|
include other versions of the Section to be found in Public |
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 102-692 through 102-1118 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 Sections 4.38 and 7 as follows:
|
(5 ILCS 80/4.38) |
Sec. 4.38. Acts repealed on January 1, 2028. The following |
Acts are repealed on January 1, 2028: |
The Acupuncture Practice Act. |
The Behavior Analyst Licensing Act. |
The Clinical Social Work and Social Work Practice Act. |
The Dietitian Nutritionist Practice Act. |
The Elevator Safety and Regulation Act. |
The Fire Equipment Distributor and Employee Regulation Act |
of 2011. |
The Funeral Directors and Embalmers Licensing Code. |
The Home Medical Equipment and Services Provider License |
Act. |
The Illinois Petroleum Education and Marketing Act. |
|
The Illinois Speech-Language Pathology and Audiology |
Practice Act. |
The Interpreter for the Deaf Licensure Act of 2007. |
The Music Therapy Licensing and Practice Act. |
The Naprapathic Practice Act. |
The Nurse Practice Act. |
The Nursing Home Administrators Licensing and Disciplinary |
Act. |
The Pharmacy Practice Act. |
The Physician Assistant Practice Act of 1987. |
The Podiatric Medical Practice Act of 1987.
|
The Professional Counselor and Clinical Professional |
Counselor
Licensing and Practice Act. |
The Wholesale Drug Distribution Licensing Act. |
(Source: P.A. 102-715, eff. 4-29-22; 102-878, eff. 5-13-22; |
102-879, eff. 5-13-22; 102-880, eff. 5-13-22; 102-881, eff. |
5-13-22; 102-882, eff. 5-13-22; 102-945, eff. 5-27-22; |
102-953, eff. 5-27-22; 102-993, eff. 5-27-22; revised |
7-27-22.)
|
(5 ILCS 80/7) (from Ch. 127, par. 1907)
|
Sec. 7. Additional criteria. |
(a) In determining whether to recommend to the
General |
Assembly under Section 5 the continuation of a regulatory |
agency or
program or any function thereof, the Governor shall |
also consider the
following criteria:
|
|
(1) whether the absence or modification of regulation |
would significantly harm or endanger
the public health, |
safety or welfare;
|
(2) whether there is a reasonable relationship between |
the exercise of
the State's police power and the |
protection of the public health, safety or
welfare;
|
(3) whether there is another less restrictive method |
of regulation available
which could adequately protect the |
public;
|
(4) whether the regulation has the effect of directly |
or indirectly
increasing the costs of any goods or |
services involved, and if so, to what
degree;
|
(5) whether the increase in cost is more harmful to |
the public than the
harm which could result from the |
absence of regulation; and
|
(6) whether all facets of the regulatory process are |
designed solely for
the purpose of, and have as their |
primary effect, the protection of the public.
|
(b) In making an evaluation or recommendation with respect |
to paragraph (3) of subsection (a), the Governor shall follow |
the following guidelines to address the following: |
(1) Contractual disputes, including pricing disputes. |
The Governor may recommend enacting a specific civil cause |
of action in small claims small-claims court or district |
court to remedy consumer harm. This cause of action may |
provide for reimbursement of the attorney's fees or court |
|
costs, if a consumer's claim is successful. |
(2) Fraud. The Governor may recommend strengthening |
powers under the State's deceptive trade practices acts or |
requiring disclosures that will reduce misleading |
attributes of the specific good or service. |
(3) General health and safety risks. The Governor may |
recommend enacting a regulation on the related process or |
requiring a facility license. |
(4) Unclean facilities. The Governor may recommend |
requiring periodic facility inspections. |
(5) A provider's failure to complete a contract fully |
or to standards. The Governor may recommend requiring the |
provider to be bonded. |
(6) A lack of protection for a person who is not a |
party to a contract between providers and consumers. The |
Governor may recommend requiring that the provider have |
insurance. |
(7) Transactions with transient, out-of-state, or |
fly-by-night providers. The Governor may recommend |
requiring the provider register its business with the |
Secretary of State. |
(8) A shortfall or imbalance in the consumer's |
knowledge about the good or service relative to the |
provider's knowledge (asymmetrical information). The |
Governor may recommend enacting government certification. |
(9) An inability to qualify providers of new or highly |
|
specialized medical services for reimbursement by the |
State. The Governor may recommend enacting a specialty |
certification solely for medical reimbursement. |
(10) A systematic information shortfall in which a |
reasonable consumer of the service is permanently unable |
to distinguish between the quality of providers and there |
is an absence of institutions that provide guidance to |
consumers. The Governor may recommend enacting an |
occupational license. |
(11) The need to address multiple types of harm. The |
Governor may recommend a combination of regulations. This |
may include a government regulation combined with a |
private remedy, including third-party or consumer-created |
ratings and reviews or private certification. |
(Source: P.A. 102-984, eff. 1-1-23; revised 12-8-22.)
|
(5 ILCS 80/4.33 rep.) |
Section 6. The Regulatory Sunset Act is amended by |
repealing Section 4.33.
|
Section 10. The Illinois Administrative Procedure Act is |
amended by setting forth, renumbering, and changing multiple |
versions of Sections 5-45.21, 5-45.22, and 5-45.23 as follows:
|
(5 ILCS 100/5-45.21) |
(Section scheduled to be repealed on April 19, 2023) |
|
Sec. 5-45.21. Emergency rulemaking; Mental Health and |
Developmental Disabilities Administrative Act. To provide for |
the expeditious and timely implementation of the changes made |
to Section 74 of the Mental Health and Developmental |
Disabilities Administrative Act by Public Act 102-699 this |
amendatory Act of the 102nd General Assembly , emergency rules |
implementing the changes made to Section 74 of the Mental |
Health and Developmental Disabilities Administrative Act by |
Public Act 102-699 this amendatory Act of the 102nd General |
Assembly may be adopted in accordance with Section 5-45 by the |
Department of Human Services or other department essential to |
the implementation of the changes. The adoption of emergency |
rules authorized by Section 5-45 and this Section is deemed to |
be necessary for the public interest, safety, and welfare. |
This Section is repealed on April 19, 2023 ( one year after |
the effective date of Public Act 102-699) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-699, eff. 4-19-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.22) |
(Section scheduled to be repealed on April 19, 2023) |
Sec. 5-45.22. Emergency rulemaking; Illinois Public Aid |
Code. To provide for the expeditious and timely implementation |
of the changes made to Article 5 of the Illinois Public Aid |
Code by Public Act 102-699 this amendatory Act of the 102nd |
General Assembly , emergency rules implementing the changes |
|
made to Article 5 of the Illinois Public Aid Code by Public Act |
102-699 this amendatory Act of the 102nd General Assembly may |
be adopted in accordance with Section 5-45 by the Department |
of Healthcare and Family Services or other department |
essential to the implementation of the changes. The adoption |
of emergency rules authorized by Section 5-45 and this Section |
is deemed to be necessary for the public interest, safety, and |
welfare. |
This Section is repealed on April 19, 2023 ( one year after |
the effective date of Public Act 102-699) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-699, eff. 4-19-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.23) |
(Section scheduled to be repealed on April 19, 2023) |
Sec. 5-45.23. Emergency rulemaking; medical services for |
certain noncitizens. To provide for the expeditious and timely |
implementation of the changes made to Article 12 of the |
Illinois Public Aid Code by Public Act 102-699 this amendatory |
Act of the 102nd General Assembly , emergency rules |
implementing the changes made to Section 12-4.35 of the |
Illinois Public Aid Code by Public Act 102-699 this amendatory |
Act of the 102nd General Assembly may be adopted in accordance |
with Section 5-45 by the Department of Healthcare and Family |
Services. The adoption of emergency rules authorized by |
Section 5-45 and this Section is deemed to be necessary for the |
|
public interest, safety, and welfare. |
This Section is repealed on April 19, 2023 ( one year after |
the effective date of Public Act 102-699) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-699, eff. 4-19-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.28) |
(Section scheduled to be repealed on April 19, 2023) |
Sec. 5-45.28 5-45.21 . Emergency rulemaking. To provide for |
the expeditious and timely implementation of Public Act |
102-700 this amendatory Act of the 102nd General Assembly , |
emergency rules implementing Sections 208.5 and 212.1 of the |
Illinois Income Tax Act may be adopted in accordance with |
Section 5-45 by the Department of Revenue. The adoption of |
emergency rules authorized by Section 5-45 and this Section is |
deemed to be necessary for the public interest, safety, and |
welfare. |
This Section is repealed on April 19, 2023 ( one year after |
the effective date of Public Act 102-700) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-700, eff. 4-19-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.29) |
Sec. 5-45.29 5-45.21 . (Repealed). |
(Source: P.A. 102-1035, eff. 5-31-22. Repealed internally, |
eff. 9-30-22.)
|
|
(5 ILCS 100/5-45.30) |
(Section scheduled to be repealed on June 2, 2023) |
Sec. 5-45.30 5-45.21 . Emergency rulemaking; Certified |
Nursing Assistant Intern Program; Department of Public Health. |
To provide for the expeditious and timely implementation of |
Public Act 102-1037 this amendatory Act of the 102nd General |
Assembly , emergency rules implementing Section 2310-434 of the |
Department of Public Health Powers and Duties Law of the Civil |
Administrative Code of Illinois may be adopted in accordance |
with Section 5-45 by the Department of Public Health. The |
adoption of emergency rules authorized by Section 5-45 and |
this Section is deemed to be necessary for the public |
interest, safety, and welfare. |
This Section is repealed on June 2, 2023 ( one year after |
the effective date of Public Act 102-1037) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.31) |
(Section scheduled to be repealed on April 19, 2023) |
Sec. 5-45.31 5-45.22 . Emergency rulemaking. To provide for |
the expeditious and timely implementation of Article 95 of |
Public Act 102-700 this amendatory Act of the 102nd General |
Assembly , emergency rules implementing Article 95 of Public |
Act 102-700 this amendatory Act of the 102nd General Assembly |
|
may be adopted in accordance with Section 5-45 by the |
Department of Agriculture. The adoption of emergency rules |
authorized by Section 5-45 and this Section is deemed to be |
necessary for the public interest, safety, and welfare. |
This Section is repealed on April 19, 2023 ( one year after |
the effective date of Public Act 102-700) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-700, eff. 4-19-22; revised 7-26-22.)
|
(5 ILCS 100/5-45.32) |
(Section scheduled to be repealed on June 2, 2023) |
Sec. 5-45.32 5-45.22 . Emergency rulemaking; Certified |
Nursing Assistant Intern Program; Department of Healthcare and |
Family Services. To provide for the expeditious and timely |
implementation of Public Act 102-1037 this amendatory Act of |
the 102nd General Assembly , emergency rules implementing |
Section 5-5.01b of the Illinois Public Aid Code may be adopted |
in accordance with Section 5-45 by the Department of |
Healthcare and Family Services. The adoption of emergency |
rules authorized by Section 5-45 and this Section is deemed to |
be necessary for the public interest, safety, and welfare. |
This Section is repealed on June 2, 2023 ( one year after |
the effective date of Public Act 102-1037) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 7-26-22.)
|
|
(5 ILCS 100/5-45.33) |
(Section scheduled to be repealed on June 2, 2023) |
Sec. 5-45.33 5-45.23 . Emergency rulemaking; medical |
services to noncitizens. To provide for the expeditious and |
timely implementation of changes made by Public Act 102-1037 |
this amendatory Act of the 102nd General Assembly to Section |
12-4.35 of the Illinois Public Aid Code, emergency rules |
implementing the changes made by Public Act 102-1037 this |
amendatory Act of the 102nd General Assembly to Section |
12-4.35 of the Illinois Public Aid Code may be adopted in |
accordance with Section 5-45 by the Department of Healthcare |
and Family Services. The adoption of emergency rules |
authorized by Section 5-45 and this Section is deemed to be |
necessary for the public interest, safety, and welfare. |
This Section is repealed on June 2, 2023 ( one year after |
the effective date of Public Act 102-1037) this amendatory Act |
of the 102nd General Assembly .
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 7-26-22.)
|
Section 15. The Freedom of Information Act is amended by |
changing Section 7 as follows:
|
(5 ILCS 140/7)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 7. Exemptions.
|
(1) When a request is made to inspect or copy a public |
|
record that contains information that is exempt from |
disclosure under this Section, but also contains information |
that is not exempt from disclosure, the public body may elect |
to redact the information that is exempt. The public body |
shall make the remaining information available for inspection |
and copying. Subject to this requirement, the following shall |
be exempt from inspection and copying:
|
(a) Information specifically prohibited from |
disclosure by federal or
State law or rules and |
regulations implementing federal or State law.
|
(b) Private information, unless disclosure is required |
by another provision of this Act, a State or federal law, |
or a court order. |
(b-5) Files, documents, and other data or databases |
maintained by one or more law enforcement agencies and |
specifically designed to provide information to one or |
more law enforcement agencies regarding the physical or |
mental status of one or more individual subjects. |
(c) Personal information contained within public |
records, the disclosure of which would constitute a |
clearly
unwarranted invasion of personal privacy, unless |
the disclosure is
consented to in writing by the |
individual subjects of the information. "Unwarranted |
invasion of personal privacy" means the disclosure of |
information that is highly personal or objectionable to a |
reasonable person and in which the subject's right to |
|
privacy outweighs any legitimate public interest in |
obtaining the information. The
disclosure of information |
that bears on the public duties of public
employees and |
officials shall not be considered an invasion of personal
|
privacy.
|
(d) Records in the possession of any public body |
created in the course of administrative enforcement
|
proceedings, and any law enforcement or correctional |
agency for
law enforcement purposes,
but only to the |
extent that disclosure would:
|
(i) interfere with pending or actually and |
reasonably contemplated
law enforcement proceedings |
conducted by any law enforcement or correctional
|
agency that is the recipient of the request;
|
(ii) interfere with active administrative |
enforcement proceedings
conducted by the public body |
that is the recipient of the request;
|
(iii) create a substantial likelihood that a |
person will be deprived of a fair trial or an impartial |
hearing;
|
(iv) unavoidably disclose the identity of a |
confidential source, confidential information |
furnished only by the confidential source, or persons |
who file complaints with or provide information to |
administrative, investigative, law enforcement, or |
penal agencies; except that the identities of |
|
witnesses to traffic accidents, traffic accident |
reports, and rescue reports shall be provided by |
agencies of local government, except when disclosure |
would interfere with an active criminal investigation |
conducted by the agency that is the recipient of the |
request;
|
(v) disclose unique or specialized investigative |
techniques other than
those generally used and known |
or disclose internal documents of
correctional |
agencies related to detection, observation , or |
investigation of
incidents of crime or misconduct, and |
disclosure would result in demonstrable harm to the |
agency or public body that is the recipient of the |
request;
|
(vi) endanger the life or physical safety of law |
enforcement personnel
or any other person; or
|
(vii) obstruct an ongoing criminal investigation |
by the agency that is the recipient of the request.
|
(d-5) A law enforcement record created for law |
enforcement purposes and contained in a shared electronic |
record management system if the law enforcement agency |
that is the recipient of the request did not create the |
record, did not participate in or have a role in any of the |
events which are the subject of the record, and only has |
access to the record through the shared electronic record |
management system. |
|
(d-6) Records contained in the Officer Professional |
Conduct Database under Section 9.2 of the Illinois Police |
Training Act, except to the extent authorized under that |
Section. This includes the documents supplied to the |
Illinois Law Enforcement Training Standards Board from the |
Illinois State Police and Illinois State Police Merit |
Board. |
(e) Records that relate to or affect the security of |
correctional
institutions and detention facilities.
|
(e-5) Records requested by persons committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail if those |
materials are available in the library of the correctional |
institution or facility or jail where the inmate is |
confined. |
(e-6) Records requested by persons committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail if those |
materials include records from staff members' personnel |
files, staff rosters, or other staffing assignment |
information. |
(e-7) Records requested by persons committed to the |
Department of Corrections or Department of Human Services |
Division of Mental Health if those materials are available |
through an administrative request to the Department of |
Corrections or Department of Human Services Division of |
|
Mental Health. |
(e-8) Records requested by a person committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail, the |
disclosure of which would result in the risk of harm to any |
person or the risk of an escape from a jail or correctional |
institution or facility. |
(e-9) Records requested by a person in a county jail |
or committed to the Department of Corrections or |
Department of Human Services Division of Mental Health, |
containing personal information pertaining to the person's |
victim or the victim's family, including, but not limited |
to, a victim's home address, home telephone number, work |
or school address, work telephone number, social security |
number, or any other identifying information, except as |
may be relevant to a requester's current or potential case |
or claim. |
(e-10) Law enforcement records of other persons |
requested by a person committed to the Department of |
Corrections, Department of Human Services Division of |
Mental Health, or a county jail, including, but not |
limited to, arrest and booking records, mug shots, and |
crime scene photographs, except as these records may be |
relevant to the requester's current or potential case or |
claim. |
(f) Preliminary drafts, notes, recommendations, |
|
memoranda, and other
records in which opinions are |
expressed, or policies or actions are
formulated, except |
that a specific record or relevant portion of a
record |
shall not be exempt when the record is publicly cited
and |
identified by the head of the public body. The exemption |
provided in
this paragraph (f) extends to all those |
records of officers and agencies
of the General Assembly |
that pertain to the preparation of legislative
documents.
|
(g) Trade secrets and commercial or financial |
information obtained from
a person or business where the |
trade secrets or commercial or financial information are |
furnished under a claim that they are
proprietary, |
privileged, or confidential, and that disclosure of the |
trade
secrets or commercial or financial information would |
cause competitive harm to the person or business, and only |
insofar as the claim directly applies to the records |
requested. |
The information included under this exemption includes |
all trade secrets and commercial or financial information |
obtained by a public body, including a public pension |
fund, from a private equity fund or a privately held |
company within the investment portfolio of a private |
equity fund as a result of either investing or evaluating |
a potential investment of public funds in a private equity |
fund. The exemption contained in this item does not apply |
to the aggregate financial performance information of a |
|
private equity fund, nor to the identity of the fund's |
managers or general partners. The exemption contained in |
this item does not apply to the identity of a privately |
held company within the investment portfolio of a private |
equity fund, unless the disclosure of the identity of a |
privately held company may cause competitive harm. |
Nothing contained in this
paragraph (g) shall be |
construed to prevent a person or business from
consenting |
to disclosure.
|
(h) Proposals and bids for any contract, grant, or |
agreement, including
information which if it were |
disclosed would frustrate procurement or give
an advantage |
to any person proposing to enter into a contractor |
agreement
with the body, until an award or final selection |
is made. Information
prepared by or for the body in |
preparation of a bid solicitation shall be
exempt until an |
award or final selection is made.
|
(i) Valuable formulae,
computer geographic systems,
|
designs, drawings , and research data obtained or
produced |
by any public body when disclosure could reasonably be |
expected to
produce private gain or public loss.
The |
exemption for "computer geographic systems" provided in |
this paragraph
(i) does not extend to requests made by |
news media as defined in Section 2 of
this Act when the |
requested information is not otherwise exempt and the only
|
purpose of the request is to access and disseminate |
|
information regarding the
health, safety, welfare, or |
legal rights of the general public.
|
(j) The following information pertaining to |
educational matters: |
(i) test questions, scoring keys, and other |
examination data used to
administer an academic |
examination;
|
(ii) information received by a primary or |
secondary school, college, or university under its |
procedures for the evaluation of faculty members by |
their academic peers; |
(iii) information concerning a school or |
university's adjudication of student disciplinary |
cases, but only to the extent that disclosure would |
unavoidably reveal the identity of the student; and |
(iv) course materials or research materials used |
by faculty members. |
(k) Architects' plans, engineers' technical |
submissions, and
other
construction related technical |
documents for
projects not constructed or developed in |
whole or in part with public funds
and the same for |
projects constructed or developed with public funds, |
including, but not limited to, power generating and |
distribution stations and other transmission and |
distribution facilities, water treatment facilities, |
airport facilities, sport stadiums, convention centers, |
|
and all government owned, operated, or occupied buildings, |
but
only to the extent
that disclosure would compromise |
security.
|
(l) Minutes of meetings of public bodies closed to the
|
public as provided in the Open Meetings Act until the |
public body
makes the minutes available to the public |
under Section 2.06 of the Open
Meetings Act.
|
(m) Communications between a public body and an |
attorney or auditor
representing the public body that |
would not be subject to discovery in
litigation, and |
materials prepared or compiled by or for a public body in
|
anticipation of a criminal, civil, or administrative |
proceeding upon the
request of an attorney advising the |
public body, and materials prepared or
compiled with |
respect to internal audits of public bodies.
|
(n) Records relating to a public body's adjudication |
of employee grievances or disciplinary cases; however, |
this exemption shall not extend to the final outcome of |
cases in which discipline is imposed.
|
(o) Administrative or technical information associated |
with automated
data processing operations, including, but |
not limited to, software,
operating protocols, computer |
program abstracts, file layouts, source
listings, object |
modules, load modules, user guides, documentation
|
pertaining to all logical and physical design of |
computerized systems,
employee manuals, and any other |
|
information that, if disclosed, would
jeopardize the |
security of the system or its data or the security of
|
materials exempt under this Section.
|
(p) Records relating to collective negotiating matters
|
between public bodies and their employees or |
representatives, except that
any final contract or |
agreement shall be subject to inspection and copying.
|
(q) Test questions, scoring keys, and other |
examination data used to determine the qualifications of |
an applicant for a license or employment.
|
(r) The records, documents, and information relating |
to real estate
purchase negotiations until those |
negotiations have been completed or
otherwise terminated. |
With regard to a parcel involved in a pending or
actually |
and reasonably contemplated eminent domain proceeding |
under the Eminent Domain Act, records, documents, and
|
information relating to that parcel shall be exempt except |
as may be
allowed under discovery rules adopted by the |
Illinois Supreme Court. The
records, documents, and |
information relating to a real estate sale shall be
exempt |
until a sale is consummated.
|
(s) Any and all proprietary information and records |
related to the
operation of an intergovernmental risk |
management association or
self-insurance pool or jointly |
self-administered health and accident
cooperative or pool.
|
Insurance or self-insurance self insurance (including any |
|
intergovernmental risk management association or |
self-insurance self insurance pool) claims, loss or risk |
management information, records, data, advice , or |
communications.
|
(t) Information contained in or related to |
examination, operating, or
condition reports prepared by, |
on behalf of, or for the use of a public
body responsible |
for the regulation or supervision of financial
|
institutions, insurance companies, or pharmacy benefit |
managers, unless disclosure is otherwise
required by State |
law.
|
(u) Information that would disclose
or might lead to |
the disclosure of
secret or confidential information, |
codes, algorithms, programs, or private
keys intended to |
be used to create electronic signatures under the Uniform |
Electronic Transactions Act.
|
(v) Vulnerability assessments, security measures, and |
response policies
or plans that are designed to identify, |
prevent, or respond to potential
attacks upon a |
community's population or systems, facilities, or |
installations, but only to the extent that
disclosure |
could reasonably be expected to expose the vulnerability |
or jeopardize the effectiveness of the
measures, policies, |
or plans, or the safety of the personnel who implement |
them or the public.
Information exempt under this item may |
include such things as details
pertaining to the |
|
mobilization or deployment of personnel or equipment, to |
the
operation of communication systems or protocols, to |
cybersecurity vulnerabilities, or to tactical operations.
|
(w) (Blank). |
(x) Maps and other records regarding the location or |
security of generation, transmission, distribution, |
storage, gathering,
treatment, or switching facilities |
owned by a utility, by a power generator, or by the |
Illinois Power Agency.
|
(y) Information contained in or related to proposals, |
bids, or negotiations related to electric power |
procurement under Section 1-75 of the Illinois Power |
Agency Act and Section 16-111.5 of the Public Utilities |
Act that is determined to be confidential and proprietary |
by the Illinois Power Agency or by the Illinois Commerce |
Commission.
|
(z) Information about students exempted from |
disclosure under Section Sections 10-20.38 or 34-18.29 of |
the School Code, and information about undergraduate |
students enrolled at an institution of higher education |
exempted from disclosure under Section 25 of the Illinois |
Credit Card Marketing Act of 2009. |
(aa) Information the disclosure of which is
exempted |
under the Viatical Settlements Act of 2009.
|
(bb) Records and information provided to a mortality |
review team and records maintained by a mortality review |
|
team appointed under the Department of Juvenile Justice |
Mortality Review Team Act. |
(cc) Information regarding interments, entombments, or |
inurnments of human remains that are submitted to the |
Cemetery Oversight Database under the Cemetery Care Act or |
the Cemetery Oversight Act, whichever is applicable. |
(dd) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Illinois Public Aid |
Code or (ii) that pertain to appeals under Section 11-8 of |
the Illinois Public Aid Code. |
(ee) The names, addresses, or other personal |
information of persons who are minors and are also |
participants and registrants in programs of park |
districts, forest preserve districts, conservation |
districts, recreation agencies, and special recreation |
associations. |
(ff) The names, addresses, or other personal |
information of participants and registrants in programs of |
park districts, forest preserve districts, conservation |
districts, recreation agencies, and special recreation |
associations where such programs are targeted primarily to |
minors. |
(gg) Confidential information described in Section |
1-100 of the Illinois Independent Tax Tribunal Act of |
2012. |
(hh) The report submitted to the State Board of |
|
Education by the School Security and Standards Task Force |
under item (8) of subsection (d) of Section 2-3.160 of the |
School Code and any information contained in that report. |
(ii) Records requested by persons committed to or |
detained by the Department of Human Services under the |
Sexually Violent Persons Commitment Act or committed to |
the Department of Corrections under the Sexually Dangerous |
Persons Act if those materials: (i) are available in the |
library of the facility where the individual is confined; |
(ii) include records from staff members' personnel files, |
staff rosters, or other staffing assignment information; |
or (iii) are available through an administrative request |
to the Department of Human Services or the Department of |
Corrections. |
(jj) Confidential information described in Section |
5-535 of the Civil Administrative Code of Illinois. |
(kk) The public body's credit card numbers, debit card |
numbers, bank account numbers, Federal Employer |
Identification Number, security code numbers, passwords, |
and similar account information, the disclosure of which |
could result in identity theft or impression or defrauding |
of a governmental entity or a person. |
(ll) Records concerning the work of the threat |
assessment team of a school district, including, but not |
limited to, any threat assessment procedure under the |
School Safety Drill Act and any information contained in |
|
the procedure. |
(mm) Information prohibited from being disclosed under |
subsections (a) and (b) of Section 15 of the Student |
Confidential Reporting Act. |
(nn) (mm) Proprietary information submitted to the
|
Environmental Protection Agency under the Drug Take-Back
|
Act. |
(oo) (mm) Records described in subsection (f) of |
Section 3-5-1 of the Unified Code of Corrections. |
(1.5) Any information exempt from disclosure under the |
Judicial Privacy Act shall be redacted from public records |
prior to disclosure under this Act. |
(2) A public record that is not in the possession of a |
public body but is in the possession of a party with whom the |
agency has contracted to perform a governmental function on |
behalf of the public body, and that directly relates to the |
governmental function and is not otherwise exempt under this |
Act, shall be considered a public record of the public body, |
for purposes of this Act. |
(3) This Section does not authorize withholding of |
information or limit the
availability of records to the |
public, except as stated in this Section or
otherwise provided |
in this Act.
|
(Source: P.A. 101-434, eff. 1-1-20; 101-452, eff. 1-1-20; |
101-455, eff. 8-23-19; 101-652, eff. 1-1-22; 102-38, eff. |
6-25-21; 102-558, eff. 8-20-21; 102-694, eff. 1-7-22; 102-752, |
|
eff. 5-6-22; 102-753, eff. 1-1-23; 102-776, eff. 1-1-23; |
102-791, eff. 5-13-22; 102-1055, eff. 6-10-22; revised |
12-13-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 7. Exemptions.
|
(1) When a request is made to inspect or copy a public |
record that contains information that is exempt from |
disclosure under this Section, but also contains information |
that is not exempt from disclosure, the public body may elect |
to redact the information that is exempt. The public body |
shall make the remaining information available for inspection |
and copying. Subject to this requirement, the following shall |
be exempt from inspection and copying:
|
(a) Information specifically prohibited from |
disclosure by federal or
State law or rules and |
regulations implementing federal or State law.
|
(b) Private information, unless disclosure is required |
by another provision of this Act, a State or federal law, |
or a court order. |
(b-5) Files, documents, and other data or databases |
maintained by one or more law enforcement agencies and |
specifically designed to provide information to one or |
more law enforcement agencies regarding the physical or |
mental status of one or more individual subjects. |
(c) Personal information contained within public |
|
records, the disclosure of which would constitute a |
clearly
unwarranted invasion of personal privacy, unless |
the disclosure is
consented to in writing by the |
individual subjects of the information. "Unwarranted |
invasion of personal privacy" means the disclosure of |
information that is highly personal or objectionable to a |
reasonable person and in which the subject's right to |
privacy outweighs any legitimate public interest in |
obtaining the information. The
disclosure of information |
that bears on the public duties of public
employees and |
officials shall not be considered an invasion of personal
|
privacy.
|
(d) Records in the possession of any public body |
created in the course of administrative enforcement
|
proceedings, and any law enforcement or correctional |
agency for
law enforcement purposes,
but only to the |
extent that disclosure would:
|
(i) interfere with pending or actually and |
reasonably contemplated
law enforcement proceedings |
conducted by any law enforcement or correctional
|
agency that is the recipient of the request;
|
(ii) interfere with active administrative |
enforcement proceedings
conducted by the public body |
that is the recipient of the request;
|
(iii) create a substantial likelihood that a |
person will be deprived of a fair trial or an impartial |
|
hearing;
|
(iv) unavoidably disclose the identity of a |
confidential source, confidential information |
furnished only by the confidential source, or persons |
who file complaints with or provide information to |
administrative, investigative, law enforcement, or |
penal agencies; except that the identities of |
witnesses to traffic crashes, traffic crash reports, |
and rescue reports shall be provided by agencies of |
local government, except when disclosure would |
interfere with an active criminal investigation |
conducted by the agency that is the recipient of the |
request;
|
(v) disclose unique or specialized investigative |
techniques other than
those generally used and known |
or disclose internal documents of
correctional |
agencies related to detection, observation , or |
investigation of
incidents of crime or misconduct, and |
disclosure would result in demonstrable harm to the |
agency or public body that is the recipient of the |
request;
|
(vi) endanger the life or physical safety of law |
enforcement personnel
or any other person; or
|
(vii) obstruct an ongoing criminal investigation |
by the agency that is the recipient of the request.
|
(d-5) A law enforcement record created for law |
|
enforcement purposes and contained in a shared electronic |
record management system if the law enforcement agency |
that is the recipient of the request did not create the |
record, did not participate in or have a role in any of the |
events which are the subject of the record, and only has |
access to the record through the shared electronic record |
management system. |
(d-6) Records contained in the Officer Professional |
Conduct Database under Section 9.2 of the Illinois Police |
Training Act, except to the extent authorized under that |
Section. This includes the documents supplied to the |
Illinois Law Enforcement Training Standards Board from the |
Illinois State Police and Illinois State Police Merit |
Board. |
(e) Records that relate to or affect the security of |
correctional
institutions and detention facilities.
|
(e-5) Records requested by persons committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail if those |
materials are available in the library of the correctional |
institution or facility or jail where the inmate is |
confined. |
(e-6) Records requested by persons committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail if those |
materials include records from staff members' personnel |
|
files, staff rosters, or other staffing assignment |
information. |
(e-7) Records requested by persons committed to the |
Department of Corrections or Department of Human Services |
Division of Mental Health if those materials are available |
through an administrative request to the Department of |
Corrections or Department of Human Services Division of |
Mental Health. |
(e-8) Records requested by a person committed to the |
Department of Corrections, Department of Human Services |
Division of Mental Health, or a county jail, the |
disclosure of which would result in the risk of harm to any |
person or the risk of an escape from a jail or correctional |
institution or facility. |
(e-9) Records requested by a person in a county jail |
or committed to the Department of Corrections or |
Department of Human Services Division of Mental Health, |
containing personal information pertaining to the person's |
victim or the victim's family, including, but not limited |
to, a victim's home address, home telephone number, work |
or school address, work telephone number, social security |
number, or any other identifying information, except as |
may be relevant to a requester's current or potential case |
or claim. |
(e-10) Law enforcement records of other persons |
requested by a person committed to the Department of |
|
Corrections, Department of Human Services Division of |
Mental Health, or a county jail, including, but not |
limited to, arrest and booking records, mug shots, and |
crime scene photographs, except as these records may be |
relevant to the requester's current or potential case or |
claim. |
(f) Preliminary drafts, notes, recommendations, |
memoranda, and other
records in which opinions are |
expressed, or policies or actions are
formulated, except |
that a specific record or relevant portion of a
record |
shall not be exempt when the record is publicly cited
and |
identified by the head of the public body. The exemption |
provided in
this paragraph (f) extends to all those |
records of officers and agencies
of the General Assembly |
that pertain to the preparation of legislative
documents.
|
(g) Trade secrets and commercial or financial |
information obtained from
a person or business where the |
trade secrets or commercial or financial information are |
furnished under a claim that they are
proprietary, |
privileged, or confidential, and that disclosure of the |
trade
secrets or commercial or financial information would |
cause competitive harm to the person or business, and only |
insofar as the claim directly applies to the records |
requested. |
The information included under this exemption includes |
all trade secrets and commercial or financial information |
|
obtained by a public body, including a public pension |
fund, from a private equity fund or a privately held |
company within the investment portfolio of a private |
equity fund as a result of either investing or evaluating |
a potential investment of public funds in a private equity |
fund. The exemption contained in this item does not apply |
to the aggregate financial performance information of a |
private equity fund, nor to the identity of the fund's |
managers or general partners. The exemption contained in |
this item does not apply to the identity of a privately |
held company within the investment portfolio of a private |
equity fund, unless the disclosure of the identity of a |
privately held company may cause competitive harm. |
Nothing contained in this
paragraph (g) shall be |
construed to prevent a person or business from
consenting |
to disclosure.
|
(h) Proposals and bids for any contract, grant, or |
agreement, including
information which if it were |
disclosed would frustrate procurement or give
an advantage |
to any person proposing to enter into a contractor |
agreement
with the body, until an award or final selection |
is made. Information
prepared by or for the body in |
preparation of a bid solicitation shall be
exempt until an |
award or final selection is made.
|
(i) Valuable formulae,
computer geographic systems,
|
designs, drawings , and research data obtained or
produced |
|
by any public body when disclosure could reasonably be |
expected to
produce private gain or public loss.
The |
exemption for "computer geographic systems" provided in |
this paragraph
(i) does not extend to requests made by |
news media as defined in Section 2 of
this Act when the |
requested information is not otherwise exempt and the only
|
purpose of the request is to access and disseminate |
information regarding the
health, safety, welfare, or |
legal rights of the general public.
|
(j) The following information pertaining to |
educational matters: |
(i) test questions, scoring keys, and other |
examination data used to
administer an academic |
examination;
|
(ii) information received by a primary or |
secondary school, college, or university under its |
procedures for the evaluation of faculty members by |
their academic peers; |
(iii) information concerning a school or |
university's adjudication of student disciplinary |
cases, but only to the extent that disclosure would |
unavoidably reveal the identity of the student; and |
(iv) course materials or research materials used |
by faculty members. |
(k) Architects' plans, engineers' technical |
submissions, and
other
construction related technical |
|
documents for
projects not constructed or developed in |
whole or in part with public funds
and the same for |
projects constructed or developed with public funds, |
including, but not limited to, power generating and |
distribution stations and other transmission and |
distribution facilities, water treatment facilities, |
airport facilities, sport stadiums, convention centers, |
and all government owned, operated, or occupied buildings, |
but
only to the extent
that disclosure would compromise |
security.
|
(l) Minutes of meetings of public bodies closed to the
|
public as provided in the Open Meetings Act until the |
public body
makes the minutes available to the public |
under Section 2.06 of the Open
Meetings Act.
|
(m) Communications between a public body and an |
attorney or auditor
representing the public body that |
would not be subject to discovery in
litigation, and |
materials prepared or compiled by or for a public body in
|
anticipation of a criminal, civil, or administrative |
proceeding upon the
request of an attorney advising the |
public body, and materials prepared or
compiled with |
respect to internal audits of public bodies.
|
(n) Records relating to a public body's adjudication |
of employee grievances or disciplinary cases; however, |
this exemption shall not extend to the final outcome of |
cases in which discipline is imposed.
|
|
(o) Administrative or technical information associated |
with automated
data processing operations, including, but |
not limited to, software,
operating protocols, computer |
program abstracts, file layouts, source
listings, object |
modules, load modules, user guides, documentation
|
pertaining to all logical and physical design of |
computerized systems,
employee manuals, and any other |
information that, if disclosed, would
jeopardize the |
security of the system or its data or the security of
|
materials exempt under this Section.
|
(p) Records relating to collective negotiating matters
|
between public bodies and their employees or |
representatives, except that
any final contract or |
agreement shall be subject to inspection and copying.
|
(q) Test questions, scoring keys, and other |
examination data used to determine the qualifications of |
an applicant for a license or employment.
|
(r) The records, documents, and information relating |
to real estate
purchase negotiations until those |
negotiations have been completed or
otherwise terminated. |
With regard to a parcel involved in a pending or
actually |
and reasonably contemplated eminent domain proceeding |
under the Eminent Domain Act, records, documents, and
|
information relating to that parcel shall be exempt except |
as may be
allowed under discovery rules adopted by the |
Illinois Supreme Court. The
records, documents, and |
|
information relating to a real estate sale shall be
exempt |
until a sale is consummated.
|
(s) Any and all proprietary information and records |
related to the
operation of an intergovernmental risk |
management association or
self-insurance pool or jointly |
self-administered health and accident
cooperative or pool.
|
Insurance or self-insurance self insurance (including any |
intergovernmental risk management association or |
self-insurance self insurance pool) claims, loss or risk |
management information, records, data, advice , or |
communications.
|
(t) Information contained in or related to |
examination, operating, or
condition reports prepared by, |
on behalf of, or for the use of a public
body responsible |
for the regulation or supervision of financial
|
institutions, insurance companies, or pharmacy benefit |
managers, unless disclosure is otherwise
required by State |
law.
|
(u) Information that would disclose
or might lead to |
the disclosure of
secret or confidential information, |
codes, algorithms, programs, or private
keys intended to |
be used to create electronic signatures under the Uniform |
Electronic Transactions Act.
|
(v) Vulnerability assessments, security measures, and |
response policies
or plans that are designed to identify, |
prevent, or respond to potential
attacks upon a |
|
community's population or systems, facilities, or |
installations, but only to the extent that
disclosure |
could reasonably be expected to expose the vulnerability |
or jeopardize the effectiveness of the
measures, policies, |
or plans, or the safety of the personnel who implement |
them or the public.
