, may make
sales and deliveries of alcoholic liquor to |
rectifiers, importing distributors,
distributors, retailers |
and non-beverage users and to no other licensees. |
Class 3. A Brewer may make sales and deliveries of beer to |
importing
distributors and distributors and may make sales as |
authorized under subsection (e) of Section 6-4 of this Act. |
Class 4. A first class wine-manufacturer may make sales and |
deliveries of
up to 50,000 gallons of wine to manufacturers,
|
importing
distributors and distributors, and to no other |
licensees. |
Class 5. A second class Wine manufacturer may make sales |
and deliveries
of more than 50,000 gallons of wine to |
|
manufacturers, importing distributors
and distributors and to |
no other licensees. |
Class 6. A first-class wine-maker's license shall allow the |
manufacture
of up to 50,000 gallons of wine per year, and the
|
storage
and sale of such
wine to distributors in the State and |
to persons without the
State, as may be permitted by law. A |
person who, prior to the effective date of this amendatory Act |
of the 95th General Assembly, is a holder of a first-class |
wine-maker's license and annually produces more than 25,000 |
gallons of its own wine and who distributes its wine to |
licensed retailers shall cease this practice on or before July |
1, 2008 in compliance with this amendatory Act of the 95th |
General Assembly. |
Class 7. A second-class wine-maker's license shall allow |
the manufacture
of between 50,000 and 150,000 gallons of wine |
per year, and
the
storage and sale of such wine
to distributors |
in this State and to persons without the State, as may be
|
permitted by law. A person who, prior to the effective date of |
this amendatory Act of the 95th General Assembly, is a holder |
of a second-class wine-maker's license and annually produces |
more than 25,000 gallons of its own wine and who distributes |
its wine to licensed retailers shall cease this practice on or |
before July 1, 2008 in compliance with this amendatory Act of |
the 95th General Assembly. |
Class 8. A limited wine-manufacturer may make sales and |
deliveries not to
exceed 40,000 gallons of wine per year to |
|
distributors, and to
non-licensees in accordance with the |
provisions of this Act. |
Class 9. A craft distiller license shall allow the |
manufacture of up to 30,000 gallons of spirits by distillation |
for one year after the effective date of this amendatory Act of |
the 97th General Assembly and up to 35,000 gallons of spirits |
by distillation per year thereafter and the storage of such |
spirits. If a craft distiller licensee is not affiliated with |
any other manufacturer, then the craft distiller licensee may |
sell such spirits to distributors in this State and up to 2,500 |
gallons of such spirits to non-licensees to the extent |
permitted by any exemption approved by the Commission pursuant |
to Section 6-4 of this Act. |
Any craft distiller licensed under this Act who on the |
effective date of this amendatory Act of the 96th General |
Assembly was licensed as a distiller and manufactured no more |
spirits than permitted by this Section shall not be required to |
pay the initial licensing fee. |
Class 10. A craft brewer's license, which may only be |
issued to a licensed brewer or licensed non-resident dealer, |
shall allow the manufacture of up to 930,000 gallons of beer |
per year. A craft brewer licensee may make sales and deliveries |
to importing distributors and distributors and to retail |
licensees in accordance with the conditions set forth in |
paragraph (18) of subsection (a) of Section 3-12 of this Act. |
(a-1) A manufacturer which is licensed in this State to |
|
make sales or
deliveries of alcoholic liquor to licensed |
distributors or importing distributors and which enlists |
agents, representatives, or
individuals acting on its behalf |
who contact licensed retailers on a regular
and continual basis |
in this State must register those agents, representatives,
or |
persons acting on its behalf with the State Commission. |
Registration of agents, representatives, or persons acting |
on behalf of a
manufacturer is fulfilled by submitting a form |
to the Commission. The form
shall be developed by the |
Commission and shall include the name and address of
the |
applicant, the name and address of the manufacturer he or she |
represents,
the territory or areas assigned to sell to or |
discuss pricing terms of
alcoholic liquor, and any other |
questions deemed appropriate and necessary.
All statements in |
the forms required to be made by law or by rule shall be
deemed |
material, and any person who knowingly misstates any material |
fact under
oath in an application is guilty of a Class B |
misdemeanor. Fraud,
misrepresentation, false statements, |
misleading statements, evasions, or
suppression of material |
facts in the securing of a registration are grounds for
|
suspension or revocation of the registration. The State |
Commission shall post a list of registered agents on the |
Commission's website. |
(b) A distributor's license shall allow the wholesale |
purchase and storage
of alcoholic liquors and sale of alcoholic |
liquors to licensees
in this State and to persons without the |
|
State, as may be permitted by law. |
(c) An importing distributor's license may be issued to and |
held by
those only who are duly licensed distributors, upon the |
filing of an
application by a duly licensed distributor, with |
the Commission and
the Commission shall, without the
payment of |
any fee, immediately issue such importing distributor's
|
license to the applicant, which shall allow the importation of |
alcoholic
liquor by the licensee into this State from any point |
in the United
States outside this State, and the purchase of |
alcoholic liquor in
barrels, casks or other bulk containers and |
the bottling of such
alcoholic liquors before resale thereof, |
but all bottles or containers
so filled shall be sealed, |
labeled, stamped and otherwise made to comply
with all |
provisions, rules and regulations governing manufacturers in
|
the preparation and bottling of alcoholic liquors. The |
importing
distributor's license shall permit such licensee to |
purchase alcoholic
liquor from Illinois licensed non-resident |
dealers and foreign importers only. |
(d) A retailer's license shall allow the licensee to sell |
and offer
for sale at retail, only in the premises specified in |
the license,
alcoholic liquor for use or consumption, but not |
for resale in any form. Nothing in this amendatory Act of the |
95th General Assembly shall deny, limit, remove, or restrict |
the ability of a holder of a retailer's license to transfer, |
deliver, or ship alcoholic liquor to the purchaser for use or |
consumption subject to any applicable local law or ordinance. |
|
Any retail license issued to a manufacturer shall only
permit |
the manufacturer to sell beer at retail on the premises |
actually
occupied by the manufacturer. For the purpose of |
further describing the type of business conducted at a retail |
licensed premises, a retailer's licensee may be designated by |
the State Commission as (i) an on premise consumption retailer, |
(ii) an off premise sale retailer, or (iii) a combined on |
premise consumption and off premise sale retailer.
|
Notwithstanding any other provision of this subsection |
(d), a retail
licensee may sell alcoholic liquors to a special |
event retailer licensee for
resale to the extent permitted |
under subsection (e). |
(e) A special event retailer's license (not-for-profit) |
shall permit the
licensee to purchase alcoholic liquors from an |
Illinois licensed distributor
(unless the licensee purchases |
less than $500 of alcoholic liquors for the
special event, in |
which case the licensee may purchase the alcoholic liquors
from |
a licensed retailer) and shall allow the licensee to sell and |
offer for
sale, at retail, alcoholic liquors for use or |
consumption, but not for resale
in any form and only at the |
location and on the specific dates designated for
the special |
event in the license. An applicant for a special event retailer
|
license must
(i) furnish with the application: (A) a resale |
number issued under Section
2c of the Retailers' Occupation Tax |
Act or evidence that the applicant is
registered under Section |
2a of the Retailers' Occupation Tax Act, (B) a
current, valid |
|
exemption identification
number issued under Section 1g of the |
Retailers' Occupation Tax Act, and a
certification to the |
Commission that the purchase of alcoholic liquors will be
a |
tax-exempt purchase, or (C) a statement that the applicant is |
not registered
under Section 2a of the Retailers' Occupation |
Tax Act, does not hold a resale
number under Section 2c of the |
Retailers' Occupation Tax Act, and does not
hold an exemption |
number under Section 1g of the Retailers' Occupation Tax
Act, |
in which event the Commission shall set forth on the special |
event
retailer's license a statement to that effect; (ii) |
submit with the application proof satisfactory to
the State |
Commission that the applicant will provide dram shop liability
|
insurance in the maximum limits; and (iii) show proof |
satisfactory to the
State Commission that the applicant has |
obtained local authority
approval. |
(f) A railroad license shall permit the licensee to import |
alcoholic
liquors into this State from any point in the United |
States outside this
State and to store such alcoholic liquors |
in this State; to make wholesale
purchases of alcoholic liquors |
directly from manufacturers, foreign
importers, distributors |
and importing distributors from within or outside
this State; |
and to store such alcoholic liquors in this State; provided
|
that the above powers may be exercised only in connection with |
the
importation, purchase or storage of alcoholic liquors to be |
sold or
dispensed on a club, buffet, lounge or dining car |
operated on an electric,
gas or steam railway in this State; |
|
and provided further, that railroad
licensees exercising the |
above powers shall be subject to all provisions of
Article VIII |
of this Act as applied to importing distributors. A railroad
|
license shall also permit the licensee to sell or dispense |
alcoholic
liquors on any club, buffet, lounge or dining car |
operated on an electric,
gas or steam railway regularly |
operated by a common carrier in this State,
but shall not |
permit the sale for resale of any alcoholic liquors to any
|
licensee within this State. A license shall be obtained for |
each car in which
such sales are made. |
(g) A boat license shall allow the sale of alcoholic liquor |
in
individual drinks, on any passenger boat regularly operated |
as a common
carrier on navigable waters in this State or on any |
riverboat operated
under
the Riverboat Gambling Act, which boat |
or riverboat maintains a public
dining room or restaurant |
thereon. |
(h) A non-beverage user's license shall allow the licensee |
to
purchase alcoholic liquor from a licensed manufacturer or |
importing
distributor, without the imposition of any tax upon |
the business of such
licensed manufacturer or importing |
distributor as to such alcoholic
liquor to be used by such |
licensee solely for the non-beverage purposes
set forth in |
subsection (a) of Section 8-1 of this Act, and
such licenses |
shall be divided and classified and shall permit the
purchase, |
possession and use of limited and stated quantities of
|
alcoholic liquor as follows: |
|
Class 1, not to exceed ......................... 500 gallons
|
Class 2, not to exceed ....................... 1,000 gallons
|
Class 3, not to exceed ....................... 5,000 gallons
|
Class 4, not to exceed ...................... 10,000 gallons
|
Class 5, not to exceed ....................... 50,000 gallons |
(i) A wine-maker's premises license shall allow a
licensee |
that concurrently holds a first-class wine-maker's license to |
sell
and offer for sale at retail in the premises specified in |
such license
not more than 50,000 gallons of the first-class |
wine-maker's wine that is
made at the first-class wine-maker's |
licensed premises per year for use or
consumption, but not for |
resale in any form. A wine-maker's premises
license shall allow |
a licensee who concurrently holds a second-class
wine-maker's |
license to sell and offer for sale at retail in the premises
|
specified in such license up to 100,000 gallons of the
|
second-class wine-maker's wine that is made at the second-class |
wine-maker's
licensed premises per year
for use or consumption |
but not for resale in any form. A wine-maker's premises license |
shall allow a
licensee that concurrently holds a first-class |
wine-maker's license or a second-class
wine-maker's license to |
sell
and offer for sale at retail at the premises specified in |
the wine-maker's premises license, for use or consumption but |
not for resale in any form, any beer, wine, and spirits |
purchased from a licensed distributor. Upon approval from the
|
State Commission, a wine-maker's premises license
shall allow |
the licensee to sell and offer for sale at (i) the wine-maker's
|
|
licensed premises and (ii) at up to 2 additional locations for |
use and
consumption and not for resale. Each location shall |
require additional
licensing per location as specified in |
Section 5-3 of this Act. A wine-maker's premises licensee shall
|
secure liquor liability insurance coverage in an amount at
|
least equal to the maximum liability amounts set forth in
|
subsection (a) of Section 6-21 of this Act.
|
(j) An airplane license shall permit the licensee to import
|
alcoholic liquors into this State from any point in the United |
States
outside this State and to store such alcoholic liquors |
in this State; to
make wholesale purchases of alcoholic liquors |
directly from
manufacturers, foreign importers, distributors |
and importing
distributors from within or outside this State; |
and to store such
alcoholic liquors in this State; provided |
that the above powers may be
exercised only in connection with |
the importation, purchase or storage
of alcoholic liquors to be |
sold or dispensed on an airplane; and
provided further, that |
airplane licensees exercising the above powers
shall be subject |
to all provisions of Article VIII of this Act as
applied to |
importing distributors. An airplane licensee shall also
permit |
the sale or dispensing of alcoholic liquors on any passenger
|
airplane regularly operated by a common carrier in this State, |
but shall
not permit the sale for resale of any alcoholic |
liquors to any licensee
within this State. A single airplane |
license shall be required of an
airline company if liquor |
service is provided on board aircraft in this
State. The annual |
|
fee for such license shall be as determined in
Section 5-3. |
(k) A foreign importer's license shall permit such licensee |
to purchase
alcoholic liquor from Illinois licensed |
non-resident dealers only, and to
import alcoholic liquor other |
than in bulk from any point outside the
United States and to |
sell such alcoholic liquor to Illinois licensed
importing |
distributors and to no one else in Illinois;
provided that (i) |
the foreign importer registers with the State Commission
every
|
brand of
alcoholic liquor that it proposes to sell to Illinois |
licensees during the
license period, (ii) the foreign importer |
complies with all of the provisions
of Section
6-9 of this Act |
with respect to registration of such Illinois licensees as may
|
be granted the
right to sell such brands at wholesale, and |
(iii) the foreign importer complies with the provisions of |
Sections 6-5 and 6-6 of this Act to the same extent that these |
provisions apply to manufacturers. |
(l) (i) A broker's license shall be required of all persons
|
who solicit
orders for, offer to sell or offer to supply |
alcoholic liquor to
retailers in the State of Illinois, or who |
offer to retailers to ship or
cause to be shipped or to make |
contact with distillers, rectifiers,
brewers or manufacturers |
or any other party within or without the State
of Illinois in |
order that alcoholic liquors be shipped to a distributor,
|
importing distributor or foreign importer, whether such |
solicitation or
offer is consummated within or without the |
State of Illinois. |
|
No holder of a retailer's license issued by the Illinois |
Liquor
Control Commission shall purchase or receive any |
alcoholic liquor, the
order for which was solicited or offered |
for sale to such retailer by a
broker unless the broker is the |
holder of a valid broker's license. |
The broker shall, upon the acceptance by a retailer of the |
broker's
solicitation of an order or offer to sell or supply or |
deliver or have
delivered alcoholic liquors, promptly forward |
to the Illinois Liquor
Control Commission a notification of |
said transaction in such form as
the Commission may by |
regulations prescribe. |
(ii) A broker's license shall be required of
a person |
within this State, other than a retail licensee,
who, for a fee |
or commission, promotes, solicits, or accepts orders for
|
alcoholic liquor, for use or consumption and not for
resale, to |
be shipped from this State and delivered to residents outside |
of
this State by an express company, common carrier, or |
contract carrier.
This Section does not apply to any person who |
promotes, solicits, or accepts
orders for wine as specifically |
authorized in Section 6-29 of this Act. |
A broker's license under this subsection (l)
shall not |
entitle the holder to
buy or sell any
alcoholic liquors for his |
own account or to take or deliver title to
such alcoholic |
liquors. |
This subsection (l)
shall not apply to distributors, |
employees of
distributors, or employees of a manufacturer who |
|
has registered the
trademark, brand or name of the alcoholic |
liquor pursuant to Section 6-9
of this Act, and who regularly |
sells such alcoholic liquor
in the State of Illinois only to |
its registrants thereunder. |
Any agent, representative, or person subject to |
registration pursuant to
subsection (a-1) of this Section shall |
not be eligible to receive a broker's
license. |
(m) A non-resident dealer's license shall permit such |
licensee to ship
into and warehouse alcoholic liquor into this |
State from any point
outside of this State, and to sell such |
alcoholic liquor to Illinois licensed
foreign importers and |
importing distributors and to no one else in this State;
|
provided that (i) said non-resident dealer shall register with |
the Illinois Liquor
Control Commission each and every brand of |
alcoholic liquor which it proposes
to sell to Illinois |
licensees during the license period, (ii) it shall comply with |
all of the provisions of Section 6-9 hereof with
respect to |
registration of such Illinois licensees as may be granted the |
right
to sell such brands at wholesale, and (iii) the |
non-resident dealer shall comply with the provisions of |
Sections 6-5 and 6-6 of this Act to the same extent that these |
provisions apply to manufacturers. |
(n) A brew pub license shall allow the licensee (i) to |
manufacture beer only
on the premises specified in the license, |
(ii) to make sales of the
beer manufactured on the premises or, |
with the approval of the Commission, beer manufactured on |
|
another brew pub licensed premises that is substantially owned |
and operated by the same licensee to importing distributors, |
distributors,
and to non-licensees for use and consumption, |
(iii) to store the beer upon
the premises, and (iv) to sell and |
offer for sale at retail from the licensed
premises, provided |
that a brew pub licensee shall not sell for off-premises
|
consumption more than 50,000 gallons per year. A person who |
holds a brew pub license may simultaneously hold a craft brewer |
license if he or she otherwise qualifies for the craft brewer |
license and the craft brewer license is for a location separate |
from the brew pub's licensed premises. A brew pub license shall |
permit a person who has received prior approval from the |
Commission to annually transfer no more than a total of 50,000 |
gallons of beer manufactured on premises to all other licensed |
brew pubs that are substantially owned and operated by the same |
person. |
(o) A caterer retailer license shall allow the holder
to |
serve alcoholic liquors as an incidental part of a food service |
that serves
prepared meals which excludes the serving of snacks |
as
the primary meal, either on or off-site whether licensed or |
unlicensed. |
(p) An auction liquor license shall allow the licensee to |
sell and offer
for sale at auction wine and spirits for use or |
consumption, or for resale by
an Illinois liquor licensee in |
accordance with provisions of this Act. An
auction liquor |
license will be issued to a person and it will permit the
|
|
auction liquor licensee to hold the auction anywhere in the |
State. An auction
liquor license must be obtained for each |
auction at least 14 days in advance of
the auction date. |
(q) A special use permit license shall allow an Illinois |
licensed
retailer to transfer a portion of its alcoholic liquor |
inventory from its
retail licensed premises to the premises |
specified in the license hereby
created, and to sell or offer |
for sale at retail, only in the premises
specified in the |
license hereby created, the transferred alcoholic liquor for
|
use or consumption, but not for resale in any form. A special |
use permit
license may be granted for the following time |
periods: one day or less; 2 or
more days to a maximum of 15 days |
per location in any 12 month period. An
applicant for the |
special use permit license must also submit with the
|
application proof satisfactory to the State Commission that the |
applicant will
provide dram shop liability insurance to the |
maximum limits and have local
authority approval. |
(r) A winery shipper's license shall allow a person
with a |
first-class or second-class wine manufacturer's
license, a |
first-class or second-class wine-maker's license,
or a limited |
wine manufacturer's license or who is licensed to
make wine |
under the laws of another state to ship wine
made by that |
licensee directly to a resident of this
State who is 21 years |
of age or older for that resident's
personal use and not for |
resale. Prior to receiving a
winery shipper's license, an |
applicant for the license must
provide the Commission with a |
|
true copy of its current
license in any state in which it is |
licensed as a manufacturer
of wine. An applicant for a winery |
shipper's license must
also complete an application form that |
provides any other
information the Commission deems necessary. |
The
application form shall include an acknowledgement |
consenting
to the jurisdiction of the Commission, the Illinois
|
Department of Revenue, and the courts of this State concerning
|
the enforcement of this Act and any related laws, rules, and
|
regulations, including authorizing the Department of Revenue
|
and the Commission to conduct audits for the purpose of
|
ensuring compliance with this amendatory Act. |
A winery shipper licensee must pay to the Department
of |
Revenue the State liquor gallonage tax under Section 8-1 for
|
all wine that is sold by the licensee and shipped to a person
|
in this State. For the purposes of Section 8-1, a winery
|
shipper licensee shall be taxed in the same manner as a
|
manufacturer of wine. A licensee who is not otherwise required |
to register under the Retailers' Occupation Tax Act must
|
register under the Use Tax Act to collect and remit use tax to
|
the Department of Revenue for all gallons of wine that are sold
|
by the licensee and shipped to persons in this State. If a
|
licensee fails to remit the tax imposed under this Act in
|
accordance with the provisions of Article VIII of this Act, the
|
winery shipper's license shall be revoked in accordance
with |
the provisions of Article VII of this Act. If a licensee
fails |
to properly register and remit tax under the Use Tax Act
or the |
|
Retailers' Occupation Tax Act for all wine that is sold
by the |
winery shipper and shipped to persons in this
State, the winery |
shipper's license shall be revoked in
accordance with the |
provisions of Article VII of this Act. |
A winery shipper licensee must collect, maintain, and
|
submit to the Commission on a semi-annual basis the
total |
number of cases per resident of wine shipped to residents
of |
this State.
A winery shipper licensed under this subsection (r)
|
must comply with the requirements of Section 6-29 of this |
amendatory Act.
|
(Source: P.A. 97-5, eff. 6-1-11; 97-455, eff. 8-19-11; 97-813, |
eff. 7-13-12; 97-1166, eff. 3-1-13; 98-394, eff. 8-16-13; |
98-401, eff. 8-16-13; revised 9-12-13.)
|
(235 ILCS 5/6-2) (from Ch. 43, par. 120)
|
Sec. 6-2. Issuance of licenses to certain persons |
prohibited.
|
(a) Except as otherwise provided in subsection (b) of this |
Section and in paragraph (1) of subsection (a) of Section 3-12, |
no license
of any kind issued by the State Commission or any |
local
commission shall be issued to:
|
(1) A person who is not a resident of any city, village |
or county in
which the premises covered by the license are |
located; except in case of
railroad or boat licenses.
|
(2) A person who is not of good character and |
reputation in the
community in which he resides.
|
|
(3) A person who is not a citizen of the United States.
|
(4) A person who has been convicted of a felony under |
any Federal or
State law, unless the Commission determines |
that such
person has been sufficiently rehabilitated to |
warrant the public trust
after considering matters set |
forth in such person's application and the
Commission's |
investigation. The burden of proof of sufficient
|
rehabilitation shall be on the applicant.
|
(5) A person who has been convicted of keeping a place |
of prostitution or keeping a place of juvenile |
prostitution, promoting prostitution that involves keeping |
a place of prostitution, or promoting juvenile |
prostitution that involves keeping a place of juvenile |
prostitution.
|
(6) A person who has been convicted of pandering or |
other crime or
misdemeanor opposed to decency and morality.
|
(7) A person whose license issued under this Act has |
been revoked for
cause.
|
(8) A person who at the time of application for renewal |
of any license
issued hereunder would not be eligible for |
such license upon a first
application.
|
(9) A copartnership, if any general partnership |
thereof, or any
limited partnership thereof, owning more |
than 5% of the aggregate limited
partner interest in such |
copartnership would not be eligible to receive a
license |
hereunder for any reason other than residence within the |
|
political
subdivision, unless residency is required by |
local ordinance.
|
(10) A corporation or limited liability company, if any |
member, officer, manager or director thereof, or
any |
stockholder or stockholders owning in the aggregate more |
than 5% of the
stock of such corporation, would not be |
eligible to receive a license
hereunder for any reason |
other than citizenship and residence within the
political |
subdivision.
|
(10a) A corporation or limited liability company |
unless it is incorporated or organized in Illinois, or |
unless it
is a foreign corporation or foreign limited |
liability company which is qualified under the Business
|
Corporation Act of 1983 or the Limited Liability Company |
Act to transact business in Illinois. The Commission shall |
permit and accept from an applicant for a license under |
this Act proof prepared from the Secretary of State's |
website that the corporation or limited liability company |
is in good standing and is qualified under the Business
|
Corporation Act of 1983 or the Limited Liability Company |
Act to transact business in Illinois.
|
(11) A person whose place of business is conducted by a |
manager or agent
unless the manager or agent possesses the |
same qualifications required by
the licensee.
|
(12) A person who has been convicted of a violation of |
any Federal or
State law concerning the manufacture, |
|
possession or sale of alcoholic
liquor, subsequent to the |
passage of this Act or has forfeited his bond to
appear in |
court to answer charges for any such violation.
|
(13) A person who does not beneficially own the |
premises for which a
license is sought, or does not have a |
lease thereon for the full period for
which the license is |
to be issued.
|
(14) Any law enforcing public official, including |
members
of local liquor control commissions,
any mayor, |
alderman, or member of the
city council or commission, any |
president of the village board of trustees,
any member of a |
village board of trustees, or any president or member of a
|
county board; and no such official shall have a direct |
interest in the
manufacture, sale, or distribution of |
alcoholic liquor, except that a
license
may be granted to |
such official in relation to premises that are
not
located |
within the territory subject to the jurisdiction of that |
official
if the issuance of such license is approved by the |
State Liquor Control
Commission
and except that a license |
may be granted, in a city or village with a
population of |
55,000 or less, to any alderman, member of a city council, |
or
member of a village board of trustees in relation to |
premises that are located
within the territory
subject to |
the jurisdiction of that official if (i) the sale of |
alcoholic
liquor pursuant to the license is incidental to |
the selling of food, (ii) the
issuance of the license is |
|
approved by the State Commission, (iii) the
issuance of the |
license is in accordance with all applicable local |
ordinances
in effect where the premises are located, and |
(iv) the official granted a
license does not vote on |
alcoholic liquor issues pending before the board or
council |
to which the license holder is elected. Notwithstanding any |
provision of this paragraph (14) to the contrary, an |
alderman or member of a city council or commission, a |
member of a village board of trustees other than the |
president of the village board of trustees, or a member of |
a county board other than the president of a county board |
may have a direct interest in the manufacture, sale, or |
distribution of alcoholic liquor as long as he or she is |
not a law enforcing public official, a mayor, a village |
board president, or president of a county board. To prevent |
any conflict of interest, the elected official with the |
direct interest in the manufacture, sale, or distribution |
of alcoholic liquor shall not participate in any meetings, |
hearings, or decisions on matters impacting the |
manufacture, sale, or distribution of alcoholic liquor. |
Furthermore, the mayor of a city with a population of |
55,000 or less or the president of a village with a |
population of 55,000 or less may have an interest in the |
manufacture, sale, or distribution of alcoholic liquor as |
long as the council or board over which he or she presides |
has made a local liquor control commissioner appointment |
|
that complies with the requirements of Section 4-2 of this |
Act.
|
(15) A person who is not a beneficial owner of the |
business to be
operated by the licensee.
|
(16) A person who has been convicted of a gambling |
offense as
proscribed by any of subsections (a) (3) through |
(a)
(11) of
Section 28-1 of, or as
proscribed by Section |
28-1.1 or 28-3 of, the Criminal Code of
1961 or the |
Criminal Code of 2012, or as proscribed by a
statute
|
replaced by any of the aforesaid statutory provisions.
|
(17) A person or entity to whom a federal wagering |
stamp has been
issued by the
federal government, unless the |
person or entity is eligible to be issued a
license under |
the Raffles Act or the Illinois Pull Tabs and Jar Games |
Act.
|
(18) A person who intends to sell alcoholic liquors for |
use or
consumption on his or her licensed retail premises |
who does not have liquor
liability insurance coverage for |
that premises in an amount that is at least
equal to the |
maximum liability amounts set out in subsection (a) of |
Section
6-21.
|
(19) A person who is licensed by any licensing |
authority as a manufacturer of beer, or any partnership, |
corporation, limited liability company, or trust or any |
subsidiary, affiliate, or agent thereof, or any other form |
of business enterprise licensed as a manufacturer of beer, |
|
having any legal, equitable, or beneficial interest, |
directly or indirectly, in a person licensed in this State |
as a distributor or importing distributor. For purposes of |
this paragraph (19), a person who is licensed by any |
licensing authority as a "manufacturer of beer" shall also |
mean a brewer and a non-resident dealer who is also a |
manufacturer of beer, including a partnership, |
corporation, limited liability company, or trust or any |
subsidiary, affiliate, or agent thereof, or any other form |
of business enterprise licensed as a manufacturer of beer. |
(20) A person who is licensed in this State as a |
distributor or importing distributor, or any partnership, |
corporation, limited liability company, or trust or any |
subsidiary, affiliate, or agent thereof, or any other form |
of business enterprise licensed in this State as a |
distributor or importing distributor having any legal, |
equitable, or beneficial interest, directly or indirectly, |
in a person licensed as a manufacturer of beer by any |
licensing authority, or any partnership, corporation, |
limited liability company, or trust or any subsidiary, |
affiliate, or agent thereof, or any other form of business |
enterprise, except for a person who owns, on or after the |
effective date of this amendatory Act of the 98th General |
Assembly, no more than 5% of the outstanding shares of a |
manufacturer of beer whose shares are publicly traded on an |
exchange within the meaning of the Securities Exchange Act |
|
of 1934. For the purposes of this paragraph (20), a person |
who is licensed by any licensing authority as a |
"manufacturer of beer" shall also mean a brewer and a |
non-resident dealer who is also a manufacturer of beer, |
including a partnership, corporation, limited liability |
company, or trust or any subsidiary, affiliate, or agent |
thereof, or any other form of business enterprise licensed |
as a manufacturer of beer. |
(b) A criminal conviction of a corporation is not grounds |
for the
denial, suspension, or revocation of a license applied |
for or held by the
corporation if the criminal conviction was |
not the result of a violation of any
federal or State law |
concerning the manufacture, possession or sale of
alcoholic |
liquor, the offense that led to the conviction did not result |
in any
financial gain to the corporation and the corporation |
has terminated its
relationship with each director, officer, |
employee, or controlling shareholder
whose actions directly |
contributed to the conviction of the corporation. The
|
Commission shall determine if all provisions of this subsection |
(b) have been
met before any action on the corporation's |
license is initiated.
|
(Source: P.A. 97-1059, eff. 8-24-12; 97-1150, eff. 1-25-13; |
98-10, eff. 5-6-13; 98-21, eff. 6-13-13, revised 9-24-13.)
|
(235 ILCS 5/6-6) (from Ch. 43, par. 123)
|
Sec. 6-6.
Except as otherwise provided in this Act no |
|
manufacturer or
distributor or importing distributor shall, |
directly , or indirectly,
sell, supply, furnish, give or pay |
for, or loan or lease, any
furnishing, fixture or equipment on |
the premises of a place of business
of another licensee |
authorized under this Act to sell alcoholic liquor
at retail, |
either for consumption on or off the premises, nor shall he or |
she ,
directly or indirectly, pay for any such license, or |
advance, furnish,
lend or give money for payment of such |
license, or purchase or become
the owner of any note, mortgage, |
or other evidence of indebtedness of
such licensee or any form |
of security therefor, nor shall such
manufacturer, or |
distributor, or importing distributor, directly or
indirectly, |
be interested in the ownership, conduct or operation of the
|
business of any licensee authorized to sell alcoholic liquor at |
retail,
nor shall any manufacturer, or distributor, or |
importing distributor be
interested directly or indirectly or |
as owner or part owner of said
premises or as lessee or lessor |
thereof, in any premises upon which
alcoholic liquor is sold at |
retail.
|
No manufacturer or distributor or importing distributor |
shall,
directly or indirectly or through a subsidiary or |
affiliate, or by any
officer, director or firm of such |
manufacturer, distributor or importing
distributor, furnish, |
give, lend or rent, install, repair or maintain,
to or for any |
retail licensee in this State, any
signs or inside advertising |
materials except as provided in this Section and
Section 6-5. |
|
With respect to
retail licensees, other than any government |
owned or operated auditorium,
exhibition hall, recreation |
facility or other similar facility holding a
retailer's license |
as described in Section 6-5, a manufacturer,
distributor, or |
importing distributor may furnish, give, lend or rent and
|
erect, install, repair and maintain to or for any retail |
licensee, for use
at any one time in or about or in connection |
with a retail establishment on
which the products of the |
manufacturer, distributor or importing
distributor are sold, |
the following signs and inside advertising materials
as |
authorized in subparts (i), (ii), (iii), and (iv):
|
(i) Permanent outside signs shall be limited to one |
outside sign, per
brand, in place and in use at any one |
time,
costing not more than $893, exclusive of erection,
|
installation, repair and maintenance costs, and permit |
fees and
shall bear only the manufacturer's name, brand |
name, trade name, slogans,
markings, trademark, or other |
symbols commonly associated with and generally
used in |
identifying the product including, but not limited to, |
"cold beer", "on
tap", "carry out", and "packaged liquor".
|
(ii) Temporary outside signs shall be
limited to one |
temporary outside sign per brand. Examples of temporary |
outside
signs are banners, flags, pennants,
streamers, and |
other items of a temporary and non-permanent
nature. Each |
temporary outside sign must include the manufacturer's |
name,
brand name, trade name, slogans, markings,
|
|
trademark, or other symbol commonly associated with and |
generally used in
identifying the product. Temporary |
outside signs may also include,
for example, the product,
|
price, packaging, date or dates of a promotion and an |
announcement of a
retail licensee's specific sponsored |
event, if the temporary outside sign is
intended to promote |
a product, and provided that the announcement of the retail
|
licensee's event and the product promotion are held |
simultaneously. However,
temporary outside signs may not |
include names, slogans, markings, or logos that
relate to |
the retailer. Nothing in this subpart (ii) shall prohibit a
|
distributor or importing distributor from bearing the cost |
of creating or
printing a temporary outside sign for the |
retail licensee's specific sponsored
event or from bearing |
the cost of creating or printing a temporary sign for a
|
retail licensee containing, for example, community |
goodwill expressions,
regional sporting event |
announcements, or seasonal messages, provided that the
|
primary purpose of the temporary outside sign is to |
highlight, promote, or
advertise the product.
In addition, |
temporary outside signs provided by the manufacturer to
the |
distributor or importing distributor may also include, for |
example, subject
to the limitations of this Section, |
preprinted community goodwill expressions,
sporting event |
announcements, seasonal messages, and manufacturer |
promotional
announcements. However, a distributor or |
|
importing distributor shall not bear
the cost of such |
manufacturer preprinted signs.
|
(iii) Permanent inside
signs, whether visible from the |
outside or the inside of the premises,
include, but are not |
limited to: alcohol lists and menus that may include
names, |
slogans, markings, or logos that relate to the retailer; |
neons;
illuminated signs; clocks; table lamps; mirrors; |
tap handles; decalcomanias;
window painting; and window |
trim. All permanent inside signs in place
and in use at any |
one time shall cost in the aggregate not more than $2000 |
per
manufacturer. A permanent inside sign must include the
|
manufacturer's name, brand name, trade name, slogans, |
markings, trademark, or
other symbol commonly associated |
with and generally used in identifying
the product. |
However,
permanent inside signs may not include names, |
slogans, markings, or logos
that relate to the retailer. |
For the purpose of this subpart (iii), all
permanent inside |
signs may be displayed in an adjacent courtyard or patio
|
commonly referred to as a "beer garden" that is a part of |
the retailer's
licensed premises.
|
(iv) Temporary inside signs shall include, but are not |
limited to, lighted
chalk boards, acrylic table tent |
beverage or hors d'oeuvre list holders,
banners, flags, |
pennants, streamers, and inside advertising materials such |
as
posters, placards, bowling sheets, table tents, inserts |
for acrylic table tent
beverage or hors d'oeuvre list |
|
holders, sports schedules,
or similar printed or |
illustrated materials; however, such items, for example,
|
as coasters, trays, napkins, glassware and cups shall not |
be deemed to be
inside signs or advertising materials and |
may only be sold to retailers. All
temporary inside signs |
and inside advertising materials in place and in use at
any |
one time shall cost in the aggregate not more than $325 per |
manufacturer.
Nothing in this subpart (iv) prohibits a |
distributor or importing distributor
from paying the cost |
of
printing or creating any temporary inside banner or |
inserts for acrylic table
tent beverage or hors d'oeuvre |
list holders for a retail licensee, provided
that the |
primary purpose for the banner or insert is to highlight, |
promote, or
advertise the product. For the purpose of this |
subpart (iv), all temporary
inside signs and inside |
advertising materials may be displayed in an adjacent
|
courtyard or patio commonly referred to as a "beer garden" |
that is a part of
the retailer's licensed premises.
|
A "cost adjustment factor" shall be used to periodically |
update the
dollar limitations prescribed in subparts (i), |
(iii), and (iv). The Commission
shall establish the adjusted |
dollar limitation on an annual basis beginning in
January, |
1997. The term "cost adjustment factor"
means a percentage |
equal to the change in the Bureau of Labor Statistics
Consumer |
Price Index or 5%, whichever is greater.
The restrictions |
contained in this Section 6-6 do not apply to signs, or
|
|
promotional or advertising materials furnished by |
manufacturers, distributors
or importing distributors to a |
government owned or operated facility holding
a retailer's |
license as described in Section 6-5.
|
No distributor or importing distributor shall directly or |
indirectly
or through a subsidiary or affiliate, or by any |
officer, director or
firm of such manufacturer, distributor or |
importing distributor,
furnish, give, lend or rent, install, |
repair or maintain, to or for any
retail licensee in this |
State, any signs or
inside advertising materials described in |
subparts (i), (ii), (iii), or (iv)
of this Section except as |
the agent for or on behalf of a manufacturer,
provided that the |
total cost of any signs and inside advertising materials
|
including but not limited to labor, erection, installation and |
permit fees
shall be paid by the manufacturer whose product or |
products said signs
and inside advertising materials advertise |
and except as follows:
|
A distributor or importing distributor may purchase from or |
enter into a
written agreement with a manufacturer or a |
manufacturer's designated supplier
and such manufacturer or |
the manufacturer's designated supplier may sell or
enter into |
an agreement to sell to a distributor or importing distributor
|
permitted signs and advertising materials described in |
subparts (ii), (iii), or
(iv) of this Section for the purpose |
of furnishing, giving, lending, renting,
installing, |
repairing, or maintaining such signs or advertising materials |
|
to or
for any retail licensee in this State. Any purchase by a |
distributor or
importing distributor from a manufacturer or a |
manufacturer's designated
supplier shall be voluntary and the |
manufacturer may not require the
distributor or the importing |
distributor to purchase signs or advertising
materials from the |
manufacturer or the manufacturer's designated supplier.
|
A distributor or importing distributor shall be deemed the |
owner of such
signs or advertising materials purchased from a |
manufacturer or
a manufacturer's designated supplier.
|
The provisions of Public Act 90-373
concerning signs or |
advertising materials delivered by a manufacturer to a
|
distributor or importing distributor shall apply only to signs |
or advertising
materials delivered on or after August 14, 1997.
|
No person engaged in the business of manufacturing, |
importing or
distributing alcoholic liquors shall, directly or |
indirectly, pay for,
or advance, furnish, or lend money for the |
payment of any license for
another. Any licensee who shall |
permit or assent, or be a party in any
way to any violation or |
infringement of the provisions of this Section
shall be deemed |
guilty of a violation of this Act, and any money loaned
|
contrary to a provision of this Act shall not be recovered |
back, or any
note, mortgage or other evidence of indebtedness, |
or security, or any
lease or contract obtained or made contrary |
to this Act shall be
unenforceable and void.
|
This Section shall not apply to airplane licensees |
exercising powers
provided in paragraph (i) of Section 5-1 of |
|
this Act.
|
(Source: P.A. 89-238, eff. 8-4-95; 89-529, eff. 7-19-96; |
90-373, eff.
8-14-97; 90-432, eff. 1-1-98; 90-655, eff. |
7-30-98; revised 9-24-13.)
|
(235 ILCS 5/6-15) (from Ch. 43, par. 130)
|
Sec. 6-15. No alcoholic liquors shall be sold or delivered |
in any
building belonging to or under the control of the State |
or any political
subdivision thereof except as provided in this |
Act. The corporate
authorities of any city, village, |
incorporated town, township, or county may provide by
|
ordinance, however, that alcoholic liquor may be sold or |
delivered in any
specifically designated building belonging to |
or under the control of the
municipality, township, or county, |
or in any building located on land under the
control of the |
municipality, township, or county; provided that such township |
or county complies with all
applicable local ordinances in any |
incorporated area of the township or county.
Alcoholic liquor |
may be delivered to and sold under the authority of a special |
use permit on any property owned by a conservation district |
organized under the Conservation District Act, provided that |
(i) the alcoholic liquor is sold only at an event authorized by |
the governing board of the conservation district, (ii) the |
issuance of the special use permit is authorized by the local |
liquor control commissioner of the territory in which the |
property is located, and (iii) the special use permit |
|
authorizes the sale of alcoholic liquor for one day or less. |
Alcoholic liquors may be delivered to and sold at any airport |
belonging to
or under the control of a municipality of more |
than 25,000 inhabitants, or
in any building or on any golf |
course owned by a park district organized under
the Park |
District
Code, subject to the approval of the governing board |
of the district, or
in any building or on any golf course owned |
by a forest preserve district
organized under the Downstate |
Forest Preserve District Act, subject to the
approval of the |
governing board of the district, or on the grounds
within 500 |
feet of any building owned by a forest preserve district
|
organized under the Downstate Forest Preserve District Act |
during
times when food is dispensed for consumption within
500 |
feet of the building from which the food is dispensed,
subject |
to the
approval of the
governing board of the district, or in a |
building owned by a Local Mass
Transit District organized under |
the Local Mass Transit District Act, subject
to the approval of |
the governing Board of the District, or in Bicentennial
Park, |
or
on the premises of the City of Mendota Lake Park
located |
adjacent to Route 51 in Mendota, Illinois, or on the premises |
of
Camden Park in Milan, Illinois, or in the community center |
owned by the
City of Loves Park that is located at 1000 River |
Park Drive in Loves Park,
Illinois, or, in connection with the |
operation of an established food
serving facility during times |
when food is dispensed for consumption on the
premises, and at |
the following aquarium and museums located in public
parks: Art |
|
Institute of Chicago, Chicago Academy of Sciences, Chicago
|
Historical Society, Field Museum of Natural History, Museum of |
Science and
Industry, DuSable Museum of African American |
History, John G. Shedd
Aquarium and Adler Planetarium, or at |
Lakeview Museum of Arts and Sciences
in Peoria, or in |
connection with the operation of the facilities of the
Chicago |
Zoological Society or the Chicago Horticultural Society on land
|
owned by the Forest Preserve District of Cook County,
or on any |
land used for a golf course or for recreational purposes
owned |
by the Forest Preserve District of Cook County, subject to the |
control
of the Forest Preserve District Board of Commissioners |
and applicable local
law, provided that dram shop liability |
insurance is provided at
maximum coverage limits so as to hold |
the
District harmless from all financial loss, damage, and |
harm,
or in any building
located on land owned by the Chicago |
Park District if approved by the Park
District Commissioners, |
or on any land used for a golf course or for
recreational |
purposes and owned by the Illinois International Port District |
if
approved by the District's governing board, or at any |
airport, golf course,
faculty center, or
facility in which |
conference and convention type activities take place
belonging |
to or under control of any State university or public community
|
college district, provided that with respect to a facility for |
conference
and convention type activities alcoholic liquors |
shall be limited to the
use of the convention or conference |
participants or participants
in cultural, political or |
|
educational activities held in such facilities,
and provided |
further that the faculty or staff of the State university or
a |
public community college district, or members of an |
organization of
students, alumni, faculty or staff of the State |
university or a public
community college district are active |
participants in the conference
or convention, or in Memorial |
Stadium on the campus of the University of
Illinois at |
Urbana-Champaign during games in which the
Chicago Bears |
professional football team is playing in that stadium during |
the
renovation of Soldier Field, not more than one and a half |
hours before the
start of the game and not after the end of the |
third quarter of the game,
or in the Pavilion Facility on the |
campus of the University of Illinois at Chicago during games in |
which the Chicago Storm professional soccer team is playing in |
that facility, not more than one and a half hours before the |
start of the game and not after the end of the third quarter of |
the game, or in the Pavilion Facility on the campus of the |
University of Illinois at Chicago during games in which the |
WNBA professional women's basketball team is playing in that |
facility, not more than one and a half hours before the start |
of the game and not after the 10-minute mark of the second half |
of the game, or by a catering establishment which has rented |
facilities
from a board of trustees of a public community |
college district, or in a restaurant that is operated by a |
commercial tenant in the North Campus Parking Deck building |
that (1) is located at 1201 West University Avenue, Urbana, |
|
Illinois and (2) is owned by the Board of Trustees of the |
University of Illinois, or, if
approved by the District board, |
on land owned by the Metropolitan Sanitary
District of Greater |
Chicago and leased to others for a term of at least
20 years. |
Nothing in this Section precludes the sale or delivery of
|
alcoholic liquor in the form of original packaged goods in |
premises located
at 500 S. Racine in Chicago belonging to the |
University of Illinois and
used primarily as a grocery store by |
a commercial tenant during the term of
a lease that predates |
the University's acquisition of the premises; but the
|
University shall have no power or authority to renew, transfer, |
or extend
the lease with terms allowing the sale of alcoholic |
liquor; and the sale of
alcoholic liquor shall be subject to |
all local laws and regulations.
After the acquisition by |
Winnebago County of the property located at 404
Elm Street in |
Rockford, a commercial tenant who sold alcoholic liquor at
|
retail on a portion of the property under a valid license at |
the time of
the acquisition may continue to do so for so long |
as the tenant and the
County may agree under existing or future |
leases, subject to all local laws
and regulations regarding the |
sale of alcoholic liquor. Alcoholic liquors may be delivered to |
and sold at Memorial Hall, located at 211 North Main Street, |
Rockford, under conditions approved by Winnebago County and |
subject to all local laws and regulations regarding the sale of |
alcoholic liquor. Each
facility shall provide dram shop |
liability in maximum insurance coverage
limits so as to save |
|
harmless the State, municipality, State university,
airport, |
golf course, faculty center, facility in which conference and
|
convention type activities take place, park district, Forest |
Preserve
District, public community college district, |
aquarium, museum, or sanitary
district from all financial loss, |
damage or harm. Alcoholic liquors may be
sold at retail in |
buildings of golf courses owned by municipalities or Illinois |
State University in
connection with the operation of an |
established food serving facility
during times when food is |
dispensed for consumption upon the premises.
Alcoholic liquors |
may be delivered to and sold at retail in any building
owned by |
a fire protection district organized under the Fire Protection
|
District Act, provided that such delivery and sale is approved |
by the board
of trustees of the district, and provided further |
that such delivery and
sale is limited to fundraising events |
and to a maximum of 6 events per year. However, the limitation |
to fundraising events and to a maximum of 6 events per year |
does not apply to the delivery, sale, or manufacture of |
alcoholic liquors at the building located at 59 Main Street in |
Oswego, Illinois, owned by the Oswego Fire Protection District |
if the alcoholic liquor is sold or dispensed as approved by the |
Oswego Fire Protection District and the property is no longer |
being utilized for fire protection purposes.
|
Alcoholic liquors may be served or sold in buildings under |
the control of the Board of Trustees of the University of |
Illinois for events that the Board may determine are public |
|
events and not related student activities. The Board of |
Trustees shall issue a written policy within 6 months of the |
effective date of this amendatory Act of the 95th General |
Assembly concerning the types of events that would be eligible |
for an exemption. Thereafter, the Board of Trustees may issue |
revised, updated, new, or amended policies as it deems |
necessary and appropriate. In preparing its written policy, the |
Board of Trustees shall, among other factors it considers |
relevant and important, give consideration to the following: |
(i) whether the event is a student activity or student related |
activity; (ii) whether the physical setting of the event is |
conducive to control of liquor sales and distribution; (iii) |
the ability of the event operator to ensure that the sale or |
serving of alcoholic liquors and the demeanor of the |
participants are in accordance with State law and University |
policies; (iv) regarding the anticipated attendees at the |
event, the relative proportion of individuals under the age of |
21 to individuals age 21 or older; (v) the ability of the venue |
operator to prevent the sale or distribution of alcoholic |
liquors to individuals under the age of 21; (vi) whether the |
event prohibits participants from removing alcoholic beverages |
from the venue; and (vii) whether the event prohibits |
participants from providing their own alcoholic liquors to the |
venue. In addition, any policy submitted by the Board of |
Trustees to the Illinois Liquor Control Commission must require |
that any event at which alcoholic liquors are served or sold in |
|
buildings under the control of the Board of Trustees shall |
require the prior written approval of the Office of the |
Chancellor for the University campus where the event is |
located. The Board of Trustees shall submit its policy, and any |
subsequently revised, updated, new, or amended policies, to the |
Illinois Liquor Control Commission, and any University event, |
or location for an event, exempted under such policies shall |
apply for a license under the applicable Sections of this Act. |
Alcoholic liquors may be served or sold in buildings under
|
the control of the Board of Trustees of Northern Illinois |
University
for events that the Board may determine are public
|
events and not student-related activities. The Board of
|
Trustees shall issue a written policy within 6 months after |
June 28, 2011 (the
effective date of Public Act 97-45) |
concerning the types of events that would be eligible
for an |
exemption. Thereafter, the Board of Trustees may issue
revised, |
updated, new, or amended policies as it deems
necessary and |
appropriate. In preparing its written policy, the
Board of |
Trustees shall, in addition to other factors it considers
|
relevant and important, give consideration to the following:
|
(i) whether the event is a student activity or student-related
|
activity; (ii) whether the physical setting of the event is
|
conducive to control of liquor sales and distribution; (iii)
|
the ability of the event operator to ensure that the sale or
|
serving of alcoholic liquors and the demeanor of the
|
participants are in accordance with State law and University
|
|
policies; (iv) the anticipated attendees at the
event and the |
relative proportion of individuals under the age of
21 to |
individuals age 21 or older; (v) the ability of the venue
|
operator to prevent the sale or distribution of alcoholic
|
liquors to individuals under the age of 21; (vi) whether the
|
event prohibits participants from removing alcoholic beverages
|
from the venue; and (vii) whether the event prohibits
|
participants from providing their own alcoholic liquors to the
|
venue. |
Alcoholic liquors may be served or sold in buildings under |
the control of the Board of Trustees of Chicago State |
University for events that the Board may determine are public |
events and not student-related activities. The Board of |
Trustees shall issue a written policy within 6 months after |
August 2, 2013 ( the effective date of Public Act 98-132) this |
amendatory Act of the 98th General Assembly concerning the |
types of events that would be eligible for an exemption. |
Thereafter, the Board of Trustees may issue revised, updated, |
new, or amended policies as it deems necessary and appropriate. |
In preparing its written policy, the Board of Trustees shall, |
in addition to other factors it considers relevant and |
important, give consideration to the following: (i) whether the |
event is a student activity or student-related activity; (ii) |
whether the physical setting of the event is conducive to |
control of liquor sales and distribution; (iii) the ability of |
the event operator to ensure that the sale or serving of |
|
alcoholic liquors and the demeanor of the participants are in |
accordance with State law and University policies; (iv) the |
anticipated attendees at the event and the relative proportion |
of individuals under the age of 21 to individuals age 21 or |
older; (v) the ability of the venue operator to prevent the |
sale or distribution of alcoholic liquors to individuals under |
the age of 21; (vi) whether the event prohibits participants |
from removing alcoholic beverages from the venue; and (vii) |
whether the event prohibits participants from providing their |
own alcoholic liquors to the venue. |
Alcoholic liquors may be served or sold in buildings under
|
the control of the Board of Trustees of Illinois State |
University
for events that the Board may determine are public
|
events and not student-related activities. The Board of
|
Trustees shall issue a written policy within 6 months after the |
effective date of this amendatory Act of the 97th General |
Assembly concerning the types of events that would be eligible
|
for an exemption. Thereafter, the Board of Trustees may issue
|
revised, updated, new, or amended policies as it deems
|
necessary and appropriate. In preparing its written policy, the
|
Board of Trustees shall, in addition to other factors it |
considers
relevant and important, give consideration to the |
following:
(i) whether the event is a student activity or |
student-related
activity; (ii) whether the physical setting of |
the event is
conducive to control of liquor sales and |
distribution; (iii)
the ability of the event operator to ensure |
|
that the sale or
serving of alcoholic liquors and the demeanor |
of the
participants are in accordance with State law and |
University
policies; (iv) the anticipated attendees at the
|
event and the relative proportion of individuals under the age |
of
21 to individuals age 21 or older; (v) the ability of the |
venue
operator to prevent the sale or distribution of alcoholic
|
liquors to individuals under the age of 21; (vi) whether the
|
event prohibits participants from removing alcoholic beverages
|
from the venue; and (vii) whether the event prohibits
|
participants from providing their own alcoholic liquors to the
|
venue. |
Alcoholic liquor may be delivered to and sold at retail in |
the
Dorchester Senior Business Center owned by the Village of |
Dolton if the
alcoholic liquor is sold or dispensed only in |
connection with organized
functions for which the planned |
attendance is 20 or more persons, and if
the person or facility |
selling or dispensing the alcoholic liquor has
provided dram |
shop liability insurance in maximum limits so as to hold
|
harmless the Village of Dolton and the State from all financial |
loss,
damage and harm.
|
Alcoholic liquors may be delivered to and sold at retail in |
any
building used as an Illinois State Armory provided:
|
(i) the Adjutant General's written consent to the |
issuance of a
license to sell alcoholic liquor in such |
building is filed with the
Commission;
|
(ii) the alcoholic liquor is sold or dispensed only in |
|
connection
with organized functions held on special |
occasions;
|
(iii) the organized function is one for which the |
planned attendance
is 25 or more persons; and
|
(iv) the facility selling or dispensing the alcoholic |
liquors has
provided dram shop liability insurance in |
maximum limits so as to save
harmless the facility and the |
State from all financial loss, damage or harm.
|
Alcoholic liquors may be delivered to and sold at retail in |
the Chicago
Civic Center, provided that:
|
(i) the written consent of the Public Building |
Commission which
administers the Chicago Civic Center is |
filed with the Commission;
|
(ii) the alcoholic liquor is sold or dispensed only in |
connection with
organized functions held on special |
occasions;
|
(iii) the organized function is one for which the |
planned attendance is
25 or more persons;
|
(iv) the facility selling or dispensing the alcoholic |
liquors has
provided dram shop liability insurance in |
maximum limits so as to hold
harmless the Civic Center, the |
City of Chicago and the State from all
financial loss, |
damage or harm; and
|
(v) all applicable local ordinances are complied with.
|
Alcoholic liquors may be delivered or sold in any building |
belonging to
or under the control of any city, village or |
|
incorporated town where more
than 75% of the physical |
properties of the building is used for commercial
or |
recreational purposes, and the building is located upon a pier |
extending
into or over the waters of a navigable lake or stream |
or on the shore of a
navigable lake or stream.
In accordance |
with a license issued under this Act, alcoholic liquor may be |
sold, served, or delivered in buildings and facilities under
|
the control
of the Department of Natural Resources during |
events or activities lasting no more than 7 continuous days |
upon the written approval of the
Director of
Natural Resources |
acting as the controlling government authority. The Director
of
|
Natural Resources may specify conditions on that approval, |
including but not
limited to
requirements for insurance and |
hours of operation.
Notwithstanding any other provision of this |
Act, alcoholic liquor sold by a
United States Army Corps of |
Engineers or Department of Natural
Resources
concessionaire |
who was operating on June 1, 1991 for on-premises consumption
|
only is not subject to the provisions of Articles IV and IX. |
Beer and wine
may be sold on the premises of the Joliet Park |
District Stadium owned by
the Joliet Park District when written |
consent to the issuance of a license
to sell beer and wine in |
such premises is filed with the local liquor
commissioner by |
the Joliet Park District. Beer and wine may be sold in
|
buildings on the grounds of State veterans' homes when written |
consent to
the issuance of a license to sell beer and wine in |
such buildings is filed
with the Commission by the Department |
|
of Veterans' Affairs, and the
facility shall provide dram shop |
liability in maximum insurance coverage
limits so as to save |
the facility harmless from all financial loss, damage
or harm. |
Such liquors may be delivered to and sold at any property owned |
or
held under lease by a Metropolitan Pier and Exposition |
Authority or
Metropolitan Exposition and Auditorium Authority.
|
Beer and wine may be sold and dispensed at professional |
sporting events
and at professional concerts and other |
entertainment events conducted on
premises owned by the Forest |
Preserve District of Kane County, subject to
the control of the |
District Commissioners and applicable local law,
provided that |
dram shop liability insurance is provided at maximum coverage
|
limits so as to hold the District harmless from all financial |
loss, damage
and harm.
|
Nothing in this Section shall preclude the sale or delivery |
of beer and
wine at a State or county fair or the sale or |
delivery of beer or wine at a
city fair in any otherwise lawful |
manner.
|
Alcoholic liquors may be sold at retail in buildings in |
State parks
under the control of the Department of Natural |
Resources,
provided:
|
a. the State park has overnight lodging facilities with |
some
restaurant facilities or, not having overnight |
lodging facilities, has
restaurant facilities which serve |
complete luncheon and dinner or
supper meals,
|
b. consent to the issuance of a license to sell |
|
alcoholic liquors in
the buildings has been filed with the |
commission by the Department of
Natural Resources, and
|
c. the alcoholic liquors are sold by the State park |
lodge or
restaurant concessionaire only during the hours |
from 11 o'clock a.m. until
12 o'clock midnight. |
Notwithstanding any other provision of this Act,
alcoholic |
liquor sold by the State park or restaurant concessionaire |
is not
subject to the provisions of Articles IV and IX.
|
Alcoholic liquors may be sold at retail in buildings on |
properties
under the control of the Historic Sites and |
Preservation Division of the
Historic Preservation
Agency or |
the Abraham Lincoln Presidential Library and Museum provided:
|
a. the property has overnight lodging facilities with |
some restaurant
facilities or, not having overnight |
lodging facilities, has restaurant
facilities which serve |
complete luncheon and dinner or supper meals,
|
b. consent to the issuance of a license to sell |
alcoholic liquors in
the buildings has been filed with the |
commission by the Historic Sites and
Preservation Division
|
of the Historic
Preservation Agency or the Abraham Lincoln |
Presidential Library and Museum,
and
|
c. the alcoholic liquors are sold by the lodge or |
restaurant
concessionaire only during the hours from 11 |
o'clock a.m. until 12 o'clock
midnight.
|
The sale of alcoholic liquors pursuant to this Section does |
not
authorize the establishment and operation of facilities |
|
commonly called
taverns, saloons, bars, cocktail lounges, and |
the like except as a part
of lodge and restaurant facilities in |
State parks or golf courses owned
by Forest Preserve Districts |
with a population of less than 3,000,000 or
municipalities or |
park districts.
|
Alcoholic liquors may be sold at retail in the Springfield
|
Administration Building of the Department of Transportation |
and the
Illinois State Armory in Springfield; provided, that |
the controlling
government authority may consent to such sales |
only if
|
a. the request is from a not-for-profit organization;
|
b. such sales would not impede normal operations of the |
departments
involved;
|
c. the not-for-profit organization provides dram shop |
liability in
maximum insurance coverage limits and agrees |
to defend, save harmless
and indemnify the State of |
Illinois from all financial loss, damage or harm;
|
d. no such sale shall be made during normal working |
hours of the
State of Illinois; and
|
e. the consent is in writing.
|
Alcoholic liquors may be sold at retail in buildings in |
recreational
areas of river conservancy districts under the |
control of, or leased
from, the river conservancy districts. |
Such sales are subject to
reasonable local regulations as |
provided in Article IV; however, no such
regulations may |
prohibit or substantially impair the sale of alcoholic
liquors |
|
on Sundays or Holidays.
|
Alcoholic liquors may be provided in long term care |
facilities owned or
operated by a county under Division 5-21 or |
5-22 of the Counties Code,
when approved by the facility |
operator and not in conflict
with the regulations of the |
Illinois Department of Public Health, to
residents of the |
facility who have had their consumption of the alcoholic
|
liquors provided approved in writing by a physician licensed to |
practice
medicine in all its branches.
|
Alcoholic liquors may be delivered to and dispensed in |
State housing
assigned to employees of the Department of |
Corrections.
No person shall furnish or allow to be furnished |
any alcoholic
liquors to any prisoner confined in any jail, |
reformatory, prison or house
of correction except upon a |
physician's prescription for medicinal purposes.
|
Alcoholic liquors may be sold at retail or dispensed at the |
Willard Ice
Building in Springfield, at the State Library in |
Springfield, and at
Illinois State Museum facilities by (1) an
|
agency of the State, whether legislative, judicial or |
executive, provided
that such agency first obtains written |
permission to sell or dispense
alcoholic liquors from the |
controlling government authority, or by (2) a
not-for-profit |
organization, provided that such organization:
|
a. Obtains written consent from the controlling |
government authority;
|
b. Sells or dispenses the alcoholic liquors in a manner |
|
that does not
impair normal operations of State offices |
located in the building;
|
c. Sells or dispenses alcoholic liquors only in |
connection with an
official activity in the building;
|
d. Provides, or its catering service provides, dram |
shop liability
insurance in maximum coverage limits and in |
which the carrier agrees to
defend, save harmless and |
indemnify the State of Illinois from all
financial loss, |
damage or harm arising out of the selling or dispensing of
|
alcoholic liquors.
|
Nothing in this Act shall prevent a not-for-profit |
organization or agency
of the State from employing the services |
of a catering establishment for
the selling or dispensing of |
alcoholic liquors at authorized functions.
|
The controlling government authority for the Willard Ice |
Building in
Springfield shall be the Director of the Department |
of Revenue. The
controlling government authority for Illinois |
State Museum facilities shall
be the Director of the Illinois |
State Museum. The controlling government
authority for the |
State Library in Springfield shall be the Secretary of State.
|
Alcoholic liquors may be delivered to and sold at retail or |
dispensed
at any facility, property or building under the |
jurisdiction of the
Historic Sites and Preservation Division of |
the
Historic Preservation Agency
or the Abraham
Lincoln |
Presidential Library and Museum
where the delivery, sale or
|
dispensing is by (1)
an agency of the State, whether |
|
legislative, judicial or executive,
provided that such agency |
first obtains written permission to sell or
dispense alcoholic |
liquors from a controlling government authority, or by (2) an |
individual or organization provided that such individual or |
organization:
|
a. Obtains written consent from the controlling |
government authority;
|
b. Sells or dispenses the alcoholic liquors in a manner |
that does not
impair normal workings of State offices or |
operations located at the
facility, property or building;
|
c. Sells or dispenses alcoholic liquors only in |
connection with an
official activity of the individual or |
organization in the facility,
property or building;
|
d. Provides, or its catering service provides, dram |
shop liability
insurance in maximum coverage limits and in |
which the carrier agrees to
defend, save harmless and |
indemnify the State of Illinois from all
financial loss, |
damage or harm arising out of the selling or dispensing of
|
alcoholic liquors.
|
The controlling government authority for the
Historic |
Sites and Preservation Division of the
Historic Preservation |
Agency
shall be the Director of the Historic Sites and |
Preservation, and the
controlling
government authority for the |
Abraham Lincoln Presidential Library and Museum
shall be the |
Director of the Abraham Lincoln Presidential Library and |
Museum.
|
|
Alcoholic liquors may be delivered to and sold at retail or |
dispensed for
consumption at the Michael Bilandic Building at |
160 North LaSalle Street,
Chicago IL 60601, after the normal |
business hours of any day care or child care
facility located |
in the building, by (1) a commercial tenant or subtenant
|
conducting business on the premises under a lease made pursuant |
to Section
405-315 of the Department of Central Management |
Services Law (20 ILCS
405/405-315), provided that such tenant |
or subtenant who accepts delivery of,
sells, or dispenses |
alcoholic liquors shall procure and maintain dram shop
|
liability insurance in maximum coverage limits and in which the |
carrier
agrees to defend, indemnify, and save harmless the |
State of Illinois from
all financial loss, damage, or harm |
arising out of the delivery, sale, or
dispensing of alcoholic |
liquors, or by (2) an agency of the State, whether
legislative, |
judicial, or executive, provided that such agency first obtains
|
written permission to accept delivery of and sell or dispense |
alcoholic liquors
from the Director of Central Management |
Services, or by (3) a not-for-profit
organization, provided |
that such organization:
|
a. obtains written consent from the Department of |
Central Management
Services;
|
b. accepts delivery of and sells or dispenses the |
alcoholic liquors in a
manner that does not impair normal |
operations of State offices located in the
building;
|
c. accepts delivery of and sells or dispenses alcoholic |
|
liquors only in
connection with an official activity in the |
building; and
|
d. provides, or its catering service provides, dram |
shop liability
insurance in maximum coverage limits and in |
which the carrier agrees to
defend, save harmless, and |
indemnify the State of Illinois from all
financial loss, |
damage, or harm arising out of the selling or dispensing of
|
alcoholic liquors.
|
Nothing in this Act shall prevent a not-for-profit |
organization or agency
of the State from employing the services |
of a catering establishment for
the selling or dispensing of |
alcoholic liquors at functions authorized by
the Director of |
Central Management Services.
|
Alcoholic liquors may be sold at retail or dispensed at the |
James R.
Thompson Center in Chicago, subject to the provisions |
of Section 7.4 of the
State Property Control Act, and 222 South |
College Street in Springfield,
Illinois by (1) a commercial |
tenant or subtenant conducting business on the
premises under a |
lease or sublease made pursuant to Section 405-315 of the
|
Department of Central Management Services Law (20 ILCS |
405/405-315), provided
that such tenant or subtenant who
sells |
or dispenses alcoholic liquors shall procure and maintain dram |
shop
liability insurance in maximum coverage limits and in |
which the carrier
agrees to defend, indemnify and save harmless |
the State of Illinois from
all financial loss, damage or harm |
arising out of the sale or dispensing of
alcoholic liquors, or |
|
by (2) an agency of the State, whether legislative,
judicial or |
executive, provided that such agency first obtains written
|
permission to sell or dispense alcoholic liquors from the |
Director of
Central Management Services, or by (3) a |
not-for-profit organization,
provided that such organization:
|
a. Obtains written consent from the Department of |
Central Management
Services;
|
b. Sells or dispenses the alcoholic liquors in a manner |
that does not
impair normal operations of State offices |
located in the building;
|
c. Sells or dispenses alcoholic liquors only in |
connection with an
official activity in the building;
|
d. Provides, or its catering service provides, dram |
shop liability
insurance in maximum coverage limits and in |
which the carrier agrees to
defend, save harmless and |
indemnify the State of Illinois from all
financial loss, |
damage or harm arising out of the selling or dispensing of
|
alcoholic liquors.
|
Nothing in this Act shall prevent a not-for-profit |
organization or agency
of the State from employing the services |
of a catering establishment for
the selling or dispensing of |
alcoholic liquors at functions authorized by
the Director of |
Central Management Services.
|
Alcoholic liquors may be sold or delivered at any facility |
owned by the
Illinois Sports Facilities Authority provided that |
dram shop liability
insurance has been made available in a |
|
form, with such coverage and in such
amounts as the Authority |
reasonably determines is necessary.
|
Alcoholic liquors may be sold at retail or dispensed at the |
Rockford
State Office Building by (1) an agency of the State, |
whether legislative,
judicial or executive, provided that such |
agency first obtains written
permission to sell or dispense |
alcoholic liquors from the Department of
Central Management |
Services, or by (2) a not-for-profit organization,
provided |
that such organization:
|
a. Obtains written consent from the Department of |
Central Management
Services;
|
b. Sells or dispenses the alcoholic liquors in a manner |
that does not
impair normal operations of State offices |
located in the building;
|
c. Sells or dispenses alcoholic liquors only in |
connection with an
official activity in the building;
|
d. Provides, or its catering service provides, dram |
shop liability
insurance in maximum coverage limits and in |
which the carrier agrees to defend,
save harmless and |
indemnify the State of Illinois from all financial loss,
|
damage or harm arising out of the selling or dispensing of |
alcoholic liquors.
|
Nothing in this Act shall prevent a not-for-profit |
organization or agency
of the State from employing the services |
of a catering establishment for
the selling or dispensing of |
alcoholic liquors at functions authorized by
the Department of |
|
Central Management Services.
|
Alcoholic liquors may be sold or delivered in a building |
that is owned
by McLean County, situated on land owned by the |
county in the City of
Bloomington, and used by the McLean |
County Historical Society if the sale
or delivery is approved |
by an ordinance adopted by the county board, and
the |
municipality in which the building is located may not prohibit |
that
sale or delivery, notwithstanding any other provision of |
this Section. The
regulation of the sale and delivery of |
alcoholic liquor in a building that
is owned by McLean County, |
situated on land owned by the county, and used
by the McLean |
County Historical Society as provided in this paragraph is an
|
exclusive power and function of the State and is a denial and |
limitation
under Article VII, Section 6, subsection (h) of the |
Illinois Constitution
of the power of a home rule municipality |
to regulate that sale and delivery.
|
Alcoholic liquors may be sold or delivered in any building |
situated on
land held in trust for any school district |
organized under Article 34 of
the School Code, if the building |
is not used for school purposes and if the
sale or delivery is |
approved by the board of education.
|
Alcoholic liquors may be sold or delivered in buildings |
owned
by the Community Building Complex Committee of Boone |
County,
Illinois if the person or facility selling or |
dispensing the
alcoholic liquor has provided dram shop |
liability insurance with coverage and
in amounts that the |
|
Committee reasonably determines are necessary.
|
Alcoholic liquors may be sold or delivered in the building |
located at
1200 Centerville Avenue in Belleville, Illinois and |
occupied by either the
Belleville Area Special Education |
District or the Belleville Area Special
Services
Cooperative. |
Alcoholic liquors may be delivered to and sold at the Louis |
Joliet
Renaissance Center, City Center Campus, located at 214 |
N. Ottawa Street,
Joliet, and
the Food Services/Culinary Arts |
Department facilities, Main Campus, located at
1215 Houbolt |
Road, Joliet, owned by or under the control of Joliet Junior
|
College,
Illinois Community College District No. 525.
|
Alcoholic liquors may be delivered to and sold at Triton |
College, Illinois Community College District No. 504. |
Alcoholic liquors may be delivered to and sold at the |
College of DuPage, Illinois Community College District No. 502. |
Alcoholic liquors may be delivered to and sold at the |
building located at 446 East Hickory Avenue in Apple River, |
Illinois, owned by the Apple River Fire Protection District, |
and occupied by the Apple River Community Association if the |
alcoholic liquor is sold or dispensed only in connection with |
organized functions approved by the Apple River Community |
Association for which the planned attendance is 20 or more |
persons and if the person or facility selling or dispensing the |
alcoholic liquor has provided dram shop liability insurance in |
maximum limits so as to hold harmless the Apple River Fire |
Protection District, the Village of Apple River, and the Apple |
|
River Community Association from all financial loss, damage, |
and harm. |
Alcoholic liquors may be delivered to and sold at the Sikia |
Restaurant, Kennedy King College Campus, located at 740 West |
63rd Street, Chicago, and at the Food Services in the Great |
Hall/Washburne Culinary Institute Department facility, Kennedy |
King College Campus, located at 740 West 63rd Street, Chicago, |
owned by or under the control of City Colleges of Chicago, |
Illinois Community College District No. 508.
|
(Source: P.A. 97-33, eff. 6-28-11; 97-45, eff. 6-28-11; 97-51, |
eff. 6-28-11; 97-167, eff. 7-22-11; 97-250, eff. 8-4-11; |
97-395, eff. 8-16-11; 97-813, eff. 7-13-12; 97-1166, eff. |
3-1-13; 98-132, eff. 8-2-13; 98-201, eff. 8-9-13; revised |
9-24-13.)
|
(235 ILCS 5/7-1) (from Ch. 43, par. 145)
|
Sec. 7-1.
An applicant for a retail license from the State |
Commission
shall submit to the State Commission an application |
in writing under oath
stating:
|
(1) The applicant's name and mailing address;
|
(2) The name and address of the applicant's business;
|
(3) If applicable, the date of the filing of the |
"assumed name" of
the business with the County Clerk;
|
(4) In case of a copartnership, the date of the |
formation of the
partnership; in the case of an Illinois |
corporation, the date of its
incorporation; or in the case |
|
of a foreign corporation, the State where
it was |
incorporated and the date of its becoming qualified under |
the Business
Corporation Act of 1983 to transact business |
in the State of Illinois;
|
(5) The number, the date of issuance and the date of |
expiration of
the applicant's current local retail liquor |
license;
|
(6) The name of the city, village, or county that |
issued the local
retail liquor license;
|
(7) The name and address of the landlord if the |
premises are leased;
|
(8) The date of the applicant's first request for a |
State liquor
license and whether it was granted, denied or |
withdrawn;
|
(9) The address of the applicant when the first |
application for a
State liquor license was made;
|
(10) The applicant's current State liquor license |
number;
|
(11) The date the applicant began liquor sales at his |
place of business;
|
(12) The address of the applicant's warehouse if he |
warehouses liquor;
|
(13) The applicant's Retailers' Retailer's Occupation |
Tax (ROT) Registration Number;
|
(14) The applicant's document locator locater number |
on his Federal Special
Tax Stamp;
|
|
(15) Whether the applicant is delinquent in the payment |
of the
Retailers' Occupation Retailer's Occupational Tax |
(Sales Tax), and if so, the reasons therefor;
|
(16) Whether the applicant is delinquent under the cash |
beer law,
and if so, the reasons therefor;
|
(17) In the case of a retailer, whether he is |
delinquent under the
30-day 30 day credit law, and if so, |
the reasons therefor;
|
(18) In the case of a distributor, whether he is |
delinquent under
the 15-day 15 day credit law, and if so, |
the reasons therefor;
|
(19) Whether the applicant has made an application for |
a liquor
license which has been denied, and if so, the |
reasons therefor;
|
(20) Whether the applicant has ever had any previous |
liquor license
suspended or revoked, and if so, the reasons |
therefor;
|
(21) Whether the applicant has ever been convicted of a |
gambling
offense or felony, and if so, the particulars |
thereof;
|
(22) Whether the applicant possesses a current Federal |
Wagering Stamp,
and if so, the reasons therefor;
|
(23) Whether the applicant, or any other person, |
directly in his place
of business is a public official, and |
if so, the particulars thereof;
|
(24) The applicant's name, sex, date of birth, social |
|
security
number, position and percentage of ownership in |
the business; and the
name, sex, date of birth, social |
security number, position and
percentage of ownership in |
the business of every sole owner, partner,
corporate |
officer, director, manager and any person who owns 5% or |
more
of the shares of the applicant business entity or |
parent corporations of
the applicant business entity; and
|
(25) That he has not received or borrowed money or |
anything else of
value, and that he will not receive or |
borrow money or anything else of
value (other than |
merchandising credit in the ordinary course of
business for |
a period not to exceed 90 days as herein expressly
|
permitted under Section 6-5 hereof), directly or
|
indirectly, from any manufacturer, importing distributor |
or
distributor or from any representative of any such |
manufacturer,
importing distributor or distributor, nor be |
a party in
any way, directly or indirectly, to any |
violation by a manufacturer,
distributor or importing |
distributor of Section 6-6 of this Act.
|
In addition to any other requirement of this Section, an |
applicant for
a special use permit license and a special event |
retailer's license shall
also submit (A) proof satisfactory to |
the Commission that the applicant
has a resale number issued |
under Section 2c of the Retailers' Retailer's Occupation Tax
|
Act or that the applicant is registered under Section 2a of the |
Retailers' Retailer's
Occupation Tax Act, (B) proof |
|
satisfactory to the Commission that the
applicant has a |
current, valid exemption identification number issued under
|
Section 1g of the Retailers' Occupation Tax Act and a |
certification to the
Commission that the purchase of alcoholic |
liquors will be a tax-exempt
purchase, or (C) a statement that |
the applicant is not registered under
Section 2a of the |
Retailers' Occupation Tax Act, does not hold a resale
number |
under Section 2c of the Retailers' Occupation Tax Act, and does |
not
hold an exemption number under Section 1g of the Retailers' |
Occupation
Tax Act.
The applicant shall also submit proof of |
adequate dram shop
insurance for the special event prior to |
being issued a license.
|
In addition to the foregoing information, such application |
shall
contain such other and further information as the State |
Commission and
the local commission may, by rule or regulation |
not inconsistent with
law, prescribe.
|
If the applicant reports a felony conviction as required |
under
paragraph (21) of this Section, such conviction may be |
considered by the
Commission in determining qualifications for |
licensing, but shall not
operate as a bar to licensing.
|
If said application is made in behalf of a partnership, |
firm,
association, club or corporation, then the same shall be |
signed by one
member of such partnership or the president or
|
secretary of
such corporation or an authorized agent of said
|
partnership or corporation.
|
All other applications shall be on forms prescribed by
the |
|
State Commission, and which may exclude any of the above |
requirements which
the State Commission rules to be |
inapplicable.
|
(Source: P.A. 90-596, eff. 6-24-98; 91-357, eff. 7-29-99; |
revised 11-12-13.)
|
Section 540. The Illinois Public Aid Code is amended by |
changing Sections 1-10, 5-5, 5-5.2, 5-5.4, 5-5f, 5A-5, 5A-8, |
5A-12.4, 11-5.2, and 12-4.25 and by setting forth and |
renumbering multiple versions of Section 12-4.45 as follows:
|
(305 ILCS 5/1-10)
|
Sec. 1-10. Drug convictions.
|
(a) Persons convicted of an offense under the Illinois |
Controlled Substances
Act, the Cannabis Control Act, or the |
Methamphetamine Control and Community Protection Act which is a |
Class X felony, or a Class 1 felony,
or comparable federal |
criminal law which has as an element the
possession, use, or |
distribution of a controlled substance, as defined in
Section |
102(6) of the federal Controlled Substances Act (21 U.S.C. |
802(c)),
shall not be eligible for cash assistance provided |
under this Code.
|
(b) Persons convicted of
any other felony under the |
Illinois Controlled Substances Act, the Cannabis
Control Act, |
or the Methamphetamine Control and Community Protection Act |
which is not a Class X or Class 1 felony, or comparable
federal |
|
criminal law which has as an element the possession, use, or
|
distribution of a
controlled substance, as defined in Section |
102(6) of the federal Controlled
Substances Act (21 U.S.C. |
802(c)), shall not be eligible for cash assistance
provided |
under this Code for 2 years from the date of conviction. This
|
prohibition shall not apply if the person is in a drug |
treatment program,
aftercare program, or similar program as |
defined by rule.
|
(c) Persons shall not be determined ineligible for food |
stamps provided
under this Code based upon a conviction of any |
felony or comparable federal or
State criminal law which has an |
element the possession, use or distribution of
a controlled |
substance, as defined in Section 102(6) of the federal |
Controlled Substances
Substance
Act (21 U.S.C. 802(c)).
|
(Source: P.A. 94-556, eff. 9-11-05; revised 11-12-13.)
|
(305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
|
Sec. 5-5. Medical services. The Illinois Department, by |
rule, shall
determine the quantity and quality of and the rate |
of reimbursement for the
medical assistance for which
payment |
will be authorized, and the medical services to be provided,
|
which may include all or part of the following: (1) inpatient |
hospital
services; (2) outpatient hospital services; (3) other |
laboratory and
X-ray services; (4) skilled nursing home |
services; (5) physicians'
services whether furnished in the |
office, the patient's home, a
hospital, a skilled nursing home, |
|
or elsewhere; (6) medical care, or any
other type of remedial |
care furnished by licensed practitioners; (7)
home health care |
services; (8) private duty nursing service; (9) clinic
|
services; (10) dental services, including prevention and |
treatment of periodontal disease and dental caries disease for |
pregnant women, provided by an individual licensed to practice |
dentistry or dental surgery; for purposes of this item (10), |
"dental services" means diagnostic, preventive, or corrective |
procedures provided by or under the supervision of a dentist in |
the practice of his or her profession; (11) physical therapy |
and related
services; (12) prescribed drugs, dentures, and |
prosthetic devices; and
eyeglasses prescribed by a physician |
skilled in the diseases of the eye,
or by an optometrist, |
whichever the person may select; (13) other
diagnostic, |
screening, preventive, and rehabilitative services, including |
to ensure that the individual's need for intervention or |
treatment of mental disorders or substance use disorders or |
co-occurring mental health and substance use disorders is |
determined using a uniform screening, assessment, and |
evaluation process inclusive of criteria, for children and |
adults; for purposes of this item (13), a uniform screening, |
assessment, and evaluation process refers to a process that |
includes an appropriate evaluation and, as warranted, a |
referral; "uniform" does not mean the use of a singular |
instrument, tool, or process that all must utilize; (14)
|
transportation and such other expenses as may be necessary; |
|
(15) medical
treatment of sexual assault survivors, as defined |
in
Section 1a of the Sexual Assault Survivors Emergency |
Treatment Act, for
injuries sustained as a result of the sexual |
assault, including
examinations and laboratory tests to |
discover evidence which may be used in
criminal proceedings |
arising from the sexual assault; (16) the
diagnosis and |
treatment of sickle cell anemia; and (17)
any other medical |
care, and any other type of remedial care recognized
under the |
laws of this State, but not including abortions, or induced
|
miscarriages or premature births, unless, in the opinion of a |
physician,
such procedures are necessary for the preservation |
of the life of the
woman seeking such treatment, or except an |
induced premature birth
intended to produce a live viable child |
and such procedure is necessary
for the health of the mother or |
her unborn child. The Illinois Department,
by rule, shall |
prohibit any physician from providing medical assistance
to |
anyone eligible therefor under this Code where such physician |
has been
found guilty of performing an abortion procedure in a |
wilful and wanton
manner upon a woman who was not pregnant at |
the time such abortion
procedure was performed. The term "any |
other type of remedial care" shall
include nursing care and |
nursing home service for persons who rely on
treatment by |
spiritual means alone through prayer for healing.
|
Notwithstanding any other provision of this Section, a |
comprehensive
tobacco use cessation program that includes |
purchasing prescription drugs or
prescription medical devices |
|
approved by the Food and Drug Administration shall
be covered |
under the medical assistance
program under this Article for |
persons who are otherwise eligible for
assistance under this |
Article.
|
Notwithstanding any other provision of this Code, the |
Illinois
Department may not require, as a condition of payment |
for any laboratory
test authorized under this Article, that a |
physician's handwritten signature
appear on the laboratory |
test order form. The Illinois Department may,
however, impose |
other appropriate requirements regarding laboratory test
order |
documentation.
|
On and after July 1, 2012, the Department of Healthcare and |
Family Services may provide the following services to
persons
|
eligible for assistance under this Article who are |
participating in
education, training or employment programs |
operated by the Department of Human
Services as successor to |
the Department of Public Aid:
|
(1) dental services provided by or under the |
supervision of a dentist; and
|
(2) eyeglasses prescribed by a physician skilled in the |
diseases of the
eye, or by an optometrist, whichever the |
person may select.
|
Notwithstanding any other provision of this Code and |
subject to federal approval, the Department may adopt rules to |
allow a dentist who is volunteering his or her service at no |
cost to render dental services through an enrolled |
|
not-for-profit health clinic without the dentist personally |
enrolling as a participating provider in the medical assistance |
program. A not-for-profit health clinic shall include a public |
health clinic or Federally Qualified Health Center or other |
enrolled provider, as determined by the Department, through |
which dental services covered under this Section are performed. |
The Department shall establish a process for payment of claims |
for reimbursement for covered dental services rendered under |
this provision. |
The Illinois Department, by rule, may distinguish and |
classify the
medical services to be provided only in accordance |
with the classes of
persons designated in Section 5-2.
|
The Department of Healthcare and Family Services must |
provide coverage and reimbursement for amino acid-based |
elemental formulas, regardless of delivery method, for the |
diagnosis and treatment of (i) eosinophilic disorders and (ii) |
short bowel syndrome when the prescribing physician has issued |
a written order stating that the amino acid-based elemental |
formula is medically necessary.
|
The Illinois Department shall authorize the provision of, |
and shall
authorize payment for, screening by low-dose |
mammography for the presence of
occult breast cancer for women |
35 years of age or older who are eligible
for medical |
assistance under this Article, as follows: |
(A) A baseline
mammogram for women 35 to 39 years of |
age.
|
|
(B) An annual mammogram for women 40 years of age or |
older. |
(C) A mammogram at the age and intervals considered |
medically necessary by the woman's health care provider for |
women under 40 years of age and having a family history of |
breast cancer, prior personal history of breast cancer, |
positive genetic testing, or other risk factors. |
(D) A comprehensive ultrasound screening of an entire |
breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue, when medically |
necessary as determined by a physician licensed to practice |
medicine in all of its branches. |
All screenings
shall
include a physical breast exam, |
instruction on self-examination and
information regarding the |
frequency of self-examination and its value as a
preventative |
tool. For purposes of this Section, "low-dose mammography" |
means
the x-ray examination of the breast using equipment |
dedicated specifically
for mammography, including the x-ray |
tube, filter, compression device,
and image receptor, with an |
average radiation exposure delivery
of less than one rad per |
breast for 2 views of an average size breast.
The term also |
includes digital mammography.
|
On and after January 1, 2012, providers participating in a |
quality improvement program approved by the Department shall be |
reimbursed for screening and diagnostic mammography at the same |
rate as the Medicare program's rates, including the increased |
|
reimbursement for digital mammography. |
The Department shall convene an expert panel including |
representatives of hospitals, free-standing mammography |
facilities, and doctors, including radiologists, to establish |
quality standards. |
Subject to federal approval, the Department shall |
establish a rate methodology for mammography at federally |
qualified health centers and other encounter-rate clinics. |
These clinics or centers may also collaborate with other |
hospital-based mammography facilities. |
The Department shall establish a methodology to remind |
women who are age-appropriate for screening mammography, but |
who have not received a mammogram within the previous 18 |
months, of the importance and benefit of screening mammography. |
The Department shall establish a performance goal for |
primary care providers with respect to their female patients |
over age 40 receiving an annual mammogram. This performance |
goal shall be used to provide additional reimbursement in the |
form of a quality performance bonus to primary care providers |
who meet that goal. |
The Department shall devise a means of case-managing or |
patient navigation for beneficiaries diagnosed with breast |
cancer. This program shall initially operate as a pilot program |
in areas of the State with the highest incidence of mortality |
related to breast cancer. At least one pilot program site shall |
be in the metropolitan Chicago area and at least one site shall |
|
be outside the metropolitan Chicago area. An evaluation of the |
pilot program shall be carried out measuring health outcomes |
and cost of care for those served by the pilot program compared |
to similarly situated patients who are not served by the pilot |
program. |
Any medical or health care provider shall immediately |
recommend, to
any pregnant woman who is being provided prenatal |
services and is suspected
of drug abuse or is addicted as |
defined in the Alcoholism and Other Drug Abuse
and Dependency |
Act, referral to a local substance abuse treatment provider
|
licensed by the Department of Human Services or to a licensed
|
hospital which provides substance abuse treatment services. |
The Department of Healthcare and Family Services
shall assure |
coverage for the cost of treatment of the drug abuse or
|
addiction for pregnant recipients in accordance with the |
Illinois Medicaid
Program in conjunction with the Department of |
Human Services.
|
All medical providers providing medical assistance to |
pregnant women
under this Code shall receive information from |
the Department on the
availability of services under the Drug |
Free Families with a Future or any
comparable program providing |
case management services for addicted women,
including |
information on appropriate referrals for other social services
|
that may be needed by addicted women in addition to treatment |
for addiction.
|
The Illinois Department, in cooperation with the |
|
Departments of Human
Services (as successor to the Department |
of Alcoholism and Substance
Abuse) and Public Health, through a |
public awareness campaign, may
provide information concerning |
treatment for alcoholism and drug abuse and
addiction, prenatal |
health care, and other pertinent programs directed at
reducing |
the number of drug-affected infants born to recipients of |
medical
assistance.
|
Neither the Department of Healthcare and Family Services |
nor the Department of Human
Services shall sanction the |
recipient solely on the basis of
her substance abuse.
|
The Illinois Department shall establish such regulations |
governing
the dispensing of health services under this Article |
as it shall deem
appropriate. The Department
should
seek the |
advice of formal professional advisory committees appointed by
|
the Director of the Illinois Department for the purpose of |
providing regular
advice on policy and administrative matters, |
information dissemination and
educational activities for |
medical and health care providers, and
consistency in |
procedures to the Illinois Department.
|
The Illinois Department may develop and contract with |
Partnerships of
medical providers to arrange medical services |
for persons eligible under
Section 5-2 of this Code. |
Implementation of this Section may be by
demonstration projects |
in certain geographic areas. The Partnership shall
be |
represented by a sponsor organization. The Department, by rule, |
shall
develop qualifications for sponsors of Partnerships. |
|
Nothing in this
Section shall be construed to require that the |
sponsor organization be a
medical organization.
|
The sponsor must negotiate formal written contracts with |
medical
providers for physician services, inpatient and |
outpatient hospital care,
home health services, treatment for |
alcoholism and substance abuse, and
other services determined |
necessary by the Illinois Department by rule for
delivery by |
Partnerships. Physician services must include prenatal and
|
obstetrical care. The Illinois Department shall reimburse |
medical services
delivered by Partnership providers to clients |
in target areas according to
provisions of this Article and the |
Illinois Health Finance Reform Act,
except that:
|
(1) Physicians participating in a Partnership and |
providing certain
services, which shall be determined by |
the Illinois Department, to persons
in areas covered by the |
Partnership may receive an additional surcharge
for such |
services.
|
(2) The Department may elect to consider and negotiate |
financial
incentives to encourage the development of |
Partnerships and the efficient
delivery of medical care.
|
(3) Persons receiving medical services through |
Partnerships may receive
medical and case management |
services above the level usually offered
through the |
medical assistance program.
|
Medical providers shall be required to meet certain |
qualifications to
participate in Partnerships to ensure the |
|
delivery of high quality medical
services. These |
qualifications shall be determined by rule of the Illinois
|
Department and may be higher than qualifications for |
participation in the
medical assistance program. Partnership |
sponsors may prescribe reasonable
additional qualifications |
for participation by medical providers, only with
the prior |
written approval of the Illinois Department.
|
Nothing in this Section shall limit the free choice of |
practitioners,
hospitals, and other providers of medical |
services by clients.
In order to ensure patient freedom of |
choice, the Illinois Department shall
immediately promulgate |
all rules and take all other necessary actions so that
provided |
services may be accessed from therapeutically certified |
optometrists
to the full extent of the Illinois Optometric |
Practice Act of 1987 without
discriminating between service |
providers.
|
The Department shall apply for a waiver from the United |
States Health
Care Financing Administration to allow for the |
implementation of
Partnerships under this Section.
|
The Illinois Department shall require health care |
providers to maintain
records that document the medical care |
and services provided to recipients
of Medical Assistance under |
this Article. Such records must be retained for a period of not |
less than 6 years from the date of service or as provided by |
applicable State law, whichever period is longer, except that |
if an audit is initiated within the required retention period |
|
then the records must be retained until the audit is completed |
and every exception is resolved. The Illinois Department shall
|
require health care providers to make available, when |
authorized by the
patient, in writing, the medical records in a |
timely fashion to other
health care providers who are treating |
or serving persons eligible for
Medical Assistance under this |
Article. All dispensers of medical services
shall be required |
to maintain and retain business and professional records
|
sufficient to fully and accurately document the nature, scope, |
details and
receipt of the health care provided to persons |
eligible for medical
assistance under this Code, in accordance |
with regulations promulgated by
the Illinois Department. The |
rules and regulations shall require that proof
of the receipt |
of prescription drugs, dentures, prosthetic devices and
|
eyeglasses by eligible persons under this Section accompany |
each claim
for reimbursement submitted by the dispenser of such |
medical services.
No such claims for reimbursement shall be |
approved for payment by the Illinois
Department without such |
proof of receipt, unless the Illinois Department
shall have put |
into effect and shall be operating a system of post-payment
|
audit and review which shall, on a sampling basis, be deemed |
adequate by
the Illinois Department to assure that such drugs, |
dentures, prosthetic
devices and eyeglasses for which payment |
is being made are actually being
received by eligible |
recipients. Within 90 days after the effective date of
this |
amendatory Act of 1984, the Illinois Department shall establish |
|
a
current list of acquisition costs for all prosthetic devices |
and any
other items recognized as medical equipment and |
supplies reimbursable under
this Article and shall update such |
list on a quarterly basis, except that
the acquisition costs of |
all prescription drugs shall be updated no
less frequently than |
every 30 days as required by Section 5-5.12.
|
The rules and regulations of the Illinois Department shall |
require
that a written statement including the required opinion |
of a physician
shall accompany any claim for reimbursement for |
abortions, or induced
miscarriages or premature births. This |
statement shall indicate what
procedures were used in providing |
such medical services.
|
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after July 22, 2013 ( the |
effective date of Public Act 98-104) this amendatory Act of the |
98th General Assembly , establish procedures to permit skilled |
care facilities licensed under the Nursing Home Care Act to |
submit monthly billing claims for reimbursement purposes. |
Following development of these procedures, the Department |
shall have an additional 365 days to test the viability of the |
new system and to ensure that any necessary operational or |
structural changes to its information technology platforms are |
implemented. |
The Illinois Department shall require all dispensers of |
medical
services, other than an individual practitioner or |
group of practitioners,
desiring to participate in the Medical |
|
Assistance program
established under this Article to disclose |
all financial, beneficial,
ownership, equity, surety or other |
interests in any and all firms,
corporations, partnerships, |
associations, business enterprises, joint
ventures, agencies, |
institutions or other legal entities providing any
form of |
health care services in this State under this Article.
|
The Illinois Department may require that all dispensers of |
medical
services desiring to participate in the medical |
assistance program
established under this Article disclose, |
under such terms and conditions as
the Illinois Department may |
by rule establish, all inquiries from clients
and attorneys |
regarding medical bills paid by the Illinois Department, which
|
inquiries could indicate potential existence of claims or liens |
for the
Illinois Department.
|
Enrollment of a vendor
shall be
subject to a provisional |
period and shall be conditional for one year. During the period |
of conditional enrollment, the Department may
terminate the |
vendor's eligibility to participate in, or may disenroll the |
vendor from, the medical assistance
program without cause. |
Unless otherwise specified, such termination of eligibility or |
disenrollment is not subject to the
Department's hearing |
process.
However, a disenrolled vendor may reapply without |
penalty.
|
The Department has the discretion to limit the conditional |
enrollment period for vendors based upon category of risk of |
the vendor. |
|
Prior to enrollment and during the conditional enrollment |
period in the medical assistance program, all vendors shall be |
subject to enhanced oversight, screening, and review based on |
the risk of fraud, waste, and abuse that is posed by the |
category of risk of the vendor. The Illinois Department shall |
establish the procedures for oversight, screening, and review, |
which may include, but need not be limited to: criminal and |
financial background checks; fingerprinting; license, |
certification, and authorization verifications; unscheduled or |
unannounced site visits; database checks; prepayment audit |
reviews; audits; payment caps; payment suspensions; and other |
screening as required by federal or State law. |
The Department shall define or specify the following: (i) |
by provider notice, the "category of risk of the vendor" for |
each type of vendor, which shall take into account the level of |
screening applicable to a particular category of vendor under |
federal law and regulations; (ii) by rule or provider notice, |
the maximum length of the conditional enrollment period for |
each category of risk of the vendor; and (iii) by rule, the |
hearing rights, if any, afforded to a vendor in each category |
of risk of the vendor that is terminated or disenrolled during |
the conditional enrollment period. |
To be eligible for payment consideration, a vendor's |
payment claim or bill, either as an initial claim or as a |
resubmitted claim following prior rejection, must be received |
by the Illinois Department, or its fiscal intermediary, no |
|
later than 180 days after the latest date on the claim on which |
medical goods or services were provided, with the following |
exceptions: |
(1) In the case of a provider whose enrollment is in |
process by the Illinois Department, the 180-day period |
shall not begin until the date on the written notice from |
the Illinois Department that the provider enrollment is |
complete. |
(2) In the case of errors attributable to the Illinois |
Department or any of its claims processing intermediaries |
which result in an inability to receive, process, or |
adjudicate a claim, the 180-day period shall not begin |
until the provider has been notified of the error. |
(3) In the case of a provider for whom the Illinois |
Department initiates the monthly billing process. |
(4) In the case of a provider operated by a unit of |
local government with a population exceeding 3,000,000 |
when local government funds finance federal participation |
for claims payments. |
For claims for services rendered during a period for which |
a recipient received retroactive eligibility, claims must be |
filed within 180 days after the Department determines the |
applicant is eligible. For claims for which the Illinois |
Department is not the primary payer, claims must be submitted |
to the Illinois Department within 180 days after the final |
adjudication by the primary payer. |
|
In the case of long term care facilities, admission |
documents shall be submitted within 30 days of an admission to |
the facility through the Medical Electronic Data Interchange |
(MEDI) or the Recipient Eligibility Verification (REV) System, |
or shall be submitted directly to the Department of Human |
Services using required admission forms. Confirmation numbers |
assigned to an accepted transaction shall be retained by a |
facility to verify timely submittal. Once an admission |
transaction has been completed, all resubmitted claims |
following prior rejection are subject to receipt no later than |
180 days after the admission transaction has been completed. |
Claims that are not submitted and received in compliance |
with the foregoing requirements shall not be eligible for |
payment under the medical assistance program, and the State |
shall have no liability for payment of those claims. |
To the extent consistent with applicable information and |
privacy, security, and disclosure laws, State and federal |
agencies and departments shall provide the Illinois Department |
access to confidential and other information and data necessary |
to perform eligibility and payment verifications and other |
Illinois Department functions. This includes, but is not |
limited to: information pertaining to licensure; |
certification; earnings; immigration status; citizenship; wage |
reporting; unearned and earned income; pension income; |
employment; supplemental security income; social security |
numbers; National Provider Identifier (NPI) numbers; the |
|
National Practitioner Data Bank (NPDB); program and agency |
exclusions; taxpayer identification numbers; tax delinquency; |
corporate information; and death records. |
The Illinois Department shall enter into agreements with |
State agencies and departments, and is authorized to enter into |
agreements with federal agencies and departments, under which |
such agencies and departments shall share data necessary for |
medical assistance program integrity functions and oversight. |
The Illinois Department shall develop, in cooperation with |
other State departments and agencies, and in compliance with |
applicable federal laws and regulations, appropriate and |
effective methods to share such data. At a minimum, and to the |
extent necessary to provide data sharing, the Illinois |
Department shall enter into agreements with State agencies and |
departments, and is authorized to enter into agreements with |
federal agencies and departments, including but not limited to: |
the Secretary of State; the Department of Revenue; the |
Department of Public Health; the Department of Human Services; |
and the Department of Financial and Professional Regulation. |
Beginning in fiscal year 2013, the Illinois Department |
shall set forth a request for information to identify the |
benefits of a pre-payment, post-adjudication, and post-edit |
claims system with the goals of streamlining claims processing |
and provider reimbursement, reducing the number of pending or |
rejected claims, and helping to ensure a more transparent |
adjudication process through the utilization of: (i) provider |
|
data verification and provider screening technology; and (ii) |
clinical code editing; and (iii) pre-pay, pre- or |
post-adjudicated predictive modeling with an integrated case |
management system with link analysis. Such a request for |
information shall not be considered as a request for proposal |
or as an obligation on the part of the Illinois Department to |
take any action or acquire any products or services. |
The Illinois Department shall establish policies, |
procedures,
standards and criteria by rule for the acquisition, |
repair and replacement
of orthotic and prosthetic devices and |
durable medical equipment. Such
rules shall provide, but not be |
limited to, the following services: (1)
immediate repair or |
replacement of such devices by recipients; and (2) rental, |
lease, purchase or lease-purchase of
durable medical equipment |
in a cost-effective manner, taking into
consideration the |
recipient's medical prognosis, the extent of the
recipient's |
needs, and the requirements and costs for maintaining such
|
equipment. Subject to prior approval, such rules shall enable a |
recipient to temporarily acquire and
use alternative or |
substitute devices or equipment pending repairs or
|
replacements of any device or equipment previously authorized |
for such
recipient by the Department.
|
The Department shall execute, relative to the nursing home |
prescreening
project, written inter-agency agreements with the |
Department of Human
Services and the Department on Aging, to |
effect the following: (i) intake
procedures and common |
|
eligibility criteria for those persons who are receiving
|
non-institutional services; and (ii) the establishment and |
development of
non-institutional services in areas of the State |
where they are not currently
available or are undeveloped; and |
(iii) notwithstanding any other provision of law, subject to |
federal approval, on and after July 1, 2012, an increase in the |
determination of need (DON) scores from 29 to 37 for applicants |
for institutional and home and community-based long term care; |
if and only if federal approval is not granted, the Department |
may, in conjunction with other affected agencies, implement |
utilization controls or changes in benefit packages to |
effectuate a similar savings amount for this population; and |
(iv) no later than July 1, 2013, minimum level of care |
eligibility criteria for institutional and home and |
community-based long term care; and (v) no later than October |
1, 2013, establish procedures to permit long term care |
providers access to eligibility scores for individuals with an |
admission date who are seeking or receiving services from the |
long term care provider. In order to select the minimum level |
of care eligibility criteria, the Governor shall establish a |
workgroup that includes affected agency representatives and |
stakeholders representing the institutional and home and |
community-based long term care interests. This Section shall |
not restrict the Department from implementing lower level of |
care eligibility criteria for community-based services in |
circumstances where federal approval has been granted.
|
|
The Illinois Department shall develop and operate, in |
cooperation
with other State Departments and agencies and in |
compliance with
applicable federal laws and regulations, |
appropriate and effective
systems of health care evaluation and |
programs for monitoring of
utilization of health care services |
and facilities, as it affects
persons eligible for medical |
assistance under this Code.
|
The Illinois Department shall report annually to the |
General Assembly,
no later than the second Friday in April of |
1979 and each year
thereafter, in regard to:
|
(a) actual statistics and trends in utilization of |
medical services by
public aid recipients;
|
(b) actual statistics and trends in the provision of |
the various medical
services by medical vendors;
|
(c) current rate structures and proposed changes in |
those rate structures
for the various medical vendors; and
|
(d) efforts at utilization review and control by the |
Illinois Department.
|
The period covered by each report shall be the 3 years |
ending on the June
30 prior to the report. The report shall |
include suggested legislation
for consideration by the General |
Assembly. The filing of one copy of the
report with the |
Speaker, one copy with the Minority Leader and one copy
with |
the Clerk of the House of Representatives, one copy with the |
President,
one copy with the Minority Leader and one copy with |
the Secretary of the
Senate, one copy with the Legislative |
|
Research Unit, and such additional
copies
with the State |
Government Report Distribution Center for the General
Assembly |
as is required under paragraph (t) of Section 7 of the State
|
Library Act shall be deemed sufficient to comply with this |
Section.
|
Rulemaking authority to implement Public Act 95-1045, if |
any, is conditioned on the rules being adopted in accordance |
with all provisions of the Illinois Administrative Procedure |
Act and all rules and procedures of the Joint Committee on |
Administrative Rules; any purported rule not so adopted, for |
whatever reason, is unauthorized. |
On and after July 1, 2012, the Department shall reduce any |
rate of reimbursement for services or other payments or alter |
any methodologies authorized by this Code to reduce any rate of |
reimbursement for services or other payments in accordance with |
Section 5-5e. |
(Source: P.A. 97-48, eff. 6-28-11; 97-638, eff. 1-1-12; 97-689, |
eff. 6-14-12; 97-1061, eff. 8-24-12; 98-104, Article 9, Section |
9-5, eff. 7-22-13; 98-104, Article 12, Section 12-20, eff. |
7-22-13; 98-303, eff. 8-9-13; 98-463, eff. 8-16-13; revised |
9-19-13.)
|
(305 ILCS 5/5-5.2) (from Ch. 23, par. 5-5.2)
|
Sec. 5-5.2. Payment.
|
(a) All nursing facilities that are grouped pursuant to |
Section
5-5.1 of this Act shall receive the same rate of |
|
payment for similar
services.
|
(b) It shall be a matter of State policy that the Illinois |
Department
shall utilize a uniform billing cycle throughout the |
State for the
long-term care providers.
|
(c) Notwithstanding any other provisions of this Code, the |
methodologies for reimbursement of nursing services as |
provided under this Article shall no longer be applicable for |
bills payable for nursing services rendered on or after a new |
reimbursement system based on the Resource Utilization Groups |
(RUGs) has been fully operationalized, which shall take effect |
for services provided on or after January 1, 2014. |
(d) The new nursing services reimbursement methodology |
utilizing RUG-IV 48 grouper model, which shall be referred to |
as the RUGs reimbursement system, taking effect January 1, |
2014, shall be based on the following: |
(1) The methodology shall be resident-driven, |
facility-specific, and cost-based. |
(2) Costs shall be annually rebased and case mix index |
quarterly updated. The nursing services methodology will |
be assigned to the Medicaid enrolled residents on record as |
of 30 days prior to the beginning of the rate period in the |
Department's Medicaid Management Information System (MMIS) |
as present on the last day of the second quarter preceding |
the rate period. |
(3) Regional wage adjustors based on the Health Service |
Areas (HSA) groupings and adjusters in effect on April 30, |
|
2012 shall be included. |
(4) Case mix index shall be assigned to each resident |
class based on the Centers for Medicare and Medicaid |
Services staff time measurement study in effect on July 1, |
2013, utilizing an index maximization approach. |
(5) The pool of funds available for distribution by |
case mix and the base facility rate shall be determined |
using the formula contained in subsection (d-1). |
(d-1) Calculation of base year Statewide RUG-IV nursing |
base per diem rate. |
(1) Base rate spending pool shall be: |
(A) The base year resident days which are |
calculated by multiplying the number of Medicaid |
residents in each nursing home as indicated in the MDS |
data defined in paragraph (4) by 365. |
(B) Each facility's nursing component per diem in |
effect on July 1, 2012 shall be multiplied by |
subsection (A). |
(C) Thirteen million is added to the product of |
subparagraph (A) and subparagraph (B) to adjust for the |
exclusion of nursing homes defined in paragraph (5). |
(2) For each nursing home with Medicaid residents as |
indicated by the MDS data defined in paragraph (4), |
weighted days adjusted for case mix and regional wage |
adjustment shall be calculated. For each home this |
calculation is the product of: |
|
(A) Base year resident days as calculated in |
subparagraph (A) of paragraph (1). |
(B) The nursing home's regional wage adjustor |
based on the Health Service Areas (HSA) groupings and |
adjustors in effect on April 30, 2012. |
(C) Facility weighted case mix which is the number |
of Medicaid residents as indicated by the MDS data |
defined in paragraph (4) multiplied by the associated |
case weight for the RUG-IV 48 grouper model using |
standard RUG-IV procedures for index maximization. |
(D) The sum of the products calculated for each |
nursing home in subparagraphs (A) through (C) above |
shall be the base year case mix, rate adjusted weighted |
days. |
(3) The Statewide RUG-IV nursing base per diem rate on |
January 1, 2014 shall be the quotient of the paragraph (1) |
divided by the sum calculated under subparagraph (D) of |
paragraph (2). |
(4) Minimum Data Set (MDS) comprehensive assessments |
for Medicaid residents on the last day of the quarter used |
to establish the base rate. |
(5) Nursing facilities designated as of July 1, 2012 by |
the Department as "Institutions for Mental Disease" shall |
be excluded from all calculations under this subsection. |
The data from these facilities shall not be used in the |
computations described in paragraphs (1) through (4) above |
|
to establish the base rate. |
(e) Notwithstanding any other provision of this Code, the |
Department shall by rule develop a reimbursement methodology |
reflective of the intensity of care and services requirements |
of low need residents in the lowest RUG IV groupers and |
corresponding regulations. Only that portion of the RUGs |
Reimbursement System spending pool described in subsection |
(d-1) attributed to the groupers as of July 1, 2013 for which |
the methodology in this Section is developed may be diverted |
for this purpose. The Department shall submit the rules no |
later than January 1, 2014 for an implementation date no later |
than January 1, 2015. If the Department does not implement this |
reimbursement methodology by the required date, the nursing |
component per diem on January 1, 2015 for residents classified |
in RUG-IV groups PA1, PA2, BA1, and BA2 shall be the blended |
rate of the calculated RUG-IV nursing component per diem and |
the nursing component per diem in effect on July 1, 2012. This |
blended rate shall be applied only to nursing homes whose |
resident population is greater than or equal to 70% of the |
total residents served and whose RUG-IV nursing component per |
diem rate is less than the nursing component per diem in effect |
on July 1, 2012. This blended rate shall be in effect until the |
reimbursement methodology is implemented or until July 1, 2019, |
whichever is sooner. |
(e-1) Notwithstanding any other provision of this Article, |
rates established pursuant to this subsection shall not apply |
|
to any and all nursing facilities designated by the Department |
as "Institutions for Mental Disease" and shall be excluded from |
the RUGs Reimbursement System applicable to facilities not |
designated as "Institutions for the Mentally Diseased" by the |
Department. |
(e-2) For dates of services beginning January 1, 2014, the |
RUG-IV nursing component per diem for a nursing home shall be |
the product of the statewide RUG-IV nursing base per diem rate, |
the facility average case mix index, and the regional wage |
adjustor. Transition rates for services provided between |
January 1, 2014 and December 31, 2014 shall be as follows: |
(1) The transition RUG-IV per diem nursing rate for |
nursing homes whose rate calculated in this subsection |
(e-2) is greater than the nursing component rate in effect |
July 1, 2012 shall be paid the sum of: |
(A) The nursing component rate in effect July 1, |
2012; plus |
(B) The difference of the RUG-IV nursing component |
per diem calculated for the current quarter minus the |
nursing component rate in effect July 1, 2012 |
multiplied by 0.88. |
(2) The transition RUG-IV per diem nursing rate for |
nursing homes whose rate calculated in this subsection |
(e-2) is less than the nursing component rate in effect |
July 1, 2012 shall be paid the sum of: |
(A) The nursing component rate in effect July 1, |
|
2012; plus |
(B) The difference of the RUG-IV nursing component |
per diem calculated for the current quarter minus the |
nursing component rate in effect July 1, 2012 |
multiplied by 0.13. |
(f) Notwithstanding any other provision of this Code, on |
and after July 1, 2012, reimbursement rates associated with the |
nursing or support components of the current nursing facility |
rate methodology shall not increase beyond the level effective |
May 1, 2011 until a new reimbursement system based on the RUGs |
IV 48 grouper model has been fully operationalized. |
(g) Notwithstanding any other provision of this Code, on |
and after July 1, 2012, for facilities not designated by the |
Department of Healthcare and Family Services as "Institutions |
for Mental Disease", rates effective May 1, 2011 shall be |
adjusted as follows: |
(1) Individual nursing rates for residents classified |
in RUG IV groups PA1, PA2, BA1, and BA2 during the quarter |
ending March 31, 2012 shall be reduced by 10%; |
(2) Individual nursing rates for residents classified |
in all other RUG IV groups shall be reduced by 1.0%; |
(3) Facility rates for the capital and support |
components shall be reduced by 1.7%. |
(h) Notwithstanding any other provision of this Code, on |
and after July 1, 2012, nursing facilities designated by the |
Department of Healthcare and Family Services as "Institutions |
|
for Mental Disease" and "Institutions for Mental Disease" that |
are facilities licensed under the Specialized Mental Health |
Rehabilitation Act of 2013 shall have the nursing, |
socio-developmental, capital, and support components of their |
reimbursement rate effective May 1, 2011 reduced in total by |
2.7%. |
(Source: P.A. 97-689, eff. 6-14-12; 98-104, Article 6, Section |
6-240, eff. 7-22-13; 98-104, Article 11, Section 11-35, eff. |
7-22-13; revised 9-19-13.)
|
(305 ILCS 5/5-5.4) (from Ch. 23, par. 5-5.4)
|
Sec. 5-5.4. Standards of Payment - Department of Healthcare |
and Family Services.
The Department of Healthcare and Family |
Services shall develop standards of payment of
nursing facility |
and ICF/DD services in facilities providing such services
under |
this Article which:
|
(1) Provide for the determination of a facility's payment
|
for nursing facility or ICF/DD services on a prospective basis.
|
The amount of the payment rate for all nursing facilities |
certified by the
Department of Public Health under the ID/DD |
Community Care Act or the Nursing Home Care Act as Intermediate
|
Care for the Developmentally Disabled facilities, Long Term |
Care for Under Age
22 facilities, Skilled Nursing facilities, |
or Intermediate Care facilities
under the
medical assistance |
program shall be prospectively established annually on the
|
basis of historical, financial, and statistical data |
|
reflecting actual costs
from prior years, which shall be |
applied to the current rate year and updated
for inflation, |
except that the capital cost element for newly constructed
|
facilities shall be based upon projected budgets. The annually |
established
payment rate shall take effect on July 1 in 1984 |
and subsequent years. No rate
increase and no
update for |
inflation shall be provided on or after July 1, 1994, unless |
specifically provided for in this
Section.
The changes made by |
Public Act 93-841
extending the duration of the prohibition |
against a rate increase or update for inflation are effective |
retroactive to July 1, 2004.
|
For facilities licensed by the Department of Public Health |
under the Nursing
Home Care Act as Intermediate Care for the |
Developmentally Disabled facilities
or Long Term Care for Under |
Age 22 facilities, the rates taking effect on July
1, 1998 |
shall include an increase of 3%. For facilities licensed by the
|
Department of Public Health under the Nursing Home Care Act as |
Skilled Nursing
facilities or Intermediate Care facilities, |
the rates taking effect on July 1,
1998 shall include an |
increase of 3% plus $1.10 per resident-day, as defined by
the |
Department. For facilities licensed by the Department of Public |
Health under the Nursing Home Care Act as Intermediate Care |
Facilities for the Developmentally Disabled or Long Term Care |
for Under Age 22 facilities, the rates taking effect on January |
1, 2006 shall include an increase of 3%.
For facilities |
licensed by the Department of Public Health under the Nursing |
|
Home Care Act as Intermediate Care Facilities for the |
Developmentally Disabled or Long Term Care for Under Age 22 |
facilities, the rates taking effect on January 1, 2009 shall |
include an increase sufficient to provide a $0.50 per hour wage |
increase for non-executive staff. |
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as Intermediate Care for the |
Developmentally Disabled
facilities or Long Term Care for Under |
Age 22 facilities, the rates taking
effect on July 1, 1999 |
shall include an increase of 1.6% plus $3.00 per
resident-day, |
as defined by the Department. For facilities licensed by the
|
Department of Public Health under the Nursing Home Care Act as |
Skilled Nursing
facilities or Intermediate Care facilities, |
the rates taking effect on July 1,
1999 shall include an |
increase of 1.6% and, for services provided on or after
October |
1, 1999, shall be increased by $4.00 per resident-day, as |
defined by
the Department.
|
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as Intermediate Care for the |
Developmentally Disabled
facilities or Long Term Care for Under |
Age 22 facilities, the rates taking
effect on July 1, 2000 |
shall include an increase of 2.5% per resident-day,
as defined |
by the Department. For facilities licensed by the Department of
|
Public Health under the Nursing Home Care Act as Skilled |
Nursing facilities or
Intermediate Care facilities, the rates |
taking effect on July 1, 2000 shall
include an increase of 2.5% |
|
per resident-day, as defined by the Department.
|
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as skilled nursing facilities |
or intermediate care
facilities, a new payment methodology must |
be implemented for the nursing
component of the rate effective |
July 1, 2003. The Department of Public Aid
(now Healthcare and |
Family Services) shall develop the new payment methodology |
using the Minimum Data Set
(MDS) as the instrument to collect |
information concerning nursing home
resident condition |
necessary to compute the rate. The Department
shall develop the |
new payment methodology to meet the unique needs of
Illinois |
nursing home residents while remaining subject to the |
appropriations
provided by the General Assembly.
A transition |
period from the payment methodology in effect on June 30, 2003
|
to the payment methodology in effect on July 1, 2003 shall be |
provided for a
period not exceeding 3 years and 184 days after |
implementation of the new payment
methodology as follows:
|
(A) For a facility that would receive a lower
nursing |
component rate per patient day under the new system than |
the facility
received
effective on the date immediately |
preceding the date that the Department
implements the new |
payment methodology, the nursing component rate per |
patient
day for the facility
shall be held at
the level in |
effect on the date immediately preceding the date that the
|
Department implements the new payment methodology until a |
higher nursing
component rate of
reimbursement is achieved |
|
by that
facility.
|
(B) For a facility that would receive a higher nursing |
component rate per
patient day under the payment |
methodology in effect on July 1, 2003 than the
facility |
received effective on the date immediately preceding the |
date that the
Department implements the new payment |
methodology, the nursing component rate
per patient day for |
the facility shall be adjusted.
|
(C) Notwithstanding paragraphs (A) and (B), the |
nursing component rate per
patient day for the facility |
shall be adjusted subject to appropriations
provided by the |
General Assembly.
|
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as Intermediate Care for the |
Developmentally Disabled
facilities or Long Term Care for Under |
Age 22 facilities, the rates taking
effect on March 1, 2001 |
shall include a statewide increase of 7.85%, as
defined by the |
Department.
|
Notwithstanding any other provision of this Section, for |
facilities licensed by the Department of Public Health under |
the
Nursing Home Care Act as skilled nursing facilities or |
intermediate care
facilities, except facilities participating |
in the Department's demonstration program pursuant to the |
provisions of Title 77, Part 300, Subpart T of the Illinois |
Administrative Code, the numerator of the ratio used by the |
Department of Healthcare and Family Services to compute the |
|
rate payable under this Section using the Minimum Data Set |
(MDS) methodology shall incorporate the following annual |
amounts as the additional funds appropriated to the Department |
specifically to pay for rates based on the MDS nursing |
component methodology in excess of the funding in effect on |
December 31, 2006: |
(i) For rates taking effect January 1, 2007, |
$60,000,000. |
(ii) For rates taking effect January 1, 2008, |
$110,000,000. |
(iii) For rates taking effect January 1, 2009, |
$194,000,000. |
(iv) For rates taking effect April 1, 2011, or the |
first day of the month that begins at least 45 days after |
the effective date of this amendatory Act of the 96th |
General Assembly, $416,500,000 or an amount as may be |
necessary to complete the transition to the MDS methodology |
for the nursing component of the rate. Increased payments |
under this item (iv) are not due and payable, however, |
until (i) the methodologies described in this paragraph are |
approved by the federal government in an appropriate State |
Plan amendment and (ii) the assessment imposed by Section |
5B-2 of this Code is determined to be a permissible tax |
under Title XIX of the Social Security Act. |
Notwithstanding any other provision of this Section, for |
facilities licensed by the Department of Public Health under |
|
the Nursing Home Care Act as skilled nursing facilities or |
intermediate care facilities, the support component of the |
rates taking effect on January 1, 2008 shall be computed using |
the most recent cost reports on file with the Department of |
Healthcare and Family Services no later than April 1, 2005, |
updated for inflation to January 1, 2006. |
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as Intermediate Care for the |
Developmentally Disabled
facilities or Long Term Care for Under |
Age 22 facilities, the rates taking
effect on April 1, 2002 |
shall include a statewide increase of 2.0%, as
defined by the |
Department.
This increase terminates on July 1, 2002;
beginning |
July 1, 2002 these rates are reduced to the level of the rates
|
in effect on March 31, 2002, as defined by the Department.
|
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as skilled nursing facilities |
or intermediate care
facilities, the rates taking effect on |
July 1, 2001 shall be computed using the most recent cost |
reports
on file with the Department of Public Aid no later than |
April 1, 2000,
updated for inflation to January 1, 2001. For |
rates effective July 1, 2001
only, rates shall be the greater |
of the rate computed for July 1, 2001
or the rate effective on |
June 30, 2001.
|
Notwithstanding any other provision of this Section, for |
facilities
licensed by the Department of Public Health under |
the Nursing Home Care Act
as skilled nursing facilities or |
|
intermediate care facilities, the Illinois
Department shall |
determine by rule the rates taking effect on July 1, 2002,
|
which shall be 5.9% less than the rates in effect on June 30, |
2002.
|
Notwithstanding any other provision of this Section, for |
facilities
licensed by the Department of Public Health under |
the Nursing Home Care Act as
skilled nursing
facilities or |
intermediate care facilities, if the payment methodologies |
required under Section 5A-12 and the waiver granted under 42 |
CFR 433.68 are approved by the United States Centers for |
Medicare and Medicaid Services, the rates taking effect on July |
1, 2004 shall be 3.0% greater than the rates in effect on June |
30, 2004. These rates shall take
effect only upon approval and
|
implementation of the payment methodologies required under |
Section 5A-12.
|
Notwithstanding any other provisions of this Section, for |
facilities licensed by the Department of Public Health under |
the Nursing Home Care Act as skilled nursing facilities or |
intermediate care facilities, the rates taking effect on |
January 1, 2005 shall be 3% more than the rates in effect on |
December 31, 2004.
|
Notwithstanding any other provision of this Section, for |
facilities licensed by the Department of Public Health under |
the Nursing Home Care Act as skilled nursing facilities or |
intermediate care facilities, effective January 1, 2009, the |
per diem support component of the rates effective on January 1, |
|
2008, computed using the most recent cost reports on file with |
the Department of Healthcare and Family Services no later than |
April 1, 2005, updated for inflation to January 1, 2006, shall |
be increased to the amount that would have been derived using |
standard Department of Healthcare and Family Services methods, |
procedures, and inflators. |
Notwithstanding any other provisions of this Section, for |
facilities licensed by the Department of Public Health under |
the Nursing Home Care Act as intermediate care facilities that |
are federally defined as Institutions for Mental Disease, or |
facilities licensed by the Department of Public Health under |
the Specialized Mental Health Rehabilitation Act of 2013, a |
socio-development component rate equal to 6.6% of the |
facility's nursing component rate as of January 1, 2006 shall |
be established and paid effective July 1, 2006. The |
socio-development component of the rate shall be increased by a |
factor of 2.53 on the first day of the month that begins at |
least 45 days after January 11, 2008 (the effective date of |
Public Act 95-707). As of August 1, 2008, the socio-development |
component rate shall be equal to 6.6% of the facility's nursing |
component rate as of January 1, 2006, multiplied by a factor of |
3.53. For services provided on or after April 1, 2011, or the |
first day of the month that begins at least 45 days after the |
effective date of this amendatory Act of the 96th General |
Assembly, whichever is later, the Illinois Department may by |
rule adjust these socio-development component rates, and may |
|
use different adjustment methodologies for those facilities |
participating, and those not participating, in the Illinois |
Department's demonstration program pursuant to the provisions |
of Title 77, Part 300, Subpart T of the Illinois Administrative |
Code, but in no case may such rates be diminished below those |
in effect on August 1, 2008.
|
For facilities
licensed
by the
Department of Public Health |
under the Nursing Home Care Act as Intermediate
Care for
the |
Developmentally Disabled facilities or as long-term care |
facilities for
residents under 22 years of age, the rates |
taking effect on July 1,
2003 shall
include a statewide |
increase of 4%, as defined by the Department.
|
For facilities licensed by the Department of Public Health |
under the
Nursing Home Care Act as Intermediate Care for the |
Developmentally Disabled
facilities or Long Term Care for Under |
Age 22 facilities, the rates taking
effect on the first day of |
the month that begins at least 45 days after the effective date |
of this amendatory Act of the 95th General Assembly shall |
include a statewide increase of 2.5%, as
defined by the |
Department. |
Notwithstanding any other provision of this Section, for |
facilities licensed by the Department of Public Health under |
the Nursing Home Care Act as skilled nursing facilities or |
intermediate care facilities, effective January 1, 2005, |
facility rates shall be increased by the difference between (i) |
a facility's per diem property, liability, and malpractice |
|
insurance costs as reported in the cost report filed with the |
Department of Public Aid and used to establish rates effective |
July 1, 2001 and (ii) those same costs as reported in the |
facility's 2002 cost report. These costs shall be passed |
through to the facility without caps or limitations, except for |
adjustments required under normal auditing procedures.
|
Rates established effective each July 1 shall govern |
payment
for services rendered throughout that fiscal year, |
except that rates
established on July 1, 1996 shall be |
increased by 6.8% for services
provided on or after January 1, |
1997. Such rates will be based
upon the rates calculated for |
the year beginning July 1, 1990, and for
subsequent years |
thereafter until June 30, 2001 shall be based on the
facility |
cost reports
for the facility fiscal year ending at any point |
in time during the previous
calendar year, updated to the |
midpoint of the rate year. The cost report
shall be on file |
with the Department no later than April 1 of the current
rate |
year. Should the cost report not be on file by April 1, the |
Department
shall base the rate on the latest cost report filed |
by each skilled care
facility and intermediate care facility, |
updated to the midpoint of the
current rate year. In |
determining rates for services rendered on and after
July 1, |
1985, fixed time shall not be computed at less than zero. The
|
Department shall not make any alterations of regulations which |
would reduce
any component of the Medicaid rate to a level |
below what that component would
have been utilizing in the rate |
|
effective on July 1, 1984.
|
(2) Shall take into account the actual costs incurred by |
facilities
in providing services for recipients of skilled |
nursing and intermediate
care services under the medical |
assistance program.
|
(3) Shall take into account the medical and psycho-social
|
characteristics and needs of the patients.
|
(4) Shall take into account the actual costs incurred by |
facilities in
meeting licensing and certification standards |
imposed and prescribed by the
State of Illinois, any of its |
political subdivisions or municipalities and by
the U.S. |
Department of Health and Human Services pursuant to Title XIX |
of the
Social Security Act.
|
The Department of Healthcare and Family Services
shall |
develop precise standards for
payments to reimburse nursing |
facilities for any utilization of
appropriate rehabilitative |
personnel for the provision of rehabilitative
services which is |
authorized by federal regulations, including
reimbursement for |
services provided by qualified therapists or qualified
|
assistants, and which is in accordance with accepted |
professional
practices. Reimbursement also may be made for |
utilization of other
supportive personnel under appropriate |
supervision.
|
The Department shall develop enhanced payments to offset |
the additional costs incurred by a
facility serving exceptional |
need residents and shall allocate at least $4,000,000 of the |
|
funds
collected from the assessment established by Section 5B-2 |
of this Code for such payments. For
the purpose of this |
Section, "exceptional needs" means, but need not be limited to, |
ventilator care and traumatic brain injury care. The enhanced |
payments for exceptional need residents under this paragraph |
are not due and payable, however, until (i) the methodologies |
described in this paragraph are approved by the federal |
government in an appropriate State Plan amendment and (ii) the |
assessment imposed by Section 5B-2 of this Code is determined |
to be a permissible tax under Title XIX of the Social Security |
Act. |
Beginning January 1, 2014 the methodologies for |
reimbursement of nursing facility services as provided under |
this Section 5-5.4 shall no longer be applicable for services |
provided on or after January 1, 2014. |
No payment increase under this Section for the MDS |
methodology, exceptional care residents, or the |
socio-development component rate established by Public Act |
96-1530 of the 96th General Assembly and funded by the |
assessment imposed under Section 5B-2 of this Code shall be due |
and payable until after the Department notifies the long-term |
care providers, in writing, that the payment methodologies to |
long-term care providers required under this Section have been |
approved by the Centers for Medicare and Medicaid Services of |
the U.S. Department of Health and Human Services and the |
waivers under 42 CFR 433.68 for the assessment imposed by this |
|
Section, if necessary, have been granted by the Centers for |
Medicare and Medicaid Services of the U.S. Department of Health |
and Human Services. Upon notification to the Department of |
approval of the payment methodologies required under this |
Section and the waivers granted under 42 CFR 433.68, all |
increased payments otherwise due under this Section prior to |
the date of notification shall be due and payable within 90 |
days of the date federal approval is received. |
On and after July 1, 2012, the Department shall reduce any |
rate of reimbursement for services or other payments or alter |
any methodologies authorized by this Code to reduce any rate of |
reimbursement for services or other payments in accordance with |
Section 5-5e. |
(Source: P.A. 97-10, eff. 6-14-11; 97-38, eff. 6-28-11; 97-227, |
eff. 1-1-12; 97-584, eff. 8-26-11; 97-689, eff. 6-14-12; |
97-813, eff. 7-13-12; 98-24, eff. 6-19-13; 98-104, eff. |
7-22-13; revised 9-19-13.)
|
(305 ILCS 5/5-5f)
|
Sec. 5-5f. Elimination and limitations of medical |
assistance services. Notwithstanding any other provision of |
this Code to the contrary, on and after July 1, 2012: |
(a) The following services shall no longer be a covered |
service available under this Code: group psychotherapy for |
residents of any facility licensed under the Nursing Home Care |
Act or the Specialized Mental Health Rehabilitation Act of |
|
2013; and adult chiropractic services. |
(b) The Department shall place the following limitations on |
services: (i) the Department shall limit adult eyeglasses to |
one pair every 2 years; (ii) the Department shall set an annual |
limit of a maximum of 20 visits for each of the following |
services: adult speech, hearing, and language therapy |
services, adult occupational therapy services, and physical |
therapy services; (iii) the Department shall limit adult |
podiatry services to individuals with diabetes; (iv) the |
Department shall pay for caesarean sections at the normal |
vaginal delivery rate unless a caesarean section was medically |
necessary; (v) the Department shall limit adult dental services |
to emergencies; beginning July 1, 2013, the Department shall |
ensure that the following conditions are recognized as |
emergencies: (A) dental services necessary for an individual in |
order for the individual to be cleared for a medical procedure, |
such as a transplant;
(B) extractions and dentures necessary |
for a diabetic to receive proper nutrition;
(C) extractions and |
dentures necessary as a result of cancer treatment; and (D) |
dental services necessary for the health of a pregnant woman |
prior to delivery of her baby; and (vi) effective July 1, 2012, |
the Department shall place limitations and require concurrent |
review on every inpatient detoxification stay to prevent repeat |
admissions to any hospital for detoxification within 60 days of |
a previous inpatient detoxification stay. The Department shall |
convene a workgroup of hospitals, substance abuse providers, |
|
care coordination entities, managed care plans, and other |
stakeholders to develop recommendations for quality standards, |
diversion to other settings, and admission criteria for |
patients who need inpatient detoxification, which shall be |
published on the Department's website no later than September |
1, 2013. |
(c) The Department shall require prior approval of the |
following services: wheelchair repairs costing more than $400, |
coronary artery bypass graft, and bariatric surgery consistent |
with Medicare standards concerning patient responsibility. |
Wheelchair repair prior approval requests shall be adjudicated |
within one business day of receipt of complete supporting |
documentation. Providers may not break wheelchair repairs into |
separate claims for purposes of staying under the $400 |
threshold for requiring prior approval. The wholesale price of |
manual and power wheelchairs, durable medical equipment and |
supplies, and complex rehabilitation technology products and |
services shall be defined as actual acquisition cost including |
all discounts. |
(d) The Department shall establish benchmarks for |
hospitals to measure and align payments to reduce potentially |
preventable hospital readmissions, inpatient complications, |
and unnecessary emergency room visits. In doing so, the |
Department shall consider items, including, but not limited to, |
historic and current acuity of care and historic and current |
trends in readmission. The Department shall publish |
|
provider-specific historical readmission data and anticipated |
potentially preventable targets 60 days prior to the start of |
the program. In the instance of readmissions, the Department |
shall adopt policies and rates of reimbursement for services |
and other payments provided under this Code to ensure that, by |
June 30, 2013, expenditures to hospitals are reduced by, at a |
minimum, $40,000,000. |
(e) The Department shall establish utilization controls |
for the hospice program such that it shall not pay for other |
care services when an individual is in hospice. |
(f) For home health services, the Department shall require |
Medicare certification of providers participating in the |
program and implement the Medicare face-to-face encounter |
rule. The Department shall require providers to implement |
auditable electronic service verification based on global |
positioning systems or other cost-effective technology. |
(g) For the Home Services Program operated by the |
Department of Human Services and the Community Care Program |
operated by the Department on Aging, the Department of Human |
Services, in cooperation with the Department on Aging, shall |
implement an electronic service verification based on global |
positioning systems or other cost-effective technology. |
(h) Effective with inpatient hospital admissions on or |
after July 1, 2012, the Department shall reduce the payment for |
a claim that indicates the occurrence of a provider-preventable |
condition during the admission as specified by the Department |
|
in rules. The Department shall not pay for services related to |
an other provider-preventable condition. |
As used in this subsection (h): |
"Provider-preventable condition" means a health care |
acquired condition as defined under the federal Medicaid |
regulation found at 42 CFR 447.26 or an other |
provider-preventable condition. |
"Other provider-preventable condition" means a wrong |
surgical or other invasive procedure performed on a patient, a |
surgical or other invasive procedure performed on the wrong |
body part, or a surgical procedure or other invasive procedure |
performed on the wrong patient. |
(i) The Department shall implement cost savings |
initiatives for advanced imaging services, cardiac imaging |
services, pain management services, and back surgery. Such |
initiatives shall be designed to achieve annual costs savings.
|
(j) The Department shall ensure that beneficiaries with a |
diagnosis of epilepsy or seizure disorder in Department records |
will not require prior approval for anticonvulsants. |
(Source: P.A. 97-689, eff. 6-14-12; 98-104, Article 6, Section |
6-240, eff. 7-22-13; 98-104, Article 9, Section 9-5, eff. |
7-22-13; revised 9-19-13.) |
(305 ILCS 5/5A-5) (from Ch. 23, par. 5A-5) |
Sec. 5A-5. Notice; penalty; maintenance of records.
|
(a)
The Illinois Department shall send a
notice of |
|
assessment to every hospital provider subject
to assessment |
under this Article. The notice of assessment shall notify the |
hospital of its assessment and shall be sent after receipt by |
the Department of notification from the Centers for Medicare |
and Medicaid Services of the U.S. Department of Health and |
Human Services that the payment methodologies required under |
this Article and, if necessary, the waiver granted under 42 CFR |
433.68 have been approved. The notice
shall be on a form
|
prepared by the Illinois Department and shall state the |
following:
|
(1) The name of the hospital provider.
|
(2) The address of the hospital provider's principal |
place
of business from which the provider engages in the |
occupation of hospital
provider in this State, and the name |
and address of each hospital
operated, conducted, or |
maintained by the provider in this State.
|
(3) The occupied bed days, occupied bed days less |
Medicare days, adjusted gross hospital revenue, or |
outpatient gross revenue of the
hospital
provider |
(whichever is applicable), the amount of
assessment |
imposed under Section 5A-2 for the State fiscal year
for |
which the notice is sent, and the amount of
each
|
installment to be paid during the State fiscal year.
|
(4) (Blank).
|
(5) Other reasonable information as determined by the |
Illinois
Department.
|
|
(b) If a hospital provider conducts, operates, or
maintains |
more than one hospital licensed by the Illinois
Department of |
Public Health, the provider shall pay the
assessment for each |
hospital separately.
|
(c) Notwithstanding any other provision in this Article, in
|
the case of a person who ceases to conduct, operate, or |
maintain a
hospital in respect of which the person is subject |
to assessment
under this Article as a hospital provider, the |
assessment for the State
fiscal year in which the cessation |
occurs shall be adjusted by
multiplying the assessment computed |
under Section 5A-2 by a
fraction, the numerator of which is the |
number of days in the
year during which the provider conducts, |
operates, or maintains
the hospital and the denominator of |
which is 365. Immediately
upon ceasing to conduct, operate, or |
maintain a hospital, the person
shall pay the assessment
for |
the year as so adjusted (to the extent not previously paid).
|
(d) Notwithstanding any other provision in this Article, a
|
provider who commences conducting, operating, or maintaining a
|
hospital, upon notice by the Illinois Department,
shall pay the |
assessment computed under Section 5A-2 and
subsection (e) in |
installments on the due dates stated in the
notice and on the |
regular installment due dates for the State
fiscal year |
occurring after the due dates of the initial
notice.
|
(e)
Notwithstanding any other provision in this Article, |
for State fiscal years 2009 through 2015 2014 , in the case of a |
hospital provider that did not conduct, operate, or maintain a |
|
hospital in 2005, the assessment for that State fiscal year |
shall be computed on the basis of hypothetical occupied bed |
days for the full calendar year as determined by the Illinois |
Department. Notwithstanding any other provision in this |
Article, for the portion of State fiscal year 2012 beginning |
June 10, 2012 through June 30, 2012, and for State fiscal years |
2013 through 2014, and for July 1, 2014 through December 31, |
2014, in the case of a hospital provider that did not conduct, |
operate, or maintain a hospital in 2009, the assessment under |
subsection (b-5) of Section 5A-2 for that State fiscal year |
shall be computed on the basis of hypothetical gross outpatient |
revenue for the full calendar year as determined by the |
Illinois Department.
|
(f) Every hospital provider subject to assessment under |
this Article shall keep sufficient records to permit the |
determination of adjusted gross hospital revenue for the |
hospital's fiscal year. All such records shall be kept in the |
English language and shall, at all times during regular |
business hours of the day, be subject to inspection by the |
Illinois Department or its duly authorized agents and |
employees.
|
(g) The Illinois Department may, by rule, provide a |
hospital provider a reasonable opportunity to request a |
clarification or correction of any clerical or computational |
errors contained in the calculation of its assessment, but such |
corrections shall not extend to updating the cost report |
|
information used to calculate the assessment.
|
(h) (Blank).
|
(Source: P.A. 97-688, eff. 6-14-12; 97-689, eff. 6-14-12; |
98-104, eff. 7-22-13; 98-463, eff. 8-16-13; revised 10-21-13.)
|
(305 ILCS 5/5A-8) (from Ch. 23, par. 5A-8)
|
Sec. 5A-8. Hospital Provider Fund.
|
(a) There is created in the State Treasury the Hospital |
Provider Fund.