Information exempt under this item may |
include such things as details
pertaining to the |
mobilization or deployment of personnel or equipment, to |
the
operation of communication systems or protocols, to |
cybersecurity vulnerabilities, or to tactical operations.
|
(w) (Blank). |
(x) Maps and other records regarding the location or |
security of generation, transmission, distribution, |
storage, gathering,
treatment, or switching facilities |
owned by a utility, by a power generator, or by the |
Illinois Power Agency.
|
(y) Information contained in or related to proposals, |
bids, or negotiations related to electric power |
procurement under Section 1-75 of the Illinois Power |
Agency Act and Section 16-111.5 of the Public Utilities |
Act that is determined to be confidential and proprietary |
by the Illinois Power Agency or by the Illinois Commerce |
Commission.
|
(z) Information about students exempted from |
disclosure under Section Sections 10-20.38 or 34-18.29 of |
the School Code, and information about undergraduate |
|
students enrolled at an institution of higher education |
exempted from disclosure under Section 25 of the Illinois |
Credit Card Marketing Act of 2009. |
(aa) Information the disclosure of which is
exempted |
under the Viatical Settlements Act of 2009.
|
(bb) Records and information provided to a mortality |
review team and records maintained by a mortality review |
team appointed under the Department of Juvenile Justice |
Mortality Review Team Act. |
(cc) Information regarding interments, entombments, or |
inurnments of human remains that are submitted to the |
Cemetery Oversight Database under the Cemetery Care Act or |
the Cemetery Oversight Act, whichever is applicable. |
(dd) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Illinois Public Aid |
Code or (ii) that pertain to appeals under Section 11-8 of |
the Illinois Public Aid Code. |
(ee) The names, addresses, or other personal |
information of persons who are minors and are also |
participants and registrants in programs of park |
districts, forest preserve districts, conservation |
districts, recreation agencies, and special recreation |
associations. |
(ff) The names, addresses, or other personal |
information of participants and registrants in programs of |
park districts, forest preserve districts, conservation |
|
districts, recreation agencies, and special recreation |
associations where such programs are targeted primarily to |
minors. |
(gg) Confidential information described in Section |
1-100 of the Illinois Independent Tax Tribunal Act of |
2012. |
(hh) The report submitted to the State Board of |
Education by the School Security and Standards Task Force |
under item (8) of subsection (d) of Section 2-3.160 of the |
School Code and any information contained in that report. |
(ii) Records requested by persons committed to or |
detained by the Department of Human Services under the |
Sexually Violent Persons Commitment Act or committed to |
the Department of Corrections under the Sexually Dangerous |
Persons Act if those materials: (i) are available in the |
library of the facility where the individual is confined; |
(ii) include records from staff members' personnel files, |
staff rosters, or other staffing assignment information; |
or (iii) are available through an administrative request |
to the Department of Human Services or the Department of |
Corrections. |
(jj) Confidential information described in Section |
5-535 of the Civil Administrative Code of Illinois. |
(kk) The public body's credit card numbers, debit card |
numbers, bank account numbers, Federal Employer |
Identification Number, security code numbers, passwords, |
|
and similar account information, the disclosure of which |
could result in identity theft or impression or defrauding |
of a governmental entity or a person. |
(ll) Records concerning the work of the threat |
assessment team of a school district, including, but not |
limited to, any threat assessment procedure under the |
School Safety Drill Act and any information contained in |
the procedure. |
(mm) Information prohibited from being disclosed under |
subsections (a) and (b) of Section 15 of the Student |
Confidential Reporting Act. |
(nn) (mm) Proprietary information submitted to the
|
Environmental Protection Agency under the Drug Take-Back
|
Act. |
(oo) (mm) Records described in subsection (f) of |
Section 3-5-1 of the Unified Code of Corrections. |
(1.5) Any information exempt from disclosure under the |
Judicial Privacy Act shall be redacted from public records |
prior to disclosure under this Act. |
(2) A public record that is not in the possession of a |
public body but is in the possession of a party with whom the |
agency has contracted to perform a governmental function on |
behalf of the public body, and that directly relates to the |
governmental function and is not otherwise exempt under this |
Act, shall be considered a public record of the public body, |
for purposes of this Act. |
|
(3) This Section does not authorize withholding of |
information or limit the
availability of records to the |
public, except as stated in this Section or
otherwise provided |
in this Act.
|
(Source: P.A. 101-434, eff. 1-1-20; 101-452, eff. 1-1-20; |
101-455, eff. 8-23-19; 101-652, eff. 1-1-22; 102-38, eff. |
6-25-21; 102-558, eff. 8-20-21; 102-694, eff. 1-7-22; 102-752, |
eff. 5-6-22; 102-753, eff. 1-1-23; 102-776, eff. 1-1-23; |
102-791, eff. 5-13-22; 102-982, eff. 7-1-23; 102-1055, eff. |
6-10-22; revised 12-13-22.)
|
Section 20. The Illinois Public Labor Relations Act is |
amended by changing Section 3 as follows:
|
(5 ILCS 315/3) (from Ch. 48, par. 1603)
|
Sec. 3. Definitions. As used in this Act, unless the |
context
otherwise requires:
|
(a) "Board" means the Illinois
Labor Relations Board or, |
with respect to a matter over which the
jurisdiction of the |
Board is assigned to the State Panel or the Local Panel
under |
Section 5, the panel having jurisdiction over the matter.
|
(b) "Collective bargaining" means bargaining over terms |
and conditions
of employment, including hours, wages, and |
other conditions of employment,
as detailed in Section 7 and |
which are not excluded by Section 4.
|
(c) "Confidential employee" means an employee who, in the |
|
regular course
of his or her duties, assists and acts in a |
confidential capacity to persons
who formulate, determine, and |
effectuate management policies with regard
to labor relations |
or who, in the regular course of his or her duties, has
|
authorized access to information relating to the effectuation
|
or review of the employer's collective bargaining policies.
|
Determinations of confidential employee status shall be based |
on actual employee job duties and not solely on written job |
descriptions.
|
(d) "Craft employees" means skilled journeymen, crafts |
persons, and their
apprentices and helpers.
|
(e) "Essential services employees" means those public |
employees
performing functions so essential that the |
interruption or termination of
the function will constitute a |
clear and present danger to the health and
safety of the |
persons in the affected community.
|
(f) "Exclusive representative", except with respect to |
non-State fire
fighters and paramedics employed by fire |
departments and fire protection
districts, non-State peace |
officers, and peace officers in the
Illinois State Police, |
means the labor organization that has
been (i) designated by |
the Board as the representative of a majority of public
|
employees in an appropriate bargaining unit in accordance with |
the procedures
contained in this Act; (ii) historically
|
recognized by the State of Illinois or
any political |
subdivision of the State before July 1, 1984
(the effective |
|
date of this
Act) as the exclusive representative of the |
employees in an appropriate
bargaining unit; (iii) after July |
1, 1984 (the
effective date of this Act) recognized by an
|
employer upon evidence, acceptable to the Board, that the |
labor
organization has been designated as the exclusive |
representative by a
majority of the employees in an |
appropriate bargaining unit;
(iv) recognized as the exclusive |
representative of personal
assistants under Executive Order |
2003-8 prior to July 16, 2003 (the effective date of Public Act |
93-204), and the organization shall be considered to
be the
|
exclusive representative of the personal assistants
as defined
|
in this Section; or (v) recognized as the exclusive |
representative of child and day care home providers, including |
licensed and license exempt providers, pursuant to an election |
held under Executive Order 2005-1 prior to January 1, 2006 |
(the effective date of Public Act 94-320), and the |
organization shall be considered to be the exclusive |
representative of the child and day care home providers as |
defined in this Section.
|
With respect to non-State fire fighters and paramedics |
employed by fire
departments and fire protection districts, |
non-State peace officers, and
peace officers in the Illinois |
State Police,
"exclusive representative" means the labor |
organization that has
been (i) designated by the Board as the |
representative of a majority of peace
officers or fire |
fighters in an appropriate bargaining unit in accordance
with |
|
the procedures contained in this Act, (ii)
historically |
recognized
by the State of Illinois or any political |
subdivision of the State before
January 1, 1986 (the effective |
date of this amendatory Act of 1985) as the exclusive
|
representative by a majority of the peace officers or fire |
fighters in an
appropriate bargaining unit, or (iii) after |
January 1,
1986 (the effective date of this amendatory
Act of |
1985) recognized by an employer upon evidence, acceptable to |
the
Board, that the labor organization has been designated as |
the exclusive
representative by a majority of the peace |
officers or fire fighters in an
appropriate bargaining unit.
|
Where a historical pattern of representation exists for |
the workers of a water system that was owned by a public |
utility, as defined in Section 3-105 of the Public Utilities |
Act, prior to becoming certified employees of a municipality |
or municipalities once the municipality or municipalities have |
acquired the water system as authorized in Section 11-124-5 of |
the Illinois Municipal Code, the Board shall find the labor |
organization that has historically represented the workers to |
be the exclusive representative under this Act, and shall find |
the unit represented by the exclusive representative to be the |
appropriate unit. |
(g) "Fair share agreement" means an agreement between the |
employer and
an employee organization under which all or any |
of the employees in a
collective bargaining unit are required |
to pay their proportionate share of
the costs of the |
|
collective bargaining process, contract administration, and
|
pursuing matters affecting wages, hours, and other conditions |
of employment,
but not to exceed the amount of dues uniformly |
required of members. The
amount certified by the exclusive |
representative shall not include any fees
for contributions |
related to the election or support of any candidate for
|
political office. Nothing in this subsection (g) shall
|
preclude an employee from making
voluntary political |
contributions in conjunction with his or her fair share
|
payment.
|
(g-1) "Fire fighter" means, for the purposes of this Act |
only, any
person who has been or is hereafter appointed to a |
fire department or fire
protection district or employed by a |
state university and sworn or
commissioned to perform fire |
fighter duties or paramedic duties, including paramedics |
employed by a unit of local government, except that the
|
following persons are not included: part-time fire fighters,
|
auxiliary, reserve or voluntary fire fighters, including paid |
on-call fire
fighters, clerks and dispatchers or other |
civilian employees of a fire
department or fire protection |
district who are not routinely expected to
perform fire |
fighter duties, or elected officials.
|
(g-2) "General Assembly of the State of Illinois" means |
the
legislative branch of the government of the State of |
Illinois, as provided
for under Article IV of the Constitution |
of the State of Illinois, and
includes, but is not limited to, |
|
the House of Representatives, the Senate,
the Speaker of the |
House of Representatives, the Minority Leader of the
House of |
Representatives, the President of the Senate, the Minority |
Leader
of the Senate, the Joint Committee on Legislative |
Support Services, and any
legislative support services agency |
listed in the Legislative Commission
Reorganization Act of |
1984.
|
(h) "Governing body" means, in the case of the State, the |
State Panel of
the Illinois Labor Relations Board, the |
Director of the Department of Central
Management Services, and |
the Director of the Department of Labor; the county
board in |
the case of a county; the corporate authorities in the case of |
a
municipality; and the appropriate body authorized to provide |
for expenditures
of its funds in the case of any other unit of |
government.
|
(i) "Labor organization" means any organization in which |
public employees
participate and that exists for the purpose, |
in whole or in part, of dealing
with a public employer |
concerning wages, hours, and other terms and conditions
of |
employment, including the settlement of grievances.
|
(i-5) "Legislative liaison" means a person who is an |
employee of a State agency, the Attorney General, the |
Secretary of State, the Comptroller, or the Treasurer, as the |
case may be, and whose job duties require the person to |
regularly communicate in the course of his or her employment |
with any official or staff of the General Assembly of the State |
|
of Illinois for the purpose of influencing any legislative |
action. |
(j) "Managerial employee" means an individual who is |
engaged
predominantly in executive and management functions |
and is charged with the
responsibility of directing the |
effectuation of management policies
and practices. |
Determination of managerial employee status shall be based on |
actual employee job duties and not solely on written job |
descriptions. With respect only to State employees in |
positions under the jurisdiction of the Attorney General, |
Secretary of State, Comptroller, or Treasurer (i) that were |
certified in a bargaining unit on or after December 2, 2008, |
(ii) for which a petition is filed with the Illinois Public |
Labor Relations Board on or after April 5, 2013 (the effective |
date of Public Act 97-1172), or (iii) for which a petition is |
pending before the Illinois Public Labor Relations Board on |
that date, "managerial employee" means an individual who is |
engaged in executive and management functions or who is |
charged with the effectuation of management policies and |
practices or who represents management interests by taking or |
recommending discretionary actions that effectively control or |
implement policy. Nothing in this definition prohibits an |
individual from also meeting the definition of "supervisor" |
under subsection (r) of this Section.
|
(k) "Peace officer" means, for the purposes of this Act |
only, any
persons who have been or are hereafter appointed to a |
|
police force,
department, or agency and sworn or commissioned |
to perform police duties,
except that the following persons |
are not
included: part-time police
officers, special police |
officers, auxiliary police as defined by Section
3.1-30-20 of |
the Illinois Municipal Code, night watchmen, "merchant |
police",
court security officers as defined by Section |
3-6012.1 of the Counties
Code,
temporary employees, traffic |
guards or wardens, civilian parking meter and
parking |
facilities personnel or other individuals specially appointed |
to
aid or direct traffic at or near schools or public functions |
or to aid in
civil defense or disaster, parking enforcement |
employees who are not
commissioned as peace officers and who |
are not armed and who are not
routinely expected to effect |
arrests, parking lot attendants, clerks and
dispatchers or |
other civilian employees of a police department who are not
|
routinely expected to effect arrests, or elected officials.
|
(l) "Person" includes one or more individuals, labor |
organizations, public
employees, associations, corporations, |
legal representatives, trustees,
trustees in bankruptcy, |
receivers, or the State of Illinois or any political
|
subdivision of the State or governing body, but does not |
include the General
Assembly of the State of Illinois or any |
individual employed by the General
Assembly of the State of |
Illinois.
|
(m) "Professional employee" means any employee engaged in |
work predominantly
intellectual and varied in character rather |
|
than routine mental, manual,
mechanical or physical work; |
involving the consistent exercise of discretion
and adjustment |
in its performance; of such a character that the output |
produced
or the result accomplished cannot be standardized in |
relation to a given
period of time; and requiring advanced |
knowledge in a field of science or
learning customarily |
acquired by a prolonged course of specialized intellectual
|
instruction and study in an institution of higher learning or |
a hospital,
as distinguished from a general academic education |
or from apprenticeship
or from training in the performance of |
routine mental, manual, or physical
processes; or any employee |
who has completed the courses of specialized
intellectual |
instruction and study prescribed in this subsection (m) and is
|
performing related
work under the supervision of a |
professional person to qualify to become
a professional |
employee as defined in this subsection (m).
|
(n) "Public employee" or "employee", for the purposes of |
this Act, means
any individual employed by a public employer, |
including (i) interns and residents
at public hospitals, (ii) |
as of July 16, 2003 (the effective date of Public Act 93-204), |
but not
before, personal assistants working under the Home
|
Services
Program under Section 3 of the Rehabilitation of |
Persons with Disabilities Act, subject to
the
limitations set |
forth in this Act and in the Rehabilitation of Persons with |
Disabilities
Act,
(iii) as of January 1, 2006 (the effective |
date of Public Act 94-320), but not before, child and day care |
|
home providers participating in the child care assistance |
program under Section 9A-11 of the Illinois Public Aid Code, |
subject to the limitations set forth in this Act and in Section |
9A-11 of the Illinois Public Aid Code, (iv) as of January 29, |
2013 (the effective date of Public Act 97-1158), but not |
before except as otherwise provided in this subsection (n), |
home care and home health workers who function as personal |
assistants and individual maintenance home health workers and |
who also work under the Home Services Program under Section 3 |
of the Rehabilitation of Persons with Disabilities Act, no |
matter whether the State provides those services through |
direct fee-for-service arrangements, with the assistance of a |
managed care organization or other intermediary, or otherwise, |
(v) beginning on July 19, 2013 (the effective date of Public |
Act 98-100) and notwithstanding any other provision of this |
Act, any person employed by a public employer and who is |
classified as or who holds the employment title of Chief |
Stationary Engineer, Assistant Chief Stationary Engineer, |
Sewage Plant Operator, Water Plant Operator, Stationary |
Engineer, Plant Operating Engineer, and any other employee who |
holds the position of: Civil Engineer V, Civil Engineer VI, |
Civil Engineer VII, Technical Manager I, Technical Manager II, |
Technical Manager III, Technical Manager IV, Technical Manager |
V, Technical Manager VI, Realty Specialist III, Realty |
Specialist IV, Realty Specialist V, Technical Advisor I, |
Technical Advisor II, Technical Advisor III, Technical Advisor |
|
IV, or Technical Advisor V employed by the Department of |
Transportation who is in a position which is certified in a |
bargaining unit on or before July 19, 2013 (the effective date |
of Public Act 98-100), and (vi) beginning on July 19, 2013 (the |
effective date of Public Act 98-100) and notwithstanding any |
other provision of this Act, any mental health administrator |
in the Department of Corrections who is classified as or who |
holds the position of Public Service Administrator (Option |
8K), any employee of the Office of the Inspector General in the |
Department of Human Services who is classified as or who holds |
the position of Public Service Administrator (Option 7), any |
Deputy of Intelligence in the Department of Corrections who is |
classified as or who holds the position of Public Service |
Administrator (Option 7), and any employee of the Illinois |
State Police who handles issues concerning the Illinois State |
Police Sex Offender Registry and who is classified as or holds |
the position of Public Service Administrator (Option 7), but |
excluding all of the following: employees of the
General |
Assembly of the State of Illinois; elected officials; |
executive
heads of a department; members of boards or |
commissions; the Executive
Inspectors General; any special |
Executive Inspectors General; employees of each
Office of an |
Executive Inspector General;
commissioners and employees of |
the Executive Ethics Commission; the Auditor
General's |
Inspector General; employees of the Office of the Auditor |
General's
Inspector General; the Legislative Inspector |
|
General; any special Legislative
Inspectors General; employees |
of the Office
of the Legislative Inspector General;
|
commissioners and employees of the Legislative Ethics |
Commission;
employees
of any
agency, board or commission |
created by this Act; employees appointed to
State positions of |
a temporary or emergency nature; all employees of school
|
districts and higher education institutions except |
firefighters and peace
officers employed
by a state university |
and except peace officers employed by a school district in its |
own police department in existence on July 23, 2010 (the |
effective date of Public Act 96-1257); managerial employees; |
short-term employees; legislative liaisons; a person who is a |
State employee under the jurisdiction of the Office of the |
Attorney General who is licensed to practice law or whose |
position authorizes, either directly or indirectly, meaningful |
input into government decision-making on issues where there is |
room for principled disagreement on goals or their |
implementation; a person who is a State employee under the |
jurisdiction of the Office of the Comptroller who holds the |
position of Public Service Administrator or whose position is |
otherwise exempt under the Comptroller Merit Employment Code; |
a person who is a State employee under the jurisdiction of the |
Secretary of State who holds the position classification of |
Executive I or higher, whose position authorizes, either |
directly or indirectly, meaningful input into government |
decision-making on issues where there is room for principled |
|
disagreement on goals or their implementation, or who is |
otherwise exempt under the Secretary of State Merit Employment |
Code; employees in the Office of the Secretary of State who are |
completely exempt from jurisdiction B of the Secretary of |
State Merit Employment Code and who are in Rutan-exempt |
positions on or after April 5, 2013 (the effective date of |
Public Act 97-1172); a person who is a State employee under the |
jurisdiction of the Treasurer who holds a position that is |
exempt from the State Treasurer Employment Code; any employee |
of a State agency who (i) holds the title or position of, or |
exercises substantially similar duties as a legislative |
liaison, Agency General Counsel, Agency Chief of Staff, Agency |
Executive Director, Agency Deputy Director, Agency Chief |
Fiscal Officer, Agency Human Resources Director, Public |
Information Officer, or Chief Information Officer and (ii) was |
neither included in a bargaining unit nor subject to an active |
petition for certification in a bargaining unit; any employee |
of a State agency who (i) is in a position that is |
Rutan-exempt, as designated by the employer, and completely |
exempt from jurisdiction B of the Personnel Code and (ii) was |
neither included in a bargaining unit nor subject to an active |
petition for certification in a bargaining unit; any term |
appointed employee of a State agency pursuant to Section 8b.18 |
or 8b.19 of the Personnel Code who was neither included in a |
bargaining unit nor subject to an active petition for |
certification in a bargaining unit; any employment position |
|
properly designated pursuant to Section 6.1 of this Act;
|
confidential employees; independent contractors; and |
supervisors except as
provided in this Act.
|
Home care
and home health workers who function as personal |
assistants and individual maintenance home health workers and |
who also work under the Home Services Program under Section 3 |
of the Rehabilitation of Persons with Disabilities Act shall |
not be considered
public
employees for any purposes not |
specifically provided for in Public Act 93-204 or Public Act |
97-1158, including, but not limited to, purposes of vicarious
|
liability in tort
and purposes of statutory retirement or |
health insurance benefits. Home care and home health workers |
who function as personal assistants and individual maintenance |
home health workers and who also work under the Home Services |
Program under Section 3 of the Rehabilitation of Persons with |
Disabilities Act shall not be covered by the State Employees
|
Group
Insurance Act of 1971.
|
Child and day care home providers shall not be considered |
public employees for any purposes not specifically provided |
for in Public Act 94-320, including, but not limited to, |
purposes of vicarious liability in tort and purposes of |
statutory retirement or health insurance benefits. Child and |
day care home providers shall not be covered by the State |
Employees Group Insurance Act of 1971. |
Notwithstanding Section 9, subsection (c), or any other |
provisions of
this Act, all peace officers above the rank of |
|
captain in
municipalities with more than 1,000,000 inhabitants |
shall be excluded
from this Act.
|
(o) Except as otherwise in subsection (o-5), "public |
employer" or "employer" means the State of Illinois; any
|
political subdivision of the State, unit of local government |
or school
district; authorities including departments, |
divisions, bureaus, boards,
commissions, or other agencies of |
the foregoing entities; and any person
acting within the scope |
of his or her authority, express or implied, on
behalf of those |
entities in dealing with its employees.
As of July 16, 2003 |
(the effective date of Public Act 93-204),
but not
before, the |
State of Illinois shall be considered the employer of the |
personal assistants working under the Home Services Program
|
under
Section 3 of the Rehabilitation of Persons with |
Disabilities Act, subject to the
limitations set forth
in this |
Act and in the Rehabilitation of Persons with Disabilities |
Act. As of January 29, 2013 (the effective date of Public Act |
97-1158), but not before except as otherwise provided in this |
subsection (o), the State shall be considered the employer of |
home care and home health workers who function as personal |
assistants and individual maintenance home health workers and |
who also work under the Home Services Program under Section 3 |
of the Rehabilitation of Persons with Disabilities Act, no |
matter whether the State provides those services through |
direct fee-for-service arrangements, with the assistance of a |
managed care organization or other intermediary, or otherwise, |
|
but subject to the limitations set forth in this Act and the |
Rehabilitation of Persons with Disabilities Act. The State |
shall not
be
considered to be the employer of home care and |
home health workers who function as personal
assistants and |
individual maintenance home health workers and who also work |
under the Home Services Program under Section 3 of the |
Rehabilitation of Persons with Disabilities Act, for any
|
purposes not specifically provided for in Public Act 93-204 or |
Public Act 97-1158, including but not limited to, purposes of |
vicarious liability in tort
and
purposes of statutory |
retirement or health insurance benefits. Home care and home |
health workers who function as
personal assistants and |
individual maintenance home health workers and who also work |
under the Home Services Program under Section 3 of the |
Rehabilitation of Persons with Disabilities Act shall not be |
covered by the State Employees Group
Insurance Act of 1971.
As |
of January 1, 2006 (the effective date of Public Act 94-320) , |
but not before, the State of Illinois shall be considered the |
employer of the day and child care home providers |
participating in the child care assistance program under |
Section 9A-11 of the Illinois Public Aid Code, subject to the |
limitations set forth in this Act and in Section 9A-11 of the |
Illinois Public Aid Code. The State shall not be considered to |
be the employer of child and day care home providers for any |
purposes not specifically provided for in Public Act 94-320, |
including, but not limited to, purposes of vicarious liability |
|
in tort and purposes of statutory retirement or health |
insurance benefits. Child and day care home providers shall |
not be covered by the State Employees Group Insurance Act of |
1971. |
"Public employer" or
"employer" as used in this Act, |
however, does not
mean and shall not include the General |
Assembly of the State of Illinois,
the Executive Ethics |
Commission, the Offices of the Executive Inspectors
General, |
the Legislative Ethics Commission, the Office of the |
Legislative
Inspector General, the Office of the Auditor |
General's Inspector General, the Office of the Governor, the |
Governor's Office of Management and Budget, the Illinois |
Finance Authority, the Office of the Lieutenant Governor, the |
State Board of Elections, and educational employers or |
employers as defined in the Illinois
Educational Labor |
Relations Act, except with respect to a state university in
|
its employment of firefighters and peace officers and except |
with respect to a school district in the employment of peace |
officers in its own police department in existence on July 23, |
2010 (the effective date of Public Act 96-1257). County boards |
and county
sheriffs shall be
designated as joint or |
co-employers of county peace officers appointed
under the |
authority of a county sheriff. Nothing in this subsection
(o) |
shall be construed
to prevent the State Panel or the Local |
Panel
from determining that employers are joint or |
co-employers.
|
|
(o-5) With respect to
wages, fringe
benefits, hours, |
holidays, vacations, proficiency
examinations, sick leave, and |
other conditions of
employment, the public employer of public |
employees who are court reporters, as
defined in the Court |
Reporters Act, shall be determined as
follows:
|
(1) For court reporters employed by the Cook County |
Judicial
Circuit, the chief judge of the Cook County |
Circuit
Court is the public employer and employer |
representative.
|
(2) For court reporters employed by the 12th, 18th, |
19th, and, on and after December 4, 2006, the 22nd |
judicial
circuits, a group consisting of the chief judges |
of those circuits, acting
jointly by majority vote, is the |
public employer and employer representative.
|
(3) For court reporters employed by all other judicial |
circuits,
a group consisting of the chief judges of those |
circuits, acting jointly by
majority vote, is the public |
employer and employer representative.
|
(p) "Security employee" means an employee who is |
responsible for the
supervision and control of inmates at |
correctional facilities. The term
also includes other |
non-security employees in bargaining units having the
majority |
of employees being responsible for the supervision and control |
of
inmates at correctional facilities.
|
(q) "Short-term employee" means an employee who is |
employed for less
than 2 consecutive calendar quarters during |
|
a calendar year and who does
not have a reasonable assurance |
that he or she will be rehired by the
same employer for the |
same service in a subsequent calendar year.
|
(q-5) "State agency" means an agency directly responsible |
to the Governor, as defined in Section 3.1 of the Executive |
Reorganization Implementation Act, and the Illinois Commerce |
Commission, the Illinois Workers' Compensation Commission, the |
Civil Service Commission, the Pollution Control Board, the |
Illinois Racing Board, and the Illinois State Police Merit |
Board. |
(r) "Supervisor" is: |
(1) An employee whose principal work is substantially
|
different from that of his or her subordinates and who has |
authority, in the
interest of the employer, to hire, |
transfer, suspend, lay off, recall,
promote, discharge, |
direct, reward, or discipline employees, to adjust
their |
grievances, or to effectively recommend any of those |
actions, if the
exercise
of that authority is not of a |
merely routine or clerical nature, but
requires the |
consistent use of independent judgment. Except with |
respect to
police employment, the term "supervisor" |
includes only those individuals
who devote a preponderance |
of their employment time to exercising that
authority, |
State supervisors notwithstanding. Determinations of |
supervisor status shall be based on actual employee job |
duties and not solely on written job descriptions. Nothing |
|
in this definition prohibits an individual from also |
meeting the definition of "managerial employee" under |
subsection (j) of this Section. In addition, in |
determining
supervisory status in police employment, rank |
shall not be determinative.
The Board shall consider, as |
evidence of bargaining unit inclusion or
exclusion, the |
common law enforcement policies and relationships between
|
police officer ranks and certification under applicable |
civil service law,
ordinances, personnel codes, or |
Division 2.1 of Article 10 of the Illinois
Municipal Code, |
but these factors shall not
be the sole or predominant |
factors considered by the Board in determining
police |
supervisory status.
|
Notwithstanding the provisions of the preceding |
paragraph, in determining
supervisory status in fire |
fighter employment, no fire fighter shall be
excluded as a |
supervisor who has established representation rights under
|
Section 9 of this Act. Further, in fire fighter units, |
employees shall
consist of fire fighters of the highest |
rank of company officer and below. A company officer may |
be responsible for multiple companies or apparatus on a |
shift, multiple stations, or an entire shift. There may be |
more than one company officer per shift. If a company |
officer otherwise qualifies as a supervisor under the |
preceding paragraph, however, he or she shall
not be |
included in the fire fighter
unit. If there is no rank |
|
between that of chief and the
highest company officer, the |
employer may designate a position on each
shift as a Shift |
Commander, and the persons occupying those positions shall
|
be supervisors. All other ranks above that of the highest |
company officer shall be
supervisors.
|
(2) With respect only to State employees in positions |
under the jurisdiction of the Attorney General, Secretary |
of State, Comptroller, or Treasurer (i) that were |
certified in a bargaining unit on or after December 2, |
2008, (ii) for which a petition is filed with the Illinois |
Public Labor Relations Board on or after April 5, 2013 |
(the effective date of Public Act 97-1172), or (iii) for |
which a petition is pending before the Illinois Public |
Labor Relations Board on that date, an employee who |
qualifies as a supervisor under (A) Section 152 of the |
National Labor Relations Act and (B) orders of the |
National Labor Relations Board interpreting that provision |
or decisions of courts reviewing decisions of the National |
Labor Relations Board. |
(s)(1) "Unit" means a class of jobs or positions that are |
held by
employees whose collective interests may suitably be |
represented by a labor
organization for collective bargaining. |
Except with respect to non-State fire
fighters and paramedics |
employed by fire departments and fire protection
districts, |
non-State peace officers, and peace officers in the Illinois |
State Police, a bargaining unit determined by the Board shall |
|
not include both
employees and supervisors, or supervisors |
only, except as provided in paragraph
(2) of this subsection |
(s) and except for bargaining units in existence on July
1, |
1984 (the effective date of this Act). With respect to |
non-State fire
fighters and paramedics employed by fire |
departments and fire protection
districts, non-State peace |
officers, and peace officers in the Illinois State Police, a |
bargaining unit determined by the Board shall not include both
|
supervisors and nonsupervisors, or supervisors only, except as |
provided in
paragraph (2) of this subsection (s) and except |
for bargaining units in
existence on January 1, 1986 (the |
effective date of this amendatory Act of
1985). A bargaining |
unit determined by the Board to contain peace officers
shall |
contain no employees other than peace officers unless |
otherwise agreed to
by the employer and the labor organization |
or labor organizations involved.
Notwithstanding any other |
provision of this Act, a bargaining unit, including a
|
historical bargaining unit, containing sworn peace officers of |
the Department
of Natural Resources (formerly designated the |
Department of Conservation) shall
contain no employees other |
than such sworn peace officers upon the effective
date of this |
amendatory Act of 1990 or upon the expiration date of any
|
collective bargaining agreement in effect upon the effective |
date of this
amendatory Act of 1990 covering both such sworn |
peace officers and other
employees.
|
(2) Notwithstanding the exclusion of supervisors from |
|
bargaining units
as provided in paragraph (1) of this |
subsection (s), a public
employer may agree to permit its |
supervisory employees to form bargaining units
and may bargain |
with those units. This Act shall apply if the public employer
|
chooses to bargain under this subsection.
|
(3) Public employees who are court reporters, as defined
|
in the Court Reporters Act,
shall be divided into 3 units for |
collective bargaining purposes. One unit
shall be court |
reporters employed by the Cook County Judicial Circuit; one
|
unit shall be court reporters employed by the 12th, 18th, |
19th, and, on and after December 4, 2006, the 22nd judicial
|
circuits; and one unit shall be court reporters employed by |
all other
judicial circuits.
|
(t) "Active petition for certification in a bargaining |
unit" means a petition for certification filed with the Board |
under one of the following case numbers: S-RC-11-110; |
S-RC-11-098; S-UC-11-080; S-RC-11-086; S-RC-11-074; |
S-RC-11-076; S-RC-11-078; S-UC-11-052; S-UC-11-054; |
S-RC-11-062; S-RC-11-060; S-RC-11-042; S-RC-11-014; |
S-RC-11-016; S-RC-11-020; S-RC-11-030; S-RC-11-004; |
S-RC-10-244; S-RC-10-228; S-RC-10-222; S-RC-10-220; |
S-RC-10-214; S-RC-10-196; S-RC-10-194; S-RC-10-178; |
S-RC-10-176; S-RC-10-162; S-RC-10-156; S-RC-10-088; |
S-RC-10-074; S-RC-10-076; S-RC-10-078; S-RC-10-060; |
S-RC-10-070; S-RC-10-044; S-RC-10-038; S-RC-10-040; |
S-RC-10-042; S-RC-10-018; S-RC-10-024; S-RC-10-004; |
|
S-RC-10-006; S-RC-10-008; S-RC-10-010; S-RC-10-012; |
S-RC-09-202; S-RC-09-182; S-RC-09-180; S-RC-09-156; |
S-UC-09-196; S-UC-09-182; S-RC-08-130; S-RC-07-110; or |
S-RC-07-100. |
(Source: P.A. 102-151, eff. 7-23-21; 102-538, eff. 8-20-21; |
102-686, eff. 6-1-22; 102-813, eff. 5-13-22; revised 6-13-22.)
|
Section 25. The Illinois Governmental Ethics Act is |
amended by changing Section 2-104 as follows:
|
(5 ILCS 420/2-104) (from Ch. 127, par. 602-104)
|
Sec. 2-104. No legislator may accept or participate in any |
way in any representation
case, as that term is defined in |
Section 1-113, before (1) the Court of
Claims of this State or |
(2) before the Illinois Workers' Compensation
Commission,
when |
the State of Illinois is the respondent.
|
This Section does not prohibit participation in such a |
representation
case by a person with whom the legislator |
maintains a close economic
association, unless the fact of |
that association is used to influence or
attempt to influence |
the State agency in the rendering of its decision.
|
A violation of this Section is a Class A misdemeanor.
|
(Source: P.A. 93-721, eff. 1-1-05; revised 6-13-22.)
|
Section 30. The Illinois TRUST Act is amended by changing |
Sections 10 and 15 as follows:
|
|
(5 ILCS 805/10)
|
Sec. 10. Definitions. In this Act: |
"Citizenship or immigration status" means all matters |
regarding citizenship of the United States or any other |
country or the authority to reside in or otherwise be present |
in the United States. |
"Civil immigration warrant" means any document that is not |
approved or ordered by a judge that can form the basis for an |
individual's arrest or detention for a civil immigration |
enforcement purpose. "Civil immigration warrant" includes Form |
I-200 "Warrant for the Arrest of Alien", Form I-203 "Order to |
Detain or Release Alien", Form I-205 "Warrant of |
Removal/Deportation", Form I-286 "Notice of Custody |
Determination", any predecessor or successor form, and all |
warrants, hits, or requests contained in the "Immigration |
Violator File" of the FBI's National Crime Information Center |
(NCIC) database. "Civil immigration warrant" does not include |
any criminal warrant. |
"Contact information" means home address, work address, |
telephone number, electronic mail address, social media |
information, or any other personal identifying information |
that could be used as a means to contact an individual. |
"Immigration agent" means an agent of federal Immigration |
and Customs Enforcement, federal Customs and Border |
Protection, or any similar or successor agency. |
|
"Immigration detainer" means a request to a State or local |
law enforcement agency to provide notice of release or |
maintain custody of an individual based on an alleged |
violation of a civil immigration law, including detainers |
issued under Sections 1226 or 1357 of Title 8 of the United |
States Code or 287.7 or 236.1 of Title 8 of the Code of Federal |
Regulations. "Immigration detainer" includes Form I-247A |
"Immigration Detainer – Notice of Action" and any predecessor |
or successor form. |
"Law enforcement agency" means an agency of the State or |
of a unit of local government charged with enforcement of |
State, county, or municipal laws or with managing custody of |
detained persons in the State. |
"Law enforcement official" means any individual with the |
power to arrest or detain individuals, including law |
enforcement officers, corrections officers officer , and others |
employed or designated by a law enforcement agency. "Law |
enforcement official" includes any probation officer.
|
(Source: P.A. 102-234, eff. 8-2-21; revised 9-13-22.)
|
(5 ILCS 805/15)
|
Sec. 15. Prohibition on enforcing federal civil |
immigration laws.
|
(a) A law enforcement agency or law enforcement official |
shall not detain or continue to detain any individual solely |
on the basis of any immigration detainer or civil immigration |
|
warrant or otherwise comply with an immigration detainer or |
civil immigration warrant. |
(b) A law enforcement agency or law enforcement official |
shall not stop, arrest, search, detain, or continue to detain |
a person solely based on an individual's citizenship or |
immigration status. |
(c) (Blank). |
(d) A law enforcement agency or law enforcement official |
acting in good faith in compliance with this Section who |
releases a person subject to an immigration detainer or civil |
immigration warrant shall have immunity from any civil or |
criminal liability that might otherwise occur as a result of |
making the release, with the exception of willful or wanton |
misconduct.
|
(e) A law enforcement agency or law enforcement official |
may not inquire about or investigate the citizenship or |
immigration status or place of birth of any individual in the |
agency or official's custody or who has otherwise been stopped |
or detained by the agency or official. Nothing in this |
subsection shall be construed to limit the ability of a law |
enforcement agency or law enforcement official, pursuant to |
State or federal law, to notify a person in the law enforcement |
agency's custody about that person's right to communicate with |
consular officers from that person's country of nationality, |
or facilitate such communication, in accordance with the |
Vienna Convention on Consular Relations or other bilateral |
|
agreements. Nothing in this subsection shall be construed to |
limit the ability of a law enforcement agency or law |
enforcement official to request evidence of citizenship or |
immigration status pursuant to the Firearm Owners |
Identification Card Act, the Firearm Concealed Carry Act, |
Article 24 of the Criminal Code of 2012, or 18 United States |
Code Sections 921 through 931. |
(f) Unless otherwise limited by federal law, a law |
enforcement agency or law enforcement official may not deny |
services, benefits, privileges, or opportunities to an |
individual in custody or under probation status, including, |
but not limited to, eligibility for or placement in a lower |
custody classification, educational, rehabilitative, or |
diversionary programs, on the basis of the individual's |
citizenship or immigration status, the issuance of an |
immigration detainer or civil immigration warrant against the |
individual, or the individual being in immigration removal |
proceedings. |
(g)(1) No law enforcement agency, law enforcement |
official, or any unit of State or local government may enter |
into or renew any contract, intergovernmental service |
agreement, or any other agreement to house or detain |
individuals for federal civil immigration violations. |
(2) Any law enforcement agency, law enforcement official, |
or unit of State or local government with an existing |
contract, intergovernmental agreement, or other agreement, |
|
whether in whole or in part, that is utilized to house or |
detain individuals for civil immigration violations shall |
exercise the termination provision in the agreement as applied |
to housing or detaining individuals for civil immigration |
violations no later than January 1, 2022. |
(h) Unless presented with a federal criminal warrant, or |
otherwise required by federal law, a law enforcement agency or |
official may not: |
(1) participate, support, or assist in any capacity |
with an immigration agent's enforcement
operations, |
including any collateral assistance such as coordinating |
an arrest in a courthouse or other public facility, |
providing use of any equipment, transporting any |
individuals, or establishing a security or traffic |
perimeter surrounding such operations, or any other |
on-site support; |
(2) give any immigration agent access, including by |
telephone, to any individual who is in that agency's |
custody; |
(3) transfer any person into an immigration agent's |
custody; |
(4) permit immigration agents use of agency facilities |
or equipment, including any agency electronic databases |
not available to the public, for investigative interviews |
or other investigative or immigration enforcement purpose; |
(5) enter into or maintain any agreement regarding |
|
direct access to any electronic database or other |
data-sharing platform maintained by any law enforcement |
agency, or otherwise provide such direct access to the |
U.S. Immigration and Customs Enforcement, United States |
Customs and Border Protection or any other federal entity |
enforcing civil immigration violations; |
(6) provide information in response to any immigration |
agent's inquiry or request for information regarding any |
individual in the agency's custody; or |
(7) provide to any immigration agent information not |
otherwise available to the public relating to an |
individual's release or contact information, or otherwise |
facilitate for an immigration agent to apprehend or |
question an individual for immigration enforcement. |
(i) Nothing in this Section shall preclude a law |
enforcement official from otherwise executing that official's |
duties in investigating violations of criminal law and |
cooperating in such investigations with federal and other law |
enforcement agencies (including criminal investigations |
conducted by federal Homeland Security Investigations (HSI)) |
in order to ensure public safety. |
(Source: P.A. 102-234, eff. 8-2-21; revised 9-14-22.)
|
Section 35. The First Responders Suicide Prevention Act is |
amended by changing Section 40 as follows:
|
|
(5 ILCS 840/40) |
Sec. 40. Task Force recommendations. |
(a) Task Force members shall recommend that agencies and |
organizations guarantee access to mental health and wellness |
services, including, but not limited to, peer support programs |
and providing ongoing education related to the ever-evolving |
concept of mental health wellness. These recommendations could |
be accomplished by: |
(1) Revising agencies' and organizations' employee |
assistance programs (EAPs). |
(2) Urging health care providers to replace outdated |
healthcare plans and include more progressive options |
catering to the needs and disproportionate risks |
shouldered by our first responders. |
(3) Allocating funding or resources for public service |
announcements (PSA) and messaging campaigns aimed at |
raising awareness of available assistance options. |
(4) Encouraging agencies and organizations to attach |
lists of all available resources to training manuals and |
continuing education requirements. |
(b) Task Force members shall recommend agencies and |
organizations sponsor or facilitate first responders with |
specialized training in the areas of psychological fitness, |
depressive disorders, early detection, and mitigation best |
practices. Such trainings could be accomplished by: |
(1) Assigning, appointing, or designating one member |
|
of an agency or organization to attend specialized |
training(s) sponsored by an accredited agency, |
association, or organization recognized in their fields of |
study. |
(2) Seeking sponsorships or conducting fund-raisers, |
to host annual or semiannual on-site visits from qualified |
clinicians or physicians to provide early detection |
training techniques, or to provide regular access to |
mental health professionals. |
(3) Requiring a minimum number of hours of disorders |
and wellness training be incorporated into reoccurring, |
annual or biannual training standards, examinations, and |
curriculums, taking into close consideration respective |
agency or organization size, frequency , and number of all |
current federal and state mandatory examinations and |
trainings expected respectively. |
(4) Not underestimating the crucial importance of a |
balanced diet, sleep, mindfulness-based stress reduction |
techniques, moderate and vigorous intensity activities, |
and recreational hobbies, which have been scientifically |
proven to play a major role in brain health and mental |
wellness. |
(c) Task Force members shall recommend that administrators |
and leadership personnel solicit training services from |
evidence-based, data driven organizations. Organizations with |
personnel trained on the analytical review and interpretation |
|
of specific fields related to the nature of first responders' |
exploits, such as PTSD, substance abuse, chronic state of |
duress. Task Force members shall further recommend funding for |
expansion and messaging campaigns of preliminary |
self-diagnosing technologies like the one described above. |
These objectives could be met by: |
(1) Contacting an accredited agency, association, or |
organization recognized in the field or fields of specific |
study. Unbeknownst to the majority, many of the agencies |
and organizations listed above receive grants and |
allocations to assist communities with the very issues |
being discussed in this Section. |
(2) Normalizing help-seeking behaviors for both first |
responders and their families through regular messaging |
and peer support outreach, beginning with academy |
curricula and continuing education throughout individuals' |
careers. |
(3) Funding and implementing PSA campaigns that |
provide clear and concise calls to action about mental |
health and wellness, resiliency, help-seeking, treatment , |
and recovery. |
(4) Promoting and raising awareness of not-for-profit |
non-for-profit organizations currently available to assist |
individuals in search of care and treatment. Organizations |
have intuitive user-friendly sites, most of which have |
mobile applications, so first responders can access at a |
|
moment's notice. However, because of limited funds, these |
organizations have a challenging time of getting the word |
out there about their existence. |
(5) Expanding Family and Medical Leave Act protections |
for individuals voluntarily seeking preventative |
treatment. |
(6) Promoting and ensuring complete patient |
confidentiality protections. |
(d) Task Force members shall recommend that agencies and |
organizations incorporate the following training components |
into already existing modules and educational curriculums. |
Doing so could be done by: |
(1) Bolstering academy and school curricula by |
requiring depressive disorder training catered to PTSD, |
substance abuse, and early detection techniques training, |
taking into close consideration respective agency or |
organization size, and the frequency and number of all |
current federal and state mandatory examinations and |
trainings expected respectively. |
(2) Continuing to allocate or match federal and state |
funds to maintain Mobile Mobil Training Units (MTUs). |
(3) Incorporating a state certificate for peer support |
training into already exiting statewide curriculums and |
mandatory examinations, annual State Fire Marshal |
examinations, and physical fitness examinations. The |
subject matter of the certificate should have an emphasis |
|
on mental health and wellness, as well as familiarization |
with topics ranging from clinical social work, clinical |
psychology, clinical behaviorist, and clinical psychiatry. |
(4) Incorporating and performing statewide mental |
health check-ins during the same times as already mandated |
trainings. These checks are not to be compared or used as |
measures of fitness for duty evaluations or structured |
psychological examinations. |
(5) Recommending comprehensive and evidence-based |
training on the importance of preventative measures on the |
topics of sleep, nutrition, mindfulness, and physical |
movement. |
(6) Law enforcement agencies should provide training |
on the Firearm Owner's Identification Card Act, including |
seeking relief from the Illinois State Police under |
Section 10 of the Firearm Owners Identification Card Act |
and a FOID card being a continued condition of employment |
under Section 7.2 of the Uniform Peace Officers' |
Disciplinary Act.
|
(Source: P.A. 102-352, eff. 6-1-22; revised 8-8-22.)
|
Section 40. The Election Code is amended by changing |
Sections 7-13, 7-16, 7-42, 7-43, 7-59, 7-61, 8-8, 10-14, 16-3, |
and 16-5.01 as follows:
|
(10 ILCS 5/7-13) (from Ch. 46, par. 7-13)
|
|
Sec. 7-13.
The board of election commissioners in cities |
of 500,000 or more
population having such board, shall |
constitute an electoral board for the
hearing and passing upon |
objections to nomination petitions for ward committeepersons.
|
Except as otherwise provided in this Code, such objections |
shall be filed in the office of the county clerk within 5 |
business days after the last day for filing nomination papers. |
The objection shall state the name
and address of the |
objector, who may be any qualified elector in the ward,
the |
specific grounds of objection and the relief requested of the |
electoral
board. Upon the receipt of the objection, the county |
clerk shall forthwith
transmit such objection and the petition |
of the candidate to the board of
election commissioners. The |
board of election commissioners shall forthwith
notify the |
objector and candidate objected to of the time and place for
|
hearing hereon. After a hearing upon the validity of such |
objections, the
board shall
certify to the county clerk its |
decision stating whether or not the name
of the candidate |
shall be printed on the ballot and the county clerk in his
or |
her certificate to the board of election commissioners shall |
leave off
of the certificate the name of the candidate for ward |
committeeperson that the
election commissioners order not to |
be printed on the ballot. However, the
decision of the board of |
election commissioners is subject to judicial
review as |
provided in Section 10-10.1.
|
The county electoral board composed as provided in Section |
|
10-9 shall
constitute an electoral board for the hearing and |
passing upon objections
to nomination petitions for precinct |
and township committeepersons. Such
objections shall be filed |
in the office of the county clerk within 5 business days after |
the last day for filing nomination papers. The objection shall |
state the name and
address of the objector who may be any |
qualified elector in the precinct or
in the township or part of |
a township that lies outside of a city having a
population of |
500,000 or more, the specific grounds of objection and the
|
relief requested of the electoral board. Upon the receipt of |
the objection
the county clerk shall forthwith transmit such |
objection and the petition
of the candidate to the chair of the |
county electoral board. The chair
of the county electoral |
board shall forthwith notify the objector,
the candidate whose |
petition is objected to and the other members of the
electoral |
board of the time and place for hearing thereon. After hearing
|
upon the validity of such objections the board shall certify |
its decision to the county clerk
stating whether or not the |
name of the candidate shall be printed on the
ballot, and the |
county clerk, in his or her certificate to the board of
|
election commissioners, shall leave off of the certificate the |
name of the
candidate ordered by the board not to be printed on |
the ballot, and the
county clerk shall also refrain from |
printing on the official primary
ballot, the name of any |
candidate whose name has been ordered by the
electoral board |
not to be printed on the ballot. However, the decision of
the |
|
board is subject to judicial review as provided in Section |
10-10.1.
|
In such proceedings the electoral boards have the same |
powers as other
electoral boards under the provisions of |
Section 10-10 of this Code Act and
their decisions are subject |
to judicial review under Section 10-10.1.
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/7-16) (from Ch. 46, par. 7-16)
|
Sec. 7-16.
Each election authority in each county
shall |
prepare and cause to be printed the primary ballot of each
|
political party for each precinct in his respective |
jurisdiction.
|
Except as otherwise provided in this Code, the election |
authority shall, at least 45 days prior to the date of the |
primary
election, have a sufficient number of ballots printed |
so that such
ballots will be available for mailing 45 days |
prior to the
primary election to persons who have filed |
application for a ballot
under the provisions of Article 20 of |
this Code Act .
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/7-42) (from Ch. 46, par. 7-42)
|
Sec. 7-42.
(a) Any person entitled to vote at such primary |
shall, on the day of
such primary, with the consent of his |
employer , be entitled to absent
himself from any service or |
|
employment in which he is then engaged or
employed for a period |
of 2 two hours between the time of opening and closing
the |
polls. The employer may specify the hours during which said |
employee employe may
absent himself.
|
(b) Beginning the 15th day before the primary election or |
on the day of the primary election, any student entitled to |
vote at such primary shall be entitled to be absent from school |
for a period of 2 hours during the school day in order to vote. |
The school may specify the hours during which the eligible |
student may be absent. A student who is absent from school |
under this subsection (b) is not considered absent for the |
purpose of calculating enrollment under Section 18-8.15 of the |
School Code. |
(Source: P.A. 101-624, eff. 6-1-20; revised 8-23-22.)
|
(10 ILCS 5/7-43) (from Ch. 46, par. 7-43)
|
Sec. 7-43. Every person having resided in this State 6 |
months and
in the precinct 30 days next preceding any primary |
therein who shall be
a citizen of the United States of the age |
of 18 or more
years shall be
entitled to vote at such primary.
|
The following regulations shall be applicable to |
primaries:
|
No person shall be entitled to vote at a primary:
|
(a) Unless he declares his party affiliations as |
required by this
Article.
|
(b) (Blank).
|
|
(c) (Blank).
|
(c.5) If that person has participated in the town |
political party caucus,
under Section 45-50 of the |
Township Code, of another political party by
signing |
an affidavit of voters attending the caucus within 45 |
days before the
first day of the calendar month in |
which the primary is held.
|
(d) (Blank).
|
In cities, villages , and incorporated towns having a |
board of
election commissioners , only voters registered as |
provided by Article 6
of this Code Act shall be entitled to |
vote at such primary.
|
No person shall be entitled to vote at a primary |
unless he is
registered under the provisions of Article |
Articles 4, 5 , or 6 of this Code Act , when
his registration |
is required by any of said Articles to entitle him to
vote |
at the election with reference to which the primary is |
held.
|
A person (i) who filed a statement of candidacy for a |
partisan office as a qualified primary voter of an established |
political party or (ii) who voted the ballot of an established |
political party at a general primary election may not file a |
statement of candidacy as a candidate of a different |
established political party, a new political party, or as an |
independent candidate for a partisan office to be filled at |
the general election immediately following the general primary |
|
for which the person filed the statement or voted the ballot. A |
person may file a statement of candidacy for a partisan office |
as a qualified primary voter of an established political party |
regardless of any prior filing of candidacy for a partisan |
office or voting the ballot of an established political party |
at any prior election. |
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/7-59) (from Ch. 46, par. 7-59)
|
Sec. 7-59. (a) The person receiving the highest number of |
votes at a
primary as a candidate of a party for the nomination |
for an office shall
be the candidate of that party for such |
office, and his name as such
candidate shall be placed on the |
official ballot at the election then
next ensuing; provided , |
that where there are 2 two or more persons to be
nominated for |
the same office or board, the requisite number of persons
|
receiving the highest number of votes shall be nominated , and |
their names
shall be placed on the official ballot at the |
following election.
|
Except as otherwise provided by Section 7-8 of this Code |
Act , the
person receiving the highest number of votes of his |
party for
State central committeeperson of his congressional |
district shall be
declared elected State central |
committeeperson from said congressional
district.
|
Unless a national political party specifies that delegates |
and
alternate delegates to a National nominating convention be |
|
allocated by
proportional selection representation according |
to the results of a
Presidential preference primary, the |
requisite number of persons
receiving the highest number of |
votes of their party for delegates and
alternate delegates to |
National nominating conventions from the State at
large, and |
the requisite number of persons receiving the highest number |
of
votes of their party for delegates and alternate delegates |
to National
nominating conventions in their respective |
congressional districts shall be
declared elected delegates |
and alternate delegates to the National
nominating conventions |
of their party.
|
A political party which elects the members to its State |
Central Committee
by Alternative B under paragraph (a) of |
Section 7-8 shall select its
congressional district delegates |
and alternate delegates to its national
nominating convention |
by proportional selection representation according to
the |
results of a Presidential preference primary in each |
congressional
district in the manner provided by the rules of |
the national political
party and the State Central Committee, |
when the rules and policies of the
national political party so |
require.
|
A political party which elects the members to its State |
Central Committee
by Alternative B under paragraph (a) of |
Section 7-8 shall select its
at large delegates and alternate |
delegates to its national
nominating convention by |
proportional selection representation according to
the results |
|
of a Presidential preference primary in the whole State in the
|
manner provided by the rules of the national political party |
and the State
Central Committee, when the rules and policies |
of the national political
party so require.
|
The person receiving the highest number of votes of his |
party for
precinct committeeperson of his precinct shall be |
declared elected precinct committeeperson
from said precinct.
|
The person receiving the highest number of votes of his |
party for
township committeeperson of his township or part of |
a township as the case
may be, shall be declared elected |
township committeeperson from said
township or part of a |
township as the case may be. In cities where ward |
committeepersons
are elected, the person receiving the highest |
number of
votes of his party for ward committeeperson of his |
ward shall be declared
elected ward committeeperson from said |
ward.
|
When 2 two or more persons receive an equal and the highest |
number of
votes for the nomination for the same office or for |
committeeperson of the
same political party, or where more |
than one person of the same
political party is to be nominated |
as a candidate for office or committeeperson, if it appears |
that more than the number of persons to be
nominated for an |
office or elected committeeperson have the highest and an
|
equal number of votes for the nomination for the same office or |
for
election as committeeperson, the election authority by |
which the returns of the primary
are canvassed shall decide by |
|
lot which of said persons shall be
nominated or elected, as the |
case may be. In such case the election authority shall issue |
notice in writing to such persons of such tie vote
stating |
therein the place, the day (which shall not be more than 5 days |
thereafter) and the hour when such nomination or election |
shall
be so determined.
|
(b) Except as otherwise provided in this Code, write-in |
votes shall be counted only for persons who have filed
|
notarized declarations of intent to be write-in candidates |
with the proper
election authority or authorities not later |
than 61 days prior to
the primary. However, whenever an |
objection to a candidate's nominating papers or petitions for |
any office is sustained under Section 10-10 after the 61st day |
before the election, then write-in votes shall be counted for |
that candidate if he or she has filed a notarized declaration |
of intent to be a write-in candidate for that office with the |
proper election authority or authorities not later than 7 days |
prior to the election.
|
Forms for the declaration of intent to be a write-in |
candidate shall be
supplied by the election authorities. Such |
declaration shall specify the
office for which the person |
seeks nomination or election as a write-in
candidate.
|
The election authority or authorities shall deliver a list |
of all persons
who have filed such declarations to the |
election judges in the appropriate
precincts prior to the |
primary.
|
|
(c) (1) Notwithstanding any other provisions of this |
Section, where
the number of candidates whose names have been |
printed on a party's
ballot for nomination for or election to |
an office at a primary is less
than the number of persons the |
party is entitled to nominate for or elect
to the office at the |
primary, a person whose name was not printed on the
party's |
primary ballot as a candidate for nomination for or election |
to the
office, is not nominated for or elected to that office |
as a result of a
write-in vote at the primary unless the number |
of votes he received equals
or exceeds the number of |
signatures required on a petition for nomination
for that |
office; or unless the number of votes he receives exceeds the
|
number of votes received by at least one of the candidates |
whose names were
printed on the primary ballot for nomination |
for or election to the same
office.
|
(2) Paragraph (1) of this subsection does not apply where |
the number
of candidates whose names have been printed on the |
party's ballot for
nomination for or election to the office at |
the primary equals or exceeds
the number of persons the party |
is entitled to nominate for or elect to the
office at the |
primary.
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/7-61) (from Ch. 46, par. 7-61)
|
Sec. 7-61. Whenever a special election is necessary , the |
provisions of
this Article are applicable to the nomination of |
|
candidates to be voted
for at such special election.
|
In cases where a primary election is required , the officer |
or board or
commission whose duty it is under the provisions of |
this Code Act relating to
general elections to call an |
election , shall fix a date for the primary
for the nomination |
of candidates to be voted for at such special
election. Notice |
of such primary shall be given at least 15 days prior
to the |
maximum time provided for the filing of petitions for such a
|
primary as provided in Section 7-12.
|
Any vacancy in nomination under the provisions of this |
Article 7
occurring on or after the primary and prior to |
certification of
candidates by the certifying board or |
officer , must be filled prior to the
date of certification. |
Any vacancy in nomination occurring after certification
but |
prior to 15 days before the general election shall be filled |
within 8 days
after the event creating the vacancy. The |
resolution filling the vacancy shall
be sent by U. S. mail or |
personal delivery to the certifying officer or board
within 3 |
days of the action by which the vacancy was filled; provided, |
if such
resolution is sent by mail and the U. S. postmark on |
the envelope containing
such resolution is dated prior to the |
expiration of such 3-day 3 day limit, the
resolution shall be |
deemed filed within such 3-day 3 day limit. Failure to so
|
transmit the resolution within the time specified in this |
Section shall
authorize the certifying officer or board to |
certify the original candidate.
Vacancies shall be filled by |
|
the officers of a local municipal or township
political party |
as specified in subsection (h) of Section 7-8, other than a
|
statewide political party, that is established only within a |
municipality or
township and the managing committee (or |
legislative committee in case of a
candidate for State Senator |
or representative committee in the case of a
candidate for |
State Representative in the General Assembly or State central |
committee in the case of a candidate for statewide office, |
including , but not limited to , the office of United States |
Senator) of the respective
political party for the territorial |
area in which such vacancy occurs.
|
The resolution to fill a vacancy in nomination shall be |
duly
acknowledged before an officer qualified to take |
acknowledgments acknowledgements of deeds
and shall include, |
upon its face, the following information:
|
(a) the name of the original nominee and the office |
vacated;
|
(b) the date on which the vacancy occurred;
|
(c) the name and address of the nominee selected to |
fill the vacancy and
the date of selection.
|
The resolution to fill a vacancy in nomination shall be |
accompanied by a
Statement of Candidacy, as prescribed in |
Section 7-10, completed by the
selected nominee and a receipt |
indicating that such nominee has filed a
statement of economic |
interests as required by the Illinois Governmental
Ethics Act.
|
The provisions of Section 10-8 through 10-10.1 relating to |
|
objections to
certificates of nomination and nomination |
papers, hearings on objections,
and judicial review, shall |
apply to and govern objections to resolutions
for filling a |
vacancy in nomination.
|
Any vacancy in nomination occurring 15 days or less before |
the consolidated
election or the general election shall not be |
filled. In this event, the
certification of the original |
candidate shall stand and his name shall
appear on the |
official ballot to be voted at the general election.
|
A vacancy in nomination occurs when a candidate who has |
been
nominated under the provisions of this Article 7 dies |
before the
election (whether death occurs prior to, on or |
after the day of the
primary), or declines the nomination; |
provided that nominations may
become vacant for other reasons.
|
If the name of no established political party candidate |
was printed on
the consolidated primary ballot for a |
particular office
and if no person was nominated as a write-in |
candidate for such office,
a vacancy in nomination shall be |
created which may be filled in accordance
with the |
requirements of this Section. Except as otherwise provided in |
this Code, if the name of no established political
party |
candidate was printed on the general primary ballot for a |
particular
office and if no person was nominated as a write-in |
candidate for such office,
a vacancy in nomination shall be |
filled only by a person designated by the appropriate |
committee of the political party and only if that designated |
|
person files nominating petitions with the number of |
signatures required for an established party candidate for |
that office within 75 days after the day of the general |
primary. The circulation period for those petitions begins on |
the day the appropriate committee designates that person. The |
person shall file his or her nominating petitions, statements |
of candidacy, notice of appointment by the appropriate |
committee, and receipt of filing his or her statement of |
economic interests together. These documents shall be filed at |
the same location as provided in Section 7-12. The electoral |
boards having jurisdiction under Section 10-9 to hear and pass |
upon objections to nominating petitions also shall hear and |
pass upon objections to nomination petitions filed by |
candidates under this paragraph.
|
A candidate for whom a nomination paper has been filed as a |
partisan
candidate at a primary election, and who is defeated |
for his or her
nomination at such primary election, is |
ineligible to be listed on the
ballot at that general or |
consolidated election as a candidate of another
political |
party.
|
A candidate seeking election to an office for which |
candidates of
political parties are nominated by caucus who is |
a participant in the
caucus and who is defeated for his or her |
nomination at such caucus , is
ineligible to be listed on the |
ballot at that general or consolidated
election as a candidate |
of another political party.
|
|
In the proceedings to nominate a candidate to fill a |
vacancy or to
fill a vacancy in the nomination, each precinct, |
township, ward, county ,
or congressional district, as the case |
may be, shall , through its
representative on such central or |
managing committee, be entitled to one
vote for each ballot |
voted in such precinct, township, ward, county , or
|
congressional district, as the case may be, by the primary |
electors of
its party at the primary election immediately |
preceding the meeting at
which such vacancy is to be filled.
|
For purposes of this Section, the words "certify" and |
"certification"
shall refer to the act of officially declaring |
the names of candidates
entitled to be printed upon the |
official ballot at an election and
directing election |
authorities to place the names of such candidates upon
the |
official ballot. "Certifying officers or board" shall refer to |
the
local election official, the election authority , or the |
State Board of
Elections, as the case may be, with whom |
nomination papers, including
certificates of nomination and |
resolutions to fill vacancies in nomination,
are filed and |
whose duty it is to " certify " candidates.
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/8-8) (from Ch. 46, par. 8-8)
|
Sec. 8-8. Form of petition for nomination. The name of no |
candidate for nomination shall be printed
upon the primary |
ballot unless a petition for nomination shall have been
filed |
|
in his behalf as provided for in this Section. Each such |
petition
shall include as a part thereof the oath required by |
Section 7-10.1 of
this Code Act and a statement of candidacy by |
the candidate filing or in
whose behalf the petition is filed. |
This statement shall set out the
address of such candidate |
and , the office for which he is a candidate ; , shall
state that |
the candidate is a qualified primary voter of the party to
|
which the petition relates, is qualified for the office |
specified , and
has filed a statement of economic interests as |
required by the Illinois
Governmental Ethics Act ; , shall |
request that the candidate's name be
placed upon the official |
ballot ; and shall be subscribed and sworn by
such candidate |
before some officer authorized to take acknowledgment of
deeds |
in this State and may be in substantially the following form:
|
State of Illinois)
|
) ss.
|
County ..........)
|
I, ...., being first duly sworn, say that I reside at .... |
street in
the city (or village of) .... in the county of .... |
State of Illinois;
that I am a qualified voter therein and am a |
qualified primary voter of
.... party; that I am a candidate |
for nomination to the office of ....
to be voted upon at the |
primary election to be held on (insert date);
that I am legally |
qualified to hold such office and
that I have filed a statement |
of economic interests as required by the
Illinois Governmental |
Ethics Act and I hereby request that my name be
printed upon |
|
the official primary ballot for nomination for such office.
|
Signed ....................
|
Subscribed and sworn to (or affirmed) before me by ...., |
who is to me
personally known, on (insert date).
|
Signed .... (Official Character)
|
(Seal if officer has one.)
|
The receipt issued by the Secretary of State indicating |
that the candidate has filed the statement of economic |
interests required by the Illinois Governmental Ethics Act |
must be filed with the petitions for nomination as provided in |
subsection (8) of Section 7-12 of this Code.
|
Except as otherwise provided in this Code, all petitions |
for nomination for the office of State Senator shall be signed
|
by at least 1,000 but not more than 3,000 of the qualified |
primary electors of
the candidate's party in his legislative |
district.
|
Except as otherwise provided in this Code, all petitions |
for nomination for the office of Representative in the General
|
Assembly shall be signed by at least 500 but not more than |
1,500 of
the qualified primary electors of the candidate's |
party in his or her
representative district.
|
Opposite the signature of each qualified primary elector |
who signs a
petition for nomination for the office of State |
Representative or State
Senator such elector's 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.
|
For the purposes of this Section, the number of primary |
electors shall
be determined by taking the total vote cast, in |
the applicable district,
for the candidate for such political |
party who received the highest number
of votes, state-wide, at |
the last general election in the State at which
electors for |
President of the United States were elected.
|
A "qualified primary elector" of a party may not sign |
petitions for or be a
candidate in the primary of more than one |
party.
|
In the affidavit at the bottom of each sheet, the petition |
circulator,
who shall be a person 18 years of age or older who |
is a citizen of the United
States, shall state his or her |
street address or rural route
number, as the
case may be, as |
well as his or her county, city, village or
town, and state; |
and
shall certify that the signatures on that sheet of the |
petition were signed in
his or her presence; and shall certify |
that the signatures are genuine; and
shall certify
that , to |
the best of his or her knowledge and belief , the persons so |
signing were
at the time of signing the petition qualified |
primary voters for which the
nomination is sought.
|
In the affidavit at the bottom of each petition sheet, the |
petition
circulator shall either (1) indicate the dates on |
which he or she
circulated that sheet, or (2) indicate the |
|
first and last dates on which
the sheet was circulated, or (3) |
for elections where the petition circulation period is 90 |
days, certify that none of the signatures on the
sheet were |
signed more than 90 days preceding the last day for the filing
|
of the petition, or (4) for the 2022 general primary election |
only, certify that the signatures on the sheet were signed |
during the period of January 13, 2022 through March 14, 2022 or |
certify that the signatures on the sheet were signed during |
the period of January 13, 2022 through the date on which this |
statement was sworn or affirmed to. No petition sheet shall be |
circulated more than 90 days
preceding the last day provided |
in Section 8-9 for the filing of such petition.
|
All petition sheets which are filed with 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.
|
The person circulating the petition, or the candidate on |
whose behalf
the petition is circulated, may strike any |
signature from the petition,
provided that:
|
(1) the person striking the signature shall initial |
the petition at
the place where the signature is struck; |
and
|
(2) the person striking the signature shall sign a |
certification
listing the page number and line number of |
each signature struck from
the petition. Such |
certification shall be filed as a part of the petition.
|
|
(Source: P.A. 102-15, eff. 6-17-21; 102-692, eff. 1-7-22; |
revised 2-28-22.)
|
(10 ILCS 5/10-14) (from Ch. 46, par. 10-14)
|
Sec. 10-14. Except as otherwise provided in this Code, not |
less than 74 days before the date of the general election
the |
State Board of Elections shall certify to the county clerk of |
each
county the name of each candidate whose nomination |
papers,
certificate of nomination , or resolution to fill a |
vacancy in nomination
has been filed with
the State Board of |
Elections and direct the county clerk to place upon
the |
official ballot for the general election the names of such |
candidates
in the same manner and in the same order as shown |
upon the certification. The name of no
candidate for an office |
to
be filled by the electors of the entire state shall be |
placed upon the
official ballot unless his name is duly |
certified to the county clerk
upon a certificate signed by the |
members of the State Board of
Elections. The names of group |
candidates on petitions shall be certified
to the several |
county clerks in the order
in which such names appear on such |
petitions filed with
the State Board of Elections.
|
Except as otherwise provided in this Code, not less than |
68 days before the date of the general election, each
county |
clerk shall certify the names of each of the candidates for |
county
offices whose nomination papers, certificates of |
nomination , or resolutions
to fill a vacancy in nomination |
|
have been filed with such clerk and declare
that the names of |
such candidates for the respective offices shall be
placed |
upon the official ballot for the general election in the same |
manner
and in the same order as shown upon the certification. |
Each county clerk
shall place a copy of the certification on |
file in his or her office and at
the same time issue to the |
State Board of Elections a copy of such
certification. In |
addition, each county clerk in whose county there is a
board of |
election commissioners
shall, not
less than 69 days before the |
election, certify to the board of election
commissioners the |
name of the person or persons nominated for such
office as |
shown by the certificate of the State Board of Elections,
|
together with the names of all other candidates as shown
by the |
certification of county officers on file in the clerk's |
office, and
in the order so certified. The county clerk or |
board of election commissioners
shall print
the names of the |
nominees on the ballot for each office in the order in
which |
they are certified to or filed with the county clerk; |
provided,
that in printing the name of nominees for any |
office, if any of such
nominees have also been nominated by one |
or more political parties
pursuant to this Code Act , the |
location of the name of such candidate on the
ballot for |
nominations made under this Article shall be precisely in the
|
same order in which it appears on the certification of the |
State Board
of Elections to the county clerk.
|
For the general election,
the candidates of new political |
|
parties shall be placed on the ballot for
said election after |
the established political party candidates
and in the order of |
new political party petition filings.
|
Each certification shall indicate, where applicable, the |
following:
|
(1) The political party affiliation , if any, of the |
candidates for the
respective offices;
|
(2) If there is to be more than one candidate elected |
to an office from
the State, political subdivision , or |
district;
|
(3) If the voter has the right to vote for more than |
one candidate for an office;
|
(4) The term of office, if a vacancy is to be filled |
for less than a
full term or if the offices to be filled in |
a political subdivision are for
different terms.
|
The State Board of Elections or the county clerk, as the |
case may be,
shall issue an amended certification whenever it |
is discovered that the
original certification is in error.
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/16-3) (from Ch. 46, par. 16-3)
|
Sec. 16-3. (a) The names of all candidates to be voted for |
in each
election district or precinct shall be printed on one |
ballot, except as
is provided in Sections 16-6.1 and 21-1.01 |
of this Code Act and except as otherwise
provided in this Code |
Act with respect to the odd year regular elections and
the |
|
emergency referenda; all nominations
of any political party |
being placed under the party appellation or title
of such |
party as designated in the certificates of nomination or
|
petitions. The names of all independent candidates shall be |
printed upon
the ballot in a column or columns under the |
heading "independent"
arranged under the names or titles of |
the respective offices for which
such independent candidates |
shall have been nominated and so far as
practicable, the name |
or names of any independent candidate or
candidates for any |
office shall be printed upon the ballot opposite the
name or |
names of any candidate or candidates for the same office
|
contained in any party column or columns upon said ballot. The |
ballot
shall contain no other names, except that in cases of |
electors for
President and Vice-President of the United |
States, the names of the
candidates for President and |
Vice-President may be added to the party
designation and words |
calculated to aid the voter in his choice of candidates
may be |
added, such as "Vote for one," "Vote for not more than three." |
If no candidate or candidates file for an office and if no |
person or persons file a declaration as a write-in candidate |
for that office, then below the title of that office the |
election authority instead shall print "No Candidate". When an |
electronic
voting system is used which utilizes a ballot label |
booklet, the candidates
and questions shall appear on the |
pages of such booklet in the order
provided by this Code; and, |
in any case where candidates for an office
appear on a page |
|
which does not contain the name of any candidate for
another |
office, and where less than 50% of the page is utilized, the |
name of
no candidate shall be printed on the lowest 25% of such |
page. On the back or
outside of the ballot, so as to appear |
when folded, shall be printed the words
"Official Ballot", |
followed by the designation of the polling place for
which the |
ballot is prepared, the date of the election and a facsimile
of |
the signature of the election authority who has caused the |
ballots to
be printed. The ballots shall be of plain white |
paper, through which the
printing or writing cannot be read. |
However, ballots for use at the
nonpartisan and consolidated |
elections may be printed on different color
paper, except blue |
paper, whenever necessary or desirable to facilitate
|
distinguishing between ballots for different political |
subdivisions. In
the case of nonpartisan elections for |
officers of a political
subdivision, unless the statute or an |
ordinance adopted pursuant to
Article VII of the Constitution |
providing the form of government
therefor requires otherwise, |
the column listing such nonpartisan
candidates shall be |
printed with no appellation or circle at its head.
The party |
appellation or title, or the word "independent" at the head of
|
any column provided for independent candidates, shall be |
printed in letters not less than one-fourth of an inch in |
height
and a
circle one-half inch in diameter shall be printed |
at the beginning of
the line in which such appellation or title |
is printed, provided,
however, that no such circle shall be |
|
printed at the head of any column
or columns provided for such |
independent candidates. The names of
candidates shall be |
printed in letters not less than one-eighth
nor more than |
one-fourth of an inch in height, and at the beginning of
each |
line in which a name of a candidate is printed a square shall |
be
printed, the sides of which shall be not less than |
one-fourth of an inch
in length. However, the names of the |
candidates for Governor and
Lieutenant Governor on the same |
ticket shall be printed within a bracket
and a single square |
shall be printed in front of the bracket. The list
of |
candidates of the several parties and any such list of |
independent
candidates shall be placed in separate columns on |
the ballot in such
order as the election authorities charged |
with the printing of the
ballots shall decide; provided, that |
the names of the candidates of the
several political parties, |
certified by the State Board of Elections to
the several |
county clerks shall be printed by the county clerk of the
|
proper county on the official ballot in the order certified by |
the State
Board of Elections. Any county clerk refusing, |
neglecting or failing to
print on the official ballot the |
names of candidates of the several
political parties in the |
order certified by the State Board of
Elections, and any |
county clerk who prints or causes to be printed upon
the |
official ballot the name of a candidate, for an office to be |
filled
by the Electors of the entire State, whose name has not |
been duly
certified to him upon a certificate signed by the |
|
State Board of
Elections shall be guilty of a Class C |
misdemeanor.
|
(b) When an electronic voting system is used which |
utilizes a ballot
card,
on the inside flap of each ballot card |
envelope there shall be printed
a form for write-in voting |
which shall be substantially as follows:
|
WRITE-IN VOTES
|
(See card of instructions for specific information. |
Duplicate form below
by hand for additional write-in votes.)
|
.............................
|
Title of Office
|
( ) .............................
|
Name of Candidate
|
Write-in lines equal to the number of candidates for which |
a voter may vote shall be printed for an office only if one or |
more persons filed declarations of intent to be write-in |
candidates or qualify to file declarations to be write-in |
candidates under Sections 17-16.1 and 18-9.1 when the |
certification of ballot contains the words "OBJECTION |
PENDING".
|
(c) When an electronic voting system is used which uses a |
ballot sheet,
the
instructions to voters on the ballot sheet |
shall refer the voter to the
card of instructions for specific |
information on write-in voting. Below
each office appearing on |
such ballot sheet there shall be a provision for
the casting of |
a write-in vote. Write-in lines equal to the number of |
|
candidates for which a voter may vote shall be printed for an |
office only if one or more persons filed declarations of |
intent to be write-in candidates or qualify to file |
declarations to be write-in candidates under Sections 17-16.1 |
and 18-9.1 when the certification of ballot contains the words |
"OBJECTION PENDING".
|
(d) When such electronic system is used, there shall be |
printed on the
back of each ballot card, each ballot card |
envelope, and
the first page of the ballot label when a ballot |
label is used, the
words "Official Ballot," followed by the |
number of the
precinct or other precinct identification, which |
may be stamped, in lieu
thereof and, as applicable, the number |
and name of the township, ward
or other election district for |
which the ballot card, ballot card
envelope, and ballot label |
are prepared, the date of the election and a
facsimile of the |
signature of the election authority who has caused the
ballots |
to be printed. The back of the ballot card shall also include
a |
method of identifying the ballot configuration such as a |
listing of the
political subdivisions and districts for which |
votes may be cast on that
ballot, or a number code identifying |
the ballot configuration or color coded
ballots, except that |
where there is only one ballot configuration in a
precinct, |
the precinct identification, and any applicable ward
|
identification, shall be sufficient. Ballot card envelopes |
used in punch
card systems shall be of paper through which no |
writing or punches may be
discerned and shall be of sufficient |
|
length to enclose all voting
positions. However, the election |
authority may provide
ballot card envelopes on which no |
precinct number or township, ward or
other election district |
designation, or election date are preprinted, if
space and a |
preprinted form are provided below the space provided for
the |
names of write-in candidates where such information may be |
entered
by the judges of election. Whenever an election |
authority utilizes
ballot card envelopes on which the election |
date and precinct is not
preprinted, a judge of election shall |
mark such information for the
particular precinct and election |
on the envelope in ink before tallying
and counting any |
write-in vote written thereon.
If some method of insuring |
ballot secrecy other than an envelope is used,
such |
information must be provided on the ballot itself.
|
(e) In the designation of the name of a candidate on the |
ballot, the
candidate's given name or names, initial or |
initials, a nickname by
which the candidate is commonly known, |
or a combination thereof, may be
used in addition to the |
candidate's surname. If a candidate has changed his or her |
name, whether by a statutory or common law procedure in |
Illinois or any other jurisdiction, within 3 years before the |
last day for filing the petition for nomination, nomination |
papers, or certificate of nomination for that office, |
whichever is applicable, then (i) the candidate's name on the |
ballot must be followed by "formerly known as (list all prior |
names during the 3-year period) until name changed on (list |
|
date of each such name change)" and (ii) the petition, papers, |
or certificate must be accompanied by the candidate's |
affidavit stating the candidate's previous names during the |
period specified in (i) and the date or dates each of those |
names was changed; failure to meet these requirements shall be |
grounds for denying certification of the candidate's name for |
the ballot or removing the candidate's name from the ballot, |
as appropriate, but these requirements do not apply to name |
changes resulting from adoption to assume an adoptive parent's |
or parents' surname, marriage or civil union to assume a |
spouse's surname, or dissolution of marriage or civil union or |
declaration of invalidity of marriage or civil union to assume |
a former surname or a name change that conforms the |
candidate's name to his or her gender identity. No other |
designation such
as a political slogan, title, or degree or |
nickname suggesting or
implying possession of a
title, degree |
or professional status, or similar information may be used
in |
connection with the candidate's surname.
For purposes of this |
Section, a "political slogan" is defined as any
word or words |
expressing or connoting a position, opinion, or belief that |
the
candidate may espouse, including , but not limited to, any |
word or words
conveying any meaning other than that of the |
personal identity of the
candidate. A
candidate may not use a |
political slogan as part of his or her name on the
ballot, |
notwithstanding that the political slogan may be part of the
|
candidate's name.
|
|
(f) The State Board of Elections, a local election |
official, or an
election
authority shall remove any |
candidate's name designation from a ballot that is
|
inconsistent with subsection (e) of this Section. In addition, |
the State Board
of Elections, a local election official, or an |
election authority shall not
certify to any election authority |
any candidate name designation that is
inconsistent with |
subsection (e) of this Section.
|
(g) If the State Board of Elections, a local election |
official, or an
election
authority removes a candidate's name |
designation from a ballot under
subsection (f) of this |
Section, then the aggrieved candidate may seek
appropriate |
relief in circuit court.
|
Where voting machines or electronic voting systems are |
used, the
provisions of this Section may be modified as |
required or authorized by
Article 24 or Article 24A, whichever |
is applicable.
|
Nothing in this Section shall prohibit election |
authorities from using
or reusing ballot card envelopes which |
were printed before January 1, 1986 ( the effective
date of |
Public Act 84-820) this amendatory Act of 1985 .
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
(10 ILCS 5/16-5.01) (from Ch. 46, par. 16-5.01)
|
Sec. 16-5.01. (a) Except as otherwise provided in this |
Code, the election authority shall, at least 46
days prior to |
|
the date of any election at which federal officers
are elected |
and 45 days prior to any other regular election, have a
|
sufficient number of ballots printed so that such ballots will |
be available
for mailing 45 days prior to the date of the |
election to persons who have
filed application for a ballot |
under the provisions of Article 20 of this Code Act .
|
(b) If at any election at which federal offices are |
elected
or nominated the election authority is unable to |
comply with the provisions
of subsection (a), the election |
authority shall mail to each such person, in
lieu of the |
ballot, a Special Write-in Vote by Mail Voter's Blank Ballot.
|
The Special Write-in Vote by Mail Voter's Blank Ballot shall |
be used at
all elections at which federal officers are elected |
or nominated and shall be
prepared by the election authority |
in substantially the following form:
|
Special Write-in Vote by Mail Voter's Blank Ballot
|
(To vote for a person, write the title of the office and |
his or her name
on the lines provided. Place to the left of and |
opposite the title of
office a square and place a cross (X) in |
the square.)
|
Title of Office Name of Candidate
|
( )
|
( )
|
( )
|
( )
|
( )
|
|
( )
|
The election authority shall send with the Special |
Write-in Vote by Mail
Voter's Blank Ballot a list of all |
referenda for which the voter is qualified
to vote and all |
candidates for whom nomination papers have been filed and
for |
whom the voter is qualified to vote. The voter shall be |
entitled to
write in the name of any candidate seeking
|
election and any referenda for which he or she is entitled to |
vote.
|
On the back or outside of the ballot, so as to appear when |
folded, shall
be printed the words "Official Ballot", the date |
of the election and a
facsimile of the signature of the |
election authority who has caused the
ballot to be printed.
|
The provisions of Article 20, insofar as they may be |
applicable to the
Special Write-in Vote by Mail Voter's Blank |
Ballot, shall be applicable herein.
|
(c) Notwithstanding any provision of this Code or other |
law
to the contrary, the governing body of a municipality may |
adopt, upon submission of a written statement by the |
municipality's election authority attesting to the |
administrative ability of the election authority to administer |
an election using a ranked ballot to the municipality's |
governing body,
an ordinance requiring, and that |
municipality's election
authority shall prepare, a ranked vote |
by mail ballot for
municipal and township office candidates to |
be voted on in the consolidated
election.
This ranked ballot |
|
shall be for use only by
a qualified voter who either is a |
member of the United States
military or will be outside of the |
United States on the
consolidated primary election day and the |
consolidated
election day. The ranked ballot shall contain a |
list of the
titles of all municipal and township offices |
potentially contested at both the consolidated
primary |
election and the consolidated election and the candidates for |
each office and shall
permit the elector to vote in the |
consolidated election by
indicating his or her order of |
preference for each candidate
for each office. To indicate his |
or her order of preference for
each candidate for each office, |
the voter shall put the number
one next to the name of the |
candidate who is the voter's first
choice, the number 2 for his |
or her second choice, and so forth
so that, in consecutive |
numerical order, a number indicating
the voter's preference is |
written by the voter next to each
candidate's name on the |
ranked ballot. The voter shall not be required
to indicate his |
or her preference for more than one candidate
on the ranked |
ballot. The voter may not cast a write-in vote using the ranked |
ballot for the consolidated election. The election authority |
shall, if using the
ranked vote by mail ballot authorized by |
this subsection, also
prepare instructions for use of the |
ranked ballot. The ranked ballot for the consolidated election |
shall be mailed to the voter at the same time that the ballot |
for the consolidated primary election is mailed to the voter |
and the election authority shall accept the completed ranked |
|
ballot for the consolidated election when the authority |
accepts the completed ballot for the consolidated primary |
election.
|
The voter shall also be sent a vote by mail ballot for the |
consolidated election for those races that are not related to |
the results of the consolidated primary election as soon as |
the consolidated election ballot is certified.
|
The State Board of Elections shall adopt rules for |
election
authorities for the implementation of this |
subsection,
including , but not limited to , the application for |
and counting
of ranked ballots.
|
(Source: P.A. 102-15, eff. 6-17-21; revised 2-28-22.)
|
Section 45. The Disaster Relief Act is amended by changing |
Section 1 as follows:
|
(15 ILCS 30/1) (from Ch. 127, par. 293.1)
|
Sec. 1. As used in this Act:
|
"Disaster" has shall have the same meaning as provided in |
Section 4 of the Illinois Emergency Management Agency Act.
|
"Disaster area" means the area directly affected by or |
threatened with a
disaster.
|
(Source: P.A. 102-955, eff. 1-1-23; revised 12-8-22.)
|
Section 50. The Governor's Office of New Americans Act is |
amended by changing Section 10 as follows:
|
|
(15 ILCS 55/10) |
Sec. 10. State agency New American Americans Plans. Each |
State agency under the jurisdiction of the Governor shall |
develop a New American Plan that incorporates effective |
training and resources, ensures language access and culturally |
appropriate services, and includes administrative practices |
that reach out to and reflect the needs of the immigrant |
refugees. Each State agency under the jurisdiction of the |
Governor shall integrate guidance and recommendations made by |
the Governor's Office of New Americans statewide plan. Agency |
plans shall be submitted to the Governor's Office of New |
Americans for approval.
|
(Source: P.A. 102-1054, eff. 1-1-23; revised 12-8-22.)
|
Section 55. The State Treasurer Act is amended by changing |
Section 20 as follows:
|
(15 ILCS 505/20) |
Sec. 20. State Treasurer administrative charge. The State |
Treasurer may retain an administrative charge for both the |
costs of services associated with the deposit of moneys that |
are remitted directly to the State Treasurer and the |
investment or safekeeping of funds by the State Treasurer. The |
administrative charges collected under this Section shall be |
deposited into the State Treasurer's Administrative Fund. The |
|
amount of the administrative charges may be determined by the |
State Treasurer. Administrative charges from the deposit of |
moneys remitted directly to the State Treasurer shall not |
exceed 2% of the amount deposited. Administrative charges from |
the investment or safekeeping of funds by the State Treasurer |
shall be charged no more than monthly and the total amount |
charged per fiscal year shall not exceed $12,000,000 plus any |
amounts required as employer contributions under Section |
14-131 of the Illinois Pension Code and Section 10 of the State |
Employees Group Insurance Act of 1971. |
Administrative charges for the deposit of moneys shall |
apply to fines, fees, or other amounts remitted directly to |
the State Treasurer by circuit clerks, county clerks, and |
other entities for deposit into a fund in the State treasury. |
Administrative charges for the deposit of moneys do not apply |
to amounts remitted by State agencies or certified collection |
specialists as defined in 74 Ill. Adm. Admin. Code 1200.50. |
Administrative charges for the deposit of moneys shall apply |
only to any form of fines, fees, or other collections created |
on or after August 15, 2014 (the effective date of Public Act |
98-965).
|
Moneys in the State Treasurer's Administrative Fund are |
subject to appropriation by the General Assembly. |
(Source: P.A. 100-587, eff. 6-4-18; revised 2-28-22.)
|
Section 60. The Data Governance and Organization to |
|
Support Equity and Racial Justice Act is amended by changing |
Section 20-15 as follows:
|
(20 ILCS 65/20-15)
|
Sec. 20-15. Data Governance and Organization to Support |
Equity and Racial Justice. |
(a) On or before July 1, 2022 and each July 1 thereafter, |
the Board and the Department shall report statistical data on |
the racial, ethnic, age, sex, disability status, sexual |
orientation, gender identity, and primary or preferred |
language demographics of program participants for each major |
program administered by the Board or the Department. Except as |
provided in subsection (b), when reporting the data required |
under this Section, the Board or the Department shall use the |
same racial and ethnic classifications for each program, which |
shall include, but not be limited to, the following: |
(1) American Indian and Alaska Native alone. |
(2) Asian alone. |
(3) Black or African American alone. |
(4) Hispanic or Latino of any race. |
(5) Native Hawaiian and Other Pacific Islander alone. |
(6) White alone. |
(7) Some other race alone. |
(8) Two or more races.
|
The Board and the Department may further define, by rule, |
the racial and ethnic classifications, including, if |
|
necessary, a classification of "No Race Specified". |
(b) (c) If a program administered by the Board or the |
Department is subject to federal reporting requirements that |
include the collection and public reporting of statistical |
data on the racial and ethnic demographics of program |
participants, the Department may maintain the same racial and |
ethnic classifications used under the federal requirements if |
such classifications differ from the classifications listed in |
subsection (a). |
(c) (d) The Department of Innovation and Technology shall |
assist the Board and the Department by establishing common |
technological processes and procedures for the Board and the |
Department to: |
(1) Catalog data. |
(2) Identify similar fields in datasets. |
(3) Manage data requests. |
(4) Share data. |
(5) Collect data. |
(6) Improve and clean data. |
(7) Match data across the Board and Departments. |
(8) Develop research and analytic agendas. |
(9) Report on program participation disaggregated by |
race and ethnicity. |
(10) Evaluate equitable outcomes for underserved |
populations in Illinois. |
(11) Define common roles for data management. |
|
(12) Ensure that all major programs can report |
disaggregated data by race, ethnicity, age, sex, |
disability status, sexual orientation, and gender |
identity, and primary or preferred language. |
The Board and the Department shall use the common |
technological processes and procedures established by the |
Department of Innovation and Technology. |
(d) (e) If the Board or the Department is unable to begin |
reporting the data required by subsection (a) by July 1, 2022, |
the Board or the Department shall state the reasons for the |
delay under the reporting requirements. |
(e) (f) By no later than March 31, 2022, the Board and the |
Department shall provide a progress report to the General |
Assembly to disclose: (i) the programs and datasets that have |
been cataloged for which race, ethnicity, age, sex, disability |
status, sexual orientation, gender identity, and primary or |
preferred language have been standardized; and (ii) to the |
extent possible, the datasets and programs that are |
outstanding for each agency and the datasets that are planned |
for the upcoming year. On or before March 31, 2023, and each |
year thereafter, the Board and the Department Departments |
shall provide an updated report to the General Assembly. |
(f) (g) By no later than October 31, 2021, the Governor's |
Office shall provide a plan to establish processes for input |
from the Board and the Department into processes outlined in |
subsection (c) (b) . The plan shall incorporate ongoing efforts |
|
at data interoperability within the Department and the |
governance established to support the P-20 Longitudinal |
Education Data System enacted by Public Act 96-107. |
(g) (h) Nothing in this Section shall be construed to |
limit the rights granted to individuals or data sharing |
protections established under existing State and federal data |
privacy and security laws.
|
(Source: P.A. 101-654, eff. 3-8-21; 102-543, eff. 8-20-21; |
revised 2-4-23.)
|
Section 65. The Children and Family Services Act is |
amended by setting forth and renumbering multiple versions of |
Sections 5.26 and 5.46 and by changing Sections 7.4, 8, and |
35.10 as follows:
|
(20 ILCS 505/5.26) |
Sec. 5.26. Foster children; exit interviews. |
(a) Unless clinically contraindicated, the Department |
shall ensure that an exit interview is conducted with every |
child age 5 and over who leaves a foster home. |
(1) The interview shall be conducted by a caseworker, |
mental health provider, or clinician from the Department's |
Division of Clinical Practice. |
(2) The interview shall be conducted within 5 days of |
the child's removal from the home. |
(3) The interviewer shall comply with the provisions |
|
of the Abused and Neglected Child Reporting Act if the |
child discloses abuse or neglect as defined by that Act. |
(4) The interviewer shall immediately inform the |
licensing agency if the child discloses any information |
that would constitute a potential licensing violation. |
(5) Documentation of the interview shall be (i) |
maintained in the foster parent's licensing file, (ii) |
maintained in the child's case file, (iii) included in the |
service plan for the child, and (iv) and provided to the |
child's guardian ad litem and attorney appointed under |
Section 2-17 of the Juvenile Court Act of 1987. |
(6) The determination that an interview in compliance |
with this Section is clinically contraindicated shall be |
made by the caseworker, in consultation with the child's |
mental health provider, if any, and the caseworker's |
supervisor. If the child does not have a mental health |
provider, the caseworker shall request a consultation with |
the Department's Division of Clinical Practice regarding |
whether an interview is clinically contraindicated. The |
decision and the basis for the decision shall be |
documented in writing and shall be (i) maintained in the |
foster parent's licensing file, (ii) maintained in the |
child's case file, and (iii) attached as part of the |
service plan for the child. |
(7) The information gathered during the interview |
shall be dependent on the age and maturity of the child and |
|
the circumstances of the child's removal. The |
interviewer's observations and any information relevant to |
understanding the child's responses shall be recorded on |
the interview form. At a minimum, the interview shall |
address the following areas: |
(A) How the child's basic needs were met in the |
home: who prepared food and was there sufficient food; |
whether the child had appropriate clothing; sleeping |
arrangements; supervision appropriate to the child's |
age and special needs; was the child enrolled in |
school; and did the child receive the support needed |
to complete his or her school work. |
(B) Access to caseworker, therapist, or guardian |
ad litem: whether the child was able to contact these |
professionals and how. |
(C) Safety and comfort in the home: how did the |
child feel in the home; was the foster parent |
affirming of the child's identity; did anything happen |
that made the child happy; did anything happen that |
was scary or sad; what happened when the child did |
something he or she should not have done; if relevant, |
how does the child think the foster parent felt about |
the child's family of origin, including parents and |
siblings; and was the foster parent supportive of the |
permanency goal. |
(D) Normalcy: whether the child felt included in |
|
the family; whether the child participated in |
extracurricular activities; whether the foster parent |
participated in planning for the child, including |
child and family team meetings and school meetings. |
(b) The Department shall develop procedures, including an |
interview form, no later than January 1, 2023, to implement |
this Section. |
(c) Beginning July 1, 2023 and quarterly thereafter, the |
Department shall post on its webpage a report summarizing the |
details of the exit interviews.
|
(Source: P.A. 102-763, eff. 1-1-23; revised 12-19-22.)