Interest earned by the Fund shall be credited to |
the Fund. The
Fund shall not be used to replace any moneys |
appropriated to the
Medicaid program by the General Assembly.
|
(b) The Fund is created for the purpose of receiving moneys
|
in accordance with Section 5A-6 and disbursing moneys only for |
the following
purposes, notwithstanding any other provision of |
law:
|
(1) For making payments to hospitals as required under |
this Code, under the Children's Health Insurance Program |
Act, under the Covering ALL KIDS Health Insurance Act, and |
under the Long Term Acute Care Hospital Quality Improvement |
Transfer Program Act.
|
(2) For the reimbursement of moneys collected by the
|
Illinois Department from hospitals or hospital providers |
through error or
mistake in performing the
activities |
authorized under this Code.
|
(3) For payment of administrative expenses incurred by |
the
Illinois Department or its agent in performing |
|
activities
under this Code, under the Children's Health |
Insurance Program Act, under the Covering ALL KIDS Health |
Insurance Act, and under the Long Term Acute Care Hospital |
Quality Improvement Transfer Program Act.
|
(4) For payments of any amounts which are reimbursable |
to
the federal government for payments from this Fund which |
are
required to be paid by State warrant.
|
(5) For making transfers, as those transfers are |
authorized
in the proceedings authorizing debt under the |
Short Term Borrowing Act,
but transfers made under this |
paragraph (5) shall not exceed the
principal amount of debt |
issued in anticipation of the receipt by
the State of |
moneys to be deposited into the Fund.
|
(6) For making transfers to any other fund in the State |
treasury, but
transfers made under this paragraph (6) shall |
not exceed the amount transferred
previously from that |
other fund into the Hospital Provider Fund plus any |
interest that would have been earned by that fund on the |
monies that had been transferred.
|
(6.5) For making transfers to the Healthcare Provider |
Relief Fund, except that transfers made under this |
paragraph (6.5) shall not exceed $60,000,000 in the |
aggregate. |
(7) For making transfers not exceeding the following |
amounts, in State fiscal years 2013 and 2014 in each State |
fiscal year during which an assessment is imposed pursuant |
|
to Section 5A-2 , to the following designated funds: |
Health and Human Services Medicaid Trust |
Fund ..............................$20,000,000 |
Long-Term Care Provider Fund ..........$30,000,000 |
General Revenue Fund .................$80,000,000. |
Transfers under this paragraph shall be made within 7 days |
after the payments have been received pursuant to the |
schedule of payments provided in subsection (a) of Section |
5A-4. |
(7.1) For making transfers not exceeding the following |
amounts, in State fiscal year 2015, to the following |
designated funds: |
Health and Human Services Medicaid Trust |
Fund ..............................$10,000,000 |
Long-Term Care Provider Fund ..........$15,000,000 |
General Revenue Fund .................$40,000,000. |
Transfers under this paragraph shall be made within 7 days |
after the payments have been received pursuant to the |
schedule of payments provided in subsection (a) of Section |
5A-4.
|
(7.5) (Blank). |
(7.8) (Blank). |
(7.9) (Blank). |
(7.10) For State fiscal years 2013 and 2014, for making |
transfers of the moneys resulting from the assessment under |
subsection (b-5) of Section 5A-2 and received from hospital |
|
providers under Section 5A-4 and transferred into the |
Hospital Provider Fund under Section 5A-6 to the designated |
funds not exceeding the following amounts in that State |
fiscal year: |
Health Care Provider Relief Fund ......$50,000,000 |
Transfers under this paragraph shall be made within 7 |
days after the payments have been received pursuant to the |
schedule of payments provided in subsection (a) of Section |
5A-4. |
(7.11) For State fiscal year 2015, for making transfers |
of the moneys resulting from the assessment under |
subsection (b-5) of Section 5A-2 and received from hospital |
providers under Section 5A-4 and transferred into the |
Hospital Provider Fund under Section 5A-6 to the designated |
funds not exceeding the following amounts in that State |
fiscal year: |
Health Care Provider Relief Fund .....$25,000,000 |
Transfers under this paragraph shall be made within 7 |
days after the payments have been received pursuant to the |
schedule of payments provided in subsection (a) of Section |
5A-4. |
(7.12) For State fiscal year 2013, for increasing by |
21/365ths the transfer of the moneys resulting from the |
assessment under subsection (b-5) of Section 5A-2 and |
received from hospital providers under Section 5A-4 for the |
portion of State fiscal year 2012 beginning June 10, 2012 |
|
through June 30, 2012 and transferred into the Hospital |
Provider Fund under Section 5A-6 to the designated funds |
not exceeding the following amounts in that State fiscal |
year: |
Health Care Provider Relief Fund ......$2,870,000 |
(8) For making refunds to hospital providers pursuant |
to Section 5A-10.
|
Disbursements from the Fund, other than transfers |
authorized under
paragraphs (5) and (6) of this subsection, |
shall be by
warrants drawn by the State Comptroller upon |
receipt of vouchers
duly executed and certified by the Illinois |
Department.
|
(c) The Fund shall consist of the following:
|
(1) All moneys collected or received by the Illinois
|
Department from the hospital provider assessment imposed |
by this
Article.
|
(2) All federal matching funds received by the Illinois
|
Department as a result of expenditures made by the Illinois
|
Department that are attributable to moneys deposited in the |
Fund.
|
(3) Any interest or penalty levied in conjunction with |
the
administration of this Article.
|
(4) Moneys transferred from another fund in the State |
treasury.
|
(5) All other moneys received for the Fund from any |
other
source, including interest earned thereon.
|
|
(d) (Blank).
|
(Source: P.A. 97-688, eff. 6-14-12; 97-689, eff. 6-14-12; |
98-104, eff. 7-22-13; 98-463, eff. 8-16-13; revised 10-21-13.)
|
(305 ILCS 5/5A-12.4) |
(Section scheduled to be repealed on January 1, 2015) |
Sec. 5A-12.4. Hospital access improvement payments on or |
after June 10, 2012. |
(a) Hospital access improvement payments. To preserve and |
improve access to hospital services, for hospital and physician |
services rendered on or after June 10, 2012, the Illinois |
Department shall, except for hospitals described in subsection |
(b) of Section 5A-3, make payments to hospitals as set forth in |
this Section. These payments shall be paid in 12 equal |
installments on or before the 7th State business day of each |
month, except that no payment shall be due within 100 days |
after the later of the date of notification of federal approval |
of the payment methodologies required under this Section or any |
waiver required under 42 CFR 433.68, at which time the sum of |
amounts required under this Section prior to the date of |
notification is due and payable. Payments under this Section |
are not due and payable, however, until (i) the methodologies |
described in this Section are approved by the federal |
government in an appropriate State Plan amendment and (ii) the |
assessment imposed under subsection (b-5) of Section 5A-2 of |
this Article is determined to be a permissible tax under Title |
|
XIX of the Social Security Act. The Illinois Department shall |
take all actions necessary to implement the payments under this |
Section effective June 10, 2012, including but not limited to |
providing public notice pursuant to federal requirements, the |
filing of a State Plan amendment, and the adoption of |
administrative rules. For State fiscal year 2013, payments |
under this Section shall be increased by 21/365ths. The funding |
source for these additional payments shall be from the |
increased assessment under subsection (b-5) of Section 5A-2 |
that was received from hospital providers under Section 5A-4 |
for the portion of State fiscal year 2012 beginning June 10, |
2012 through June 30, 2012. |
(a-5) Accelerated schedule. The Illinois Department may, |
when practicable, accelerate the schedule upon which payments |
authorized under this Section are made. |
(b) Magnet and perinatal hospital adjustment. In addition |
to rates paid for inpatient hospital services, the Department |
shall pay to each Illinois general acute care hospital that, as |
of August 25, 2011, was recognized as a Magnet hospital by the |
American Nurses Credentialing Center and that, as of September |
14, 2011, was designated as a level III perinatal center |
amounts as follows: |
(1) For hospitals with a case mix index equal to or |
greater than the 80th percentile of case mix indices for |
all Illinois hospitals, $470 for each Medicaid general |
acute care inpatient day of care provided by the hospital |
|
during State fiscal year 2009. |
(2) For all other hospitals, $170 for each Medicaid |
general acute care inpatient day of care provided by the |
hospital during State fiscal year 2009. |
(c) Trauma level II adjustment. In addition to rates paid |
for inpatient hospital services, the Department shall pay to |
each Illinois general acute care hospital that, as of July 1, |
2011, was designated as a level II trauma center amounts as |
follows: |
(1) For hospitals with a case mix index equal to or |
greater than the 50th percentile of case mix indices for |
all Illinois hospitals, $470 for each Medicaid general |
acute care inpatient day of care provided by the hospital |
during State fiscal year 2009. |
(2) For all other hospitals, $170 for each Medicaid |
general acute care inpatient day of care provided by the |
hospital during State fiscal year 2009. |
(3) For the purposes of this adjustment, hospitals |
located in the same city that alternate their trauma center |
designation as defined in 89 Ill. Adm. Code 148.295(a)(2) |
shall have the adjustment provided under this Section |
divided between the 2 hospitals. |
(d) Dual-eligible adjustment. In addition to rates paid for |
inpatient services, the Department shall pay each Illinois |
general acute care hospital that had a ratio of crossover days |
to total inpatient days for programs under Title XIX of the |
|
Social Security Act administered by the Department (utilizing |
information from 2009 paid claims) greater than 50%, and a case |
mix index equal to or greater than the 75th percentile of case |
mix indices for all Illinois hospitals, a rate of $400 for each |
Medicaid inpatient day during State fiscal year 2009 including |
crossover days. |
(e) Medicaid volume adjustment. In addition to rates paid |
for inpatient hospital services, the Department shall pay to |
each Illinois general acute care hospital that provided more |
than 10,000 Medicaid inpatient days of care in State fiscal |
year 2009, has a Medicaid inpatient utilization rate of at |
least 29.05% as calculated by the Department for the Rate Year |
2011 Disproportionate Share determination, and is not eligible |
for Medicaid Percentage Adjustment payments in rate year 2011 |
an amount equal to $135 for each Medicaid inpatient day of care |
provided during State fiscal year 2009. |
(f) Outpatient service adjustment. In addition to the rates |
paid for outpatient hospital services, the Department shall pay |
each Illinois hospital an amount at least equal to $100 |
multiplied by the hospital's outpatient ambulatory procedure |
listing services (excluding categories 3B and 3C) and by the |
hospital's end stage renal disease treatment services provided |
for State fiscal year 2009. |
(g) Ambulatory service adjustment. |
(1) In addition to the rates paid for outpatient |
hospital services provided in the emergency department, |
|
the Department shall pay each Illinois hospital an amount |
equal to $105 multiplied by the hospital's outpatient |
ambulatory procedure listing services for categories 3A, |
3B, and 3C for State fiscal year 2009. |
(2) In addition to the rates paid for outpatient |
hospital services, the Department shall pay each Illinois |
freestanding psychiatric hospital an amount equal to $200 |
multiplied by the hospital's ambulatory procedure listing |
services for category 5A for State fiscal year 2009. |
(h) Specialty hospital adjustment. In addition to the rates |
paid for outpatient hospital services, the Department shall pay |
each Illinois long term acute care hospital and each Illinois |
hospital devoted exclusively to the treatment of cancer, an |
amount equal to $700 multiplied by the hospital's outpatient |
ambulatory procedure listing services and by the hospital's end |
stage renal disease treatment services (including services |
provided to individuals eligible for both Medicaid and |
Medicare) provided for State fiscal year 2009. |
(h-1) ER Safety Net Payments. In addition to rates paid for |
outpatient services, the Department shall pay to each Illinois |
general acute care hospital with an emergency room ratio equal |
to or greater than 55%, that is not eligible for Medicaid |
percentage adjustments payments in rate year 2011, with a case |
mix index equal to or greater than the 20th percentile, and |
that is not designated as a trauma center by the Illinois |
Department of Public Health on July 1, 2011, as follows: |
|
(1) Each hospital with an emergency room ratio equal to |
or greater than 74% shall receive a rate of $225 for each |
outpatient ambulatory procedure listing and end-stage |
renal disease treatment service provided for State fiscal |
year 2009. |
(2) For all other hospitals, $65 shall be paid for each |
outpatient ambulatory procedure listing and end-stage |
renal disease treatment service provided for State fiscal |
year 2009. |
(i) Physician supplemental adjustment. In addition to the |
rates paid for physician services, the Department shall make an |
adjustment payment for services provided by physicians as |
follows: |
(1) Physician services eligible for the adjustment |
payment are those provided by physicians employed by or who |
have a contract to provide services to patients of the |
following hospitals: (i) Illinois general acute care |
hospitals that provided at least 17,000 Medicaid inpatient |
days of care in State fiscal year 2009 and are eligible for |
Medicaid Percentage Adjustment Payments in rate year 2011; |
and (ii) Illinois freestanding children's hospitals, as |
defined in 89 Ill. Adm. Code 149.50(c)(3)(A). |
(2) The amount of the adjustment for each eligible |
hospital under this subsection (i) shall be determined by |
rule by the Department to spend a total pool of at least |
$6,960,000 annually. This pool shall be allocated among the |
|
eligible hospitals based on the difference between the |
upper payment limit for what could have been paid under |
Medicaid for physician services provided during State |
fiscal year 2009 by physicians employed by or who had a |
contract with the hospital and the amount that was paid |
under Medicaid for such services, provided however, that in |
no event shall physicians at any individual hospital |
collectively receive an annual, aggregate adjustment in |
excess of $435,000, except that any amount that is not |
distributed to a hospital because of the upper payment |
limit shall be reallocated among the remaining eligible |
hospitals that are below the upper payment limitation, on a |
proportionate basis. |
(i-5) For any children's hospital which did not charge for |
its services during the base period, the Department shall use |
data supplied by the hospital to determine payments using |
similar methodologies for freestanding children's hospitals |
under this Section or Section 5A-12.2. |
(j) For purposes of this Section, a hospital that is |
enrolled to provide Medicaid services during State fiscal year |
2009 shall have its utilization and associated reimbursements |
annualized prior to the payment calculations being performed |
under this Section. |
(k) For purposes of this Section, the terms "Medicaid |
days", "ambulatory procedure listing services", and |
"ambulatory procedure listing payments" do not include any |
|
days, charges, or services for which Medicare or a managed care |
organization reimbursed on a capitated basis was liable for |
payment, except where explicitly stated otherwise in this |
Section. |
(l) Definitions. Unless the context requires otherwise or |
unless provided otherwise in this Section, the terms used in |
this Section for qualifying criteria and payment calculations |
shall have the same meanings as those terms have been given in |
the Illinois Department's administrative rules as in effect on |
October 1, 2011. Other terms shall be defined by the Illinois |
Department by rule. |
As used in this Section, unless the context requires |
otherwise: |
"Case mix index" means, for a given hospital, the sum of
|
the per admission (DRG) relative weighting factors in effect on |
January 1, 2005, for all general acute care admissions for |
State fiscal year 2009, excluding Medicare crossover |
admissions and transplant admissions reimbursed under 89 Ill. |
Adm. Code 148.82, divided by the total number of general acute |
care admissions for State fiscal year 2009, excluding Medicare |
crossover admissions and transplant admissions reimbursed |
under 89 Ill. Adm. Code 148.82. |
"Emergency room ratio" means, for a given hospital, a |
fraction, the denominator of which is the number of the |
hospital's outpatient ambulatory procedure listing and |
end-stage renal disease treatment services provided for State |
|
fiscal year 2009 and the numerator of which is the hospital's |
outpatient ambulatory procedure listing services for |
categories 3A, 3B, and 3C for State fiscal year 2009. |
"Medicaid inpatient day" means, for a given hospital, the
|
sum of days of inpatient hospital days provided to recipients |
of medical assistance under Title XIX of the federal Social |
Security Act, excluding days for individuals eligible for |
Medicare under Title XVIII of that Act (Medicaid/Medicare |
crossover days), as tabulated from the Department's paid claims |
data for admissions occurring during State fiscal year 2009 |
that was adjudicated by the Department through June 30, 2010. |
"Outpatient ambulatory procedure listing services" means, |
for a given hospital, ambulatory procedure listing services, as |
described in 89 Ill. Adm. Code 148.140(b), provided to |
recipients of medical assistance under Title XIX of the federal |
Social Security Act, excluding services for individuals |
eligible for Medicare under Title XVIII of the Act |
(Medicaid/Medicare crossover days), as tabulated from the |
Department's paid claims data for services occurring in State |
fiscal year 2009 that were adjudicated by the Department |
through September 2, 2010. |
"Outpatient end-stage renal disease treatment services" |
means, for a given hospital, the services, as described in 89 |
Ill. Adm. Code 148.140(c), provided to recipients of medical |
assistance under Title XIX of the federal Social Security Act, |
excluding payments for individuals eligible for Medicare under |
|
Title XVIII of the Act (Medicaid/Medicare crossover days), as |
tabulated from the Department's paid claims data for services |
occurring in State fiscal year 2009 that were adjudicated by |
the Department through September 2, 2010. |
(m) The Department may adjust payments made under this |
Section 5A-12.4 to comply with federal law or regulations |
regarding hospital-specific payment limitations on |
government-owned or government-operated hospitals. |
(n) Notwithstanding any of the other provisions of this |
Section, the Department is authorized to adopt rules that |
change the hospital access improvement payments specified in |
this Section, but only to the extent necessary to conform to |
any federally approved amendment to the Title XIX State plan. |
Any such rules shall be adopted by the Department as authorized |
by Section 5-50 of the Illinois Administrative Procedure Act. |
Notwithstanding any other provision of law, any changes |
implemented as a result of this subsection (n) shall be given |
retroactive effect so that they shall be deemed to have taken |
effect as of the effective date of this Section. |
(o) The Department of Healthcare and Family Services must |
submit a State Medicaid Plan Amendment to the Centers for |
Medicare and Medicaid Services to implement the payments under |
this Section June 14, 2012 (Public Act 97-688) .
|
(Source: P.A. 97-688, eff. 6-14-12; 98-104, eff. 7-22-13; |
98-463, eff. 8-16-13; revised 10-21-13.) |
|
(305 ILCS 5/11-5.2) |
Sec. 11-5.2. Income, Residency, and Identity Verification |
System. |
(a) The Department shall ensure that its proposed |
integrated eligibility system shall include the computerized |
functions of income, residency, and identity eligibility |
verification to verify eligibility, eliminate duplication of |
medical assistance, and deter fraud. Until the integrated |
eligibility system is operational, the Department may enter |
into a contract with the vendor selected pursuant to Section |
11-5.3 as necessary to obtain the electronic data matching |
described in this Section. This contract shall be exempt from |
the Illinois Procurement Code pursuant to subsection (h) of |
Section 1-10 of that Code. |
(b) Prior to awarding medical assistance at application |
under Article V of this Code, the Department shall, to the |
extent such databases are available to the Department, conduct |
data matches using the name, date of birth, address, and Social |
Security Number of each applicant or recipient or responsible |
relative of an applicant or recipient against the following: |
(1) Income tax information. |
(2) Employer reports of income and unemployment |
insurance payment information maintained by the Department |
of Employment Security. |
(3) Earned and unearned income, citizenship and death, |
and other relevant information maintained by the Social |
|
Security Administration. |
(4) Immigration status information maintained by the |
United States Citizenship and Immigration Services. |
(5) Wage reporting and similar information maintained |
by states contiguous to this State. |
(6) Employment information maintained by the |
Department of Employment Security in its New Hire Directory |
database. |
(7) Employment information maintained by the United |
States Department of Health and Human Services in its |
National Directory of New Hires database. |
(8) Veterans' benefits information maintained by the |
United States Department of Health and Human Services, in |
coordination with the Department of Health and Human |
Services and the Department of Veterans' Affairs, in the |
federal Public Assistance Reporting Information System |
(PARIS) database. |
(9) Residency information maintained by the Illinois |
Secretary of State. |
(10) A database which is substantially similar to or a |
successor of a database described in this Section that |
contains information relevant for verifying eligibility |
for medical assistance. |
(c) (Blank). |
(d) If a discrepancy results between information provided |
by an applicant, recipient, or responsible relative and |
|
information contained in one or more of the databases or |
information tools listed under subsection (b) or (c) of this |
Section or subsection (c) of Section 11-5.3 and that |
discrepancy calls into question the accuracy of information |
relevant to a condition of eligibility provided by the |
applicant, recipient, or responsible relative, the Department |
or its contractor shall review the applicant's or recipient's |
case using the following procedures: |
(1) If the information discovered under subsection (b) |
(c) of this Section or subsection (c) of Section 11-5.3 |
does not result in the Department finding the applicant or |
recipient ineligible for assistance under Article V of this |
Code, the Department shall finalize the determination or |
redetermination of eligibility. |
(2) If the information discovered results in the |
Department finding the applicant or recipient ineligible |
for assistance, the Department shall provide notice as set |
forth in Section 11-7 of this Article. |
(3) If the information discovered is insufficient to |
determine that the applicant or recipient is eligible or |
ineligible, the Department shall provide written notice to |
the applicant or recipient which shall describe in |
sufficient detail the circumstances of the discrepancy, |
the information or documentation required, the manner in |
which the applicant or recipient may respond, and the |
consequences of failing to take action. The applicant or |
|
recipient shall have 10 business days to respond. |
(4) If the applicant or recipient does not respond to |
the notice, the Department shall deny assistance for |
failure to cooperate, in which case the Department shall |
provide notice as set forth in Section 11-7. Eligibility |
for assistance shall not be established until the |
discrepancy has been resolved. |
(5) If an applicant or recipient responds to the |
notice, the Department shall determine the effect of the |
information or documentation provided on the applicant's |
or recipient's case and shall take appropriate action. |
Written notice of the Department's action shall be provided |
as set forth in Section 11-7 of this Article. |
(6) Suspected cases of fraud shall be referred to the |
Department's Inspector General. |
(e) The Department shall adopt any rules necessary to |
implement this Section.
|
(Source: P.A. 97-689, eff. 6-14-12; revised 11-12-13.)
|
(305 ILCS 5/12-4.25) (from Ch. 23, par. 12-4.25)
|
Sec. 12-4.25. Medical assistance program; vendor |
participation.
|
(A) The Illinois Department may deny, suspend, or
terminate |
the eligibility of any person, firm, corporation, association,
|
agency, institution or other legal entity to participate as a |
vendor of
goods or services to recipients under the medical |
|
assistance program
under Article V, or may exclude any such
|
person or entity from participation as such a vendor, and may
|
deny, suspend, or recover payments, if after reasonable notice |
and opportunity for a
hearing the Illinois Department finds:
|
(a) Such vendor is not complying with the Department's |
policy or
rules and regulations, or with the terms and |
conditions prescribed by
the Illinois Department in its |
vendor agreement, which document shall be
developed by the |
Department as a result of negotiations with each vendor
|
category, including physicians, hospitals, long term care |
facilities,
pharmacists, optometrists, podiatric |
physicians , and dentists setting forth the
terms and |
conditions applicable to the participation of each vendor
|
group in the program; or
|
(b) Such vendor has failed to keep or make available |
for inspection,
audit or copying, after receiving a written |
request from the Illinois
Department, such records |
regarding payments claimed for providing
services. This |
section does not require vendors to make available
patient |
records of patients for whom services are not reimbursed |
under
this Code; or
|
(c) Such vendor has failed to furnish any information |
requested by
the Department regarding payments for |
providing goods or services; or
|
(d) Such vendor has knowingly made, or caused to be |
made, any false
statement or representation of a material |
|
fact in connection with the
administration of the medical |
assistance program; or
|
(e) Such vendor has furnished goods or services to a |
recipient which
are (1) in excess of need, (2) harmful, or
|
(3) of grossly inferior quality, all of such determinations |
to be based
upon competent medical judgment and |
evaluations; or
|
(f) The vendor; a person with management |
responsibility for a
vendor; an officer or person owning, |
either directly or indirectly, 5%
or more of the shares of |
stock or other evidences of ownership in a
corporate |
vendor; an owner of a sole proprietorship which is a |
vendor;
or a partner in a partnership which is a vendor, |
either:
|
(1) was previously terminated, suspended, or |
excluded from participation in the Illinois
medical |
assistance program, or was terminated, suspended, or |
excluded from participation in another state or |
federal medical assistance or health care program; or
|
(2) was a person with management responsibility |
for a vendor
previously terminated, suspended, or |
excluded from participation in the Illinois medical |
assistance
program, or terminated, suspended, or |
excluded from participation in another state or |
federal medical assistance or health care program
|
during the time of conduct which was the basis for
that |
|
vendor's termination, suspension, or exclusion; or
|
(3) was an officer, or person owning, either |
directly or indirectly,
5% or more of the shares of |
stock or other evidences of ownership in a corporate or |
limited liability company vendor
previously |
terminated, suspended, or excluded from participation |
in the Illinois medical assistance
program, or |
terminated, suspended, or excluded from participation |
in a state or federal medical assistance or health care |
program
during the time of conduct which
was the basis |
for that vendor's termination, suspension, or |
exclusion; or
|
(4) was an owner of a sole proprietorship or |
partner of a
partnership previously terminated, |
suspended, or excluded
from participation in the |
Illinois medical assistance program, or terminated, |
suspended, or excluded from participation in a state or |
federal medical assistance or health care program
|
during the time of conduct
which was the basis for that |
vendor's termination, suspension, or exclusion; or
|
(f-1) Such vendor has a delinquent debt owed to the |
Illinois Department; or
|
(g) The vendor; a person with management |
responsibility for a
vendor; an officer or person owning, |
either directly or indirectly, 5%
or more of the shares of |
stock or other evidences of ownership in a
corporate or
|
|
limited liability company vendor; an owner of a sole |
proprietorship which is a vendor;
or a partner in a |
partnership which is a vendor, either:
|
(1) has engaged in practices prohibited by |
applicable federal or
State law or regulation; or
|
(2) was a person with management responsibility |
for a vendor at the
time that such vendor engaged in |
practices prohibited by applicable
federal or State |
law or regulation; or
|
(3) was an officer, or person owning, either |
directly or indirectly,
5% or more of the shares of |
stock or other evidences of ownership in a
vendor at |
the time such vendor engaged in practices prohibited by
|
applicable federal or State law or regulation; or
|
(4) was an owner of a sole proprietorship or |
partner of a
partnership which was a vendor at the time |
such vendor engaged in
practices prohibited by |
applicable federal or State law or regulation; or
|
(h) The direct or indirect ownership of the vendor |
(including the
ownership of a vendor that is a sole |
proprietorship, a partner's interest in a
vendor that is a |
partnership, or ownership of 5% or more of the shares of |
stock
or other
evidences of ownership in a corporate |
vendor) has been transferred by an
individual who is |
terminated, suspended, or excluded or barred from |
participating as a vendor to the
individual's spouse, |
|
child, brother, sister, parent, grandparent, grandchild,
|
uncle, aunt, niece, nephew, cousin, or relative by |
marriage.
|
(A-5) The Illinois Department may deny, suspend, or |
terminate the
eligibility
of any person, firm, corporation, |
association, agency, institution, or other
legal entity to |
participate as a vendor of goods or services to recipients
|
under the medical assistance program under Article V, or may
|
exclude any such person or entity from participation as such a
|
vendor, if, after reasonable
notice and opportunity for a |
hearing, the Illinois Department finds that the
vendor; a |
person with management responsibility for a vendor; an officer |
or
person owning, either directly or indirectly, 5% or more of |
the shares of stock
or other evidences of ownership in a |
corporate vendor; an owner of a sole
proprietorship that is a |
vendor; or a partner in a partnership that is a vendor
has been |
convicted of an offense based on fraud or willful
|
misrepresentation related to any of
the following:
|
(1) The medical assistance program under Article V of |
this Code.
|
(2) A medical assistance or health care program in |
another state.
|
(3) The Medicare program under Title XVIII of the |
Social Security Act.
|
(4) The provision of health care services.
|
(5) A violation of this Code, as provided in Article |
|
VIIIA, or another state or federal medical assistance |
program or health care program. |
(A-10) The Illinois Department may deny, suspend, or |
terminate the eligibility of any person, firm, corporation, |
association, agency, institution, or other legal entity to |
participate as a vendor of goods or services to recipients |
under the medical assistance program under Article V, or may
|
exclude any such person or entity from participation as such a
|
vendor, if, after reasonable notice and opportunity for a |
hearing, the Illinois Department finds that (i) the vendor, |
(ii) a person with management responsibility for a vendor, |
(iii) an officer or person owning, either directly or |
indirectly, 5% or more of the shares of stock or other |
evidences of ownership in a corporate vendor, (iv) an owner of |
a sole proprietorship that is a vendor, or (v) a partner in a |
partnership that is a vendor has been convicted of an offense |
related to any of the following:
|
(1) Murder.
|
(2) A Class X felony under the Criminal Code of 1961 or |
the Criminal Code of 2012.
|
(3) Sexual misconduct that may subject recipients to an |
undue risk of harm. |
(4) A criminal offense that may subject recipients to |
an undue risk of harm. |
(5) A crime of fraud or dishonesty. |
(6) A crime involving a controlled substance. |
|
(7) A misdemeanor relating to fraud, theft, |
embezzlement, breach of fiduciary responsibility, or other |
financial misconduct related to a health care program. |
(A-15) The Illinois Department may deny the eligibility of |
any person, firm, corporation, association, agency, |
institution, or other legal entity to participate as a vendor |
of goods or services to recipients under the medical assistance |
program under Article V if, after reasonable notice and |
opportunity for a hearing, the Illinois Department finds: |
(1) The applicant or any person with management |
responsibility for the applicant; an officer or member of |
the board of directors of an applicant; an entity owning |
(directly or indirectly) 5% or more of the shares of stock |
or other evidences of ownership in a corporate vendor |
applicant; an owner of a sole proprietorship applicant; a |
partner in a partnership applicant; or a technical or other |
advisor to an applicant has a debt owed to the Illinois |
Department, and no payment arrangements acceptable to the |
Illinois Department have been made by the applicant. |
(2) The applicant or any person with management |
responsibility for the applicant; an officer or member of |
the board of directors of an applicant; an entity owning |
(directly or indirectly) 5% or more of the shares of stock |
or other evidences of ownership in a corporate vendor |
applicant; an owner of a sole proprietorship applicant; a |
partner in a partnership vendor applicant; or a technical |
|
or other advisor to an applicant was (i) a person with |
management responsibility, (ii) an officer or member of the |
board of directors of an applicant, (iii) an entity owning |
(directly or indirectly) 5% or more of the shares of stock |
or other evidences of ownership in a corporate vendor, (iv) |
an owner of a sole proprietorship, (v) a partner in a |
partnership vendor, (vi) a technical or other advisor to a |
vendor, during a period of time where the conduct of that |
vendor resulted in a debt owed to the Illinois Department, |
and no payment arrangements acceptable to the Illinois |
Department have been made by that vendor. |
(3) There is a credible allegation of the use, |
transfer, or lease of assets of any kind to an applicant |
from a current or prior vendor who has a debt owed to the |
Illinois Department, no payment arrangements acceptable to |
the Illinois Department have been made by that vendor or |
the vendor's alternate payee, and the applicant knows or |
should have known of such debt. |
(4) There is a credible allegation of a transfer of |
management responsibilities, or direct or indirect |
ownership, to an applicant from a current or prior vendor |
who has a debt owed to the Illinois Department, and no |
payment arrangements acceptable to the Illinois Department |
have been made by that vendor or the vendor's alternate |
payee, and the applicant knows or should have known of such |
debt. |
|
(5) There is a credible allegation of the use, |
transfer, or lease of assets of any kind to an applicant |
who is a spouse, child, brother, sister, parent, |
grandparent, grandchild, uncle, aunt, niece, relative by |
marriage, nephew, cousin, or relative of a current or prior |
vendor who has a debt owed to the Illinois Department and |
no payment arrangements acceptable to the Illinois |
Department have been made. |
(6) There is a credible allegation that the applicant's |
previous affiliations with a provider of medical services |
that has an uncollected debt, a provider that has been or |
is subject to a payment suspension under a federal health |
care program, or a provider that has been previously |
excluded from participation in the medical assistance |
program, poses a risk of fraud, waste, or abuse to the |
Illinois Department. |
As used in this subsection, "credible allegation" is |
defined to include an allegation from any source, including, |
but not limited to, fraud hotline complaints, claims data |
mining, patterns identified through provider audits, civil |
actions filed under the Illinois False Claims Act, and law |
enforcement investigations. An allegation is considered to be |
credible when it has indicia of reliability. |
(B) The Illinois Department shall deny, suspend or |
terminate the
eligibility of any person, firm, corporation, |
association, agency,
institution or other legal entity to |
|
participate as a vendor of goods or
services to recipients |
under the medical assistance program under
Article V, or may
|
exclude any such person or entity from participation as such a
|
vendor:
|
(1) immediately, if such vendor is not properly |
licensed, certified, or authorized;
|
(2) within 30 days of the date when such vendor's |
professional
license, certification or other authorization |
has been refused renewal, restricted,
revoked, suspended, |
or otherwise terminated; or
|
(3) if such vendor has been convicted of a violation of |
this Code, as
provided in Article VIIIA.
|
(C) Upon termination, suspension, or exclusion of a vendor |
of goods or services from
participation in the medical |
assistance program authorized by this
Article, a person with |
management responsibility for such vendor during
the time of |
any conduct which served as the basis for that vendor's
|
termination, suspension, or exclusion is barred from |
participation in the medical assistance
program.
|
Upon termination, suspension, or exclusion of a corporate |
vendor, the officers and persons
owning, directly or |
indirectly, 5% or more of the shares of stock or
other |
evidences of ownership in the vendor during the time of any
|
conduct which served as the basis for that vendor's |
termination, suspension, or exclusion are
barred from |
participation in the medical assistance program. A person who
|
|
owns, directly or indirectly, 5% or more of the shares of stock |
or other
evidences of ownership in a terminated, suspended, or |
excluded vendor may not transfer his or
her ownership interest |
in that vendor to his or her spouse, child, brother,
sister, |
parent, grandparent, grandchild, uncle, aunt, niece, nephew, |
cousin, or
relative by marriage.
|
Upon termination, suspension, or exclusion of a sole |
proprietorship or partnership, the owner
or partners during the |
time of any conduct which served as the basis for
that vendor's |
termination, suspension, or exclusion are barred from |
participation in the medical
assistance program. The owner of a |
terminated, suspended, or excluded vendor that is a sole
|
proprietorship, and a partner in a terminated, suspended, or |
excluded vendor that is a partnership, may
not transfer his or |
her ownership or partnership interest in that vendor to his
or |
her spouse, child, brother, sister, parent, grandparent, |
grandchild, uncle,
aunt, niece, nephew, cousin, or relative by |
marriage.
|
A person who owns, directly or indirectly, 5% or more of |
the shares of stock or other evidences of ownership in a |
corporate or limited liability company vendor who owes a debt |
to the Department, if that vendor has not made payment |
arrangements acceptable to the Department, shall not transfer |
his or her ownership interest in that vendor, or vendor assets |
of any kind, to his or her spouse, child, brother, sister, |
parent, grandparent, grandchild, uncle, aunt, niece, nephew, |
|
cousin, or relative by marriage. |
Rules adopted by the Illinois Department to implement these
|
provisions shall specifically include a definition of the term
|
"management responsibility" as used in this Section. Such |
definition
shall include, but not be limited to, typical job |
titles, and duties and
descriptions which will be considered as |
within the definition of
individuals with management |
responsibility for a provider.
|
A vendor or a prior vendor who has been terminated, |
excluded, or suspended from the medical assistance program, or |
from another state or federal medical assistance or health care |
program, and any individual currently or previously barred from |
the medical assistance program, or from another state or |
federal medical assistance or health care program, as a result |
of being an officer or a person owning, directly or indirectly, |
5% or more of the shares of stock or other evidences of |
ownership in a corporate or limited liability company vendor |
during the time of any conduct which served as the basis for |
that vendor's termination, suspension, or exclusion, may be |
required to post a surety bond as part of a condition of |
enrollment or participation in the medical assistance program. |
The Illinois Department shall establish, by rule, the criteria |
and requirements for determining when a surety bond must be |
posted and the value of the bond. |
A vendor or a prior vendor who has a debt owed to the |
Illinois Department and any individual currently or previously |
|
barred from the medical assistance program, or from another |
state or federal medical assistance or health care program, as |
a result of being an officer or a person owning, directly or |
indirectly, 5% or more of the shares of stock or other |
evidences of ownership in that corporate or limited liability |
company vendor during the time of any conduct which served as |
the basis for the debt, may be required to post a surety bond |
as part of a condition of enrollment or participation in the |
medical assistance program. The Illinois Department shall |
establish, by rule, the criteria and requirements for |
determining when a surety bond must be posted and the value of |
the bond. |
(D) If a vendor has been suspended from the medical |
assistance
program under Article V of the Code, the Director |
may require that such
vendor correct any deficiencies which |
served as the basis for the
suspension. The Director shall |
specify in the suspension order a specific
period of time, |
which shall not exceed one year from the date of the
order, |
during which a suspended vendor shall not be eligible to
|
participate. At the conclusion of the period of suspension the |
Director
shall reinstate such vendor, unless he finds that such |
vendor has not
corrected deficiencies upon which the suspension |
was based.
|
If a vendor has been terminated, suspended, or excluded |
from the medical assistance program
under Article V, such |
vendor shall be barred from participation for at
least one |
|
year, except that if a vendor has been terminated, suspended, |
or excluded based on a
conviction of a
violation of Article |
VIIIA or a conviction of a felony based on fraud or a
willful |
misrepresentation related to (i) the medical assistance |
program under
Article V, (ii) a federal or another state's |
medical assistance or health care program, or (iii) the |
provision of health care services, then
the vendor shall be |
barred from participation for 5 years or for the length of
the |
vendor's sentence for that conviction, whichever is longer. At |
the end of
one year a vendor who has been terminated, |
suspended, or excluded
may apply for reinstatement to the |
program. Upon proper application to
be reinstated such vendor |
may be deemed eligible by the Director
providing that such |
vendor meets the requirements for eligibility under
this Code. |
If such vendor is deemed not eligible for
reinstatement, he
|
shall be barred from again applying for reinstatement for one |
year from the
date his application for reinstatement is denied.
|
A vendor whose termination, suspension, or exclusion from |
participation in the Illinois medical
assistance program under |
Article V was based solely on an action by a
governmental |
entity other than the Illinois Department may, upon |
reinstatement
by that governmental entity or upon reversal of |
the termination, suspension, or exclusion, apply for
|
rescission of the termination, suspension, or exclusion from |
participation in the Illinois medical
assistance program. Upon |
proper application for rescission, the vendor may be
deemed |
|
eligible by the Director if the vendor meets the requirements |
for
eligibility under this Code.
|
If a vendor has been terminated, suspended, or excluded and |
reinstated to the medical assistance
program under Article V |
and the vendor is terminated, suspended, or excluded a second |
or subsequent
time from the medical assistance program, the |
vendor shall be barred from
participation for at least 2 years, |
except that if a vendor has been
terminated, suspended, or |
excluded a second time based on a
conviction of a violation of |
Article VIIIA or a conviction of a felony based on
fraud or a |
willful misrepresentation related to (i) the medical |
assistance
program under Article V, (ii) a federal or another |
state's medical assistance or health care program, or (iii) the |
provision of health care
services, then the vendor shall be |
barred from participation for life. At
the end of 2 years, a |
vendor who has
been terminated, suspended, or excluded may |
apply for reinstatement to the program. Upon application
to be |
reinstated, the vendor may be deemed eligible if the vendor |
meets the
requirements for eligibility under this Code. If the |
vendor is deemed not
eligible for reinstatement, the vendor |
shall be barred from again applying for
reinstatement for 2 |
years from the date the vendor's application for
reinstatement |
is denied.
|
(E) The Illinois Department may recover money improperly or
|
erroneously paid, or overpayments, either by setoff, crediting |
against
future billings or by requiring direct repayment to the |
|
Illinois
Department. The Illinois Department may suspend or |
deny payment, in whole or in part, if such payment would be |
improper or erroneous or would otherwise result in overpayment. |
(1) Payments may be suspended, denied, or recovered |
from a vendor or alternate payee: (i) for services rendered |
in violation of the Illinois Department's provider |
notices, statutes, rules, and regulations; (ii) for |
services rendered in violation of the terms and conditions |
prescribed by the Illinois Department in its vendor |
agreement; (iii) for any vendor who fails to grant the |
Office of Inspector General timely access to full and |
complete records, including, but not limited to, records |
relating to recipients under the medical assistance |
program for the most recent 6 years, in accordance with |
Section 140.28 of Title 89 of the Illinois Administrative |
Code, and other information for the purpose of audits, |
investigations, or other program integrity functions, |
after reasonable written request by the Inspector General; |
this subsection (E) does not require vendors to make |
available the medical records of patients for whom services |
are not reimbursed under this Code or to provide access to |
medical records more than 6 years old; (iv) when the vendor |
has knowingly made, or caused to be made, any false |
statement or representation of a material fact in |
connection with the administration of the medical |
assistance program; or (v) when the vendor previously |
|
rendered services while terminated, suspended, or excluded |
from participation in the medical assistance program or |
while terminated or excluded from participation in another |
state or federal medical assistance or health care program. |
(2) Notwithstanding any other provision of law, if a |
vendor has the same taxpayer identification number |
(assigned under Section 6109 of the Internal Revenue Code |
of 1986) as is assigned to a vendor with past-due financial |
obligations to the Illinois Department, the Illinois |
Department may make any necessary adjustments to payments |
to that vendor in order to satisfy any past-due |
obligations, regardless of whether the vendor is assigned a |
different billing number under the medical assistance |
program.
|
(E-5) Civil monetary penalties. |
(1) As used in this subsection (E-5): |
(a) "Knowingly" means that a person, with respect |
to
information:
(i) has actual knowledge of the |
information;
(ii) acts in deliberate ignorance of the |
truth or falsity of the
information; or
(iii) acts in |
reckless disregard of the truth or falsity of the
|
information. No proof of specific intent to defraud is |
required. |
(b) "Overpayment" means any funds that a person |
receives or
retains from the medical assistance |
program to which the person,
after applicable |
|
reconciliation, is not entitled under this Code. |
(c) "Remuneration" means the offer or transfer of |
items or
services for free or for other than fair |
market value by a
person; however, remuneration does |
not include items or services
of a nominal value of no |
more than $10 per item or service, or
$50 in the |
aggregate on an annual basis, or any other offer or
|
transfer of items or services as determined by the
|
Department. |
(d) "Should know" means that a person, with respect |
to
information:
(i) acts in deliberate ignorance of the |
truth or falsity
of the information; or
(ii) acts in |
reckless disregard of the truth or falsity of
the |
information. No proof of specific intent to defraud is |
required. |
(2) Any person (including a vendor, provider, |
organization, agency, or other entity, or an alternate |
payee thereof, but excluding a recipient) who: |
(a) knowingly presents or causes to be presented to |
an officer, employee, or agent of the State, a claim |
that the Department determines: |
(i) is for a medical or other item or service |
that the person knows or should know was not |
provided as claimed, including any person who |
engages in a pattern or practice of presenting or |
causing to be presented a claim for an item or |
|
service that is based on a code that the person |
knows or should know will result in a greater |
payment to the person than the code the person |
knows or should know is applicable to the item or |
service actually provided; |
(ii) is for a medical or other item or service |
and the person knows or should know that the claim |
is false or fraudulent; |
(iii) is presented for a vendor physician's |
service, or an item or service incident to a vendor |
physician's service, by a person who knows or |
should know that the individual who furnished, or |
supervised the furnishing of, the service: |
(AA) was not licensed as a physician; |
(BB) was licensed as a physician but such |
license had been obtained through a |
misrepresentation of material fact (including |
cheating on an examination required for |
licensing); or |
(CC) represented to the patient at the |
time the service was furnished that the |
physician was certified in a medical specialty |
by a medical specialty board, when the |
individual was not so certified; |
(iv) is for a medical or other item or service |
furnished during a period in which the person was |
|
excluded from the medical assistance program or a |
federal or state health care program under which |
the claim
was made pursuant to applicable law; or |
(v) is for a pattern of medical or other items |
or services that a person knows or should know are |
not medically necessary; |
(b) knowingly presents or causes to be presented to |
any person a request for payment which is in violation |
of the conditions for receipt
of vendor payments under |
the medical assistance program under Section 11-13 of |
this Code; |
(c) knowingly gives or causes to be given to any |
person, with respect to medical assistance program |
coverage of inpatient hospital services, information |
that he or she knows or should know is false or |
misleading, and that could reasonably be expected to |
influence the decision when to discharge such person or |
other individual from the hospital; |
(d) in the case of a person who is not an |
organization, agency, or other entity, is excluded |
from participating in the medical assistance
program |
or a federal or state health care program and who, at |
the time
of a violation of this subsection (E-5): |
(i) retains a direct or indirect ownership or |
control interest in an entity that is |
participating in the medical assistance program or |
|
a federal or state health care program, and who |
knows or should know of the action constituting the |
basis for the exclusion; or |
(ii) is an officer or managing employee of such |
an entity; |
(e) offers or transfers remuneration to any |
individual eligible for benefits under the medical |
assistance program that such person knows or should |
know is likely to influence such individual to order or |
receive from a particular vendor, provider, |
practitioner, or supplier any item or service for which |
payment may be made, in whole or in part, under the |
medical assistance program; |
(f) arranges or contracts (by employment or |
otherwise) with an individual or entity that the person |
knows or should know is excluded from participation in |
the medical assistance program or a federal or
state |
health care program, for the provision of items or |
services for which payment may be made under such a |
program; |
(g) commits an act described in subsection (b) or |
(c) of Section 8A-3; |
(h) knowingly makes, uses, or causes to be made or |
used, a false record
or statement material to a false |
or fraudulent claim for payment for
items and services |
furnished under the medical assistance program; |
|
(i) fails to grant timely access, upon reasonable |
request (as defined
by the Department by rule), to the |
Inspector General, for the purpose of
audits, |
investigations, evaluations, or other statutory |
functions of
the Inspector General of the Department; |
(j) orders or prescribes a medical or other item or |
service during a
period in which the person was |
excluded from the medical assistance
program or a |
federal or state health care program, in the case where
|
the person knows or should know that a claim for such |
medical or other
item or service will be made under |
such a program; |
(k) knowingly makes or causes to be made any false |
statement, omission, or misrepresentation of a |
material fact in any application, bid, or contract to |
participate or enroll as a vendor or provider of |
services or a supplier under the medical assistance |
program; |
(l) knows of an overpayment and does not report and |
return the
overpayment to the Department in accordance |
with paragraph (6); |
shall be subject, in addition to any other penalties that |
may be prescribed by law, to a civil money penalty of not |
more than $10,000
for each item or service (or, in cases |
under subparagraph (c), $15,000
for each individual with |
respect to whom false or misleading
information was given; |
|
in cases under subparagraph (d), $10,000 for
each day the |
prohibited relationship occurs; in cases under |
subparagraph
(g), $50,000 for each such act; in cases under |
subparagraph
(h), $50,000 for each false record or |
statement; in cases under
subparagraph (i), $15,000 for |
each day of the failure described in such
subparagraph; or |
in cases under subparagraph (k), $50,000 for each false
|
statement, omission, or misrepresentation of a material |
fact). In
addition, such a person shall be subject to an |
assessment of not more
than 3 times the amount claimed for |
each such item or service in lieu
of damages sustained by |
the State because of such claim
(or, in cases under |
subparagraph (g), damages of not more than 3 times
the |
total amount of remuneration offered, paid, solicited, or |
received,
without regard to whether a portion of such |
remuneration was offered,
paid, solicited, or received for |
a lawful purpose; or in cases under
subparagraph (k), an |
assessment of not more than 3 times the total
amount |
claimed for each item or service for which payment was made
|
based upon the application, bid, or contract containing the |
false
statement, omission, or misrepresentation of a |
material fact). |
(3) In addition, the Director or his or her designee |
may make a determination in the
same proceeding to exclude, |
terminate, suspend, or bar the person from
participation in |
the medical assistance program. |
|
(4) The Illinois Department may seek the civil monetary |
penalties and exclusion, termination, suspension, or |
barment identified in this subsection (E-5). Prior to the |
imposition of any penalties or sanctions, the affected
|
person shall be afforded an
opportunity for a hearing after |
reasonable notice. The
Department shall establish hearing |
procedures by rule. |
(5) Any final order, decision, or other determination |
made, issued, or executed by the Director under the |
provisions of this subsection (E-5), whereby a person is |
aggrieved, shall be subject to review in accordance with |
the provisions of the Administrative Review Law, and the |
rules adopted pursuant thereto, which shall apply to and |
govern all proceedings for the judicial review of final |
administrative decisions of the Director. |
(6)(a) If a person has received an overpayment, the |
person shall: |
(i) report and return the overpayment to the |
Department at the correct address; and |
(ii) notify the Department in writing of the reason |
for the overpayment. |
(b) An overpayment must be reported and returned under |
subparagraph (a) by the later of: |
(i) the date which is 60 days after the date on |
which the overpayment was identified; or |
(ii) the date any corresponding cost report is due, |
|
if applicable. |
(E-10) A vendor who disputes an overpayment identified as |
part of a Department audit shall utilize the Department's |
self-referral disclosure protocol as set forth under this Code |
to identify, investigate, and return to the Department any |
undisputed audit overpayment amount. Unless the disputed |
overpayment amount is subject to a fraud payment suspension, or |
involves a termination sanction, the Department shall defer the |
recovery of the disputed overpayment amount up to one year |
after the date of the Department's final audit determination, |
or earlier, or as required by State or federal law. If the |
administrative hearing extends beyond one year, and such delay |
was not caused by the request of the vendor, then the |
Department shall not recover the disputed overpayment amount |
until the date of the final administrative decision. If a final |
administrative decision establishes that the disputed |
overpayment amount is owed to the Department, then the amount |
shall be immediately due to the Department. The Department |
shall be entitled to recover interest from the vendor on the |
overpayment amount from the date of the overpayment through the |
date the vendor returns the overpayment to the Department at a |
rate not to exceed the Wall Street Journal Prime Rate, as |
published from time to time, but not to exceed 5%. Any interest |
billed by the Department shall be due immediately upon receipt |
of the Department's billing statement. |
(F) The Illinois Department may withhold payments to any |
|
vendor
or alternate payee prior to or during the pendency of |
any audit or proceeding under this Section, and through the |
pendency of any administrative appeal or administrative review |
by any court proceeding. The Illinois Department shall
state by |
rule with as much specificity as practicable the conditions
|
under which payments will not be withheld under this Section. |
Payments may be denied for bills
submitted with service dates |
occurring during the pendency of a
proceeding, after a final |
decision has been rendered, or after the conclusion of any |
administrative appeal, where the final administrative decision |
is to terminate, exclude, or suspend
eligibility to participate |
in the medical assistance program. The
Illinois Department |
shall state by rule with as much specificity as
practicable the |
conditions under which payments will not be denied for
such |
bills.
The Illinois
Department shall state by rule a process |
and criteria by
which a vendor or alternate payee may request |
full or partial release of payments withheld under
this |
subsection. The Department must complete a proceeding under |
this Section
in a timely manner.
|
Notwithstanding recovery allowed under subsection (E) or |
this subsection (F), the Illinois Department may withhold |
payments to any vendor or alternate payee who is not properly |
licensed, certified, or in compliance with State or federal |
agency regulations. Payments may be denied for bills submitted |
with service dates occurring during the period of time that a |
vendor is not properly licensed, certified, or in compliance |
|
with State or federal regulations. Facilities licensed under
|
the Nursing Home Care Act shall have payments denied or
|
withheld pursuant to subsection (I) of this Section. |
(F-5) The Illinois Department may temporarily withhold |
payments to
a vendor or alternate payee if any of the following |
individuals have been indicted or
otherwise charged under a law |
of the United States or this or any other state
with an offense |
that is based on alleged fraud or willful
misrepresentation on |
the part of the individual related to (i) the medical
|
assistance program under Article V of this Code, (ii) a federal |
or another state's medical assistance
or health care program, |
or (iii) the provision of health care services:
|
(1) If the vendor or alternate payee is a corporation: |
an officer of the corporation
or an individual who owns, |
either directly or indirectly, 5% or more
of the shares of |
stock or other evidence of ownership of the
corporation.
|
(2) If the vendor is a sole proprietorship: the owner |
of the sole
proprietorship.
|
(3) If the vendor or alternate payee is a partnership: |
a partner in the partnership.
|
(4) If the vendor or alternate payee is any other |
business entity authorized by law
to transact business in |
this State: an officer of the entity or an
individual who |
owns, either directly or indirectly, 5% or more of the
|
evidences of ownership of the entity.
|
If the Illinois Department withholds payments to a vendor |
|
or alternate payee under this
subsection, the Department shall |
not release those payments to the vendor
or alternate payee
|
while any criminal proceeding related to the indictment or |
charge is pending
unless the Department determines that there |
is good cause to release the
payments before completion of the |
proceeding. If the indictment or charge
results in the |
individual's conviction, the Illinois Department shall retain
|
all withheld
payments, which shall be considered forfeited to |
the Department. If the
indictment or charge does not result in |
the individual's conviction, the
Illinois Department
shall |
release to the vendor or alternate payee all withheld payments.
|
(F-10) If the Illinois Department establishes that the |
vendor or alternate payee owes a debt to the Illinois |
Department, and the vendor or alternate payee subsequently |
fails to pay or make satisfactory payment arrangements with the |
Illinois Department for the debt owed, the Illinois Department |
may seek all remedies available under the law of this State to |
recover the debt, including, but not limited to, wage |
garnishment or the filing of claims or liens against the vendor |
or alternate payee. |
(F-15) Enforcement of judgment. |
(1) Any fine, recovery amount, other sanction, or costs |
imposed, or part of any fine, recovery amount, other |
sanction, or cost imposed, remaining unpaid after the |
exhaustion of or the failure to exhaust judicial review |
procedures under the Illinois Administrative Review Law is |
|
a debt due and owing the State and may be collected using |
all remedies available under the law. |
(2) After expiration of the period in which judicial |
review under the Illinois Administrative Review Law may be |
sought for a final administrative decision, unless stayed |
by a court of competent jurisdiction, the findings, |
decision, and order of the Director may be enforced in the |
same manner as a judgment entered by a court of competent |
jurisdiction. |
(3) In any case in which any person or entity has |
failed to comply with a judgment ordering or imposing any |
fine or other sanction, any expenses incurred by the |
Illinois Department to enforce the judgment, including, |
but not limited to, attorney's fees, court costs, and costs |
related to property demolition or foreclosure, after they |
are fixed by a court of competent jurisdiction or the |
Director, shall be a debt due and owing the State and may |
be collected in accordance with applicable law. Prior to |
any expenses being fixed by a final administrative decision |
pursuant to this subsection (F-15), the Illinois |
Department shall provide notice to the individual or entity |
that states that the individual or entity shall appear at a |
hearing before the administrative hearing officer to |
determine whether the individual or entity has failed to |
comply with the judgment. The notice shall set the date for |
such a hearing, which shall not be less than 7 days from |
|
the date that notice is served. If notice is served by |
mail, the 7-day period shall begin to run on the date that |
the notice was deposited in the mail. |
(4) Upon being recorded in the manner required by |
Article XII of the Code of Civil Procedure or by the |
Uniform Commercial Code, a lien shall be imposed on the |
real estate or personal estate, or both, of the individual |
or entity in the amount of any debt due and owing the State |
under this Section. The lien may be enforced in the same |
manner as a judgment of a court of competent jurisdiction. |
A lien shall attach to all property and assets of such |
person, firm, corporation, association, agency, |
institution, or other legal entity until the judgment is |
satisfied. |
(5) The Director may set aside any judgment entered by
|
default and set a new hearing date upon a petition filed at
|
any time (i) if the petitioner's failure to appear at the
|
hearing was for good cause, or (ii) if the petitioner
|
established that the Department did not provide proper
|
service of process. If any judgment is set aside pursuant
|
to this paragraph (5), the hearing officer shall have
|
authority to enter an order extinguishing any lien which
|
has been recorded for any debt due and owing the Illinois
|
Department as a result of the vacated default judgment. |
(G) The provisions of the Administrative Review Law, as now |
or hereafter
amended, and the rules adopted pursuant
thereto, |
|
shall apply to and govern all proceedings for the judicial
|
review of final administrative decisions of the Illinois |
Department
under this Section. The term "administrative |
decision" is defined as in
Section 3-101 of the Code of Civil |
Procedure.
|
(G-5) Vendors who pose a risk of fraud, waste, abuse, or |
harm.
|
(1) Notwithstanding any other provision in this |
Section, the Department may terminate, suspend, or exclude |
vendors who pose a risk of fraud, waste, abuse, or harm |
from
participation in the medical assistance program prior
|
to an evidentiary hearing but after reasonable notice and |
opportunity to
respond as established by the Department by |
rule.
|
(2) Vendors who pose a risk of fraud, waste, abuse, or |
harm shall submit to a fingerprint-based criminal
|
background check on current and future information |
available in the State
system and current information |
available through the Federal Bureau of
Investigation's |
system by submitting all necessary fees and information in |
the
form and manner
prescribed by the Department of State |
Police. The following individuals shall
be subject to the |
check:
|
(A) In the case of a vendor that is a corporation, |
every shareholder
who owns, directly or indirectly, 5% |
or more of the outstanding shares of
the corporation.
|
|
(B) In the case of a vendor that is a partnership, |
every partner.
|
(C) In the case of a vendor that is a sole |
proprietorship, the sole
proprietor.
|
(D) Each officer or manager of the vendor.
|
Each such vendor shall be responsible for payment of |
the cost of the
criminal background check.
|
(3) Vendors who pose a risk of fraud, waste, abuse, or |
harm may be
required to post a surety bond. The Department |
shall establish, by rule, the
criteria and requirements for |
determining when a surety bond must be posted and
the value |
of the bond.
|
(4) The Department, or its agents, may refuse to accept |
requests for authorization from specific vendors who pose a |
risk of fraud, waste, abuse, or harm, including |
prior-approval and
post-approval requests, if:
|
(A) the Department has initiated a notice of |
termination, suspension, or exclusion of the
vendor |
from participation in the medical assistance program; |
or
|
(B) the Department has issued notification of its |
withholding of
payments pursuant to subsection (F-5) |
of this Section; or
|
(C) the Department has issued a notification of its |
withholding of
payments due to reliable evidence of |
fraud or willful misrepresentation
pending |
|
investigation.
|
(5) As used in this subsection, the following terms are |
defined as follows: |
(A) "Fraud" means an intentional deception or |
misrepresentation made by a person with the knowledge |
that the deception could result in some unauthorized |
benefit to himself or herself or some other person. It |
includes any act that constitutes fraud under |
applicable federal or State law. |
(B) "Abuse" means provider practices that are |
inconsistent with sound fiscal, business, or medical |
practices and that result in an unnecessary cost to the |
medical assistance program or in reimbursement for |
services that are not medically necessary or that fail |
to meet professionally recognized standards for health |
care. It also includes recipient practices that result |
in unnecessary cost to the medical assistance program. |
Abuse does not include diagnostic or therapeutic |
measures conducted primarily as a safeguard against |
possible vendor liability. |
(C) "Waste" means the unintentional misuse of |
medical assistance resources, resulting in unnecessary |
cost to the medical assistance program. Waste does not |
include diagnostic or therapeutic measures conducted |
primarily as a safeguard against possible vendor |
liability. |
|
(D) "Harm" means physical, mental, or monetary |
damage to recipients or to the medical assistance |
program. |
(G-6) The Illinois Department, upon making a determination |
based upon information in the possession of the Illinois |
Department that continuation of participation in the medical |
assistance program by a vendor would constitute an immediate |
danger to the public, may immediately suspend such vendor's |
participation in the medical assistance program without a |
hearing. In instances in which the Illinois Department |
immediately suspends the medical assistance program |
participation of a vendor under this Section, a hearing upon |
the vendor's participation must be convened by the Illinois |
Department within 15 days after such suspension and completed |
without appreciable delay. Such hearing shall be held to |
determine whether to recommend to the Director that the |
vendor's medical assistance program participation be denied, |
terminated, suspended, placed on provisional status, or |
reinstated. In the hearing, any evidence relevant to the vendor |
constituting an immediate danger to the public may be |
introduced against such vendor; provided, however, that the |
vendor, or his or her counsel, shall have the opportunity to |
discredit, impeach, and submit evidence rebutting such |
evidence. |
(H) Nothing contained in this Code shall in any way limit |
or
otherwise impair the authority or power of any State agency |
|
responsible
for licensing of vendors.
|
(I) Based on a finding of noncompliance on the part of a |
nursing home with
any requirement for certification under Title |
XVIII or XIX of the Social
Security Act (42 U.S.C. Sec. 1395 et |
seq. or 42 U.S.C. Sec. 1396 et seq.), the
Illinois Department |
may impose one or more of the following remedies after
notice |
to the facility:
|
(1) Termination of the provider agreement.
|
(2) Temporary management.
|
(3) Denial of payment for new admissions.
|
(4) Civil money penalties.
|
(5) Closure of the facility in emergency situations or |
transfer of
residents, or both.
|
(6) State monitoring.
|
(7) Denial of all payments when the U.S. Department of |
Health and Human Services has
imposed this sanction.
|
The Illinois Department shall by rule establish criteria |
governing continued
payments to a nursing facility subsequent |
to termination of the facility's
provider agreement if, in the |
sole discretion of the Illinois Department,
circumstances |
affecting the health, safety, and welfare of the facility's
|
residents require those continued payments. The Illinois |
Department may
condition those continued payments on the |
appointment of temporary management,
sale of the facility to |
new owners or operators, or other
arrangements that the |
Illinois Department determines best serve the needs of
the |
|
facility's residents.
|
Except in the case of a facility that has a right to a |
hearing on the finding
of noncompliance before an agency of the |
federal government, a facility may
request a hearing before a |
State agency on any finding of noncompliance within
60 days |
after the notice of the intent to impose a remedy. Except in |
the case
of civil money penalties, a request for a hearing |
shall not delay imposition of
the penalty. The choice of |
remedies is not appealable at a hearing. The level
of |
noncompliance may be challenged only in the case of a civil |
money penalty.
The Illinois Department shall provide by rule |
for the State agency that will
conduct the evidentiary |
hearings.
|
The Illinois Department may collect interest on unpaid |
civil money penalties.
|
The Illinois Department may adopt all rules necessary to |
implement this
subsection (I).
|
(J) The Illinois Department, by rule, may permit individual |
practitioners to designate that Department payments that may be |
due the practitioner be made to an alternate payee or alternate |
payees. |
(a) Such alternate payee or alternate payees shall be |
required to register as an alternate payee in the Medical |
Assistance Program with the Illinois Department. |
(b) If a practitioner designates an alternate payee, |
the alternate payee and practitioner shall be jointly and |
|
severally liable to the Department for payments made to the |
alternate payee. Pursuant to subsection (E) of this |
Section, any Department action to suspend or deny payment |
or recover money or overpayments from an alternate payee |
shall be subject to an administrative hearing. |
(c) Registration as an alternate payee or alternate |
payees in the Illinois Medical Assistance Program shall be |
conditional. At any time, the Illinois Department may deny |
or cancel any alternate payee's registration in the |
Illinois Medical Assistance Program without cause. Any |
such denial or cancellation is not subject to an |
administrative hearing. |
(d) The Illinois Department may seek a revocation of |
any alternate payee, and all owners, officers, and |
individuals with management responsibility for such |
alternate payee shall be permanently prohibited from |
participating as an owner, an officer, or an individual |
with management responsibility with an alternate payee in |
the Illinois Medical Assistance Program, if after |
reasonable notice and opportunity for a hearing the |
Illinois Department finds that: |
(1) the alternate payee is not complying with the |
Department's policy or rules and regulations, or with |
the terms and conditions prescribed by the Illinois |
Department in its alternate payee registration |
agreement; or |
|
(2) the alternate payee has failed to keep or make |
available for inspection, audit, or copying, after |
receiving a written request from the Illinois |
Department, such records regarding payments claimed as |
an alternate payee; or |
(3) the alternate payee has failed to furnish any |
information requested by the Illinois Department |
regarding payments claimed as an alternate payee; or |
(4) the alternate payee has knowingly made, or |
caused to be made, any false statement or |
representation of a material fact in connection with |
the administration of the Illinois Medical Assistance |
Program; or |
(5) the alternate payee, a person with management |
responsibility for an alternate payee, an officer or |
person owning, either directly or indirectly, 5% or |
more of the shares of stock or other evidences of |
ownership in a corporate alternate payee, or a partner |
in a partnership which is an alternate payee: |
(a) was previously terminated, suspended, or |
excluded from participation as a vendor in the |
Illinois Medical Assistance Program, or was |
previously revoked as an alternate payee in the |
Illinois Medical Assistance Program, or was |
terminated, suspended, or excluded from |
participation as a vendor in a medical assistance |
|
program in another state that is of the same kind |
as the program of medical assistance provided |
under Article V of this Code; or |
(b) was a person with management |
responsibility for a vendor previously terminated, |
suspended, or excluded from participation as a |
vendor in the Illinois Medical Assistance Program, |
or was previously revoked as an alternate payee in |
the Illinois Medical Assistance Program, or was |
terminated, suspended, or excluded from |
participation as a vendor in a medical assistance |
program in another state that is of the same kind |
as the program of medical assistance provided |
under Article V of this Code, during the time of |
conduct which was the basis for that vendor's |
termination, suspension, or exclusion or alternate |
payee's revocation; or |
(c) was an officer, or person owning, either |
directly or indirectly, 5% or more of the shares of |
stock or other evidences of ownership in a |
corporate vendor previously terminated, suspended, |
or excluded from participation as a vendor in the |
Illinois Medical Assistance Program, or was |
previously revoked as an alternate payee in the |
Illinois Medical Assistance Program, or was |
terminated, suspended, or excluded from |
|
participation as a vendor in a medical assistance |
program in another state that is of the same kind |
as the program of medical assistance provided |
under Article V of this Code, during the time of |
conduct which was the basis for that vendor's |
termination, suspension, or exclusion; or |
(d) was an owner of a sole proprietorship or |
partner in a partnership previously terminated, |
suspended, or excluded from participation as a |
vendor in the Illinois Medical Assistance Program, |
or was previously revoked as an alternate payee in |
the Illinois Medical Assistance Program, or was |
terminated, suspended, or excluded from |
participation as a vendor in a medical assistance |
program in another state that is of the same kind |
as the program of medical assistance provided |
under Article V of this Code, during the time of |
conduct which was the basis for that vendor's |
termination, suspension, or exclusion or alternate |
payee's revocation; or |
(6) the alternate payee, a person with management |
responsibility for an alternate payee, an officer or |
person owning, either directly or indirectly, 5% or |
more of the shares of stock or other evidences of |
ownership in a corporate alternate payee, or a partner |
in a partnership which is an alternate payee: |
|
(a) has engaged in conduct prohibited by |
applicable federal or State law or regulation |
relating to the Illinois Medical Assistance |
Program; or |
(b) was a person with management |
responsibility for a vendor or alternate payee at |
the time that the vendor or alternate payee engaged |
in practices prohibited by applicable federal or |
State law or regulation relating to the Illinois |
Medical Assistance Program; or |
(c) was an officer, or person owning, either |
directly or indirectly, 5% or more of the shares of |
stock or other evidences of ownership in a vendor |
or alternate payee at the time such vendor or |
alternate payee engaged in practices prohibited by |
applicable federal or State law or regulation |
relating to the Illinois Medical Assistance |
Program; or |
(d) was an owner of a sole proprietorship or |
partner in a partnership which was a vendor or |
alternate payee at the time such vendor or |
alternate payee engaged in practices prohibited by |
applicable federal or State law or regulation |
relating to the Illinois Medical Assistance |
Program; or |
(7) the direct or indirect ownership of the vendor |
|
or alternate payee (including the ownership of a vendor |
or alternate payee that is a partner's interest in a |
vendor or alternate payee, or ownership of 5% or more |
of the shares of stock or other evidences of ownership |
in a corporate vendor or alternate payee) has been |
transferred by an individual who is terminated, |
suspended, or excluded or barred from participating as |
a vendor or is prohibited or revoked as an alternate |
payee to the individual's spouse, child, brother, |
sister, parent, grandparent, grandchild, uncle, aunt, |
niece, nephew, cousin, or relative by marriage. |
(K) The Illinois Department of Healthcare and Family |
Services may withhold payments, in whole or in part, to a |
provider or alternate payee where there is credible evidence, |
received from State or federal law enforcement or federal |
oversight agencies or from the results of a preliminary |
Department audit, that the circumstances giving rise to the |
need for a withholding of payments may involve fraud or willful |
misrepresentation under the Illinois Medical Assistance |
program. The Department shall by rule define what constitutes |
"credible" evidence for purposes of this subsection. The |
Department may withhold payments without first notifying the |
provider or alternate payee of its intention to withhold such |
payments. A provider or alternate payee may request a |
reconsideration of payment withholding, and the Department |
must grant such a request. The Department shall state by rule a |
|
process and criteria by which a provider or alternate payee may |
request full or partial release of payments withheld under this |
subsection. This request may be made at any time after the |
Department first withholds such payments. |
(a) The Illinois Department must send notice of its
|
withholding of program payments within 5 days of taking |
such action. The notice must set forth the general |
allegations as to the nature of the withholding action, but |
need not disclose any specific information concerning its |
ongoing investigation. The notice must do all of the |
following: |
(1) State that payments are being withheld in
|
accordance with this subsection. |
(2) State that the withholding is for a temporary
|
period, as stated in paragraph (b) of this
subsection, |
and cite the circumstances under which
withholding |
will be terminated. |
(3) Specify, when appropriate, which type or types
|
of Medicaid claims withholding is effective. |
(4) Inform the provider or alternate payee of the
|
right to submit written evidence for reconsideration |
of the withholding by
the Illinois Department. |
(5) Inform the provider or alternate payee that a |
written request may be made to the Illinois Department |
for full or partial release of withheld payments and |
that such requests may be made at any time after the |
|
Department first withholds such payments.
|
(b) All withholding-of-payment actions under this
|
subsection shall be temporary and shall not continue after |
any of the following: |
(1) The Illinois Department or the prosecuting
|
authorities determine that there is insufficient
|
evidence of fraud or willful misrepresentation by the
|
provider or alternate payee. |
(2) Legal proceedings related to the provider's or
|
alternate payee's alleged fraud, willful
|
misrepresentation, violations of this Act, or
|
violations of the Illinois Department's administrative
|
rules are completed. |
(3) The withholding of payments for a period of 3 |
years.
|
(c) The Illinois Department may adopt all rules |
necessary
to implement this subsection (K).
|
(K-5) The Illinois Department may withhold payments, in |
whole or in part, to a provider or alternate payee upon |
initiation of an audit, quality of care review, investigation |
when there is a credible allegation of fraud, or the provider |
or alternate payee demonstrating a clear failure to cooperate |
with the Illinois Department such that the circumstances give |
rise to the need for a withholding of payments. As used in this |
subsection, "credible allegation" is defined to include an |
allegation from any source, including, but not limited to, |
|
fraud hotline complaints, claims data mining, patterns |
identified through provider audits, civil actions filed under |
the Illinois False Claims Act, and law enforcement |
investigations. An allegation is considered to be credible when |
it has indicia of reliability. The Illinois Department may |
withhold payments without first notifying the provider or |
alternate payee of its intention to withhold such payments. A |
provider or alternate payee may request a hearing or a |
reconsideration of payment withholding, and the Illinois |
Department must grant such a request. The Illinois Department |
shall state by rule a process and criteria by which a provider |
or alternate payee may request a hearing or a reconsideration |
for the full or partial release of payments withheld under this |
subsection. This request may be made at any time after the |
Illinois Department first withholds such payments. |
(a) The Illinois Department must send notice of its |
withholding of program payments within 5 days of taking |
such action. The notice must set forth the general |
allegations as to the nature of the withholding action but |
need not disclose any specific information concerning its |
ongoing investigation. The notice must do all of the |
following: |
(1) State that payments are being withheld in |
accordance with this subsection. |
(2) State that the withholding is for a temporary |
period, as stated in paragraph (b) of this subsection, |
|
and cite the circumstances under which withholding |
will be terminated. |
(3) Specify, when appropriate, which type or types |
of claims are withheld. |
(4) Inform the provider or alternate payee of the |
right to request a hearing or a reconsideration of the |
withholding by the Illinois Department, including the |
ability to submit written evidence. |
(5) Inform the provider or alternate payee that a |
written request may be made to the Illinois Department |
for a hearing or a reconsideration for the full or |
partial release of withheld payments and that such |
requests may be made at any time after the Illinois |
Department first withholds such payments. |
(b) All withholding of payment actions under this |
subsection shall be temporary and shall not continue after |
any of the following: |
(1) The Illinois Department determines that there |
is insufficient evidence of fraud, or the provider or |
alternate payee demonstrates clear cooperation with |
the Illinois Department, as determined by the Illinois |
Department, such that the circumstances do not give |
rise to the need for withholding of payments; or |
(2) The withholding of payments has lasted for a |
period in excess of 3 years. |
(c) The Illinois Department may adopt all rules |
|
necessary to implement this subsection (K-5). |
(L) The Illinois Department shall establish a protocol to |
enable health care providers to disclose an actual or potential |
violation of this Section pursuant to a self-referral |
disclosure protocol, referred to in this subsection as "the |
protocol". The protocol shall include direction for health care |
providers on a specific person, official, or office to whom |
such disclosures shall be made. The Illinois Department shall |
post information on the protocol on the Illinois Department's |
public website. The Illinois Department may adopt rules |
necessary to implement this subsection (L). In addition to |
other factors that the Illinois Department finds appropriate, |
the Illinois Department may consider a health care provider's |
timely use or failure to use the protocol in considering the |
provider's failure to comply with this Code. |
(M) Notwithstanding any other provision of this Code, the |
Illinois Department, at its discretion, may exempt an entity |
licensed under the Nursing Home Care Act and the ID/DD |
Community Care Act from the provisions of subsections (A-15), |
(B), and (C) of this Section if the licensed entity is in |
receivership. |
(Source: P.A. 97-689, eff. 6-14-12; 97-1150, eff. 1-25-13; |
98-214, eff. 8-9-13; 98-550, eff. 8-27-13; revised 9-19-13.)
|
(305 ILCS 5/12-4.45) |
Sec. 12-4.45. Third party liability. |
|
(a) To the extent authorized under federal law, the |
Department of Healthcare and Family Services shall identify |
individuals receiving services under medical assistance |
programs funded or partially funded by the State who may be or |
may have been covered by a third party health insurer, the |
period of coverage for such individuals, and the nature of |
coverage. A company, as defined in Section 5.5 of the Illinois |
Insurance Code and Section 2 of the Comprehensive Health |
Insurance Plan Act, must provide the Department eligibility |
information in a federally recommended or mutually agreed-upon |
format that includes at a minimum: |
(1) The names, addresses, dates, and sex of primary |
covered persons. |
(2) The policy group numbers of the covered persons. |
(3) The names, dates of birth, and sex of covered |
dependents, and the relationship of dependents to the |
primary covered person. |
(4) The effective dates of coverage for each covered |
person. |
(5) The generally defined covered services |
information, such as drugs, medical, or any other similar |
description of services covered. |
(b) The Department may impose an administrative penalty on |
a company that does not comply with the request for information |
made under Section 5.5 of the Illinois Insurance Code and |
paragraph (3) of subsection (a) of Section 20 of the Covering |
|
ALL KIDS Health Insurance Act. The amount of the penalty shall |
not exceed $10,000 per day for each day of noncompliance that |
occurs after the 180th day after the date of the request. The |
first day of the 180-day period commences on the business day |
following the date of the correspondence requesting the |
information sent by the Department to the company. The amount |
shall be based on: |
(1) The seriousness of the violation, including the |
nature, circumstances, extent, and gravity of the |
violation. |
(2) The economic harm caused by the violation. |
(3) The history of previous violations. |
(4) The amount necessary to deter a future violation. |
(5) Efforts to correct the violation. |
(6) Any other matter that justice may require. |
(c) The enforcement of the penalty may be stayed during the |
time the order is under administrative review if the company |
files an appeal. |
(d) The Attorney General may bring suit on behalf of the |
Department to collect the penalty. |
(e) Recoveries made by the Department in connection with |
the imposition of an administrative penalty as provided under |
this Section shall be deposited into the Public Aid Recoveries |
Trust Fund created under Section 12-9.
|
(Source: P.A. 98-130, eff. 8-2-13.) |
|
(305 ILCS 5/12-4.46) |
Sec. 12-4.46 12-4.45 . Change in legal guardianship; |
notification. Whenever there is a change in legal guardianship |
of a minor child who receives benefits under this Code, the |
appropriate State agency shall immediately inform the |
Department of Human Services of the change in legal |
guardianship to ensure such benefits are sent directly to the |
minor child's legal guardian. |
For purposes of this Section, "legal guardian" means a |
person appointed guardian, or given custody, of a minor by a |
circuit court of the State, but does not include a person |
appointed guardian, or given custody, of a minor under the |
Juvenile Court Act or the Juvenile Court Act of 1987.
|
(Source: P.A. 98-256, eff. 8-9-13; revised 10-31-13.) |
Section 545. The Adult Protective Services Act is amended |
by changing Sections 2 and 7.5 as follows:
|
(320 ILCS 20/2) (from Ch. 23, par. 6602)
|
Sec. 2. Definitions. As used in this Act, unless the |
context
requires otherwise:
|
(a) "Abuse" means causing any physical, mental or sexual |
injury to an
eligible adult, including exploitation of such |
adult's financial resources.
|
Nothing in this Act shall be construed to mean that an |
eligible adult is a
victim of abuse, neglect, or self-neglect |
|
for the sole reason that he or she is being
furnished with or |
relies upon treatment by spiritual means through prayer
alone, |
in accordance with the tenets and practices of a recognized |
church
or religious denomination.
|
Nothing in this Act shall be construed to mean that an |
eligible adult is a
victim of abuse because of health care |
services provided or not provided by
licensed health care |
professionals.
|
(a-5) "Abuser" means a person who abuses, neglects, or |
financially
exploits an eligible adult.
|
(a-6) "Adult with disabilities" means a person aged 18 |
through 59 who resides in a domestic living situation and whose |
disability impairs his or her ability to seek or obtain |
protection from abuse, neglect, or exploitation. |
(a-7) "Caregiver" means a person who either as a result of |
a family
relationship, voluntarily, or in exchange for |
compensation has assumed
responsibility for all or a portion of |
the care of an eligible adult who needs
assistance with |
activities of daily
living.
|
(b) "Department" means the Department on Aging of the State |
of Illinois.
|
(c) "Director" means the Director of the Department.
|
(c-5) "Disability" means a physical or mental disability, |
including, but not limited to, a developmental disability, an |
intellectual disability, a mental illness as defined under the |
Mental Health and Developmental Disabilities Code, or dementia |
|
as defined under the Alzheimer's Disease Assistance Act. |
(d) "Domestic living situation" means a residence where the |
eligible
adult at the time of the report lives alone or with |
his or her family or a caregiver, or others,
or other |
community-based unlicensed facility, but
is not:
|
(1) A licensed facility as defined in Section 1-113 of |
the Nursing Home
Care Act;
|
(1.5) A facility licensed under the ID/DD Community |
Care Act; |
(1.7) A facility licensed under the Specialized Mental |
Health Rehabilitation Act of 2013;
|
(2) A "life care facility" as defined in the Life Care |
Facilities Act;
|
(3) A home, institution, or other place operated by the |
federal
government or agency thereof or by the State of |
Illinois;
|
(4) A hospital, sanitarium, or other institution, the |
principal activity
or business of which is the diagnosis, |
care, and treatment of human illness
through the |
maintenance and operation of organized facilities |
therefor,
which is required to be licensed under the |
Hospital Licensing Act;
|
(5) A "community living facility" as defined in the |
Community Living
Facilities Licensing Act;
|
(6) (Blank);
|
(7) A "community-integrated living arrangement" as |
|
defined in
the Community-Integrated Living Arrangements |
Licensure and Certification Act or a "community |
residential alternative" as licensed under that Act;
|
(8) An assisted living or shared housing establishment |
as defined in the Assisted Living and Shared Housing Act; |
or
|
(9) A supportive living facility as described in |
Section 5-5.01a of the Illinois Public Aid Code.
|
(e) "Eligible adult" means either an adult with |
disabilities aged 18 through 59 or a person aged 60 or older |
who
resides in a domestic living situation and is, or is |
alleged
to be, abused, neglected, or financially exploited by |
another individual or who neglects himself or herself.
|
(f) "Emergency" means a situation in which an eligible |
adult is living
in conditions presenting a risk of death or |
physical, mental or sexual
injury and the provider agency has |
reason to believe the eligible adult is
unable to
consent to |
services which would alleviate that risk.
|
(f-1) "Financial exploitation" means the use of an eligible |
adult's resources by another to the disadvantage of that adult |
or the profit or advantage of a person other than that adult. |
(f-5) "Mandated reporter" means any of the following |
persons
while engaged in carrying out their professional |
duties:
|
(1) a professional or professional's delegate while |
engaged in: (i) social
services, (ii) law enforcement, |
|
(iii) education, (iv) the care of an eligible
adult or |
eligible adults, or (v) any of the occupations required to |
be licensed
under
the Clinical Psychologist Licensing Act, |
the Clinical Social Work and Social
Work Practice Act, the |
Illinois Dental Practice Act, the Dietitian Nutritionist |
Practice Act, the Marriage and Family Therapy Licensing |
Act, the
Medical Practice Act of 1987, the Naprapathic |
Practice Act, the
Nurse Practice Act, the Nursing Home
|
Administrators Licensing and
Disciplinary Act, the |
Illinois Occupational Therapy Practice Act, the Illinois
|
Optometric Practice Act of 1987, the Pharmacy Practice Act, |
the
Illinois Physical Therapy Act, the Physician Assistant |
Practice Act of 1987,
the Podiatric Medical Practice Act of |
1987, the Respiratory Care Practice
Act,
the Professional |
Counselor and
Clinical Professional Counselor Licensing |
and Practice Act, the Illinois Speech-Language
Pathology |
and Audiology Practice Act, the Veterinary Medicine and |
Surgery
Practice Act of 2004, and the Illinois Public |
Accounting Act;
|
(1.5) an employee of an entity providing developmental |
disabilities services or service coordination funded by |
the Department of Human Services;
|
(2) an employee of a vocational rehabilitation |
facility prescribed or
supervised by the Department of |
Human Services;
|
(3) an administrator, employee, or person providing |
|
services in or through
an unlicensed community based |
facility;
|
(4) any religious practitioner who provides treatment |
by prayer or spiritual means alone in accordance with the |
tenets and practices of a recognized church or religious |
denomination, except as to information received in any |
confession or sacred communication enjoined by the |
discipline of the religious denomination to be held |
confidential;
|
(5) field personnel of the Department of Healthcare and |
Family Services, Department of Public
Health, and |
Department of Human Services, and any county or
municipal |
health department;
|
(6) personnel of the Department of Human Services, the |
Guardianship and
Advocacy Commission, the State Fire |
Marshal, local fire departments, the
Department on Aging |
and its subsidiary Area Agencies on Aging and provider
|
agencies, and the Office of State Long Term Care Ombudsman;
|
(7) any employee of the State of Illinois not otherwise |
specified herein
who is involved in providing services to |
eligible adults, including
professionals providing medical |
or rehabilitation services and all
other persons having |
direct contact with eligible adults;
|
(8) a person who performs the duties of a coroner
or |
medical examiner; or
|
(9) a person who performs the duties of a paramedic or |
|
an emergency
medical
technician.
|
(g) "Neglect" means
another individual's failure to |
provide an eligible
adult with or willful withholding from an |
eligible adult the necessities of
life including, but not |
limited to, food, clothing, shelter or health care.
This |
subsection does not create any new affirmative duty to provide |
support to
eligible adults. Nothing in this Act shall be |
construed to mean that an
eligible adult is a victim of neglect |
because of health care services provided
or not provided by |
licensed health care professionals.
|
(h) "Provider agency" means any public or nonprofit agency |
in a planning
and service area appointed by the regional |
administrative agency with prior
approval by the Department on |
Aging to receive and assess reports of
alleged or suspected |
abuse, neglect, or financial exploitation. A provider agency is |
also referenced as a "designated agency" in this Act.
|
(i) "Regional administrative agency" means any public or |
nonprofit
agency in a planning and service area so designated |
by the Department,
provided that the designated Area Agency on |
Aging shall be designated the
regional administrative agency if |
it so requests.
The Department shall assume the functions of |
the regional administrative
agency for any planning and service |
area where another agency is not so
designated.
|
(i-5) "Self-neglect" means a condition that is the result |
of an eligible adult's inability, due to physical or mental |
impairments, or both, or a diminished capacity, to perform |
|
essential self-care tasks that substantially threaten his or |
her own health, including: providing essential food, clothing, |
shelter, and health care; and obtaining goods and services |
necessary to maintain physical health, mental health, |
emotional well-being, and general safety. The term includes |
compulsive hoarding, which is characterized by the acquisition |
and retention of large quantities of items and materials that |
produce an extensively cluttered living space, which |
significantly impairs the performance of essential self-care |
tasks or otherwise substantially threatens life or safety.
|
(j) "Substantiated case" means a reported case of alleged |
or suspected
abuse, neglect, financial exploitation, or |
self-neglect in which a provider agency,
after assessment, |
determines that there is reason to believe abuse,
neglect, or |
financial exploitation has occurred.
|
(Source: P.A. 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-300, |
eff. 8-11-11; 97-706, eff. 6-25-12; 97-813, eff. 7-13-12; |
97-1141, eff. 12-28-12; 98-49, eff. 7-1-13; 98-104, eff. |
7-22-13; revised 9-19-13.) |
(320 ILCS 20/7.5) |
Sec. 7.5. Health Care Worker Registry. |
(a) Reporting to the Registry. The Department on Aging |
shall report to the Department of Public Health's Health Care |
Worker Registry the identity and administrative finding of a |
verified and substantiated decision of abuse, neglect, or |
|
financial exploitation of an eligible adult under this Act that |
is made against any caregiver, including consultants and |
volunteers, employed by a provider licensed, certified, or |
regulated by, or paid with public funds from, the Department of |
Public Health, Healthcare and Family Services, or Human |
Services, or the Department on Aging. For uncompensated or |
privately paid caregivers, the Department on Aging shall report |
only a verified and substantiated decision of significant |
abuse, neglect, or financial exploitation of an eligible adult |
under this Act. An administrative finding placed in the |
Registry shall preclude any caregiver from providing direct |
access or other services, including consulting and |
volunteering, in a position with a provider that is licensed, |
certified, or regulated by, or paid with public funds from or |
on behalf of, the State of Illinois or any Department thereof, |
that permits the caregiver direct access to an adult aged 60 or |
older or an adult, over 18, with a disability or to that |
individual's living quarters or personal, financial, or |
medical records. |
(b) Definitions. As used in this Section: |
"Direct care" includes, but is not limited to, direct |
access to an individual, his or her living quarters, or his or |
her personal, financial, or medical records for the purpose of |
providing nursing care or assistance with feeding, dressing, |
movement, bathing, toileting, other personal needs and |
activities of daily living, or assistance with financial |
|
transactions. |
"Privately paid caregiver" means any caregiver who has been |
paid with resources other than public funds, regardless of |
licensure, certification, or regulation by the State of |
Illinois and any Department thereof. A privately paid caregiver |
does not include any caregiver that has been licensed, |
certified, or regulated by a State agency, or paid with public |
funds. |
"Significant" means a finding of abuse, neglect, or |
financial exploitation as determined by the Department that (i) |
represents a meaningful failure to adequately provide for, or a |
material indifference to, the financial, health, safety, or |
medical needs of an eligible adult or (ii) results in an |
eligible adult's death or other serious deterioration of an |
eligible adult's financial resources, physical condition, or |
mental condition. |
"Uncompensated caregiver" means a caregiver who, in an |
informal capacity, assists an eligible adult with activities of |
daily living, financial transactions, or chore housekeeping |
type duties. "Uncompensated caregiver" does not refer to an |
individual serving in a formal capacity as a volunteer with a |
provider licensed, certified, or regulated by a State agency. |
(c) Access to and use of the Registry. Access to the |
Registry shall be limited to licensed, certified, or regulated |
providers by the Department of Public Health, Healthcare and |
Family Service, or Human Services, or the Department on Aging. |
|
The State of Illinois, any Department thereof, or a provider |
licensed, certified, or regulated, or paid with public funds |
by, from, or on behalf of the Department of Public Health, |
Healthcare and Family Services, or Human Services, or the |
Department on Aging, shall not hire or compensate any person |
seeking employment, retain any contractors, or accept any |
volunteers to provide direct care without first conducting an |
online check of the person through the Department of Public |
Health's Health Care Worker Registry. The provider shall |
maintain a copy of the results of the online check to |
demonstrate compliance with this requirement. The provider is |
prohibited from hiring, compensating, or accepting a person, |
including as a consultant or volunteer, for whom the online |
check reveals a verified and substantiated claim of abuse, |
neglect, or financial exploitation, to provide direct access to |
any adult aged 60 or older or any adult, over 18, with a |
disability. Additionally, a provider is prohibited from |
retaining a person for whom they gain knowledge of a verified |
and substantiated claim of abuse, neglect, or financial |
exploitation in a position that permits the caregiver direct |
access to provide direct care to any adult aged 60 or older or |
any adult, over 18, with a disability or direct access to that |
individual's living quarters or personal, financial, or |
medical records. Failure to comply with this requirement may |
subject such a provider to corrective action by the appropriate |
regulatory agency or other lawful remedies provided under the |
|
applicable licensure, certification, or regulatory laws and |
rules. |
(d) Notice to caregiver. The Department on Aging shall
|
establish rules concerning notice to the caregiver in cases of |
abuse, neglect, or financial exploitation. |
(e) Notification to eligible adults, guardians, or agents. |
As part of its investigation, the Department on Aging shall |
notify an eligible adult, or an eligible adult's guardian or |
agent, that a caregiver's name may be placed on the Registry |
based on a finding as described in subsection (a) (a-1) of this |
Section. |
(f) Notification to employer. A provider licensed, |
certified, or regulated by the Department of Public Health, |
Healthcare and Family Services, or Human Services, or the |
Department on Aging shall be notified of an administrative |
finding against any caregiver who is an employee, consultant, |
or volunteer of a verified and substantiated decision of abuse, |
neglect, or financial exploitation of an eligible adult under |
this Act. If there is an imminent risk of danger to the |
eligible adult or an imminent risk of misuse of personal, |
medical, or financial information, the caregiver shall |
immediately be barred from direct access to the eligible adult, |
his or her living quarters, or his or her personal, financial, |
or medical records, pending the outcome of any challenge, |
criminal prosecution, or other type of collateral action. |
(g) Caregiver challenges. The Department on Aging
shall |
|
establish, by rule, procedures concerning caregiver |
challenges. |
(h) Caregiver's rights to collateral action. The |
Department on Aging shall not make any report to the Registry |
if a caregiver notifies the Department in writing, including |
any supporting documentation, that he or she is formally |
challenging an adverse employment action resulting from a |
verified and substantiated finding of abuse, neglect, or |
financial exploitation by complaint filed with the Illinois |
Civil Service Commission, or by another means which seeks to |
enforce the caregiver's rights pursuant to any applicable |
collective bargaining agreement. If an action taken by an |
employer against a caregiver as a result of a finding of abuse, |
neglect, or financial exploitation is overturned through an |
action filed with the Illinois Civil Service Commission or |
under any applicable collective bargaining agreement after |
that caregiver's name has already been sent to the Registry, |
the caregiver's name shall be removed from the Registry. |
(i) Removal from Registry. At any time after a report to |
the Registry, but no more than once in each successive 3-year |
period thereafter, for a maximum of 3 such requests, a |
caregiver may write to the Director of the Department on Aging |
to request removal of his or her name from the Registry in |
relationship to a single incident. The caregiver shall bear the |
burden of showing cause that establishes, by a preponderance of |
the evidence, that removal of his or her name from the Registry |
|
is in the public interest. Upon receiving such a request, the |
Department on Aging shall conduct an investigation and consider |
any evidentiary material provided. The Department shall issue a |
decision either granting or denying removal within 60 calendar |
days, and shall issue such decision to the caregiver and the |
Registry. The waiver process at the Department of Public Health |
does not apply to Registry reports from the Department on |
Aging. The Department on Aging shall establish standards for |
the removal of a name from the Registry by rule. |
(j) Referral of Registry reports to health care facilities. |
In the event an eligible adult receiving services from a |
provider agency changes his or her residence from a domestic |
living situation to that of a health care facility, the |
provider agency shall use reasonable efforts to promptly inform |
the health care facility and the appropriate Regional Long Term |
Care Ombudsman about any Registry reports relating to the |
eligible adult. For purposes of this Section, a health care |
facility includes, but is not limited to, any residential |
facility licensed, certified, or regulated by the Department of |
Public Health, Healthcare and Family Services, or Human |
Services.
|
(Source: P.A. 98-49, eff. 1-1-14; revised 11-12-13.) |
Section 550. The Abused and Neglected Child Reporting Act |
is amended by changing Sections 4 and 7.16 as follows:
|
|
(325 ILCS 5/4)
|
(Text of Section before amendment by P.A. 98-408 ) |
Sec. 4. Persons required to report; privileged |
communications;
transmitting false report. Any physician, |
resident, intern, hospital,
hospital administrator
and |
personnel engaged in examination, care and treatment of |
persons, surgeon,
dentist, dentist hygienist, osteopath, |
chiropractor, podiatric physician, physician
assistant, |
substance abuse treatment personnel, funeral home
director or |
employee, coroner, medical examiner, emergency medical |
technician,
acupuncturist, crisis line or hotline personnel, |
school personnel (including administrators and both certified |
and non-certified school employees), personnel of institutions |
of higher education, educational
advocate assigned to a child |
pursuant to the School Code, member of a school board or the |
Chicago Board of Education or the governing body of a private |
school (but only to the extent required in accordance with |
other provisions of this Section expressly concerning the duty |
of school board members to report suspected child abuse), |
truant officers,
social worker, social services administrator,
|
domestic violence program personnel, registered nurse, |
licensed
practical nurse, genetic counselor,
respiratory care |
practitioner, advanced practice nurse, home
health aide, |
director or staff
assistant of a nursery school or a child day |
care center, recreational or athletic program
or facility |
personnel, early intervention provider as defined in the Early |
|
Intervention Services System Act, law enforcement officer, |
licensed professional
counselor, licensed clinical |
professional counselor, registered psychologist
and
assistants |
working under the direct supervision of a psychologist,
|
psychiatrist, or field personnel of the Department of |
Healthcare and Family Services,
Juvenile Justice, Public |
Health, Human Services (acting as successor to the Department |
of Mental
Health and Developmental Disabilities, |
Rehabilitation Services, or Public Aid),
Corrections, Human |
Rights, or Children and Family Services, supervisor and
|
administrator of general assistance under the Illinois Public |
Aid Code,
probation officer, animal control officer or Illinois |
Department of Agriculture Bureau of Animal Health and Welfare |
field investigator, or any other foster parent, homemaker or |
child care worker
having reasonable cause to believe a child |
known to them in their professional
or official capacity may be |
an abused child or a neglected child shall
immediately report |
or cause a report to be made to the Department.
|
Any member of the clergy having reasonable cause to believe |
that a child
known to that member of the clergy in his or her |
professional capacity may be
an abused child as defined in item |
(c) of the definition of "abused child" in
Section 3 of this |
Act shall immediately report or cause a report to be made to
|
the Department.
|
Any physician, physician's assistant, registered nurse, |
licensed practical nurse, medical technician, certified |
|
nursing assistant, social worker, or licensed professional |
counselor of any office, clinic, or any other physical location |
that provides abortions, abortion referrals, or contraceptives |
having reasonable cause to believe a child known to him or her |
in his or her professional
or official capacity may be an |
abused child or a neglected child shall
immediately report or |
cause a report to be made to the Department. |
If an allegation is raised to a school board member during |
the course of an open or closed school board meeting that a |
child who is enrolled in the school district of which he or she |
is a board member is an abused child as defined in Section 3 of |
this Act, the member shall direct or cause the school board to |
direct the superintendent of the school district or other |
equivalent school administrator to comply with the |
requirements of this Act concerning the reporting of child |
abuse. For purposes of this paragraph, a school board member is |
granted the authority in his or her individual capacity to |
direct the superintendent of the school district or other |
equivalent school administrator to comply with the |
requirements of this Act concerning the reporting of child |
abuse.
|
Notwithstanding any other provision of this Act, if an |
employee of a school district has made a report or caused a |
report to be made to the Department under this Act involving |
the conduct of a current or former employee of the school |
district and a request is made by another school district for |
|
the provision of information concerning the job performance or |
qualifications of the current or former employee because he or |
she is an applicant for employment with the requesting school |
district, the general superintendent of the school district to |
which the request is being made must disclose to the requesting |
school district the fact that an employee of the school |
district has made a report involving the conduct of the |
applicant or caused a report to be made to the Department, as |
required under this Act. Only the fact that an employee of the |
school district has made a report involving the conduct of the |
applicant or caused a report to be made to the Department may |
be disclosed by the general superintendent of the school |
district to which the request for information concerning the |
applicant is made, and this fact may be disclosed only in cases |
where the employee and the general superintendent have not been |
informed by the Department that the allegations were unfounded. |
An employee of a school district who is or has been the subject |
of a report made pursuant to this Act during his or her |
employment with the school district must be informed by that |
school district that if he or she applies for employment with |
another school district, the general superintendent of the |
former school district, upon the request of the school district |
to which the employee applies, shall notify that requesting |
school district that the employee is or was the subject of such |
a report.
|
Whenever
such person is required to report under this Act |
|
in his capacity as a member of
the staff of a medical or other |
public or private institution, school, facility
or agency, or |
as a member of the clergy, he shall
make report immediately to |
the Department in accordance
with the provisions of this Act |
and may also notify the person in charge of
such institution, |
school, facility or agency, or church, synagogue, temple,
|
mosque, or other religious institution, or his
designated agent |
that such
report has been made. Under no circumstances shall |
any person in charge of
such institution, school, facility or |
agency, or church, synagogue, temple,
mosque, or other |
religious institution, or his
designated agent to whom
such |
notification has been made, exercise any control, restraint, |
modification
or other change in the report or the forwarding of |
such report to the
Department.
|
The privileged quality of communication between any |
professional
person required to report
and his patient or |
client shall not apply to situations involving abused or
|
neglected children and shall not constitute grounds for failure |
to report
as required by this Act or constitute grounds for |
failure to share information or documents with the Department |
during the course of a child abuse or neglect investigation. If |
requested by the professional, the Department shall confirm in |
writing that the information or documents disclosed by the |
professional were gathered in the course of a child abuse or |
neglect investigation.
|
The reporting requirements of this Act shall not apply to |
|
the contents of a privileged communication between an attorney |
and his or her client or to confidential information within the |
meaning of Rule 1.6 of the Illinois Rules of Professional |
Conduct relating to the legal representation of an individual |
client. |
A member of the clergy may claim the privilege under |
Section 8-803 of the
Code of Civil Procedure.
|
Any office, clinic, or any other physical location that |
provides abortions, abortion referrals, or contraceptives |
shall provide to all office personnel copies of written |
information and training materials about abuse and neglect and |
the requirements of this Act that are provided to employees of |
the office, clinic, or physical location who are required to |
make reports to the Department under this Act, and instruct |
such office personnel to bring to the attention of an employee |
of the office, clinic, or physical location who is required to |
make reports to the Department under this Act any reasonable |
suspicion that a child known to him or her in his or her |
professional or official capacity may be an abused child or a |
neglected child. In addition to the above persons required to
|
report suspected cases of abused or neglected children, any |
other person
may make a report if such person has reasonable |
cause to believe a child
may be an abused child or a neglected |
child.
|
Any person who enters into
employment on and after July 1, |
1986 and is mandated by virtue of that
employment to report |
|
under this Act, shall sign a statement on a form
prescribed by |
the Department, to the effect that the employee has knowledge
|
and understanding of the reporting requirements of this Act. |
The statement
shall be signed prior to commencement of the |
employment. The signed
statement shall be retained by the |
employer. The cost of printing,
distribution, and filing of the |
statement shall be borne by the employer.
|
The Department shall provide copies of this Act, upon |
request, to all
employers employing persons who shall be |
required under the provisions of
this Section to report under |
this Act.
|
Any person who knowingly transmits a false report to the |
Department
commits the offense of disorderly conduct under |
subsection (a)(7) of
Section 26-1 of the Criminal Code of 2012. |
A violation of this provision is a Class 4 felony.
|
Any person who knowingly and willfully violates any |
provision of this
Section other than a second or subsequent |
violation of transmitting a
false report as described in the
|
preceding paragraph, is guilty of a
Class A misdemeanor for
a |
first violation and a Class
4 felony for a
second or subsequent |
violation; except that if the person acted as part
of a plan or |
scheme having as its object the
prevention of discovery of an |
abused or neglected child by lawful authorities
for the
purpose |
of protecting or insulating any person or entity from arrest or
|
prosecution, the
person is guilty of a Class 4 felony for a |
first offense and a Class 3 felony
for a second or
subsequent |
|
offense (regardless of whether the second or subsequent offense
|
involves any
of the same facts or persons as the first or other |
prior offense).
|
A child whose parent, guardian or custodian in good faith |
selects and depends
upon spiritual means through prayer alone |
for the treatment or cure of
disease or remedial care may be |
considered neglected or abused, but not for
the sole reason |
that his parent, guardian or custodian accepts and
practices |
such beliefs.
|
A child shall not be considered neglected or abused solely |
because the
child is not attending school in accordance with |
the requirements of
Article 26 of the School Code, as amended.
|
Nothing in this Act prohibits a mandated reporter who |
reasonably believes that an animal is being abused or neglected |
in violation of the Humane Care for Animals Act from reporting |
animal abuse or neglect to the Department of Agriculture's |
Bureau of Animal Health and Welfare. |
A home rule unit may not regulate the reporting of child |
abuse or neglect in a manner inconsistent with the provisions |
of this Section. This Section is a limitation under subsection |
(i) of Section 6 of Article VII of the Illinois Constitution on |
the concurrent exercise by home rule units of powers and |
functions exercised by the State. |
For purposes of this Section "child abuse or neglect" |
includes abuse or neglect of an adult resident as defined in |
this Act. |
|
(Source: P.A. 97-189, eff. 7-22-11; 97-254, eff. 1-1-12; |
97-387, eff. 8-15-11; 97-711, eff. 6-27-12; 97-813, eff. |
7-13-12; 97-1150, eff. 1-25-13; 98-67, eff. 7-15-13; 98-214, |
eff. 8-9-13; revised 9-19-13.)
|
(Text of Section after amendment by P.A. 98-408 )
|
Sec. 4. Persons required to report; privileged |
communications;
transmitting false report. Any physician, |
resident, intern, hospital,
hospital administrator
and |
personnel engaged in examination, care and treatment of |
persons, surgeon,
dentist, dentist hygienist, osteopath, |
chiropractor, podiatric physician, physician
assistant, |
substance abuse treatment personnel, funeral home
director or |
employee, coroner, medical examiner, emergency medical |
technician,
acupuncturist, crisis line or hotline personnel, |
school personnel (including administrators and both certified |
and non-certified school employees), personnel of institutions |
of higher education, educational
advocate assigned to a child |
pursuant to the School Code, member of a school board or the |
Chicago Board of Education or the governing body of a private |
school (but only to the extent required in accordance with |
other provisions of this Section expressly concerning the duty |
of school board members to report suspected child abuse), |
truant officers,
social worker, social services administrator,
|
domestic violence program personnel, registered nurse, |
licensed
practical nurse, genetic counselor,
respiratory care |
|
practitioner, advanced practice nurse, home
health aide, |
director or staff
assistant of a nursery school or a child day |
care center, recreational or athletic program
or facility |
personnel, early intervention provider as defined in the Early |
Intervention Services System Act, law enforcement officer, |
licensed professional
counselor, licensed clinical |
professional counselor, registered psychologist
and
assistants |
working under the direct supervision of a psychologist,
|
psychiatrist, or field personnel of the Department of |
Healthcare and Family Services,
Juvenile Justice, Public |
Health, Human Services (acting as successor to the Department |
of Mental
Health and Developmental Disabilities, |
Rehabilitation Services, or Public Aid),
Corrections, Human |
Rights, or Children and Family Services, supervisor and
|
administrator of general assistance under the Illinois Public |
Aid Code,
probation officer, animal control officer or Illinois |
Department of Agriculture Bureau of Animal Health and Welfare |
field investigator, or any other foster parent, homemaker or |
child care worker
having reasonable cause to believe a child |
known to them in their professional
or official capacity may be |
an abused child or a neglected child shall
immediately report |
or cause a report to be made to the Department.
|
Any member of the clergy having reasonable cause to believe |
that a child
known to that member of the clergy in his or her |
professional capacity may be
an abused child as defined in item |
(c) of the definition of "abused child" in
Section 3 of this |
|
Act shall immediately report or cause a report to be made to
|
the Department.
|
Any physician, physician's assistant, registered nurse, |
licensed practical nurse, medical technician, certified |
nursing assistant, social worker, or licensed professional |
counselor of any office, clinic, or any other physical location |
that provides abortions, abortion referrals, or contraceptives |
having reasonable cause to believe a child known to him or her |
in his or her professional
or official capacity may be an |
abused child or a neglected child shall
immediately report or |
cause a report to be made to the Department. |
If an allegation is raised to a school board member during |
the course of an open or closed school board meeting that a |
child who is enrolled in the school district of which he or she |
is a board member is an abused child as defined in Section 3 of |
this Act, the member shall direct or cause the school board to |
direct the superintendent of the school district or other |
equivalent school administrator to comply with the |
requirements of this Act concerning the reporting of child |
abuse. For purposes of this paragraph, a school board member is |
granted the authority in his or her individual capacity to |
direct the superintendent of the school district or other |
equivalent school administrator to comply with the |
requirements of this Act concerning the reporting of child |
abuse.
|
Notwithstanding any other provision of this Act, if an |
|
employee of a school district has made a report or caused a |
report to be made to the Department under this Act involving |
the conduct of a current or former employee of the school |
district and a request is made by another school district for |
the provision of information concerning the job performance or |
qualifications of the current or former employee because he or |
she is an applicant for employment with the requesting school |
district, the general superintendent of the school district to |
which the request is being made must disclose to the requesting |
school district the fact that an employee of the school |
district has made a report involving the conduct of the |
applicant or caused a report to be made to the Department, as |
required under this Act. Only the fact that an employee of the |
school district has made a report involving the conduct of the |
applicant or caused a report to be made to the Department may |
be disclosed by the general superintendent of the school |
district to which the request for information concerning the |
applicant is made, and this fact may be disclosed only in cases |
where the employee and the general superintendent have not been |
informed by the Department that the allegations were unfounded. |
An employee of a school district who is or has been the subject |
of a report made pursuant to this Act during his or her |
employment with the school district must be informed by that |
school district that if he or she applies for employment with |
another school district, the general superintendent of the |
former school district, upon the request of the school district |
|
to which the employee applies, shall notify that requesting |
school district that the employee is or was the subject of such |
a report.
|
Whenever
such person is required to report under this Act |
in his capacity as a member of
the staff of a medical or other |
public or private institution, school, facility
or agency, or |
as a member of the clergy, he shall
make report immediately to |
the Department in accordance
with the provisions of this Act |
and may also notify the person in charge of
such institution, |
school, facility or agency, or church, synagogue, temple,
|
mosque, or other religious institution, or his
designated agent |
that such
report has been made. Under no circumstances shall |
any person in charge of
such institution, school, facility or |
agency, or church, synagogue, temple,
mosque, or other |
religious institution, or his
designated agent to whom
such |
notification has been made, exercise any control, restraint, |
modification
or other change in the report or the forwarding of |
such report to the
Department.
|
The privileged quality of communication between any |
professional
person required to report
and his patient or |
client shall not apply to situations involving abused or
|
neglected children and shall not constitute grounds for failure |
to report
as required by this Act or constitute grounds for |
failure to share information or documents with the Department |
during the course of a child abuse or neglect investigation. If |
requested by the professional, the Department shall confirm in |
|
writing that the information or documents disclosed by the |
professional were gathered in the course of a child abuse or |
neglect investigation.
|
The reporting requirements of this Act shall not apply to |
the contents of a privileged communication between an attorney |
and his or her client or to confidential information within the |
meaning of Rule 1.6 of the Illinois Rules of Professional |
Conduct relating to the legal representation of an individual |
client. |
A member of the clergy may claim the privilege under |
Section 8-803 of the
Code of Civil Procedure.
|
Any office, clinic, or any other physical location that |
provides abortions, abortion referrals, or contraceptives |
shall provide to all office personnel copies of written |
information and training materials about abuse and neglect and |
the requirements of this Act that are provided to employees of |
the office, clinic, or physical location who are required to |
make reports to the Department under this Act, and instruct |
such office personnel to bring to the attention of an employee |
of the office, clinic, or physical location who is required to |
make reports to the Department under this Act any reasonable |
suspicion that a child known to him or her in his or her |
professional or official capacity may be an abused child or a |
neglected child. In addition to the above persons required to
|
report suspected cases of abused or neglected children, any |
other person
may make a report if such person has reasonable |
|
cause to believe a child
may be an abused child or a neglected |
child.
|
Any person who enters into
employment on and after July 1, |
1986 and is mandated by virtue of that
employment to report |
under this Act, shall sign a statement on a form
prescribed by |
the Department, to the effect that the employee has knowledge
|
and understanding of the reporting requirements of this Act. |
The statement
shall be signed prior to commencement of the |
employment. The signed
statement shall be retained by the |
employer. The cost of printing,
distribution, and filing of the |
statement shall be borne by the employer.
|
Within one year of initial employment and at least every 5 |
years thereafter, school personnel required to report child |
abuse as provided under this Section must complete mandated |
reporter training by a provider or agency with expertise in |
recognizing and reporting child abuse. |
The Department shall provide copies of this Act, upon |
request, to all
employers employing persons who shall be |
required under the provisions of
this Section to report under |
this Act.
|
Any person who knowingly transmits a false report to the |
Department
commits the offense of disorderly conduct under |
subsection (a)(7) of
Section 26-1 of the Criminal Code of 2012. |
A violation of this provision is a Class 4 felony.
|
Any person who knowingly and willfully violates any |
provision of this
Section other than a second or subsequent |
|
violation of transmitting a
false report as described in the
|
preceding paragraph, is guilty of a
Class A misdemeanor for
a |
first violation and a Class
4 felony for a
second or subsequent |
violation; except that if the person acted as part
of a plan or |
scheme having as its object the
prevention of discovery of an |
abused or neglected child by lawful authorities
for the
purpose |
of protecting or insulating any person or entity from arrest or
|
prosecution, the
person is guilty of a Class 4 felony for a |
first offense and a Class 3 felony
for a second or
subsequent |
offense (regardless of whether the second or subsequent offense
|
involves any
of the same facts or persons as the first or other |
prior offense).
|
A child whose parent, guardian or custodian in good faith |
selects and depends
upon spiritual means through prayer alone |
for the treatment or cure of
disease or remedial care may be |
considered neglected or abused, but not for
the sole reason |
that his parent, guardian or custodian accepts and
practices |
such beliefs.
|
A child shall not be considered neglected or abused solely |
because the
child is not attending school in accordance with |
the requirements of
Article 26 of the School Code, as amended.
|
Nothing in this Act prohibits a mandated reporter who |
reasonably believes that an animal is being abused or neglected |
in violation of the Humane Care for Animals Act from reporting |
animal abuse or neglect to the Department of Agriculture's |
Bureau of Animal Health and Welfare. |
|
A home rule unit may not regulate the reporting of child |
abuse or neglect in a manner inconsistent with the provisions |
of this Section. This Section is a limitation under subsection |
(i) of Section 6 of Article VII of the Illinois Constitution on |
the concurrent exercise by home rule units of powers and |
functions exercised by the State. |
For purposes of this Section "child abuse or neglect" |
includes abuse or neglect of an adult resident as defined in |
this Act. |
(Source: P.A. 97-189, eff. 7-22-11; 97-254, eff. 1-1-12; |
97-387, eff. 8-15-11; 97-711, eff. 6-27-12; 97-813, eff. |
7-13-12; 97-1150, eff. 1-25-13; 98-67, eff. 7-15-13; 98-214, |
eff. 8-9-13; 98-408, eff. 7-1-14; revised 9-19-13.)
|
(325 ILCS 5/7.16) (from Ch. 23, par. 2057.16)
|
Sec. 7.16.
For any investigation or appeal initiated on or |
after, or
pending on July 1, 1998, the following time frames |
shall apply.
Within 60 days after the notification of the |
completion
of the Child Protective Service Unit investigation, |
determined by the date
of the notification sent by the |
Department, the perpetrator named in the notification may
|
request the Department to amend the record or
remove the record |
of the report from the register, except that the 60-day |
deadline for filing a request to amend the record or remove the |
record of the report from the State Central Register shall be |
tolled until after the conclusion of any criminal court action |
|
in the circuit court or after adjudication in any juvenile |
court action concerning the circumstances that give rise to an |
indicated report. Such request shall be
in writing and directed |
to such person as the Department designates in the
notification |
letter notifying the perpetrator of the indicated finding. The |
perpetrator shall have the right to a timely
hearing within
the |
Department to determine whether the record of the report should |
be
amended or removed on the grounds that it is inaccurate or |
it is
being
maintained in a manner inconsistent with this Act, |
except that there
shall be no such right to a hearing on the |
ground of the report's
inaccuracy if there has been a court |
finding of child abuse or neglect or a criminal finding of |
guilt as to the perpetrator. Such
hearing shall be held within |
a reasonable time after the perpetrator's request
and at a |
reasonable place and hour. The appropriate Child Protective
|
Service Unit shall be given notice of the hearing. If the |
minor, who is the victim named in the report sought to be |
amended or removed from the State Central Register, is the |
subject of a pending action under Article II of the Juvenile |
Court Act of 1987, and the report was made while a guardian ad |
litem was appointed for the minor under Section 2-17 of the |
Juvenile Court Act of 1987, then the minor shall, through the |
minor's attorney or guardian ad litem appointed under Section |
2-17 of the Juvenile Court Act of 1987, have the right to |
participate and be heard in such hearing as defined under the |
Department's rules. In such hearings, the
burden of proving the |
|
accuracy and consistency of the record shall be on
the |
Department and the appropriate Child Protective Service Unit. |
The
hearing shall be conducted by the Director or his designee, |
who is hereby
authorized and empowered to order the amendment |
or removal of
the record to make it accurate and consistent |
with this Act. The decision
shall be made, in writing, at the |
close of the hearing, or within 60
days
thereof, and shall |
state the reasons upon which it is based. Decisions of
the |
Department under this Section are administrative decisions |
subject to
judicial review under the Administrative Review Law.
|
Should the Department grant the request of the perpetrator
|
pursuant to this Section either on administrative review or |
after
an administrative hearing to amend an indicated report to |
an unfounded report, the
report shall be released and expunged |
in accordance
with the standards set forth in Section 7.14 of |
this Act.
|
(Source: P.A. 98-453, eff. 8-16-13; 98-487, eff. 1-1-14; |
revised 10-1-13.)
|
Section 555. The Early Intervention Services System Act is |
amended by changing Section 5 as follows:
|
(325 ILCS 20/5) (from Ch. 23, par. 4155)
|
Sec. 5. Lead Agency. The Department of Human Services is |
designated the
lead agency and shall
provide leadership in |
establishing and implementing the coordinated,
comprehensive, |
|
interagency and interdisciplinary system of early intervention
|
services. The lead agency shall not have the sole |
responsibility for
providing these services. Each |
participating State agency shall continue
to coordinate those |
early intervention services relating to health, social
service |
and education provided under this authority.
|
The lead agency is responsible for carrying out the |
following:
|
(a) The general administration, supervision, and |
monitoring of programs
and activities receiving assistance |
under Section 673 of the Individuals
with Disabilities |
Education Act (20 United States Code 1473).
|
(b) The identification and coordination of all |
available resources within
the State from federal, State, |
local and private sources.
|
(c) The development of procedures to ensure that |
services are provided to
eligible infants and toddlers and |
their families in a timely manner pending
the resolution of |
any disputes among public agencies or service
providers.
|
(d) The resolution of intra-agency and interagency |
regulatory and
procedural disputes.
|
(e) The development and implementation of formal |
interagency agreements,
and the entry into such |
agreements, between the lead agency and (i) the
Department |
of Healthcare and Family Services, (ii) the University of |
Illinois Division of
Specialized Care for Children, and |
|
(iii) other relevant State agencies that:
|
(1) define the financial responsibility of each |
agency for paying
for early intervention services |
(consistent with existing State and federal
law and |
rules, including the requirement that early |
intervention funds
be used as the payor of last |
resort), a hierarchical order of payment as
among the |
agencies for
early intervention services that are |
covered under or may
be paid by programs in other |
agencies,
and procedures for direct billing, |
collecting reimbursements for payments
made, and |
resolving service and payment disputes; and
|
(2) include all additional components necessary to |
ensure meaningful
cooperation and coordination.
|
Interagency agreements under this paragraph (e) must |
be reviewed and
revised to implement the purposes of this |
amendatory Act of the 92nd General
Assembly no later than |
60 days after the effective date of this amendatory Act
of |
the 92nd General Assembly.
|
(f) The maintenance of an early intervention website. |
Within 30 days
after the effective date of this amendatory |
Act of the 92nd General Assembly,
the lead agency shall |
post and keep posted on this website the following: (i)
the |
current annual report required under subdivision (b)(5) of |
Section 4 of
this Act, and the annual reports of the prior |
3 years, (ii) the most recent
Illinois application for |
|
funds prepared under Section 637 of the Individuals
with |
Disabilities Education Act filed with the United States |
Department of
Education, (iii) proposed modifications of |
the application prepared for public
comment, (iv) notice of |
Council meetings, Council agendas, and minutes of its
|
proceedings for at least the previous year, (v) proposed |
and final early
intervention rules, (vi) requests for |
proposals, and (vii) all reports created
for dissemination |
to the public that are related to the early intervention
|
program, including reports prepared at the request of the |
Council , and the General
Assembly. Each such document shall |
be posted on the website within 3
working days after the |
document's completion.
|
(g) Before adopting any new policy or procedure |
(including any revisions to an existing policy or |
procedure) needed to comply with Part C of the Individuals |
with Disabilities Education Act, the lead agency must hold |
public hearings on the new policy or procedure, provide |
notice of the hearings at least 30 days before the hearings |
are conducted to enable public participation, and provide |
an opportunity for the general public, including |
individuals with disabilities and parents of infants and |
toddlers with disabilities, early intervention providers, |
and members of the Council to comment for at least 30 days |
on the new policy or procedure needed to comply with Part C |
of the Individuals with Disabilities Education Act and with |
|
34 CFR Part 300 and Part 303. |
(Source: P.A. 98-41, eff. 6-28-13; revised 11-12-13.)
|
Section 560. The Mental Health and Developmental |
Disabilities Code is amended by changing Section 2-107.1 as |
follows:
|
(405 ILCS 5/2-107.1) (from Ch. 91 1/2, par. 2-107.1)
|
Sec. 2-107.1. Administration of psychotropic medication |
and electroconvulsive therapy
upon
application to a court. |
(a) (Blank).
|
(a-5) Notwithstanding the provisions of Section 2-107 of |
this
Code, psychotropic medication and electroconvulsive |
therapy may be administered to an adult recipient of
services |
on an inpatient or outpatient basis without the informed |
consent of the recipient under the following
standards:
|
(1) Any person 18 years of age or older, including any |
guardian, may
petition the circuit court for an order |
authorizing the administration of psychotropic medication |
and electroconvulsive therapy to a recipient
of services.
|
The petition shall state that the petitioner has made a |
good faith attempt to
determine whether the recipient has |
executed a power of attorney for health
care under the |
Powers of Attorney for Health Care Law or a declaration for
|
mental health treatment under the Mental Health Treatment |
Preference
Declaration Act and to obtain copies of these |
|
instruments if they exist. If
either of the above-named |
instruments is available to the petitioner, the
instrument |
or a copy of the instrument shall be attached to the |
petition as
an exhibit.
The petitioner shall deliver a copy |
of the petition, and notice of the time
and place of the |
hearing, to the respondent, his or her attorney, any known
|
agent or
attorney-in-fact, if any, and the
guardian, if |
any, no later than 3 days prior to the date of the
hearing.
|
Service of the petition and notice of the time and place of |
the hearing may
be made by transmitting them via facsimile |
machine to the
respondent or other party. Upon receipt of |
the petition and notice, the party
served, or the person |
delivering the petition and notice to
the party served, |
shall acknowledge service. If the party sending the |
petition
and notice does not receive acknowledgement of |
service
within 24 hours, service must be made by personal |
service.
|
The
petition may include a request that the court |
authorize such testing and
procedures as may be essential |
for the safe and effective administration of the |
psychotropic medication or electroconvulsive therapy |
sought to be
administered, but only where the
petition
sets |
forth the specific testing and procedures sought to be |
administered.
|
If a hearing is requested to be held immediately |
following the hearing on
a petition for
involuntary |
|
admission, then the notice requirement shall be the same as |
that
for the hearing on
the petition for involuntary |
admission, and the petition filed pursuant to this
Section |
shall be filed
with the petition for involuntary admission.
|
(2) The court shall hold a hearing within 7 days of the |
filing
of the petition. The People, the petitioner, or the |
respondent shall be
entitled
to a continuance of up to 7 |
days as of right. An additional
continuance of not more |
than 7 days may be granted to
any party (i)
upon a showing |
that the continuance is needed in order
to adequately
|
prepare for or present evidence in a hearing under this |
Section or
(ii) under exceptional circumstances. The court |
may
grant an additional continuance
not to exceed 21 days |
when, in its discretion, the court determines that such a
|
continuance is necessary in order to provide the recipient |
with an examination
pursuant to Section 3-803 or 3-804 of |
this Act, to provide the recipient with a
trial by jury as |
provided in Section 3-802 of this Act, or to arrange for |
the
substitution of counsel as provided for by the Illinois |
Supreme Court Rules.
The hearing shall be
separate from a |
judicial proceeding held to determine whether a person is
|
subject to involuntary admission but may be heard |
immediately preceding or
following such a judicial |
proceeding and may be heard by the same trier of fact
or |
law as in that judicial proceeding.
|
(3) Unless otherwise provided herein, the procedures |
|
set forth in
Article VIII of Chapter III 3 of this Act, |
including the provisions regarding
appointment of counsel, |
shall govern hearings held under this subsection
(a-5).
|
(4) Psychotropic medication and electroconvulsive |
therapy may be administered to the recipient if and only if
|
it has been determined by clear and convincing evidence |
that all of
the following factors are present. In |
determining whether a person meets the criteria specified |
in the following
paragraphs (A) through (G), the court may |
consider evidence of the person's history of
serious |
violence, repeated past pattern of specific behavior, |
actions related to the person's
illness, or past outcomes |
of various treatment options.
|
(A) That the recipient has a serious mental illness |
or
developmental disability.
|
(B) That because of said mental illness or |
developmental disability,
the recipient currently |
exhibits any one of the following: (i)
deterioration of |
his
or her ability to function, as compared to the |
recipient's ability to
function prior to the current |
onset of symptoms of the mental illness or
disability |
for which treatment is presently sought, (ii) |
suffering, or (iii)
threatening
behavior.
|
(C) That the illness or disability has existed for |
a period marked by
the continuing presence of the |
symptoms set forth in item (B) of this
subdivision (4) |
|
or the repeated episodic occurrence of these symptoms.
|
(D) That the benefits of the treatment
outweigh the |
harm.
|
(E) That the recipient lacks the capacity to make a
|
reasoned
decision about the treatment.
|
(F) That other less restrictive services have been |
explored
and found inappropriate.
|
(G) If the petition seeks authorization for |
testing and other
procedures,
that such testing and |
procedures are essential for the safe and effective
|
administration of the treatment.
|
(5) In no event shall an order issued under this |
Section be effective
for more than 90 days.
A second 90-day |
period of involuntary treatment may be authorized pursuant |
to
a hearing that
complies
with the standards and |
procedures of this subsection (a-5).
Thereafter, |
additional 180-day periods of involuntary treatment may be
|
authorized pursuant to
the standards and procedures of this |
Section without limit.
If a new petition to authorize the |
administration of psychotropic medication or |
electroconvulsive therapy
is filed at least 15 days prior |
to the
expiration of the prior order, and if
any |
continuance of the hearing is agreed to by the recipient, |
the
administration of the treatment may continue in |
accordance
with
the prior order
pending the completion of a |
hearing under this Section.
|
|
(6) An order issued under this subsection (a-5) shall
|
designate the persons
authorized to administer the |
treatment under the
standards
and procedures of this |
subsection (a-5).
Those persons shall have complete |
discretion not to administer any
treatment authorized |
under this Section.
The order shall also specify the |
medications and the anticipated range of
dosages that have |
been authorized and may include a list of any alternative
|
medications and range of dosages deemed necessary.
|
(a-10) The court may, in its discretion, appoint a guardian |
ad litem for a recipient before the court or authorize an |
existing guardian of the person to monitor treatment and |
compliance with court orders under this Section.
|
(b) A guardian may be authorized to consent to the |
administration
of psychotropic medication or electroconvulsive |
therapy to an
objecting recipient only under the
standards and |
procedures of subsection (a-5).
|
(c) Notwithstanding any other provision of this Section, a |
guardian may
consent to the administration of psychotropic |
medication or electroconvulsive therapy to a
non-objecting
|
recipient under Article XIa of the Probate Act of 1975.
|
(d) Nothing in this Section shall prevent the |
administration of psychotropic medication or electroconvulsive |
therapy to recipients
in an emergency under Section 2-107 of
|
this Act.
|
(e) Notwithstanding any of the provisions of this Section, |
|
psychotropic medication or electroconvulsive therapy may be |
administered pursuant to a power of attorney for
health care |
under the Powers of Attorney for Health Care Law or a |
declaration
for mental health treatment under the Mental Health |
Treatment Preference
Declaration Act.
|
(f) The Department shall conduct annual trainings for |
physicians and registered nurses working in State-operated |
mental health facilities on the appropriate use of psychotropic |
medication and electroconvulsive therapy, standards for their |
use, and the preparation of court petitions under this Section.
|
(Source: P.A. 97-375, eff. 8-15-11; revised 9-11-13.)
|
Section 565. The Developmental Disability and Mental |
Disability Services Act is amended by changing Section 2-5 as |
follows:
|
(405 ILCS 80/2-5) (from Ch. 91 1/2, par. 1802-5)
|
Sec. 2-5.
The Department shall establish eligibility |
standards for
the Program, taking into consideration the |
disability levels and service
needs of the target population. |
The Department shall create application
forms which shall be |
used to determine the eligibility of mentally disabled
adults |
to participate in the Program. The forms shall be made |
available by
the Department and shall require at least the |
following items of
information which constitute eligibility |
criteria for participation in the
Program:
|
|
(a) A statement that the mentally disabled adult |
resides in the State of
Illinois and is over the age of 18 |
years.
|
(b) Verification that the mentally disabled adult has |
one of the
following conditions: severe autism, severe |
mental illness, a severe or
profound intellectual |
disability, or severe and multiple impairments.
|
(c) Verification that the mentally disabled adult has |
applied and is
eligible for federal Supplemental Security |
Income or federal Social
Security Disability Income |
benefits.
|
(d) Verification that the mentally disabled adult |
resides full-time in
his or her own home or that, within 2 |
months of receipt of services under
this Article, he or she |
will reside full-time in his or her own home.
|
The Department may by rule adopt provisions establishing |
liability of
responsible relatives of a recipient of services |
under this Article for the
payment of sums representing charges |
for services to such recipient. Such
rules shall be |
substantially similar to the provisions for such liability
|
contained in Chapter V 5 of the Mental Health and Developmental |
Disabilities
Code, as now or hereafter amended, and rules |
adopted pursuant thereto.
|
(Source: P.A. 97-227, eff. 1-1-12; revised 9-11-13.)
|
Section 570. The Illinois Mental Health First Aid Training |
|
Act is amended by changing Section 30 as follows: |
(405 ILCS 105/30)
|
Sec. 30. Distribution of training grants.