|
(20 ILCS 505/5.27) |
(Section scheduled to be repealed on January 1, 2026) |
Sec. 5.27 5.26 . Holistic Mental Health Care for Youth in |
Care Task Force. |
(a) The Holistic Mental Health Care for Youth in Care Task |
Force is created. The Task Force shall review and make |
recommendations regarding mental health and wellness services |
provided to youth in care, including a program of holistic |
mental health services provided 30 days after the date upon |
which a youth is placed in foster care, in order to determine |
how to best meet the mental health needs of youth in care. |
Additionally, the Task Force shall: |
(1) assess the capacity of State licensed mental |
health professionals to provide preventive mental health |
|
care to youth in care; |
(2) review the current payment rates for mental health |
providers serving the youth in care population; |
(3) evaluate the process for smaller private practices |
and agencies to bill through managed care, evaluate |
delayed payments to mental health providers, and recommend |
improvements to make billing practices more efficient; |
(4) evaluate the recruitment and retention of mental |
health providers who are persons of color to serve the |
youth in care population; and |
(5) any other relevant subject and processes as deemed |
necessary by the Task Force. |
(b) The Task Force shall have 9 members, comprised as |
follows: |
(1) The Director of Healthcare and Family Services or |
the Director's designee. |
(2) The Director of Children and Family Services or |
the Director's designee. |
(3) A member appointed by the Governor from the Office |
of the Governor who has a focus on mental health issues. |
(4) Two members from the House of Representatives, |
appointed one each by the Speaker of the House of |
Representatives and the Minority Leader of the House of |
Representatives. |
(5) Two members of the Senate, appointed one each by |
the President of the Senate and the Minority Leader of the |
|
Senate. |
(6) One member who is a former youth in care, |
appointed by the Governor. |
(7) One representative from the managed care entity |
managing the YouthCare program, appointed by the Director |
of Healthcare and Family Services. |
Task Force members shall serve without compensation but |
may be reimbursed for necessary expenses incurred in the |
performance of their duties. |
(c) The Task Force shall meet at least once each month |
beginning no later than July 1, 2022 and at other times as |
determined by the Task Force. The Task Force may hold |
electronic meetings and a member of the Task Force shall be |
deemed present for the purposes of establishing a quorum and |
voting. |
(d) The Department of Healthcare and Family Services, in |
conjunction with the Department of Children and Family |
Services, shall provide administrative and other support to |
the Task Force. |
(e) The Task Force shall prepare and submit to the |
Governor and the General Assembly at the end of each quarter a |
report that summarizes its work and makes recommendations |
resulting from its study. The Task Force shall submit its |
final report to the Governor and the General Assembly no later |
than December 31, 2024. Upon submission of its final report, |
the Task Force is dissolved. |
|
(f) This Section is repealed on January 1, 2026.
|
(Source: P.A. 102-898, eff. 5-25-22; revised 7-26-22.)
|
(20 ILCS 505/5.46) |
Sec. 5.46. Application for Social Security benefits, |
Supplemental Security Income, Veterans benefits, and Railroad |
Retirement benefits. |
(a) Definitions. As used in this Section: |
"Benefits" means Social Security benefits, Supplemental |
Security Income, Veterans benefits, and Railroad Retirement |
benefits. |
"Youth's attorney and guardian ad litem" means the person |
appointed as the youth's attorney or guardian ad litem in |
accordance with the Juvenile Court Act of 1987 in the |
proceeding in which the Department is appointed as the youth's |
guardian or custodian. |
(b) Application for benefits. |
(1) Upon receiving temporary custody or guardianship |
of a youth in care, the Department shall assess the youth |
to determine whether the youth may be eligible for |
benefits. If, after the assessment, the Department |
determines that the youth may be eligible for benefits, |
the Department shall ensure that an application is filed |
on behalf of the youth. The Department shall prescribe by |
rule how it will review cases of youth in care at regular |
intervals to determine whether the youth may have become |
|
eligible for benefits after the initial assessment. The |
Department shall make reasonable efforts to encourage |
youth in care over the age of 18 who are likely eligible |
for benefits to cooperate with the application process and |
to assist youth with the application process. |
(2) When applying for benefits under this Section for |
a youth in care the Department shall identify a |
representative payee in accordance with the requirements |
of 20 CFR 404.2021 and 416.621. If the Department is |
seeking to be appointed as the youth's representative |
payee, the Department must consider input, if provided, |
from the youth's attorney and guardian ad litem regarding |
whether another representative payee, consistent with the |
requirements of 20 CFR 404.2021 and 416.621, is available. |
If the Department serves as the representative payee for a |
youth over the age of 18, the Department shall request a |
court order, as described in subparagraph (C) of paragraph |
(1) of subsection (d) and in subparagraph (C) of paragraph |
(2) of subsection (d). |
(c) Notifications. The Department shall immediately notify |
a youth over the age of 16, the youth's attorney and guardian |
ad litem, and the youth's parent or legal guardian or another |
responsible adult of: |
(1) any application for or any application to become |
representative payee for benefits on behalf of a youth in |
care; |
|
(2) any communications from the Social Security |
Administration, the U.S. Department of Veterans Affairs, |
or the Railroad Retirement Board pertaining to the |
acceptance or denial of benefits or the selection of a |
representative payee; and |
(3) any appeal or other action requested by the |
Department regarding an application for benefits. |
(d) Use of benefits. Consistent with federal law, when the |
Department serves as the representative payee for a youth |
receiving benefits and receives benefits on the youth's |
behalf, the Department shall: |
(1) Beginning January 1, 2023, ensure that when the |
youth attains the age of 14 years and until the Department |
no longer serves as the representative payee, a minimum |
percentage of the youth's Supplemental Security Income |
benefits are conserved in accordance with paragraph (4) as |
follows: |
(A) From the age of 14 through age 15, at least |
40%. |
(B) From the age of 16 through age 17, at least |
80%. |
(C) From the age of 18 through 20, 100%, when a |
court order has been entered expressly allowing the |
Department to have the authority to establish and |
serve as an authorized agent of the youth over the age |
of 18 with respect to an account established in |
|
accordance with paragraph (4). |
(2) Beginning January 1, 2024, ensure that when the |
youth attains the age of 14 years and until the Department |
no longer serves as the representative payee a minimum |
percentage of the youth's Social Security benefits, |
Veterans benefits, or Railroad Retirement benefits are |
conserved in accordance with paragraph (4) as follows: |
(A) From the age of 14 through age 15, at least |
40%. |
(B) From the age of 16 through age 17, at least |
80%. |
(C) From the age of 18 through 20, 100%, when a |
court order has been entered expressly allowing the |
Department to have the authority to establish and |
serve as an authorized agent of the youth over the age |
of 18 with respect to an account established in |
accordance with paragraph (4). |
(3) Exercise discretion in accordance with federal law |
and in the best interests of the youth when making |
decisions to use or conserve the youth's benefits that are |
less than or not subject to asset or resource limits under |
federal law, including using the benefits to address the |
youth's special needs and conserving the benefits for the |
youth's reasonably foreseeable future needs. |
(4) Appropriately monitor any federal asset or |
resource limits for the benefits and ensure that the |
|
youth's best interest is served by using or conserving the |
benefits in a way that avoids violating any federal asset |
or resource limits that would affect the youth's |
eligibility to receive the benefits, including: |
(A) applying to the Social Security Administration |
to establish a Plan to Achieve Self-Support (PASS) |
Account for the youth under the Social Security Act |
and determining whether it is in the best interest of |
the youth to conserve all or parts of the benefits in |
the PASS account; |
(B) establishing a 529 plan for the youth and |
conserving the youth's benefits in that account in a |
manner that appropriately avoids any federal asset or |
resource limits; |
(C) establishing an Individual Development Account |
for the youth and conserving the youth's benefits in |
that account in a manner that appropriately avoids any |
federal asset or resource limits; |
(D) establishing an ABLE account authorized by |
Section 529A of the Internal Revenue Code of 1986, for |
the youth and conserving the youth's benefits in that |
account in a manner that appropriately avoids any |
federal asset or resource limits; |
(E) establishing a Social Security Plan to Achieve |
Self-Support account for the youth and conserving the |
youth's benefits in a manner that appropriately avoids |
|
any federal asset or resource limits; |
(F) establishing a special needs trust for the |
youth and conserving the youth's benefits in the trust |
in a manner that is consistent with federal |
requirements for special needs trusts and that |
appropriately avoids any federal asset or resource |
limits; |
(G) if the Department determines that using the |
benefits for services for current special needs not |
already provided by the Department is in the best |
interest of the youth, using the benefits for those |
services; |
(H) if federal law requires certain back payments |
of benefits to be placed in a dedicated account, |
complying with the requirements for dedicated accounts |
under 20 CFR 416.640(e); and |
(I) applying any other exclusions from federal |
asset or resource limits available under federal law |
and using or conserving the youth's benefits in a |
manner that appropriately avoids any federal asset or |
resource limits. |
(e) By July 1, 2024, the Department shall provide a report |
to the General Assembly regarding youth in care who receive |
benefits who are not subject to this Act. The report shall |
discuss a goal of expanding conservation of children's |
benefits to all benefits of all children of any age for whom |
|
the Department serves as representative payee. The report |
shall include a description of any identified obstacles, steps |
to be taken to address the obstacles, and a description of any |
need for statutory, rule, or procedural changes. |
(f) Accounting. The Department shall provide an annual |
accounting to the youth's attorney and guardian ad litem of |
how the youth's benefits have been used and conserved. In |
addition, within 10 business days of a request from a youth or |
the youth's attorney and guardian ad litem, the Department |
shall provide an accounting to the youth of how the youth's |
benefits have been used and conserved. The accounting shall |
include: |
(1) The amount of benefits received on the youth's |
behalf since the most recent accounting and the date the |
benefits were received. |
(2) Information regarding the youth's benefits and |
resources, including the youth's benefits, insurance, cash |
assets, trust accounts, earnings, and other resources. |
(3) An accounting of the disbursement of benefit |
funds, including the date, amount, identification of |
payee, and purpose. |
(4) Information regarding each request by the youth, |
the youth's attorney and guardian ad litem, or the youth's |
caregiver for disbursement of funds and a statement |
regarding the reason for not granting the request if the |
request was denied. |
|
When the Department's guardianship of the youth is being |
terminated, the Department shall provide (i) a final |
accounting to the Social Security Administration, to the |
youth's attorney and guardian ad litem, and to either the |
person or persons who will assume guardianship of the youth or |
who is in the process of adopting the youth, if the youth is |
under 18, or to the youth, if the youth is over 18 and (ii) |
information to the parent, guardian, or youth regarding how to |
apply to become the representative payee. The Department shall |
adopt rules to ensure that the representative payee |
transitions occur in a timely and appropriate manner. |
(g) Financial literacy. The Department shall provide the |
youth with financial literacy training and support, including |
specific information regarding the existence, availability, |
and use of funds conserved for the youth in accordance with |
this subsection, beginning by age 14. The literacy program and |
support services shall be developed in consultation with input |
from the Department's Statewide Youth Advisory Board. |
(h) Adoption of rules. The Department shall adopt rules to |
implement the provisions of this Section by January 1, 2023. |
(i) Reporting. No later than February 28, 2023, the |
Department shall file a report with the General Assembly |
providing the following information for State Fiscal Years |
2019, 2020, 2021, and 2022 and annually beginning February 28, |
2023, for the preceding fiscal year: |
(1) The number of youth entering care. |
|
(2) The number of youth entering care receiving each |
of the following types of benefits: Social Security |
benefits, Supplemental Security Income, Veterans benefits, |
Railroad Retirement benefits. |
(3) The number of youth entering care for whom the |
Department filed an application for each of the following |
types of benefits: Social Security benefits, Supplemental |
Security Income, Veterans benefits, Railroad Retirement |
benefits. |
(4) The number of youth entering care who were awarded |
each of the following types of benefits based on an |
application filed by the Department: Social Security |
benefits, Supplemental Security Income, Veterans benefits, |
Railroad Retirement benefits. |
(j) Annually beginning December 31, 2023, the Department |
shall file a report with the General Assembly with the |
following information regarding the preceding fiscal year: |
(1) the number of conserved accounts established and |
maintained for youth in care; |
(2) the average amount conserved by age group; and |
(3) the total amount conserved by age group.
|
(Source: P.A. 102-1014, eff. 5-27-22.)
|
(20 ILCS 505/5.47) |
Sec. 5.47 5.46 . Extended Family Support Pilot Program. The |
Department may consult with independent partners to review |
|
Extended Family Support Program services and advise if |
additional services are needed prior to the start of the pilot |
program required under this Section. Beginning January 1, |
2023, the Department shall implement a 3-year pilot program of |
additional resources for families receiving Extended Family |
Support Program services from the Department for the purpose |
of supporting relative caregivers. These resources may |
include, but are not limited to: (i) wraparound case |
management services, (ii) home visiting services for |
caregivers with children under the age of 5, and (iii) parent |
mentors for caregivers with children over the age of 3. |
The services for the Extended Family Support Program are |
expanded given the program's inclusion in the Family First |
Prevention Services Act's targeted populations. Other target |
populations include intact families, pregnant and parenting |
youth, reunification within 6 months, and post adoption and |
subsidized guardianship. Inclusion provides the array of |
evidence-based interventions included within the State's |
Family First Prevention Services plan. Funding through Title |
IV-E of the Social Security Act shall be spent on services to |
prevent children and youth who are candidates for foster care |
from coming into care and allow them to remain with their |
families. Given the inclusion of the Extended Family Support |
Program in the Family First Prevention Services Act, the |
program is a part of the independent evaluation of Family |
First Prevention Services. This includes tracking deflection |
|
from foster care. |
The resources provided by the pilot program are voluntary |
and refusing such resources shall not be used as evidence of |
neglect of a child. |
The Department shall arrange for an independent evaluation |
of the pilot program to determine whether the pilot program is |
successfully supporting families receiving Extended Family |
Support Program services or Family First Prevention Program |
services and preventing entrance into the foster care system. |
This evaluation will support determining whether there is a |
long-term cost benefit to continuing the pilot program. |
At the end of the 3-year pilot program, the Department |
shall submit a report to the General Assembly with its |
findings of the evaluation. The report shall state whether the |
Department intends to continue the pilot program and the |
rationale for its decision. |
The Department may adopt rules and procedures to implement |
and administer this Section.
|
(Source: P.A. 102-1029, eff. 5-27-22; revised 7-26-22.)
|
(20 ILCS 505/7.4)
|
Sec. 7.4. Development and preservation of sibling |
relationships for children in care; placement of siblings; |
contact among siblings placed apart.
|
(a) Purpose and policy. The General Assembly recognizes |
that sibling relationships are unique and essential for a |
|
person, but even more so for children who are removed from the |
care of their families and placed in the State child welfare |
system. When family separation occurs through State |
intervention, every effort must be made to preserve, support |
and nurture sibling relationships when doing so is in the best |
interest of each sibling. It is in the interests of foster |
children who are part of a sibling group to enjoy contact with |
one another, as long as the contact is in each child's best |
interest. This is true both while the siblings are in State |
care and after one or all of the siblings leave State care |
through adoption, guardianship, or aging out.
|
(b) Definitions. For purposes of this Section: |
(1) Whenever a best interest determination is required |
by this Section, the
Department shall consider the factors |
set out in subsection (4.05) of Section 1-3 of
the |
Juvenile Court Act of 1987 and the Department's rules |
regarding
Sibling Placement, 89 Ill. Adm. 111. Admin. Code |
301.70 and Sibling Visitation, 89 Ill. Adm. 111.
Admin. |
Code 301.220, and the Department's rules regarding |
Placement
Selection Criteria, 89 Ill. Adm. 111. Admin. |
Code 301.60. |
(2) "Adopted child" means a child who, immediately |
preceding the adoption, was
in the custody or guardianship |
of the Illinois Department of Children and
Family Services |
under Article II of the Juvenile Court Act of 1987. |
(3) "Adoptive parent" means a person who has become a |
|
parent through the legal
process of adoption. |
(4) "Child" means a person in the temporary custody or |
guardianship of the
Department who is under the age of 21. |
(5) "Child placed in private guardianship" means a |
child who, immediately
preceding the guardianship, was in |
the custody or guardianship of the Illinois
Department of |
Children and Family Services under Article II of the |
Juvenile
Court Act. |
(6) "Contact" may include, but is not limited to |
visits, telephone calls, letters,
sharing of photographs |
or information, e-mails, video conferencing, and other |
form of communication or contact. |
(7) "Legal guardian" means a person who has become the |
legal guardian of a
child who, immediately prior to the |
guardianship, was in the custody or
guardianship of the |
Illinois Department of Children and Family Services
under |
Article II of the Juvenile Court Act of 1987. |
(8) "Parent" means the child's mother or father who is |
named as the respondent in
proceedings conducted under |
Article II of the Juvenile Court Act of 1987. |
(9) "Post Permanency Sibling Contact" means contact |
between siblings following
the entry of a Judgment Order |
for Adoption under Section 14 of the
Adoption Act |
regarding at least one sibling or an Order for |
Guardianship
appointing a private guardian under Section |
2-27 or the Juvenile Court Act of 1987,
regarding at least |
|
one sibling. Post Permanency Sibling Contact may include,
|
but is not limited to, visits, telephone calls, letters, |
sharing of photographs or
information, emails, video |
conferencing, and other form of
communication or |
connection agreed to by the parties to a Post Permanency
|
Sibling Contact Agreement. |
(10) "Post Permanency Sibling Contact Agreement" means |
a written agreement
between the adoptive parent or |
parents, the child, and the child's sibling
regarding post |
permanency contact between the adopted child and the |
child's
sibling, or a written agreement between the legal |
guardians, the child, and the
child's sibling regarding |
post permanency contact between the child placed in
|
guardianship and the child's sibling. The Post Permanency |
Sibling Contact
Agreement may specify the nature and |
frequency of contact between the
adopted child or child |
placed in guardianship and the child's sibling
following |
the entry of the Judgment Order for Adoption or Order for |
Private
Guardianship. The Post Permanency Sibling Contact |
Agreement may be
supported by services as specified in |
this Section. The Post Permanency Sibling Contact |
Agreement is voluntary
on the part of the parties to the |
Post Permanency Sibling Contact Agreement
and is not a |
requirement for finalization of the child's adoption or
|
guardianship. The Post Permanency Sibling Contract |
Agreement shall not be enforceable in any court of law or |
|
administrative forum and no cause of action shall be |
brought to enforce the Agreement. When entered into, the |
Post Permanency Sibling Contact
Agreement shall be placed |
in the child's Post Adoption or Guardianship case
record |
and in the case file of a sibling who is a party to the |
agreement and who
remains in the Department's custody or |
guardianship. |
(11) "Sibling Contact Support Plan" means a written |
document that sets forth
the plan for future contact |
between siblings who are in the Department's care
and |
custody and residing separately. The goal of the Support |
Plan is to
develop or preserve and nurture the siblings' |
relationships. The Support Plan
shall set forth the role |
of the foster parents, caregivers, and others in
|
implementing the Support Plan. The Support Plan must meet |
the minimum
standards regarding frequency of in-person |
visits provided for in Department
rule. |
(12) "Siblings" means children who share at least one |
parent in common. This definition of siblings
applies |
solely for purposes of placement and contact under this |
Section. For
purposes of this Section, children who share |
at least one parent in common
continue to be siblings |
after their parent's parental rights are terminated, if |
parental rights were terminated while a petition under |
Article II of the
Juvenile Court Act of 1987 was pending. |
For purposes of this Section, children who
share at least |
|
one parent in common continue to be siblings after a |
sibling is
adopted or placed in private guardianship when |
the adopted child or child
placed in private guardianship |
was in the Department's custody or
guardianship under |
Article II of the Juvenile Court Act of 1987 immediately
|
prior to the adoption or private guardianship. For |
children who have been in the guardianship of the |
Department under
Article II of the Juvenile Court Act of |
1987, have been adopted, and are subsequently
returned to |
the temporary custody or guardianship of the Department |
under Article II of the Juvenile Court Act of 1987, |
"siblings" includes a person who
would have been |
considered a sibling prior to the adoption and siblings
|
through adoption. |
(c) No later than January 1, 2013, the Department shall |
promulgate rules addressing the
development and preservation |
of sibling relationships. The rules shall address, at a
|
minimum: |
(1) Recruitment, licensing, and support of foster |
parents willing and
capable of either fostering sibling |
groups or supporting and being
actively involved in |
planning and executing sibling contact for siblings
placed |
apart. The rules shall address training for foster |
parents,
licensing workers, placement workers, and others |
as deemed
necessary. |
(2) Placement selection for children who are separated |
|
from their siblings
and how to best promote placements of |
children with foster parents or
programs that can meet the |
children's needs, including the need to
develop and |
maintain contact with siblings. |
(3) State-supported guidance to siblings who have aged |
out of state
care regarding positive engagement with |
siblings. |
(4) Implementation of Post Permanency Sibling Contact
|
Agreements for children exiting State care, including |
services
offered by the Department to encourage and assist |
parties in
developing agreements, services offered by the |
Department post permanency
to support parties in |
implementing and
maintaining agreements, and including |
services offered by the
Department post permanency to |
assist parties in amending
agreements as necessary to meet |
the needs of the children. |
(5) Services offered by the Department for children |
who exited foster care prior to the availability of Post |
Permanency Sibling Contact Agreements, to invite willing |
parties to participate in a facilitated discussion, |
including, but not limited to, a mediation or joint team |
decision-making meeting, to explore sibling contact.
|
(d) The Department shall develop a form to be provided to |
youth entering care and exiting
care explaining their rights |
and responsibilities related to sibling visitation while in |
care and post permanency. |
|
(e) Whenever a child enters care or requires a new |
placement, the Department shall consider the development and |
preservation of sibling relationships. |
(1) This subsection applies when a child entering care |
or requiring a change of placement has siblings who are in |
the custody or guardianship of the Department. When a |
child enters care or requires a new placement, the |
Department shall examine its files and other available |
resources and determine whether a sibling of that child is |
in the custody or guardianship of the Department. If the |
Department determines that a sibling is in its custody or |
guardianship, the Department shall then determine whether |
it is in the best interests of each of the siblings for the |
child needing placement to be placed with the sibling. If |
the Department determines that it is in the best interest |
of each sibling to be placed together, and the sibling's |
foster parent is able and willing to care for the child |
needing placement, the Department shall place the child |
needing placement with the sibling. A determination that |
it is not in a child's best interest to be placed with a |
sibling shall be made in accordance with Department rules, |
and documented in the file of each sibling. |
(2) This subsection applies when a child who is |
entering care has siblings who
have been adopted or placed |
in private guardianship. When a child enters care,
the |
Department shall examine its files and other available |
|
resources, including
consulting with the child's parents, |
to determine whether a sibling of the child
was adopted or |
placed in private guardianship from State care. The
|
Department shall determine, in consultation with the |
child's parents, whether
it would be in the child's best |
interests to explore placement with the adopted
sibling or |
sibling in guardianship. Unless the parent objects, if the
|
Department determines it is in the child's best interest |
to explore the
placement, the Department shall contact the |
adoptive parents or guardians of the
sibling, determine |
whether they are willing to be considered as placement |
resources for the child, and, if so, determine whether it |
is in the best interests
of the child to be placed in the |
home with the sibling. If the Department
determines that |
it is in the child's best interests to be placed in the |
home with
the sibling, and the sibling's adoptive parents |
or guardians are willing and
capable, the Department shall |
make the placement. A determination that it is
not in a |
child's best interest to be placed with a sibling shall be |
made in
accordance with Department rule, and documented in |
the child's file. |
(3) This subsection applies when a child in Department |
custody or guardianship
requires a change of placement, |
and the child has siblings who have been
adopted or placed |
in private guardianship. When a child in care requires a |
new
placement, the Department may consider placing the |
|
child with the adoptive
parent or guardian of a sibling |
under the same procedures and standards
set forth in |
paragraph (2) of this subsection. |
(4) When the Department determines it is not in the |
best interest of one or more
siblings to be placed |
together the Department shall ensure that the child
|
requiring placement is placed in a home or program where |
the caregiver is
willing and able to be actively involved |
in supporting the sibling relationship
to the extent doing |
so is in the child's best interest. |
(f) When siblings in care are placed in separate |
placements, the Department shall develop a
Sibling Contact |
Support Plan. The Department shall convene a meeting to |
develop the
Support Plan. The meeting shall include, at a |
minimum, the case managers for the
siblings, the foster |
parents or other care providers if a child is in a non-foster |
home
placement and the child, when developmentally and |
clinically appropriate. The
Department shall make all |
reasonable efforts to promote the participation of the foster
|
parents. Parents whose parental rights are intact shall be |
invited to the meeting. Others,
such as therapists and |
mentors, shall be invited as appropriate. The Support Plan |
shall set
forth future contact and visits between the siblings |
to develop or preserve, and nurture the
siblings' |
relationships. The Support Plan shall set forth the role of |
the foster parents and
caregivers and others in implementing |
|
the Support Plan. The Support Plan must meet the
minimum |
standards regarding frequency of in-person visits provided for |
in Department
rule. The Support Plan will be incorporated in |
the child's service plan and reviewed at
each administrative |
case review. The Support Plan should be modified if one of the
|
children moves to a new placement, or as necessary to meet the |
needs of the children. The Sibling Contact Support Plan for a |
child in care may include siblings who are not in the care of |
the Department, with the consent and participation of that |
child's parent or guardian. |
(g) By January 1, 2013, the Department shall develop a |
registry so that placement
information regarding adopted |
siblings and siblings in private guardianship is readily
|
available to Department and private agency caseworkers |
responsible for placing children
in the Department's care. |
When a child is adopted or placed in private guardianship from
|
foster care the Department shall inform the adoptive parents |
or guardians that they may be contacted in the future |
regarding placement of or contact with siblings subsequently |
requiring placement. |
(h) When a child is in need of an adoptive placement, the |
Department shall examine its files and other available |
resources and attempt to determine whether a sibling of the |
child has been adopted or placed in private guardianship after |
being in the Department's custody or guardianship. If the |
Department determines that a sibling of the child has been |
|
adopted or placed in private guardianship, the Department |
shall make a good faith effort to locate the adoptive parents |
or guardians of the sibling and inform them of the |
availability of the child for adoption. The Department may |
determine not to inform the adoptive parents or guardians of a |
sibling of a child that the child is available for adoption |
only for a reason permitted under criteria adopted by the |
Department by rule, and documented in the child's case file. |
If a child available for adoption has a sibling who has been |
adopted or placed in guardianship, and the adoptive parents or |
guardians of that sibling apply to adopt the child, the |
Department shall consider them as adoptive applicants for the |
adoption of the child. The Department's final decision as to |
whether it will consent to the adoptive parents or guardians |
of a sibling being the adoptive parents of the child shall be |
based upon the welfare and best interest of the child. In |
arriving at its decision, the Department shall consider all |
relevant factors, including , but not limited to: |
(1) the wishes of the child; |
(2) the interaction and interrelationship of the child |
with the applicant to adopt the child; |
(3) the child's need for stability and continuity of |
relationship with parent figures; |
(4) the child's adjustment to his or her present home, |
school, and community; |
(5) the mental and physical health of all individuals |
|
involved; |
(6) the family ties between the child and the child's |
relatives, including siblings; |
(7) the background, age, and living arrangements of |
the applicant to adopt the child; |
(8) a criminal background report of the applicant to |
adopt the child. |
If placement of the child available for adoption with the |
adopted sibling or sibling in private guardianship is not |
feasible, but it is in the child's best interest to develop a |
relationship with his or her sibling, the Department shall |
invite the adoptive parents, guardian, or guardians for a |
mediation or joint team decision-making meeting to facilitate |
a discussion regarding future sibling contact. |
(i) Post Permanency Sibling Contact Agreement. When a |
child in the Department's care
has a permanency goal of |
adoption or private guardianship, and the Department is
|
preparing to finalize the adoption or guardianship, the |
Department shall convene a
meeting with the pre-adoptive |
parent or prospective guardian and the case manager for
the |
child being adopted or placed in guardianship and the foster |
parents and case
managers for the child's siblings, and others |
as applicable. The children should participate as is
|
developmentally appropriate. Others, such as therapists and |
mentors, may participate as
appropriate. At the meeting the |
Department shall encourage the parties to discuss
sibling |
|
contact post permanency. The Department may assist the parties |
in drafting a
Post Permanency Sibling Contact Agreement. |
(1) Parties to the Post Permanency Sibling Contact |
Agreement shall
include: |
(A) The adoptive parent or parents or guardian. |
(B) The child's sibling or siblings, parents or |
guardians. |
(C) The child. |
(2) Consent of child 14 and over. The written consent |
of a child age 14 and over to
the terms and conditions of |
the Post Permanency Sibling Contact Agreement and
|
subsequent modifications is required. |
(3) In developing this Agreement, the Department shall |
encourage the parties to
consider the following factors: |
(A) the physical and emotional safety and welfare |
of the child; |
(B) the child's wishes; |
(C) the interaction and interrelationship of the |
child with the child's sibling or siblings
who would |
be visiting or communicating with the child, |
including: |
(i) the
quality of the relationship between |
the child and the sibling or siblings, and |
(ii) the
benefits and potential harms to the |
child in allowing the relationship or |
relationships to
continue or in ending them; |
|
(D) the child's sense of attachments to the birth |
sibling or siblings and adoptive family,
including: |
(i) the child's sense of being valued; |
(ii) the child's sense of familiarity; and |
(iii) continuity of affection for the child; |
and |
(E) other factors relevant to the best interest of |
the child. |
(4) In considering the factors in paragraph (3) of |
this subsection, the Department shall encourage the
|
parties to recognize the importance to a child of |
developing a relationship with
siblings including siblings |
with whom the child does not yet have a relationship;
and |
the value of preserving family ties between the child and |
the child's siblings,
including: |
(A) the child's need for stability and continuity |
of relationships with
siblings, and |
(B) the importance of sibling contact in the |
development of the
child's identity. |
(5) Modification or termination of Post Permanency |
Sibling Contact Agreement. The
parties to the agreement |
may modify or terminate the Post Permanency Sibling
|
Contact Agreement. If the parties cannot agree to |
modification or termination,
they may request the |
assistance of the Department of Children and Family
|
Services or another agency identified and agreed upon by |
|
the parties to the Post
Permanency Sibling Contact |
Agreement. Any and all terms may be modified by
agreement |
of the parties. Post Permanency Sibling Contact Agreements |
may also
be modified to include contact with siblings |
whose whereabouts were unknown or
who had not yet been |
born when the Judgment Order for Adoption or Order for
|
Private Guardianship was entered. |
(6) Adoptions and private guardianships finalized |
prior to the effective date of amendatory Act. Nothing in |
this Section prohibits the parties from entering into a |
Post
Permanency Sibling Contact Agreement if the adoption |
or private guardianship
was finalized prior to the |
effective date of this Section. If the Agreement is
|
completed and signed by the parties, the Department shall |
include the Post
Permanency Sibling Contact Agreement in |
the child's Post Adoption or Private
Guardianship case |
record and in the case file of siblings who are parties to |
the
agreement who are in the Department's custody or |
guardianship.
|
(Source: P.A. 97-1076, eff. 8-24-12; 98-463, eff. 8-16-13; |
revised 2-28-22.)
|
(20 ILCS 505/8) (from Ch. 23, par. 5008)
|
Sec. 8. Scholarships and fee waivers; tuition waiver. |
(a) Each year the Department shall select a minimum of 53 |
students (at least 4 of whom shall be children of veterans) to |
|
receive scholarships and fee waivers which will enable them to |
attend and complete their post-secondary education at a |
community college, university, or college. Youth shall be |
selected from among the youth for whom the Department has |
court-ordered legal responsibility, youth who aged out of care |
at age 18 or older, or youth formerly under care
who have been |
adopted or who have been placed in private guardianship. |
Recipients must have earned a high school diploma from an |
accredited institution or a State of Illinois High School |
Diploma or diploma or have met the State criteria for high |
school graduation before the start of the school year for |
which they are applying for the scholarship and waiver. |
Scholarships and fee waivers shall be available to students |
for at least 5 years, provided they are continuing to work |
toward graduation. Unused scholarship dollars and fee waivers |
shall be reallocated to new recipients. No later than January |
1, 2015, the Department shall promulgate rules identifying the |
criteria for "continuing to work toward graduation" and for |
reallocating unused scholarships and fee waivers. Selection |
shall be made on the
basis of several factors, including, but |
not limited to, scholastic record, aptitude, and general |
interest in higher
education. The selection committee shall |
include at least 2 individuals formerly under the care of the |
Department who have completed their post-secondary education. |
In accordance with this Act, tuition scholarships and fee |
waivers
shall be available to such students at any university |
|
or college maintained by
the State of Illinois. The Department |
shall provide maintenance and school
expenses, except tuition |
and fees, during the academic years to supplement
the |
students' earnings or other resources so long as they |
consistently
maintain scholastic records which are acceptable |
to their schools and to
the Department. Students may attend |
other colleges and universities, if
scholarships are awarded |
to them, and receive the same benefits for maintenance
and |
other expenses as those students attending any Illinois State |
community
college, university, or college under this Section. |
Beginning with recipients receiving scholarships and waivers |
in August 2014, the Department shall collect data and report |
annually to the General Assembly on measures of success, |
including (i) the number of youth applying for and receiving |
scholarships or waivers, (ii) the percentage of scholarship or |
waiver recipients who complete their college or university |
degree within 5 years, (iii) the average length of time it |
takes for scholarship or waiver recipients to complete their |
college or university degree, (iv) the reasons that |
scholarship or waiver recipients are discharged or fail to |
complete their college or university degree, (v) when |
available, youths' outcomes 5 years and 10 years after being |
awarded the scholarships or waivers, and (vi) budget |
allocations for maintenance and school expenses incurred by |
the Department.
|
(b) Youth shall receive a tuition and fee waiver to assist |
|
them in attending and completing their post-secondary |
education at any community college, university, or college |
maintained by the State of Illinois if they are youth for whom |
the Department has court-ordered legal responsibility, youth |
who aged out of care at age 18 or older, or youth formerly |
under care who have been adopted and were the subject of an |
adoption assistance agreement or who have been placed in |
private guardianship and were the subject of a subsidized |
guardianship agreement. |
To receive a waiver under this subsection, an applicant |
must: |
(1) have earned a high school diploma from an
|
accredited institution or a State of Illinois High School |
Diploma or have met the State criteria for high school
|
graduation before the start of the school year for which |
the applicant is applying for the waiver; |
(2) enroll in a
qualifying post-secondary education |
before the applicant reaches the age
of 26; and |
(3) apply for federal and State grant assistance by |
completing the Free Application for Federal Student Aid. |
The community college or public university
that an |
applicant attends must waive any tuition and fee amounts that |
exceed the amounts paid to the applicant under the federal |
Pell Grant Program or the State's Monetary Award Program. |
Tuition and fee waivers shall be available to a student |
for at least the first 5 years the student is enrolled in a |
|
community college, university, or college maintained by the |
State of Illinois so long as the student makes satisfactory |
progress toward completing his or her degree. The age |
requirement and 5-year cap on tuition and fee waivers under |
this subsection shall be waived and eligibility for tuition |
and fee waivers shall be extended for any applicant or student |
who the Department determines was unable to enroll in a |
qualifying post-secondary school or complete an academic term |
because the applicant or student: (i) was called into active |
duty with the United States Armed Forces; (ii) was deployed |
for service in the United States Public Health Service |
Commissioned Corps; or (iii) volunteered in the Peace Corps or |
the AmeriCorps. The Department shall extend eligibility for a |
qualifying applicant or student by the total number of months |
or years during which the applicant or student served on |
active duty with the United States Armed Forces, was deployed |
for service in the United States Public Health Service |
Commissioned Corps, or volunteered in the Peace Corps or the |
AmeriCorps. The number of months an applicant or student |
served on active duty with the United States Armed Forces |
shall be rounded up to the next higher year to determine the |
maximum length of time to extend eligibility for the applicant |
or student. |
The Department may provide the student with a stipend to |
cover maintenance and school expenses, except tuition and |
fees, during the academic years to supplement the student's |
|
earnings or other resources so long as the student |
consistently maintains scholastic records which are acceptable |
to the student's school and to the Department. |
The Department shall develop outreach programs to ensure |
that youths who qualify for the tuition and fee waivers under |
this subsection who are high school students in grades 9 |
through 12 or who are enrolled in a high school equivalency |
testing program are aware of the availability of the tuition |
and fee waivers. |
(c) Subject to appropriation, the Department shall provide |
eligible youth an apprenticeship stipend to cover those costs |
associated with entering and sustaining through completion an |
apprenticeship, including, but not limited to fees, tuition |
for classes, work clothes, rain gear, boots, and |
occupation-specific tools. The following youth may be eligible |
for the apprenticeship stipend provided under this subsection: |
youth for whom the Department has court-ordered legal |
responsibility; youth who aged out of care at age 18 or older; |
or youth formerly under care who have been adopted and were the |
subject of an adoption assistance agreement or who have been |
placed in private guardianship and were the subject of a |
subsidized guardianship agreement. |
To receive a stipend under this subsection, an applicant |
must: |
(1) be enrolled in an apprenticeship training program |
approved or recognized by the Illinois Department of |
|
Employment Security or an apprenticeship program approved |
by the United States Department of Labor; |
(2) not be a recipient of a scholarship or fee waiver |
under subsection (a) or (b); and |
(3) be under the age of 26 before enrolling in a |
qualified apprenticeship program. |
Apprenticeship stipends shall be available to an eligible |
youth for a maximum of 5 years after the youth enrolls in a |
qualifying apprenticeship program so long as the youth makes |
satisfactory progress toward completing his or her |
apprenticeship. The age requirement and 5-year cap on the |
apprenticeship stipend provided under this subsection shall be |
extended for any applicant who the Department determines was |
unable to enroll in a qualifying apprenticeship program |
because the applicant: (i) was called into active duty with |
the United States Armed Forces; (ii) was deployed for service |
in the United States Public Health Service Commissioned Corps; |
or (iii) volunteered in the Peace Corps or the AmeriCorps. The |
Department shall extend eligibility for a qualifying applicant |
by the total number of months or years during which the |
applicant served on active duty with the United States Armed |
Forces, was deployed for service in the United States Public |
Health Service Commissioned Corps, or volunteered in the Peace |
Corps or the AmeriCorps. The number of months an applicant |
served on active duty with the United States Armed Forces |
shall be rounded up to the next higher year to determine the |
|
maximum length of time to extend eligibility for the |
applicant. |
The Department shall develop outreach programs to ensure |
that youths who qualify for the apprenticeship stipends under |
this subsection who are high school students in grades 9 |
through 12 or who are enrolled in a high school equivalency |
testing program are aware of the availability of the |
apprenticeship stipend. |
(Source: P.A. 101-558, eff. 1-1-20; 102-1100, eff. 1-1-23; |
revised 12-8-22.)
|
(20 ILCS 505/35.10)
|
Sec. 35.10. Documents necessary for adult living. The |
Department shall assist a youth in care in identifying and |
obtaining documents necessary to function as an independent |
adult prior to the closure of the youth's case to terminate |
wardship as provided in Section 2-31 of the Juvenile Court Act |
of 1987. These necessary documents shall include, but not be |
limited to, any of the following: |
(1) State identification card or driver's license. |
(2) Social Security card. |
(3) Medical records, including, but not limited to, |
health passport, dental records, immunization records, |
name and contact information for all current medical, |
dental, and mental health providers, and a signed |
certification that the Department provided the youth with |
|
education on executing a healthcare power of attorney. |
(4) Medicaid card or other health eligibility |
documentation. |
(5) Certified copy of birth certificate. |
(6) Any applicable religious documents. |
(7) Voter registration card. |
(8) Immigration, citizenship, or naturalization |
documentation, if applicable. |
(9) Death certificates of parents, if applicable. |
(10) Life book or compilation of personal history and |
photographs. |
(11) List of known relatives with relationships, |
addresses, telephone numbers, and other contact |
information, with the permission of the involved relative. |
(12) Resume. |
(13) Educational records, including list of schools |
attended, and transcript, high school diploma, or State of |
Illinois High School Diploma. |
(14) List of placements while in care. |
(15) List of community resources with referral |
information, including the Midwest Adoption Center for |
search and reunion services for former youth in care, |
whether or not they were adopted, and the Illinois Chapter |
of Foster Care Alumni of America. |
(16) All documents necessary to complete a Free |
Application for Federal Student Aid form, if applicable, |
|
or an application for State financial aid. |
(17) If applicable, a final accounting of the account |
maintained on behalf of the youth as provided under |
Section 5.46. |
If a court determines that a youth in care no longer requires |
wardship of the court and orders the wardship terminated and |
all proceedings under the Juvenile Court Act of 1987 |
respecting the youth in care finally closed and discharged, |
the Department shall ensure that the youth in care receives a |
copy of the court's order.
|
(Source: P.A. 102-70, eff. 1-1-22; 102-1014, eff. 5-27-22; |
102-1100, eff. 1-1-23; revised 12-13-22.)
|
Section 70. The Department of Commerce and Economic |
Opportunity Law of the
Civil Administrative Code of Illinois |
is amended by changing Section 605-503 and by setting forth, |
renumbering, and changing multiple versions of Section |
605-1095 as follows:
|
(20 ILCS 605/605-503) |
Sec. 605-503. Entrepreneurship assistance centers. |
(a) The Department shall establish and support, subject to |
appropriation, entrepreneurship assistance centers, including |
the issuance of grants, at career education agencies and |
not-for-profit corporations , including, but not limited to, |
local development corporations, chambers of commerce, |
|
community-based business outreach centers, and other |
community-based organizations. The purpose of the centers |
shall be to train minority group members, women, individuals |
with a disability, dislocated workers, veterans, and youth |
entrepreneurs in the principles and practice of |
entrepreneurship in order to prepare those persons to pursue |
self-employment opportunities and to pursue a minority |
business enterprise or a women-owned business enterprise. The |
centers shall provide for training in all aspects of business |
development and small business management as defined by the |
Department. |
(b) The Department shall establish criteria for selection |
and designation of the centers which shall include, but not be |
limited to: |
(1) the level of support for the center from local |
post-secondary education institutions, businesses, and |
government; |
(2) the level of financial assistance provided at the |
local and federal level to support the operations of the |
center; |
(3) the applicant's understanding of program goals and |
objectives articulated by the Department; |
(4) the plans of the center to supplement State and |
local funding through fees for services which may be based |
on a sliding scale based on ability to pay; |
(5) the need for and anticipated impact of the center |
|
on the community in which it will function; |
(6) the quality of the proposed work plan and staff of |
the center; and |
(7) the extent of economic distress in the area to be |
served. |
(c) Each center shall: |
(1) be operated by a board of directors representing |
community leaders in business, education, finance , and |
government; |
(2) be incorporated as a not-for-profit corporation; |
(3) be located in an area accessible to eligible |
clients; |
(4) establish an advisory group of community business |
experts, at least one-half of whom shall be representative |
of the clientele to be served by the center, which shall |
constitute a support network to provide counseling and |
mentoring services to minority group members, women, |
individuals with a disability, dislocated workers, |
veterans, and youth entrepreneurs from the concept stage |
of development through the first one to 2 years of |
existence on a regular basis and as needed thereafter; and |
(5) establish a referral system and linkages to |
existing area small business assistance programs and |
financing sources. |
(d) Each entrepreneurship assistance center shall provide |
needed services to eligible clients, including, but not |
|
limited to: (i) orientation and screening of prospective |
entrepreneurs; (ii) analysis of business concepts and |
technical feasibility; (iii) market analysis; (iv) management |
analysis and counseling; (v) business planning and financial |
planning assistance; (vi) referrals to financial resources; |
(vii) referrals to existing educational programs for training |
in such areas as marketing, accounting, and other training |
programs as may be necessary and available; and (viii) |
referrals to business incubator facilities, when appropriate, |
for the purpose of entering into agreements to access shared |
support services. |
(e) Applications for grants made under this Section shall |
be made in the manner and on forms prescribed by the |
Department. The application shall include, but shall not be |
limited to: |
(1) a description of the training programs available |
within the geographic area to be served by the center to |
which eligible clients may be referred; |
(2) designation of a program director; |
(3) plans for providing ongoing technical assistance |
to program graduates, including linkages with providers of |
other entrepreneurial assistance programs and with |
providers of small business technical assistance and |
services; |
(4) a program budget, including matching funds, |
in-kind and otherwise, to be provided by the applicant; |
|
and |
(5) any other requirements as deemed necessary by the |
Department. |
(f) Grants made under this Section shall be disbursed for |
payment of the cost of services and expenses of the program |
director, the instructors of the participating career |
education agency or not-for-profit corporation, the faculty |
and support personnel thereof, and any other person in the |
service of providing instruction and counseling in furtherance |
of the program. |
(g) The Department shall monitor the performance of each |
entrepreneurial assistance center and require quarterly |
reports from each center at such time and in such a manner as |
prescribed by the Department. |
The Department shall also evaluate the entrepreneurial |
assistance centers established under this Section and report |
annually beginning on January 1, 2023, and on or before |
January 1 of each year thereafter, the results of the |
evaluation to the Governor and the General Assembly. The |
report shall discuss the extent to which the centers serve |
minority group members, women, individuals with a disability, |
dislocated workers, veterans, and youth entrepreneurs; the |
extent to which the training program is coordinated with other |
assistance programs targeted to small and new businesses; the |
ability of the program to leverage other sources of funding |
and support; and the success of the program in aiding |
|
entrepreneurs to start up new businesses, including the number |
of new business start-ups resulting from the program. The |
report shall recommend changes and improvements in the |
training program and in the quality of supplemental technical |
assistance offered to graduates of the training programs. The |
report shall be made available to the public on the |
Department's website. Between evaluation due dates, the |
Department shall maintain the necessary records and data |
required to satisfy the evaluation requirements. |
(h) For purposes of this Section: |
"Entrepreneurship assistance center" or "center" means the |
business development centers or programs which provide |
assistance to primarily minority group members, women, |
individuals with a disability, dislocated workers , veterans, |
and youth entrepreneurs under this Section. |
"Disability" means, with respect to an individual: (i) a |
physical or mental impairment that substantially limits one or |
more of the major life activities of an individual; (ii) a |
record of such an impairment; or (iii) being regarded as |
having an impairment. |
"Minority business enterprise" has the same meaning as |
provided for "minority-owned business" under Section 2 of the |
Business Enterprise for Minorities, Women, and Persons with |
Disabilities Act. |
"Minority group member" has the same meaning as provided |
for "minority person" under Section 2 of the Business |
|
Enterprise for Minorities, Women, and Persons with |
Disabilities Act. |
"Women-owned business enterprise" has the same meaning as |
provided for "women-owned business" under Section 2 of the |
Business Enterprise for Minorities, Women, and Persons with |
Disabilities Act. |
"Veteran" means a person who served in and who has |
received an honorable or general discharge from, the United |
States Army, Navy, Air Force, Marines, Coast Guard, or |
reserves thereof, or who served in the Army National Guard, |
Air National Guard, or Illinois National Guard.
|
"Youth entrepreneur" means a person who is between the |
ages
of 16 and 29 years old and that is seeking community |
support to
start a business in Illinois. |
(Source: P.A. 102-272, eff. 1-1-22; 102-821, eff. 1-1-23; |
revised 12-8-22.)
|
(20 ILCS 605/605-1095) |
(Section scheduled to be repealed on December 31, 2024) |
Sec. 605-1095. Hotel Jobs Recovery Grant Program. |
(a) In 2019, the hotel industry in the State of Illinois |
directly employed more than 60,000 people and generated |
$4,000,000,000 in State and local taxes. During the first year |
of the COVID-19 pandemic, one in three hotel workers were laid |
off or furloughed, and hotels lost $3,600,000,000 in economic |
activity. Unlike other segments of the hospitality industry, |
|
the hotel industry has not received any direct hotel-specific |
support from the federal government. Funds awarded under this |
Section will be used by hotels to support their workforce and |
recover from the COVID-19 pandemic. |
(b) As used in this Section: |
"Hotel" means any building or buildings in which the |
public may, for a consideration, obtain living quarters or , |
sleeping or housekeeping accommodations. The term includes, |
but is not limited to, inns, motels, tourist homes or courts, |
lodging houses, rooming houses, retreat centers, conference |
centers, and hunting lodges. "Hotel" does not include a |
short-term rental. |
"Short-term rental" means a single-family dwelling, or a |
residential dwelling unit in a multi-unit structure, |
condominium, cooperative, timeshare, or similar joint property |
ownership arrangement, that is rented for a fee for less than |
30 consecutive days. "Short-term rental" includes a vacation |
rental. |
"Operator" and "room" have the meanings given to those |
terms in the Hotel Operators' Occupation Tax Act. |
(c) The Department may receive State funds and, directly |
or indirectly, federal funds under the authority of |
legislation passed in response to the Coronavirus epidemic |
including, but not limited to, the American Rescue Plan Act of |
2021, (Public Law 117-2) ("ARPA"); such funds shall be used in |
accordance with the ARPA legislation and other State and |
|
federal law. Upon receipt or availability of such State or |
federal funds, and subject to appropriations for their use, |
the Department shall establish the Hotel Jobs Recovery Grant |
Program for the purpose of providing direct relief to hotels |
impacted by the COVID-19 pandemic. Based on an application |
filed by the hotel operator, the Department shall award a |
one-time grant in an amount of up to $1,500 for each room in |
the hotel. Every hotel in operation in the state prior to March |
12, 2020 that remains in operation shall be eligible to apply |
for the grant. Grant awards shall be scaled based on a process |
determined by the Department, including reducing the grant |
amount by previous state and local relief provided to the |
business during the COVID-19 pandemic. |
(d) Any operator who receives grant funds under this |
Section shall use a minimum of 80% of the funds on payroll |
costs, to the extent permitted by Section 9901 of ARPA, |
including, but not limited to, wages, benefits, and employer |
contributions to employee healthcare costs. The remaining |
funds shall be used on any other costs and losses permitted by |
ARPA. |
(e) Within 12 months after receiving grant funds under |
this Section, the operator shall submit a written attestation |
to the Department acknowledging compliance with subsection |
(d). |
(f) The Department may establish by rule administrative |
procedures for the grant program, including any application |
|
procedures, grant agreements, certifications, payment |
methodologies, and other accountability measures that may be |
imposed upon participants in the program. The emergency |
rulemaking process may be used to promulgate the initial rules |
of the program following April 19, 2022 ( the effective date of |
Public Act 102-699) this amendatory Act of the 102nd General |
Assembly . |
(g) The Department has the power to issue grants and enter |
into agreements with eligible hotels to carry out the purposes |
of this program. |
(h) This Section is repealed on December 31, 2024.
|
(Source: P.A. 102-699, eff. 4-19-22; revised 7-27-22.)
|
(20 ILCS 605/605-1096) |
Sec. 605-1096 605-1095 . Industrial Biotechnology Workforce |
Development Grant Program. |
(a) The Industrial Biotechnology Workforce Development |
Grant Program is hereby established as a program to be |
implemented and administered by the Department. The Program |
shall provide grants for the purpose of fostering a |
well-trained and well-skilled industrial biotechnology |
workforce. |
(b) Subject to appropriation, grants under the Program may |
be awarded on an annual basis for one or more of the following: |
(1) industrial biotechnology apprenticeships or |
apprenticeship programs; |
|
(2) industrial biotechnology talent pipeline |
management programs that emphasize business-oriented |
strategies to increase workforce competitiveness, improve |
workforce diversity, and expand a regional talent pool |
around high-growth industries; |
(3) industrial biotechnology industry-aligned |
credential (digital badging) expansion programs to |
increase the number of workers with in-demand skills |
needed to obtain a job or advance within the workplace and |
for merging competency-based education with responsive |
workforce training strategies; and |
(4) high school and community college industrial |
biotechnology career pathway and pre-apprenticeship |
program development. |
(c) To be eligible for grants provided under the Program, |
an entity must be either: (i) a State-sponsored, |
university-affiliated laboratory or research institution |
conducting collaboratives or for-hire research in the |
development of biorenewable chemicals, bio-based polymers, |
materials, novel feeds, or additional value-added |
biorenewables; or (ii) a State-accredited university or |
community college. An eligible entity must establish that it |
plans to use grant funds for a purpose specifically provided |
under subsection (b). |
(d) On or before January 31 of the next calendar year to |
occur after the last day of any State fiscal year in which the |
|
Department of Commerce and Economic Opportunity receives State |
funding for the Program under this Section, the Department of |
Commerce and Economic Opportunity shall submit an annual |
report to the General Assembly and the Governor on the use of |
grant funds under the Program. The report shall include, but |
not be limited to: (i) the disbursement of grant funds, |
categorized by eligible entity; (ii) the number of persons |
enrolled in or taking advantage of a program established or |
maintained using grant funds; (iii) the number of persons |
completing a program established or maintained using grant |
funds; and (iv) the number of person gaining employment in the |
industrial biotechnology industry following completion of a |
program established or maintained using grant funds. |
(e) The Department shall adopt all rules necessary for the |
implementation and administration of the Program under this |
Section.
|
(Source: P.A. 102-991, eff. 1-1-23; revised 12-29-22.)
|
Section 75. The Electric Vehicle Act is amended by |
changing Section 45 as follows:
|
(20 ILCS 627/45) |
Sec. 45. Beneficial electrification. |
(a) It is the intent of the General Assembly to decrease
|
reliance on fossil fuels, reduce pollution from the
|
transportation sector, increase access to electrification for
|
|
all consumers, and ensure that electric vehicle adoption and
|
increased electricity usage and demand do not place
|
significant additional burdens on the electric system and
|
create benefits for Illinois residents. |
(1) Illinois should increase the adoption of electric |
vehicles in the State to 1,000,000 by 2030. |
(2) Illinois should strive to be the best state in the |
nation in which to drive and manufacture electric |
vehicles. |
(3) Widespread adoption of electric vehicles is |
necessary to electrify the transportation sector, |
diversify the transportation fuel mix, drive economic |
development, and protect air quality. |
(4) Accelerating the adoption of electric vehicles |
will drive the decarbonization of Illinois' transportation |
sector. |
(5) Expanded infrastructure investment will help |
Illinois more rapidly decarbonize the transportation |
sector. |
(6) Statewide adoption of electric vehicles requires |
increasing access to electrification for all consumers. |
(7) Widespread adoption of electric vehicles requires |
increasing public access to charging equipment throughout |
Illinois, especially in low-income and environmental |
justice communities, where levels of air pollution burden |
tend to be higher. |
|
(8) Widespread adoption of electric vehicles and |
charging equipment has the potential to provide customers |
with fuel cost savings and electric utility customers with |
cost-saving benefits. |
(9) Widespread adoption of electric vehicles can |
improve an electric utility's electric system efficiency |
and operational flexibility, including the ability of the |
electric utility to integrate renewable energy resources |
and make use of off-peak generation resources that support |
the operation of charging equipment. |
(10) Widespread adoption of electric vehicles should |
stimulate innovation, competition, and increased choices |
in charging equipment and networks and should also attract |
private capital investments and create high-quality jobs |
in Illinois. |
(b) As used in this Section: |
"Agency" means the Environmental Protection Agency. |
"Beneficial electrification programs" means programs that
|
lower carbon dioxide emissions, replace fossil fuel use,
|
create cost savings, improve electric grid operations, reduce
|
increases to peak demand, improve electric usage load shape,
|
and align electric usage with times of renewable generation.
|
All beneficial electrification programs shall provide for
|
incentives such that customers are induced to use electricity
|
at times of low overall system usage or at times when
|
generation from renewable energy sources is high. "Beneficial
|
|
electrification programs" include a portfolio of the
|
following: |
(1) time-of-use electric rates; |
(2) hourly pricing electric rates; |
(3) optimized charging programs or programs that
|
encourage charging at times beneficial to the electric
|
grid; |
(4) optional demand-response programs specifically |
related to
electrification efforts; |
(5) incentives for electrification and associated
|
infrastructure tied to using electricity at off-peak |
times; |
(6) incentives for electrification and associated
|
infrastructure targeted to medium-duty and heavy-duty
|
vehicles used by transit agencies; |
(7) incentives for electrification and associated
|
infrastructure targeted to school buses; |
(8) incentives for electrification and associated
|
infrastructure for medium-duty and heavy-duty government
|
and private fleet vehicles; |
(9) low-income programs that provide access to
|
electric vehicles for communities where car ownership or
|
new car ownership is not common; |
(10) incentives for electrification in eligible |
communities; |
(11) incentives or programs to enable quicker adoption
|
|
of electric vehicles by developing public charging |
stations in dense areas, workplaces, and low-income |
communities; |
(12) incentives or programs to develop electric
|
vehicle infrastructure that minimizes range anxiety, |
filling the gaps in deployment,
particularly in rural |
areas and along highway corridors; |
(13) incentives to encourage the
development of |
electrification and
renewable energy generation in close |
proximity in order to reduce grid congestion; |
(14) offer support to low-income communities who are |
experiencing financial and accessibility barriers such |
that electric vehicle ownership is not an option;
and |
(15) other such programs as defined by the Commission. |
"Black, indigenous, and people of color" or "BIPOC" means |
people who are members of the groups described in |
subparagraphs (a) through (e) of paragraph (A) of subsection |
(1) of Section 2 of the Business Enterprise for Minorities, |
Women, and Persons with Disabilities Act. |
"Commission" means the Illinois Commerce Commission. |
"Coordinator" means the Electric Vehicle Coordinator. |
"Electric vehicle" means a vehicle that is exclusively |
powered by and refueled by electricity, must be plugged in to |
charge, and is licensed to drive on public roadways. "Electric |
vehicle" does not include electric mopeds, electric |
off-highway vehicles, or hybrid electric vehicles and |
|
extended-range electric vehicles that are also equipped with |
conventional fueled propulsion or auxiliary engines. |
"Electric vehicle charging station" means a station that |
delivers electricity from a source outside an electric vehicle |
into one or more electric vehicles. |
"Environmental justice communities" means the definition
|
of that term based on existing methodologies and findings,
|
used and as may be updated by the Illinois Power Agency and its
|
program administrator in the Illinois Solar for All Program. |
"Equity investment eligible community" or "eligible |
community" means the geographic areas throughout Illinois |
which would most benefit from equitable investments by the |
State designed to combat discrimination and foster sustainable |
economic growth. Specifically, "eligible community" means the |
following areas: |
(1) areas where residents have been historically |
excluded from economic opportunities, including |
opportunities in the energy sector, as defined pursuant to |
Section 10-40 of the Cannabis Regulation and Tax Act; and |
(2) areas where residents have been historically |
subject to disproportionate burdens of pollution, |
including pollution from the energy sector, as established |
by environmental justice communities as defined by the |
Illinois Power Agency pursuant to Illinois Power Agency |
Act, excluding any racial or ethnic indicators. |
"Equity investment eligible person" or "eligible person" |
|
means the persons who would most benefit from equitable |
investments by the State designed to combat discrimination and |
foster sustainable economic growth. Specifically, "eligible |
person" means the following people: |
(1) persons whose primary residence is in an equity |
investment eligible community; |
(2) persons who are graduates of or currently enrolled |
in the foster care system; or |
(3) persons who were formerly incarcerated. |
"Low-income" means persons and families whose income does
|
not exceed 80% of the state median income for the current State |
fiscal year as established by the U.S. Department of Health |
and Human Services. |
"Make-ready infrastructure" means the electrical and |
construction work necessary between the distribution circuit |
to the connection point of charging equipment. |
"Optimized charging programs" mean programs whereby owners
|
of electric vehicles can set their vehicles to be charged
|
based on the electric system's current demand, retail or |
wholesale market rates, incentives, the carbon or other
|
pollution intensity of the electric generation mix, the
|
provision of grid services, efficient use of the electric
|
grid, or the availability of clean energy generation.
|
Optimized charging programs may be operated by utilities as
|
well as third parties. |
(c) The Commission shall initiate a workshop process no |
|
later than November 30, 2021 for the purpose of soliciting |
input on the design of beneficial electrification programs |
that the
utility shall offer. The workshop shall be |
coordinated by the Staff of the Commission, or a facilitator |
retained by Staff, and shall be organized and facilitated in a |
manner that encourages representation from diverse |
stakeholders, including stakeholders representing |
environmental justice and low-income communities, and ensures |
equitable opportunities for participation, without requiring |
formal intervention or representation by an attorney. |
The stakeholder workshop process shall take into |
consideration the benefits of electric vehicle
adoption and |
barriers to adoption, including: |
(1) the benefit of lower bills for customers who do
|
not charge electric vehicles; |
(2) benefits to the
distribution system from electric |
vehicle usage; |
(3) the avoidance and reduction in capacity costs from
|
optimized charging and off-peak charging; |
(4) energy price and cost reductions; |
(5) environmental benefits, including greenhouse gas
|
emission and other pollution reductions; |
(6) current barriers to mass-market adoption,
|
including cost of ownership and availability of charging
|
stations; |
(7) current barriers to increasing access among |
|
populations that have limited access to electric vehicle |
ownership, communities significantly impacted by |
transportation-related pollution, and market segments that |
create disproportionate pollution impacts; |
(8) benefits of and incentives for medium-duty and
|
heavy-duty fleet vehicle electrification; |
(9) opportunities for eligible communities to benefit |
from electrification; |
(10) geographic areas and market segments that should |
be prioritized for electrification infrastructure |
investment. |
The workshops shall consider barriers, incentives,
|
enabling rate structures, and other opportunities for the
bill |
reduction and environmental benefits described in
this |
subsection. |
The workshop process shall conclude no later than February |
28, 2022. Following the workshop, the Staff of the Commission, |
or the facilitator retained by the Staff, shall prepare and |
submit a report, no later than March 31, 2022, to the |
Commission that includes, but is not limited to, |
recommendations for transportation electrification investment |
or incentives in the following areas: |
(i) publicly accessible Level 2 and fast-charging |
stations, with a focus on bringing access to |
transportation electrification in densely populated areas |
and workplaces within eligible communities; |
|
(ii) medium-duty and heavy-duty charging |
infrastructure used by government and private fleet |
vehicles that serve or travel through environmental |
justice or eligible communities; |
(iii) medium-duty and heavy-duty charging |
infrastructure used in school bus operations, whether |
private or public, that primarily serve governmental or |
educational institutions, and also serve or travel through |
environmental justice or eligible communities; |
(iv) public transit medium-duty and heavy-duty |
charging infrastructure, developed in consultation with |
public transportation agencies; and |
(v) publicly accessible Level 2 and fast-charging |
stations targeted to fill gaps in deployment, particularly |
in rural areas and along State highway corridors. |
The report must also identify the participants in the |
process, program designs proposed during the process, |
estimates of the costs and benefits of proposed programs, any |
material issues that remained unresolved at the conclusions of |
such process, and any recommendations for workshop process |
improvements. The report shall be used by the Commission to |
inform and evaluate the cost effectiveness and achievement of |
goals within the submitted Beneficial Electrification Plans. |
(d) No later than July 1, 2022, electric utilities serving
|
greater than 500,000 customers in the State shall file a
|
Beneficial Electrification Plan with the Illinois Commerce
|
|
Commission for programs that start no later than January 1,
|
2023. The plan shall take into consideration recommendations |
from the workshop report described in this Section. Within 45 |
days after the filing of the Beneficial Electrification Plan, |
the Commission shall, with reasonable notice, open an |
investigation to consider whether the plan meets the |
objectives and contains the information required by this |
Section. The Commission shall determine if the proposed plan |
is cost-beneficial and in the public interest. When |
considering if the plan is in the public interest and |
determining appropriate levels of cost recovery for |
investments and expenditures related to programs proposed by |
an electric utility, the Commission shall consider whether the |
investments and other expenditures are designed and reasonably |
expected to: |
(1) maximize total energy cost savings and rate |
reductions so that nonparticipants can benefit; |
(2) address environmental justice interests by |
ensuring there are significant opportunities for residents |
and businesses in eligible communities to directly |
participate in and benefit from beneficial electrification |
programs; |
(3) support at least a 40% investment of make-ready |
infrastructure incentives to facilitate the rapid |
deployment of charging equipment in or serving |
environmental justice, low-income, and eligible |
|
communities; however, nothing in this subsection is |
intended to require a specific amount of spending in a |
particular geographic area; |
(4) support at least a 5% investment target in |
electrifying medium-duty and heavy-duty school bus and |
diesel public transportation vehicles located in or |
serving environmental justice, low-income, and eligible |
communities in order to provide those communities and |
businesses with greater economic investment, |
transportation opportunities, and a cleaner environment so |
they can directly benefit from transportation |
electrification efforts; however, nothing in this |
subsection is intended to require a specific amount of |
spending in a particular geographic area; |
(5) stimulate innovation, competition, private |
investment, and increased consumer choices in electric |
vehicle charging equipment and networks; |
(6) contribute to the reduction of carbon emissions |
and meeting air quality standards, including improving air |
quality in eligible communities who disproportionately |
suffer from emissions from the medium-duty and heavy-duty |
transportation sector; |
(7) support the efficient and cost-effective use of |
the electric grid in a manner that supports electric |
vehicle charging operations; and |
(8) provide resources to support private investment in |
|
charging equipment for uses in public and private charging |
applications, including residential, multi-family, fleet, |
transit, community, and corridor applications. |
The plan shall be determined to be cost-beneficial if the |
total cost of beneficial electrification expenditures is less |
than the net present value of increased electricity costs |
(defined as marginal avoided energy, avoided capacity, and |
avoided transmission and
distribution system costs) avoided by |
programs under the plan, the net present value of reductions |
in other customer energy costs, net revenue from all electric |
charging in the service territory, and the societal value of |
reduced carbon emissions and surface-level pollutants, |
particularly in environmental justice communities. The |
calculation of costs and benefits should be based on net |
impacts, including the impact on customer rates. |
The Commission shall approve, approve with modifications, |
or reject the plan within 270 days from the date of filing. The |
Commission may approve the plan if it finds that the plan will |
achieve the goals described in this Section and contains the |
information described in this Section. Proceedings under this |
Section shall proceed according to the rules provided by |
Article IX of the Public Utilities Act. Information contained |
in the approved plan shall be considered part of the record in |
any Commission proceeding under Section 16-107.6 of the Public |
Utilities Act, provided that a final order has not been |
entered prior to the initial filing date. The Beneficial |
|
Electrification Plan shall specifically
address, at a minimum, |
the following: |
(i) make-ready investments to facilitate the rapid |
deployment of charging equipment throughout the State, |
facilitate the electrification of public transit and other |
vehicle fleets in the light-duty, medium-duty, and |
heavy-duty sectors, and align with Agency-issued rebates |
for charging equipment; |
(ii) the development and implementation of beneficial |
electrification programs, including time-of-use
rates and |
their benefit for electric vehicle users and for
all |
customers, optimized charging programs to
achieve savings |
identified, and new contracts and
compensation for |
services in those programs, through
signals that allow |
electric vehicle charging to respond to
local system |
conditions, manage critical peak periods,
serve as a |
demand response or peak resource, and maximize
renewable |
energy use and integration into the grid; |
(iii) optional commercial tariffs utilizing |
alternatives to traditional demand-based rate structures |
to facilitate charging for light-duty, heavy-duty, light |
duty, heavy duty, and fleet electric vehicles; |
(iv) financial and other challenges to electric |
vehicle
usage in low-income communities, and strategies |
for overcoming those challenges, particularly in |
communities where
and for people for whom car ownership is |
|
not an option; |
(v) methods of minimizing ratepayer impacts and |
exempting or minimizing, to the extent possible, |
low-income ratepayers from the costs associated with |
facilitating the expansion of electric vehicle charging; |
(vi) plans to increase access to Level 3 Public
|
Electric Vehicle Charging Infrastructure to serve vehicles |
that need quicker charging times and vehicles of persons |
who have no
other access to charging infrastructure, |
regardless of
whether those projects participate in |
optimized charging
programs; |
(vii) whether to establish charging standards for type |
of plugs eligible for investment or incentive programs, |
and if so, what standards; |
(viii) opportunities for coordination and cohesion |
with
electric vehicle and electric vehicle charging |
equipment
incentives established by any agency, |
department, board,
or commission of the State, any other |
unit of
government in the State, any national programs, or |
any
unit of the federal government; |
(ix) ideas for the development of online tools,
|
applications, and data sharing that provide essential
|
information to those charging electric vehicles, and
|
enable an automated charging response to price signals,
|
emission signals, real-time renewable generation
|
production, and other Commission-approved or
|
|
customer-desired indicators of beneficial charging times;
|
and |
(x) customer education, outreach, and incentive |
programs that increase awareness of the programs and the |
benefits of transportation electrification, including |
direct outreach to eligible communities . ; |
(e) Proceedings under this Section shall proceed according |
to the rules provided by Article IX of the Public Utilities |
Act. Information contained in the approved plan shall be |
considered part of the record in any Commission proceeding |
under Section 16-107.6 of the Public Utilities Act, provided |
that a final order has not been entered prior to the initial |
filing date. |
(f) The utility shall file an update to the plan on July 1, |
2024 and every 3 years thereafter. This update shall describe |
transportation investments made during the prior plan period, |
investments planned for the following 24 months, and updates |
to the information required by this Section. Beginning with |
the first update, the utility shall develop the plan in |
conjunction with the distribution system planning process |
described in Section 16-105.17, including incorporation of |
stakeholder feedback from that process. |
(g) Within 35 days after the utility files its report, the |
Commission shall, upon its own initiative, open an |
investigation regarding the utility's plan update to |
investigate whether the objectives described in this Section |
|
are being achieved. The Commission shall determine whether |
investment targets should be increased based on achievement of |
spending goals outlined in the Beneficial Electrification Plan |
and consistency with outcomes directed in the plan stakeholder |
workshop report. If the Commission finds, after notice and |
hearing, that the utility's plan is materially deficient, the |
Commission shall issue an order requiring the utility to |
devise a corrective action plan, subject to Commission |
approval, to bring the plan into compliance with the goals of |
this Section. The Commission's order shall be entered within |
270 days after the utility files its annual report.
The |
contents of a plan filed under this Section shall be available |
for evidence in Commission proceedings. However, omission from |
an approved plan shall not render any future utility |
expenditure to be considered unreasonable or imprudent. The |
Commission may, upon sufficient evidence, allow expenditures |
that were not part of any particular distribution plan.
The |
Commission shall consider revenues from electric vehicles in |
the utility's service territory in evaluating the retail rate |
impact. The retail rate impact from the development of |
electric vehicle infrastructure shall not exceed 1% per year |
of the total annual revenue requirements of the utility. |
(h) In meeting the requirements of this Section, the |
utility shall demonstrate efforts to increase the use of |
contractors and electric vehicle charging station installers |
that meet multiple workforce equity actions, including, but |
|
not limited to: |
(1) the business is headquartered in or the person |
resides in an eligible community; |
(2) the business is majority owned by eligible person |
or the contractor is an eligible person; |
(3) the business or person is certified by another |
municipal, State, federal, or other certification for |
disadvantaged businesses; |
(4) the business or person meets the eligibility |
criteria for a certification program such as: |
(A) certified under Section 2 of the Business |
Enterprise for Minorities, Women, and Persons with |
Disabilities Act; |
(B) certified by another municipal, State, |
federal, or other certification for disadvantaged |
businesses; |
(C) submits an affidavit showing that the
vendor |
meets the eligibility criteria for a
certification |
program such as those in items (A) and
(B); or |
(D) if the vendor is a nonprofit, meets any of the |
criteria in those in item (A), (B), or (C) with the |
exception that the nonprofit is not required to meet |
any criteria related to being a for-profit entity, or |
is controlled by a board of directors that consists of |
51% or greater individuals who are equity investment |
eligible persons; or |
|
(E) ensuring that program implementation |
contractors and electric vehicle charging station |
installers pay employees working on electric vehicle |
charging installations at or above the prevailing wage |
rate as published by the Department of Labor. |
Utilities shall establish reporting procedures for vendors |
that ensure compliance with this subsection, but are |
structured to avoid, wherever possible, placing an undue |
administrative burden on vendors. |
(i) Program data collection. |
(1) In order to ensure that the benefits provided to |
Illinois residents and business by the clean energy |
economy are equitably distributed across the State, it is |
necessary to accurately measure the applicants and |
recipients of this Program. The purpose of this paragraph |
is to require the implementing utilities to collect all |
data from Program applicants and beneficiaries to track |
and improve equitable distribution of benefits across |
Illinois communities. The further purpose is to measure |
any potential impact of racial discrimination on the |
distribution of benefits and provide the utilities the |
information necessary to correct any discrimination |
through methods consistent with State and federal law. |
(2) The implementing utilities shall collect |
demographic and geographic data for each applicant and |
each person or business awarded benefits or contracts |
|
under this Program. |
(3) The implementing utilities shall collect the |
following information from applicants and Program or |
procurement beneficiaries where applicable: |
(A) demographic information, including racial or |
ethnic identity for real persons employed, contracted, |
or subcontracted through the program; |
(B) demographic information, including racial or |
ethnic identity of business owners; |
(C) geographic location of the residency of real |
persons or geographic location of the headquarters for |
businesses; and |
(D) any other information necessary for the |
purpose of achieving the purpose of this paragraph. |
(4) The utility shall publish, at least annually, |
aggregated information on the demographics of program and |
procurement applicants and beneficiaries. The utilities |
shall protect personal and confidential business |
information as necessary. |
(5) The utilities shall conduct a regular review |
process to confirm the accuracy of reported data. |
(6) On a quarterly basis, utilities shall collect data |
necessary to ensure compliance with this Section and shall |
communicate progress toward compliance to program |
implementation contractors and electric vehicle charging |
station installation vendors. |
|
(7) Utilities filing Beneficial Electrification Plans |
under this Section shall report annually to the Illinois |
Commerce Commission and the General Assembly on how |
hiring, contracting, job training, and other practices |
related to its Beneficial electrification programs enhance |
the diversity of vendors working on such programs. These |
reports must include data on vendor and employee |
diversity. |
(j) The provisions of this Section are severable under |
Section 1.31 of the Statute on Statutes.
|
(Source: P.A. 102-662, eff. 9-15-21; 102-820, eff. 5-13-22; |
revised 9-14-22.)
|
Section 80. The Renewable Energy, Energy Efficiency, and |
Coal Resources
Development Law of 1997 is amended by changing |
Section 6-5 as follows:
|
(20 ILCS 687/6-5)
|
(Section scheduled to be repealed on December 31, 2025)
|
Sec. 6-5. Renewable Energy Resources and Coal Technology
|
Development Assistance Charge. |
(a) Notwithstanding the provisions of Section 16-111 of |
the Public
Utilities
Act but subject to subsection (e) of this |
Section,
each
public utility, electric cooperative, as defined |
in Section 3.4 of the Electric
Supplier
Act, and municipal |
utility, as referenced in Section 3-105 of the Public
|
|
Utilities Act,
that is engaged in the delivery of electricity |
or the distribution of natural
gas within
the State of |
Illinois shall, effective January 1, 1998, assess each of its
|
customer
accounts a monthly Renewable Energy Resources and |
Coal Technology
Development Assistance Charge. The delivering |
public utility, municipal
electric or
gas utility, or electric |
or gas cooperative for a self-assessing purchaser
remains
|
subject to the collection of the fee imposed by this Section. |
The monthly
charge
shall be as follows:
|
(1) $0.05 per month on each account for residential
|
electric service as defined in Section 13 of the Energy
|
Assistance Act;
|
(2) $0.05 per month on each account for residential
|
gas service as defined in Section 13 of the
Energy |
Assistance Act;
|
(3) $0.50 per month on each account for
nonresidential |
electric service, as defined in Section 13
of the Energy |
Assistance Act, which had less than 10
megawatts of peak |
demand during the previous calendar
year;
|
(4) $0.50 per month on each account for
nonresidential |
gas service, as defined in Section 13 of
the Energy |
Assistance Act, which had distributed to it
less than |
4,000,000
therms of gas during the previous calendar year;
|
(5) $37.50 per month on each account for
|
nonresidential electric service, as defined in Section 13
|
of the Energy Assistance Act, which had 10 megawatts
or |
|
greater of peak demand during the previous calendar
year; |
and
|
(6) $37.50 per month on each account for
|
nonresidential gas service, as defined in Section 13 of
|
the Energy Assistance Act, which had 4,000,000 or
more |
therms of gas distributed to it during the previous
|
calendar year.
|
(b) The Renewable Energy Resources and Coal Technology |
Development
Assistance
Charge assessed by electric and gas |
public utilities shall be considered a
charge
for public |
utility service.
|
(c) Fifty percent of the moneys collected pursuant to
this |
Section shall be deposited in the Renewable Energy
Resources |
Trust Fund by the Department of Revenue. From those funds, |
$2,000,000 may be used annually by the Environmental |
Protection Agency to provide grants to the Illinois Green |
Economy Network for the purposes of funding education and |
training for renewable energy and energy efficiency technology |
and for the operation and services of the Illinois Green |
Economy Network. The remaining 50 percent
of the moneys
|
collected pursuant to this Section shall be deposited in the
|
Coal Technology Development Assistance Fund by the Department |
of Revenue
for the exclusive purposes of (1) capturing or |
sequestering carbon emissions produced by coal combustion; (2) |
supporting research on the capture and sequestration of carbon |
emissions produced by coal combustion; and (3) improving coal |
|
miner safety.
|
(d) By the 20th day of the month following the month in |
which the charges
imposed by this Section were collected, each |
utility
and alternative retail electric
supplier collecting |
charges
pursuant to this Section shall remit
to the Department |
of Revenue for deposit in the
Renewable Energy Resources Trust |
Fund and the Coal Technology Development
Assistance Fund all
|
moneys received as payment of the charge provided for in this
|
Section on a return prescribed and furnished by the Department |
of Revenue
showing such information as the Department of |
Revenue may reasonably require.
|
If any payment provided for in this Section exceeds the |
utility or alternative alternate retail electric supplier's |
liabilities under this Act, as shown on an original return, |
the utility or alternative retail electric supplier may credit |
the excess payment against liability subsequently to be |
remitted to the Department of Revenue under this Act. |
(e) The charges imposed by this Section shall only apply
|
to customers of municipal electric or gas utilities and |
electric or gas
cooperatives if the municipal electric or gas |
utility or electric or
gas
cooperative makes an affirmative |
decision to impose the
charge.
If a municipal electric or gas |
utility or an electric or gas cooperative
makes an
affirmative |
decision to impose the charge provided by this Section, the
|
municipal
electric or gas utility or electric or gas |
cooperative shall inform the
Department of
Revenue in writing |
|
of such decision when it begins to impose the charge.
If a |
municipal electric or gas utility or electric or gas
|
cooperative does not assess this charge, its customers shall
|
not be eligible for the Renewable Energy Resources Program.
|
(f) The Department of Revenue may establish such rules as |
it deems
necessary to implement this Section.
|
(Source: P.A. 102-444, eff. 8-20-21; revised 9-13-22.)
|
Section 85. The Financial Institutions Code is amended by |
changing Section 6 as follows:
|
(20 ILCS 1205/6)
|
Sec. 6. General powers and duties. In addition to the |
powers and duties provided by law and imposed elsewhere in |
this Act, the Division
has the following powers and duties:
|
(1) To administer and enforce the Consumer Installment |
Loan Act and its implementing rules.
|
(2) To administer and enforce the Currency Exchange |
Act and its implementing rules. the Currency Exchange Act
|
(3) To administer and enforce the Debt Management |
Service Act and its implementing rules.
|
(4) To administer and enforce the Debt Settlement |
Consumer Protection Act and its implementing rules.
|
(5) To administer and enforce the Illinois Development |
Credit Corporation Act and its implementing rules.
|
(6) To administer and enforce the Payday Loan Reform |
|
Act and its implementing rules. the Safety Deposit License |
Act
|
(7) To administer and enforce the Safety Deposit |
License Act and its implementing rules.
|
(8) To administer and enforce the Sales Finance Agency |
Act and its implementing rules.
|
(9) To administer and enforce the Title Insurance Act |
and its implementing rules. |
(10) To administer and enforce the Transmitters of |
Money Act and its implementing rules. |
(11) To administer and enforce the Predatory Loan |
Prevention Act and its implementing rules. |
(12) To administer and enforce the Motor Vehicle |
Retail Installment Sales Act and its implementing rules. |
(13) To administer and enforce the Retail Installment |
Sales Act and its implementing rules. |
(14) To administer and enforce the Illinois Credit |
Union Act and its implementing rules. |
(15) To administer and enforce the Collection Agency |
Act and its implementing rules. |
(16) To administer and enforce any other Act |
administered by the Director or Division. |
(17) If the Division 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, to obtain from the Illinois |
|
State Police, upon request and payment of the fees |
required by the Illinois State Police Law of the Civil |
Administrative Code of Illinois, pursuant to positive |
identification, such information contained in State files |
as is necessary to carry out the duties of the Division. |
(18) To authorize and administer examinations to |
ascertain the qualifications of applicants and licensees |
for which the examination is held. |
(19) To conduct hearings in proceedings to revoke, |
suspend, refuse to renew, or take other disciplinary |
action regarding licenses, charters, certifications, |
registrations, or authorities of persons as authorized in |
any Act administered by the Division. |
(Source: P.A. 101-658, eff. 3-23-21; 102-538, eff. 8-20-21; |
102-813, eff. 5-13-22; 102-975, eff. 1-1-23; revised |
12-13-22.)