When awarding |
training grants under this Act, the Department or other |
appropriate State agency shall distribute training grants |
equitably among the geographical regions of the State , paying |
particular attention to the training needs of rural areas and |
areas with underserved populations or professional shortages.
|
(Source: P.A. 98-195, eff. 8-7-13; revised 11-12-13.) |
Section 575. The Mercury-added Product Prohibition Act is |
amended by changing Section 25 as follows:
|
(410 ILCS 46/25)
|
Sec. 25. Sale, distribution, or promotional gifts of |
mercury-added
novelty products prohibited. On and after July |
1, 2004, no mercury-added
novelty
products may be offered for |
sale or distributed for promotional purposes in
Illinois if the |
offeror offerer or distributor knows or has reason to know that |
the
product contains mercury, unless the mercury is solely |
within a button-cell
battery or a fluorescent light bulb.
|
(Source: P.A. 93-165, eff. 1-1-04; revised 9-11-13.)
|
Section 580. The Newborn Metabolic Screening Act is amended |
by changing Section 2 as follows:
|
|
(410 ILCS 240/2) (from Ch. 111 1/2, par. 4904)
|
Sec. 2. General provisions. The Department of Public Health |
shall administer the
provisions of this Act and shall:
|
(a) Institute and carry on an intensive educational program |
among
physicians, hospitals, public health nurses and the |
public concerning disorders included in newborn screening. |
This
educational program shall include information about the |
nature of the
diseases and examinations for the detection of |
the diseases in early
infancy in order that measures may be |
taken to prevent the disabilities resulting from the diseases.
|
(a-5) Require that all newborns be screened
for the |
presence of certain genetic, metabolic, and congenital |
anomalies as determined by the Department, by rule. |
(a-5.1) Require that all blood and biological specimens |
collected pursuant to this Act or the rules adopted under this |
Act be submitted for testing to the nearest Department |
laboratory designated to perform such tests. The following |
provisions shall apply concerning testing: |
(1) The Department may develop a reasonable fee |
structure and may levy fees according to such structure to |
cover the cost of providing this testing service and for |
the follow-up of infants with an abnormal screening test. |
Fees collected from the provision of this testing service |
shall be placed in the Metabolic Screening and Treatment |
Fund. Other State and federal funds for expenses related to |
|
metabolic screening, follow-up, and treatment programs may |
also be placed in the Fund. |
(2) Moneys shall be appropriated from the Fund to the |
Department solely for the purposes of providing newborn |
screening, follow-up, and treatment programs. Nothing in |
this Act shall be construed to prohibit any licensed |
medical facility from collecting additional specimens for |
testing for metabolic or neonatal diseases or any other |
diseases or conditions, as it deems fit. Any person |
violating the provisions of this subsection (a-5.1) is |
guilty of a petty offense. |
(3) If the Department is unable to provide the |
screening using the
State Laboratory, it shall temporarily |
provide such screening
through an accredited laboratory |
selected by the Department until the
Department has the |
capacity to provide screening through the State
|
Laboratory. If screening is provided on a temporary basis
|
through an accredited laboratory, the Department shall |
substitute the fee
charged by the accredited laboratory, |
plus a 5% surcharge for
documentation and handling, for the |
fee authorized in this subsection (a-5.1). |
(a-5.2) Maintain a registry of cases, including |
information of importance for the purpose of follow-up services |
to assess long-term outcomes. |
(a-5.3) Supply the necessary metabolic treatment formulas |
where practicable for diagnosed cases of amino acid metabolism |
|
disorders, including phenylketonuria, organic acid disorders, |
and fatty acid oxidation disorders for as long as medically |
indicated, when the product is not available through other |
State agencies. |
(a-5.4) Arrange for or provide public health nursing, |
nutrition, and social services and clinical consultation as |
indicated. |
(a-5.5) Utilize The Department shall utilize the Genetic |
and Metabolic Diseases Advisory Committee established under |
the Genetic and Metabolic Diseases Advisory Committee Act to |
provide guidance and recommendations to the Department's |
newborn screening program. The Genetic and Metabolic Diseases |
Advisory Committee shall review the feasibility and |
advisability of including additional metabolic, genetic, and |
congenital disorders in the newborn screening panel, according |
to a review protocol applied to each suggested addition to the |
screening panel. The Department shall consider the |
recommendations of the Genetic and Metabolic Diseases Advisory |
Committee in determining whether to include an additional |
disorder in the screening panel prior to proposing an |
administrative rule concerning inclusion of an additional |
disorder in the newborn screening panel. Notwithstanding any |
other provision of law, no new screening may begin prior to the |
occurrence of all the following: |
(1) the establishment and verification of relevant and
|
appropriate performance specifications as defined under
|
|
the federal Clinical Laboratory Improvement Amendments and
|
regulations thereunder for U.S. Food and Drug
|
Administration-cleared or in-house developed methods,
|
performed under an institutional review board-approved
|
protocol, if required; |
(2) the availability of quality assurance testing
|
methodology for the processes set forth in item (1) of this |
subsection (a-5.5); |
(3) the acquisition and installment by the Department
|
of the equipment necessary to implement the screening
|
tests; |
(4) the establishment of precise threshold values |
ensuring
defined disorder identification for each |
screening test; |
(5) the authentication of pilot testing achieving each
|
milestone described in items (1) through (4) of this
|
subsection (a-5.5) for each disorder screening test; and |
(6) the authentication of achieving the potential of |
high
throughput standards for statewide volume of each |
disorder
screening test concomitant with each milestone |
described
in items (1) through (4) of this subsection |
(a-5.5).
|
(a-6) (Blank). |
(a-7) (Blank). |
(a-8) (Blank). |
(b) (Blank).
|
|
(c) (Blank).
|
(d) (Blank).
|
(e) (Blank).
|
(Source: P.A. 97-227, eff. 1-1-12; 97-532, eff. 8-23-11; |
97-813, eff. 7-13-12; 98-440, eff. 8-16-13; revised 11-15-13.)
|
Section 585. The Illinois Sexually Transmissible Disease |
Control Act is amended by changing Section 5.5 as follows:
|
(410 ILCS 325/5.5) (from Ch. 111 1/2, par. 7405.5)
|
Sec. 5.5. Risk assessment.
|
(a) Whenever the Department receives a report of HIV |
infection or AIDS
pursuant to this Act and the Department |
determines that the subject of the
report may present or may |
have presented a possible risk of HIV
transmission, the |
Department shall, when medically appropriate, investigate
the |
subject of the report and that person's contacts as defined in
|
subsection (c), to assess the potential risks of transmission. |
Any
investigation and action shall be conducted in a timely |
fashion. All
contacts other than those defined in subsection |
(c) shall be investigated
in accordance with Section 5 of this |
Act.
|
(b) If the Department determines that there is or may have |
been
potential risks of HIV transmission from the subject of |
the report to other
persons, the Department shall afford the |
subject the opportunity to submit
any information and comment |
|
on proposed actions the Department intends to
take with respect |
to the subject's contacts who are at potential risk of
|
transmission of HIV prior to notification of the subject's |
contacts. The
Department shall also afford the subject of the |
report the opportunity to
notify the subject's contacts in a |
timely fashion who are at potential risk
of transmission of HIV |
prior to the Department taking any steps to notify
such |
contacts. If the subject declines to notify such contacts or if |
the
Department determines the notices to be inadequate or |
incomplete, the
Department shall endeavor to notify such other |
persons of the potential
risk, and offer testing and counseling |
services to these individuals. When
the contacts are notified, |
they shall be informed of the disclosure
provisions of the AIDS |
Confidentiality Act and the penalties therein and
this Section.
|
(c) Contacts investigated under this Section shall in the |
case of HIV
infection include (i) individuals who have |
undergone invasive procedures
performed by an HIV infected |
health care provider and (ii)
health care providers who have |
performed invasive procedures for persons
infected with HIV, |
provided the Department has determined that there is or
may |
have been potential risk of HIV transmission from the health |
care
provider to those individuals or from infected persons to |
health care
providers. The Department shall have access to the |
subject's records to
review for the identity of contacts. The |
subject's records shall not be
copied or seized by the |
Department.
|
|
For purposes of this subsection, the term "invasive |
procedures" means
those procedures termed invasive by the |
Centers for Disease Control in
current guidelines or |
recommendations for the prevention of HIV
transmission in |
health care settings, and the term "health care provider"
means |
any physician, dentist, podiatric physician, advanced practice |
nurse, physician assistant, nurse, or other person providing
|
health care services of any kind.
|
(d) All information and records held by the Department and |
local health
authorities pertaining to activities conducted |
pursuant to this Section
shall be strictly confidential and |
exempt from copying and inspection under
the Freedom of |
Information Act. Such information and records shall not be
|
released or made public by the Department or local health |
authorities, and
shall not be admissible as evidence, nor |
discoverable in any action of any
kind in any court or before |
any tribunal, board, agency or person and shall
be treated in |
the same manner as the information and those records subject
to |
the provisions of Part 21 of the Code of Civil Procedure except |
under
the following circumstances:
|
(1) When made with the written consent of all persons |
to whom this
information pertains;
|
(2) When authorized under Section 8 to be released |
under court order
or subpoena pursuant to Section 12-5.01 |
or 12-16.2 of the Criminal Code of 1961 or the Criminal |
Code of 2012; or
|
|
(3) When made by the Department for the purpose of |
seeking a warrant
authorized by Sections 6 and 7 of this |
Act. Such disclosure shall conform
to the requirements of |
subsection (a) of Section 8 of this Act.
|
(e) Any person who knowingly or maliciously disseminates |
any
information or report concerning the existence of any |
disease under this
Section is guilty of a Class A misdemeanor.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-214, eff. 8-9-13; |
revised 9-19-13.)
|
Section 590. The Environmental Protection Act is amended by |
changing Sections 3.330, 21, 22.2, and 58.16 as follows:
|
(415 ILCS 5/3.330) (was 415 ILCS 5/3.32)
|
Sec. 3.330. Pollution control facility.
|
(a) "Pollution control facility" is any waste storage site, |
sanitary
landfill, waste disposal site, waste transfer |
station, waste treatment
facility, or waste incinerator. This |
includes sewers, sewage treatment
plants, and any other |
facilities owned or operated by sanitary districts
organized |
under the Metropolitan Water Reclamation District Act.
|
The following are not pollution control facilities:
|
(1) (blank);
|
(2) waste storage sites regulated under 40 CFR, Part |
761.42;
|
(3) sites or facilities used by any person conducting a |
|
waste storage,
waste treatment, waste disposal, waste |
transfer or waste incineration
operation, or a combination |
thereof, for wastes generated by such person's
own |
activities, when such wastes are stored, treated, disposed |
of,
transferred or incinerated within the site or facility |
owned, controlled or
operated by such person, or when such |
wastes are transported within or
between sites or |
facilities owned, controlled or operated by such person;
|
(4) sites or facilities at which the State is |
performing removal or
remedial action pursuant to Section |
22.2 or 55.3;
|
(5) abandoned quarries used solely for the disposal of |
concrete, earth
materials, gravel, or aggregate debris |
resulting from road construction
activities conducted by a |
unit of government or construction activities due
to the |
construction and installation of underground pipes, lines, |
conduit
or wires off of the premises of a public utility |
company which are
conducted by a public utility;
|
(6) sites or facilities used by any person to |
specifically conduct a
landscape composting operation;
|
(7) regional facilities as defined in the Central |
Midwest Interstate
Low-Level Radioactive Waste Compact;
|
(8) the portion of a site or facility where coal |
combustion wastes are
stored or disposed of in accordance |
with subdivision (r)(2) or (r)(3) of
Section 21;
|
(9) the portion of a site or facility used for the |
|
collection,
storage or processing of waste tires as defined |
in Title XIV;
|
(10) the portion of a site or facility used for |
treatment of
petroleum contaminated materials by |
application onto or incorporation into
the soil surface and |
any portion of that site or facility used for storage
of |
petroleum contaminated materials before treatment. Only |
those categories
of petroleum listed in Section
57.9(a)(3) |
are exempt under this subdivision (10);
|
(11) the portion of a site or facility where used oil |
is collected or
stored prior to shipment to a recycling or |
energy recovery facility, provided
that the used oil is |
generated by households or commercial establishments, and
|
the site or facility is a recycling center or a business |
where oil or gasoline
is sold at retail; |
(11.5) processing sites or facilities that receive |
only on-specification used oil, as defined in 35 Ill. |
Admin. Code 739, originating from used oil collectors for |
processing that is managed under 35 Ill. Admin. Code 739 to |
produce products for sale to off-site petroleum |
facilities, if these processing sites or facilities are: |
(i) located within a home rule unit of local government |
with a population of at least 30,000 according to the 2000 |
federal census, that home rule unit of local government has |
been designated as an Urban Round II Empowerment Zone by |
the United States Department of Housing and Urban |
|
Development, and that home rule unit of local government |
has enacted an ordinance approving the location of the site |
or facility and provided funding for the site or facility; |
and (ii) in compliance with all applicable zoning |
requirements;
|
(12) the portion of a site or facility utilizing coal |
combustion waste
for stabilization and treatment of only |
waste generated on that site or
facility when used in |
connection with response actions pursuant to the federal
|
Comprehensive Environmental Response, Compensation, and |
Liability Act of 1980,
the federal Resource Conservation |
and Recovery Act of 1976, or the Illinois
Environmental |
Protection Act or as authorized by the Agency;
|
(13) the portion of a site or facility that (i) accepts |
exclusively general
construction or demolition debris, |
(ii) is located in a county with a population over
|
3,000,000 as of January 1, 2000 or in a county that is |
contiguous to such a county, and (iii) is operated and |
located in accordance with Section 22.38 of this Act; |
(14) the portion of a site or facility, located within |
a unit of local government that has enacted local zoning |
requirements, used to accept, separate, and process |
uncontaminated broken concrete, with or without protruding |
metal bars, provided that the uncontaminated broken |
concrete and metal bars are not speculatively accumulated, |
are at the site or facility no longer than one year after |
|
their acceptance, and are returned to the economic |
mainstream in the form of raw materials or products;
|
(15) the portion of a site or facility located in a |
county with a population over 3,000,000 that has obtained |
local siting approval under Section 39.2 of this Act for a |
municipal waste incinerator on or before July 1, 2005 and |
that is used for a non-hazardous waste transfer station;
|
(16) a site or facility that temporarily holds in |
transit for 10 days or less, non-putrescible solid waste in |
original containers, no larger in capacity than 500 |
gallons, provided that such waste is further transferred to |
a recycling, disposal, treatment, or storage facility on a |
non-contiguous site and provided such site or facility |
complies with the applicable 10-day transfer requirements |
of the federal Resource Conservation and Recovery Act of |
1976 and United States Department of Transportation |
hazardous material requirements. For purposes of this |
Section only, "non-putrescible solid waste" means waste |
other than municipal garbage that does not rot or become |
putrid, including, but not limited to, paints, solvent, |
filters, and absorbents;
|
(17)
the portion of a site or facility located in a |
county with a population greater than 3,000,000 that has |
obtained local siting approval, under Section 39.2 of this |
Act, for a municipal waste incinerator on or before July 1, |
2005 and that is used for wood combustion facilities for |
|
energy recovery that accept and burn only wood material, as |
included in a fuel specification approved by the Agency;
|
(18)
a transfer station used exclusively for landscape |
waste, including a transfer station where landscape waste |
is ground to reduce its volume, where the landscape waste |
is held no longer than 24 hours from the time it was |
received; |
(19) the portion of a site or facility that (i) is used |
for the composting of food scrap, livestock waste, crop |
residue, uncontaminated wood waste, or paper waste, |
including, but not limited to, corrugated paper or |
cardboard, and (ii) meets all of the following |
requirements: |
(A) There must not be more than a total of 30,000 |
cubic yards of livestock waste in raw form or in the |
process of being composted at the site or facility at |
any one time. |
(B) All food scrap, livestock waste, crop residue, |
uncontaminated wood waste, and paper waste must, by the |
end of each operating day, be processed and placed into |
an enclosed vessel in which air flow and temperature |
are controlled, or all of the following additional |
requirements must be met: |
(i) The portion of the site or facility used |
for the composting operation must include a |
setback of at least 200 feet from the nearest |
|
potable water supply well. |
(ii) The portion of the site or facility used |
for the composting operation must be located |
outside the boundary of the 10-year floodplain or |
floodproofed. |
(iii) Except in municipalities with more than |
1,000,000 inhabitants, the portion of the site or |
facility used for the composting operation must be |
located at least one-eighth of a mile from the |
nearest residence, other than a residence located |
on the same property as the site or facility. |
(iv) The portion of the site or facility used |
for the composting operation must be located at |
least one-eighth of a mile from the property line |
of all of the following areas: |
(I) Facilities that primarily serve to |
house or treat people that are |
immunocompromised or immunosuppressed, such as |
cancer or AIDS patients; people with asthma, |
cystic fibrosis, or bioaerosol allergies; or |
children under the age of one year. |
(II) Primary and secondary schools and |
adjacent areas that the schools use for |
recreation. |
(III) Any facility for child care licensed |
under Section 3 of the Child Care Act of 1969; |
|
preschools; and adjacent areas that the |
facilities or preschools use for recreation. |
(v) By the end of each operating day, all food |
scrap, livestock waste, crop residue, |
uncontaminated wood waste, and paper waste must be |
(i) processed into windrows or other piles and (ii) |
covered in a manner that prevents scavenging by |
birds and animals and that prevents other |
nuisances. |
(C) Food scrap, livestock waste, crop residue, |
uncontaminated wood waste, paper waste, and compost |
must not be placed within 5 feet of the water table. |
(D) The site or facility must meet all of the |
requirements of the Wild and Scenic Rivers Act (16 |
U.S.C. 1271 et seq.). |
(E) The site or facility must not (i) restrict the |
flow of a 100-year flood, (ii) result in washout of |
food scrap, livestock waste, crop residue, |
uncontaminated wood waste, or paper waste from a |
100-year flood, or (iii) reduce the temporary water |
storage capacity of the 100-year floodplain, unless |
measures are undertaken to provide alternative storage |
capacity, such as by providing lagoons, holding tanks, |
or drainage around structures at the facility. |
(F) The site or facility must not be located in any |
area where it may pose a threat of harm or destruction |
|
to the features for which: |
(i) an irreplaceable historic or |
archaeological site has been listed under the |
National Historic Preservation Act (16 U.S.C. 470 |
et seq.) or the Illinois Historic Preservation |
Act; |
(ii) a natural landmark has been designated by |
the National Park Service or the Illinois State |
Historic Preservation Office; or |
(iii) a natural area has been designated as a |
Dedicated Illinois Nature Preserve under the |
Illinois Natural Areas Preservation Act. |
(G) The site or facility must not be located in an |
area where it may jeopardize the continued existence of |
any designated endangered species, result in the |
destruction or adverse modification of the critical |
habitat for such species, or cause or contribute to the |
taking of any endangered or threatened species of |
plant, fish, or wildlife listed under the Endangered |
Species Act (16 U.S.C. 1531 et seq.) or the Illinois |
Endangered Species Protection Act; |
(20) the portion of a site or facility that is located |
entirely within a home rule unit having a population of no |
less than 120,000 and no more than 135,000, according to |
the 2000 federal census, and that meets all of the |
following requirements: |
|
(i) the portion of the site or facility is used |
exclusively to perform testing of a thermochemical |
conversion technology using only woody biomass, |
collected as landscape waste within the boundaries |
of the home rule unit, as the hydrocarbon feedstock |
for the production of synthetic gas in accordance |
with Section 39.9 of this Act; |
(ii) the portion of the site or facility is in |
compliance with all applicable zoning |
requirements; and |
(iii) a complete application for a |
demonstration permit at the portion of the site or |
facility has been submitted to the Agency in |
accordance with Section 39.9 of this Act within one |
year after July 27, 2010 (the effective date of |
Public Act 96-1314); |
(21) the portion of a site or facility used to perform |
limited testing of a gasification conversion technology in |
accordance with Section 39.8 of this Act and for which a |
complete permit application has been submitted to the |
Agency prior to one year from April 9, 2010 (the effective |
date of Public Act 96-887);
|
(22) the portion of a site or facility that is used to |
incinerate only pharmaceuticals from residential sources |
that are collected and transported by law enforcement |
agencies under Section 17.9A of this Act; and |
|
(23) until July 1, 2017, the portion of a site or |
facility: |
(A) that is used exclusively for the transfer of |
commingled landscape waste and food scrap held at the |
site or facility for no longer than 24 hours after |
their receipt; |
(B) that is located entirely within a home rule |
unit having a population of either (i) not less than |
100,000 and not more than 115,000 according to the 2010 |
federal census or (ii) not less than 5,000 and not more |
than 10,000 according to the 2010 federal census; |
(C) that is permitted, by the Agency, prior to |
January 1, 2002, for the transfer of landscape waste; |
and |
(D) for which a permit application is submitted to |
the Agency within 6 months after January 1, 2014 ( the |
effective date of Public Act 98-146) this amendatory |
Act of the 98th General Assembly to modify an existing |
permit for the transfer of landscape waste to also |
include, on a demonstration basis not to exceed 18 |
months, the transfer of commingled landscape waste and |
food scrap. |
(b) A new pollution control facility is:
|
(1) a pollution control facility initially permitted |
for development or
construction after July 1, 1981; or
|
(2) the area of expansion beyond the boundary of a |
|
currently permitted
pollution control facility; or
|
(3) a permitted pollution control facility requesting |
approval to
store, dispose of, transfer or incinerate, for |
the first time, any special
or hazardous waste.
|
(Source: P.A. 97-333, eff. 8-12-11; 97-545, eff. 1-1-12; |
98-146, eff. 1-1-14; 98-239, eff. 8-9-13; revised 9-19-13.)
|
(415 ILCS 5/21) (from Ch. 111 1/2, par. 1021)
|
Sec. 21. Prohibited acts. No person shall:
|
(a) Cause or allow the open dumping of any waste.
|
(b) Abandon, dump, or deposit any waste upon the public |
highways or
other public property, except in a sanitary |
landfill approved by the
Agency pursuant to regulations adopted |
by the Board.
|
(c) Abandon any vehicle in violation of the "Abandoned |
Vehicles
Amendment to the Illinois Vehicle Code", as enacted by |
the 76th General
Assembly.
|
(d) Conduct any waste-storage, waste-treatment, or |
waste-disposal
operation:
|
(1) without a permit granted by the Agency or in |
violation of any
conditions imposed by such permit, |
including periodic reports and full
access to adequate |
records and the inspection of facilities, as may be
|
necessary to assure compliance with this Act and with |
regulations and
standards adopted thereunder; provided, |
however, that, except for municipal
solid waste landfill |
|
units that receive waste on or after October 9, 1993,
no |
permit shall be
required for (i) any person conducting a |
waste-storage, waste-treatment, or
waste-disposal |
operation for wastes generated by such person's own
|
activities which are stored, treated, or disposed within |
the site where
such wastes are generated, or (ii)
a |
facility located in a county with a
population over 700,000 |
as of January 1, 2000, operated and located in accordance |
with
Section 22.38 of this Act, and used exclusively for |
the transfer, storage, or
treatment of general |
construction or demolition debris, provided that the |
facility was receiving construction or demolition debris |
on the effective date of this amendatory Act of the 96th |
General Assembly;
|
(2) in violation of any regulations or standards |
adopted by the
Board under this Act; or
|
(3) which receives waste after August 31, 1988, does |
not have a permit
issued by the Agency, and is (i) a |
landfill used exclusively for the
disposal of waste |
generated at the site, (ii) a surface impoundment
receiving |
special waste not listed in an NPDES permit, (iii) a waste |
pile
in which the total volume of waste is greater than 100 |
cubic yards or the
waste is stored for over one year, or |
(iv) a land treatment facility
receiving special waste |
generated at the site; without giving notice of the
|
operation to the Agency by January 1, 1989, or 30 days |
|
after the date on
which the operation commences, whichever |
is later, and every 3 years
thereafter. The form for such |
notification shall be specified by the
Agency, and shall be |
limited to information regarding: the name and address
of |
the location of the operation; the type of operation; the |
types and
amounts of waste stored, treated or disposed of |
on an annual basis; the
remaining capacity of the |
operation; and the remaining expected life of
the |
operation.
|
Item (3) of this subsection (d) shall not apply to any |
person
engaged in agricultural activity who is disposing of a |
substance that
constitutes solid waste, if the substance was |
acquired for use by that
person on his own property, and the |
substance is disposed of on his own
property in accordance with |
regulations or standards adopted by the Board.
|
This subsection (d) shall not apply to hazardous waste.
|
(e) Dispose, treat, store or abandon any waste, or |
transport any waste
into this State for disposal, treatment, |
storage or abandonment, except at
a site or facility which |
meets the requirements of this Act and of
regulations and |
standards thereunder.
|
(f) Conduct any hazardous waste-storage, hazardous |
waste-treatment or
hazardous waste-disposal operation:
|
(1) without a RCRA permit for the site issued by the |
Agency under
subsection (d) of Section 39 of this Act, or |
in violation of any condition
imposed by such permit, |
|
including periodic reports and full access to
adequate |
records and the inspection of facilities, as may be |
necessary to
assure compliance with this Act and with |
regulations and standards adopted
thereunder; or
|
(2) in violation of any regulations or standards |
adopted by the Board
under this Act; or
|
(3) in violation of any RCRA permit filing requirement |
established under
standards adopted by the Board under this |
Act; or
|
(4) in violation of any order adopted by the Board |
under this Act.
|
Notwithstanding the above, no RCRA permit shall be required |
under this
subsection or subsection (d) of Section 39 of this |
Act for any
person engaged in agricultural activity who is |
disposing of a substance
which has been identified as a |
hazardous waste, and which has been
designated by Board |
regulations as being subject to this exception, if the
|
substance was acquired for use by that person on his own |
property and the
substance is disposed of on his own property |
in accordance with regulations
or standards adopted by the |
Board.
|
(g) Conduct any hazardous waste-transportation operation:
|
(1) without registering with and obtaining a special |
waste hauling permit from the Agency in
accordance with the |
regulations adopted by the Board under this Act; or
|
(2) in violation of any regulations or standards |
|
adopted by
the
Board under this Act.
|
(h) Conduct any hazardous waste-recycling or hazardous |
waste-reclamation
or hazardous waste-reuse operation in |
violation of any regulations, standards
or permit requirements |
adopted by the Board under this Act.
|
(i) Conduct any process or engage in any act which produces |
hazardous
waste in violation of any regulations or standards |
adopted by the Board
under subsections (a) and (c) of Section |
22.4 of this Act.
|
(j) Conduct any special waste transportation operation in |
violation
of any regulations, standards or permit requirements |
adopted by the Board
under this Act. However, sludge from a |
water or sewage treatment plant
owned and operated by a unit of |
local government which (1) is subject to a
sludge management |
plan approved by the Agency or a permit granted by the
Agency, |
and (2) has been tested and determined not to be a hazardous |
waste
as required by applicable State and federal laws and |
regulations, may be
transported in this State without a special |
waste hauling permit, and the
preparation and carrying of a |
manifest shall not be required for such
sludge under the rules |
of the Pollution Control Board. The unit of local
government |
which operates the treatment plant producing such sludge shall
|
file a semiannual report with the Agency identifying the volume |
of such
sludge transported during the reporting period, the |
hauler of the sludge,
and the disposal sites to which it was |
transported. This subsection (j)
shall not apply to hazardous |
|
waste.
|
(k) Fail or refuse to pay any fee imposed under this Act.
|
(l) Locate a hazardous waste disposal site above an active |
or
inactive shaft or tunneled mine or within 2 miles of an |
active fault in
the earth's crust. In counties of population |
less than 225,000 no
hazardous waste disposal site shall be |
located (1) within 1 1/2 miles of
the corporate limits as |
defined on June 30, 1978, of any municipality
without the |
approval of the governing body of the municipality in an
|
official action; or (2) within 1000 feet of an existing private |
well or
the existing source of a public water supply measured |
from the boundary
of the actual active permitted site and |
excluding existing private wells
on the property of the permit |
applicant. The provisions of this
subsection do not apply to |
publicly-owned sewage works or the disposal
or utilization of |
sludge from publicly-owned sewage works.
|
(m) Transfer interest in any land which has been used as a
|
hazardous waste disposal site without written notification to |
the Agency
of the transfer and to the transferee of the |
conditions imposed by the Agency
upon its use under subsection |
(g) of Section 39.
|
(n) Use any land which has been used as a hazardous waste
|
disposal site except in compliance with conditions imposed by |
the Agency
under subsection (g) of Section 39.
|
(o) Conduct a sanitary landfill operation which is required |
to have a
permit under subsection (d) of this Section, in a |
|
manner which results in
any of the following conditions:
|
(1) refuse in standing or flowing waters;
|
(2) leachate flows entering waters of the State;
|
(3) leachate flows exiting the landfill confines (as |
determined by the
boundaries established for the landfill |
by a permit issued by the Agency);
|
(4) open burning of refuse in violation of Section 9 of |
this Act;
|
(5) uncovered refuse remaining from any previous |
operating day or at the
conclusion of any operating day, |
unless authorized by permit;
|
(6) failure to provide final cover within time limits |
established by
Board regulations;
|
(7) acceptance of wastes without necessary permits;
|
(8) scavenging as defined by Board regulations;
|
(9) deposition of refuse in any unpermitted portion of |
the landfill;
|
(10) acceptance of a special waste without a required |
manifest;
|
(11) failure to submit reports required by permits or |
Board regulations;
|
(12) failure to collect and contain litter from the |
site by the end of
each operating day;
|
(13) failure to submit any cost estimate for the site |
or any performance
bond or other security for the site as |
required by this Act or Board rules.
|
|
The prohibitions specified in this subsection (o) shall be |
enforceable by
the Agency either by administrative citation |
under Section 31.1 of this Act
or as otherwise provided by this |
Act. The specific prohibitions in this
subsection do not limit |
the power of the Board to establish regulations
or standards |
applicable to sanitary landfills.
|
(p) In violation of subdivision (a) of this Section, cause |
or allow the
open dumping of any waste in a manner which |
results in any of the following
occurrences at the dump site:
|
(1) litter;
|
(2) scavenging;
|
(3) open burning;
|
(4) deposition of waste in standing or flowing waters;
|
(5) proliferation of disease vectors;
|
(6) standing or flowing liquid discharge from the dump |
site;
|
(7) deposition of:
|
(i) general construction or demolition debris as |
defined in Section
3.160(a) of this Act; or
|
(ii) clean construction or demolition debris as |
defined in Section
3.160(b) of this Act.
|
The prohibitions specified in this subsection (p) shall be
|
enforceable by the Agency either by administrative citation |
under Section
31.1 of this Act or as otherwise provided by this |
Act. The specific
prohibitions in this subsection do not limit |
the power of the Board to
establish regulations or standards |
|
applicable to open dumping.
|
(q) Conduct a landscape waste composting operation without |
an Agency
permit, provided, however, that no permit shall be |
required for any person:
|
(1) conducting a landscape waste composting operation |
for landscape
wastes generated by such person's own |
activities which are stored, treated,
or disposed of within |
the site where such wastes are generated; or
|
(1.5) conducting a landscape waste composting |
operation that (i) has no more than 25 cubic yards of |
landscape waste, composting additives, composting |
material, or end-product compost on-site at any one time |
and (ii) is not engaging in commercial activity; or
|
(2) applying landscape waste or composted landscape |
waste at agronomic
rates; or
|
(2.5) operating a landscape waste composting facility |
at a site having 10 or more occupied non-farm residences |
within 1/2 mile of its boundaries, if the facility meets |
all of the following criteria: |
(A) the composting facility is operated by the |
farmer on property on which the composting material is |
utilized, and the composting facility
constitutes no |
more than 2% of the site's total acreage; |
(A-5) any composting additives that the composting |
facility accepts and uses at the facility are necessary |
to provide proper conditions for composting and do not |
|
exceed 10% of the total composting material at the |
facility at any one time; |
(B) the property on which the composting facility |
is located, and any associated property on which the |
compost is used, is principally and diligently devoted |
to the production of agricultural crops and is not |
owned, leased, or otherwise controlled by any waste |
hauler or generator of nonagricultural compost |
materials, and the operator of the composting facility |
is not an employee, partner, shareholder, or in any way |
connected with or controlled by any such waste hauler |
or generator; |
(C) all compost generated by the composting |
facility is applied at agronomic rates and used as |
mulch, fertilizer, or soil conditioner on land |
actually farmed by the person operating the composting |
facility, and the finished compost is not stored at the |
composting site for a period longer than 18 months |
prior to its application as mulch, fertilizer, or soil |
conditioner; |
(D) no fee is charged for the acceptance of |
materials to be composted at the facility; and |
(E) the owner or operator, by January 1, 2014 (or |
the January 1
following commencement of operation, |
whichever is later) and January 1 of
each year |
thereafter, registers the site with the Agency, (ii) |
|
reports to the Agency on the volume of composting |
material received and used at the site; (iii) certifies |
to the Agency that the site complies with the
|
requirements set forth in subparagraphs (A), (A-5), |
(B), (C), and (D) of this paragraph
(2.5); and (iv) |
certifies to the Agency that all composting material |
was placed more than 200 feet from the nearest potable |
water supply well, was placed outside the boundary of |
the 10-year floodplain or on a part of the site that is |
floodproofed, was placed at least 1/4 mile from the |
nearest residence (other than a residence located on |
the same property as the facility) or a lesser distance |
from the nearest residence (other than a residence |
located on the same property as the facility) if the |
municipality in which the facility is located has by |
ordinance approved a lesser distance than 1/4 mile, and |
was placed more than 5 feet above the water table; any |
ordinance approving a residential setback of less than |
1/4 mile that is used to meet the requirements of this |
subparagraph (E) of paragraph (2.5) of this subsection |
must specifically reference this paragraph; or
|
(3) operating a landscape waste composting facility on |
a farm, if the
facility meets all of the following |
criteria:
|
(A) the composting facility is operated by the |
farmer on property on
which the composting material is |
|
utilized, and the composting facility
constitutes no |
more than 2% of the property's total acreage, except |
that
the Board may allow a higher percentage for |
individual sites where the owner
or operator has |
demonstrated to the Board that the site's soil
|
characteristics or crop needs require a higher rate;
|
(A-1) the composting facility accepts from other |
agricultural operations for composting with landscape |
waste no materials other than uncontaminated and |
source-separated (i) crop residue and other |
agricultural plant residue generated from the |
production and harvesting of crops and other customary |
farm practices, including, but not limited to, stalks, |
leaves, seed pods, husks, bagasse, and roots and (ii) |
plant-derived animal bedding, such as straw or |
sawdust, that is free of manure and was not made from |
painted or treated wood; |
(A-2) any composting additives that the composting |
facility accepts and uses at the facility are necessary |
to provide proper conditions for composting and do not |
exceed 10% of the total composting material at the |
facility at any one time;
|
(B) the property on which the composting facility |
is located, and any
associated property on which the |
compost is used, is principally and
diligently devoted |
to the production of agricultural crops and
is not |
|
owned, leased or otherwise controlled by any waste |
hauler
or generator of nonagricultural compost |
materials, and the operator of the
composting facility |
is not an employee, partner, shareholder, or in any way
|
connected with or controlled by any such waste hauler |
or generator;
|
(C) all compost generated by the composting |
facility is applied at
agronomic rates and used as |
mulch, fertilizer or soil conditioner on land
actually |
farmed by the person operating the composting |
facility, and the
finished compost is not stored at the |
composting site for a period longer
than 18 months |
prior to its application as mulch, fertilizer, or soil |
conditioner;
|
(D) the owner or operator, by January 1 of
each |
year, (i) registers the site with the Agency, (ii) |
reports
to the Agency on the volume of composting |
material received and used at the
site, (iii) certifies |
to the Agency that the site complies with the
|
requirements set forth in subparagraphs (A), (A-1), |
(A-2), (B), and (C) of this paragraph
(q)(3), and (iv) |
certifies to the Agency that all composting material: |
(I) was
placed more than 200 feet from the |
nearest potable water supply well; |
(II) was
placed outside the boundary of the |
10-year floodplain or on a part of the
site that is |
|
floodproofed; |
(III) was placed either (aa) at least 1/4 mile |
from the nearest
residence (other than a residence |
located on the same property as the
facility) and |
there are not more than 10 occupied non-farm |
residences
within 1/2 mile of the boundaries of the |
site on the date of application or (bb) a lesser |
distance from the nearest residence (other than a |
residence located on the same property as the |
facility) provided that the municipality or county |
in which the facility is located has by ordinance |
approved a lesser distance than 1/4 mile and there |
are not more than 10 occupied non-farm residences
|
within 1/2 mile of the boundaries of the site on |
the date of application;
and |
(IV) was placed more than 5 feet above the |
water table. |
Any ordinance approving a residential setback of |
less than 1/4 mile that is used to meet the |
requirements of this subparagraph (D) must |
specifically reference this subparagraph.
|
For the purposes of this subsection (q), "agronomic rates" |
means the
application of not more than 20 tons per acre per |
year, except that the
Board may allow a higher rate for |
individual sites where the owner or
operator has demonstrated |
to the Board that the site's soil
characteristics or crop needs |
|
require a higher rate.
|
(r) Cause or allow the storage or disposal of coal |
combustion
waste unless:
|
(1) such waste is stored or disposed of at a site or
|
facility for which
a permit has been obtained or is not |
otherwise required under subsection
(d) of this Section; or
|
(2) such waste is stored or disposed of as a part of
|
the design and
reclamation of a site or facility which is |
an abandoned mine site in
accordance with the Abandoned |
Mined Lands and Water Reclamation Act; or
|
(3) such waste is stored or disposed of at a site or
|
facility which is
operating under NPDES and Subtitle D |
permits issued by the Agency pursuant
to regulations |
adopted by the Board for mine-related water pollution and
|
permits issued pursuant to the Federal Surface Mining |
Control and
Reclamation Act of 1977 (P.L. 95-87) or the |
rules and regulations
thereunder or any law or rule or |
regulation adopted by the State of
Illinois pursuant |
thereto, and the owner or operator of the facility agrees
|
to accept the waste; and either
|
(i) such waste is stored or disposed of in |
accordance
with requirements
applicable to refuse |
disposal under regulations adopted by the Board for
|
mine-related water pollution and pursuant to NPDES and |
Subtitle D permits
issued by the Agency under such |
regulations; or
|
|
(ii) the owner or operator of the facility |
demonstrates all of the
following to the Agency, and |
the facility is operated in accordance with
the |
demonstration as approved by the Agency: (1) the |
disposal area will be
covered in a manner that will |
support continuous vegetation, (2) the
facility will |
be adequately protected from wind and water erosion, |
(3) the
pH will be maintained so as to prevent |
excessive leaching of metal ions,
and (4) adequate |
containment or other measures will be provided to |
protect
surface water and groundwater from |
contamination at levels prohibited by
this Act, the |
Illinois Groundwater Protection Act, or regulations |
adopted
pursuant thereto.
|
Notwithstanding any other provision of this Title, the |
disposal of coal
combustion waste pursuant to item (2) or (3) |
of this
subdivision (r) shall
be exempt from the other |
provisions of this Title V, and notwithstanding
the provisions |
of Title X of this Act, the Agency is authorized to grant
|
experimental permits which include provision for the disposal |
of
wastes from the combustion of coal and other materials |
pursuant to items
(2) and (3) of this subdivision (r).
|
(s) After April 1, 1989, offer for transportation, |
transport, deliver,
receive or accept special waste for which a |
manifest is required, unless
the manifest indicates that the |
fee required under Section 22.8 of this
Act has been paid.
|
|
(t) Cause or allow a lateral expansion of a municipal solid |
waste landfill
unit on or after October 9, 1993, without a |
permit modification, granted by the
Agency, that authorizes the |
lateral expansion.
|
(u) Conduct any vegetable by-product treatment, storage, |
disposal or
transportation operation in violation of any |
regulation, standards or permit
requirements adopted by the |
Board under this Act. However, no permit shall be
required |
under this Title V for the land application of vegetable |
by-products
conducted pursuant to Agency permit issued under |
Title III of this Act to
the generator of the vegetable |
by-products. In addition, vegetable by-products
may be |
transported in this State without a special waste hauling |
permit, and
without the preparation and carrying of a manifest.
|
(v) (Blank).
|
(w) Conduct any generation, transportation, or recycling |
of construction or
demolition debris, clean or general, or |
uncontaminated soil generated during
construction, remodeling, |
repair, and demolition of utilities, structures, and
roads that |
is not commingled with any waste, without the maintenance of
|
documentation identifying the hauler, generator, place of |
origin of the debris
or soil, the weight or volume of the |
debris or soil, and the location, owner,
and operator of the |
facility where the debris or soil was transferred,
disposed, |
recycled, or treated. This documentation must be maintained by |
the
generator, transporter, or recycler for 3 years.
This |
|
subsection (w) shall not apply to (1) a permitted pollution |
control
facility that transfers or accepts construction or |
demolition debris,
clean or general, or uncontaminated soil for |
final disposal, recycling, or
treatment, (2) a public utility |
(as that term is defined in the Public
Utilities Act) or a |
municipal utility, (3) the Illinois Department of
|
Transportation, or (4) a municipality or a county highway |
department, with
the exception of any municipality or county |
highway department located within a
county having a population |
of over 3,000,000 inhabitants or located in a county
that
is |
contiguous to a county having a population of over 3,000,000 |
inhabitants;
but it shall apply to an entity that contracts |
with a public utility, a
municipal utility, the Illinois |
Department of Transportation, or a
municipality or a county |
highway department.
The terms
"generation" and "recycling" as
|
used in this subsection do not
apply to clean construction or |
demolition debris
when (i) used as fill material below grade |
outside of a setback zone
if covered by sufficient |
uncontaminated soil to support vegetation within 30
days of the |
completion of filling or if covered by a road or structure, |
(ii)
solely broken concrete without
protruding metal bars is |
used for erosion control, or (iii) milled
asphalt or crushed |
concrete is used as aggregate in construction of the
shoulder |
of a roadway. The terms "generation" and "recycling", as used |
in this
subsection, do not apply to uncontaminated soil
that is |
not commingled with any waste when (i) used as fill material |
|
below
grade or contoured to grade, or (ii) used at the site of |
generation.
|
(Source: P.A. 97-220, eff. 7-28-11; 98-239, eff. 8-9-13; |
98-484, eff. 8-16-13; revised 9-19-13.)
|
(415 ILCS 5/22.2) (from Ch. 111 1/2, par. 1022.2)
|
Sec. 22.2. Hazardous waste; fees; liability.
|
(a) There are hereby created within the State Treasury 2
|
special funds to be known respectively as the "Hazardous Waste |
Fund" and
the "Hazardous Waste Research Fund", constituted from |
the fees collected
pursuant to this Section.
In addition to the |
fees collected under this Section, the Hazardous Waste
Fund |
shall include other moneys made available from any source for |
deposit into
the Fund.
|
(b)(1) On and after January 1, 1989, the Agency shall |
collect from the
owner or operator of each of the following |
sites a fee in the amount of:
|
(A) 9 cents per gallon or $18.18 per cubic yard, if |
the
hazardous waste disposal site is located off the |
site where such waste was
produced. The maximum amount |
payable under this subdivision (A) with respect
to the |
hazardous waste generated by a single generator and |
deposited in
monofills is $30,000 per year. If, as a |
result of the use of multiple monofills, waste
fees in |
excess of the maximum are assessed with respect to a |
single waste
generator, the generator may apply to the |
|
Agency for a credit.
|
(B) 9 cents or $18.18 per cubic yard, if the |
hazardous waste
disposal site is located on the site |
where such waste was produced,
provided however the |
maximum amount of fees payable under this paragraph
(B) |
is $30,000 per year for each such hazardous waste |
disposal site.
|
(C) If the hazardous waste disposal site is an |
underground injection
well, $6,000 per year if not more |
than 10,000,000 gallons per year are
injected, $15,000 |
per year if more than 10,000,000 gallons but not more |
than
50,000,000 gallons per year are injected, and |
$27,000 per year if more than
50,000,000 gallons per |
year are injected.
|
(D) 3 cents per gallon or
$6.06 per cubic yard of |
hazardous waste received
for treatment at a hazardous |
waste treatment site, if the hazardous waste
treatment |
site is located off the site where such waste was |
produced and
if such hazardous waste treatment site is |
owned, controlled and operated
by a person other than |
the generator of such waste.
After treatment at such |
hazardous waste treatment site, the waste shall
not be |
subject to any other fee imposed by this subsection |
(b). For purposes
of this subsection (b), the term |
"treatment" is defined as in Section
3.505 but shall |
not include recycling, reclamation or reuse.
|
|
(2) The General Assembly shall annually appropriate to |
the Fund such
amounts as it deems necessary to fulfill the |
purposes of this Act.
|
(3) The Agency shall have the authority to accept, |
receive, and
administer on behalf of the State any moneys |
made available to the State from
any source for the |
purposes of the Hazardous Waste Fund set forth in |
subsection
(d) of this Section.
|
(4) Of the amount collected as fees provided for in |
this Section, the
Agency shall manage the use of such funds |
to assure that sufficient funds
are available for match |
towards federal expenditures for response action at
sites |
which are listed on the National Priorities List; provided, |
however,
that this shall not apply to additional monies |
appropriated to the Fund by
the General Assembly, nor shall |
it apply in the event that the Director
finds that revenues |
in the Hazardous Waste Fund must be used to address
|
conditions which create or may create an immediate danger |
to the
environment or public health or to the welfare of |
the people of the State
of Illinois.
|
(5) Notwithstanding the other provisions of this
|
subsection (b), sludge from a publicly-owned sewage works |
generated
in Illinois, coal mining wastes and refuse |
generated in Illinois, bottom
boiler ash, flyash and flue |
gas desulphurization sludge from public
utility electric |
generating facilities located in Illinois, and bottom
|
|
boiler ash and flyash from all incinerators which process |
solely
municipal waste shall not be subject to the fee.
|
(6) For the purposes of this subsection (b), "monofill" |
means a
facility, or a unit at a facility, that accepts |
only wastes bearing the
same USEPA hazardous waste |
identification number, or compatible wastes as
determined |
by the Agency.
|
(c) The Agency shall establish procedures, not later than |
January 1,
1984, relating to the collection of the fees |
authorized by this Section.
Such procedures shall include, but |
not be limited to: (1) necessary records
identifying the |
quantities of hazardous waste received or disposed; (2) the
|
form and submission of reports to accompany the payment of fees |
to the
Agency; and (3) the time and manner of payment of fees |
to the Agency,
which payments shall be not more often than |
quarterly.
|
(d) Beginning July 1, 1996, the Agency shall deposit all |
such receipts in the State Treasury to the credit of the
|
Hazardous Waste Fund, except as provided in subsection (e) of |
this Section.
All monies in the Hazardous Waste Fund shall be |
used by the Agency for the following purposes:
|
(1) Taking whatever preventive or corrective
action is |
necessary or appropriate, in circumstances certified by |
the
Director, including but not limited to removal or |
remedial
action whenever there is a release or substantial |
threat of a release of
a hazardous substance or pesticide; |
|
provided, the Agency shall
expend no more than $1,000,000 |
on any single incident without appropriation
by the General |
Assembly.
|
(2) To meet any requirements which must be met by the |
State in order
to obtain federal funds pursuant to the |
Comprehensive Environmental Response,
Compensation and |
Liability Act of 1980, (P.L. 96-510).
|
(3) In an amount up to 30% of the amount collected as |
fees provided
for in this Section, for use by the Agency to |
conduct
groundwater protection activities, including |
providing grants to appropriate
units of local government |
which are addressing protection of underground waters
|
pursuant to the provisions of this Act.
|
(4) To fund the development and implementation of the |
model pesticide
collection program under Section 19.1 of |
the Illinois Pesticide Act.
|
(5) To the extent the Agency has received and deposited |
monies in the
Fund other than fees collected under |
subsection (b) of this Section, to pay for
the cost of |
Agency employees for
services provided in reviewing the |
performance of response actions pursuant to
Title XVII of |
this Act.
|
(6) In an amount up to 15% of the fees collected |
annually
under subsection (b) of this Section, for use by |
the Agency
for administration of the provisions of this |
Section.
|
|
(e) The Agency shall deposit 10% of all receipts collected |
under subsection
(b) of this Section, but not to exceed |
$200,000 per year, in the State
Treasury to the credit of the |
Hazardous Waste Research Fund established by this
Act. Pursuant |
to appropriation, all monies in such Fund shall be used by the |
University of Illinois
for the purposes set forth in
this |
subsection.
|
The University of Illinois may enter into contracts with |
business,
industrial, university, governmental or other |
qualified individuals or
organizations to assist in the |
research and development intended to recycle,
reduce the volume |
of, separate, detoxify or reduce the hazardous properties of
|
hazardous wastes in Illinois. Monies in the Fund may also be |
used by the University of Illinois
for technical studies, |
monitoring activities,
and educational and research activities |
which are related to the protection of
underground waters. |
Monies in the Hazardous Waste Research Fund may be used to
|
administer the Illinois Health and Hazardous Substances |
Registry Act. Monies
in the Hazardous Waste Research Fund shall |
not be used for any sanitary
landfill or the acquisition or |
construction of any facility. This does not
preclude the |
purchase of equipment for the purpose of public demonstration
|
projects. The University of Illinois shall adopt guidelines for |
cost
sharing, selecting, and administering projects under this |
subsection.
|
(f) Notwithstanding any other provision or rule of law, and |
|
subject
only to the defenses set forth in subsection (j) of |
this Section, the
following persons shall be liable for all |
costs of removal or remedial
action incurred by the State of |
Illinois or any unit of local
government as a result of a |
release or substantial threat of a release of
a hazardous |
substance or pesticide:
|
(1) the owner and operator of a facility or vessel from |
which there is
a release or substantial threat of release |
of a hazardous substance or
pesticide;
|
(2) any person who at the time of disposal, transport, |
storage or
treatment of a hazardous substance or pesticide |
owned or operated the
facility or vessel used for such |
disposal, transport, treatment or storage
from which there |
was a release or substantial threat of a release of any
|
such hazardous substance or pesticide;
|
(3) any person who by contract, agreement, or otherwise |
has arranged with
another party or entity for transport, |
storage, disposal or treatment of
hazardous substances or |
pesticides owned, controlled or possessed by such
person at |
a facility owned or operated by another party or entity |
from
which facility there is a release or substantial |
threat of a release of
such hazardous substances or |
pesticides; and
|
(4) any person who accepts or accepted any hazardous |
substances or
pesticides for transport to disposal, |
storage or treatment facilities or
sites from which there |
|
is a release or a substantial threat of a release of
a |
hazardous substance or pesticide.
|
Any monies received by the State of Illinois pursuant to |
this
subsection (f) shall be deposited in the State Treasury to |
the credit
of the Hazardous Waste Fund.
|
In accordance with the other provisions of this Section, |
costs of
removal or remedial action incurred by a unit of local |
government may be
recovered in an action before the Board |
brought by the unit of local
government under subsection (i) of |
this Section. Any monies so recovered
shall be paid to the unit |
of local government.
|
(g)(1) No indemnification, hold harmless, or similar |
agreement or conveyance
shall be effective to transfer from |
the owner or operator of any vessel
or facility or from any |
person who may be liable for a release or
substantial |
threat of a release under this Section, to any other person |
the
liability imposed under this Section. Nothing in this |
Section shall bar
any agreement to insure, hold harmless or |
indemnify a party to such
agreements for any liability |
under this Section.
|
(2) Nothing in this Section, including the provisions |
of paragraph (g)(1)
of this Section, shall bar a cause of |
action that an owner or operator or
any other person |
subject to liability under this Section, or a guarantor,
|
has or would have, by reason of subrogation or otherwise |
against any person.
|
|
(h) For purposes of this Section:
|
(1) The term "facility" means:
|
(A) any building, structure, installation, |
equipment, pipe or pipeline
including but not limited |
to any pipe into a sewer or publicly owned
treatment |
works, well, pit, pond, lagoon, impoundment, ditch, |
landfill,
storage container, motor vehicle, rolling |
stock, or aircraft; or
|
(B) any site or area where a hazardous substance |
has been deposited,
stored, disposed of, placed, or |
otherwise come to be located.
|
(2) The term "owner or operator" means:
|
(A) any person owning or operating a vessel or |
facility;
|
(B) in the case of an abandoned facility, any |
person owning or operating
the abandoned facility or |
any person who owned, operated, or otherwise
|
controlled activities at the abandoned facility |
immediately prior to such
abandonment;
|
(C) in the case of a land trust as defined in |
Section 2 of the Land
Trustee as Creditor Act, the |
person owning the beneficial interest in the land
|
trust;
|
(D) in the case of a fiduciary (other than a land |
trustee), the estate,
trust estate, or other interest |
in property held in a fiduciary capacity,
and not the |
|
fiduciary. For the purposes of this Section, |
"fiduciary" means
a trustee, executor, administrator, |
guardian, receiver, conservator or other
person |
holding a facility or vessel in a fiduciary capacity;
|
(E) in the case of a "financial institution", |
meaning the Illinois
Housing Development Authority and |
that term as defined in Section 2 of the
Illinois |
Banking Act, that has acquired ownership, operation, |
management,
or control of a vessel or facility through |
foreclosure or under the terms
of a security interest |
held by the financial institution or under the terms
of |
an extension of credit made by the financial |
institution, the financial
institution only if the |
financial institution takes possession of the
vessel |
or facility and the financial institution exercises |
actual, direct,
and continual or recurrent managerial |
control in the operation of the
vessel or facility that |
causes a release or substantial threat of a release
of |
a hazardous substance or pesticide resulting in |
removal or remedial
action;
|
(F) In the case of an owner of residential |
property, the owner if the
owner is a person other than |
an individual, or if the owner is an individual
who |
owns more than 10 dwelling units in Illinois, or if the |
owner, or an agent,
representative, contractor, or |
employee of the owner, has caused, contributed
to, or |
|
allowed the release or threatened release of a |
hazardous substance or
pesticide. The term |
"residential property" means single family residences |
of
one to 4 dwelling units, including accessory land, |
buildings, or improvements
incidental to those |
dwellings that are exclusively used for the |
residential
use. For purposes of this subparagraph |
(F), the term "individual" means a
natural person, and |
shall not include corporations, partnerships, trusts, |
or
other non-natural persons.
|
(G) In the case of any facility, title or control |
of which was
conveyed due to bankruptcy, foreclosure, |
tax delinquency, abandonment, or
similar means
to a |
unit of State or local government, any person who |
owned, operated, or
otherwise controlled activities at |
the facility immediately beforehand.
|
(H) The term "owner or operator" does not include a |
unit of State or
local government which acquired |
ownership or control through bankruptcy, tax
|
delinquency, abandonment, or other circumstances in |
which the government
acquires title by virtue of its |
function as sovereign. The exclusion provided
under |
this paragraph shall not apply to any State or local |
government which has
caused or contributed to the |
release or threatened release of a hazardous
substance |
from the facility, and such a State or local government |
|
shall be
subject to the provisions of this Act in the |
same manner and to the same
extent, both procedurally |
and substantively, as any nongovernmental entity,
|
including liability under Section 22.2(f).
|
(i) The costs and damages provided for in this Section may |
be imposed by
the Board in an action brought before the Board |
in accordance with Title
VIII of this Act, except that Section |
33(c) of this Act shall not apply to
any such action.
|
(j)(1) There shall be no liability under this Section for a |
person
otherwise liable who can establish by a preponderance of |
the evidence that
the release or substantial threat of release |
of a hazardous substance and
the damages resulting therefrom |
were caused solely by:
|
(A) an act of God;
|
(B) an act of war;
|
(C) an act or omission of a third party other than an |
employee or agent
of the defendant, or other than one whose |
act or omission occurs in
connection with a contractual |
relationship, existing directly or
indirectly, with the |
defendant (except where the sole contractual
arrangement |
arises from a published tariff and acceptance for carriage |
by a
common carrier by rail), if the defendant establishes |
by a preponderance of
the evidence that (i) he exercised |
due care with respect to the hazardous
substance concerned, |
taking into consideration the characteristics of such
|
hazardous substance, in light of all relevant facts and |
|
circumstances, and
(ii) he took precautions against |
foreseeable acts or omissions of any such
third party and |
the consequences that could foreseeably result from such
|
acts or omissions; or
|
(D) any combination of the foregoing paragraphs.
|
(2) There shall be no liability under this Section for any |
release
permitted by State or federal law.
|
(3) There shall be no liability under this Section for |
damages as a result
of actions taken or omitted in the course |
of rendering care, assistance,
or advice in accordance with |
this Section or the National Contingency Plan
pursuant to the |
Comprehensive Environmental Response, Compensation and
|
Liability Act of 1980 (P.L. 96-510) or at the direction of an
|
on-scene coordinator appointed under such plan, with respect to |
an incident
creating a danger to public health or welfare or |
the environment as a result
of any release of a hazardous |
substance or a substantial threat thereof. This
subsection |
shall not preclude liability for damages as the result of gross
|
negligence or intentional misconduct on the part of such |
person. For the
purposes of the preceding sentence, reckless, |
willful, or wanton misconduct
shall constitute gross |
negligence.
|
(4) There shall be no liability under this Section for any |
person
(including, but not limited to, an owner of residential |
property who applies a
pesticide to the residential property or |
who has another person apply a
pesticide to the residential |
|
property) for response costs or damages as the
result of the |
storage, handling and use, or recommendation for storage,
|
handling and use, of a pesticide consistent with:
|
(A) its directions for storage, handling and use as |
stated in its
label or labeling;
|
(B) its warnings and cautions as stated in its label or |
labeling; and
|
(C) the uses for which it is registered under the |
Federal Insecticide,
Fungicide and Rodenticide Act and the |
Illinois Pesticide Act.
|
(4.5) There shall be no liability under subdivision (f)(1) |
of this Section
for response costs or damages as the result of |
a release
of a pesticide from an agrichemical facility site if
|
the Agency has received notice from the Department of |
Agriculture pursuant to
Section 19.3 of the Illinois Pesticide |
Act, the owner or operator of the
agrichemical facility is |
proceeding with a corrective action plan under the
Agrichemical |
Facility Response Action Program implemented under that |
Section,
and the Agency
has provided a written endorsement of a |
corrective action plan.
|
(4.6) There shall be no liability under subdivision (f)(1) |
of this
Section for response costs or damages as the result of |
a substantial threat of
a release of a pesticide from an |
agrichemical facility site if
the Agency has received notice |
from the Department of Agriculture pursuant to
Section 19.3 of |
the Illinois Pesticide Act and the owner or operator of the
|
|
agrichemical facility is proceeding with a corrective action |
plan under the
Agrichemical Facility Response Action Program |
implemented under that
Section.
|
(5) Nothing in this subsection (j) shall affect or modify |
in any way the
obligations or liability of any person under any |
other provision of this
Act or State or federal law, including |
common law, for damages, injury,
or loss resulting from a |
release or substantial threat of a release of any
hazardous |
substance or for removal or remedial action or the costs of |
removal
or remedial action of such hazardous substance.
|
(6)(A) The term "contractual relationship", for the |
purpose of this
subsection includes, but is not limited to, |
land contracts, deeds or other
instruments transferring title |
or possession, unless the real property on
which the facility |
concerned is located was acquired by the defendant after
the |
disposal or placement of the hazardous substance on, in, or at |
the
facility, and one or more of the circumstances described in |
clause (i),
(ii), or (iii) of this paragraph is also |
established by the defendant by a
preponderance of the |
evidence:
|
(i) At the time the defendant acquired the facility the |
defendant did
not know and had no reason to know that any |
hazardous substance which is
the subject of the release or |
threatened release was disposed of on, in or
at the |
facility.
|
(ii) The defendant is a government entity which |
|
acquired the facility by
escheat, or through any other |
involuntary transfer or acquisition, or
through the |
exercise of eminent domain authority by purchase or |
condemnation.
|
(iii) The defendant acquired the facility by |
inheritance or bequest.
|
In addition to establishing the foregoing, the defendant |
must establish
that he has satisfied the requirements of |
subparagraph (C) of paragraph (l)
of this subsection (j).
|
(B) To establish the defendant had no reason to know, as |
provided in
clause (i) of subparagraph (A) of this paragraph, |
the defendant must have
undertaken, at the time of acquisition, |
all appropriate inquiry into the
previous ownership and uses of |
the property consistent with good commercial
or customary |
practice in an effort to minimize liability. For purposes of
|
the preceding sentence, the court shall take into account any |
specialized
knowledge or experience on the part of the |
defendant, the relationship of
the purchase price to the value |
of the property if uncontaminated, commonly
known or reasonably |
ascertainable information about the property, the
obviousness |
of the presence or likely presence of contamination at the
|
property, and the ability to detect such contamination by |
appropriate
inspection.
|
(C) Nothing in this paragraph (6) or in subparagraph (C) of |
paragraph
(1) of this subsection shall diminish the liability |
of any previous owner
or operator of such facility who would |
|
otherwise be liable under this Act.
Notwithstanding this |
paragraph (6), if the defendant obtained actual
knowledge of |
the release or threatened release of a hazardous substance at
|
such facility when the defendant owned the real property and |
then
subsequently transferred ownership of the property to |
another person
without disclosing such knowledge, such |
defendant shall be treated as
liable under subsection (f) of |
this Section and no defense under
subparagraph (C) of paragraph |
(1) of this subsection shall be available
to such defendant.
|
(D) Nothing in this paragraph (6) shall affect the |
liability under this
Act of a defendant who, by any act or |
omission, caused or contributed to
the release or threatened |
release of a hazardous substance which is the
subject of the |
action relating to the facility.
|
(E)(i) Except as provided in clause (ii) of this |
subparagraph (E), a
defendant who has acquired real property |
shall have established a rebuttable
presumption against all |
State claims and a conclusive presumption against all
private |
party claims that the defendant has made all appropriate |
inquiry within
the meaning of subdivision (6)(B) of this |
subsection (j) if the defendant
proves that immediately prior |
to or at the time of the acquisition:
|
(I) the defendant obtained a Phase I Environmental |
Audit of the real
property that meets or exceeds the |
requirements of this subparagraph (E), and
the Phase I |
Environmental Audit did not disclose the presence or likely
|
|
presence of a release or a substantial threat of a release |
of a hazardous
substance or pesticide at, on, to, or from |
the real property; or
|
(II) the defendant obtained a Phase II Environmental |
Audit of the real
property that meets or exceeds the |
requirements of this subparagraph (E), and
the Phase II |
Environmental Audit did not disclose the presence or likely
|
presence of a release or a substantial threat of a release |
of a hazardous
substance or pesticide at, on, to, or from |
the real property.
|
(ii) No presumption shall be created under clause (i) of |
this subparagraph
(E), and a defendant shall be precluded from |
demonstrating that the defendant
has made all appropriate |
inquiry within the meaning of subdivision (6)(B) of
this |
subsection (j), if:
|
(I) the defendant fails to obtain all Environmental |
Audits required under
this subparagraph (E) or any such |
Environmental Audit fails to meet or exceed
the |
requirements of this subparagraph (E);
|
(II) a Phase I Environmental Audit discloses the |
presence or likely
presence of a release or a substantial |
threat of a release of a hazardous
substance or pesticide |
at, on, to, or from real property, and the defendant
fails |
to obtain a Phase II Environmental Audit;
|
(III) a Phase II Environmental Audit discloses the |
presence or likely
presence of a release or a substantial |
|
threat of a release of a hazardous
substance or pesticide |
at, on, to, or from the real property;
|
(IV) the defendant fails to maintain a written |
compilation and explanatory
summary report of the |
information reviewed in the course of each Environmental
|
Audit under this subparagraph (E); or
|
(V) there is any evidence of fraud, material |
concealment, or material
misrepresentation by the |
defendant of environmental conditions or of related
|
information discovered during the course of an |
Environmental Audit.
|
(iii) For purposes of this subparagraph (E), the term |
"environmental
professional" means an individual (other than a |
practicing attorney) who,
through academic training, |
occupational experience, and reputation (such as
engineers, |
industrial hygienists, or geologists) can objectively conduct |
one or
more aspects of an Environmental Audit and who either:
|
(I) maintains at the time of the Environmental Audit |
and for at least one
year thereafter at least $500,000 of |
environmental consultants' professional
liability |
insurance coverage issued by an insurance company licensed |
to do
business in Illinois; or
|
(II) is an Illinois licensed professional engineer or a |
Certified Industrial Hygienist certified by the American |
Board of Industrial Hygiene.
|
An environmental professional may employ persons who are |
|
not environmental
professionals to assist in the preparation of |
an Environmental Audit if such
persons are under the direct |
supervision and control of the environmental
professional.
|
(iv) For purposes of this subparagraph (E), the term "real |
property"
means any interest in any parcel of land, and |
includes, but is not limited to,
buildings, fixtures, and
|
improvements.
|
(v) For purposes of this subparagraph (E), the term "Phase |
I Environmental
Audit" means an investigation of real property, |
conducted by environmental
professionals, to discover the |
presence or likely presence of a release or a
substantial |
threat of a release of a hazardous substance or pesticide at, |
on,
to, or from real property, and whether a release or a |
substantial threat of
a release of a hazardous substance or |
pesticide has occurred or may occur at,
on, to, or from the |
real property. Until such time as the United
States |
Environmental Protection Agency establishes
standards for |
making appropriate inquiry into the previous
ownership and uses |
of the facility pursuant to 42 U.S.C.
Sec. 9601(35)(B)(ii), the |
investigation shall comply with the
procedures of the American |
Society for Testing and
Materials, including the document known |
as Standard
E1527-97, entitled "Standard Procedures for |
Environmental
Site Assessment: Phase 1 Environmental Site |
Assessment
Process". Upon their adoption, the standards |
promulgated
by USEPA pursuant to 42 U.S.C. Sec. 9601(35)(B)(ii) |
shall
govern the performance of Phase I Environmental Audits. |
|
In
addition to the above requirements, the Phase I
|
Environmental Audit shall include a review of recorded land
|
title records for the purpose of determining whether the real
|
property is subject to an environmental land use restriction
|
such as a No Further Remediation Letter, Environmental
Land Use |
Control, or Highway Authority Agreement.
|
(vi) For purposes of subparagraph (E), the term "Phase II |
Environmental
Audit" means an investigation of real property, |
conducted by environmental
professionals, subsequent to a |
Phase I Environmental Audit. If the Phase I
Environmental Audit |
discloses the presence or likely presence of a hazardous
|
substance or a pesticide or a release or a substantial threat |
of a release of
a hazardous substance or pesticide:
|
(I) In or to soil, the defendant, as part of the Phase |
II Environmental
Audit, shall perform a series of soil |
borings sufficient to determine whether
there is a presence |
or likely presence of a hazardous substance or pesticide
|
and whether there is or has been a release or a substantial |
threat of a release
of a hazardous substance or pesticide |
at, on, to, or from the real property.
|
(II) In or to groundwater, the defendant, as part of |
the Phase II
Environmental Audit, shall: review |
information regarding local geology, water
well locations, |
and locations of waters of the State as may be obtained |
from
State, federal, and local government records, |
including but not limited to the
United States Geological |
|
Survey, the State Geological Survey of the University of |
Illinois, and the State Water
Survey of the University of |
Illinois; and
perform groundwater monitoring sufficient to |
determine whether there is a
presence or likely presence of |
a hazardous substance or pesticide, and whether
there is or |
has been a release or a substantial threat of a release of |
a
hazardous substance or pesticide at, on, to, or from the |
real property.
|
(III) On or to media other than soil or groundwater, |
the defendant, as
part of the Phase II Environmental Audit, |
shall perform an investigation
sufficient to determine |
whether there is a presence or likely presence of a
|
hazardous substance or pesticide, and whether there is or |
has been a release or
a substantial threat of a release of |
a hazardous substance or pesticide at, on,
to, or from the |
real property.
|
(vii) The findings of each Environmental Audit prepared |
under this
subparagraph (E) shall be set forth in a written |
audit report. Each audit
report shall contain an affirmation by |
the defendant and by each environmental
professional who |
prepared the Environmental Audit that the facts stated in the
|
report are true and are made under a penalty of perjury as |
defined in Section
32-2 of the Criminal Code of 2012. It is |
perjury for any person to sign an
audit report that contains a |
false material statement that the person does not
believe to be |
true.
|
|
(viii) The Agency is not required to review, approve, or |
certify the results
of any Environmental Audit. The performance |
of an Environmental Audit shall in
no way entitle a defendant |
to a presumption of Agency approval or certification
of the |
results of the Environmental Audit.
|
The presence or absence of a disclosure document prepared |
under the
Responsible Property Transfer Act of 1988 shall not |
be a defense under this
Act and shall not satisfy the |
requirements of subdivision (6)(A) of this
subsection (j).
|
(7) No person shall be liable under this Section for |
response costs
or damages as the result of a pesticide release |
if the Agency has found
that a pesticide release occurred based |
on a Health Advisory issued by the
U.S. Environmental |
Protection Agency or an action level developed by the
Agency, |
unless the Agency notified the manufacturer of the pesticide |
and
provided an opportunity of not less than 30 days for the |
manufacturer to
comment on the technical and scientific |
justification supporting the Health
Advisory or action level.
|
(8) No person shall be liable under this Section for |
response costs or
damages as the result of a pesticide release |
that occurs in the course of a
farm pesticide collection |
program operated under Section 19.1 of the
Illinois Pesticide |
Act, unless the release results from gross negligence or
|
intentional misconduct.
|
(k) If any person who is liable for a release or |
substantial threat of
release of a hazardous substance or |
|
pesticide fails without sufficient
cause to provide removal or |
remedial action upon or in accordance with a
notice and request |
by the Agency or upon or in accordance with any order of
the |
Board or any court, such person may be liable to the State for |
punitive
damages in an amount at least equal to, and not more |
than 3 times, the
amount of any costs incurred by the State of |
Illinois as a result of such
failure to take such removal or |
remedial action. The punitive damages
imposed by the Board |
shall be in addition to any costs recovered from such
person |
pursuant to this Section and in addition to any other penalty |
or
relief provided by this Act or any other law.
|
Any monies received by the State pursuant to this |
subsection (k) shall
be deposited in the Hazardous Waste Fund.
|
(l) Beginning January 1, 1988, and prior to January 1, |
2013, the Agency shall annually collect a $250
fee for each |
Special Waste Hauling Permit Application and, in addition,
|
shall collect a fee of $20 for each waste hauling vehicle |
identified in the
annual permit application and for each |
vehicle which is added to the permit
during the annual period. |
Beginning January 1, 2013, the Agency shall issue 3-year |
Special Waste Hauling Permits instead of annual Special Waste |
Hauling Permits and shall collect a $750 fee for each Special |
Waste Hauling Permit Application. In addition, beginning |
January 1, 2013, the Agency shall collect a fee of $60 for each |
waste hauling vehicle identified in the permit application and |
for each vehicle that is added to the permit during the 3-year |
|
period. The Agency shall deposit 85% of such fees
collected |
under this subsection in the State Treasury to the credit of
|
the Hazardous Waste Research Fund; and shall deposit the |
remaining 15% of
such fees collected in the State Treasury to |
the credit of the
Environmental Protection Permit and |
Inspection Fund. The majority of such
receipts which are |
deposited in the Hazardous Waste Research Fund pursuant
to this |
subsection shall be used by the University of Illinois for
|
activities which relate to the protection of underground |
waters.
|
(l-5) (Blank).
|
(m) (Blank).
|
(n) (Blank).
|
(Source: P.A. 97-220, eff. 7-28-11; 97-1081, eff. 8-24-12; |
97-1150, eff. 1-25-13; 98-78, eff. 7-15-13; revised 9-19-13.)
|
(415 ILCS 5/58.16)
|
Sec. 58.16. Construction of school; requirements. This |
Section applies
only to counties with a population of more than |
3,000,000. In this Section,
"school" means any public school |
located in whole or in part in a county with
a population of |
more than 3,000,000. No person shall commence construction on
|
real property of a building intended for use as a school |
unless:
|
(1) a Phase I 1 Environmental Audit, conducted in |
accordance with Section
22.2 of this Act, is obtained;
|
|
(2) if the Phase I 1 Environmental Audit discloses the |
presence or likely
presence of a release or a substantial |
threat of a release of a regulated
substance at, on, to, or |
from the real property, a Phase II Environmental
Audit, |
conducted in accordance with Section 22.2 of this Act, is |
obtained; and
|
(3) if the Phase II Environmental Audit discloses the |
presence or
likely presence of a release or a substantial |
threat of a release of a
regulated substance at, on, to, or |
from the real property : , and (i) the real
property is |
enrolled in the Site Remediation Program, and (ii) the |
remedial
action plan is approved by the Agency, if a |
remedial action plan is required
by Board regulations.
|
No person shall cause or allow any person to occupy a |
building intended
to be used as a school for which a remedial |
action plan is required by Board
regulations unless all work |
pursuant to the remedial action plan is completed.
|
(Source: P.A. 91-442, eff. 1-1-00; 92-16, eff. 6-28-01; 92-151, |
eff.
7-24-01; revised 11-14-13.)
|
Section 595. The Illinois Pesticide Act is amended by |
changing Section 4 as follows:
|
(415 ILCS 60/4) (from Ch. 5, par. 804)
|
Sec. 4. Definitions. As used in this Act:
|
1. "Director" means Director of the Illinois Department of
|
|
Agriculture or his authorized representative.
|
2. "Active Ingredient" means any ingredient which will |
prevent,
destroy, repel, control or mitigate a pest or which |
will act as a plant
regulator, defoliant or desiccant.
|
3. "Adulterated" shall apply to any pesticide if the |
strength or
purity is not within the standard of quality |
expressed on the labeling
under which it is sold, distributed |
or used, including any substance
which has been substituted |
wholly or in part for the pesticide as
specified on the |
labeling under which it is sold, distributed or used,
or if any |
valuable constituent of the pesticide has been wholly or in
|
part abstracted.
|
4. "Agricultural Commodity" means produce of the land |
including but
not limited to plants and plant parts, livestock |
and poultry and
livestock or poultry products, seeds, sod, |
shrubs and other products of
agricultural origin including the |
premises necessary to and used
directly in agricultural |
production.
Agricultural commodity also includes aquatic |
products as defined in the
Aquaculture Development Act.
|
5. "Animal" means all vertebrate and invertebrate species |
including,
but not limited to, man and other mammals, bird, |
fish, and shellfish.
|
6. "Beneficial Insects" means those insects which during |
their life
cycle are effective pollinators of plants, predators |
of pests or are
otherwise beneficial.
|
7. "Certified applicator".
|
|
A. "Certified applicator" means any individual who is |
certified
under this Act to purchase, use, or supervise the |
use of pesticides
which are classified for restricted use.
|
B. "Private applicator" means a certified applicator |
who purchases,
uses, or supervises the use of any pesticide |
classified for restricted
use, for the purpose of producing |
any agricultural commodity on property
owned, rented, or |
otherwise controlled by him or his employer, or
applied to |
other property if done without compensation other than
|
trading of personal services between no more than 2 |
producers of
agricultural commodities.
|
C. "Licensed Commercial Applicator" means a certified |
applicator,
whether or not he is a private applicator with |
respect to some uses, who
owns or manages a business that |
is engaged in applying pesticides,
whether classified for |
general or restricted use, for hire. The term
also applies |
to a certified applicator who uses or supervises the use of
|
pesticides, whether classified for general or restricted |
use, for any
purpose or on property of others excluding |
those specified by
subparagraphs 7 (B), (D), (E) of Section |
4 of this Act.
|
D. "Commercial Not For Hire Applicator" means a |
certified applicator
who uses or supervises the use of |
pesticides classified for general or
restricted use for any |
purpose on property of an employer when such
activity is a |
requirement of the terms of employment and such
application |
|
of pesticides under this certification is limited to
|
property under the control of the employer only and |
includes, but is not
limited to, the use or supervision of
|
the use of pesticides in a greenhouse setting.
|
E. "Licensed Public Applicator" means a certified |
applicator who uses
or supervises the use of pesticides |
classified for general or restricted
use as an employee of |
a state agency, municipality, or other duly
constituted |
governmental agency or unit.
|
8. "Defoliant" means any substance or combination of |
substances
which cause leaves or foliage to drop from a plant |
with or without
causing abscission.
|
9. "Desiccant" means any substance or combination of |
substances
intended for artificially accelerating the drying |
of plant tissue.
|
10. "Device" means any instrument or contrivance, other |
than a
firearm or equipment for application of pesticides when |
sold separately
from pesticides, which is intended for |
trapping, repelling, destroying,
or mitigating any pest, other |
than bacteria, virus, or other
microorganisms on or living in |
man or other living animals.
|
11. "Distribute" means offer or hold for sale, sell, |
barter, ship,
deliver for shipment, receive and then deliver, |
or offer to deliver
pesticides, within the State.
|
12. "Environment" includes water, air, land, and all plants |
and
animals including man, living therein and the |
|
interrelationships which
exist among these.
|
13. "Equipment" means any type of instruments and |
contrivances using
motorized, mechanical or pressure power |
which is used to apply any
pesticide, excluding pressurized |
hand-size household apparatus
containing dilute ready to apply |
pesticide or used to apply household
pesticides.
|
14. "FIFRA" means the "Federal Insecticide Fungicide |
Rodenticide
Act", as amended.
|
15. "Fungi" means any non-chlorophyll bearing |
thallophytes, any
non-chlorophyll bearing plant of a lower |
order than mosses or
liverworts, as for example rust, smut, |
mildew, mold, yeast and bacteria,
except those on or in living |
animals including man and those on or in
processed foods, |
beverages or pharmaceuticals.
|
16. "Household Substance" means any pesticide customarily |
produced
and distributed for use by individuals in or about the |
household.
|
17. "Imminent Hazard" means a situation which exists when |
continued
use of a pesticide would likely result in |
unreasonable adverse effect on
the environment or will involve |
unreasonable hazard to the survival of a
species declared |
endangered by the U.S. Secretary of the Interior or to
species |
declared to be protected by the Illinois Department of Natural
|
Resources.
|
18. "Inert Ingredient" means an ingredient which is not an |
active
ingredient.
|
|
19. "Ingredient Statement" means a statement of the name |
and
percentage of each active ingredient together with the |
total percentage
of inert ingredients in a pesticide and for |
pesticides containing
arsenic in any form, the ingredient |
statement shall include percentage
of total and water soluble |
arsenic, each calculated as elemental
arsenic. In the case of |
spray adjuvants the ingredient statement need
contain only the |
names of the functioning agents and the total percent
of those |
constituents ineffective as spray adjuvants.
|
20. "Insect" means any of the numerous small invertebrate |
animals
generally having the body more or less obviously |
segmented for the most
part belonging to the class Insects, |
comprised of six-legged, usually
winged forms, as for example |
beetles, caterpillars, and flies. This
definition encompasses |
other allied classes of arthropods whose members
are wingless |
and usually have more than 6 legs as for example spiders,
|
mites, ticks, centipedes, and millipedes.
|
21. "Label" means the written, printed or graphic matter on |
or
attached to the pesticide or device or any of its containers |
or
wrappings.
|
22. "Labeling" means the label and all other written, |
printed or
graphic matter: (a) on the pesticide or device or |
any of its containers
or wrappings, (b) accompanying the |
pesticide or device or referring to
it in any other media used |
to disseminate information to the public,
(c) to which |
reference is made to the pesticide or device except when
|
|
references are made to current official publications of the U. |
S.
Environmental Protection Agency, Departments of |
Agriculture, Health,
Education and Welfare or other Federal |
Government institutions, the
state experiment station or |
colleges of agriculture or other similar
state institution |
authorized to conduct research in the field of
pesticides.
|
23. "Land" means all land and water area including |
airspace, and all
plants, animals, structures, buildings, |
contrivances, and machinery
appurtenant thereto or situated |
thereon, fixed or mobile, including any
used for |
transportation.
|
24. "Licensed Operator" means a person employed to apply |
pesticides
to the lands of others under the direction of a |
"licensed commercial
applicator" or a "licensed public |
applicator" or a "licensed commercial
not-for-hire |
applicator".
|
25. "Nematode" means invertebrate animals of the phylum
|
nemathelminthes and class nematoda, also referred to as nemas |
or
eelworms, which are unsegmented roundworms with elongated |
fusiform or
sac-like bodies covered with cuticle and inhabiting |
soil, water, plants
or plant parts.
|
26. "Permit" means a written statement issued by the |
Director or his
authorized agent, authorizing certain acts of |
pesticide purchase or of
pesticide use or application on an a |
interim basis prior to normal
certification, registration, or |
licensing.
|
|
27. "Person" means any individual, partnership, |
association,
fiduciary, corporation, or any organized group of |
persons whether
incorporated or not.
|
28. "Pest" means (a) any insect, rodent, nematode, fungus, |
weed, or
(b) any other form of terrestrial or aquatic plant or |
animal life or
virus, bacteria, or other microorganism, |
excluding virus, bacteria, or
other microorganism on or in |
living animals including man, which the
Director declares to be |
a pest.
|
29. "Pesticide" means any substance or mixture of |
substances
intended for preventing, destroying, repelling, or |
mitigating any pest
or any substance or mixture of substances |
intended for use as a plant
regulator, defoliant or desiccant.
|
30. "Pesticide Dealer" means any person who distributes |
registered
pesticides to the user.
|
31. "Plant Regulator" means any substance or mixture of |
substances
intended through physiological action to affect the |
rate of growth or
maturation or otherwise alter the behavior of |
ornamental or crop plants
or the produce thereof. This does not |
include substances which are not
intended as plant nutrient |
trace elements, nutritional chemicals, plant
or seed |
inoculants or soil conditioners or amendments.
|
32. "Protect Health and Environment" means to guard against |
any
unreasonable adverse effects on the environment.
|
33. "Registrant" means person who has registered any |
pesticide
pursuant to the provision of FIFRA and this Act.
|
|
34. "Restricted Use Pesticide" means any pesticide with one |
or more
of its uses classified as restricted by order of the |
Administrator of
USEPA.
|
35. "SLN Registration" means registration of a pesticide |
for use
under conditions of special local need as defined by
|
FIFRA.
|
36. "State Restricted Pesticide Use" means any pesticide |
use which
the Director determines, subsequent to public |
hearing, that an
additional restriction for that use is needed |
to prevent unreasonable
adverse effects.
|
37. "Structural Pest" means any pests which attack and |
destroy
buildings and other structures or which attack |
clothing, stored food,
commodities stored at food |
manufacturing and processing facilities or
manufactured and |
processed goods.
|
38. "Unreasonable Adverse Effects on the Environment" |
means the
unreasonable risk to the environment, including man, |
from the use of any
pesticide, when taking into account accrued |
benefits of as well as the
economic, social, and environmental |
costs of its use.
|
39. "USEPA" means United States Environmental Protection |
Agency.
|
40. "Use inconsistent with the label" means to use a |
pesticide in
a manner not consistent with the label |
instruction, the definition
adopted in FIFRA as interpreted by |
USEPA shall apply in Illinois.
|
|
41. "Weed" means any plant growing in a place where it is |
not
wanted.
|
42. "Wildlife" means all living things, not human, |
domestic, or
pests.
|
43. "Bulk pesticide" means any registered pesticide which |
is
transported or held in an individual container in undivided |
quantities of
greater than 55 U.S. gallons liquid measure or |
100 pounds net dry weight.
|
44. "Bulk repackaging" means the transfer of a registered |
pesticide from
one bulk container (containing undivided |
quantities of greater than 100
U.S. gallons liquid measure or |
100 pounds net dry weight) to another bulk
container |
(containing undivided quantities of greater than 100 U.S. |
gallons
liquid measure or 100 pounds net dry weight) in an |
unaltered state in
preparation for sale or distribution to |
another person.
|
45. "Business" means any individual, partnership, |
corporation or
association engaged in a business operation for |
the purpose of
selling or distributing pesticides or providing |
the service of application
of pesticides in this State.
|
46. "Facility" means any building or structure and all real |
property
contiguous thereto, including all equipment fixed |
thereon used for the
operation of the business.
|
47. "Chemigation" means the application of a pesticide |
through the
systems or equipment employed for the primary |
purpose of irrigation of land and
crops.
|
|
48. "Use" means any activity covered by the pesticide label |
including
but not limited to application of pesticide, mixing |
and loading, storage of
pesticides or pesticide containers, |
disposal of pesticides and pesticide
containers and reentry |
into treated sites or areas.
|
(Source: P.A. 92-113, eff. 7-20-01; revised 11-14-13.)
|
Section 600. The Firearm Owners Identification Card Act is |
amended by changing Section 8 as follows:
|
(430 ILCS 65/8) (from Ch. 38, par. 83-8)
|
Sec. 8. Grounds for denial and revocation. The Department |
of State Police has authority to deny an
application for or to |
revoke and seize a Firearm Owner's Identification
Card |
previously issued under this Act only if the Department finds |
that the
applicant or the person to whom such card was issued |
is or was at the time
of issuance:
|
(a) A person under 21 years of age who has been |
convicted of a
misdemeanor other than a traffic offense or |
adjudged delinquent;
|
(b) A person under 21 years of age who does not have |
the written consent
of his parent or guardian to acquire |
and possess firearms and firearm
ammunition, or whose |
parent or guardian has revoked such written consent,
or |
where such parent or guardian does not qualify to have a |
Firearm Owner's
Identification Card;
|
|
(c) A person convicted of a felony under the laws of |
this or any other
jurisdiction;
|
(d) A person addicted to narcotics;
|
(e) A person who has been a patient of a mental health |
facility within the
past 5 years or a person who has been a |
patient in a mental health facility more than 5 years ago |
who has not received the certification required under |
subsection (u) of this Section. An active law enforcement |
officer employed by a unit of government who is denied, |
revoked, or has his or her Firearm Owner's Identification |
Card seized under this subsection (e) may obtain relief as |
described in subsection (c-5) of Section 10 of this Act if |
the officer did not act in a manner threatening to the |
officer, another person, or the public as determined by the |
treating clinical psychologist or physician, and the |
officer seeks mental health treatment;
|
(f) A person whose mental condition is of such a nature |
that it poses
a clear and present danger to the applicant, |
any other person or persons or
the community;
|
(g) A person who is intellectually disabled;
|
(h) A person who intentionally makes a false statement |
in the Firearm
Owner's Identification Card application;
|
(i) An alien who is unlawfully present in
the United |
States under the laws of the United States;
|
(i-5) An alien who has been admitted to the United |
States under a
non-immigrant visa (as that term is defined |
|
in Section 101(a)(26) of the
Immigration and Nationality |
Act (8 U.S.C. 1101(a)(26))), except that this
subsection |
(i-5) does not apply to any alien who has been lawfully |
admitted to
the United States under a non-immigrant visa if |
that alien is:
|
(1) admitted to the United States for lawful |
hunting or sporting purposes;
|
(2) an official representative of a foreign |
government who is:
|
(A) accredited to the United States Government |
or the Government's
mission to an international |
organization having its headquarters in the United
|
States; or
|
(B) en route to or from another country to |
which that alien is
accredited;
|
(3) an official of a foreign government or |
distinguished foreign visitor
who has been so |
designated by the Department of State;
|
(4) a foreign law enforcement officer of a friendly |
foreign government
entering the United States on |
official business; or
|
(5) one who has received a waiver from the Attorney |
General of the United
States pursuant to 18 U.S.C. |
922(y)(3);
|
(j) (Blank);
|
(k) A person who has been convicted within the past 5 |
|
years of battery,
assault, aggravated assault, violation |
of an order of protection, or a
substantially similar |
offense in another jurisdiction, in which a firearm was
|
used or possessed;
|
(l) A person who has been convicted of domestic |
battery, aggravated domestic battery, or a substantially
|
similar offense in another jurisdiction committed before, |
on or after January 1, 2012 (the effective date of Public |
Act 97-158). If the applicant or person who has been |
previously issued a Firearm Owner's Identification Card |
under this Act knowingly and intelligently waives the right |
to have an offense described in this paragraph (l) tried by |
a jury, and by guilty plea or otherwise, results in a |
conviction for an offense in which a domestic relationship |
is not a required element of the offense but in which a |
determination of the applicability of 18 U.S.C. 922(g)(9) |
is made under Section 112A-11.1 of the Code of Criminal |
Procedure of 1963, an entry by the court of a judgment of |
conviction for that offense shall be grounds for denying an |
application for and for revoking and seizing a Firearm |
Owner's Identification Card previously issued to the |
person under this Act;
|
(m) (Blank);
|
(n) A person who is prohibited from acquiring or |
possessing
firearms or firearm ammunition by any Illinois |
State statute or by federal
law;
|
|
(o) A minor subject to a petition filed under Section |
5-520 of the
Juvenile Court Act of 1987 alleging that the |
minor is a delinquent minor for
the commission of an |
offense that if committed by an adult would be a felony;
|
(p) An adult who had been adjudicated a delinquent |
minor under the Juvenile
Court Act of 1987 for the |
commission of an offense that if committed by an
adult |
would be a felony;
|
(q) A person who is not a resident of the State of |
Illinois, except as provided in subsection (a-10) of |
Section 4; |
(r) A person who has been adjudicated as a mentally |
disabled person; |
(s) A person who has been found to be developmentally |
disabled; |
(t) A person involuntarily admitted into a mental |
health facility; or |
(u) A person who has had his or her Firearm Owner's |
Identification Card revoked or denied under subsection (e) |
of this Section or item (iv) of paragraph (2) of subsection |
(a) of Section 4 of this Act because he or she was a |
patient in a mental health facility as provided in item (2) |
of subsection (e) of this Section, shall not be permitted |
to obtain a Firearm Owner's Identification Card, after the |
5-year 5 year period has lapsed, unless he or she has |
received a mental health evaluation by a physician, |
|
clinical psychologist, or qualified examiner as those |
terms are defined in the Mental Health and Developmental |
Disabilities Code, and has received a certification that he |
or she is not a clear and present danger to himself, |
herself, or others. The physician, clinical psychologist, |
or qualified examiner making the certification and his or |
her employer shall not be held criminally, civilly, or |
professionally liable for making or not making the |
certification required under this subsection, except for |
willful or wanton misconduct. This subsection does not |
apply to a person whose firearm possession rights have been |
restored through administrative or judicial action under |
Section 10 or 11 of this Act . ; or |
(v) Upon revocation of a person's Firearm Owner's |
Identification Card, the Department of State Police shall |
provide notice to the person and the person shall comply with |
Section 9.5 of this Act. |
(Source: P.A. 97-158, eff. 1-1-12; 97-227, eff. 1-1-12; 97-813, |
eff. 7-13-12; 97-1131, eff. 1-1-13; 97-1167, eff. 6-1-13; |
98-63, eff. 7-9-13; 98-508, eff. 8-19-13; revised 9-24-13.)
|
Section 605. The Firearm Concealed Carry Act is amended by |
changing Sections 25, 35, 50, and 70 as follows: |
(430 ILCS 66/25)
|
Sec. 25. Qualifications for a license. |
|
The Department shall issue a license to an applicant |
completing an application in accordance with Section 30 of this |
Act if the person: |
(1) is at least 21 years of age; |
(2) has a currently valid Firearm Owner's |
Identification Card and at the time of application meets |
the requirements for the issuance of a Firearm Owner's |
Identification Card and is not prohibited under the Firearm |
Owners Identification Card Act or federal law from |
possessing or receiving a firearm; |
(3) has not been convicted or found guilty in this |
State or in any other state of: |
(A) a misdemeanor involving the use or threat of |
physical force or violence to any person within the 5 |
years preceding the date of the license application; or |
(B) 2 or more violations related to driving while |
under the influence of alcohol, other drug or drugs, |
intoxicating compound or compounds, or any combination |
thereof, within the 5 years preceding the date of the |
license application; and |
(4) is not the subject of a pending arrest warrant, |
prosecution, or proceeding for an offense or action that |
could lead to disqualification to own or possess a firearm; |
(5) has not been in residential or court-ordered |
treatment for alcoholism, alcohol detoxification, or drug |
treatment within the 5 years immediately preceding the date |
|
of the license application; and |
(6) has completed firearms training and any education |
component required under Section 75 of this Act.
|
(Source: P.A. 98-63, eff. 7-9-13; revised 11-12-13.) |
(430 ILCS 66/35)
|
Sec. 35. Investigation of the applicant. |
The Department shall conduct a background check of the |
applicant to ensure compliance with the requirements of this |
Act and all federal, State, and local laws. The background |
check shall include a search of the following: |
(1) the National Instant Criminal Background Check |
System of the Federal Bureau of Investigation; |
(2) all available state and local criminal history |
record information files, including records of juvenile |
adjudications; |
(3) all available federal, state, and local records |
regarding wanted persons; |
(4) all available federal, state, and local records of |
domestic violence restraining and protective orders; |
(5) the files of the Department of Human Services |
relating to mental health and developmental disabilities; |
and
|
(6) all other available records of a federal, state, or |
local agency or other public entity in any jurisdiction |
likely to contain information relevant to whether the |
|
applicant is prohibited from purchasing, possessing, or |
carrying a firearm under federal, state, or local law. |
(7) Fingerprints collected under Section 30 shall be |
checked against the Department of State Police and Federal |
Bureau of Investigation criminal history record databases now |
and hereafter filed. The Department shall charge applicants a |
fee for conducting the criminal history records check, which |
shall be deposited in the State Police Services Fund and shall |
not exceed the actual cost of the records check.
|
(Source: P.A. 98-63, eff. 7-9-13; revised 11-12-13.) |
(430 ILCS 66/50)
|
Sec. 50. License renewal. Applications for renewal of a |
license shall be made to the Department. A license shall be |
renewed for a period of 5 years upon receipt of a completed |
renewal application, completion of 3 hours of training required |
under Section 75 of this Act Section , payment of the applicable |
renewal fee, and completion of an investigation under Section |
35 of this Act. The renewal application shall contain the |
information required in Section 30 of this Act, except that the |
applicant need not resubmit a full set of fingerprints.
|
(Source: P.A. 98-63, eff. 7-9-13; revised 11-12-13.) |
(430 ILCS 66/70)
|
Sec. 70. Violations. |
(a) A license issued or renewed under this Act shall be |
|
revoked if, at any time, the licensee is found to be ineligible |
for a license under this Act or the licensee no longer meets |
the eligibility requirements of the Firearm Owners |
Identification Card Act. |
(b) A license shall be suspended if an order of protection, |
including an emergency order of protection, plenary order of |
protection, or interim order of protection under Article 112A |
of the Code of Criminal Procedure of 1963 or under the Illinois |
Domestic Violence Act of 1986, is issued against a licensee for |
the duration of the order, or if the Department is made aware |
of a similar order issued against the licensee in any other |
jurisdiction. If an order of protection is issued against a |
licensee, the licensee shall surrender the license, as |
applicable, to the court at the time the order is entered or to |
the law enforcement agency or entity serving process at the |
time the licensee is served the order. The court, law |
enforcement agency, or entity responsible for serving the order |
of protection shall notify the Department within 7 days and |
transmit the license to the Department. |
(c) A license is invalid upon expiration of the license, |
unless the licensee has submitted an application to renew the |
license, and the applicant is otherwise eligible to possess a |
license under this Act. |
(d) A licensee shall not carry a concealed firearm while |
under the influence of alcohol, other drug or drugs, |
intoxicating compound or combination of compounds, or any |
|
combination thereof, under the standards set forth in |
subsection (a) of Section 11-501 of the Illinois Vehicle Code. |
A licensee in violation of this subsection (d) shall be |
guilty of a Class A misdemeanor for a first or second violation |
and a Class 4 felony for a third violation. The Department may |
suspend a license for up to 6 months for a second violation and |
shall permanently revoke a license for a third violation. |
(e) Except as otherwise provided, a licensee in violation |
of this Act shall be guilty of a Class B misdemeanor. A second |
or subsequent violation is a Class A misdemeanor. The |
Department may suspend a license for up to 6 months for a |
second violation and shall permanently revoke a license for 3 |
or more violations of Section 65 of this Act. Any person |
convicted of a violation under this Section shall pay a $150 |
fee to be deposited into the Mental Health Reporting Fund, plus |
any applicable court costs or fees. |
(f) A licensee convicted or found guilty of a violation of |
this Act who has a valid license and is otherwise eligible to |
carry a concealed firearm shall only be subject to the |
penalties under this Section and shall not be subject to the |
penalties under Section 21-6, paragraph (4), (8), or (10) of |
subsection (a) of Section 24-1, or subparagraph (A-5) or (B-5) |
of paragraph (3) of subsection (a) of Section 24-1.6 of the |
Criminal Code of 2012. Except as otherwise provided in this |
subsection, nothing in this subsection prohibits the licensee |
from being subjected to penalties for violations other than |
|
those specified in this Act. |
(g) A licensee whose license is revoked, suspended, or |
denied shall, within 48 hours of receiving notice of the |
revocation, suspension, or denial , surrender his or her |
concealed carry license to the local law enforcement agency |
where the person resides. The local law enforcement agency |
shall provide the licensee a receipt and transmit the concealed |
carry license to the Department of State Police. If the |
licensee whose concealed carry license has been revoked, |
suspended, or denied fails to comply with the requirements of |
this subsection, the law enforcement agency where the person |
resides may petition the circuit court to issue a warrant to |
search for and seize the concealed carry license in the |
possession and under the custody or control of the licensee |
whose concealed carry license has been revoked, suspended, or |
denied. The observation of a concealed carry license in the |
possession of a person whose license has been revoked, |
suspended, or denied constitutes a sufficient basis for the |
arrest of that person for violation of this subsection. A |
violation of this subsection is a Class A misdemeanor. |
(h) A license issued or renewed under this Act shall be |
revoked if, at any time, the licensee is found ineligible for a |
Firearm Owner's Identification Card, or the licensee no longer |
possesses a valid Firearm Owner's Identification Card. A |
licensee whose license is revoked under this subsection (h) |
shall surrender his or her concealed carry license as provided |
|
for in subsection (g) of this Section. |
This subsection shall not apply to a person who has filed |
an application with the State Police for renewal of a Firearm
|
Owner's Identification Card and who is not otherwise ineligible |
to obtain a Firearm Owner's Identification Card.
|
(Source: P.A. 98-63, eff. 7-9-13; revised 11-12-13.) |
Section 610. The Boiler and Pressure Vessel Safety Act is |
amended by changing Section 5 as follows:
|
(430 ILCS 75/5) (from Ch. 111 1/2, par. 3206)
|
Sec. 5. Exemptions.
|
(a) This Act shall not apply to the following boilers and |
pressure vessels:
|
(1) Boilers and pressure vessels under federal |
regulations, except for
boiler and pressure vessels in |
nuclear facilities subject to Section 2a, and
boilers and |
pressure vessels located in cities of more than 500,000
|
inhabitants.
|
(2) Pressure vessels used for transportation and |
storage of
compressed or liquefied gases when constructed |
in compliance with
specifications of the Department of |
Transportation and charged with
gas or liquid, marked, |
maintained, and periodically requalified for use,
as |
required by appropriate regulations of the Department of
|
Transportation.
|
|
(3) Pressure vessels located on vehicles operating |
under the rules of
other State authorities and used for |
carrying passengers or freight.
|
(4) Pressure vessels installed on the right of way of |
railroads and
used directly in the operation of trains.
|
(5) Boilers and pressure vessels under the inspection |
jurisdiction of the
Department of Natural Resources and |
located on mine
property.
|
(6) Boilers and pressure vessels located on farms and |
used solely for
agricultural purposes.
|
(7) Steam boilers of a miniature model locomotive, |
boat, tractor,
or stationary engine constructed and |
maintained as a hobby and not for
commercial use, that have |
an inside diameter not exceeding 12 inches and a
grate area |
not exceeding 1 1/2 square feet, provided they are |
constantly
attended while in operation and are equipped |
with a water level indicator,
pressure gauge, and a safety |
valve of adequate capacity.
|
(8) Pressure vessels regulated and inspected under the |
Illinois
Fertilizer Act of 1961.
|
(9) Pressure vessels containing liquefied liquified |
petroleum gas regulated under
the Liquefied Liquified |
Petroleum Gas Regulation Act.
|
(b) The following boilers and pressure vessels shall be |
exempt from
the requirements of Sections 10, 11, 12, and 13 of |
this Act:
|
|
(1) Steam boilers used for heating purposes and |
operated at a
pressure not in excess of 15 pounds per |
square inch gauge (psig)
and having a rating not in excess |
of 200,000 B.T.U. per hour input.
|
(2) Hot water heating boilers operated at a pressure |
not in excess of
30 psig and having a rating not in excess |
of 200,000 B.T.U. per hour.
|
(3) Boilers and pressure vessels, located in private |
residences or in
multi-family buildings having fewer than 6 |
dwelling units.
|
(4) Hot water supply boilers that are directly fired |
with oil, gas, or electricity when none of the following |
limitations are exceeded:
|
(A) Heat input of 200,000 BTU per hour.
|
(B) Water temperature of 200 degrees Fahrenheit.
|
(C) Nominal water containing capacity of 120 U.S. |
gallons.
|
(5) Coil type hot water boilers where the water can |
flash into steam when released directly to the atmosphere |
through a manually operated nozzle provided the following |
conditions are met:
|
(A) There is no drum, headers, or other steam |
space.
|
(B) No steam is generated within the coil.
|
(C) Outside diameter of tubing does not exceed 1 |
inch.
|
|
(D) Pipe size does not exceed 3/4 inch NPS.
|
(E) Water capacity of unit does not exceed 6 U.S. |
gallons.
|
(F) Water temperature does not exceed 350 degrees |
Fahrenheit.
|
(6) Pressure vessels containing only water under |
pressure for
domestic supply purposes, including those |
containing air, the compression
of which serves only a |
cushion or airlift pumping function.
|
(7) Pressure vessels operated at a pressure not |
exceeding 15 psig with no limitation on size.
|
(8) Pressure vessels that do not exceed:
|
(A) Both a volume of 15 cubic feet and 250 psig |
when not located in a place of public assembly.
|
(B) Both a volume of 5 cubic and 250 psig when |
located in a place of public assembly.
|
(C) A volume of 1 1/2 cubic feet or an inside |
diameter of 6 inches with no limitation on pressure.
|
(9) Water conditioning equipment used for the removal |
of minerals, chemicals, or organic or inorganic particles |
from water by means other than application of heat |
including, without limitation, water softeners, water |
filters, dealkalizers, and demineralizers.
|
(10) Steam boilers of railroad locomotives and |
traction engines built prior
to 1955 that were constructed |
or operated
in compliance with the Federal Locomotive |
|
Inspection Law and are in the
permanent collection of a |
museum or historical association are exempt
from the |
requirements of subsection (c) of Section 10 upon proof of
|
such construction or inspection being furnished to the |
Board.
|
(c) (Blank).
|
(Source: P.A. 94-748, eff. 5-8-06; revised 11-12-13.)
|
Section 615. The Carnival and Amusement Rides Safety Act is |
amended by changing Sections 2-8.1, 2-12, and 2-15 as follows: |
(430 ILCS 85/2-8.1) |
Sec. 2-8.1. Suspension and revocation of permit to operate. |
(a)
The Department shall have the power to suspend or |
revoke an owner's permit for any good cause under the meaning |
and purpose of this Act. If a person whose permit has been |
suspended or revoked, or whose application for a permit has |
been denied, believes that the violation or condition |
justifying suspension, revocation, or denial of the permit does |
not exist, the person may apply to the Department for |
reconsideration through a hearing within 10 working days after |
the Department's action. A hearing shall be scheduled, unless |
otherwise mutually agreed by the parties, within 48 hours after |
the request for hearing. |
(b) Service of notice of a hearing shall be made by |
personal service or certified mail to the address shown on the |
|
application for permit, or to any other address on file with |
the Department and reasonably believed to be the current |
address of the permit holder. |
(c) The written notice of a hearing shall specify the time, |
date, and location of the hearing and the reasons for the |
action proposed by the Department. |
(d) At the hearing, the Department shall have the burden of |
establishing good cause for its action. Good cause exists if |
the Department establishes that the permit holder has failed to |
comply with the requirements of a permit under this Act and its |
rules. |
(e) All hearings held under this Section shall comply with |
Article 10 of the Illinois Administrative Procedure Act and the |
Department's rules of procedure in administrative hearings, |
except that formal discovery, such as production requests, |
interrogatories, requests to admit, and depositions shall not |
be allowed. The parties shall exchange documents and witness |
lists prior to hearing and may request third party subpoenas to |
be issued. |
(f) The final determination by the Department of Labor |
shall be rendered within 5 working days after the conclusion of |
the hearing. |
(g) Final determinations made under this Section are |
subject to the Administrative Review Law.
|
(Source: P.A. 98-541, eff. 8-23-13; revised 11-14-13.)
|
|
(430 ILCS 85/2-12) (from Ch. 111 1/2, par. 4062)
|
Sec. 2-12. Order for cessation of operation of amusement |
ride or
attraction. |
(a) The Department of Labor
may order, in writing, a |
temporary and immediate cessation of operation of
any amusement |
ride or amusement attraction if it:
|
(1) has been determined
after
inspection to be |
hazardous or unsafe;
|
(2) is in operation before the Director
has issued a |
permit to operate such equipment; or
|
(3) the owner or operator is not in compliance with the |
insurance
requirements contained in
Section 2-14 of this |
Act and any rules or regulations adopted hereunder.
|
(b) Operation of the
amusement ride or
amusement attraction |
shall not resume until:
|
(1) the unsafe or hazardous
condition is corrected to |
the satisfaction of the Director or such inspector;
|
(2) the Director has issued a permit to operate such |
equipment; or
|
(3) the
owner or operator is in compliance with the |
insurance requirements contained in
Section 2-14 of this |
Act and any rules or regulations adopted hereunder, |
respectively. |
(c) The Department shall notify the owner or operator in |
writing of the grounds for the cessation of operation of the |
amusement ride or attraction and of the conditions in need of |
|
correction at the time the order for cessation is issued. |
(d) The owner or operator may appeal an order of cessation |
by filing a request for a hearing. The Department shall afford |
the owner or operator 10 working days after the date of the |
notice to request a hearing. Upon written request for hearing, |
the Department shall schedule a formal administrative hearing |
in compliance with Article 10 of the Illinois Administrative |
Procedure Act and pursuant to the provisions of the |
Department's rules of procedure in administrative hearings, |
except that formal discovery, such as production requests, |
interrogatories, requests to admit, and depositions will not be |
allowed. The parties shall exchange documents and witness lists |
prior to hearing and may request third party subpoenas to be |
issued. |
(e) The final determination by the Department of Labor |
shall be rendered within 5 working days after the conclusion of |
the hearing. |
(f) The provisions of the Administrative Review Law shall |
apply to and govern all proceedings for the judicial review of |
a final determination under this Section.
|
(Source: P.A. 98-541, eff. 8-23-13; revised 11-15-13.)
|
(430 ILCS 85/2-15) (from Ch. 111 1/2, par. 4065)
|
Sec. 2-15. Penalties. |
(a) Criminal penalties. |
1. Any person who operates an amusement ride or |
|
amusement attraction at
a carnival or fair without having |
obtained
a permit from the Department or who violates any |
order or rule issued by the Department
under this Act is |
guilty of a Class A misdemeanor. Each
day shall constitute |
a separate and distinct offense.
|
2. Any person who interferes with, impedes, or |
obstructs in any manner
the Director or any authorized |
representative of the Department
in the performance of |
their duties under this Act is guilty
of a Class A |
misdemeanor.
|
(b) Civil penalties. Unless otherwise provided in this Act, |
any person who operates an amusement ride or amusement |
attraction without having obtained a permit from the Department |
in violation of this Act is subject to a civil penalty not to |
exceed $2,500 per violation for a first violation and not to |
exceed $5,000 for a second or subsequent violation. |
Prior to any determination, or the imposition of any civil |
penalty, under this subsection (b), the Department shall notify |
the operator in writing of the alleged violation. The |
Department shall afford the operator 10 working days after the |
date of the notice to request a hearing. Upon written request |
of the operator, the Department shall schedule a formal |
administrative hearing in compliance with Article 10 of the |
Illinois Administrative Procedure Act and the Department's |
rules of procedure in administrative hearings, except that |
formal discovery, such as production requests, |
|
interrogatories, requests to admit, and depositions shall not |
be allowed. The parties shall exchange documents and witness |
lists prior to hearing and may request third party subpoenas to |
be issued. The final determination by the Department of Labor |
shall be rendered within 5 working days after the conclusion of |
the hearing. Final determinations made under this Section are |
subject to the provisions of the Administrative Review Law. In |
determining the amount of a penalty, the Director may consider |
the appropriateness of the penalty to the person or entity |
charged, upon determination of the gravity of the violation. |
The penalties, when finally determined, may be recovered in a |
civil action brought by the Director of Labor in any circuit |
court. In this litigation, the Director of Labor shall be |
represented by the Attorney General. |
(Source: P.A. 98-541, eff. 8-23-13; revised 11-15-13.)
|
Section 620. The Agricultural Production Contract Code is |
amended by changing Section 50 as follows:
|
(505 ILCS 17/50)
|
Sec. 50. Enforcement; offenses; remedies. The Attorney |
General is
primarily
responsible for enforcing this Act.
|
A violation of Section 20, 25, 30, or 35 is a business |
offense
under the Unified Code of Corrections punishable by a |
fine of not more than $10,000 per offense.
|
A producer may recover his or her actual damages for a |
|
contractor's violation
of
Section 40 or 45 of this Act.
|
(Source: P.A. 93-522, eff. 1-1-05; 93-815, eff. 1-1-05; revised |
11-14-13.)
|
Section 625. The Illinois AgriFIRST Program Act of 2001 is |
amended by changing Section 5 as follows:
|
(505 ILCS 19/5)
|
Sec. 5. Definitions. In this Act:
|
"Agribusiness" means any sole proprietorship, limited |
partnership,
co-partnership, joint venture,
corporation, or |
cooperative that operates or will operate a facility located
|
within the State of Illinois
that is related to the processing |
of agricultural commodities (including, but
not limited to, the |
products
of aquaculture, hydroponics, and silviculture) or the |
manufacturing,
production, or construction of
agricultural |
buildings, structures, equipment, implements, and supplies, or |
any
other facilities or
processes used in agricultural |
production. "Agribusiness" includes but is not
limited to the |
following:
|
(1) grain handling and processing, including grain |
storage, drying,
treatment, conditioning,
milling, and |
packaging;
|
(2) seed and feed grain development and processing;
|
(3) fruit and vegetable processing, including |
preparation, canning, and
packaging;
|
|
(4) processing of livestock and livestock products, |
dairy products,
poultry and poultry products,
fish or |
apiarian products, including slaughter, shearing, |
collecting,
preparation, canning, and
packaging;
|
(5) fertilizer and agricultural chemical |
manufacturing, processing,
application and supplying;
|
(6) farm machinery, equipment, and implement |
manufacturing and supplying;
|
(7) manufacturing and supplying of agricultural |
commodity processing
machinery and
equipment, including |
machinery and equipment used in slaughter, treatment,
|
handling, collecting,
preparation, canning, or packaging |
of agricultural commodities;
|
(8) farm building and farm structure manufacturing, |
construction, and
supplying;
|
(9) construction, manufacturing, implementation, |
supplying, or servicing
of irrigation, drainage,
and soil |
and water conservation devices or equipment;
|
(10) fuel processing and development facilities that |
produce fuel from
agricultural commodities
or by-products;
|
(11) facilities and equipment for processing and |
packaging agricultural
commodities
specifically for |
export;
|
(12) facilities and equipment for forestry product |
processing and
supplying, including
sawmilling operations, |
wood chip operations, timber harvesting operations, and
|
|
manufacturing of
prefabricated buildings, paper, |
furniture, or other goods from forestry
products; and
|
(13) facilities and equipment for research and |
development of products,
processes, and
equipment for the |
production, processing, preparation, or packaging of
|
agricultural commodities and
by-products.
|
"Agricultural facility" means land, any building or other |
improvement on or
to land, and any
personal properties deemed |
necessary or suitable for use, whether or not now in
existence, |
in farming,
ranching, the production of agricultural |
commodities (including, but not
limited to, the products of
|
aquaculture, hydroponics, and silviculture) or the treating, |
processing, or
storing of agricultural
commodities.
|
"Agricultural land" means land suitable for agriculture |
production.
|
"Asset" includes, but is not limited to, the following: |
cash crops or feed on
hand; livestock held for sale; breeding |
stock; marketable bonds
and securities; securities not readily |
marketable; accounts receivable; notes
receivable; cash |
invested in growing crops; net cash value of
life insurance; |
machinery and equipment; cars and trucks; farm and other real
|
estate including life estates and personal
residence; value of |
beneficial interest in trusts;
government payments or grants; |
and any other assets.
|
"Department" means the Department of Agriculture.
|
"Director" means the Director of Agriculture.
|
|
"Fund" means the Illinois AgriFIRST Program Fund.
|
"Grantee" means the person or entity to whom a grant is |
made to from the
Fund.
|
"Lender" means any federal or State chartered bank, federal |
land bank,
production credit
association, bank for |
cooperatives, federal or state chartered savings and loan
|
association or building
and loan association, small business |
investment company, or any other
institution qualified within |
this
State to originate and service loans, including, but not |
limited to, insurance
companies, credit unions,
and mortgage |
loan companies. "Lender" includes a wholly owned subsidiary of |
a
manufacturer, seller
or distributor of goods or services that |
makes loans to businesses or
individuals, commonly known as a
|
"captive finance company".
|
"Liability" includes, but is not limited to, the following: |
accounts payable;
notes or other indebtedness owed to any |
source; taxes; rent;
amounts owed on real estate contracts or |
real estate mortgages; judgments;
accrued interest payable; |
and any other liability.
|
"Person" means, unless limited to a natural person by the |
context in which it
is used, a person,
corporation, |
association, trust, partnership, limited partnership, joint
|
venture, or cooperative.
|
"State" means the State of Illinois.
|
"Value-added" means the processing, packaging, or |
otherwise enhancing
the value of farm and
agricultural products |
|
or by-products produced in Illinois.
|
(Source: P.A. 92-346, eff. 8-14-01; revised 9-24-13.)
|
Section 630. The Illinois Fertilizer Act of 1961 is amended |
by changing Sections 3, 4, 6, and 12 as follows:
|
(505 ILCS 80/3) (from Ch. 5, par. 55.3)
|
Sec. 3. Definitions of words and terms. When used in this |
Act unless the context otherwise requires:
|
"AAPFCO" means the Association of American Plant Food |
Control Officials. |
"Adulterated" shall apply to any fertilizer: |
(i) that contains any deleterious or harmful |
substance, defined under the provisions of this Act or its |
rules or regulations, in sufficient amount to render it |
injurious to beneficial plant life, animals, humans, |
aquatic life, soil, or water when applied in accordance |
with directions for use on the label; |
(ii) when its composition falls below or differs from |
that which it is purported to possess by its labeling; |
(iii) that contains unwanted crop seed or weed seed. |
"Anhydrous ammonia" means the compound formed by the |
combination of 2 gaseous elements, nitrogen and hydrogen, in |
the proportion of one part of nitrogen to 3 parts of hydrogen |
(NH 3 ) by volume. Anhydrous ammonia is a fertilizer of ammonia |
gas in compressed and liquified form. It is not aqueous ammonia |
|
which is a solution of ammonia gas in water and which is |
considered a low-pressure nitrogen solution. |
"Blender" means any entity or system engaged in the |
business of blending fertilizer. This includes both mobile and |
fixed equipment, excluding application equipment, used to |
achieve this function. |
"Blending" means the physical mixing or combining of: one |
or more fertilizer materials and one or more filler materials; |
2 or more fertilizer materials; 2 or more fertilizer materials |
and filler materials, including mixing through the |
simultaneous or sequential application of any of the outlined |
combinations listed in this definition, to produce a uniform |
mixture. |
"Brand" means a term, design, or trademark used in |
connection with one or several grades of fertilizers. |
"Bulk" means any fertilizer distributed in a single |
container greater than 100 pounds. |
"Consumer or end user" means the final purchaser prior to |
application. |
"Custom blend" means a fertilizer blended according to |
specifications provided to a blender in a soil test nutrient |
recommendation or to meet the specific consumer request prior |
to blending.
|
"Custom blender" means any entity who produces and sells
|
custom blended fertilizers.
|
"Deficiency" means the amount of nutrient found by analysis |
|
less than that guaranteed that may result from a lack of |
nutrient ingredients or from lack of uniformity. |
"Department" means the Illinois Department of Agriculture. |
"Department rules or regulations" means any rule or |
regulation implemented by the Department as authorized under |
Section 14 of this Act. |
"Director" means the Director of Agriculture or a duly |
authorized representative. |
"Distribute" means to import, consign, manufacture, |
produce, store, transport, custom blend, compound, or blend |
fertilizer or to transfer from one container to another for the |
purpose of selling, giving away, bartering, or otherwise |
supplying fertilizer in this State. |
"Distributor" means any entity that who distributes |
fertilizer. |
"Entity" means any individual, partnership, association, |
firm, or corporation. |
"Fertilizer" means any substance containing one or more of |
the recognized plant nutrient nitrogen, phosphate, potash, or |
those defined under 8 Ill. Adm. Code 210.20 that is used for |
its plant nutrient content and that is designed for use or |
claimed to have value in promoting plant growth, except |
unmanipulated animal and vegetable manures, sea solids, marl, |
lime, limestone, wood ashes, and other products exempted by |
regulation by the Director. |
"Fertilizer material" means a fertilizer that either: |
|
(A) contains important quantities of no more than one |
of the primary plant nutrients: nitrogen (N), phosphate |
(P 2 O 5 ), and potash (K 2 O); |
(B) has 85% or more of its plant nutrient content |
present in the form of a single chemical compound; or |
(C) is derived from a plant or animal residue or |
by-product or natural material deposit that has been |
processed in such a way that its content of plant nutrients |
has not been materially changed except by purification and |
concentration.
|
"Grade" means the minimum percentage of total nitrogen,
|
available phosphate (P 2 O 5 ) , and soluble potash (K 2 O) stated in |
the whole numbers in the same terms, order, and percentages as |
in the guaranteed analysis, provided that specialty |
fertilizers may be guaranteed in fractional units of less than |
1% of total nitrogen, available phosphate, and soluble potash |
and that fertilizer materials, bone meal, manures, and similar |
materials may be guaranteed in fractional units.
|
"Guaranteed analysis" means the minimum percentages of |
plant nutrients claimed in the following order and form: |
A. Total Nitrogen (N) ...............................% |
Available Phosphate (P 2 O 5 ) .......................% |
Soluble Potash (K 2 O) .............................% |
B. For unacidulated mineral phosphatic materials and |
basic slag, both total and available phosphate and the |
degree of fineness. For bone, tankage, and other organic |
|
phosphatic materials, total phosphate. |
C. Guarantees for plant nutrients other than nitrogen, |
phosphate, and potash may be permitted or required by |
regulation by the Director. The guarantees for such other |
nutrients shall be expressed in the form of the element. |
"Investigational allowance" means an allowance for |
variations inherent in the taking, preparation, and analysis of |
an official sample of fertilizer. |
"Label" means the display of all written, printed, or |
graphic matter upon the immediate container or a statement |
accompanying a fertilizer. |
"Labeling" means all (i) written, printed, or graphic |
matter upon or accompanying any fertilizer or (ii) |
advertisements, Internet, brochures, posters, and television |
and radio announcements used in promoting the sale of |
fertilizer. |
"Lot" means an identifiable quantity of fertilizer that can |
be sampled according to AOAC International procedures, such as |
the amount contained in a single vehicle, the amount delivered |
under a single invoice, or in the case of bagged fertilizer, |
not more than 25 tons.
|
"Low-pressure nitrogen solution" means a solution |
containing
2 per cent or more by weight of free ammonia and/or |
having vapor pressure
of 5 pounds or more per square inch gauge |
at 104 degrees Fahrenheit 104° F .
|
"Misbranded" shall apply to any fertilizer: |
|
(i) with labeling that is false or misleading in any |
particular; |
(ii) that is distributed under the name of another |
fertilizer product; |
(iii) that is not labeled as required by this Act or |
its rules; or |
(iv) that which purports to be or is represented as a |
fertilizer, or is represented as containing a plant |
nutrient or fertilizer unless such plant nutrient or |
fertilizer conforms to the definition of identity, if any, |
prescribed by regulation. |
"Mixed fertilizer" means any combination or mixture of |
fertilizer materials designed for use or claimed to have value |
in promoting plant growth. |
"NREC" means the Nutrient Research and Education Council. |
"Official sample" means any sample of fertilizer taken by |
the Director or his or her agent and designated as official by |
the Director. |
"Per cent" or "percentage" means the percentage by
weight. |
"Registrant" means the entity that who registers
|
fertilizer and obtains a license under the provisions of this |
Act. |
"Specialty fertilizer" means a fertilizer distributed |
primarily for nonfarm use, such as home gardens, lawns, |
shrubbery, flowers, golf courses, municipal parks, cemeteries, |
green houses and nurseries, and may include fertilizer used for |
|
research or experimental purposes. |
"Ton" means a net weight of 2,000 pounds avoirdupois. |
"Unit" means 20 pounds or 1% of a ton of plant nutrient.
|
(Source: P.A. 97-960, eff. 8-15-12; revised 11-18-13.)
|
(505 ILCS 80/4) (from Ch. 5, par. 55.4)
|
Sec. 4. License and product registration.
|
(a) Each brand and grade of fertilizer shall be registered |
by the entity whose name appears upon the label
before being |
distributed in this State. The application for registration
|
shall be submitted with a label or facsimile of same to the |
Director on
forms furnished by the Director, and shall be |
accompanied by a fee of $20 per
grade within a brand. Upon |
approval by the Director a copy of the
registration shall be |
furnished to the applicant. All registrations expire
on |
December 31 of each year.
|
The application shall include the following information:
|
(1) The net weight
|
(2) The brand and grade
|
(3) The guaranteed analysis
|
(4) The name and address of the registrant.
|
(a-5) No entity whose name appears on the label shall |
distribute a fertilizer in the State unless the entity has |
secured a license under this Act on forms provided by the |
Director. The license application shall be accompanied by a fee |
of $100. Entities that who store anhydrous ammonia as a |
|
fertilizer, store bulk fertilizer, or custom blend a fertilizer |
at more than one site under the same entity's name shall list |
any and all additional sites with a complete address for each |
site and remit a license fee of $50 for each site identified. |
Entities performing lawn care applications for hire are exempt |
from obtaining a license under this Act. All licenses expire on |
December 31 of each year. |
(b) A distributor shall not be required to register any |
brand of
fertilizer or a custom blend which is already |
registered under this
Act by another entity.
|
(c) The plant nutrient content of each and every fertilizer
|
must remain uniform for the period of registration and, in no |
case, shall
the percentage of any guaranteed plant nutrient |
element be changed in such
a manner that the crop-producing |
quality of the fertilizer is
lowered.
|
(d) (Blank).
|
(e) A custom blend , as defined in Section 3, prepared for |
one consumer or end user
shall not be co-mingled with the |
custom blended fertilizer prepared for
another consumer or end |
user.
|
(f) All fees collected pursuant to this Section shall be |
paid to the Fertilizer Control Fund for activities related to |
the administration and enforcement of this Act.
|
(Source: P.A. 97-960, eff. 8-15-12; revised 11-18-13.)
|
(505 ILCS 80/6) (from Ch. 5, par. 55.6)
|
|
Sec. 6. Inspection fees.
|
(a) There shall be paid to the Director for all fertilizers
|
distributed in this State an inspection fee at the rate of
25¢ |
per ton with a minimum inspection fee of $15. Sales or |
exchanges between registrants are
hereby
exempted from the |
inspection fee.
|
On individual packages of
fertilizers containing 5 pounds |
or less, or if in liquid form containers of
4,000 cubic |
centimeters or less, there shall be paid instead of the
25¢ per |
ton inspection fee, an annual inspection fee of $50 for
each
|
grade within a brand sold or distributed. Where an entity sells |
fertilizers in packages of 5 pounds or less, or
4,000 cubic |
centimeters or less if in liquid form, and also sells in larger
|
packages than 5 pounds or liquid containers larger than 4,000 |
cubic
centimeters, this annual inspection fee of $50 applies |
only to that portion
sold in packages of 5 pounds or less or |
4,000 cubic centimeters or less,
and that portion sold in |
larger packages or containers shall be subject to
the same |
inspection fee of 25¢ per ton as provided in this Act.
|
(b) Every entity that who distributes a fertilizer, custom |
blend, or speciality fertilizer
in this State shall file with |
the Director, on forms furnished by the
Director, a semi-annual |
statement for the periods ending June 30 and
December 31, |
setting forth the number of net tons of each grade of
|
fertilizers within a brand or the net tons of custom blend
|
distributed. The report shall be due on or before the 30th day |
|
of the month
following the close of each semi-annual period and |
upon the statement
shall pay the inspection fee at the rate |
stated in paragraph (a) of this
Section.
|
If the tonnage report is not filed and the payment of |
inspection fee is
not made within 30 days after the end of the |
semi-annual period, a
collection fee amounting to 15% (minimum |
$15) of the amount shall be
assessed against the registrant. |
The amount of fees due shall
constitute a debt and become the |
basis of a judgment against the
registrant. Upon the written |
request to the Director additional time may be
granted past the |
normal date of filing the semi-annual statement.
|
(c) When more than one entity is involved in the |
distribution of a
fertilizer, the last registrant who |
distributes to the consumer or end user end-user is responsible |
for reporting the
tonnage and paying the inspection fee.
|
(d) All fees collected under this Section shall be paid to |
the Fertilizer Control Fund for activities related to the |
administration and enforcement of this Act. |
(Source: P.A. 97-960, eff. 8-15-12; revised 11-18-13.)
|
(505 ILCS 80/12) (from Ch. 5, par. 55.12)
|
Sec. 12. Tonnage reports; records. |
(a) Any entity distributing fertilizer to a consumer or end |
user end-user in this State shall provide the Director with a |
summary report on or before the 10th day of each month covering |
the shipments made during the preceding month of tonnage on a |
|
form, provided by the Director, for that purpose.
|
Specialty fertilizer sold in packages weighing 5
pounds or |
less or in container of 4000 cubic centimeters or less , shall
|
be reported but no inspection fee will be charged. No |
information
furnished under this Section shall be disclosed by |
the Department in
such a way as to divulge the operation of any |
entity.
|
(b) Each entity location engaged in the sale of ammonium |
nitrate shall obtain the following information upon its |
distribution:
|
(1) the date of distribution;
|
(2) the quantity purchased;
|
(3) the license number of the purchaser's valid State |
or federal driver's license, or an equivalent number taken |
from another form of picture identification approved for |
purchaser identification by the Director; and
|
(4) the purchaser's name, current physical address, |
and telephone number.
|
Any retailer of ammonium nitrate may refuse to sell |
ammonium nitrate to any person attempting to purchase ammonium |
nitrate (i) out of season, (ii) in unusual quantities, or (iii) |
under suspect purchase patterns.
|
(c) Records created under subsection (b) of this Section |
shall be maintained for a minimum of 2 years. Such records |
shall be available for inspection, copying, and audit by the |
Department as provided under this Act.
|
|
(Source: P.A. 97-960, eff. 8-15-12; revised 11-18-13.)
|
Section 635. The Animal Control Act is amended by changing |
Section 2 as follows:
|
(510 ILCS 5/2) (from Ch. 8, par. 352)
|
Sec. 2.
As used in this Act, unless the context otherwise |
requires, the terms
specified in the Sections following this |
Section and preceding Section 3 Sections 2.01 through 2.19 have |
the meanings ascribed to them
in those Sections.
|
(Source: P.A. 78-795; revised 11-18-13.)
|
Section 640. The Bees and Apiaries Act is amended by |
changing Section 2-1 as follows:
|
(510 ILCS 20/2-1)
|
Sec. 2-1. Nuisances. All bees, colonies, or items of bee |
equipment, where
bee diseases, bee parasites or exotic strains |
of bees exist; or hives that
cannot be readily inspected; or |
colonies that are not registered, are declared
to be nuisances |
to be regulated as prescribed by the Department.
|
If the Department finds by inspection that any person is |
maintaining a
nuisance as described in this Section, it shall |
proceed to regulate the
nuisance by methods or procedures |
deemed necessary for control in accordance
with rules and |
regulations of the Department.
|
|
If the owner or beekeeper cannot be found or will not |
consent to the terms
for regulation of the nuisance, the |
Department shall notify in writing the
owner or beekeeper, |
disclose the fact that a nuisance exists, exits and prescribe
|
the method by which the nuisance may be abated. The notice |
declaring that a
nuisance exists and ordering its abatement |
shall include:
|
(1) a statement of conditions constituting the |
nuisance;
|
(2) establishment of the time period within which the |
nuisance is to be
abated;
|
(3) directions, written or printed, pointing out the |
methods that shall be
employed to abate the nuisance;
|
(4) a statement of the consequences should the owner or |
beekeeper fail to
comply.
|
The notice may be served personally or by certified mail |
with a return
receipt requested. The directions for abatement |
of a nuisance may consist of
a printed circular, bulletin or |
report of the Department, the United States
Department of |
Agriculture or others, or an extract from such document.
|
If the person so notified refuses or fails to abate the |
nuisance in the
manner and in the time prescribed in the |
notice, the Department may cause the
nuisance to be abated. The |
Department shall certify, to the owner or
beekeeper, the cost |
of the abatement. The owner or beekeeper shall pay to the
|
Department any costs of that action, within 60 days after |
|
certification that
the nuisance has been abated. If the costs |
of abatement are not remitted, the
Department may recover the |
costs before any court in the State having competent
|
jurisdiction.
|
(Source: P.A. 88-138; revised 11-19-13.)
|
Section 645. The Wildlife Code is amended by changing |
Sections 1.2 and 2.33 as follows:
|
(520 ILCS 5/1.2) (from Ch. 61, par. 1.2)
|
Sec. 1.2.
This Act shall be administered by and under the |
direction
of the Department of Natural Resources. As used in |
this
Act, unless the context otherwise requires, the terms |
specified in the Sections following this Section and preceding |
Section 1.3 Sections
1.2a through 1.2t have the meanings |
ascribed to them in those Sections.
|
(Source: P.A. 89-445, eff. 2-7-96; revised 11-19-13.)
|
(520 ILCS 5/2.33) (from Ch. 61, par. 2.33)
|
Sec. 2.33. Prohibitions.
|
(a) It is unlawful to carry or possess any gun in any
State |
refuge unless otherwise permitted by administrative rule.
|
(b) It is unlawful to use or possess any snare or |
snare-like device,
deadfall, net, or pit trap to take any |
species, except that snares not
powered by springs or other |
mechanical devices may be used to trap
fur-bearing mammals, in |
|
water sets only, if at least one-half of the snare
noose is |
located underwater at all times.
|
(c) It is unlawful for any person at any time to take a |
wild mammal
protected by this Act from its den by means of any |
mechanical device,
spade, or digging device or to use smoke or |
other gases to dislodge or
remove such mammal except as |
provided in Section 2.37.
|
(d) It is unlawful to use a ferret or any other small |
mammal which is
used in the same or similar manner for which |
ferrets are used for the
purpose of frightening or driving any |
mammals from their dens or hiding places.
|
(e) (Blank).
|
(f) It is unlawful to use spears, gigs, hooks or any like |
device to
take any species protected by this Act.
|
(g) It is unlawful to use poisons, chemicals or explosives |
for the
purpose of taking any species protected by this Act.
|
(h) It is unlawful to hunt adjacent to or near any peat, |
grass,
brush or other inflammable substance when it is burning.
|
(i) It is unlawful to take, pursue or intentionally harass |
or disturb
in any manner any wild birds or mammals by use or |
aid of any vehicle or
conveyance, except as permitted by the |
Code of Federal Regulations for the
taking of waterfowl. It is |
also unlawful to use the lights of any vehicle
or conveyance or |
any light from or any light connected to the
vehicle or |
conveyance in any area where wildlife may be found except in
|
accordance with Section 2.37 of this Act; however, nothing in |
|
this
Section shall prohibit the normal use of headlamps for the |
purpose of driving
upon a roadway. Striped skunk, opossum, red |
fox, gray
fox, raccoon and coyote may be taken during the open |
season by use of a small
light which is worn on the body or |
hand-held by a person on foot and not in any
vehicle.
|
(j) It is unlawful to use any shotgun larger than 10 gauge |
while
taking or attempting to take any of the species protected |
by this Act.
|
(k) It is unlawful to use or possess in the field any |
shotgun shell loaded
with a shot size larger than lead BB or |
steel T (.20 diameter) when taking or
attempting to take any |
species of wild game mammals (excluding white-tailed
deer), |
wild game birds, migratory waterfowl or migratory game birds |
protected
by this Act, except white-tailed deer as provided for |
in Section 2.26 and other
species as provided for by subsection |
(l) or administrative rule.
|
(l) It is unlawful to take any species of wild game, except
|
white-tailed deer and fur-bearing mammals, with a shotgun |
loaded with slugs unless otherwise
provided for by |
administrative rule.
|
(m) It is unlawful to use any shotgun capable of holding |
more than 3
shells in the magazine or chamber combined, except |
on game breeding and
hunting preserve areas licensed under |
Section 3.27 and except as permitted by
the Code of Federal |
Regulations for the taking of waterfowl. If the shotgun
is |
capable of holding more than 3 shells, it shall, while being |
|
used on an
area other than a game breeding and shooting |
preserve area licensed
pursuant to Section 3.27, be fitted with |
a one piece plug that is
irremovable without dismantling the |
shotgun or otherwise altered to
render it incapable of holding |
more than 3 shells in the magazine and
chamber, combined.
|
(n) It is unlawful for any person, except persons who |
possess a permit to
hunt from a vehicle as provided in this |
Section and persons otherwise permitted
by law, to have or |
carry any gun in or on any vehicle, conveyance or aircraft,
|
unless such gun is unloaded and enclosed in a case, except that |
at field trials
authorized by Section 2.34 of this Act, |
unloaded guns or guns loaded with blank
cartridges only, may be |
carried on horseback while not contained in a case, or
to have |
or carry any bow or arrow device in or on any vehicle unless |
such bow
or arrow device is unstrung or enclosed in a case, or |
otherwise made
inoperable.
|
(o) It is unlawful to use any crossbow for the purpose of |
taking any
wild birds or mammals, except as provided for in |
Section 2.5.
|
(p) It is unlawful to take game birds, migratory game birds |
or
migratory waterfowl with a rifle, pistol, revolver or |
airgun.
|
(q) It is unlawful to fire a rifle, pistol, revolver or |
airgun on,
over or into any waters of this State, including |
frozen waters.
|
(r) It is unlawful to discharge any gun or bow and arrow |
|
device
along, upon, across, or from any public right-of-way or |
highway in this State.
|
(s) It is unlawful to use a silencer or other device to |
muffle or
mute the sound of the explosion or report resulting |
from the firing of
any gun.
|
(t) It is unlawful for any person to take or attempt to |
take any species of wildlife or parts thereof, intentionally or |
wantonly allow a dog to
hunt, within or upon the land of |
another, or upon waters flowing over or
standing on the land of |
another, or to knowingly shoot a gun or bow and arrow device at |
any wildlife physically on or flying over the property of |
another without first obtaining permission from
the owner or |
the owner's designee. For the purposes of this Section, the |
owner's designee means anyone who the owner designates in a |
written authorization and the authorization must contain (i) |
the legal or common description of property for such authority |
is given, (ii) the extent that the owner's designee is |
authorized to make decisions regarding who is allowed to take |
or attempt to take any species of wildlife or parts thereof, |
and (iii) the owner's notarized signature. Before enforcing |
this
Section the law enforcement officer must have received |
notice from the
owner or the owner's designee of a violation of |
this Section. Statements made to the
law enforcement officer |
regarding this notice shall not be rendered
inadmissible by the |
hearsay rule when offered for the purpose of showing the
|
required notice.
|
|
(u) It is unlawful for any person to discharge any firearm |
for the purpose
of taking any of the species protected by this |
Act, or hunt with gun or
dog, or intentionally or wantonly |
allow a dog to hunt, within 300 yards of an inhabited dwelling |
without
first obtaining permission from the owner or tenant, |
except that while
trapping, hunting with bow and arrow, hunting |
with dog and shotgun using shot
shells only, or hunting with |
shotgun using shot shells only, or
on licensed game breeding |
and hunting preserve areas, as defined in Section
3.27, on |
property operated under a Migratory Waterfowl Hunting Area |
Permit, on
federally owned and managed lands and on Department |
owned, managed, leased or
controlled lands, a 100 yard |
restriction shall apply.
|
(v) It is unlawful for any person to remove fur-bearing |
mammals from, or
to move or disturb in any manner, the traps |
owned by another person without
written authorization of the |
owner to do so.
|
(w) It is unlawful for any owner of a dog to knowingly or |
wantonly allow
his or her dog to pursue, harass or kill deer, |
except that nothing in this Section shall prohibit the tracking |
of wounded deer with a dog in accordance with the provisions of |
Section 2.26 of this Code.
|
(x) It is unlawful for any person to wantonly or carelessly |
injure
or destroy, in any manner whatsoever, any real or |
personal property on
the land of another while engaged in |
hunting or trapping thereon.
|
|
(y) It is unlawful to hunt wild game protected by this Act |
between one
half hour after sunset and one half hour before |
sunrise, except that
hunting hours between one half hour after |
sunset and one half hour
before sunrise may be established by |
administrative rule for fur-bearing
mammals.
|
(z) It is unlawful to take any game bird (excluding wild |
turkeys and
crippled pheasants not capable of normal flight and |
otherwise irretrievable)
protected by this Act when not flying. |
Nothing in this Section shall prohibit
a person from carrying |
an uncased, unloaded shotgun in a boat, while in pursuit
of a |
crippled migratory waterfowl that is incapable of normal |
flight, for the
purpose of attempting to reduce the migratory |
waterfowl to possession, provided
that the attempt is made |
immediately upon downing the migratory waterfowl and
is done |
within 400 yards of the blind from which the migratory |
waterfowl was
downed. This exception shall apply only to |
migratory game birds that are not
capable of normal flight. |
Migratory waterfowl that are crippled may be taken
only with a |
shotgun as regulated by subsection (j) of this Section using
|
shotgun shells as regulated in subsection (k) of this Section.
|
(aa) It is unlawful to use or possess any device that may |
be used for
tree climbing or cutting, while hunting fur-bearing |
mammals, excluding coyotes.
|
(bb) It is unlawful for any person, except licensed game |
breeders,
pursuant to Section 2.29 to import, carry into, or |
possess alive in this
State any species of wildlife taken |
|
outside of this State, without
obtaining permission to do so |
from the Director.
|
(cc) It is unlawful for any person to have in his or her
|
possession any freshly killed species protected by this Act |
during the season
closed for taking.
|
(dd) It is unlawful to take any species protected by this |
Act and retain
it alive except as provided by administrative |
rule.
|
(ee) It is unlawful to possess any rifle while in the field |
during gun
deer season except as provided in Section 2.26 and |
administrative rules.
|
(ff) It is unlawful for any person to take any species |
protected by
this Act, except migratory waterfowl, during the |
gun deer hunting season in
those counties open to gun deer |
hunting, unless he or she wears, when in
the field, a cap and |
upper outer garment of a solid blaze orange color, with
such |
articles of clothing displaying a minimum of 400 square inches |
of
blaze orange material.
|
(gg) It is unlawful during the upland game season for any |
person to take
upland game with a firearm unless he or she |
wears, while in the field, a
cap of solid blaze orange color. |
For purposes of this Act, upland game is
defined as Bobwhite |
Quail, Hungarian Partridge, Ring-necked Pheasant, Eastern
|
Cottontail and Swamp Rabbit.
|
(hh) It shall be unlawful to kill or cripple any species |
protected by
this Act for which there is a bag limit without |
|
making a reasonable
effort to retrieve such species and include |
such in the bag limit. It shall be unlawful for any person |
having control over harvested game mammals, game birds, or |
migratory game birds for which there is a bag limit to wantonly |
waste or destroy the usable meat of the game, except this shall |
not apply to wildlife taken under Sections 2.37 or 3.22 of this |
Code. For purposes of this subsection, "usable meat" means the |
breast meat of a game bird or migratory game bird and the hind |
ham and front shoulders of a game mammal. It shall be unlawful |
for any person to place, leave, dump, or abandon a wildlife |
carcass or parts of it along or upon a public right-of-way or |
highway or on public or private property, including a waterway |
or stream, without the permission of the owner or tenant. It |
shall not be unlawful to discard game meat that is determined |
to be unfit for human consumption.
|
(ii) This Section shall apply only to those species |
protected by this
Act taken within the State. Any species or |
any parts thereof, legally taken
in and transported from other |
states or countries, may be possessed
within the State, except |
as provided in this Section and Sections 2.35, 2.36
and 3.21.
|
(jj) (Blank).
|
(kk) Nothing contained in this Section shall prohibit the |
Director
from issuing permits to paraplegics or to other |
disabled persons who meet the
requirements set forth in |
administrative rule to shoot or hunt from a vehicle
as provided |
by that rule, provided that such is otherwise in accord with |
|
this
Act.
|
(ll) Nothing contained in this Act shall prohibit the |
taking of aquatic
life protected by the Fish and Aquatic Life |
Code or birds and mammals
protected by this Act, except deer |
and fur-bearing mammals, from a boat not
camouflaged or |
disguised to alter its identity or to further provide a place
|
of concealment and not propelled by sail or mechanical power. |
However, only
shotguns not larger than 10 gauge nor smaller |
than .410 bore loaded with not
more than 3 shells of a shot |
size no larger than lead BB or steel T (.20
diameter) may be |
used to take species protected by this Act.
|
(mm) Nothing contained in this Act shall prohibit the use |
of a shotgun,
not larger than 10 gauge nor smaller than a 20 |
gauge, with a rifled barrel.
|
(nn) It shall be unlawful to possess any species of |
wildlife or wildlife parts taken unlawfully in Illinois, any |
other state, or any other country, whether or not the wildlife |
or wildlife parts is indigenous to Illinois. For the purposes |
of this subsection, the statute of limitations for unlawful |
possession of wildlife or wildlife parts shall not cease until |
2 years after the possession has permanently ended. |
(Source: P.A. 97-645, eff. 12-30-11; 97-907, eff. 8-7-12; |
98-119, eff. 1-1-14; 98-181, eff. 8-5-13; 98-183, eff. 1-1-14; |
98-290, eff. 8-9-13; revised 9-24-13.)
|
Section 650. The Open Space Lands Acquisition and |
|
Development Act is amended by changing Section 3 as follows:
|
(525 ILCS 35/3) (from Ch. 85, par. 2103)
|
Sec. 3. From appropriations made from the Capital |
Development Fund,
Build Illinois Bond Fund or other
available |
or designated funds for such
purposes, the Department shall |
make grants to local governments as
financial assistance for |
the capital
development and improvement of park, recreation or |
conservation
areas, marinas and shorelines, including planning |
and engineering costs, and for the
acquisition of open space |
lands, including
acquisition of easements and other property |
interests less than fee simple
ownership if the Department |
determines that such property
interests are sufficient to carry |
out the purposes of this Act, subject to
the conditions and |
limitations set forth in this Act.
|
No more than 10% of the amount so appropriated for any |
fiscal year may
be committed or expended on any one project |
described in an application
under this Act.
|
Any grant under this Act to a local government shall be |
conditioned upon
the state providing assistance on a 50/50 |
matching basis for the acquisition
of open space lands and for |
capital development
and improvement proposals. However, a |
local government defined as "distressed" under criteria |
adopted by the Department through administrative rule shall be |
eligible for assistance up to 90% for the acquisition
of open |
space lands and for capital development
and improvement |
|
proposals, provided that no more than 10% of the amount |
appropriated under this Act in any fiscal year is made |
available as grants to distressed local governments.
|
A minimum of 50% of any grant made to a unit of local |
government under this Act must be paid to the unit of local |
government at the time the Department awards the grant. The |
remainder of the grant shall be distributed to the local |
government quarterly on a reimbursement basis. |
(Source: P.A. 98-326, eff. 8-12-13; 98-520, eff. 8-23-13; |
revised 9-19-13.)
|
Section 655. The Illinois Highway Code is amended by |
renumbering Section 223 as follows: |
(605 ILCS 5/4-223) |
Sec. 4-223 223 . Electric vehicle charging stations. By |
January 1, 2016 or as soon thereafter as possible, the |
Department may provide for at least one electric vehicle |
charging station at each Interstate highway rest area where |
electrical service will reasonably permit and if these stations |
and charging user fees at these stations are allowed by federal |
regulations. |
The Department may adopt and publish specifications |
detailing the kind and type of electric vehicle charging |
station to be provided and may adopt rules governing the place |
of erection, user fees, and maintenance of electric vehicle |
|
charging stations.
|
(Source: P.A. 98-442, eff. 1-1-14; revised 9-17-13.) |
Section 660. The Illinois Aeronautics Act is amended by |
changing Section 43d as follows:
|
(620 ILCS 5/43d) (from Ch. 15 1/2, par. 22.43d)
|
Sec. 43d. Intoxicated persons in or about aircraft.
|
(a) No person shall:
|
(1) Operate or attempt to operate any aircraft in this |
State while under
the influence of intoxicating liquor or |
any narcotic drug or other
controlled substance.
|
(2) Knowingly permit any individual who is under the |
influence of
intoxicating liquor or any narcotic drug or |
other controlled substance to
operate any aircraft owned by |
the person or in his custody or control.
|
(3) Perform any act in connection with the maintenance |
or operation of
any aircraft when under the influence of |
intoxicating liquor or any
narcotic drug or other |
controlled substance, except medication prescribed
by a |
physician which will not render the person incapable of |
performing
his duties safely.
|
(4) (i) Consume alcoholic liquor within 8 hours prior |
to operating or
acting as a crew member of any aircraft |
within this State.
|
(ii) Act as a crew member of any aircraft within |
|
this State
while under the influence of alcohol
or when |
the alcohol concentration in the person's blood or |
breath is
0.04
or
more based on the definition of blood |
and breath units contained in Section
11-501.2 of the |
Illinois Vehicle Code.
|
(iii) Operate any aircraft within this
State
when |
the alcohol concentration in the person's blood or |
breath is 0.04 or
more based on the definition of blood |
and breath units contained in Section
11-501.2 of the |
Illinois Vehicle Code.
|
(iv) Operate or act as a crew member of any |
aircraft within this
State when there is any amount of |
a drug, substance, or compound in the
person's blood or |
urine resulting from the unlawful use or consumption of
|
cannabis as listed in the Cannabis Control Act or a |
controlled substance
as listed in the Illinois |
Controlled Substances Substance Act.
|
(5) Knowingly consume while a crew member of any |
aircraft
any intoxicating
liquor, narcotic drug, or other |
controlled substance while the aircraft is in
operation.
|
(b) Any person who violates clause (4)(i) of subsection (a) |
of this Section
is guilty
of a Class A misdemeanor.
A person |
who violates paragraph (2), (3), or (5) or clause (4)(ii) of
|
subsection (a) of this Section is guilty of a Class 4 felony. A |
person who
violates paragraph (1) or clause (4)(iii) or (4)(iv) |
of subsection (a) of this
Section is guilty of a Class 3 |
|
felony.
|
(Source: P.A. 92-517, eff. 6-1-02; revised 11-19-13.)
|
Section 665. The County Airport Law of 1943 is amended by |
changing Section 6 as follows:
|
(620 ILCS 45/6) (from Ch. 15 1/2, par. 89)
|
Sec. 6.