|
Section 90. The Department of Human Services Act is |
amended by changing Section 1-17 and by setting forth and |
renumbering multiple versions of Section 1-75 as follows:
|
(20 ILCS 1305/1-17)
|
Sec. 1-17. Inspector General. |
(a) Nature and purpose. It is the express intent of the |
General Assembly to ensure the health, safety, and financial |
condition of individuals receiving services in this State due |
|
to mental illness, developmental disability, or both by |
protecting those persons from acts of abuse, neglect, or both |
by service providers. To that end, the Office of the Inspector |
General for the Department of Human Services is created to |
investigate and report upon allegations of the abuse, neglect, |
or financial exploitation of individuals receiving services |
within mental health facilities, developmental disabilities |
facilities, and community agencies operated, licensed, funded, |
or certified by the Department of Human Services, but not |
licensed or certified by any other State agency. |
(b) Definitions. The following definitions apply to this |
Section: |
"Agency" or "community agency" means (i) a community |
agency licensed, funded, or certified by the Department, but |
not licensed or certified by any other human services agency |
of the State, to provide mental health service or |
developmental disabilities service, or (ii) a program |
licensed, funded, or certified by the Department, but not |
licensed or certified by any other human services agency of |
the State, to provide mental health service or developmental |
disabilities service. |
"Aggravating circumstance" means a factor that is |
attendant to a finding and that tends to compound or increase |
the culpability of the accused. |
"Allegation" means an assertion, complaint, suspicion, or |
incident involving any of the following conduct by an |
|
employee, facility, or agency against an individual or |
individuals: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. |
"Day" means working day, unless otherwise specified. |
"Deflection" means a situation in which an individual is |
presented for admission to a facility or agency, and the |
facility staff or agency staff do not admit the individual. |
"Deflection" includes triage, redirection, and denial of |
admission. |
"Department" means the Department of Human Services. |
"Developmental disability" means "developmental |
disability" as defined in the Mental Health and Developmental |
Disabilities Code. |
"Egregious neglect" means a finding of neglect as |
determined by the Inspector General that (i) represents a |
gross failure to adequately provide for, or a callused |
indifference to, the health, safety, or medical needs of an |
individual and (ii) results in an individual's death or other |
serious deterioration of an individual's physical condition or |
mental condition. |
"Employee" means any person who provides services at the |
facility or agency on-site or off-site. The service |
relationship can be with the individual or with the facility |
or agency. Also, "employee" includes any employee or |
contractual agent of the Department of Human Services or the |
community agency involved in providing or monitoring or |
|
administering mental health or developmental disability |
services. This includes but is not limited to: owners, |
operators, payroll personnel, contractors, subcontractors, and |
volunteers. |
"Facility" or "State-operated facility" means a mental |
health facility or developmental disabilities facility |
operated by the Department. |
"Financial exploitation" means taking unjust advantage of |
an individual's assets, property, or financial resources |
through deception, intimidation, or conversion for the |
employee's, facility's, or agency's own advantage or benefit. |
"Finding" means the Office of Inspector General's |
determination regarding whether an allegation is |
substantiated, unsubstantiated, or unfounded. |
"Health Care Worker Registry" or "Registry" means the |
Health Care Worker Registry under the Health Care Worker |
Background Check Act. |
"Individual" means any person receiving mental health |
service, developmental disabilities service, or both from a |
facility or agency, while either on-site or off-site. |
"Mental abuse" means the use of demeaning, intimidating, |
or threatening words, signs, gestures, or other actions by an |
employee about an individual and in the presence of an |
individual or individuals that results in emotional distress |
or maladaptive behavior, or could have resulted in emotional |
distress or maladaptive behavior, for any individual present. |
|
"Mental illness" means "mental illness" as defined in the |
Mental Health and Developmental Disabilities Code. |
"Mentally ill" means having a mental illness. |
"Mitigating circumstance" means a condition that (i) is |
attendant to a finding, (ii) does not excuse or justify the |
conduct in question, but (iii) may be considered in evaluating |
the severity of the conduct, the culpability of the accused, |
or both the severity of the conduct and the culpability of the |
accused. |
"Neglect" means an employee's, agency's, or facility's |
failure to provide adequate medical care, personal care, or |
maintenance and that, as a consequence, (i) causes an |
individual pain, injury, or emotional distress, (ii) results |
in either an individual's maladaptive behavior or the |
deterioration of an individual's physical condition or mental |
condition, or (iii) places the individual's health or safety |
at substantial risk. |
"Person with a developmental disability" means a person |
having a developmental disability. |
"Physical abuse" means an employee's non-accidental and |
inappropriate contact with an individual that causes bodily |
harm. "Physical abuse" includes actions that cause bodily harm |
as a result of an employee directing an individual or person to |
physically abuse another individual. |
"Recommendation" means an admonition, separate from a |
finding, that requires action by the facility, agency, or |
|
Department to correct a systemic issue, problem, or deficiency |
identified during an investigation. |
"Required reporter" means any employee who suspects, |
witnesses, or is informed of an allegation of any one or more |
of the following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. |
"Secretary" means the Chief Administrative Officer of the |
Department. |
"Sexual abuse" means any sexual contact or intimate |
physical contact between an employee and an individual, |
including an employee's coercion or encouragement of an |
individual to engage in sexual behavior that results in sexual |
contact, intimate physical contact, sexual behavior, or |
intimate physical behavior. Sexual abuse also includes (i) an |
employee's actions that result in the sending or showing of |
sexually explicit images to an individual via computer, |
cellular phone, electronic mail, portable electronic device, |
or other media with or without contact with the individual or |
(ii) an employee's posting of sexually explicit images of an |
individual online or elsewhere whether or not there is contact |
with the individual. |
"Sexually explicit images" includes, but is not limited |
to, any material which depicts nudity, sexual conduct, or |
sado-masochistic abuse, or which contains explicit and |
detailed verbal descriptions or narrative accounts of sexual |
excitement, sexual conduct, or sado-masochistic abuse. |
|
"Substantiated" means there is a preponderance of the |
evidence to support the allegation. |
"Unfounded" means there is no credible evidence to support |
the allegation. |
"Unsubstantiated" means there is credible evidence, but |
less than a preponderance of evidence to support the |
allegation. |
(c) Appointment. The Governor shall appoint, and the |
Senate shall confirm, an Inspector General. The Inspector |
General shall be appointed for a term of 4 years and shall |
function within the Department of Human Services and report to |
the Secretary and the Governor. |
(d) Operation and appropriation. The Inspector General |
shall function independently within the Department with |
respect to the operations of the Office, including the |
performance of investigations and issuance of findings and |
recommendations. The appropriation for the Office of Inspector |
General shall be separate from the overall appropriation for |
the Department. |
(e) Powers and duties. The Inspector General shall |
investigate reports of suspected mental abuse, physical abuse, |
sexual abuse, neglect, or financial exploitation of |
individuals in any mental health or developmental disabilities |
facility or agency and shall have authority to take immediate |
action to prevent any one or more of the following from |
happening to individuals under its jurisdiction: mental abuse, |
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physical abuse, sexual abuse, neglect, or financial |
exploitation. Upon written request of an agency of this State, |
the Inspector General may assist another agency of the State |
in investigating reports of the abuse, neglect, or abuse and |
neglect of persons with mental illness, persons with |
developmental disabilities, or persons with both. To comply |
with the requirements of subsection (k) of this Section, the |
Inspector General shall also review all reportable deaths for |
which there is no allegation of abuse or neglect. Nothing in |
this Section shall preempt any duties of the Medical Review |
Board set forth in the Mental Health and Developmental |
Disabilities Code. The Inspector General shall have no |
authority to investigate alleged violations of the State |
Officials and Employees Ethics Act. Allegations of misconduct |
under the State Officials and Employees Ethics Act shall be |
referred to the Office of the Governor's Executive Inspector |
General for investigation. |
(f) Limitations. The Inspector General shall not conduct |
an investigation within an agency or facility if that |
investigation would be redundant to or interfere with an |
investigation conducted by another State agency. The Inspector |
General shall have no supervision over, or involvement in, the |
routine programmatic, licensing, funding, or certification |
operations of the Department. Nothing in this subsection |
limits investigations by the Department that may otherwise be |
required by law or that may be necessary in the Department's |
|
capacity as central administrative authority responsible for |
the operation of the State's mental health and developmental |
disabilities facilities. |
(g) Rulemaking authority. The Inspector General shall |
promulgate rules establishing minimum requirements for |
reporting allegations as well as for initiating, conducting, |
and completing investigations based upon the nature of the |
allegation or allegations. The rules shall clearly establish |
that if 2 or more State agencies could investigate an |
allegation, the Inspector General shall not conduct an |
investigation that would be redundant to, or interfere with, |
an investigation conducted by another State agency. The rules |
shall further clarify the method and circumstances under which |
the Office of Inspector General may interact with the |
licensing, funding, or certification units of the Department |
in preventing further occurrences of mental abuse, physical |
abuse, sexual abuse, neglect, egregious neglect, and financial |
exploitation. |
(h) Training programs. The Inspector General shall (i) |
establish a comprehensive program to ensure that every person |
authorized to conduct investigations receives ongoing training |
relative to investigation techniques, communication skills, |
and the appropriate means of interacting with persons |
receiving treatment for mental illness, developmental |
disability, or both mental illness and developmental |
disability, and (ii) establish and conduct periodic training |
|
programs for facility and agency employees concerning the |
prevention and reporting of any one or more of the following: |
mental abuse, physical abuse, sexual abuse, neglect, egregious |
neglect, or financial exploitation. The Inspector General |
shall further ensure (i) every person authorized to conduct |
investigations at community agencies receives ongoing training |
in Title 59, Parts 115, 116, and 119 of the Illinois |
Administrative Code, and (ii) every person authorized to |
conduct investigations shall receive ongoing training in Title |
59, Part 50 of the Illinois Administrative Code. Nothing in |
this Section shall be deemed to prevent the Office of |
Inspector General from conducting any other training as |
determined by the Inspector General to be necessary or |
helpful. |
(i) Duty to cooperate. |
(1) The Inspector General shall at all times be |
granted access to any facility or agency for the purpose |
of investigating any allegation, conducting unannounced |
site visits, monitoring compliance with a written |
response, or completing any other statutorily assigned |
duty. The Inspector General shall conduct unannounced site |
visits to each facility at least annually for the purpose |
of reviewing and making recommendations on systemic issues |
relative to preventing, reporting, investigating, and |
responding to all of the following: mental abuse, physical |
abuse, sexual abuse, neglect, egregious neglect, or |
|
financial exploitation. |
(2) Any employee who fails to cooperate with an Office |
of the Inspector General investigation is in violation of |
this Act. Failure to cooperate with an investigation |
includes, but is not limited to, any one or more of the |
following: (i) creating and transmitting a false report to |
the Office of the Inspector General hotline, (ii) |
providing false information to an Office of the Inspector |
General Investigator during an investigation, (iii) |
colluding with other employees to cover up evidence, (iv) |
colluding with other employees to provide false |
information to an Office of the Inspector General |
investigator, (v) destroying evidence, (vi) withholding |
evidence, or (vii) otherwise obstructing an Office of the |
Inspector General investigation. Additionally, any |
employee who, during an unannounced site visit or written |
response compliance check, fails to cooperate with |
requests from the Office of the Inspector General is in |
violation of this Act. |
(j) Subpoena powers. The Inspector General shall have the |
power to subpoena witnesses and compel the production of all |
documents and physical evidence relating to his or her |
investigations and any hearings authorized by this Act. This |
subpoena power shall not extend to persons or documents of a |
labor organization or its representatives insofar as the |
persons are acting in a representative capacity to an employee |
|
whose conduct is the subject of an investigation or the |
documents relate to that representation. Any person who |
otherwise fails to respond to a subpoena or who knowingly |
provides false information to the Office of the Inspector |
General by subpoena during an investigation is guilty of a |
Class A misdemeanor. |
(k) Reporting allegations and deaths. |
(1) Allegations. If an employee witnesses, is told of, |
or has reason to believe an incident of mental abuse, |
physical abuse, sexual abuse, neglect, or financial |
exploitation has occurred, the employee, agency, or |
facility shall report the allegation by phone to the |
Office of the Inspector General hotline according to the |
agency's or facility's procedures, but in no event later |
than 4 hours after the initial discovery of the incident, |
allegation, or suspicion of any one or more of the |
following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. A required reporter as |
defined in subsection (b) of this Section who knowingly or |
intentionally fails to comply with these reporting |
requirements is guilty of a Class A misdemeanor. |
(2) Deaths. Absent an allegation, a required reporter |
shall, within 24 hours after initial discovery, report by |
phone to the Office of the Inspector General hotline each |
of the following: |
(i) Any death of an individual occurring within 14 |
|
calendar days after discharge or transfer of the |
individual from a residential program or facility. |
(ii) Any death of an individual occurring within |
24 hours after deflection from a residential program |
or facility. |
(iii) Any other death of an individual occurring |
at an agency or facility or at any Department-funded |
site. |
(3) Retaliation. It is a violation of this Act for any |
employee or administrator of an agency or facility to take |
retaliatory action against an employee who acts in good |
faith in conformance with his or her duties as a required |
reporter. |
(l) Reporting to law enforcement. Reporting criminal acts. |
Within 24 hours after determining that there is credible |
evidence indicating that a criminal act may have been |
committed or that special expertise may be required in an |
investigation, the Inspector General shall notify the Illinois |
State Police or other appropriate law enforcement authority, |
or ensure that such notification is made. The Illinois State |
Police shall investigate any report from a State-operated |
facility indicating a possible murder, sexual assault, or |
other felony by an employee. All investigations conducted by |
the Inspector General shall be conducted in a manner designed |
to ensure the preservation of evidence for possible use in a |
criminal prosecution. |
|
(m) Investigative reports. Upon completion of an |
investigation, the Office of Inspector General shall issue an |
investigative report identifying whether the allegations are |
substantiated, unsubstantiated, or unfounded. Within 10 |
business days after the transmittal of a completed |
investigative report substantiating an allegation, finding an |
allegation is unsubstantiated, or if a recommendation is made, |
the Inspector General shall provide the investigative report |
on the case to the Secretary and to the director of the |
facility or agency where any one or more of the following |
occurred: mental abuse, physical abuse, sexual abuse, neglect, |
egregious neglect, or financial exploitation. The director of |
the facility or agency shall be responsible for maintaining |
the confidentiality of the investigative report consistent |
with State and federal law. In a substantiated case, the |
investigative report shall include any mitigating or |
aggravating circumstances that were identified during the |
investigation. If the case involves substantiated neglect, the |
investigative report shall also state whether egregious |
neglect was found. An investigative report may also set forth |
recommendations. All investigative reports prepared by the |
Office of the Inspector General shall be considered |
confidential and shall not be released except as provided by |
the law of this State or as required under applicable federal |
law. Unsubstantiated and unfounded reports shall not be |
disclosed except as allowed under Section 6 of the Abused and |
|
Neglected Long Term Care Facility Residents Reporting Act. Raw |
data used to compile the investigative report shall not be |
subject to release unless required by law or a court order. |
"Raw data used to compile the investigative report" includes, |
but is not limited to, any one or more of the following: the |
initial complaint, witness statements, photographs, |
investigator's notes, police reports, or incident reports. If |
the allegations are substantiated, the victim, the victim's |
guardian, and the accused shall be provided with a redacted |
copy of the investigative report. Death reports where there |
was no allegation of abuse or neglect shall only be released |
pursuant to applicable State or federal law or a valid court |
order. Unredacted investigative reports, as well as raw data, |
may be shared with a local law enforcement entity, a State's |
Attorney's office, or a county coroner's office upon written |
request. |
(n) Written responses, clarification requests, and |
reconsideration requests. |
(1) Written responses. Within 30 calendar days from |
receipt of a substantiated investigative report or an |
investigative report which contains recommendations, |
absent a reconsideration request, the facility or agency |
shall file a written response that addresses, in a concise |
and reasoned manner, the actions taken to: (i) protect the |
individual; (ii) prevent recurrences; and (iii) eliminate |
the problems identified. The response shall include the |
|
implementation and completion dates of such actions. If |
the written response is not filed within the allotted 30 |
calendar day period, the Secretary shall determine the |
appropriate corrective action to be taken. |
(2) Requests for clarification. The facility, agency, |
victim or guardian, or the subject employee may request |
that the Office of Inspector General clarify the finding |
or findings for which clarification is sought. |
(3) Requests for reconsideration. The facility, |
agency, victim or guardian, or the subject employee may |
request that the Office of the Inspector General |
reconsider the finding or findings or the recommendations. |
A request for reconsideration shall be subject to a |
multi-layer review and shall include at least one reviewer |
who did not participate in the investigation or approval |
of the original investigative report. After the |
multi-layer review process has been completed, the |
Inspector General shall make the final determination on |
the reconsideration request. The investigation shall be |
reopened if the reconsideration determination finds that |
additional information is needed to complete the |
investigative record. |
(o) Disclosure of the finding by the Inspector General. |
The Inspector General shall disclose the finding of an |
investigation to the following persons: (i) the Governor, (ii) |
the Secretary, (iii) the director of the facility or agency, |
|
(iv) the alleged victims and their guardians, (v) the |
complainant, and (vi) the accused. This information shall |
include whether the allegations were deemed substantiated, |
unsubstantiated, or unfounded. |
(p) Secretary review. Upon review of the Inspector |
General's investigative report and any agency's or facility's |
written response, the Secretary shall accept or reject the |
written response and notify the Inspector General of that |
determination. The Secretary may further direct that other |
administrative action be taken, including, but not limited to, |
any one or more of the following: (i) additional site visits, |
(ii) training, (iii) provision of technical assistance |
relative to administrative needs, licensure, or certification, |
or (iv) the imposition of appropriate sanctions. |
(q) Action by facility or agency. Within 30 days of the |
date the Secretary approves the written response or directs |
that further administrative action be taken, the facility or |
agency shall provide an implementation report to the Inspector |
General that provides the status of the action taken. The |
facility or agency shall be allowed an additional 30 days to |
send notice of completion of the action or to send an updated |
implementation report. If the action has not been completed |
within the additional 30-day period, the facility or agency |
shall send updated implementation reports every 60 days until |
completion. The Inspector General shall conduct a review of |
any implementation plan that takes more than 120 days after |
|
approval to complete, and shall monitor compliance through a |
random review of approved written responses, which may |
include, but are not limited to: (i) site visits, (ii) |
telephone contact, and (iii) requests for additional |
documentation evidencing compliance. |
(r) Sanctions. Sanctions, if imposed by the Secretary |
under Subdivision (p)(iv) of this Section, shall be designed |
to prevent further acts of mental abuse, physical abuse, |
sexual abuse, neglect, egregious neglect, or financial |
exploitation or some combination of one or more of those acts |
at a facility or agency, and may include any one or more of the |
following: |
(1) Appointment of on-site monitors. |
(2) Transfer or relocation of an individual or |
individuals. |
(3) Closure of units. |
(4) Termination of any one or more of the following: |
(i) Department licensing, (ii) funding, or (iii) |
certification. |
The Inspector General may seek the assistance of the |
Illinois Attorney General or the office of any State's |
Attorney in implementing sanctions. |
(s) Health Care Worker Registry. |
(1) Reporting to the Registry. The Inspector General |
shall report to the Department of Public Health's Health |
Care Worker Registry, a public registry, the identity and |
|
finding of each employee of a facility or agency against |
whom there is a final investigative report prepared by the |
Office of the Inspector General containing a substantiated |
allegation of physical or sexual abuse, financial |
exploitation, or egregious neglect of an individual, |
unless the Inspector General requests a stipulated |
disposition of the investigative report that does not |
include the reporting of the employee's name to the Health |
Care Worker Registry and the Secretary of Human Services |
agrees with the requested stipulated disposition. |
(2) Notice to employee. Prior to reporting the name of |
an employee, the employee shall be notified of the |
Department's obligation to report and shall be granted an |
opportunity to request an administrative hearing, the sole |
purpose of which is to determine if the substantiated |
finding warrants reporting to the Registry. Notice to the |
employee shall contain a clear and concise statement of |
the grounds on which the report to the Registry is based, |
offer the employee an opportunity for a hearing, and |
identify the process for requesting such a hearing. Notice |
is sufficient if provided by certified mail to the |
employee's last known address. If the employee fails to |
request a hearing within 30 days from the date of the |
notice, the Inspector General shall report the name of the |
employee to the Registry. Nothing in this subdivision |
(s)(2) shall diminish or impair the rights of a person who |
|
is a member of a collective bargaining unit under the |
Illinois Public Labor Relations Act or under any other |
federal labor statute. |
(3) Registry hearings. If the employee requests an |
administrative hearing, the employee shall be granted an |
opportunity to appear before an administrative law judge |
to present reasons why the employee's name should not be |
reported to the Registry. The Department shall bear the |
burden of presenting evidence that establishes, by a |
preponderance of the evidence, that the substantiated |
finding warrants reporting to the Registry. After |
considering all the evidence presented, the administrative |
law judge shall make a recommendation to the Secretary as |
to whether the substantiated finding warrants reporting |
the name of the employee to the Registry. The Secretary |
shall render the final decision. The Department and the |
employee shall have the right to request that the |
administrative law judge consider a stipulated disposition |
of these proceedings. |
(4) Testimony at Registry hearings. A person who makes |
a report or who investigates a report under this Act shall |
testify fully in any judicial proceeding resulting from |
such a report, as to any evidence of abuse or neglect, or |
the cause thereof. No evidence shall be excluded by reason |
of any common law or statutory privilege relating to |
communications between the alleged perpetrator of abuse or |
|
neglect, or the individual alleged as the victim in the |
report, and the person making or investigating the report. |
Testimony at hearings is exempt from the confidentiality |
requirements of subsection (f) of Section 10 of the Mental |
Health and Developmental Disabilities Confidentiality Act. |
(5) Employee's rights to collateral action. No |
reporting to the Registry shall occur and no hearing shall |
be set or proceed if an employee notifies the Inspector |
General in writing, including any supporting |
documentation, that he or she is formally contesting an |
adverse employment action resulting from a substantiated |
finding by complaint filed with the Illinois Civil Service |
Commission, or which otherwise seeks to enforce the |
employee's rights pursuant to any applicable collective |
bargaining agreement. If an action taken by an employer |
against an employee as a result of a finding of physical |
abuse, sexual abuse, or egregious neglect is overturned |
through an action filed with the Illinois Civil Service |
Commission or under any applicable collective bargaining |
agreement and if that employee's name has already been |
sent to the Registry, the employee's name shall be removed |
from the Registry. |
(6) Removal from Registry. At any time after the |
report to the Registry, but no more than once in any |
12-month period, an employee may petition the Department |
in writing to remove his or her name from the Registry. |
|
Upon receiving notice of such request, the Inspector |
General shall conduct an investigation into the petition. |
Upon receipt of such request, an administrative hearing |
will be set by the Department. At the hearing, the |
employee shall bear the burden of presenting evidence that |
establishes, by a preponderance of the evidence, that |
removal of the name from the Registry is in the public |
interest. The parties may jointly request that the |
administrative law judge consider a stipulated disposition |
of these proceedings. |
(t) Review of Administrative Decisions. The Department |
shall preserve a record of all proceedings at any formal |
hearing conducted by the Department involving Health Care |
Worker Registry hearings. Final administrative decisions of |
the Department are subject to judicial review pursuant to |
provisions of the Administrative Review Law. |
(u) Quality Care Board. There is created, within the |
Office of the Inspector General, a Quality Care Board to be |
composed of 7 members appointed by the Governor with the |
advice and consent of the Senate. One of the members shall be |
designated as chairman by the Governor. Of the initial |
appointments made by the Governor, 4 Board members shall each |
be appointed for a term of 4 years and 3 members shall each be |
appointed for a term of 2 years. Upon the expiration of each |
member's term, a successor shall be appointed for a term of 4 |
years. In the case of a vacancy in the office of any member, |
|
the Governor shall appoint a successor for the remainder of |
the unexpired term. |
Members appointed by the Governor shall be qualified by |
professional knowledge or experience in the area of law, |
investigatory techniques, or in the area of care of the |
mentally ill or care of persons with developmental |
disabilities. Two members appointed by the Governor shall be |
persons with a disability or parents of persons with a |
disability. Members shall serve without compensation, but |
shall be reimbursed for expenses incurred in connection with |
the performance of their duties as members. |
The Board shall meet quarterly, and may hold other |
meetings on the call of the chairman. Four members shall |
constitute a quorum allowing the Board to conduct its |
business. The Board may adopt rules and regulations it deems |
necessary to govern its own procedures. |
The Board shall monitor and oversee the operations, |
policies, and procedures of the Inspector General to ensure |
the prompt and thorough investigation of allegations of |
neglect and abuse. In fulfilling these responsibilities, the |
Board may do the following: |
(1) Provide independent, expert consultation to the |
Inspector General on policies and protocols for |
investigations of alleged abuse, neglect, or both abuse |
and neglect. |
(2) Review existing regulations relating to the |
|
operation of facilities. |
(3) Advise the Inspector General as to the content of |
training activities authorized under this Section. |
(4) Recommend policies concerning methods for |
improving the intergovernmental relationships between the |
Office of the Inspector General and other State or federal |
offices. |
(v) Annual report. The Inspector General shall provide to |
the General Assembly and the Governor, no later than January 1 |
of each year, a summary of reports and investigations made |
under this Act for the prior fiscal year with respect to |
individuals receiving mental health or developmental |
disabilities services. The report shall detail the imposition |
of sanctions, if any, and the final disposition of any |
corrective or administrative action directed by the Secretary. |
The summaries shall not contain any confidential or |
identifying information of any individual, but shall include |
objective data identifying any trends in the number of |
reported allegations, the timeliness of the Office of the |
Inspector General's investigations, and their disposition, for |
each facility and Department-wide, for the most recent 3-year |
time period. The report shall also identify, by facility, the |
staff-to-patient ratios taking account of direct care staff |
only. The report shall also include detailed recommended |
administrative actions and matters for consideration by the |
General Assembly. |
|
(w) Program audit. The Auditor General shall conduct a |
program audit of the Office of the Inspector General on an |
as-needed basis, as determined by the Auditor General. The |
audit shall specifically include the Inspector General's |
compliance with the Act and effectiveness in investigating |
reports of allegations occurring in any facility or agency. |
The Auditor General shall conduct the program audit according |
to the provisions of the Illinois State Auditing Act and shall |
report its findings to the General Assembly no later than |
January 1 following the audit period.
|
(x) Nothing in this Section shall be construed to mean |
that an individual is a victim of abuse or neglect because of |
health care services appropriately provided or not provided by |
health care professionals. |
(y) Nothing in this Section shall require a facility, |
including its employees, agents, medical staff members, and |
health care professionals, to provide a service to an |
individual in contravention of that individual's stated or |
implied objection to the provision of that service on the |
ground that that service conflicts with the individual's |
religious beliefs or practices, nor shall the failure to |
provide a service to an individual be considered abuse under |
this Section if the individual has objected to the provision |
of that service based on his or her religious beliefs or |
practices.
|
(Source: P.A. 101-81, eff. 7-12-19; 102-538, eff. 8-20-21; |
|
102-883, eff. 5-13-22; 102-1071, eff. 6-10-22; revised |
7-26-22.)
|
(20 ILCS 1305/1-75) |
Sec. 1-75. Off-Hours Child Care Program. |
(a) Legislative intent. The General Assembly finds that: |
(1) Finding child care can be a challenge for |
firefighters, paramedics, police officers, nurses, and |
other third shift workers across the State who often work |
non-typical work hours. This can impact home life, school, |
bedtime routines, job safety, and the mental health of |
some of our most critical front line workers and their |
families. |
(2) There is a need for increased options for |
off-hours child care in the State. A majority of the |
State's child care facilities do not provide care outside |
of normal work hours, with just 3,251 day care homes and |
435 group day care homes that provide night care. |
(3) Illinois has a vested interest in ensuring that |
our first responders and working families can provide |
their children with appropriate care during off hours to |
improve the morale of existing first responders and to |
improve recruitment into the future. |
(b) As used in this Section, "first responders" means |
emergency medical services personnel as defined in the |
Emergency Medical Services (EMS) Systems Act, firefighters, |
|
law enforcement officers, and, as determined by the |
Department, any other workers who, on account of their work |
schedule, need child care outside of the hours when licensed |
child care
facilities typically operate. |
(c) Subject to appropriation, the Department of Human |
Services shall establish and administer an Off-Hours Child |
Care Program to help first responders and other workers |
identify and access off-hours, night, or sleep time child |
care. Services funded under the program must address the child |
care needs of first responders. Funding provided under the |
program may also be used to cover any capital and operating |
expenses related to the provision of off-hours, night, or |
sleep time child care for first responders. Funding awarded |
under this Section shall be funded through appropriations from |
the Off-Hours Child Care Program Fund created under subsection |
(d). The Department shall implement the program by July 1, |
2023. The Department may adopt any
rules necessary to |
implement the program. |
(d) The Off-Hours Child Care Program Fund is created as a |
special fund in the State treasury. The Fund shall consist of |
any moneys appropriated to the Department of Human Services |
for the Off-Hours Child Care Program. Moneys in the Fund shall |
be expended for the Off-Hours Child Care Program and for no |
other purpose. All interest earned on moneys in the Fund shall |
be deposited into the Fund.
|
(Source: P.A. 102-912, eff. 5-27-22.)
|
|
(20 ILCS 1305/1-80) |
Sec. 1-80 1-75 . Homeless services and supportive housing; |
veterans data. The Department's Bureau of Homeless Services |
and Supportive Housing within the Office of Family Support |
Services shall annually review and collect data on the number |
of military veterans receiving services or benefits under the |
Emergency and Transitional Housing Program, the Emergency Food |
Program, the Homeless Prevention Program, the Supporting
|
Housing Program, and the Prince Home at Manteno administered |
by the Department of Veterans' Affairs. The Bureau may request |
and receive the
cooperation of the Department of Veterans' |
Affairs and any other State agency that is relevant to the
|
collection of the data required under this Section. The Bureau |
shall annually submit to the General Assembly a written report |
that details the number of military veterans served under each |
program no later than December 31, 2023 and every December 31 |
thereafter.
|
(Source: P.A. 102-961, eff. 1-1-23; revised 12-29-22.)
|
Section 95. The Mental Health and Developmental |
Disabilities Administrative Act is amended by changing Section |
74 as follows:
|
(20 ILCS 1705/74)
|
Sec. 74. Rates and reimbursements. |
|
(a) Within 30 days after July 6, 2017 (the effective date |
of Public Act 100-23), the Department shall increase rates and |
reimbursements to fund a minimum of a $0.75 per hour wage |
increase for front-line personnel, including, but not limited |
to, direct support professionals, aides, front-line |
supervisors, qualified intellectual disabilities |
professionals, nurses, and non-administrative support staff |
working in community-based provider organizations serving |
individuals with developmental disabilities. The Department |
shall adopt rules, including emergency rules under subsection |
(y) of Section 5-45 of the Illinois Administrative Procedure |
Act, to implement the provisions of this Section. |
(b) Rates and reimbursements. Within 30 days after June 4, |
2018 ( the effective date of Public Act 100-587) this |
amendatory Act of the 100th General Assembly , the Department |
shall increase rates and reimbursements to fund a minimum of a |
$0.50 per hour wage increase for front-line personnel, |
including, but not limited to, direct support professionals, |
aides, front-line supervisors, qualified intellectual |
disabilities professionals, nurses, and non-administrative |
support staff working in community-based provider |
organizations serving individuals with developmental |
disabilities. The Department shall adopt rules, including |
emergency rules under subsection (bb) of Section 5-45 of the |
Illinois Administrative Procedure Act, to implement the |
provisions of this Section. |
|
(c) Rates and reimbursements. Within 30 days after June 5, |
2019 ( the effective date of Public Act 101-10) this amendatory |
Act of the 101st General Assembly , subject to federal |
approval, the Department shall increase rates and |
reimbursements in effect on June 30, 2019 for community-based |
providers for persons with Developmental Disabilities by 3.5% |
The Department shall adopt rules, including emergency rules |
under subsection (jj) of Section 5-45 of the Illinois |
Administrative Procedure Act, to implement the provisions of |
this Section, including wage increases for direct care staff. |
(d) For community-based providers serving persons with |
intellectual/developmental disabilities, subject to federal |
approval of any relevant Waiver Amendment, the rates taking |
effect for services delivered on or after January 1, 2022, |
shall include an increase in the rate methodology sufficient |
to provide a $1.50 per hour wage increase for direct support |
professionals in residential settings and sufficient to |
provide wages for all residential non-executive direct care |
staff, excluding direct support professionals, at the federal |
Department of Labor, Bureau of Labor Statistics' average wage |
as defined in rule by the Department. |
The establishment of and any changes to the rate |
methodologies for community-based services provided to persons |
with intellectual/developmental disabilities are subject to |
federal approval of any relevant Waiver Amendment and shall be |
defined in rule by the Department. The Department shall adopt |
|
rules, including emergency rules as authorized by Section 5-45 |
of the Illinois Administrative Procedure Act, to implement the |
provisions of this subsection (d). |
(e) For community-based providers serving persons with |
intellectual/developmental disabilities, subject to federal |
approval of any relevant Waiver Amendment, the rates taking |
effect for services delivered on or after January 1, 2023, |
shall include an increase in the rate methodology sufficient |
to provide a $1.00 per hour wage increase for all direct |
support professionals personnel and all other frontline |
personnel who are not subject to the Bureau of Labor |
Statistics' average wage increases, who work in residential |
and community day services settings, with at least $0.50 of |
those funds to be provided as a direct increase to base wages, |
with the remaining $0.50 to be used flexibly for base wage |
increases. In addition, the rates taking effect for services |
delivered on or after January 1, 2023 shall include an |
increase sufficient to provide wages for all residential |
non-executive direct care staff, excluding direct support |
professionals personnel , at the federal Department of Labor, |
Bureau of Labor Statistics' average wage as defined in rule by |
the Department. |
The establishment of and any changes to the rate |
methodologies for community-based services provided to persons |
with intellectual/developmental disabilities are subject to |
federal approval of any relevant Waiver Amendment and shall be |
|
defined in rule by the Department. The Department shall adopt |
rules, including emergency rules as authorized by Section 5-45 |
of the Illinois Administrative Procedure Act, to implement the |
provisions of this subsection. |
(Source: P.A. 101-10, eff. 6-5-19; 102-16, eff. 6-17-21; |
102-699, eff. 4-19-22; 102-830, eff. 1-1-23; revised |
12-13-22.)
|
Section 100. 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 Sections 2310-434 and 2310-710 as follows:
|
(20 ILCS 2310/2310-434) |
Sec. 2310-434. Certified Nursing Assistant Intern Program. |
(a) As used in this Section, "facility" means a facility |
licensed by the Department under the Nursing Home Care Act, |
the MC/DD Act, or the ID/DD Community Care Act or an |
establishment licensed under the Assisted Living and Shared |
Housing Act. |
(b) The Department shall establish or approve a Certified |
Nursing Assistant Intern Program to address the increasing |
need for trained health care workers and provide additional |
pathways for individuals to become certified nursing |
assistants. Upon successful completion of the classroom |
education and on-the-job training requirements of the Program |
|
required under this Section, an individual may provide, at a |
facility, the patient and resident care services determined |
under the Program and may perform the procedures listed under |
subsection (e). |
(c) In order to qualify as a certified nursing assistant |
intern, an individual shall successfully complete at least 8 |
hours of classroom education on the services and procedures |
determined under the Program and listed under subsection (e). |
The classroom education shall be: |
(1) taken within the facility where the certified |
nursing assistant intern will be employed; |
(2) proctored by either an advanced practice |
registered nurse or a registered nurse who holds a |
bachelor's degree in nursing, has a minimum of 3 years of |
continuous experience in geriatric care, or is certified |
as a nursing assistant instructor; and |
(3) satisfied by the successful completion of an |
approved 8-hour online training course or in-person group |
training. |
(d) In order to qualify as a certified nursing assistant |
intern, an individual shall successfully complete at least 24 |
hours of on-the-job training in the services and procedures |
determined under the Program and listed under subsection (e), |
as follows: |
(1) The training program instructor shall be either an |
advanced practice registered nurse or a registered nurse |
|
who holds a bachelor's degree in nursing, has a minimum of |
3 years of continuous experience in geriatric care, or is |
certified as a nursing assistant instructor. |
(2) The training program instructor shall ensure that |
the student meets the competencies determined under the |
Program and those listed under subsection (e). The |
instructor shall document the successful completion or |
failure of the competencies and any remediation that may |
allow for the successful completion of the competencies. |
(3) All on-the-job training shall be under the direct |
observation of either an advanced practice registered |
nurse or a registered nurse who holds a bachelor's degree |
in nursing, has a minimum of 3 years of continuous |
experience in geriatric care, or is certified as a nursing |
assistant instructor. |
(4) All on-the-job training shall be conducted at a |
facility that is licensed by the State of Illinois and |
that is the facility where the certified nursing assistant |
intern will be working. |
(e) A certified nursing assistant intern shall receive |
classroom and on-the-job training on how to provide the |
patient or resident care services and procedures, as |
determined under the Program, that are required of a certified |
nursing assistant's performance skills, including, but not |
limited to, all of the following: |
(1) Successful completion and maintenance of active |
|
certification in both first aid and the American Red |
Cross' courses on cardiopulmonary resuscitation. |
(2) Infection control and in-service training required |
at the facility. |
(3) Washing a resident's hands. |
(4) Performing oral hygiene on a resident. |
(5) Shaving a resident with an electric razor. |
(6) Giving a resident a partial bath. |
(7) Making a bed that is occupied. |
(8) Dressing a resident. |
(9) Transferring a resident to a wheelchair using a |
gait belt or transfer belt. |
(10) Ambulating a resident with a gait belt or |
transfer belt. |
(11) Feeding a resident. |
(12) Calculating a resident's intake and output. |
(13) Placing a resident in a side-lying position. |
(14) The Heimlich maneuver. |
(f) A certified nursing assistant intern may not perform |
any of the following on a resident: |
(1) Shaving with a nonelectric razor. |
(2) Nail care. |
(3) Perineal care. |
(4) Transfer using a mechanical lift. |
(5) Passive range of motion. |
(g) A certified nursing assistant intern may only provide |
|
the patient or resident care services and perform the |
procedures that he or she is deemed qualified to perform that |
are listed under subsection (e). A certified nursing assistant |
intern may not provide the procedures excluded under |
subsection (f). |
(h) The Program is subject to the Health Care Worker |
Background Check Act and the Health Care Worker Background |
Check Code under 77 Ill. Adm. Code 955. Program participants |
and personnel shall be included on the Health Care Worker |
Registry. |
(i) A Program participant who has completed the training |
required under paragraph (5) of subsection (a) of Section |
3-206 of the Nursing Home Care Act, has completed the Program |
from April 21, 2020 through September 18, 2020, and has shown |
competency in all of the performance skills listed under |
subsection (e) may be considered a certified nursing assistant |
intern once the observing advanced practice registered nurse |
or registered nurse educator has confirmed the Program |
participant's competency in all of those performance skills. |
(j) The requirement under subsection (b) of Section |
395.400 of Title 77 of the Illinois Administrative Code that a |
student must pass a BNATP written competency examination |
within 12 months after the completion of the BNATP does not |
apply to a certified nursing assistant intern under this |
Section. However, upon a Program participant's enrollment in a |
certified nursing assistant course, the requirement under |
|
subsection (b) of Section 395.400 of Title 77 of the Illinois |
Administrative Code that a student pass a BNATP written |
competency examination within 12 months after completion of |
the BNATP program applies. |
(k) A certified nursing assistant intern shall enroll in a |
certified nursing assistant program within 6 months after |
completing his or her certified nursing assistant intern |
training under the Program. The individual may continue to |
work as a certified nursing assistant intern during his or her |
certified nursing assistant training. If the scope of work for |
a nurse assistant in training pursuant to 77 Ill. Adm. Code |
300.660 is broader in scope than the work permitted to be |
performed by a certified nursing assistant intern, then the |
certified nursing assistant intern enrolled in certified |
nursing assistant training may perform the work allowed under |
77 . Ill. Adm. Code 300.660 with written documentation that the |
certified nursing assistant intern has successfully passed the |
competencies necessary to perform such skills. The facility |
shall maintain documentation as to the additional jobs and |
duties the certified nursing assistant intern is authorized to |
perform, which shall be made available to the Department upon |
request. The individual shall receive one hour of credit for |
every hour employed as a certified nursing assistant intern or |
as a temporary nurse assistant, not to exceed 30 hours of |
credit, subject to the approval of an accredited certified |
nursing assistant training program. |
|
(l) A facility that seeks to train and employ a certified |
nursing assistant intern at the facility must: |
(1) not have received or applied for a registered |
nurse waiver under Section 3-303.1 of the Nursing Home |
Care Act, if applicable; |
(2) not have been cited for a violation, except a |
citation for noncompliance with COVID-19 reporting |
requirements, that has caused severe harm to or the death |
of a resident within the 2 years prior to employing a |
certified nursing assistant; for purposes of this |
paragraph, the revocation of the facility's ability to |
hire and train a certified nursing assistant intern shall |
only occur if the underlying federal citation for the |
revocation remains substantiated following an informal |
dispute resolution or independent informal dispute |
resolution; |
(3) not have been cited for a violation that resulted |
in a pattern of certified nursing assistants being removed |
from the Health Care Worker Registry as a result of |
resident abuse, neglect, or exploitation within the 2 |
years prior to employing a certified nursing assistant |
intern; |
(4) if the facility is a skilled nursing facility, |
meet a minimum staffing ratio of 3.8 hours of nursing and |
personal care time, as those terms are used in subsection |
(e) of Section 3-202.05 of the Nursing Home Care Act, each |
|
day for a resident needing skilled care and 2.5 hours of |
nursing and personal care time each day for a resident |
needing intermediate care; |
(5) not have lost the ability to offer a Nursing |
Assistant Training and Competency Evaluation Program as a |
result of an enforcement action; |
(6) establish a certified nursing assistant intern |
mentoring program within the facility for the purposes of |
increasing education and retention, which must include an |
experienced certified nurse assistant who has at least 3 |
years of active employment and is employed by the |
facility; |
(7) not have a monitor or temporary management placed |
upon the facility by the Department; |
(8) not have provided the Department with a notice of |
imminent closure; and |
(9) not have had a termination action initiated by the |
federal Centers for Medicare and Medicaid Services or the |
Department for failing to comply with minimum regulatory |
or licensure requirements. |
(m) A facility that does not meet the requirements of |
subsection (l) shall cease its new employment training, |
education, or onboarding of any employee under the Program. |
The facility may resume its new employment training, |
education, or onboarding of an employee under the Program once |
the Department determines that the facility is in compliance |
|
with subsection (l). |
(n) To study the effectiveness of the Program, the |
Department shall collect data from participating facilities |
and publish a report on the extent to which the Program brought |
individuals into continuing employment as certified nursing |
assistants in long-term care. Data collected from facilities |
shall include, but shall not be limited to, the number of |
certified nursing assistants employed, the number of persons |
who began participation in the Program, the number of persons |
who successfully completed the Program, and the number of |
persons who continue employment in a long-term care service or |
facility. The report shall be published no later than 6 months |
after the Program end date determined under subsection (p). A |
facility participating in the Program shall, twice annually, |
submit data under this subsection in a manner and time |
determined by the Department. Failure to submit data under |
this subsection shall result in suspension of the facility's |
Program. |
(o) The Department may adopt emergency rules in accordance |
with Section 5-45.30 5-45.21 of the Illinois Administrative |
Procedure Act. |
(p) The Program shall end upon the termination of the |
Secretary of Health and Human Services' public health |
emergency declaration for COVID-19 or 3 years after the date |
that the Program becomes operational, whichever occurs later. |
(q) This Section is inoperative 18 months after the |
|
Program end date determined under subsection (p).
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 7-26-22.)
|
(20 ILCS 2310/2310-436) |
Sec. 2310-436 2310-434 . Homeless service providers. |
(a) In this Section, "homeless service provider" means a |
person or entity who provides services to homeless persons |
under any of the programs of or identified by the Department of |
Human Services. |
(b) The Department shall consider all homeless service |
providers in the State to be essential critical infrastructure |
workers in accordance with the most recent guidance from the |
federal Cybersecurity and Infrastructure Security Agency. The |
Department shall ensure that homeless service providers |
qualify for the same priority benefits afforded to frontline |
workers by the State, including, but not limited to: |
(1) federal funding for relief relating to public |
health emergencies; |
(2) personal protective equipment; and |
(3) vaccinations. |
(c) In accordance with this Section, during a federally |
designated federally-designated public health emergency or a |
public health disaster declared by a proclamation issued by |
the Governor under Section 7 of the Illinois Emergency |
Management Agency Act, the Department and the Illinois |
Emergency Management Agency shall offer recommendations to |
|
their local counterparts, including local public health |
departments and local emergency management assistance |
agencies, encouraging them to consider homeless service |
providers when making determinations about providing |
assistance. |
(d) The Department may adopt rules for the implementation |
and administration of this Section and to ensure that homeless |
service providers are considered essential critical |
infrastructure workers in the event of a pandemic.
|
(Source: P.A. 102-919, eff. 5-27-22; revised 7-26-22.)
|
(20 ILCS 2310/2310-437) |
Sec. 2310-437 2310-434 . Governors State University; stroke |
awareness campaign. |
(a) Subject to appropriation, the Department shall partner |
with Governors State University's College of Health and Human |
Services, and any additional partnership that may be |
necessary, in establishing a 12-month outreach and educational |
campaign focused on promoting the following: |
(1) Stroke awareness for select communities determined |
by the Department to be at risk for strokes, particularly |
within Chicago's Southland community. |
(2) Stroke recognition and prevention strategies. |
(3) Access to reliable sources of information about |
strokes. |
(b) An amount of the moneys appropriated to the Department |
|
under subsection (a) shall be made available to the Governors |
State University's College of Health and Human Services in an |
amount to be mutually agreed upon between the Governors State |
University's College of Health and Human Services and the |
Department.
|
(Source: P.A. 102-1070, eff. 1-1-23; revised 7-26-22.)
|
(20 ILCS 2310/2310-710) |
Sec. 2310-710. Emergency Medical Services personnel; |
continuing training on Alzheimer's disease and other |
dementias. |
(a) In this Section, "Emergency Medical Services |
personnel" means a person licensed or registered under any of |
the levels of licensure defined in Section 3.50 of the |
Emergency Medical Services (EMS) Systems Act, including, but |
not limited to, Emergency Medical Technician, Emergency |
Medical Technician-Intermediate, Advanced Emergency Medical |
Technician, Paramedic (EMT-P), or Emergency Medical Responder. |
(b) For license renewals occurring on or after January 1, |
2023, Emergency Medical Services personnel must complete at |
least one one-hour course of training on the diagnosis, |
treatment, and care of individuals with Alzheimer's disease or |
other dementias per license renewal period. This training |
shall include, but not be limited to, assessment and |
diagnosis, effective communication strategies, and management |
and care planning. |
|
(c) Emergency Medical Services personnel may count one |
hour for completion of the course toward
meeting the minimum |
credit hours required for Emergency Medical Services personnel |
relicensure requirements. |
(d) Any training on Alzheimer's disease and other |
dementias applied to meet any other State licensure |
requirement, professional accreditation or certification |
requirement, or health care institutional practice agreement |
may count toward the continuing education required under this |
Section. |
(e) The Department may adopt rules for the implementation |
of this Section.
|
(Source: P.A. 102-772, eff. 5-13-22.)
|
(20 ILCS 2310/2310-715) |
Sec. 2310-715 2310-710 . Safety-Net Hospital Health Equity |
and Access Leadership (HEAL) Grant Program. |
(a) Findings. The General Assembly finds that there are |
communities in Illinois that experience significant health |
care disparities, as recently emphasized by the COVID-19 |
pandemic, aggravated by social determinants of health and a |
lack of sufficient access to high quality health care |
healthcare resources, particularly community-based services, |
preventive care, obstetric care, chronic disease management, |
and specialty care. Safety-net hospitals, as defined under the |
Illinois Public Aid Code, serve as the anchors of the health |
|
care system for many of these communities. Safety-net |
hospitals not only care for their patients, they also are |
rooted in their communities by providing jobs and partnering |
with local organizations to help address the social |
determinants of health, such as food, housing, and |
transportation needs. |
However, safety-net hospitals serve a significant number |
of Medicare, Medicaid, and uninsured patients, and therefore, |
are heavily dependent on underfunded government payers, and |
are heavily burdened by uncompensated care. At the same time, |
the overall cost of providing care has increased substantially |
in recent years, driven by increasing costs for staffing, |
prescription drugs, technology, and infrastructure. |
For all of these reasons, the General Assembly finds that |
the long-term long term sustainability of safety-net hospitals |
is threatened. While the General Assembly is providing funding |
to the Department to be paid to support the expenses of |
specific safety-net hospitals in State Fiscal Year 2023, such |
annual, ad hoc funding is not a reliable and stable source of |
funding that will enable safety-net hospitals to develop |
strategies to achieve long term sustainability. Such annual, |
ad hoc funding also does not provide the State with |
transparency and accountability to ensure that such funding is |
being used effectively and efficiently to maximize the benefit |
to members of the community. |
Therefore, it is the intent of the General Assembly that |
|
the Department of Public Health and the Department of |
Healthcare and Family Services jointly provide options and |
recommendations to the General Assembly by February 1, 2023, |
for the establishment of a permanent Safety-Net Hospital |
Health Equity and Access Leadership (HEAL) Grant Program, in |
accordance with this Section. It is the intention of the |
General Assembly that during State fiscal years 2024 through |
2029, the Safety-Net Hospital Health Equity and Access |
Leadership (HEAL) Grant Program shall be supported by an |
annual funding pool of up to $100,000,000, subject to |
appropriation. |
(b) By February 1, 2023, the Department of Public Health |
and the Department of Healthcare and Family Services shall |
provide a joint report to the General Assembly on options and |
recommendations for the establishment of a permanent |
Safety-Net Hospital Health Equity and Access Leadership (HEAL) |
Grant Program to be administered by the State. For this |
report, "safety-net hospital" means a hospital identified by |
the Department of Healthcare and Family Services under Section |
5-5e.1 of the Illinois Public Aid Code. The Departments of |
Public Health and Healthcare and Family Services may consult |
with the statewide association representing a majority of |
hospitals and safety-net hospitals on the report. The report |
may include, but need not be limited to: |
(1) Criteria for a safety-net hospital to be eligible |
for the program, such as: |
|
(A) The hospital is a participating provider in at |
least one Medicaid managed care plan. |
(B) The hospital is located in a medically |
underserved area. |
(C) The hospital's Medicaid utilization rate (for |
both inpatient and outpatient services). |
(D) The hospital's Medicare utilization rate (for |
both inpatient and outpatient services). |
(E) The hospital's uncompensated care percentage. |
(F) The hospital's role in providing access to |
services, reducing health disparities, and improving |
health equity in its service area. |
(G) The hospital's performance on quality |
indicators. |
(2) Potential projects eligible for grant funds which |
may include projects to reduce health disparities, advance |
health equity, or improve access to or the quality of |
health care healthcare services. |
(3) Potential policies, standards, and procedures to |
ensure accountability for the use of grant funds. |
(4) Potential strategies to generate federal Medicaid |
matching funds for expenditures under the program. |
(5) Potential policies, processes, and procedures for |
the administration of the program.
|
(Source: P.A. 102-886, eff. 5-17-22; revised 5-26-22.)
|
|
Section 105. The Illinois State Police Act is amended by |
changing Sections 9, 12.6, and 46 as follows:
|
(20 ILCS 2610/9) (from Ch. 121, par. 307.9)
|
Sec. 9. Appointment; qualifications.
|
(a) Except as otherwise provided in this Section, the |
appointment of
Illinois State Police officers shall be made |
from those applicants who
have been certified by the Board as |
being qualified for appointment. All
persons so appointed |
shall, at the time of their appointment, be not less than
21 |
years of age, or 20 years of age and have successfully |
completed an associate's degree or 60 credit hours at an |
accredited college or university. Any person
appointed |
subsequent to successful completion of an associate's degree |
or 60 credit hours at an accredited college or university |
shall not have power of arrest, nor shall he or she be |
permitted
to carry firearms, until he or she reaches 21 years |
of age. In addition,
all persons so certified for appointment |
shall be of sound mind and body, be of
good moral character, be |
citizens of the United States, have no criminal
records, |
possess such prerequisites of training, education, and |
experience as
the Board may from time to time prescribe so long |
as persons who have an associate's degree or 60 credit hours at |
an accredited college or university are not disqualified, and |
shall be required to pass
successfully such mental and |
physical tests and examinations as may be
prescribed by the |
|
Board. All persons who meet one of the following requirements |
are deemed to have met the collegiate educational |
requirements: |
(i) have been honorably discharged and who have been |
awarded a Southwest Asia Service Medal, Kosovo Campaign |
Medal, Korean Defense Service Medal, Afghanistan Campaign |
Medal, Iraq Campaign Medal, or Global War on Terrorism |
Expeditionary Medal by the United States Armed Forces; |
(ii) are active members of the Illinois National Guard |
or a reserve component of the United States Armed Forces |
and who have been awarded a Southwest Asia Service Medal, |
Kosovo Campaign Medal, Korean Defense Service Medal, |
Afghanistan Campaign Medal, Iraq Campaign Medal, or Global |
War on Terrorism Expeditionary Medal as a result of |
honorable service during deployment on active duty; |
(iii) have been honorably discharged who served in a |
combat mission by proof of hostile fire pay or imminent |
danger pay during deployment on active duty; or |
(iv) have at least 3 years of full active and |
continuous military duty and received an honorable |
discharge before hiring. |
Preference shall be given in such appointments to
persons |
who have honorably served in the military or naval services of |
the
United States. All appointees shall serve a probationary |
period of 12 months
from the date of appointment and during |
that period may be discharged at the
will of the Director. |
|
However, the Director may in his or her sole discretion
extend |
the probationary period of an officer up to an additional 6 |
months when
to do so is deemed in the best interest of the |
Illinois State Police. Nothing in this subsection (a) limits |
the Board's ability to prescribe education prerequisites or |
requirements to certify Illinois State Police officers for |
promotion as provided in Section 10 of this Act.
|
(b) Notwithstanding the other provisions of this Act, |
after July 1,
1977 and before July 1, 1980, the Director of |
State Police may appoint and
promote not more than 20 persons |
having special qualifications as special
agents as he or she |
deems necessary to carry out the Department's objectives. Any
|
such appointment or promotion shall be ratified by the Board.
|
(c) During the 90 days following March 31, 1995 (the |
effective date of Public Act 89-9), the Director of State |
Police may appoint up to 25 persons as State
Police officers. |
These appointments shall be made in accordance with the
|
requirements of this subsection (c) and any additional |
criteria that may be
established by the Director, but are not |
subject to any other requirements of
this Act. The Director |
may specify the initial rank for each person appointed
under |
this subsection.
|
All appointments under this subsection (c) shall be made |
from personnel
certified by the Board. A person certified by |
the Board and appointed by the
Director under this subsection |
must have been employed by the Illinois Commerce
Commission on |
|
November 30, 1994 in a job title
subject to the Personnel Code |
and in a position for which the person was
eligible to earn |
"eligible creditable service" as a "noncovered employee", as
|
those terms are defined in Article 14 of the Illinois Pension |
Code.
|
Persons appointed under this subsection (c) shall |
thereafter be subject to
the same requirements and procedures |
as other State police officers. A person
appointed under this |
subsection must serve a probationary period of 12 months
from |
the date of appointment, during which he or she may be |
discharged at the
will of the Director.
|
This subsection (c) does not affect or limit the |
Director's authority to
appoint other State Police officers |
under subsection (a) of this Section. |
(d) During the 180 days following January 1, 2022 (the |
effective date of Public Act 101-652), the Director of the |
Illinois State Police may appoint current Illinois State |
Police employees serving in law enforcement officer positions |
previously within Central Management Services as State Police |
officers. These appointments shall be made in accordance with |
the requirements of this subsection (d) and any institutional |
criteria that may be established by the Director, but are not |
subject to any other requirements of this Act.
All |
appointments under this subsection (d) shall be made from |
personnel certified by the Board. A person certified by the |
Board and appointed by the Director under this subsection must |
|
have been employed by the a State agency, board, or commission |
on January 1, 2021 in a job title subject to the Personnel Code |
and in a position for which the person was eligible to earn |
"eligible creditable service" as a "noncovered employee", as |
those terms are defined in Article 14 of the Illinois Pension |
Code.
Persons appointed under this subsection (d) shall |
thereafter be subject to the same requirements, and subject to |
the same contractual benefits and obligations, as other State |
police officers.
This subsection (d) does not affect or limit |
the Director's authority to appoint other State Police |
officers under subsection (a) of this Section. |
(e) The Merit Board shall review Illinois State Police |
Cadet applicants. The Illinois State Police may provide |
background check and investigation material to the Board for |
its review
pursuant to this Section. The Board shall approve |
and ensure that no cadet applicant is certified unless the |
applicant is a person of good character and has not been |
convicted of, or entered a plea of guilty to, a felony offense, |
any of the misdemeanors specified in this Section or if |
committed in any other state would be an offense similar to |
Section 11-1.50, 11-6, 11-6.5, 11-6.6, 11-9.1, 11-9.1B, 11-14, |
11-14.1, 11-30, 12-2, 12-3.2, 12-3.4, 12-3.5, 16-1, 17-1, |
17-2, 26.5-1, 26.5-2, 26.5-3, 28-3, 29-1, any misdemeanor in |
violation of any Section of Part E of Title III of the Criminal |
Code of 1961 or the Criminal Code of 2012, 32-4a, or 32-7 of |
the Criminal Code of 1961 or the Criminal Code of 2012, or |
|
subsection (a) of Section 17-32 of the Criminal Code of 1961 or |
the Criminal Code of 2012, to Section 5 or 5.2 of the Cannabis |
Control Act, or any felony or misdemeanor in violation of |
federal law or the law of any state that is the equivalent of |
any of the offenses specified therein. The Officer |
Professional Conduct Database, provided for in Section 9.2 of |
the Illinois Police Training Act, shall be searched as part of |
this process. For purposes of this Section, "convicted of, or |
entered a plea of guilty" regardless of whether the |
adjudication of guilt or sentence is withheld or not entered |
thereon. This includes sentences of supervision, conditional |
discharge, or first offender probation, or any similar |
disposition provided for by law. |
(f) The Board shall by rule establish an application fee |
waiver program for any person who meets one or more of the |
following criteria: |
(1) his or her available personal income is 200% or |
less of the current poverty level; or |
(2) he or she is, in the discretion of the Board, |
unable to proceed in an action with payment of application |
fee and payment of that fee would result in substantial |
hardship to the person or the person's family.
|
(Source: P.A. 101-374, eff. 1-1-20; 101-652, eff. 1-1-22; |
102-538, eff. 8-20-21; 102-694, eff. 1-7-22; 102-813, eff. |
5-13-22; revised 8-24-22.)
|
|
(20 ILCS 2610/12.6) |
Sec. 12.6. Automatic termination of Illinois State Police |
officers. The Board shall terminate a State police officer |
convicted of a felony offense under the laws of this State or |
any other state which if committed in this State would be |
punishable as a felony. The Board must also terminate Illinois |
State Police officers who were convicted of, or entered a plea |
of guilty to, on or after January 1, 2022 ( the effective date |
of Public Act 101-652) this amendatory Act of the 101st |
General Assembly , any misdemeanor specified in this Section or |
if committed in any other state would be an offense similar to |
Section 11-1.50, 11-6, 11-6.5, 11-6.6, 11-9.1, 11-9.1B, 11-14, |
11-14.1, 11-30, 12-2, 12-3.2, 12-3.4, 12-3.5, 16-1, 17-1, |
17-2, 26.5-1, 26.5-2, 26.5-3, 28-3, 29-1, any misdemeanor in |
violation of any Section of Part E of Title III of the Criminal |
Code of 1961 or the Criminal Code of 2012, 32-4a, or 32-7 of |
the Criminal Code of 1961 or the Criminal Code of 2012, or |
subsection (a) of Section 17-32 of the Criminal Code of 1961 or |
the Criminal Code of 2012, to Section 5 or 5.2 of the Cannabis |
Control Act, or any felony or misdemeanor in violation of |
federal law or the law of any state that is the equivalent of |
any of the offenses specified therein. The Illinois State |
Police Merit Board shall report terminations under this |
Section to the Officer Professional Conduct Database provided |
in Section 9.2 of the Illinois Police Training Act. For |
purposes of this Section, "convicted of, or entered a plea of |
|
guilty" regardless of whether the adjudication of guilt or |
sentence is withheld or not entered thereon. This includes |
sentences of supervision, conditional discharge, or first |
offender probation, or any similar disposition provided for by |
law.
|
(Source: P.A. 101-652, eff. 1-1-22; 102-694, eff. 1-7-22; |
102-813, eff. 5-13-22; revised 8-25-22.)
|
(20 ILCS 2610/46) |
Sec. 46. Officer Professional Conduct Database; reporting, |
transparency. |
(a) The Illinois State Police Merit Board shall be |
responsible for reporting all required information contained |
in the Officer Professional Conduct Database provided in |
Section 9.2 of the Illinois Police Training Act. |
(b) Before the Illinois State Police Merit Board certifies |
any Illinois State Police Cadet the Board shall conduct a |
search of all Illinois State Police Cadet applicants in the |
Officer Professional Conduct Database. |
(c) The database, documents, materials, or other |
information in the possession or control of the Board that are |
obtained by or disclosed to the Board pursuant to this |
subsection shall be confidential by law and privileged, shall |
not be subject to subpoena, and shall not be subject to |
discovery or admissible in evidence in any private civil |
action. However, the Board is authorized to use such |
|
documents, materials, or other information in furtherance of |
any regulatory or legal action brought as part of the Board's |
official duties. Unless otherwise required by law, the Board |
shall not disclose the database or make such documents, |
materials, or other information public without the prior |
written consent of the law enforcement agency and the law |
enforcement officer. The Board nor any person who received |
documents, materials or other information shared pursuant to |
this subsection shall be required to testify in any private |
civil action concerning the database or any confidential |
documents, materials, or information subject to this |
subsection.
|
Nothing in this Section shall exempt a law enforcement |
agency from which the Board has obtained data, documents, |
materials, or other information or that has disclosed data, |
documents, materials, or other information to the Board from |
disclosing public records in accordance with the Freedom of |
Information Act. |
(Source: P.A. 101-652, eff. 1-1-22; 102-694, eff. 1-7-22; |
102-813, eff. 5-13-22; revised 8-24-22.)
|
Section 110. The Criminal Identification Act is amended by |
changing Section 5.2 as follows:
|
(20 ILCS 2630/5.2)
|
Sec. 5.2. Expungement, sealing, and immediate 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 following Sections of the |
Unified Code of Corrections: |
Business Offense, Section 5-1-2. |
Charge, Section 5-1-3. |
Court, Section 5-1-6. |
Defendant, Section 5-1-7. |
Felony, Section 5-1-9. |
Imprisonment, Section 5-1-10. |
Judgment, Section 5-1-12. |
Misdemeanor, Section 5-1-14. |
Offense, Section 5-1-15. |
Parole, Section 5-1-16. |
Petty Offense, Section 5-1-17. |
Probation, Section 5-1-18. |
Sentence, Section 5-1-19. |
Supervision, Section 5-1-21. |
Victim, Section 5-1-22. |
(B) As used in this Section, "charge not initiated |
by arrest" means a charge (as defined by Section 5-1-3 |
of the Unified Code of Corrections) 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. |
(G-5) "Minor Cannabis Offense" means a violation |
of Section 4 or 5 of the Cannabis Control Act |
concerning not more than 30 grams of any substance |
|
containing cannabis, provided the violation did not |
include a penalty enhancement under Section 7 of the |
Cannabis Control Act and is not associated with an |
arrest, conviction or other disposition for a violent |
crime as defined in subsection (c) of Section 3 of the |
Rights of Crime Victims and Witnesses Act. |
(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 Substance Use Disorder 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 Substance Use Disorder 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. A sentence is terminated notwithstanding any |
outstanding financial legal obligation. |
(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. |
(2.5) Commencing 180 days after July 29, 2016 (the |
effective date of Public Act 99-697), the law enforcement |
agency issuing the citation shall automatically expunge, |
on or before January 1 and July 1 of each year, the law |
enforcement records of a person found to have committed a |
civil law violation of subsection (a) of Section 4 of the |
Cannabis Control Act or subsection (c) of Section 3.5 of |
the Drug Paraphernalia Control Act in the law enforcement |
agency's possession or control and which contains the |
final satisfactory disposition which pertain to the person |
issued a citation for that offense.
The law enforcement |
agency shall provide by rule the process for access, |
review, and to confirm the automatic expungement by the |
law enforcement agency issuing the citation.
Commencing |
180 days after July 29, 2016 (the effective date of Public |
Act 99-697), the clerk of the circuit court shall expunge, |
upon order of the court, or in the absence of a court order |
on or before January 1 and July 1 of each year, the court |
records of a person found in the circuit court to have |
committed a civil law violation of subsection (a) of |
|
Section 4 of the Cannabis Control Act or subsection (c) of |
Section 3.5 of the Drug Paraphernalia Control Act in the |
clerk's possession or control and which contains the final |
satisfactory disposition which pertain to the person |
issued a citation for any of those offenses. |
(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 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 and a misdemeanor violation |
of Section 11-30 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) Section Sections 12-3.1 or 12-3.2 of the |
Criminal Code of 1961 or the Criminal Code of |
2012, or Section 125 of the Stalking No Contact |
Order Act, or Section 219 of the Civil No Contact |
Order Act, or a similar provision of a local |
ordinance; |
(iv) Class A misdemeanors or felony offenses |
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) (blank). |
(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 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. |
(1.5) When a petitioner seeks to have a record of |
arrest expunged under this Section, and the offender has |
been convicted of a criminal offense, the State's Attorney |
may object to the expungement on the grounds that the |
records contain specific relevant information aside from |
the mere fact of the arrest. |
(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 Illinois State |
Police 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 |
Illinois State Police, 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 Illinois |
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 Illinois 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 Illinois
|
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 Substance Use Disorder 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. Subsection (g) of this |
Section provides for immediate sealing of certain records. |
(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, including orders |
of supervision for municipal ordinance violations, |
successfully completed by the petitioner, unless |
excluded by subsection (a)(3); |
(D) Arrests or charges not initiated by arrest |
resulting in convictions, including convictions on |
municipal ordinance violations, 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 unless otherwise |
excluded by subsection (a) paragraph (3) of this |
Section. |
(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 |
|
subsections subsection (c)(2)(A) and (c)(2)(B) may be |
sealed at any time. |
(B) Except as otherwise provided in subparagraph |
(E) of this paragraph (3), records identified as |
eligible under subsection (c)(2)(C) may be sealed
2 |
years after the termination of petitioner's last |
sentence (as defined in subsection (a)(1)(F)). |
(C) Except as otherwise provided in subparagraph |
(E) of this paragraph (3), records identified as |
eligible under subsections (c)(2)(D), (c)(2)(E), and |
(c)(2)(F) may be sealed 3 years after the termination |
of the petitioner's last sentence (as defined in |
subsection (a)(1)(F)). Convictions requiring public |
registration under the Arsonist Registration Act, the |
Sex Offender Registration Act, or the Murderer and |
Violent Offender Against Youth Registration Act may |
not be sealed until the petitioner is no longer |
required to register under that relevant Act. |
(D) Records identified in subsection |
(a)(3)(A)(iii) may be sealed after the petitioner has |
reached the age of 25 years. |
(E) Records identified as eligible under |
subsection subsections (c)(2)(C), (c)(2)(D), |
(c)(2)(E), or (c)(2)(F) may be sealed upon termination |
of the petitioner's last sentence if the petitioner |
earned a high school diploma, associate's degree, |
|
career certificate, vocational technical |
certification, or bachelor's degree, or passed the |
high school level Test of General Educational |
Development, during the period of his or her sentence |
or mandatory supervised release. This subparagraph |
shall apply only to a petitioner who has not completed |
the same educational goal prior to the period of his or |
her sentence or mandatory supervised release. If a |
petition for sealing eligible records filed under this |
subparagraph is denied by the court, the time periods |
under subparagraph (B) or (C) shall apply to any |
subsequent petition for sealing filed by the |
petitioner. |
(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, except no fee shall be |
required if the petitioner has obtained a court order |
waiving fees under Supreme Court Rule 298 or it is |
otherwise waived. |
(1.5) County fee waiver pilot program.
From August 9, |
2019 (the effective date of Public Act 101-306) through |
December 31, 2020, in a county of 3,000,000 or more |
inhabitants, no fee shall be required to be paid by a |
petitioner if the records sought to be expunged or sealed |
were arrests resulting in release without charging or |
arrests or charges not initiated by arrest resulting in |
acquittal, dismissal, or conviction when the conviction |
was reversed or vacated, unless excluded by subsection |
(a)(3)(B). The provisions of this paragraph (1.5), other |
than this sentence, are inoperative on and after January |
|
1, 2022. |
(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 taken within 30 |
days before the filing of the petition a test showing the |
absence within his or her body of all illegal substances |
as defined by the Illinois Controlled Substances Act and |
the Methamphetamine Control and Community Protection 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)(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-5) or (e-6) on |
the State's Attorney or
prosecutor charged with the duty |
of prosecuting the
offense, the Illinois 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. Whenever a person who has been |
convicted of an offense is granted
a pardon by the |
Governor which specifically authorizes expungement, an |
objection to the petition may not be filed. |
(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 |
Illinois
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. |
(C) Notwithstanding any other provision of law, |
the court shall not deny a petition for sealing under |
this Section because the petitioner has not satisfied |
an outstanding legal financial obligation established, |
imposed, or originated by a court, law enforcement |
agency, or a municipal, State, county, or other unit |
of local government, including, but not limited to, |
any cost, assessment, fine, or fee. An outstanding |
legal financial obligation does not include any court |
ordered restitution to a victim under Section 5-5-6 of |
the Unified Code of Corrections, unless the |
restitution has been converted to a civil judgment. |
Nothing in this subparagraph (C) waives, rescinds, or |
abrogates a legal financial obligation or otherwise |
eliminates or affects the right of the holder of any |
|
financial obligation to pursue collection under |
applicable federal, State, or local law. |
(D) Notwithstanding any other provision of law,
|
the court shall not deny a petition to expunge or seal |
under this Section because the petitioner has |
submitted a drug test taken within 30 days before the |
filing of the petition to expunge or seal that |
indicates a positive test for the presence of cannabis |
within the petitioner's body. In this subparagraph |
(D), "cannabis" has the meaning ascribed to it in |
Section 3 of the Cannabis Control Act. |
(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 Illinois State Police 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
Illinois State Police, in a form and |
manner prescribed by the Illinois State Police,
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 subsection (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 Illinois State Police, 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 Illinois State Police, 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 subsection (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
|
Illinois State Police 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 Illinois State |
Police may be disseminated by the Illinois State |
Police 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 Illinois State Police, 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
|
Illinois State Police 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 Illinois State |
Police may be disseminated by the Illinois State |
Police 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 Illinois State |
Police, 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 Illinois State Police, |
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 Illinois State |
Police, or the agency receiving such inquiry shall |
reply as it does in response to inquiries when no |
records ever existed. |
(D) The Illinois State Police 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 Illinois State Police to expunge or |
seal records. In the event of an appeal from the |
circuit court order, the Illinois State Police 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. |
(E) Upon motion, the court may order that a sealed |
judgment or other court record necessary to |
demonstrate the amount of any legal financial |
obligation due and owing be made available for the |
limited purpose of collecting any legal financial |
obligations owed by the petitioner that were |
established, imposed, or originated in the criminal |
proceeding for which those records have been sealed. |
The records made available under this subparagraph (E) |
shall not be entered into the official index required |
to be kept by the circuit court clerk under Section 16 |
|
of the Clerks of Courts Act and shall be immediately |
re-impounded upon the collection of the outstanding |
financial obligations. |
(F) Notwithstanding any other provision of this |
Section, a circuit court clerk may access a sealed |
record for the limited purpose of collecting payment |
for any legal financial obligations that were |
established, imposed, or originated in the criminal |
proceedings for which those records have been sealed. |
(10) Fees. The Illinois State Police 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 remit the Illinois State |
Police portion of the fee to the State Treasurer and it |
shall be deposited in the State Police Services Fund. If |
the record brought under an expungement petition was |
|
previously sealed under this Section, the fee for the |
expungement petition for that same record shall be waived. |
(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 apply to all petitions pending on August 5, |
2013 (the effective date of Public Act 98-163) 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). |
(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 Illinois State Police 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 |
Illinois State Police may be disseminated by the Illinois |
State Police 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 Illinois State Police
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 Illinois State Police 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 Illinois State Police may be |
disseminated by the Illinois State Police 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 Illinois State Police |
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 Illinois State Police 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 Illinois State Police may be |
|
disseminated by the Illinois State Police 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 Illinois State Police |
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.
|
(g) Immediate Sealing. |
(1) Applicability. Notwithstanding any other provision |
of this Act to the contrary, and cumulative with any |
|
rights to expungement or sealing of criminal records, this |
subsection authorizes the immediate sealing of criminal |
records of adults and of minors prosecuted as adults. |
(2) Eligible Records. Arrests or charges not initiated |
by arrest resulting in acquittal or dismissal with |
prejudice, except as excluded by subsection (a)(3)(B), |
that occur on or after January 1, 2018 (the effective date |
of Public Act 100-282), may be sealed immediately if the |
petition is filed with the circuit court clerk on the same |
day and during the same hearing in which the case is |
disposed. |
(3) When Records are Eligible to be Immediately |
Sealed. Eligible records under paragraph (2) of this |
subsection (g) may be sealed immediately after entry of |
the final disposition of a case, notwithstanding the |
disposition of other charges in the same case. |
(4) Notice of Eligibility for Immediate Sealing. Upon |
entry of a disposition for an eligible record under this |
subsection (g), the defendant shall be informed by the |
court of his or her right to have eligible records |
immediately sealed and the procedure for the immediate |
sealing of these records. |
(5) Procedure. The following procedures apply to |
immediate sealing under this subsection (g). |
(A) Filing the Petition. Upon entry of the final |
disposition of the case, the defendant's attorney may |
|
immediately petition the court, on behalf of the |
defendant, for immediate sealing of eligible records |
under paragraph (2) of this subsection (g) that are |
entered on or after January 1, 2018 (the effective |
date of Public Act 100-282). The immediate sealing |
petition may be filed with the circuit court clerk |
during the hearing in which the final disposition of |
the case is entered. If the defendant's attorney does |
not file the petition for immediate sealing during the |
hearing, the defendant may file a petition for sealing |
at any time as authorized under subsection (c)(3)(A). |
(B) Contents of Petition. The immediate sealing |
petition shall be verified and shall contain the |
petitioner's name, date of birth, current address, and |
for each eligible record, the case number, the date of |
arrest if applicable, the identity of the arresting |
authority if applicable, and other information as the |
court may require. |
(C) Drug Test. The petitioner shall not be |
required to attach proof that he or she has passed a |
drug test. |
(D) Service of Petition. A copy of the petition |
shall be served on the State's Attorney in open court. |
The petitioner shall not be required to serve a copy of |
the petition on any other agency. |
(E) Entry of Order. The presiding trial judge |
|
shall enter an order granting or denying the petition |
for immediate sealing during the hearing in which it |
is filed. Petitions for immediate sealing shall be |
ruled on in the same hearing in which the final |
disposition of the case is entered. |
(F) Hearings. The court shall hear the petition |
for immediate sealing on the same day and during the |
same hearing in which the disposition is rendered. |
(G) Service of Order. An order to immediately seal |
eligible records shall be served in conformance with |
subsection (d)(8). |
(H) Implementation of Order. An order to |
immediately seal records shall be implemented in |
conformance with subsections (d)(9)(C) and (d)(9)(D). |
(I) Fees. The fee imposed by the circuit court |
clerk and the Illinois State Police shall comply with |
paragraph (1) of subsection (d) of this Section. |
(J) Final Order. No court order issued under this |
subsection (g) shall become final for purposes of |
appeal until 30 days after service of the order on the |
petitioner and all parties entitled to service of the |
order in conformance with subsection (d)(8). |
(K) Motion to Vacate, Modify, or Reconsider. Under |
Section 2-1203 of the Code of Civil Procedure, the |
petitioner, State's Attorney, or the Illinois State |
Police may file a motion to vacate, modify, or |
|
reconsider the order denying the petition to |
immediately 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. |
(L) Effect of Order. An order granting an |
immediate sealing petition shall not be considered |
void because it fails to comply with the provisions of |
this Section or because of an 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 |
subparagraph (L) of this subsection (g). |
(M) Compliance with Order Granting Petition to |
Seal Records. Unless a court has entered a stay of an |
order granting a petition to immediately seal, all |
parties entitled to service of the order must fully |
comply with the terms of the order within 60 days of |
service of the order. |
(h) Sealing; trafficking victims. |
(1) A trafficking victim as defined by paragraph (10) |
of subsection (a) of Section 10-9 of the Criminal Code of |
2012 shall be eligible to petition for immediate sealing |
of his or her criminal record upon the completion of his or |
|
her last sentence if his or her participation in the |
underlying offense was a direct result of human |
trafficking under Section 10-9 of the Criminal Code of |
2012 or a severe form of trafficking under the federal |
Trafficking Victims Protection Act. |
(2) A petitioner under this subsection (h), in |
addition to the requirements provided under paragraph (4) |
of subsection (d) of this Section, shall include in his or |
her petition a clear and concise statement that: (A) he or |
she was a victim of human trafficking at the time of the |
offense; and (B) that his or her participation in the |
offense was a direct result of human trafficking under |
Section 10-9 of the Criminal Code of 2012 or a severe form |
of trafficking under the federal Trafficking Victims |
Protection Act. |
(3) If an objection is filed alleging that the |
petitioner is not entitled to immediate sealing under this |
subsection (h), the court shall conduct a hearing under |
paragraph (7) of subsection (d) of this Section and the |
court shall determine whether the petitioner is entitled |
to immediate sealing under this subsection (h). A |
petitioner is eligible for immediate relief under this |
subsection (h) if he or she shows, by a preponderance of |
the evidence, that: (A) he or she was a victim of human |
trafficking at the time of the offense; and (B) that his or |
her participation in the offense was a direct result of |
|
human trafficking under Section 10-9 of the Criminal Code |
of 2012 or a severe form of trafficking under the federal |
Trafficking Victims Protection Act. |
(i) Minor Cannabis Offenses under the Cannabis Control |
Act. |
(1) Expungement of Arrest Records of Minor Cannabis |
Offenses. |
(A) The Illinois State Police and all law |
enforcement agencies within the State shall |
automatically expunge all criminal history records of |
an arrest, charge not initiated by arrest, order of |
supervision, or order of qualified probation for a |
Minor Cannabis Offense committed prior to June 25, |
2019 (the effective date of Public Act 101-27) if: |
(i) One year or more has elapsed since the |
date of the arrest or law enforcement interaction |
documented in the records; and |
(ii) No criminal charges were filed relating |
to the arrest or law enforcement interaction or |
criminal charges were filed and subsequently |
dismissed or vacated or the arrestee was |
acquitted. |
(B) If the law enforcement agency is unable to |
verify satisfaction of condition (ii) in paragraph |
(A), records that satisfy condition (i) in paragraph |
(A) shall be automatically expunged. |
|
(C) Records shall be expunged by the law |
enforcement agency under the following timelines: |
(i) Records created prior to June 25, 2019 |
(the effective date of Public Act 101-27), but on |
or after January 1, 2013, shall be automatically |
expunged prior to January 1, 2021; |
(ii) Records created prior to January 1, 2013, |
but on or after January 1, 2000, shall be |
automatically expunged prior to January 1, 2023; |
(iii) Records created prior to January 1, 2000 |
shall be automatically expunged prior to January |
1, 2025. |
In response to an inquiry for expunged records, |
the law enforcement agency receiving such inquiry |
shall reply as it does in response to inquiries when no |
records ever existed; however, it shall provide a |
certificate of disposition or confirmation that the |
record was expunged to the individual whose record was |
expunged if such a record exists. |
(D) Nothing in this Section shall be construed to |
restrict or modify an individual's right to have that |
individual's records expunged except as otherwise may |
be provided in this Act, or diminish or abrogate any |
rights or remedies otherwise available to the |
individual. |
(2) Pardons Authorizing Expungement of Minor Cannabis |
|
Offenses. |
(A) Upon June 25, 2019 (the effective date of |
Public Act 101-27), the Department of State Police |
shall review all criminal history record information |
and identify all records that meet all of the |
following criteria: |
(i) one or more convictions for a Minor |
Cannabis Offense; |
(ii) the conviction identified in paragraph |
(2)(A)(i) did not include a penalty enhancement |
under Section 7 of the Cannabis Control Act; and |
(iii) the conviction identified in paragraph |
(2)(A)(i) is not associated with a conviction for |
a violent crime as defined in subsection (c) of |
Section 3 of the Rights of Crime Victims and |
Witnesses Act. |
(B) Within 180 days after June 25, 2019 (the |
effective date of Public Act 101-27), the Department |
of State Police shall notify the Prisoner Review Board |
of all such records that meet the criteria established |
in paragraph (2)(A). |
(i) The Prisoner Review Board shall notify the |
State's Attorney of the county of conviction of |
each record identified by State Police in |
paragraph (2)(A) that is classified as a Class 4 |
felony. The State's Attorney may provide a written |
|
objection to the Prisoner Review Board on the sole |
basis that the record identified does not meet the |
criteria established in paragraph (2)(A). Such an |
objection must be filed within 60 days or by such |
later date set by the Prisoner Review Board in the |
notice after the State's Attorney received notice |
from the Prisoner Review Board. |
(ii) In response to a written objection from a |
State's Attorney, the Prisoner Review Board is |
authorized to conduct a non-public hearing to |
evaluate the information provided in the |
objection. |
(iii) The Prisoner Review Board shall make a |
confidential and privileged recommendation to the |
Governor as to whether to grant a pardon |
authorizing expungement for each of the records |
identified by the Department of State Police as |
described in paragraph (2)(A). |
(C) If an individual has been granted a pardon |
authorizing expungement as described in this Section, |
the Prisoner Review Board, through the Attorney |
General, shall file a petition for expungement with |
the Chief Judge of the circuit or any judge of the |
circuit designated by the Chief Judge where the |
individual had been convicted. Such petition may |
include more than one individual. Whenever an |
|
individual who has been convicted of an offense is |
granted a pardon by the Governor that specifically |
authorizes expungement, an objection to the petition |
may not be filed. Petitions to expunge under this |
subsection (i) may include more than one individual. |
Within 90 days of the filing of such a petition, the |
court shall enter an order expunging the records of |
arrest from the official records of the arresting |
authority and order that the records of the circuit |
court clerk and the Illinois State Police be expunged |
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 the individual had received a |
pardon but the order shall not affect any index issued |
by the circuit court clerk before the entry of the |
order. Upon entry of the order of expungement, the |
circuit court clerk shall promptly provide a copy of |
the order and a certificate of disposition to the |
individual who was pardoned to the individual's last |
known address or by electronic means (if available) or |
otherwise make it available to the individual upon |
request. |
(D) Nothing in this Section is intended to |
diminish or abrogate any rights or remedies otherwise |
|
available to the individual. |
(3) Any individual may file a motion to vacate and |
expunge a conviction for a misdemeanor or Class 4 felony |
violation of Section 4 or Section 5 of the Cannabis |
Control Act. Motions to vacate and expunge under this |
subsection (i) may be filed with the circuit court, Chief |
Judge of a judicial circuit or any judge of the circuit |
designated by the Chief Judge. The circuit court clerk |
shall promptly serve a copy of the motion to vacate and |
expunge, and any supporting documentation, on the State's |
Attorney or prosecutor charged with the duty of |
prosecuting the offense. When considering such a motion to |
vacate and expunge, a court shall consider the following: |
the reasons to retain the records provided by law |
enforcement, the petitioner's age, the petitioner's age at |
the time of offense, the time since the conviction, and |
the specific adverse consequences if denied. An individual |
may file such a petition after the completion of any |
non-financial sentence or non-financial condition imposed |
by the conviction. Within 60 days of the filing of such |
motion, a State's Attorney may file an objection to such a |
petition along with supporting evidence. If a motion to |
vacate and expunge is granted, the records shall be |
expunged in accordance with subparagraphs (d)(8) and |
(d)(9)(A) of this Section. An agency providing civil legal |
aid, as defined by Section 15 of the Public Interest |
|
Attorney Assistance Act, assisting individuals seeking to |
file a motion to vacate and expunge under this subsection |
may file motions to vacate and expunge with the Chief |
Judge of a judicial circuit or any judge of the circuit |
designated by the Chief Judge, and the motion may include |
more than one individual. Motions filed by an agency |
providing civil legal aid concerning more than one |
individual may be prepared, presented, and signed |
electronically. |
(4) Any State's Attorney may file a motion to vacate |
and expunge a conviction for a misdemeanor or Class 4 |
felony violation of Section 4 or Section 5 of the Cannabis |
Control Act. Motions to vacate and expunge under this |
subsection (i) may be filed with the circuit court, Chief |
Judge of a judicial circuit or any judge of the circuit |
designated by the Chief Judge, and may include more than |
one individual. Motions filed by a State's Attorney |
concerning more than one individual may be prepared, |
presented, and signed electronically. When considering |
such a motion to vacate and expunge, a court shall |
consider the following: the reasons to retain the records |
provided by law enforcement, the individual's age, the |
individual's age at the time of offense, the time since |
the conviction, and the specific adverse consequences if |
denied. Upon entry of an order granting a motion to vacate |
and expunge records pursuant to this Section, the State's |
|
Attorney shall notify the Prisoner Review Board within 30 |
days. Upon entry of the order of expungement, the circuit |
court clerk shall promptly provide a copy of the order and |
a certificate of disposition to the individual whose |
records will be expunged to the individual's last known |
address or by electronic means (if available) or otherwise |
make available to the individual upon request. If a motion |
to vacate and expunge is granted, the records shall be |
expunged in accordance with subparagraphs (d)(8) and |
(d)(9)(A) of this Section. |
(5) In the public interest, the State's Attorney of a |
county has standing to file motions to vacate and expunge |
pursuant to this Section in the circuit court with |
jurisdiction over the underlying conviction. |
(6) If a person is arrested for a Minor Cannabis |
Offense as defined in this Section before June 25, 2019 |
(the effective date of Public Act 101-27) and the person's |
case is still pending but a sentence has not been imposed, |
the person may petition the court in which the charges are |
pending for an order to summarily dismiss those charges |
against him or her, and expunge all official records of |
his or her arrest, plea, trial, conviction, incarceration, |
supervision, or expungement. If the court determines, upon |
review, that:
(A) the person was arrested before June 25, |
2019 (the effective date of Public Act 101-27) for an |
offense that has been made eligible for expungement;
(B) |
|
the case is pending at the time; and
(C) the person has not |
been sentenced of the minor cannabis violation eligible |
for expungement under this subsection, the court shall |
consider the following: the reasons to retain the records |
provided by law enforcement, the petitioner's age, the |
petitioner's age at the time of offense, the time since |
the conviction, and the specific adverse consequences if |
denied. If a motion to dismiss and expunge is granted, the |
records shall be expunged in accordance with subparagraph |
(d)(9)(A) of this Section. |
(7) A person imprisoned solely as a result of one or |
more convictions for Minor Cannabis Offenses under this |
subsection (i) shall be released from incarceration upon |
the issuance of an order under this subsection. |
(8) The Illinois State Police shall allow a person to |
use the access and review process, established in the |
Illinois State Police, for verifying that his or her |
records relating to Minor Cannabis Offenses of the |
Cannabis Control Act eligible under this Section have been |
expunged. |
(9) No conviction vacated pursuant to this Section |
shall serve as the basis for damages for time unjustly |
served as provided in the Court of Claims Act. |
(10) Effect of Expungement. A person's right to |
expunge an expungeable offense shall not be limited under |
this Section. The effect of an order of expungement shall |
|
be to restore the person to the status he or she occupied |
before the arrest, charge, or conviction. |
(11) Information. The Illinois State Police shall post |
general information on its website about the expungement |
process described in this subsection (i). |
(j) Felony Prostitution Convictions. |
(1) Any individual may file a motion to vacate and |
expunge a conviction for a prior Class 4 felony violation |
of prostitution. Motions to vacate and expunge under this |
subsection (j) may be filed with the circuit court, Chief |
Judge of a judicial circuit, or any judge of the circuit |
designated by the Chief Judge. When considering the motion |
to vacate and expunge, a court shall consider the |
following: |
(A) the reasons to retain the records provided by |
law enforcement; |
(B) the petitioner's age; |
(C) the petitioner's age at the time of offense; |
and |
(D) the time since the conviction, and the |
specific adverse consequences if denied. An individual |
may file the petition after the completion of any |
sentence or condition imposed by the conviction. |
Within 60 days of the filing of the motion, a State's |
Attorney may file an objection to the petition along |
with supporting evidence. If a motion to vacate and |
|
expunge is granted, the records shall be expunged in |
accordance with subparagraph (d)(9)(A) of this |
Section. An agency providing civil legal aid, as |
defined in Section 15 of the Public Interest Attorney |
Assistance Act, assisting individuals seeking to file |
a motion to vacate and expunge under this subsection |
may file motions to vacate and expunge with the Chief |
Judge of a judicial circuit or any judge of the circuit |
designated by the Chief Judge, and the motion may |
include more than one individual. |
(2) Any State's Attorney may file a motion to vacate |
and expunge a conviction for a Class 4 felony violation of |
prostitution. Motions to vacate and expunge under this |
subsection (j) may be filed with the circuit court, Chief |
Judge of a judicial circuit, or any judge of the circuit |
court designated by the Chief Judge, and may include more |
than one individual. When considering the motion to vacate |
and expunge, a court shall consider the following reasons: |
(A) the reasons to retain the records provided by |
law enforcement; |
(B) the petitioner's age; |
(C) the petitioner's age at the time of offense; |
(D) the time since the conviction; and |
(E) the specific adverse consequences if denied. |
If the State's Attorney files a motion to vacate and |
expunge records for felony prostitution convictions |
|
pursuant to this Section, the State's Attorney shall |
notify the Prisoner Review Board within 30 days of the |
filing. If a motion to vacate and expunge is granted, the |
records shall be expunged in accordance with subparagraph |
(d)(9)(A) of this Section. |
(3) In the public interest, the State's Attorney of a |
county has standing to file motions to vacate and expunge |
pursuant to this Section in the circuit court with |
jurisdiction over the underlying conviction. |
(4) The Illinois State Police shall allow a person to |
a use the access and review process, established in the |
Illinois State Police, for verifying that his or her |
records relating to felony prostitution eligible under |
this Section have been expunged. |
(5) No conviction vacated pursuant to this Section |
shall serve as the basis for damages for time unjustly |
served as provided in the Court of Claims Act. |
(6) Effect of Expungement. A person's right to expunge |
an expungeable offense shall not be limited under this |
Section. The effect of an order of expungement shall be to |
restore the person to the status he or she occupied before |
the arrest, charge, or conviction. |
(7) Information. The Illinois State Police shall post |
general information on its website about the expungement |
process described in this subsection (j). |
(Source: P.A. 101-27, eff. 6-25-19; 101-81, eff. 7-12-19; |
|
101-159, eff. 1-1-20; 101-306, eff. 8-9-19; 101-593, eff. |
12-4-19; 101-645, eff. 6-26-20; 102-145, eff. 7-23-21; |
102-558, 8-20-21; 102-639, eff. 8-27-21; 102-813, eff. |
5-13-22; 102-933, eff. 1-1-23; revised 12-8-22.)
|
Section 115. The Illinois Emergency Management Agency Act |
is amended by changing Section 23 as follows:
|
(20 ILCS 3305/23) |
(Section scheduled to be repealed on January 1, 2032) |
Sec. 23. Access and Functional Needs Advisory Committee. |
(a) In this Section, "Advisory Committee" means the Access |
and Functional Needs Advisory Committee. |
(b) The Access and Functional Needs Advisory Committee is |
created. |
(c) The Advisory Committee shall: |
(1) Coordinate meetings occurring, at a minimum, 3 |
times each year, in addition to emergency meetings called |
by the chairperson of the Advisory Committee. |
(2) Research and provide recommendations for |
identifying and effectively responding to the needs of |
persons with access and functional needs before, during, |
and after a disaster using an intersectional lens for |
equity. |
(3) Provide recommendations to the Illinois Emergency |
Management Agency regarding how to ensure that persons |
|
with a disability are included in disaster strategies and |
emergency management plans, including updates and |
implementation of disaster strategies and emergency |
management plans. |
(4) Review and provide recommendations for the |
Illinois Emergency Management Agency, and all relevant |
State agencies that are involved in drafting and |
implementing the Illinois Emergency Operation Plan, to |
integrate access and functional needs into State and local |
emergency plans. |
(d) The Advisory Committee shall be composed of the |
Director of the Illinois Emergency Management Agency or his or |
her designee, the Attorney General or his or her designee, the |
Secretary of Human Services or his or her designee, the |
Director of on Aging or his or her designee, and the Director |
of Public Health or his or her designee, together with the |
following members appointed by the Governor on or before |
January 1, 2022: |
(1) Two members, either from a municipal or |
county-level emergency agency or a local emergency |
management coordinator. |
(2) Nine members from the community of persons with a |
disability who represent persons with different types of |
disabilities, including, but not limited to, individuals |
with mobility and physical disabilities, hearing and |
visual disabilities, deafness or who are hard of hearing, |
|
blindness or who have low vision, mental health |
disabilities, and intellectual or developmental |
disabilities. Members appointed under this paragraph shall |
reflect a diversity of age, gender, race, and ethnic |
background. |
(3) Four members who represent first responders from |
different geographical regions around the State. |
(e) Of those members appointed by the Governor, the |
initial appointments of 6 members shall be for terms of 2 years |
and the initial appointments of 5 members shall be for terms of |
4 years. Thereafter, members shall be appointed for terms of 4 |
years. A member shall serve until his or her successor is |
appointed and qualified. If a vacancy occurs in the Advisory |
Committee membership, the vacancy shall be filled in the same |
manner as the original appointment for the remainder of the |
unexpired term. |
(f) After all the members are appointed, and annually |
thereafter, they shall elect a chairperson from among the |
members appointed under paragraph (2) of subsection (d). |
(g) The initial meeting of the Advisory Committee shall be |
convened by the Director of the Illinois Emergency Management |
Agency no later than February 1, 2022. |
(h) Advisory Committee members shall serve without |
compensation. |
(i) The Illinois Emergency Management Agency shall provide |
administrative support to the Advisory Committee. |
|
(j) The Advisory Committee shall prepare and deliver a |
report to the General Assembly, the Governor's Office, and the |
Illinois Emergency Management Agency by July 1, 2022, and |
annually thereafter. The report shall include the following: |
(1) Identification of core emergency management |
services that need to be updated or changed to ensure the |
needs of persons with a disability are met, and shall |
include disaster strategies in State and local emergency |
plans. |
(2) Any proposed changes in State policies, laws, |
rules, or regulations necessary to fulfill the purposes of |
this Act. |
(3) Recommendations on improving the accessibility and |
effectiveness of disaster and emergency communication. |
(4) Recommendations on comprehensive training for |
first responders and other frontline workers when working |
with persons with a disability during emergency situations |
or disasters, as defined in Section 4 of the Illinois |
Emergency Management Agency Act. |
(5) Any additional recommendations regarding emergency |
management and persons with a disability that the Advisory |
Committee deems necessary. |
(k) The annual report prepared and delivered under |
subsection (j) shall be annually considered by the Illinois |
Emergency Management Agency when developing new State and |
local emergency plans or updating existing State and local |
|
emergency plans. |
(l) The Advisory Committee is dissolved and this Section |
is repealed on January 1, 2032.
|
(Source: P.A. 102-361, eff. 8-13-21; 102-671, eff. 11-30-21; |
revised 8-24-22.)
|
Section 120. The Illinois State Agency Historic Resources |
Preservation Act is amended by changing Section 5 as follows:
|
(20 ILCS 3420/5) (from Ch. 127, par. 133c25)
|
Sec. 5. Responsibilities of the Department of Natural |
Resources. |
(a) The Director shall include in the Department's
annual |
report an outline of State agency actions on which comment
was |
requested or issued under this Act.
|
(b) The Director shall maintain a current list of all |
historic resources
owned, operated, or leased by the State and |
appropriate maps indicating the
location of all such |
resources. These maps shall be in a form available to
the |
public and State agencies, except that the location of |
archaeological
resources shall be excluded.
|
(c) The Director shall make rules and issue appropriate |
guidelines to
implement this Act. These shall include, but not |
be limited to,
regulations for holding on-site inspections, |
public information meetings
and procedures for consultation, |
mediation, and resolutions by the
Committee pursuant to |
|
subsections (e) and (f) of Section 4.
|
(d) The Director shall (1) assist, to the fullest extent |
possible, the
State agencies in their identification of |
properties for inclusion in an
inventory of historic |
resources, including provision of criteria for
evaluation; (2) |
provide information concerning professional methods and
|
techniques for preserving, improving, restoring, and |
maintaining historic
resources when requested by State |
agencies; and (3) help facilitate State
agency compliance with |
this Act.
|
(e) The Director shall monitor the implementation of |
actions of each
State agency which have an effect, either |
adverse or beneficial, on a an
historic resource.
|
(f) The Department of Natural Resources shall manage and |
control the preservation, conservation,
inventory,
and |
analysis of fine and decorative arts, furnishings, and |
artifacts of the
Illinois Executive
Mansion in Springfield, |
the Governor's offices in the Capitol in Springfield
and the |
James
R. Thompson Center in Chicago, and the Hayes House in |
DuQuoin.