The directors shall, immediately after |
appointment, meet and
organize by the election of one of their |
number as president and one as
secretary, and by the election |
of such other officers as they may deem
necessary. They shall |
make and adopt such by-laws, rules and regulations
for their |
own guidance and for the government of the airport and landing
|
field, buildings, equipment and other facilities or activities |
and
institutions connected therewith as may be expedient, not |
inconsistent
with the "Illinois Aeronautics Act", as now or
|
hereafter amended or supplemented, or any rule, ruling, |
regulation,
order or decision of the Department of |
Transportation
of this State. They
shall have the exclusive |
control of the expenditure of all moneys
collected to the |
credit of the Airport Fund, and of the construction of
any |
airport, building, landing strips or other facilities |
connected
therewith, or auxiliary institutions or activities |
in connection
therewith, and of the supervision, care and |
custody of the grounds,
buildings and facilities constructed, |
leased, or set apart for that
purpose: Provided, that all |
|
moneys received for such airport with the
exception of moneys |
the title to which rests in the Board of Directors
in |
accordance with Section 9, shall be deposited in the treasury |
of the
county to the credit of the Airport fund and shall not |
be used for any
other purpose, and shall be drawn upon by the |
proper officers of the
county upon the properly authenticated |
vouchers of the Board of
Directors. The Board of Directors may |
purchase or lease ground within
the limits of such county, and |
occupy, lease or erect an appropriate
building or buildings for |
the use of the airport, auxiliary
institutions and activities |
connected therewith: Provided, however, that
no such building, |
landing strips or other facilities shall be
constructed or |
erected until detailed plans therefor shall have been
submitted |
to and approved by the Department of Transportation
of this
|
State. The Board of Directors may appoint suitable managers, |
assistants
and employees and fix their compensation by |
resolution duly adopted, and
may also remove such appointees, |
and shall carry out the spirit and
intent of this Act in |
establishing and maintaining an airport and
landing field.
|
The Board of Directors shall, in addition to the powers set |
forth in
this Act, specifically have the powers designated as |
follows:
|
1. To locate, establish and maintain an airport and airport
|
facilities within the area of its jurisdiction, and to develop, |
expand,
extend and improve any such airport or airport |
facility.
|
|
2. To acquire land, rights in and over land and easements |
upon, over
or across land, and leasehold interests in land, and |
tangible and
intangible personal property, used or useful for |
the location,
establishment, maintenance, development, |
expansion, extension or
improvement of any such airport or |
airport facility. Such acquisition
may be by dedication, |
purchase, gift, agreement, lease, or by user or
adverse |
possession or condemnation. In the determination of the
|
compensation to be paid in any condemnation proceeding under |
this
subsection involving property or facilities used in |
agriculture,
commerce, industry or trade there shall be |
included not only the value
of the property and facilities |
affected and the cost of any changes in
or relocation of such |
property and facilities but also compensation for
any loss |
occasioned in the operation thereof.
|
3. To operate, manage, lease, sublease, and to make and |
enter into
contracts for the use, operation or management of, |
and to provide rules
and regulations for the operation, |
management or use of any such airport
or airport facility.
|
4. To fix, charge and collect rentals, tolls, fees and |
charges for
the use of any such airport, or any part thereof, |
or any such airport
facility, and to grant privileges within |
any airport or structure
therein or any part thereof, and to |
charge and collect compensation for
such privileges and to |
lease any building or structure or any part
thereof to private |
or public concerns or corporations in connection with
the use |
|
and operation of such airport and to enter into contracts or
|
agreements permitting private or public concerns to erect and |
build
structures for airport purposes and purposes auxiliary |
thereto and
connected therewith, on such terms and conditions |
as the directors deem
expedient and in the public interest; |
provided, that no such structure
may be erected by any public |
or private concern or corporation pursuant
to such agreement |
until the plans and specifications therefor shall have
been |
submitted to and approved by the Department of Transportation |
of this State.
|
5. To establish, maintain, extend and improve roadways and
|
approaches by land, water or air to any such airport.
|
6. To contract or otherwise to provide by condemnation if |
necessary
for the removal or relocation of all private |
structures, railways,
mains, pipes, conduits, wires, poles and |
all other facilities and
equipment which may interfere with the |
location, expansion, development,
or improvement of airports |
or with the safe approach thereto or takeoff
therefrom by |
aircraft, and to assume any obligation and pay any expense
|
incidental to such removal or relocation.
|
7. Within territory two miles from any airport or landing |
field, as
measured at a right angle from any side, or in a |
radial line from the
corner of any established boundary line |
thereof, to enter into contracts
for a term of years or |
permanently with the owners of such land to
restrict the height |
of any structure upon the relationship of one foot
of height to |
|
each twenty feet of distance from the boundary line, upon
such |
terms and conditions and for the such consideration as the |
Board of
Directors deems equitable; and to adopt, administer |
and enforce airport
zoning regulations for and within the |
county and within any territory
which extends not more than 2 |
miles beyond the boundaries of any
Airport under the control of |
the Board of Directors.
|
8. To borrow money and to issue bonds, notes, certificates |
or other
evidences of indebtedness for the purpose of |
accomplishing any of the
corporate purposes, subject, however, |
to compliance with the conditions
or limitations of this Act or |
otherwise provided by the constitution or
laws of the State of |
Illinois.
|
9. To employ or enter into contracts for the employment of |
any
person, firm or corporation, and for professional services, |
necessary or
desirable for the accomplishment of the objects of |
the Board of
Directors or the proper administration, |
management, protection or
control of its property.
|
10. To police its property and to exercise police powers in |
respect
thereto or in respect to the enforcement of any rule or |
regulation
provided by the resolutions of the Board of |
Directors and to employ and
commission police officers and |
other qualified persons to enforce the
same.
|
Nothing in this section or in other provisions of this Act |
shall be
construed to authorize the Board of Directors to |
establish or enforce
any regulation or rule in respect to |
|
aviation or the operation or
maintenance of any airport or any |
airport facility within its
jurisdiction which is in conflict |
with any federal or state law or
regulation applicable to the |
same subject matter.
|
This section is subject to the "Illinois Aeronautics Act", |
as now
or hereafter amended or supplemented,
or any rule, |
ruling, regulation, order or decision of the Department of
|
Transportation of this State.
|
The Federal Government or any department or agency thereof, |
the State
of Illinois or any department or agency thereof, or |
any political
subdivision of the State of Illinois and any |
public or private aircraft
shall be permitted to use any |
airport facility subject to the regulation
and control of, and |
upon such terms and conditions as shall be
established by the |
Board of Directors.
|
(Source: P.A. 81-840; revised 11-19-13.)
|
Section 670. The Public-Private Agreements for the South |
Suburban Airport Act is amended by changing Section 2-35 as |
follows: |
(620 ILCS 75/2-35)
|
Sec. 2-35. Provisions of the public-private agreement. |
(a) The public-private agreement shall include all of the |
following: |
(1) the term of the public-private agreement that is |
|
consistent with Section 2-20 of this Act; |
(2) the powers, duties, responsibilities, obligations, |
and functions of the Department and the contractor; |
(3) compensation or payments to the Department; |
(4) compensation or payments to the contractor; |
(5) a provision specifying that the Department has: |
(A) ready access to information regarding the |
contractor's powers, duties, responsibilities, |
obligations, and functions under the public-private |
agreement; |
(B) the right to demand and receive information |
from the contractor concerning any aspect of the |
contractor's powers, duties, responsibilities, |
obligations, and functions under the public-private |
agreement; and |
(C) the authority to direct or countermand |
decisions by the contractor at any time; |
(6) a provision imposing an affirmative duty on the |
contractor to provide the Department with any information |
the Department reasonably would want to know or would need |
to know to enable the Department to exercise its powers, |
carry out its duties, responsibilities, and obligations, |
and perform its functions under this Act or the |
public-private agreement or as otherwise required by law; |
(7) a provision requiring the contractor to provide the |
Department with advance written notice of any decision that |
|
bears significantly on the public interest so the |
Department has a reasonable opportunity to evaluate and |
countermand that decision under this Section; |
(8) a requirement that the Department monitor and |
oversee the contractor's practices and take action that the |
Department considers appropriate to ensure that the |
contractor is in compliance with the terms of the |
public-private agreement; |
(9) the authority of the Department to enter into |
contracts with third parties pursuant to Section 2-65 of |
this Act; |
(10) a provision governing the contractor's authority |
to negotiate and execute subcontracts with third parties; |
(11) the authority of the contractor to impose user |
fees and the amounts of those fees; |
(12) a provision governing the deposit and allocation |
of revenues including user fees; |
(13) a provision governing rights to real and personal |
property of the State, the Department, the contractor, and |
other third parties; |
(14) a provision stating that the contractor shall, |
pursuant to Section 2-85 of this Act, pay the costs of an |
independent audit if the construction costs under the |
contract exceed $50,000,000; |
(15) a provision regarding the implementation and |
delivery of a comprehensive system of internal audits; |
|
(16) a provision regarding the implementation and |
delivery of reports, which shall include a requirement that |
the contractor file with the Department, at least on an |
annual basis, financial statements containing information |
required by generally accepted accounting principles |
(GAAP); |
(17) procedural requirements for obtaining the prior |
approval of the Department when rights that are the subject |
of the agreement, including, but not limited to development |
rights, construction rights, property rights, and rights |
to certain revenues, are sold, assigned, transferred, or |
pledged as collateral to secure financing or for any other |
reason; |
(18) grounds for termination of the agreement by the |
Department or the contractor and a restatement of the |
Department's rights under Section 2-45 of this Act; |
(19) a requirement that the contractor enter into a |
project labor agreement under Section 2-120 of this Act; |
(20) a provision stating that construction contractors |
shall comply with Section 2-120 of this Act; |
(21) timelines, deadlines, and scheduling; |
(22) review of plans, including development, |
financing, construction, management, operations, or |
maintenance plans, by the Department; |
(23) a provision regarding inspections by the |
Department, including inspections of construction work and |
|
improvements; |
(24) rights and remedies of the Department in the event |
that the contractor defaults or otherwise fails to comply |
with the terms of the public-private agreement; |
(25) a code of ethics for the contractor's officers and |
employees; and |
(26) procedures for amendment to the agreement. |
(b) The public-private agreement may include any or all of |
the following: |
(1) a provision regarding the extension of the |
agreement that is consistent with Section 2-20 of this Act; |
(2) provisions leasing to the contractor all or any |
portion of the South Suburban Airport, provided that the |
lease may not extend beyond the term of the public-private |
agreement ; . |
(3) cash reserves requirements; |
(4) delivery of performance and payment bonds or other |
performance security in a form and amount that is |
satisfactory to the Department; |
(5) maintenance of public liability insurance; |
(6) maintenance of self-insurance; |
(7) provisions governing grants and loans, pursuant to |
which the Department may agree to make grants or loans for |
the development, financing, construction, management, or |
operation of the South Suburban Airport project from time |
to time from amounts received from the federal government |
|
or any agency or instrumentality of the federal government |
or from any State or local agency; |
(8) reimbursements to the Department for work |
performed and goods, services, and equipment provided by |
the Department; |
(9) provisions allowing the Department to submit any |
contractual disputes with the contractor relating to the |
public-private agreement to non-binding alternative |
dispute resolution proceedings; and |
(10) any other terms, conditions, and provisions |
acceptable to the Department that the Department deems |
necessary and proper and in the public interest.
|
(Source: P.A. 98-109, eff. 7-25-13; revised 11-19-13.) |
Section 675. The Illinois Vehicle Code is amended by |
changing Sections 1-105, 2-119, 3-918, 5-301, 6-103, 6-106, |
6-108, 6-118, 6-201, 6-206, 6-303, 6-508, 6-514, 11-208, |
11-208.7, 11-501, 11-709.2, 12-215, 12-610.2, and 15-111 and by |
setting forth, renumbering, and changing multiple versions of |
Section 3-699 as follows:
|
(625 ILCS 5/1-105) (from Ch. 95 1/2, par. 1-105)
|
Sec. 1-105. Authorized emergency vehicle. Emergency |
vehicles of municipal departments or public service
|
corporations as are designated or authorized by proper local |
authorities;
police vehicles; vehicles of the fire department; |
|
vehicles of a HazMat or technical rescue team authorized by a |
county board under Section 5-1127 of the Counties Code; |
ambulances;
vehicles of the Illinois Department of |
Corrections; vehicles of the Illinois Department of Juvenile |
Justice; vehicles of the Illinois Emergency Management Agency; |
vehicles of the Office of the Illinois State Fire Marshal; mine |
rescue and explosives emergency response vehicles of the |
Department of Natural Resources; vehicles of the Illinois |
Department of Public Health; vehicles of the Illinois |
Department of Transportation identified as Emergency Traffic |
Patrol; and vehicles of a municipal or county emergency |
services and disaster agency, as defined by the Illinois |
Emergency Management Agency Act.
|
(Source: P.A. 97-149, eff. 7-14-11; 97-333, eff. 7-12-11; |
98-123, eff. 1-1-14; 98-468, eff. 8-16-13; revised 9-19-13.)
|
(625 ILCS 5/2-119) (from Ch. 95 1/2, par. 2-119)
|
(Text of Section before amendment by P.A. 98-176 ) |
Sec. 2-119. Disposition of fees and taxes.
|
(a) All moneys received from Salvage Certificates shall be |
deposited in
the Common School Fund in the State Treasury.
|
(b) Beginning January 1, 1990 and concluding December 31, |
1994, of the
money collected for each certificate of title, |
duplicate certificate of
title and corrected certificate of |
title, $0.50 shall be deposited into the
Used Tire Management |
Fund. Beginning January 1, 1990 and concluding
December 31, |
|
1994, of the money collected for each certificate of title,
|
duplicate certificate of title and corrected certificate of |
title, $1.50
shall be deposited in the Park and Conservation |
Fund.
|
Beginning January 1, 1995, of the money collected for each |
certificate of
title, duplicate certificate of title and |
corrected certificate of title, $3.25
shall be deposited in the |
Park and Conservation Fund. The moneys deposited in
the Park |
and Conservation Fund pursuant to this Section shall be used |
for the
acquisition and development of bike paths as provided |
for in Section 805-420 of
the Department of Natural Resources |
(Conservation) Law (20 ILCS 805/805-420). The monies deposited |
into the Park and Conservation Fund under this subsection shall |
not be subject to administrative charges or chargebacks unless |
otherwise authorized by this Act.
|
Beginning January 1, 2000, of
the
moneys collected for each |
certificate of title, duplicate certificate of title,
and |
corrected certificate of title, $48 shall be deposited into the |
Road Fund
and $4 shall be deposited into the Motor Vehicle |
License Plate Fund, except
that if the balance in the Motor |
Vehicle License Plate Fund exceeds $40,000,000
on the last day |
of a calendar month, then during the next calendar month the $4
|
shall instead be deposited into the Road Fund.
|
Beginning January 1, 2005, of the moneys collected for each |
delinquent vehicle registration renewal fee, $20 shall be |
deposited into the General Revenue Fund. |
|
Except as otherwise provided in this Code, all remaining |
moneys collected
for certificates of title, and all moneys |
collected for filing of security
interests, shall be placed in |
the General Revenue Fund in the State Treasury.
|
(c) All moneys collected for that portion of a driver's |
license fee
designated for driver education under Section 6-118 |
shall be placed in
the Driver Education Fund in the State |
Treasury.
|
(d) Beginning January 1, 1999, of the monies collected as a |
registration
fee for each motorcycle, motor driven cycle and |
moped, 27%
of each annual registration fee for such vehicle and |
27% of each semiannual
registration fee for such vehicle is |
deposited in the Cycle Rider Safety
Training Fund.
|
(e) Of the monies received by the Secretary of State as |
registration
fees or taxes or as payment of any other fee, as |
provided in this Act, except
fees received by the Secretary |
under paragraph (7) of subsection (b) of Section
5-101 and |
Section 5-109 of this Code, 37% shall be deposited into the |
State
Construction Account Fund.
|
(f) Of the total money collected for a CDL instruction |
permit or
original or renewal issuance of a commercial driver's |
license (CDL)
pursuant to the Uniform Commercial Driver's |
License Act (UCDLA): (i) $6 of the
total fee for an original or |
renewal CDL, and $6 of the total CDL
instruction permit fee |
when such permit is issued to any person holding a
valid |
Illinois driver's license, shall be paid into the |
|
CDLIS/AAMVAnet/NMVTIS
Trust Fund (Commercial Driver's License |
Information System/American
Association of Motor Vehicle |
Administrators network/National Motor Vehicle Title |
Information Service Trust Fund) and shall
be used for the |
purposes provided in Section 6z-23 of the State Finance Act
and |
(ii) $20 of the total fee for an original or renewal CDL or |
commercial
driver instruction permit shall be paid
into the |
Motor Carrier Safety Inspection Fund, which is hereby created |
as a
special fund in the State Treasury, to be used by
the |
Department
of State Police, subject to appropriation, to hire |
additional officers to
conduct motor carrier safety
|
inspections
pursuant to Chapter 18b of this Code.
|
(g) All remaining moneys received by the Secretary of State |
as
registration fees or taxes or as payment of any other fee, |
as provided in
this Act, except fees received by the Secretary |
under paragraph (7)(A) of
subsection (b) of Section 5-101 and |
Section 5-109 of this Code,
shall be deposited in the Road Fund |
in the State Treasury. Moneys
in the Road Fund shall be used |
for the purposes provided in
Section 8.3 of the State Finance |
Act.
|
(h) (Blank).
|
(i) (Blank).
|
(j) (Blank).
|
(k) There is created in the State Treasury a special fund |
to be known as
the Secretary of State Special License Plate |
Fund. Money deposited into the
Fund shall, subject to |
|
appropriation, be used by the Office of the Secretary
of State |
(i) to help defray plate manufacturing and plate processing |
costs
for the issuance and, when applicable, renewal of any new |
or existing
registration plates authorized under this Code and |
(ii) for grants made by the
Secretary of State to benefit |
Illinois Veterans Home libraries.
|
On or before October 1, 1995, the Secretary of State shall |
direct the
State Comptroller and State Treasurer to transfer |
any unexpended balance in
the Special Environmental License |
Plate Fund, the Special Korean War Veteran
License Plate Fund, |
and the Retired Congressional License Plate Fund to the
|
Secretary of State Special License Plate Fund.
|
(l) The Motor Vehicle Review Board Fund is created as a |
special fund in
the State Treasury. Moneys deposited into the |
Fund under paragraph (7) of
subsection (b) of Section 5-101 and |
Section 5-109 shall,
subject to appropriation, be used by the |
Office of the Secretary of State to
administer the Motor |
Vehicle Review Board, including without
limitation payment of |
compensation and all necessary expenses incurred in
|
administering the Motor Vehicle Review Board under the Motor |
Vehicle Franchise
Act.
|
(m) Effective July 1, 1996, there is created in the State
|
Treasury a special fund to be known as the Family |
Responsibility Fund. Moneys
deposited into the Fund shall, |
subject to appropriation, be used by the Office
of the |
Secretary of State for the purpose of enforcing the Family |
|
Financial
Responsibility Law.
|
(n) The Illinois Fire Fighters' Memorial Fund is created as |
a special
fund in the State Treasury. Moneys deposited into the |
Fund shall, subject
to appropriation, be used by the Office of |
the State Fire Marshal for
construction of the Illinois Fire |
Fighters' Memorial to be located at the
State Capitol grounds |
in Springfield, Illinois. Upon the completion of the
Memorial, |
moneys in the Fund shall be used in accordance with Section |
3-634.
|
(o) Of the money collected for each certificate of title |
for all-terrain
vehicles and off-highway motorcycles, $17 |
shall be deposited into the
Off-Highway Vehicle Trails Fund.
|
(p) For audits conducted on or after July 1, 2003 pursuant |
to Section
2-124(d) of this Code, 50% of the money collected as |
audit fees shall be
deposited
into the General Revenue Fund.
|
(Source: P.A. 97-1136, eff. 1-1-13; 98-177, eff. 1-1-14; |
revised 9-19-13.)
|
(Text of Section after amendment by P.A. 98-176 ) |
Sec. 2-119. Disposition of fees and taxes.
|
(a) All moneys received from Salvage Certificates shall be |
deposited in
the Common School Fund in the State Treasury.
|
(b) Beginning January 1, 1990 and concluding December 31, |
1994, of the
money collected for each certificate of title, |
duplicate certificate of
title and corrected certificate of |
title, $0.50 shall be deposited into the
Used Tire Management |
|
Fund. Beginning January 1, 1990 and concluding
December 31, |
1994, of the money collected for each certificate of title,
|
duplicate certificate of title and corrected certificate of |
title, $1.50
shall be deposited in the Park and Conservation |
Fund.
|
Beginning January 1, 1995, of the money collected for each |
certificate of
title, duplicate certificate of title and |
corrected certificate of title, $3.25
shall be deposited in the |
Park and Conservation Fund. The moneys deposited in
the Park |
and Conservation Fund pursuant to this Section shall be used |
for the
acquisition and development of bike paths as provided |
for in Section 805-420 of
the Department of Natural Resources |
(Conservation) Law (20 ILCS 805/805-420). The monies deposited |
into the Park and Conservation Fund under this subsection shall |
not be subject to administrative charges or chargebacks unless |
otherwise authorized by this Act.
|
Beginning January 1, 2000, of
the
moneys collected for each |
certificate of title, duplicate certificate of title,
and |
corrected certificate of title, $48 shall be deposited into the |
Road Fund
and $4 shall be deposited into the Motor Vehicle |
License Plate Fund, except
that if the balance in the Motor |
Vehicle License Plate Fund exceeds $40,000,000
on the last day |
of a calendar month, then during the next calendar month the $4
|
shall instead be deposited into the Road Fund.
|
Beginning January 1, 2005, of the moneys collected for each |
delinquent vehicle registration renewal fee, $20 shall be |
|
deposited into the General Revenue Fund. |
Except as otherwise provided in this Code, all remaining |
moneys collected
for certificates of title, and all moneys |
collected for filing of security
interests, shall be placed in |
the General Revenue Fund in the State Treasury.
|
(c) All moneys collected for that portion of a driver's |
license fee
designated for driver education under Section 6-118 |
shall be placed in
the Driver Education Fund in the State |
Treasury.
|
(d) Beginning January 1, 1999, of the monies collected as a |
registration
fee for each motorcycle, motor driven cycle and |
moped, 27%
of each annual registration fee for such vehicle and |
27% of each semiannual
registration fee for such vehicle is |
deposited in the Cycle Rider Safety
Training Fund.
|
(e) Of the monies received by the Secretary of State as |
registration
fees or taxes or as payment of any other fee, as |
provided in this Act, except
fees received by the Secretary |
under paragraph (7) of subsection (b) of Section
5-101 and |
Section 5-109 of this Code, 37% shall be deposited into the |
State
Construction Account Fund.
|
(f) Of the total money collected for a commercial learner's |
permit (CLP) or
original or renewal issuance of a commercial |
driver's license (CDL)
pursuant to the Uniform Commercial |
Driver's License Act (UCDLA): (i) $6 of the
total fee for an |
original or renewal CDL, and $6 of the total CLP fee when such |
permit is issued to any person holding a
valid Illinois |
|
driver's license, shall be paid into the CDLIS/AAMVAnet/NMVTIS
|
Trust Fund (Commercial Driver's License Information |
System/American
Association of Motor Vehicle Administrators |
network/National Motor Vehicle Title Information Service Trust |
Fund) and shall
be used for the purposes provided in Section |
6z-23 of the State Finance Act
and (ii) $20 of the total fee |
for an original or renewal CDL or CLP shall be paid
into the |
Motor Carrier Safety Inspection Fund, which is hereby created |
as a
special fund in the State Treasury, to be used by
the |
Department
of State Police, subject to appropriation, to hire |
additional officers to
conduct motor carrier safety
|
inspections
pursuant to Chapter 18b of this Code.
|
(g) All remaining moneys received by the Secretary of State |
as
registration fees or taxes or as payment of any other fee, |
as provided in
this Act, except fees received by the Secretary |
under paragraph (7)(A) of
subsection (b) of Section 5-101 and |
Section 5-109 of this Code,
shall be deposited in the Road Fund |
in the State Treasury. Moneys
in the Road Fund shall be used |
for the purposes provided in
Section 8.3 of the State Finance |
Act.
|
(h) (Blank).
|
(i) (Blank).
|
(j) (Blank).
|
(k) There is created in the State Treasury a special fund |
to be known as
the Secretary of State Special License Plate |
Fund. Money deposited into the
Fund shall, subject to |
|
appropriation, be used by the Office of the Secretary
of State |
(i) to help defray plate manufacturing and plate processing |
costs
for the issuance and, when applicable, renewal of any new |
or existing
registration plates authorized under this Code and |
(ii) for grants made by the
Secretary of State to benefit |
Illinois Veterans Home libraries.
|
On or before October 1, 1995, the Secretary of State shall |
direct the
State Comptroller and State Treasurer to transfer |
any unexpended balance in
the Special Environmental License |
Plate Fund, the Special Korean War Veteran
License Plate Fund, |
and the Retired Congressional License Plate Fund to the
|
Secretary of State Special License Plate Fund.
|
(l) The Motor Vehicle Review Board Fund is created as a |
special fund in
the State Treasury. Moneys deposited into the |
Fund under paragraph (7) of
subsection (b) of Section 5-101 and |
Section 5-109 shall,
subject to appropriation, be used by the |
Office of the Secretary of State to
administer the Motor |
Vehicle Review Board, including without
limitation payment of |
compensation and all necessary expenses incurred in
|
administering the Motor Vehicle Review Board under the Motor |
Vehicle Franchise
Act.
|
(m) Effective July 1, 1996, there is created in the State
|
Treasury a special fund to be known as the Family |
Responsibility Fund. Moneys
deposited into the Fund shall, |
subject to appropriation, be used by the Office
of the |
Secretary of State for the purpose of enforcing the Family |
|
Financial
Responsibility Law.
|
(n) The Illinois Fire Fighters' Memorial Fund is created as |
a special
fund in the State Treasury. Moneys deposited into the |
Fund shall, subject
to appropriation, be used by the Office of |
the State Fire Marshal for
construction of the Illinois Fire |
Fighters' Memorial to be located at the
State Capitol grounds |
in Springfield, Illinois. Upon the completion of the
Memorial, |
moneys in the Fund shall be used in accordance with Section |
3-634.
|
(o) Of the money collected for each certificate of title |
for all-terrain
vehicles and off-highway motorcycles, $17 |
shall be deposited into the
Off-Highway Vehicle Trails Fund.
|
(p) For audits conducted on or after July 1, 2003 pursuant |
to Section
2-124(d) of this Code, 50% of the money collected as |
audit fees shall be
deposited
into the General Revenue Fund.
|
(Source: P.A. 97-1136, eff. 1-1-13; 98-176, eff. 7-1-14; |
98-177, eff. 1-1-14; revised 9-19-13.) |
(625 ILCS 5/3-699) |
Sec. 3-699. National Wild Turkey Federation license |
plates. |
(a) The Secretary, upon receipt of all applicable fees and |
applications
made in the form prescribed by the Secretary, may |
issue special registration
plates designated as National Wild |
Turkey Federation
license plates. The special plates issued |
under this Section shall be affixed only to
passenger vehicles |
|
of the first division or motor vehicles of the second
division |
weighing not more than 8,000 pounds. Plates issued under this |
Section shall expire according to the multi-year
procedure |
established by Section 3-414.1 of this Code. |
(b) The design and color of the special plates shall be |
wholly within the
discretion of the Secretary. The Secretary |
may allow the plates to be issued as vanity plates or
|
personalized plates under Section 3-405.1 of this Code. The |
Secretary shall
prescribe stickers or decals as provided under |
Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
$40 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $25 shall be deposited into the |
National Wild Turkey Federation Fund and $15 shall be deposited |
into the Secretary of State Special License Plate Fund, to be |
used by the Secretary to help defray the administrative |
processing costs. |
For each registration renewal period, a $27 fee, in |
addition to the
appropriate registration fee, shall be charged. |
Of this fee, $25 shall be
deposited into the
National Wild |
Turkey Federation Fund and $2 shall be deposited into the
|
Secretary of State Special License Plate Fund. |
(d) The National Wild Turkey Federation Fund is created as |
a special fund in the State
treasury. All moneys in the
|
National Wild Turkey Federation Fund shall be paid, subject to
|
appropriation
by the General Assembly
and distribution by the |
|
Secretary, as grants
to National Wild Turkey Federation, Inc., |
a tax exempt entity under Section 501(c)(3) of the Internal |
Revenue Code, to fund turkey habitat protection, enhancement, |
and restoration projects in the State of Illinois, to fund |
education and outreach for media, volunteers, members, and the |
general public regarding turkeys and turkey habitat |
conservation in the State of Illinois, and to cover the |
reasonable cost for National Wild Turkey Federation special |
plate advertising and administration of the conservation |
projects and education program.
|
(Source: P.A. 98-66, eff. 1-1-14.) |
(625 ILCS 5/3-699.2) |
Sec. 3-699.2 3-699 . Diabetes Awareness license plates. |
(a) The Secretary, upon receipt of an application made in |
the form
prescribed by the Secretary, may issue special |
registration plates
designated as Diabetes Awareness license |
plates. The special plates
issued
under this Section shall be |
affixed only to passenger vehicles of the first
division and |
motor vehicles of the second division weighing not more than
|
8,000 pounds. Plates issued under this Section shall expire |
according
to the multi-year procedure established by Section |
3-414.1 of this Code. |
(b) The design and color of the plates is wholly within the
|
discretion of the Secretary of State. The Secretary, in his or |
her discretion, may
allow the plates to be issued as vanity or |
|
personalized plates under Section
3-405.1 of this Code. The |
Secretary shall prescribe stickers or decals as
provided under |
Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
$40 fee
for original issuance in addition to the appropriate |
registration fee. Of
this fee, $25 shall be deposited into the |
Diabetes Research Checkoff Fund and $15
shall be deposited into |
the Secretary of State Special License Plate Fund,
to be used |
by the Secretary to help defray the administrative processing
|
costs. |
For each registration renewal period, a $27 fee, in |
addition to the
appropriate registration fee, shall be charged. |
Of this fee, $25 shall be
deposited into the Diabetes Research |
Checkoff Fund and $2 shall be deposited into
the
Secretary of |
State Special License Plate Fund.
|
(Source: P.A. 98-96, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.3) |
Sec. 3-699.3 3-699 . Illinois Nurses license plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary, may issue special |
registration plates designated as Illinois Nurses license |
plates. The special plates issued under this Section shall be |
affixed only to passenger vehicles of the first division and |
motor vehicles of the second division weighing not more than |
8,000 pounds. Plates issued under this Section shall expire |
|
according to the multi-year procedure established by Section |
3-414.1 of this Code. |
(b) The design and color of the plates is wholly within the |
discretion of the Secretary. The Secretary may allow the plates |
to be issued as vanity plates or personalized under Section |
3-405.1 of the Code. The Secretary shall prescribe stickers or |
decals as provided under Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
$35 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $20 shall be deposited into the |
Illinois Nurses Foundation Fund and $15 shall be deposited into |
the Secretary of State Special License Plate Fund, to be used |
by the Secretary to help defray administrative processing |
costs. |
For each registration renewal period, a $22 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $20 shall be deposited into the Illinois Nurses |
Foundation Fund and $2 shall be deposited into the Secretary of |
State Special License Plate Fund. |
(d) The Illinois Nurses Foundation Fund is created as a |
special fund in the State treasury. All money in the Illinois |
Nurses Foundation Fund shall be paid, subject to appropriation |
by the General Assembly and distribution by the Secretary, as |
grants to the Illinois Nurses Foundation, to promote the health |
of the public by advancing the nursing profession in this |
State.
|
|
(Source: P.A. 98-150, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.4) |
Sec. 3-699.4 3-699 . American Red Cross license plates. |
(a) The Secretary, upon receipt of all applicable fees and |
applications
made in the form prescribed by the Secretary, may |
issue special registration
plates designated as
American Red |
Cross
license plates. The special plates issued under this |
Section shall be affixed only to
passenger vehicles of the |
first division or motor vehicles of the second
division |
weighing not more than 8,000 pounds. Plates issued under this |
Section shall expire according to the multi-year
procedure |
established by Section 3-414.1 of this Code. |
(b) The design and color of the special plates shall be |
within the
discretion of the Secretary, but shall include the |
American Red Cross official logo. Appropriate documentation, |
as determined by the
Secretary, shall accompany each |
application.
The Secretary may allow the plates to be issued as |
vanity plates or
personalized plates under Section 3-405.1 of |
this Code. The Secretary shall
prescribe stickers or decals as |
provided under Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
$40 fee for
original issuance in addition to the appropriate |
registration fee. Of this
fee, $25 shall be deposited into the
|
American Red Cross
Fund and $15 shall be
deposited into the |
Secretary of State Special License Plate Fund, to be used by
|
|
the Secretary to help defray the administrative processing |
costs. For each registration renewal period, a $27 fee, in |
addition to the
appropriate registration fee, shall be charged. |
Of this fee, $25 shall be
deposited into the
American Red Cross
|
Fund and $2 shall be deposited into the
Secretary of State |
Special License Plate Fund. |
(d) The American Red Cross
Fund is created as a special |
fund in the State
treasury. All moneys in the
American Red |
Cross
Fund shall be paid, subject to
appropriation
by the |
General Assembly
and distribution by the Secretary, as grants |
to the American Red Cross or to charitable entities designated
|
by the
American Red Cross.
|
(Source: P.A. 98-151, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.5) |
Sec. 3-699.5 3-699 . Illinois Police Benevolent and |
Protective Association license plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary, may issue special |
registration plates designated as Illinois Police Benevolent |
and Protective Association license plates. The special plates |
issued under this Section shall be affixed only to passenger |
vehicles of the first division and motor vehicles of the second |
division weighing not more than 8,000 pounds. Plates issued |
under this Section shall expire according to the multi-year |
procedure established by Section 3-414.1 of this Code. |
|
(b) The design and color of the plates is wholly within the |
discretion of the Secretary. The Secretary may allow the plates |
to be issued as vanity plates or personalized under Section |
3-405.1 of the Code. The Secretary shall prescribe stickers or |
decals as provided under Section 3-412 of this Code. The |
Secretary may, in his or her discretion, allow the plates to be |
issued as vanity or personalized plates in accordance with |
Section 3-405.1 of this Code. |
(c) An applicant for the special plate shall be charged a |
$25 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $10 shall be deposited into the |
Illinois Police Benevolent and Protective Association Fund and |
$15 shall be deposited into the Secretary of State Special |
License Plate Fund, to be used by the Secretary to help defray |
the administrative processing costs. |
For each registration renewal period, a $25 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $23 shall be deposited into the Illinois Police |
Benevolent and Protective Association Fund and $2 shall be |
deposited into the Secretary of State Special License Plate |
Fund. |
(d) The Illinois Police Benevolent and Protective |
Association Fund is created as a special fund in the State |
treasury. All money in the Illinois Police Benevolent and |
Protective Association Fund shall be paid, subject to |
appropriation by the General Assembly and distribution by the |
|
Secretary, as grants to the Illinois Police Benevolent and |
Protective Association for the purposes of providing death |
benefits for the families of police officers killed in the line |
of duty, providing scholarships for undergraduate study to |
children and spouses of police officers killed in the line of |
duty, and educating the public and police officers regarding |
policing and public safety.
|
(Source: P.A. 98-233, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.6) |
Sec. 3-699.6 3-699 . Alzheimer's Awareness license plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary, may issue special |
registration plates designated as Alzheimer's Awareness |
license plates. The special plates issued under this Section |
shall be affixed only to passenger vehicles of the first |
division and motor vehicles of the second division weighing not |
more than 8,000 pounds. Plates issued under this Section shall |
expire according to the multi-year procedure established by |
Section 3-414.1 of this Code. |
(b) The design and color of the plates is wholly within the |
discretion of the Secretary. The Secretary may allow the plates |
to be issued as vanity plates or personalized under Section |
3-405.1 of this Code. The Secretary shall prescribe stickers or |
decals as provided under Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
|
$25 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $10 shall be deposited into the |
Alzheimer's Awareness Fund and $15 shall be deposited into the |
Secretary of State Special License Plate Fund, to be used by |
the Secretary to help defray administrative processing costs. |
For each registration renewal period, a $25 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $23 shall be deposited into the Alzheimer's |
Awareness Fund and $2 shall be deposited into the Secretary of |
State Special License Plate Fund. |
(d) The Alzheimer's Awareness Fund is created as a special |
fund in the State treasury. All money in the Alzheimer's |
Awareness Fund shall be paid, subject to appropriation by the |
General Assembly and distribution by the Secretary, as grants |
to the Alzheimer's Disease and Related Disorders Association, |
Greater Illinois Chapter, for Alzheimer's care, support, |
education, and awareness programs.
|
(Source: P.A. 98-259, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.7) |
Sec. 3-699.7 3-699 . Prince Hall Freemasonry plates. |
(a) The Secretary, upon receipt of all applicable fees and |
applications
made in the form prescribed by the Secretary, may |
issue special registration
plates designated as Prince Hall |
Freemasonry license plates. |
The special plates issued under this Section shall be |
|
affixed only to
passenger vehicles of the first division or |
motor vehicles of the second
division weighing not more than |
8,000 pounds. |
Plates issued under this Section shall expire according to |
the multi-year
procedure established by Section 3-414.1 of this |
Code. |
(b) The design and color of the special plates shall be |
wholly within the
discretion of the Secretary. Appropriate |
documentation, as determined by the
Secretary, shall accompany |
each application. |
(c) An applicant for the special plate shall be charged a |
$25 fee for
original issuance in addition to the appropriate |
registration fee. Of this
fee, $10 shall be deposited into the |
Master Mason Fund and $15 shall be
deposited into the Secretary |
of State Special License Plate Fund, to be used by
the |
Secretary to help defray the administrative processing costs. |
For each registration renewal period, a $25 fee, in |
addition to the
appropriate registration fee, shall be charged. |
Of this fee, $23 shall be
deposited into the Master Mason Fund |
and $2 shall be deposited into the
Secretary of State Special |
License Plate Fund.
|
(Source: P.A. 98-300, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.8) |
Sec. 3-699.8 3-699 . Illinois Police K-9 Memorial Plates. |
(a) The Secretary, upon receipt of all applicable fees and |
|
applications made in the form prescribed by the Secretary, may |
issue special registration plates designated as Illinois |
Police K-9 Memorial license plates.
The special plates issued |
under this Section shall be affixed only to passenger vehicles |
of the first division or motor vehicles of the second division |
weighing not more than 8,000 pounds.
Plates issued under this |
Section shall expire according to the multi-year procedure |
established by Section 3-414.1 of this Code. |
(b) The design and color of the plates is wholly within the |
discretion of the Secretary. The Secretary may allow the plates |
to be issued as vanity plates or personalized under Section |
3-405.1 of the Code. Appropriate documentation, as determined |
by the Secretary, shall accompany each application. The |
Secretary shall prescribe stickers or decals as provided under |
Section 3-412 of this Code. |
(c) An applicant shall be charged a $40 fee for original |
issuance in addition to the applicable registration fee. Of |
this additional fee, $15 shall be deposited into the Secretary |
of State Special License Plate Fund and $25 shall be deposited |
into the Illinois Police K-9 Memorial Fund. For each |
registration renewal period, a $27 fee, in addition to the |
appropriate registration fee, shall be charged. Of this |
additional fee, $2 shall be deposited into the Secretary of |
State Special License Plate Fund and $25 shall be deposited |
into the Illinois Police K-9 Memorial Fund. |
(d) The Illinois Police K-9 Memorial Fund is created as a |
|
special fund in the State treasury. All moneys in the Illinois |
Police K-9 Memorial Fund shall be paid, subject to |
appropriation by the General Assembly and distribution by the |
Secretary, as grants to the Northern Illinois Police K-9 |
Memorial for the creation, operation, and maintenance of a |
police K-9 memorial monument.
|
(Source: P.A. 98-360, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.9) |
Sec. 3-699.9 3-699 . Public Safety Diver license plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary of State, may issue |
special registration plates designated to be Public Safety |
Diver license plates. The special plates issued under this |
Section shall be affixed only to passenger vehicles of the |
first division, motor vehicles of the second division weighing |
not more than 8,000 pounds, and recreational vehicles as |
defined by Section 1-169 of this Code. Plates issued under this |
Section shall expire according to the multi-year procedure |
established by Section 3-414.1 of this Code.
|
(b) The design and color of the plates shall be wholly |
within the discretion of the Secretary of State. Appropriate |
documentation, as determined by the Secretary, shall accompany |
the application. The Secretary may, in his or her discretion, |
allow the plates to be issued as vanity or personalized plates |
in accordance with Section 3-405.1 of this Code. |
|
(c) An applicant shall be charged a $45 fee for original |
issuance in addition to the appropriate registration fee, if |
applicable. Of this fee, $30 shall be deposited into the Public |
Safety Diver Fund and $15 shall be deposited into the Secretary |
of State Special License Plate Fund. For each registration |
renewal period, a $27 fee, in addition to the appropriate |
registration fee, shall be charged. Of this fee, $25 shall be |
deposited into the Public Safety Diver Fund and $2 shall be |
deposited into the Secretary of State Special License Plate |
Fund. |
(d) The Public Safety Diver Fund is created as a special |
fund in
the State treasury. All moneys in the Public Safety |
Diver Fund shall be
paid, subject to appropriation by the |
General Assembly and
distribution by the Secretary, to the |
Illinois Law Enforcement Training Standards Board for the |
purposes of providing grants based on need for training, |
standards, and equipment to public safety disciplines within |
the State and to units of local government involved in public |
safety diving and water rescue services. |
(e) The Public Safety Diver Advisory Committee shall |
recommend grant rewards with the intent of achieving reasonably |
equitable distribution of funds between police, firefighting, |
and public safety diving services making application for grants |
under this Section. |
(f) The administrative costs related to management of |
grants made from the Public Safety Diver Fund shall be paid |
|
from the Public Safety Diver Fund to the Illinois Law |
Enforcement Training Standards Board.
|
(Source: P.A. 98-376, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.10) |
Sec. 3-699.10 3-699 . The H Foundation - Committed to a Cure |
for Cancer plates . |
(a) The Secretary, upon receipt of all applicable fees and |
applications made in the form prescribed by the Secretary, may |
issue special registration plates designated as The H |
Foundation - Committed to a Cure for Cancer license plates.
The |
special plates issued under this Section shall be affixed only |
to passenger vehicles of the first division or motor vehicles |
of the second division weighing not more than 8,000 pounds.
|
Plates issued under this Section shall expire according to the |
multi-year procedure established by Section 3-414.1 of this |
Code. |
(b) The design and color of the special plates shall be |
wholly within the discretion of the Secretary. Appropriate |
documentation, as determined by the Secretary, shall accompany |
each application. |
(c) An applicant for the special plate shall be charged a |
$40 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $25 shall be deposited into the |
Committed to a Cure Fund and $15 shall be deposited into the |
Secretary of State Special License Plate Fund, to be used by |
|
the Secretary to help defray the administrative processing |
costs.
For each registration renewal period, a $27 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $25 shall be deposited into the Committed to a |
Cure Fund and $2 shall be deposited into the Secretary of State |
Special License Plate Fund. |
(d) The Committed to a Cure Fund is created as a special |
fund in the State treasury. All money in the Committed to a |
Cure Fund shall be paid, subject to appropriation by the |
General Assembly and distribution by the Secretary, as grants |
to the Robert H. Lurie Comprehensive Cancer Center of |
Northwestern University for the purpose of funding scientific |
research on cancer.
|
(Source: P.A. 98-382, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.11) |
Sec. 3-699.11 3-699 . Retired Law Enforcement license |
plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary, may issue special |
registration plates designated as Retired Law Enforcement |
license plates to residents of Illinois who meet eligibility |
requirements prescribed by the Secretary of State. The special |
plates issued under this Section shall be affixed only to |
passenger vehicles of the first division and motor vehicles of |
the second division weighing not more than 8,000 pounds. Plates |
|
issued under this Section shall expire according to the |
multi-year procedure established by Section 3-414.1 of this |
Code. |
(b) The design and color of the plates is wholly within the |
discretion of the Secretary. The Secretary may allow the plates |
to be issued as vanity plates or personalized under Section |
3-405.1 of the Code. The Secretary shall prescribe stickers or |
decals as provided under Section 3-412 of this Code. |
(c) An applicant for the special plate shall be charged a |
$25 fee for original issuance in addition to the appropriate |
registration fee. Of this fee, $10 shall be deposited into the |
Illinois Sheriffs' Association Scholarship and Training Fund |
and $15 shall be deposited into the Secretary of State Special |
License Plate Fund, to be used by the Secretary to help defray |
the administrative processing costs. |
For each registration renewal period, a $25 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $23 shall be deposited into the Illinois Sheriffs' |
Association Scholarship and Training Fund and $2 shall be |
deposited into the Secretary of State Special License Plate |
Fund. |
(d) The Illinois Sheriffs' Association Scholarship and |
Training Fund is created as a special fund in the State |
treasury. All money in the Illinois Sheriffs' Association |
Scholarship and Training Fund shall be paid, subject to |
appropriation by the General Assembly and distribution by the |
|
Secretary, as grants to the Illinois Sheriffs' Association, for |
scholarships obtained in a competitive process to attend the |
Illinois Teen Institute or an accredited college or university, |
for programs designed to benefit the elderly and teens, and for |
law enforcement training.
|
(Source: P.A. 98-395, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.12) |
Sec. 3-699.12 3-699 . Legion of Merit plates. The Secretary, |
upon receipt of an application made in the form prescribed by |
the Secretary of State, may issue special registration plates |
designated as Legion of Merit license plates to recipients |
awarded the Legion of Merit by a branch of the armed forces of |
the United States who reside in Illinois. The special plates |
issued pursuant to this Section should be affixed only to |
passenger vehicles of the 1st division, including motorcycles, |
or motor vehicles of the 2nd division weighing not more than |
8,000 pounds. The Secretary may, in his or her discretion, |
allow the plates to be issued as vanity or personalized plates |
in accordance with Section 3-405.1 of this Code. The Secretary |
of State must make a version of the special registration plates |
authorized under this Section in a form appropriate for |
motorcycles. |
The design and color of such plates shall be wholly within |
the discretion of the Secretary of State. No registration fee, |
including the fees established under Section 3-806 of this |
|
Code, shall be charged for the issuance or renewal of any |
plates issued under this Section.
|
(Source: P.A. 98-406, eff. 1-1-14; revised 10-16-13.) |
(625 ILCS 5/3-699.13) |
Sec. 3-699.13 3-699 . Illinois State Police Memorial Park |
license plates. |
(a) The Secretary, upon receipt of an application made in |
the form prescribed by the Secretary of State, may issue |
special registration plates designated as Illinois State |
Police Memorial Park license plates. The special plates issued |
under this Section shall be affixed only to passenger vehicles |
of the first division or motor vehicles of the second division |
weighing not more than 8,000 pounds. Plates issued under this |
Section shall expire according to the multi-year procedure |
established by Section 3-414.1 of this Code.
|
(b) The design and color of the plates shall be wholly |
within the discretion of the Secretary of State. The Secretary |
may, in his or her discretion, allow the plates to be issued as |
vanity or personalized plates in accordance with Section |
3-405.1 of this Code. The Secretary shall prescribe stickers or |
decals as provided under Section 3-412 of this Code. |
(c) An applicant shall be charged a $25 fee for original |
issuance in addition to the appropriate registration fee, if |
applicable. Of this fee, $10 shall be deposited into the |
Illinois State Police Memorial Park Fund and $15 shall be |
|
deposited into the Secretary of State Special License Plate |
Fund. For each registration renewal period, a $25 fee, in |
addition to the appropriate registration fee, shall be charged. |
Of this fee, $23 shall be deposited into the Illinois State |
Police Memorial Park Fund and $2 shall be deposited into the |
Secretary of State Special License Plate Fund. |
(d) The Illinois State Police Memorial Park Fund is created |
as a special fund in
the State treasury. All moneys in the |
Illinois State Police Memorial Park Fund shall be
paid, subject |
to appropriation by the General Assembly and
distribution by |
the Secretary, as grants to the Illinois State Police Heritage |
Foundation, Inc. for building and maintaining a memorial and |
park, holding an annual memorial commemoration, giving |
scholarships to children of State police officers killed or |
catastrophically injured in the line of duty, and providing |
financial assistance to police officers and their families when |
a police officer is killed or injured in the line of duty.
|
(Source: P.A. 98-469, eff. 8-16-13; revised 10-16-13.) |
(625 ILCS 5/3-918) |
Sec. 3-918. Vehicle registration and insurance. Beginning |
with the 2016 registration year, any remittance agent engaged |
in the business of remitting applications for the issuance or |
renewal of vehicle registration shall ask applicants for |
information relating to the insurance policy for the motor |
vehicle, including the name of the insurer that issued the |
|
policy, the policy number, and the expiration date of the |
policy. This information shall be remitted to the Secretary of |
State as part of the application. Failure to obtain this |
information and supply it to the Secretary of State shall |
subject the remittance agent to suspension or revocation of the |
remittance agent's their license as described in Section 3-907 |
of this Code.
|
(Source: P.A. 98-539, eff. 1-1-14; revised 11-19-13.)
|
(625 ILCS 5/5-301) (from Ch. 95 1/2, par. 5-301)
|
Sec. 5-301. Automotive parts recyclers, scrap processors, |
repairers and
rebuilders must be licensed. |
(a) No person in this State shall, except as an incident to
|
the servicing of vehicles, carry on or conduct the business
of |
an a automotive parts recycler recyclers , a scrap processor, a |
repairer,
or a rebuilder, unless licensed to do so in writing |
by the Secretary of
State under this Section. No person shall |
rebuild a salvage vehicle
unless such person is licensed as a |
rebuilder by the Secretary of State
under this Section. No |
person shall engage in the business of acquiring 5 or more |
previously owned vehicles in one calendar year for the primary |
purpose of disposing of those vehicles in the manner described |
in the definition of a "scrap processor" in this Code unless |
the person is licensed as an automotive parts recycler by the |
Secretary of State under this Section. Each license shall be |
applied for and issued
separately, except that a license issued |
|
to a new vehicle dealer under
Section 5-101 of this Code shall |
also be deemed to be a repairer license.
|
(b) Any application filed with the Secretary of State, |
shall be duly
verified by oath, in such form as the Secretary |
of State may by rule or
regulation prescribe and shall contain:
|
1. The name and type of business organization of the |
applicant and
his principal or additional places of |
business, if any, in this State.
|
2. The kind or kinds of business enumerated in |
subsection (a) of
this Section to be conducted at each |
location.
|
3. If the applicant is a corporation, a list of its |
officers,
directors, and shareholders having a ten percent |
or greater ownership
interest in the corporation, setting |
forth the residence address of each;
if the applicant is a |
sole proprietorship, a partnership, an unincorporated
|
association, a trust, or any similar form of business |
organization, the
names and residence address of the |
proprietor or of each partner, member,
officer, director, |
trustee or manager.
|
4. A statement that the applicant's officers, |
directors, shareholders
having a ten percent or greater |
ownership interest therein, proprietor,
partner, member, |
officer, director, trustee, manager, or other principals
|
in the business have not committed in the past three years |
any one
violation as determined in any civil or criminal or |
|
administrative
proceedings of any one of the following |
Acts:
|
(a) The Anti-Theft Anti Theft Laws of the Illinois |
Vehicle Code;
|
(b) The "Certificate of Title Laws" of the Illinois |
Vehicle Code;
|
(c) The "Offenses against Registration and |
Certificates of Title Laws"
of the Illinois Vehicle |
Code;
|
(d) The "Dealers, Transporters, Wreckers and |
Rebuilders Laws" of the
Illinois Vehicle Code;
|
(e) Section 21-2 of the Criminal Code of 1961 or |
the Criminal Code of 2012, Criminal Trespass to
|
Vehicles; or
|
(f) The Retailers Occupation Tax Act.
|
5. A statement that the applicant's officers, |
directors, shareholders
having a ten percent or greater |
ownership interest therein, proprietor,
partner, member, |
officer, director, trustee, manager or other principals
in |
the business have not committed in any calendar year 3 or |
more
violations, as determined in any civil or criminal or |
administrative
proceedings, of any one or more of the |
following Acts:
|
(a) The Consumer Finance Act;
|
(b) The Consumer Installment Loan Act;
|
(c) The Retail Installment Sales Act;
|
|
(d) The Motor Vehicle Retail Installment Sales |
Act;
|
(e) The Interest Act;
|
(f) The Illinois Wage Assignment Act;
|
(g) Part 8 of Article XII of the Code of Civil |
Procedure; or
|
(h) The Consumer Fraud Act.
|
6. An application for a license shall be accompanied by |
the
following fees:
$50 for applicant's established place |
of business;
$25 for each
additional place of business, if |
any, to which the application pertains;
provided, however, |
that if such an application is made after June 15 of
any |
year, the license fee shall be $25 for applicant's |
established
place
of business plus $12.50 for each |
additional place of business, if
any,
to which the |
application pertains. License fees shall be returnable |
only
in the event that such application shall be denied by |
the Secretary of
State.
|
7. A statement that the applicant understands Chapter 1 |
through
Chapter 5 of this Code.
|
8. A statement that the applicant shall comply with
|
subsection (e)
of this Section.
|
(c) Any change which renders no longer accurate any |
information
contained in any application for a license filed |
with the Secretary of
State shall be amended within 30 days |
after the occurrence of such
change on such form as the |
|
Secretary of State may prescribe by rule or
regulation, |
accompanied by an amendatory fee of $2.
|
(d) Anything in this chapter to the contrary, |
notwithstanding, no
person shall be licensed under this Section |
unless such person shall
maintain an established place of |
business as defined in this Chapter.
|
(e) The Secretary of State shall within a reasonable time |
after
receipt thereof, examine an application submitted to him |
under this
Section and unless he makes a determination that the |
application
submitted to him does not conform with the |
requirements of this Section
or that grounds exist for a denial |
of the application, as prescribed in
Section 5-501 of this |
Chapter, grant the applicant an original license
as applied for |
in writing for his established place of business and a
|
supplemental license in writing for each additional place of
|
business in such form as he may prescribe by rule or regulation |
which shall
include the following:
|
1. The name of the person licensed;
|
2. If a corporation, the name and address of its |
officers or if a
sole proprietorship, a partnership, an |
unincorporated association or any
similar form of business |
organization, the name and address of the
proprietor or of |
each partner, member, officer, director, trustee or |
manager;
|
3. A designation of the kind or kinds of business |
enumerated in
subsection (a) of this Section to be |
|
conducted at each location;
|
4. In the case of an original license, the established |
place of
business of the licensee;
|
5. In the case of a supplemental license, the |
established place of
business of the licensee and the |
additional place of business to which such
supplemental |
license pertains.
|
(f) The appropriate instrument evidencing the license or a |
certified
copy thereof, provided by the Secretary of State |
shall be kept, posted,
conspicuously in the established place |
of business of the
licensee and in each additional place of |
business, if any, maintained by
such licensee. The licensee |
also shall post conspicuously in the
established place of |
business and in each additional place of business a
notice |
which states that such business is required to be licensed by |
the
Secretary of State under Section 5-301, and which provides |
the license
number of the business and the license expiration |
date. This notice also
shall advise the consumer that any |
complaints as to the quality of service
may be brought to the |
attention of the Attorney General. The information
required on |
this notice also shall be printed conspicuously on all
|
estimates and receipts for work by the licensee subject to this |
Section.
The Secretary of State shall prescribe the specific |
format of this notice.
|
(g) Except as provided in subsection (h) hereof, licenses |
granted
under this Section shall expire by operation of law on |
|
December 31 of
the calendar year for which they are granted |
unless sooner revoked or
cancelled under the provisions of |
Section 5-501 of this Chapter.
|
(h) Any license granted under this Section may be renewed |
upon
application and payment of the fee required herein as in |
the case of an
original license, provided, however, that in |
case an application for the
renewal of an effective license is |
made during the month of December,
such effective license shall |
remain in force until such application is
granted or denied by |
the Secretary of State.
|
(i) All automotive
repairers and
rebuilders shall, in |
addition to the requirements of subsections (a)
through
(h) of |
this Section, meet the following licensing requirements:
|
1. Provide proof that the property on which first time
|
applicants plan to
do business is in compliance with local |
zoning laws and regulations, and
a listing of zoning |
classification;
|
2. Provide proof that the applicant for a repairer's
|
license complies
with the proper workers' compensation |
rate code or classification, and
listing the code of |
classification for that industry;
|
3. Provide proof that the applicant for a rebuilder's
|
license complies
with the proper workers' compensation |
rate code or classification for the
repair industry or the |
auto parts recycling industry and listing the code
of |
classification;
|
|
4. Provide proof that the applicant has obtained or
|
applied for a
hazardous waste generator number, and listing |
the actual number if
available or certificate of exemption;
|
5. Provide proof that applicant has proper liability
|
insurance, and
listing the name of the insurer and the |
policy number; and
|
6. Provide proof that the applicant has obtained or
|
applied for the proper
State sales tax classification and |
federal identification tax number, and
listing the actual |
numbers if available.
|
(i-1) All automotive repairers shall provide proof that |
they comply with all requirements of the Automotive Collision |
Repair Act.
|
(j) All automotive
parts
recyclers shall, in addition to |
the requirements of subsections (a) through
(h) of this |
Section, meet the following licensing requirements:
|
1. Provide a A statement that the applicant purchases 5 |
vehicles
per year or has 5
hulks or chassis in stock;
|
2. Provide proof that the property on which all first
|
time applicants will
do business does comply to the proper |
local zoning laws in existence, and
a listing of zoning |
classifications;
|
3. Provide proof that applicant complies with the
|
proper workers'
compensation rate code or classification, |
and listing the code of
classification; and
|
4. Provide proof that applicant has obtained or
applied |
|
for the proper
State sales tax classification and federal |
identification tax number, and
listing the actual numbers |
if available.
|
(Source: P.A. 97-832, eff. 7-20-12; 97-1150, eff. 1-25-13; |
revised 9-24-13.)
|
(625 ILCS 5/6-103) (from Ch. 95 1/2, par. 6-103)
|
(Text of Section before amendment by P.A. 98-167 )
|
Sec. 6-103. What persons shall not be licensed as drivers |
or granted
permits. The Secretary of State shall not issue, |
renew, or
allow the retention of any driver's
license nor issue |
any permit under this Code:
|
1. To any person, as a driver, who is under the age of |
18 years except
as provided in Section 6-107, and except |
that an instruction permit may be
issued under Section |
6-107.1 to a child who
is not less than 15 years of age if |
the child is enrolled in an approved
driver education |
course as defined in Section 1-103 of this Code and
|
requires an instruction permit to participate therein, |
except that an
instruction permit may be issued under the |
provisions of Section 6-107.1
to a child who is 17 years |
and 3 months of age without the child having
enrolled in an
|
approved driver education course and except that an
|
instruction permit may be issued to a child who is at least |
15 years and 3
months of age, is enrolled in school, meets |
the educational requirements of
the Driver Education Act, |
|
and has passed examinations the Secretary of State in
his |
or her discretion may prescribe;
|
2. To any person who is under the age of 18 as an |
operator of a motorcycle
other than a motor driven cycle |
unless the person has, in addition to
meeting the |
provisions of Section 6-107 of this Code, successfully
|
completed a motorcycle
training course approved by the |
Illinois Department of Transportation and
successfully |
completes the required Secretary of State's motorcycle |
driver's
examination;
|
3. To any person, as a driver, whose driver's license |
or permit has been
suspended, during the suspension, nor to |
any person whose driver's license or
permit has been |
revoked, except as provided in Sections 6-205, 6-206, and
|
6-208;
|
4. To any person, as a driver, who is a user of alcohol |
or any other
drug to a degree that renders the person |
incapable of safely driving a motor
vehicle;
|
5. To any person, as a driver, who has previously been |
adjudged to be
afflicted with or suffering from any mental |
or physical disability or disease
and who has not at the |
time of application been restored to competency by the
|
methods provided by law;
|
6. To any person, as a driver, who is required by the |
Secretary of State
to submit an alcohol and drug evaluation |
or take an examination provided
for in this Code unless the |
|
person has
successfully passed the examination and |
submitted any required evaluation;
|
7. To any person who is required under the provisions |
of the laws of
this State to deposit security or proof of |
financial responsibility and who
has not deposited the |
security or proof;
|
8. To any person when the Secretary of State has good |
cause to believe
that the person by reason of physical or |
mental disability would not be
able to safely operate a |
motor vehicle upon the highways, unless the
person shall |
furnish to the Secretary of State a verified written
|
statement, acceptable to the Secretary of State, from a |
competent medical
specialist, a licensed physician |
assistant who has been delegated the performance of medical |
examinations by his or her supervising physician, or a |
licensed advanced practice nurse who has a written |
collaborative agreement with a collaborating physician |
which authorizes him or her to perform medical |
examinations, to the effect that the operation of a motor |
vehicle by the
person would not be inimical to the public |
safety;
|
9. To any person, as a driver, who is 69 years of age |
or older, unless
the person has successfully complied with |
the provisions of Section 6-109;
|
10. To any person convicted, within 12 months of |
application for a
license, of any of the sexual offenses |
|
enumerated in paragraph 2 of subsection
(b) of Section |
6-205;
|
11. To any person who is under the age of 21 years with |
a classification
prohibited in paragraph (b) of Section |
6-104 and to any person who is under
the age of 18 years |
with a classification prohibited in paragraph (c) of
|
Section 6-104;
|
12. To any person who has been either convicted of or |
adjudicated under
the Juvenile Court Act of 1987 based upon |
a violation of the Cannabis Control
Act, the Illinois |
Controlled Substances Act, or the Methamphetamine Control |
and Community Protection Act while that person was in |
actual
physical control of a motor vehicle. For purposes of |
this Section, any person
placed on probation under Section |
10 of the Cannabis Control Act, Section 410
of the Illinois |
Controlled Substances Act, or Section 70 of the |
Methamphetamine Control and Community Protection Act shall |
not be considered convicted.
Any person found guilty of |
this offense, while in actual physical control of a
motor |
vehicle, shall have an entry made in the court record by |
the judge that
this offense did occur while the person was |
in actual physical control of a
motor vehicle and order the |
clerk of the court to report the violation to the
Secretary |
of State as such. The Secretary of State shall not issue a |
new
license or permit for a period of one year;
|
13. To any person who is under the age of 18 years and |
|
who has committed
the offense
of operating a motor vehicle |
without a valid license or permit in violation of
Section |
6-101 or a similar out of state offense;
|
14. To any person who is
90 days or more
delinquent in |
court ordered child support
payments or has been |
adjudicated in arrears
in an amount equal to 90 days' |
obligation or more
and who has been found in contempt
of
|
court for failure to pay the support, subject to the |
requirements and
procedures of Article VII of Chapter 7 of
|
the Illinois Vehicle Code;
|
14.5. To any person certified by the Illinois |
Department of Healthcare and Family Services as being 90 |
days or more delinquent in payment of support under an |
order of support entered by a court or administrative body |
of this or any other State, subject to the requirements and |
procedures of Article VII of Chapter 7 of this Code |
regarding those certifications;
|
15. To any person released from a term of imprisonment |
for violating
Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, or a similar provision of a law |
of another state relating to reckless homicide or for |
violating subparagraph (F) of paragraph (1) of subsection |
(d) of Section 11-501 of this Code relating to aggravated |
driving under the influence of alcohol, other drug or |
drugs, intoxicating compound or compounds, or any |
combination thereof, if the violation was the proximate |
|
cause of a death, within
24 months of release from a term |
of imprisonment;
|
16. To any person who, with intent to influence any act |
related to the issuance of any driver's license or permit, |
by an employee of the Secretary of State's Office, or the |
owner or employee of any commercial driver training school |
licensed by the Secretary of State, or any other individual |
authorized by the laws of this State to give driving |
instructions or administer all or part of a driver's |
license examination, promises or tenders to that person any |
property or personal advantage which that person is not |
authorized by law to accept. Any persons promising or |
tendering such property or personal advantage shall be |
disqualified from holding any class of driver's license or |
permit for 120 consecutive days. The Secretary of State |
shall establish by rule the procedures for implementing |
this period of disqualification and the procedures by which |
persons so disqualified may obtain administrative review |
of the decision to disqualify;
|
17. To any person for whom the Secretary of State |
cannot verify the
accuracy of any information or |
documentation submitted in application for a
driver's |
license; or
|
18. To any person who has been adjudicated under the |
Juvenile Court Act of 1987 based upon an offense that is |
determined by the court to have been committed in |
|
furtherance of the criminal activities of an organized |
gang, as provided in Section 5-710 of that Act, and that |
involved the operation or use of a motor vehicle or the use |
of a driver's license or permit. The person shall be denied |
a license or permit for the period determined by the court.
|
The Secretary of State shall retain all conviction
|
information, if the information is required to be held |
confidential under
the Juvenile Court Act of 1987. |
(Source: P.A. 96-607, eff. 8-24-09; 96-740, eff. 1-1-10; |
96-962, eff. 7-2-10; 96-1000, eff. 7-2-10; 97-185, eff. |
7-22-11; 97-1150, eff. 1-25-13.) |
(Text of Section after amendment by P.A. 98-167 )
|
Sec. 6-103. What persons shall not be licensed as drivers |
or granted
permits. The Secretary of State shall not issue, |
renew, or
allow the retention of any driver's
license nor issue |
any permit under this Code:
|
1. To any person, as a driver, who is under the age of |
18 years except
as provided in Section 6-107, and except |
that an instruction permit may be
issued under Section |
6-107.1 to a child who
is not less than 15 years of age if |
the child is enrolled in an approved
driver education |
course as defined in Section 1-103 of this Code and
|
requires an instruction permit to participate therein, |
except that an
instruction permit may be issued under the |
provisions of Section 6-107.1
to a child who is 17 years |
|
and 3 months of age without the child having
enrolled in an
|
approved driver education course and except that an
|
instruction permit may be issued to a child who is at least |
15 years and 3
months of age, is enrolled in school, meets |
the educational requirements of
the Driver Education Act, |
and has passed examinations the Secretary of State in
his |
or her discretion may prescribe;
|
1.5. To any person at least 18 years of age but less |
than 21 years of age unless the person has, in addition to |
any other requirements of this Code, successfully |
completed an adult driver education course as provided in |
Section 6-107.5 of this Code ; .
|
2. To any person who is under the age of 18 as an |
operator of a motorcycle
other than a motor driven cycle |
unless the person has, in addition to
meeting the |
provisions of Section 6-107 of this Code, successfully
|
completed a motorcycle
training course approved by the |
Illinois Department of Transportation and
successfully |
completes the required Secretary of State's motorcycle |
driver's
examination;
|
3. To any person, as a driver, whose driver's license |
or permit has been
suspended, during the suspension, nor to |
any person whose driver's license or
permit has been |
revoked, except as provided in Sections 6-205, 6-206, and
|
6-208;
|
4. To any person, as a driver, who is a user of alcohol |
|
or any other
drug to a degree that renders the person |
incapable of safely driving a motor
vehicle;
|
5. To any person, as a driver, who has previously been |
adjudged to be
afflicted with or suffering from any mental |
or physical disability or disease
and who has not at the |
time of application been restored to competency by the
|
methods provided by law;
|
6. To any person, as a driver, who is required by the |
Secretary of State
to submit an alcohol and drug evaluation |
or take an examination provided
for in this Code unless the |
person has
successfully passed the examination and |
submitted any required evaluation;
|
7. To any person who is required under the provisions |
of the laws of
this State to deposit security or proof of |
financial responsibility and who
has not deposited the |
security or proof;
|
8. To any person when the Secretary of State has good |
cause to believe
that the person by reason of physical or |
mental disability would not be
able to safely operate a |
motor vehicle upon the highways, unless the
person shall |
furnish to the Secretary of State a verified written
|
statement, acceptable to the Secretary of State, from a |
competent medical
specialist, a licensed physician |
assistant who has been delegated the performance of medical |
examinations by his or her supervising physician, or a |
licensed advanced practice nurse who has a written |
|
collaborative agreement with a collaborating physician |
which authorizes him or her to perform medical |
examinations, to the effect that the operation of a motor |
vehicle by the
person would not be inimical to the public |
safety;
|
9. To any person, as a driver, who is 69 years of age |
or older, unless
the person has successfully complied with |
the provisions of Section 6-109;
|
10. To any person convicted, within 12 months of |
application for a
license, of any of the sexual offenses |
enumerated in paragraph 2 of subsection
(b) of Section |
6-205;
|
11. To any person who is under the age of 21 years with |
a classification
prohibited in paragraph (b) of Section |
6-104 and to any person who is under
the age of 18 years |
with a classification prohibited in paragraph (c) of
|
Section 6-104;
|
12. To any person who has been either convicted of or |
adjudicated under
the Juvenile Court Act of 1987 based upon |
a violation of the Cannabis Control
Act, the Illinois |
Controlled Substances Act, or the Methamphetamine Control |
and Community Protection Act while that person was in |
actual
physical control of a motor vehicle. For purposes of |
this Section, any person
placed on probation under Section |
10 of the Cannabis Control Act, Section 410
of the Illinois |
Controlled Substances Act, or Section 70 of the |
|
Methamphetamine Control and Community Protection Act shall |
not be considered convicted.
Any person found guilty of |
this offense, while in actual physical control of a
motor |
vehicle, shall have an entry made in the court record by |
the judge that
this offense did occur while the person was |
in actual physical control of a
motor vehicle and order the |
clerk of the court to report the violation to the
Secretary |
of State as such. The Secretary of State shall not issue a |
new
license or permit for a period of one year;
|
13. To any person who is under the age of 18 years and |
who has committed
the offense
of operating a motor vehicle |
without a valid license or permit in violation of
Section |
6-101 or a similar out of state offense;
|
14. To any person who is
90 days or more
delinquent in |
court ordered child support
payments or has been |
adjudicated in arrears
in an amount equal to 90 days' |
obligation or more
and who has been found in contempt
of
|
court for failure to pay the support, subject to the |
requirements and
procedures of Article VII of Chapter 7 of
|
the Illinois Vehicle Code;
|
14.5. To any person certified by the Illinois |
Department of Healthcare and Family Services as being 90 |
days or more delinquent in payment of support under an |
order of support entered by a court or administrative body |
of this or any other State, subject to the requirements and |
procedures of Article VII of Chapter 7 of this Code |
|
regarding those certifications;
|
15. To any person released from a term of imprisonment |
for violating
Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, or a similar provision of a law |
of another state relating to reckless homicide or for |
violating subparagraph (F) of paragraph (1) of subsection |
(d) of Section 11-501 of this Code relating to aggravated |
driving under the influence of alcohol, other drug or |
drugs, intoxicating compound or compounds, or any |
combination thereof, if the violation was the proximate |
cause of a death, within
24 months of release from a term |
of imprisonment;
|
16. To any person who, with intent to influence any act |
related to the issuance of any driver's license or permit, |
by an employee of the Secretary of State's Office, or the |
owner or employee of any commercial driver training school |
licensed by the Secretary of State, or any other individual |
authorized by the laws of this State to give driving |
instructions or administer all or part of a driver's |
license examination, promises or tenders to that person any |
property or personal advantage which that person is not |
authorized by law to accept. Any persons promising or |
tendering such property or personal advantage shall be |
disqualified from holding any class of driver's license or |
permit for 120 consecutive days. The Secretary of State |
shall establish by rule the procedures for implementing |
|
this period of disqualification and the procedures by which |
persons so disqualified may obtain administrative review |
of the decision to disqualify;
|
17. To any person for whom the Secretary of State |
cannot verify the
accuracy of any information or |
documentation submitted in application for a
driver's |
license; or
|
18. To any person who has been adjudicated under the |
Juvenile Court Act of 1987 based upon an offense that is |
determined by the court to have been committed in |
furtherance of the criminal activities of an organized |
gang, as provided in Section 5-710 of that Act, and that |
involved the operation or use of a motor vehicle or the use |
of a driver's license or permit. The person shall be denied |
a license or permit for the period determined by the court.
|
The Secretary of State shall retain all conviction
|
information, if the information is required to be held |
confidential under
the Juvenile Court Act of 1987. |
(Source: P.A. 97-185, eff. 7-22-11; 97-1150, eff. 1-25-13; |
98-167, eff. 7-1-14; revised 9-18-13.)
|
(625 ILCS 5/6-106) (from Ch. 95 1/2, par. 6-106)
|
Sec. 6-106. Application for license or instruction permit.
|
(a) Every application for any permit or license authorized |
to be issued
under this Code Act shall be made upon a form |
furnished by the Secretary of
State. Every application shall be |
|
accompanied by the proper fee and payment
of such fee shall |
entitle the applicant to not more than 3 attempts to pass
the |
examination within a period of one 1 year after the date of |
application.
|
(b) Every application shall state the legal name, social |
security
number, zip
code, date of birth, sex, and residence |
address of the applicant; briefly
describe the applicant; state |
whether the applicant has theretofore been
licensed as a |
driver, and, if so, when and by what state or country, and
|
whether any such license has ever been cancelled, suspended, |
revoked or
refused, and, if so, the date and reason for such |
cancellation, suspension,
revocation or refusal; shall include |
an affirmation by the applicant that
all information set forth |
is true and correct; and shall bear the
applicant's signature. |
In addition to the residence address, the Secretary may allow |
the applicant to provide a mailing address. In the case of an |
applicant who is a judicial officer or peace officer, the |
Secretary may allow the applicant to provide an office or work |
address in lieu of a residence or mailing address. The |
application form may
also require the statement of such |
additional relevant information as the
Secretary of State shall |
deem necessary to determine the applicant's
competency and |
eligibility. The Secretary of State may, in his
discretion, by |
rule or regulation, provide that an application for a
drivers |
license or permit may include a suitable photograph of the
|
applicant in the
form prescribed by the Secretary, and he may |
|
further provide that each
drivers license shall include a |
photograph of the driver. The Secretary of
State may utilize a |
photograph process or system most suitable to deter
alteration |
or improper reproduction of a drivers license and to prevent
|
substitution of another photo thereon.
For the purposes of this |
subsection (b), "peace officer" means any person who by virtue |
of his or her office or public employment is vested by law with |
a duty to maintain public order or to make arrests for a |
violation of any penal statute of this State, whether that duty |
extends to all violations or is limited to specific violations.
|
(c) The application form shall include a notice to the |
applicant of the
registration obligations of sex offenders |
under the Sex Offender Registration
Act. The notice shall be |
provided in a form and manner prescribed by the
Secretary of |
State. For purposes of this subsection (c), "sex offender" has
|
the meaning ascribed to it in Section 2 of the Sex Offender |
Registration Act.
|
(d) Any male United States citizen or immigrant who applies |
for any
permit or
license authorized to be issued under this |
Code Act or for a renewal of any permit
or
license,
and who is |
at least 18 years of age but less than 26 years of age, must be
|
registered in compliance with the requirements of the federal |
Military
Selective
Service Act.
The Secretary of State must |
forward in an electronic format the necessary
personal |
information regarding the applicants identified in this |
subsection (d)
to
the Selective Service System. The applicant's |
|
signature on the application
serves
as an indication that the |
applicant either has already registered with the
Selective
|
Service System or that he is authorizing the Secretary to |
forward to the
Selective
Service System the necessary |
information for registration. The Secretary must
notify the |
applicant at the time of application that his signature |
constitutes
consent to registration with the Selective Service |
System, if he is not already
registered.
|
(e) Beginning on or before July 1, 2015, for each original |
or renewal driver's license application under this Code Act , |
the Secretary shall inquire as to whether the applicant is a |
veteran for purposes of issuing a driver's license with a |
veteran designation under subsection (e-5) of Section 6-110 of |
this Code Chapter . The acceptable forms of proof shall include, |
but are not limited to, Department of Defense form DD-214. The |
Secretary shall determine by rule what other forms of proof of |
a person's status as a veteran are acceptable. |
The Illinois Department of Veterans' Affairs shall confirm |
the status of the applicant as an honorably discharged veteran |
before the Secretary may issue the driver's license. |
For purposes of this subsection (e): |
"Active duty" means active duty under an executive order of |
the President of the United States, an Act of the Congress of |
the United States, or an order of the Governor. |
"Armed forces" means any of the Armed Forces of the United |
States, including a member of any reserve component or National |
|
Guard unit called to active duty. |
"Veteran" means a person who has served on active duty in |
the armed forces and was discharged or separated under |
honorable conditions. |
(Source: P.A. 97-263, eff. 8-5-11; 97-739, eff. 1-1-13; 97-847, |
eff. 1-1-13; 98-323, eff. 1-1-14; 98-463, eff. 8-16-13; revised |
11-19-13.)
|
(625 ILCS 5/6-108) (from Ch. 95 1/2, par. 6-108)
|
Sec. 6-108. Cancellation of license issued to minor.
|
(a) The Secretary of State shall cancel the license or |
permit of any minor
under the age of 18 years in any of the |
following events:
|
1. Upon the verified written request of the person who |
consented to the
application of the minor that the license |
or
permit be cancelled;
|
2. Upon receipt of satisfactory evidence of the death |
of the person who
consented to the application of the |
minor;
|
3. Upon receipt of satisfactory evidence that the |
person who consented
to the application of a minor no |
longer has legal custody of the
minor;
|
4. Upon
receipt of information, submitted on a form |
prescribed by the Secretary of State
under Section 26-3a of |
the School Code and provided voluntarily by
nonpublic |
schools, that a license-holding minor no longer meets the |
|
school
attendance requirements defined in Section 6-107 of |
this Code.
|
A minor who provides proof acceptable to the Secretary |
that the minor has resumed regular school attendance or |
home instruction or that his or her license or permit was |
cancelled in error shall have his or her license |
reinstated. The Secretary shall adopt rules for |
implementing this subdivision (a)4 ; .
|
5. Upon determination by the Secretary that at the time |
of license issuance, the minor held an instruction permit |
and had a traffic citation for which a disposition had not |
been rendered. |
After cancellation, the Secretary of State shall not issue |
a new
license or permit until the applicant meets the |
provisions of Section
6-107 of this Code.
|
(b) The Secretary of State shall cancel the license or |
permit of any
person under the age of 18 years if he or she is |
convicted of violating
the Cannabis Control Act, the Illinois
|
Controlled Substances Act, or the Methamphetamine Control and |
Community Protection Act while that person was in actual |
physical
control of a motor vehicle.
For purposes of this |
Section, any person placed on probation under Section
10 of the |
Cannabis Control Act, Section 410 of the Illinois Controlled
|
Substances Act, or Section 70 of the Methamphetamine Control |
and Community Protection Act shall not be considered convicted.
|
Any person found guilty of this offense,
while in actual |
|
physical control of a motor vehicle, shall have an entry
made |
in the court record by the judge that this offense did occur
|
while the person was in actual physical control of a motor |
vehicle and
order the clerk of the court to report the |
violation to the Secretary of
State as such. After the |
cancellation, the Secretary of State
shall not issue a new |
license or permit for a period of one year after the
date of |
cancellation or until the minor attains the age of 18 years,
|
whichever is longer.
However, upon application, the Secretary |
of State
may, if satisfied that the person applying will not |
endanger the public
safety, or welfare, issue a restricted |
driving permit granting the
privilege of driving a motor |
vehicle between the person's residence and
person's place of |
employment or within the scope of the person's employment |
related
duties, or to allow transportation for
the person or a |
household member of the person's family for the receipt of
|
necessary medical care or, if the professional evaluation |
indicates,
provide transportation for the petitioner for |
alcohol remedial or
rehabilitative activity, or for the person |
to attend classes, as a student,
in an accredited educational |
institution; if the person is able to
demonstrate that no |
alternative means of transportation is reasonably
available; |
provided that the Secretary's discretion shall be limited to
|
cases where undue hardship would result from a failure to issue |
such
restricted driving permit. In each case the Secretary of |
State may issue
a restricted driving permit for a period as he
|
|
deems appropriate,
except that the permit shall expire within |
one year from the date of
issuance. A restricted driving permit |
issued hereunder shall be subject to
cancellation, revocation, |
and suspension by the Secretary of State in like
manner and for |
like cause as a driver's license issued hereunder may be
|
cancelled, revoked, or suspended; except that a conviction upon |
one or more
offenses against laws or ordinances regulating the |
movement of traffic
shall be deemed sufficient cause for the |
revocation, suspension, or
cancellation of a restricted |
driving permit. The Secretary of State may,
as a condition to |
the issuance of a restricted driving permit, require the
|
applicant to participate in a driver remedial or rehabilitative
|
program.
Thereafter, upon reapplication for a license as
|
provided in Section 6-106 of this Code or a permit as provided |
in Section
6-105 of this Code and upon payment of the |
appropriate application fee, the
Secretary of State shall issue |
the applicant a license as provided in Section
6-106 of this |
Code or shall issue the applicant a permit as provided in |
Section 6-105.
|
(Source: P.A. 98-168, eff. 1-1-14; revised 11-19-13.)
|
(625 ILCS 5/6-118)
|
(Text of Section before amendment by P.A. 98-176 ) |
Sec. 6-118. Fees. |
(a) The fee for licenses and permits under this
Article is |
as follows: |
|
Original driver's license .............................$30 |
Original or renewal driver's license |
issued to 18, 19 and 20 year olds .................. 5 |
All driver's licenses for persons |
age 69 through age 80 .............................. 5 |
All driver's licenses for persons |
age 81 through age 86 .............................. 2 |
All driver's licenses for persons |
age 87 or older .....................................0 |
Renewal driver's license (except for |
applicants ages 18, 19 and 20 or |
age 69 and older) ..................................30 |
Original instruction permit issued to |
persons (except those age 69 and older) |
who do not hold or have not previously |
held an Illinois instruction permit or |
driver's license .................................. 20 |
Instruction permit issued to any person |
holding an Illinois driver's license |
who wishes a change in classifications, |
other than at the time of renewal .................. 5 |
Any instruction permit issued to a person |
age 69 and older ................................... 5 |
Instruction permit issued to any person, |
under age 69, not currently holding a |
valid Illinois driver's license or |
|
instruction permit but who has |
previously been issued either document |
in Illinois ....................................... 10 |
Restricted driving permit .............................. 8 |
Monitoring device driving permit ...................... 8 |
Duplicate or corrected driver's license |
or permit .......................................... 5 |
Duplicate or corrected restricted |
driving permit ..................................... 5 |
Duplicate or corrected monitoring |
device driving permit .................................. 5 |
Duplicate driver's license or permit issued to |
an active-duty member of the |
United States Armed Forces, |
the member's spouse, or |
the dependent children living |
with the member ................................... 0 |
Original or renewal M or L endorsement ................. 5 |
SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE |
The fees for commercial driver licenses and permits |
under Article V
shall be as follows: |
Commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund |
(Commercial Driver's License Information |
System/American Association of Motor Vehicle |
Administrators network/National Motor Vehicle |
|
Title Information Service Trust Fund); |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; |
and $24 for the CDL: ............................. $60 |
Renewal commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; and |
$24 for the CDL: ................................. $60 |
Commercial driver instruction permit |
issued to any person holding a valid |
Illinois driver's license for the |
purpose of changing to a |
CDL classification: $6 for the |
CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier |
Safety Inspection Fund; and |
$24 for the CDL classification ................... $50 |
Commercial driver instruction permit |
issued to any person holding a valid |
Illinois CDL for the purpose of |
making a change in a classification, |
endorsement or restriction ........................ $5 |
CDL duplicate or corrected license .................... $5 |
In order to ensure the proper implementation of the Uniform |
Commercial
Driver License Act, Article V of this Chapter, the |
|
Secretary of State is
empowered to pro-rate the $24 fee for the |
commercial driver's license
proportionate to the expiration |
date of the applicant's Illinois driver's
license. |
The fee for any duplicate license or permit shall be waived |
for any
person who presents the Secretary of State's office |
with a
police report showing that his license or permit was |
stolen. |
The fee for any duplicate license or permit shall be waived |
for any
person age 60 or older whose driver's license or permit |
has been lost or stolen. |
No additional fee shall be charged for a driver's license, |
or for a
commercial driver's license, when issued
to the holder |
of an instruction permit for the same classification or
type of |
license who becomes eligible for such
license. |
(b) Any person whose license or privilege to operate a |
motor vehicle
in this State has been suspended or revoked under |
Section 3-707, any
provision of
Chapter 6, Chapter 11, or |
Section 7-205, 7-303, or 7-702 of the Family
Financial
|
Responsibility Law of this Code, shall in addition to any other
|
fees required by this Code, pay a reinstatement fee as follows: |
Suspension under Section 3-707 .....................
$100
|
Summary suspension under Section 11-501.1 ...........$250
|
Summary revocation under Section 11-501.1 ............$500 |
Other suspension ......................................$70 |
Revocation ...........................................$500 |
However, any person whose license or privilege to operate a |
|
motor vehicle
in this State has been suspended or revoked for a |
second or subsequent time
for a violation of Section 11-501 or |
11-501.1
of this Code or a similar provision of a local |
ordinance
or a similar out-of-state offense
or Section 9-3 of |
the Criminal Code of 1961 or the Criminal Code of 2012
and each |
suspension or revocation was for a violation of Section 11-501 |
or
11-501.1 of this Code or a similar provision of a local |
ordinance
or a similar out-of-state offense
or Section
9-3 of |
the Criminal Code of 1961 or the Criminal Code of 2012
shall |
pay, in addition to any other
fees required by this Code, a
|
reinstatement
fee as follows: |
Summary suspension under Section 11-501.1 ............$500 |
Summary revocation under Section 11-501.1 ............$500 |
Revocation ...........................................$500 |
(c) All fees collected under the provisions of this Chapter |
6 shall be
paid into the Road Fund in the State Treasury except |
as follows: |
1. The following amounts shall be paid into the Driver |
Education Fund: |
(A) $16 of the $20
fee for an original driver's |
instruction permit; |
(B) $5 of the $30 fee for an original driver's |
license; |
(C) $5 of the $30 fee for a 4 year renewal driver's |
license;
|
(D) $4 of the $8 fee for a restricted driving |
|
permit; and |
(E) $4 of the $8 fee for a monitoring device |
driving permit. |
2. $30 of the $250 fee for reinstatement of a
license
|
summarily suspended under Section 11-501.1 shall be |
deposited into the
Drunk and Drugged Driving Prevention |
Fund.
However, for a person whose license or privilege to |
operate a motor vehicle
in this State has been suspended or |
revoked for a second or subsequent time for
a violation of |
Section 11-501 or 11-501.1 of this Code or Section 9-3 of |
the
Criminal Code of 1961 or the Criminal Code of 2012,
|
$190 of the $500 fee for reinstatement of a license |
summarily
suspended under
Section 11-501.1,
and $190 of the |
$500 fee for reinstatement of a revoked license
shall be |
deposited into the Drunk and Drugged Driving Prevention |
Fund. $190 of the $500 fee for reinstatement of a license |
summarily revoked pursuant to Section 11-501.1 shall be |
deposited into the Drunk and Drugged Driving Prevention |
Fund. |
3. $6 of such original or renewal fee for a commercial |
driver's
license and $6 of the commercial driver |
instruction permit fee when such
permit is issued to any |
person holding a valid Illinois driver's license,
shall be |
paid into the CDLIS/AAMVAnet/NMVTIS Trust Fund. |
4. $30 of the $70 fee for reinstatement of a license |
suspended
under the
Family
Financial Responsibility Law |
|
shall be paid into the Family Responsibility
Fund. |
5. The $5 fee for each original or renewal M or L |
endorsement shall be
deposited into the Cycle Rider Safety |
Training Fund. |
6. $20 of any original or renewal fee for a commercial |
driver's
license or commercial driver instruction permit |
shall be paid into the Motor
Carrier Safety Inspection |
Fund. |
7. The following amounts shall be paid into the General |
Revenue Fund: |
(A) $190 of the $250 reinstatement fee for a |
summary suspension under
Section 11-501.1; |
(B) $40 of the $70 reinstatement fee for any other |
suspension provided
in subsection (b) of this Section; |
and |
(C) $440 of the $500 reinstatement fee for a first |
offense revocation
and $310 of the $500 reinstatement |
fee for a second or subsequent revocation. |
(d) All of the proceeds of the additional fees imposed by |
this amendatory Act of the 96th General Assembly shall be |
deposited into the Capital Projects Fund. |
(e) The additional fees imposed by this amendatory Act of |
the 96th General Assembly shall become effective 90 days after |
becoming law. |
(f) As used in this Section, "active-duty member of the |
United States Armed Forces" means a member of the Armed |
|
Services or Reserve Forces of the United States or a member of |
the Illinois National Guard who is called to active duty |
pursuant to an executive order of the President of the United |
States, an act of the Congress of the United States, or an |
order of the Governor. |
(Source: P.A. 97-333, eff. 8-12-11; 97-1150, eff. 1-25-13; |
98-177, eff. 1-1-14.) |
(Text of Section after amendment by P.A. 98-176 ) |
Sec. 6-118. Fees. |
(a) The fee for licenses and permits under this
Article is |
as follows: |
Original driver's license .............................$30 |
Original or renewal driver's license |
issued to 18, 19 and 20 year olds .................. 5 |
All driver's licenses for persons |
age 69 through age 80 .............................. 5 |
All driver's licenses for persons |
age 81 through age 86 .............................. 2 |
All driver's licenses for persons |
age 87 or older .....................................0 |
Renewal driver's license (except for |
applicants ages 18, 19 and 20 or |
age 69 and older) ..................................30 |
Original instruction permit issued to |
persons (except those age 69 and older) |
|
who do not hold or have not previously |
held an Illinois instruction permit or |
driver's license .................................. 20 |
Instruction permit issued to any person |
holding an Illinois driver's license |
who wishes a change in classifications, |
other than at the time of renewal .................. 5 |
Any instruction permit issued to a person |
age 69 and older ................................... 5 |
Instruction permit issued to any person, |
under age 69, not currently holding a |
valid Illinois driver's license or |
instruction permit but who has |
previously been issued either document |
in Illinois ....................................... 10 |
Restricted driving permit .............................. 8 |
Monitoring device driving permit ...................... 8 |
Duplicate or corrected driver's license |
or permit .......................................... 5 |
Duplicate or corrected restricted |
driving permit ..................................... 5 |
Duplicate or corrected monitoring |
device driving permit .................................. 5 |
Duplicate driver's license or permit issued to |
an active-duty member of the |
United States Armed Forces, |
|
the member's spouse, or |
the dependent children living |
with the member ................................... 0 |
Original or renewal M or L endorsement ................. 5 |
SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE |
The fees for commercial driver licenses and permits |
under Article V
shall be as follows: |
Commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund |
(Commercial Driver's License Information |
System/American Association of Motor Vehicle |
Administrators network/National Motor Vehicle |
Title Information Service Trust Fund); |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; |
and $24 for the CDL: ............................. $60 |
Renewal commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; and |
$24 for the CDL: ................................. $60 |
Commercial learner's permit |
issued to any person holding a valid |
Illinois driver's license for the |
purpose of changing to a |
CDL classification: $6 for the |
|
CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier |
Safety Inspection Fund; and |
$24 for the CDL classification ................... $50 |
Commercial learner's permit |
issued to any person holding a valid |
Illinois CDL for the purpose of |
making a change in a classification, |
endorsement or restriction ........................ $5 |
CDL duplicate or corrected license .................... $5 |
In order to ensure the proper implementation of the Uniform |
Commercial
Driver License Act, Article V of this Chapter, the |
Secretary of State is
empowered to pro-rate the $24 fee for the |
commercial driver's license
proportionate to the expiration |
date of the applicant's Illinois driver's
license. |
The fee for any duplicate license or permit shall be waived |
for any
person who presents the Secretary of State's office |
with a
police report showing that his license or permit was |
stolen. |
The fee for any duplicate license or permit shall be waived |
for any
person age 60 or older whose driver's license or permit |
has been lost or stolen. |
No additional fee shall be charged for a driver's license, |
or for a
commercial driver's license, when issued
to the holder |
of an instruction permit for the same classification or
type of |
license who becomes eligible for such
license. |
|
(b) Any person whose license or privilege to operate a |
motor vehicle
in this State has been suspended or revoked under |
Section 3-707, any
provision of
Chapter 6, Chapter 11, or |
Section 7-205, 7-303, or 7-702 of the Family
Financial
|
Responsibility Law of this Code, shall in addition to any other
|
fees required by this Code, pay a reinstatement fee as follows: |
Suspension under Section 3-707 .....................
$100
|
Summary suspension under Section 11-501.1 ...........$250
|
Summary revocation under Section 11-501.1 ............$500 |
Other suspension ......................................$70 |
Revocation ...........................................$500 |
However, any person whose license or privilege to operate a |
motor vehicle
in this State has been suspended or revoked for a |
second or subsequent time
for a violation of Section 11-501 or |
11-501.1
of this Code or a similar provision of a local |
ordinance
or a similar out-of-state offense
or Section 9-3 of |
the Criminal Code of 1961 or the Criminal Code of 2012
and each |
suspension or revocation was for a violation of Section 11-501 |
or
11-501.1 of this Code or a similar provision of a local |
ordinance
or a similar out-of-state offense
or Section
9-3 of |
the Criminal Code of 1961 or the Criminal Code of 2012
shall |
pay, in addition to any other
fees required by this Code, a
|
reinstatement
fee as follows: |
Summary suspension under Section 11-501.1 ............$500 |
Summary revocation under Section 11-501.1 ............$500 |
Revocation ...........................................$500 |
|
(c) All fees collected under the provisions of this Chapter |
6 shall be
paid into the Road Fund in the State Treasury except |
as follows: |
1. The following amounts shall be paid into the Driver |
Education Fund: |
(A) $16 of the $20
fee for an original driver's |
instruction permit; |
(B) $5 of the $30 fee for an original driver's |
license; |
(C) $5 of the $30 fee for a 4 year renewal driver's |
license;
|
(D) $4 of the $8 fee for a restricted driving |
permit; and |
(E) $4 of the $8 fee for a monitoring device |
driving permit. |
2. $30 of the $250 fee for reinstatement of a
license
|
summarily suspended under Section 11-501.1 shall be |
deposited into the
Drunk and Drugged Driving Prevention |
Fund.
However, for a person whose license or privilege to |
operate a motor vehicle
in this State has been suspended or |
revoked for a second or subsequent time for
a violation of |
Section 11-501 or 11-501.1 of this Code or Section 9-3 of |
the
Criminal Code of 1961 or the Criminal Code of 2012,
|
$190 of the $500 fee for reinstatement of a license |
summarily
suspended under
Section 11-501.1,
and $190 of the |
$500 fee for reinstatement of a revoked license
shall be |
|
deposited into the Drunk and Drugged Driving Prevention |
Fund. $190 of the $500 fee for reinstatement of a license |
summarily revoked pursuant to Section 11-501.1 shall be |
deposited into the Drunk and Drugged Driving Prevention |
Fund. |
3. $6 of the original or renewal fee for a commercial |
driver's
license and $6 of the commercial learner's permit |
fee when the
permit is issued to any person holding a valid |
Illinois driver's license,
shall be paid into the |
CDLIS/AAMVAnet/NMVTIS Trust Fund. |
4. $30 of the $70 fee for reinstatement of a license |
suspended
under the
Family
Financial Responsibility Law |
shall be paid into the Family Responsibility
Fund. |
5. The $5 fee for each original or renewal M or L |
endorsement shall be
deposited into the Cycle Rider Safety |
Training Fund. |
6. $20 of any original or renewal fee for a commercial |
driver's
license or commercial learner's permit shall be |
paid into the Motor
Carrier Safety Inspection Fund. |
7. The following amounts shall be paid into the General |
Revenue Fund: |
(A) $190 of the $250 reinstatement fee for a |
summary suspension under
Section 11-501.1; |
(B) $40 of the $70 reinstatement fee for any other |
suspension provided
in subsection (b) of this Section; |
and |
|
(C) $440 of the $500 reinstatement fee for a first |
offense revocation
and $310 of the $500 reinstatement |
fee for a second or subsequent revocation. |
(d) All of the proceeds of the additional fees imposed by |
this amendatory Act of the 96th General Assembly shall be |
deposited into the Capital Projects Fund. |
(e) The additional fees imposed by this amendatory Act of |
the 96th General Assembly shall become effective 90 days after |
becoming law. |
(f) As used in this Section, "active-duty member of the |
United States Armed Forces" means a member of the Armed |
Services or Reserve Forces of the United States or a member of |
the Illinois National Guard who is called to active duty |
pursuant to an executive order of the President of the United |
States, an act of the Congress of the United States, or an |
order of the Governor. |
(Source: P.A. 97-333, eff. 8-12-11; 97-1150, eff. 1-25-13; |
98-176, eff. 7-1-14; 98-177, eff. 1-1-14; revised 9-19-13.)
|
(625 ILCS 5/6-201)
|
(Text of Section before amendment by P.A. 98-176 ) |
Sec. 6-201. Authority to cancel licenses and permits.
|
(a) The Secretary of State is authorized to cancel any |
license or permit
upon determining that the holder thereof:
|
1. was not entitled to the issuance thereof hereunder; |
or
|
|
2. failed to give the required or correct information |
in his
application; or
|
3. failed to pay any fees, civil penalties owed to the |
Illinois Commerce
Commission, or taxes due under this Act |
and upon reasonable notice and demand;
or
|
4. committed any fraud in the making of such |
application; or
|
5. is ineligible therefor under the provisions of |
Section 6-103 of this
Act, as amended; or
|
6. has refused or neglected to submit an alcohol, drug, |
and
intoxicating compound evaluation or to
submit to |
examination or re-examination as required under this Act; |
or
|
7. has been convicted of violating the Cannabis Control |
Act,
the
Illinois Controlled Substances Act, the |
Methamphetamine Control and Community Protection Act, or |
the Use of Intoxicating Compounds
Act while that individual |
was in actual physical
control of a motor vehicle. For |
purposes of this Section, any person placed on
probation |
under Section 10 of the Cannabis Control Act, Section 410 |
of the
Illinois Controlled Substances Act, or Section 70 of |
the Methamphetamine Control and Community Protection Act |
shall not be considered convicted. Any
person found guilty |
of this offense, while in actual physical control of a
|
motor vehicle, shall have an entry made in the court record |
by the
judge that this offense did occur while the person |
|
was in actual
physical control of a motor vehicle and order |
the clerk of the court to report
the violation to the |
Secretary of State as such. After the cancellation, the
|
Secretary of State shall not issue a new license or permit |
for a period of one
year after the date of cancellation. |
However, upon application, the Secretary
of State may, if |
satisfied that the person applying will not endanger the
|
public safety, or welfare, issue a restricted driving |
permit granting the
privilege of driving a motor vehicle |
between the petitioner's residence and
petitioner's place |
of employment or within the scope of the petitioner's |
employment
related duties, or to allow transportation for
|
the petitioner or a household member of the petitioner's |
family for the receipt of
necessary medical care, or |
provide transportation for the petitioner to and from |
alcohol or drug remedial or
rehabilitative activity |
recommended by a licensed service provider, or for the |
petitioner to attend classes, as a student,
in an |
accredited educational institution. The petitioner must
|
demonstrate that no alternative means of transportation is |
reasonably
available; provided that the Secretary's |
discretion shall be limited to
cases where undue hardship, |
as defined by the rules of the Secretary of State, would |
result from a failure to issue such
restricted driving |
permit. In each case the Secretary of State may issue
such |
restricted driving permit for such period as he deems |
|
appropriate,
except that such permit shall expire within |
one year from the date of
issuance. A restricted driving |
permit issued hereunder shall be subject to
cancellation, |
revocation and suspension by the Secretary of State in like
|
manner and for like cause as a driver's license issued |
hereunder may be
cancelled, revoked or suspended; except |
that a conviction upon one or more
offenses against laws or |
ordinances regulating the movement of traffic
shall be |
deemed sufficient cause for the revocation, suspension or
|
cancellation of a restricted driving permit. The Secretary |
of State may,
as a condition to the issuance of a |
restricted driving permit, require the
applicant to |
participate in a driver remedial or rehabilitative
|
program. In accordance with 49 C.F.R. 384, the Secretary of |
State may not issue a restricted driving permit for the |
operation of a commercial motor vehicle to a person holding |
a CDL whose driving privileges have been revoked, |
suspended, cancelled, or disqualified under this Code; or
|
8. failed to submit a report as required by Section |
6-116.5 of this
Code; or
|
9. has been convicted of a sex offense as defined in |
the Sex Offender Registration Act. The driver's license |
shall remain cancelled until the driver registers as a sex |
offender as required by the Sex Offender Registration Act, |
proof of the registration is furnished to the Secretary of |
State and the sex offender provides proof of current |
|
address to the Secretary; or
|
10. is ineligible for a license or permit under Section |
6-107, 6-107.1, or
6-108 of this Code; or
|
11. refused or neglected to appear at a Driver Services |
facility to have the license or permit corrected and a new |
license or permit issued or to present documentation for |
verification of identity; or
|
12. failed to submit a medical examiner's certificate |
or medical variance as required by 49 C.F.R. 383.71 or |
submitted a fraudulent medical examiner's certificate or |
medical variance; or |
13. has had his or her medical examiner's certificate, |
medical variance, or both removed or rescinded by the |
Federal Motor Carrier Safety Administration; or |
14. failed to self-certify as to the type of driving in |
which the CDL driver engages or expects to engage; or |
15. has submitted acceptable documentation indicating |
out-of-state residency to the Secretary of State to be |
released from the requirement of showing proof of financial |
responsibility in this State. |
(b) Upon such cancellation the licensee or permittee must |
surrender the
license or permit so cancelled to the Secretary |
of State.
|
(c) Except as provided in Sections 6-206.1 and 7-702.1,
the |
Secretary of State
shall have exclusive authority to grant, |
issue, deny, cancel, suspend and
revoke driving privileges, |
|
drivers' licenses and restricted driving permits.
|
(d) The Secretary of State may adopt rules to implement |
this Section.
|
(Source: P.A. 97-208, eff. 1-1-12; 97-229; eff. 7-28-11; |
97-813, eff. 7-13-12; 97-835, eff. 7-20-12; 98-178, eff. |
1-1-14.) |
(Text of Section after amendment by P.A. 98-176 )
|
Sec. 6-201. Authority to cancel licenses and permits.
|
(a) The Secretary of State is authorized to cancel any |
license or permit
upon determining that the holder thereof:
|
1. was not entitled to the issuance thereof hereunder; |
or
|
2. failed to give the required or correct information |
in his
application; or
|
3. failed to pay any fees, civil penalties owed to the |
Illinois Commerce
Commission, or taxes due under this Act |
and upon reasonable notice and demand;
or
|
4. committed any fraud in the making of such |
application; or
|
5. is ineligible therefor under the provisions of |
Section 6-103 of this
Act, as amended; or
|
6. has refused or neglected to submit an alcohol, drug, |
and
intoxicating compound evaluation or to
submit to |
examination or re-examination as required under this Act; |
or
|
|
7. has been convicted of violating the Cannabis Control |
Act,
the
Illinois Controlled Substances Act, the |
Methamphetamine Control and Community Protection Act, or |
the Use of Intoxicating Compounds
Act while that individual |
was in actual physical
control of a motor vehicle. For |
purposes of this Section, any person placed on
probation |
under Section 10 of the Cannabis Control Act, Section 410 |
of the
Illinois Controlled Substances Act, or Section 70 of |
the Methamphetamine Control and Community Protection Act |
shall not be considered convicted. Any
person found guilty |
of this offense, while in actual physical control of a
|
motor vehicle, shall have an entry made in the court record |
by the
judge that this offense did occur while the person |
was in actual
physical control of a motor vehicle and order |
the clerk of the court to report
the violation to the |
Secretary of State as such. After the cancellation, the
|
Secretary of State shall not issue a new license or permit |
for a period of one
year after the date of cancellation. |
However, upon application, the Secretary
of State may, if |
satisfied that the person applying will not endanger the
|
public safety, or welfare, issue a restricted driving |
permit granting the
privilege of driving a motor vehicle |
between the petitioner's residence and
petitioner's place |
of employment or within the scope of the petitioner's |
employment
related duties, or to allow transportation for
|
the petitioner or a household member of the petitioner's |
|
family for the receipt of
necessary medical care, or |
provide transportation for the petitioner to and from |
alcohol or drug remedial or
rehabilitative activity |
recommended by a licensed service provider, or for the |
petitioner to attend classes, as a student,
in an |
accredited educational institution. The petitioner must
|
demonstrate that no alternative means of transportation is |
reasonably
available; provided that the Secretary's |
discretion shall be limited to
cases where undue hardship, |
as defined by the rules of the Secretary of State, would |
result from a failure to issue such
restricted driving |
permit. In each case the Secretary of State may issue
such |
restricted driving permit for such period as he deems |
appropriate,
except that such permit shall expire within |
one year from the date of
issuance. A restricted driving |
permit issued hereunder shall be subject to
cancellation, |
revocation and suspension by the Secretary of State in like
|
manner and for like cause as a driver's license issued |
hereunder may be
cancelled, revoked or suspended; except |
that a conviction upon one or more
offenses against laws or |
ordinances regulating the movement of traffic
shall be |
deemed sufficient cause for the revocation, suspension or
|
cancellation of a restricted driving permit. The Secretary |
of State may,
as a condition to the issuance of a |
restricted driving permit, require the
applicant to |
participate in a driver remedial or rehabilitative
|
|
program. In accordance with 49 C.F.R. 384, the Secretary of |
State may not issue a restricted driving permit for the |
operation of a commercial motor vehicle to a person holding |
a CDL whose driving privileges have been revoked, |
suspended, cancelled, or disqualified under this Code; or
|
8. failed to submit a report as required by Section |
6-116.5 of this
Code; or
|
9. has been convicted of a sex offense as defined in |
the Sex Offender Registration Act. The driver's license |
shall remain cancelled until the driver registers as a sex |
offender as required by the Sex Offender Registration Act, |
proof of the registration is furnished to the Secretary of |
State and the sex offender provides proof of current |
address to the Secretary; or
|
10. is ineligible for a license or permit under Section |
6-107, 6-107.1, or
6-108 of this Code; or
|
11. refused or neglected to appear at a Driver Services |
facility to have the license or permit corrected and a new |
license or permit issued or to present documentation for |
verification of identity; or
|
12. failed to submit a medical examiner's certificate |
or medical variance as required by 49 C.F.R. 383.71 or |
submitted a fraudulent medical examiner's certificate or |
medical variance; or |
13. has had his or her medical examiner's certificate, |
medical variance, or both removed or rescinded by the |
|
Federal Motor Carrier Safety Administration; or |
14. failed to self-certify as to the type of driving in |
which the CDL driver engages or expects to engage; or |
15. has submitted acceptable documentation indicating |
out-of-state residency to the Secretary of State to be |
released from the requirement of showing proof of financial |
responsibility in this State ; or . |
16. 15. was convicted of fraud relating to the testing |
or issuance of a CDL or CLP, in which case only the CDL or |
CLP shall be cancelled. After cancellation, the Secretary |
shall not issue a CLP or CDL for a period of one year from |
the date of cancellation. |
(b) Upon such cancellation the licensee or permittee must |
surrender the
license or permit so cancelled to the Secretary |
of State.
|
(c) Except as provided in Sections 6-206.1 and 7-702.1,
the |
Secretary of State
shall have exclusive authority to grant, |
issue, deny, cancel, suspend and
revoke driving privileges, |
drivers' licenses and restricted driving permits.
|
(d) The Secretary of State may adopt rules to implement |
this Section.
|
(Source: P.A. 97-208, eff. 1-1-12; 97-229; eff. 7-28-11; |
97-813, eff. 7-13-12; 97-835, eff. 7-20-12; 98-176, eff. |
7-1-14; 98-178, eff. 1-1-14; revised 9-19-13.)
|
(625 ILCS 5/6-206)
|
|
Sec. 6-206. Discretionary authority to suspend or revoke |
license or
permit; Right to a hearing.
|
(a) The Secretary of State is authorized to suspend or |
revoke the
driving privileges of any person without preliminary |
hearing upon a showing
of the person's records or other |
sufficient evidence that
the person:
|
1. Has committed an offense for which mandatory |
revocation of
a driver's license or permit is required upon |
conviction;
|
2. Has been convicted of not less than 3 offenses |
against traffic
regulations governing the movement of |
vehicles committed within any 12
month period. No |
revocation or suspension shall be entered more than
6 |
months after the date of last conviction;
|
3. Has been repeatedly involved as a driver in motor |
vehicle
collisions or has been repeatedly convicted of |
offenses against laws and
ordinances regulating the |
movement of traffic, to a degree that
indicates lack of |
ability to exercise ordinary and reasonable care in
the |
safe operation of a motor vehicle or disrespect for the |
traffic laws
and the safety of other persons upon the |
highway;
|
4. Has by the unlawful operation of a motor vehicle |
caused or
contributed to an accident resulting in injury |
requiring
immediate professional treatment in a medical |
facility or doctor's office
to any person, except that any |
|
suspension or revocation imposed by the
Secretary of State |
under the provisions of this subsection shall start no
|
later than 6 months after being convicted of violating a |
law or
ordinance regulating the movement of traffic, which |
violation is related
to the accident, or shall start not |
more than one year
after
the date of the accident, |
whichever date occurs later;
|
5. Has permitted an unlawful or fraudulent use of a |
driver's
license, identification card, or permit;
|
6. Has been lawfully convicted of an offense or |
offenses in another
state, including the authorization |
contained in Section 6-203.1, which
if committed within |
this State would be grounds for suspension or revocation;
|
7. Has refused or failed to submit to an examination |
provided for by
Section 6-207 or has failed to pass the |
examination;
|
8. Is ineligible for a driver's license or permit under |
the provisions
of Section 6-103;
|
9. Has made a false statement or knowingly concealed a |
material fact
or has used false information or |
identification in any application for a
license, |
identification card, or permit;
|
10. Has possessed, displayed, or attempted to |
fraudulently use any
license, identification card, or |
permit not issued to the person;
|
11. Has operated a motor vehicle upon a highway of this |
|
State when
the person's driving privilege or privilege to |
obtain a driver's license
or permit was revoked or |
suspended unless the operation was authorized by
a |
monitoring device driving permit, judicial driving permit |
issued prior to January 1, 2009, probationary license to |
drive, or a restricted
driving permit issued under this |
Code;
|
12. Has submitted to any portion of the application |
process for
another person or has obtained the services of |
another person to submit to
any portion of the application |
process for the purpose of obtaining a
license, |
identification card, or permit for some other person;
|
13. Has operated a motor vehicle upon a highway of this |
State when
the person's driver's license or permit was |
invalid under the provisions of
Sections 6-107.1 and
6-110;
|
14. Has committed a violation of Section 6-301, |
6-301.1, or 6-301.2
of this Act, or Section 14, 14A, or 14B |
of the Illinois Identification Card
Act;
|
15. Has been convicted of violating Section 21-2 of the |
Criminal Code
of 1961 or the Criminal Code of 2012 relating |
to criminal trespass to vehicles in which case, the |
suspension
shall be for one year;
|
16. Has been convicted of violating Section 11-204 of |
this Code relating
to fleeing from a peace officer;
|
17. Has refused to submit to a test, or tests, as |
required under Section
11-501.1 of this Code and the person |
|
has not sought a hearing as
provided for in Section |
11-501.1;
|
18. Has, since issuance of a driver's license or |
permit, been adjudged
to be afflicted with or suffering |
from any mental disability or disease;
|
19. Has committed a violation of paragraph (a) or (b) |
of Section 6-101
relating to driving without a driver's |
license;
|
20. Has been convicted of violating Section 6-104 |
relating to
classification of driver's license;
|
21. Has been convicted of violating Section 11-402 of
|
this Code relating to leaving the scene of an accident |
resulting in damage
to a vehicle in excess of $1,000, in |
which case the suspension shall be
for one year;
|
22. Has used a motor vehicle in violating paragraph |
(3), (4), (7), or
(9) of subsection (a) of Section 24-1 of |
the Criminal Code of 1961 or the Criminal Code of 2012 |
relating
to unlawful use of weapons, in which case the |
suspension shall be for one
year;
|
23. Has, as a driver, been convicted of committing a |
violation of
paragraph (a) of Section 11-502 of this Code |
for a second or subsequent
time within one year of a |
similar violation;
|
24. Has been convicted by a court-martial or punished |
by non-judicial
punishment by military authorities of the |
United States at a military
installation in Illinois of or |
|
for a traffic related offense that is the
same as or |
similar to an offense specified under Section 6-205 or |
6-206 of
this Code;
|
25. Has permitted any form of identification to be used |
by another in
the application process in order to obtain or |
attempt to obtain a license,
identification card, or |
permit;
|
26. Has altered or attempted to alter a license or has |
possessed an
altered license, identification card, or |
permit;
|
27. Has violated Section 6-16 of the Liquor Control Act |
of 1934;
|
28. Has been convicted for a first time of the illegal |
possession, while operating or
in actual physical control, |
as a driver, of a motor vehicle, of any
controlled |
substance prohibited under the Illinois Controlled |
Substances
Act, any cannabis prohibited under the Cannabis |
Control
Act, or any methamphetamine prohibited under the |
Methamphetamine Control and Community Protection Act, in |
which case the person's driving privileges shall be |
suspended for
one year.
Any defendant found guilty of this |
offense while operating a motor vehicle,
shall have an |
entry made in the court record by the presiding judge that
|
this offense did occur while the defendant was operating a |
motor vehicle
and order the clerk of the court to report |
the violation to the Secretary
of State;
|
|
29. Has been convicted of the following offenses that |
were committed
while the person was operating or in actual |
physical control, as a driver,
of a motor vehicle: criminal |
sexual assault,
predatory criminal sexual assault of a |
child,
aggravated criminal sexual
assault, criminal sexual |
abuse, aggravated criminal sexual abuse, juvenile
pimping, |
soliciting for a juvenile prostitute, promoting juvenile |
prostitution as described in subdivision (a)(1), (a)(2), |
or (a)(3) of Section 11-14.4 of the Criminal Code of 1961 |
or the Criminal Code of 2012, and the manufacture, sale or
|
delivery of controlled substances or instruments used for |
illegal drug use
or abuse in which case the driver's |
driving privileges shall be suspended
for one year;
|
30. Has been convicted a second or subsequent time for |
any
combination of the offenses named in paragraph 29 of |
this subsection,
in which case the person's driving |
privileges shall be suspended for 5
years;
|
31. Has refused to submit to a test as
required by |
Section 11-501.6 of this Code or Section 5-16c of the Boat |
Registration and Safety Act or has submitted to a test |
resulting in
an alcohol concentration of 0.08 or more or |
any amount of a drug, substance, or
compound resulting from |
the unlawful use or consumption of cannabis as listed
in |
the Cannabis Control Act, a controlled substance as listed |
in the Illinois
Controlled Substances Act, an intoxicating |
compound as listed in the Use of
Intoxicating Compounds |
|
Act, or methamphetamine as listed in the Methamphetamine |
Control and Community Protection Act, in which case the |
penalty shall be
as prescribed in Section 6-208.1;
|
32. Has been convicted of Section 24-1.2 of the |
Criminal Code of
1961 or the Criminal Code of 2012 relating |
to the aggravated discharge of a firearm if the offender |
was
located in a motor vehicle at the time the firearm was |
discharged, in which
case the suspension shall be for 3 |
years;
|
33. Has as a driver, who was less than 21 years of age |
on the date of
the offense, been convicted a first time of |
a violation of paragraph (a) of
Section 11-502 of this Code |
or a similar provision of a local ordinance;
|
34. Has committed a violation of Section 11-1301.5 of |
this Code or a similar provision of a local ordinance;
|
35. Has committed a violation of Section 11-1301.6 of |
this Code or a similar provision of a local ordinance;
|
36. Is under the age of 21 years at the time of arrest |
and has been
convicted of not less than 2 offenses against |
traffic regulations governing
the movement of vehicles |
committed within any 24 month period. No revocation
or |
suspension shall be entered more than 6 months after the |
date of last
conviction;
|
37. Has committed a violation of subsection (c) of |
Section 11-907 of this
Code that resulted in damage to the |
property of another or the death or injury of another;
|
|
38. Has been convicted of a violation of Section 6-20 |
of the Liquor
Control Act of 1934 or a similar provision of |
a local ordinance;
|
39. Has committed a second or subsequent violation of |
Section
11-1201 of this Code;
|
40. Has committed a violation of subsection (a-1) of |
Section 11-908 of
this Code; |
41. Has committed a second or subsequent violation of |
Section 11-605.1 of this Code, a similar provision of a |
local ordinance, or a similar violation in any other state |
within 2 years of the date of the previous violation, in |
which case the suspension shall be for 90 days; |
42. Has committed a violation of subsection (a-1) of |
Section 11-1301.3 of this Code or a similar provision of a |
local ordinance;
|
43. Has received a disposition of court supervision for |
a violation of subsection (a), (d), or (e) of Section 6-20 |
of the Liquor
Control Act of 1934 or a similar provision of |
a local ordinance, in which case the suspension shall be |
for a period of 3 months;
|
44.
Is under the age of 21 years at the time of arrest |
and has been convicted of an offense against traffic |
regulations governing the movement of vehicles after |
having previously had his or her driving privileges
|
suspended or revoked pursuant to subparagraph 36 of this |
Section; |
|
45.
Has, in connection with or during the course of a |
formal hearing conducted under Section 2-118 of this Code: |
(i) committed perjury; (ii) submitted fraudulent or |
falsified documents; (iii) submitted documents that have |
been materially altered; or (iv) submitted, as his or her |
own, documents that were in fact prepared or composed for |
another person; |
46. Has committed a violation of subsection (j) of |
Section 3-413 of this Code; or
|
47. Has committed a violation of Section 11-502.1 of |
this Code. |
For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26, |
and 27 of this
subsection, license means any driver's license, |
any traffic ticket issued when
the person's driver's license is |
deposited in lieu of bail, a suspension
notice issued by the |
Secretary of State, a duplicate or corrected driver's
license, |
a probationary driver's license or a temporary driver's |
license. |
(b) If any conviction forming the basis of a suspension or
|
revocation authorized under this Section is appealed, the
|
Secretary of State may rescind or withhold the entry of the |
order of suspension
or revocation, as the case may be, provided |
that a certified copy of a stay
order of a court is filed with |
the Secretary of State. If the conviction is
affirmed on |
appeal, the date of the conviction shall relate back to the |
time
the original judgment of conviction was entered and the 6 |
|
month limitation
prescribed shall not apply.
|
(c) 1. Upon suspending or revoking the driver's license or |
permit of
any person as authorized in this Section, the |
Secretary of State shall
immediately notify the person in |
writing of the revocation or suspension.
The notice to be |
deposited in the United States mail, postage prepaid,
to the |
last known address of the person.
|
2. If the Secretary of State suspends the driver's |
license
of a person under subsection 2 of paragraph (a) of |
this Section, a
person's privilege to operate a vehicle as |
an occupation shall not be
suspended, provided an affidavit |
is properly completed, the appropriate fee
received, and a |
permit issued prior to the effective date of the
|
suspension, unless 5 offenses were committed, at least 2 of |
which occurred
while operating a commercial vehicle in |
connection with the driver's
regular occupation. All other |
driving privileges shall be suspended by the
Secretary of |
State. Any driver prior to operating a vehicle for
|
occupational purposes only must submit the affidavit on |
forms to be
provided by the Secretary of State setting |
forth the facts of the person's
occupation. The affidavit |
shall also state the number of offenses
committed while |
operating a vehicle in connection with the driver's regular
|
occupation. The affidavit shall be accompanied by the |
driver's license.
Upon receipt of a properly completed |
affidavit, the Secretary of State
shall issue the driver a |
|
permit to operate a vehicle in connection with the
driver's |
regular occupation only. Unless the permit is issued by the
|
Secretary of State prior to the date of suspension, the |
privilege to drive
any motor vehicle shall be suspended as |
set forth in the notice that was
mailed under this Section. |
If an affidavit is received subsequent to the
effective |
date of this suspension, a permit may be issued for the |
remainder
of the suspension period.
|
The provisions of this subparagraph shall not apply to |
any driver
required to possess a CDL for the purpose of |
operating a commercial motor vehicle.
|
Any person who falsely states any fact in the affidavit |
required
herein shall be guilty of perjury under Section |
6-302 and upon conviction
thereof shall have all driving |
privileges revoked without further rights.
|
3. At the conclusion of a hearing under Section 2-118 |
of this Code,
the Secretary of State shall either rescind |
or continue an order of
revocation or shall substitute an |
order of suspension; or, good
cause appearing therefor, |
rescind, continue, change, or extend the
order of |
suspension. If the Secretary of State does not rescind the |
order,
the Secretary may upon application,
to relieve undue |
hardship (as defined by the rules of the Secretary of |
State), issue
a restricted driving permit granting the |
privilege of driving a motor
vehicle between the |
petitioner's residence and petitioner's place of
|
|
employment or within the scope of the petitioner's |
employment related duties, or to
allow the petitioner to |
transport himself or herself, or a family member of the
|
petitioner's household to a medical facility, to receive |
necessary medical care, to allow the petitioner to |
transport himself or herself to and from alcohol or drug
|
remedial or rehabilitative activity recommended by a |
licensed service provider, or to allow the petitioner to |
transport himself or herself or a family member of the |
petitioner's household to classes, as a student, at an |
accredited educational institution, or to allow the |
petitioner to transport children, elderly persons, or |
disabled persons who do not hold driving privileges and are |
living in the petitioner's household to and from daycare. |
The
petitioner must demonstrate that no alternative means |
of
transportation is reasonably available and that the |
petitioner will not endanger
the public safety or welfare. |
Those multiple offenders identified in subdivision (b)4 of |
Section 6-208 of this Code, however, shall not be eligible |
for the issuance of a restricted driving permit.
|
(A) If a person's license or permit is revoked or |
suspended due to 2
or more convictions of violating |
Section 11-501 of this Code or a similar
provision of a |
local ordinance or a similar out-of-state offense, or |
Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, where the use of alcohol or |
|
other drugs is recited as an element of the offense, or |
a similar out-of-state offense, or a combination of |
these offenses, arising out
of separate occurrences, |
that person, if issued a restricted driving permit,
may |
not operate a vehicle unless it has been equipped with |
an ignition
interlock device as defined in Section |
1-129.1.
|
(B) If a person's license or permit is revoked or |
suspended 2 or more
times within a 10 year period due |
to any combination of: |
(i) a single conviction of violating Section
|
11-501 of this Code or a similar provision of a |
local ordinance or a similar
out-of-state offense |
or Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, where the use of alcohol or |
other drugs is recited as an element of the |
offense, or a similar out-of-state offense; or |
(ii) a statutory summary suspension or |
revocation under Section
11-501.1; or |
(iii) a suspension under Section 6-203.1; |
arising out of
separate occurrences; that person, if |
issued a restricted driving permit, may
not operate a |
vehicle unless it has been
equipped with an ignition |
interlock device as defined in Section 1-129.1. |
(C)
The person issued a permit conditioned upon the |
use of an ignition interlock device must pay to the |
|
Secretary of State DUI Administration Fund an amount
|
not to exceed $30 per month. The Secretary shall |
establish by rule the amount
and the procedures, terms, |
and conditions relating to these fees. |
(D) If the
restricted driving permit is issued for |
employment purposes, then the prohibition against |
operating a motor vehicle that is not equipped with an |
ignition interlock device does not apply to the |
operation of an occupational vehicle owned or
leased by |
that person's employer when used solely for employment |
purposes. |
(E) In each case the Secretary may issue a
|
restricted driving permit for a period deemed |
appropriate, except that all
permits shall expire |
within one year from the date of issuance. The |
Secretary
may not, however, issue a restricted driving |
permit to any person whose current
revocation is the |
result of a second or subsequent conviction for a |
violation
of Section 11-501 of this Code or a similar |
provision of a local ordinance
or any similar |
out-of-state offense, or Section 9-3 of the Criminal |
Code of 1961 or the Criminal Code of 2012, where the |
use of alcohol or other drugs is recited as an element |
of the offense, or any similar out-of-state offense, or |
any combination
of those offenses, until the |
expiration of at least one year from the date of
the |
|
revocation. A
restricted driving permit issued under |
this Section shall be subject to
cancellation, |
revocation, and suspension by the Secretary of State in |
like
manner and for like cause as a driver's license |
issued under this Code may be
cancelled, revoked, or |
suspended; except that a conviction upon one or more
|
offenses against laws or ordinances regulating the |
movement of traffic
shall be deemed sufficient cause |
for the revocation, suspension, or
cancellation of a |
restricted driving permit. The Secretary of State may, |
as
a condition to the issuance of a restricted driving |
permit, require the
applicant to participate in a |
designated driver remedial or rehabilitative
program. |
The Secretary of State is authorized to cancel a |
restricted
driving permit if the permit holder does not |
successfully complete the program.
|
(c-3) In the case of a suspension under paragraph 43 of |
subsection (a), reports received by the Secretary of State |
under this Section shall, except during the actual time the |
suspension is in effect, be privileged information and for use |
only by the courts, police officers, prosecuting authorities, |
the driver licensing administrator of any other state, the |
Secretary of State, or the parent or legal guardian of a driver |
under the age of 18. However, beginning January 1, 2008, if the |
person is a CDL holder, the suspension shall also be made |
available to the driver licensing administrator of any other |
|
state, the U.S. Department of Transportation, and the affected |
driver or motor
carrier or prospective motor carrier upon |
request.
|
(c-4) In the case of a suspension under paragraph 43 of |
subsection (a), the Secretary of State shall notify the person |
by mail that his or her driving privileges and driver's license |
will be suspended one month after the date of the mailing of |
the notice.
|
(c-5) The Secretary of State may, as a condition of the |
reissuance of a
driver's license or permit to an applicant |
whose driver's license or permit has
been suspended before he |
or she reached the age of 21 years pursuant to any of
the |
provisions of this Section, require the applicant to |
participate in a
driver remedial education course and be |
retested under Section 6-109 of this
Code.
|
(d) This Section is subject to the provisions of the |
Drivers License
Compact.
|
(e) The Secretary of State shall not issue a restricted |
driving permit to
a person under the age of 16 years whose |
driving privileges have been suspended
or revoked under any |
provisions of this Code.
|
(f) In accordance with 49 C.F.R. 384, the Secretary of |
State may not issue a restricted driving permit for the |
operation of a commercial motor vehicle to a person holding a |
CDL whose driving privileges have been suspended, revoked, |
cancelled, or disqualified under any provisions of this Code. |
|
(Source: P.A. 97-229, eff. 7-28-11; 97-333, eff. 8-12-11; |
97-743, eff. 1-1-13; 97-838, eff. 1-1-13; 97-844, eff. 1-1-13; |
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-103, eff. |
1-1-14; 98-122, eff. 1-1-14; revised 9-19-13.)
|
(625 ILCS 5/6-303) (from Ch. 95 1/2, par. 6-303)
|
Sec. 6-303. Driving while driver's license, permit or |
privilege to
operate a motor vehicle is suspended or revoked.
|
(a) Except as otherwise provided in subsection (a-5), any |
person who drives or is in actual physical control of a motor
|
vehicle on any highway of this State at a time when such |
person's driver's
license, permit or privilege to do so or the |
privilege to obtain a driver's
license or permit is revoked or |
suspended as provided by this Code or the law
of another state, |
except as may be specifically allowed by a judicial driving
|
permit issued prior to January 1, 2009, monitoring device |
driving permit, family financial responsibility driving |
permit, probationary
license to drive, or a restricted driving |
permit issued pursuant to this Code
or under the law of another |
state, shall be guilty of a Class A misdemeanor.
|
(a-3) A second or subsequent violation of subsection (a) of |
this Section is a Class 4 felony if committed by a person whose |
driving or operation of a motor vehicle is the proximate cause |
of a motor vehicle accident that causes personal injury or |
death to another. For purposes of this subsection, a personal |
injury includes any Type A injury as indicated on the traffic |
|
accident report completed by a law enforcement officer that |
requires immediate professional attention in either a doctor's |
office or a medical facility. A Type A injury includes severe |
bleeding wounds, distorted extremities, and injuries that |
require the injured party to be carried from the scene. |
(a-5) Any person who violates this Section as provided in |
subsection (a) while his or her driver's license, permit or |
privilege is revoked because of a violation of Section 9-3 of |
the Criminal Code of 1961 or the Criminal Code of 2012, |
relating to the offense of reckless homicide or a similar |
provision of a law of another state, is guilty of a Class 4 |
felony. The person shall be required to undergo a professional |
evaluation, as provided in Section 11-501 of this Code, to |
determine if an alcohol, drug, or intoxicating compound problem |
exists and the extent of the problem, and to undergo the |
imposition of treatment as appropriate.
|
(a-10) A person's driver's license, permit, or privilege to |
obtain a driver's license or permit may be subject to multiple |
revocations, multiple suspensions, or any combination of both |
simultaneously. No revocation or suspension shall serve to |
negate, invalidate, cancel, postpone, or in any way lessen the |
effect of any other revocation or suspension entered prior or |
subsequent to any other revocation or suspension. |
(b) (Blank). |
(b-1) Upon receiving a report of the conviction of any |
violation indicating a person was operating a motor vehicle |
|
during the time when the person's driver's license, permit or |
privilege was suspended by the Secretary of State or the |
driver's licensing administrator of another state, except as |
specifically allowed by a probationary license, judicial |
driving permit, restricted driving permit or monitoring device |
driving permit the Secretary shall extend the suspension for |
the same period of time as the originally imposed suspension |
unless the suspension has already expired, in which case the |
Secretary shall be authorized to suspend the person's driving |
privileges for the same period of time as the originally |
imposed suspension. |
(b-2) Except as provided in subsection (b-6), upon |
receiving a report of the conviction of any violation |
indicating a person was operating a motor vehicle when the |
person's driver's license, permit or privilege was revoked by |
the Secretary of State or the driver's license administrator of |
any other state, except as specifically allowed by a restricted |
driving permit issued pursuant to this Code or the law of |
another state, the Secretary shall not issue a driver's license |
for an additional period of one year from the date of such |
conviction indicating such person was operating a vehicle |
during such period of revocation. |
(b-3) (Blank).
|
(b-4) When the Secretary of State receives a report of a |
conviction of any violation indicating a person was operating a |
motor vehicle that was not equipped with an ignition interlock |
|
device during a time when the person was prohibited from |
operating a motor vehicle not equipped with such a device, the |
Secretary shall not issue a driver's license to that person for |
an additional period of one year from the date of the |
conviction.
|
(b-5) Any person convicted of violating this Section shall |
serve a minimum
term of imprisonment of 30 consecutive days or |
300
hours of community service
when the person's driving |
privilege was revoked or suspended as a result of a violation |
of Section 9-3 of the Criminal Code of 1961 or the Criminal |
Code of 2012,
relating to the offense of reckless homicide, or |
a similar provision of a law of another state.
|
(b-6) Upon receiving a report of a first conviction of |
operating a motor vehicle while the person's driver's license, |
permit or privilege was revoked where the revocation was for a |
violation of Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012 relating to the offense of reckless |
homicide or a similar out-of-state offense, the Secretary shall |
not issue a driver's license for an additional period of three |
years from the date of such conviction. |
(c) Except as provided in subsections (c-3) and (c-4), any |
person convicted of violating this Section shall serve a |
minimum
term of imprisonment of 10 consecutive days or 30
days |
of community service
when the person's driving privilege was |
revoked or suspended as a result of:
|
(1) a violation of Section 11-501 of this Code or a |
|
similar provision
of a local ordinance relating to the |
offense of operating or being in physical
control of a |
vehicle while under the influence of alcohol, any other |
drug
or any combination thereof; or
|
(2) a violation of paragraph (b) of Section 11-401 of |
this Code or a
similar provision of a local ordinance |
relating to the offense of leaving the
scene of a motor |
vehicle accident involving personal injury or death; or
|
(3)
a statutory summary suspension or revocation under |
Section 11-501.1 of this
Code.
|
Such sentence of imprisonment or community service shall |
not be subject
to suspension in order to reduce such sentence.
|
(c-1) Except as provided in subsections (c-5) and (d), any |
person convicted of a
second violation of this Section shall be |
ordered by the court to serve a
minimum
of 100 hours of |
community service.
|
(c-2) In addition to other penalties imposed under this |
Section, the
court may impose on any person convicted a fourth |
time of violating this
Section any of
the following:
|
(1) Seizure of the license plates of the person's |
vehicle.
|
(2) Immobilization of the person's vehicle for a period |
of time
to be determined by the court.
|
(c-3) Any person convicted of a violation of this Section |
during a period of summary suspension imposed pursuant to |
Section 11-501.1 when the person was eligible for a MDDP shall |
|
be guilty of a Class 4 felony and shall serve a minimum term of |
imprisonment of 30 days. |
(c-4) Any person who has been issued a MDDP and who is |
convicted of a violation of this Section as a result of |
operating or being in actual physical control of a motor |
vehicle not equipped with an ignition interlock device at the |
time of the offense shall be guilty of a Class 4 felony and |
shall serve a minimum term of imprisonment of 30 days.
|
(c-5) Any person convicted of a second violation of this
|
Section is guilty of a Class 2 felony, is not eligible for |
probation or conditional discharge, and shall serve a mandatory |
term of
imprisonment, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a violation |
of Section 9-3 of the Criminal Code of 1961 or the Criminal |
Code of 2012, relating
to the offense of reckless homicide, |
or a similar out-of-state offense; and |
(2) the prior conviction under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 9-3 of the Criminal Code |
of 1961 or the Criminal Code of 2012 relating to the |
offense of reckless homicide, or a similar out-of-state |
offense, or was suspended or revoked for a violation of |
Section 11-401 or 11-501 of this Code, a similar |
out-of-state offense, a similar provision of a local |
ordinance, or a statutory summary suspension or revocation |
|
under Section 11-501.1 of this Code.
|
(d) Any person convicted of a second violation of this
|
Section shall be guilty of a Class 4 felony and shall serve a |
minimum term of
imprisonment of 30 days or 300 hours of |
community service, as determined by the
court, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a violation |
of Section 11-401 or 11-501 of this Code,
a similar |
out-of-state offense, a similar provision of a local
|
ordinance, or a
statutory summary suspension or revocation |
under Section 11-501.1 of this Code; and |
(2) the prior conviction under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 11-401 or 11-501 of this |
Code, a similar out-of-state offense, a similar provision |
of a local ordinance, or a statutory summary suspension or |
revocation under Section 11-501.1 of this Code, or for a |
violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar out-of-state offense.
|
(d-1) Except as provided in subsections (d-2), (d-2.5), and |
(d-3), any
person convicted of
a third or subsequent violation |
of this Section shall serve a minimum term of
imprisonment of |
30 days or 300 hours of community service, as determined by the
|
court.
|
(d-2) Any person convicted of a third violation of this
|
|
Section is guilty of a Class 4 felony and must serve a minimum |
term of
imprisonment of 30 days, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a violation |
of Section 11-401 or 11-501 of this Code,
or a similar |
out-of-state offense, or a similar provision of a local
|
ordinance, or a
statutory summary suspension or revocation |
under Section 11-501.1 of this Code; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 11-401 or 11-501 of this |
Code, a similar out-of-state offense, a similar provision |
of a local ordinance, or a statutory summary suspension or |
revocation under Section 11-501.1 of this Code, or for a |
violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar out-of-state offense.
|
(d-2.5) Any person convicted of a third violation of this
|
Section is guilty of a Class 1 felony, is not eligible for |
probation or conditional discharge, and must serve a mandatory |
term of
imprisonment, if: |
(1) the current violation occurred while the person's |
driver's license was suspended or revoked for a violation |
of Section 9-3 of the Criminal Code of 1961 or the Criminal |
Code of 2012, relating to the offense of reckless homicide, |
or a similar out-of-state offense.
The person's driving |
|
privileges shall be revoked for the remainder of the |
person's life; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 9-3 of the Criminal Code |
of 1961 or the Criminal Code of 2012, relating to the |
offense of reckless homicide, or a similar out-of-state |
offense, or was suspended or revoked for a violation of |
Section 11-401 or 11-501 of this Code, a similar |
out-of-state offense, a similar provision of a local |
ordinance, or a statutory summary suspension or revocation |
under Section 11-501.1 of this Code. |
(d-3) Any person convicted of a fourth, fifth, sixth, |
seventh, eighth, or ninth violation of this
Section is guilty |
of a Class 4 felony and must serve a minimum term of
|
imprisonment of 180 days, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a
violation |
of Section 11-401 or 11-501 of this Code, a similar |
out-of-state
offense, a similar provision of a local |
ordinance, or a statutory
summary suspension or revocation |
under Section 11-501.1 of this Code; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 11-401 or 11-501 of this |
Code, a similar out-of-state offense, a similar provision |
|
of a local ordinance, or a statutory summary suspension or |
revocation under Section 11-501.1 of this Code, or for a |
violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar out-of-state offense.
|
(d-3.5) Any person convicted of a fourth or subsequent |
violation of this
Section is guilty of a Class 1 felony, is not |
eligible for probation or conditional discharge, and must serve |
a mandatory term of
imprisonment, and is eligible for an |
extended term, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a
violation |
of Section 9-3 of the Criminal Code of 1961 or the Criminal |
Code of 2012, relating to the offense of reckless homicide, |
or a similar out-of-state offense; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 9-3 of the Criminal Code |
of 1961 or the Criminal Code of 2012, relating to the |
offense of reckless homicide, or a similar out-of-state |
offense, or was suspended or revoked for a violation of |
Section 11-401 or 11-501 of this Code, a similar |
out-of-state offense, a similar provision of a local |
ordinance, or a statutory summary suspension or revocation |
under Section 11-501.1 of this Code.
|
(d-4) Any person convicted of a tenth, eleventh, twelfth, |
|
thirteenth, or fourteenth violation of this Section is guilty |
of a Class 3 felony, and is not eligible for probation or |
conditional discharge, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a violation |
of Section 11-401 or 11-501 of this Code, or a similar |
out-of-state offense, or a similar provision of a local |
ordinance, or a statutory summary suspension or revocation |
under Section 11-501.1 of this Code; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 11-401 or 11-501 of this |
Code, a similar out-of-state offense, a similar provision |
of a local ordinance, or a statutory suspension or |
revocation under Section 11-501.1 of this Code, or for a |
violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar out-of-state offense. |
(d-5) Any person convicted of a fifteenth or subsequent |
violation of this Section is guilty of a Class 2 felony, and is |
not eligible for probation or conditional discharge, if: |
(1) the current violation occurred when the person's |
driver's license was suspended or revoked for a violation |
of Section 11-401 or 11-501 of this Code, or a similar |
out-of-state offense, or a similar provision of a local |
ordinance, or a statutory summary suspension or revocation |
|
under Section 11-501.1 of this Code; and |
(2) the prior convictions under this Section occurred |
while the person's driver's license was suspended or |
revoked for a violation of Section 11-401 or 11-501 of this |
Code, a similar out-of-state offense, a similar provision |
of a local ordinance, or a statutory summary suspension or |
revocation under Section 11-501.1 of this Code, or for a |
violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar out-of-state offense.
|
(e) Any person in violation of this Section who is also in |
violation of
Section 7-601 of this Code relating to mandatory |
insurance requirements, in
addition to other penalties imposed |
under this Section, shall have his or her
motor vehicle |
immediately impounded by the arresting law enforcement |
officer.
The motor vehicle may be released to any licensed |
driver upon a showing of
proof of insurance for the vehicle |
that was impounded and the notarized written
consent for the |
release by the vehicle owner.
|
(f) For any prosecution under this Section, a certified |
copy of the
driving abstract of the defendant shall be admitted |
as proof of any prior
conviction.
|
(g) The motor vehicle used in a violation of this Section |
is subject
to seizure and forfeiture as provided in Sections |
36-1 and 36-2 of the
Criminal Code of 2012 if the person's |
driving privilege was revoked
or suspended as a result of: |
|
(1) a violation of Section 11-501 of this Code, a |
similar provision
of a local ordinance, or a similar |
provision of a law of another state; |
(2) a violation of paragraph (b) of Section 11-401 of |
this Code, a
similar provision of a local ordinance, or a |
similar provision of a law of another state; |
(3) a statutory summary suspension or revocation under |
Section 11-501.1 of this
Code or a similar provision of a |
law of another state; or |
(4) a violation of Section 9-3 of the Criminal Code of |
1961 or the Criminal Code of 2012 relating to the offense |
of reckless homicide, or a similar provision of a law of |
another state.
|
(Source: P.A. 97-984, eff. 1-1-13; 97-1150, eff. 1-25-13; |
98-285, eff. 1-1-14; 98-418, eff. 8-16-13; 98-573, eff. |
8-27-13; revised 9-19-13.)
|
(625 ILCS 5/6-508) (from Ch. 95 1/2, par. 6-508)
|
(Text of Section before amendment by P.A. 98-176 ) |
Sec. 6-508. Commercial Driver's License (CDL) - |
qualification standards.
|
(a) Testing.
|
(1) General. No person shall be issued an original or |
renewal CDL
unless that person is
domiciled in this State. |
The Secretary shall cause to be administered such
tests as |
the Secretary deems necessary to meet the requirements of |
|
49
C.F.R. Part 383, subparts F, G, H, and J.
|
(2) Third party testing. The Secretary of State state |
may authorize a
"third party tester", pursuant to 49 C.F.R. |
Part 383.75, to administer the
skills test or tests |
specified by the Federal Motor Carrier Safety
|
Administration pursuant to the
Commercial Motor Vehicle |
Safety Act of 1986 and any appropriate federal rule.
|
(b) Waiver of Skills Test. The Secretary of State may waive |
the skills
test specified in this Section for a driver |
applicant for a commercial driver license
who meets the |
requirements of 49 C.F.R. Part 383.77 and Part 383.123.
The |
Secretary of State shall waive the skills tests specified in |
this Section for a driver applicant who has military commercial |
motor vehicle experience, subject to the requirements of 49 |
C.F.R. 383.77.
|
(b-1) No person shall be issued a commercial driver |
instruction permit or CDL unless the person certifies to the |
Secretary one of the following types of driving operations in |
which he or she will be engaged: |
(1) non-excepted interstate; |
(2) non-excepted intrastate; |
(3) excepted interstate; or |
(4) excepted intrastate. |
(b-2) Persons who hold a commercial driver instruction |
permit or CDL on January 30, 2012 must certify to the Secretary |
no later than January 30, 2014 one of the following applicable |
|
self-certifications: |
(1) non-excepted interstate; |
(2) non-excepted intrastate; |
(3) excepted interstate; or |
(4) excepted intrastate. |
(c) Limitations on issuance of a CDL. A CDL, or a |
commercial driver
instruction permit, shall not be issued to a |
person while the person is
subject to a disqualification from |
driving a commercial motor vehicle, or
unless otherwise |
permitted by this Code, while the person's driver's
license is |
suspended, revoked or cancelled in
any state, or any territory |
or province of Canada; nor may a CDL be issued
to a person who |
has a CDL issued by any other state, or foreign
jurisdiction, |
unless the person first surrenders all such
licenses. No CDL |
shall be issued to or renewed for a person who does not
meet |
the requirement of 49 CFR 391.41(b)(11). The requirement may be |
met with
the aid of a hearing aid.
|
(c-1) The Secretary may issue a CDL with a school bus |
driver endorsement
to allow a person to drive the type of bus |
described in subsection (d-5) of
Section 6-104 of this Code. |
The CDL with a school bus driver endorsement may be
issued only |
to a person meeting the following requirements:
|
(1) the person has submitted his or her fingerprints to |
the
Department of State Police in the form and manner
|
prescribed by the Department of State Police. These
|
fingerprints shall be checked against the fingerprint |
|
records
now and hereafter filed in the Department of State |
Police and
Federal Bureau of Investigation criminal |
history records databases;
|
(2) the person has passed a written test, administered |
by the Secretary of
State, on charter bus operation, |
charter bus safety, and certain special
traffic laws
|
relating to school buses determined by the Secretary of |
State to be relevant to
charter buses, and submitted to a |
review of the driver applicant's driving
habits by the |
Secretary of State at the time the written test is given;
|
(3) the person has demonstrated physical fitness to |
operate school buses
by
submitting the results of a medical |
examination, including tests for drug
use; and
|
(4) the person has not been convicted of committing or |
attempting
to commit any
one or more of the following |
offenses: (i) those offenses defined in
Sections 8-1.2, |
9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2, |
10-3.1,
10-4,
10-5, 10-5.1, 10-6, 10-7, 10-9, 11-1.20, |
11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6,
|
11-9, 11-9.1, 11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3, |
11-14.4, 11-15, 11-15.1, 11-16, 11-17, 11-17.1, 11-18, |
11-18.1, 11-19, 11-19.1,
11-19.2,
11-20, 11-20.1, |
11-20.1B, 11-20.3, 11-21, 11-22, 11-23, 11-24, 11-25, |
11-26, 11-30, 12-2.6, 12-3.1, 12-4, 12-4.1, 12-4.2, |
12-4.2-5, 12-4.3, 12-4.4,
12-4.5, 12-4.6, 12-4.7, 12-4.9, |
12-5.01,
12-6, 12-6.2, 12-7.1, 12-7.3, 12-7.4, 12-7.5, |
|
12-11,
12-13, 12-14, 12-14.1, 12-15, 12-16, 12-16.2, |
12-21.5, 12-21.6, 12-33, 12C-5, 12C-10, 12C-20, 12C-30, |
12C-45, 16-16, 16-16.1,
18-1,
18-2,
18-3, 18-4, 18-5, 19-6,
|
20-1, 20-1.1, 20-1.2, 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, |
24-1.2-5, 24-1.6, 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, |
24-3.9, 31A-1, 31A-1.1,
33A-2, and 33D-1, and in subsection |
(b) of Section 8-1, and in subdivisions (a)(1), (a)(2), |
(b)(1), (e)(1), (e)(2), (e)(3), (e)(4), and (f)(1) of |
Section 12-3.05, and in subsection (a) and subsection (b), |
clause (1), of Section
12-4, and in subsection (A), clauses |
(a) and (b), of Section 24-3, and those offenses contained |
in Article 29D of the Criminal Code of 1961 or the Criminal |
Code of 2012; (ii) those offenses defined in the
Cannabis |
Control Act except those offenses defined in subsections |
(a) and
(b) of Section 4, and subsection (a) of Section 5 |
of the Cannabis Control
Act; (iii) those offenses defined |
in the Illinois Controlled Substances
Act; (iv) those |
offenses defined in the Methamphetamine Control and |
Community Protection Act; (v) any offense committed or |
attempted in any other state or against
the laws of the |
United States, which if committed or attempted in this
|
State would be punishable as one or more of the foregoing |
offenses; (vi)
the offenses defined in Sections 4.1 and 5.1 |
of the Wrongs to Children Act or Section 11-9.1A of the |
Criminal Code of 1961 or the Criminal Code of 2012; (vii) |
those offenses defined in Section 6-16 of the Liquor |
|
Control Act of
1934; and (viii) those offenses defined in |
the Methamphetamine Precursor Control Act.
|
The Department of State Police shall charge
a fee for |
conducting the criminal history records check, which shall be
|
deposited into the State Police Services Fund and may not |
exceed the actual
cost of the records check.
|
(c-2) The Secretary shall issue a CDL with a school bus |
endorsement to allow a person to drive a school bus as defined |
in this Section. The CDL shall be issued according to the |
requirements outlined in 49 C.F.R. 383. A person may not |
operate a school bus as defined in this Section without a |
school bus endorsement. The Secretary of State may adopt rules |
consistent with Federal guidelines to implement this |
subsection (c-2).
|
(d) Commercial driver instruction permit. A commercial |
driver
instruction permit may be issued to any person holding a |
valid Illinois
driver's license if such person successfully |
passes such tests as the
Secretary determines to be necessary.
|
A commercial driver instruction permit shall not be issued to a |
person who
does not meet
the requirements of 49 CFR 391.41 |
(b)(11), except for the renewal of a
commercial driver
|
instruction permit for a person who possesses a commercial |
instruction permit
prior to the
effective date of this |
amendatory Act of 1999.
|
(Source: P.A. 97-208, eff. 1-1-12; 97-1108, eff. 1-1-13; |
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-52, eff. |
|
1-1-14; revised 9-19-13.) |
(Text of Section after amendment by P.A. 98-176 )
|
Sec. 6-508. Commercial Driver's License (CDL) - |
qualification standards.
|
(a) Testing.
|
(1) General. No person shall be issued an original or |
renewal CDL
unless that person is
domiciled in this State |
or is applying for a non-domiciled CDL under Sections 6-509 |
and 6-510 of this Code. The Secretary shall cause to be |
administered such
tests as the Secretary deems necessary to |
meet the requirements of 49
C.F.R. Part 383, subparts F, G, |
H, and J.
|
(1.5) Effective July 1, 2014, no person shall be issued |
an original CDL or an upgraded CDL that requires a skills |
test unless that person has held a CLP, for a minimum of 14 |
calendar days, for the classification of vehicle and |
endorsement, if any, for which the person is seeking a CDL. |
(2) Third party testing. The Secretary of State state |
may authorize a
"third party tester", pursuant to 49 C.F.R. |
Part 383.75 and 49 C.F.R. 384.228 and 384.229, to |
administer the
skills test or tests specified by the |
Federal Motor Carrier Safety
Administration pursuant to |
the
Commercial Motor Vehicle Safety Act of 1986 and any |
appropriate federal rule.
|
(b) Waiver of Skills Test. The Secretary of State may waive |
|
the skills
test specified in this Section for a driver |
applicant for a commercial driver license
who meets the |
requirements of 49 C.F.R. Part 383.77.
The Secretary of State |
shall waive the skills tests specified in this Section for a |
driver applicant who has military commercial motor vehicle |
experience, subject to the requirements of 49 C.F.R. 383.77.
|
(b-1) No person shall be issued a CDL unless the person |
certifies to the Secretary one of the following types of |
driving operations in which he or she will be engaged: |
(1) non-excepted interstate; |
(2) non-excepted intrastate; |
(3) excepted interstate; or |
(4) excepted intrastate. |
(b-2) (Blank). |
(c) Limitations on issuance of a CDL. A CDL shall not be |
issued to a person while the person is
subject to a |
disqualification from driving a commercial motor vehicle, or
|
unless otherwise permitted by this Code, while the person's |
driver's
license is suspended, revoked or cancelled in
any |
state, or any territory or province of Canada; nor may a CLP or |
CDL be issued
to a person who has a CLP or CDL issued by any |
other state, or foreign
jurisdiction, nor may a CDL be issued |
to a person who has an Illinois CLP unless the person first |
surrenders all of these
licenses or permits. However, a person |
may hold an Illinois CLP and an Illinois CDL providing the CLP |
is necessary to train or practice for an endorsement or vehicle |
|
classification not present on the current CDL. No CDL shall be |
issued to or renewed for a person who does not
meet the |
requirement of 49 CFR 391.41(b)(11). The requirement may be met |
with
the aid of a hearing aid.
|
(c-1) The Secretary may issue a CDL with a school bus |
driver endorsement
to allow a person to drive the type of bus |
described in subsection (d-5) of
Section 6-104 of this Code. |
The CDL with a school bus driver endorsement may be
issued only |
to a person meeting the following requirements:
|
(1) the person has submitted his or her fingerprints to |
the
Department of State Police in the form and manner
|
prescribed by the Department of State Police. These
|
fingerprints shall be checked against the fingerprint |
records
now and hereafter filed in the Department of State |
Police and
Federal Bureau of Investigation criminal |
history records databases;
|
(2) the person has passed a written test, administered |
by the Secretary of
State, on charter bus operation, |
charter bus safety, and certain special
traffic laws
|
relating to school buses determined by the Secretary of |
State to be relevant to
charter buses, and submitted to a |
review of the driver applicant's driving
habits by the |
Secretary of State at the time the written test is given;
|
(3) the person has demonstrated physical fitness to |
operate school buses
by
submitting the results of a medical |
examination, including tests for drug
use; and
|
|
(4) the person has not been convicted of committing or |
attempting
to commit any
one or more of the following |
offenses: (i) those offenses defined in
Sections 8-1.2, |
9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2, |
10-3.1,
10-4,
10-5, 10-5.1, 10-6, 10-7, 10-9, 11-1.20, |
11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6,
|
11-9, 11-9.1, 11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3, |
11-14.4, 11-15, 11-15.1, 11-16, 11-17, 11-17.1, 11-18, |
11-18.1, 11-19, 11-19.1,
11-19.2,
11-20, 11-20.1, |
11-20.1B, 11-20.3, 11-21, 11-22, 11-23, 11-24, 11-25, |
11-26, 11-30, 12-2.6, 12-3.1, 12-4, 12-4.1, 12-4.2, |
12-4.2-5, 12-4.3, 12-4.4,
12-4.5, 12-4.6, 12-4.7, 12-4.9, |
12-5.01,
12-6, 12-6.2, 12-7.1, 12-7.3, 12-7.4, 12-7.5, |
12-11,
12-13, 12-14, 12-14.1, 12-15, 12-16, 12-16.2, |
12-21.5, 12-21.6, 12-33, 12C-5, 12C-10, 12C-20, 12C-30, |
12C-45, 16-16, 16-16.1,
18-1,
18-2,
18-3, 18-4, 18-5, 19-6,
|
20-1, 20-1.1, 20-1.2, 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, |
24-1.2-5, 24-1.6, 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, |
24-3.9, 31A-1, 31A-1.1,
33A-2, and 33D-1, and in subsection |
(b) of Section 8-1, and in subdivisions (a)(1), (a)(2), |
(b)(1), (e)(1), (e)(2), (e)(3), (e)(4), and (f)(1) of |
Section 12-3.05, and in subsection (a) and subsection (b), |
clause (1), of Section
12-4, and in subsection (A), clauses |
(a) and (b), of Section 24-3, and those offenses contained |
in Article 29D of the Criminal Code of 1961 or the Criminal |
Code of 2012; (ii) those offenses defined in the
Cannabis |
|
Control Act except those offenses defined in subsections |
(a) and
(b) of Section 4, and subsection (a) of Section 5 |
of the Cannabis Control
Act; (iii) those offenses defined |
in the Illinois Controlled Substances
Act; (iv) those |
offenses defined in the Methamphetamine Control and |
Community Protection Act; (v) any offense committed or |
attempted in any other state or against
the laws of the |
United States, which if committed or attempted in this
|
State would be punishable as one or more of the foregoing |
offenses; (vi)
the offenses defined in Sections 4.1 and 5.1 |
of the Wrongs to Children Act or Section 11-9.1A of the |
Criminal Code of 1961 or the Criminal Code of 2012; (vii) |
those offenses defined in Section 6-16 of the Liquor |
Control Act of
1934; and (viii) those offenses defined in |
the Methamphetamine Precursor Control Act.
|
The Department of State Police shall charge
a fee for |
conducting the criminal history records check, which shall be
|
deposited into the State Police Services Fund and may not |
exceed the actual
cost of the records check.
|
(c-2) The Secretary shall issue a CDL with a school bus |
endorsement to allow a person to drive a school bus as defined |
in this Section. The CDL shall be issued according to the |
requirements outlined in 49 C.F.R. 383. A person may not |
operate a school bus as defined in this Section without a |
school bus endorsement. The Secretary of State may adopt rules |
consistent with Federal guidelines to implement this |
|
subsection (c-2).
|
(d) (Blank).
|
(Source: P.A. 97-208, eff. 1-1-12; 97-1108, eff. 1-1-13; |
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-52, eff. |
1-1-14; 98-176, eff. 7-1-14; revised 9-19-13.)
|
(625 ILCS 5/6-514) (from Ch. 95 1/2, par. 6-514)
|
(Text of Section before amendment by P.A. 98-176 )
|
Sec. 6-514. Commercial Driver's License (CDL) - |
Disqualifications.
|
(a) A person shall be disqualified from driving a |
commercial motor
vehicle for a period of not less than 12 |
months for the first violation of:
|
(1) Refusing to submit to or failure to complete a test |
or tests authorized under Section 11-501.1
while driving a |
commercial motor vehicle or, if the driver is a CDL holder, |
while driving a non-CMV; or
|
(2) Operating a commercial motor vehicle while the |
alcohol
concentration of the person's blood, breath or |
urine is at least 0.04, or any
amount of a drug, substance, |
or compound in the person's blood or urine
resulting from |
the unlawful use or consumption of cannabis listed in the
|
Cannabis Control Act, a controlled substance listed in the |
Illinois
Controlled Substances Act, or methamphetamine as |
listed in the Methamphetamine Control and Community |
Protection Act as indicated by a police officer's sworn |
|
report or
other verified evidence; or operating a |
non-commercial motor vehicle while the alcohol |
concentration of the person's blood, breath, or urine was |
above the legal limit defined in Section 11-501.1 or |
11-501.8 or any amount of a drug, substance, or compound in |
the person's blood or urine resulting from the unlawful use |
or consumption of cannabis listed in the Cannabis Control |
Act, a controlled substance listed in the Illinois |
Controlled Substances Act, or methamphetamine as listed in |
the Methamphetamine Control and Community Protection Act
|
as indicated by a police officer's sworn report or other |
verified evidence while holding a commercial driver's |
license; or
|
(3) Conviction for a first violation of:
|
(i) Driving a commercial motor vehicle or, if the |
driver is a CDL holder, driving a non-CMV while under |
the influence of
alcohol, or any other drug, or |
combination of drugs to a degree which
renders such |
person incapable of safely driving; or
|
(ii) Knowingly leaving the scene of an accident |
while
operating a commercial motor vehicle or, if the |
driver is a CDL holder, while driving a non-CMV; or
|
(iii) Driving a commercial motor vehicle or, if the |
driver is a CDL holder, driving a non-CMV while |
committing any felony; or |
(iv) Driving a commercial motor vehicle while the |
|
person's driving privileges or driver's license or |
permit is revoked, suspended, or cancelled or the |
driver is disqualified from operating a commercial |
motor vehicle; or |
(v) Causing a fatality through the negligent |
operation of a commercial motor vehicle, including but |
not limited to the crimes of motor vehicle |
manslaughter, homicide by a motor vehicle, and |
negligent homicide. |
As used in this subdivision (a)(3)(v), "motor |
vehicle manslaughter" means the offense of involuntary |
manslaughter if committed by means of a vehicle; |
"homicide by a motor vehicle" means the offense of |
first degree murder or second degree murder, if either |
offense is committed by means of a vehicle; and |
"negligent homicide" means reckless homicide under |
Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012 and aggravated driving under the |
influence of alcohol, other drug or drugs, |
intoxicating compound or compounds, or any combination |
thereof under subdivision (d)(1)(F) of Section 11-501 |
of this Code.
|
If any of the above violations or refusals occurred |
while
transporting hazardous material(s) required to be |
placarded, the person
shall be disqualified for a period of |
not less than 3 years; or
|
|
(4) If the person is a qualifying patient licensed |
under the Compassionate Use of Medical Cannabis Pilot |
Program Act who is in possession of a valid registry card |
issued under that Act, operating a commercial motor vehicle |
under impairment resulting from the consumption of |
cannabis, as determined by failure of standardized field |
sobriety tests administered by a law enforcement officer as |
directed by subsection (a-5) of Section 11-501.2. |
(b) A person is disqualified for life for a second |
conviction of any of
the offenses specified in paragraph (a), |
or any combination of those
offenses, arising from 2 or more |
separate incidents.
|
(c) A person is disqualified from driving a commercial |
motor vehicle for
life if the person either (i) uses a |
commercial motor vehicle in the commission of any felony
|
involving the manufacture, distribution, or dispensing of a |
controlled
substance, or possession with intent to |
manufacture, distribute or dispense
a controlled substance or |
(ii) if the person is a CDL holder, uses a non-CMV in the |
commission of a felony involving any of those activities.
|
(d) The Secretary of State may, when the United States |
Secretary of
Transportation so authorizes, issue regulations |
in which a disqualification
for life under paragraph (b) may be |
reduced to a period of not less than 10
years.
If a reinstated |
driver is subsequently convicted of another disqualifying
|
offense, as specified in subsection (a) of this Section, he or |
|
she shall be
permanently disqualified for life and shall be |
ineligible to again apply for a
reduction of the lifetime |
disqualification.
|
(e) A person is disqualified from driving a commercial |
motor vehicle for
a period of not less than 2 months if |
convicted of 2 serious traffic
violations, committed in a |
commercial motor vehicle, non-CMV while holding a CDL, or any |
combination thereof, arising from separate
incidents, |
occurring within a 3 year period, provided the serious traffic |
violation committed in a non-CMV would result in the suspension |
or revocation of the CDL holder's non-CMV privileges. However, |
a person will be
disqualified from driving a commercial motor |
vehicle for a period of not less
than 4 months if convicted of |
3 serious traffic violations, committed in a
commercial motor |
vehicle, non-CMV while holding a CDL, or any combination |
thereof, arising from separate incidents, occurring within a 3
|
year period, provided the serious traffic violation committed |
in a non-CMV would result in the suspension or revocation of |
the CDL holder's non-CMV privileges. If all the convictions |
occurred in a non-CMV, the disqualification shall be entered |
only if the convictions would result in the suspension or |
revocation of the CDL holder's non-CMV privileges.
|
(e-1) (Blank).
|
(f) Notwithstanding any other provision of this Code, any |
driver
disqualified from operating a commercial motor vehicle, |
pursuant to this
UCDLA, shall not be eligible for restoration |
|
of commercial driving
privileges during any such period of |
disqualification.
|
(g) After suspending, revoking, or cancelling a commercial |
driver's
license, the Secretary of State must update the |
driver's records to reflect
such action within 10 days. After |
suspending or revoking the driving privilege
of any person who |
has been issued a CDL or commercial driver instruction permit
|
from another jurisdiction, the Secretary shall originate |
notification to
such issuing jurisdiction within 10 days.
|
(h) The "disqualifications" referred to in this Section |
shall not be
imposed upon any commercial motor vehicle driver, |
by the Secretary of
State, unless the prohibited action(s) |
occurred after March 31, 1992.
|
(i) A person is disqualified from driving a commercial |
motor vehicle in
accordance with the following:
|
(1) For 6 months upon a first conviction of paragraph |
(2) of subsection
(b) or subsection (b-3) of Section 6-507 |
of this Code.
|
(2) For 2 years upon a second conviction of paragraph |
(2) of subsection
(b) or subsection (b-3) or any |
combination of paragraphs (2) or (3) of subsection (b) or |
subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the second conviction is a |
violation of paragraph (2) of subsection (b) or subsection |
(b-3).
|
(3) For 3 years upon a third or subsequent conviction |
|
of paragraph (2) of
subsection (b) or subsection (b-3) or |
any combination of paragraphs (2) or (3) of subsection (b) |
or subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the third or subsequent |
conviction is a violation of paragraph (2) of subsection |
(b) or subsection (b-3).
|
(4) For one year upon a first conviction of paragraph |
(3) of subsection
(b) or subsection (b-5) of Section 6-507 |
of this Code.
|
(5) For 3 years upon a second conviction of paragraph |
(3) of subsection
(b) or subsection (b-5) or any |
combination of paragraphs (2) or (3) of subsection (b) or |
subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the second conviction is a |
violation of paragraph (3) of subsection (b) or (b-5).
|
(6) For 5 years upon a third or subsequent conviction |
of paragraph (3) of
subsection (b) or subsection (b-5) or |
any combination of paragraphs (2) or (3) of subsection (b) |
or subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the third or subsequent |
conviction is a violation of paragraph (3) of subsection |
(b) or (b-5).
|
(j) Disqualification for railroad-highway grade crossing
|
violation.
|
(1) General rule. A driver who is convicted of a |
violation of a federal,
State, or
local law or regulation |
|
pertaining to
one of the following 6 offenses at a |
railroad-highway grade crossing must be
disqualified
from |
operating a commercial motor vehicle for the period of time |
specified in
paragraph (2) of this subsection (j) if the |
offense was committed while
operating a commercial motor |
vehicle:
|
(i) For drivers who are not required to always |
stop, failing to
slow down and check that the tracks |
are clear of an approaching train or railroad track |
equipment, as
described in subsection (a-5) of Section |
11-1201 of this Code;
|
(ii) For drivers who are not required to always |
stop, failing to
stop before reaching the crossing, if |
the tracks are not clear, as described in
subsection |
(a) of Section 11-1201 of this Code;
|
(iii) For drivers who are always required to stop, |
failing to stop
before driving onto the crossing, as |
described in Section 11-1202 of this Code;
|
(iv) For all drivers, failing to have sufficient |
space to drive
completely through the crossing without |
stopping, as described in subsection
(b) of Section |
11-1425 of this Code;
|
(v) For all drivers, failing to obey a traffic |
control device or
the directions of an enforcement |
official at the crossing, as described in
subdivision |
(a)2 of Section 11-1201 of this Code;
|
|
(vi) For all drivers, failing to negotiate a |
crossing because of
insufficient undercarriage |
clearance, as described in subsection (d-1) of
Section |
11-1201 of this Code.
|
(2) Duration of disqualification for railroad-highway |
grade
crossing violation.
|
(i) First violation. A driver must be disqualified |
from operating a
commercial motor vehicle
for not less |
than 60 days if the driver is convicted of a violation |
described
in paragraph
(1) of this subsection (j) and, |
in the three-year period preceding the
conviction, the |
driver
had no convictions for a violation described in |
paragraph (1) of this
subsection (j).
|
(ii) Second violation. A driver must be |
disqualified from operating a
commercial
motor vehicle
|
for not less
than 120 days if the driver is convicted
|
of a violation described in paragraph (1) of this |
subsection (j) and, in the
three-year
period preceding |
the conviction, the driver had one other conviction for |
a
violation
described in paragraph (1) of this |
subsection (j) that was committed in a
separate
|
incident.
|
(iii) Third or subsequent violation. A driver must |
be disqualified from
operating a
commercial motor |
vehicle
for not less than one year if the driver is |
convicted
of a violation described in paragraph (1) of |
|
this subsection (j) and, in the
three-year
period |
preceding the conviction, the driver had 2 or more |
other convictions for
violations
described in |
paragraph (1) of this subsection (j) that were |
committed in
separate incidents.
|
(k) Upon notification of a disqualification of a driver's |
commercial motor vehicle privileges imposed by the U.S. |
Department of Transportation, Federal Motor Carrier Safety |
Administration, in accordance with 49 C.F.R. 383.52, the |
Secretary of State shall immediately record to the driving |
record the notice of disqualification and confirm to the driver |
the action that has been taken.
|
(Source: P.A. 97-333, eff. 8-12-11; 97-1150, eff. 1-25-13; |
98-122, eff. 1-1-14.) |
(Text of Section after amendment by P.A. 98-176 )
|
Sec. 6-514. Commercial driver's license (CDL); commercial |
learner's permit (CLP); disqualifications. Commercial Driver's |
License (CDL) - Disqualifications.
|
(a) A person shall be disqualified from driving a |
commercial motor
vehicle for a period of not less than 12 |
months for the first violation of:
|
(1) Refusing to submit to or failure to complete a test |
or tests authorized under Section 11-501.1
while driving a |
commercial motor vehicle or, if the driver is a CLP or CDL |
holder, while driving a non-CMV; or
|
|
(2) Operating a commercial motor vehicle while the |
alcohol
concentration of the person's blood, breath or |
urine is at least 0.04, or any
amount of a drug, substance, |
or compound in the person's blood or urine
resulting from |
the unlawful use or consumption of cannabis listed in the
|
Cannabis Control Act, a controlled substance listed in the |
Illinois
Controlled Substances Act, or methamphetamine as |
listed in the Methamphetamine Control and Community |
Protection Act as indicated by a police officer's sworn |
report or
other verified evidence; or operating a |
non-commercial motor vehicle while the alcohol |
concentration of the person's blood, breath, or urine was |
above the legal limit defined in Section 11-501.1 or |
11-501.8 or any amount of a drug, substance, or compound in |
the person's blood or urine resulting from the unlawful use |
or consumption of cannabis listed in the Cannabis Control |
Act, a controlled substance listed in the Illinois |
Controlled Substances Act, or methamphetamine as listed in |
the Methamphetamine Control and Community Protection Act
|
as indicated by a police officer's sworn report or other |
verified evidence while holding a CLP or CDL; or
|
(3) Conviction for a first violation of:
|
(i) Driving a commercial motor vehicle or, if the |
driver is a CLP or CDL holder, driving a non-CMV while |
under the influence of
alcohol, or any other drug, or |
combination of drugs to a degree which
renders such |
|
person incapable of safely driving; or
|
(ii) Knowingly leaving the scene of an accident |
while
operating a commercial motor vehicle or, if the |
driver is a CLP or CDL holder, while driving a non-CMV; |
or
|
(iii) Driving a commercial motor vehicle or, if the |
driver is a CLP or CDL holder, driving a non-CMV while |
committing any felony; or |
(iv) Driving a commercial motor vehicle while the |
person's driving privileges or driver's license or |
permit is revoked, suspended, or cancelled or the |
driver is disqualified from operating a commercial |
motor vehicle; or |
(v) Causing a fatality through the negligent |
operation of a commercial motor vehicle, including but |
not limited to the crimes of motor vehicle |
manslaughter, homicide by a motor vehicle, and |
negligent homicide. |
As used in this subdivision (a)(3)(v), "motor |
vehicle manslaughter" means the offense of involuntary |
manslaughter if committed by means of a vehicle; |
"homicide by a motor vehicle" means the offense of |
first degree murder or second degree murder, if either |
offense is committed by means of a vehicle; and |
"negligent homicide" means reckless homicide under |
Section 9-3 of the Criminal Code of 1961 or the |
|
Criminal Code of 2012 and aggravated driving under the |
influence of alcohol, other drug or drugs, |
intoxicating compound or compounds, or any combination |
thereof under subdivision (d)(1)(F) of Section 11-501 |
of this Code.
|
If any of the above violations or refusals occurred |
while
transporting hazardous material(s) required to be |
placarded, the person
shall be disqualified for a period of |
not less than 3 years; or
|
(4) If the person is a qualifying patient licensed |
under the Compassionate Use of Medical Cannabis Pilot |
Program Act who is in possession of a valid registry card |
issued under that Act, operating a commercial motor vehicle |
under impairment resulting from the consumption of |
cannabis, as determined by failure of standardized field |
sobriety tests administered by a law enforcement officer as |
directed by subsection (a-5) of Section 11-501.2. |
(b) A person is disqualified for life for a second |
conviction of any of
the offenses specified in paragraph (a), |
or any combination of those
offenses, arising from 2 or more |
separate incidents.
|
(c) A person is disqualified from driving a commercial |
motor vehicle for
life if the person either (i) uses a |
commercial motor vehicle in the commission of any felony
|
involving the manufacture, distribution, or dispensing of a |
controlled
substance, or possession with intent to |
|
manufacture, distribute or dispense
a controlled substance or |
(ii) if the person is a CLP or CDL holder, uses a non-CMV in the |
commission of a felony involving any of those activities.
|
(d) The Secretary of State may, when the United States |
Secretary of
Transportation so authorizes, issue regulations |
in which a disqualification
for life under paragraph (b) may be |
reduced to a period of not less than 10
years.
If a reinstated |
driver is subsequently convicted of another disqualifying
|
offense, as specified in subsection (a) of this Section, he or |
she shall be
permanently disqualified for life and shall be |
ineligible to again apply for a
reduction of the lifetime |
disqualification.
|
(e) A person is disqualified from driving a commercial |
motor vehicle for
a period of not less than 2 months if |
convicted of 2 serious traffic
violations, committed in a |
commercial motor vehicle, non-CMV while holding a CLP or CDL, |
or any combination thereof, arising from separate
incidents, |
occurring within a 3 year period, provided the serious traffic |
violation committed in a non-CMV would result in the suspension |
or revocation of the CLP or CDL holder's non-CMV privileges. |
However, a person will be
disqualified from driving a |
commercial motor vehicle for a period of not less
than 4 months |
if convicted of 3 serious traffic violations, committed in a
|
commercial motor vehicle, non-CMV while holding a CLP or CDL, |
or any combination thereof, arising from separate incidents, |
occurring within a 3
year period, provided the serious traffic |
|
violation committed in a non-CMV would result in the suspension |
or revocation of the CLP or CDL holder's non-CMV privileges. If |
all the convictions occurred in a non-CMV, the disqualification |
shall be entered only if the convictions would result in the |
suspension or revocation of the CLP or CDL holder's non-CMV |
privileges.
|
(e-1) (Blank).
|
(f) Notwithstanding any other provision of this Code, any |
driver
disqualified from operating a commercial motor vehicle, |
pursuant to this
UCDLA, shall not be eligible for restoration |
of commercial driving
privileges during any such period of |
disqualification.
|
(g) After suspending, revoking, or cancelling a CLP or CDL, |
the Secretary of State must update the driver's records to |
reflect
such action within 10 days. After suspending or |
revoking the driving privilege
of any person who has been |
issued a CLP or CDL from another jurisdiction, the Secretary |
shall originate notification to
such issuing jurisdiction |
within 10 days.
|
(h) The "disqualifications" referred to in this Section |
shall not be
imposed upon any commercial motor vehicle driver, |
by the Secretary of
State, unless the prohibited action(s) |
occurred after March 31, 1992.
|
(i) A person is disqualified from driving a commercial |
motor vehicle in
accordance with the following:
|
(1) For 6 months upon a first conviction of paragraph |
|
(2) of subsection
(b) or subsection (b-3) of Section 6-507 |
of this Code.
|
(2) For 2 years upon a second conviction of paragraph |
(2) of subsection
(b) or subsection (b-3) or any |
combination of paragraphs (2) or (3) of subsection (b) or |
subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the second conviction is a |
violation of paragraph (2) of subsection (b) or subsection |
(b-3).
|
(3) For 3 years upon a third or subsequent conviction |
of paragraph (2) of
subsection (b) or subsection (b-3) or |
any combination of paragraphs (2) or (3) of subsection (b) |
or subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the third or subsequent |
conviction is a violation of paragraph (2) of subsection |
(b) or subsection (b-3).
|
(4) For one year upon a first conviction of paragraph |
(3) of subsection
(b) or subsection (b-5) of Section 6-507 |
of this Code.
|
(5) For 3 years upon a second conviction of paragraph |
(3) of subsection
(b) or subsection (b-5) or any |
combination of paragraphs (2) or (3) of subsection (b) or |
subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the second conviction is a |
violation of paragraph (3) of subsection (b) or (b-5).
|
(6) For 5 years upon a third or subsequent conviction |
|
of paragraph (3) of
subsection (b) or subsection (b-5) or |
any combination of paragraphs (2) or (3) of subsection (b) |
or subsections (b-3) or (b-5) of Section 6-507 of this Code |
within a 10-year period if the third or subsequent |
conviction is a violation of paragraph (3) of subsection |
(b) or (b-5).
|
(j) Disqualification for railroad-highway grade crossing
|
violation.
|
(1) General rule. A driver who is convicted of a |
violation of a federal,
State, or
local law or regulation |
pertaining to
one of the following 6 offenses at a |
railroad-highway grade crossing must be
disqualified
from |
operating a commercial motor vehicle for the period of time |
specified in
paragraph (2) of this subsection (j) if the |
offense was committed while
operating a commercial motor |
vehicle:
|
(i) For drivers who are not required to always |
stop, failing to
slow down and check that the tracks |
are clear of an approaching train or railroad track |
equipment, as
described in subsection (a-5) of Section |
11-1201 of this Code;
|
(ii) For drivers who are not required to always |
stop, failing to
stop before reaching the crossing, if |
the tracks are not clear, as described in
subsection |
(a) of Section 11-1201 of this Code;
|
(iii) For drivers who are always required to stop, |
|
failing to stop
before driving onto the crossing, as |
described in Section 11-1202 of this Code;
|
(iv) For all drivers, failing to have sufficient |
space to drive
completely through the crossing without |
stopping, as described in subsection
(b) of Section |
11-1425 of this Code;
|
(v) For all drivers, failing to obey a traffic |
control device or
the directions of an enforcement |
official at the crossing, as described in
subdivision |
(a)2 of Section 11-1201 of this Code;
|
(vi) For all drivers, failing to negotiate a |
crossing because of
insufficient undercarriage |
clearance, as described in subsection (d-1) of
Section |
11-1201 of this Code.
|
(2) Duration of disqualification for railroad-highway |
grade
crossing violation.
|
(i) First violation. A driver must be disqualified |
from operating a
commercial motor vehicle
for not less |
than 60 days if the driver is convicted of a violation |
described
in paragraph
(1) of this subsection (j) and, |
in the three-year period preceding the
conviction, the |
driver
had no convictions for a violation described in |
paragraph (1) of this
subsection (j).
|
(ii) Second violation. A driver must be |
disqualified from operating a
commercial
motor vehicle
|
for not less
than 120 days if the driver is convicted
|
|
of a violation described in paragraph (1) of this |
subsection (j) and, in the
three-year
period preceding |
the conviction, the driver had one other conviction for |
a
violation
described in paragraph (1) of this |
subsection (j) that was committed in a
separate
|
incident.
|
(iii) Third or subsequent violation. A driver must |
be disqualified from
operating a
commercial motor |
vehicle
for not less than one year if the driver is |
convicted
of a violation described in paragraph (1) of |
this subsection (j) and, in the
three-year
period |
preceding the conviction, the driver had 2 or more |
other convictions for
violations
described in |
paragraph (1) of this subsection (j) that were |
committed in
separate incidents.
|
(k) Upon notification of a disqualification of a driver's |
commercial motor vehicle privileges imposed by the U.S. |
Department of Transportation, Federal Motor Carrier Safety |
Administration, in accordance with 49 C.F.R. 383.52, the |
Secretary of State shall immediately record to the driving |
record the notice of disqualification and confirm to the driver |
the action that has been taken.
|
(Source: P.A. 97-333, eff. 8-12-11; 97-1150, eff. 1-25-13; |
98-122, eff. 1-1-14; 98-176, eff. 7-1-14; revised 8-8-13.)
|
(625 ILCS 5/11-208)
(from Ch. 95 1/2, par. 11-208)
|
|
Sec. 11-208. Powers of local authorities.
|
(a) The provisions of this Code shall not be deemed to |
prevent
local authorities with respect to streets and highways |
under their
jurisdiction and within the reasonable exercise of |
the police power from:
|
1. Regulating the standing or parking of vehicles, |
except as
limited by Sections 11-1306 and 11-1307 of this |
Act;
|
2. Regulating traffic by means of police officers or |
traffic control
signals;
|
3. Regulating or prohibiting processions or |
assemblages on the highways; and certifying persons to |
control traffic for processions or assemblages;
|
4. Designating particular highways as one-way highways |
and requiring that
all vehicles thereon be moved in one |
specific direction;
|
5. Regulating the speed of vehicles in public parks |
subject to the
limitations set forth in Section 11-604;
|
6. Designating any highway as a through highway, as |
authorized in Section
11-302, and requiring that all |
vehicles stop before entering or crossing
the same or |
designating any intersection as a stop intersection or a |
yield
right-of-way intersection and requiring all vehicles |
to stop or yield the
right-of-way at one or more entrances |
to such intersections;
|
7. Restricting the use of highways as authorized in |
|
Chapter 15;
|
8. Regulating the operation of bicycles and requiring |
the
registration and licensing of same, including the |
requirement of a
registration fee;
|
9. Regulating or prohibiting the turning of vehicles or |
specified
types of vehicles at intersections;
|
10. Altering the speed limits as authorized in Section |
11-604;
|
11. Prohibiting U-turns;
|
12. Prohibiting pedestrian crossings at other than |
designated and marked
crosswalks or at intersections;
|
13. Prohibiting parking during snow removal operation;
|
14. Imposing fines in accordance with Section |
11-1301.3 as penalties
for use of any parking place |
reserved for persons with disabilities, as defined
by |
Section 1-159.1, or disabled veterans by any person using a |
motor
vehicle not bearing registration plates specified in |
Section 11-1301.1
or a special decal or device as defined |
in Section 11-1301.2
as evidence that the vehicle is |
operated by or for a person
with disabilities or disabled |
veteran;
|
15. Adopting such other traffic regulations as are |
specifically
authorized by this Code; or
|
16. Enforcing the provisions of subsection (f) of |
Section 3-413 of this
Code or a similar local ordinance.
|
(b) No ordinance or regulation enacted under subsections 1, |
|
4, 5, 6, 7,
9, 10, 11 or 13 of paragraph (a) shall be effective |
until signs giving
reasonable notice of such local traffic |
regulations are posted.
|
(c) The provisions of this Code shall not prevent any
|
municipality having a population of 500,000 or more inhabitants |
from
prohibiting any person from driving or operating any motor |
vehicle upon
the roadways of such municipality with headlamps |
on high beam or bright.
|
(d) The provisions of this Code shall not be deemed to |
prevent local
authorities within the reasonable exercise of |
their police power from
prohibiting, on private property, the |
unauthorized use of parking spaces
reserved for persons with |
disabilities.
|
(e) No unit of local government, including a home rule |
unit, may enact or
enforce an ordinance that applies only to |
motorcycles if the principal purpose
for that ordinance is to |
restrict the access of motorcycles to any highway or
portion of |
a highway for which federal or State funds have been used for |
the
planning, design, construction, or maintenance of that |
highway. No unit of
local government, including a home rule |
unit, may enact an ordinance requiring
motorcycle users to wear |
protective headgear. Nothing in this subsection
(e) shall |
affect the authority of a unit of local government to regulate
|
motorcycles for traffic control purposes or in accordance with |
Section 12-602
of this Code. No unit of local government, |
including a home rule unit, may
regulate motorcycles in a |
|
manner inconsistent with this Code. This subsection
(e) is a |
limitation under subsection (i) of Section 6 of Article VII of |
the
Illinois Constitution on the concurrent exercise by home |
rule units of powers
and functions exercised by the State.
|
(f) A municipality or county designated in Section 11-208.6 |
may enact an ordinance providing for an
automated traffic law |
enforcement system to enforce violations of this Code or
a |
similar provision of a local ordinance and imposing liability |
on a registered owner or lessee of a vehicle used in such a |
violation.
|
(g) A municipality or county, as provided in Section |
11-1201.1, may enact an ordinance providing for an automated |
traffic law enforcement system to enforce violations of Section |
11-1201 of this Code or a similar provision of a local |
ordinance and imposing liability on a registered owner of a |
vehicle used in such a violation.
|
(h) A municipality designated in Section 11-208.8 may enact |
an ordinance providing for an
automated speed enforcement |
system to enforce violations of Article VI of Chapter 11 of |
this Code or a similar provision of a local ordinance. |
(i) A municipality or county designated in Section 11-208.9 |
may enact an ordinance providing for an
automated traffic law |
enforcement system to enforce violations of Section 11-1414 of |
this Code or
a similar provision of a local ordinance and |
imposing liability on a registered owner or lessee of a vehicle |
used in such a violation. |
|
(Source: P.A. 97-29, eff. 1-1-12; 97-672, eff. 7-1-12; 98-396, |
eff. 1-1-14; 98-556, eff. 1-1-14; revised 9-19-13.)
|
(625 ILCS 5/11-208.7) |
Sec. 11-208.7. Administrative fees and procedures for |
impounding vehicles for specified violations. |
(a) Any municipality may, consistent with this Section, |
provide by ordinance procedures for the release of properly |
impounded vehicles and for the imposition of a reasonable |
administrative fee related to its administrative and |
processing costs associated with the investigation, arrest, |
and detention of an offender, or the removal, impoundment, |
storage, and release of the vehicle. The administrative fee |
imposed by the municipality may be in addition to any fees
|
charged for the towing and storage of an impounded vehicle. The |
administrative fee shall be waived by the municipality upon |
verifiable proof that the vehicle was stolen at the time the |
vehicle was impounded. |
(b) Any ordinance establishing procedures for the release |
of properly impounded vehicles under this Section may impose |
fees for the following violations: |
(1) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, an offense for |
which a motor vehicle may be seized and forfeited pursuant |
to Section 36-1 of the Criminal Code of 2012; or |
(2) driving under the influence of alcohol, another |
|
drug or drugs, an intoxicating compound or compounds, or |
any combination thereof, in violation of Section 11-501 of |
this Code; or |
(3) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, a felony or in |
violation of the Cannabis Control Act; or |
(4) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, an offense in |
violation of the Illinois Controlled Substances Act; or |
(5) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, an offense in |
violation of Section 24-1, 24-1.5, or 24-3.1 of the |
Criminal Code of 1961 or the Criminal Code of 2012; or |
(6) driving while a driver's license, permit, or |
privilege to operate a motor vehicle is suspended or |
revoked pursuant to Section 6-303 of this Code; except that |
vehicles shall not be subjected to seizure or impoundment |
if the suspension is for an unpaid citation (parking or |
moving) or due to failure to comply with emission testing; |
or |
(7) operation or use of a motor vehicle while |
soliciting, possessing, or attempting to solicit or |
possess cannabis or a controlled substance, as defined by |
the Cannabis Control Act or the Illinois Controlled |
Substances Act; or |
(8) operation or use of a motor vehicle with an expired |
|
driver's license, in violation of Section 6-101 of this |
Code, if the period of expiration is greater than one year; |
or |
(9) operation or use of a motor vehicle without ever |
having been issued a driver's license or permit, in |
violation of Section 6-101 of this Code, or operating a |
motor vehicle without ever having been issued a driver's |
license or permit due to a person's age; or |
(10) operation or use of a motor vehicle by a person |
against whom a warrant has been issued by a circuit clerk |
in Illinois for failing to answer charges that the driver |
violated Section 6-101, 6-303, or 11-501 of this Code; or |
(11) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, an offense in |
violation of Article 16 or 16A of the Criminal Code of 1961 |
or the Criminal Code of 2012; or |
(12) operation or use of a motor vehicle in the |
commission of, or in the attempt to commit, any other
|
misdemeanor or felony offense in violation of the Criminal |
Code of 1961 or the Criminal Code of 2012, when so provided |
by
local ordinance; or |
(13) operation or use of a motor vehicle in violation |
of Section 11-503 of this Code: |
(A) while the vehicle is part of a funeral |
procession; or |
(B) in a manner that interferes with a funeral |
|
procession. |
(c) The following shall apply to any fees imposed for |
administrative and processing costs pursuant to subsection |
(b): |
(1) All administrative fees and towing and storage |
charges shall be imposed on the registered owner of the |
motor vehicle or the agents of that owner. |
(2) The fees shall be in addition to (i) any other |
penalties that may be assessed by a court of law for the |
underlying violations; and (ii) any towing or storage fees, |
or both, charged by the towing company. |
(3) The fees shall be uniform for all similarly |
situated vehicles. |
(4) The fees shall be collected by and paid to the |
municipality imposing the fees. |
(5) The towing or storage fees, or both, shall be |
collected by and paid to the person, firm, or entity that |
tows and stores the impounded vehicle. |
(d) Any ordinance establishing procedures for the release |
of properly impounded vehicles under this Section shall provide |
for an opportunity for a hearing, as provided in subdivision |
(b)(4) of Section 11-208.3 of this Code, and for the release of |
the vehicle to the owner of record, lessee, or a lienholder of |
record upon payment of all administrative fees and towing and |
storage fees. |
(e) Any ordinance establishing procedures for the |
|
impoundment
and release of vehicles under this Section shall |
include the following provisions concerning notice of |
impoundment: |
(1) Whenever
a police officer has cause to believe that |
a motor vehicle is subject to impoundment, the officer
|
shall provide for the towing of the vehicle to a facility |
authorized by the municipality. |
(2) At the
time the vehicle is towed, the municipality |
shall notify or make a reasonable attempt to notify the
|
owner, lessee, or person identifying himself or herself as |
the owner or lessee of the vehicle, or any person
who is |
found to be in control of the vehicle at the time of the |
alleged offense, of the fact of the
seizure, and of the |
vehicle owner's or lessee's right to an administrative |
hearing. |
(3) The municipality shall
also provide notice that the |
motor vehicle will remain impounded pending the completion |
of an
administrative hearing, unless the owner or lessee of |
the vehicle or a lienholder posts with the
municipality a |
bond equal to the administrative fee as provided by |
ordinance and pays for all
towing and storage charges. |
(f) Any ordinance establishing procedures for the |
impoundment and
release of vehicles under this Section shall |
include a provision providing that the
registered owner or |
lessee of the vehicle and any lienholder of record shall be |
provided with a
notice of hearing. The notice shall: |
|
(1) be served upon the owner, lessee, and any |
lienholder of record either by personal service or by first |
class mail to the interested party's address as registered |
with the Secretary of State; |
(2) be served upon interested parties within 10 days |
after a vehicle is impounded by the municipality; and |
(3) contain the date, time, and location of the |
administrative hearing. An
initial hearing shall be |
scheduled and convened no later than 45 days after the date |
of
the mailing of the notice of hearing. |
(g) In addition to the requirements contained in
|
subdivision (b)(4) of Section 11-208.3 of this Code relating to |
administrative hearings, any ordinance providing for the |
impoundment
and release of vehicles under this Section shall |
include the following requirements concerning administrative |
hearings: |
(1) administrative hearings shall be conducted by a |
hearing officer who is an attorney licensed to practice law |
in this State for a minimum of 3 years; |
(2) at the conclusion of the administrative hearing, |
the hearing officer shall issue
a written decision either |
sustaining or overruling the vehicle impoundment; |
(3) if the basis for the vehicle
impoundment is |
sustained by the administrative hearing officer, any |
administrative fee posted to
secure the release of the |
vehicle shall be forfeited to the municipality; |
|
(4) all final decisions of the administrative hearing |
officer shall be subject to
review under the provisions of |
the Administrative Review Law; and |
(5) unless the administrative hearing
officer |
overturns the basis for the vehicle impoundment, no vehicle |
shall be released to the owner, lessee, or lienholder of |
record until
all administrative fees and towing and storage |
charges are paid. |
(h) Vehicles not retrieved from the towing facility or |
storage facility
within 35 days after the administrative |
hearing officer issues a written decision shall be deemed |
abandoned and disposed of in accordance with the provisions of |
Article II of Chapter
4 of this Code. |
(i) Unless stayed by a court of competent jurisdiction, any |
fine, penalty, or administrative fee imposed under this
Section |
which remains unpaid in whole or in part after the expiration |
of the deadline for seeking judicial
review under the |
Administrative Review Law may be enforced in the same manner as |
a judgment entered by a court of
competent jurisdiction.
|
(Source: P.A. 97-109, eff. 1-1-12; 97-1150, eff. 1-25-13; |
98-518, eff. 8-22-13; revised 9-19-13.) |
(625 ILCS 5/11-501) (from Ch. 95 1/2, par. 11-501) |
Sec. 11-501. Driving while under the influence of alcohol, |
other drug or drugs, intoxicating compound or compounds or any |
combination thereof.
|
|
(a) A person shall not drive or be in actual physical |
control of any vehicle within this State while: |
(1) the alcohol concentration in the person's blood or |
breath is 0.08 or more based on the definition of blood and |
breath units in Section 11-501.2; |
(2) under the influence of alcohol; |
(3) under the influence of any intoxicating compound or |
combination of intoxicating compounds to a degree that |
renders the person incapable of driving safely; |
(4) under the influence of any other drug or |
combination of drugs to a degree that renders the person |
incapable of safely driving; |
(5) under the combined influence of alcohol, other drug |
or drugs, or intoxicating compound or compounds to a degree |
that renders the person incapable of safely driving; or |
(6) there is any amount of a drug, substance, or |
compound in the person's breath, blood, or urine resulting |
from the unlawful use or consumption of cannabis listed in |
the Cannabis Control Act, a controlled substance listed in |
the Illinois Controlled Substances Act, an intoxicating |
compound listed in the Use of Intoxicating Compounds Act, |
or methamphetamine as listed in the Methamphetamine |
Control and Community Protection Act.
Subject to all other |
requirements and provisions under this Section, this |
paragraph (6) does not apply to the lawful consumption of |
cannabis by a qualifying patient licensed under the |
|
Compassionate Use of Medical Cannabis Pilot Program Act who |
is in possession of a valid registry card issued under that |
Act, unless that person is impaired by the use of cannabis. |
(b) The fact that any person charged with violating this |
Section is or has been legally entitled to use alcohol, |
cannabis under the Compassionate Use of Medical Cannabis Pilot |
Program Act, other drug or drugs, or intoxicating compound or |
compounds, or any combination thereof, shall not constitute a |
defense against any charge of violating this Section. |
(c) Penalties. |
(1) Except as otherwise provided in this Section, any |
person convicted of violating subsection (a) of this |
Section is guilty of a Class A misdemeanor. |
(2) A person who violates subsection (a) or a similar |
provision a second time shall be sentenced to a mandatory |
minimum term of either 5 days of imprisonment or 240 hours |
of community service in addition to any other criminal or |
administrative sanction. |
(3) A person who violates subsection (a) is subject to |
6 months of imprisonment, an additional mandatory minimum |
fine of $1,000, and 25 days of community service in a |
program benefiting children if the person was transporting |
a person under the age of 16 at the time of the violation. |
(4) A person who violates subsection (a) a first time, |
if the alcohol concentration in his or her blood, breath, |
or urine was 0.16 or more based on the definition of blood, |
|
breath, or urine units in Section 11-501.2, shall be |
subject, in addition to any other penalty that may be |
imposed, to a mandatory minimum of 100 hours of community |
service and a mandatory minimum fine of $500. |
(5) A person who violates subsection (a) a second time, |
if at the time of the second violation the alcohol |
concentration in his or her blood, breath, or urine was |
0.16 or more based on the definition of blood, breath, or |
urine units in Section 11-501.2, shall be subject, in |
addition to any other penalty that may be imposed, to a |
mandatory minimum of 2 days of imprisonment and a mandatory |
minimum fine of $1,250. |
(d) Aggravated driving under the influence of alcohol, |
other drug or drugs, or intoxicating compound or compounds, or |
any combination thereof.
|
(1) Every person convicted of committing a violation of |
this Section shall be guilty of aggravated driving under |
the influence of alcohol, other drug or drugs, or |
intoxicating compound or compounds, or any combination |
thereof if: |
(A) the person committed a violation of subsection |
(a) or a similar provision for the third or subsequent |
time; |
(B) the person committed a violation of subsection |
(a) while driving a school bus with one or more |
passengers on board; |
|
(C) the person in committing a violation of |
subsection (a) was involved in a motor vehicle accident |
that resulted in great bodily harm or permanent |
disability or disfigurement to another, when the |
violation was a proximate cause of the injuries; |
(D) the person committed a violation of subsection |
(a) and has been previously convicted of violating |
Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012 or a similar provision of a law |
of another state relating to reckless homicide in which |
the person was determined to have been under the |
influence of alcohol, other drug or drugs, or |
intoxicating compound or compounds as an element of the |
offense or the person has previously been convicted |
under subparagraph (C) or subparagraph (F) of this |
paragraph (1); |
(E) the person, in committing a violation of |
subsection (a) while driving at any speed in a school |
speed zone at a time when a speed limit of 20 miles per |
hour was in effect under subsection (a) of Section |
11-605 of this Code, was involved in a motor vehicle |
accident that resulted in bodily harm, other than great |
bodily harm or permanent disability or disfigurement, |
to another person, when the violation of subsection (a) |
was a proximate cause of the bodily harm; |
(F) the person, in committing a violation of |
|
subsection (a), was involved in a motor vehicle, |
snowmobile, all-terrain vehicle, or watercraft |
accident that resulted in the death of another person, |
when the violation of subsection (a) was a proximate |
cause of the death; |
(G) the person committed a violation of subsection |
(a) during a period in which the defendant's driving |
privileges are revoked or suspended, where the |
revocation or suspension was for a violation of |
subsection (a) or a similar provision, Section |
11-501.1, paragraph (b) of Section 11-401, or for |
reckless homicide as defined in Section 9-3 of the |
Criminal Code of 1961 or the Criminal Code of 2012; |
(H) the person committed the violation while he or |
she did not possess a driver's license or permit or a |
restricted driving permit or a judicial driving permit |
or a monitoring device driving permit; |
(I) the person committed the violation while he or |
she knew or should have known that the vehicle he or |
she was driving was not covered by a liability |
insurance policy; |
(J) the person in committing a violation of |
subsection (a) was involved in a motor vehicle accident |
that resulted in bodily harm, but not great bodily |
harm, to the child under the age of 16 being |
transported by the person, if the violation was the |
|
proximate cause of the injury; |
(K) the person in committing a second violation of |
subsection (a) or a similar provision was transporting |
a person under the age of 16; or |
(L) the person committed a violation of subsection |
(a) of this Section while transporting one or more |
passengers in a vehicle for-hire. |
(2)(A) Except as provided otherwise, a person |
convicted of aggravated driving under the influence of |
alcohol, other drug or drugs, or intoxicating compound or |
compounds, or any combination thereof is guilty of a Class |
4 felony. |
(B) A third violation of this Section or a similar |
provision is a Class 2 felony. If at the time of the third |
violation the alcohol concentration in his or her blood, |
breath, or urine was 0.16 or more based on the definition |
of blood, breath, or urine units in Section 11-501.2, a |
mandatory minimum of 90 days of imprisonment and a |
mandatory minimum fine of $2,500 shall be imposed in |
addition to any other criminal or administrative sanction. |
If at the time of the third violation, the defendant was |
transporting a person under the age of 16, a mandatory fine |
of $25,000 and 25 days of community service in a program |
benefiting children shall be imposed in addition to any |
other criminal or administrative sanction. |
(C) A fourth violation of this Section or a similar |
|
provision is a Class 2 felony, for which a sentence of |
probation or conditional discharge may not be imposed. If |
at the time of the violation, the alcohol concentration in |
the defendant's blood, breath, or urine was 0.16 or more |
based on the definition of blood, breath, or urine units in |
Section 11-501.2, a mandatory minimum fine of $5,000 shall |
be imposed in addition to any other criminal or |
administrative sanction. If at the time of the fourth |
violation, the defendant was transporting a person under |
the age of 16 a mandatory fine of $25,000 and 25 days of |
community service in a program benefiting children shall be |
imposed in addition to any other criminal or administrative |
sanction. |
(D) A fifth violation of this Section or a similar |
provision is a Class 1 felony, for which a sentence of |
probation or conditional discharge may not be imposed. If |
at the time of the violation, the alcohol concentration in |
the defendant's blood, breath, or urine was 0.16 or more |
based on the definition of blood, breath, or urine units in |
Section 11-501.2, a mandatory minimum fine of $5,000 shall |
be imposed in addition to any other criminal or |
administrative sanction. If at the time of the fifth |
violation, the defendant was transporting a person under |
the age of 16, a mandatory fine of $25,000, and 25 days of |
community service in a program benefiting children shall be |
imposed in addition to any other criminal or administrative |
|
sanction. |
(E) A sixth or subsequent violation of this Section or |
similar provision is a Class X felony. If at the time of |
the violation, the alcohol concentration in the |
defendant's blood, breath, or urine was 0.16 or more based |
on the definition of blood, breath, or urine units in |
Section 11-501.2, a mandatory minimum fine of $5,000 shall |
be imposed in addition to any other criminal or |
administrative sanction. If at the time of the violation, |
the defendant was transporting a person under the age of |
16, a mandatory fine of $25,000 and 25 days of community |
service in a program benefiting children shall be imposed |
in addition to any other criminal or administrative |
sanction. |
(F) For a violation of subparagraph (C) of paragraph |
(1) of this subsection (d), the defendant, if sentenced to |
a term of imprisonment, shall be sentenced to not less than |
one year nor more than 12 years. |
(G) A violation of subparagraph (F) of paragraph (1) of |
this subsection (d) is a Class 2 felony, for which the |
defendant, unless the court determines that extraordinary |
circumstances exist and require probation, shall be |
sentenced to: (i) a term of imprisonment of not less than 3 |
years and not more than 14 years if the violation resulted |
in the death of one person; or (ii) a term of imprisonment |
of not less than 6 years and not more than 28 years if the |
|
violation resulted in the deaths of 2 or more persons. |
(H) For a violation of subparagraph (J) of paragraph |
(1) of this subsection (d), a mandatory fine of $2,500, and |
25 days of community service in a program benefiting |
children shall be imposed in addition to any other criminal |
or administrative sanction. |
(I) A violation of subparagraph (K) of paragraph (1) of |
this subsection (d), is a Class 2 felony and a mandatory |
fine of $2,500, and 25 days of community service in a |
program benefiting children shall be imposed in addition to |
any other criminal or administrative sanction. If the child |
being transported suffered bodily harm, but not great |
bodily harm, in a motor vehicle accident, and the violation |
was the proximate cause of that injury, a mandatory fine of |
$5,000 and 25 days of community service in a program |
benefiting children shall be imposed in addition to any |
other criminal or administrative sanction. |
(J) A violation of subparagraph (D) of paragraph (1) of |
this subsection (d) is a Class 3 felony, for which a |
sentence of probation or conditional discharge may not be |
imposed. |
(3) Any person sentenced under this subsection (d) who |
receives a term of probation or conditional discharge must |
serve a minimum term of either 480 hours of community |
service or 10 days of imprisonment as a condition of the |
probation or conditional discharge in addition to any other |
|
criminal or administrative sanction. |
(e) Any reference to a prior violation of subsection (a) or |
a similar provision includes any violation of a provision of a |
local ordinance or a provision of a law of another state or an |
offense committed on a military installation that is similar to |
a violation of subsection (a) of this Section. |
(f) The imposition of a mandatory term of imprisonment or |
assignment of community service for a violation of this Section |
shall not be suspended or reduced by the court. |
(g) Any penalty imposed for driving with a license that has |
been revoked for a previous violation of subsection (a) of this |
Section shall be in addition to the penalty imposed for any |
subsequent violation of subsection (a). |
(h) For any prosecution under this Section, a certified |
copy of the driving abstract of the defendant shall be admitted |
as proof of any prior conviction.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-122, eff. 1-1-14; |
98-573, eff. 8-27-13; revised 9-19-13.) |
(625 ILCS 5/11-709.2) |
Sec. 11-709.2. Bus on shoulder pilot program. |
(a) For purposes of this Section, "bus on shoulders" is the |
use of specifically designated shoulders of roadways by |
authorized transit buses. The shoulders may be used by transit |
buses at times and locations as set by the Department in |
cooperation with the Regional Transportation Authority and the |
|
Suburban Bus Division of the Regional Transportation |
Authority. |
(b) Commencing on the effective date of this amendatory Act |
of the 97th General Assembly, the Department along with the |
Regional Transportation Authority and Suburban Bus Division of |
the Regional Transportation Authority in cooperation with the |
Illinois State Police shall establish a 5-year pilot program |
within the boundaries of the Regional Transportation Authority |
for transit buses on highways and shoulders. The pilot program |
may be implemented on shoulders of highways as designated by |
the Department in cooperation with the Regional Transportation |
Authority and Suburban Bus Division of the Regional |
Transportation Authority. The Department may adopt rules |
necessary for transit buses to use roadway shoulders. |
(c) After the pilot program established under subsection |
(b) of this Section has been operating for 2 years, the |
Department in cooperation with the Regional Transportation |
Transit Authority, the Suburban Bus Division of the Regional |
Transportation Authority, and the Illinois State Police shall |
issue a report to the General Assembly on the effectiveness of |
the bus on shoulders pilot program.
|
(Source: P.A. 97-292, eff. 8-11-11; revised 11-19-13.)
|
(625 ILCS 5/12-215) (from Ch. 95 1/2, par. 12-215)
|
Sec. 12-215. Oscillating, rotating or flashing lights on |
motor vehicles. Except as otherwise provided in this Code:
|
|
(a) The use of red or white oscillating, rotating or |
flashing lights,
whether lighted or unlighted, is prohibited |
except on:
|
1. Law enforcement vehicles of State, Federal or
local |
authorities;
|
2. A vehicle operated by a police officer or county |
coroner
and designated or authorized by local authorities, |
in writing, as a law
enforcement vehicle; however, such |
designation or authorization must
be carried in the |
vehicle;
|
2.1. A vehicle operated by a fire chief who has |
completed an emergency vehicle operation training course |
approved by the Office of the State Fire Marshal and |
designated or authorized by local authorities, in writing, |
as a fire department, fire protection district, or township |
fire department vehicle; however, the designation or |
authorization must
be carried in the vehicle, and the |
lights may be visible or activated only when responding to |
a bona fide emergency;
|
3. Vehicles of local fire departments and State or |
federal
firefighting vehicles;
|
4. Vehicles which are designed and used exclusively as |
ambulances
or rescue vehicles; furthermore, such lights |
shall not be lighted except
when responding to an emergency |
call for and while actually conveying the
sick or injured;
|
5. Tow trucks licensed in a state that requires such |
|
lights;
furthermore, such lights shall not be lighted on |
any such tow truck while the
tow truck is
operating in the |
State of Illinois;
|
6. Vehicles of the Illinois Emergency Management |
Agency, vehicles of the Office of the Illinois State Fire |
Marshal, vehicles of the Illinois Department of Public |
Health, vehicles of
the
Illinois Department of |
Corrections, and vehicles of the Illinois Department of |
Juvenile Justice;
|
7. Vehicles operated by a local or county emergency |
management
services agency as defined in the Illinois |
Emergency
Management Agency Act;
|
8. School buses operating alternately flashing head |
lamps as permitted
under Section 12-805 of this Code;
|
9. Vehicles that are equipped and used exclusively as |
organ transplant
vehicles when used in combination with |
blue oscillating, rotating, or flashing
lights; |
furthermore, these lights shall be lighted only when the |
transportation
is declared an emergency by a member of the |
transplant team or a representative
of the organ |
procurement organization; and |
10. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response ; and . |
11. Vehicles of the Illinois Department of |
Transportation identified as Emergency Traffic Patrol ; the |
|
. The lights shall not be lighted except when responding to |
an emergency call or when parked or stationary while |
engaged in motor vehicle assistance or at the scene of the |
emergency. |
(b) The use of amber oscillating, rotating or flashing |
lights, whether
lighted or unlighted, is prohibited except on:
|
1. Second division vehicles designed and used for |
towing or hoisting
vehicles; furthermore, such lights |
shall not be lighted except as
required in
this paragraph |
1; such lights shall be lighted
when such vehicles are |
actually being
used at the scene of an accident or
|
disablement; if the towing vehicle is equipped with a flat |
bed that
supports all wheels of the vehicle being |
transported, the lights shall not be
lighted while the |
vehicle is engaged in towing on a highway; if the towing
|
vehicle is not equipped with a flat bed that supports all |
wheels of a vehicle
being transported, the lights shall be |
lighted while the
towing
vehicle is engaged in towing on a |
highway during all
times when the use
of headlights is |
required under Section 12-201 of this Code; in addition, |
these vehicles may use white oscillating, rotating, or |
flashing lights in combination with amber oscillating, |
rotating, or flashing lights as provided in this paragraph;
|
2. Motor vehicles or equipment of the State of |
Illinois, local authorities
and contractors; furthermore, |
such lights shall not be lighted except while
such vehicles |
|
are engaged in maintenance or construction operations |
within
the limits of construction projects;
|
3. Vehicles or equipment used by engineering or survey |
crews;
furthermore, such lights shall not be lighted except |
while such vehicles
are actually engaged in work on a |
highway;
|
4. Vehicles of public utilities, municipalities, or |
other
construction, maintenance or automotive service |
vehicles except that such
lights shall be lighted only as a |
means for indicating the presence of a
vehicular traffic |
hazard requiring unusual care in approaching, overtaking
|
or passing while such vehicles are engaged in maintenance, |
service or
construction on a highway;
|
5. Oversized vehicle or load; however, such lights |
shall only be lighted
when moving under permit issued by |
the Department under Section 15-301
of this Code;
|
6. The front and rear of motorized equipment owned and |
operated by the
State of Illinois or any political |
subdivision thereof, which is designed
and used for removal |
of snow and ice from highways;
|
6.1. (6.1) The front and rear of motorized equipment or |
vehicles that (i) are not owned by the State of Illinois or |
any political subdivision of the State, (ii) are designed |
and used for removal of snow and ice from highways and |
parking lots, and (iii) are equipped with a snow plow that |
is 12 feet in width; these lights may not be lighted except |
|
when the motorized equipment or vehicle is actually being |
used for those purposes on behalf of a unit of government;
|
7. Fleet safety vehicles registered in another state, |
furthermore, such
lights shall not be lighted except as |
provided for in Section 12-212 of
this Code;
|
8. Such other vehicles as may be authorized by local |
authorities;
|
9. Law enforcement vehicles of State or local |
authorities when used in
combination with red oscillating, |
rotating or flashing lights;
|
9.5. Propane delivery trucks;
|
10. Vehicles used for collecting or delivering mail for |
the
United States Postal Service provided that such lights |
shall not be lighted
except when such vehicles are actually |
being used for such purposes;
|
10.5. Vehicles of the Office of the Illinois State Fire |
Marshal, provided that such lights shall not be lighted |
except for when such vehicles are engaged in work for the |
Office of the Illinois State Fire Marshal;
|
11. Any vehicle displaying a slow-moving vehicle |
emblem as
provided in Section 12-205.1;
|
12. All trucks equipped with self-compactors or |
roll-off hoists and
roll-on containers for garbage or |
refuse hauling. Such lights shall not be
lighted except |
when such vehicles are actually being used for such |
purposes;
|
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13. Vehicles used by a security company, alarm |
responder, control
agency, or the Illinois Department of |
Corrections;
|
14. Security vehicles of the Department of Human |
Services; however, the
lights shall not be lighted except |
when being used for security related
purposes under the |
direction of the superintendent of the facility where the
|
vehicle is located; and
|
15. Vehicles of union representatives, except that the |
lights shall be
lighted only while the vehicle is within |
the limits of a construction
project.
|
(c) The use of blue oscillating, rotating or flashing |
lights, whether
lighted or unlighted, is prohibited except on:
|
1. Rescue squad vehicles not owned by a fire department |
and
vehicles owned or operated by a:
|
voluntary firefighter;
|
paid firefighter;
|
part-paid firefighter;
|
call firefighter;
|
member of the board of trustees of a fire |
protection district;
|
paid or unpaid member of a rescue squad;
|
paid or unpaid member of a voluntary ambulance |
unit; or
|
paid or unpaid members of a local or county |
emergency management
services agency as defined in the |
|
Illinois Emergency Management Agency Act,
designated |
or authorized by local authorities, in writing, and |
carrying that
designation or authorization in the |
vehicle.
|
However, such lights are not to be lighted except when |
responding to a
bona fide emergency or when parked or |
stationary at the scene of a fire, rescue call, ambulance |
call, or motor vehicle accident.
|
Any person using these lights in accordance with this |
subdivision (c)1 must carry on his or her person an |
identification card or letter identifying the bona fide |
member of a fire department, fire protection district, |
rescue squad, ambulance unit, or emergency management |
services agency that owns or operates that vehicle. The |
card or letter must include: |
(A) the name of the fire department, fire |
protection district, rescue squad, ambulance unit, or |
emergency management services agency; |
(B) the member's position within the fire |
department, fire protection district, rescue squad, |
ambulance unit, or emergency management services |
agency; |
(C) the member's term of service; and |
(D) the name of a person within the fire |
department, fire protection district, rescue squad, |
ambulance unit, or emergency management services |
|
agency to contact to verify the information provided.
|
2. Police department vehicles in cities having a |
population of 500,000
or more inhabitants.
|
3. Law enforcement vehicles of State or local |
authorities when used in
combination with red oscillating, |
rotating or flashing lights.
|
4. Vehicles of local fire departments and State or |
federal
firefighting vehicles when used in combination |
with red oscillating,
rotating or flashing lights.
|
5. Vehicles which are designed and used exclusively as |
ambulances or
rescue vehicles when used in combination with |
red oscillating, rotating or
flashing lights; furthermore, |
such lights shall not be lighted except when
responding to |
an emergency call.
|
6. Vehicles that are equipped and used exclusively as |
organ transport
vehicles when used in combination with red |
oscillating, rotating, or flashing
lights; furthermore, |
these lights shall only be lighted when the transportation
|
is declared an emergency by a member of the transplant team |
or a
representative of the organ procurement organization.
|
7. Vehicles of the Illinois Emergency Management |
Agency, vehicles of the Office of the Illinois State Fire |
Marshal, vehicles of the Illinois Department of Public |
Health, vehicles of
the
Illinois Department of |
Corrections, and vehicles of the Illinois Department of |
Juvenile Justice, when used in combination with red |
|
oscillating,
rotating, or flashing lights.
|
8. Vehicles operated by a local or county emergency |
management
services agency as defined in the Illinois |
Emergency Management Agency
Act, when used in combination |
with red oscillating, rotating, or
flashing lights.
|
9. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response, when used in combination with red |
oscillating,
rotating, or flashing lights. |
(c-1) In addition to the blue oscillating, rotating, or |
flashing
lights permitted under subsection (c), and |
notwithstanding subsection
(a), a vehicle operated by a |
voluntary firefighter, a voluntary member
of a rescue squad, or |
a member of a voluntary ambulance unit may be
equipped with |
flashing white headlights and blue grill lights, which may
be |
used only in responding to an emergency call or when parked or |
stationary at the scene of a fire, rescue call, ambulance call, |
or motor vehicle accident.
|
(c-2) In addition to the blue oscillating, rotating, or |
flashing
lights permitted under subsection (c), and |
notwithstanding subsection (a),
a vehicle operated by a paid or |
unpaid member of a local or county
emergency management |
services agency as defined in the Illinois Emergency
Management |
Agency Act, may be equipped with white oscillating, rotating,
|
or flashing lights to be used in combination with blue |
oscillating, rotating,
or flashing lights, if authorization by |
|
local authorities is in
writing and carried in the vehicle.
|
(d) The use of a combination of amber and white |
oscillating, rotating or
flashing lights, whether lighted or |
unlighted, is prohibited except on second division vehicles |
designed and used for towing or hoisting
vehicles or motor
|
vehicles or equipment of the State of Illinois, local |
authorities, contractors,
and union representatives; |
furthermore, such lights shall
not be lighted on second |
division vehicles designed and used for towing or hoisting
|
vehicles or vehicles of the State of Illinois, local |
authorities, and
contractors except while such vehicles are |
engaged in a tow operation, highway maintenance, or
|
construction operations within the limits of highway |
construction projects, and
shall not be lighted on the vehicles |
of union representatives except when those
vehicles are within |
the limits of a construction project.
|
(e) All oscillating, rotating or flashing lights referred |
to in this Section
shall be of sufficient intensity, when |
illuminated, to be visible at 500
feet in normal sunlight.
|
(f) Nothing in this Section shall prohibit a manufacturer |
of oscillating,
rotating or flashing lights or his |
representative or authorized vendor from temporarily mounting
|
such lights on a vehicle for demonstration purposes only. If |
the lights are not covered while the vehicle is operated upon a |
highway, the vehicle shall display signage indicating that the |
vehicle is out of service or not an emergency vehicle. The |
|
signage shall be displayed on all sides of the vehicle in |
letters at least 2 inches tall and one-half inch wide. A |
vehicle authorized to have oscillating,
rotating, or flashing |
lights mounted for demonstration purposes may not activate the |
lights while the vehicle is operated upon a highway.
|
(g) Any person violating the provisions of subsections (a), |
(b), (c) or (d)
of this Section who without lawful authority |
stops or detains or attempts
to stop or detain another person |
shall be guilty of a Class 2 felony.
|
(h) Except as provided in subsection (g) above, any person |
violating the
provisions of subsections (a) or (c) of this |
Section shall be guilty of a
Class A misdemeanor.
|
(Source: P.A. 97-39, eff. 1-1-12; 97-149, eff. 7-14-11; 97-813, |
eff. 7-13-12; 97-1173, eff. 1-1-14; 98-80, eff. 7-15-13; |
98-123, eff. 1-1-14; 98-468, eff. 8-16-13; revised 10-17-13.)
|
(625 ILCS 5/12-610.2) |
Sec. 12-610.2. Electronic communication devices. |
(a) As used in this Section: |
"Electronic communication device" means an electronic |
device, including but not limited to a hand-held wireless |
telephone, hand-held personal digital assistant, or a portable |
or mobile computer, but does not include a global positioning |
system or navigation system or a device that is physically or |
electronically integrated into the motor vehicle. |
(b) A person may not operate a motor vehicle on a roadway |
|
while using an electronic communication device. |
(b-5) A person commits aggravated use of an electronic |
communication device when he or she violates subsection (b) and |
in committing the violation he or she was involved in a motor |
vehicle accident that results in great bodily harm, permanent |
disability, disfigurement, or death to another and the |
violation was a proximate cause of the injury or death. |
(c) A second or subsequent violation of this Section is an |
offense against traffic regulations governing the movement of |
vehicles. A person who violates this Section shall be fined a |
maximum of $75 for a first offense, $100 for a second offense, |
$125 for a third offense, and $150 for a fourth or subsequent |
offense. |
(d) This Section does not apply to: |
(1) a law enforcement officer or operator of an |
emergency vehicle while performing his or her official |
duties; |
(2) a driver using an electronic communication device |
for the sole purpose of reporting an emergency situation |
and continued communication with emergency personnel |
during the emergency situation; |
(3) a driver using an electronic communication device |
in hands-free or voice-operated mode, which may include the |
use of a headset; |
(4) a driver of a commercial motor vehicle reading a |
message displayed on a permanently installed communication |
|
device designed for a commercial motor vehicle with a |
screen that does not exceed 10 inches tall by 10 inches |
wide in size; |
(5) a driver using an electronic communication device |
while parked on the shoulder of a roadway; |
(6) a driver using an electronic communication device |
when the vehicle is stopped due to normal traffic being |
obstructed and the driver has the motor vehicle |
transmission in neutral or park;
|
(7) a driver using two-way or citizens band radio |
services; |
(8) a driver using two-way mobile radio transmitters or |
receivers for licensees of the Federal Communications |
Commission in the amateur radio service; |
(9) a driver using an electronic communication device |
by pressing a single button to initiate or terminate a |
voice communication; or |
(10) a driver using an electronic communication device |
capable of performing multiple functions, other than a |
hand-held wireless telephone or hand-held personal digital |
assistant (for example, a fleet management system, |
dispatching device, citizens band radio, or music player) |
for a purpose that is not otherwise prohibited by this |
Section. |
(e) A person convicted of violating subsection (b-5) |
commits a Class A misdemeanor if the violation resulted in |
|
great bodily harm, permanent disability, or disfigurement to |
another. A person convicted of violating subsection (b-5) |
commits a Class 4 felony if the violation resulted in the death |
of another person. |
(Source: P.A. 97-828, eff. 7-20-12; 98-506, eff. 1-1-14; |
98-507, eff. 1-1-14; revised 9-19-13.)
|
(625 ILCS 5/15-111) (from Ch. 95 1/2, par. 15-111)
|
Sec. 15-111. Wheel and axle loads and gross weights.
|
(a) No vehicle or combination of vehicles
with pneumatic |
tires may be operated, unladen or with load,
when the total |
weight on the road surface
exceeds the following: 20,000 pounds |
on a single axle; 34,000 pounds on a tandem axle with
no axle |
within the tandem exceeding 20,000 pounds; 80,000
pounds gross |
weight for vehicle combinations of 5 or more axles;
or a total |
weight on a group of 2 or more consecutive axles in excess of |
that
weight produced by the application of the following |
formula: W = 500 times the
sum of (LN divided by N-1) + 12N + |
36, where "W" equals overall total weight on
any group of 2 or |
more consecutive axles to the nearest 500 pounds, "L" equals
|
the
distance measured to the nearest foot between extremes of |
any group of 2 or
more consecutive axles, and "N" equals the |
number of axles in the group under
consideration.
|
The above formula when expressed in tabular form results in |
allowable loads
as follows:
|
|
Distance measured
|
to the nearest
|
foot between the
|
extremes of any Maximum weight in pounds
|
group of 2 or of any group of
|
more consecutive 2 or more consecutive axles
|
axles
|
|
feet |
2 axles |
3 axles |
4 axles |
5 axles |
6 axles |
|
4 |
34,000 |
| | | |
|
5 |
34,000 |
| | | |
|
6 |
34,000 |
| | | |
|
7 |
34,000 |
| | | |
|
8 |
38,000* |
42,000 |
| | |
|
9 |
39,000 |
42,500 |
| | |
|
10 |
40,000 |
43,500 |
| | |
|
11 |
|
44,000 |
| | |
|
12 |
|
45,000 |
50,000 |
| |
|
13 |
|
45,500 |
50,500 |
| |
|
14 |
|
46,500 |
51,500 |
| |
|
15 |
|
47,000 |
52,000 |
| |
|
16 |
|
48,000 |
52,500 |
58,000 |
|
|
17 |
|
48,500 |
53,500 |
58,500 |
|
|
18 |
|
49,500 |
54,000 |
59,000 |
|
|
19 |
|
50,000 |
54,500 |
60,000 |
|
|
20 |
|
51,000 |
55,500 |
60,500 |
66,000 |
|
21 |
|
51,500 |
56,000 |
61,000 |
66,500 |
|
|
|
22 |
|
52,500 |
56,500 |
61,500 |
67,000 |
|
23 |
|
53,000 |
57,500 |
62,500 |
68,000 |
|
24 |
|
54,000 |
58,000 |
63,000 |
68,500 |
|
25 |
|
54,500 |
58,500 |
63,500 |
69,000 |
|
26 |
|
55,500 |
59,500 |
64,000 |
69,500 |
|
27 |
|
56,000 |
60,000 |
65,000 |
70,000 |
|
28 |
|
57,000 |
60,500 |
65,500 |
71,000 |
|
29 |
|
57,500 |
61,500 |
66,000 |
71,500 |
|
30 |
|
58,500 |
62,000 |
66,500 |
72,000 |
|
31 |
|
59,000 |
62,500 |
67,500 |
72,500 |
|
32 |
|
60,000 |
63,500 |
68,000 |
73,000 |
|
33 |
|
|
64,000 |
68,500 |
74,000 |
|
34 |
|
|
64,500 |
69,000 |
74,500 |
|
35 |
|
|
65,500 |
70,000 |
75,000 |
|
36 |
|
|
66,000 |
70,500 |
75,500 |
|
37 |
|
|
66,500 |
71,000 |
76,000 |
|
38 |
|
|
67,500 |
72,000 |
77,000 |
|
39 |
|
|
68,000 |
72,500 |
77,500 |
|
40 |
|
|
68,500 |
73,000 |
78,000 |
|
41 |
|
|
69,500 |
73,500 |
78,500 |
|
42 |
|
|
70,000 |
74,000 |
79,000 |
|
43 |
|
|
70,500 |
75,000 |
80,000 |
|
44 |
|
|
71,500 |
75,500 |
|
|
45 |
|
|
72,000 |
76,000 |
|
|
46 |
|
|
72,500 |
76,500 |
|
|
47 |
|
|
73,500 |
77,500 |
|
|
|
|
48 |
|
|
74,000 |
78,000 |
|
|
49 |
|
|
74,500 |
78,500 |
|
|
50 |
|
|
75,500 |
79,000 |
|
|
51 |
|
|
76,000 |
80,000 |
|
|
52 |
|
|
76,500 |
| |
|
53 |
|
|
77,500 |
| |
|
54 |
|
|
78,000 |
| |
|
55 |
|
|
78,500 |
| |
|
56 |
|
|
79,500 |
| |
|
57 |
|
|
80,000 |
| |
|
*If the distance between 2 axles is 96 inches or less, the 2 |
axles are
tandem axles and the maximum total weight may not |
exceed 34,000 pounds,
notwithstanding the higher limit |
resulting from the application of the formula.
|
Vehicles not in a combination having more than 4 axles may |
not exceed the
weight in the table in this subsection (a) for 4 |
axles measured between the
extreme axles of the
vehicle.
|
Vehicles in a combination having more than 6 axles may not |
exceed the weight
in the table in this subsection (a) for 6 |
axles measured between the extreme
axles of the
combination.
|
Local authorities, with respect
to streets and highways |
under their jurisdiction, without additional
fees, may also by |
ordinance or resolution allow the weight limitations of this
|
subsection, provided the maximum gross weight on any one axle |
shall not exceed
20,000 pounds and the maximum total weight on |
any tandem axle
shall not exceed
34,000 pounds, on designated |
|
highways when appropriate regulatory signs giving
notice are |
erected upon the street or highway or portion of any street or
|
highway affected by the ordinance or resolution.
|
The following are exceptions to the above formula:
|
(1) Vehicles for which a different limit is established |
and posted in
accordance with Section 15-316 of this Code.
|
(2) Vehicles for which the Department of |
Transportation and local
authorities issue overweight
|
permits under authority of Section 15-301 of this Code. |
These vehicles are
not subject
to the bridge formula.
|
(3) Cities having a population of more than 50,000 may |
permit by
ordinance axle loads on 2 axle motor vehicles 33 |
1/2% above those
provided for herein, but the increase |
shall not become effective until the
city has officially |
notified the Department of the passage of the
ordinance and |
shall not apply to those vehicles when outside of the |
limits
of the city, nor shall the gross weight of any 2 |
axle motor vehicle
operating over any street of the city |
exceed 40,000 pounds.
|
(4) Weight limitations shall not apply to vehicles |
(including loads)
operated by a public utility when |
transporting equipment required for
emergency repair of |
public utility facilities or properties or water wells.
|
(5) Two consecutive sets of tandem axles may carry a |
total weight of
34,000
pounds each if the overall distance |
between the first and last axles of the
consecutive sets of |
|
tandem axles is 36 feet or more, notwithstanding the lower |
limit resulting from the application of the above formula.
|
(6) A truck, not in combination and used exclusively |
for the collection of
rendering materials,
may, when laden, |
transmit upon the road surface,
except when on part of the |
National System of Interstate and Defense
Highways, the
|
following maximum weights:
22,000 pounds on a single axle; |
40,000 pounds on a tandem axle.
|
(7) A truck not in combination, equipped with a self |
compactor or an
industrial roll-off hoist and roll-off |
container, used exclusively for garbage,
refuse, or |
recycling operations, may, when laden, transmit upon the |
road surface,
except when on part of the National System of |
Interstate and Defense
Highways, the following maximum |
weights: 22,000 pounds on a
single axle; 40,000 pounds on a |
tandem axle; 40,000 pounds gross weight on a
2-axle |
vehicle; 54,000 pounds gross weight on a 3-axle vehicle.
|
This vehicle is not subject to the bridge formula.
|
(7.5) A 3-axle rear discharge truck mixer registered as |
a Special Hauling Vehicle, used exclusively for the mixing |
and transportation of concrete in the plastic state, may, |
when laden, transmit upon the road surface, except when on |
part of the National System of Interstate and Defense |
Highways, the following maximum weights: 22,000 pounds on |
single axle; 40,000 pounds on a tandem axle; 54,000 pounds |
gross weight on a 3-axle vehicle. This vehicle is not |
|
subject to the bridge formula. |
(8) Except as provided in paragraph (7.5) of this |
subsection (a), tandem axles on a 3-axle truck registered |
as a Special Hauling
Vehicle, manufactured prior to or in |
the model year of 2024 and
first
registered in Illinois |
prior to January 1, 2025, with a distance
greater than
72 |
inches but not more than 96 inches between any series of 2 |
axles, is
allowed a combined weight on the series not to |
exceed 36,000 pounds and neither
axle of the series may |
exceed 20,000 pounds. Any vehicle of this type
manufactured
|
after the model year of 2024 or first registered in |
Illinois after
December 31,
2024 may not exceed a combined |
weight of 34,000 pounds through the
series of
2 axles and |
neither axle of the series may exceed 20,000 pounds. |
A 3-axle combination sewer cleaning jetting vacuum |
truck registered as a Special Hauling
Vehicle, used |
exclusively for the transportation of
non-hazardous solid |
waste, manufactured before or in the
model year of 2014, |
first registered in Illinois before
January 1, 2015, may, |
when laden, transmit upon the road
surface, except when on |
part of the National System of
Interstate and Defense |
Highways, the following maximum
weights: 22,000 pounds on a |
single axle; 40,000 pounds on a
tandem axle; 54,000 pounds |
gross weight on a 3-axle
vehicle. This vehicle is not |
subject to the bridge formula. |
(9) A 4-axle truck mixer registered as a Special |
|
Hauling Vehicle, used exclusively for the mixing and |
transportation of concrete in the plastic state, 2024 2025 |
and not operated on a highway that is part of the National |
System of Interstate Highways, is allowed the following |
maximum weights: 20,000 pounds on any single axle; 36,000 |
pounds on a series of axles greater than 72 inches but not |
more than 96 inches; and 34,000 pounds on any series of 2 |
axles greater than 40 inches but not more than 72 inches. |
The gross weight of this vehicle may not exceed the weights |
allowed by the bridge formula for 4 axles. The bridge |
formula does not apply to any series of 3 axles while the |
vehicle is transporting concrete in the plastic state, but |
no axle or tandem axle of the series may exceed the maximum |
weight permitted under this paragraph (9) of subsection |
(a). |
(10) Combinations of vehicles, registered as Special |
Hauling Vehicles that
include a semitrailer manufactured |
prior to or in the model year of 2024, and
registered in |
Illinois prior to January 1, 2025, having 5 axles
with a
|
distance of 42 feet or less between extreme axles, may not |
exceed the
following maximum weights: 20,000 pounds on a |
single axle; 34,000 pounds on a
tandem axle; and 72,000 |
pounds gross weight. This combination of vehicles is
not |
subject
to the bridge formula. For all those combinations |
of vehicles that include a
semitrailer manufactured after |
the effective date of P.A. 92-0417, the overall distance |
|
between the first and last
axles of the 2 sets of
tandems |
must be 18 feet 6 inches or
more. Any combination of |
vehicles that has had its cargo
container replaced in its |
entirety after December 31, 2024 may not
exceed
the weights |
allowed by the bridge formula. |
(11) The maximum weight allowed on a vehicle with |
crawler type tracks is 40,000 pounds. |
(12) A combination of vehicles, including a tow truck |
and a disabled vehicle
or disabled combination of vehicles, |
that exceeds the weight restriction
imposed by this Code, |
may be operated on a public highway in this State
provided |
that neither the disabled vehicle nor any vehicle being |
towed nor
the tow truck itself shall exceed the weight |
limitations permitted
under this Chapter. During the |
towing operation, neither the tow truck nor
the vehicle |
combination shall exceed
24,000 pounds on a single
rear |
axle and
44,000 pounds on a tandem rear axle, provided the |
towing vehicle: |
(i) is specifically designed as a tow truck having |
a gross vehicle
weight
rating of at least 18,000 pounds |
and is equipped with air brakes, provided that
air
|
brakes are required only if the towing vehicle is |
towing a vehicle,
semitrailer, or tractor-trailer |
combination that is equipped with air brakes; |
(ii) is equipped with flashing, rotating, or |
oscillating amber lights,
visible for at least 500 feet |
|
in all directions; |
(iii) is capable of utilizing the lighting and |
braking systems of the
disabled vehicle or combination |
of vehicles; and |
(iv) does not engage in a tow exceeding 20 miles |
from the initial point of
wreck or disablement. Any |
additional movement of the vehicles may occur only
upon |
issuance of authorization for that movement under the |
provisions of
Sections 15-301 through 15-319 of this |
Code. The towing vehicle, however,
may tow any disabled |
vehicle to a point where repairs are actually to
occur. |
This movement shall be valid only on State routes.
The |
tower must abide by posted bridge weight
limits. |
Gross weight limits shall not apply to the combination of |
the tow truck
and vehicles being towed. The tow truck license |
plate must cover the
operating empty weight of the tow truck |
only. The weight
of each vehicle being towed shall be covered |
by a valid license plate issued to
the owner or operator of the |
vehicle being towed and displayed on that vehicle.
If no valid |
plate issued to the owner or operator of that vehicle is |
displayed
on that vehicle, or the plate displayed on that |
vehicle does not cover the
weight of the vehicle, the weight of |
the vehicle shall be covered by
the third tow truck plate |
issued to the owner or operator of the tow truck and
|
temporarily affixed to the vehicle being towed. If a roll-back |
carrier is registered and being used as a tow truck, however, |
|
the license plate or plates for the tow truck must cover the |
gross vehicle weight, including any load carried on the bed of |
the roll-back carrier. |
The Department may by rule or regulation prescribe |
additional requirements.
However, nothing in this Code shall |
prohibit a tow truck under
instructions of a police officer |
from legally clearing a disabled vehicle,
that may be in |
violation of weight limitations of this Chapter, from the
|
roadway to the berm or shoulder of the highway.
If in the |
opinion of the police officer that location is unsafe, the |
officer
is authorized to have the disabled vehicle towed to the |
nearest place of
safety. |
For the purpose of this subsection, gross vehicle weight |
rating, or
GVWR, means the value specified by the manufacturer |
as the loaded
weight of the tow truck. |
(b) As used in this Section, "recycling haul" or "recycling |
operation" means the hauling of non-hazardous, non-special, |
non-putrescible materials, such as paper, glass, cans, or |
plastic, for subsequent use in the secondary materials market. |
(c) No vehicle or combination of vehicles equipped with |
pneumatic tires
shall be operated, unladen or with load, upon |
the highways of this State in
violation of the provisions of |
any permit issued under the provisions of
Sections 15-301 |
through 15-319 of this Chapter. |
(d) No vehicle or combination of vehicles equipped with |
other than pneumatic
tires may be operated, unladen or with |
|
load, upon the highways of this State
when the gross weight on |
the road surface through any wheel exceeds 800
pounds per inch |
width of tire tread or when the gross weight on the road
|
surface through any axle exceeds 16,000 pounds.
|
(e) No person shall operate a vehicle or combination of |
vehicles over
a bridge or other elevated structure constituting |
part of a highway with a
gross weight that is greater than the |
maximum weight permitted by the
Department, when the structure |
is sign posted as provided in this Section. |
(f) The Department upon request from any local authority |
shall, or upon
its own initiative may, conduct an investigation |
of any bridge or other
elevated structure constituting a part |
of a highway, and if it finds that
the structure cannot with |
safety to itself withstand the weight of vehicles
otherwise |
permissible under this Code the Department shall determine and
|
declare the maximum weight of vehicles that the structures can |
withstand,
and shall cause or permit suitable signs stating |
maximum weight to be
erected and maintained before each end of |
the structure. No person shall
operate a vehicle or combination |
of vehicles over any structure with a
gross weight that is |
greater than the posted maximum weight.
|
(g) Upon the trial of any person charged with a violation |
of subsection
(e) or (f) of this Section, proof of the |
determination of the maximum
allowable weight by the Department |
and the existence of the signs,
constitutes conclusive evidence |
of the maximum weight that can be
maintained with safety to the |
|
bridge or structure.
|
(Source: P.A. 97-201, eff. 1-1-12; 98-409, eff. 1-1-14; 98-410, |
eff. 8-16-13; revised 9-19-13.)
|
Section 680. The Snowmobile Registration and Safety Act is |
amended by changing Section 1-2.06 as follows:
|
(625 ILCS 40/1-2.06) (from Ch. 95 1/2, par. 601-2.06)
|
Sec. 1-2.06.
"Intoxicating Beverage" means any beverage |
enumerated in the "Liquor
Control Act of 1934 ".
|
(Source: P.A. 78-856; revised 9-23-13.)
|
Section 685. The Circuit Courts Act is amended by changing |
Section 1 as follows:
|
(705 ILCS 35/1) (from Ch. 37, par. 72.1)
|
Sec. 1. Judicial circuits created. The county of Cook shall |
be one
judicial circuit and the State of
Illinois, exclusive of |
the county of Cook, shall be and is divided into
judicial |
circuits as follows:
|
First Circuit--The counties of Alexander, Pulaski, Massac, |
Pope,
Johnson, Union, Jackson, Williamson and Saline.
|
Second Circuit--The counties of Hardin, Gallatin, White, |
Hamilton,
Franklin, Wabash, Edwards, Wayne, Jefferson, |
Richland, Lawrence and
Crawford.
|
Third Circuit--The counties of Madison and Bond.
|
|
Fourth Circuit--The counties of Clinton, Marion, Clay, |
Fayette,
Effingham, Jasper, Montgomery, Shelby and Christian.
|
Fifth Circuit--The counties of Vermilion, Edgar, Clark, |
Cumberland and
Coles.
|
Sixth Circuit--The counties of Champaign, Douglas, |
Moultrie, Macon,
DeWitt and Piatt.
|
Seventh Circuit--The counties of Sangamon, Macoupin, |
Morgan, Scott,
Greene and Jersey.
|
Eighth Circuit--The counties of Adams, Schuyler, Mason, |
Cass, Brown,
Pike, Calhoun and Menard.
|
Ninth Circuit--The counties of Knox, Warren, Henderson, |
Hancock,
McDonough and Fulton.
|
Tenth Circuit--The counties of Peoria, Marshall, Putnam, |
Stark and
Tazewell.
|
Eleventh Circuit--The counties of McLean,
Livingston, |
Logan, Ford and
Woodford.
|
Twelfth Circuit--The county of Will.
|
Thirteenth Circuit--The counties of Bureau, LaSalle and |
Grundy.
|
Fourteenth Circuit--The counties of Rock Island, Mercer, |
Whiteside and
Henry.
|
Fifteenth Circuit--The counties of Jo Daviess JoDaviess , |
Stephenson, Carroll, Ogle
and Lee.
|
Sixteenth Circuit--Before December 3, 2012, the counties |
of Kane, DeKalb, and Kendall. On and after December 3, 2012, |
the County of Kane.
|
|
Seventeenth Circuit--The counties of Winnebago and Boone.
|
Eighteenth Circuit--The county of DuPage.
|
Nineteenth Circuit--Before December 4, 2006, the counties |
of Lake and
McHenry. On and after December 4, 2006, the County |
of Lake.
|
Twentieth Circuit--The counties of Randolph, Monroe, St. |
Clair,
Washington and Perry.
|
Twenty-first Circuit--The counties of Iroquois and |
Kankakee.
|
Twenty-second Circuit--On and after December 4, 2006, the |
County of
McHenry.
|
Twenty-third Circuit--On and after December 3, 2012, the |
counties of DeKalb and Kendall. |
(Source: P.A. 97-585, eff. 8-26-11; revised 11-22-13.)
|
Section 690. The Juvenile Court Act of 1987 is amended by |
changing Sections 1-7, 1-8, 2-10, 2-28, 3-12, 4-9, 5-105, |
5-130, 5-401.5, 5-410, 5-901, 5-905, and 5-915 as follows:
|
(705 ILCS 405/1-7) (from Ch. 37, par. 801-7)
|
Sec. 1-7. Confidentiality of law enforcement records.
|
(A) Inspection and copying of law enforcement records |
maintained by law
enforcement agencies that relate to a minor |
who has been arrested or taken
into custody before his or her |
18th birthday shall be restricted to the
following:
|
(1) Any local, State or federal law enforcement |
|
officers of any
jurisdiction or agency when necessary for |
the discharge of their official
duties during the |
investigation or prosecution of a crime or relating to a
|
minor who has been adjudicated delinquent and there has |
been a previous finding
that the act which constitutes the |
previous offense was committed in
furtherance of criminal |
activities by a criminal street gang, or, when necessary |
for the discharge of its official duties in connection with |
a particular investigation of the conduct of a law |
enforcement officer, an independent agency or its staff |
created by ordinance and charged by a unit of local |
government with the duty of investigating the conduct of |
law enforcement officers. For purposes of
this Section, |
"criminal street gang" has the meaning ascribed to it in
|
Section 10 of the Illinois Streetgang Terrorism Omnibus |
Prevention Act.
|
(2) Prosecutors, probation officers, social workers, |
or other
individuals assigned by the court to conduct a |
pre-adjudication or
pre-disposition investigation, and |
individuals responsible for supervising
or providing |
temporary or permanent care and custody for minors pursuant |
to
the order of the juvenile court, when essential to |
performing their
responsibilities.
|
(3) Prosecutors and probation officers:
|
(a) in the course of a trial when institution of |
criminal proceedings
has been permitted or required |
|
under Section 5-805; or
|
(b) when institution of criminal proceedings has |
been permitted or required under Section 5-805 and such |
minor is the
subject
of a proceeding to determine the |
amount of bail; or
|
(c) when criminal proceedings have been permitted
|
or
required under Section 5-805 and such minor is the |
subject of a
pre-trial
investigation, pre-sentence |
investigation, fitness hearing, or proceedings
on an |
application for probation.
|
(4) Adult and Juvenile Prisoner Review Board.
|
(5) Authorized military personnel.
|
(6) Persons engaged in bona fide research, with the |
permission of the
Presiding Judge of the Juvenile Court and |
the chief executive of the respective
law enforcement |
agency; provided that publication of such research results
|
in no disclosure of a minor's identity and protects the |
confidentiality
of the minor's record.
|
(7) Department of Children and Family Services child |
protection
investigators acting in their official |
capacity.
|
(8) The appropriate school official only if the agency |
or officer believes that there is an imminent threat of |
physical harm to students, school personnel, or others who |
are present in the school or on school grounds. |
(A) Inspection and copying
shall be limited to law |
|
enforcement records transmitted to the appropriate
|
school official or officials whom the school has |
determined to have a legitimate educational or safety |
interest by a local law enforcement agency under a |
reciprocal reporting
system established and maintained |
between the school district and the local law
|
enforcement agency under Section 10-20.14 of the |
School Code concerning a minor
enrolled in a school |
within the school district who has been arrested or |
taken
into custody for any of the following offenses:
|
(i) any violation of Article 24 of the Criminal |
Code of
1961 or the Criminal Code of 2012;
|
(ii) a violation of the Illinois Controlled |
Substances Act;
|
(iii) a violation of the Cannabis Control Act;
|
(iv) a forcible felony as defined in Section |
2-8 of the Criminal Code
of 1961 or the Criminal |
Code of 2012; |
(v) a violation of the Methamphetamine Control |
and Community Protection Act;
|
(vi) a violation of Section 1-2 of the |
Harassing and Obscene Communications Act; |
(vii) a violation of the Hazing Act; or |
(viii) a violation of Section 12-1, 12-2, |
12-3, 12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5, |
12-5, 12-7.3, 12-7.4, 12-7.5, 25-1, or 25-5 of the |
|
Criminal Code of 1961 or the Criminal Code of 2012. |
The information derived from the law enforcement |
records shall be kept separate from and shall not |
become a part of the official school record of that |
child and shall not be a public record. The information |
shall be used solely by the appropriate school official |
or officials whom the school has determined to have a |
legitimate educational or safety interest to aid in the |
proper rehabilitation of the child and to protect the |
safety of students and employees in the school. If the |
designated law enforcement and school officials deem |
it to be in the best interest of the minor, the student |
may be referred to in-school or community based social |
services if those services are available. |
"Rehabilitation services" may include interventions by |
school support personnel, evaluation for eligibility |
for special education, referrals to community-based |
agencies such as youth services, behavioral healthcare |
service providers, drug and alcohol prevention or |
treatment programs, and other interventions as deemed |
appropriate for the student. |
(B) Any information provided to appropriate school |
officials whom the school has determined to have a |
legitimate educational or safety interest by local law |
enforcement officials about a minor who is the subject |
of a current police investigation that is directly |
|
related to school safety shall consist of oral |
information only, and not written law enforcement |
records, and shall be used solely by the appropriate |
school official or officials to protect the safety of |
students and employees in the school and aid in the |
proper rehabilitation of the child. The information |
derived orally from the local law enforcement |
officials shall be kept separate from and shall not |
become a part of the official school record of the |
child and shall not be a public record. This limitation |
on the use of information about a minor who is the |
subject of a current police investigation shall in no |
way limit the use of this information by prosecutors in |
pursuing criminal charges arising out of the |
information disclosed during a police investigation of |
the minor. For purposes of this paragraph, |
"investigation" means an official systematic inquiry |
by a law enforcement agency into actual or suspected |
criminal activity.
|
(9) Mental health professionals on behalf of the |
Illinois Department of
Corrections or the Department of |
Human Services or prosecutors who are
evaluating, |
prosecuting, or investigating a potential or actual |
petition
brought
under the Sexually Violent Persons |
Commitment Act relating to a person who is
the
subject of |
juvenile law enforcement records or the respondent to a |
|
petition
brought under the Sexually Violent Persons |
Commitment Act who is the subject of
the
juvenile law |
enforcement records sought.
Any records and any |
information obtained from those records under this
|
paragraph (9) may be used only in sexually violent persons |
commitment
proceedings.
|
(10) The president of a park district. Inspection and |
copying shall be limited to law enforcement records |
transmitted to the president of the park district by the |
Illinois State Police under Section 8-23 of the Park |
District Code or Section 16a-5 of the Chicago Park District |
Act concerning a person who is seeking employment with that |
park district and who has been adjudicated a juvenile |
delinquent for any of the offenses listed in subsection (c) |
of Section 8-23 of the Park District Code or subsection (c) |
of Section 16a-5 of the Chicago Park District Act.
|
(B)(1) Except as provided in paragraph (2), no law |
enforcement
officer or other person or agency may knowingly |
transmit to the Department of
Corrections or the Department |
of State Police or to the Federal
Bureau of Investigation |
any fingerprint or photograph relating to a minor who
has |
been arrested or taken into custody before his or her 18th |
birthday,
unless the court in proceedings under this Act |
authorizes the transmission or
enters an order under |
Section 5-805 permitting or requiring the
institution of
|
criminal proceedings.
|
|
(2) Law enforcement officers or other persons or |
agencies shall transmit
to the Department of State Police |
copies of fingerprints and descriptions
of all minors who |
have been arrested or taken into custody before their
18th |
birthday for the offense of unlawful use of weapons under |
Article 24 of
the Criminal Code of 1961 or the Criminal |
Code of 2012, a Class X or Class 1 felony, a forcible |
felony as
defined in Section 2-8 of the Criminal Code of |
1961 or the Criminal Code of 2012, or a Class 2 or greater
|
felony under the Cannabis Control Act, the Illinois |
Controlled Substances Act, the Methamphetamine Control and |
Community Protection Act,
or Chapter 4 of the Illinois |
Vehicle Code, pursuant to Section 5 of the
Criminal |
Identification Act. Information reported to the Department |
pursuant
to this Section may be maintained with records |
that the Department files
pursuant to Section 2.1 of the |
Criminal Identification Act. Nothing in this
Act prohibits |
a law enforcement agency from fingerprinting a minor taken |
into
custody or arrested before his or her 18th birthday |
for an offense other than
those listed in this paragraph |
(2).
|
(C) The records of law enforcement officers, or of an |
independent agency created by ordinance and charged by a unit |
of local government with the duty of investigating the conduct |
of law enforcement officers, concerning all minors under
18 |
years of age must be maintained separate from the records of |
|
arrests and
may not be open to public inspection or their |
contents disclosed to the
public except by order of the court |
presiding over matters pursuant to this Act or when the |
institution of criminal
proceedings has been permitted or |
required under Section
5-805 or such a person has been |
convicted of a crime and is the
subject of
pre-sentence |
investigation or proceedings on an application for probation
or |
when provided by law. For purposes of obtaining documents |
pursuant to this Section, a civil subpoena is not an order of |
the court. |
(1) In cases where the law enforcement, or independent |
agency, records concern a pending juvenile court case, the |
party seeking to inspect the records shall provide actual |
notice to the attorney or guardian ad litem of the minor |
whose records are sought. |
(2) In cases where the records concern a juvenile court |
case that is no longer pending, the party seeking to |
inspect the records shall provide actual notice to the |
minor or the minor's parent or legal guardian, and the |
matter shall be referred to the chief judge presiding over |
matters pursuant to this Act. |
(3) In determining whether the records should be |
available for inspection, the court shall consider the |
minor's interest in confidentiality and rehabilitation |
over the moving party's interest in obtaining the |
information. Any records obtained in violation of this |
|
subsection (C) shall not be admissible in any criminal or |
civil proceeding, or operate to disqualify a minor from |
subsequently holding public office or securing employment, |
or operate as a forfeiture of any public benefit, right, |
privilege, or right to receive any license granted by |
public authority.
|
(D) Nothing contained in subsection (C) of this Section |
shall prohibit
the inspection or disclosure to victims and |
witnesses of photographs
contained in the records of law |
enforcement agencies when the
inspection and disclosure is |
conducted in the presence of a law enforcement
officer for the |
purpose of the identification or apprehension of any person
|
subject to the provisions of this Act or for the investigation |
or
prosecution of any crime.
|
(E) Law enforcement officers, and personnel of an |
independent agency created by ordinance and charged by a unit |
of local government with the duty of investigating the conduct |
of law enforcement officers, may not disclose the identity of |
any minor
in releasing information to the general public as to |
the arrest, investigation
or disposition of any case involving |
a minor.
|
(F) Nothing contained in this Section shall prohibit law |
enforcement
agencies from communicating with each other by |
letter, memorandum, teletype or
intelligence alert bulletin or |
other means the identity or other relevant
information |
pertaining to a person under 18 years of age if there are
|
|
reasonable grounds to believe that the person poses a real and |
present danger
to the safety of the public or law enforcement |
officers. The information
provided under this subsection (F) |
shall remain confidential and shall not
be publicly disclosed, |
except as otherwise allowed by law.
|
(G) Nothing in this Section shall prohibit the right of a |
Civil Service
Commission or appointing authority of any state, |
county or municipality
examining the character and fitness of |
an applicant for employment with a law
enforcement agency, |
correctional institution, or fire department
from obtaining |
and examining the
records of any law enforcement agency |
relating to any record of the applicant
having been arrested or |
taken into custody before the applicant's 18th
birthday.
|
(H) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to law |
enforcement records of a minor who has been arrested or taken |
into custody on or after January 1, 2014 ( the effective date of |
Public Act 98-61) this amendatory Act . |
(Source: P.A. 97-700, eff. 6-22-12; 97-1083, eff. 8-24-12; |
97-1104, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-61, eff. |
1-1-14; revised 11-22-13.)
|
(705 ILCS 405/1-8) (from Ch. 37, par. 801-8)
|
Sec. 1-8. Confidentiality and accessibility of juvenile |
court records.
|
(A) Inspection and copying of juvenile court records |
|
relating to a minor
who is the subject of a proceeding under |
this Act shall be restricted to the
following:
|
(1) The minor who is the subject of record, his |
parents, guardian
and counsel.
|
(2) Law enforcement officers and law enforcement |
agencies when such
information is essential to executing an |
arrest or search warrant or other
compulsory process, or to |
conducting an ongoing investigation
or relating to a minor |
who
has been adjudicated delinquent and there has been a |
previous finding that
the act which constitutes the |
previous offense was committed in furtherance
of criminal |
activities by a criminal street gang.
|
Before July 1, 1994, for the purposes of this Section, |
"criminal street
gang" means any ongoing
organization, |
association, or group of 3 or more persons, whether formal |
or
informal, having as one of its primary activities the |
commission of one or
more criminal acts and that has a |
common name or common identifying sign,
symbol or specific |
color apparel displayed, and whose members individually
or |
collectively engage in or have engaged in a pattern of |
criminal activity.
|
Beginning July 1, 1994, for purposes of this Section, |
"criminal street
gang" has the meaning ascribed to it in |
Section 10 of the Illinois Streetgang
Terrorism Omnibus |
Prevention Act.
|
(3) Judges, hearing officers, prosecutors, probation |
|
officers, social
workers or other
individuals assigned by |
the court to conduct a pre-adjudication or
predisposition |
investigation, and individuals responsible for supervising
|
or providing temporary or permanent care and custody for |
minors pursuant
to the order of the juvenile court when |
essential to performing their
responsibilities.
|
(4) Judges, prosecutors and probation officers:
|
(a) in the course of a trial when institution of |
criminal proceedings
has been permitted or required |
under Section 5-805; or
|
(b) when criminal proceedings have been permitted
|
or
required under Section 5-805 and a minor is the |
subject of a
proceeding to
determine the amount of |
bail; or
|
(c) when criminal proceedings have been permitted
|
or
required under Section 5-805 and a minor is the |
subject of a
pre-trial
investigation, pre-sentence |
investigation or fitness hearing, or
proceedings on an |
application for probation; or
|
(d) when a minor becomes 18 years of age or older, |
and is the subject
of criminal proceedings, including a |
hearing to determine the amount of
bail, a pre-trial |
investigation, a pre-sentence investigation, a fitness
|
hearing, or proceedings on an application for |
probation.
|
(5) Adult and Juvenile Prisoner Review Boards.
|
|
(6) Authorized military personnel.
|
(7) Victims, their subrogees and legal |
representatives; however, such
persons shall have access |
only to the name and address of the minor and
information |
pertaining to the disposition or alternative adjustment |
plan
of the juvenile court.
|
(8) Persons engaged in bona fide research, with the |
permission of the
presiding judge of the juvenile court and |
the chief executive of the agency
that prepared the |
particular records; provided that publication of such
|
research results in no disclosure of a minor's identity and |
protects the
confidentiality of the record.
|
(9) The Secretary of State to whom the Clerk of the |
Court shall report
the disposition of all cases, as |
required in Section 6-204 of the Illinois
Vehicle Code. |
However, information reported relative to these offenses |
shall
be privileged and available only to the Secretary of |
State, courts, and police
officers.
|
(10) The administrator of a bonafide substance abuse |
student
assistance program with the permission of the |
presiding judge of the
juvenile court.
|
(11) Mental health professionals on behalf of the |
Illinois Department of
Corrections or the Department of |
Human Services or prosecutors who are
evaluating, |
prosecuting, or investigating a potential or actual |
petition
brought
under the Sexually Violent Persons |
|
Commitment Act relating to a person who is the
subject of
|
juvenile court records or the respondent to a petition |
brought under
the
Sexually Violent Persons Commitment Act, |
who is the subject of juvenile
court records
sought. Any |
records and any information obtained from those records |
under this
paragraph (11) may be used only in sexually |
violent persons commitment
proceedings.
|
(A-1) Findings and exclusions of paternity entered in |
proceedings occurring under Article II of this Act shall be |
disclosed, in a manner and form approved by the Presiding Judge |
of the Juvenile Court, to the Department of Healthcare and |
Family Services when necessary to discharge the duties of the |
Department of Healthcare and Family Services under Article X of |
the Illinois Public Aid Code. |
(B) A minor who is the victim in a juvenile proceeding |
shall be
provided the same confidentiality regarding |
disclosure of identity as the
minor who is the subject of |
record.
|
(C) Except as otherwise provided in this subsection (C), |
juvenile court
records shall not be made available to the |
general public. Subject to the limitations in paragraphs (0.1) |
through (0.4) of this subsection (C), the judge presiding over |
a juvenile court proceeding brought under this Act, in his or |
her discretion, may order that juvenile court records of an |
individual case be made available for inspection upon request |
by a representative of an agency, association, or news media |
|
entity or by a properly interested person. For purposes of |
inspecting documents under this subsection (C), a civil |
subpoena is not an order of the court.
|
(0.1) In cases where the records concern a pending |
juvenile court case, the requesting party seeking to |
inspect the juvenile court records shall provide actual |
notice to the attorney or guardian ad litem of the minor |
whose records are sought. |
(0.2) In cases where the records concern a juvenile |
court case that is no longer pending, the requesting party |
seeking to inspect the juvenile court records shall provide |
actual notice to the minor or the minor's parent or legal |
guardian, and the matter shall be referred to the chief |
judge presiding over matters pursuant to this Act. |
(0.3) In determining whether records should be made |
available for inspection and whether inspection should be |
limited to certain parts of the file, the court shall |
consider the minor's interest in confidentiality and |
rehabilitation over the requesting party's interest in |
obtaining the information. The State's Attorney, the |
minor, and the minor's parents, guardian, and counsel shall |
at all times have the right to examine court files and |
records. |
(0.4) Any records obtained in violation of this |
subsection (C) shall not be admissible in any criminal or |
civil proceeding, or operate to disqualify a minor from |
|
subsequently holding public office, or operate as a |
forfeiture of any public benefit, right, privilege, or |
right to receive any license granted by public authority.
|
(1) The
court shall allow the general public to have |
access to the name, address, and offense of a minor
who is |
adjudicated a delinquent minor under this Act under either |
of the
following circumstances:
|
(A) The
adjudication of
delinquency was based upon |
the
minor's
commission of first degree murder, attempt |
to commit first degree
murder, aggravated criminal |
sexual assault, or criminal sexual assault; or
|
(B) The court has made a finding that the minor was |
at least 13 years of
age
at the time the act was |
committed and the adjudication of delinquency was |
based
upon the minor's commission of: (i)
an act in |
furtherance of the commission of a felony as a member |
of or on
behalf of a criminal street
gang, (ii) an act |
involving the use of a firearm in the commission of a
|
felony, (iii) an act that would be a Class X felony |
offense
under or
the minor's second or subsequent
Class |
2 or greater felony offense under the Cannabis Control |
Act if committed by an adult,
(iv) an act that would be |
a second or subsequent offense under Section 402 of
the |
Illinois Controlled Substances Act if committed by an |
adult, (v) an act
that would be an offense under |
Section 401 of the Illinois Controlled
Substances Act |
|
if committed by an adult, (vi) an act that would be a |
second or subsequent offense under Section 60 of the |
Methamphetamine Control and Community Protection Act, |
or (vii) an act that would be an offense under another |
Section of the Methamphetamine Control and Community |
Protection Act.
|
(2) The court
shall allow the general public to have |
access to the name, address, and offense of a minor who is |
at least 13 years of age at
the time the offense
is |
committed and who is convicted, in criminal proceedings
|
permitted or required under Section 5-4, under either of |
the following
circumstances:
|
(A) The minor has been convicted of first degree |
murder, attempt
to commit first degree
murder, |
aggravated criminal sexual
assault, or criminal sexual |
assault,
|
(B) The court has made a finding that the minor was |
at least 13 years
of age
at the time the offense was |
committed and the conviction was based upon the
minor's |
commission of: (i)
an offense in
furtherance of the |
commission of a felony as a member of or on behalf of a
|
criminal street gang, (ii) an offense
involving the use |
of a firearm in the commission of a felony, (iii)
a |
Class X felony offense under or a second or subsequent |
Class 2 or
greater felony offense under the Cannabis |
Control Act, (iv) a
second or subsequent offense under |
|
Section 402 of the Illinois
Controlled Substances Act, |
(v) an offense under Section 401 of the Illinois
|
Controlled Substances Act, (vi) an act that would be a |
second or subsequent offense under Section 60 of the |
Methamphetamine Control and Community Protection Act, |
or (vii) an act that would be an offense under another |
Section of the Methamphetamine Control and Community |
Protection Act.
|
(D) Pending or following any adjudication of delinquency |
for
any offense defined
in Sections 11-1.20 through 11-1.60 or |
12-13 through 12-16 of the Criminal Code of 1961 or the |
Criminal Code of 2012,
the victim of any such offense shall |
receive the
rights set out in Sections 4 and 6 of the Bill of
|
Rights for Victims and Witnesses of Violent Crime Act; and the
|
juvenile who is the subject of the adjudication, |
notwithstanding any other
provision of this Act, shall be |
treated
as an adult for the purpose of affording such rights to |
the victim.
|
(E) Nothing in this Section shall affect the right of a |
Civil Service
Commission or appointing authority of any state, |
county or municipality
examining the character and fitness of
|
an applicant for employment with a law enforcement
agency, |
correctional institution, or fire department to
ascertain
|
whether that applicant was ever adjudicated to be a delinquent |
minor and,
if so, to examine the records of disposition or |
evidence which were made in
proceedings under this Act.
|
|
(F) Following any adjudication of delinquency for a crime |
which would be
a felony if committed by an adult, or following |
any adjudication of delinquency
for a violation of Section |
24-1, 24-3, 24-3.1, or 24-5
of the Criminal Code of 1961 or the |
Criminal Code of 2012, the State's Attorney shall ascertain
|
whether the minor respondent is enrolled in school and, if so, |
shall provide
a copy of the dispositional order to the |
principal or chief administrative
officer of the school. Access |
to such juvenile records shall be limited
to the principal or |
chief administrative officer of the school and any guidance
|
counselor designated by him.
|
(G) Nothing contained in this Act prevents the sharing or
|
disclosure of information or records relating or pertaining to |
juveniles
subject to the provisions of the Serious Habitual |
Offender Comprehensive
Action Program when that information is |
used to assist in the early
identification and treatment of |
habitual juvenile offenders.
|
(H) When a Court hearing a proceeding under Article II of |
this Act becomes
aware that an earlier proceeding under Article |
II had been heard in a different
county, that Court shall |
request, and the Court in which the earlier
proceedings were |
initiated shall transmit, an authenticated copy of the Court
|
record, including all documents, petitions, and orders filed |
therein and the
minute orders, transcript of proceedings, and |
docket entries of the Court.
|
(I) The Clerk of the Circuit Court shall report to the |
|
Department of
State
Police, in the form and manner required by |
the Department of State Police, the
final disposition of each |
minor who has been arrested or taken into custody
before his or |
her 18th birthday for those offenses required to be reported
|
under Section 5 of the Criminal Identification Act. Information |
reported to
the Department under this Section may be maintained |
with records that the
Department files under Section 2.1 of the |
Criminal Identification Act.
|
(J) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to law |
enforcement records of a minor who has been arrested or taken |
into custody on or after January 1, 2014 ( the effective date of |
Public Act 98-61) this amendatory Act . |
(Source: P.A. 97-813, eff. 7-13-12; 97-1150, eff. 1-25-13; |
98-61, eff. 1-1-14; 98-552, eff. 8-27-13; revised 1-17-14.)
|
(705 ILCS 405/2-10) (from Ch. 37, par. 802-10)
|
Sec. 2-10. Temporary custody hearing. At the appearance of |
the
minor before the court at the temporary custody hearing, |
all
witnesses present shall be examined before the court in |
relation to any
matter connected with the allegations made in |
the petition.
|
(1) If the court finds that there is not probable cause to |
believe
that the minor is abused, neglected or dependent it |
shall release
the minor and dismiss the petition.
|
(2) If the court finds that there is probable cause to |
|
believe that
the minor is abused, neglected or dependent, the |
court shall state in writing
the factual basis supporting its |
finding and the minor, his or her parent,
guardian, custodian |
and other persons able to give relevant testimony
shall be |
examined before the court. The Department of Children and
|
Family Services shall give testimony concerning indicated |
reports of abuse
and neglect, of which they are aware of |
through the central registry,
involving the minor's parent, |
guardian or custodian. After such
testimony, the court may, |
consistent with
the health,
safety and best interests of the |
minor,
enter an order that the minor shall be released
upon the |
request of parent, guardian or custodian if the parent, |
guardian
or custodian appears to take custody. If it is |
determined that a parent's, guardian's, or custodian's |
compliance with critical services mitigates the necessity for |
removal of the minor from his or her home, the court may enter |
an Order of Protection setting forth reasonable conditions of |
behavior that a parent, guardian, or custodian must observe for |
a specified period of time, not to exceed 12 months, without a |
violation; provided, however, that the 12-month period shall |
begin anew after any violation. Custodian shall include any |
agency of
the State which has been given custody or wardship of |
the child. If it is
consistent with the health, safety and best |
interests of the
minor, the
court may also prescribe shelter |
care and
order that the minor be kept in a suitable place |
designated by the court or in
a shelter care facility |
|
designated by the Department of Children and Family
Services or |
a licensed child welfare
agency; however, a minor charged with |
a
criminal offense under the Criminal Code of 1961 or the |
Criminal Code of 2012 or adjudicated delinquent
shall not be |
placed in the custody of or committed to the Department of
|
Children and Family Services by any court, except a minor less |
than 15
years of age and committed to the Department of |
Children and Family Services
under Section 5-710 of this Act or |
a minor for whom an independent
basis of
abuse, neglect, or |
dependency exists.
An independent basis exists when the |
allegations or adjudication of abuse, neglect, or dependency do |
not arise from the same facts, incident, or circumstances which |
give rise to a charge or adjudication of delinquency.
|
In placing the minor, the Department or other
agency shall, |
to the extent
compatible with the court's order, comply with |
Section 7 of the Children and
Family Services Act.
In |
determining
the health, safety and best interests of the minor |
to prescribe shelter
care, the court must
find that it is a |
matter of immediate and urgent necessity for the safety
and |
protection
of the minor or of the person or property of another |
that the minor be placed
in a shelter care facility or that he |
or she is likely to flee the jurisdiction
of the court, and |
must further find that reasonable efforts have been made or
|
that, consistent with the health, safety and best interests of
|
the minor, no efforts reasonably can be made to
prevent or |
eliminate the necessity of removal of the minor from his or her
|
|
home. The court shall require documentation from the Department |
of Children and
Family Services as to the reasonable efforts |
that were made to prevent or
eliminate the necessity of removal |
of the minor from his or her home or the
reasons why no efforts |
reasonably could be made to prevent or eliminate the
necessity |
of removal. When a minor is placed in the home of a relative, |
the
Department of Children and Family Services shall complete a |
preliminary
background review of the members of the minor's |
custodian's household in
accordance with Section 4.3 of the |
Child Care Act of 1969 within 90 days of
that placement. If the |
minor is ordered placed in a shelter care facility of
the |
Department of Children and
Family Services or a licensed child |
welfare agency, the court shall, upon
request of the |
appropriate Department or other agency, appoint the
Department |
of Children and Family Services Guardianship Administrator or
|
other appropriate agency executive temporary custodian of the |
minor and the
court may enter such other orders related to the |
temporary custody as it
deems fit and proper, including the |
provision of services to the minor or
his family to ameliorate |
the causes contributing to the finding of probable
cause or to |
the finding of the existence of immediate and urgent necessity.
|
Where the Department of Children and Family Services |
Guardianship Administrator is appointed as the executive |
temporary custodian, the Department of Children and Family |
Services shall file with the court and serve on the parties a |
parent-child visiting plan, within 10 days, excluding weekends |
|
and holidays, after the appointment. The parent-child visiting |
plan shall set out the time and place of visits, the frequency |
of visits, the length of visits, who shall be present at the |
visits, and where appropriate, the minor's opportunities to |
have telephone and mail communication with the parents. |
Where the Department of Children and Family Services |
Guardianship Administrator is
appointed as the executive |
temporary custodian, and when the child has siblings in care,
|
the Department of Children and Family Services shall file with |
the court and serve on the
parties a sibling placement and |
contact plan within 10 days, excluding weekends and
holidays, |
after the appointment. The sibling placement and contact plan |
shall set forth
whether the siblings are placed together, and |
if they are not placed together, what, if any,
efforts are |
being made to place them together. If the Department has |
determined that it is
not in a child's best interest to be |
placed with a sibling, the Department shall document in
the |
sibling placement and contact plan the basis for its |
determination. For siblings placed
separately, the sibling |
placement and contact plan shall set the time and place for |
visits,
the frequency of the visits, the length of visits, who |
shall be present for the visits, and
where appropriate, the |
child's opportunities to have contact with their siblings in |
addition to
in person contact. If the Department determines it |
is not in the best interest of a sibling to
have contact with a |
sibling, the Department shall document in the sibling placement |
|
and
contact plan the basis for its determination. The sibling |
placement and contact plan shall
specify a date for development |
of the Sibling Contact Support Plan, under subsection (f) of |
Section 7.4 of the Children and Family Services Act, and shall |
remain in effect until the Sibling Contact Support Plan is |
developed. |
For good cause, the court may waive the requirement to |
file the parent-child visiting plan or the sibling placement |
and contact plan, or extend the time for filing either plan. |
Any party may, by motion, request the court to review the |
parent-child visiting plan to determine whether it is |
reasonably calculated to expeditiously facilitate the |
achievement of the permanency goal. A party may, by motion, |
request the court to review the parent-child visiting plan or |
the sibling placement and contact plan to determine whether it |
is consistent with the minor's best interest. The court may |
refer the parties to mediation where available. The frequency, |
duration, and locations of visitation shall be measured by the |
needs of the child and family, and not by the convenience of |
Department personnel. Child development principles shall be |
considered by the court in its analysis of how frequent |
visitation should be, how long it should last, where it should |
take place, and who should be present. If upon motion of the |
party to review either plan and after receiving evidence, the |
court determines that the parent-child visiting plan is not |
reasonably calculated to expeditiously facilitate the |
|
achievement of the permanency goal or that the restrictions |
placed on parent-child contact or sibling placement or contact |
are contrary to the child's best interests, the court shall put |
in writing the factual basis supporting the determination and |
enter specific findings based on the evidence. The court shall |
enter an order for the Department to implement changes to the |
parent-child visiting plan or sibling placement or contact |
plan, consistent with the court's findings. At any stage of |
proceeding, any party may by motion request the court to enter |
any orders necessary to implement the parent-child visiting |
plan, sibling placement or contact plan or subsequently |
developed Sibling Contact Support Plan. Nothing under this |
subsection (2) shall restrict the court from granting |
discretionary authority to the Department to increase |
opportunities for additional parent-child contacts or sibling |
contacts, without further court orders. Nothing in this |
subsection (2) shall restrict the Department from immediately |
restricting or terminating parent-child contact or sibling |
contacts, without either amending the parent-child visiting |
plan or the sibling contact plan or obtaining a court order, |
where the Department or its assigns reasonably believe that |
continuation of the contact, as set out in the plan, would be |
contrary to the child's health, safety, and welfare. The |
Department shall file with the court and serve on the parties |
any amendments to the plan within 10 days, excluding weekends |
and holidays, of the change of the visitation.
|
|
Acceptance of services shall not be considered an admission |
of any
allegation in a petition made pursuant to this Act, nor |
may a referral of
services be considered as evidence in any |
proceeding pursuant to this Act,
except where the issue is |
whether the Department has made reasonable
efforts to reunite |
the family. In making its findings that it is
consistent with |
the health, safety and best
interests of the minor to prescribe |
shelter care, the court shall state in
writing (i) the factual |
basis supporting its findings concerning the
immediate and |
urgent necessity for the protection of the minor or of the |
person
or property of another and (ii) the factual basis |
supporting its findings that
reasonable efforts were made to |
prevent or eliminate the removal of the minor
from his or her |
home or that no efforts reasonably could be made to prevent or
|
eliminate the removal of the minor from his or her home. The
|
parents, guardian, custodian, temporary custodian and minor |
shall each be
furnished a copy of such written findings. The |
temporary custodian shall
maintain a copy of the court order |
and written findings in the case record
for the child. The |
order together with the court's findings of fact in
support |
thereof shall be entered of record in the court.
|
Once the court finds that it is a matter of immediate and |
urgent necessity
for the protection of the minor that the minor |
be placed in a shelter care
facility, the minor shall not be |
returned to the parent, custodian or guardian
until the court |
finds that such placement is no longer necessary for the
|
|
protection of the minor.
|
If the child is placed in the temporary custody of the |
Department of
Children
and Family
Services for his or her |
protection, the court shall admonish the parents,
guardian,
|
custodian or responsible relative that the parents must |
cooperate with the
Department of Children and Family Services, |
comply
with the terms of the service plans, and correct the |
conditions which require
the child to be in care, or risk |
termination of their parental
rights.
|
(3) If prior to the shelter care hearing for a minor |
described in Sections
2-3, 2-4, 3-3 and 4-3 the moving party is |
unable to serve notice on the
party respondent, the shelter |
care hearing may proceed ex-parte. A shelter
care order from an |
ex-parte hearing shall be endorsed with the date and
hour of |
issuance and shall be filed with the clerk's office and entered |
of
record. The order shall expire after 10 days from the time |
it is issued
unless before its expiration it is renewed, at a |
hearing upon appearance
of the party respondent, or upon an |
affidavit of the moving party as to all
diligent efforts to |
notify the party respondent by notice as herein
prescribed. The |
notice prescribed shall be in writing and shall be
personally |
delivered to the minor or the minor's attorney and to the last
|
known address of the other person or persons entitled to |
notice. The
notice shall also state the nature of the |
allegations, the nature of the
order sought by the State, |
including whether temporary custody is sought,
and the |
|
consequences of failure to appear and shall contain a notice
|
that the parties will not be entitled to further written |
notices or publication
notices of proceedings in this case, |
including the filing of an amended
petition or a motion to |
terminate parental rights, except as required by
Supreme Court |
Rule 11; and shall explain the
right of
the parties and the |
procedures to vacate or modify a shelter care order as
provided |
in this Section. The notice for a shelter care hearing shall be
|
substantially as follows:
|
NOTICE TO PARENTS AND CHILDREN
|
OF SHELTER CARE HEARING
|
On ................ at ........., before the Honorable |
................,
(address:) ................., the State |
of Illinois will present evidence
(1) that (name of child |
or children) ....................... are abused,
neglected |
or dependent for the following reasons:
|
..............................................
and (2) |
whether there is "immediate and urgent necessity" to remove |
the child
or children from the responsible relative.
|
YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN |
PLACEMENT of the
child or children in foster care until a |
trial can be held. A trial may
not be held for up to 90 |
days. You will not be entitled to further notices
of |
proceedings in this case, including the filing of an |
amended petition or a
motion to terminate parental rights.
|
At the shelter care hearing, parents have the following |
|
rights:
|
1. To ask the court to appoint a lawyer if they |
cannot afford one.
|
2. To ask the court to continue the hearing to |
allow them time to
prepare.
|
3. To present evidence concerning:
|
a. Whether or not the child or children were |
abused, neglected
or dependent.
|
b. Whether or not there is "immediate and |
urgent necessity" to remove
the child from home |
(including: their ability to care for the child,
|
conditions in the home, alternative means of |
protecting the child other
than removal).
|
c. The best interests of the child.
|
4. To cross examine the State's witnesses.
|
The Notice for rehearings shall be substantially as |
follows:
|
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
|
TO REHEARING ON TEMPORARY CUSTODY
|
If you were not present at and did not have adequate |
notice of the
Shelter Care Hearing at which temporary |
custody of ............... was
awarded to |
................, you have the right to request a full |
rehearing
on whether the State should have temporary |
custody of ................. To
request this rehearing, |
|
you must file with the Clerk of the Juvenile Court
|
(address): ........................, in person or by |
mailing a statement
(affidavit) setting forth the |
following:
|
1. That you were not present at the shelter care |
hearing.
|
2. That you did not get adequate notice (explaining |
how the notice
was inadequate).
|
3. Your signature.
|
4. Signature must be notarized.
|
The rehearing should be scheduled within 48 hours of |
your filing this
affidavit.
|
At the rehearing, your rights are the same as at the |
initial shelter care
hearing. The enclosed notice explains |
those rights.
|
At the Shelter Care Hearing, children have the |
following rights:
|
1. To have a guardian ad litem appointed.
|
2. To be declared competent as a witness and to |
present testimony
concerning:
|
a. Whether they are abused, neglected or |
dependent.
|
b. Whether there is "immediate and urgent |
necessity" to be
removed from home.
|
c. Their best interests.
|
3. To cross examine witnesses for other parties.
|
|
4. To obtain an explanation of any proceedings and |
orders of the
court.
|
(4) If the parent, guardian, legal custodian, responsible |
relative,
minor age 8 or over, or counsel of the minor did not |
have actual notice of
or was not present at the shelter care |
hearing, he or she may file an
affidavit setting forth these |
facts, and the clerk shall set the matter for
rehearing not |
later than 48 hours, excluding Sundays and legal holidays,
|
after the filing of the affidavit. At the rehearing, the court |
shall
proceed in the same manner as upon the original hearing.
|
(5) Only when there is reasonable cause to believe that the |
minor
taken into custody is a person described in subsection |
(3) of Section
5-105 may the minor be
kept or detained in a |
detention home or county or municipal jail. This
Section shall |
in no way be construed to limit subsection (6).
|
(6) No minor under 16 years of age may be confined in a |
jail or place
ordinarily used for the confinement of prisoners |
in a police station. Minors
under 18 years of age must be kept |
separate from confined adults and may
not at any time be kept |
in the same cell, room, or yard with adults confined
pursuant |
to the criminal law.
|
(7) If the minor is not brought before a judicial officer |
within the
time period as specified in Section 2-9, the minor |
must immediately be
released from custody.
|
(8) If neither the parent, guardian or custodian appears |
within 24
hours to take custody of a minor released upon |
|
request pursuant to
subsection (2) of this Section, then the |
clerk of the court shall set the
matter for rehearing not later |
than 7 days after the original order and
shall issue a summons |
directed to the parent, guardian or custodian to
appear. At the |
same time the probation department shall prepare a report
on |
the minor. If a parent, guardian or custodian does not appear |
at such
rehearing, the judge may enter an order prescribing |
that the minor be kept
in a suitable place designated by the |
Department of Children and Family
Services or a licensed child |
welfare agency.
|
(9) Notwithstanding any other provision of this
Section any |
interested party, including the State, the temporary
|
custodian, an agency providing services to the minor or family |
under a
service plan pursuant to Section 8.2 of the Abused and |
Neglected Child
Reporting Act, foster parent, or any of their |
representatives, on notice
to all parties entitled to notice, |
may file a motion that it is in the best
interests of the minor |
to modify or vacate a
temporary custody order on any of the |
following grounds:
|
(a) It is no longer a matter of immediate and urgent |
necessity that the
minor remain in shelter care; or
|
(b) There is a material change in the circumstances of |
the natural
family from which the minor was removed and the |
child can be cared for at
home without endangering the |
child's health or safety; or
|
(c) A person not a party to the alleged abuse, neglect |
|
or dependency,
including a parent, relative or legal |
guardian, is capable of assuming
temporary custody of the |
minor; or
|
(d) Services provided by the Department of Children and |
Family Services
or a child welfare agency or other service |
provider have been successful in
eliminating the need for |
temporary custody and the child can be cared for at
home |
without endangering the child's health or safety.
|
In ruling on the motion, the court shall determine whether |
it is consistent
with the health, safety and best interests of |
the minor to modify
or vacate a temporary custody order.
|
The clerk shall set the matter for hearing not later than |
14 days after
such motion is filed. In the event that the court |
modifies or vacates a
temporary custody order but does not |
vacate its finding of probable cause,
the court may order that |
appropriate services be continued or initiated in
behalf of the |
minor and his or her family.
|
(10) When the court finds or has found that there is |
probable cause to
believe a minor is an abused minor as |
described in subsection (2) of Section
2-3
and that there is an |
immediate and urgent necessity for the abused minor to be
|
placed in shelter care, immediate and urgent necessity shall be |
presumed for
any other minor residing in the same household as |
the abused minor provided:
|
(a) Such other minor is the subject of an abuse or |
neglect petition
pending before the court; and
|
|
(b) A party to the petition is seeking shelter care for |
such other minor.
|
Once the presumption of immediate and urgent necessity has |
been raised, the
burden of demonstrating the lack of immediate |
and urgent necessity shall be on
any party that is opposing |
shelter care for the other minor.
|
(11) The changes made to this Section by Public Act 98-61 |
this amendatory Act of
the 98th General Assembly apply to a |
minor who has been
arrested or taken into custody on or after |
January 1, 2014 ( the effective date
of Public Act 98-61) this |
amendatory Act . |
(Source: P.A. 97-1076, eff. 8-24-12; 97-1150, eff. 1-25-13; |
98-61, eff. 1-1-14; revised 11-22-13.)
|
(705 ILCS 405/2-28) (from Ch. 37, par. 802-28)
|
Sec. 2-28. Court review.
|
(1) The court may require any legal custodian or guardian |
of the person
appointed under this Act to report periodically |
to the court or may cite
him into court and require him or his |
agency, to make a full and
accurate report of his or its doings |
in behalf of the minor. The
custodian or guardian, within 10 |
days after such citation, shall make
the report, either in |
writing verified by affidavit or orally under oath
in open |
court, or otherwise as the court directs. Upon the hearing of
|
the report the court may remove the custodian or guardian and |
appoint
another in his stead or restore the minor to the |
|
custody of his parents
or former guardian or custodian. |
However, custody of the minor shall
not be restored to any |
parent, guardian or legal custodian in any case
in which the |
minor is found to be neglected or abused under Section 2-3 or
|
dependent under Section 2-4 of this
Act, unless the minor can |
be cared for at home without endangering the
minor's health or |
safety and it is in the best interests of the minor, and
if |
such neglect,
abuse, or dependency is found by the court under |
paragraph (1)
of Section 2-21 of
this Act to have come about |
due to the acts or omissions or both of such
parent, guardian
|
or legal custodian, until such time as an investigation is made |
as provided in
paragraph (5) and a hearing is held on the issue |
of the fitness of such parent,
guardian or legal custodian to |
care for the minor and the court enters an order
that such |
parent, guardian or legal custodian is fit to care for the |
minor.
|
(2) The first permanency hearing shall be
conducted by the |
judge. Subsequent permanency hearings may be
heard by a judge |
or by hearing officers appointed or approved by the court in
|
the manner set forth in Section 2-28.1 of this Act.
The initial |
hearing shall be held (a) within 12 months from the date
|
temporary
custody was taken, regardless of whether an |
adjudication or dispositional hearing has been completed |
within that time frame, (b) if the parental rights of both |
parents have been
terminated in accordance with the procedure |
described in subsection (5) of
Section 2-21, within
30 days of |
|
the order for termination of parental rights and appointment of
|
a guardian with power to consent to adoption, or (c) in |
accordance with
subsection
(2) of Section 2-13.1. Subsequent |
permanency hearings
shall be held every 6 months
or more |
frequently if necessary in the court's determination following |
the
initial permanency hearing, in accordance with the |
standards set forth in this
Section, until the court determines |
that the plan and goal have been achieved.
Once the plan and |
goal have been achieved, if the minor remains in substitute
|
care, the case shall be reviewed at least every 6 months |
thereafter, subject to
the provisions of this Section, unless |
the minor is placed in the guardianship
of a suitable relative |
or other person and the court determines that further
|
monitoring by the court does not further the health, safety or |
best interest of
the child and that this is a stable permanent |
placement.
The permanency hearings must occur within the time |
frames set forth in this
subsection and may not be delayed in |
anticipation of a report from any source or due to the agency's |
failure to timely file its written report (this
written report |
means the one required under the next paragraph and does not
|
mean the service plan also referred to in that paragraph).
|
The public agency that is the custodian or guardian of the |
minor, or another
agency responsible for the minor's care, |
shall ensure that all parties to the
permanency hearings are |
provided a copy of the most recent
service plan prepared within |
the prior 6 months
at least 14 days in advance of the hearing. |
|
If not contained in the plan, the
agency shall also include a |
report setting forth (i) any special
physical, psychological, |
educational, medical, emotional, or other needs of the
minor or |
his or her family that are relevant to a permanency or |
placement
determination and (ii) for any minor age 16 or over, |
a written description of
the programs and services that will |
enable the minor to prepare for independent
living. The |
agency's written report must detail what progress or lack of
|
progress the parent has made in correcting the conditions |
requiring the child
to be in care; whether the child can be |
returned home without jeopardizing the
child's health, safety, |
and welfare, and if not, what permanency goal is
recommended to |
be in the best interests of the child, and why the other
|
permanency goals are not appropriate. The caseworker must |
appear and testify
at the permanency hearing. If a permanency |
hearing has not previously been
scheduled by the court, the |
moving party shall move for the setting of a
permanency hearing |
and the entry of an order within the time frames set forth
in |
this subsection.
|
At the permanency hearing, the court shall determine the |
future status
of the child. The court shall set one of the |
following permanency goals:
|
(A) The minor will be returned home by a specific date |
within 5
months.
|
(B) The minor will be in short-term care with a
|
continued goal to return home within a period not to exceed |
|
one
year, where the progress of the parent or parents is |
substantial giving
particular consideration to the age and |
individual needs of the minor.
|
(B-1) The minor will be in short-term care with a |
continued goal to return
home pending a status hearing. |
When the court finds that a parent has not made
reasonable |
efforts or reasonable progress to date, the court shall |
identify
what actions the parent and the Department must |
take in order to justify a
finding of reasonable efforts or |
reasonable progress and shall set a status
hearing to be |
held not earlier than 9 months from the date of |
adjudication nor
later than 11 months from the date of |
adjudication during which the parent's
progress will again |
be reviewed.
|
(C) The minor will be in substitute care pending court
|
determination on termination of parental rights.
|
(D) Adoption, provided that parental rights have been |
terminated or
relinquished.
|
(E) The guardianship of the minor will be transferred |
to an individual or
couple on a permanent basis provided |
that goals (A) through (D) have
been ruled out.
|
(F) The minor over age 15 will be in substitute care |
pending
independence.
|
(G) The minor will be in substitute care because he or |
she cannot be
provided for in a home environment due to |
developmental
disabilities or mental illness or because he |
|
or she is a danger to self or
others, provided that goals |
(A) through (D) have been ruled out.
|
In selecting any permanency goal, the court shall indicate |
in writing the
reasons the goal was selected and why the |
preceding goals were ruled out.
Where the court has selected a |
permanency goal other than (A), (B), or (B-1),
the
Department |
of Children and Family Services shall not provide further
|
reunification services, but shall provide services
consistent |
with the goal
selected.
|
(H) Notwithstanding any other provision in this |
Section, the court may select the goal of continuing foster |
care as a permanency goal if: |
(1) The Department of Children and Family Services |
has custody and guardianship of the minor; |
(2) The court has ruled out all other permanency |
goals based on the child's best interest;
|
(3) The court has found compelling reasons, based |
on written documentation reviewed by the court, to |
place the minor in continuing foster care. Compelling |
reasons include:
|
(a) the child does not wish to be adopted or to |
be placed in the guardianship of his or her |
relative or foster care placement;
|
(b) the child exhibits an extreme level of need |
such that the removal of the child from his or her |
placement would be detrimental to the child; or
|
|
(c) the child who is the subject of the |
permanency hearing has existing close and strong |
bonds with a sibling, and achievement of another |
permanency goal would substantially interfere with |
the subject child's sibling relationship, taking |
into consideration the nature and extent of the |
relationship, and whether ongoing contact is in |
the subject child's best interest, including |
long-term emotional interest, as compared with the |
legal and emotional benefit of permanence;
|
(4) The child has lived with the relative or foster |
parent for at least one year; and
|
(5) The relative or foster parent currently caring |
for the child is willing and capable of providing the |
child with a stable and permanent environment. |
The court shall set a
permanency
goal that is in the best |
interest of the child. In determining that goal, the court |
shall consult with the minor in an age-appropriate manner |
regarding the proposed permanency or transition plan for the |
minor. The court's determination
shall include the following |
factors:
|
(1) Age of the child.
|
(2) Options available for permanence, including both |
out-of-State and in-State placement options.
|
(3) Current placement of the child and the intent of |
the family regarding
adoption.
|
|
(4) Emotional, physical, and mental status or |
condition of the child.
|
(5) Types of services previously offered and whether or |
not
the services were successful and, if not successful, |
the reasons the services
failed.
|
(6) Availability of services currently needed and |
whether the services
exist.
|
(7) Status of siblings of the minor.
|
The court shall consider (i) the permanency goal contained |
in the service
plan, (ii) the appropriateness of the
services |
contained in the plan and whether those services have been
|
provided, (iii) whether reasonable efforts have been made by |
all
the parties to the service plan to achieve the goal, and |
(iv) whether the plan
and goal have been achieved. All evidence
|
relevant to determining these questions, including oral and |
written reports,
may be admitted and may be relied on to the |
extent of their probative value.
|
The court shall make findings as to whether, in violation |
of Section 8.2 of the Abused and Neglected Child Reporting Act, |
any portion of the service plan compels a child or parent to |
engage in any activity or refrain from any activity that is not |
reasonably related to remedying a condition or conditions that |
gave rise or which could give rise to any finding of child |
abuse or neglect. The services contained in the service plan |
shall include services reasonably related to remedy the |
conditions that gave rise to removal of the child from the home |
|
of his or her parents, guardian, or legal custodian or that the |
court has found must be remedied prior to returning the child |
home. Any tasks the court requires of the parents, guardian, or |
legal custodian or child prior to returning the child home, |
must be reasonably related to remedying a condition or |
conditions that gave rise to or which could give rise to any |
finding of child abuse or neglect. |
If the permanency goal is to return home, the court shall |
make findings that identify any problems that are causing |
continued placement of the children away from the home and |
identify what outcomes would be considered a resolution to |
these problems. The court shall explain to the parents that |
these findings are based on the information that the court has |
at that time and may be revised, should additional evidence be |
presented to the court. |
The court shall review the Sibling Contact and Support Plan |
developed or modified under subsection (f) of Section 7.4 of |
the Children and Family Services Act, if applicable. If the |
Department has not convened a meeting to
develop or modify a |
Sibling Contact Support Plan, or if the court finds that the |
existing Plan
is not in the child's best interest, the court |
may enter an order requiring the Department to
develop, modify |
or implement a Sibling Contact Support Plan, or order |
mediation. |
If the goal has been achieved, the court shall enter orders |
that are
necessary to conform the minor's legal custody and |
|
status to those findings.
|
If, after receiving evidence, the court determines that the |
services
contained in the plan are not reasonably calculated to |
facilitate achievement
of the permanency goal, the court shall |
put in writing the factual basis
supporting the determination |
and enter specific findings based on the evidence.
The court |
also shall enter an order for the Department to develop and
|
implement a new service plan or to implement changes to the |
current service
plan consistent with the court's findings. The |
new service plan shall be filed
with the court and served on |
all parties within 45 days of the date of the
order. The court |
shall continue the matter until the new service plan is
filed. |
Unless otherwise specifically authorized by law, the court is |
not
empowered under this subsection (2) or under subsection (3) |
to order specific
placements, specific services, or specific |
service providers to be included in
the plan.
|
A guardian or custodian appointed by the court pursuant to |
this Act shall
file updated case plans with the court every 6 |
months.
|
Rights of wards of the court under this Act are enforceable |
against
any public agency by complaints for relief by mandamus |
filed in any
proceedings brought under this Act.
|
(3) Following the permanency hearing, the court shall enter |
a written order
that includes the determinations required under |
subsection (2) of this
Section and sets forth the following:
|
(a) The future status of the minor, including the |
|
permanency goal, and
any order necessary to conform the |
minor's legal custody and status to such
determination; or
|
(b) If the permanency goal of the minor cannot be |
achieved immediately,
the specific reasons for continuing |
the minor in the care of the Department of
Children and |
Family Services or other agency for short term placement, |
and the
following determinations:
|
(i) (Blank).
|
(ii) Whether the services required by the court
and |
by any service plan prepared within the prior 6 months
|
have been provided and (A) if so, whether the services |
were reasonably
calculated to facilitate the |
achievement of the permanency goal or (B) if not
|
provided, why the services were not provided.
|
(iii) Whether the minor's placement is necessary, |
and appropriate to the
plan and goal, recognizing the |
right of minors to the least restrictive (most
|
family-like) setting available and in close proximity |
to the parents' home
consistent with the health, |
safety, best interest and special needs of the
minor |
and, if the minor is placed out-of-State, whether the |
out-of-State
placement continues to be appropriate and |
consistent with the health, safety,
and best interest |
of the minor.
|
(iv) (Blank).
|
(v) (Blank).
|
|
(4) The minor or any person interested in the minor may |
apply to the
court for a change in custody of the minor and the |
appointment of a new
custodian or guardian of the person or for |
the restoration of the minor
to the custody of his parents or |
former guardian or custodian.
|
When return home is not selected as the permanency goal:
|
(a) The Department, the minor, or the current
foster |
parent or relative
caregiver seeking private guardianship |
may file a motion for private
guardianship of the minor. |
Appointment of a guardian under this Section
requires |
approval of the court.
|
(b) The State's Attorney may file a motion to terminate |
parental rights of
any parent who has failed to make |
reasonable efforts to correct the conditions
which led to |
the removal of the child or reasonable progress toward the |
return
of the child, as defined in subdivision (D)(m) of |
Section 1 of the Adoption Act
or for whom any other |
unfitness ground for terminating parental rights as
|
defined in subdivision (D) of Section 1 of the Adoption Act |
exists. |
When parental rights have been terminated for a minimum |
of 3 years and the child who is the subject of the |
permanency hearing is 13 years old or older and is not |
currently placed in a placement likely to achieve |
permanency, the Department of
Children and Family Services |
shall make reasonable efforts to locate parents whose |
|
rights have been terminated, except when the Court |
determines that those efforts would be futile or |
inconsistent with the subject child's best interests. The |
Department of
Children and Family Services shall assess the |
appropriateness of the parent whose rights have been |
terminated, and shall, as appropriate, foster and support |
connections between the parent whose rights have been |
terminated and the youth. The Department of
Children and |
Family Services shall document its determinations and |
efforts to foster connections in the child's case plan.
|
Custody of the minor shall not be restored to any parent, |
guardian or legal
custodian in any case in which the minor is |
found to be neglected or abused
under Section 2-3 or dependent |
under Section 2-4 of this Act, unless the
minor can be cared |
for at home
without endangering his or her health or safety and |
it is in the best
interest of the minor,
and if such neglect, |
abuse, or dependency is found by the court
under paragraph (1) |
of Section 2-21 of this Act to have come
about due to the acts |
or omissions or both of such parent, guardian or legal
|
custodian, until such time as an investigation is made as |
provided in
paragraph (5) and a hearing is held on the issue of |
the health,
safety and
best interest of the minor and the |
fitness of such
parent, guardian or legal custodian to care for |
the minor and the court
enters an order that such parent, |
guardian or legal custodian is fit to
care for the minor. In |
the event that the minor has attained 18 years
of age and the |
|
guardian or custodian petitions the court for an order
|
terminating his guardianship or custody, guardianship or |
custody shall
terminate automatically 30 days after the receipt |
of the petition unless
the court orders otherwise. No legal |
custodian or guardian of the
person may be removed without his |
consent until given notice and an
opportunity to be heard by |
the court.
|
When the court orders a child restored to the custody of |
the parent or
parents, the court shall order the parent or |
parents to cooperate with the
Department of Children and Family |
Services and comply with the terms of an
after-care plan, or |
risk the loss of custody of the child and possible
termination |
of their parental rights. The court may also enter an order of
|
protective supervision in accordance with Section 2-24.
|
(5) Whenever a parent, guardian, or legal custodian files a |
motion for
restoration of custody of the minor, and the minor |
was adjudicated
neglected, abused, or dependent as a result of |
physical abuse,
the court shall cause to be
made an |
investigation as to whether the movant has ever been charged
|
with or convicted of any criminal offense which would indicate |
the
likelihood of any further physical abuse to the minor. |
Evidence of such
criminal convictions shall be taken into |
account in determining whether the
minor can be cared for at |
home without endangering his or her health or safety
and |
fitness of the parent, guardian, or legal custodian.
|
(a) Any agency of this State or any subdivision thereof |
|
shall
co-operate with the agent of the court in providing |
any information
sought in the investigation.
|
(b) The information derived from the investigation and |
any
conclusions or recommendations derived from the |
information shall be
provided to the parent, guardian, or |
legal custodian seeking restoration
of custody prior to the |
hearing on fitness and the movant shall have
an opportunity |
at the hearing to refute the information or contest its
|
significance.
|
(c) All information obtained from any investigation |
shall be confidential
as provided in Section 5-150 of this |
Act.
|
(Source: P.A. 96-600, eff. 8-21-09; 96-1375, eff. 7-29-10; |
97-425, eff. 8-16-11; 97-1076, eff. 8-24-12; revised |
11-22-13.)
|
(705 ILCS 405/3-12) (from Ch. 37, par. 803-12)
|
Sec. 3-12. Shelter care hearing. At the appearance of the
|
minor before the court at the shelter care hearing, all
|
witnesses present shall be examined before the court in |
relation to any
matter connected with the allegations made in |
the petition.
|
(1) If the court finds that there is not probable cause to |
believe
that the minor is a person requiring authoritative |
intervention, it shall
release the minor and dismiss the |
petition.
|
|
(2) If the court finds that there is probable cause to |
believe that the
minor is a person requiring authoritative |
intervention, the minor, his or
her parent, guardian, custodian |
and other persons able to give relevant
testimony shall be |
examined before the court. After such testimony, the
court may |
enter an order that the minor shall be released upon the |
request
of a parent, guardian or custodian if the parent, |
guardian or custodian
appears to take custody. Custodian shall |
include any agency of the State
which has been given custody or |
wardship of the child. The Court shall require
documentation by |
representatives of the Department of Children and Family
|
Services or the probation department as to the reasonable |
efforts that were
made to prevent or eliminate the necessity of |
removal of the minor from his
or her home, and shall consider |
the testimony of any person as to those
reasonable efforts. If |
the court finds that it is a
matter of immediate and urgent |
necessity for the protection of the minor
or of the person or |
property of another that the minor be
placed in a shelter care |
facility, or that he or she is likely to flee the
jurisdiction |
of the court, and further finds that reasonable efforts have
|
been made or good cause has been shown why reasonable efforts |
cannot
prevent or eliminate the necessity of removal of the |
minor from his or her
home, the court may prescribe shelter |
care and order that the minor be kept
in a suitable place |
designated by the court or in a shelter care facility
|
designated by the Department of Children and Family Services or |
|
a licensed
child welfare agency; otherwise it shall release the |
minor from custody.
If the court prescribes shelter care, then |
in placing the minor, the
Department or other agency shall, to |
the extent
compatible with the court's order, comply with |
Section 7 of the Children and
Family Services Act. If
the minor |
is ordered placed in a shelter care facility of the Department |
of
Children and Family Services or a licensed child welfare |
agency, the court
shall, upon request of the Department or |
other agency, appoint the
Department of Children and Family |
Services Guardianship Administrator or
other appropriate |
agency executive temporary custodian of the minor and the
court |
may enter such other orders related to the temporary custody as |
it
deems fit and proper, including the provision of services to |
the minor or
his family to ameliorate the causes contributing |
to the finding of probable
cause or to the finding of the |
existence of immediate and urgent necessity.
Acceptance of |
services shall not be considered an admission of any
allegation |
in a petition made pursuant to this Act, nor may a referral of
|
services be considered as evidence in any proceeding pursuant |
to this Act,
except where the issue is whether the Department |
has made reasonable
efforts to reunite the family. In making |
its findings that reasonable
efforts have been made or that |
good cause has been shown why reasonable
efforts cannot prevent |
or eliminate the necessity of removal of the minor
from his or |
her home, the court shall state in writing its findings
|
concerning the nature of the services that were offered or the |
|
efforts that
were made to prevent removal of the child and the |
apparent reasons that such
services or efforts could not |
prevent the need for removal. The parents,
guardian, custodian, |
temporary custodian and minor shall each be furnished
a copy of |
such written findings. The temporary custodian shall maintain a
|
copy of the court order and written findings in the case record |
for the
child.
|
The order together with the court's findings of fact and |
support thereof
shall be entered of record in the court.
|
Once the court finds that it is a matter of immediate and |
urgent necessity
for the protection of the minor that the minor |
be placed in a shelter care
facility, the minor shall not be |
returned to the parent, custodian or guardian
until the court |
finds that such placement is no longer necessary for the
|
protection of the minor.
|
(3) If prior to the shelter care hearing for a minor |
described in
Sections 2-3, 2-4, 3-3 and 4-3 the petitioner is |
unable to serve notice on the
party respondent, the shelter |
care hearing may proceed ex-parte. A shelter
care order from an |
ex-parte hearing shall be endorsed with the date and
hour of |
issuance and shall be filed with the clerk's office and entered |
of
record. The order shall expire after 10 days from the time |
it is issued
unless before its expiration it is renewed, at a |
hearing upon appearance
of the party respondent, or upon an |
affidavit of the moving party as to all
diligent efforts to |
notify the party respondent by notice as herein
prescribed. The |
|
notice prescribed shall be in writing and shall be
personally |
delivered to the minor or the minor's attorney and to the last
|
known address of the other person or persons entitled to |
notice. The
notice shall also state the nature of the |
allegations, the nature of the
order sought by the State, |
including whether temporary custody is sought,
and the |
consequences of failure to appear; and shall explain the right |
of
the parties and the procedures to vacate or modify a shelter |
care order as
provided in this Section. The notice for a |
shelter care hearing shall be
substantially as follows:
|
NOTICE TO PARENTS AND CHILDREN OF SHELTER CARE HEARING
|
On ................ at ........., before the Honorable
|
................, (address:) ................., the State of |
Illinois will
present evidence (1) that (name of child or |
children)
....................... are abused, neglected or |
dependent for the following reasons:
|
.............................................................
|
and (2) that there is "immediate and urgent necessity" to |
remove the child
or children from the responsible relative.
|
YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN |
PLACEMENT of the
child or children in foster care until a trial |
can be held. A trial may
not be held for up to 90 days.
|
At the shelter care hearing, parents have the following |
rights:
|
1. To ask the court to appoint a lawyer if they cannot |
afford one.
|
|
2. To ask the court to continue the hearing to allow |
them time to prepare.
|
3. To present evidence concerning:
|
a. Whether or not the child or children were |
abused, neglected or dependent.
|
b. Whether or not there is "immediate and urgent |
necessity" to remove
the child from home (including: |
their ability to care for the child,
conditions in the |
home, alternative means of protecting the child
other |
than removal).
|
c. The best interests of the child.
|
4. To cross examine the State's witnesses.
|
The Notice for rehearings shall be substantially as |
follows:
|
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
|
TO REHEARING ON TEMPORARY CUSTODY
|
If you were not present at and did not have adequate notice |
of the
Shelter Care Hearing at which temporary custody of |
............... was
awarded to ................, you have the |
right to request a full rehearing
on whether the State should |
have temporary custody of ................. To
request this |
rehearing, you must file with the Clerk of the Juvenile Court
|
(address): ........................, in person or by mailing a |
statement
(affidavit) setting forth the following:
|
1. That you were not present at the shelter care |
hearing.
|
|
2. That you did not get adequate notice (explaining how |
the notice
was inadequate).
|
3. Your signature.
|
4. Signature must be notarized.
|
The rehearing should be scheduled within one day of your |
filing this
affidavit.
|
At the rehearing, your rights are the same as at the |
initial shelter care
hearing. The enclosed notice explains |
those rights.
|
At the Shelter Care Hearing, children have the following |
rights:
|
1. To have a guardian ad litem appointed.
|
2. To be declared competent as a witness and to present |
testimony
concerning:
|
a. Whether they are abused, neglected or |
dependent.
|
b. Whether there is "immediate and urgent |
necessity" to be
removed from home.
|
c. Their best interests.
|
3. To cross examine witnesses for other parties.
|
4. To obtain an explanation of any proceedings and |
orders of the court.
|
(4) If the parent, guardian, legal custodian, responsible |
relative, or
counsel of the minor did not have actual notice of |
or was not present at
the shelter care hearing, he or she may |
file an affidavit setting forth
these facts, and the clerk |
|
shall set the matter for rehearing not later
than 48 hours, |
excluding Sundays and legal holidays, after the filing of
the |
affidavit. At the rehearing, the court shall proceed in the |
same manner
as upon the original hearing.
|
(5) Only when there is reasonable cause to believe that the |
minor taken
into custody is a person described in subsection |
(3) of Section 5-105 may the minor
be kept or
detained in a |
detention home or county or municipal jail. This Section
shall |
in no way be construed to limit subsection (6).
|
(6) No minor under 16 years of age may be confined in a |
jail or place
ordinarily used for the confinement of prisoners |
in a police station. Minors
under 18 years of age must be kept |
separate from confined adults and may
not at any time be kept |
in the same cell, room, or yard with adults confined
pursuant |
to the criminal law.
|
(7) If the minor is not brought before a judicial officer |
within the
time period specified in Section 3-11, the minor |
must immediately be
released from custody.
|
(8) If neither the parent, guardian or custodian appears |
within 24
hours to take custody of a minor released upon |
request pursuant to
subsection (2) of this Section, then the |
clerk of the court shall set the
matter for rehearing not later |
than 7 days after the original order and
shall issue a summons |
directed to the parent, guardian or custodian to
appear. At the |
same time the probation department shall prepare a report
on |
the minor. If a parent, guardian or custodian does not appear |
|
at such
rehearing, the judge may enter an order prescribing |
that the minor be kept
in a suitable place designated by the |
Department of Children and Family
Services or a licensed child |
welfare agency.
|
(9) Notwithstanding any other provision of this Section, |
any interested
party, including the State, the temporary |
custodian, an agency providing
services to the minor or family |
under a service plan pursuant to Section
8.2 of the Abused and |
Neglected Child Reporting Act, foster parent, or any
of their |
representatives, on notice to all parties entitled to notice, |
may
file a motion to modify or vacate a temporary custody order |
on any of the
following grounds:
|
(a) It is no longer a matter of immediate and urgent |
necessity that the
minor remain in shelter care; or
|
(b) There is a material change in the circumstances of |
the natural
family from which the minor was removed; or
|
(c) A person, including a parent, relative or legal |
guardian, is
capable of assuming temporary custody of the |
minor; or
|
(d) Services provided by the Department of Children and |
Family Services
or a child welfare agency or other service |
provider have been successful in
eliminating the need for |
temporary custody.
|
The clerk shall set the matter for hearing not later than |
14 days after
such motion is filed. In the event that the court |
modifies or vacates a
temporary custody order but does not |
|
vacate its finding of probable cause,
the court may order that |
appropriate services be continued or initiated in
behalf of the |
minor and his or her family.
|
(10) The changes made to this Section by Public Act 98-61 |
this amendatory Act of
the 98th General Assembly apply to a |
minor who has been
arrested or taken into custody on or after |
January 1, 2014 ( the effective date
of Public Act 98-61) this |
amendatory Act . |
(Source: P.A. 98-61, eff. 1-1-14; revised 11-22-13.)
|
(705 ILCS 405/4-9) (from Ch. 37, par. 804-9)
|
Sec. 4-9. Shelter care hearing. At the appearance of the
|
minor before the court at the shelter care hearing, all
|
witnesses present shall be examined before the court in |
relation to any
matter connected with the allegations made in |
the petition.
|
(1) If the court finds that there is not probable cause to |
believe that
the minor is addicted, it shall release the minor |
and dismiss the petition.
|
(2) If the court finds that there is probable cause to |
believe that the
minor is addicted, the minor, his or
her |
parent, guardian, custodian and other persons able to give |
relevant
testimony shall be examined before the court. After |
such testimony, the
court may enter an order that the minor |
shall be released
upon the request of a parent, guardian or |
custodian if the parent, guardian
or custodian appears to take |
|
custody
and agrees to abide by a court order
which requires the |
minor and his or her parent, guardian, or legal custodian
to
|
complete an evaluation by an entity licensed by the Department |
of Human
Services, as the successor to
the Department of |
Alcoholism and Substance Abuse, and complete
any treatment |
recommendations indicated by the assessment. Custodian shall
|
include any agency
of the State which has been given custody or |
wardship of the child.
|
The Court shall require
documentation by representatives |
of the Department of Children and Family
Services or the |
probation department as to the reasonable efforts that were
|
made to prevent or eliminate the necessity of removal of the |
minor from his
or her home, and shall consider the testimony of |
any person as to those
reasonable efforts. If the court finds |
that it is a
matter of immediate and urgent necessity for the |
protection of the minor
or of the person or property of another |
that the minor be or
placed in a shelter care facility or that |
he or she is likely to flee the
jurisdiction of the court, and |
further, finds that reasonable efforts
have been made or good |
cause has been shown why reasonable efforts cannot
prevent or |
eliminate the necessity of removal of the minor from his or her
|
home, the court may prescribe shelter care
and order that the |
minor be kept in a suitable place designated by the
court or in |
a shelter care facility designated by the Department of
|
Children and Family Services or a licensed child welfare |
agency, or
in a facility or program licensed by the Department |
|
of Human
Services for shelter and treatment services;
otherwise |
it shall release the minor from custody. If the court |
prescribes
shelter care, then in placing the minor, the |
Department or other agency shall,
to the extent compatible with |
the court's order, comply with Section 7 of the
Children and |
Family Services Act. If the minor is ordered placed in a |
shelter
care facility of the Department of Children and Family |
Services or a licensed
child welfare agency, or in
a facility |
or program licensed by the Department of Human
Services for
|
shelter and treatment
services, the court shall, upon request |
of the appropriate
Department or other agency, appoint the |
Department of Children and Family
Services Guardianship |
Administrator or other appropriate agency executive
temporary |
custodian of the minor and the court may enter such other |
orders
related to the temporary custody as it deems fit and |
proper, including
the provision of services to the minor or his |
family to ameliorate the
causes contributing to the finding of |
probable cause or to the finding of
the existence of immediate |
and urgent necessity. Acceptance of services
shall not be |
considered an admission of any allegation in a petition made
|
pursuant to this Act, nor may a referral of services be |
considered as
evidence in any proceeding pursuant to this Act, |
except where the issue is
whether the Department has made |
reasonable efforts to reunite the family.
In making its |
findings that reasonable efforts have been made or that good
|
cause has been shown why reasonable efforts cannot prevent or |
|
eliminate the
necessity of removal of the minor from his or her |
home, the court shall
state in writing its findings concerning |
the nature of the services that
were offered or the efforts |
that were made to prevent removal of the child
and the apparent |
reasons that such
services or efforts could not prevent the |
need for removal. The parents,
guardian, custodian, temporary |
custodian and minor shall each be furnished
a copy of such |
written findings. The temporary custodian shall maintain a
copy |
of the court order and written findings in the case record for |
the
child. The order together with the court's findings of fact |
in support
thereof shall be entered of record in the court.
|
Once the court finds that it is a matter of immediate and |
urgent necessity
for the protection of the minor that the minor |
be placed in a shelter care
facility, the minor shall not be |
returned to the parent, custodian or guardian
until the court |
finds that such placement is no longer necessary for the
|
protection of the minor.
|
(3) If neither the parent, guardian, legal custodian, |
responsible
relative nor counsel of the minor has had actual |
notice of or is present
at the shelter care hearing, he or she |
may file his or her
affidavit setting forth these facts, and |
the clerk shall set the matter for
rehearing not later than 24 |
hours, excluding Sundays and legal holidays,
after the filing |
of the affidavit. At the rehearing, the court shall
proceed in |
the same manner as upon the original hearing.
|
(4) If the minor is not brought before a judicial officer |
|
within the
time period as specified in Section 4-8, the minor |
must immediately be
released from custody.
|
(5) Only when there is reasonable cause to believe that the |
minor taken
into custody is a person described in subsection |
(3) of Section 5-105 may the minor be kept or
detained in a |
detention home or county or municipal jail. This Section
shall |
in no way be construed to limit subsection (6).
|
(6) No minor under 16 years of age may be confined in a |
jail or place
ordinarily used for the confinement of prisoners |
in a police station.
Minors under 18 years of age must be kept |
separate from confined adults and
may not at any time be kept |
in the same cell, room or yard with adults
confined pursuant to |
the criminal law.
|
(7) If neither the parent, guardian or custodian appears |
within 24
hours to take custody of a minor released upon |
request pursuant to
subsection (2) of this Section, then the |
clerk of the court shall set the
matter for rehearing not later |
than 7 days after the original order and
shall issue a summons |
directed to the parent, guardian or custodian to
appear. At the |
same time the probation department shall prepare a report
on |
the minor. If a parent, guardian or custodian does not appear |
at such
rehearing, the judge may enter an order prescribing |
that the minor be kept
in a suitable place designated by the |
Department of Children and Family
Services or a licensed child |
welfare agency.
|
(8) Any interested party, including the State, the |
|
temporary
custodian, an agency providing services to the minor |
or family under a
service plan pursuant to Section 8.2 of the |
Abused and Neglected Child
Reporting Act, foster parent, or any |
of their representatives, may file a
motion to modify or vacate |
a temporary custody order on any of the following
grounds:
|
(a) It is no longer a matter of immediate and urgent |
necessity that the
minor remain in shelter care; or
|
(b) There is a material change in the circumstances of |
the natural
family from which the minor was removed; or
|
(c) A person, including a parent, relative or legal |
guardian, is capable
of assuming temporary custody of the |
minor; or
|
(d) Services provided by the Department of Children and |
Family Services
or a child welfare agency or other service |
provider have been successful in
eliminating the need for |
temporary custody.
|
The clerk shall set the matter for hearing not later than |
14 days after
such motion is filed. In the event that the court |
modifies or vacates a
temporary custody order but does not |
vacate its finding of probable cause,
the court may order that |
appropriate services be continued or initiated in
behalf of the |
minor and his or her family.
|
(9) The changes made to this Section by Public Act 98-61 |
this amendatory Act of
the 98th General Assembly apply to a |
minor who has been
arrested or taken into custody on or after |
January 1, 2014 ( the effective date
of Public Act 98-61) this |
|
amendatory Act . |
(Source: P.A. 98-61, eff. 1-1-14; revised 11-22-13.)
|
(705 ILCS 405/5-105)
|
Sec. 5-105. Definitions. As used in this Article:
|
(1) "Aftercare release" means the conditional and |
revocable release of an adjudicated delinquent juvenile |
committed to the Department of Juvenile Justice under the |
supervision of the Department of Juvenile Justice. |
(1.5) "Court" means the circuit court in a session or |
division
assigned to hear proceedings under this Act, and |
includes the term Juvenile
Court.
|
(2) "Community service" means uncompensated labor for |
a community service
agency as hereinafter defined.
|
(2.5) "Community service agency" means a |
not-for-profit organization,
community
organization, |
church, charitable organization, individual, public |
office,
or other public body whose purpose is to enhance
|
the physical or mental health of a delinquent minor or to |
rehabilitate the
minor, or to improve the environmental |
quality or social welfare of the
community which agrees to |
accept community service from juvenile delinquents
and to |
report on the progress of the community service to the |
State's
Attorney pursuant to an agreement or to the court |
or to any agency designated
by the court or to the |
authorized diversion program that has referred the
|
|
delinquent minor for community service.
|
(3) "Delinquent minor" means any minor who prior to his |
or her 18th birthday has violated or attempted to violate, |
regardless of where the act occurred, any federal, State, |
county or municipal law or ordinance.
|
(4) "Department" means the Department of Human |
Services unless specifically
referenced as another |
department.
|
(5) "Detention" means the temporary care of a minor who |
is alleged to be or
has been adjudicated
delinquent and who |
requires secure custody for the minor's own
protection or |
the community's protection in a facility designed to |
physically
restrict the minor's movements, pending |
disposition by the court or
execution of an order of the |
court for placement or commitment. Design
features that |
physically restrict movement include, but are not limited |
to,
locked rooms and the secure handcuffing of a minor to a |
rail or other
stationary object. In addition, "detention" |
includes the court ordered
care of an alleged or |
adjudicated delinquent minor who requires secure
custody |
pursuant to Section 5-125 of this Act.
|
(6) "Diversion" means the referral of a juvenile, |
without court
intervention,
into a program that provides |
services designed to educate the juvenile and
develop a |
productive and responsible approach to living in the |
community.
|
|
(7) "Juvenile detention home" means a public facility |
with specially trained
staff that conforms to the county |
juvenile detention standards promulgated by
the Department |
of Corrections.
|
(8) "Juvenile justice continuum" means a set of |
delinquency prevention
programs and services designed for |
the purpose of preventing or reducing
delinquent acts, |
including criminal activity by youth gangs, as well as
|
intervention, rehabilitation, and prevention services |
targeted at minors who
have committed delinquent acts,
and |
minors who have previously been committed to residential |
treatment programs
for delinquents. The term includes |
children-in-need-of-services and
|
families-in-need-of-services programs; aftercare and |
reentry services;
substance abuse and mental health |
programs;
community service programs; community service
|
work programs; and alternative-dispute resolution programs |
serving
youth-at-risk of delinquency and their families, |
whether offered or delivered
by State or
local governmental |
entities, public or private for-profit or not-for-profit
|
organizations, or religious or charitable organizations. |
This term would also
encompass any program or service |
consistent with the purpose of those programs
and services |
enumerated in this subsection.
|
(9) "Juvenile police officer" means a sworn police |
officer who has completed
a Basic Recruit Training Course, |
|
has been assigned to the position of juvenile
police |
officer by his or her chief law enforcement officer and has |
completed
the necessary juvenile officers training as |
prescribed by the Illinois Law
Enforcement Training |
Standards Board, or in the case of a State police officer,
|
juvenile officer training approved by the Director of State
|
Police.
|
(10) "Minor" means a person under the age of 21 years |
subject to this Act.
|
(11) "Non-secure custody" means confinement where the |
minor is not
physically
restricted by being placed in a |
locked cell or room, by being handcuffed to a
rail or other |
stationary object, or by other means. Non-secure custody |
may
include, but is not limited to, electronic monitoring, |
foster home placement,
home confinement, group home |
placement, or physical restriction of movement or
activity |
solely through facility staff.
|
(12) "Public or community service" means uncompensated |
labor for a
not-for-profit organization
or public body |
whose purpose is to enhance physical or mental stability of |
the
offender, environmental quality or the social welfare |
and which agrees to
accept public or community service from |
offenders and to report on the progress
of the offender and |
the public or community service to the court or to the
|
authorized diversion program that has referred the |
offender for public or
community
service.
|
|
(13) "Sentencing hearing" means a hearing to determine |
whether a minor
should
be adjudged a ward of the court, and |
to determine what sentence should be
imposed on the minor. |
It is the intent of the General Assembly that the term
|
"sentencing hearing" replace the term "dispositional |
hearing" and be synonymous
with that definition as it was |
used in the Juvenile Court Act of 1987.
|
(14) "Shelter" means the temporary care of a minor in |
physically
unrestricting facilities pending court |
disposition or execution of court order
for placement.
|
(15) "Site" means a not-for-profit organization, |
public
body, church, charitable organization, or |
individual agreeing to
accept
community service from |
offenders and to report on the progress of ordered or
|
required public or community service to the court or to the |
authorized
diversion program that has referred the |
offender for public or community
service.
|
(16) "Station adjustment" means the informal or formal |
handling of an
alleged
offender by a juvenile police |
officer.
|
(17) "Trial" means a hearing to determine whether the |
allegations of a
petition under Section 5-520 that a minor |
is delinquent are proved beyond a
reasonable doubt. It is |
the intent of the General Assembly that the term
"trial" |
replace the term "adjudicatory hearing" and be synonymous |
with that
definition as it was used in the Juvenile Court |
|
Act of 1987.
|
The changes made to this Section by Public Act 98-61 this |
amendatory Act of the 98th General Assembly apply to violations |
or attempted violations committed on or after January 1, 2014 |
( the effective date of Public Act 98-61) this amendatory Act . |
(Source: P.A. 98-61, eff. 1-1-14; 98-558, eff. 1-1-14; revised |
1-21-14.)
|
(705 ILCS 405/5-130)
|
Sec. 5-130. Excluded jurisdiction.
|
(1)(a) The definition of delinquent minor under Section |
5-120 of this
Article shall not apply to any minor who at the |
time of an offense was at
least 15 years of age and who is |
charged with: (i) first degree murder, (ii) aggravated
criminal |
sexual assault, (iii) aggravated battery with a firearm as |
described in Section 12-4.2 or subdivision (e)(1), (e)(2), |
(e)(3), or (e)(4) of Section 12-3.05
where the minor personally |
discharged a firearm as defined in Section 2-15.5 of the |
Criminal Code of 1961 or the Criminal Code of 2012, (iv) armed |
robbery when the
armed robbery was committed with a firearm, or |
(v)
aggravated vehicular hijacking
when the hijacking was |
committed with a firearm.
|
These charges and all other charges arising out of the same |
incident shall
be prosecuted under the criminal laws of this |
State.
|
(b)(i) If before trial or plea an information or indictment |
|
is filed that
does not charge an offense specified in paragraph |
(a) of this subsection
(1) the State's Attorney may proceed on |
any lesser charge or charges, but
only in Juvenile Court under |
the provisions of this Article. The State's
Attorney may |
proceed on a lesser charge if
before trial the minor defendant |
knowingly and with advice of counsel waives,
in writing, his or |
her right to have the matter proceed in Juvenile Court.
|
(ii) If before trial or plea an information or indictment |
is filed that
includes one or more charges specified in |
paragraph (a) of this subsection
(1) and
additional charges |
that are not specified in that paragraph, all of the charges
|
arising out of the same incident shall be prosecuted under the |
Criminal Code of
1961 or the Criminal Code of 2012.
|
(c)(i) If after trial or plea the minor is convicted of any |
offense
covered by paragraph (a) of this subsection (1), then, |
in sentencing the minor,
the court shall have available any or |
all dispositions prescribed for that
offense under Chapter V of |
the Unified Code of Corrections.
|
(ii) If after trial or plea the court finds that the minor |
committed an
offense not covered by paragraph (a) of this |
subsection (1), that finding shall
not invalidate the verdict |
or the prosecution of the minor under the criminal
laws of the |
State; however, unless the State requests a hearing for the
|
purpose of sentencing the minor under Chapter V of the Unified |
Code of
Corrections, the Court must proceed under Sections |
5-705 and 5-710 of this
Article. To request a hearing, the |
|
State must file a written motion within 10
days following the |
entry of a finding or the return of a verdict. Reasonable
|
notice of the motion shall be given to the minor or his or her |
counsel.
If the motion is made by the State, the court shall |
conduct a hearing to
determine if the minor should be sentenced |
under Chapter V of the Unified Code
of Corrections. In making |
its determination, the court shall consider among
other |
matters: (a) whether there is
evidence that the offense was |
committed in an aggressive and premeditated
manner; (b) the age |
of the minor; (c) the previous history of the
minor; (d) |
whether there are facilities particularly available to the |
Juvenile
Court or the Department of Juvenile Justice for the |
treatment
and rehabilitation of the minor; (e) whether
the |
security of the public requires sentencing under Chapter V of |
the
Unified Code of Corrections; and (f) whether the minor |
possessed a deadly
weapon when committing the offense. The |
rules of evidence shall be the same as
if at trial. If after |
the hearing the court finds that the minor should be
sentenced |
under Chapter V of the Unified Code of Corrections, then the |
court
shall sentence the minor accordingly having available to |
it any or all
dispositions so prescribed.
|
(2) (Blank).
|
(3)(a) The definition of delinquent minor under Section
|
5-120 of this
Article shall not apply to any minor who at the |
time of the offense was at
least 15 years of age and who is |
charged with a violation of the provisions of
paragraph (1), |
|
(3), (4), or (10) of subsection (a) of Section 24-1 of the
|
Criminal Code of 1961 or the Criminal Code of 2012 while in |
school, regardless of the time of day or the
time of year, or |
on the real property comprising any school, regardless of the
|
time of day or the time of year. School is defined, for |
purposes of this
Section as any public or private elementary or |
secondary school, community
college, college, or university. |
These charges and all other charges arising
out of the same |
incident shall be prosecuted under the criminal laws of this
|
State.
|
(b)(i) If before trial or plea an information or indictment |
is filed that
does not charge an offense specified in paragraph |
(a) of this subsection (3)
the State's Attorney may proceed on |
any lesser charge or charges, but only in
Juvenile Court under |
the provisions of this Article. The State's Attorney may
|
proceed under the criminal laws of this State on a lesser |
charge if before
trial the minor defendant knowingly and with |
advice of counsel waives, in
writing, his or her right to have |
the matter proceed in Juvenile Court.
|
(ii) If before trial or plea an information or indictment |
is filed that
includes one or more charges specified in |
paragraph (a) of this subsection (3)
and additional charges |
that are not specified in that paragraph, all of the
charges |
arising out of the same incident shall be prosecuted under the |
criminal
laws of this State.
|
(c)(i) If after trial or plea the minor is convicted of any |
|
offense
covered by paragraph (a) of this subsection (3), then, |
in sentencing the minor,
the court shall have available any or |
all dispositions prescribed for that
offense under Chapter V of |
the Unified Code of Corrections.
|
(ii) If after trial or plea the court finds that the minor |
committed an
offense not covered by paragraph (a) of this |
subsection (3), that finding shall
not invalidate the verdict |
or the prosecution of the minor under the criminal
laws of the |
State; however, unless the State requests a hearing for the
|
purpose of sentencing the minor under Chapter V of the Unified |
Code of
Corrections, the Court must proceed under Sections |
5-705 and 5-710 of this
Article. To request a hearing, the |
State must file a written motion within 10
days following the |
entry of a finding or the return of a verdict. Reasonable
|
notice of the motion shall be given to the minor or his or her |
counsel. If the
motion is made by the State, the court shall |
conduct a hearing to determine if
the minor should be sentenced |
under Chapter V of the Unified Code of
Corrections. In making |
its determination, the court shall consider
among other |
matters: (a) whether there is
evidence that the offense was |
committed in an aggressive and premeditated
manner; (b) the age |
of the minor; (c) the previous history of the
minor; (d) |
whether there are facilities particularly available to the |
Juvenile
Court or the Department of Juvenile Justice for the |
treatment
and rehabilitation of the minor; (e) whether
the |
security of the public requires sentencing under Chapter V of |
|
the
Unified Code of Corrections; and (f) whether the minor |
possessed a deadly
weapon when committing the offense. The |
rules of evidence shall be the same as
if at trial. If after |
the hearing the court finds that the minor should be
sentenced |
under Chapter V of the Unified Code of Corrections, then the |
court
shall sentence the minor accordingly having available to |
it any or all
dispositions so prescribed.
|
(4)(a) The definition of delinquent minor under Section |
5-120 of this
Article
shall not apply to any minor who at the |
time of an offense was at least 13
years of age and who is |
charged with first degree murder committed during the
course of |
either aggravated criminal sexual assault, criminal sexual |
assault,
or aggravated kidnaping. However, this subsection (4) |
does not include a minor
charged with first degree murder based |
exclusively upon the accountability
provisions of the Criminal |
Code of 1961 or the Criminal Code of 2012.
|
(b)(i) If before trial or plea an information or indictment |
is filed that
does not charge first degree murder committed |
during the course of aggravated
criminal sexual assault, |
criminal
sexual assault, or aggravated kidnaping, the State's |
Attorney may proceed on
any lesser charge or charges, but only |
in Juvenile Court under the provisions
of this Article. The |
State's Attorney may proceed under the criminal laws of
this |
State
on a lesser charge if before trial the minor defendant |
knowingly and with
advice of counsel waives, in writing, his or |
her right to have the matter
proceed in Juvenile Court.
|
|
(ii) If before trial or plea an information or
indictment |
is filed that includes first degree murder committed during the
|
course of aggravated criminal sexual assault, criminal sexual |
assault, or
aggravated kidnaping, and additional charges that |
are not specified in
paragraph (a) of this subsection, all of |
the charges arising out of the same
incident shall be |
prosecuted under the criminal laws of this State.
|
(c)(i) If after trial or plea the minor is convicted of |
first degree
murder
committed during the course of aggravated |
criminal sexual assault, criminal
sexual assault, or |
aggravated kidnaping, in sentencing the minor, the court
shall |
have available any or all dispositions prescribed for that |
offense under
Chapter V of the Unified Code of Corrections.
|
(ii) If the minor was not yet 15
years of age at the time of |
the offense, and if after trial or plea the court
finds that |
the minor
committed an offense other than first degree murder |
committed during
the course of either aggravated criminal |
sexual assault, criminal sexual
assault, or aggravated |
kidnapping, the finding shall not invalidate the
verdict or the |
prosecution of the minor under the criminal laws of the State;
|
however, unless the State requests a hearing for the purpose of |
sentencing the
minor under
Chapter V of the Unified Code of |
Corrections, the Court must proceed under
Sections 5-705 and |
5-710 of this Article. To request a hearing, the State must
|
file a written motion within 10 days following the entry of a |
finding or the
return of a verdict. Reasonable notice of the |
|
motion shall be given to the
minor or his or her counsel. If |
the motion is made by the State, the court
shall conduct a |
hearing to determine whether the minor should be sentenced
|
under Chapter V of the
Unified Code of Corrections. In making |
its determination, the court shall
consider among other |
matters: (a) whether there is evidence that the offense
was |
committed in an
aggressive and premeditated manner; (b) the age |
of the minor; (c) the
previous delinquent history of the minor; |
(d) whether there are facilities
particularly available to the |
Juvenile Court or the Department of Juvenile Justice
for the |
treatment and rehabilitation of the minor; (e) whether the best
|
interest of the minor and the security of the public require |
sentencing under
Chapter V of the Unified Code of Corrections; |
and (f) whether the minor
possessed a deadly weapon when |
committing the offense. The rules of evidence
shall be the same |
as if at trial. If after the hearing the court finds that
the |
minor should be sentenced under Chapter V of the Unified Code |
of
Corrections, then the court shall sentence the minor |
accordingly having
available to it any or all dispositions so |
prescribed.
|
(5)(a) The definition of delinquent minor under Section |
5-120 of this
Article
shall not apply to any minor who is |
charged with a violation of subsection (a)
of Section 31-6 or |
Section 32-10 of the Criminal Code of 1961 or the Criminal Code |
of 2012 when the minor is
subject to prosecution under the |
criminal laws of this State as a result of the
application of |
|
the provisions of Section 5-125, or subsection (1) or (2) of
|
this Section. These charges and all other charges arising out |
of the same
incident shall be prosecuted under the criminal |
laws of this State.
|
(b)(i) If before trial or plea an information or indictment |
is filed that
does not charge an offense specified in paragraph |
(a) of this subsection (5),
the State's Attorney may proceed on |
any lesser charge or charges, but only in
Juvenile Court under |
the provisions of this Article. The State's Attorney may
|
proceed under the criminal laws of this State on a lesser |
charge if before
trial the minor defendant knowingly and with |
advice of counsel waives, in
writing, his or her right to have |
the matter proceed in Juvenile Court.
|
(ii) If before trial
or plea an information or indictment |
is filed that includes one or more charges
specified in |
paragraph (a) of this subsection (5) and additional charges |
that
are not specified in that paragraph, all of
the charges |
arising out of the same incident shall be prosecuted under the
|
criminal laws of this State.
|
(c)(i) If after trial or plea the minor is convicted of any |
offense
covered
by paragraph (a) of this subsection (5), then, |
in sentencing the minor, the
court shall have available any or |
all dispositions prescribed for that offense
under Chapter V of |
the Unified Code of Corrections.
|
(ii) If after trial or
plea the court finds that the minor |
committed an offense not covered by
paragraph (a) of
this |
|
subsection (5), the conviction shall not invalidate the verdict |
or the
prosecution of the minor under the criminal laws of this |
State; however,
unless the State requests a hearing for the
|
purpose of sentencing the minor under Chapter V of the Unified |
Code of
Corrections, the Court must proceed under Sections |
5-705 and 5-710 of this
Article.
To request a hearing, the |
State must file a written motion within 10 days
following the |
entry of a finding or the return of a verdict. Reasonable |
notice
of the motion shall be given to the minor or his or her |
counsel. If the motion
is made by the State, the court shall |
conduct a hearing to determine if whether
the minor should be |
sentenced under Chapter V of the Unified Code of
Corrections. |
In making its determination, the court shall consider among |
other
matters: (a) whether there is evidence that the offense |
was committed in an
aggressive and premeditated manner; (b) the |
age of the minor; (c) the previous
delinquent history of the |
minor; (d) whether there are facilities particularly
available |
to the Juvenile Court or the Department of Juvenile Justice for |
the treatment and rehabilitation of the minor; (e) whether
the |
security of the public requires sentencing under Chapter V of |
the Unified
Code of Corrections; and (f) whether the minor |
possessed a deadly weapon when
committing the offense. The |
rules of evidence shall be the same as if at
trial. If after |
the hearing the court finds that the minor should be sentenced
|
under Chapter V of the Unified Code of Corrections, then the |
court shall
sentence the minor accordingly having available to |
|
it any or all dispositions
so prescribed.
|
(6) The definition of delinquent minor under Section 5-120 |
of this Article
shall not apply to any minor who, pursuant to |
subsection (1) or (3) or
Section 5-805 or 5-810, has previously |
been placed under the jurisdiction of
the criminal court and |
has been convicted of a crime under an adult criminal or
penal |
statute. Such a minor shall be subject to prosecution under the |
criminal
laws of this State.
|
(7) The procedures set out in this Article for the |
investigation, arrest and
prosecution of juvenile offenders |
shall not apply to minors who are excluded
from jurisdiction of |
the Juvenile Court, except that minors under 18 years of
age |
shall be kept separate from confined adults.
|
(8) Nothing in this Act prohibits or limits the prosecution |
of any
minor for an offense committed on or after his or her |
18th birthday even though
he or she is at the time of the |
offense a ward of the court.
|
(9) If an original petition for adjudication of wardship |
alleges the
commission by a minor 13 years of age or
over of an |
act that constitutes a crime under the laws of this State,
the |
minor, with the consent of his or her counsel, may, at any time |
before
commencement of the adjudicatory hearing, file with the |
court a motion
that criminal prosecution be ordered and that |
the petition be dismissed
insofar as the act or acts involved |
in the criminal proceedings are
concerned. If such a motion is |
filed as herein provided, the court shall
enter its order |
|
accordingly.
|
(10) If, prior to August 12, 2005 (the effective date of |
Public Act 94-574), a minor is charged with a violation of |
Section 401 of the Illinois Controlled Substances Act under the |
criminal laws of this State, other than a minor charged with a |
Class X felony violation of the
Illinois Controlled
Substances |
Act or the Methamphetamine Control and Community Protection |
Act, any party including the minor or the court sua sponte
may, |
before trial,
move for a hearing for the purpose of trying and |
sentencing the minor as
a delinquent minor. To request a |
hearing, the party must file a motion
prior to trial. |
Reasonable notice of the motion shall be given to all
parties. |
On its own motion or upon the filing of a motion by one of the
|
parties including the minor, the court shall conduct a hearing |
to
determine whether the minor should be tried and sentenced as |
a
delinquent minor under this Article. In making its |
determination, the
court shall consider among other matters:
|
(a) The age of the minor;
|
(b) Any previous delinquent or criminal history of the |
minor;
|
(c) Any previous abuse or neglect history of the minor;
|
(d) Any mental health or educational history of the |
minor, or both; and
|
(e) Whether there is probable cause to support the |
charge, whether
the minor is charged through |
accountability, and whether there is
evidence the minor |
|
possessed a deadly weapon or caused serious
bodily harm |
during the offense.
|
Any material that is relevant and reliable shall be |
admissible at the
hearing. In
all cases, the judge shall enter |
an order permitting prosecution
under the criminal laws of |
Illinois unless the judge makes a finding
based on a |
preponderance of the evidence that the minor would be
amenable |
to the care, treatment, and training programs available
through |
the facilities of the juvenile court based on an evaluation of
|
the factors listed in this subsection (10).
|
(11) The changes made to this Section by Public Act 98-61 |
this amendatory Act of
the 98th General Assembly apply to a |
minor who has been
arrested or taken into custody on or after |
January 1, 2014 ( the effective date
of Public Act 98-61) this |
amendatory Act . |
(Source: P.A. 97-1150, eff. 1-25-13; 98-61, eff. 1-1-14; |
revised 11-22-13.)
|
(705 ILCS 405/5-401.5)
|
Sec. 5-401.5. When statements by minor may be used.
|
(a) In this Section, "custodial interrogation" means any |
interrogation
(i) during which a reasonable person in the |
subject's position
would consider himself or herself to be in |
custody and (ii) during which
a
question is asked that is |
reasonably likely to elicit an incriminating
response.
|
In this Section, "electronic recording" includes motion |
|
picture,
audiotape, videotape, or digital recording.
|
In this Section, "place of detention" means a building
or a |
police station that is a place of operation for a municipal |
police
department or county sheriff department or other law |
enforcement agency
at which persons are or may be held in |
detention in
connection with criminal charges against those |
persons or allegations that
those
persons are delinquent |
minors.
|
(b) An oral, written, or sign language statement of a minor |
who, at the time
of the
commission of the offense was under the |
age of 18
years, made as a
result of a custodial interrogation |
conducted at a police station or other
place of detention on or |
after
the effective date of
this amendatory Act of the 93rd |
General Assembly shall be presumed to be
inadmissible as |
evidence against the
minor in
any criminal proceeding or |
juvenile court proceeding,
for an act that if committed by an |
adult would be
brought under Section 9-1, 9-1.2, 9-2, 9-2.1, |
9-3, 9-3.2, or 9-3.3,
of the Criminal Code of 1961 or the |
Criminal Code of 2012,
or under clause (d)(1)(F) of Section |
11-501 of the Illinois Vehicle Code
unless:
|
(1) an electronic recording
is made of the custodial |
interrogation; and
|
(2) the recording is substantially accurate and not |
intentionally altered.
|
(b-5) Under the following circumstances, an oral, written, |
or sign language statement of a minor who, at the time
of the
|
|
commission of the offense was under the age of 17
years, made |
as a result of a custodial interrogation conducted at a police |
station or other place of detention shall be presumed to be |
inadmissible as evidence against the minor, unless an |
electronic recording is made of the custodial interrogation and |
the recording is substantially accurate and not intentionally |
altered: |
(1) in any criminal proceeding or juvenile court |
proceeding, for an act that if committed by an adult would |
be brought under Section 11-1.40 or 20-1.1 of the Criminal |
Code of 1961 or the Criminal Code of 2012, if the custodial |
interrogation was conducted on or after June 1, 2014; |
(2) in any criminal proceeding or juvenile court |
proceeding, for an act that if committed by an adult would |
be brought under Section 10-2, 18-4, or 19-6 of the |
Criminal Code of 1961 or the Criminal Code of 2012, if the |
custodial interrogation was conducted on or after June 1, |
2015; and |
(3) in any criminal proceeding or juvenile court |
proceeding, for an act that if committed by an adult would |
be brought under Section 11-1.30 or 18-2 or subsection (e) |
of Section 12-3.05 of the Criminal Code of 1961 or the |
Criminal Code of 2012, if the custodial interrogation was |
conducted on or after June 1, 2016. |
(b-10) If, during the course of an electronically recorded |
custodial interrogation conducted under this Section of a minor |
|
who, at the time
of the
commission of the offense was under the |
age of 17
years, the minor makes a statement that creates a |
reasonable suspicion to believe the minor has committed an act |
that if committed by an adult would be an offense other than an |
offense required to be recorded under subsection (b) or (b-5), |
the interrogators may, without the minor's consent, continue to |
record the interrogation as it relates to the other offense |
notwithstanding any provision of law to the contrary. Any oral, |
written, or sign language statement of a minor made as a result |
of an interrogation under this subsection shall be presumed to |
be inadmissible as evidence against the minor in any criminal |
proceeding or juvenile court proceeding, unless the recording |
is substantially accurate and not intentionally altered. |
(c) Every electronic recording made under this Section
must |
be preserved
until such time as the
minor's adjudication
for |
any
offense relating to the statement is final and all direct |
and habeas corpus
appeals are
exhausted,
or the prosecution of |
such offenses is barred by law.
|
(d) If the court finds, by a preponderance of the evidence, |
that the
minor
was
subjected to a custodial interrogation in |
violation of this Section,
then any statements made
by the
|
minor during or following that non-recorded custodial |
interrogation, even
if
otherwise in compliance with this |
Section, are presumed to be inadmissible in
any criminal
|
proceeding or juvenile court proceeding against the minor |
except for the
purposes of impeachment.
|
|
(e) Nothing in this Section precludes the admission (i) of |
a statement made
by the
minor in open court in any criminal |
proceeding or juvenile court proceeding,
before a grand jury, |
or
at a
preliminary hearing,
(ii) of a
statement made during a
|
custodial interrogation that was not recorded as required by
|
this
Section because electronic recording was not feasible, |
(iii) of a
voluntary
statement,
whether or not the result of a |
custodial interrogation, that has a bearing on
the
credibility |
of the accused as a witness, (iv)
of a spontaneous statement
|
that is not made in response to a question,
(v) of a statement |
made after questioning that is routinely
asked during the |
processing of the arrest of the suspect, (vi) of a statement
|
made during a custodial interrogation by a suspect who |
requests, prior to
making
the statement, to respond to the
|
interrogator's questions only if
an electronic recording is not |
made of the statement, provided that an
electronic
recording is |
made of the statement of agreeing to respond to
the |
interrogator's question, only if a recording is not made of the |
statement,
(vii)
of a statement made
during a custodial
|
interrogation that is conducted out-of-state,
(viii)
of a
|
statement given in violation of subsection (b) at a time when |
the interrogators are unaware that a death
has in fact |
occurred, (ix) of a statement given in violation of subsection |
(b-5) at a time when the interrogators are unaware of facts and |
circumstances that would create probable cause to believe that |
the minor committed an act that if committed by an adult would |
|
be an offense required to be recorded under subsection (b-5), |
or (x) of any
other statement that may be admissible under law. |
The State shall bear the
burden of proving, by a preponderance |
of the evidence, that one of the
exceptions described in this |
subsection (e) is applicable. Nothing in this
Section precludes |
the admission of a statement, otherwise inadmissible under
this |
Section, that is used only for impeachment and not as |
substantive
evidence.
|
(f) The presumption of inadmissibility of a statement made |
by a suspect at
a custodial interrogation at a police station |
or other place of detention may
be overcome by a preponderance |
of the evidence
that
the statement was voluntarily given and is |
reliable, based on the totality of
the
circumstances.
|
(g) Any electronic recording of any statement made by a |
minor during a
custodial interrogation that is compiled by any |
law enforcement agency as
required by this Section for the |
purposes of fulfilling the requirements of
this
Section shall |
be confidential and exempt from public inspection and copying, |
as
provided under Section 7 of the Freedom of Information Act, |
and the information
shall not be transmitted to anyone except |
as needed to comply with this
Section.
|
(h) A statement, admission, confession, or incriminating |
information made by or obtained from a minor related to the |
instant offense, as part of any behavioral health screening, |
assessment, evaluation, or treatment, whether or not |
court-ordered, shall not be admissible as evidence against the |
|
minor on the issue of guilt only in the instant juvenile court |
proceeding. The provisions of this subsection (h) are in |
addition to and do not override any existing statutory and |
constitutional prohibition on the admission into evidence in |
delinquency proceedings of information obtained during |
screening, assessment, or treatment. |
(i) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to |
statements of a minor made on or after January 1, 2014 ( the |
effective date of Public Act 98-61) this amendatory Act . |
(Source: P.A. 97-1150, eff. 1-25-13; 98-61, eff. 1-1-14; |
98-547, eff. 1-1-14; revised 9-24-13.)
|
(705 ILCS 405/5-410)
|
Sec. 5-410. Non-secure custody or detention.
|
(1) Any minor arrested or taken into custody pursuant to |
this Act who
requires care away from his or her home but who |
does not require physical
restriction shall be given temporary |
care in a foster family home or other
shelter facility |
designated by the court.
|
(2) (a) Any minor 10 years of age or older arrested
|
pursuant to this Act where there is probable cause to believe |
that the minor
is a delinquent minor and that
(i) secured |
custody is a matter of immediate and urgent necessity for the
|
protection of the minor or of the person or property of |
another, (ii) the minor
is likely to flee the jurisdiction of |
|
the court, or (iii) the minor was taken
into custody under a |
warrant, may be kept or detained in an authorized
detention |
facility. No minor under 12 years of age shall be detained in a
|
county jail or a municipal lockup for more than 6 hours.
|
(b) The written authorization of the probation officer or |
detention officer
(or other public officer designated by the |
court in a county having
3,000,000 or more inhabitants) |
constitutes authority for the superintendent of
any juvenile |
detention home to detain and keep a minor for up to 40 hours,
|
excluding Saturdays, Sundays and court-designated holidays. |
These
records shall be available to the same persons and |
pursuant to the same
conditions as are law enforcement records |
as provided in Section 5-905.
|
(b-4) The consultation required by subsection (b-5) shall |
not be applicable
if the probation officer or detention officer |
(or other public officer
designated
by the court in a
county |
having 3,000,000 or more inhabitants) utilizes a scorable |
detention
screening instrument, which has been developed with |
input by the State's
Attorney, to
determine whether a minor |
should be detained, however, subsection (b-5) shall
still be |
applicable where no such screening instrument is used or where |
the
probation officer, detention officer (or other public |
officer designated by the
court in a county
having 3,000,000 or |
more inhabitants) deviates from the screening instrument.
|
(b-5) Subject to the provisions of subsection (b-4), if a |
probation officer
or detention officer
(or other public officer |
|
designated by
the court in a county having 3,000,000 or more |
inhabitants) does not intend to
detain a minor for an offense |
which constitutes one of the following offenses
he or she shall |
consult with the State's Attorney's Office prior to the release
|
of the minor: first degree murder, second degree murder, |
involuntary
manslaughter, criminal sexual assault, aggravated |
criminal sexual assault,
aggravated battery with a firearm as |
described in Section 12-4.2 or subdivision (e)(1), (e)(2), |
(e)(3), or (e)(4) of Section 12-3.05, aggravated or heinous |
battery involving
permanent disability or disfigurement or |
great bodily harm, robbery, aggravated
robbery, armed robbery, |
vehicular hijacking, aggravated vehicular hijacking,
vehicular |
invasion, arson, aggravated arson, kidnapping, aggravated |
kidnapping,
home invasion, burglary, or residential burglary.
|
(c) Except as otherwise provided in paragraph (a), (d), or |
(e), no minor
shall
be detained in a county jail or municipal |
lockup for more than 12 hours, unless
the offense is a crime of |
violence in which case the minor may be detained up
to 24 |
hours. For the purpose of this paragraph, "crime of violence" |
has the
meaning
ascribed to it in Section 1-10 of the |
Alcoholism and Other Drug Abuse and
Dependency Act.
|
(i) The
period of detention is deemed to have begun |
once the minor has been placed in a
locked room or cell or |
handcuffed to a stationary object in a building housing
a |
county jail or municipal lockup. Time spent transporting a |
minor is not
considered to be time in detention or secure |
|
custody.
|
(ii) Any minor so
confined shall be under periodic |
supervision and shall not be permitted to come
into or |
remain in contact with adults in custody in the building.
|
(iii) Upon
placement in secure custody in a jail or |
lockup, the
minor shall be informed of the purpose of the |
detention, the time it is
expected to last and the fact |
that it cannot exceed the time specified under
this Act.
|
(iv) A log shall
be kept which shows the offense which |
is the basis for the detention, the
reasons and |
circumstances for the decision to detain and the length of |
time the
minor was in detention.
|
(v) Violation of the time limit on detention
in a |
county jail or municipal lockup shall not, in and of |
itself, render
inadmissible evidence obtained as a result |
of the violation of this
time limit. Minors under 18 years |
of age shall be kept separate from confined
adults and may |
not at any time be kept in the same cell, room or yard with
|
adults confined pursuant to criminal law. Persons 18 years |
of age and older
who have a petition of delinquency filed |
against them may be
confined in an
adult detention |
facility.
In making a determination whether to confine a |
person 18 years of age or
older
who has a petition of |
delinquency filed against the person, these factors,
among |
other matters, shall be considered:
|
(A) The age of the person;
|
|
(B) Any previous delinquent or criminal history of |
the person;
|
(C) Any previous abuse or neglect history of the |
person; and
|
(D) Any mental health or educational history of the |
person, or both.
|
(d) (i) If a minor 12 years of age or older is confined in a |
county jail
in a
county with a population below 3,000,000 |
inhabitants, then the minor's
confinement shall be implemented |
in such a manner that there will be no contact
by sight, sound |
or otherwise between the minor and adult prisoners. Minors
12 |
years of age or older must be kept separate from confined |
adults and may not
at any time
be kept in the same cell, room, |
or yard with confined adults. This paragraph
(d)(i) shall only |
apply to confinement pending an adjudicatory hearing and
shall |
not exceed 40 hours, excluding Saturdays, Sundays and court |
designated
holidays. To accept or hold minors during this time |
period, county jails shall
comply with all monitoring standards |
promulgated by the Department of
Corrections and training |
standards approved by the Illinois Law Enforcement
Training |
Standards Board.
|
(ii) To accept or hold minors, 12 years of age or older, |
after the time
period
prescribed in paragraph (d)(i) of this |
subsection (2) of this Section but not
exceeding 7 days |
including Saturdays, Sundays and holidays pending an
|
adjudicatory hearing, county jails shall comply with all |
|
temporary detention
standards promulgated by the Department of |
Corrections and training standards
approved by the Illinois Law |
Enforcement Training Standards Board.
|
(iii) To accept or hold minors 12 years of age or older, |
after the time
period prescribed in paragraphs (d)(i) and |
(d)(ii) of this subsection (2) of
this
Section, county jails |
shall comply with all programmatic and training standards
for |
juvenile detention homes promulgated by the Department of |
Corrections.
|
(e) When a minor who is at least 15 years of age is |
prosecuted under the
criminal laws of this State,
the court may |
enter an order directing that the juvenile be confined
in the |
county jail. However, any juvenile confined in the county jail |
under
this provision shall be separated from adults who are |
confined in the county
jail in such a manner that there will be |
no contact by sight, sound or
otherwise between the juvenile |
and adult prisoners.
|
(f) For purposes of appearing in a physical lineup, the |
minor may be taken
to a county jail or municipal lockup under |
the direct and constant supervision
of a juvenile police |
officer. During such time as is necessary to conduct a
lineup, |
and while supervised by a juvenile police officer, the sight |
and sound
separation provisions shall not apply.
|
(g) For purposes of processing a minor, the minor may be |
taken to a County
Jail or municipal lockup under the direct and |
constant supervision of a law
enforcement officer or |
|
correctional officer. During such time as is necessary
to |
process the minor, and while supervised by a law enforcement |
officer or
correctional officer, the sight and sound separation |
provisions shall not
apply.
|
(3) If the probation officer or State's Attorney (or such |
other public
officer designated by the court in a county having |
3,000,000 or more
inhabitants) determines that the minor may be |
a delinquent minor as described
in subsection (3) of Section |
5-105, and should be retained in custody but does
not require
|
physical restriction, the minor may be placed in non-secure |
custody for up to
40 hours pending a detention hearing.
|
(4) Any minor taken into temporary custody, not requiring |
secure
detention, may, however, be detained in the home of his |
or her parent or
guardian subject to such conditions as the |
court may impose.
|
(5) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to a |
minor who has been arrested or taken into custody on or after |
January 1, 2014 ( the effective date of Public Act 98-61) this |
amendatory Act . |
(Source: P.A. 98-61, eff. 1-1-14; revised 11-22-13.)
|
(705 ILCS 405/5-901)
|
Sec. 5-901. Court file.
|
(1) The Court file with respect to proceedings under this
|
Article shall consist of the petitions, pleadings, victim |
|
impact statements,
process,
service of process, orders, writs |
and docket entries reflecting hearings held
and judgments and |
decrees entered by the court. The court file shall be
kept |
separate from other records of the court.
|
(a) The file, including information identifying the |
victim or alleged
victim of any sex
offense, shall be |
disclosed only to the following parties when necessary for
|
discharge of their official duties:
|
(i) A judge of the circuit court and members of the |
staff of the court
designated by the judge;
|
(ii) Parties to the proceedings and their |
attorneys;
|
(iii) Victims and their attorneys, except in cases |
of multiple victims
of
sex offenses in which case the |
information identifying the nonrequesting
victims |
shall be redacted;
|
(iv) Probation officers, law enforcement officers |
or prosecutors or
their
staff;
|
(v) Adult and juvenile Prisoner Review Boards.
|
(b) The Court file redacted to remove any information |
identifying the
victim or alleged victim of any sex offense |
shall be disclosed only to the
following parties when |
necessary for discharge of their official duties:
|
(i) Authorized military personnel;
|
(ii) Persons engaged in bona fide research, with |
the permission of the
judge of the juvenile court and |
|
the chief executive of the agency that prepared
the
|
particular recording: provided that publication of |
such research results in no
disclosure of a minor's |
identity and protects the confidentiality of the
|
record;
|
(iii) The Secretary of State to whom the Clerk of |
the Court shall report
the disposition of all cases, as |
required in Section 6-204 or Section 6-205.1
of the |
Illinois
Vehicle Code. However, information reported |
relative to these offenses shall
be privileged and |
available only to the Secretary of State, courts, and |
police
officers;
|
(iv) The administrator of a bonafide substance |
abuse student
assistance program with the permission |
of the presiding judge of the
juvenile court;
|
(v) Any individual, or any public or private agency |
or institution,
having
custody of the juvenile under |
court order or providing educational, medical or
|
mental health services to the juvenile or a |
court-approved advocate for the
juvenile or any |
placement provider or potential placement provider as
|
determined by the court.
|
(3) A minor who is the victim or alleged victim in a |
juvenile proceeding
shall be
provided the same confidentiality |
regarding disclosure of identity as the
minor who is the |
subject of record.
Information identifying victims and alleged |
|
victims of sex offenses,
shall not be disclosed or open to |
public inspection under any circumstances.
Nothing in this |
Section shall prohibit the victim or alleged victim of any sex
|
offense from voluntarily disclosing his or her identity.
|
(4) Relevant information, reports and records shall be made |
available to the
Department of
Juvenile Justice when a juvenile |
offender has been placed in the custody of the
Department of |
Juvenile Justice.
|
(5) Except as otherwise provided in this subsection (5), |
juvenile court
records shall not be made available to the |
general public
but may be inspected by representatives of |
agencies, associations and news
media or other properly |
interested persons by general or special order of
the court. |
The State's Attorney, the minor, his or her parents, guardian |
and
counsel
shall at all times have the right to examine court |
files and records.
|
(a) The
court shall allow the general public to have |
access to the name, address, and
offense of a minor
who is |
adjudicated a delinquent minor under this Act under either |
of the
following circumstances:
|
(i) The
adjudication of
delinquency was based upon |
the
minor's
commission of first degree murder, attempt |
to commit first degree
murder, aggravated criminal |
sexual assault, or criminal sexual assault; or
|
(ii) The court has made a finding that the minor |
was at least 13 years
of
age
at the time the act was |
|
committed and the adjudication of delinquency was |
based
upon the minor's commission of: (A)
an act in |
furtherance of the commission of a felony as a member |
of or on
behalf of a criminal street
gang, (B) an act |
involving the use of a firearm in the commission of a
|
felony, (C) an act that would be a Class X felony |
offense
under or
the minor's second or subsequent
Class |
2 or greater felony offense under the Cannabis Control |
Act if committed
by an adult,
(D) an act that would be |
a second or subsequent offense under Section 402 of
the |
Illinois Controlled Substances Act if committed by an |
adult, (E) an act
that would be an offense under |
Section 401 of the Illinois Controlled
Substances Act |
if committed by an adult, or (F) an act that would be |
an offense under the Methamphetamine Control and |
Community Protection Act if committed by an adult.
|
(b) The court
shall allow the general public to have |
access to the name, address, and offense
of a minor who is |
at least 13 years of age at
the time the offense
is |
committed and who is convicted, in criminal proceedings
|
permitted or required under Section 5-805, under either of
|
the following
circumstances:
|
(i) The minor has been convicted of first degree |
murder, attempt
to commit first degree
murder, |
aggravated criminal sexual
assault, or criminal sexual |
assault,
|
|
(ii) The court has made a finding that the minor |
was at least 13 years
of age
at the time the offense |
was committed and the conviction was based upon the
|
minor's commission of: (A)
an offense in
furtherance of |
the commission of a felony as a member of or on behalf |
of a
criminal street gang, (B) an offense
involving the |
use of a firearm in the commission of a felony, (C)
a |
Class X felony offense under the Cannabis Control Act |
or a second or
subsequent Class 2 or
greater felony |
offense under the Cannabis Control Act, (D) a
second or |
subsequent offense under Section 402 of the Illinois
|
Controlled Substances Act, (E) an offense under |
Section 401 of the Illinois
Controlled Substances Act, |
or (F) an offense under the Methamphetamine Control and |
Community Protection Act.
|
(6) Nothing in this Section shall be construed to limit the |
use of a
adjudication of delinquency as
evidence in any |
juvenile or criminal proceeding, where it would otherwise be
|
admissible under the rules of evidence, including but not |
limited to, use as
impeachment evidence against any witness, |
including the minor if he or she
testifies.
|
(7) Nothing in this Section shall affect the right of a |
Civil Service
Commission or appointing authority examining the |
character and fitness of
an applicant for a position as a law |
enforcement officer to ascertain
whether that applicant was |
ever adjudicated to be a delinquent minor and,
if so, to |
|
examine the records or evidence which were made in
proceedings |
under this Act.
|
(8) Following any adjudication of delinquency for a crime |
which would be
a felony if committed by an adult, or following |
any adjudication of delinquency
for a violation of Section |
24-1, 24-3, 24-3.1, or 24-5
of the Criminal Code of 1961 or the |
Criminal Code of 2012, the State's Attorney shall ascertain
|
whether the minor respondent is enrolled in school and, if so, |
shall provide
a copy of the sentencing order to the principal |
or chief administrative
officer of the school. Access to such |
juvenile records shall be limited
to the principal or chief |
administrative officer of the school and any guidance
counselor |
designated by him or her.
|
(9) Nothing contained in this Act prevents the sharing or
|
disclosure of information or records relating or pertaining to |
juveniles
subject to the provisions of the Serious Habitual |
Offender Comprehensive
Action Program when that information is |
used to assist in the early
identification and treatment of |
habitual juvenile offenders.
|
(11) The Clerk of the Circuit Court shall report to the |
Department of
State
Police, in the form and manner required by |
the Department of State Police, the
final disposition of each |
minor who has been arrested or taken into custody
before his or |
her 18th birthday for those offenses required to be reported
|
under Section 5 of the Criminal Identification Act. Information |
reported to
the Department under this Section may be maintained |
|
with records that the
Department files under Section 2.1 of the |
Criminal Identification Act.
|
(12) Information or records may be disclosed to the general |
public when the
court is conducting hearings under Section |
5-805 or 5-810.
|
(13) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to |
juvenile court records of a minor who has been arrested or |
taken into custody on or after January 1, 2014 ( the effective |
date of Public Act 98-61) this amendatory Act . |
(Source: P.A. 97-1150, eff. 1-25-13; 98-61, eff. 1-1-14; |
revised 11-22-13.)
|
(705 ILCS 405/5-905)
|
Sec. 5-905. Law enforcement records.
|
(1) Law Enforcement Records.
Inspection and copying of law |
enforcement records maintained by law enforcement
agencies |
that relate to a minor who has been arrested or taken into |
custody
before his or her 18th birthday shall be restricted to |
the following and when
necessary for the discharge of their |
official duties:
|
(a) A judge of the circuit court and members of the |
staff of the court
designated by the judge;
|
(b) Law enforcement officers, probation officers or |
prosecutors or their
staff, or, when necessary for the |
discharge of its official duties in connection with a |
|
particular investigation of the conduct of a law |
enforcement officer, an independent agency or its staff |
created by ordinance and charged by a unit of local |
government with the duty of investigating the conduct of |
law enforcement officers;
|
(c) The minor, the minor's parents or legal guardian |
and their attorneys,
but only when the juvenile has been |
charged with an offense;
|
(d) Adult and Juvenile Prisoner Review Boards;
|
(e) Authorized military personnel;
|
(f) Persons engaged in bona fide research, with the |
permission of the
judge of juvenile court and the chief |
executive of the agency that prepared the
particular |
recording: provided that publication of such research |
results in no
disclosure of a minor's identity and protects |
the confidentiality of the
record;
|
(g) Individuals responsible for supervising or |
providing temporary or
permanent care and custody of minors |
pursuant to orders of the juvenile court
or directives from |
officials of the Department of Children and Family
Services |
or the Department of Human Services who certify in writing |
that the
information will not be disclosed to any other |
party except as provided under
law or order of court;
|
(h) The appropriate school official only if the agency |
or officer believes that there is an imminent threat of |
physical harm to students, school personnel, or others who |
|
are present in the school or on school grounds. |
(A) Inspection and copying
shall be limited to law |
enforcement records transmitted to the appropriate
|
school official or officials whom the school has |
determined to have a legitimate educational or safety |
interest by a local law enforcement agency under a |
reciprocal reporting
system established and maintained |
between the school district and the local law
|
enforcement agency under Section 10-20.14 of the |
School Code concerning a minor
enrolled in a school |
within the school district who has been arrested
or |
taken into custody for any of the following offenses: |
(i) any violation of Article 24 of the Criminal |
Code of
1961 or the Criminal Code of 2012; |
(ii) a violation of the Illinois Controlled |
Substances Act; |
(iii) a violation of the Cannabis Control Act; |
(iv) a forcible felony as defined in Section |
2-8 of the Criminal Code
of 1961 or the Criminal |
Code of 2012; |
(v) a violation of the Methamphetamine Control |
and Community Protection Act; |
(vi) a violation of Section 1-2 of the |
Harassing and Obscene Communications Act; |
(vii) a violation of the Hazing Act; or |
(viii) a violation of Section 12-1, 12-2, |
|
12-3, 12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5, |
12-5, 12-7.3, 12-7.4, 12-7.5, 25-1, or 25-5 of the |
Criminal Code of 1961 or the Criminal Code of 2012. |
The information derived from the law enforcement |
records shall be kept separate from and shall not |
become a part of the official school record of that |
child and shall not be a public record. The information |
shall be used solely by the appropriate school official |
or officials whom the school has determined to have a |
legitimate educational or safety interest to aid in the |
proper rehabilitation of the child and to protect the |
safety of students and employees in the school. If the |
designated law enforcement and school officials deem |
it to be in the best interest of the minor, the student |
may be referred to in-school or community based social |
services if those services are available. |
"Rehabilitation services" may include interventions by |
school support personnel, evaluation for eligibility |
for special education, referrals to community-based |
agencies such as youth services, behavioral healthcare |
service providers, drug and alcohol prevention or |
treatment programs, and other interventions as deemed |
appropriate for the student. |
(B) Any information provided to appropriate school |
officials whom the school has determined to have a |
legitimate educational or safety interest by local law |
|
enforcement officials about a minor who is the subject |
of a current police investigation that is directly |
related to school safety shall consist of oral |
information only, and not written law enforcement |
records, and shall be used solely by the appropriate |
school official or officials to protect the safety of |
students and employees in the school and aid in the |
proper rehabilitation of the child. The information |
derived orally from the local law enforcement |
officials shall be kept separate from and shall not |
become a part of the official school record of the |
child and shall not be a public record. This limitation |
on the use of information about a minor who is the |
subject of a current police investigation shall in no |
way limit the use of this information by prosecutors in |
pursuing criminal charges arising out of the |
information disclosed during a police investigation of |
the minor. For purposes of this paragraph, |
"investigation" means an official systematic inquiry |
by a law enforcement agency into actual or suspected |
criminal activity;
|
(i) The president of a park district. Inspection and |
copying shall be limited to law enforcement records |
transmitted to the president of the park district by the |
Illinois State Police under Section 8-23 of the Park |
District Code or Section 16a-5 of the Chicago Park District |
|
Act concerning a person who is seeking employment with that |
park district and who has been adjudicated a juvenile |
delinquent for any of the offenses listed in subsection (c) |
of Section 8-23 of the Park District Code or subsection (c) |
of Section 16a-5 of the Chicago Park District Act. |
(2) Information identifying victims and alleged victims of |
sex offenses,
shall not be disclosed or open to public |
inspection under any circumstances.
Nothing in this Section |
shall prohibit the victim or alleged victim of any sex
offense |
from voluntarily disclosing his or her identity.
|
(2.5) If the minor is a victim of aggravated battery, |
battery, attempted first degree murder, or other non-sexual |
violent offense, the identity of the victim may be disclosed to |
appropriate school officials, for the purpose of preventing |
foreseeable future violence involving minors, by a local law |
enforcement agency pursuant to an agreement established |
between the school district and a local law enforcement agency |
subject to the approval by the presiding judge of the juvenile |
court. |
(3) Relevant information, reports and records shall be made |
available to the
Department of Juvenile Justice when a juvenile |
offender has been placed in the
custody of the Department of |
Juvenile Justice.
|
(4) Nothing in this Section shall prohibit the inspection |
or disclosure to
victims and witnesses of photographs contained |
in the records of law
enforcement agencies when the inspection |
|
or disclosure is conducted in the
presence of a law enforcement |
officer for purposes of identification or
apprehension of any |
person in the course of any criminal investigation or
|
prosecution.
|
(5) The records of law enforcement officers, or of an |
independent agency created by ordinance and charged by a unit |
of local government with the duty of investigating the conduct |
of law enforcement officers, concerning all minors under
18 |
years of age must be maintained separate from the records of |
adults and
may not be open to public inspection or their |
contents disclosed to the
public except by order of the court |
or when the institution of criminal
proceedings has been |
permitted under Section 5-130 or 5-805 or required
under |
Section
5-130 or 5-805 or such a person has been convicted of a |
crime and is the
subject of
pre-sentence investigation or when |
provided by law.
|
(6) Except as otherwise provided in this subsection (6), |
law enforcement
officers, and personnel of an independent |
agency created by ordinance and charged by a unit of local |
government with the duty of investigating the conduct of law |
enforcement officers, may not disclose the identity of any |
minor
in releasing information to the general public as to the |
arrest, investigation
or disposition of any case involving a |
minor.
Any victim or parent or legal guardian of a victim may |
petition the court to
disclose the name and address of the |
minor and the minor's parents or legal
guardian, or both. Upon |
|
a finding by clear and convincing evidence that the
disclosure |
is either necessary for the victim to pursue a civil remedy |
against
the minor or the minor's parents or legal guardian, or |
both, or to protect the
victim's person or property from the |
minor, then the court may order the
disclosure of the |
information to the victim or to the parent or legal guardian
of |
the victim only for the purpose of the victim pursuing a civil |
remedy
against the minor or the minor's parents or legal |
guardian, or both, or to
protect the victim's person or |
property from the minor.
|
(7) Nothing contained in this Section shall prohibit law |
enforcement
agencies when acting in their official capacity |
from communicating with each
other by letter, memorandum, |
teletype or
intelligence alert bulletin or other means the |
identity or other relevant
information pertaining to a person |
under 18 years of age. The information
provided under this |
subsection (7) shall remain confidential and shall not
be |
publicly disclosed, except as otherwise allowed by law.
|
(8) No person shall disclose information under this Section |
except when
acting in his or her official capacity and as |
provided by law or order of
court.
|
(9) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to law |
enforcement records of a minor who has been arrested or taken |
into custody on or after January 1, 2014 ( the effective date of |
Public Act 98-61) this amendatory Act . |
|
(Source: P.A. 97-700, eff. 6-22-12; 97-1104, eff. 1-1-13; |
97-1150, eff. 1-25-13; 98-61, eff. 1-1-14; revised 11-22-13.)
|
(705 ILCS 405/5-915)
|
Sec. 5-915. Expungement of juvenile law enforcement and |
court records.
|
(0.05) For purposes of this Section and Section 5-622: |
"Expunge" means to physically destroy the records and |
to obliterate the minor's name from any official index or |
public record, or both. Nothing in this Act shall require |
the physical destruction of the internal office records, |
files, or databases maintained by a State's Attorney's |
Office or other prosecutor. |
"Law enforcement record" includes but is not limited to |
records of arrest, station adjustments, fingerprints, |
probation adjustments, the issuance of a notice to appear, |
or any other records maintained by a law enforcement agency |
relating to a minor suspected of committing an offense. |
(1) Whenever any person has attained the age of 18 or |
whenever all juvenile
court proceedings relating to that person |
have been terminated, whichever is
later, the person may |
petition the court to expunge law enforcement records
relating |
to incidents occurring before his or her 18th birthday or his |
or her
juvenile court
records, or both, but only in the |
following circumstances:
|
(a) the minor was arrested and no petition for |
|
delinquency was filed with
the clerk of the circuit court; |
or
|
(b) the minor was charged with an offense and was found |
not delinquent of
that offense; or
|
(c) the minor was placed under supervision pursuant to |
Section 5-615, and
the order of
supervision has since been |
successfully terminated; or
|
(d)
the minor was adjudicated for an offense which |
would be a Class B
misdemeanor, Class C misdemeanor, or a |
petty or business offense if committed by an adult.
|
(2) Any person may petition the court to expunge all law |
enforcement records
relating to any
incidents occurring before |
his or her 18th birthday which did not result in
proceedings in |
criminal court and all juvenile court records with respect to
|
any adjudications except those based upon first degree
murder |
and
sex offenses which would be felonies if committed by an |
adult, if the person
for whom expungement is sought has had no
|
convictions for any crime since his or her 18th birthday and:
|
(a) has attained the age of 21 years; or
|
(b) 5 years have elapsed since all juvenile court |
proceedings relating to
him or her have been terminated or |
his or her commitment to the Department of
Juvenile Justice
|
pursuant to this Act has been terminated;
|
whichever is later of (a) or (b). Nothing in this Section 5-915 |
precludes a minor from obtaining expungement under Section |
5-622. |
|
(2.5) If a minor is arrested and no petition for |
delinquency is filed with the clerk of the circuit court as |
provided in paragraph (a) of subsection (1) at the time the |
minor is released from custody, the youth officer, if |
applicable, or other designated person from the arresting |
agency, shall notify verbally and in writing to the minor or |
the minor's parents or guardians that if the State's Attorney |
does not file a petition for delinquency, the minor has a right |
to petition to have his or her arrest record expunged when the |
minor attains the age of 18 or when all juvenile court |
proceedings relating to that minor have been terminated and |
that unless a petition to expunge is filed, the minor shall |
have an arrest record and shall provide the minor and the |
minor's parents or guardians with an expungement information |
packet, including a petition to expunge juvenile records |
obtained from the clerk of the circuit court. |
(2.6) If a minor is charged with an offense and is found |
not delinquent of that offense; or if a minor is placed under |
supervision under Section 5-615, and the order of supervision |
is successfully terminated; or if a minor is adjudicated for an |
offense that would be a Class B misdemeanor, a Class C |
misdemeanor, or a business or petty offense if committed by an |
adult; or if a minor has incidents occurring before his or her |
18th birthday that have not resulted in proceedings in criminal |
court, or resulted in proceedings in juvenile court, and the |
adjudications were not based upon first degree murder or sex |
|
offenses that would be felonies if committed by an adult; then |
at the time of sentencing or dismissal of the case, the judge |
shall inform the delinquent minor of his or her right to |
petition for expungement as provided by law, and the clerk of |
the circuit court shall provide an expungement information |
packet to the delinquent minor, written in plain language, |
including a petition for expungement, a sample of a completed |
petition, expungement instructions that shall include |
information informing the minor that (i) once the case is |
expunged, it shall be treated as if it never occurred, (ii) he |
or she may apply to have petition fees waived, (iii) once he or |
she obtains an expungement, he or she may not be required to |
disclose that he or she had a juvenile record, and (iv) he or |
she may file the petition on his or her own or with the |
assistance of an attorney. The failure of the judge to inform |
the delinquent minor of his or her right to petition for |
expungement as provided by law does not create a substantive |
right, nor is that failure grounds for: (i) a reversal of an |
adjudication of delinquency, (ii) a new trial; or (iii) an |
appeal. |
(2.7) For counties with a population over 3,000,000, the |
clerk of the circuit court shall send a "Notification of a |
Possible Right to Expungement" post card to the minor at the |
address last received by the clerk of the circuit court on the |
date that the minor attains the age of 18 based on the |
birthdate provided to the court by the minor or his or her |
|
guardian in cases under paragraphs (b), (c), and (d) of |
subsection (1); and when the minor attains the age of 21 based |
on the birthdate provided to the court by the minor or his or |
her guardian in cases under subsection (2). |
(2.8) The petition for expungement for subsection (1) shall |
be substantially in the following form: |
IN THE CIRCUIT COURT OF ......, ILLINOIS
|
........ JUDICIAL CIRCUIT
|
IN THE INTEREST OF ) NO.
|
)
|
)
|
...................)
|
(Name of Petitioner) |
PETITION TO EXPUNGE JUVENILE RECORDS |
(705 ILCS 405/5-915 (SUBSECTION 1)) |
(Please prepare a separate petition for each offense) |
Now comes ............., petitioner, and respectfully requests
|
that this Honorable Court enter an order expunging all juvenile |
law enforcement and court records of petitioner and in support |
thereof states that:
Petitioner has attained the age of 18, |
his/her birth date being ......, or all
Juvenile Court |
proceedings terminated as of ......, whichever occurred later.
|
Petitioner was arrested on ..... by the ....... Police |
Department for the offense of ......., and:
|
|
(Check One:)
|
( ) a. no petition was filed with the Clerk of the Circuit |
Court. |
( ) b. was charged with ...... and was found not delinquent
of |
the offense. |
( ) c. a petition was filed and the petition was dismissed |
without a finding of delinquency on ..... |
( ) d. on ....... placed under supervision pursuant to Section |
5-615 of the Juvenile Court Act of 1987 and such order of |
supervision successfully terminated on ........ |
( ) e. was adjudicated for the offense, which would have been a |
Class B misdemeanor, a Class C misdemeanor, or a petty offense |
or business offense if committed by an adult.
|
Petitioner .... has .... has not been arrested on charges in |
this or any county other than the charges listed above. If |
petitioner has been arrested on additional charges, please list |
the charges below:
|
Charge(s): ...... |
Arresting Agency or Agencies: ........... |
Disposition/Result: (choose from a. through e., above): .....
|
WHEREFORE, the petitioner respectfully requests this Honorable |
Court to (1) order all law enforcement agencies to expunge all |
records of petitioner to this incident, and (2) to order the |
Clerk of the Court to expunge all records concerning the |
petitioner regarding this incident. |
|
)
|
)
|
...................)
|
(Name of Petitioner) |
PETITION TO EXPUNGE JUVENILE RECORDS
|
(705 ILCS 405/5-915 (SUBSECTION 2))
|
(Please prepare a separate petition for each offense)
|
Now comes ............, petitioner, and respectfully requests |
that this Honorable Court enter an order expunging all Juvenile |
Law Enforcement and Court records of petitioner and in support |
thereof states that: |
The incident for which the Petitioner seeks expungement |
occurred before the Petitioner's 18th birthday and did not |
result in proceedings in criminal court and the Petitioner has |
not had any convictions for any crime since his/her 18th |
birthday; and
|
The incident for which the Petitioner seeks expungement |
occurred before the Petitioner's 18th birthday and the |
adjudication was not based upon first-degree murder or sex |
offenses which would be felonies if committed by an adult, and |
the Petitioner has not had any convictions for any crime since |
his/her 18th birthday. |
Petitioner was arrested on ...... by the ....... Police |
Department for the offense of ........, and: |
(Check whichever one occurred the latest:) |
|
( ) a. The Petitioner has attained the age of 21 years, his/her |
birthday being .......; or |
( ) b. 5 years have elapsed since all juvenile court |
proceedings relating to the Petitioner have been terminated; or |
the Petitioner's commitment to the Department of Juvenile |
Justice
pursuant to the expungement of juvenile law enforcement |
and court records provisions of the Juvenile Court Act of 1987 |
has been terminated.
Petitioner ...has ...has not been arrested |
on charges in this or any other county other than the charge |
listed above. If petitioner has been arrested on additional |
charges, please list the charges below: |
Charge(s): .......... |
Arresting Agency or Agencies: ....... |
Disposition/Result: (choose from a or b, above): .......... |
WHEREFORE, the petitioner respectfully requests this Honorable |
Court to (1) order all law enforcement agencies to expunge all |
records of petitioner related to this incident, and (2) to |
order the Clerk of the Court to expunge all records concerning |
the petitioner regarding this incident. |
.......................
|
Petitioner (Signature)
|
......................
|
Petitioner's Street Address
|
|
.....................
|
City, State, Zip Code
|
.............................
|
Petitioner's Telephone Number
|
Pursuant to the penalties of perjury under the Code of Civil |
Procedure, 735 ILCS 5/1-109, I hereby certify that the |
statements in this petition are true and correct, or on |
information and belief I believe the same to be true. |
......................
|
Petitioner (Signature)
|
(3) The chief judge of the circuit in which an arrest was |
made or a charge
was brought or any
judge of that circuit |
designated by the chief judge
may, upon verified petition
of a |
person who is the subject of an arrest or a juvenile court |
proceeding
under subsection (1) or (2) of this Section, order |
the law enforcement
records or official court file, or both, to |
be expunged from the official
records of the arresting |
authority, the clerk of the circuit court and the
Department of |
State Police. The person whose records are to be expunged shall |
petition the court using the appropriate form containing his or |
her current address and shall promptly notify the clerk of the |
circuit court of any change of address. Notice
of the petition |
shall be served upon the State's Attorney or prosecutor charged |
with the duty of prosecuting the offense, the Department of |
State Police, and the arresting agency or agencies by the clerk |
|
of the circuit court. If an objection is filed within 45
days |
of the notice of the petition, the clerk of the circuit court |
shall set a date for hearing after the 45
day objection period. |
At the hearing the court shall hear evidence on whether the |
expungement should or should not be granted. Unless the State's |
Attorney or prosecutor, the Department of State Police, or an |
arresting agency objects to the expungement within 45
days of |
the notice, the court may enter an order granting expungement. |
The person whose records are to be expunged shall pay the clerk |
of the circuit court a fee equivalent to the cost associated |
with expungement of records by the clerk and the Department of |
State Police. The clerk shall forward a certified copy of the |
order to the Department of State Police, the appropriate |
portion of the fee to the Department of State Police for |
processing, and deliver a certified copy of the order to the |
arresting agency.
|
(3.1) The Notice of Expungement shall be in substantially |
the following form: |
IN THE CIRCUIT COURT OF ....., ILLINOIS
|
.... JUDICIAL CIRCUIT
|
IN THE INTEREST OF ) NO.
|
)
|
)
|
...................)
|
(Name of Petitioner) |
|
City, State, Zip Code
|
.............................
|
Petitioner's Telephone Number
|
PROOF OF SERVICE
|
On the ....... day of ......, 20..., I on oath state that I |
served this notice and true and correct copies of the |
above-checked documents by: |
(Check One:) |
delivering copies personally to each entity to whom they are |
directed; |
or |
by mailing copies to each entity to whom they are directed by |
depositing the same in the U.S. Mail, proper postage fully |
prepaid, before the hour of 5:00 p.m., at the United States |
Postal Depository located at ................. |
.........................................
|
|
Signature |
Clerk of the Circuit Court or Deputy Clerk
|
Printed Name of Delinquent Minor/Petitioner: .... |
Address: ........................................ |
Telephone Number: ............................... |
(3.2) The Order of Expungement shall be in substantially |
the following form: |
IN THE CIRCUIT COURT OF ....., ILLINOIS
|
.... JUDICIAL CIRCUIT
|
|
IN THE INTEREST OF ) NO.
|
)
|
)
|
...................)
|
(Name of Petitioner)
|
DOB ................ |
Arresting Agency/Agencies ...... |
ORDER OF EXPUNGEMENT
|
(705 ILCS 405/5-915 (SUBSECTION 3))
|
This matter having been heard on the petitioner's motion and |
the court being fully advised in the premises does find that |
the petitioner is indigent or has presented reasonable cause to |
waive all costs in this matter, IT IS HEREBY ORDERED that: |
( ) 1. Clerk of Court and Department of State Police costs |
are hereby waived in this matter. |
( ) 2. The Illinois State Police Bureau of Identification |
and the following law enforcement agencies expunge all records |
of petitioner relating to an arrest dated ...... for the |
offense of ...... |
Law Enforcement Agencies:
|
.........................
|
.........................
|
( ) 3. IT IS FURTHER ORDERED that the Clerk of the Circuit |
Court expunge all records regarding the above-captioned case. |
|
TO:(Clerk of the Court)
|
.................................
|
.................................
|
TO:(Judge)
|
.................................
|
.................................
|
TO:(Arresting Agency/Agencies)
|
.................................
|
................................. |
ATTENTION:
You are hereby notified that an objection has been |
filed by the following entity regarding the above-named minor's |
petition for expungement of juvenile records: |
( ) State's Attorney's Office;
|
( ) Prosecutor (other than State's Attorney's Office) charged |
with the duty of prosecuting the offense sought to be expunged;
|
( ) Department of Illinois State Police; or
|
( ) Arresting Agency or Agencies.
|
The agency checked above respectfully requests that this case |
be continued and set for hearing on whether the expungement |
should or should not be granted.
|
DATED: ....... |
Name: |
Attorney For:
|
Address: |
City/State/Zip:
|
Telephone:
|
|
Attorney No.:
|
FOR USE BY CLERK OF THE COURT PERSONNEL ONLY
|
This matter has been set for hearing on the foregoing |
objection, on ...... in room ...., located at ....., before the |
Honorable ....., Judge, or any judge sitting in his/her stead.
|
(Only one hearing shall be set, regardless of the number of |
Notices of Objection received on the same case).
|
A copy of this completed Notice of Objection containing the |
court date, time, and location, has been sent via regular U.S. |
Mail to the following entities. (If more than one Notice of |
Objection is received on the same case, each one must be |
completed with the court date, time and location and mailed to |
the following entities):
|
( ) Attorney, Public Defender or Minor;
|
( ) State's Attorney's Office; |
( ) Prosecutor (other than State's Attorney's Office) charged |
with the duty of prosecuting the offense sought to be expunged; |
( ) Department of Illinois State Police; and |
( ) Arresting agency or agencies.
|
Date: ...... |
Initials of Clerk completing this section: .....
|
(4) Upon entry of an order expunging records or files, the |
offense, which
the records or files concern shall be treated as |
if it never occurred. Law
enforcement officers and other public |
offices and agencies shall properly reply
on inquiry that no |
record or file exists with respect to the
person.
|
|
(5) Records which have not been expunged are sealed, and |
may be obtained
only under the provisions of Sections 5-901, |
5-905 and 5-915.
|
(6) Nothing in this Section shall be construed to prohibit |
the maintenance
of information relating to an offense after |
records or files concerning the
offense have been expunged if |
the information is kept in a manner that does not
enable |
identification of the offender. This information may only be |
used for
statistical and bona fide research purposes. |
(7)(a) The State Appellate Defender shall establish, |
maintain, and carry out, by December 31, 2004, a juvenile |
expungement program
to provide information and assistance to |
minors eligible to have their juvenile records expunged.
|
(b) The State Appellate Defender shall develop brochures, |
pamphlets, and
other
materials in
printed form and through the |
agency's World Wide Web site. The pamphlets and
other materials |
shall
include at a minimum the following information:
|
(i) An explanation of the State's juvenile expungement |
process; |
(ii) The circumstances under which juvenile |
expungement may occur; |
(iii) The juvenile offenses that may be expunged; |
(iv) The steps necessary to initiate and complete the |
juvenile expungement process;
and |
(v) Directions on how to contact the State Appellate |
Defender. |
|
(c) The State Appellate Defender shall establish and |
maintain a statewide
toll-free telephone
number that a person |
may use to receive information or assistance concerning
the |
expungement of juvenile records. The State Appellate
Defender |
shall advertise
the toll-free telephone number statewide. The |
State Appellate Defender shall
develop an expungement
|
information packet that may be sent to eligible persons seeking |
expungement of
their juvenile records,
which may include, but |
is not limited to, a pre-printed expungement petition
with |
instructions on how
to complete the petition and a pamphlet |
containing information that would
assist individuals through
|
the juvenile expungement process. |
(d) The State Appellate Defender shall compile a statewide |
list of volunteer
attorneys willing
to assist eligible |
individuals through the juvenile expungement process. |
(e) This Section shall be implemented from funds |
appropriated by the General
Assembly to the State
Appellate |
Defender
for this purpose. The State Appellate Defender shall |
employ the necessary staff
and adopt the
necessary rules for |
implementation of this Section. |
(8)(a) Except with respect to law enforcement agencies, the |
Department of Corrections, State's Attorneys, or other |
prosecutors, an expunged juvenile record may not be considered |
by any private or public entity in employment matters, |
certification, licensing, revocation of certification or |
licensure, or registration. Applications for employment must |
|
contain specific language that states that the applicant is not |
obligated to disclose expunged juvenile records of conviction |
or arrest. Employers may not ask if an applicant has had a |
juvenile record expunged. Effective January 1, 2005, the |
Department of Labor shall develop a link on the Department's |
website to inform employers that employers may not ask if an |
applicant had a juvenile record expunged and that application |
for employment must contain specific language that states that |
the applicant is not obligated to disclose expunged juvenile |
records of arrest or conviction. |
(b) A person whose juvenile records have been expunged is |
not entitled to remission of any fines, costs, or other money |
paid as a consequence of expungement. This amendatory Act of |
the 93rd General Assembly does not affect the right of the |
victim of a crime to prosecute or defend a civil action for |
damages.
|
(c) The expungement of juvenile records under Section 5-622 |
shall be funded by the additional fine imposed under Section |
5-9-1.17 of the Unified Code of Corrections and additional |
appropriations made by the General Assembly for such purpose. |
(9) The changes made to this Section by Public Act 98-61 |
this amendatory Act of the 98th General Assembly apply to law |
enforcement records of a minor who has been arrested or taken |
into custody on or after January 1, 2014 ( the effective date of |
Public Act 98-61) this amendatory Act . |
(Source: P.A. 98-61, eff. 1-1-14; revised 3-27-14.)
|
|
Section 695. The Criminal Code of 2012 is amended by |
changing Sections 2-10.1, 3-6, 10-9, 11-1.40, 11-9.1B, 11-14, |
12-3.05, 12C-10, 19-4, 21-1.3, 31A-1.1, 33-1, and 33E-18 as |
follows:
|
(720 ILCS 5/2-10.1) (from Ch. 38, par. 2-10.1)
|
Sec. 2-10.1.
"Severely or profoundly intellectually |
disabled
person" means a person (i)
whose intelligence quotient |
does not exceed 40 or (ii) whose
intelligence quotient does not |
exceed 55 and who suffers
from
significant mental illness to |
the extent that the person's ability to exercise
rational |
judgment is impaired. In any proceeding in which the defendant |
is
charged with committing a violation of Section 10-2, 10-5, |
11-1.30, 11-1.60, 11-14.4, 11-15.1, 11-19.1,
11-19.2, 11-20.1, |
11-20.1B, 11-20.3, 12-4.3, 12-14, or 12-16, or subdivision |
(b)(1) of Section 12-3.05, of this Code against a victim who is
|
alleged to be a severely or profoundly intellectually disabled
|
person, any findings concerning the victim's status as a
|
severely or profoundly intellectually disabled person, made by |
a court after a
judicial admission hearing concerning the |
victim under Articles V and VI of
Chapter IV 4 of the Mental |
Health and Developmental Disabilities Code
shall be |
admissible.
|
(Source: P.A. 96-1551, Article 1, Section 960, eff. 7-1-11; |
96-1551, Article 2, Section 1035, eff. 7-1-11; 97-227, eff. |
|
1-1-12; 97-1109, eff. 1-1-13; revised 9-11-13.)
|
(720 ILCS 5/3-6) (from Ch. 38, par. 3-6)
|
Sec. 3-6. Extended limitations. The period within which a |
prosecution
must be commenced under the provisions of Section |
3-5 or other applicable
statute is extended under the following |
conditions:
|
(a) A prosecution for theft involving a breach of a |
fiduciary obligation
to the aggrieved person may be commenced |
as follows:
|
(1) If the aggrieved person is a minor or a person |
under legal disability,
then during the minority or legal |
disability or within one year after the
termination |
thereof.
|
(2) In any other instance, within one year after the |
discovery of the
offense by an aggrieved person, or by a |
person who has legal capacity to
represent an aggrieved |
person or has a legal duty to report the offense,
and is |
not himself or herself a party to the offense; or in the |
absence of such
discovery, within one year after the proper |
prosecuting officer becomes
aware of the offense. However, |
in no such case is the period of limitation
so extended |
more than 3 years beyond the expiration of the period |
otherwise
applicable.
|
(b) A prosecution for any offense based upon misconduct in |
office by a
public officer or employee may be commenced within |
|
one year after discovery
of the offense by a person having a |
legal duty to report such offense, or
in the absence of such |
discovery, within one year after the proper
prosecuting officer |
becomes aware of the offense. However, in no such case
is the |
period of limitation so extended more than 3 years beyond the
|
expiration of the period otherwise applicable.
|
(b-5) When the victim is under 18 years of age at the time |
of the offense, a prosecution for involuntary servitude, |
involuntary sexual servitude of a minor, or trafficking in |
persons and related offenses under Section 10-9 of this Code |
may be commenced within one year of the victim attaining the |
age of 18 years. However, in no such case shall the time period |
for prosecution expire sooner than 3 years after the commission |
of the offense. |
(c) (Blank).
|
(d) A prosecution for child pornography, aggravated child |
pornography, indecent
solicitation of a
child, soliciting for a |
juvenile prostitute, juvenile pimping,
exploitation of a |
child, or promoting juvenile prostitution except for keeping a |
place of juvenile prostitution may be commenced within one year |
of the victim
attaining the age of 18 years. However, in no |
such case shall the time
period for prosecution expire sooner |
than 3 years after the commission of
the offense. When the |
victim is under 18 years of age, a prosecution for
criminal
|
sexual abuse may be commenced within
one year of the victim |
attaining the age of 18 years. However, in no such
case shall |
|
the time period for prosecution expire sooner than 3 years |
after
the commission of the offense.
|
(e) Except as otherwise provided in subdivision (j), a |
prosecution for
any offense involving sexual conduct or sexual
|
penetration, as defined in Section 11-0.1 of this Code, where |
the defendant
was within a professional or fiduciary |
relationship or a purported
professional or fiduciary |
relationship with the victim at the
time of the commission of |
the offense may be commenced within one year
after the |
discovery of the offense by the victim.
|
(f) A prosecution for any offense set forth in Section 44
|
of the "Environmental Protection Act", approved June 29, 1970, |
as amended,
may be commenced within 5 years after the discovery |
of such
an offense by a person or agency having the legal duty |
to report the
offense or in the absence of such discovery, |
within 5 years
after the proper prosecuting officer becomes |
aware of the offense.
|
(f-5) A prosecution for any offense set forth in Section |
16-30 of this Code may be commenced within 5 years after the |
discovery of the offense by the victim of that offense.
|
(g) (Blank).
|
(h) (Blank).
|
(i) Except as otherwise provided in subdivision (j), a |
prosecution for
criminal sexual assault, aggravated criminal
|
sexual assault, or aggravated criminal sexual abuse may be |
commenced within 10
years of the commission of the offense if |
|
the victim reported the offense to
law enforcement authorities |
within 3 years after the commission of the offense.
|
Nothing in this subdivision (i) shall be construed to
|
shorten a period within which a prosecution must be commenced |
under any other
provision of this Section.
|
(j) (1) When the victim is under 18 years of age at the |
time of the offense, a
prosecution
for criminal sexual assault, |
aggravated criminal sexual assault, predatory
criminal sexual |
assault of a child, aggravated criminal sexual abuse, or felony |
criminal sexual abuse may be commenced at any time when |
corroborating physical evidence is available or an individual |
who is required to report an alleged or suspected commission of |
any of these offenses under the Abused and Neglected Child |
Reporting Act fails to do so. |
(2) In circumstances other than as described in paragraph |
(1) of this subsection (j), when the victim is under 18 years |
of age at the time of the offense, a prosecution for criminal |
sexual assault, aggravated criminal sexual assault, predatory |
criminal sexual assault of a child, aggravated criminal sexual |
abuse, or felony criminal sexual abuse, or a
prosecution for |
failure of a person who is required to report an alleged
or |
suspected commission of any of these offenses under the Abused |
and Neglected
Child Reporting Act may be
commenced within 20 |
years after the child victim attains 18
years of age. |
(3) When the victim is under 18 years of age at the time of |
the offense, a
prosecution
for misdemeanor criminal sexual |
|
abuse may be
commenced within 10 years after the child victim |
attains 18
years of age.
|
(4) Nothing in this subdivision (j) shall be construed to
|
shorten a period within which a prosecution must be commenced |
under any other
provision of this Section.
|
(k) A prosecution for theft involving real property |
exceeding $100,000 in value under Section 16-1, identity theft |
under subsection (a) of Section 16-30, aggravated identity |
theft under subsection (b) of Section 16-30, or any offense set |
forth in Article 16H or Section 17-10.6 may be commenced within |
7 years of the last act committed in furtherance of the crime.
|
(l) A prosecution for any offense set forth in Section 26-4 |
of this Code may be commenced within one year after the |
discovery of the offense by the victim of that offense. |
(Source: P.A. 97-597, eff. 1-1-12; 97-897, eff. 1-1-13; 98-293, |
eff. 1-1-14; 98-379, eff. 1-1-14; revised 9-24-13.) |
(720 ILCS 5/10-9) |
Sec. 10-9. Trafficking in persons, involuntary servitude, |
and related offenses. |
(a) Definitions. In this Section: |
(1) "Intimidation" has the meaning prescribed in |
Section 12-6. |
(2) "Commercial sexual activity" means any sex act on |
account of which anything of value is given, promised to, |
or received by any person.
|
|
(3) "Financial harm" includes intimidation that brings |
about financial loss, criminal usury, or employment |
contracts that violate the Frauds Act. |
(4) (Blank). " |
(5) "Labor" means work of economic or financial value. |
(6) "Maintain" means, in relation to labor or services, |
to secure continued performance thereof, regardless of any |
initial agreement on the part of the victim to perform that |
type of service. |
(7) "Obtain" means, in relation to labor or services, |
to secure performance thereof. |
(7.5) "Serious harm" means any harm, whether physical |
or nonphysical, including psychological, financial, or |
reputational harm, that is sufficiently serious, under all |
the surrounding circumstances, to compel a reasonable |
person of the same background and in the same circumstances |
to perform or to continue performing labor or services in |
order to avoid incurring that harm. |
(8) "Services" means activities resulting from a |
relationship between a person and the actor in which the |
person performs activities under the supervision of or for |
the benefit of the actor. Commercial sexual activity and |
sexually-explicit performances are forms of activities |
that are "services" under this Section. Nothing in this |
definition may be construed to legitimize or legalize |
prostitution. |
|
(9) "Sexually-explicit performance" means a live, |
recorded, broadcast (including over the Internet), or |
public act or show intended to arouse or satisfy the sexual |
desires or appeal to the prurient interests of patrons. |
(10) "Trafficking victim" means a person subjected to |
the practices set forth in subsection (b), (c), or (d). |
(b) Involuntary servitude. A person commits involuntary |
servitude when he or she knowingly subjects, attempts to |
subject, or engages in a conspiracy to subject another person |
to labor or services obtained or maintained through any of the |
following means, or any combination of these means: |
(1) causes or threatens to cause physical harm to any |
person; |
(2) physically restrains or threatens to physically |
restrain another person; |
(3) abuses or threatens to abuse the law or legal |
process; |
(4) knowingly destroys, conceals, removes, |
confiscates, or possesses any actual or purported passport |
or other immigration document, or any other actual or |
purported government identification document, of another |
person; |
(5) uses intimidation, or exerts financial control |
over any person; or |
(6) uses any scheme, plan, or pattern intended to cause |
the person to believe that, if the person did not perform |
|
the labor or services, that person or another person would |
suffer serious harm or physical restraint. |
Sentence. Except as otherwise provided in subsection (e) or |
(f), a violation of subsection (b)(1) is a Class X felony, |
(b)(2) is a Class 1 felony, (b)(3) is a Class 2 felony, (b)(4) |
is a Class 3 felony, (b)(5) and (b)(6) is a Class 4 felony. |
(c) Involuntary sexual servitude of a minor. A person |
commits involuntary sexual servitude of a minor when he or she |
knowingly recruits, entices, harbors, transports, provides, or |
obtains by any means, or attempts to recruit, entice, harbor, |
provide, or obtain by any means, another person under 18 years |
of age, knowing that the minor will engage in commercial sexual |
activity, a sexually-explicit performance, or the production |
of pornography, or causes or attempts to cause a minor to |
engage in one or more of those activities and: |
(1) there is no overt force or threat and the minor is |
between the ages of 17 and 18 years; |
(2) there is no overt force or threat and the minor is |
under the age of 17 years; or |
(3) there is overt force or threat. |
Sentence. Except as otherwise provided in subsection (e) or |
(f), a violation of subsection (c)(1) is a Class 1 felony, |
(c)(2) is a Class X felony, and (c)(3) is a Class X felony. |
(d) Trafficking in persons. A person commits trafficking in |
persons when he or she knowingly: (1) recruits, entices, |
harbors, transports, provides, or obtains by any means, or |
|
attempts to recruit, entice, harbor, transport, provide, or |
obtain by any means, another person, intending or knowing that |
the person will be subjected to involuntary servitude; or (2) |
benefits, financially or by receiving anything of value, from |
participation in a venture that has engaged in an act of |
involuntary servitude or involuntary sexual servitude of a |
minor. |
Sentence. Except as otherwise provided in subsection (e) or |
(f), a violation of this subsection is a Class 1 felony. |
(e) Aggravating factors. A violation of this Section |
involving kidnapping or an attempt to kidnap, aggravated |
criminal sexual assault or an attempt to commit aggravated |
criminal sexual assault, or an attempt to commit first degree |
murder is a Class X felony. |
(f) Sentencing considerations. |
(1) Bodily injury. If, pursuant to a violation of this |
Section, a victim
suffered bodily injury, the defendant may |
be sentenced to an extended-term sentence under Section |
5-8-2 of the Unified Code of Corrections. The sentencing |
court must take into account the time in which the victim |
was held in servitude, with increased penalties for cases |
in which the victim was held for between 180 days and one |
year, and increased penalties for cases in which the victim |
was held for more than one year. |
(2) Number of victims. In determining sentences within |
statutory maximums, the sentencing court should take into |
|
account the number of victims, and may provide for |
substantially increased sentences in cases involving more |
than 10 victims. |
(g) Restitution. Restitution is mandatory under this |
Section. In addition to any other amount of loss identified, |
the court shall order restitution including the greater of (1) |
the gross income or value to the defendant of the victim's |
labor or services or (2) the value of the victim's labor as |
guaranteed under the Minimum Wage Law and overtime provisions |
of the Fair Labor Standards Act (FLSA) or the Minimum Wage Law, |
whichever is greater. |
(h) Trafficking victim services. Subject to the |
availability of funds, the Department of Human Services may |
provide or fund emergency services and assistance to |
individuals who are victims of one or more offenses defined in |
this Section.
|
(i) Certification. The Attorney General, a State's |
Attorney, or any law enforcement official shall certify in |
writing to the United States Department of Justice or other |
federal agency, such as the United States Department of |
Homeland Security, that an investigation or prosecution under |
this Section has begun and the individual who is a likely |
victim of a crime described in this Section is willing to |
cooperate or is cooperating with the investigation to enable |
the individual, if eligible under federal law, to qualify for |
an appropriate special immigrant visa and to access available |
|
federal benefits. Cooperation with law enforcement shall not be |
required of victims of a crime described in this Section who |
are under 18 years of age. This certification shall be made |
available to the victim and his or her designated legal |
representative. |
(j) A person who commits involuntary servitude, |
involuntary sexual servitude of a minor, or trafficking in |
persons under subsection (b), (c), or (d) of this Section is |
subject to the property forfeiture provisions set forth in |
Article 124B of the Code of Criminal Procedure of 1963.
|
(Source: P.A. 96-710, eff. 1-1-10; incorporates 96-712, eff. |
1-1-10; 96-1000, eff. 7-2-10; 97-897, eff. 1-1-13; revised |
11-12-13.)
|
(720 ILCS 5/11-1.40)
(was 720 ILCS 5/12-14.1)
|
Sec. 11-1.40. Predatory criminal sexual assault of a child.
|
(a) A person commits predatory criminal sexual assault of a |
child if that person commits an act of sexual penetration or an |
act of contact, however slight , between the sex organ or anus |
of one person and the part of the body of another, and the |
accused is 17 years of age or older, and: |
(1) the victim is under 13 years of age; or |
(2) the victim is under 13 years of age and that |
person: |
(A) is armed with a firearm; |
(B) personally discharges a firearm during the |
|
commission of the offense; |
(C) causes great bodily harm to the victim that: |
(i) results in permanent disability; or |
(ii) is life threatening; or |
(D) delivers (by injection, inhalation, ingestion, |
transfer of possession, or any other means) any |
controlled substance to the victim without the |
victim's consent or by threat or deception, for other |
than medical purposes.
|
(b) Sentence.
|
(1) A person convicted of a violation of subsection |
(a)(1)
commits a Class X felony, for which the person shall |
be sentenced to a term of imprisonment of not less than 6 |
years and not more than 60 years.
A person convicted of a |
violation of subsection (a)(2)(A) commits a Class X
felony |
for which 15 years shall be added to the term of |
imprisonment imposed by
the court. A person convicted of a |
violation of subsection (a)(2)(B) commits a
Class X felony |
for which 20 years shall be added to the term of |
imprisonment
imposed by the court. A person convicted of a |
violation of subsection (a)(2)(C)
commits a Class X felony |
for which the person shall be sentenced to a term of
|
imprisonment of not less than 50 years or up to a term of |
natural life
imprisonment.
|
(1.1) A person convicted of a violation of subsection |
(a)(2)(D) commits a
Class X felony for which the person
|
|
shall be
sentenced to a
term of imprisonment of not less |
than 50 years and not more than 60 years.
|
(1.2) A person convicted of predatory criminal sexual |
assault of a child
committed
against 2 or more persons |
regardless of whether the offenses occurred as the
result |
of the same act or of several related or unrelated acts |
shall be
sentenced to a term of natural life imprisonment.
|
(2) A person who is convicted of a second or subsequent |
offense of
predatory criminal sexual assault of a child, or |
who is convicted of the
offense of
predatory criminal |
sexual assault of a child after having previously been
|
convicted of the offense of criminal sexual assault or the |
offense of
aggravated criminal sexual assault, or who is |
convicted of the offense of
predatory criminal sexual |
assault of a child after having previously been
convicted |
under the laws of this State
or any other state of an |
offense that is substantially equivalent to the
offense
of |
predatory criminal sexual assault of a child, the offense |
of aggravated
criminal sexual assault or the offense of |
criminal sexual assault, shall be
sentenced to a term of |
natural life imprisonment.
The commission of the second or |
subsequent offense is required to have been
after the |
initial conviction for this paragraph (2) to apply.
|
(Source: P.A. 98-370, eff. 1-1-14; revised 11-12-13.) |
(720 ILCS 5/11-9.1B) |
|
Sec. 11-9.1B. Failure to report sexual abuse of a child. |
(a) For the purposes of this Section: |
"Child" means any person under the age of 13. |
"Sexual abuse" means any contact, however slight, between |
the sex organ or anus of the victim or the accused and an |
object or body part, including , but not limited to, the sex |
organ, mouth, or anus of the victim or the accused, or any |
intrusion, however slight, of any part of the body of the |
victim or the accused or of any animal or object into the sex |
organ or anus of the victim or the accused, including, but not |
limited to, cunnilingus, fellatio, or anal penetration. |
Evidence of emission of semen is not required to prove sexual |
abuse. |
(b) A person over the age of 18 commits failure to report |
sexual abuse of a child when he or she personally observes |
sexual abuse, as defined by this Section, between a person who |
he or she knows is over the age of 18 and a person he or she |
knows is a child, and knowingly fails to report the sexual |
abuse to law enforcement. |
(c) This Section does not apply to a person who makes |
timely and reasonable efforts to stop the sexual abuse by |
reporting the sexual abuse in conformance with the Abused and |
Neglected Child Reporting Act or by reporting the sexual abuse |
or causing a report to be made, to medical or law enforcement |
authorities or anyone who is a mandated reporter under Section |
4 of the Abused and Neglected Child Reporting Act. |
|
(d) A person may not be charged with the offense of failure |
to report sexual abuse of a child under this Section until the |
person who committed the offense is charged with criminal |
sexual assault, aggravated criminal sexual assault, predatory |
criminal sexual assault of a child, criminal sexual abuse, or |
aggravated criminal sexual abuse. |
(e) It is an affirmative defense to a charge of failure to |
report sexual abuse of a child under this Section that the |
person who personally observed the sexual abuse had a |
reasonable apprehension that timely action to stop the abuse |
would result in the imminent infliction of death, great bodily |
harm, permanent disfigurement, or permanent disability to that |
person or another in retaliation for reporting. |
(f) Sentence. A person who commits failure to report sexual |
abuse of a child is guilty of a Class A misdemeanor for the |
first violation and a Class 4 felony for a second or subsequent |
violation. |
(g) Nothing in this Section shall be construed to allow |
prosecution of a person who personally observes the act of |
sexual abuse and assists with an investigation and any |
subsequent prosecution of the offender.
|
(Source: P.A. 98-370, eff. 1-1-14; revised 11-12-13.) |
(720 ILCS 5/11-14) (from Ch. 38, par. 11-14) |
Sec. 11-14. Prostitution. |
(a) Any person who knowingly performs, offers or agrees
to |
|
perform any act of sexual penetration as defined in Section |
11-0.1 of
this Code for anything
of value, or any touching or |
fondling
of the sex organs of one person by another person, for
|
anything of value, for the purpose of sexual arousal or |
gratification commits
an act of prostitution. |
(b) Sentence. A violation of this Section is a Class A |
misdemeanor. |
(c) (Blank). or 5-6-3.4
|
(d) Notwithstanding the foregoing, if it is determined, |
after a reasonable detention for investigative purposes, that a |
person suspected of or charged with a violation of this Section |
is a person under the age of 18, that person shall be immune |
from prosecution for a prostitution offense under this Section, |
and shall be subject to the temporary protective custody |
provisions of Sections 2-5 and 2-6 of the Juvenile Court Act of |
1987. Pursuant to the provisions of Section 2-6 of the Juvenile |
Court Act of 1987, a law enforcement officer who takes a person |
under 18 years of age into custody under this Section shall |
immediately report an allegation of a violation of Section 10-9 |
of this Code to the Illinois Department of Children and Family |
Services State Central Register, which shall commence an |
initial investigation into child abuse or child neglect within |
24 hours pursuant to Section 7.4 of the Abused and Neglected |
Child Reporting Act. |
(Source: P.A. 97-1118, eff. 1-1-13; 98-164, eff. 1-1-14; |
98-538, eff. 8-23-13; revised 9-24-13.)
|
|
(720 ILCS 5/12-3.05) (was 720 ILCS 5/12-4)
|
Sec. 12-3.05. Aggravated battery.
|
(a) Offense based on injury. A person commits aggravated |
battery when, in committing a battery, other than by the |
discharge of a firearm, he or she knowingly does any of the |
following: |
(1) Causes great bodily harm or permanent disability or |
disfigurement. |
(2) Causes severe and permanent disability, great |
bodily harm, or disfigurement by means of a caustic or |
flammable substance, a poisonous gas, a deadly biological |
or chemical contaminant or agent, a radioactive substance, |
or a bomb or explosive compound. |
(3) Causes great bodily harm or permanent disability or |
disfigurement to an individual whom the person knows to be |
a peace officer, community policing volunteer, fireman, |
private security officer, correctional institution |
employee, or Department of Human Services employee |
supervising or controlling sexually dangerous persons or |
sexually violent persons: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
|
(4) Causes great bodily harm or permanent disability or |
disfigurement to an individual 60 years of age or older. |
(5) Strangles another individual. |
(b) Offense based on injury to a child or intellectually |
disabled person. A person who is at least 18 years of age |
commits aggravated battery when, in committing a battery, he or |
she knowingly and without legal justification by any means: |
(1) causes great bodily harm or permanent disability or |
disfigurement to any child under the age of 13 years, or to |
any severely or profoundly intellectually disabled person; |
or |
(2) causes bodily harm or disability or disfigurement |
to any child under the age of 13 years or to any severely |
or profoundly intellectually disabled person. |
(c) Offense based on location of conduct. A person commits |
aggravated battery when, in committing a battery, other than by |
the discharge of a firearm, he or she is or the person battered |
is on or about a public way, public property, a public place of |
accommodation or amusement, a sports venue, or a domestic |
violence shelter. |
(d) Offense based on status of victim. A person commits |
aggravated battery when, in committing a battery, other than by |
discharge of a firearm, he or she knows the individual battered |
to be any of the following: |
(1) A person 60 years of age or older. |
(2) A person who is pregnant or physically handicapped. |
|
(3) A teacher or school employee upon school grounds or |
grounds adjacent to a school or in any part of a building |
used for school purposes. |
(4) A peace officer, community policing volunteer, |
fireman, private security officer, correctional |
institution employee, or Department of Human Services |
employee supervising or controlling sexually dangerous |
persons or sexually violent persons: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
(5) A judge, emergency management worker, emergency |
medical technician, or utility worker: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
(6) An officer or employee of the State of Illinois, a |
unit of local government, or a school district, while |
performing his or her official duties. |
(7) A transit employee performing his or her official |
duties, or a transit passenger. |
(8) A taxi driver on duty. |
|
(9) A merchant who detains the person for an alleged |
commission of retail theft under Section 16-26 of this Code |
and the person without legal justification by any means |
causes bodily harm to the merchant. |
(10) A person authorized to serve process under Section |
2-202 of the Code of Civil Procedure or a special process |
server appointed by the circuit court while that individual |
is in the performance of his or her duties as a process |
server. |
(11) A nurse while in the performance of his or her |
duties as a nurse. |
(e) Offense based on use of a firearm. A person commits |
aggravated battery when, in committing a battery, he or she |
knowingly does any of the following: |
(1) Discharges a firearm, other than a machine gun or a |
firearm equipped with a silencer, and causes any injury to |
another person. |
(2) Discharges a firearm, other than a machine gun or a |
firearm equipped with a silencer, and causes any injury to |
a person he or she knows to be a peace officer, community |
policing volunteer, person summoned by a police officer, |
fireman, private security officer, correctional |
institution employee, or emergency management worker: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
|
(iii) battered in retaliation for performing his |
or her official duties. |
(3) Discharges a firearm, other than a machine gun or a |
firearm equipped with a silencer, and causes any injury to |
a person he or she knows to be an emergency medical |
technician employed by a municipality or other |
governmental unit: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
(4) Discharges a firearm and causes any injury to a |
person he or she knows to be a teacher, a student in a |
school, or a school employee, and the teacher, student, or |
employee is upon school grounds or grounds adjacent to a |
school or in any part of a building used for school |
purposes. |
(5) Discharges a machine gun or a firearm equipped with |
a silencer, and causes any injury to another person. |
(6) Discharges a machine gun or a firearm equipped with |
a silencer, and causes any injury to a person he or she |
knows to be a peace officer, community policing volunteer, |
person summoned by a police officer, fireman, private |
security officer, correctional institution employee or |
emergency management worker: |
|
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
(7) Discharges a machine gun or a firearm equipped with |
a silencer, and causes any injury to a person he or she |
knows to be an emergency medical technician employed by a |
municipality or other governmental unit: |
(i) performing his or her official duties; |
(ii) battered to prevent performance of his or her |
official duties; or |
(iii) battered in retaliation for performing his |
or her official duties. |
(8) Discharges a machine gun or a firearm equipped with |
a silencer, and causes any injury to a person he or she |
knows to be a teacher, or a student in a school, or a |
school employee, and the teacher, student, or employee is |
upon school grounds or grounds adjacent to a school or in |
any part of a building used for school purposes. |
(f) Offense based on use of a weapon or device. A person |
commits aggravated battery when, in committing a battery, he or |
she does any of the following: |
(1) Uses a deadly weapon other than by discharge of a |
firearm, or uses an air rifle as defined in Section |
24.8-0.1 of this Code the Air Rifle
Act . |
|
(2) Wears a hood, robe, or mask to conceal his or her |
identity. |
(3) Knowingly and without lawful justification shines |
or flashes a laser gunsight or other laser device attached |
to a firearm, or used in concert with a firearm, so that |
the laser beam strikes upon or against the person of |
another. |
(4) Knowingly video or audio records the offense with |
the intent to disseminate the recording. |
(g) Offense based on certain conduct. A person commits |
aggravated battery when, other than by discharge of a firearm, |
he or she does any of the following: |
(1) Violates Section 401 of the Illinois Controlled |
Substances Act by unlawfully delivering a controlled |
substance to another and any user experiences great bodily |
harm or permanent disability as a result of the injection, |
inhalation, or ingestion of any amount of the controlled |
substance. |
(2) Knowingly administers to an individual or causes |
him or her to take, without his or her consent or by threat |
or deception, and for other than medical purposes, any |
intoxicating, poisonous, stupefying, narcotic, anesthetic, |
or controlled substance, or gives to another person any |
food containing any substance or object intended to cause |
physical injury if eaten. |
(3) Knowingly causes or attempts to cause a |
|
correctional institution employee or Department of Human |
Services employee to come into contact with blood, seminal |
fluid, urine, or feces by throwing, tossing, or expelling |
the fluid or material, and the person is an inmate of a |
penal institution or is a sexually dangerous person or |
sexually violent person in the custody of the Department of |
Human Services. |
(h) Sentence. Unless otherwise provided, aggravated |
battery is a Class 3 felony. |
Aggravated battery as defined in subdivision (a)(4), |
(d)(4), or (g)(3) is a Class 2 felony. |
Aggravated battery as defined in subdivision (a)(3) or |
(g)(1) is a Class 1 felony. |
Aggravated battery as defined in subdivision (a)(1) is a |
Class 1 felony when the aggravated battery was intentional and |
involved the infliction of torture, as defined in paragraph |
(14) of subsection (b) of Section 9-1 of this Code, as the |
infliction of or subjection to extreme physical pain, motivated |
by an intent to increase or prolong the pain, suffering, or |
agony of the victim. |
Aggravated battery under subdivision (a)(5) is a
Class 1 |
felony if: |
(A) the person used or attempted to use a dangerous
|
instrument while committing the offense; or |
(B) the person caused great bodily harm or
permanent |
disability or disfigurement to the other
person while |
|
committing the offense; or |
(C) the person has been previously convicted of a
|
violation of subdivision (a)(5) under the laws of this
|
State or laws similar to subdivision (a)(5) of any other
|
state. |
Aggravated battery as defined in subdivision (e)(1) is a |
Class X felony. |
Aggravated battery as defined in subdivision (a)(2) is a |
Class X felony for which a person shall be sentenced to a term |
of imprisonment of a minimum of 6 years and a maximum of 45 |
years. |
Aggravated battery as defined in subdivision (e)(5) is a |
Class X felony for which a person shall be sentenced to a term |
of imprisonment of a minimum of 12 years and a maximum of 45 |
years. |
Aggravated battery as defined in subdivision (e)(2), |
(e)(3), or (e)(4) is a Class X felony for which a person shall |
be sentenced to a term of imprisonment of a minimum of 15 years |
and a maximum of 60 years. |
Aggravated battery as defined in subdivision (e)(6), |
(e)(7), or (e)(8) is a Class X felony for which a person shall |
be sentenced to a term of imprisonment of a minimum of 20 years |
and a maximum of 60 years. |
Aggravated battery as defined in subdivision (b)(1) is a |
Class X felony, except that: |
(1) if the person committed the offense while armed |
|
with a firearm, 15 years shall be added to the term of |
imprisonment imposed by the court; |
(2) if, during the commission of the offense, the |
person personally discharged a firearm, 20 years shall be |
added to the term of imprisonment imposed by the court; |
(3) if, during the commission of the offense, the |
person personally discharged a firearm that proximately |
caused great bodily harm, permanent disability, permanent |
disfigurement, or death to another person, 25 years or up |
to a term of natural life shall be added to the term of |
imprisonment imposed by the court. |
(i) Definitions. For the purposes of this Section: |
"Building or other structure used to provide shelter" has |
the meaning ascribed to "shelter" in Section 1 of the Domestic |
Violence Shelters Act. |
"Domestic violence" has the meaning ascribed to it in |
Section 103 of the Illinois Domestic Violence Act of 1986. |
"Domestic violence shelter" means any building or other |
structure used to provide shelter or other services to victims |
or to the dependent children of victims of domestic violence |
pursuant to the Illinois Domestic Violence Act of 1986 or the |
Domestic Violence Shelters Act, or any place within 500 feet of |
such a building or other structure in the case of a person who |
is going to or from such a building or other structure. |
"Firearm" has the meaning provided under Section 1.1
of the |
Firearm Owners Identification Card Act, and does
not include an |
|
air rifle as defined by Section 24.8-0.1 of this Code. |
"Machine gun" has the meaning ascribed to it in Section |
24-1 of this Code. |
"Merchant" has the meaning ascribed to it in Section 16-0.1 |
of this Code. |
"Strangle" means
intentionally impeding the normal |
breathing or circulation of the blood of an individual by |
applying pressure on the throat
or neck of that individual or |
by blocking the nose or mouth of
that individual.
|
(Source: P.A. 97-597, eff. 1-1-12; incorporates 97-227, eff. |
1-1-12, 97-313, eff. 1-1-12, and 97-467, eff. 1-1-12; 97-1109, |
eff. 1-1-13; 98-369, eff. 1-1-14; 98-385, eff. 1-1-14; revised |
9-24-13.)
|
(720 ILCS 5/12C-10)
(was 720 ILCS 5/12-21.5)
|
Sec. 12C-10. Child abandonment.
|
(a) A person commits child abandonment when he or
she, as a |
parent, guardian, or other person having physical custody or |
control
of a child, without regard for the mental or physical |
health, safety, or
welfare of that child, knowingly leaves that |
child who is under the age of 13
without supervision by a |
responsible person over the age of 14 for a period of
24 hours |
or more. It is not a violation of this Section for a person to |
relinquish a child in accordance with the
Abandoned Newborn |
Infant Protection Act.
|
(b) For the purposes of determining whether the child was |
|
left without
regard for the mental or physical health, safety, |
or welfare of that child, the
trier of fact shall consider the |
following factors:
|
(1) the age of the child;
|
(2) the number of children left at the location;
|
(3) special needs of the child, including whether the |
child is physically
or mentally handicapped, or otherwise |
in need of ongoing prescribed medical
treatment such as |
periodic doses of insulin or other medications;
|
(4) the duration of time in which the child was left |
without supervision;
|
(5) the condition and location of the place where the |
child was left
without supervision;
|
(6) the time of day or night when the child was left |
without supervision;
|
(7) the weather conditions, including whether the |
child was left in a
location with adequate protection from |
the natural elements such as adequate
heat or light;
|
(8) the location of the parent, guardian, or other |
person having physical
custody or control of the child at |
the time the child was left without
supervision, the |
physical distance the child was from the parent, guardian, |
or
other person having physical custody or control of the |
child at the time the
child was without supervision;
|
(9) whether the child's movement was restricted, or the |
child was
otherwise locked within a room or other |
|
structure;
|
(10) whether the child was given a phone number of a |
person
or location to call in the event of an emergency and |
whether the child was
capable of making an emergency call;
|
(11) whether there was food and other provision left |
for the child;
|
(12) whether any of the conduct is attributable to |
economic hardship or
illness and the parent, guardian or |
other person having physical custody or
control of the |
child made a good faith effort to provide for the health |
and
safety of the child;
|
(13) the age and physical and mental capabilities of |
the person or persons
who provided supervision for the |
child;
|
(14) any other factor that would endanger the health or |
safety of that
particular child;
|
(15) whether the child was left under the supervision |
of another person.
|
(c) (d) Child abandonment is a Class 4 felony. A second or |
subsequent offense
after a prior conviction is a Class 3 |
felony. A parent, who is found to be in violation of this |
Section with respect to his or her child, may be sentenced to |
probation for this offense pursuant to Section 12C-15.
|
(Source: P.A. 97-1109, eff. 1-1-13; revised 11-12-13.)
|
(720 ILCS 5/19-4) (from Ch. 38, par. 19-4)
|
|
Sec. 19-4. Criminal trespass to a residence.
|
(a) (1) A person commits criminal trespass to a residence |
when, without authority, he
or she knowingly enters or remains |
within any residence, including a house trailer that is the |
dwelling place of another.
|
(2) A person commits criminal trespass to a residence when,
|
without authority, he or she knowingly enters the residence of |
another and
knows or has
reason to know that one or more |
persons is present or he or she knowingly
enters the
residence |
of another and remains in the residence after he or she knows |
or has
reason to
know that one or more persons is present.
|
(a-5) (3) For purposes of this Section, in the case of a |
multi-unit
residential building
or complex, "residence" shall |
only include the portion of the building or
complex which is |
the actual dwelling place of any person and shall not include
|
such places as common recreational areas or lobbies.
|
(b) Sentence.
|
(1) Criminal trespass to a residence under paragraph |
(1) of
subsection (a) is a Class A misdemeanor.
|
(2) Criminal trespass to a residence under paragraph |
(2) of subsection
(a) is a Class 4 felony.
|
(Source: P.A. 97-1108, eff. 1-1-13; revised 11-12-13.)
|
(720 ILCS 5/21-1.3)
|
Sec. 21-1.3. Criminal defacement of property.
|
(a) A person commits criminal defacement of property when |
|
the person
knowingly damages the property of another by
|
defacing, deforming, or otherwise damaging the property by the |
use of paint or
any other similar substance, or by the use of a |
writing instrument, etching
tool, or any other similar device. |
It is an affirmative defense to a violation of this Section |
that the owner of the property damaged consented to such |
damage.
|
(b) Sentence. |
(1) Criminal defacement of property is a Class A |
misdemeanor for a
first offense when the aggregate value of the |
damage to the property does not exceed $300. Criminal
|
defacement of property is a Class 4 felony when the aggregate |
value of the damage to property does not
exceed $300 and the |
property damaged is a school building or place of
worship or |
property which memorializes or honors an individual or group of |
police officers, fire fighters, members of the United States |
Armed Forces or , National Guard, or veterans. Criminal
|
defacement of property is a Class 4 felony for a second or |
subsequent
conviction or when the aggregate value of the damage |
to the property exceeds $300.
Criminal defacement of property |
is a Class 3 felony when the aggregate value of the damage to |
property
exceeds $300 and the property damaged is a school |
building or place of
worship or property which memorializes or |
honors an individual or group of police officers, fire |
fighters, members of the United States Armed Forces or , |
National Guard, or veterans.
|
|
(2) In addition to any other sentence that may be imposed
|
for a violation of this Section,
a person convicted of
criminal |
defacement of
property shall: |
(A) pay the
actual costs incurred
by the property owner |
or the unit of government to abate, remediate,
repair, or |
remove the effect of the damage to the property. To the |
extent
permitted by law, reimbursement for the costs of |
abatement, remediation,
repair, or removal shall be |
payable to the person who incurred the costs; and |
(B) if convicted of criminal defacement of property |
that is chargeable as a Class 3 or Class 4 felony , pay a |
mandatory minimum fine of $500.
|
(3) In addition to any
other sentence that may be imposed, |
a court shall order any person convicted of
criminal defacement |
of property to perform community service for not less than
30 |
and not more than 120 hours, if community service is available |
in the
jurisdiction. The community service shall include, but |
need
not be limited to, the cleanup and repair of the damage to |
property that was
caused by the offense, or similar damage to |
property located in the
municipality or county in which the |
offense occurred.
When the property damaged is a school |
building, the community service may
include cleanup, removal, |
or painting over the defacement.
In addition, whenever any
|
person is placed on supervision for an alleged offense under |
this Section, the
supervision shall be conditioned
upon the |
performance of the community service. |
|
(4) For the purposes of this subsection (b), aggregate |
value shall be determined by adding the value of the damage to |
one or more properties if the offenses were committed as part |
of a single course of conduct.
|
(Source: P.A. 97-1108, eff. 1-1-13; 98-315, eff. 1-1-14; |
98-466, eff. 8-16-13; revised 9-24-13.)
|
(720 ILCS 5/31A-1.1) (from Ch. 38, par. 31A-1.1) |
Sec. 31A-1.1. Bringing Contraband into a Penal |
Institution;
Possessing Contraband in a Penal Institution. |
(a) A person commits bringing contraband into a penal
|
institution when he or she knowingly and without authority of |
any person designated
or authorized to grant this authority (1) |
brings an item of contraband into
a penal institution or (2) |
causes another to bring an item of
contraband into a penal |
institution or (3) places an item of
contraband in such |
proximity to a penal institution as to give an
inmate access to |
the contraband. |
(b) A person commits possessing contraband in a
penal |
institution when he or she knowingly possesses contraband in a |
penal institution,
regardless of the intent with which he or |
she possesses it. |
(c) (Blank). |
(d) Sentence. |
(1) Bringing into or possessing alcoholic liquor in a |
penal institution is a Class 4
felony. |
|
(2) Bringing into or possessing cannabis in a penal |
institution is a Class 3 felony.
|
(3) Bringing into or possessing any amount of a |
controlled substance classified in
Schedules III, IV or V |
of Article II of the Illinois Controlled Substances |
Substance Act in a
penal institution is a Class 2 felony. |
(4) Bringing into or possessing any amount of a |
controlled substance classified in
Schedules I or II of |
Article II of the Illinois Controlled Substances Substance |
Act in a
penal institution is a Class 1 felony. |
(5) Bringing into or possessing a hypodermic syringe in |
a penal institution is a Class 1 felony. |
(6) Bringing into or possessing a weapon, tool to |
defeat security mechanisms, cutting tool, or electronic |
contraband in a penal institution is a Class 1 felony. |
(7) Bringing into or possessing a firearm, firearm |
ammunition, or explosive in a penal institution is a Class |
X felony.
|
(e) It shall be an affirmative defense to subsection
(b), |
that
the possession was specifically authorized by rule, |
regulation, or
directive of the governing authority of the |
penal institution or order
issued under it. |
(f) It shall be an affirmative defense to subsection (a)(1) |
and
subsection (b) that the person bringing into or possessing
|
contraband in a penal institution had been arrested, and that |
person
possessed the contraband at the time of his
or her |
|
arrest, and that the contraband was brought into or possessed |
in the penal
institution by that person as a direct and |
immediate result of his or her arrest. |
(g) Items confiscated may be retained for use by the |
Department of
Corrections or disposed of as deemed appropriate |
by the Chief Administrative
Officer in accordance with |
Department rules or disposed of as required by
law. |
(Source: P.A. 96-1112, eff. 1-1-11; 97-1108, eff. 1-1-13; |
revised 11-12-13.)
|
(720 ILCS 5/33-1) (from Ch. 38, par. 33-1)
|
Sec. 33-1. Bribery. A person commits bribery when:
|
(a) With intent to influence the performance of any act |
related
to the employment or function of any public |
officer, public
employee, juror or witness, he or she |
promises or tenders to that person
any property or personal |
advantage which he or she is not authorized by
law to |
accept; or
|
(b) With intent to influence the performance of any act |
related
to the employment or function of any public |
officer, public
employee, juror or witness, he or she |
promises or tenders to one whom he
or she believes to be a |
public officer, public employee, juror or witness,
any |
property or personal advantage which a public officer, |
public
employee, juror or witness would not be authorized |
by law to accept; or
|
|
(c) With intent to cause any person to influence the |
performance
of any act related to the employment or |
function of any public
officer, public employee, juror or |
witness, he or she promises or tenders
to that person any |
property or personal advantage which he or she is not
|
authorized by law to accept; or
|
(d) He or she receives, retains or agrees to accept any |
property or
personal advantage which he or she is not |
authorized by law to accept
knowing that the property or |
personal advantage was promised
or tendered with intent to |
cause him or her to influence the performance
of any act |
related to the employment or function of any public
|
officer, public employee, juror or witness; or
|
(e) He or she solicits, receives, retains, or agrees to |
accept any property
or personal advantage pursuant to an |
understanding that he or she shall improperly
influence or |
attempt to influence the performance of any act related to |
the
employment or function of any public officer, public |
employee, juror or witness.
|
(f) As used in this Section, "tenders" means any delivery |
or proffer made with the requisite intent. |
(g) Sentence. Bribery is a Class 2 felony.
|
(Source: P.A. 97-1108, eff. 1-1-13; revised 11-12-13.)
|
(720 ILCS 5/33E-18)
|
Sec. 33E-18. Unlawful stringing of bids.
|
|
(a) A person commits unlawful stringing of bids when he or |
she, with the intent to evade the bidding requirements of any
|
unit of local government or school district, knowingly strings |
or assists in
stringing , or attempts to string any contract or |
job order with the unit of
local government
or school district.
|
(b) Sentence. Unlawful stringing of bids is a Class 4
|
felony.
|
(Source: P.A. 97-1108, eff. 1-1-13; revised 11-12-13.)
|
Section 700. The Cannabis Control Act is amended by |
changing Section 15.1 as follows:
|
(720 ILCS 550/15.1) (from Ch. 56 1/2, par. 715.1)
|
Sec. 15.1.
(a) If any cannabis derivative is designated or |
rescheduled
as a controlled substance under federal law and |
notice thereof is given to
the Department, the Department shall |
similarly control the substance under
the Illinois Controlled |
Substances Act after the expiration of 30 days from
publication |
in the Federal Register of a final order designating a
|
substance as a controlled substance or rescheduling a substance |
unless
within that 30 day period the Department objects, or a |
party adversely
affected files with the Department substantial |
written objections
to inclusion or rescheduling. In that case, |
the Department shall publish
the reasons for objection or the |
substantial written objections and afford
all interested |
parties an opportunity to be heard. At the conclusion of the
|
|
hearing, the Department shall publish its decision, by means of |
a rule,
which shall be final unless altered by statute. Upon |
publication of
objections by the Department, similar control |
under the Illinois Controlled
Substances Act whether by |
inclusion or rescheduling is suspended until the
Department |
publishes its ruling.
|
(b) If any cannabis derivative is deleted as a controlled |
substance under
Federal law and notice thereof is given to the |
Department, the Department
shall similarly control the |
substance under this Act after
the expiration of 30 days from |
publication in the Federal Register of a
final order deleting a |
substance as a controlled substance or rescheduling a
substance |
unless within that 30 day period the Department objects, or a
|
party adversely affected files with the Department substantial |
written
objections to inclusion or rescheduling. In that case, |
the
Department shall publish the reasons for objection or the |
substantial
written objections and afford all interested |
parties an opportunity to be
heard. At the conclusion of the |
hearing, the Department shall publish its
decision, by means of |
a rule, which shall be final unless altered by
statute. Upon |
publication of objections by the Department, similar control
|
under this Act whether by inclusion or rescheduling is
|
suspended until the Department publishes its ruling.
|
(c) Cannabis derivatives are deemed to be regulated under |
this Act until
such time as those derivatives are scheduled as |
provided for under the
Illinois Controlled Substances Act. |
|
Following such scheduling, those
derivatives shall be excepted |
from this Act and shall be regulated pursuant
to the Illinois |
Controlled Substances Act. At such time that any derivative
is |
deleted from schedules provided for under the Illinois |
Controlled Substances
Substance Act, that derivative shall be
|
regulated pursuant to this Act.
|
(Source: P.A. 84-1313; 84-1362; revised 11-12-13.)
|
Section 705. The Illinois Controlled Substances Act is |
amended by changing Sections 102 and 201 as follows: |
(720 ILCS 570/102) (from Ch. 56 1/2, par. 1102) |
Sec. 102. Definitions. As used in this Act, unless the |
context
otherwise requires:
|
(a) "Addict" means any person who habitually uses any drug, |
chemical,
substance or dangerous drug other than alcohol so as |
to endanger the public
morals, health, safety or welfare or who |
is so far addicted to the use of a
dangerous drug or controlled |
substance other than alcohol as to have lost
the power of self |
control with reference to his or her addiction.
|
(b) "Administer" means the direct application of a |
controlled
substance, whether by injection, inhalation, |
ingestion, or any other
means, to the body of a patient, |
research subject, or animal (as
defined by the Humane |
Euthanasia in Animal Shelters Act) by:
|
(1) a practitioner (or, in his or her presence, by his |
|
or her authorized agent),
|
(2) the patient or research subject pursuant to an |
order, or
|
(3) a euthanasia technician as defined by the Humane |
Euthanasia in
Animal Shelters Act.
|
(c) "Agent" means an authorized person who acts on behalf |
of or at
the direction of a manufacturer, distributor, |
dispenser, prescriber, or practitioner. It does not
include a |
common or contract carrier, public warehouseman or employee of
|
the carrier or warehouseman.
|
(c-1) "Anabolic Steroids" means any drug or hormonal |
substance,
chemically and pharmacologically related to |
testosterone (other than
estrogens, progestins, |
corticosteroids, and dehydroepiandrosterone),
and includes:
|
(i) 3[beta],17-dihydroxy-5a-androstane, |
(ii) 3[alpha],17[beta]-dihydroxy-5a-androstane, |
(iii) 5[alpha]-androstan-3,17-dione, |
(iv) 1-androstenediol (3[beta], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(v) 1-androstenediol (3[alpha], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(vi) 4-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-4-ene), |
(vii) 5-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-5-ene), |
(viii) 1-androstenedione |
|
([5alpha]-androst-1-en-3,17-dione), |
(ix) 4-androstenedione |
(androst-4-en-3,17-dione), |
(x) 5-androstenedione |
(androst-5-en-3,17-dione), |
(xi) bolasterone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xii) boldenone (17[beta]-hydroxyandrost- |
1,4,-diene-3-one), |
(xiii) boldione (androsta-1,4- |
diene-3,17-dione), |
(xiv) calusterone (7[beta],17[alpha]-dimethyl-17 |
[beta]-hydroxyandrost-4-en-3-one), |
(xv) clostebol (4-chloro-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xvi) dehydrochloromethyltestosterone (4-chloro- |
17[beta]-hydroxy-17[alpha]-methyl- |
androst-1,4-dien-3-one), |
(xvii) desoxymethyltestosterone |
(17[alpha]-methyl-5[alpha] |
-androst-2-en-17[beta]-ol)(a.k.a., madol), |
(xviii) [delta]1-dihydrotestosterone (a.k.a. |
'1-testosterone') (17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xix) 4-dihydrotestosterone (17[beta]-hydroxy- |
androstan-3-one), |
|
(xx) drostanolone (17[beta]-hydroxy-2[alpha]-methyl- |
5[alpha]-androstan-3-one), |
(xxi) ethylestrenol (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-ene), |
(xxii) fluoxymesterone (9-fluoro-17[alpha]-methyl- |
1[beta],17[beta]-dihydroxyandrost-4-en-3-one), |
(xxiii) formebolone (2-formyl-17[alpha]-methyl-11[alpha], |
17[beta]-dihydroxyandrost-1,4-dien-3-one), |
(xxiv) furazabol (17[alpha]-methyl-17[beta]- |
hydroxyandrostano[2,3-c]-furazan), |
(xxv) 13[beta]-ethyl-17[beta]-hydroxygon-4-en-3-one) |
(xxvi) 4-hydroxytestosterone (4,17[beta]-dihydroxy- |
androst-4-en-3-one), |
(xxvii) 4-hydroxy-19-nortestosterone (4,17[beta]- |
dihydroxy-estr-4-en-3-one), |
(xxviii) mestanolone (17[alpha]-methyl-17[beta]- |
hydroxy-5-androstan-3-one), |
(xxix) mesterolone (1amethyl-17[beta]-hydroxy- |
[5a]-androstan-3-one), |
(xxx) methandienone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-1,4-dien-3-one), |
(xxxi) methandriol (17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-5-ene), |
(xxxii) methenolone (1-methyl-17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xxxiii) 17[alpha]-methyl-3[beta], 17[beta]- |
|
dihydroxy-5a-androstane), |
(xxxiv) 17[alpha]-methyl-3[alpha],17[beta]-dihydroxy |
-5a-androstane), |
(xxxv) 17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-4-ene), |
(xxxvi) 17[alpha]-methyl-4-hydroxynandrolone (17[alpha]- |
methyl-4-hydroxy-17[beta]-hydroxyestr-4-en-3-one), |
(xxxvii) methyldienolone (17[alpha]-methyl-17[beta]- |
hydroxyestra-4,9(10)-dien-3-one), |
(xxxviii) methyltrienolone (17[alpha]-methyl-17[beta]- |
hydroxyestra-4,9-11-trien-3-one), |
(xxxix) methyltestosterone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xl) mibolerone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(xli) 17[alpha]-methyl-[delta]1-dihydrotestosterone |
(17b[beta]-hydroxy-17[alpha]-methyl-5[alpha]- |
androst-1-en-3-one)(a.k.a. '17-[alpha]-methyl- |
1-testosterone'), |
(xlii) nandrolone (17[beta]-hydroxyestr-4-en-3-one), |
(xliii) 19-nor-4-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-4-ene), |
(xliv) 19-nor-4-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-4-ene), |
(xlv) 19-nor-5-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-5-ene), |
|
(xlvi) 19-nor-5-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-5-ene), |
(xlvii) 19-nor-4,9(10)-androstadienedione |
(estra-4,9(10)-diene-3,17-dione), |
(xlviii) 19-nor-4-androstenedione (estr-4- |
en-3,17-dione), |
(xlix) 19-nor-5-androstenedione (estr-5- |
en-3,17-dione), |
(l) norbolethone (13[beta], 17a-diethyl-17[beta]- |
hydroxygon-4-en-3-one), |
(li) norclostebol (4-chloro-17[beta]- |
hydroxyestr-4-en-3-one), |
(lii) norethandrolone (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liii) normethandrolone (17[alpha]-methyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liv) oxandrolone (17[alpha]-methyl-17[beta]-hydroxy- |
2-oxa-5[alpha]-androstan-3-one), |
(lv) oxymesterone (17[alpha]-methyl-4,17[beta]- |
dihydroxyandrost-4-en-3-one), |
(lvi) oxymetholone (17[alpha]-methyl-2-hydroxymethylene- |
17[beta]-hydroxy-(5[alpha]-androstan-3-one), |
(lvii) stanozolol (17[alpha]-methyl-17[beta]-hydroxy- |
(5[alpha]-androst-2-eno[3,2-c]-pyrazole), |
(lviii) stenbolone (17[beta]-hydroxy-2-methyl- |
(5[alpha]-androst-1-en-3-one), |
|
(lix) testolactone (13-hydroxy-3-oxo-13,17- |
secoandrosta-1,4-dien-17-oic |
acid lactone), |
(lx) testosterone (17[beta]-hydroxyandrost- |
4-en-3-one), |
(lxi) tetrahydrogestrinone (13[beta], 17[alpha]- |
diethyl-17[beta]-hydroxygon- |
4,9,11-trien-3-one), |
(lxii) trenbolone (17[beta]-hydroxyestr-4,9, |
11-trien-3-one).
|
Any person who is otherwise lawfully in possession of an |
anabolic
steroid, or who otherwise lawfully manufactures, |
distributes, dispenses,
delivers, or possesses with intent to |
deliver an anabolic steroid, which
anabolic steroid is |
expressly intended for and lawfully allowed to be
administered |
through implants to livestock or other nonhuman species, and
|
which is approved by the Secretary of Health and Human Services |
for such
administration, and which the person intends to |
administer or have
administered through such implants, shall |
not be considered to be in
unauthorized possession or to |
unlawfully manufacture, distribute, dispense,
deliver, or |
possess with intent to deliver such anabolic steroid for
|
purposes of this Act.
|
(d) "Administration" means the Drug Enforcement |
Administration,
United States Department of Justice, or its |
successor agency.
|
|
(d-5) "Clinical Director, Prescription Monitoring Program" |
means a Department of Human Services administrative employee |
licensed to either prescribe or dispense controlled substances |
who shall run the clinical aspects of the Department of Human |
Services Prescription Monitoring Program and its Prescription |
Information Library. |
(d-10) "Compounding" means the preparation and mixing of |
components, excluding flavorings, (1) as the result of a |
prescriber's prescription drug order or initiative based on the |
prescriber-patient-pharmacist relationship in the course of |
professional practice or (2) for the purpose of, or incident |
to, research, teaching, or chemical analysis and not for sale |
or dispensing. "Compounding" includes the preparation of drugs |
or devices in anticipation of receiving prescription drug |
orders based on routine, regularly observed dispensing |
patterns. Commercially available products may be compounded |
for dispensing to individual patients only if both of the |
following conditions are met: (i) the commercial product is not |
reasonably available from normal distribution channels in a |
timely manner to meet the patient's needs and (ii) the |
prescribing practitioner has requested that the drug be |
compounded. |
(e) "Control" means to add a drug or other substance, or |
immediate
precursor, to a Schedule whether by
transfer from |
another Schedule or otherwise.
|
(f) "Controlled Substance" means (i) a drug, substance, or |
|
immediate
precursor in the Schedules of Article II of this Act |
or (ii) a drug or other substance, or immediate precursor, |
designated as a controlled substance by the Department through |
administrative rule. The term does not include distilled |
spirits, wine, malt beverages, or tobacco, as those terms are
|
defined or used in the Liquor Control Act of 1934 and the |
Tobacco Products Tax
Act of 1995 .
|
(f-5) "Controlled substance analog" means a substance: |
(1) the chemical structure of which is substantially |
similar to the chemical structure of a controlled substance |
in Schedule I or II; |
(2) which has a stimulant, depressant, or |
hallucinogenic effect on the central nervous system that is |
substantially similar to or greater than the stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system of a controlled substance in Schedule I or |
II; or |
(3) with respect to a particular person, which such |
person represents or intends to have a stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system that is substantially similar to or greater |
than the stimulant, depressant, or hallucinogenic effect |
on the central nervous system of a controlled substance in |
Schedule I or II. |
(g) "Counterfeit substance" means a controlled substance, |
which, or
the container or labeling of which, without |
|
authorization bears the
trademark, trade name, or other |
identifying mark, imprint, number or
device, or any likeness |
thereof, of a manufacturer, distributor, or
dispenser other |
than the person who in fact manufactured, distributed,
or |
dispensed the substance.
|
(h) "Deliver" or "delivery" means the actual, constructive |
or
attempted transfer of possession of a controlled substance, |
with or
without consideration, whether or not there is an |
agency relationship.
|
(i) "Department" means the Illinois Department of Human |
Services (as
successor to the Department of Alcoholism and |
Substance Abuse) or its successor agency.
|
(j) (Blank).
|
(k) "Department of Corrections" means the Department of |
Corrections
of the State of Illinois or its successor agency.
|
(l) "Department of Financial and Professional Regulation" |
means the Department
of Financial and Professional Regulation |
of the State of Illinois or its successor agency.
|
(m) "Depressant" means any drug that (i) causes an overall |
depression of central nervous system functions, (ii) causes |
impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to alcohol, cannabis and its active principles |
and their analogs, benzodiazepines and their analogs, |
barbiturates and their analogs, opioids (natural and |
synthetic) and their analogs, and chloral hydrate and similar |
|
sedative hypnotics.
|
(n) (Blank).
|
(o) "Director" means the Director of the Illinois State |
Police or his or her designated agents.
|
(p) "Dispense" means to deliver a controlled substance to |
an
ultimate user or research subject by or pursuant to the |
lawful order of
a prescriber, including the prescribing, |
administering, packaging,
labeling, or compounding necessary |
to prepare the substance for that
delivery.
|
(q) "Dispenser" means a practitioner who dispenses.
|
(r) "Distribute" means to deliver, other than by |
administering or
dispensing, a controlled substance.
|
(s) "Distributor" means a person who distributes.
|
(t) "Drug" means (1) substances recognized as drugs in the |
official
United States Pharmacopoeia, Official Homeopathic |
Pharmacopoeia of the
United States, or official National |
Formulary, or any supplement to any
of them; (2) substances |
intended for use in diagnosis, cure, mitigation,
treatment, or |
prevention of disease in man or animals; (3) substances
(other |
than food) intended to affect the structure of any function of
|
the body of man or animals and (4) substances intended for use |
as a
component of any article specified in clause (1), (2), or |
(3) of this
subsection. It does not include devices or their |
components, parts, or
accessories.
|
(t-5) "Euthanasia agency" means
an entity certified by the |
Department of Financial and Professional Regulation for the
|
|
purpose of animal euthanasia that holds an animal control |
facility license or
animal
shelter license under the Animal |
Welfare Act. A euthanasia agency is
authorized to purchase, |
store, possess, and utilize Schedule II nonnarcotic and
|
Schedule III nonnarcotic drugs for the sole purpose of animal |
euthanasia.
|
(t-10) "Euthanasia drugs" means Schedule II or Schedule III |
substances
(nonnarcotic controlled substances) that are used |
by a euthanasia agency for
the purpose of animal euthanasia.
|
(u) "Good faith" means the prescribing or dispensing of a |
controlled
substance by a practitioner in the regular course of |
professional
treatment to or for any person who is under his or |
her treatment for a
pathology or condition other than that |
individual's physical or
psychological dependence upon or |
addiction to a controlled substance,
except as provided herein: |
and application of the term to a pharmacist
shall mean the |
dispensing of a controlled substance pursuant to the
|
prescriber's order which in the professional judgment of the |
pharmacist
is lawful. The pharmacist shall be guided by |
accepted professional
standards including, but not limited to |
the following, in making the
judgment:
|
(1) lack of consistency of prescriber-patient |
relationship,
|
(2) frequency of prescriptions for same drug by one |
prescriber for
large numbers of patients,
|
(3) quantities beyond those normally prescribed,
|
|
(4) unusual dosages (recognizing that there may be |
clinical circumstances where more or less than the usual |
dose may be used legitimately),
|
(5) unusual geographic distances between patient, |
pharmacist and
prescriber,
|
(6) consistent prescribing of habit-forming drugs.
|
(u-0.5) "Hallucinogen" means a drug that causes markedly |
altered sensory perception leading to hallucinations of any |
type. |
(u-1) "Home infusion services" means services provided by a |
pharmacy in
compounding solutions for direct administration to |
a patient in a private
residence, long-term care facility, or |
hospice setting by means of parenteral,
intravenous, |
intramuscular, subcutaneous, or intraspinal infusion.
|
(u-5) "Illinois State Police" means the State
Police of the |
State of Illinois, or its successor agency. |
(v) "Immediate precursor" means a substance:
|
(1) which the Department has found to be and by rule |
designated as
being a principal compound used, or produced |
primarily for use, in the
manufacture of a controlled |
substance;
|
(2) which is an immediate chemical intermediary used or |
likely to
be used in the manufacture of such controlled |
substance; and
|
(3) the control of which is necessary to prevent, |
curtail or limit
the manufacture of such controlled |
|
substance.
|
(w) "Instructional activities" means the acts of teaching, |
educating
or instructing by practitioners using controlled |
substances within
educational facilities approved by the State |
Board of Education or
its successor agency.
|
(x) "Local authorities" means a duly organized State, |
County or
Municipal peace unit or police force.
|
(y) "Look-alike substance" means a substance, other than a |
controlled
substance which (1) by overall dosage unit |
appearance, including shape,
color, size, markings or lack |
thereof, taste, consistency, or any other
identifying physical |
characteristic of the substance, would lead a reasonable
person |
to believe that the substance is a controlled substance, or (2) |
is
expressly or impliedly represented to be a controlled |
substance or is
distributed under circumstances which would |
lead a reasonable person to
believe that the substance is a |
controlled substance. For the purpose of
determining whether |
the representations made or the circumstances of the
|
distribution would lead a reasonable person to believe the |
substance to be
a controlled substance under this clause (2) of |
subsection (y), the court or
other authority may consider the |
following factors in addition to any other
factor that may be |
relevant:
|
(a) statements made by the owner or person in control |
of the substance
concerning its nature, use or effect;
|
(b) statements made to the buyer or recipient that the |
|
substance may
be resold for profit;
|
(c) whether the substance is packaged in a manner |
normally used for the
illegal distribution of controlled |
substances;
|
(d) whether the distribution or attempted distribution |
included an
exchange of or demand for money or other |
property as consideration, and
whether the amount of the |
consideration was substantially greater than the
|
reasonable retail market value of the substance.
|
Clause (1) of this subsection (y) shall not apply to a |
noncontrolled
substance in its finished dosage form that was |
initially introduced into
commerce prior to the initial |
introduction into commerce of a controlled
substance in its |
finished dosage form which it may substantially resemble.
|
Nothing in this subsection (y) prohibits the dispensing or |
distributing
of noncontrolled substances by persons authorized |
to dispense and
distribute controlled substances under this |
Act, provided that such action
would be deemed to be carried |
out in good faith under subsection (u) if the
substances |
involved were controlled substances.
|
Nothing in this subsection (y) or in this Act prohibits the |
manufacture,
preparation, propagation, compounding, |
processing, packaging, advertising
or distribution of a drug or |
drugs by any person registered pursuant to
Section 510 of the |
Federal Food, Drug, and Cosmetic Act (21 U.S.C. 360).
|
(y-1) "Mail-order pharmacy" means a pharmacy that is |
|
located in a state
of the United States that delivers, |
dispenses or
distributes, through the United States Postal |
Service or other common
carrier, to Illinois residents, any |
substance which requires a prescription.
|
(z) "Manufacture" means the production, preparation, |
propagation,
compounding, conversion or processing of a |
controlled substance other than methamphetamine, either
|
directly or indirectly, by extraction from substances of |
natural origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis, and includes any packaging or
repackaging of the |
substance or labeling of its container, except that
this term |
does not include:
|
(1) by an ultimate user, the preparation or compounding |
of a
controlled substance for his or her own use; or
|
(2) by a practitioner, or his or her authorized agent |
under his or her
supervision, the preparation, |
compounding, packaging, or labeling of a
controlled |
substance:
|
(a) as an incident to his or her administering or |
dispensing of a
controlled substance in the course of |
his or her professional practice; or
|
(b) as an incident to lawful research, teaching or |
chemical
analysis and not for sale.
|
(z-1) (Blank).
|
(z-5) "Medication shopping" means the conduct prohibited |
|
under subsection (a) of Section 314.5 of this Act. |
(z-10) "Mid-level practitioner" means (i) a physician |
assistant who has been delegated authority to prescribe through |
a written delegation of authority by a physician licensed to |
practice medicine in all of its branches, in accordance with |
Section 7.5 of the Physician Assistant Practice Act of 1987, |
(ii) an advanced practice nurse who has been delegated |
authority to prescribe through a written delegation of |
authority by a physician licensed to practice medicine in all |
of its branches or by a podiatric physician, in accordance with |
Section 65-40 of the Nurse Practice Act, or (iii) an animal |
euthanasia agency. |
(aa) "Narcotic drug" means any of the following, whether |
produced
directly or indirectly by extraction from substances |
of vegetable origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis:
|
(1) opium, opiates, derivatives of opium and opiates, |
including their isomers, esters, ethers, salts, and salts |
of isomers, esters, and ethers, whenever the existence of |
such isomers, esters, ethers, and salts is possible within |
the specific chemical designation; however the term |
"narcotic drug" does not include the isoquinoline |
alkaloids of opium;
|
(2) (blank);
|
(3) opium poppy and poppy straw;
|
|
(4) coca leaves, except coca leaves and extracts of |
coca leaves from which substantially all of the cocaine and |
ecgonine, and their isomers, derivatives and salts, have |
been removed;
|
(5) cocaine, its salts, optical and geometric isomers, |
and salts of isomers; |
(6) ecgonine, its derivatives, their salts, isomers, |
and salts of isomers; |
(7) any compound, mixture, or preparation which |
contains any quantity of any of the substances referred to |
in subparagraphs (1) through (6). |
(bb) "Nurse" means a registered nurse licensed under the
|
Nurse Practice Act.
|
(cc) (Blank).
|
(dd) "Opiate" means any substance having an addiction |
forming or
addiction sustaining liability similar to morphine |
or being capable of
conversion into a drug having addiction |
forming or addiction sustaining
liability.
|
(ee) "Opium poppy" means the plant of the species Papaver
|
somniferum L., except its seeds.
|
(ee-5) "Oral dosage" means a tablet, capsule, elixir, or |
solution or other liquid form of medication intended for |
administration by mouth, but the term does not include a form |
of medication intended for buccal, sublingual, or transmucosal |
administration. |
(ff) "Parole and Pardon Board" means the Parole and Pardon |
|
Board of
the State of Illinois or its successor agency.
|
(gg) "Person" means any individual, corporation, |
mail-order pharmacy,
government or governmental subdivision or |
agency, business trust, estate,
trust, partnership or |
association, or any other entity.
|
(hh) "Pharmacist" means any person who holds a license or |
certificate of
registration as a registered pharmacist, a local |
registered pharmacist
or a registered assistant pharmacist |
under the Pharmacy Practice Act.
|
(ii) "Pharmacy" means any store, ship or other place in |
which
pharmacy is authorized to be practiced under the Pharmacy |
Practice Act.
|
(ii-5) "Pharmacy shopping" means the conduct prohibited |
under subsection (b) of Section 314.5 of this Act. |
(ii-10) "Physician" (except when the context otherwise |
requires) means a person licensed to practice medicine in all |
of its branches. |
(jj) "Poppy straw" means all parts, except the seeds, of |
the opium
poppy, after mowing.
|
(kk) "Practitioner" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, podiatric |
physician,
veterinarian, scientific investigator, pharmacist, |
physician assistant,
advanced practice nurse,
licensed |
practical
nurse, registered nurse, hospital, laboratory, or |
pharmacy, or other
person licensed, registered, or otherwise |
lawfully permitted by the
United States or this State to |
|
distribute, dispense, conduct research
with respect to, |
administer or use in teaching or chemical analysis, a
|
controlled substance in the course of professional practice or |
research.
|
(ll) "Pre-printed prescription" means a written |
prescription upon which
the designated drug has been indicated |
prior to the time of issuance; the term does not mean a written |
prescription that is individually generated by machine or |
computer in the prescriber's office.
|
(mm) "Prescriber" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, podiatric |
physician or
veterinarian who issues a prescription, a |
physician assistant who
issues a
prescription for a controlled |
substance
in accordance
with Section 303.05, a written |
delegation, and a written supervision agreement required under |
Section 7.5
of the
Physician Assistant Practice Act of 1987, or |
an advanced practice
nurse with prescriptive authority |
delegated under Section 65-40 of the Nurse Practice Act and in |
accordance with Section 303.05, a written delegation,
and a |
written
collaborative agreement under Section 65-35 of the |
Nurse Practice Act.
|
(nn) "Prescription" means a written, facsimile, or oral |
order, or an electronic order that complies with applicable |
federal requirements,
of
a physician licensed to practice |
medicine in all its branches,
dentist, podiatric physician or |
veterinarian for any controlled
substance, of an optometrist |
|
for a Schedule III, IV, or V controlled substance in accordance |
with Section 15.1 of the Illinois Optometric Practice Act of |
1987, of a physician assistant for a
controlled substance
in |
accordance with Section 303.05, a written delegation, and a |
written supervision agreement required under
Section 7.5 of the
|
Physician Assistant Practice Act of 1987, or of an advanced |
practice
nurse with prescriptive authority delegated under |
Section 65-40 of the Nurse Practice Act who issues a |
prescription for a
controlled substance in accordance
with
|
Section 303.05, a written delegation, and a written |
collaborative agreement under Section 65-35 of the Nurse |
Practice Act when required by law.
|
(nn-5) "Prescription Information Library" (PIL) means an |
electronic library that contains reported controlled substance |
data. |
(nn-10) "Prescription Monitoring Program" (PMP) means the |
entity that collects, tracks, and stores reported data on |
controlled substances and select drugs pursuant to Section 316. |
(oo) "Production" or "produce" means manufacture, |
planting,
cultivating, growing, or harvesting of a controlled |
substance other than methamphetamine.
|
(pp) "Registrant" means every person who is required to |
register
under Section 302 of this Act.
|
(qq) "Registry number" means the number assigned to each |
person
authorized to handle controlled substances under the |
laws of the United
States and of this State.
|
|
(qq-5) "Secretary" means, as the context requires, either |
the Secretary of the Department or the Secretary of the |
Department of Financial and Professional Regulation, and the |
Secretary's designated agents. |
(rr) "State" includes the State of Illinois and any state, |
district,
commonwealth, territory, insular possession thereof, |
and any area
subject to the legal authority of the United |
States of America.
|
(rr-5) "Stimulant" means any drug that (i) causes an |
overall excitation of central nervous system functions, (ii) |
causes impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to amphetamines and their analogs, |
methylphenidate and its analogs, cocaine, and phencyclidine |
and its analogs. |
(ss) "Ultimate user" means a person who lawfully possesses |
a
controlled substance for his or her own use or for the use of |
a member of his or her
household or for administering to an |
animal owned by him or her or by a member
of his or her |
household.
|
(Source: P.A. 97-334, eff. 1-1-12; 98-214, eff. 8-9-13; revised |
11-12-13.)
|
(720 ILCS 570/201) (from Ch. 56 1/2, par. 1201)
|
Sec. 201. (a) The Department shall carry out the provisions |
of
this Article. The Department or its successor agency
may, by |
|
administrative rule, add additional substances
to or delete or |
reschedule all controlled substances in the Schedules of
|
Sections 204, 206, 208, 210 and 212 of this Act. In making a |
determination
regarding the addition,
deletion, or |
rescheduling of a substance, the Department
shall consider
the |
following:
|
(1) the actual or relative potential for abuse;
|
(2) the scientific evidence of its pharmacological |
effect, if known;
|
(3) the state of current scientific knowledge |
regarding the
substance;
|
(4) the history and current pattern of abuse;
|
(5) the scope, duration, and significance of abuse;
|
(6) the risk to the public health;
|
(7) the potential of the substance to produce |
psychological or
physiological dependence;
|
(8) whether the substance is an immediate precursor of |
a substance
already controlled under this Article;
|
(9) the immediate harmful effect in terms of |
potentially fatal
dosage; and
|
(10) the long-range effects in terms of permanent |
health impairment.
|
(b) (Blank).
|
(c) (Blank).
|
(d) If any substance is scheduled, rescheduled, or
deleted |
as a
controlled substance under Federal law and notice thereof |
|
is given to
the Department, the Department shall
similarly |
control the substance
under this Act after the expiration of 30 |
days from publication in the
Federal Register of a final order |
scheduling a substance as
a
controlled substance or |
rescheduling or deleting a substance, unless
within that 30 day |
period the Department objects, or
a party adversely
affected |
files with the Department substantial written objections
|
objecting to inclusion, rescheduling, or deletion. In that |
case, the
Department shall publish the reasons for objection or |
the substantial
written objections and afford all interested |
parties an opportunity to
be heard. At the conclusion of the |
hearing, the Department shall
publish its decision, by means of |
a rule, which shall be final unless
altered by statute. Upon |
publication of objections by the Department, similar control
|
under this Act whether by inclusion, rescheduling or deletion |
is stayed
until the Department publishes its ruling.
|
(e) (Blank).
|
(f) (Blank).
|
(g) Authority to control under this Section does not extend |
to
distilled spirits, wine, malt beverages, or tobacco as those |
terms are
defined or used in the Liquor Control Act of 1934 and |
the Tobacco Products Tax
Act of 1995 .
|
(h) Persons registered with the Drug Enforcement |
Administration to manufacture or distribute controlled |
substances shall maintain adequate security and provide |
effective controls and procedures to guard against theft and |
|
diversion, but shall not otherwise be required to meet the |
physical security control requirements (such as cage or vault) |
for Schedule V controlled substances containing |
pseudoephedrine or Schedule II controlled substances |
containing dextromethorphan.
|
(Source: P.A. 97-334, eff. 1-1-12; revised 11-12-13.)
|
Section 710. The Rights of Crime Victims and Witnesses Act |
is amended by changing Section 4.5 as follows:
|
(725 ILCS 120/4.5)
|
Sec. 4.5. Procedures to implement the rights of crime |
victims. To afford
crime victims their rights, law enforcement, |
prosecutors, judges and
corrections will provide information, |
as appropriate of the following
procedures:
|
(a) At the request of the crime victim, law enforcement |
authorities
investigating the case shall provide notice of the |
status of the investigation,
except where the State's Attorney |
determines that disclosure of such
information would |
unreasonably interfere with the investigation, until such
time |
as the alleged assailant is apprehended or the investigation is |
closed.
|
(a-5) When law enforcement authorities re-open a closed |
case to resume investigating, they shall provide notice of the |
re-opening of the case, except where the State's Attorney |
determines that disclosure of such information would |
|
unreasonably interfere with the investigation. |
(b) The office of the State's Attorney:
|
(1) shall provide notice of the filing of information, |
the return of an
indictment by which a prosecution for any |
violent crime is commenced, or the
filing of a petition to |
adjudicate a minor as a delinquent for a violent
crime;
|
(2) shall provide notice of the date, time, and place |
of trial;
|
(3) or victim advocate personnel shall provide |
information of social
services and financial assistance |
available for victims of crime, including
information of |
how to apply for these services and assistance;
|
(3.5) or victim advocate personnel shall provide |
information about available victim services, including |
referrals to programs, counselors, and agencies that |
assist a victim to deal with trauma, loss, and grief;
|
(4) shall assist in having any stolen or other personal |
property held by
law enforcement authorities for |
evidentiary or other purposes returned as
expeditiously as |
possible, pursuant to the procedures set out in Section |
115-9
of the Code of Criminal Procedure of 1963;
|
(5) or victim advocate personnel shall provide |
appropriate employer
intercession services to ensure that |
employers of victims will cooperate with
the criminal |
justice system in order to minimize an employee's loss of |
pay and
other benefits resulting from court appearances;
|
|
(6) shall provide information whenever possible, of a |
secure waiting
area during court proceedings that does not |
require victims to be in close
proximity to defendant or |
juveniles accused of a violent crime, and their
families |
and friends;
|
(7) shall provide notice to the crime victim of the |
right to have a
translator present at all court proceedings |
and, in compliance with the federal Americans
with |
Disabilities Act of 1990, the right to communications |
access through a
sign language interpreter or by other |
means;
|
(8) in the case of the death of a person, which death |
occurred in the same
transaction or occurrence in which |
acts occurred for which a defendant is
charged with an |
offense, shall notify the spouse, parent, child or sibling |
of
the decedent of the date of the trial of the person or |
persons allegedly
responsible for the death;
|
(9) shall inform the victim of the right to have |
present at all court
proceedings, subject to the rules of |
evidence, an advocate or other support
person of the |
victim's choice, and the right to retain an attorney, at |
the
victim's own expense, who, upon written notice filed |
with the clerk of the
court and State's Attorney, is to |
receive copies of all notices, motions and
court orders |
filed thereafter in the case, in the same manner as if the |
victim
were a named party in the case;
|
|
(9.5) shall inform the victim of (A) the victim's right |
under Section 6 of this Act to make a victim impact |
statement at the sentencing hearing; (B) the right of the |
victim's spouse, guardian, parent, grandparent and other |
immediate family and household members under Section 6 of |
this Act to present an impact statement at sentencing; and |
(C) if a presentence report is to be prepared, the right of |
the victim's spouse, guardian, parent, grandparent and |
other immediate family and household members to submit |
information to the preparer of the presentence report about |
the effect the offense has had on the victim and the |
person;
|
(10) at the sentencing hearing shall make a good faith |
attempt to explain
the minimum amount of time during which |
the defendant may actually be
physically imprisoned. The |
Office of the State's Attorney shall further notify
the |
crime victim of the right to request from the Prisoner |
Review Board
information concerning the release of the |
defendant under subparagraph (d)(1)
of this Section;
|
(11) shall request restitution at sentencing and shall |
consider
restitution in any plea negotiation, as provided |
by law; and
|
(12) shall, upon the court entering a verdict of not |
guilty by reason of insanity, inform the victim of the |
notification services available from the Department of |
Human Services, including the statewide telephone number, |
|
under subparagraph (d)(2) of this Section. |
(c) At the written request of the crime victim, the office |
of the State's
Attorney shall:
|
(1) provide notice a reasonable time in advance of the |
following court
proceedings: preliminary hearing, any |
hearing the effect of which may be the
release of defendant |
from custody, or to alter the conditions of bond and the
|
sentencing hearing. The crime victim shall also be notified |
of the
cancellation of the court proceeding in sufficient |
time, wherever possible, to
prevent an unnecessary |
appearance in court;
|
(2) provide notice within a reasonable time after |
receipt of notice from
the custodian, of the release of the |
defendant on bail or personal recognizance
or the release |
from detention of a minor who has been detained for a |
violent
crime;
|
(3) explain in nontechnical language the details of any |
plea or verdict of
a defendant, or any adjudication of a |
juvenile as a delinquent for a violent
crime;
|
(4) where practical, consult with the crime victim |
before the Office of
the State's Attorney makes an offer of |
a plea bargain to the defendant or
enters into negotiations |
with the defendant concerning a possible plea
agreement, |
and shall consider the written victim impact statement, if |
prepared
prior to entering into a plea agreement;
|
(5) provide notice of the ultimate disposition of the |
|
cases arising from
an indictment or an information, or a |
petition to have a juvenile adjudicated
as a delinquent for |
a violent crime;
|
(6) provide notice of any appeal taken by the defendant |
and information
on how to contact the appropriate agency |
handling the appeal;
|
(7) provide notice of any request for post-conviction |
review filed by the
defendant under Article 122 of the Code |
of Criminal Procedure of 1963, and of
the date, time and |
place of any hearing concerning the petition. Whenever
|
possible, notice of the hearing shall be given in advance;
|
(8) forward a copy of any statement presented under |
Section 6 to the
Prisoner Review Board to be considered by |
the Board in making its determination
under subsection (b) |
of Section 3-3-8 of the Unified Code of Corrections.
|
(d)(1) The Prisoner Review Board shall inform a victim or |
any other
concerned citizen, upon written request, of the |
prisoner's release on parole, aftercare release,
mandatory |
supervised release, electronic detention, work release, |
international transfer or exchange, or by the
custodian of the |
discharge of any individual who was adjudicated a delinquent
|
for a violent crime from State custody and by the sheriff of |
the appropriate
county of any such person's final discharge |
from county custody.
The Prisoner Review Board, upon written |
request, shall provide to a victim or
any other concerned |
citizen a recent photograph of any person convicted of a
|
|
felony, upon his or her release from custody.
The Prisoner
|
Review Board, upon written request, shall inform a victim or |
any other
concerned citizen when feasible at least 7 days prior |
to the prisoner's release
on furlough of the times and dates of |
such furlough. Upon written request by
the victim or any other |
concerned citizen, the State's Attorney shall notify
the person |
once of the times and dates of release of a prisoner sentenced |
to
periodic imprisonment. Notification shall be based on the |
most recent
information as to victim's or other concerned |
citizen's residence or other
location available to the |
notifying authority.
|
(2) When the defendant has been committed to the Department |
of
Human Services pursuant to Section 5-2-4 or any other
|
provision of the Unified Code of Corrections, the victim may |
request to be
notified by the releasing authority of the |
approval by the court of an on-grounds pass, a supervised |
off-grounds pass, an unsupervised off-grounds pass, or |
conditional release; the release on an off-grounds pass; the |
return from an off-grounds pass; transfer to another facility; |
conditional release; escape; death; or final discharge from |
State
custody. The Department of Human Services shall establish |
and maintain a statewide telephone number to be used by victims |
to make notification requests under these provisions and shall |
publicize this telephone number on its website and to the |
State's Attorney of each county.
|
(3) In the event of an escape from State custody, the |
|
Department of
Corrections or the Department of Juvenile Justice |
immediately shall notify the Prisoner Review Board of the |
escape
and the Prisoner Review Board shall notify the victim. |
The notification shall
be based upon the most recent |
information as to the victim's residence or other
location |
available to the Board. When no such information is available, |
the
Board shall make all reasonable efforts to obtain the |
information and make
the notification. When the escapee is |
apprehended, the Department of
Corrections or the Department of |
Juvenile Justice immediately shall notify the Prisoner Review |
Board and the Board
shall notify the victim.
|
(4) The victim of the crime for which the prisoner has been |
sentenced
shall receive reasonable written notice not less than |
30 days prior to the
parole or aftercare release hearing and |
may submit, in writing, on film, videotape or other
electronic |
means or in the form of a recording or in person at the parole |
or aftercare release hearing
or if a victim of a violent crime, |
by calling the
toll-free number established in subsection (f) |
of this Section, information
for
consideration by the Prisoner |
Review Board. The
victim shall be notified within 7 days after |
the prisoner has been granted
parole or aftercare release and |
shall be informed of the right to inspect the registry of |
parole or aftercare release
decisions, established under |
subsection (g) of Section 3-3-5 of the Unified
Code of |
Corrections. The provisions of this paragraph (4) are subject |
to the
Open Parole Hearings Act.
|
|
(5) If a statement is presented under Section 6, the |
Prisoner Review Board
shall inform the victim of any order of |
discharge entered by the Board pursuant
to Section 3-3-8 of the |
Unified Code of Corrections.
|
(6) At the written request of the victim of the crime for |
which the
prisoner was sentenced or the State's Attorney of the |
county where the person seeking parole or aftercare release was |
prosecuted, the Prisoner Review Board shall notify the victim |
and the State's Attorney of the county where the person seeking |
parole or aftercare release was prosecuted of
the death of the |
prisoner if the prisoner died while on parole or aftercare |
release or mandatory
supervised release.
|
(7) When a defendant who has been committed to the |
Department of
Corrections, the Department of Juvenile Justice, |
or the Department of Human Services is released or discharged |
and
subsequently committed to the Department of Human Services |
as a sexually
violent person and the victim had requested to be |
notified by the releasing
authority of the defendant's |
discharge, conditional release, death, or escape from State |
custody, the releasing
authority shall provide to the |
Department of Human Services such information
that would allow |
the Department of Human Services to contact the victim.
|
(8) When a defendant has been convicted of a sex offense as |
defined in Section 2 of the Sex Offender Registration Act and |
has been sentenced to the Department of Corrections or the |
Department of Juvenile Justice, the Prisoner Review Board shall |
|
notify the victim of the sex offense of the prisoner's |
eligibility for release on parole, aftercare release,
|
mandatory supervised release, electronic detention, work |
release, international transfer or exchange, or by the
|
custodian of the discharge of any individual who was |
adjudicated a delinquent
for a sex offense from State custody |
and by the sheriff of the appropriate
county of any such |
person's final discharge from county custody. The notification |
shall be made to the victim at least 30 days, whenever |
possible, before release of the sex offender. |
(e) The officials named in this Section may satisfy some or |
all of their
obligations to provide notices and other |
information through participation in a
statewide victim and |
witness notification system established by the Attorney
|
General under Section 8.5 of this Act.
|
(f) To permit a victim of a violent crime to provide |
information to the
Prisoner Review Board for consideration by |
the
Board at a parole or aftercare release hearing of a person |
who committed the crime against
the victim in accordance with |
clause (d)(4) of this Section or at a proceeding
to determine |
the conditions of mandatory supervised release of a person
|
sentenced to a determinate sentence or at a hearing on |
revocation of mandatory
supervised release of a person |
sentenced to a determinate sentence, the Board
shall establish |
a toll-free number that may be accessed by the victim of
a |
violent crime to present that information to the Board.
|
|
(Source: P.A. 97-457, eff. 1-1-12; 97-572, eff. 1-1-12; 97-813, |
eff. 7-13-12; 97-815, eff. 1-1-13; 98-372, eff. 1-1-14; 98-558, |
eff. 1-1-14; revised 9-24-13.)
|
Section 715. The Sexually Violent Persons Commitment Act is |
amended by changing Section 30 as follows: |
(725 ILCS 207/30)
|
Sec. 30. Detention; probable cause hearing; transfer for
|
examination.
|
(a) Upon the filing of a petition under Section 15 of this |
Act,
the court shall review the petition to determine whether |
to issue
an order for detention of the person who is the |
subject of the
petition. The person shall be detained only if |
there is cause to
believe that the person is eligible for |
commitment under subsection (f) of
Section
35 of this Act. A |
person detained under this Section shall be
held in a facility |
approved by the Department. The Department may elect to place |
persons who have been ordered by the court to be detained in a |
State-operated mental health facility or a portion of that |
facility. Persons placed in a State-operated mental health |
facility under this Act shall be separated and shall not |
comingle with the recipients of the mental health facility. The |
portion of a State-operated mental health facility that is used |
for the persons detained under this Act shall not be a part of |
the mental health facility for the enforcement and |
|
implementation of the Mental Health and Developmental |
Disabilities Code nor shall their care and treatment be subject |
to the provisions of the Mental Health and Developmental |
Disabilities Code. The changes added to this Section by Public |
Act 98-79 this amendatory Act of the 98th General Assembly are |
inoperative on and after June 30, 2015. If the person is
|
serving a sentence of imprisonment, is in a Department of
|
Corrections correctional facility or juvenile correctional
|
facility or is committed to institutional care, and the court
|
orders detention under this Section, the court shall order that
|
the person be transferred to a detention facility approved by |
the
Department. A detention order under this Section remains in
|
effect until the person is discharged after a trial under |
Section
35 of this Act or until the effective date of a |
commitment order
under Section 40 of this Act, whichever is |
applicable.
|
(b) Whenever a petition is filed under Section 15 of this |
Act,
the court shall hold a hearing to determine whether there |
is
probable cause to believe that the person named in the |
petition is
a sexually violent person. If the person named in |
the petition is
in custody, the court shall hold the probable |
cause hearing within
72 hours after the petition is filed, |
excluding Saturdays, Sundays
and legal holidays. The court may |
grant a continuance of the probable cause
hearing for no more |
than 7 additional days upon the motion of the respondent,
for |
good cause. If the person named in the petition has been |
|
released, is
on parole, is on aftercare release, is on |
mandatory supervised release, or otherwise is not in
custody, |
the court shall hold the probable cause hearing within a
|
reasonable time after the filing of the petition.
At the |
probable cause hearing, the court shall admit and consider all
|
relevant hearsay evidence.
|
(c) If the court determines after a hearing that there is
|
probable cause to believe that the person named in the petition |
is
a sexually violent person, the court shall order that the |
person
be taken into custody if he or she is not in custody and |
shall
order the person to be transferred within a reasonable |
time to an
appropriate facility for an evaluation as to whether |
the person is
a sexually violent person.
If the person who is |
named in the petition refuses to speak to, communicate
with, or |
otherwise fails to cooperate with the examining evaluator from |
the
Department of Human Services or the Department of |
Corrections, that person may
only introduce evidence and |
testimony from any expert or professional person
who is |
retained or court-appointed to conduct an examination of the |
person
that results from a review of the records and may not |
introduce evidence
resulting from an examination of the person.
|
Notwithstanding the provisions of Section 10 of
the
Mental |
Health and Developmental Disabilities Confidentiality Act, all
|
evaluations conducted pursuant to this Act and all Illinois |
Department of
Corrections treatment records shall be |
admissible at all proceedings held
pursuant to this Act, |
|
including the probable cause hearing and the trial.
|
If the court determines that probable
cause does not exist |
to believe that the person is a sexually
violent person, the |
court shall dismiss the petition.
|
(d) The Department shall promulgate rules that provide the
|
qualifications for persons conducting evaluations under |
subsection
(c) of this Section.
|
(e) If the person named in the petition claims or appears |
to be
indigent, the court shall, prior to the probable cause |
hearing
under subsection (b) of this Section, appoint
counsel.
|
(Source: P.A. 98-79, eff. 7-15-13; 98-558, eff. 1-1-14; revised |
9-24-13.)
|
Section 720. The Unified Code of Corrections is amended by |
changing Sections 3-2-2, 3-2.5-20, 3-3-2, 3-5-1, 5-5-3, |
5-5-3.2, 5-5-5, and 5-8A-3 as follows:
|
(730 ILCS 5/3-2-2) (from Ch. 38, par. 1003-2-2)
|
Sec. 3-2-2. Powers and Duties of the Department.
|
(1) In addition to the powers, duties and responsibilities |
which are
otherwise provided by law, the Department shall have |
the following powers:
|
(a) To accept persons committed to it by the courts of |
this State for
care, custody, treatment and |
rehabilitation, and to accept federal prisoners and aliens |
over whom the Office of the Federal Detention Trustee is |
|
authorized to exercise the federal detention function for |
limited purposes and periods of time.
|
(b) To develop and maintain reception and evaluation |
units for purposes
of analyzing the custody and |
rehabilitation needs of persons committed to
it and to |
assign such persons to institutions and programs under its |
control
or transfer them to other appropriate agencies. In |
consultation with the
Department of Alcoholism and |
Substance Abuse (now the Department of Human
Services), the |
Department of Corrections
shall develop a master plan for |
the screening and evaluation of persons
committed to its |
custody who have alcohol or drug abuse problems, and for
|
making appropriate treatment available to such persons; |
the Department
shall report to the General Assembly on such |
plan not later than April 1,
1987. The maintenance and |
implementation of such plan shall be contingent
upon the |
availability of funds.
|
(b-1) To create and implement, on January 1, 2002, a |
pilot
program to
establish the effectiveness of |
pupillometer technology (the measurement of the
pupil's
|
reaction to light) as an alternative to a urine test for |
purposes of screening
and evaluating
persons committed to |
its custody who have alcohol or drug problems. The
pilot |
program shall require the pupillometer technology to be |
used in at
least one Department of
Corrections facility. |
The Director may expand the pilot program to include an
|
|
additional facility or
facilities as he or she deems |
appropriate.
A minimum of 4,000 tests shall be included in |
the pilot program.
The
Department must report to the
|
General Assembly on the
effectiveness of the program by |
January 1, 2003.
|
(b-5) To develop, in consultation with the Department |
of State Police, a
program for tracking and evaluating each |
inmate from commitment through release
for recording his or |
her gang affiliations, activities, or ranks.
|
(c) To maintain and administer all State correctional |
institutions and
facilities under its control and to |
establish new ones as needed. Pursuant
to its power to |
establish new institutions and facilities, the Department
|
may, with the written approval of the Governor, authorize |
the Department of
Central Management Services to enter into |
an agreement of the type
described in subsection (d) of |
Section 405-300 of the
Department
of Central Management |
Services Law (20 ILCS 405/405-300). The Department shall
|
designate those institutions which
shall constitute the |
State Penitentiary System.
|
Pursuant to its power to establish new institutions and |
facilities, the
Department may authorize the Department of |
Central Management Services to
accept bids from counties |
and municipalities for the construction,
remodeling or |
conversion of a structure to be leased to the Department of
|
Corrections for the purposes of its serving as a |
|
correctional institution
or facility. Such construction, |
remodeling or conversion may be financed
with revenue bonds |
issued pursuant to the Industrial Building Revenue Bond
Act |
by the municipality or county. The lease specified in a bid |
shall be
for a term of not less than the time needed to |
retire any revenue bonds
used to finance the project, but |
not to exceed 40 years. The lease may
grant to the State |
the option to purchase the structure outright.
|
Upon receipt of the bids, the Department may certify |
one or more of the
bids and shall submit any such bids to |
the General Assembly for approval.
Upon approval of a bid |
by a constitutional majority of both houses of the
General |
Assembly, pursuant to joint resolution, the Department of |
Central
Management Services may enter into an agreement |
with the county or
municipality pursuant to such bid.
|
(c-5) To build and maintain regional juvenile |
detention centers and to
charge a per diem to the counties |
as established by the Department to defray
the costs of |
housing each minor in a center. In this subsection (c-5),
|
"juvenile
detention center" means a facility to house |
minors during pendency of trial who
have been transferred |
from proceedings under the Juvenile Court Act of 1987 to
|
prosecutions under the criminal laws of this State in |
accordance with Section
5-805 of the Juvenile Court Act of |
1987, whether the transfer was by operation
of
law or |
permissive under that Section. The Department shall |
|
designate the
counties to be served by each regional |
juvenile detention center.
|
(d) To develop and maintain programs of control, |
rehabilitation and
employment of committed persons within |
its institutions.
|
(d-5) To provide a pre-release job preparation program |
for inmates at Illinois adult correctional centers.
|
(e) To establish a system of supervision and guidance |
of committed persons
in the community.
|
(f) To establish in cooperation with the Department of |
Transportation
to supply a sufficient number of prisoners |
for use by the Department of
Transportation to clean up the |
trash and garbage along State, county,
township, or |
municipal highways as designated by the Department of
|
Transportation. The Department of Corrections, at the |
request of the
Department of Transportation, shall furnish |
such prisoners at least
annually for a period to be agreed |
upon between the Director of
Corrections and the Director |
of Transportation. The prisoners used on this
program shall |
be selected by the Director of Corrections on whatever |
basis
he deems proper in consideration of their term, |
behavior and earned eligibility
to participate in such |
program - where they will be outside of the prison
facility |
but still in the custody of the Department of Corrections. |
Prisoners
convicted of first degree murder, or a Class X |
felony, or armed violence, or
aggravated kidnapping, or |
|
criminal sexual assault, aggravated criminal sexual
abuse |
or a subsequent conviction for criminal sexual abuse, or |
forcible
detention, or arson, or a prisoner adjudged a |
Habitual Criminal shall not be
eligible for selection to |
participate in such program. The prisoners shall
remain as |
prisoners in the custody of the Department of Corrections |
and such
Department shall furnish whatever security is |
necessary. The Department of
Transportation shall furnish |
trucks and equipment for the highway cleanup
program and |
personnel to supervise and direct the program. Neither the
|
Department of Corrections nor the Department of |
Transportation shall replace
any regular employee with a |
prisoner.
|
(g) To maintain records of persons committed to it and |
to establish
programs of research, statistics and |
planning.
|
(h) To investigate the grievances of any person |
committed to the
Department, to inquire into any alleged |
misconduct by employees
or committed persons, and to |
investigate the assets
of committed persons to implement |
Section 3-7-6 of this Code; and for
these purposes it may |
issue subpoenas and compel the attendance of witnesses
and |
the production of writings and papers, and may examine |
under oath any
witnesses who may appear before it; to also |
investigate alleged violations
of a parolee's or |
releasee's conditions of parole or release; and for this
|
|
purpose it may issue subpoenas and compel the attendance of |
witnesses and
the production of documents only if there is |
reason to believe that such
procedures would provide |
evidence that such violations have occurred.
|
If any person fails to obey a subpoena issued under |
this subsection,
the Director may apply to any circuit |
court to secure compliance with the
subpoena. The failure |
to comply with the order of the court issued in
response |
thereto shall be punishable as contempt of court.
|
(i) To appoint and remove the chief administrative |
officers, and
administer
programs of training and |
development of personnel of the Department. Personnel
|
assigned by the Department to be responsible for the
|
custody and control of committed persons or to investigate |
the alleged
misconduct of committed persons or employees or |
alleged violations of a
parolee's or releasee's conditions |
of parole shall be conservators of the peace
for those |
purposes, and shall have the full power of peace officers |
outside
of the facilities of the Department in the |
protection, arrest, retaking
and reconfining of committed |
persons or where the exercise of such power
is necessary to |
the investigation of such misconduct or violations. This |
subsection shall not apply to persons committed to the |
Department of Juvenile Justice under the Juvenile Court Act |
of 1987 on aftercare release.
|
(j) To cooperate with other departments and agencies |
|
and with local
communities for the development of standards |
and programs for better
correctional services in this |
State.
|
(k) To administer all moneys and properties of the |
Department.
|
(l) To report annually to the Governor on the committed
|
persons, institutions and programs of the Department.
|
(l-5) (Blank).
|
(m) To make all rules and regulations and exercise all |
powers and duties
vested by law in the Department.
|
(n) To establish rules and regulations for |
administering a system of
sentence credits, established in |
accordance with Section 3-6-3, subject
to review by the |
Prisoner Review Board.
|
(o) To administer the distribution of funds
from the |
State Treasury to reimburse counties where State penal
|
institutions are located for the payment of assistant |
state's attorneys'
salaries under Section 4-2001 of the |
Counties Code.
|
(p) To exchange information with the Department of |
Human Services and the
Department of Healthcare and Family |
Services
for the purpose of verifying living arrangements |
and for other purposes
directly connected with the |
administration of this Code and the Illinois
Public Aid |
Code.
|
(q) To establish a diversion program.
|
|
The program shall provide a structured environment for |
selected
technical parole or mandatory supervised release |
violators and committed
persons who have violated the rules |
governing their conduct while in work
release. This program |
shall not apply to those persons who have committed
a new |
offense while serving on parole or mandatory supervised |
release or
while committed to work release.
|
Elements of the program shall include, but shall not be |
limited to, the
following:
|
(1) The staff of a diversion facility shall provide |
supervision in
accordance with required objectives set |
by the facility.
|
(2) Participants shall be required to maintain |
employment.
|
(3) Each participant shall pay for room and board |
at the facility on a
sliding-scale basis according to |
the participant's income.
|
(4) Each participant shall:
|
(A) provide restitution to victims in |
accordance with any court order;
|
(B) provide financial support to his |
dependents; and
|
(C) make appropriate payments toward any other |
court-ordered
obligations.
|
(5) Each participant shall complete community |
service in addition to
employment.
|
|
(6) Participants shall take part in such |
counseling, educational and
other programs as the |
Department may deem appropriate.
|
(7) Participants shall submit to drug and alcohol |
screening.
|
(8) The Department shall promulgate rules |
governing the administration
of the program.
|
(r) To enter into intergovernmental cooperation |
agreements under which
persons in the custody of the |
Department may participate in a county impact
|
incarceration program established under Section 3-6038 or |
3-15003.5 of the
Counties Code.
|
(r-5) (Blank).
|
(r-10) To systematically and routinely identify with |
respect to each
streetgang active within the correctional |
system: (1) each active gang; (2)
every existing inter-gang |
affiliation or alliance; and (3) the current leaders
in |
each gang. The Department shall promptly segregate leaders |
from inmates who
belong to their gangs and allied gangs. |
"Segregate" means no physical contact
and, to the extent |
possible under the conditions and space available at the
|
correctional facility, prohibition of visual and sound |
communication. For the
purposes of this paragraph (r-10), |
"leaders" means persons who:
|
(i) are members of a criminal streetgang;
|
(ii) with respect to other individuals within the |
|
streetgang, occupy a
position of organizer, |
supervisor, or other position of management or
|
leadership; and
|
(iii) are actively and personally engaged in |
directing, ordering,
authorizing, or requesting |
commission of criminal acts by others, which are
|
punishable as a felony, in furtherance of streetgang |
related activity both
within and outside of the |
Department of Corrections.
|
"Streetgang", "gang", and "streetgang related" have the |
meanings ascribed to
them in Section 10 of the Illinois |
Streetgang Terrorism Omnibus Prevention
Act.
|
(s) To operate a super-maximum security institution, |
in order to
manage and
supervise inmates who are disruptive |
or dangerous and provide for the safety
and security of the |
staff and the other inmates.
|
(t) To monitor any unprivileged conversation or any |
unprivileged
communication, whether in person or by mail, |
telephone, or other means,
between an inmate who, before |
commitment to the Department, was a member of an
organized |
gang and any other person without the need to show cause or |
satisfy
any other requirement of law before beginning the |
monitoring, except as
constitutionally required. The |
monitoring may be by video, voice, or other
method of |
recording or by any other means. As used in this |
subdivision (1)(t),
"organized gang" has the meaning |
|
ascribed to it in Section 10 of the Illinois
Streetgang |
Terrorism Omnibus Prevention Act.
|
As used in this subdivision (1)(t), "unprivileged |
conversation" or
"unprivileged communication" means a |
conversation or communication that is not
protected by any |
privilege recognized by law or by decision, rule, or order |
of
the Illinois Supreme Court.
|
(u) To establish a Women's and Children's Pre-release |
Community
Supervision
Program for the purpose of providing |
housing and services to eligible female
inmates, as |
determined by the Department, and their newborn and young
|
children.
|
(u-5) To issue an order, whenever a person committed to |
the Department absconds or absents himself or herself, |
without authority to do so, from any facility or program to |
which he or she is assigned. The order shall be certified |
by the Director, the Supervisor of the Apprehension Unit, |
or any person duly designated by the Director, with the |
seal of the Department affixed. The order shall be directed |
to all sheriffs, coroners, and police officers, or to any |
particular person named in the order. Any order issued |
pursuant to this subdivision (1) (u-5) shall be sufficient |
warrant for the officer or person named in the order to |
arrest and deliver the committed person to the proper |
correctional officials and shall be executed the same as |
criminal process.
|
|
(v) To do all other acts necessary to carry out the |
provisions
of this Chapter.
|
(2) The Department of Corrections shall by January 1, 1998, |
consider
building and operating a correctional facility within |
100 miles of a county of
over 2,000,000 inhabitants, especially |
a facility designed to house juvenile
participants in the |
impact incarceration program.
|
(3) When the Department lets bids for contracts for medical
|
services to be provided to persons committed to Department |
facilities by
a health maintenance organization, medical |
service corporation, or other
health care provider, the bid may |
only be let to a health care provider
that has obtained an |
irrevocable letter of credit or performance bond
issued by a |
company whose bonds have an investment grade or higher rating |
by a bond rating
organization.
|
(4) When the Department lets bids for
contracts for food or |
commissary services to be provided to
Department facilities, |
the bid may only be let to a food or commissary
services |
provider that has obtained an irrevocable letter of
credit or |
performance bond issued by a company whose bonds have an |
investment grade or higher rating by a bond rating |
organization.
|
(5) On and after the date 6 months after August 16, 2013 |
( the effective date of Public Act 98-488) this amendatory Act |
of the 98th General Assembly , as provided in the Executive |
Order 1 (2012) Implementation Act, all of the powers, duties, |
|
rights, and responsibilities related to State healthcare |
purchasing under this Code that were transferred from the |
Department of Corrections to the Department of Healthcare and |
Family Services by Executive Order 3 (2005) are transferred |
back to the Department of Corrections; however, powers, duties, |
rights, and responsibilities related to State healthcare |
purchasing under this Code that were exercised by the |
Department of Corrections before the effective date of |
Executive Order 3 (2005) but that pertain to individuals |
resident in facilities operated by the Department of Juvenile |
Justice are transferred to the Department of Juvenile Justice. |
(Source: P.A. 97-697, eff. 6-22-12; 97-800, eff. 7-13-12; |
97-802, eff. 7-13-12; 98-463, eff. 8-16-13; 98-488, eff. |
8-16-13; 98-558, eff. 1-1-14; revised 9-24-13.)
|
(730 ILCS 5/3-2.5-20)
|
Sec. 3-2.5-20. General powers and duties. |
(a) In addition to the powers, duties, and responsibilities |
which are otherwise provided by law or transferred to the |
Department as a result of this Article, the Department, as |
determined by the Director, shall have, but are not limited to, |
the following rights, powers, functions and duties: |
(1) To accept juveniles committed to it by the courts |
of this State for care, custody, treatment, and |
rehabilitation. |
(2) To maintain and administer all State juvenile |
|
correctional institutions previously under the control of |
the Juvenile and Women's & Children Divisions of the |
Department of Corrections, and to establish and maintain |
institutions as needed to meet the needs of the youth |
committed to its care. |
(3) To identify the need for and recommend the funding |
and implementation of an appropriate mix of programs and |
services within the juvenile justice continuum, including |
but not limited to prevention, nonresidential and |
residential commitment programs, day treatment, and |
conditional release programs and services, with the |
support of educational, vocational, alcohol, drug abuse, |
and mental health services where appropriate. |
(3.5) To assist youth committed to the Department of |
Juvenile Justice under the Juvenile Court Act of 1987 with |
successful reintegration into society, the Department |
shall retain custody and control of all adjudicated |
delinquent juveniles released under Section 3-3-10 of this |
Code, shall provide a continuum of post-release treatment |
and services to those youth, and shall supervise those |
youth during their release period in accordance with the |
conditions set by the Prisoner Review Board. |
(4) To establish and provide transitional and |
post-release treatment programs for juveniles committed to |
the Department. Services shall include but are not limited |
to: |
|
(i) family and individual counseling and treatment |
placement; |
(ii) referral services to any other State or local |
agencies; |
(iii) mental health services; |
(iv) educational services; |
(v) family counseling services; and |
(vi) substance abuse services. |
(5) To access vital records of juveniles for the |
purposes of providing necessary documentation for |
transitional services such as obtaining identification, |
educational enrollment, employment, and housing. |
(6) To develop staffing and workload standards and |
coordinate staff development and training appropriate for |
juvenile populations. |
(7) To develop, with the approval of the Office of the |
Governor and the Governor's Office of Management and |
Budget, annual budget requests.
|
(8) To administer the Interstate Compact for |
Juveniles, with respect to all juveniles under its |
jurisdiction, and to cooperate with the Department of Human |
Services with regard to all non-offender juveniles subject |
to the Interstate Compact for Juveniles.
|
(b) The Department may employ personnel in accordance with |
the Personnel Code and Section 3-2.5-15 of this Code, provide |
facilities, contract for goods and services, and adopt rules as |
|
necessary to carry out its functions and purposes, all in |
accordance with applicable State and federal law.
|
(c) On and after the date 6 months after August 16, 2013 |
( the effective date of Public Act 98-488) this amendatory Act |
of the 98th General Assembly , as provided in the Executive |
Order 1 (2012) Implementation Act, all of the powers, duties, |
rights, and responsibilities related to State healthcare |
purchasing under this Code that were transferred from the |
Department of Corrections to the Department of Healthcare and |
Family Services by Executive Order 3 (2005) are transferred |
back to the Department of Corrections; however, powers, duties, |
rights, and responsibilities related to State healthcare |
purchasing under this Code that were exercised by the |
Department of Corrections before the effective date of |
Executive Order 3 (2005) but that pertain to individuals |
resident in facilities operated by the Department of Juvenile |
Justice are transferred to the Department of Juvenile Justice. |
(Source: P.A. 98-488, eff. 8-16-13; 98-558, eff. 1-1-14; |
revised 9-24-13.)
|
(730 ILCS 5/3-3-2) (from Ch. 38, par. 1003-3-2)
|
Sec. 3-3-2. Powers and Duties.
|
(a) The Parole and Pardon Board is abolished and the term |
"Parole and
Pardon Board" as used in any law of Illinois, shall |
read "Prisoner Review
Board." After the effective date of this |
amendatory Act of 1977, the
Prisoner Review Board shall provide |
|
by rule for the orderly transition of
all files, records, and |
documents of the Parole and Pardon Board and for
such other |
steps as may be necessary to effect an orderly transition and |
shall:
|
(1) hear by at least one member and through a panel of |
at least 3 members
decide, cases of prisoners
who were |
sentenced under the law in effect prior to the effective
|
date of this amendatory Act of 1977, and who are eligible |
for parole;
|
(2) hear by at least one member and through a panel of |
at least 3 members decide, the conditions of
parole and the |
time of discharge from parole, impose sanctions for
|
violations of parole, and revoke
parole for those sentenced |
under the law in effect prior to this amendatory
Act of |
1977; provided that the decision to parole and the |
conditions of
parole for all prisoners who were sentenced |
for first degree murder or who
received a minimum sentence |
of 20 years or more under the law in effect
prior to |
February 1, 1978 shall be determined by a majority vote of |
the
Prisoner Review Board. One representative supporting |
parole and one representative opposing parole will be |
allowed to speak. Their comments shall be limited to making |
corrections and filling in omissions to the Board's |
presentation and discussion;
|
(3) hear by at least one member and through a panel of |
at least 3 members decide, the conditions
of mandatory |
|
supervised release and the time of discharge from mandatory
|
supervised release, impose sanctions for violations of |
mandatory
supervised release, and revoke mandatory |
supervised release for those
sentenced under the law in |
effect after the effective date of this
amendatory Act of |
1977;
|
(3.5) hear by at least one member and through a panel |
of at least 3 members decide, the conditions of mandatory |
supervised release and the time of discharge from mandatory |
supervised release, to impose sanctions for violations of |
mandatory supervised release and revoke mandatory |
supervised release for those serving extended supervised |
release terms pursuant to paragraph (4) of subsection (d) |
of Section 5-8-1;
|
(3.6) hear by at least one member and through a panel |
of at least 3 members decide, the time of aftercare |
release, the conditions of aftercare release and the time |
of discharge from aftercare release, impose sanctions for |
violations of aftercare release, and revoke aftercare |
release for those adjudicated delinquent under the |
Juvenile Court Act of 1987;
|
(4) hear by at least one member and through a panel of |
at least 3
members,
decide cases brought by the Department |
of Corrections against a prisoner in
the custody of the |
Department for alleged violation of Department rules
with |
respect to sentence credits under Section 3-6-3 of this |
|
Code
in which the Department seeks to revoke sentence |
credits, if the amount
of time at issue exceeds 30 days or |
when, during any 12 month period, the
cumulative amount of |
credit revoked exceeds 30 days except where the
infraction |
is committed or discovered within 60 days of scheduled |
release.
In such cases, the Department of Corrections may |
revoke up to 30 days of
sentence credit. The Board may |
subsequently approve the revocation of
additional sentence |
credit, if the Department seeks to revoke sentence credit |
in excess of thirty days. However, the Board shall not be
|
empowered to review the Department's decision with respect |
to the loss of
30 days of sentence credit for any prisoner |
or to increase any penalty
beyond the length requested by |
the Department;
|
(5) hear by at least one member and through a panel of |
at least 3
members decide, the
release dates for certain |
prisoners sentenced under the law in existence
prior to the |
effective date of this amendatory Act of 1977, in
|
accordance with Section 3-3-2.1 of this Code;
|
(6) hear by at least one member and through a panel of |
at least 3 members
decide, all requests for pardon, |
reprieve or commutation, and make confidential
|
recommendations to the Governor;
|
(7) comply with the requirements of the Open Parole |
Hearings Act;
|
(8) hear by at least one member and, through a panel of |
|
at least 3
members, decide cases brought by the Department |
of Corrections against a
prisoner in the custody of the |
Department for court dismissal of a frivolous
lawsuit |
pursuant to Section 3-6-3(d) of this Code in which the |
Department seeks
to revoke up to 180 days of sentence |
credit, and if the prisoner has not
accumulated 180 days of |
sentence credit at the time of the dismissal, then
all |
sentence credit accumulated by the prisoner shall be |
revoked;
|
(9) hear by at least 3 members, and, through a panel of |
at least 3
members, decide whether to grant certificates of |
relief from
disabilities or certificates of good conduct as |
provided in Article 5.5 of
Chapter V; |
(10) upon a petition by a person who has been convicted |
of a Class 3 or Class 4 felony and who meets the |
requirements of this paragraph, hear by at least 3 members |
and, with the unanimous vote of a panel of 3 members, issue |
a certificate of eligibility for sealing recommending that |
the court order the sealing of all official
records of the |
arresting authority, the circuit court clerk, and the |
Department of State Police concerning the arrest and |
conviction for the Class 3 or 4 felony. A person may not |
apply to the Board for a certificate of eligibility for |
sealing: |
(A) until 5 years have elapsed since the expiration |
of his or her sentence; |
|
(B) until 5 years have elapsed since any arrests or |
detentions by a law enforcement officer for an alleged |
violation of law, other than a petty offense, traffic |
offense, conservation offense, or local ordinance |
offense; |
(C) if convicted of a violation of the Cannabis |
Control Act, Illinois Controlled Substances Act, the |
Methamphetamine Control and Community Protection Act, |
the Methamphetamine Precursor Control Act, or the |
Methamphetamine Precursor Tracking Act unless the |
petitioner has completed a drug abuse program for the |
offense on which sealing is sought and provides proof |
that he or she has completed the program successfully; |
(D) if convicted of: |
(i) a sex offense described in Article 11 or |
Sections 12-13, 12-14, 12-14.1, 12-15, or 12-16 of |
the Criminal Code of 1961 or the Criminal Code of |
2012; |
(ii) aggravated assault; |
(iii) aggravated battery; |
(iv) domestic battery; |
(v) aggravated domestic battery; |
(vi) violation of an order of protection; |
(vii) an offense under the Criminal Code of |
1961 or the Criminal Code of 2012 involving a |
firearm; |
|
(viii) driving while under the influence of |
alcohol, other drug or drugs, intoxicating |
compound or compounds or any combination thereof; |
(ix) aggravated driving while under the |
influence of alcohol, other drug or drugs, |
intoxicating compound or compounds or any |
combination thereof; or |
(x) any crime defined as a crime of violence |
under Section 2 of the Crime Victims Compensation |
Act. |
If a person has applied to the Board for a certificate |
of eligibility for sealing and the Board denies the |
certificate, the person must wait at least 4 years before |
filing again or filing for pardon from the Governor unless |
the Chairman of the Prisoner Review Board grants a waiver. |
The decision to issue or refrain from issuing a |
certificate of eligibility for sealing shall be at the |
Board's sole discretion, and shall not give rise to any |
cause of action against either the Board or its members. |
The Board may only authorize the sealing of Class 3 and |
4 felony convictions of the petitioner from one information |
or indictment under this paragraph (10). A petitioner may |
only receive one certificate of eligibility for sealing |
under this provision for life; and
|
(11) upon a petition by a person who after having been |
convicted of a Class 3 or Class 4 felony thereafter served |
|
in the United States Armed Forces or National Guard of this |
or any other state and had received an honorable discharge |
from the United States Armed Forces or National Guard or |
who at the time of filing the petition is enlisted in the |
United States Armed Forces or National Guard of this or any |
other state and served one tour of duty and who meets the |
requirements of this paragraph, hear by at least 3 members |
and, with the unanimous vote of a panel of 3 members, issue |
a certificate of eligibility for expungement recommending |
that the court order the expungement of all official
|
records of the arresting authority, the circuit court |
clerk, and the Department of State Police concerning the |
arrest and conviction for the Class 3 or 4 felony. A person |
may not apply to the Board for a certificate of eligibility |
for expungement: |
(A) if convicted of: |
(i) a sex offense described in Article 11 or |
Sections 12-13, 12-14, 12-14.1, 12-15, or 12-16 of |
the Criminal Code of 1961 or Criminal Code of 2012; |
(ii) an offense under the Criminal Code of 1961 |
or Criminal Code of 2012 involving a firearm; or |
(iii) a crime of violence as defined in Section |
2 of the Crime Victims Compensation Act; or |
(B) if the person has not served in the United |
States Armed Forces or National Guard of this or any |
other state or has not received an honorable discharge |
|
from the United States Armed Forces or National Guard |
of this or any other state or who at the time of the |
filing of the petition is serving in the United States |
Armed Forces or National Guard of this or any other |
state and has not completed one tour of duty. |
If a person has applied to the Board for a certificate |
of eligibility for expungement and the Board denies the |
certificate, the person must wait at least 4 years before |
filing again or filing for a pardon with authorization for |
expungement from the Governor unless the Governor or |
Chairman of the Prisoner Review Board grants a waiver. |
(a-5) The Prisoner Review Board, with the cooperation of |
and in
coordination with the Department of Corrections and the |
Department of Central
Management Services, shall implement a |
pilot project in 3 correctional
institutions providing for the |
conduct of hearings under paragraphs (1) and
(4)
of subsection |
(a) of this Section through interactive video conferences.
The
|
project shall be implemented within 6 months after the |
effective date of this
amendatory Act of 1996. Within 6 months |
after the implementation of the pilot
project, the Prisoner |
Review Board, with the cooperation of and in coordination
with |
the Department of Corrections and the Department of Central |
Management
Services, shall report to the Governor and the |
General Assembly regarding the
use, costs, effectiveness, and |
future viability of interactive video
conferences for Prisoner |
Review Board hearings.
|
|
(b) Upon recommendation of the Department the Board may |
restore sentence credit previously revoked.
|
(c) The Board shall cooperate with the Department in |
promoting an
effective system of parole, aftercare release, and |
mandatory supervised release.
|
(d) The Board shall promulgate rules for the conduct of its |
work,
and the Chairman shall file a copy of such rules and any |
amendments
thereto with the Director and with the Secretary of |
State.
|
(e) The Board shall keep records of all of its official |
actions and
shall make them accessible in accordance with law |
and the rules of the
Board.
|
(f) The Board or one who has allegedly violated the |
conditions of
his or her parole, aftercare release, or |
mandatory supervised release may require by subpoena the
|
attendance and testimony of witnesses and the production of |
documentary
evidence relating to any matter under |
investigation or hearing. The
Chairman of the Board may sign |
subpoenas which shall be served by any
agent or public official |
authorized by the Chairman of the Board, or by
any person |
lawfully authorized to serve a subpoena under the laws of the
|
State of Illinois. The attendance of witnesses, and the |
production of
documentary evidence, may be required from any |
place in the State to a
hearing location in the State before |
the Chairman of the Board or his or her
designated agent or |
agents or any duly constituted Committee or
Subcommittee of the |
|
Board. Witnesses so summoned shall be paid the same
fees and |
mileage that are paid witnesses in the circuit courts of the
|
State, and witnesses whose depositions are taken and the |
persons taking
those depositions are each entitled to the same |
fees as are paid for
like services in actions in the circuit |
courts of the State. Fees and
mileage shall be vouchered for |
payment when the witness is discharged
from further attendance.
|
In case of disobedience to a subpoena, the Board may |
petition any
circuit court of the State for an order requiring |
the attendance and
testimony of witnesses or the production of |
documentary evidence or
both. A copy of such petition shall be |
served by personal service or by
registered or certified mail |
upon the person who has failed to obey the
subpoena, and such |
person shall be advised in writing that a hearing
upon the |
petition will be requested in a court room to be designated in
|
such notice before the judge hearing motions or extraordinary |
remedies
at a specified time, on a specified date, not less |
than 10 nor more than
15 days after the deposit of the copy of |
the written notice and petition
in the U.S. mails addressed to |
the person at his last known address or
after the personal |
service of the copy of the notice and petition upon
such |
person. The court upon the filing of such a petition, may order |
the
person refusing to obey the subpoena to appear at an |
investigation or
hearing, or to there produce documentary |
evidence, if so ordered, or to
give evidence relative to the |
subject matter of that investigation or
hearing. Any failure to |
|
obey such order of the circuit court may be
punished by that |
court as a contempt of court.
|
Each member of the Board and any hearing officer designated |
by the
Board shall have the power to administer oaths and to |
take the testimony
of persons under oath.
|
(g) Except under subsection (a) of this Section, a majority |
of the
members then appointed to the Prisoner Review Board |
shall constitute a
quorum for the transaction of all business |
of the Board.
|
(h) The Prisoner Review Board shall annually transmit to |
the
Director a detailed report of its work for the preceding |
calendar year.
The annual report shall also be transmitted to |
the Governor for
submission to the Legislature.
|
(Source: P.A. 97-697, eff. 6-22-12; 97-1120, eff. 1-1-13; |
97-1150, eff. 1-25-13; 98-399, eff. 8-16-13; 98-558, eff. |
1-1-14; revised 8-28-13.)
|
(730 ILCS 5/3-5-1) (from Ch. 38, par. 1003-5-1)
|
(Text of Section before amendment by P.A. 98-528) |
Sec. 3-5-1. Master Record File.
|
(a) The Department of Corrections and the Department of |
Juvenile Justice shall
maintain a master record file on each |
person committed to it,
which shall contain the following |
information:
|
(1) all information from the committing court;
|
(2) reception summary;
|
|
(3) evaluation and assignment reports and |
recommendations;
|
(4) reports as to program assignment and progress;
|
(5) reports of disciplinary infractions and |
disposition, including tickets and Administrative Review |
Board action;
|
(6) any parole or aftercare release plan;
|
(7) any parole or aftercare release reports;
|
(8) the date and circumstances of final discharge; |
(9) criminal history; |
(10) current and past gang affiliations and ranks; |
(11) information regarding associations and family |
relationships; |
(12) any grievances filed and responses to those |
grievances; and |
(13) other information that the respective Department |
determines is relevant to the secure confinement and |
rehabilitation of the committed person.
|
(b) All files shall be confidential and access shall be
|
limited to authorized personnel of the respective Department.
|
Personnel of other correctional, welfare or law enforcement
|
agencies may have access to files under rules and regulations
|
of the respective Department. The respective Department shall |
keep a record of all
outside personnel who have access to |
files, the files reviewed,
any file material copied, and the |
purpose of access. If the
respective Department or the Prisoner |
|
Review Board makes a determination
under this Code which |
affects the length of the period of
confinement or commitment, |
the committed person and his counsel
shall be advised of |
factual information relied upon by the
respective Department or |
Board to make the determination, provided that
the Department |
or Board shall not be required to advise a
person committed to |
the Department of Juvenile Justice any such information
which |
in the opinion of the Department of Juvenile Justice or Board |
would be
detrimental to his treatment or rehabilitation.
|
(c) The master file shall be maintained at a place
|
convenient to its use by personnel of the respective Department |
in
charge of the person. When custody of a person is |
transferred
from the Department to another department or |
agency, a
summary of the file shall be forwarded to the |
receiving
agency with such other information required by law or
|
requested by the agency under rules and regulations of the
|
respective Department.
|
(d) The master file of a person no longer in the custody
of |
the respective Department shall be placed on inactive status |
and its
use shall be restricted subject to rules and |
regulations of
the Department.
|
(e) All public agencies may make available to the
|
respective Department on request any factual data not otherwise
|
privileged as a matter of law in their possession in respect
to |
individuals committed to the respective Department.
|
(Source: P.A. 97-696, eff. 6-22-12; 98-558, eff. 1-1-14.)
|
|
(Text of Section after amendment by P.A. 98-528) |
Sec. 3-5-1. Master Record File.
|
(a) The Department of Corrections and the Department of |
Juvenile Justice shall
maintain a master record file on each |
person committed to it,
which shall contain the following |
information:
|
(1) all information from the committing court;
|
(1.5) ethnic and racial background data collected in |
accordance with Section 4.5 of the Criminal Identification |
Act;
|
(2) reception summary;
|
(3) evaluation and assignment reports and |
recommendations;
|
(4) reports as to program assignment and progress;
|
(5) reports of disciplinary infractions and |
disposition, including tickets and Administrative Review |
Board action;
|
(6) any parole or aftercare release plan;
|
(7) any parole or aftercare release reports;
|
(8) the date and circumstances of final discharge; |
(9) criminal history; |
(10) current and past gang affiliations and ranks; |
(11) information regarding associations and family |
relationships; |
(12) any grievances filed and responses to those |
|
grievances; and |
(13) other information that the respective Department |
determines is relevant to the secure confinement and |
rehabilitation of the committed person.
|
(b) All files shall be confidential and access shall be
|
limited to authorized personnel of the respective Department.
|
Personnel of other correctional, welfare or law enforcement
|
agencies may have access to files under rules and regulations
|
of the respective Department. The respective Department shall |
keep a record of all
outside personnel who have access to |
files, the files reviewed,
any file material copied, and the |
purpose of access. If the
respective Department or the Prisoner |
Review Board makes a determination
under this Code which |
affects the length of the period of
confinement or commitment, |
the committed person and his counsel
shall be advised of |
factual information relied upon by the
respective Department or |
Board to make the determination, provided that
the Department |
or Board shall not be required to advise a
person committed to |
the Department of Juvenile Justice any such information
which |
in the opinion of the Department of Juvenile Justice or Board |
would be
detrimental to his treatment or rehabilitation.
|
(c) The master file shall be maintained at a place
|
convenient to its use by personnel of the respective Department |
in
charge of the person. When custody of a person is |
transferred
from the Department to another department or |
agency, a
summary of the file shall be forwarded to the |
|
receiving
agency with such other information required by law or
|
requested by the agency under rules and regulations of the
|
respective Department.
|
(d) The master file of a person no longer in the custody
of |
the respective Department shall be placed on inactive status |
and its
use shall be restricted subject to rules and |
regulations of
the Department.
|
(e) All public agencies may make available to the
|
respective Department on request any factual data not otherwise
|
privileged as a matter of law in their possession in respect
to |
individuals committed to the respective Department.
|
(Source: P.A. 97-696, eff. 6-22-12; 98-528, eff. 1-1-15; |
98-558, eff. 1-1-14; revised 9-24-13.)
|
(730 ILCS 5/5-5-3) (from Ch. 38, par. 1005-5-3)
|
Sec. 5-5-3. Disposition.
|
(a) (Blank).
|
(b) (Blank).
|
(c) (1) (Blank).
|
(2) A period of probation, a term of periodic |
imprisonment or
conditional discharge shall not be imposed |
for the following offenses.
The court shall sentence the |
offender to not less than the minimum term
of imprisonment |
set forth in this Code for the following offenses, and
may |
order a fine or restitution or both in conjunction with |
such term of
imprisonment:
|
|
(A) First degree murder where the death penalty is |
not imposed.
|
(B) Attempted first degree murder.
|
(C) A Class X felony.
|
(D) A violation of Section 401.1 or 407 of the
|
Illinois Controlled Substances Act, or a violation of |
subdivision (c)(1.5) or
(c)(2) of
Section 401 of that |
Act which relates to more than 5 grams of a substance
|
containing cocaine, fentanyl, or an analog thereof.
|
(D-5) A violation of subdivision (c)(1) of
Section |
401 of the Illinois Controlled Substances Act which |
relates to 3 or more grams of a substance
containing |
heroin or an analog thereof.
|
(E) A violation of Section 5.1 or 9 of the Cannabis |
Control
Act.
|
(F) A Class 2 or greater felony if the offender had |
been convicted
of a Class 2 or greater felony, |
including any state or federal conviction for an |
offense that contained, at the time it was committed, |
the same elements as an offense now (the date of the |
offense committed after the prior Class 2 or greater |
felony) classified as a Class 2 or greater felony, |
within 10 years of the date on which the
offender
|
committed the offense for which he or she is being |
sentenced, except as
otherwise provided in Section |
40-10 of the Alcoholism and Other Drug Abuse and
|
|
Dependency Act.
|
(F-5) A violation of Section 24-1, 24-1.1, or |
24-1.6 of the Criminal Code of 1961 or the Criminal |
Code of 2012 for which imprisonment is prescribed in |
those Sections.
|
(G) Residential burglary, except as otherwise |
provided in Section 40-10
of the Alcoholism and Other |
Drug Abuse and Dependency Act.
|
(H) Criminal sexual assault.
|
(I) Aggravated battery of a senior citizen as |
described in Section 12-4.6 or subdivision (a)(4) of |
Section 12-3.05 of the Criminal Code of 1961 or the |
Criminal Code of 2012.
|
(J) A forcible felony if the offense was related to |
the activities of an
organized gang.
|
Before July 1, 1994, for the purposes of this |
paragraph, "organized
gang" means an association of 5 |
or more persons, with an established hierarchy,
that |
encourages members of the association to perpetrate |
crimes or provides
support to the members of the |
association who do commit crimes.
|
Beginning July 1, 1994, for the purposes of this |
paragraph,
"organized gang" has the meaning ascribed |
to it in Section 10 of the Illinois
Streetgang |
Terrorism Omnibus Prevention Act.
|
(K) Vehicular hijacking.
|
|
(L) A second or subsequent conviction for the |
offense of hate crime
when the underlying offense upon |
which the hate crime is based is felony
aggravated
|
assault or felony mob action.
|
(M) A second or subsequent conviction for the |
offense of institutional
vandalism if the damage to the |
property exceeds $300.
|
(N) A Class 3 felony violation of paragraph (1) of |
subsection (a) of
Section 2 of the Firearm Owners |
Identification Card Act.
|
(O) A violation of Section 12-6.1 or 12-6.5 of the |
Criminal Code of 1961 or the Criminal Code of 2012.
|
(P) A violation of paragraph (1), (2), (3), (4), |
(5), or (7) of
subsection (a)
of Section 11-20.1 of the |
Criminal Code of 1961 or the Criminal Code of 2012.
|
(Q) A violation of subsection (b) or (b-5) of |
Section 20-1, Section 20-1.2, or Section 20-1.3 of the |
Criminal Code of
1961 or the Criminal Code of 2012.
|
(R) A violation of Section 24-3A of the Criminal |
Code of
1961 or the Criminal Code of 2012.
|
(S) (Blank).
|
(T) A second or subsequent violation of the |
Methamphetamine Control and Community Protection Act.
|
(U) A second or subsequent violation of Section |
6-303 of the Illinois Vehicle Code committed while his |
or her driver's license, permit, or privilege was |
|
revoked because of a violation of Section 9-3 of the |
Criminal Code of 1961 or the Criminal Code of 2012, |
relating to the offense of reckless homicide, or a |
similar provision of a law of another state.
|
(V)
A violation of paragraph (4) of subsection (c) |
of Section 11-20.1B or paragraph (4) of subsection (c) |
of Section 11-20.3 of the Criminal Code of 1961, or |
paragraph (6) of subsection (a) of Section 11-20.1 of |
the Criminal Code of 2012 when the victim is under 13 |
years of age and the defendant has previously been |
convicted under the laws of this State or any other |
state of the offense of child pornography, aggravated |
child pornography, aggravated criminal sexual abuse, |
aggravated criminal sexual assault, predatory criminal |
sexual assault of a child, or any of the offenses |
formerly known as rape, deviate sexual assault, |
indecent liberties with a child, or aggravated |
indecent liberties with a child where the victim was |
under the age of 18 years or an offense that is |
substantially equivalent to those offenses. |
(W) A violation of Section 24-3.5 of the Criminal |
Code of 1961 or the Criminal Code of 2012.
|
(X) A violation of subsection (a) of Section 31-1a |
of the Criminal Code of 1961 or the Criminal Code of |
2012. |
(Y) A conviction for unlawful possession of a |
|
firearm by a street gang member when the firearm was |
loaded or contained firearm ammunition. |
(Z) A Class 1 felony committed while he or she was |
serving a term of probation or conditional discharge |
for a felony. |
(AA) Theft of property exceeding $500,000 and not |
exceeding $1,000,000 in value. |
(BB) Laundering of criminally derived property of |
a value exceeding
$500,000. |
(CC) Knowingly selling, offering for sale, holding |
for sale, or using 2,000 or more counterfeit items or |
counterfeit items having a retail value in the |
aggregate of $500,000 or more. |
(DD) A conviction for aggravated assault under |
paragraph (6) of subsection (c) of Section 12-2 of the |
Criminal Code of 1961 or the Criminal Code of 2012 if |
the firearm is aimed toward the person against whom the |
firearm is being used.
|
(3) (Blank).
|
(4) A minimum term of imprisonment of not less than 10
|
consecutive days or 30 days of community service shall be |
imposed for a
violation of paragraph (c) of Section 6-303 |
of the Illinois Vehicle Code.
|
(4.1) (Blank).
|
(4.2) Except as provided in paragraphs (4.3) and (4.8) |
of this subsection (c), a
minimum of
100 hours of community |
|
service shall be imposed for a second violation of
Section |
6-303
of the Illinois Vehicle Code.
|
(4.3) A minimum term of imprisonment of 30 days or 300 |
hours of community
service, as determined by the court, |
shall
be imposed for a second violation of subsection (c) |
of Section 6-303 of the
Illinois Vehicle Code.
|
(4.4) Except as provided in paragraphs
(4.5), (4.6), |
and (4.9) of this
subsection (c), a
minimum term of |
imprisonment of 30 days or 300 hours of community service, |
as
determined by the court, shall
be imposed
for a third or |
subsequent violation of Section 6-303 of the Illinois |
Vehicle
Code.
|
(4.5) A minimum term of imprisonment of 30 days
shall |
be imposed for a third violation of subsection (c) of
|
Section 6-303 of the Illinois Vehicle Code.
|
(4.6) Except as provided in paragraph (4.10) of this |
subsection (c), a minimum term of imprisonment of 180 days |
shall be imposed for a
fourth or subsequent violation of |
subsection (c) of Section 6-303 of the
Illinois Vehicle |
Code.
|
(4.7) A minimum term of imprisonment of not less than |
30 consecutive days, or 300 hours of community service, |
shall be imposed for a violation of subsection (a-5) of |
Section 6-303 of the Illinois Vehicle Code, as provided in |
subsection (b-5) of that Section.
|
(4.8) A mandatory prison sentence shall be imposed for |
|
a second violation of subsection (a-5) of Section 6-303 of |
the Illinois Vehicle Code, as provided in subsection (c-5) |
of that Section. The person's driving privileges shall be |
revoked for a period of not less than 5 years from the date |
of his or her release from prison.
|
(4.9) A mandatory prison sentence of not less than 4 |
and not more than 15 years shall be imposed for a third |
violation of subsection (a-5) of Section 6-303 of the |
Illinois Vehicle Code, as provided in subsection (d-2.5) of |
that Section. The person's driving privileges shall be |
revoked for the remainder of his or her life.
|
(4.10) A mandatory prison sentence for a Class 1 felony |
shall be imposed, and the person shall be eligible for an |
extended term sentence, for a fourth or subsequent |
violation of subsection (a-5) of Section 6-303 of the |
Illinois Vehicle Code, as provided in subsection (d-3.5) of |
that Section. The person's driving privileges shall be |
revoked for the remainder of his or her life.
|
(5) The court may sentence a corporation or |
unincorporated
association convicted of any offense to:
|
(A) a period of conditional discharge;
|
(B) a fine;
|
(C) make restitution to the victim under Section |
5-5-6 of this Code.
|
(5.1) In addition to any other penalties imposed, and |
except as provided in paragraph (5.2) or (5.3), a person
|
|
convicted of violating subsection (c) of Section 11-907 of |
the Illinois
Vehicle Code shall have his or her driver's |
license, permit, or privileges
suspended for at least 90 |
days but not more than one year, if the violation
resulted |
in damage to the property of another person.
|
(5.2) In addition to any other penalties imposed, and |
except as provided in paragraph (5.3), a person convicted
|
of violating subsection (c) of Section 11-907 of the |
Illinois Vehicle Code
shall have his or her driver's |
license, permit, or privileges suspended for at
least 180 |
days but not more than 2 years, if the violation resulted |
in injury
to
another person.
|
(5.3) In addition to any other penalties imposed, a |
person convicted of violating subsection (c) of Section
|
11-907 of the Illinois Vehicle Code shall have his or her |
driver's license,
permit, or privileges suspended for 2 |
years, if the violation resulted in the
death of another |
person.
|
(5.4) In addition to any other penalties imposed, a |
person convicted of violating Section 3-707 of the Illinois |
Vehicle Code shall have his or her driver's license, |
permit, or privileges suspended for 3 months and until he |
or she has paid a reinstatement fee of $100. |
(5.5) In addition to any other penalties imposed, a |
person convicted of violating Section 3-707 of the Illinois |
Vehicle Code during a period in which his or her driver's |
|
license, permit, or privileges were suspended for a |
previous violation of that Section shall have his or her |
driver's license, permit, or privileges suspended for an |
additional 6 months after the expiration of the original |
3-month suspension and until he or she has paid a |
reinstatement fee of $100.
|
(6) (Blank).
|
(7) (Blank).
|
(8) (Blank).
|
(9) A defendant convicted of a second or subsequent |
offense of ritualized
abuse of a child may be sentenced to |
a term of natural life imprisonment.
|
(10) (Blank).
|
(11) The court shall impose a minimum fine of $1,000 |
for a first offense
and $2,000 for a second or subsequent |
offense upon a person convicted of or
placed on supervision |
for battery when the individual harmed was a sports
|
official or coach at any level of competition and the act |
causing harm to the
sports
official or coach occurred |
within an athletic facility or within the immediate |
vicinity
of the athletic facility at which the sports |
official or coach was an active
participant
of the athletic |
contest held at the athletic facility. For the purposes of
|
this paragraph (11), "sports official" means a person at an |
athletic contest
who enforces the rules of the contest, |
such as an umpire or referee; "athletic facility" means an |
|
indoor or outdoor playing field or recreational area where |
sports activities are conducted;
and "coach" means a person |
recognized as a coach by the sanctioning
authority that |
conducted the sporting event. |
(12) A person may not receive a disposition of court |
supervision for a
violation of Section 5-16 of the Boat |
Registration and Safety Act if that
person has previously |
received a disposition of court supervision for a
violation |
of that Section.
|
(13) A person convicted of or placed on court |
supervision for an assault or aggravated assault when the |
victim and the offender are family or household members as |
defined in Section 103 of the Illinois Domestic Violence |
Act of 1986 or convicted of domestic battery or aggravated |
domestic battery may be required to attend a Partner Abuse |
Intervention Program under protocols set forth by the |
Illinois Department of Human Services under such terms and |
conditions imposed by the court. The costs of such classes |
shall be paid by the offender.
|
(d) In any case in which a sentence originally imposed is |
vacated,
the case shall be remanded to the trial court. The |
trial court shall
hold a hearing under Section 5-4-1 of the |
Unified Code of Corrections
which may include evidence of the |
defendant's life, moral character and
occupation during the |
time since the original sentence was passed. The
trial court |
shall then impose sentence upon the defendant. The trial
court |
|
may impose any sentence which could have been imposed at the
|
original trial subject to Section 5-5-4 of the Unified Code of |
Corrections.
If a sentence is vacated on appeal or on |
collateral attack due to the
failure of the trier of fact at |
trial to determine beyond a reasonable doubt
the
existence of a |
fact (other than a prior conviction) necessary to increase the
|
punishment for the offense beyond the statutory maximum |
otherwise applicable,
either the defendant may be re-sentenced |
to a term within the range otherwise
provided or, if the State |
files notice of its intention to again seek the
extended |
sentence, the defendant shall be afforded a new trial.
|
(e) In cases where prosecution for
aggravated criminal |
sexual abuse under Section 11-1.60 or 12-16 of the
Criminal |
Code of 1961 or the Criminal Code of 2012 results in conviction |
of a defendant
who was a family member of the victim at the |
time of the commission of the
offense, the court shall consider |
the safety and welfare of the victim and
may impose a sentence |
of probation only where:
|
(1) the court finds (A) or (B) or both are appropriate:
|
(A) the defendant is willing to undergo a court |
approved counseling
program for a minimum duration of 2 |
years; or
|
(B) the defendant is willing to participate in a |
court approved plan
including but not limited to the |
defendant's:
|
(i) removal from the household;
|
|
(ii) restricted contact with the victim;
|
(iii) continued financial support of the |
family;
|
(iv) restitution for harm done to the victim; |
and
|
(v) compliance with any other measures that |
the court may
deem appropriate; and
|
(2) the court orders the defendant to pay for the |
victim's counseling
services, to the extent that the court |
finds, after considering the
defendant's income and |
assets, that the defendant is financially capable of
paying |
for such services, if the victim was under 18 years of age |
at the
time the offense was committed and requires |
counseling as a result of the
offense.
|
Probation may be revoked or modified pursuant to Section |
5-6-4; except
where the court determines at the hearing that |
the defendant violated a
condition of his or her probation |
restricting contact with the victim or
other family members or |
commits another offense with the victim or other
family |
members, the court shall revoke the defendant's probation and
|
impose a term of imprisonment.
|
For the purposes of this Section, "family member" and |
"victim" shall have
the meanings ascribed to them in Section |
11-0.1 of the Criminal Code of
2012.
|
(f) (Blank).
|
(g) Whenever a defendant is convicted of an offense under |
|
Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
11-14, |
11-14.3, 11-14.4 except for an offense that involves keeping a |
place of juvenile prostitution, 11-15, 11-15.1, 11-16, 11-17, |
11-18, 11-18.1, 11-19, 11-19.1, 11-19.2,
12-13, 12-14, |
12-14.1, 12-15 or 12-16 of the Criminal Code of 1961 or the |
Criminal Code of 2012,
the defendant shall undergo medical |
testing to
determine whether the defendant has any sexually |
transmissible disease,
including a test for infection with |
human immunodeficiency virus (HIV) or
any other identified |
causative agent of acquired immunodeficiency syndrome
(AIDS). |
Any such medical test shall be performed only by appropriately
|
licensed medical practitioners and may include an analysis of |
any bodily
fluids as well as an examination of the defendant's |
person.
Except as otherwise provided by law, the results of |
such test shall be kept
strictly confidential by all medical |
personnel involved in the testing and must
be personally |
delivered in a sealed envelope to the judge of the court in |
which
the conviction was entered for the judge's inspection in |
camera. Acting in
accordance with the best interests of the |
victim and the public, the judge
shall have the discretion to |
determine to whom, if anyone, the results of the
testing may be |
revealed. The court shall notify the defendant
of the test |
results. The court shall
also notify the victim if requested by |
the victim, and if the victim is under
the age of 15 and if |
requested by the victim's parents or legal guardian, the
court |
shall notify the victim's parents or legal guardian of the test
|
|
results.
The court shall provide information on the |
availability of HIV testing
and counseling at Department of |
Public Health facilities to all parties to
whom the results of |
the testing are revealed and shall direct the State's
Attorney |
to provide the information to the victim when possible.
A |
State's Attorney may petition the court to obtain the results |
of any HIV test
administered under this Section, and the court |
shall grant the disclosure if
the State's Attorney shows it is |
relevant in order to prosecute a charge of
criminal |
transmission of HIV under Section 12-5.01 or 12-16.2 of the |
Criminal Code of 1961 or the Criminal Code of 2012
against the |
defendant. The court shall order that the cost of any such test
|
shall be paid by the county and may be taxed as costs against |
the convicted
defendant.
|
(g-5) When an inmate is tested for an airborne communicable |
disease, as
determined by the Illinois Department of Public |
Health including but not
limited to tuberculosis, the results |
of the test shall be
personally delivered by the warden or his |
or her designee in a sealed envelope
to the judge of the court |
in which the inmate must appear for the judge's
inspection in |
camera if requested by the judge. Acting in accordance with the
|
best interests of those in the courtroom, the judge shall have |
the discretion
to determine what if any precautions need to be |
taken to prevent transmission
of the disease in the courtroom.
|
(h) Whenever a defendant is convicted of an offense under |
Section 1 or 2
of the Hypodermic Syringes and Needles Act, the |
|
defendant shall undergo
medical testing to determine whether |
the defendant has been exposed to human
immunodeficiency virus |
(HIV) or any other identified causative agent of
acquired |
immunodeficiency syndrome (AIDS). Except as otherwise provided |
by
law, the results of such test shall be kept strictly |
confidential by all
medical personnel involved in the testing |
and must be personally delivered in a
sealed envelope to the |
judge of the court in which the conviction was entered
for the |
judge's inspection in camera. Acting in accordance with the |
best
interests of the public, the judge shall have the |
discretion to determine to
whom, if anyone, the results of the |
testing may be revealed. The court shall
notify the defendant |
of a positive test showing an infection with the human
|
immunodeficiency virus (HIV). The court shall provide |
information on the
availability of HIV testing and counseling |
at Department of Public Health
facilities to all parties to |
whom the results of the testing are revealed and
shall direct |
the State's Attorney to provide the information to the victim |
when
possible. A State's Attorney may petition the court to |
obtain the results of
any HIV test administered under this |
Section, and the court shall grant the
disclosure if the |
State's Attorney shows it is relevant in order to prosecute a
|
charge of criminal transmission of HIV under Section 12-5.01 or |
12-16.2 of the Criminal
Code of 1961 or the Criminal Code of |
2012 against the defendant. The court shall order that the cost |
of any
such test shall be paid by the county and may be taxed as |
|
costs against the
convicted defendant.
|
(i) All fines and penalties imposed under this Section for |
any violation
of Chapters 3, 4, 6, and 11 of the Illinois |
Vehicle Code, or a similar
provision of a local ordinance, and |
any violation
of the Child Passenger Protection Act, or a |
similar provision of a local
ordinance, shall be collected and |
disbursed by the circuit
clerk as provided under Section 27.5 |
of the Clerks of Courts Act.
|
(j) In cases when prosecution for any violation of Section |
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-8,
11-9, |
11-11, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17, |
11-17.1, 11-18, 11-18.1,
11-19, 11-19.1, 11-19.2, 11-20.1, |
11-20.1B, 11-20.3, 11-21, 11-30, 11-40, 12-13, 12-14, 12-14.1, |
12-15, or
12-16 of the
Criminal Code of 1961 or the Criminal |
Code of 2012, any violation of the Illinois Controlled |
Substances Act,
any violation of the Cannabis Control Act, or |
any violation of the Methamphetamine Control and Community |
Protection Act results in conviction, a
disposition of court |
supervision, or an order of probation granted under
Section 10 |
of the Cannabis Control Act, Section 410 of the Illinois
|
Controlled Substances Substance Act, or Section 70 of the |
Methamphetamine Control and Community Protection Act of a |
defendant, the court shall determine whether the
defendant is |
employed by a facility or center as defined under the Child |
Care
Act of 1969, a public or private elementary or secondary |
school, or otherwise
works with children under 18 years of age |
|
on a daily basis. When a defendant
is so employed, the court |
shall order the Clerk of the Court to send a copy of
the |
judgment of conviction or order of supervision or probation to |
the
defendant's employer by certified mail.
If the employer of |
the defendant is a school, the Clerk of the Court shall
direct |
the mailing of a copy of the judgment of conviction or order of
|
supervision or probation to the appropriate regional |
superintendent of schools.
The regional superintendent of |
schools shall notify the State Board of
Education of any |
notification under this subsection.
|
(j-5) A defendant at least 17 years of age who is convicted |
of a felony and
who has not been previously convicted of a |
misdemeanor or felony and who is
sentenced to a term of |
imprisonment in the Illinois Department of Corrections
shall as |
a condition of his or her sentence be required by the court to |
attend
educational courses designed to prepare the defendant |
for a high school diploma
and to work toward a high school |
diploma or to work toward passing the high
school level Test of |
General Educational Development (GED) or to work toward
|
completing a vocational training program offered by the |
Department of
Corrections. If a defendant fails to complete the |
educational training
required by his or her sentence during the |
term of incarceration, the Prisoner
Review Board shall, as a |
condition of mandatory supervised release, require the
|
defendant, at his or her own expense, to pursue a course of |
study toward a high
school diploma or passage of the GED test. |
|
The Prisoner Review Board shall
revoke the mandatory supervised |
release of a defendant who wilfully fails to
comply with this |
subsection (j-5) upon his or her release from confinement in a
|
penal institution while serving a mandatory supervised release |
term; however,
the inability of the defendant after making a |
good faith effort to obtain
financial aid or pay for the |
educational training shall not be deemed a wilful
failure to |
comply. The Prisoner Review Board shall recommit the defendant
|
whose mandatory supervised release term has been revoked under |
this subsection
(j-5) as provided in Section 3-3-9. This |
subsection (j-5) does not apply to a
defendant who has a high |
school diploma or has successfully passed the GED
test. This |
subsection (j-5) does not apply to a defendant who is |
determined by
the court to be developmentally disabled or |
otherwise mentally incapable of
completing the educational or |
vocational program.
|
(k) (Blank).
|
(l) (A) Except as provided
in paragraph (C) of subsection |
(l), whenever a defendant,
who is an alien as defined by |
the Immigration and Nationality Act, is convicted
of any |
felony or misdemeanor offense, the court after sentencing |
the defendant
may, upon motion of the State's Attorney, |
hold sentence in abeyance and remand
the defendant to the |
custody of the Attorney General of
the United States or his |
or her designated agent to be deported when:
|
(1) a final order of deportation has been issued |
|
against the defendant
pursuant to proceedings under |
the Immigration and Nationality Act, and
|
(2) the deportation of the defendant would not |
deprecate the seriousness
of the defendant's conduct |
and would not be inconsistent with the ends of
justice.
|
Otherwise, the defendant shall be sentenced as |
provided in this Chapter V.
|
(B) If the defendant has already been sentenced for a |
felony or
misdemeanor
offense, or has been placed on |
probation under Section 10 of the Cannabis
Control Act,
|
Section 410 of the Illinois Controlled Substances Act, or |
Section 70 of the Methamphetamine Control and Community |
Protection Act, the court
may, upon motion of the State's |
Attorney to suspend the
sentence imposed, commit the |
defendant to the custody of the Attorney General
of the |
United States or his or her designated agent when:
|
(1) a final order of deportation has been issued |
against the defendant
pursuant to proceedings under |
the Immigration and Nationality Act, and
|
(2) the deportation of the defendant would not |
deprecate the seriousness
of the defendant's conduct |
and would not be inconsistent with the ends of
justice.
|
(C) This subsection (l) does not apply to offenders who |
are subject to the
provisions of paragraph (2) of |
subsection (a) of Section 3-6-3.
|
(D) Upon motion of the State's Attorney, if a defendant |
|
sentenced under
this Section returns to the jurisdiction of |
the United States, the defendant
shall be recommitted to |
the custody of the county from which he or she was
|
sentenced.
Thereafter, the defendant shall be brought |
before the sentencing court, which
may impose any sentence |
that was available under Section 5-5-3 at the time of
|
initial sentencing. In addition, the defendant shall not be |
eligible for
additional sentence credit for good conduct as |
provided under
Section 3-6-3.
|
(m) A person convicted of criminal defacement of property |
under Section
21-1.3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, in which the property damage exceeds |
$300
and the property damaged is a school building, shall be |
ordered to perform
community service that may include cleanup, |
removal, or painting over the
defacement.
|
(n) The court may sentence a person convicted of a |
violation of Section
12-19, 12-21, 16-1.3, or 17-56, or |
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code |
of 1961 or the Criminal Code of 2012 (i) to an impact
|
incarceration program if the person is otherwise eligible for |
that program
under Section 5-8-1.1, (ii) to community service, |
or (iii) if the person is an
addict or alcoholic, as defined in |
the Alcoholism and Other Drug Abuse and
Dependency Act, to a |
substance or alcohol abuse program licensed under that
Act. |
(o) Whenever a person is convicted of a sex offense as |
defined in Section 2 of the Sex Offender Registration Act, the |
|
defendant's driver's license or permit shall be subject to |
renewal on an annual basis in accordance with the provisions of |
license renewal established by the Secretary of State.
|
(Source: P.A. 96-348, eff. 8-12-09; 96-400, eff. 8-13-09; |
96-829, eff. 12-3-09; 96-1200, eff. 7-22-10; 96-1551, Article |
1, Section 970, eff. 7-1-11; 96-1551, Article 2, Section 1065, |
eff. 7-1-11; 96-1551, Article 10, Section 10-150, eff. 7-1-11; |
97-159, eff. 7-21-11; 97-697, eff. 6-22-12; 97-917, eff. |
8-9-12; 97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; 97-1150, |
eff. 1-25-13; revised 11-12-13.)
|
(730 ILCS 5/5-5-3.2)
|
Sec. 5-5-3.2. Factors in Aggravation and Extended-Term |
Sentencing.
|
(a) The following factors shall be accorded weight in favor |
of
imposing a term of imprisonment or may be considered by the |
court as reasons
to impose a more severe sentence under Section |
5-8-1 or Article 4.5 of Chapter V:
|
(1) the defendant's conduct caused or threatened |
serious harm;
|
(2) the defendant received compensation for committing |
the offense;
|
(3) the defendant has a history of prior delinquency or |
criminal activity;
|
(4) the defendant, by the duties of his office or by |
his position,
was obliged to prevent the particular offense |
|
committed or to bring
the offenders committing it to |
justice;
|
(5) the defendant held public office at the time of the |
offense,
and the offense related to the conduct of that |
office;
|
(6) the defendant utilized his professional reputation |
or
position in the community to commit the offense, or to |
afford
him an easier means of committing it;
|
(7) the sentence is necessary to deter others from |
committing
the same crime;
|
(8) the defendant committed the offense against a |
person 60 years of age
or older or such person's property;
|
(9) the defendant committed the offense against a |
person who is
physically handicapped or such person's |
property;
|
(10) by reason of another individual's actual or |
perceived race, color,
creed, religion, ancestry, gender, |
sexual orientation, physical or mental
disability, or |
national origin, the defendant committed the offense |
against (i)
the person or property
of that individual; (ii) |
the person or property of a person who has an
association |
with, is married to, or has a friendship with the other |
individual;
or (iii) the person or property of a relative |
(by blood or marriage) of a
person described in clause (i) |
or (ii). For the purposes of this Section,
"sexual |
orientation" means heterosexuality, homosexuality, or |
|
bisexuality;
|
(11) the offense took place in a place of worship or on |
the
grounds of a place of worship, immediately prior to, |
during or immediately
following worship services. For |
purposes of this subparagraph, "place of
worship" shall |
mean any church, synagogue or other building, structure or
|
place used primarily for religious worship;
|
(12) the defendant was convicted of a felony committed |
while he was
released on bail or his own recognizance |
pending trial for a prior felony
and was convicted of such |
prior felony, or the defendant was convicted of a
felony |
committed while he was serving a period of probation,
|
conditional discharge, or mandatory supervised release |
under subsection (d)
of Section 5-8-1
for a prior felony;
|
(13) the defendant committed or attempted to commit a |
felony while he
was wearing a bulletproof vest. For the |
purposes of this paragraph (13), a
bulletproof vest is any |
device which is designed for the purpose of
protecting the |
wearer from bullets, shot or other lethal projectiles;
|
(14) the defendant held a position of trust or |
supervision such as, but
not limited to, family member as |
defined in Section 11-0.1 of the Criminal Code
of 2012, |
teacher, scout leader, baby sitter, or day care worker, in
|
relation to a victim under 18 years of age, and the |
defendant committed an
offense in violation of Section |
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11, |
|
11-14.4 except for an offense that involves keeping a place |
of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
|
11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15 |
or 12-16 of the Criminal Code of 1961 or the Criminal Code |
of 2012
against
that victim;
|
(15) the defendant committed an offense related to the |
activities of an
organized gang. For the purposes of this |
factor, "organized gang" has the
meaning ascribed to it in |
Section 10 of the Streetgang Terrorism Omnibus
Prevention |
Act;
|
(16) the defendant committed an offense in violation of |
one of the
following Sections while in a school, regardless |
of the time of day or time of
year; on any conveyance |
owned, leased, or contracted by a school to transport
|
students to or from school or a school related activity; on |
the real property
of a school; or on a public way within |
1,000 feet of the real property
comprising any school: |
Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40, |
11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1,
|
11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, 12-4.3, |
12-6, 12-6.1, 12-6.5, 12-13,
12-14, 12-14.1, 12-15, 12-16, |
18-2, or 33A-2, or Section 12-3.05 except for subdivision |
(a)(4) or (g)(1), of the Criminal Code of
1961 or the |
Criminal Code of 2012;
|
(16.5) the defendant committed an offense in violation |
of one of the
following Sections while in a day care |
|
center, regardless of the time of day or
time of year; on |
the real property of a day care center, regardless of the |
time
of day or time of year; or on a public
way within |
1,000 feet of the real property comprising any day care |
center,
regardless of the time of day or time of year:
|
Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40, |
11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1, |
11-19.1, 11-19.2, 12-2,
12-4, 12-4.1, 12-4.2, 12-4.3, |
12-6,
12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16, |
18-2, or 33A-2, or Section 12-3.05 except for subdivision |
(a)(4) or (g)(1), of the Criminal
Code of 1961 or the |
Criminal Code of 2012;
|
(17) the defendant committed the offense by reason of |
any person's
activity as a community policing volunteer or |
to prevent any person from
engaging in activity as a |
community policing volunteer. For the purpose of
this |
Section, "community policing volunteer" has the meaning |
ascribed to it in
Section 2-3.5 of the Criminal Code of |
2012;
|
(18) the defendant committed the offense in a nursing |
home or on the
real
property comprising a nursing home. For |
the purposes of this paragraph (18),
"nursing home" means a |
skilled nursing
or intermediate long term care facility |
that is subject to license by the
Illinois Department of |
Public Health under the Nursing Home Care
Act, the |
Specialized Mental Health Rehabilitation Act of 2013, or |
|
the ID/DD Community Care Act;
|
(19) the defendant was a federally licensed firearm |
dealer
and
was
previously convicted of a violation of |
subsection (a) of Section 3 of the
Firearm Owners |
Identification Card Act and has now committed either a |
felony
violation
of the Firearm Owners Identification Card |
Act or an act of armed violence while
armed
with a firearm; |
(20) the defendant (i) committed the offense of |
reckless homicide under Section 9-3 of the Criminal Code of |
1961 or the Criminal Code of 2012 or the offense of driving |
under the influence of alcohol, other drug or
drugs, |
intoxicating compound or compounds or any combination |
thereof under Section 11-501 of the Illinois Vehicle Code |
or a similar provision of a local ordinance and (ii) was |
operating a motor vehicle in excess of 20 miles per hour |
over the posted speed limit as provided in Article VI of |
Chapter 11 of the Illinois Vehicle Code;
|
(21) the defendant (i) committed the offense of |
reckless driving or aggravated reckless driving under |
Section 11-503 of the Illinois Vehicle Code and (ii) was |
operating a motor vehicle in excess of 20 miles per hour |
over the posted speed limit as provided in Article VI of |
Chapter 11 of the Illinois Vehicle Code; |
(22) the defendant committed the offense against a |
person that the defendant knew, or reasonably should have |
known, was a member of the Armed Forces of the United |
|
States serving on active duty. For purposes of this clause |
(22), the term "Armed Forces" means any of the Armed Forces |
of the United States, including a member of any reserve |
component thereof or National Guard unit called to active |
duty;
|
(23)
the defendant committed the offense against a |
person who was elderly, disabled, or infirm by taking |
advantage of a family or fiduciary relationship with the |
elderly, disabled, or infirm person;
|
(24)
the defendant committed any offense under Section |
11-20.1 of the Criminal Code of 1961 or the Criminal Code |
of 2012 and possessed 100 or more images;
|
(25) the defendant committed the offense while the |
defendant or the victim was in a train, bus, or other |
vehicle used for public transportation; |
(26) the defendant committed the offense of child |
pornography or aggravated child pornography, specifically |
including paragraph (1), (2), (3), (4), (5), or (7) of |
subsection (a) of Section 11-20.1 of the Criminal Code of |
1961 or the Criminal Code of 2012 where a child engaged in, |
solicited for, depicted in, or posed in any act of sexual |
penetration or bound, fettered, or subject to sadistic, |
masochistic, or sadomasochistic abuse in a sexual context |
and specifically including paragraph (1), (2), (3), (4), |
(5), or (7) of subsection (a) of Section 11-20.1B or |
Section 11-20.3 of the Criminal Code of 1961 where a child |
|
engaged in, solicited for, depicted in, or posed in any act |
of sexual penetration or bound, fettered, or subject to |
sadistic, masochistic, or sadomasochistic abuse in a |
sexual context; |
(27) the defendant committed the offense of first |
degree murder, assault, aggravated assault, battery, |
aggravated battery, robbery, armed robbery, or aggravated |
robbery against a person who was a veteran and the |
defendant knew, or reasonably should have known, that the |
person was a veteran performing duties as a representative |
of a veterans' organization. For the purposes of this |
paragraph (27), "veteran" means an Illinois resident who |
has served as a member of the United States Armed Forces, a |
member of the Illinois National Guard, or a member of the |
United States Reserve Forces; and "veterans' organization" |
means an organization comprised of members of
which |
substantially all are individuals who are veterans or |
spouses,
widows, or widowers of veterans, the primary |
purpose of which is to
promote the welfare of its members |
and to provide assistance to the general
public in such a |
way as to confer a public benefit; or |
(28) the defendant committed the offense of assault, |
aggravated assault, battery, aggravated battery, robbery, |
armed robbery, or aggravated robbery against a person that |
the defendant knew or reasonably should have known was a |
letter carrier or postal worker while that person was |
|
performing his or her duties delivering mail for the United |
States Postal Service. |
For the purposes of this Section:
|
"School" is defined as a public or private
elementary or |
secondary school, community college, college, or university.
|
"Day care center" means a public or private State certified |
and
licensed day care center as defined in Section 2.09 of the |
Child Care Act of
1969 that displays a sign in plain view |
stating that the
property is a day care center.
|
"Public transportation" means the transportation
or |
conveyance of persons by means available to the general public, |
and includes paratransit services. |
(b) The following factors, related to all felonies, may be |
considered by the court as
reasons to impose an extended term |
sentence under Section 5-8-2
upon any offender:
|
(1) When a defendant is convicted of any felony, after |
having
been previously convicted in Illinois or any other |
jurisdiction of the
same or similar class felony or greater |
class felony, when such conviction
has occurred within 10 |
years after the
previous conviction, excluding time spent |
in custody, and such charges are
separately brought and |
tried and arise out of different series of acts; or
|
(2) When a defendant is convicted of any felony and the |
court
finds that the offense was accompanied by |
exceptionally brutal
or heinous behavior indicative of |
wanton cruelty; or
|
|
(3) When a defendant is convicted of any felony |
committed against:
|
(i) a person under 12 years of age at the time of |
the offense or such
person's property;
|
(ii) a person 60 years of age or older at the time |
of the offense or
such person's property; or
|
(iii) a person physically handicapped at the time |
of the offense or
such person's property; or
|
(4) When a defendant is convicted of any felony and the |
offense
involved any of the following types of specific |
misconduct committed as
part of a ceremony, rite, |
initiation, observance, performance, practice or
activity |
of any actual or ostensible religious, fraternal, or social |
group:
|
(i) the brutalizing or torturing of humans or |
animals;
|
(ii) the theft of human corpses;
|
(iii) the kidnapping of humans;
|
(iv) the desecration of any cemetery, religious, |
fraternal, business,
governmental, educational, or |
other building or property; or
|
(v) ritualized abuse of a child; or
|
(5) When a defendant is convicted of a felony other |
than conspiracy and
the court finds that
the felony was |
committed under an agreement with 2 or more other persons
|
to commit that offense and the defendant, with respect to |
|
the other
individuals, occupied a position of organizer, |
supervisor, financier, or any
other position of management |
or leadership, and the court further finds that
the felony |
committed was related to or in furtherance of the criminal
|
activities of an organized gang or was motivated by the |
defendant's leadership
in an organized gang; or
|
(6) When a defendant is convicted of an offense |
committed while using a firearm with a
laser sight attached |
to it. For purposes of this paragraph, "laser sight"
has |
the meaning ascribed to it in Section 26-7 of the Criminal |
Code of
2012; or
|
(7) When a defendant who was at least 17 years of age |
at the
time of
the commission of the offense is convicted |
of a felony and has been previously
adjudicated a |
delinquent minor under the Juvenile Court Act of 1987 for |
an act
that if committed by an adult would be a Class X or |
Class 1 felony when the
conviction has occurred within 10 |
years after the previous adjudication,
excluding time |
spent in custody; or
|
(8) When a defendant commits any felony and the |
defendant used, possessed, exercised control over, or |
otherwise directed an animal to assault a law enforcement |
officer engaged in the execution of his or her official |
duties or in furtherance of the criminal activities of an |
organized gang in which the defendant is engaged; or
|
(9) When a defendant commits any felony and the |
|
defendant knowingly video or audio records the offense with |
the intent to disseminate the recording. |
(c) The following factors may be considered by the court as |
reasons to impose an extended term sentence under Section 5-8-2 |
(730 ILCS 5/5-8-2) upon any offender for the listed offenses: |
(1) When a defendant is convicted of first degree |
murder, after having been previously convicted in Illinois |
of any offense listed under paragraph (c)(2) of Section |
5-5-3 (730 ILCS 5/5-5-3), when that conviction has occurred |
within 10 years after the previous conviction, excluding |
time spent in custody, and the charges are separately |
brought and tried and arise out of different series of |
acts. |
(1.5) When a defendant is convicted of first degree |
murder, after having been previously convicted of domestic |
battery (720 ILCS 5/12-3.2) or aggravated domestic battery |
(720 ILCS 5/12-3.3) committed on the same victim or after |
having been previously convicted of violation of an order |
of protection (720 ILCS 5/12-30) in which the same victim |
was the protected person. |
(2) When a defendant is convicted of voluntary |
manslaughter, second degree murder, involuntary |
manslaughter, or reckless homicide in which the defendant |
has been convicted of causing the death of more than one |
individual. |
(3) When a defendant is convicted of aggravated |
|
criminal sexual assault or criminal sexual assault, when |
there is a finding that aggravated criminal sexual assault |
or criminal sexual assault was also committed on the same |
victim by one or more other individuals, and the defendant |
voluntarily participated in the crime with the knowledge of |
the participation of the others in the crime, and the |
commission of the crime was part of a single course of |
conduct during which there was no substantial change in the |
nature of the criminal objective. |
(4) If the victim was under 18 years of age at the time |
of the commission of the offense, when a defendant is |
convicted of aggravated criminal sexual assault or |
predatory criminal sexual assault of a child under |
subsection (a)(1) of Section 11-1.40 or subsection (a)(1) |
of Section 12-14.1 of the Criminal Code of 1961 or the |
Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1). |
(5) When a defendant is convicted of a felony violation |
of Section 24-1 of the Criminal Code of 1961 or the |
Criminal Code of 2012 (720 ILCS 5/24-1) and there is a |
finding that the defendant is a member of an organized |
gang. |
(6) When a defendant was convicted of unlawful use of |
weapons under Section 24-1 of the Criminal Code of 1961 or |
the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing |
a weapon that is not readily distinguishable as one of the |
weapons enumerated in Section 24-1 of the Criminal Code of |
|
1961 or the Criminal Code of 2012 (720 ILCS 5/24-1). |
(7) When a defendant is convicted of an offense |
involving the illegal manufacture of a controlled |
substance under Section 401 of the Illinois Controlled |
Substances Act (720 ILCS 570/401), the illegal manufacture |
of methamphetamine under Section 25 of the Methamphetamine |
Control and Community Protection Act (720 ILCS 646/25), or |
the illegal possession of explosives and an emergency |
response officer in the performance of his or her duties is |
killed or injured at the scene of the offense while |
responding to the emergency caused by the commission of the |
offense. In this paragraph, "emergency" means a situation |
in which a person's life, health, or safety is in jeopardy; |
and "emergency response officer" means a peace officer, |
community policing volunteer, fireman, emergency medical |
technician-ambulance, emergency medical |
technician-intermediate, emergency medical |
technician-paramedic, ambulance driver, other medical |
assistance or first aid personnel, or hospital emergency |
room personnel.
|
(8) When the defendant is convicted of attempted mob |
action, solicitation to commit mob action, or conspiracy to |
commit mob action under Section 8-1, 8-2, or 8-4 of the |
Criminal Code of 2012, where the criminal object is a |
violation of Section 25-1 of the Criminal Code of 2012, and |
an electronic communication is used in the commission of |
|
the offense. For the purposes of this paragraph (8), |
"electronic communication" shall have the meaning provided |
in Section 26.5-0.1 of the Criminal Code of 2012. |
(d) For the purposes of this Section, "organized gang" has |
the meaning
ascribed to it in Section 10 of the Illinois |
Streetgang Terrorism Omnibus
Prevention Act.
|
(e) The court may impose an extended term sentence under |
Article 4.5 of Chapter V upon an offender who has been |
convicted of a felony violation of Section 11-1.20, 11-1.30, |
11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or |
12-16 of the Criminal Code of 1961 or the Criminal Code of 2012 |
when the victim of the offense is under 18 years of age at the |
time of the commission of the offense and, during the |
commission of the offense, the victim was under the influence |
of alcohol, regardless of whether or not the alcohol was |
supplied by the offender; and the offender, at the time of the |
commission of the offense, knew or should have known that the |
victim had consumed alcohol. |
(Source: P.A. 97-38, eff. 6-28-11, 97-227, eff. 1-1-12; 97-333, |
eff. 8-12-11; 97-693, eff. 1-1-13; 97-1108, eff. 1-1-13; |
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-14, eff. |
1-1-14; 98-104, eff. 7-22-13; 98-385, eff. 1-1-14; revised |
9-24-13.)
|
(730 ILCS 5/5-5-5) (from Ch. 38, par. 1005-5-5)
|
Sec. 5-5-5. Loss and Restoration of Rights.
|
|
(a) Conviction and disposition shall not entail the loss by |
the
defendant of any civil rights, except under this Section |
and Sections 29-6
and 29-10 of The Election Code, as now or |
hereafter amended.
|
(b) A person convicted of a felony shall be ineligible to |
hold an office
created by the Constitution of this State until |
the completion of his sentence.
|
(c) A person sentenced to imprisonment shall lose his right |
to vote
until released from imprisonment.
|
(d) On completion of sentence of imprisonment or upon |
discharge from
probation, conditional discharge or periodic |
imprisonment, or at any time
thereafter, all license rights and |
privileges
granted under the authority of this State which have |
been revoked or
suspended because of conviction of an offense |
shall be restored unless the
authority having jurisdiction of |
such license rights finds after
investigation and hearing that |
restoration is not in the public interest.
This paragraph (d) |
shall not apply to the suspension or revocation of a
license to |
operate a motor vehicle under the Illinois Vehicle Code.
|
(e) Upon a person's discharge from incarceration or parole, |
or upon a
person's discharge from probation or at any time |
thereafter, the committing
court may enter an order certifying |
that the sentence has been
satisfactorily completed when the |
court believes it would assist in the
rehabilitation of the |
person and be consistent with the public welfare.
Such order |
may be entered upon the motion of the defendant or the State or
|
|
upon the court's own motion.
|
(f) Upon entry of the order, the court shall issue to the |
person in
whose favor the order has been entered a certificate |
stating that his
behavior after conviction has warranted the |
issuance of the order.
|
(g) This Section shall not affect the right of a defendant |
to
collaterally attack his conviction or to rely on it in bar |
of subsequent
proceedings for the same offense.
|
(h) No application for any license specified in subsection |
(i) of this
Section granted under the
authority of this State |
shall be denied by reason of an eligible offender who
has |
obtained a certificate of relief from disabilities, as
defined |
in Article 5.5 of this Chapter, having been previously |
convicted of one
or more
criminal offenses, or by reason of a |
finding of lack of "good moral
character" when the finding is |
based upon the fact that the applicant has
previously been |
convicted of one or more criminal offenses, unless:
|
(1) there is a direct relationship between one or more |
of the previous
criminal offenses and the specific license |
sought; or
|
(2) the issuance of the license would
involve an |
unreasonable risk to property or to the safety or welfare |
of
specific individuals or the general public.
|
In making such a determination, the licensing agency shall |
consider the
following factors:
|
(1) the public policy of this State, as expressed in |
|
Article 5.5 of this
Chapter, to encourage the licensure and |
employment of persons previously
convicted of one or more |
criminal offenses;
|
(2) the specific duties and responsibilities |
necessarily related to the
license being sought;
|
(3) the bearing, if any, the criminal offenses or |
offenses for which the
person
was previously convicted will |
have on his or her fitness or ability to perform
one or
|
more such duties and responsibilities;
|
(4) the time which has elapsed since the occurrence of |
the criminal
offense or offenses;
|
(5) the age of the person at the time of occurrence of |
the criminal
offense or offenses;
|
(6) the seriousness of the offense or offenses;
|
(7) any information produced by the person or produced |
on his or her
behalf in
regard to his or her rehabilitation |
and good conduct, including a certificate
of relief from |
disabilities issued to the applicant, which certificate |
shall
create a presumption of rehabilitation in regard to |
the offense or offenses
specified in the certificate; and
|
(8) the legitimate interest of the licensing agency in |
protecting
property, and
the safety and welfare of specific |
individuals or the general public.
|
(i) A certificate of relief from disabilities shall be |
issued only
for a
license or certification issued under the |
following Acts:
|
|
(1) the Animal Welfare Act; except that a certificate |
of relief from
disabilities may not be granted
to provide |
for
the
issuance or restoration of a license under the |
Animal Welfare Act for any
person convicted of violating |
Section 3, 3.01, 3.02, 3.03, 3.03-1, or 4.01 of
the Humane |
Care for Animals Act or Section 26-5 or 48-1 of the |
Criminal Code of
1961 or the Criminal Code of 2012;
|
(2) the Illinois Athletic Trainers Practice Act;
|
(3) the Barber, Cosmetology, Esthetics, Hair Braiding, |
and Nail Technology Act of 1985;
|
(4) the Boiler and Pressure Vessel Repairer Regulation |
Act;
|
(5) the Boxing and Full-contact Martial Arts Act;
|
(6) the Illinois Certified Shorthand Reporters Act of |
1984;
|
(7) the Illinois Farm Labor Contractor Certification |
Act;
|
(8) the Interior Design Title Act;
|
(9) the Illinois Professional Land Surveyor Act of |
1989;
|
(10) the Illinois Landscape Architecture Act of 1989;
|
(11) the Marriage and Family Therapy Licensing Act;
|
(12) the Private Employment Agency Act;
|
(13) the Professional Counselor and Clinical |
Professional Counselor
Licensing and Practice
Act;
|
(14) the Real Estate License Act of 2000;
|
|
(15) the Illinois Roofing Industry Licensing Act; |
(16) the Professional Engineering Practice Act of |
1989; |
(17) the Water Well and Pump Installation Contractor's |
License Act; |
(18) the Electrologist Licensing Act;
|
(19) the Auction License Act; |
(20) the Illinois Architecture Practice Act of 1989; |
(21) the Dietitian Nutritionist Practice Act; |
(22) the Environmental Health Practitioner Licensing |
Act; |
(23) the Funeral Directors and Embalmers Licensing |
Code; |
(24) the Land Sales Registration Act of 1999; |
(25) the Professional Geologist Licensing Act; |
(26) the Illinois Public Accounting Act; and |
(27) the Structural Engineering Practice Act of 1989.
|
(Source: P.A. 96-1246, eff. 1-1-11; 97-119, eff. 7-14-11; |
97-706, eff. 6-25-12; 97-1108, eff. 1-1-13; 97-1141, eff. |
12-28-12; 97-1150, eff. 1-25-13; revised 2-22-13.)
|
(730 ILCS 5/5-8A-3) (from Ch. 38, par. 1005-8A-3)
|
Sec. 5-8A-3. Application.
|
(a) Except as provided in subsection (d), a person charged |
with
or convicted of an
excluded offense may not be placed in |
an electronic home
detention program, except for bond pending |
|
trial or appeal or while on parole, aftercare release,
or |
mandatory supervised release.
|
(b) A person serving a sentence for a conviction of a Class |
1 felony,
other than an excluded offense, may be placed in an |
electronic home detention
program for a period not to exceed |
the last 90 days of incarceration.
|
(c) A person serving a sentence for a conviction
of a Class |
X felony, other than an excluded offense, may be placed
in an |
electronic home detention program for a period not to exceed |
the last 90
days of incarceration, provided that the person was |
sentenced on or after the
effective date of this amendatory Act |
of 1993 and provided that the court has
not prohibited the |
program for the person in the sentencing order.
|
(d) A person serving a sentence for conviction of an |
offense other than
for predatory criminal sexual assault of a |
child, aggravated criminal
sexual assault, criminal sexual |
assault, aggravated
criminal sexual abuse, or felony criminal |
sexual abuse, may be placed in an
electronic home detention |
program for a period not to exceed the last 12 months
of |
incarceration, provided that (i) the person is 55 years of age |
or older;
(ii) the person is serving a determinate sentence; |
(iii) the person has served
at least 25% of the sentenced |
prison term; and (iv) placement in an electronic
home detention |
program is approved by the Prisoner Review Board.
|
(e) A person serving a sentence for conviction
of a Class |
2, 3 or 4 felony offense which is not an excluded offense may |
|
be
placed in an
electronic home detention program pursuant to |
Department administrative
directives.
|
(f) Applications for electronic home detention
may include |
the following:
|
(1) pretrial or pre-adjudicatory detention;
|
(2) probation;
|
(3) conditional discharge;
|
(4) periodic imprisonment;
|
(5) parole, aftercare release, or mandatory supervised |
release;
|
(6) work release;
|
(7) furlough ; or
|
(8) post-trial incarceration.
|
(g) A person convicted of an offense described in clause |
(4) or (5) of
subsection (d) of Section 5-8-1 of this Code |
shall be placed in an electronic
home detention program for at |
least the first 2 years of the person's mandatory
supervised |
release term.
|
(Source: P.A. 98-558, eff. 1-1-14; revised 11-12-13.)
|
Section 725. The Code of Civil Procedure is amended by |
changing Sections 8-2001, 8-2005, 11-106, and 13-110 as |
follows:
|
(735 ILCS 5/8-2001) (from Ch. 110, par. 8-2001)
|
Sec. 8-2001. Examination of health care records.
|
|
(a) In this Section: |
"Health care facility" or "facility" means a public or
|
private hospital, ambulatory surgical treatment center, |
nursing home,
independent practice association, or physician |
hospital organization, or any
other entity where health care |
services are provided to any person. The term
does not include |
a health care practitioner.
|
"Health care practitioner" means any health care |
practitioner, including a physician, dentist, podiatric |
physician, advanced practice nurse, physician assistant, |
clinical psychologist, or clinical social worker. The term |
includes a medical office, health care clinic, health |
department, group practice, and any other organizational |
structure for a licensed professional to provide health care |
services. The term does not include a health care facility.
|
(b) Every private and public health care facility shall, |
upon the request of any
patient who has been treated in such |
health care facility, or any person, entity, or organization |
presenting a valid authorization for the release of records |
signed by the patient or the patient's legally authorized |
representative, or as authorized by Section 8-2001.5, permit |
the patient,
his or her health care practitioner,
authorized |
attorney, or any person, entity, or organization presenting a |
valid authorization for the release of records signed by the |
patient or the patient's legally authorized representative to |
examine the health care facility
patient care records,
|
|
including but not limited to the history, bedside notes, |
charts, pictures
and plates, kept in connection with the |
treatment of such patient, and
permit copies of such records to |
be made by him or her or his or her
health care practitioner or |
authorized attorney. |
(c) Every health care practitioner shall, upon the request |
of any patient who has been treated by the health care |
practitioner, or any person, entity, or organization |
presenting a valid authorization for the release of records |
signed by the patient or the patient's legally authorized |
representative, permit the patient and the patient's health |
care practitioner or authorized attorney, or any person, |
entity, or organization presenting a valid authorization for |
the release of records signed by the patient or the patient's |
legally authorized representative, to examine and copy the |
patient's records, including but not limited to those relating |
to the diagnosis, treatment, prognosis, history, charts, |
pictures and plates, kept in connection with the treatment of |
such patient. |
(d) A request for copies of the records shall
be in writing |
and shall be delivered to the administrator or manager of
such |
health care facility or to the health care practitioner. The
|
person (including patients, health care practitioners and |
attorneys)
requesting copies of records shall reimburse the |
facility or the health care practitioner at the time of such |
copying for all
reasonable expenses, including the costs of |
|
independent copy service companies,
incurred in connection |
with such copying not to
exceed a $20 handling charge for |
processing the
request and the actual postage or shipping |
charge, if any, plus: (1) for paper copies
75 cents per page |
for the first through 25th pages, 50
cents per page for the |
26th through 50th pages, and 25 cents per page for all
pages in |
excess of 50 (except that the charge shall not exceed $1.25 per |
page
for any copies made from microfiche or microfilm; records |
retrieved from scanning, digital imaging, electronic |
information or other digital format do not qualify as |
microfiche or microfilm retrieval for purposes of calculating |
charges); and (2) for electronic records, retrieved from a |
scanning, digital imaging, electronic information or other |
digital format in an a electronic document, a charge of 50% of |
the per page charge for paper copies under subdivision (d)(1). |
This per page charge includes the cost of each CD Rom, DVD, or |
other storage media. Records already maintained in an |
electronic or digital format shall be provided in an electronic |
format when so requested.
If the records system does not allow |
for the creation or transmission of an electronic or digital |
record, then the facility or practitioner shall inform the |
requester in writing of the reason the records can not be |
provided electronically. The written explanation may be |
included with the production of paper copies, if the requester |
chooses to order paper copies. These rates shall be |
automatically adjusted as set forth in Section 8-2006.
The |
|
facility or health care practitioner may, however, charge for |
the
reasonable cost of all duplication of
record material or |
information that cannot routinely be copied or duplicated on
a |
standard commercial photocopy machine such as x-ray films or |
pictures.
|
(d-5) The handling fee shall not be collected from the |
patient or the patient's personal representative who obtains |
copies of records under Section 8-2001.5. |
(e) The requirements of this Section shall be satisfied |
within 30 days of the
receipt of a written request by a patient |
or by his or her legally authorized
representative, health care |
practitioner,
authorized attorney, or any person, entity, or |
organization presenting a valid authorization for the release |
of records signed by the patient or the patient's legally |
authorized representative. If the facility
or health care |
practitioner needs more time to comply with the request, then |
within 30 days after receiving
the request, the facility or |
health care practitioner must provide the requesting party with |
a written
statement of the reasons for the delay and the date |
by which the requested
information will be provided. In any |
event, the facility or health care practitioner must provide |
the
requested information no later than 60 days after receiving |
the request.
|
(f) A health care facility or health care practitioner must |
provide the public with at least 30 days prior
notice of the |
closure of the facility or the health care practitioner's |
|
practice. The notice must include an explanation
of how copies |
of the facility's records may be accessed by patients. The
|
notice may be given by publication in a newspaper of general |
circulation in the
area in which the health care facility or |
health care practitioner is located.
|
(g) Failure to comply with the time limit requirement of |
this Section shall
subject the denying party to expenses and |
reasonable attorneys' fees
incurred in connection with any |
court ordered enforcement of the provisions
of this Section.
|
(Source: P.A. 97-623, eff. 11-23-11; 97-867, eff. 7-30-12; |
98-214, eff. 8-9-13; revised 11-22-13.)
|
(735 ILCS 5/8-2005)
|
Sec. 8-2005. Attorney's records. This Section applies only |
if a client and his or her authorized
attorney have complied |
with all applicable legal requirements regarding
examination |
and copying of client files, including but not limited to
|
satisfaction of expenses and attorney retaining liens.
|
Upon the request of a client, an
attorney shall permit the |
client's authorized attorney to examine and copy the
records |
kept by the attorney in connection with the representation of |
the
client, with the exception of attorney work product. The |
request for
examination and copying of the records shall be in
|
writing and shall be delivered to the attorney. Within a |
reasonable time after
the attorney receives the written |
request, the attorney shall comply with the
written request at |
|
his or her office or any other place designated by him or
her. |
At the time of copying, the person requesting the records shall
|
reimburse the attorney for all reasonable expenses, including |
the costs of
independent copy service companies, incurred by |
the attorney in connection
with the copying not to exceed a
$20 |
handling charge for processing the request,
and
the actual |
postage or shipping charges, if any, plus (1) for paper copies |
75 cents per page for the first through 25th pages, 50 cents |
per page for the
26th through 50th pages, and 25 cents per page |
for all pages in excess of 50
(except that the charge shall not |
exceed $1.25 per page for any copies
made from microfiche or |
microfilm; records retrieved from scanning, digital imaging, |
electronic information or other digital format do not qualify |
as microfiche or microfilm retrieval for purposes of |
calculating charges); and (2) for electronic records, |
retrieved from a scanning, digital imaging, electronic |
information or other digital format in an a electronic |
document, a charge of 50% of the per page charge for paper |
copies under subdivision (d)(1). This per page charge includes |
the cost of each CD Rom, DVD, or other storage media. Records |
already maintained in an electronic or digital format shall be |
provided in an electronic format when so requested. If the |
records system does not allow for the creation or transmission |
of an electronic or digital record, then the attorney shall |
inform the requester in writing of the reason the records |
cannot be provided electronically. The written explanation may |
|
be included with the production of paper copies, if the |
requester chooses to order paper copies.
These rates shall be |
automatically
adjusted as set forth in Section 8-2006.
The |
attorney may, however, charge for the reasonable cost of all |
duplication of
record material or information that cannot |
routinely be copied or
duplicated on a standard commercial |
photocopy machine such as pictures.
|
An attorney shall satisfy the requirements of this Section |
within 60
days after he or she receives a request from a client |
or his or her authorized
attorney. An attorney who fails to |
comply with the time limit requirement of
this Section shall be |
required to pay expenses and reasonable attorney's fees
|
incurred in connection with any court-ordered enforcement of |
the
requirements of this Section.
|
(Source: P.A. 95-478, eff. 1-1-08 (changed from 8-27-07 by P.A. |
95-480); 95-480, eff. 1-1-08; revised 11-22-13.)
|
(735 ILCS 5/11-106) (from Ch. 110, par. 11-106)
|
Sec. 11-106. Injunctive relief on Saturday, Sunday or legal |
holiday.
When an application is made on a Saturday,
Sunday, |
legal holiday or on a day when courts are not in session for |
injunctive
relief and there is filed with the complaint an |
affidavit of
the plaintiff, or his, her or their agent or |
attorney, stating that the
benefits of injunctive relief will |
be lost or endangered, or irremediable
damage occasioned unless |
such injunctive relief is immediately granted,
and stating the |
|
bases for such alleged consequence, , and if
it appears to the |
court from such affidavit that the benefits of injunctive |
relief
will be lost or endangered, or irremediable damage |
occasioned unless
such injunctive relief is immediately |
granted, and if the plaintiff otherwise is
entitled to such |
relief under the law, the court may grant injunctive relief
on |
a Saturday,
Sunday, legal holiday, or on a day when courts are |
not in session; and it
shall be lawful for the clerk to |
certify, and for the sheriff or coroner
to serve such order for |
injunctive relief on a Saturday,
Sunday, legal holiday or on a |
day when courts are not in session as on any
other day, and all |
affidavits and bonds made and proceedings had in
such case |
shall have the same force and effect as if made or had on any
|
other day.
|
(Source: P.A. 82-280; revised 11-22-13.)
|
(735 ILCS 5/13-110) (from Ch. 110, par. 13-110)
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Sec. 13-110. Vacant land - Payment of taxes with color of |
title. Whenever
a person having color of title, made in good |
faith,
to vacant and unoccupied land, pays all taxes legally |
assessed
thereon for 7 successive years, he or she shall be |
deemed and
adjudged to be the legal owner of such vacant and |
unoccupied land, to
the extent and according to the purport of |
his or her paper title. All
persons holding under such |
taxpayer, by purchase, legacy or descent,
before such 7 years |
expired, and who continue to
pay the taxes, as above set out, |
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so as to complete the payment of taxes for
the such term, are |
entitled to the benefit of this Section.
However, if any |
person, having a better paper title to such
vacant and |
unoccupied land, during the term of 7 years,
pays the taxes |
assessed on such land for any one or more years of the
term of 7 |
years, then such taxpayer, his or her heirs, legatees or |
assigns,
shall not be entitled to the benefit of this Section.
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(Source: P.A. 83-707; revised 11-22-13.)
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Section 730. The Eminent Domain Act is amended by changing |
Sections 15-5-15, 15-5-35, and 15-5-47 and by setting forth and |
renumbering multiple versions of Section 25-5-45 as follows: |
(735 ILCS 30/15-5-15)
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Sec. 15-5-15. Eminent domain powers in ILCS Chapters 70 |
through 75. The following provisions of law may include express |
grants of the power to acquire property by condemnation or |
eminent domain: |
(70 ILCS 5/8.02 and 5/9); Airport Authorities Act; airport |
authorities; for public airport facilities.
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(70 ILCS 5/8.05 and 5/9); Airport Authorities Act; airport |
authorities; for removal of airport hazards.
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(70 ILCS 5/8.06 and 5/9); Airport Authorities Act; airport |
authorities; for reduction of the height of objects or |
structures.
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(70 ILCS 10/4); Interstate Airport Authorities Act; interstate |
airport authorities; for general purposes.
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(70 ILCS 15/3); Kankakee River Valley Area Airport Authority |
Act; Kankakee River Valley Area Airport Authority; for |
acquisition of land for airports.
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(70 ILCS 200/2-20); Civic Center Code; civic center |
authorities; for grounds, centers, buildings, and parking.
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(70 ILCS 200/5-35); Civic Center Code; Aledo Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/10-15); Civic Center Code; Aurora Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/15-40); Civic Center Code; Benton Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/20-15); Civic Center Code; Bloomington Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/35-35); Civic Center Code; Brownstown Park |
District Civic Center Authority; for grounds, centers, |
buildings, and parking.
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(70 ILCS 200/40-35); Civic Center Code; Carbondale Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/55-60); Civic Center Code; Chicago South Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/60-30); Civic Center Code; Collinsville |
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Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/70-35); Civic Center Code; Crystal Lake Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/75-20); Civic Center Code; Decatur Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/80-15); Civic Center Code; DuPage County |
Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/85-35); Civic Center Code; Elgin Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/95-25); Civic Center Code; Herrin Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/110-35); Civic Center Code; Illinois Valley Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/115-35); Civic Center Code; Jasper County Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/120-25); Civic Center Code; Jefferson County |
Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/125-15); Civic Center Code; Jo Daviess County |
Civic Center Authority; for grounds, centers, buildings, |
and parking.
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(70 ILCS 200/130-30); Civic Center Code; Katherine Dunham |
Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/145-35); Civic Center Code; Marengo Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/150-35); Civic Center Code; Mason County Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/155-15); Civic Center Code; Matteson Metropolitan |
Civic Center Authority; for grounds, centers, buildings, |
and parking.
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(70 ILCS 200/160-35); Civic Center Code; Maywood Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/165-35); Civic Center Code; Melrose Park |
Metropolitan Exposition Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/170-20); Civic Center Code; certain Metropolitan |
Exposition, Auditorium and Office Building Authorities; |
for general purposes.
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(70 ILCS 200/180-35); Civic Center Code; Normal Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/185-15); Civic Center Code; Oak Park Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/195-35); Civic Center Code; Ottawa Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/200-15); Civic Center Code; Pekin Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/205-15); Civic Center Code; Peoria Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/210-35); Civic Center Code; Pontiac Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/215-15); Civic Center Code; Illinois Quad City |
Civic Center Authority; for grounds, centers, buildings, |
and parking.
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(70 ILCS 200/220-30); Civic Center Code; Quincy Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/225-35); Civic Center Code; Randolph County Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/230-35); Civic Center Code; River Forest |
Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/235-40); Civic Center Code; Riverside Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/245-35); Civic Center Code; Salem Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/255-20); Civic Center Code; Springfield |
Metropolitan Exposition and Auditorium Authority; for |
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grounds, centers, and parking.
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(70 ILCS 200/260-35); Civic Center Code; Sterling Metropolitan |
Exposition, Auditorium and Office Building Authority; for |
grounds, centers, buildings, and parking.
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(70 ILCS 200/265-20); Civic Center Code; Vermilion County |
Metropolitan Exposition, Auditorium and Office Building |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/270-35); Civic Center Code; Waukegan Civic Center |
Authority; for grounds, centers, buildings, and parking.
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(70 ILCS 200/275-35); Civic Center Code; West Frankfort Civic |
Center Authority; for grounds, centers, buildings, and |
parking.
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(70 ILCS 200/280-20); Civic Center Code; Will County |
Metropolitan Exposition and Auditorium Authority; for |
grounds, centers, and parking.
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(70 ILCS 210/5); Metropolitan Pier and Exposition Authority |
Act; Metropolitan Pier and Exposition Authority; for |
general purposes, including quick-take power.
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(70 ILCS 405/22.04); Soil and Water Conservation Districts Act; |
soil and water conservation districts; for general |
purposes.
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(70 ILCS 410/10 and 410/12); Conservation District Act; |
conservation districts; for open space, wildland, scenic |
roadway, pathway, outdoor recreation, or other |
conservation benefits.
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(70 ILCS 503/25); Chanute-Rantoul National Aviation Center |
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Redevelopment Commission Act; Chanute-Rantoul National |
Aviation Center Redevelopment Commission; for general |
purposes. |
(70 ILCS 507/15); Fort Sheridan Redevelopment Commission Act; |
Fort Sheridan Redevelopment Commission; for general |
purposes or to carry out comprehensive or redevelopment |
plans.
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(70 ILCS 520/8); Southwestern Illinois Development Authority |
Act; Southwestern Illinois Development Authority; for |
general purposes, including quick-take power.
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(70 ILCS 605/4-17 and 605/5-7); Illinois Drainage Code; |
drainage districts; for general purposes.
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(70 ILCS 615/5 and 615/6); Chicago Drainage District Act; |
corporate authorities; for construction and maintenance of |
works.
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(70 ILCS 705/10); Fire Protection District Act; fire protection |
districts; for general purposes.
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(70 ILCS 750/20); Flood Prevention District Act; flood |
prevention districts; for general purposes. |
(70 ILCS 805/6); Downstate Forest Preserve District Act; |
certain forest preserve districts; for general purposes.
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(70 ILCS 805/18.8); Downstate Forest Preserve District Act; |
certain forest preserve districts; for recreational and |
cultural facilities.
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(70 ILCS 810/8); Cook County Forest Preserve District Act; |
Forest Preserve District of Cook County; for general |
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purposes.
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(70 ILCS 810/38); Cook County Forest Preserve District Act; |
Forest Preserve District of Cook County; for recreational |
facilities.
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(70 ILCS 910/15 and 910/16); Hospital District Law; hospital |
districts; for hospitals or hospital facilities.
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(70 ILCS 915/3); Illinois Medical District Act; Illinois |
Medical District Commission; for general purposes.
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(70 ILCS 915/4.5); Illinois Medical District Act; Illinois |
Medical District Commission; quick-take power for the |
Illinois State Police Forensic Science Laboratory |
(obsolete).
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(70 ILCS 920/5); Tuberculosis Sanitarium District Act; |
tuberculosis sanitarium districts; for tuberculosis |
sanitariums.
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(70 ILCS 925/20); Mid-Illinois
Medical District Act; |
Mid-Illinois
Medical District; for general purposes.
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(70 ILCS 930/20); Mid-America Medical District Act; |
Mid-America Medical District Commission; for general |
purposes. |
(70 ILCS 935/20); Roseland Community Medical District Act; |
medical district; for general purposes. |
(70 ILCS 1005/7); Mosquito Abatement District Act; mosquito |
abatement districts; for general purposes.
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(70 ILCS 1105/8); Museum District Act; museum districts; for |
general purposes.
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(70 ILCS 1205/7-1); Park District Code; park districts; for |
streets and other purposes.
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(70 ILCS 1205/8-1); Park District Code; park districts; for |
parks.
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(70 ILCS 1205/9-2 and 1205/9-4); Park District Code; park |
districts; for airports and landing fields.
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(70 ILCS 1205/11-2 and 1205/11-3); Park District Code; park |
districts; for State land abutting public water and certain |
access rights.
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(70 ILCS 1205/11.1-3); Park District Code; park districts; for |
harbors.
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(70 ILCS 1225/2); Park Commissioners Land Condemnation Act; |
park districts; for street widening.
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(70 ILCS 1230/1 and 1230/1-a); Park Commissioners Water Control |
Act; park districts; for parks, boulevards, driveways, |
parkways, viaducts, bridges, or tunnels.
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(70 ILCS 1250/2); Park Commissioners Street Control (1889) Act; |
park districts; for boulevards or driveways.
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(70 ILCS 1290/1); Park District Aquarium and Museum Act; |
municipalities or park districts; for aquariums or |
museums.
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(70 ILCS 1305/2); Park District Airport Zoning Act; park |
districts; for restriction of the height of structures.
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(70 ILCS 1310/5); Park District Elevated Highway Act; park |
districts; for elevated highways.
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(70 ILCS 1505/15); Chicago Park District Act; Chicago Park |
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District; for parks and other purposes.
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(70 ILCS 1505/25.1); Chicago Park District Act; Chicago Park |
District; for parking lots or garages.
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(70 ILCS 1505/26.3); Chicago Park District Act; Chicago Park |
District; for harbors.
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(70 ILCS 1570/5); Lincoln Park Commissioners Land Condemnation |
Act; Lincoln Park Commissioners; for land and interests in |
land, including riparian rights.
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(70 ILCS 1801/30); Alexander-Cairo Port District Act; |
Alexander-Cairo Port District; for general purposes. |
(70 ILCS 1805/8); Havana Regional Port District Act; Havana |
Regional Port District; for general purposes.
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(70 ILCS 1810/7); Illinois International Port District Act; |
Illinois International Port District; for general |
purposes.
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(70 ILCS 1815/13); Illinois Valley Regional Port District Act; |
Illinois Valley Regional Port District; for general |
purposes.
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(70 ILCS 1820/4); Jackson-Union Counties Regional Port |
District Act; Jackson-Union Counties Regional Port |
District; for removal of airport hazards or reduction of |
the height of objects or structures.
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(70 ILCS 1820/5); Jackson-Union Counties Regional Port |
District Act; Jackson-Union Counties Regional Port |
District; for general purposes.
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(70 ILCS 1825/4.9); Joliet Regional Port District Act; Joliet |
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Regional Port District; for removal of airport hazards.
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(70 ILCS 1825/4.10); Joliet Regional Port District Act; Joliet |
Regional Port District; for reduction of the height of |
objects or structures.
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(70 ILCS 1825/4.18); Joliet Regional Port District Act; Joliet |
Regional Port District; for removal of hazards from ports |
and terminals.
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(70 ILCS 1825/5); Joliet Regional Port District Act; Joliet |
Regional Port District; for general purposes.
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(70 ILCS 1830/7.1); Kaskaskia Regional Port District Act; |
Kaskaskia Regional Port District; for removal of hazards |
from ports and terminals.
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(70 ILCS 1830/14); Kaskaskia Regional Port District Act; |
Kaskaskia Regional Port District; for general purposes.
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(70 ILCS 1831/30); Massac-Metropolis Port District Act; |
Massac-Metropolis Port District; for general purposes. |
(70 ILCS 1835/5.10); Mt. Carmel Regional Port District Act; Mt. |
Carmel Regional Port District; for removal of airport |
hazards.
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(70 ILCS 1835/5.11); Mt. Carmel Regional Port District Act; Mt. |
Carmel Regional Port District; for reduction of the height |
of objects or structures.
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(70 ILCS 1835/6); Mt. Carmel Regional Port District Act; Mt. |
Carmel Regional Port District; for general purposes.
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(70 ILCS 1837/30); Ottawa Port District Act; Ottawa Port |
District; for general purposes. |
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(70 ILCS 1845/4.9); Seneca Regional Port District Act; Seneca |
Regional Port District; for removal of airport hazards.
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(70 ILCS 1845/4.10); Seneca Regional Port District Act; Seneca |
Regional Port District; for reduction of the height of |
objects or structures.
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(70 ILCS 1845/5); Seneca Regional Port District Act; Seneca |
Regional Port District; for general purposes.
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(70 ILCS 1850/4); Shawneetown Regional Port District Act; |
Shawneetown Regional Port District; for removal of airport |
hazards or reduction of the height of objects or |
structures.
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(70 ILCS 1850/5); Shawneetown Regional Port District Act; |
Shawneetown Regional Port District; for general purposes.
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(70 ILCS 1855/4); Southwest Regional Port District Act; |
Southwest Regional Port District; for removal of airport |
hazards or reduction of the height of objects or |
structures.
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(70 ILCS 1855/5); Southwest Regional Port District Act; |
Southwest Regional Port District; for general purposes. |
(70 ILCS 1860/4); Tri-City Regional Port District Act; Tri-City |
Regional Port District; for removal of airport hazards.
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(70 ILCS 1860/5); Tri-City Regional Port District Act; Tri-City |
Regional Port District; for the development of facilities.
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(70 ILCS 1863/11); Upper Mississippi River International Port |
District Act; Upper Mississippi River International Port |
District; for general purposes. |
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(70 ILCS 1865/4.9); Waukegan Port District Act; Waukegan Port |
District; for removal of airport hazards.
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(70 ILCS 1865/4.10); Waukegan Port District Act; Waukegan Port |
District; for restricting the height of objects or |
structures.
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(70 ILCS 1865/5); Waukegan Port District Act; Waukegan Port |
District; for the development of facilities.
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(70 ILCS 1870/8); White County Port District Act; White County |
Port District; for the development of facilities.
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(70 ILCS 1905/16); Railroad Terminal Authority Act; Railroad |
Terminal Authority (Chicago); for general purposes.
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(70 ILCS 1915/25); Grand Avenue Railroad Relocation Authority |
Act; Grand Avenue Railroad Relocation Authority; for |
general purposes, including quick-take power (now |
obsolete). |
(70 ILCS 1935/25); Elmwood Park Grade Separation Authority Act; |
Elmwood Park Grade Separation Authority; for general |
purposes.
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(70 ILCS 2105/9b); River Conservancy Districts Act; river |
conservancy districts; for general purposes.
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(70 ILCS 2105/10a); River Conservancy Districts Act; river |
conservancy districts; for corporate purposes.
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(70 ILCS 2205/15); Sanitary District Act of 1907; sanitary |
districts; for corporate purposes.
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(70 ILCS 2205/18); Sanitary District Act of 1907; sanitary |
districts; for improvements and works.
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(70 ILCS 2205/19); Sanitary District Act of 1907; sanitary |
districts; for access to property.
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(70 ILCS 2305/8); North Shore Sanitary District Act; North |
Shore Sanitary District; for corporate purposes.
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(70 ILCS 2305/15); North Shore Sanitary District Act; North |
Shore Sanitary District; for improvements.
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(70 ILCS 2405/7.9); Sanitary District Act of 1917; Sanitary |
District of Decatur; for carrying out agreements to sell, |
convey, or disburse treated wastewater to a private entity.
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(70 ILCS 2405/8); Sanitary District Act of 1917; sanitary |
districts; for corporate purposes.
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(70 ILCS 2405/15); Sanitary District Act of 1917; sanitary |
districts; for improvements.
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(70 ILCS 2405/16.9 and 2405/16.10); Sanitary District Act of |
1917; sanitary districts; for waterworks.
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(70 ILCS 2405/17.2); Sanitary District Act of 1917; sanitary |
districts; for public sewer and water utility treatment |
works.
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(70 ILCS 2405/18); Sanitary District Act of 1917; sanitary |
districts; for dams or other structures to regulate water |
flow.
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(70 ILCS 2605/8); Metropolitan Water Reclamation District Act; |
Metropolitan Water Reclamation District; for corporate |
purposes.
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(70 ILCS 2605/16); Metropolitan Water Reclamation District |
Act; Metropolitan Water Reclamation District; quick-take |
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power for improvements.
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(70 ILCS 2605/17); Metropolitan Water Reclamation District |
Act; Metropolitan Water Reclamation District; for bridges.
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(70 ILCS 2605/35); Metropolitan Water Reclamation District |
Act; Metropolitan Water Reclamation District; for widening |
and deepening a navigable stream.
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(70 ILCS 2805/10); Sanitary District Act of 1936; sanitary |
districts; for corporate purposes.
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(70 ILCS 2805/24); Sanitary District Act of 1936; sanitary |
districts; for improvements.
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(70 ILCS 2805/26i and 2805/26j); Sanitary District Act of 1936; |
sanitary districts; for drainage systems.
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(70 ILCS 2805/27); Sanitary District Act of 1936; sanitary |
districts; for dams or other structures to regulate water |
flow.
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(70 ILCS 2805/32k); Sanitary District Act of 1936; sanitary |
districts; for water supply.
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(70 ILCS 2805/32l); Sanitary District Act of 1936; sanitary |
districts; for waterworks.
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(70 ILCS 2905/2-7); Metro-East Sanitary District Act of 1974; |
Metro-East Sanitary District; for corporate purposes.
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(70 ILCS 2905/2-8); Metro-East Sanitary District Act of 1974; |
Metro-East Sanitary District; for access to property.
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(70 ILCS 3010/10); Sanitary District Revenue Bond Act; sanitary |
districts; for sewerage systems.
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(70 ILCS 3205/12); Illinois Sports Facilities Authority Act; |
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Illinois Sports Facilities Authority; quick-take power for |
its corporate purposes (obsolete).
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(70 ILCS 3405/16); Surface Water Protection District Act; |
surface water protection districts; for corporate |
purposes.
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(70 ILCS 3605/7); Metropolitan Transit Authority Act; Chicago |
Transit Authority; for transportation systems.
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(70 ILCS 3605/8); Metropolitan Transit Authority Act; Chicago |
Transit Authority; for general purposes.
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(70 ILCS 3605/10); Metropolitan Transit Authority Act; Chicago |
Transit Authority; for general purposes, including |
railroad property.
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(70 ILCS 3610/3 and 3610/5); Local Mass Transit District Act; |
local mass transit districts; for general purposes.
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(70 ILCS 3615/2.13); Regional Transportation Authority Act; |
Regional Transportation Authority; for general purposes.
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(70 ILCS 3705/8 and 3705/12); Public Water District Act; public |
water districts; for waterworks.
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(70 ILCS 3705/23a); Public Water District Act; public water |
districts; for sewerage properties.
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(70 ILCS 3705/23e); Public Water District Act; public water |
districts; for combined waterworks and sewerage systems.
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(70 ILCS 3715/6); Water Authorities Act; water authorities; for |
facilities to ensure adequate water supply.
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(70 ILCS 3715/27); Water Authorities Act; water authorities; |
for access to property.
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(75 ILCS 5/4-7); Illinois Local Library Act; boards of library |
trustees; for library buildings.
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(75 ILCS 16/30-55.80); Public Library District Act of 1991; |
public library districts; for general purposes.
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(75 ILCS 65/1 and 65/3); Libraries in Parks Act; corporate |
authorities of city or park district, or board of park |
commissioners; for free public library buildings.
|
(Source: P.A. 96-1000, eff. 7-2-10; 97-333, eff. 8-12-11; |
incorporates 96-1522, eff. 2-14-11, and 97-259, eff. 8-5-11; |
97-813, eff. 7-13-12; incorporates 98-564, eff. 8-27-13; |
revised 11-25-13.) |
(735 ILCS 30/15-5-35)
|
Sec. 15-5-35. Eminent domain powers in ILCS Chapters 605 |
through 625. The following provisions of law may include |
express grants of the power to acquire property by condemnation |
or eminent domain: |
(605 ILCS 5/4-501); Illinois Highway Code; Department of |
Transportation and counties; for highway purposes.
|
(605 ILCS 5/4-502); Illinois Highway Code; Department of |
Transportation; for ditches and drains.
|
(605 ILCS 5/4-505); Illinois Highway Code; Department of |
Transportation; for replacement of railroad and public |
utility property taken for highway purposes.
|
(605 ILCS 5/4-509); Illinois Highway Code; Department of |
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Transportation; for replacement of property taken for |
highway purposes.
|
(605 ILCS 5/4-510); Illinois Highway Code; Department of |
Transportation; for rights-of-way for future highway |
purposes.
|
(605 ILCS 5/4-511); Illinois Highway Code; Department of |
Transportation; for relocation of structures taken for |
highway purposes.
|
(605 ILCS 5/5-107); Illinois Highway Code; counties; for county |
highway relocation.
|
(605 ILCS 5/5-801); Illinois Highway Code; counties; for |
highway purposes.
|
(605 ILCS 5/5-802); Illinois Highway Code; counties; for |
ditches and drains.
|
(605 ILCS 5/6-309); Illinois Highway Code; highway |
commissioners or county superintendents; for township or |
road district roads.
|
(605 ILCS 5/6-801); Illinois Highway Code; highway |
commissioners; for road district or township roads.
|
(605 ILCS 5/6-802); Illinois Highway Code; highway |
commissioners; for ditches and drains.
|
(605 ILCS 5/8-102); Illinois Highway Code; Department of |
Transportation, counties, and municipalities; for limiting |
freeway access.
|
(605 ILCS 5/8-103); Illinois Highway Code; Department of |
Transportation, counties, and municipalities; for freeway |
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purposes.
|
(605 ILCS 5/8-106); Illinois Highway Code; Department of |
Transportation and counties; for relocation of existing |
crossings for freeway purposes.
|
(605 ILCS 5/9-113); Illinois Highway Code; highway |
authorities; for utility and other uses in rights-of-ways.
|
(605 ILCS 5/10-302); Illinois Highway Code; counties; for |
bridge purposes.
|
(605 ILCS 5/10-602); Illinois Highway Code; municipalities; |
for ferry and bridge purposes.
|
(605 ILCS 5/10-702); Illinois Highway Code; municipalities; |
for bridge purposes.
|
(605 ILCS 5/10-901); Illinois Highway Code; Department of |
Transportation; for ferry property.
|
(605 ILCS 10/9); Toll Highway Act; Illinois State Toll Highway |
Authority; for toll highway purposes.
|
(605 ILCS 10/9.5); Toll Highway Act; Illinois State Toll |
Highway Authority; for its authorized purposes.
|
(605 ILCS 10/10); Toll Highway Act; Illinois State Toll Highway |
Authority; for property of a municipality or political |
subdivision for toll highway purposes.
|
(605 ILCS 115/14); Toll Bridge Act; counties; for toll bridge |
purposes.
|
(605 ILCS 115/15); Toll Bridge Act; counties; for the purpose |
of taking a toll bridge to make it a free bridge.
|
(605 ILCS 130/80); Public Private Agreements for the Illiana |
|
Expressway Act; Department of Transportation; for the |
Illiana Expressway project. |
(610 ILCS 5/17); Railroad Incorporation Act; railroad |
corporation; for real estate for railroad purposes.
|
(610 ILCS 5/18); Railroad Incorporation Act; railroad |
corporations; for materials for railways.
|
(610 ILCS 5/19); Railroad Incorporation Act; railways; for land |
along highways.
|
(610 ILCS 70/1); Railroad Powers Act; purchasers and lessees of |
railroad companies; for railroad purposes.
|
(610 ILCS 115/2 and 115/3); Street Railroad Right of Way Act; |
street railroad companies; for street railroad purposes.
|
(615 ILCS 5/19); Rivers, Lakes, and Streams Act; Department of |
Natural Resources; for land along public waters for |
pleasure, recreation, or sport purposes.
|
(615 ILCS 10/7.8); Illinois Waterway Act; Department of Natural |
Resources; for waterways and appurtenances.
|
(615 ILCS 15/7); Flood Control Act of 1945; Department of |
Natural Resources; for the purposes of the Act.
|
(615 ILCS 30/9); Illinois and Michigan Canal Management Act; |
Department of Natural Resources; for dams, locks, and |
improvements.
|
(615 ILCS 45/10); Illinois and Michigan Canal Development Act; |
Department of Natural Resources; for development and |
management of the canal.
|
(620 ILCS 5/72); Illinois Aeronautics Act; Division of |
|
Aeronautics of the Department of Transportation; for |
airport purposes.
|
(620 ILCS 5/73); Illinois Aeronautics Act; Division of |
Aeronautics of the Department of Transportation; for |
removal of airport hazards.
|
(620 ILCS 5/74); Illinois Aeronautics Act; Division of |
Aeronautics of the Department of Transportation; for |
airport purposes.
|
(620 ILCS 25/33); Airport Zoning Act; Division of Aeronautics |
of the Department of Transportation; for air rights.
|
(620 ILCS 40/2 and 40/3); General County Airport and Landing |
Field Act; counties; for airport purposes.
|
(620 ILCS 40/5); General County Airport and Landing Field Act; |
counties; for removing hazards.
|
(620 ILCS 45/6 and 45/7); County Airport Law of 1943; boards of |
directors of airports and landing fields; for airport and |
landing field purposes.
|
(620 ILCS 50/22 and 50/31); County Airports Act; counties; for |
airport purposes.
|
(620 ILCS 50/24); County Airports Act; counties; for removal of |
airport hazards.
|
(620 ILCS 50/26); County Airports Act; counties; for |
acquisition of airport protection privileges.
|
(620 ILCS 52/15); County Air Corridor Protection Act; counties; |
for airport zones.
|
(620 ILCS 55/1); East St. Louis Airport Act; Department of |
|
Transportation; for airport in East St. Louis metropolitan |
area.
|
(620 ILCS 65/15); O'Hare Modernization Act; Chicago; for the |
O'Hare modernization program, including quick-take power.
|
(620 ILCS 75/2-15 and 75/2-90); Public-Private Agreements for |
the South Suburban Airport Act; Department of |
Transportation; for South Suburban Airport purposes. |
(625 ILCS 5/2-105); Illinois Vehicle Code; Secretary of State; |
for general purposes.
|
(625 ILCS 5/18c-7501); Illinois Vehicle Code; rail carriers; |
for railroad purposes, including quick-take power.
|
(Source: P.A. 97-808, eff. 7-13-12; incorporates 98-109, eff. |
7-25-13; revised 11-25-13.) |
(735 ILCS 30/15-5-47) |
Sec. 15-5-47. Eminent domain powers in new Acts. The |
following provisions of law may include express grants of the |
power to acquire property by condemnation or eminent domain: |
(Reserved). |
The Elmwood Park Grade Separation Authority Act; Elmwood Park |
Grade Separation Authority; for general purposes.
|
Public-Private Agreements for the South Suburban Airport Act; |
Department of Transportation; for South Suburban Airport |
purposes. |
(Source: P.A. 98-109, eff. 7-25-13; 98-564, eff. 8-27-13; |
|
revised 11-25-13.) |
(735 ILCS 30/25-5-45) |
Sec. 25-5-45. Quick-take; South Suburban Airport. |
Quick-take proceedings under Article 20 may be used by the |
Department of Transportation for the purpose of development of |
the South Suburban Airport within the boundaries designated on |
the map filed with the Secretary of State on May 28, 2013 and |
known as file number 98-GA-D01.
|
(Source: P.A. 98-109, eff. 7-25-13.) |
(735 ILCS 30/25-5-50) |
Sec. 25-5-50 25-5-45 . Quick-take; McHenry County. |
Quick-take proceedings under Article 20 may be used for a |
period of no longer than one year from the effective date of |
this amendatory Act of the 98th General Assembly by McHenry |
County for the acquisition of the following described property |
for the purpose of public improvements to serve McHenry County: |
Route: F.A.U. 168 (Johnsburg Road) |
Section: 05-00314-00-WR |
County: McHenry
Job No.: R-91-005-06 |
Parcel: 1HK0045 |
Sta. 58+07.09 To Sta. 58+31.89 |
Sta. 176+10.72 To Sta. 177+36.15 |
Owner: JNL-Johnsburg Properties, Inc. |
|
Index No. 09-13-277-001 |
09-13-277-002 |
That part of Sub Lot 2 of Lot 28 in Plat Number 3 McHenry, |
County Clerk's Plat of Section 13, Township 45 North, Range 8 |
East of the Third Principal Meridian, according to the plat |
thereof recorded May 6, 1902 as document number 14079, in |
McHenry County, Illinois, described as follows: |
Commencing at the southeast corner of the Northeast Quarter of |
said Section 13; thence on an assumed bearing of South 89 |
degrees 15 minutes 13 seconds West along the south line of the |
Northeast Quarter of said Section 13, as monumented and |
occupied, a distance of 824.94 feet (825.2 feet, recorded) |
(826.0 feet, recorded) to a point of intersection with the |
Southerly extension of the east line of the grantor; thence |
North 1 degree 20 minutes 53 seconds East along the said |
Southerly extension of the east line of the grantor, a distance |
of 132.49 feet to the northeasterly right of way line of Chapel |
Hill Road recorded January 26, 1932 as document number 100422, |
being also the southeast corner of the grantor; thence North 46 |
degrees 56 minutes 58 seconds West along the said northeasterly |
right of way line of Chapel Hill Road and along the |
northeasterly right of way line of Chapel Hill Road recorded |
January 26, 1932 as document number 100421, a distance of |
261.08 feet to the point of beginning; thence continuing North |
|
46 degrees 56 minutes 58 seconds West along the northeasterly |
right of way line of Chapel Hill Road recorded as document |
number 100421, a distance of 14.94 feet to the east right of |
way line of Chapel Hill Road recorded January 26, 1932 as |
document number 100420; thence North 2 degrees 09 minutes 50 |
seconds East along the said east right of way line of Chapel |
Hill Road and the Northerly extension thereof, a distance of |
64.92 feet (64.91 feet, more or less, recorded) to the center |
line of Johnsburg Road; thence North 87 degrees 42 minutes 53 |
seconds East along the said center line of Johnsburg Road, a |
distance of 123.08 feet; thence South 2 degrees 17 minutes 07 |
seconds East, a distance of 30.00 feet to the south right of |
way line of Johnsburg Road according to a Plat of Survey by the |
County Surveyor dated October 21, 1952 in Surveyor Book Number |
5, page 204; thence South 2 degrees 48 minutes 02 seconds East, |
a distance of 1.05 feet; thence westerly 59.83 feet along a |
curve to the left having a radius of 987.47 feet, the chord of |
said curve bears South 85 degrees 27 minutes 49 seconds West, |
59.82 feet; thence South 70 degrees 14 minutes 11 seconds West, |
a distance of 47.08 feet; thence South 22 degrees 40 minutes 19 |
seconds West, a distance of 30.69 feet to the point of |
beginning. |
Said parcel containing 0.117 acre, more or less, of which 0.086 |
acre, more or less, was previously dedicated or used for |
highway purposes.
|
|
(Source: P.A. 98-229, eff. 8-9-13; revised 10-25-13.) |
Section 735. The Crime Victims Compensation Act is amended |
by changing Section 17 as follows:
|
(740 ILCS 45/17) (from Ch. 70, par. 87)
|
Sec. 17. (a) Subrogation. |
(a) The Court of Claims may award compensation on
the |
condition
that the applicant subrogate to the State his rights |
to collect damages
from the assailant or any third party who |
may be liable in damages to the
applicant. In such a case the |
Attorney General may, on behalf of the State,
bring an action |
against an assailant or third party for money damages, but must
|
first notify the applicant and give him an opportunity to |
participate in
the prosecution of the action. The excess of the |
amount recovered in such
action over the amount of the |
compensation offered and accepted or awarded
under this Act |
plus costs of the action and attorneys' fees actually incurred
|
shall be paid to the applicant.
|
(b) Nothing in this Act affects the right of the applicant |
to seek civil
damages from the assailant and any other party, |
but that applicant must
give written notice to the Attorney |
General within 10 days after the making of a claim or
the |
filing of an action for such damages, and within 10 days after |
the conclusion of the claim or action. The applicant must |
attach to the written notice a copy of the complaint, |
|
settlement agreement, jury verdict, or judgment. Failure to |
timely notify the
Attorney General of such claims and actions |
is a willful omission of fact and
the applicant thereby becomes |
subject to the provisions of Section 20 of this Act.
|
(c) The State has a charge for the amount of compensation |
paid under this
Act upon all claims or causes of action against |
an assailant and
any other party to recover for the injuries or |
death of a victim which were
the basis for that payment of |
compensation. At the time compensation is
ordered to be paid |
under this Act, the Court of Claims shall give written
notice |
of this charge to the applicant. The charge attaches to any |
verdict or
judgment entered and to any money or property which |
is recovered
on account of the claim or cause of action against |
the assailant
or any other party after the notice is given. On |
petition filed by the
Attorney General on behalf of the State |
or by the applicant, the circuit
court, on written notice to |
all interested parties, shall adjudicate the
right of the |
parties and enforce the charge. This subsection does not affect
|
the priority of a lien under "AN ACT creating attorney's lien |
and for
enforcement of same", filed June 16, 1909, as amended.
|
Only the Court of Claims may reduce the State's lien under |
this Act. The Court of Claims may consider the nature and |
extent of the injury, economic loss, settlements, hospital |
costs, physician costs, attorney's fees and costs, and all |
other appropriate costs. The burden of producing evidence |
sufficient to support the exercise by the Court of Claims of |
|
its discretion to reduce the amount of a proven charge sought |
to be enforced against the recovery shall rest with the party |
seeking such reduction. The charges of the State described in |
this Section, however, shall take priority over all other liens |
and charges existing under the laws of the State of Illinois. |
(d) Where compensation is awarded under this Act and the |
person receiving
same also receives any sum required to be, and |
that has not been deducted
under Section 10.1, he shall refund |
to the State the amount of compensation
paid to him which would |
have been deducted at the time the award was made.
|
(e) An amount not to exceed 25% of all money recovered |
under subsections
(b) or (c) of this Section shall be placed in |
the Violent Crime Victims
Assistance Fund to assist with costs |
related to recovery
efforts. "Recovery efforts" means those |
activities that are directly
attributable to obtaining |
restitution, civil suit recoveries, and
other reimbursements.
|
(f) The applicant must give written notice to the Attorney |
General within 10 days after an offender is ordered by a court |
to pay restitution. The applicant shall attach a copy of the |
restitution order or judgment to the written notice. Failure to |
timely notify the Attorney General of court-ordered |
restitution is a willful omission of fact and the applicant |
thereby becomes subject to the provisions of Section 20 of this |
Act. The Attorney General may file a written copy of the Court |
of Claims' decision awarding crime victims compensation in a |
criminal case in which the offender has been ordered to pay |
|
restitution for the victim's expenses incurred as a result of |
the same criminal conduct. Upon the filing of the order, the |
circuit court clerk shall send restitution payments directly to |
the compensation program for any paid expense reflected in the |
Court of Claims' decision. |
(Source: P.A. 97-817, eff. 1-1-13; revised 11-12-13.)
|
Section 740. The Mental Health and Developmental |
Disabilities Confidentiality Act is amended by changing |
Section 12.2 as follows:
|
(740 ILCS 110/12.2) (from Ch. 91 1/2, par. 812.2)
|
Sec. 12.2.
(a) When a recipient who has been judicially or |
involuntarily
admitted, or is a forensic recipient admitted to |
a developmental disability
or mental health facility, as |
defined in Section 1-107 or 1-114 of the
Mental Health and |
Developmental Disabilities Code, is on an unauthorized
absence |
or otherwise has left the facility without being discharged or
|
being free to do so, the facility director shall immediately |
furnish and
disclose to the appropriate local law enforcement |
agency identifying
information, as defined in this Section, and |
all further information
unrelated to the diagnosis, treatment |
or evaluation of the recipient's
mental or physical health that |
would aid the law enforcement agency in
locating and |
apprehending the recipient and returning him to the facility. |
When a forensic recipient is on an unauthorized absence or |
|
otherwise has left the facility without being discharged or |
being free to do so, the facility director, or designee, of a |
mental health facility or developmental facility operated by |
the Department shall also immediately notify, in like manner, |
the Department of State Police.
|
(b) If a law enforcement agency requests information from a
|
developmental disability or mental health facility, as defined |
in Section
1-107 or 1-114 of the Mental Health and |
Developmental Disabilities Code,
relating to a recipient who |
has been admitted to the facility
and for whom a missing person |
report has been filed with a law enforcement
agency, the |
facility director shall, except in the case of a voluntary
|
recipient wherein the recipient's permission in writing must |
first be
obtained, furnish and disclose to the law enforcement |
agency identifying
information as is necessary to confirm or |
deny whether that person is, or
has been since the missing |
person report was filed, a resident of that
facility. The |
facility director shall notify the law enforcement agency if
|
the missing person is admitted after the request. Any person |
participating
in good faith in the disclosure of information in |
accordance with this
provision shall have immunity from any |
liability, civil, criminal, or
otherwise, if the information is |
disclosed relying upon the representation
of an officer of a |
law enforcement agency that a missing person report has
been |
filed.
|
(c) Upon the request of a law enforcement agency in |
|
connection with the
investigation of a particular felony or sex |
offense, when the investigation
case file number is furnished |
by the law enforcement agency, a facility
director shall |
immediately disclose to that law enforcement agency
|
identifying information on any forensic recipient who is |
admitted to
a developmental disability or mental health |
facility, as defined in Section
1-107 or 1-114 of the Mental |
Health and Developmental Disabilities Code,
who was or may have |
been away from the facility at or about the time of the
|
commission of a particular felony or sex offense, and: (1) |
whose
description, clothing, or both reasonably match the |
physical description of
any person allegedly involved in that |
particular felony or sex offense; or
(2) whose past modus |
operandi matches the modus operandi of that particular
felony |
or sex offense.
|
(d) For the purposes of this Section and Section 12.1, "law
|
enforcement agency" means an agency of the State or unit of |
local
government that is vested by law or ordinance with the |
duty to maintain
public order and to enforce criminal laws or |
ordinances, the Federal
Bureau of Investigation, the Central |
Intelligence Agency, and the United
States Secret Service.
|
(e) For the purpose of this Section, "identifying |
information" means
the name, address, age, and a physical |
description, including clothing,
of the recipient of services, |
the names and addresses of the
recipient's nearest known |
relatives, where the recipient was known to have been
during |
|
any past unauthorized absences from a facility, whether the
|
recipient may be suicidal, and the condition of the recipient's |
physical
health as it relates to exposure to the weather. |
Except as provided in
Section 11, in no case shall the facility |
director disclose to the law
enforcement agency any information |
relating to the diagnosis, treatment, or
evaluation of the |
recipient's mental or physical health, unless the
disclosure is |
deemed necessary by the facility director to insure the
safety |
of the investigating officers or general public.
|
(f) For the purpose of this Section, "forensic recipient" |
means a
recipient who is placed in a developmental disability |
facility or mental
health facility, as defined in Section 1-107 |
or 1-114 of the Mental Health
and Developmental Disabilities |
Code, pursuant to Article 104 of the Code of
Criminal Procedure |
of 1963 or Sections 3-8-5, 3-10-5 or 5-2-4 of the Unified Code
|
of Corrections.
|
(Source: P.A. 96-1191, eff. 7-22-10; revised 11-22-13.)
|
Section 745. The Illinois Parentage Act of 1984 is amended |
by changing Section 15 as follows:
|
(750 ILCS 45/15) (from Ch. 40, par. 2515)
|
Sec. 15. Enforcement of Judgment or Order.
|
(a) If existence of the
parent and child relationship is |
declared, or paternity or duty of support
has been established |
under this Act or under prior law or under the law
of any other |
|
jurisdiction, the judgment rendered thereunder may be enforced
|
in the same or other proceedings by any party or any person or |
agency that
has furnished or may furnish financial assistance |
or services to the child.
The Income Withholding for Support |
Act and Sections 14 and 16 of this Act shall
also be applicable |
with respect
to entry, modification and enforcement of any |
support judgment entered
under provisions of the "Paternity |
Act", approved July 5, 1957, as amended,
repealed July 1, 1985.
|
(b) Failure to comply with any order of the court shall be |
punishable
as contempt as in other cases of failure to comply |
under the "Illinois
Marriage and Dissolution of Marriage Act", |
as now or hereafter amended. In
addition to other penalties |
provided by law, the court may, after finding
the party guilty |
of contempt, order that the party be:
|
(1) Placed on probation with such conditions of |
probation as the
court deems advisable;
|
(2) Sentenced to periodic imprisonment for a period not |
to exceed 6
months. However, the court may permit the party |
to be released for periods
of time during the day or night |
to work or conduct business or other
self-employed |
occupation. The court may further order any part of all the
|
earnings of a party during a sentence of periodic |
imprisonment to be paid to
the Clerk of the Circuit Court |
or to the person or parent having custody of
the minor |
child for the support of said child until further order of |
the court.
|
|
(c) (2.5) The court may also pierce the ownership veil of a |
person, persons,
or
business entity to discover assets of a |
non-custodial parent held in the name
of that person, those |
persons, or that business entity if there is a unity of
|
interest and ownership sufficient to render no financial |
separation between the
non-custodial parent and that person, |
those persons, or the business entity.
The following |
circumstances are sufficient for a court to order discovery of
|
the assets of a person, persons, or business entity and to |
compel the
application of any discovered assets toward payment |
on the judgment for
support:
|
(1) The (A) the non-custodial parent and the person, |
persons, or business entity
maintain records together.
|
(2) The (B) the non-custodial parent and the person, |
persons, or business entity
fail to maintain an arms length |
relationship between themselves with regard to
any assets.
|
(3) The (C) the non-custodial parent transfers assets |
to the person, persons,
or business entity with the intent |
to perpetrate a fraud on the custodial
parent.
|
With respect to assets which are real property, no order |
entered under
this subsection (c) subdivision (2.5) shall |
affect the rights of bona fide purchasers,
mortgagees, judgment |
creditors, or other lien holders who acquire their
interests in |
the property prior to the time a notice of lis pendens pursuant |
to
the Code of Civil Procedure or a copy of the order is placed |
of record in the
office of the recorder of deeds for the county |
|
in which the real property is
located.
|
(d) (3) The court may also order that , in cases where the |
party is 90 days or
more delinquent in payment of support or |
has been adjudicated in arrears in an
amount equal to 90 days |
obligation or more, that the party's
Illinois driving |
privileges be suspended until the court
determines that the |
party is in compliance with the judgement or duty of
support. |
The court may also order that the parent be issued a family
|
financial responsibility driving permit that would allow |
limited
driving privileges for employment and medical purposes |
in
accordance with Section 7-702.1 of the Illinois Vehicle |
Code.
The clerk of the circuit court shall certify the order |
suspending
the driving privileges of the parent or granting the |
issuance of a
family financial responsibility driving permit to |
the Secretary of
State on forms prescribed by the Secretary. |
Upon receipt of the
authenticated documents, the
Secretary of |
State shall suspend the party's driving privileges until |
further
order of the court and shall, if ordered
by the court, |
subject to the provisions of Section 7-702.1 of the Illinois
|
Vehicle Code, issue a family financial responsibility
driving |
permit to the parent.
|
(e) In addition to the penalties or punishment that may be |
imposed under this
Section, any person whose conduct |
constitutes a violation of Section 15 of the
Non-Support |
Punishment Act may be prosecuted
under that Act,
and
a person |
convicted under that Act may be sentenced in
accordance with |
|
that
Act. The sentence may include but need not be limited to a
|
requirement
that the person
perform community service under |
Section 50 of that
Act or
participate in a work alternative |
program under Section 50
of that Act.
A person may not be |
required to
participate in a work alternative program
under |
Section 50 of that Act if the
person is currently participating
|
in a work program pursuant to Section 15.1 of this Act.
|
(f) (b-5) If a party who is found guilty of contempt for a |
failure to comply with an order to pay support is a person who |
conducts a business or who is self-employed, the court may in |
addition to other penalties provided by law order that the |
party do one or more of the following: (i) provide to the court |
monthly financial statements showing income and expenses from |
the business or the self-employment; (ii) seek employment and |
report periodically to the court with a diary, listing, or |
other memorandum of his or her employment search efforts; or |
(iii) report to the Department of Employment Security for job |
search services to find employment that will be subject to |
withholding of child support. |
(g) (c) In any post-judgment proceeding to enforce or |
modify the judgment
the parties shall continue to be designated |
as in the original proceeding.
|
(Source: P.A. 97-1029, eff. 1-1-13; revised 11-22-13.)
|
Section 750. The Adoption Act is amended by changing |
Section 1 as follows:
|
|
(750 ILCS 50/1) (from Ch. 40, par. 1501)
|
Sec. 1. Definitions. When used in this Act, unless the |
context
otherwise requires:
|
A. "Child" means a person under legal age subject to |
adoption under
this Act.
|
B. "Related child" means a child subject to adoption where |
either or both of
the adopting parents stands in any of the |
following relationships to the child
by blood or marriage: |
parent, grand-parent, brother, sister, step-parent,
|
step-grandparent, step-brother, step-sister, uncle, aunt, |
great-uncle,
great-aunt, or cousin of first degree. A child |
whose parent has executed
a final irrevocable consent to |
adoption or a final irrevocable surrender
for purposes of |
adoption, or whose parent has had his or her parental rights
|
terminated, is not a related child to that person, unless the |
consent is
determined to be void or is void pursuant to |
subsection O of Section 10.
|
C. "Agency" for the purpose of this Act means a public |
child welfare agency
or a licensed child welfare agency.
|
D. "Unfit person" means any person whom the court shall |
find to be unfit
to have a child, without regard to the |
likelihood that the child will be
placed for adoption. The |
grounds of unfitness are any one or more
of the following, |
except that a person shall not be considered an unfit
person |
for the sole reason that the person has relinquished a child in
|
|
accordance with the Abandoned Newborn Infant Protection Act:
|
(a) Abandonment of the child.
|
(a-1) Abandonment of a newborn infant in a hospital.
|
(a-2) Abandonment of a newborn infant in any setting |
where the evidence
suggests that the parent intended to |
relinquish his or her parental rights.
|
(b) Failure to maintain a reasonable degree of |
interest, concern or
responsibility as to the child's |
welfare.
|
(c) Desertion of the child for more than 3 months next |
preceding the
commencement of the Adoption proceeding.
|
(d) Substantial neglect
of the
child if continuous or |
repeated.
|
(d-1) Substantial neglect, if continuous or repeated, |
of any child
residing in the household which resulted in |
the death of that child.
|
(e) Extreme or repeated cruelty to the child.
|
(f) There is a rebuttable presumption, which can be |
overcome only by clear and convincing evidence, that a |
parent is unfit if:
|
(1) Two or more findings of physical abuse have |
been entered regarding any children under Section 2-21 |
of the Juvenile Court Act
of 1987, the most recent of |
which was determined by the juvenile court
hearing the |
matter to be supported by clear and convincing |
evidence; or |
|
(2) The parent has been convicted or found not |
guilty by reason of insanity and the conviction or |
finding resulted from the death of any child by |
physical abuse; or
|
(3) There is a finding of physical child abuse |
resulting from the death of any
child under Section |
2-21 of the
Juvenile Court Act of 1987. |
No conviction or finding of delinquency pursuant |
to Article V 5 of the Juvenile Court Act of 1987 shall |
be considered a criminal conviction for the purpose of |
applying any presumption under this item (f).
|
(g) Failure to protect the child from conditions within |
his environment
injurious to the child's welfare.
|
(h) Other neglect of, or misconduct toward the child; |
provided that in
making a finding of unfitness the court |
hearing the adoption proceeding
shall not be bound by any |
previous finding, order or judgment affecting
or |
determining the rights of the parents toward the child |
sought to be adopted
in any other proceeding except such |
proceedings terminating parental rights
as shall be had |
under either this Act, the Juvenile Court Act or
the |
Juvenile Court Act of 1987.
|
(i) Depravity. Conviction of any one of the following
|
crimes shall create a presumption that a parent is depraved |
which can be
overcome only by clear and convincing |
evidence:
(1) first degree murder in violation of paragraph |
|
1 or
2 of subsection (a) of Section 9-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012 or conviction
of |
second degree murder in violation of subsection (a) of |
Section 9-2 of the
Criminal Code of 1961 or the Criminal |
Code of 2012 of a parent of the child to be adopted; (2)
|
first degree murder or second degree murder of any child in
|
violation of the Criminal Code of 1961 or the Criminal Code |
of 2012; (3)
attempt or conspiracy to commit first degree |
murder or second degree murder
of any child in violation of |
the Criminal Code of 1961 or the Criminal Code of 2012; (4)
|
solicitation to commit murder of any child, solicitation to
|
commit murder of any child for hire, or solicitation to |
commit second
degree murder of any child in violation of |
the Criminal Code of 1961 or the Criminal Code of 2012; (5)
|
predatory criminal sexual assault of a child in violation |
of
Section 11-1.40 or 12-14.1 of the Criminal Code of 1961 |
or the Criminal Code of 2012; (6) heinous battery of any |
child in violation of the Criminal Code of 1961; or (7) |
aggravated battery of any child in violation of the |
Criminal Code of 1961 or the Criminal Code of 2012.
|
There is a rebuttable presumption that a parent is |
depraved if the parent
has been criminally convicted of at |
least 3 felonies under the laws of this
State or any other |
state, or under federal law, or the criminal laws of any
|
United States territory; and at least
one of these
|
convictions took place within 5 years of the filing of the |
|
petition or motion
seeking termination of parental rights.
|
There is a rebuttable presumption that a parent is |
depraved if that
parent
has
been criminally convicted of |
either first or second degree murder of any person
as |
defined in the Criminal Code of 1961 or the Criminal Code |
of 2012 within 10 years of the filing date of
the petition |
or motion to terminate parental rights. |
No conviction or finding of delinquency pursuant to |
Article 5 of the Juvenile Court Act of 1987 shall be |
considered a criminal conviction for the purpose of |
applying any presumption under this item (i).
|
(j) Open and notorious adultery or fornication.
|
(j-1) (Blank).
|
(k) Habitual drunkenness or addiction to drugs, other |
than those
prescribed by a physician, for at least one year |
immediately
prior to the commencement of the unfitness |
proceeding.
|
There is a rebuttable presumption that a parent is |
unfit under this
subsection
with respect to any child to |
which that parent gives birth where there is a
confirmed
|
test result that at birth the child's blood, urine, or |
meconium contained any
amount of a controlled substance as |
defined in subsection (f) of Section 102 of
the Illinois |
Controlled Substances Act or metabolites of such |
substances, the
presence of which in the newborn infant was |
not the result of medical treatment
administered to the |
|
mother or the newborn infant; and the biological mother of
|
this child is the biological mother of at least one other |
child who was
adjudicated a neglected minor under |
subsection (c) of Section 2-3 of the
Juvenile Court Act of |
1987.
|
(l) Failure to demonstrate a reasonable degree of |
interest, concern or
responsibility as to the welfare of a |
new born child during the first 30
days after its birth.
|
(m) Failure by a parent (i) to make reasonable efforts |
to correct the
conditions that were the basis for the |
removal of the child from the
parent during any 9-month |
period following the adjudication of neglected or abused |
minor under Section 2-3 of the Juvenile Court Act of 1987 |
or dependent minor under Section 2-4 of that Act, or (ii) |
to make reasonable progress
toward the return of the
child |
to the parent during any 9-month period following the |
adjudication of
neglected or abused minor under Section 2-3 |
of the Juvenile Court
Act of 1987 or dependent minor under |
Section 2-4 of that Act.
If a service plan has been |
established as
required under
Section 8.2 of the Abused and |
Neglected Child Reporting Act to correct the
conditions |
that were the basis for the removal of the child from the |
parent
and if those services were available,
then, for |
purposes of this Act, "failure to make reasonable progress |
toward the
return of the child to the parent" includes the |
parent's failure to substantially fulfill his or her |
|
obligations
under
the service plan and correct the |
conditions that brought the child into care
during any |
9-month period
following the adjudication under Section |
2-3 or 2-4 of the Juvenile Court
Act of 1987. |
Notwithstanding any other provision, when a petition or |
motion seeks to terminate parental rights on the basis of |
item (ii) of this subsection (m), the petitioner shall file |
with the court and serve on the parties a pleading that |
specifies the 9-month period or periods relied on. The |
pleading shall be filed and served on the parties no later |
than 3 weeks before the date set by the court for closure |
of discovery, and the allegations in the pleading shall be |
treated as incorporated into the petition or motion. |
Failure of a respondent to file a written denial of the |
allegations in the pleading shall not be treated as an |
admission that the allegations are true.
|
(m-1) Pursuant to the Juvenile Court Act of 1987, a |
child
has been in foster care for 15 months out of any 22 |
month period which begins
on or after the effective date of |
this amendatory Act of 1998 unless the
child's parent can |
prove
by a preponderance of the evidence that it is more |
likely than not that it will
be in the best interests of |
the child to be returned to the parent within 6
months of |
the date on which a petition for termination of parental |
rights is
filed under the Juvenile Court Act of 1987. The |
15 month time limit is tolled
during
any period for which |
|
there is a court finding that the appointed custodian or
|
guardian failed to make reasonable efforts to reunify the |
child with his or her
family, provided that (i) the finding |
of no reasonable efforts is made within
60 days of the |
period when reasonable efforts were not made or (ii) the |
parent
filed a motion requesting a finding of no reasonable |
efforts within 60 days of
the period when reasonable |
efforts were not made. For purposes of this
subdivision |
(m-1), the date of entering foster care is the earlier of: |
(i) the
date of
a judicial finding at an adjudicatory |
hearing that the child is an abused,
neglected, or |
dependent minor; or (ii) 60 days after the date on which |
the
child is removed from his or her parent, guardian, or |
legal custodian.
|
(n) Evidence of intent to forgo his or her parental |
rights,
whether or
not the child is a ward of the court, |
(1) as manifested
by his or her failure for a period of 12 |
months: (i) to visit the child,
(ii) to communicate with |
the child or agency, although able to do so and
not |
prevented from doing so by an agency or by court order, or |
(iii) to
maintain contact with or plan for the future of |
the child, although physically
able to do so, or (2) as |
manifested by the father's failure, where he
and the mother |
of the child were unmarried to each other at the time of |
the
child's birth, (i) to commence legal proceedings to |
establish his paternity
under the Illinois Parentage Act of |
|
1984 or the law of the jurisdiction of
the child's birth |
within 30 days of being informed, pursuant to Section 12a
|
of this Act, that he is the father or the likely father of |
the child or,
after being so informed where the child is |
not yet born, within 30 days of
the child's birth, or (ii) |
to make a good faith effort to pay a reasonable
amount of |
the expenses related to the birth of the child and to |
provide a
reasonable amount for the financial support of |
the child, the court to
consider in its determination all |
relevant circumstances, including the
financial condition |
of both parents; provided that the ground for
termination |
provided in this subparagraph (n)(2)(ii) shall only be
|
available where the petition is brought by the mother or |
the husband of
the mother.
|
Contact or communication by a parent with his or her |
child that does not
demonstrate affection and concern does |
not constitute reasonable contact
and planning under |
subdivision (n). In the absence of evidence to the
|
contrary, the ability to visit, communicate, maintain |
contact, pay
expenses and plan for the future shall be |
presumed. The subjective intent
of the parent, whether |
expressed or otherwise, unsupported by evidence of
the |
foregoing parental acts manifesting that intent, shall not |
preclude a
determination that the parent has intended to |
forgo his or her
parental
rights. In making this |
determination, the court may consider but shall not
require |
|
a showing of diligent efforts by an authorized agency to |
encourage
the parent to perform the acts specified in |
subdivision (n).
|
It shall be an affirmative defense to any allegation |
under paragraph
(2) of this subsection that the father's |
failure was due to circumstances
beyond his control or to |
impediments created by the mother or any other
person |
having legal custody. Proof of that fact need only be by a
|
preponderance of the evidence.
|
(o) Repeated or continuous failure by the parents, |
although physically
and financially able, to provide the |
child with adequate food, clothing,
or shelter.
|
(p) Inability to discharge parental responsibilities |
supported by
competent evidence from a psychiatrist, |
licensed clinical social
worker, or clinical psychologist |
of mental
impairment, mental illness or an intellectual |
disability as defined in Section
1-116 of the Mental Health |
and Developmental Disabilities Code, or
developmental |
disability as defined in Section 1-106 of that Code, and
|
there is sufficient justification to believe that the |
inability to
discharge parental responsibilities shall |
extend beyond a reasonable
time period. However, this |
subdivision (p) shall not be construed so as to
permit a |
licensed clinical social worker to conduct any medical |
diagnosis to
determine mental illness or mental |
impairment.
|
|
(q) (Blank).
|
(r) The child is in the temporary custody or |
guardianship of the
Department of Children and Family |
Services, the parent is incarcerated as a
result of |
criminal conviction at the time the petition or motion for
|
termination of parental rights is filed, prior to |
incarceration the parent had
little or no contact with the |
child or provided little or no support for the
child, and |
the parent's incarceration will prevent the parent from |
discharging
his or her parental responsibilities for the |
child for a period in excess of 2
years after the filing of |
the petition or motion for termination of parental
rights.
|
(s) The child is in the temporary custody or |
guardianship of the
Department of Children and Family |
Services, the parent is incarcerated at the
time the |
petition or motion for termination of parental rights is |
filed, the
parent has been repeatedly incarcerated as a |
result of criminal convictions,
and the parent's repeated |
incarceration has prevented the parent from
discharging |
his or her parental responsibilities for the child.
|
(t) A finding that at birth the child's blood,
urine, |
or meconium contained any amount of a controlled substance |
as
defined in subsection (f) of Section 102 of the Illinois |
Controlled Substances
Act, or a metabolite of a controlled |
substance, with the exception of
controlled substances or |
metabolites of such substances, the presence of which
in |
|
the newborn infant was the result of medical treatment |
administered to the
mother or the newborn infant, and that |
the biological mother of this child is
the biological |
mother of at least one other child who was adjudicated a
|
neglected minor under subsection (c) of Section 2-3 of the |
Juvenile Court Act
of 1987, after which the biological |
mother had the opportunity to enroll in
and participate in |
a clinically appropriate substance abuse
counseling, |
treatment, and rehabilitation program.
|
E. "Parent" means the father or mother of a lawful child of |
the parties or child born out of wedlock. For the purpose of |
this Act, a person who has executed a final and
irrevocable |
consent to adoption or a final and irrevocable surrender for
|
purposes of adoption, or whose parental rights have been |
terminated by a
court, is not a parent of the child who was the |
subject of the consent or
surrender, unless the consent is void |
pursuant to subsection O of Section 10.
|
F. A person is available for adoption when the person is:
|
(a) a child who has been surrendered for adoption to an |
agency and to
whose adoption the agency has thereafter |
consented;
|
(b) a child to whose adoption a person authorized by |
law, other than his
parents, has consented, or to whose |
adoption no consent is required pursuant
to Section 8 of |
this Act;
|
(c) a child who is in the custody of persons who intend |
|
to adopt him
through placement made by his parents;
|
(c-1) a child for whom a parent has signed a specific |
consent pursuant
to subsection O of Section 10;
|
(d) an adult who meets the conditions set forth in |
Section 3 of this
Act; or
|
(e) a child who has been relinquished as defined in |
Section 10 of the
Abandoned Newborn Infant Protection Act.
|
A person who would otherwise be available for adoption |
shall not be
deemed unavailable for adoption solely by reason |
of his or her death.
|
G. The singular includes the plural and the plural includes
|
the singular and the "male" includes the "female", as the |
context of this
Act may require.
|
H. "Adoption disruption" occurs when an adoptive placement |
does not
prove successful and it becomes necessary for the |
child to be removed from
placement before the adoption is |
finalized.
|
I. "Habitual residence" has the meaning ascribed to it in |
the federal Intercountry Adoption Act of 2000 and regulations |
promulgated thereunder.
|
J. "Immediate relatives" means the biological parents, the |
parents of
the biological parents and siblings of the |
biological parents.
|
K. "Intercountry adoption" is a process by which a child |
from a country
other than the United States is adopted by |
persons who are habitual residents of the United States, or the |
|
child is a habitual resident of the United States who is |
adopted by persons who are habitual residents of a country |
other than the United States.
|
L. "Intercountry Adoption Coordinator" means a staff |
person of the
Department of Children and Family Services |
appointed by the Director to
coordinate the provision of |
services related to an intercountry adoption.
|
M. "Interstate Compact on the Placement of Children" is a |
law enacted by all
states and certain territories for the |
purpose of establishing uniform procedures for handling
the |
interstate placement of children in foster homes, adoptive |
homes, or
other child care facilities.
|
N. (Blank).
|
O. "Preadoption requirements" means any conditions or |
standards established by the laws or administrative rules of |
this State that must be met by a prospective adoptive parent
|
prior to the placement of a child in an adoptive home.
|
P. "Abused child" means a child whose parent or immediate |
family member,
or any person responsible for the child's |
welfare, or any individual
residing in the same home as the |
child, or a paramour of the child's parent:
|
(a) inflicts, causes to be inflicted, or allows to be |
inflicted upon
the child physical injury, by other than |
accidental means, that causes
death, disfigurement, |
impairment of physical or emotional health, or loss
or |
impairment of any bodily function;
|
|
(b) creates a substantial risk of physical injury to |
the child by
other than accidental means which would be |
likely to cause death,
disfigurement, impairment of |
physical or emotional health, or loss or
impairment of any |
bodily function;
|
(c) commits or allows to be committed any sex offense |
against the child,
as sex offenses are defined in the |
Criminal Code of 2012
and extending those definitions of |
sex offenses to include children under
18 years of age;
|
(d) commits or allows to be committed an act or acts of |
torture upon
the child; or
|
(e) inflicts excessive corporal punishment.
|
Q. "Neglected child" means any child whose parent or other |
person
responsible for the child's welfare withholds or denies |
nourishment or
medically indicated treatment including food or |
care denied solely on the
basis of the present or anticipated |
mental or physical impairment as determined
by a physician |
acting alone or in consultation with other physicians or
|
otherwise does not provide the proper or necessary support, |
education
as required by law, or medical or other remedial care |
recognized under State
law as necessary for a child's |
well-being, or other care necessary for his
or her well-being, |
including adequate food, clothing and shelter; or who
is |
abandoned by his or her parents or other person responsible for |
the child's
welfare.
|
A child shall not be considered neglected or abused for the
|
|
sole reason that the child's parent or other person responsible |
for his
or her welfare depends upon spiritual means through |
prayer alone for the
treatment or cure of disease or remedial |
care as provided under Section 4
of the Abused and Neglected |
Child Reporting Act.
A child shall not be considered neglected |
or abused for the sole reason that
the child's parent or other |
person responsible for the child's welfare failed
to vaccinate, |
delayed vaccination, or refused vaccination for the child
due |
to a waiver on religious or medical grounds as permitted by |
law.
|
R. "Putative father" means a man who may be a child's |
father, but who (1) is
not married to the child's mother on or |
before the date that the child was or
is to be born and (2) has |
not established paternity of the child in a court
proceeding |
before the filing of a petition for the adoption of the child. |
The
term includes a male who is less than 18 years of age. |
"Putative father" does
not mean a man who is the child's father |
as a result of criminal sexual abuse
or assault as defined |
under Article 11 of the Criminal Code of 2012.
|
S. "Standby adoption" means an adoption in which a parent
|
consents to custody and termination of parental rights to |
become
effective upon the occurrence of a future event, which |
is either the death of
the
parent or the request of the parent
|
for the entry of a final judgment of adoption.
|
T. (Blank).
|
U. "Interstate adoption" means the placement of a minor |
|
child with a prospective adoptive parent for the purpose of |
pursuing an adoption for that child that is subject to the |
provisions of the Interstate Compact on Placement of Children. |
V. "Endorsement letter" means the letter issued by the |
Department of Children and Family Services to document that a |
prospective adoptive parent has met preadoption requirements |
and has been deemed suitable by the Department to adopt a child |
who is the subject of an intercountry adoption. |
W. "Denial letter" means the letter issued by the |
Department of Children and Family Services to document that a |
prospective adoptive parent has not met preadoption |
requirements and has not been deemed suitable by the Department |
to adopt a child who is the subject of an intercountry |
adoption. |
(Source: P.A. 97-227, eff. 1-1-12; 97-1109, eff. 1-1-13; |
97-1150, eff. 1-25-13; 98-455, eff. 1-1-14; 98-532, eff. |
1-1-14; revised 9-24-13 .)
|
Section 755. The Illinois Religious Freedom Protection and |
Civil Union Act is amended by changing Section 25 as follows: |
(750 ILCS 75/25)
|
Sec. 25. Prohibited civil unions. The following civil |
unions are prohibited: |
(1) a civil union entered into prior to both parties |
attaining 18 years of age; |
|
(2) a civil union entered into prior to the dissolution |
of a marriage or civil union or substantially similar legal |
relationship of one of the parties; |
(3) a civil union between an ancestor and a descendant |
descendent or between siblings whether the relationship is |
by the half or the whole blood or by adoption; |
(4) a civil union between an aunt or uncle and a niece |
or nephew, whether the relationship is by the half or the |
whole blood or by adoption; and |
(5) a civil union between first cousins.
|
(Source: P.A. 96-1513, eff. 6-1-11; revised 11-22-13.) |
Section 760. The Probate Act of 1975 is amended by changing |
Sections 11a-10 and 11a-23 as follows:
|
(755 ILCS 5/11a-10) (from Ch. 110 1/2, par. 11a-10)
|
Sec. 11a-10. Procedures preliminary to hearing.
|
(a) Upon the filing of a petition pursuant to Section |
11a-8, the court shall
set a date and place for hearing to take |
place within 30 days. The court
shall appoint a guardian ad |
litem to report to the court concerning the
respondent's best |
interests consistent with the provisions of this Section,
|
except that
the appointment of a guardian ad litem shall not be |
required when
the court determines that such appointment is not |
necessary for the protection
of the respondent or a reasonably |
informed decision on the petition.
If the guardian ad litem is |
|
not a licensed attorney, he or she shall be
qualified,
by
|
training or experience, to work with or advocate for the |
developmentally
disabled, mentally ill, physically disabled, |
the elderly, or persons disabled
because of mental |
deterioration, depending on the type of disability that is
|
alleged in the petition.
The court may allow the guardian ad |
litem reasonable compensation. The
guardian ad litem may |
consult with a person who by training or experience is
|
qualified to work with persons with a developmental disability, |
persons with
mental illness, or physically disabled persons, or |
persons disabled because of
mental deterioration, depending on |
the type of disability that is alleged.
The guardian ad litem |
shall personally observe the respondent prior to the
hearing |
and shall inform
him orally and in writing of the contents of |
the petition and of his rights
under Section 11a-11.
The |
guardian ad litem shall also attempt to elicit the respondent's |
position
concerning the adjudication of disability, the |
proposed guardian, a proposed
change in residential placement, |
changes in care that might result from the
guardianship, and |
other areas of inquiry deemed appropriate by the court.
|
Notwithstanding any provision in the Mental Health and |
Developmental Disabilities Confidentiality Act or any other |
law, a guardian ad litem shall have the right to inspect and |
copy any medical or mental health record of the respondent |
which the guardian ad litem deems necessary, provided that the |
information so disclosed shall not be utilized for any other |
|
purpose nor be redisclosed except in connection with the |
proceedings. At or before the hearing, the guardian ad litem |
shall file a written report
detailing his or her observations |
of the respondent, the responses of the
respondent to any of |
the inquires detailed in this Section, the opinion of the
|
guardian
ad litem or other professionals with whom the guardian |
ad litem consulted
concerning the appropriateness of |
guardianship, and any other material issue
discovered by the |
guardian ad litem. The guardian ad litem shall appear at the
|
hearing and testify as to any issues presented in his or her |
report.
|
(b) The court (1) may appoint counsel for the respondent, |
if the court finds
that the interests of the respondent will be |
best served by the appointment,
and (2) shall appoint counsel |
upon respondent's request or if the respondent
takes a position |
adverse to that of the guardian ad litem. The respondent
shall |
be permitted to obtain the appointment of counsel either at the |
hearing
or by any written or oral request communicated to the |
court prior to the
hearing. The summons shall inform the |
respondent of this right to obtain
appointed counsel. The court |
may allow counsel for the respondent reasonable
compensation.
|
(c) If the respondent is unable to pay the fee of the |
guardian ad litem or
appointed counsel, or both, the court may |
enter an order for
the petitioner to
pay all
such
fees or such |
amounts as the respondent or the respondent's estate may be |
unable
to pay.
However, in cases where the Office of State |
|
Guardian is the petitioner,
consistent with Section 30 of the |
Guardianship and Advocacy Act, where the public guardian is the |
petitioner, consistent with Section 13-5 of the Probate Act of |
1975,
where an adult protective services agency is the |
petitioner, pursuant to
Section 9 of the Adult Protective |
Services Act, or where the Department of Children and Family |
Services is the petitioner under subparagraph (d) of subsection |
(1) of Section 2-27 of the Juvenile Court Act of 1987, no |
guardian ad litem or legal fees shall be assessed against the |
Office of
State Guardian, the public guardian, or the adult |
protective services agency, or the Department of Children and |
Family Services.
|
(d) The hearing may be held at such convenient place as the |
court directs,
including at a facility in which the respondent |
resides.
|
(e) Unless he is the petitioner, the respondent shall be |
personally
served with a copy of the petition and a summons not |
less than 14 days
before the hearing.
The summons shall be |
printed in large, bold type and shall include the
following |
notice:
|
NOTICE OF RIGHTS OF RESPONDENT
|
You have been named as a respondent in a guardianship |
petition asking that
you be declared a disabled person. If the |
court grants the petition, a
guardian will be appointed for |
you. A copy of the guardianship petition is
attached for your |
convenience.
|
|
The date and time of the hearing are:
|
The place where the hearing will occur is:
|
The Judge's name and phone number is:
|
If a guardian is appointed for you, the guardian may be |
given the right to
make all
important personal decisions for |
you, such as where you may live, what medical
treatment you may |
receive, what places you may visit, and who may visit you. A
|
guardian may also be given the right to control and manage your |
money and other
property, including your home, if you own one. |
You may lose the right to make
these decisions for yourself.
|
You have the following legal rights:
|
(1) You have the right to be present at the court |
hearing.
|
(2) You have the right to be represented by a lawyer, |
either one that you
retain, or one appointed by the Judge.
|
(3) You have the right to ask for a jury of six persons |
to hear your case.
|
(4) You have the right to present evidence to the court |
and to confront
and
cross-examine witnesses.
|
(5) You have the right to ask the Judge to appoint an |
independent expert
to examine you and give an opinion about |
your need for a guardian.
|
(6) You have the right to ask that the court hearing be |
closed to the
public.
|
(7) You have the right to tell the court whom you |
prefer to have for your
guardian.
|
|
You do not have to attend the court hearing if you do not |
want to be there.
If you do not attend, the Judge may appoint a |
guardian if the Judge finds that
a guardian would be of benefit |
to you. The hearing will not be postponed or
canceled if you do |
not attend.
|
IT IS VERY IMPORTANT THAT YOU ATTEND THE HEARING IF YOU DO |
NOT WANT A
GUARDIAN OR IF YOU WANT SOMEONE OTHER THAN THE |
PERSON NAMED IN THE GUARDIANSHIP
PETITION TO BE YOUR GUARDIAN. |
IF YOU DO NOT WANT A GUARDIAN OF IF YOU HAVE ANY
OTHER |
PROBLEMS, YOU SHOULD CONTACT AN ATTORNEY OR COME TO COURT AND |
TELL THE
JUDGE.
|
Service of summons and the petition may be made by a |
private person 18
years
of
age or over who is not a party to the |
action.
|
(f) Notice of the time and place of the hearing shall be |
given by the
petitioner by mail or in person to those persons, |
including the proposed
guardian, whose names and addresses
|
appear in the petition and who do not waive notice, not less |
than 14 days
before the hearing.
|
(Source: P.A. 97-375, eff. 8-15-11; 97-1095, eff. 8-24-12; |
98-49, eff. 7-1-13; 98-89, eff. 7-15-13; revised 9-24-13.)
|
(755 ILCS 5/11a-23)
|
Sec. 11a-23. Reliance on authority of guardian, standby |
guardian,
short-term guardian. |
(a) For the purpose of this Section, "guardian", "standby |
|
guardian", and
"short-term guardian" includes temporary, |
plenary,
or limited guardians of all wards.
|
(b) Every health care provider and other person (reliant) |
has the right to
rely on any decision or direction made by the |
guardian, standby guardian, or
short-term guardian that is not |
clearly contrary to the law, to the same
extent
and with the |
same effect as though the decision or direction had been made |
or
given by the ward. Any person dealing with the guardian, |
standby guardian,
or
short-term guardian may presume in the |
absence of actual knowledge to the
contrary that the acts of |
the guardian, standby guardian, or short-term
guardian conform |
to the provisions of the law. A reliant shall not be
protected |
if the reliant has actual knowledge that the guardian, standby
|
guardian, or short-term guardian is not entitled to act or that |
any
particular action or inaction is contrary to the provisions |
of the law.
|
(c) A health care provider (provider) who relies on and |
carries out a
guardian's, standby guardian's, or short-term |
guardian's directions and who
acts with due care and in |
accordance with the law shall not be subject to any
claim based |
on lack of consent, or to criminal prosecution, or to
|
discipline for unprofessional conduct. Nothing in this Section |
shall be deemed
to protect a provider from liability for the |
provider's own negligence in the
performance of the provider's |
duties or in carrying out any instructions of the
guardian, |
standby guardian, or short-term guardian, and nothing in this
|
|
Section shall be deemed to alter the law of negligence as it |
applies to the
acts of any guardian or provider.
|
(d) A guardian, standby guardian, or short-term short term |
guardian, who acts or
refrains from acting is not subject to |
criminal prosecution or any claim based
upon lack of his or her |
authority or failure to act, if the act or failure to
act was |
with due care and in accordance with law. The guardian, standby
|
guardian, or short-term short term guardian, shall not be |
liable merely because he or
she
may benefit from the act, has |
individual or conflicting interests in relation
to the care and |
affairs of the ward, or acts in a different manner with
respect |
to the guardian's, standby guardian's, or short-term |
guardian's
own care or interests.
|
(Source: P.A. 89-438, eff. 12-15-95; 90-796, eff. 12-15-98; |
revised 11-22-13.)
|
Section 765. The Illinois Power of Attorney Act is amended |
by changing Sections 2-7 and 2-10 as follows:
|
(755 ILCS 45/2-7) (from Ch. 110 1/2, par. 802-7)
|
Sec. 2-7. Duty - standard of care - record-keeping - |
exoneration. |
(a) The agent shall be under
no duty to exercise the powers |
granted by the agency or to assume control
of or responsibility |
for any of the principal's property, care or affairs,
|
regardless of the principal's physical or mental condition. |
|
Whenever a
power is exercised, the agent shall act in good |
faith for the benefit of
the principal using due care, |
competence, and diligence in accordance with the terms of the |
agency and shall be
liable for negligent exercise. An agent who |
acts with due care for the
benefit of the principal shall not |
be liable or limited merely because the
agent also benefits |
from the act, has individual or conflicting interests
in |
relation to the property, care or affairs of the principal or |
acts in a
different manner with respect to the agency and the |
agent's individual
interests.
The agent shall not be
affected |
by any amendment or termination
of the agency until the agent |
has actual knowledge thereof. The agent
shall not be liable for |
any loss due to error of judgment nor for the act
or default of |
any other person.
|
(b) An agent that has accepted appointment must act in |
accordance with the principal's expectations to the extent |
actually known to the agent and otherwise in the principal's |
best interests. |
(c) An agent shall keep a record of all receipts, |
disbursements, and significant actions taken under the |
authority of the agency and shall provide a copy of this record |
when requested to do so by: |
(1) the principal, a guardian, another fiduciary |
acting on behalf of the principal, and, after the death of |
the principal, the personal representative or successors |
in interest of the principal's estate; |
|
(2) a representative of a provider agency, as defined |
in Section 2 of the Adult Protective Services Act, acting |
in the course of an assessment of a complaint of elder |
abuse or neglect under that Act; |
(3) a representative of the Office of the State Long |
Term Care Ombudsman, acting in the course of an |
investigation of a complaint of financial exploitation of a |
nursing home resident under Section 4.04 of the Illinois |
Act on the Aging; |
(4) a representative of the Office of Inspector General |
for the Department of Human Services, acting in the course |
of an assessment of a complaint of financial exploitation |
of an adult with disabilities pursuant to Section 35 of the |
Abuse of Adults with Disabilities Intervention Act; |
(5) a court under Section 2-10 of this Act; or |
(6) a representative of the Office of State Guardian or |
public guardian for the county in which the principal |
resides acting in the course of investigating whether to |
file a petition for guardianship of the principal under |
Section 11a-4 or 11a-8 of the Probate Act of 1975. |
(d) If the agent fails to provide his or her record of all |
receipts, disbursements, and significant actions within 21 |
days after a request under subsection (c), the adult abuse |
provider agency, the State Guardian, the public guardian, or |
the State Long Term Care Ombudsman may petition the court for |
an order requiring the agent to produce his or her record of |
|
receipts, disbursements, and significant actions. If the court |
finds that the agent's failure to provide his or her record in |
a timely manner to the adult abuse provider agency, the State |
Guardian, the public guardian, or the State Long Term Care |
Ombudsman was without good cause, the court may assess |
reasonable costs and attorney's fees against the agent, and |
order such other relief as is appropriate. |
(e) An agent is not required to disclose receipts, |
disbursements, or other significant actions conducted on |
behalf of the principal except as otherwise provided in the |
power of attorney or as required under subsection (c). |
(f) An agent that violates this Act is liable to the |
principal or the principal's successors in interest for the |
amount required (i) to restore the value of the principal's |
property to what it would have been had the violation not |
occurred, and (ii) to reimburse the principal or the |
principal's successors in interest for the attorney's fees and |
costs paid on the agent's behalf. This subsection does not |
limit any other applicable legal or equitable remedies. |
(Source: P.A. 98-49, eff. 7-1-13; 98-562, eff. 8-27-13; revised |
9-24-13.)
|
(755 ILCS 45/2-10) (from Ch. 110 1/2, par. 802-10)
|
Sec. 2-10. Agency-court relationship. |
(a) Upon petition by any interested
person (including the |
agent), with such notice to interested persons as the
court |
|
directs and a finding by the court that the principal
lacks |
either the capacity to control or the capacity to revoke the |
agency, the court may construe a power of attorney, review the |
agent's conduct, and grant appropriate relief including |
compensatory damages. |
(b) If the court finds
that the agent is not acting for the |
benefit of the principal in accordance
with the terms of the |
agency or that the agent's action or inaction has
caused or |
threatens substantial harm to the principal's person or |
property
in a manner not authorized or intended by the |
principal, the court may
order a guardian of the principal's |
person or estate to exercise any powers
of the principal under |
the agency, including the power to revoke the
agency, or may |
enter such other orders without appointment of a guardian as
|
the court deems necessary to provide for the best interests of |
the
principal. |
(c) If the court finds that the agency requires
|
interpretation, the court may construe the agency and instruct |
the agent,
but the court may not amend the agency. |
(d) If the court finds that the agent has not acted for the |
benefit of the principal in accordance with the terms of the |
agency and the Illinois Power of Attorney Act, or that the |
agent's action caused or threatened substantial harm to the |
principal's person or property in a manner not authorized or |
intended by the principal, then the agent shall not be |
authorized to pay or be reimbursed from the estate of the |
|
principal the attorneys' fees and costs of the agent in |
defending a proceeding brought pursuant to this Section. |
(e) Upon a finding that the agent's action has caused |
substantial harm to the principal's person or property, the |
court may assess against the agent reasonable costs and |
attorney's fees to a prevailing party who is a provider agency |
as defined in Section 2 of the Adult Protective Services Act, a |
representative of the Office of the State Long Term Care |
Ombudsman, the State Guardian, a public guardian, or a |
governmental agency having regulatory authority to protect the |
welfare of the principal. |
(f) As used in this Section, the term "interested person" |
includes (1) the principal or the agent; (2) a guardian of the |
person, guardian of the estate, or other fiduciary charged with |
management of the principal's property; (3) the principal's |
spouse, parent, or descendant; (4) a person who would be a |
presumptive heir-at-law of the principal; (5) a person named as |
a beneficiary to receive any property, benefit, or contractual |
right upon the principal's death, or as a beneficiary of a |
trust created by or for the principal; (6) a provider agency as |
defined in Section 2 of the Adult Protective Services Act, a |
representative of the Office of the State Long Term Care |
Ombudsman, the State Guardian, a public guardian, or a |
governmental agency having regulatory authority to protect the |
welfare of the principal; and (7) the principal's caregiver or |
another person who demonstrates sufficient interest in the |
|
principal's welfare. |
(g) Absent court order directing a
guardian to exercise |
powers of the principal under the agency, a guardian
will have |
no power, duty or liability with respect to any property |
subject
to the agency or any personal or health care matters |
covered by the agency. |
(h)
Proceedings under this Section shall be commenced in |
the county where the
guardian was appointed or, if no Illinois |
guardian is acting, then in the
county where the agent or |
principal resides or where the principal owns real property.
|
(i) This Section shall not be construed to limit any other |
remedies available. |
(Source: P.A. 98-49, eff. 7-1-13; 98-562, eff. 8-27-13; revised |
9-24-13.)
|
Section 770. The Illinois Anatomical Gift Act is amended by |
changing Section 1-10 as follows: |
(755 ILCS 50/1-10) (was 755 ILCS 50/2)
|
Sec. 1-10. Definitions.
|
"Close friend" means any person 18 years of age or older |
who has exhibited
special care
and concern for the decedent and |
who presents an affidavit to the decedent's
attending |
physician,
or the hospital administrator or his or her |
designated representative, stating
that he or she (i) was a
|
close friend of the decedent, (ii) is willing and able to |
|
authorize the
donation, and (iii)
maintained such regular |
contact with the decedent as to be familiar with the
decedent's |
health
and social history, and religious and moral beliefs. The |
affidavit must also
state facts and
circumstances that |
demonstrate that familiarity.
|
"Death" means, for the purposes of the Act, when, according |
to accepted medical standards, there is (i) an irreversible |
cessation of circulatory and respiratory functions; or (ii) an |
irreversible cessation of all functions of the entire brain, |
including the brain stem.
|
"Decedent" means a deceased individual and includes a |
stillborn
infant or fetus.
|
"Disinterested witness" means a witness other than the |
spouse, child, parent, sibling, grandchild, grandparent, or |
guardian of the individual who makes, amends, revokes, or |
refuses to make an anatomical gift, or another adult who |
exhibited special care and concern for the individual. The term |
does not include a person to whom an anatomical gift could pass |
under Section 5-12. |
"Document of gift" means a donor card or other record used |
to make an anatomical gift. The term includes a donor registry. |
"Donee" means the individual designated by the donor as the |
intended recipient or an entity which receives the anatomical |
gift, including, but not limited to, a hospital; an accredited |
medical school, dental school, college, or university; an organ |
procurement organization; an eye bank; a tissue bank; for |
|
research or education, a non-transplant anatomic bank; or other |
appropriate person. |
"Donor" means an individual whose body or part is the |
subject of an anatomical gift. .
|
"Hospital" means a hospital licensed, accredited or |
approved under
the laws of any state; and includes a hospital |
operated by the United
States government, a state, or a |
subdivision thereof, although not required
to be licensed under |
state laws.
|
"Non-transplant anatomic bank" means any facility or |
program operating or providing services in this State that is |
accredited by the American Association of Tissue Banks and that |
is involved in procuring, furnishing, or distributing whole |
bodies or parts for the purpose of medical education. For |
purposes of this Section, a non-transplant anatomic bank |
operating under the auspices of a hospital, accredited medical |
school, dental school, college or university, or federally |
designated organ procurement organization is not required to be |
accredited by the American Association of Tissue Banks.
|
"Organ" means a human kidney, liver, heart, lung, pancreas, |
small bowel, or
other
transplantable vascular body part as |
determined by the Organ Procurement and
Transplantation
|
Network, as periodically selected by the U.S. Department of |
Health and Human
Services.
|
"Organ procurement organization" means the organ |
procurement organization designated by the Secretary of the |
|
U.S. Department of Health and Human Services for the service |
area in which a hospital is located, or the organ procurement |
organization for which the Secretary of the U.S. Department of |
Health and Human Services has granted the hospital a waiver |
pursuant to 42 U.S.C. 1320b-8(a).
|
"Part" means organs, tissues, eyes, bones, arteries, |
blood, other
fluids and any other portions of a human body.
|
"Person" means an individual, corporation, government or
|
governmental subdivision or agency, business trust, estate, |
trust,
partnership or association or any other legal entity.
|
"Physician" or "surgeon" means a physician or surgeon |
licensed or
authorized to practice medicine in all of its |
branches under the laws of
any state.
|
"Procurement organization" means an organ procurement |
organization or a tissue bank. |
"Reasonably available for the giving of consent or refusal" |
means being able to be contacted by a procurement organization |
without undue effort and being willing and able to act in a |
timely manner consistent with existing medical criteria |
necessary for the making of an anatomical gift. |
"Recipient" means an individual into whose body a donor's |
part has been or is intended to be transplanted. |
"State" includes any state, district, commonwealth, |
territory,
insular possession, and any other area subject to |
the legislative authority
of the United States of America.
|
"Technician" means an individual trained and certified to |
|
remove
tissue, by a recognized medical training institution in |
the State of
Illinois.
|
"Tissue" means eyes, bones, heart valves, veins, skin, and |
any other portions
of
a human
body excluding blood, blood |
products or organs. |
"Tissue bank" means any facility or program operating in |
Illinois that is
accredited by
the American Association of |
Tissue Banks, the Eye Bank Association of America,
or the
|
Association of Organ Procurement Organizations and is involved |
in procuring,
furnishing,
donating, or distributing corneas, |
bones, or other human tissue for the purpose
of injecting,
|
transfusing, or transplanting any of them into the human body |
or for the purpose of research or education. "Tissue bank"
does |
not include
a licensed blood bank. For the purposes of this |
Act, "tissue" does not include
organs or blood or
blood |
products.
|
(Source: P.A. 98-172, eff. 1-1-14; revised 11-22-13.)
|
Section 775. The Common Interest Community Association Act |
is amended by changing Section 1-30 as follows: |
(765 ILCS 160/1-30)
|
Sec. 1-30. Board duties and obligations; records. |
(a) The board shall meet at least 4 times annually. |
(b) A common interest community association may not enter |
into a contract with a current board member, or with a |
|
corporation or partnership in which a board member or a member |
of his or her immediate family has 25% or more interest, unless |
notice of intent to enter into the contract is given to members |
within 20 days after a decision is made to enter into the |
contract and the members are afforded an opportunity by filing |
a petition, signed by 20% of the membership, for an election to |
approve or disapprove the contract; such petition shall be |
filed within 20 days after such notice and such election shall |
be held within 30 days after filing the petition. For purposes |
of this subsection, a board member's immediate family means the |
board member's spouse, parents, siblings, and children. |
(c) The bylaws shall provide for the maintenance, repair, |
and replacement of the common areas and payments therefor, |
including the method of approving payment vouchers. |
(d) (Blank). |
(e) The association may engage the services of a manager or |
management company. |
(f) The association shall have one class of membership |
unless the declaration or bylaws provide otherwise; however, |
this subsection (f) shall not be construed to limit the |
operation of subsection (c) of Section 1-20 of this Act. |
(g) The board shall have the power, after notice and an |
opportunity to be heard, to levy and collect reasonable fines |
from members or unit owners for violations of the declaration, |
bylaws, and rules and regulations of the common interest |
community association. |
|
(h) Other than attorney's fees and court or arbitration |
costs, no fees pertaining to the collection of a member's or |
unit owner's financial obligation to the association, |
including fees charged by a manager or managing agent, shall be |
added to and deemed a part of a member's or unit owner's |
respective share of the common expenses unless: (i) the |
managing agent fees relate to the costs to collect common |
expenses for the association; (ii) the fees are set forth in a |
contract between the managing agent and the association; and |
(iii) the authority to add the management fees to a member's or |
unit owner's respective share of the common expenses is |
specifically stated in the declaration or bylaws of the |
association. |
(i) Board records. |
(1) The board shall maintain the following records of |
the association and make them available for examination and |
copying at convenient hours of weekdays by any member or |
unit owner in a common interest community subject to the |
authority of the board, their mortgagees, and their duly |
authorized agents or attorneys: |
(i) Copies of the recorded declaration, other |
community instruments, other duly recorded covenants |
and bylaws and any amendments, articles of |
incorporation, annual reports, and any rules and |
regulations adopted by the board shall be available. |
Prior to the organization of the board, the developer |
|
shall maintain and make available the records set forth |
in this paragraph (i) for examination and copying. |
(ii) Detailed and accurate records in |
chronological order of the receipts and expenditures |
affecting the common areas, specifying and itemizing |
the maintenance and repair expenses of the common areas |
and any other expenses incurred, and copies of all |
contracts, leases, or other agreements entered into by |
the board shall be maintained. |
(iii) The minutes of all meetings of the board |
which shall be maintained for not less than 7 years. |
(iv) With a written statement of a proper purpose, |
ballots and proxies related thereto, if any, for any |
election held for the board and for any other matters |
voted on by the members, which shall be maintained for |
not less than one year. |
(v) With a written statement of a proper purpose, |
such other records of the board as are available for |
inspection by members of a not-for-profit corporation |
pursuant to Section 107.75 of the General Not For |
Profit Corporation Act of 1986 shall be maintained. |
(vi) With respect to units owned by a land trust, a |
living trust, or other legal entity, the trustee, |
officer, or manager of the entity may designate, in |
writing, a person to cast votes on behalf of the member |
or unit owner and a designation shall remain in effect |
|
until a subsequent document is filed with the |
association. |
(2) Where a request for records under this subsection |
is made in writing to the board or its agent, failure to |
provide the requested record or to respond within 30 days |
shall be deemed a denial by the board. |
(3) A reasonable fee may be charged by the board for |
the cost of retrieving and copying records properly |
requested. |
(4) If the board fails to provide records properly |
requested under paragraph (1) of this subsection (i) within |
the time period provided in that paragraph (1), the member |
may seek appropriate relief and shall be entitled to an |
award of reasonable attorney's fees and costs if the member |
prevails and the court finds that such failure is due to |
the acts or omissions of the board of managers or the board |
of directors. |
(j) The board shall have standing and capacity to act in a |
representative capacity in relation to matters involving the |
common areas or more than one unit, on behalf of the members or |
unit owners as their interests may appear.
|
(Source: P.A. 97-605, eff. 8-26-11; 97-1090, eff. 8-24-12; |
98-232, eff. 1-1-14; 98-241, eff. 8-9-13; revised 9-24-13.) |
Section 780. The Illinois Coordinate System Act is amended |
by changing Section 3 as follows:
|
|
(765 ILCS 225/3) (from Ch. 133, par. 103)
|
Sec. 3.
For the purpose of the use of the Illinois |
Coordinate System,
the State is divided into an "East Zone" and |
a "West Zone".
|
The area now included in the following counties constitutes |
the "East Zone":
Boone, Champaign, Clark, Clay, Coles, Cook, |
Crawford, Cumberland, DeKalb,
DeWitt, Douglas, DuPage, Edgar, |
Edwards, Effingham, Fayette, Ford, Franklin,
Gallatin, Grundy, |
Hamilton, Hardin, Iroquois, Jasper, Jefferson, Johnson,
Kane, |
Kankakee, Kendall, Lake, LaSalle, Lawrence, Livingston, |
McHenry, McLean,
Macon, Marion, Massac, Moultrie, Piatt, Pope, |
Richland, Saline, Shelby,
Vermilion, Wabash, Wayne, White, |
Will and Williamson.
|
The area now included in the following counties constitutes |
the "West Zone":
Adams, Alexander, Bond, Brown, Bureau, |
Calhoun, Carroll, Cass, Christian,
Clinton, Fulton, Greene, |
Hancock, Henderson, Henry, Jackson, Jersey, Jo Daviess |
JoDaviess ,
Knox, Lee, Logan, McDonough, Macoupin, Madison, |
Marshall, Mason, Menard,
Mercer, Monroe, Montgomery, Morgan, |
Ogle, Peoria, Perry, Pike, Pulaski,
Putnam, Randolph, Rock |
Island, St. Clair, Sangamon, Schuyler, Scott, Stark,
|
Stephenson, Tazewell, Union, Warren, Washington, Whiteside, |
Winnebago and Woodford.
|
(Source: P.A. 83-742; revised 11-22-13.)
|
|
Section 785. The Security Deposit Return Act is amended by |
changing Section 1.2 as follows: |
(765 ILCS 710/1.2) |
Sec. 1.2. Security deposit transfer. Notwithstanding |
Section 1.1, when a lessor transfers actual possession of a |
security deposit received from a lessee, including any |
statutory interest that has not been paid to a lessee, to a |
holder of the certificate of sale or deed issued pursuant to |
that certificate or, if no certificate or deed was issued, the |
purchaser of a foreclosed property under Article XV 15 of the |
Code of Civil Procedure, the holder or purchaser shall be |
liable to a lessee for the transferred security deposit, |
including any statutory interest that has not been paid to the |
lessee, as provided in this Act. Within 21 days after the |
transfer of the security deposits and receipt of the name and |
address of any lessee who paid a deposit, the holder or |
purchaser shall post a written notice on the primary entrance |
of each dwelling unit at the property with respect to which the |
holder or purchaser has acquired actual possession of a |
security deposit. The written notice shall state that the |
holder or purchaser has acquired the security deposit paid by |
the lessee in connection with the lessee's rental of that |
dwelling unit.
|
(Source: P.A. 97-575, eff. 8-26-11; revised 11-22-13.) |
|
Section 790. The Cemetery Protection Act is amended by |
changing Sections 13 and 14 as follows:
|
(765 ILCS 835/13) (from Ch. 21, par. 21.6)
|
Sec. 13. In the event that, at any time within one year |
after adjudication
of abandonment, the owner or claimant of an |
a interment right, entombment rights in a community mausoleum |
or lawn crypt section, or an inurnment right in a community |
columbarium which has
been adjudged abandoned, shall contact |
the court or the cemetery authority
and pay all maintenance or |
care charges that are
due and unpaid, shall reimburse the |
cemetery authority for the costs of
suit and necessary expenses |
incurred in the proceeding with respect to such
interment |
right, entombment rights in a community mausoleum or lawn crypt |
section, or inurnment right in a community columbarium and |
shall contract for its future care and
maintenance, then such |
lot, or part thereof,
shall not be sold as herein
provided and, |
upon petition of the owner or claimant, the order or judgment
|
adjudging
the same to have been abandoned shall be vacated as |
to such interment right, entombment rights in a community |
mausoleum or lawn crypt section, or inurnment right in a |
community columbarium.
|
(Source: P.A. 94-44, eff. 6-17-05; revised 11-22-13.)
|
(765 ILCS 835/14) (from Ch. 21, par. 21.7)
|
Sec. 14. After the expiration of one year from the date of |
|
entry of an
order adjudging an a interment right, entombment |
rights in a community mausoleum or lawn crypt section, or |
inurnment right in a community columbarium to have been |
abandoned, a cemetery
authority shall have the right to do so |
and may sell such interment right, entombment rights in a |
community mausoleum or lawn crypt section, or inurnment right |
in a community columbarium at public sale and grant an easement |
therein for burial purposes
to the purchaser at such sale, |
subject to the interment of any human
remains theretofore |
placed therein and the right to maintain memorials
placed |
thereon. A cemetery authority may bid at and purchase such |
interment right, entombment rights in a community mausoleum or |
lawn crypt section, or inurnment right in a community |
columbarium at such sale.
|
Notice of the time and place of any sale held pursuant to |
an order
adjudicating abandonment of a cemetery interment |
right, entombment rights in a community mausoleum or lawn crypt |
section, or inurnment right in a community columbarium shall be |
published
once in a newspaper of general circulation in the |
county in which the
cemetery is located, such publication to be |
not less than 30 days prior to
the date of sale.
|
The proceeds derived from any sale shall be used to |
reimburse the
petitioner for the costs of suit and necessary |
expenses, including
attorney's fees, incurred by petitioner in |
the proceeding, and the balance,
if any, shall be deposited |
into the cemetery authority's care fund or, if
there is no care |
|
fund, used by the cemetery authority for the care of its
|
cemetery and for no other purpose.
|
(Source: P.A. 94-44, eff. 6-17-05; revised 11-22-13.)
|
Section 795. The Uniform Disposition of Unclaimed Property |
Act is amended by changing Section 18 as follows:
|
(765 ILCS 1025/18) (from Ch. 141, par. 118)
|
Sec. 18. Deposit of funds received under the Act.
|
(a) The State Treasurer shall retain all funds received |
under this Act,
including the proceeds from
the sale of |
abandoned property under Section 17, in a trust fund. The State |
Treasurer may deposit any amount in the Trust Fund into the |
State Pensions Fund during the fiscal year at his or her |
discretion; however, he or she shall,
on April 15 and October |
15 of each year, deposit any amount in the trust fund
exceeding |
$2,500,000 into the State Pensions Fund. If on either April 15 |
or October 15, the State Treasurer determines that a balance of |
$2,500,000 is insufficient for the prompt payment of unclaimed |
property claims authorized under this Act, the Treasurer may |
retain more than $2,500,000 in the Unclaimed Property Trust |
Fund in order to ensure the prompt payment of claims. Beginning |
in State fiscal year 2015, all amounts that are deposited into |
the State Pensions Fund from the Unclaimed Property Trust Fund |
shall be apportioned to the designated retirement systems as |
provided in subsection (c-6) of Section 8.12 of the State |
|
Finance Act to reduce their actuarial reserve deficiencies. He |
or she shall make prompt payment of claims he or she
duly |
allows as provided for in this Act for the trust fund.
Before |
making the deposit the State Treasurer
shall record the name |
and last known address of each person appearing from the
|
holders' reports to be entitled to the abandoned property. The |
record shall be
available for public inspection during |
reasonable business
hours.
|
(b) Before making any deposit to the credit of the State |
Pensions Fund,
the State Treasurer may deduct: (1) any costs in |
connection with sale of
abandoned property, (2) any costs of |
mailing and publication in connection with
any abandoned |
property, and (3) any costs in connection with the maintenance |
of
records or disposition of claims made pursuant to this Act. |
The State
Treasurer shall semiannually file an itemized report |
of all such expenses with
the Legislative Audit Commission.
|
(Source: P.A. 97-732, eff. 6-30-12; 98-19, eff. 6-10-13; 98-24, |
eff. 6-19-13; revised 9-24-13.)
|
Section 800. The Business Corporation Act of 1983 is |
amended by changing Section 15.75 as follows:
|
(805 ILCS 5/15.75) (from Ch. 32, par. 15.75)
|
Sec. 15.75. Rate of franchise taxes payable by foreign |
corporations.
|
(a) The annual franchise tax payable by each foreign |
|
corporation
shall be computed at the rate of 1/12 of 1/10 of 1% |
for each calendar month
or fraction thereof for the period |
commencing on the first day of July 1983
to the first day of |
the anniversary month in 1984, but in no event shall
the amount |
of the annual franchise tax be less than $2.083333 per month
|
based on a minimum of $25 per annum or more than $83,333.333333 |
per month;
commencing on January 1, 1984 to the first day of |
the anniversary month in
2004, the annual franchise tax payable |
by each foreign corporation
shall be computed at the rate of |
1/10 of 1% for the 12-months' period
commencing on the first |
day of the anniversary month or, in the case
of
a corporation |
that has established an extended filing month, the extended
|
filing month of the corporation, but in no event shall the |
amount of the
annual franchise tax be less than $25 nor more |
than $1,000,000 per annum;
commencing on January 1, 2004, the |
annual franchise tax payable by each
foreign corporation shall |
be computed at the rate of 1/10 of 1% for the
12-month period |
commencing on the first day of the anniversary month or, in
the |
case of a corporation that has established an extended filing |
month, the
extended filing month of the corporation, but in no |
event shall the amount of
the annual franchise tax be less than |
$25 nor more than then $2,000,000 per annum.
|
(b) The annual franchise tax payable by each foreign |
corporation at the
time of filing a statement of election and |
interim annual report in
connection with an anniversary month |
prior to January, 2004 shall be
computed at the rate of 1/10 of |
|
1% for the 12 month period commencing on
the first day of the |
anniversary month of the corporation next following
the filing, |
but in no event shall the amount of the annual franchise tax
be |
less than $25 nor more than $1,000,000 per annum; commencing |
with the
first anniversary month that occurs after December,
|
2003,
the annual franchise tax payable by each foreign |
corporation at the time of
filing a statement of election and |
interim annual report shall be computed
at the rate of 1/10 of |
1% for the 12-month period commencing on the first day
of the |
anniversary month of the corporation next following such |
filing, but in
no event shall the amount of the annual
|
franchise tax be less than $25 nor more
than $2,000,000 per |
annum.
|
(c) The annual franchise tax payable at the time of filing |
the final
transition annual report in connection with an |
anniversary month prior to
January, 2004 shall be an amount |
equal to (i) 1/12 of 1/10 of 1%
per month of the proportion of |
paid-in capital represented in this State as
shown in the final |
transition annual report multiplied by (ii) the number
of |
months commencing with the anniversary month next following the |
filing
of the statement of election until, but excluding, the |
second extended
filing month, less the annual franchise tax |
theretofore paid at the time of
filing the statement of |
election, but in no event shall the amount of the
annual |
franchise tax be less than $2.083333 per month based on a |
minimum of
$25 per annum or more than $83,333.333333 per month; |
|
commencing with the
first anniversary month that occurs after |
December,
2003,
the annual franchise tax payable at the time of |
filing the final transition
annual report shall be an amount |
equal to (i) 1/12 of 1/10 of 1% per month of
the proportion of |
paid-in capital represented in this State as shown in the
final |
transition annual report multiplied by (ii) the number of |
months
commencing with the anniversary month next following the |
filing of the
statement of election until, but excluding, the |
second extended filing month,
less the annual franchise tax |
theretofore paid at the time of filing the
statement of |
election, but in no event shall the amount of the annual |
franchise
tax be less than $2.083333 per month based on a |
minimum of $25 per annum or
more than $166,666.666666 per |
month.
|
(d) The initial franchise tax payable after January 1, |
1983, but prior
to
January 1, 1991, by each foreign corporation |
shall be computed at the rate
of 1/10 of 1% for the 12 months' |
period commencing on the first day of the
anniversary month in |
which the application for authority
is
filed by the
corporation |
under Section 13.15 of this Act, but in no event shall the
|
franchise tax be less than $25 nor more than $1,000,000 per |
annum. Except
in the case of a foreign corporation that has |
begun transacting business in
Illinois prior to January 1, |
1991, the initial franchise tax payable on or
after January 1, |
1991, by each foreign
corporation, shall be computed at
the |
rate of 15/100 of 1% for the 12-month period commencing on
the |
|
first
day of the anniversary month in which the application for |
authority is
filed by the corporation under Section 13.15 of |
this Act, but
in no event
shall the franchise tax for a taxable |
year commencing prior to January 1,
2004 be less than $25 nor |
more than $1,000,000 per annum
plus 1/20 of 1% of the basis |
therefor
and in no event shall the franchise tax for a taxable |
year commencing on or
after
January 1, 2004 be less than $25 or |
more than $2,000,000 per annum plus 1/20 of
1% of the basis |
therefor.
|
(e) Whenever the application for authority indicates
that
|
the corporation commenced transacting business:
|
(1) prior to January 1, 1991, the initial franchise tax |
shall be
computed at the rate of 1/12 of 1/10 of 1% for |
each calendar month; or
|
(2) after December 31, 1990, the initial franchise tax |
shall be
computed at the rate of 1/12 of 15/100 of 1% for |
each calendar month.
|
(f) Each additional franchise tax payable by each foreign |
corporation
for the
period beginning January 1, 1983 through |
December 31, 1983 shall be computed
at the rate of 1/12 of 1/10 |
of 1% for each calendar month or fraction thereof
between the |
date of each respective increase in its paid-in capital
and its |
anniversary month in 1984; thereafter until the last day of the
|
month that is both after December 31, 1990 and the third month |
immediately
preceding the anniversary month in 1991, each |
additional franchise tax
payable by each foreign corporation |
|
shall be computed at the rate of 1/12
of 1/10 of 1% for each |
calendar month, or fraction thereof, between the
date of each |
respective increase in its paid-in capital and its next
|
anniversary month; however, if the increase occurs within the 2 |
month
period immediately preceding the anniversary month, the |
tax shall be
computed to the anniversary month of the next |
succeeding calendar year.
Commencing with increases in paid-in |
capital that occur subsequent to both
December 31, 1990 and the |
last day of the third month immediately preceding
the |
anniversary month in 1991, the additional franchise tax payable |
by a
foreign corporation shall be computed at the rate of |
15/100 of 1%.
|
(Source: P.A. 92-33, eff. 7-1-01; 93-32, eff. 12-1-03; revised |
11-14-13.)
|
Section 805. The Illinois Securities Law of 1953 is amended |
by changing Section 11.5 as follows:
|
(815 ILCS 5/11.5)
|
Sec. 11.5. Securities exchange registration.
|
(a) A person shall not operate a securities exchange in |
this State unless it
has been registered with the Secretary of |
State.
|
(b) The Secretary of State shall adopt rules or regulations |
necessary to
carry out the provisions of this Section, |
including rules or regulations
prescribing:
|
|
(1) The fees for the registration of a securities |
exchange; and
|
(2) The bonding and minimum capitalization |
requirements for a securities
exchange.
|
(c) The Securities Director, or his or her designee, shall |
investigate the
qualifications of each person who applies to |
the Secretary of State for the
registration of a securities |
exchange. The applicant shall pay the cost of the
|
investigation.
|
(d) The Secretary of State may deny, suspend, or revoke the |
registration of
a
securities exchange if the Securities |
Director, or his or her designee, determines
that such action |
is in the public interest and the provisions of subsection (a)
|
of this Section are applicable to the person who applied for |
the registration
of a securities exchange.
|
(e) A securities exchange located in this State shall not |
allow the trading
of a security in this State unless it is |
issued by an issuer that has complied
with the requirements of |
this Act and any other applicable requirements of
federal or |
State law.
|
(f) Any transaction, solicitation, or other activity |
directly related to
the purchase, sale, or other transfer of |
securities listed on a securities
exchange located in this |
State shall be deemed to be a transaction in this
State.
|
(g) The Secretary of State may establish reasonable fees by |
rule or
regulation.
|
|
(h) A registered dealer or salesperson shall not use a |
securities exchange
to effect or report any transaction |
concerning a security unless the securities
exchange is |
registered with the Secretary of State or is excluded from the
|
provisions of Section 2.28 and this Section of the Act.
|
(Source: P.A. 89-209, eff. 1-1-96; revised 11-14-13.)
|
Section 810. The Waste Oil Recovery Act is amended by |
changing Section 2 as follows:
|
(815 ILCS 440/2) (from Ch. 96 1/2, par. 7702)
|
Sec. 2. Definitions. As used in this Act, unless the |
context otherwise
requires, words and phrases shall have the |
meanings ascribed to them in the Sections following this |
Section and preceding Section 3
Sections 2.1 through 2.10 .
|
(Source: P.A. 81-379; revised 11-14-13.)
|
Section 815. The Consumer Fraud and Deceptive Business |
Practices Act is amended by changing Section 2MM as follows:
|
(815 ILCS 505/2MM)
|
Sec. 2MM. Verification of accuracy of consumer reporting |
information used to
extend consumers credit and security freeze |
on credit reports. |
(a) A credit card issuer who mails an offer or solicitation |
to apply for a
credit card and who receives a completed |
|
application in response to the offer
or
solicitation which |
lists an address that is not substantially the same as the
|
address on the offer or solicitation may not issue a credit |
card based on that
application until reasonable steps have been |
taken to verify the applicant's
change of address.
|
(b) Any person who uses a consumer credit report in |
connection with the
approval of credit based on the application |
for an extension of credit, and who
has received notification |
of a police report filed with a consumer reporting
agency that |
the applicant has been a victim of financial
identity theft, as |
defined in Section 16-30 or 16G-15 of the Criminal Code of 1961 |
or the Criminal Code of 2012, may
not lend money or extend |
credit without taking reasonable steps to verify the
consumer's |
identity and confirm that the application for an extension of
|
credit
is not the result of financial identity theft.
|
(c) A consumer may request that a security freeze be placed |
on his or her credit report by sending a request in writing by |
certified mail to a consumer reporting agency at an address |
designated by the consumer reporting agency to receive such |
requests. |
The following persons may request that a security freeze be |
placed on the credit report of a disabled person: |
(1) a guardian of the disabled person that is the |
subject of the request, appointed under Article XIa of the |
Probate Act of 1975; and |
(2) an agent of the disabled person that is the subject |
|
of the request, under a written durable power of attorney |
that complies with the Illinois Power of Attorney Act. |
The following persons may request that a security freeze |
be placed on the credit report of a minor: |
(1) a guardian of the minor that is the subject of the |
request, appointed under Article XI of the Probate Act of |
1975; |
(2) a parent of the minor that is the subject of the |
request; and |
(3) a guardian appointed under the Juvenile Court Act |
of 1987 for a minor under the age of 18 who is the subject |
of the request or, with a court order authorizing the |
guardian consent power, for a youth who is the subject of |
the request who has attained the age of 18, but who is |
under the age of 21. |
This subsection (c) does not prevent a consumer reporting |
agency from advising a third party that a security freeze is in |
effect with respect to the consumer's credit report.
|
(d) A consumer reporting agency shall place a security |
freeze on a consumer's credit report no later than 5 business |
days after receiving a written request from the consumer:
|
(1) a written request described in subsection (c); |
(2) proper identification; and |
(3) payment of a fee, if applicable.
|
(e) Upon placing the security freeze on the consumer's |
credit report, the consumer reporting agency shall send to the |
|
consumer within 10 business days a written confirmation of the |
placement of the security freeze and a unique personal |
identification number or password or similar device, other than |
the consumer's Social Security number, to be used by the |
consumer when providing authorization for the release of his or |
her credit report for a specific party or period of time.
|
(f) If the consumer wishes to allow his or her credit |
report to be accessed for a specific party or period of time |
while a freeze is in place, he or she shall contact the |
consumer reporting agency using a point of contact designated |
by the consumer reporting agency, request that the freeze be |
temporarily lifted, and provide the following:
|
(1) Proper identification;
|
(2) The unique personal identification number or |
password or similar device provided by the consumer |
reporting agency;
|
(3) The proper information regarding the third party or |
time period for which the report shall be available to |
users of the credit report; and
|
(4) A fee, if applicable.
|
A security freeze for a minor may not be temporarily |
lifted. This Section does not require a consumer reporting |
agency to provide to a minor or a parent or guardian of a minor |
on behalf of the minor a unique personal identification number, |
password, or similar device provided by the consumer reporting |
agency for the minor, or parent or guardian of the minor, to |
|
use to authorize the consumer reporting agency to release |
information from a minor. |
(g) A consumer reporting agency shall develop a contact |
method to receive and process a request from a consumer to |
temporarily lift a freeze on a credit report pursuant to |
subsection (f) in an expedited manner.
|
A contact method under this subsection shall include:
(i) a |
postal address; and (ii) an electronic contact method chosen by |
the consumer reporting agency, which may include the use of |
telephone, fax, Internet, or other electronic means.
|
(h) A consumer reporting agency that receives a request |
from a consumer to temporarily lift a freeze on a credit report |
pursuant to subsection (f), shall comply with the request no |
later than 3 business days after receiving the request.
|
(i) A consumer reporting agency shall remove or temporarily |
lift a freeze placed on a consumer's credit report only in the |
following cases:
|
(1) upon consumer request, pursuant to subsection (f) |
or subsection (l) of this Section; or
|
(2) if the consumer's credit report was frozen due to a |
material misrepresentation of fact by the consumer.
|
If a consumer reporting agency intends to remove a freeze |
upon a consumer's credit report pursuant to this subsection, |
the consumer reporting agency shall notify the consumer in |
writing prior to removing the freeze on the consumer's credit |
report.
|
|
(j) If a third party requests access to a credit report on |
which a security freeze is in effect, and this request is in |
connection with an application for credit or any other use, and |
the consumer does not allow his or her credit report to be |
accessed for that specific party or period of time, the third |
party may treat the application as incomplete.
|
(k) If a consumer requests a security freeze, the credit |
reporting agency shall disclose to the consumer the process of |
placing and temporarily lifting a security freeze, and the |
process for allowing access to information from the consumer's |
credit report for a specific party or period of time while the |
freeze is in place.
|
(l) A security freeze shall remain in place until the |
consumer or person authorized under subsection (c) to act on |
behalf of the minor or disabled person that is the subject of |
the security freeze requests, using a point of contact |
designated by the consumer reporting agency, that the security |
freeze be removed. A credit reporting agency shall remove a |
security freeze within 3 business days of receiving a request |
for removal from the consumer, who provides:
|
(1) Proper identification;
|
(2) The unique personal identification number or |
password or similar device provided by the consumer |
reporting agency; and
|
(3) A fee, if applicable.
|
(m) A consumer reporting agency shall require proper |
|
identification of the person making a request to place or |
remove a security freeze and may require proper identification |
and proper authority from the person making the request to |
place or remove a freeze on behalf of the disabled person or |
minor.
|
(n) The provisions of subsections (c) through (m) of this |
Section do not apply to the use of a consumer credit report by |
any of the following:
|
(1) A person or entity, or a subsidiary, affiliate, or |
agent of that person or entity, or an assignee of a |
financial obligation owing by the consumer to that person |
or entity, or a prospective assignee of a financial |
obligation owing by the consumer to that person or entity |
in conjunction with the proposed purchase of the financial |
obligation, with which the consumer has or had prior to |
assignment an account or contract, including a demand |
deposit account, or to whom the consumer issued a |
negotiable instrument, for the purposes of reviewing the |
account or collecting the financial obligation owing for |
the account, contract, or negotiable instrument. For |
purposes of this subsection, "reviewing the account" |
includes activities related to account maintenance, |
monitoring, credit line increases, and account upgrades |
and enhancements.
|
(2) A subsidiary, affiliate, agent, assignee, or |
prospective assignee of a person to whom access has been |
|
granted under subsection (f) of this Section for purposes |
of facilitating the extension of credit or other |
permissible use.
|
(3) Any state or local agency, law enforcement agency, |
trial court, or private collection agency acting pursuant |
to a court order, warrant, or subpoena.
|
(4) A child support agency acting pursuant to Title |
IV-D of the Social Security Act.
|
(5) The State or its agents or assigns acting to |
investigate fraud.
|
(6) The Department of Revenue or its agents or assigns |
acting to investigate or collect delinquent taxes or unpaid |
court orders or to fulfill any of its other statutory |
responsibilities.
|
(7) The use of credit information for the purposes of |
prescreening as provided for by the federal Fair Credit |
Reporting Act.
|
(8) Any person or entity administering a credit file |
monitoring subscription or similar service to which the |
consumer has subscribed.
|
(9) Any person or entity for the purpose of providing a |
consumer with a copy of his or her credit report or score |
upon the consumer's request.
|
(10) Any person using the information in connection |
with the underwriting of insurance.
|
(n-5) This Section does not prevent a consumer reporting |
|
agency from charging a fee of no more than $10 to a consumer |
for each freeze, removal, or temporary lift of the freeze, |
regarding access to a consumer credit report, except that a |
consumer reporting agency may not charge a fee to (i) a |
consumer 65 years of age or over for placement and removal of a |
freeze, or (ii) a victim of identity theft who has submitted to |
the consumer reporting agency a valid copy of a police report, |
investigative report, or complaint that the consumer has filed |
with a law enforcement agency about unlawful use of his or her |
personal information by another person.
|
(o) If a security freeze is in place, a consumer reporting |
agency shall not change any of the following official |
information in a credit report without sending a written |
confirmation of the change to the consumer within 30 days of |
the change being posted to the consumer's file: (i) name, (ii) |
date of birth, (iii) Social Security number, and (iv) address. |
Written confirmation is not required for technical |
modifications of a consumer's official information, including |
name and street abbreviations, complete spellings, or |
transposition of numbers or letters. In the case of an address |
change, the written confirmation shall be sent to both the new |
address and to the former address.
|
(p) The following entities are not required to place a |
security freeze in a consumer report, however, pursuant to |
paragraph (3) of this subsection, a consumer reporting agency |
acting as a reseller shall honor any security freeze placed on |
|
a consumer credit report by another consumer reporting agency:
|
(1) A check services or fraud prevention services |
company, which issues reports on incidents of fraud or |
authorizations for the purpose of approving or processing |
negotiable instruments, electronic funds transfers, or |
similar methods of payment.
|
(2) A deposit account information service company, |
which issues reports regarding account closures due to |
fraud, substantial overdrafts, ATM abuse, or similar |
negative information regarding a consumer to inquiring |
banks or other financial institutions for use only in |
reviewing a consumer request for a deposit account at the |
inquiring bank or financial institution.
|
(3) A consumer reporting agency that:
|
(A) acts only to resell credit information by |
assembling and merging information contained in a |
database of one or more consumer reporting agencies; |
and
|
(B) does not maintain a permanent database of |
credit information from which new credit reports are |
produced.
|
(q) For purposes of this Section: |
"Credit report" has the same meaning as "consumer report", |
as ascribed to it in 15 U.S.C. Sec. 1681a(d). |
"Consumer reporting agency" has the meaning ascribed to it |
in 15 U.S.C. Sec. 1681a(f). |
|
"Security freeze" means
a notice placed in a consumer's |
credit report, at the request of the consumer and subject to |
certain exceptions, that prohibits the consumer reporting |
agency from releasing the consumer's credit report or score |
relating to an extension of credit, without the express |
authorization of the consumer.
|
"Extension of credit" does not include
an increase in an |
existing open-end credit plan, as defined in Regulation Z of
|
the Federal Reserve System (12 C.F.R. 226.2), or any change to |
or review of an
existing credit account.
|
"Proper authority" means documentation that shows that a |
parent, guardian, or agent has authority to act on behalf of a |
minor or disabled person. "Proper authority" includes (1) an |
order issued by a court of law that shows that a guardian has |
authority to act on behalf of a minor or disabled person, (2) a |
written, notarized statement signed by a parent that expressly |
describes the authority of the parent to act on behalf of the |
minor, or (3) a durable power of attorney that complies with |
the Illinois Power of Attorney Act. |
"Proper identification" means information generally deemed |
sufficient to identify a person. Only if the consumer is unable |
to reasonably identify himself or herself with the information |
described above, may a consumer reporting agency require |
additional information concerning the consumer's employment |
and personal or family history in order to verify his or her |
identity.
|
|
(r) Any person who violates this Section commits an
|
unlawful practice within the meaning of this Act.
|
(Source: P.A. 97-597, eff. 1-1-12; 97-1150, eff. 1-25-13; |
98-486, eff. 1-1-14; revised 11-14-13.)
|
Section 820. The Dating Referral Services Act is amended by |
changing Sections 20 and 25 as follows:
|
(815 ILCS 615/20) (from Ch. 29, par. 1051-20)
|
Sec. 20. Cancellation and refund requirements.
|
(a) Every contract for dating referral services shall |
provide the following:
|
(1) That the contract may be cancelled by the customer |
within 3
business days after the first business day after |
the contract is signed by
the customer, and that all monies |
paid under the contract shall be refunded
to the customer. |
For the purposes of this Section, "business day" means any
|
day on which the facility is open for business. A customer |
purchasing a
plan at a facility that has not yet opened for |
business at the time the
contract is signed, or who does |
not purchase a contract at an existing
facility, shall have |
7 calendar days in which to cancel the contract and
receive |
a full refund of all monies paid. The customer's rights to |
cancel
described in this Section are in addition to any |
other contract rights or
remedies provided by law.
|
(2) In the event of the relocation of a customer's |
|
residence to a
location that is more than 20 miles farther |
than the original distance from
the customer's residence to |
the original enterprise, and upon the failure
of the |
original enterprise to designate an a enterprise, with |
comparable
facilities and services within 25 miles of the |
customer's new residence
that agrees to accept the original |
enterprise's obligations under the
contract, the customer |
may cancel the contract and shall be liable for only
that |
portion of the charges allocable to the time before |
reasonable
evidence of the relocation is presented to the |
enterprise, plus a
reasonable fee if so provided in the |
contract, but the fee shall not exceed
10% of the unused |
balance, or $50, whichever is less.
|
(3) If the customer dies during the term of the |
contract, the
customer's estate shall be liable for only |
that portion of the charges
allocable to the time before |
the customer's death.
The enterprise shall have the right |
to require and verify reasonable
evidence of the death.
|
(b) Every contract for dating referral services shall |
provide that
notice of cancellation under subsection (a) of |
this Section shall be made
in writing and delivered by |
certified or registered mail to the enterprise
at the address |
specified in the contract. All refunds to which a customer
or |
his or her estate is entitled shall be made within 30 days of |
receipt by
the enterprise of the cancellation notice.
|
(Source: P.A. 87-450; revised 11-14-13.)
|
|
(815 ILCS 615/25) (from Ch. 29, par. 1051-25)
|
Sec. 25. Contract requirements for planned enterprises. |
Every
contract for dating referral services at a planned dating |
referral
enterprise or an a enterprise under construction shall |
further provide that,
in the event that the facilities and |
services contracted for are not
available within 6 months from |
the date the contract is entered into, or
within 3 months of a |
date specified in the contract, whichever is earlier,
the |
contract may be cancelled at the option of the customer, and |
all
payments refunded within 30 days of receipt by the |
enterprise of the
cancellation notice.
|
(Source: P.A. 87-450; revised 11-14-13.)
|
Section 825. The Prevailing Wage Act is amended by changing |
Sections 2 and 5 as follows:
|
(820 ILCS 130/2) (from Ch. 48, par. 39s-2)
|
Sec. 2. This Act applies to the wages of laborers, |
mechanics and
other workers employed in any public works, as |
hereinafter defined, by
any public body and to anyone under |
contracts for public works. This includes any maintenance, |
repair, assembly, or disassembly work performed on equipment |
whether owned, leased, or rented.
|
As used in this Act, unless the context indicates |
otherwise:
|
|
"Public works" means all fixed works constructed or |
demolished by
any public body,
or paid for wholly or in part |
out of public funds. "Public works" as
defined herein includes |
all projects financed in whole
or in part with bonds, grants, |
loans, or other funds made available by or through the State or |
any of its political subdivisions, including but not limited |
to: bonds issued under the Industrial Project Revenue Bond
Act |
(Article 11, Division 74 of the Illinois Municipal Code), the |
Industrial
Building Revenue Bond Act, the Illinois Finance |
Authority Act,
the Illinois Sports Facilities Authority Act, or |
the Build Illinois Bond Act; loans or other funds made
|
available pursuant to the Build Illinois Act; loans or other |
funds made available pursuant to the Riverfront Development |
Fund under Section 10-15 of the River Edge Redevelopment Zone |
Act; or funds from the Fund for
Illinois' Future under Section |
6z-47 of the State Finance Act, funds for school
construction |
under Section 5 of the General Obligation Bond Act, funds
|
authorized under Section 3 of the School Construction Bond Act, |
funds for
school infrastructure under Section 6z-45 of the |
State Finance Act, and funds
for transportation purposes under |
Section 4 of the General Obligation Bond
Act. "Public works" |
also includes (i) all projects financed in whole or in part
|
with funds from the Department of Commerce and Economic |
Opportunity under the Illinois Renewable Fuels Development |
Program
Act for which there is no project labor agreement; (ii) |
all work performed pursuant to a public private agreement under |
|
the Public Private Agreements for the Illiana Expressway Act or |
the Public-Private Agreements for the South Suburban Airport |
Act; and (iii) all projects undertaken under a public-private |
agreement under the Public-Private Partnerships for |
Transportation Act. "Public works" also includes all projects |
at leased facility property used for airport purposes under |
Section 35 of the Local Government Facility Lease Act. "Public |
works" also includes the construction of a new wind power |
facility by a business designated as a High Impact Business |
under Section 5.5(a)(3)(E) of the Illinois Enterprise Zone Act.
|
"Public works" does not include work done directly by any |
public utility company, whether or not done under public |
supervision or direction, or paid for wholly or in part out of |
public funds. "Public works" also includes any corrective |
action performed pursuant to Title XVI of the Environmental |
Protection Act for which payment from the Underground Storage |
Tank Fund is requested. "Public works" does not include |
projects undertaken by the owner at an owner-occupied |
single-family residence or at an owner-occupied unit of a |
multi-family residence.
|
"Construction" means all work on public works involving |
laborers,
workers or mechanics. This includes any maintenance, |
repair, assembly, or disassembly work performed on equipment |
whether owned, leased, or rented.
|
"Locality" means the county where the physical work upon |
public works
is performed, except (1) that if there is not |
|
available in the county a
sufficient number of competent |
skilled laborers, workers and mechanics
to construct the public |
works efficiently and properly, "locality"
includes any other |
county nearest the one in which the work or
construction is to |
be performed and from which such persons may be
obtained in |
sufficient numbers to perform the work and (2) that, with
|
respect to contracts for highway work with the Department of
|
Transportation of this State, "locality" may at the discretion |
of the
Secretary of the Department of Transportation be |
construed to include
two or more adjacent counties from which |
workers may be accessible for
work on such construction.
|
"Public body" means the State or any officer, board or |
commission of
the State or any political subdivision or |
department thereof, or any
institution supported in whole or in |
part by public funds,
and includes every county, city, town,
|
village, township, school district, irrigation, utility, |
reclamation
improvement or other district and every other |
political subdivision,
district or municipality of the state |
whether such political
subdivision, municipality or district |
operates under a special charter
or not.
|
The terms "general prevailing rate of hourly wages", |
"general
prevailing rate of wages" or "prevailing rate of |
wages" when used in
this Act mean the hourly cash wages plus |
annualized fringe benefits for training and
apprenticeship |
programs approved by the U.S. Department of Labor, Bureau of
|
Apprenticeship and Training, health and welfare, insurance, |
|
vacations and
pensions paid generally, in the
locality in which |
the work is being performed, to employees engaged in
work of a |
similar character on public works.
|
(Source: P.A. 97-502, eff. 8-23-11; 98-109, eff. 7-25-13; |
98-482, eff. 1-1-14; revised 9-24-13.)
|
(820 ILCS 130/5) (from Ch. 48, par. 39s-5)
|
Sec. 5. Certified payroll.
|
(a) Any contractor and each subcontractor who participates |
in public works shall: |
(1) make and keep, for a period of not less
than 3 |
years from the date of the last payment made before January |
1, 2014 (the effective date of Public Act 98-328) the |
effective date of this amendatory Act of the 98th General |
Assembly and for a period of 5 years from the date of the |
last payment made on or after January 1, 2014 (the |
effective date of Public Act 98-328) the effective date of |
this amendatory Act of the 98th General Assembly on a |
contract or subcontract for public works, records of all |
laborers, mechanics, and other workers employed by them on |
the project; the records shall include (i) the worker's |
name, (ii) the worker's address, (iii) the worker's |
telephone number
when available, (iv) the worker's social |
security number, (v) the worker's classification or |
classifications, (vi) the worker's gross and net wages paid |
in each pay period, (vii) the worker's number of hours |
|
worked each day, (viii) the worker's starting and ending |
times of work each day, (ix) the worker's hourly wage rate, |
(x) the worker's hourly overtime wage rate, (xi) the |
worker's hourly fringe benefit rates, (xii) the name and |
address of each fringe benefit fund, (xiii) the plan |
sponsor of each fringe benefit, if applicable, and (xiv) |
the plan administrator of each fringe benefit, if |
applicable; and |
(2) no later than the 15th day of each calendar month |
file a certified payroll for the immediately preceding |
month with the public body in charge of the project. A |
certified payroll must be filed for only those calendar |
months during which construction on a public works project |
has occurred. The certified payroll shall consist of a |
complete copy of the records identified in paragraph (1) of |
this subsection (a), but may exclude the starting and |
ending times of work each day. The certified payroll shall |
be accompanied by a statement signed by the contractor or |
subcontractor or an officer, employee, or agent of the |
contractor or subcontractor which avers that: (i) he or she |
has examined the certified payroll records required to be |
submitted by the Act and such records are true and |
accurate; (ii) the hourly rate paid to each worker is not |
less than the general prevailing rate of hourly wages |
required by this Act; and (iii) the contractor or |
subcontractor is aware that filing a certified payroll that |
|
he or she knows to be false is a Class A misdemeanor. A |
general contractor is not prohibited from relying on the |
certification of a lower tier subcontractor, provided the |
general contractor does not knowingly rely upon a |
subcontractor's false certification. Any contractor or |
subcontractor subject to this Act and any officer, |
employee, or agent of such contractor or subcontractor |
whose duty as such officer, employee, or agent it is to |
file such certified payroll who willfully fails to file |
such a certified payroll on or before the date such |
certified payroll is required by this paragraph to be filed |
and any person who willfully files a false certified |
payroll that is false as to any material fact is in |
violation of this Act and guilty of a Class A misdemeanor. |
The public body in charge of the project shall keep the |
records submitted in accordance with this paragraph (2) of |
subsection (a) before January 1, 2014 (the effective date |
of Public Act 98-328) the effective date of this amendatory |
Act of the 98th General Assembly for a period of not less |
than 3 years, and the records submitted in accordance with |
this paragraph (2) of subsection (a) on or after January 1, |
2014 (the effective date of Public Act 98-328) the |
effective date of this amendatory Act of the 98th General |
Assembly for a period of 5 years, from the date of the last |
payment for work on a contract or subcontract for public |
works. The records submitted in accordance with this |
|
paragraph (2) of subsection (a) shall be considered public |
records, except an employee's address, telephone number, |
and social security number, and made available in |
accordance with the Freedom of Information Act. The public |
body shall accept any reasonable submissions by the |
contractor that meet the requirements of this Section.
|
A contractor, subcontractor, or public body may retain |
records required under this Section in paper or electronic |
format. |
(b) Upon 7 business days' notice, the contractor and each |
subcontractor shall make available for inspection and copying |
at a location within this State during reasonable hours, the |
records identified in paragraph (1) of subsection (a) of this |
Section to the public body
in charge of the project, its |
officers and agents, the Director of Labor
and his deputies and |
agents, and to federal, State, or local law enforcement |
agencies and prosecutors. |
(c) A contractor or subcontractor who remits contributions |
to fringe benefit funds that are jointly maintained and jointly |
governed by one or more employers and one or more labor |
organizations in accordance with the federal Labor Management |
Relations Act shall make and keep certified payroll records |
that include the information required under items (i) through |
(viii) of paragraph (1) of subsection (a) only. However, the |
information required under items (ix) through (xiv) of |
paragraph (1) of subsection (a) shall be required for any |
|
contractor or subcontractor who remits contributions to a |
fringe benefit fund that is not jointly maintained and jointly |
governed by one or more employers and one or more labor |
organizations in accordance with the federal Labor Management |
Relations Act. |
(Source: P.A. 97-571, eff. 1-1-12; 98-328, eff. 1-1-14; 98-482, |
eff. 1-1-14; revised 9-24-13.)
|
Section 995. No acceleration or delay. Where this Act makes |
changes in a statute that is represented in this Act by text |
that is not yet or no longer in effect (for example, a Section |
represented by multiple versions), the use of that text does |
not accelerate or delay the taking effect of (i) the changes |
made by this Act or (ii) provisions derived from any other |
Public Act. |
Section 996. No revival or extension. This Act does not |
revive or extend any Section or Act otherwise repealed.
|
Section 999. Effective date. This Act takes effect upon |
becoming law.
|