The Department of Natural Resources shall manage the |
preservation and conservation of the
buildings and
grounds of |
the Illinois Executive Mansion in Springfield.
The Governor |
shall appoint a
Curator
of the Executive Mansion, with the |
advice and consent of the Senate, to assist
the Department of |
Natural Resources in
carrying
out the duties under this item |
(f).
The person
appointed Curator must have experience in |
|
historic preservation or as a
curator.
The Curator shall serve |
at the pleasure of the Governor.
The Governor shall determine |
the compensation of the Curator, which shall not
be diminished |
during the term of appointment.
|
(Source: P.A. 102-1005, eff. 5-27-22; revised 8-22-22.)
|
Section 125. The Illinois Power Agency Act is amended by |
changing Section 1-10 as follows:
|
(20 ILCS 3855/1-10)
|
Sec. 1-10. Definitions. |
"Agency" means the Illinois Power Agency. |
"Agency loan agreement" means any agreement pursuant to |
which the Illinois Finance Authority agrees to loan the |
proceeds of revenue bonds issued with respect to a project to |
the Agency upon terms providing for loan repayment |
installments at least sufficient to pay when due all principal |
of, interest and premium, if any, on those revenue bonds, and |
providing for maintenance, insurance, and other matters in |
respect of the project. |
"Authority" means the Illinois Finance Authority. |
"Brownfield site photovoltaic project" means photovoltaics |
that are either: |
(1) interconnected to an electric utility as defined |
in this Section, a municipal utility as defined in this |
Section, a public utility as defined in Section 3-105 of |
|
the Public Utilities Act, or an electric cooperative as |
defined in Section 3-119 of the Public Utilities Act and |
located at a site that is regulated by any of the following |
entities under the following programs: |
(A) the United States Environmental Protection |
Agency under the federal Comprehensive Environmental |
Response, Compensation, and Liability Act of 1980, as |
amended; |
(B) the United States Environmental Protection |
Agency under the Corrective Action Program of the |
federal Resource Conservation and Recovery Act, as |
amended; |
(C) the Illinois Environmental Protection Agency |
under the Illinois Site Remediation Program; or |
(D) the Illinois Environmental Protection Agency |
under the Illinois Solid Waste Program; or |
(2) located at the site of a coal mine that has
|
permanently ceased coal production, permanently halted any |
re-mining operations, and is no longer accepting any coal |
combustion residues; has both completed all clean-up and |
remediation obligations under
the federal Surface Mining |
and Reclamation Act of 1977 and all applicable Illinois |
rules and any other clean-up, remediation, or ongoing |
monitoring to safeguard the health and well-being of the |
people of the State of Illinois, as well as demonstrated |
compliance with all applicable federal and State |
|
environmental rules and regulations, including, but not |
limited, to 35 Ill. Adm. Code Part 845 and any rules for |
historic fill of coal combustion residuals, including any |
rules finalized in Subdocket A of Illinois Pollution |
Control Board docket R2020-019. |
"Clean coal facility" means an electric generating |
facility that uses primarily coal as a feedstock and that |
captures and sequesters carbon dioxide emissions at the |
following levels: at least 50% of the total carbon dioxide |
emissions that the facility would otherwise emit if, at the |
time construction commences, the facility is scheduled to |
commence operation before 2016, at least 70% of the total |
carbon dioxide emissions that the facility would otherwise |
emit if, at the time construction commences, the facility is |
scheduled to commence operation during 2016 or 2017, and at |
least 90% of the total carbon dioxide emissions that the |
facility would otherwise emit if, at the time construction |
commences, the facility is scheduled to commence operation |
after 2017. The power block of the clean coal facility shall |
not exceed allowable emission rates for sulfur dioxide, |
nitrogen oxides, carbon monoxide, particulates and mercury for |
a natural gas-fired combined-cycle facility the same size as |
and in the same location as the clean coal facility at the time |
the clean coal facility obtains an approved air permit. All |
coal used by a clean coal facility shall have high volatile |
bituminous rank and greater than 1.7 pounds of sulfur per |
|
million Btu btu content, unless the clean coal facility does |
not use gasification technology and was operating as a |
conventional coal-fired electric generating facility on June |
1, 2009 (the effective date of Public Act 95-1027). |
"Clean coal SNG brownfield facility" means a facility that |
(1) has commenced construction by July 1, 2015 on an urban |
brownfield site in a municipality with at least 1,000,000 |
residents; (2) uses a gasification process to produce |
substitute natural gas; (3) uses coal as at least 50% of the |
total feedstock over the term of any sourcing agreement with a |
utility and the remainder of the feedstock may be either |
petroleum coke or coal, with all such coal having a high |
bituminous rank and greater than 1.7 pounds of sulfur per |
million Btu content unless the facility reasonably determines
|
that it is necessary to use additional petroleum coke to
|
deliver additional consumer savings, in which case the
|
facility shall use coal for at least 35% of the total
feedstock |
over the term of any sourcing agreement; and (4) captures and |
sequesters at least 85% of the total carbon dioxide emissions |
that the facility would otherwise emit. |
"Clean coal SNG facility" means a facility that uses a |
gasification process to produce substitute natural gas, that |
sequesters at least 90% of the total carbon dioxide emissions |
that the facility would otherwise emit, that uses at least 90% |
coal as a feedstock, with all such coal having a high |
bituminous rank and greater than 1.7 pounds of sulfur per |
|
million Btu btu content, and that has a valid and effective |
permit to construct emission sources and air pollution control |
equipment and approval with respect to the federal regulations |
for Prevention of Significant Deterioration of Air Quality |
(PSD) for the plant pursuant to the federal Clean Air Act; |
provided, however, a clean coal SNG brownfield facility shall |
not be a clean coal SNG facility. |
"Clean energy" means energy generation that is 90% or |
greater free of carbon dioxide emissions. |
"Commission" means the Illinois Commerce Commission. |
"Community renewable generation project" means an electric |
generating facility that: |
(1) is powered by wind, solar thermal energy, |
photovoltaic cells or panels, biodiesel, crops and |
untreated and unadulterated organic waste biomass, and |
hydropower that does not involve new construction or |
significant expansion of hydropower dams; |
(2) is interconnected at the distribution system level |
of an electric utility as defined in this Section, a |
municipal utility as defined in this Section that owns or |
operates electric distribution facilities, a public |
utility as defined in Section 3-105 of the Public |
Utilities Act, or an electric cooperative, as defined in |
Section 3-119 of the Public Utilities Act; |
(3) credits the value of electricity generated by the |
facility to the subscribers of the facility; and |
|
(4) is limited in nameplate capacity to less than or |
equal to 5,000 kilowatts. |
"Costs incurred in connection with the development and |
construction of a facility" means: |
(1) the cost of acquisition of all real property, |
fixtures, and improvements in connection therewith and |
equipment, personal property, and other property, rights, |
and easements acquired that are deemed necessary for the |
operation and maintenance of the facility; |
(2) financing costs with respect to bonds, notes, and |
other evidences of indebtedness of the Agency; |
(3) all origination, commitment, utilization, |
facility, placement, underwriting, syndication, credit |
enhancement, and rating agency fees; |
(4) engineering, design, procurement, consulting, |
legal, accounting, title insurance, survey, appraisal, |
escrow, trustee, collateral agency, interest rate hedging, |
interest rate swap, capitalized interest, contingency, as |
required by lenders, and other financing costs, and other |
expenses for professional services; and |
(5) the costs of plans, specifications, site study and |
investigation, installation, surveys, other Agency costs |
and estimates of costs, and other expenses necessary or |
incidental to determining the feasibility of any project, |
together with such other expenses as may be necessary or |
incidental to the financing, insuring, acquisition, and |
|
construction of a specific project and starting up, |
commissioning, and placing that project in operation. |
"Delivery services" has the same definition as found in |
Section 16-102 of the Public Utilities Act. |
"Delivery year" means the consecutive 12-month period |
beginning June 1 of a given year and ending May 31 of the |
following year. |
"Department" means the Department of Commerce and Economic |
Opportunity. |
"Director" means the Director of the Illinois Power |
Agency. |
"Demand-response" means measures that decrease peak |
electricity demand or shift demand from peak to off-peak |
periods. |
"Distributed renewable energy generation device" means a |
device that is: |
(1) powered by wind, solar thermal energy, |
photovoltaic cells or panels, biodiesel, crops and |
untreated and unadulterated organic waste biomass, tree |
waste, and hydropower that does not involve new |
construction or significant expansion of hydropower dams, |
waste heat to power systems, or qualified combined heat |
and power systems; |
(2) interconnected at the distribution system level of |
either an electric utility as defined in this Section, a |
municipal utility as defined in this Section that owns or |
|
operates electric distribution facilities, or a rural |
electric cooperative as defined in Section 3-119 of the |
Public Utilities Act; |
(3) located on the customer side of the customer's |
electric meter and is primarily used to offset that |
customer's electricity load; and |
(4) (blank). |
"Energy efficiency" means measures that reduce the amount |
of electricity or natural gas consumed in order to achieve a |
given end use. "Energy efficiency" includes voltage |
optimization measures that optimize the voltage at points on |
the electric distribution voltage system and thereby reduce |
electricity consumption by electric customers' end use |
devices. "Energy efficiency" also includes measures that |
reduce the total Btus of electricity, natural gas, and other |
fuels needed to meet the end use or uses. |
"Electric utility" has the same definition as found in |
Section 16-102 of the Public Utilities Act. |
"Equity investment eligible community" or "eligible |
community" are synonymous and mean the geographic areas |
throughout Illinois which would most benefit from equitable |
investments by the State designed to combat discrimination. |
Specifically, the eligible communities shall be defined as the |
following areas: |
(1) R3 Areas as established pursuant to Section 10-40 |
of the Cannabis Regulation and Tax Act, where residents |
|
have historically been excluded from economic |
opportunities, including opportunities in the energy |
sector; and |
(2) environmental Environmental justice communities, |
as defined by the Illinois Power Agency pursuant to the |
Illinois Power Agency Act, where residents have |
historically been subject to disproportionate burdens of |
pollution, including pollution from the energy sector. |
"Equity eligible persons" or "eligible persons" means |
persons who would most benefit from equitable investments by |
the State designed to combat discrimination, specifically: |
(1) persons who graduate from or are current or former |
participants in the Clean Jobs Workforce Network Program, |
the Clean Energy Contractor Incubator Program, the |
Illinois Climate Works Preapprenticeship Program, |
Returning Residents Clean Jobs Training Program, or the |
Clean Energy Primes Contractor Accelerator Program, and |
the solar training pipeline and multi-cultural jobs |
program created in paragraphs (a)(1) and (a)(3) of Section |
16-208.12 16-108.21 of the Public Utilities Act; |
(2) persons who are graduates of or currently enrolled |
in the foster care system; |
(3) persons who were formerly incarcerated; |
(4) persons whose primary residence is in an equity |
investment eligible community. |
"Equity eligible contractor" means a business that is |
|
majority-owned by eligible persons, or a nonprofit or |
cooperative that is majority-governed by eligible persons, or |
is a natural person that is an eligible person offering |
personal services as an independent contractor. |
"Facility" means an electric generating unit or a |
co-generating unit that produces electricity along with |
related equipment necessary to connect the facility to an |
electric transmission or distribution system. |
"General contractor Contractor " means the entity or |
organization with main responsibility for the building of a |
construction project and who is the party signing the prime |
construction contract for the project. |
"Governmental aggregator" means one or more units of local |
government that individually or collectively procure |
electricity to serve residential retail electrical loads |
located within its or their jurisdiction. |
"High voltage direct current converter station" means the |
collection of equipment that converts direct current energy |
from a high voltage direct current transmission line into |
alternating current using Voltage Source Conversion technology |
and that is interconnected with transmission or distribution |
assets located in Illinois. |
"High voltage direct current renewable energy credit" |
means a renewable energy credit associated with a renewable |
energy resource where the renewable energy resource has |
entered into a contract to transmit the energy associated with |
|
such renewable energy credit over high voltage direct current |
transmission facilities. |
"High voltage direct current transmission facilities" |
means the collection of installed equipment that converts |
alternating current energy in one location to direct current |
and transmits that direct current energy to a high voltage |
direct current converter station using Voltage Source |
Conversion technology. "High voltage direct current |
transmission facilities" includes the high voltage direct |
current converter station itself and associated high voltage |
direct current transmission lines. Notwithstanding the |
preceding, after September 15, 2021 ( the effective date of |
Public Act 102-662) this amendatory Act of the 102nd General |
Assembly , an otherwise qualifying collection of equipment does |
not qualify as high voltage direct current transmission |
facilities unless its developer entered into a project labor |
agreement, is capable of transmitting electricity at 525kv |
with an Illinois converter station located and interconnected |
in the region of the PJM Interconnection, LLC, and the system |
does not operate as a public utility, as that term is defined |
in Section 3-105 of the Public Utilities Act. |
"Index price" means the real-time energy settlement price |
at the applicable Illinois trading hub, such as PJM-NIHUB or |
MISO-IL, for a given settlement period. |
"Indexed renewable energy credit" means a tradable credit |
that represents the environmental attributes of one megawatt |
|
hour of energy produced from a renewable energy resource, the |
price of which shall be calculated by subtracting the strike |
price offered by a new utility-scale wind project or a new |
utility-scale photovoltaic project from the index price in a |
given settlement period. |
"Indexed renewable energy credit counterparty" has the |
same meaning as "public utility" as defined in Section 3-105 |
of the Public Utilities Act. |
"Local government" means a unit of local government as |
defined in Section 1 of Article VII of the Illinois |
Constitution. |
"Municipality" means a city, village, or incorporated |
town. |
"Municipal utility" means a public utility owned and |
operated by any subdivision or municipal corporation of this |
State. |
"Nameplate capacity" means the aggregate inverter |
nameplate capacity in kilowatts AC. |
"Person" means any natural person, firm, partnership, |
corporation, either domestic or foreign, company, association, |
limited liability company, joint stock company, or association |
and includes any trustee, receiver, assignee, or personal |
representative thereof. |
"Project" means the planning, bidding, and construction of |
a facility. |
"Project labor agreement" means a pre-hire collective |
|
bargaining agreement that covers all terms and conditions of |
employment on a specific construction project and must include |
the following: |
(1) provisions establishing the minimum hourly wage |
for each class of labor organization employee; |
(2) provisions establishing the benefits and other |
compensation for each class of labor organization |
employee; |
(3) provisions establishing that no strike or disputes |
will be engaged in by the labor organization employees; |
(4) provisions establishing that no lockout or |
disputes will be engaged in by the general contractor |
building the project; and |
(5) provisions for minorities and women, as defined |
under the Business Enterprise for Minorities, Women, and |
Persons with Disabilities Act, setting forth goals for |
apprenticeship hours to be performed by minorities and |
women and setting forth goals for total hours to be |
performed by underrepresented minorities and women. |
A labor organization and the general contractor building |
the project shall have the authority to include other terms |
and conditions as they deem necessary. |
"Public utility" has the same definition as found in |
Section 3-105 of the Public Utilities Act. |
"Qualified combined heat and power systems" means systems |
that, either simultaneously or sequentially, produce |
|
electricity and useful thermal energy from a single fuel |
source. Such systems are eligible for "renewable energy |
credits" in an amount equal to its total energy output where a |
renewable fuel is consumed or in an amount equal to the net |
reduction in nonrenewable fuel consumed on a total energy |
output basis. |
"Real property" means any interest in land together with |
all structures, fixtures, and improvements thereon, including |
lands under water and riparian rights, any easements, |
covenants, licenses, leases, rights-of-way, uses, and other |
interests, together with any liens, judgments, mortgages, or |
other claims or security interests related to real property. |
"Renewable energy credit" means a tradable credit that |
represents the environmental attributes of one megawatt hour |
of energy produced from a renewable energy resource. |
"Renewable energy resources" includes energy and its |
associated renewable energy credit or renewable energy credits |
from wind, solar thermal energy, photovoltaic cells and |
panels, biodiesel, anaerobic digestion, crops and untreated |
and unadulterated organic waste biomass, and hydropower that |
does not involve new construction or significant expansion of |
hydropower dams, waste heat to power systems, or qualified |
combined heat and power systems. For purposes of this Act, |
landfill gas produced in the State is considered a renewable |
energy resource. "Renewable energy resources" does not include |
the incineration or burning of tires, garbage, general |
|
household, institutional, and commercial waste, industrial |
lunchroom or office waste, landscape waste, railroad |
crossties, utility poles, or construction or demolition |
debris, other than untreated and unadulterated waste wood. |
"Renewable energy resources" also includes high voltage direct |
current renewable energy credits and the associated energy |
converted to alternating current by a high voltage direct |
current converter station to the extent that: (1) the |
generator of such renewable energy resource contracted with a |
third party to transmit the energy over the high voltage |
direct current transmission facilities, and (2) the |
third-party contracting for delivery of renewable energy |
resources over the high voltage direct current transmission |
facilities have ownership rights over the unretired associated |
high voltage direct current renewable energy credit. |
"Retail customer" has the same definition as found in |
Section 16-102 of the Public Utilities Act. |
"Revenue bond" means any bond, note, or other evidence of |
indebtedness issued by the Authority, the principal and |
interest of which is payable solely from revenues or income |
derived from any project or activity of the Agency. |
"Sequester" means permanent storage of carbon dioxide by |
injecting it into a saline aquifer, a depleted gas reservoir, |
or an oil reservoir, directly or through an enhanced oil |
recovery process that may involve intermediate storage, |
regardless of whether these activities are conducted by a |
|
clean coal facility, a clean coal SNG facility, a clean coal |
SNG brownfield facility, or a party with which a clean coal |
facility, clean coal SNG facility, or clean coal SNG |
brownfield facility has contracted for such purposes. |
"Service area" has the same definition as found in Section |
16-102 of the Public Utilities Act. |
"Settlement period" means the period of time utilized by |
MISO and PJM and their successor organizations as the basis |
for settlement calculations in the real-time energy market. |
"Sourcing agreement" means (i) in the case of an electric |
utility, an agreement between the owner of a clean coal |
facility and such electric utility, which agreement shall have |
terms and conditions meeting the requirements of paragraph (3) |
of subsection (d) of Section 1-75, (ii) in the case of an |
alternative retail electric supplier, an agreement between the |
owner of a clean coal facility and such alternative retail |
electric supplier, which agreement shall have terms and |
conditions meeting the requirements of Section 16-115(d)(5) of |
the Public Utilities Act, and (iii) in case of a gas utility, |
an agreement between the owner of a clean coal SNG brownfield |
facility and the gas utility, which agreement shall have the |
terms and conditions meeting the requirements of subsection |
(h-1) of Section 9-220 of the Public Utilities Act. |
"Strike price" means a contract price for energy and |
renewable energy credits from a new utility-scale wind project |
or a new utility-scale photovoltaic project. |
|
"Subscriber" means a person who (i) takes delivery service |
from an electric utility, and (ii) has a subscription of no |
less than 200 watts to a community renewable generation |
project that is located in the electric utility's service |
area. No subscriber's subscriptions may total more than 40% of |
the nameplate capacity of an individual community renewable |
generation project. Entities that are affiliated by virtue of |
a common parent shall not represent multiple subscriptions |
that total more than 40% of the nameplate capacity of an |
individual community renewable generation project. |
"Subscription" means an interest in a community renewable |
generation project expressed in kilowatts, which is sized |
primarily to offset part or all of the subscriber's |
electricity usage. |
"Substitute natural gas" or "SNG" means a gas manufactured |
by gasification of hydrocarbon feedstock, which is |
substantially interchangeable in use and distribution with |
conventional natural gas.
|
"Total resource cost test" or "TRC test" means a standard |
that is met if, for an investment in energy efficiency or |
demand-response measures, the benefit-cost ratio is greater |
than one. The benefit-cost ratio is the ratio of the net |
present value of the total benefits of the program to the net |
present value of the total costs as calculated over the |
lifetime of the measures. A total resource cost test compares |
the sum of avoided electric utility costs, representing the |
|
benefits that accrue to the system and the participant in the |
delivery of those efficiency measures and including avoided |
costs associated with reduced use of natural gas or other |
fuels, avoided costs associated with reduced water |
consumption, and avoided costs associated with reduced |
operation and maintenance costs, as well as other quantifiable |
societal benefits, to the sum of all incremental costs of |
end-use measures that are implemented due to the program |
(including both utility and participant contributions), plus |
costs to administer, deliver, and evaluate each demand-side |
program, to quantify the net savings obtained by substituting |
the demand-side program for supply resources. In calculating |
avoided costs of power and energy that an electric utility |
would otherwise have had to acquire, reasonable estimates |
shall be included of financial costs likely to be imposed by |
future regulations and legislation on emissions of greenhouse |
gases. In discounting future societal costs and benefits for |
the purpose of calculating net present values, a societal |
discount rate based on actual, long-term Treasury bond yields |
should be used. Notwithstanding anything to the contrary, the |
TRC test shall not include or take into account a calculation |
of market price suppression effects or demand reduction |
induced price effects. |
"Utility-scale solar project" means an electric generating |
facility that: |
(1) generates electricity using photovoltaic cells; |
|
and |
(2) has a nameplate capacity that is greater than |
5,000 kilowatts. |
"Utility-scale wind project" means an electric generating |
facility that: |
(1) generates electricity using wind; and |
(2) has a nameplate capacity that is greater than |
5,000 kilowatts. |
"Waste Heat to Power Systems" means systems that capture |
and generate electricity from energy that would otherwise be |
lost to the atmosphere without the use of additional fuel. |
"Zero emission credit" means a tradable credit that |
represents the environmental attributes of one megawatt hour |
of energy produced from a zero emission facility. |
"Zero emission facility" means a facility that: (1) is |
fueled by nuclear power; and (2) is interconnected with PJM |
Interconnection, LLC or the Midcontinent Independent System |
Operator, Inc., or their successors. |
(Source: P.A. 102-662, eff. 9-15-21; revised 6-2-22.)
|
Section 130. The Illinois African-American Family |
Commission Act is amended by changing Section 5 as follows:
|
(20 ILCS 3903/5) |
Sec. 5. Legislative findings. It is the policy of this |
State to promote family preservation and to preserve and |
|
strengthen families. |
(a) Over 12 million people live in Illinois. |
African-Americans represent 15% of the population and 26% of |
the residents living in Cook County. Despite some progress |
over the last few decades, African-Americans in Illinois |
continue to lag behind other racial groups relative to |
indicators of well-being in education, employment, income, and |
health. According to the 2000 U.S. Census, just 26% of the |
African-American population over 25 years of age in Illinois |
completed their high school education; 6% held an associate's |
degree; less than 10% (9%) held a bachelor's degree; less than |
5% (3%) held a master's degree; and less than one percent held |
either a professional (.8%) or doctoral (.4%) degree.
|
These levels of education attainment reflect more |
fundamental problems with retaining African-Americans in |
school. The Illinois State Board of Education reported that |
for the 2001-2002 school year, 36,373, or 6%, of students |
enrolled in public high schools dropped out. Thirty-nine |
percent of these students were African-Americans; 38% were |
White; 21% were Hispanic; and 2% were classified as Other.
|
Although African-Americans make up 18% of the high school |
population, they are disproportionately represented in the |
number of students who are suspended and expelled. In the |
2001-2002 school year, 29,068 students were suspended from |
school. Forty-seven percent were White, 37% were |
African-American, 14% were Hispanic, and 1% were classified as |
|
Other. In regards to expulsions Statewide, the total number of |
high school students expelled was 1,651. Forty-three percent |
were African-American, 41% were White, 14% were Hispanic, and |
2% were classified as Other. Within Chicago public schools, |
448 students were expelled. Seventy-seven of these students |
were African-American; 27% were White; 14% were Hispanic; and |
4% were classified as Other. The fact that African-Americans |
are more likely to be suspended or expelled from school also |
contributes to the high dropout rate among African-American |
high school students.
|
In addition to educational challenges, African-Americans |
face challenges in the areas of employment and income. In the |
year 2000, the unemployment rate for African-Americans age 16 |
years or older was 15% compared to only 6% for the total |
Illinois population. Moreover, the median household income of |
African-Americans in Illinois was $31,699 compared to $46,590 |
for the total Illinois population, and the percentage of |
African-American families below the poverty level in Illinois |
was 26% percent in 1999 compared to 10.7% for the total |
Illinois population in that same year.
|
Indicators of child welfare and criminal justice reveal |
still more challenges that African-American families face in |
Illinois. In 2000, African-American children represented 18% |
of children 18 years of age and under, but comprised 73% of |
children in substitute care. African-Americans are also |
overrepresented in the criminal justice population. Of the |
|
total Illinois adult inmate population in the year 2000, 65% |
were African-American. During this same time period, |
African-American youth represented 58% of the juvenile inmate |
population in Illinois.
|
While the leading causes of death among African-Americans |
are the same as those for the general population in Illinois, |
African-Americans have a higher rate of death per 100,000 |
residents. The rate of overall deaths per 100,000 residents |
among African-Americans in the year 2000 was 1,181; 847 for |
Whites; and 411 for those classified as Other. The rate of |
cancer-related deaths per 100,000 residents by racial or |
ethnic groups in 2000 was: 278 African-Americans; 206 Whites; |
and 110 of those classified as Other. The rate of |
diabetes-related deaths per 100,000 residents among |
African-Americans in 2000 was 41 compared to 23 for Whites and |
13 for those classified as Other. The rate of deaths per |
100,000 residents by heart disease among African-Americans in |
2000 was 352 compared
to 257 for Whites and 120 for those |
classified as Other. The rate of deaths per 100,000 residents |
by stroke among African-Americans in 2000 was 75; 60 for |
Whites; and 35 for those classified as Other.
|
African-Americans had higher rates of smoking and obesity |
than other racial groups in Illinois in 2001. |
African-Americans accounted for more of the new |
adult/adolescent AIDS cases, cumulative adult/adolescent AIDS |
cases, and number of people living with AIDS than other racial |
|
groups in Illinois in the year 2002. Still, 23% of uninsured |
persons in Illinois are African-American.
|
(b) The Illinois African-American Family Commission |
continues to be an essential key to promoting the preservation |
and strengthening of families. As of January 1, 2015 ( the |
effective date of Public Act 98-693) this amendatory Act of |
the 98th General Assembly , just under 13 million people live |
in Illinois. African-Americans represent 15% of the population |
and 25% of the residents living in Cook County. Despite some |
progress over the last few decades, African-Americans in |
Illinois continue to lag behind other racial groups relative |
to indicators of well-being in education, employment, income, |
and health. According to the 2010 federal decennial census: |
just 28% of the African-American population over 25 years of |
age in Illinois completed their high school education; 36% had |
some college or an associate's degree; less than 12% held a |
bachelor's degree; less than 8% held either a graduate or |
professional degree. |
These levels of education attainment reflect more |
fundamental problems with retaining African-Americans in |
school. The State Board of Education reported that for the |
2010-2011 school year, 18,210, or 2.77%, of students enrolled |
in public high schools dropped out. 39.3% of these students |
were African-Americans; 32.6% were White; 24.2% were Hispanic; |
and 2% were classified as Other. |
Although African-Americans make up 20% of the high school |
|
population, they are disproportionately represented in the |
number of students who are suspended and expelled. In the |
2011-2012 school year, 29,928 students were suspended from |
school. 36% were White, 34% were African-American, 26% were |
Hispanic, and 4% were classified as Other. With regard to |
expulsions statewide, the total number of high school students |
expelled was 982. 37% were African-American, 41% were White, |
21% were Hispanic, and 2% were classified as Other. Within |
Chicago public schools, 294 students were expelled. 80% of |
these students were African-American; none were White; 17% |
were Hispanic; and 3% were classified as Other. The fact that |
African-Americans are more likely to be suspended or expelled |
from school also contributes to the high dropout rate among |
African-American high school students. |
In addition to educational challenges, African-Americans |
face challenges in the areas of employment and income. In the |
year 2010, the unemployment rate for African-Americans age 16 |
years or older was 16% compared to only 9% for the total |
Illinois population. Moreover, the median household income of |
African-Americans in Illinois was $34,874 compared to $60,433 |
for the total Illinois population, and the percentage of |
African-American families below the poverty level in Illinois |
was 32% percent in 2012 compared to 15% for the total Illinois |
population in that same year. |
Indicators of child welfare and criminal justice reveal |
still more challenges that African-American families face in |
|
Illinois. In 2010, African-American children represented 14% |
of children 18 years of age and under, but comprised 56% of |
children in substitute care. African-Americans are also |
overrepresented in the criminal justice population. Of the |
total Illinois adult inmate population in the year 2012, 57% |
were African-American. During this same time period, |
African-American youth represented 66% of the juvenile inmate |
population in Illinois. |
While the leading causes of death among African-Americans |
are the same as those for the general population in Illinois, |
African-Americans have a higher rate of death per 100,000 |
residents. The rate of overall deaths per 100,000 residents |
among African-Americans in the year 2010 was 898; 741 for |
Whites; and 458 for those classified as Other. The rate of |
cancer-related deaths per 100,000 residents by racial or |
ethnic groups in 2010 was 216 for African-Americans; 179 for |
Whites; and 124 for those classified as Other. The rate of |
diabetes-related deaths per 100,000 residents among |
African-Americans in 2010 was 114 compared to 66 for Whites |
and 75 for those classified as Other. The rate of deaths per |
100,000 residents by heart disease among African-Americans in |
2010 was 232 compared to 179 for Whites and 121 for those |
classified as Other. The rate of deaths per 100,000 residents |
by stroke among African-Americans in 2010 was 108; 73 for |
Whites; and 56 for those classified as Other. |
African-Americans had higher rates of smoking and obesity |
|
than other racial groups in Illinois in 2013. |
African-Americans accounted for more of the new |
adult/adolescent AIDS cases, cumulative adult/adolescent AIDS |
cases, and number of people living with AIDS than other racial |
groups in Illinois in the year 2013. Still, 24% of uninsured |
persons in Illinois are African-American. |
(c) These huge disparities in education, employment, |
income, child welfare, criminal justice, and health |
demonstrate the tremendous challenges facing the |
African-American family in Illinois. These challenges are |
severe. There is a need for government, child and family |
advocates, and other key stakeholders to create and implement |
public policies to address the health and social crises facing |
African-American families. The development of given solutions |
clearly transcends any one State agency and requires a |
coordinated effort. The Illinois African-American Family |
Commission shall assist State agencies with this task.
|
The African-American Family Commission was created in |
October 1994 by Executive Order to assist the Illinois |
Department of Children and Family Services in developing and |
implementing programs and public policies that affect the |
State's child welfare system. The Commission has a proven |
track record of bringing State agencies, community providers, |
and consumers together to address child welfare issues. The |
ability of the Commission to address the above-mentioned |
health issues, community factors, and the personal well-being |
|
of African-American families and children has been limited due |
to the Executive Order's focus on child welfare. It is |
apparent that broader issues of health, mental health, |
criminal justice, education, and economic development also |
directly affect the health and well-being of African-American |
families and children. Accordingly, the role of the Illinois |
African-American Family Commission is hereby expanded to |
encompass working relationships with every department, agency, |
and commission within State government if any of its |
activities impact African-American children and families. The |
focus of the Commission is hereby restructured and shall exist |
by legislative mandate to engage State agencies in its efforts |
to preserve and strengthen African-American families.
|
(Source: P.A. 98-693, eff. 1-1-15; revised 9-14-22.)
|
Section 135. The Illinois Vehicle Hijacking and Motor |
Vehicle Theft Prevention and Insurance Verification Act is |
amended by changing Sections 8.5 and 8.6 as follows:
|
(20 ILCS 4005/8.5)
|
(Section scheduled to be repealed on January 1, 2025) |
Sec. 8.5. State Police Vehicle Hijacking and Motor Vehicle |
Theft Prevention Trust Fund. The State Police Vehicle |
Hijacking and Motor Vehicle Theft Prevention Trust Fund is |
created as a trust fund in the State treasury. The State |
Treasurer shall be the custodian of the Fund. The State Police |
|
Vehicle Hijacking and Motor Vehicle Theft Prevention Trust |
Fund is established to receive funds from the Illinois Vehicle |
Hijacking and Motor Vehicle Theft Prevention and Insurance |
Verification Council. All interest earned from the investment |
or deposit of moneys accumulated in the Fund shall be |
deposited into the Fund. Moneys in the Fund shall be used by |
the Illinois State Police for motor vehicle theft prevention |
purposes.
|
(Source: P.A. 102-538, eff. 8-20-21; 102-775, eff. 5-13-22; |
102-904, eff. 1-1-23; revised 12-13-22.)
|
(20 ILCS 4005/8.6) |
Sec. 8.6. State Police Training and Academy Fund; Law |
Enforcement Training Fund. Before April 1 of each year, each |
insurer engaged in writing private passenger motor vehicle |
insurance coverage that is included in Class 2 and Class 3 of |
Section 4 of the Illinois Insurance Code, as a condition of its |
authority to transact business in this State, may collect and |
shall pay to the Department of Insurance an amount equal to $4, |
or a lesser amount determined by the Illinois Law Enforcement |
Training Standards Board by rule, multiplied by the insurer's |
total earned car years of private passenger motor vehicle |
insurance policies providing physical damage insurance |
coverage written in this State during the preceding calendar |
year. Of the amounts collected under this Section, the |
Department of Insurance shall deposit 10% into the State |
|
Police Training and Academy Fund and 90% into the Law |
Enforcement Training Fund.
|
(Source: P.A. 102-16, eff. 6-17-21; 102-775, eff. 5-13-22; |
102-1071, eff. 6-10-22; revised 9-1-22.)
|
Section 140. The Task Force on Missing and Murdered |
Chicago Women Act is amended by changing Section 10 as |
follows:
|
(20 ILCS 4119/10)
|
Sec. 10. Task Force on Missing and Murdered Chicago Women. |
(a) The Executive Director of the Illinois Criminal |
Justice Information Authority or the Executive Director's |
designee, in consultation with the Director of the Illinois |
State Police and the Chicago Police Superintendent, shall |
appoint the non-legislative members to the Task
Force on |
Missing and Murdered Chicago Women to advise the Director and |
the Chicago Police Superintendent and to report
to the General |
Assembly on recommendations to reduce and end violence against |
Chicago women
and girls. The Task Force may
also serve as a |
liaison between the Director, the Chicago Police |
Superintendent, and agencies and nongovernmental
organizations |
that provide services to victims, victims' families, and |
victims' communities.
Task Force members shall serve without |
compensation but may, subject to appropriation, receive
|
reimbursement for their expenses as members of the Task Force. |
|
(b) There is created the Task Force on Missing and
|
Murdered Chicago Women, which shall consist of the following |
individuals, or their designees,
who are knowledgeable in |
crime victims' rights or violence protection and, unless |
otherwise
specified, members shall be appointed for 2-year |
terms as follows: |
(1) Two members of the Senate, one appointed by the |
President of the Senate and one appointed
by the Minority |
Leader of the Senate ; . |
(2) Two members of the House of Representatives, one |
appointed by the Speaker of the
House of Representatives |
and one appointed by the Minority Leader of the House of |
Representatives ; . |
(3) Two members from among the following appointed by |
the Executive Director of the Illinois Criminal Justice |
Information Authority or the Executive Director's |
designee: |
(A) an association representing Illinois chiefs of |
police; |
(B)
an association representing Illinois sheriffs; |
(C) an officer who is employed by the Illinois |
State Police; or |
(D) an Illinois peace officer's association ; . |
(4) One or more representatives from among the |
following: |
(A) an association representing State's Attorneys; |
|
(B) an attorney representing the United States |
Attorney's Office in Chicago; or |
(C) a circuit judge, associate judge, or attorney |
working in juvenile court; |
(D) the Cook County Medical Examiner, or his or |
her designee, or a representative from a statewide |
coroner's or medical examiner's association or a
|
representative of the Department of Public Health; |
(5) Two representatives for victims, with a focus on |
individuals who work
with victims of violence or their |
families appointed by the Executive Director of the |
Illinois Criminal Justice Information Authority or the |
Executive Director's designee; and |
(6) Four or more members from among the following |
appointed by the Executive Director of the Illinois |
Criminal Justice Information Authority or the Executive |
Director's designee: |
(A) a statewide or local organization that |
provides legal services to Chicago
women and girls; |
(B) a statewide or local organization that |
provides advocacy or counseling for
Chicago women and |
girls who have been victims of violence; |
(C) a statewide or local organization that |
provides healthcare services to Chicago women
and |
girls; |
(D) a statewide organization that represents women |
|
and girls who have been sexually assaulted; |
(E)
a women's health organization or agency; or |
(F) a Chicago woman who is a survivor of |
gender-related violence. |
(c) Vacancies in positions appointed by the Executive |
Director of the Illinois Criminal Justice Information |
Authority or the Executive Director's designee shall be filled |
by the
Executive Director of the Illinois Criminal Justice |
Information Authority or the Executive Director's designee |
consistent with the qualifications of the vacating member |
required by this
Section. |
(d) Task Force members shall annually elect a chair
and |
vice-chair from among the Task Force's members, and may elect |
other officers as
necessary. The Task Force shall meet at |
least quarterly, or upon the call of its chair, and may
hold |
meetings throughout the City of Chicago. The Task Force shall |
meet frequently enough to
accomplish the tasks identified in |
this Section. Meetings of the Task Force are subject to
the |
Open Meetings Act. The Task Force shall seek out and enlist the |
cooperation
and assistance of nongovernmental organizations, |
community, and advocacy organizations
working with the Chicago |
community, and academic researchers and experts,
specifically |
those specializing in violence against Chicago women and |
girls, representing
diverse communities disproportionately |
affected by violence against women and girls, or
focusing on |
issues related to gender-related violence and violence against |
|
Chicago women and
girls. |
(e) The Executive Director of the Illinois Criminal |
Justice Information Authority or the Executive Director's |
designee shall convene the first meeting of the Task Force no |
later than
30 days after the appointment of a majority of the |
members of the Task Force. The Illinois Criminal Justice |
Information Authority shall provide meeting space and |
administrative assistance as necessary
for the Task Force to |
conduct its work. The chair of the Task Force may call |
electronic meetings of the Task Force. A member of the Task |
Force participating electronically shall be deemed present for |
purposes of establishing a quorum and voting. |
(f) The Task Force must examine and
report on the |
following: |
(1) the systemic causes behind violence that Chicago |
women and girls experience,
including patterns and |
underlying factors that explain why disproportionately |
high levels
of violence occur against Chicago women and |
girls, including underlying historical,
social, economic, |
institutional, and cultural factors that may contribute to |
the violence; |
(2) appropriate methods for tracking and collecting |
data on violence against Chicago
women and girls, |
including data on missing and murdered Chicago women and |
girls; |
(3) policies and institutions such as policing, child |
|
welfare, medical examiner practices, and other
|
governmental practices that impact violence against |
Chicago women and girls and the
investigation and |
prosecution of crimes of gender-related violence against |
Chicago residents; |
(4) measures necessary to address and reduce violence |
against Chicago women and
girls; and
|
(5) measures to help victims, victims' families, and |
victims' communities prevent and
heal from violence that |
occurs against Chicago women and girls. |
(g) The Task Force shall report on or before December 31 of |
2024, and on or before December 31 of each year thereafter, to |
the General Assembly and the Governor on the work of the Task |
Force, including, but not limited to, the issues to be
|
examined in subsection (g), and shall include in the annual |
report recommendations regarding institutional policies and |
practices
or proposed institutional policies and practices |
that are effective in reducing gender-related violence
and |
increasing the safety of Chicago women and girls. The report |
shall include
recommendations to reduce and end violence |
against Chicago women and girls and help
victims and |
communities heal from gender-related violence and violence |
against Chicago women
and girls.
|
(Source: P.A. 102-1057, eff. 1-1-23; revised 12-16-22.)
|
Section 150. The Legislative Audit Commission Act is |
|
amended by changing Section 3 as follows:
|
(25 ILCS 150/3) (from Ch. 63, par. 106)
|
Sec. 3.
The Commission
shall receive the reports of the |
Auditor General and
other financial statements and shall |
determine what remedial measures, if
any, are needed, and |
whether special studies and investigations are
necessary. If |
the Commission shall deem such studies and investigations to
|
be necessary, the Commission may direct the Auditor General to |
undertake
such studies or investigations.
|
When a disagreement between the Audit Commission and an |
agency under the
Governor's jurisdiction arises in the process |
of the Audit Commission's
review of audit reports relating to |
such agency, the Audit Commission shall
promptly advise the |
Governor of such areas of disagreement. The Governor
shall |
respond to the Audit Commission within a reasonable period of |
time,
and in no event later than 60 days, expressing his views |
concerning such
areas of disagreement and indicating the |
corrective action taken by his
office with reference thereto |
or, if no action is taken, indicating the
reasons therefor.
|
The Audit Commission also promptly shall advise all other |
responsible
officials of the Executive, Judicial , and |
Legislative branches of the State
government of areas of |
disagreement arising in the process of the
Commission's review |
of their respective audit reports. With reference to
his |
particular office, each such responsible official shall |
|
respond to the
Audit Commission within a reasonable period of |
time, and in no event later
than 60 days, expressing his view |
concerning such areas of disagreement and
indicating the |
corrective action taken with reference thereto or stating
the |
reasons that no action has been taken.
|
The Commission shall report its activities to the General |
Assembly
including such remedial measures as it deems to be |
necessary. The report of
the Commission shall be made to the |
General Assembly not
less often than annually and not later |
than March 1 in each year.
|
The requirement for reporting to the General Assembly |
shall be satisfied
by filing copies of the report as required
|
by Section 3.1 of the General Assembly Organization Act, and |
filing 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.
|
In addition, the Commission has the powers and duties |
provided for in the
" Illinois State Auditing Act ", enacted by |
the 78th General Assembly , and,
if the provisions of that Act |
are conflict with those of this Act, that Act prevails.
|
(Source: P.A. 100-1148, eff. 12-10-18; revised 9-12-22.)
|
Section 155. The State Finance Act is amended by setting |
forth and renumbering multiple versions of Sections 5.935, |
5.970, 5.971, 5.972, 5.973, 5.974, 5.975, 5.976, and 6z-131, |
by changing Sections 6z-18, 6z-64, 6z-126, and 29a, and by |
|
setting forth, renumbering, and changing multiple versions of |
Section 6z-130 as follows:
|
(30 ILCS 105/5.935) |
Sec. 5.935. The Freedom Schools Fund. |
(Source: P.A. 101-654, eff. 3-8-21; 102-813, eff. 5-13-22.)
|
(30 ILCS 105/5.965) |
Sec. 5.965 5.935 . The 100 Club of Illinois Fund. |
(Source: P.A. 102-1060, eff. 6-10-22; revised 7-27-22.)
|
(30 ILCS 105/5.966) |
Sec. 5.966 5.970 . The Serve Illinois Commission Fund. |
(Source: P.A. 102-699, eff. 4-19-22; revised 7-27-22.)
|
(30 ILCS 105/5.967) |
Sec. 5.967 5.970 . The Illinois Production Workforce |
Development Fund. |
(Source: P.A. 102-700, eff. 4-19-22; revised 7-27-22.)
|
(30 ILCS 105/5.968) |
Sec. 5.968 5.970 . The Law Enforcement Recruitment and |
Retention Fund. |
(Source: P.A. 102-755, eff. 5-10-22; revised 7-27-22.)
|
(30 ILCS 105/5.969) |
|
Sec. 5.969 5.970 . The Organized Retail Crime Enforcement |
Fund. |
(Source: P.A. 102-757, eff. 1-1-23; revised 1-10-23.)
|
(30 ILCS 105/5.970) |
Sec. 5.970. The Future Farmers of America Fund. |
(Source: P.A. 102-809, eff. 1-1-23.)
|
(30 ILCS 105/5.971) |
Sec. 5.971. The Statewide 9-8-8 Trust Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.972) |
Sec. 5.972. The Board of Higher Education State Contracts |
and Grants Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.973) |
Sec. 5.973. The Agriculture Federal Projects Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.974) |
Sec. 5.974. The DNR Federal Projects Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.975) |
|
Sec. 5.975. The Illinois Opioid Remediation State Trust |
Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.976) |
Sec. 5.976. The General Assembly Technology Fund. |
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/5.977) |
Sec. 5.977 5.970 . The First Responder Behavioral Health |
Grant Fund. |
(Source: P.A. 102-911, eff. 1-1-23; revised 1-10-23.)
|
(30 ILCS 105/5.978) |
Sec. 5.978 5.970 . The Off-Hours Child Care Program Fund. |
(Source: P.A. 102-912, eff. 5-27-22; revised 7-27-22.)
|
(30 ILCS 105/5.979) |
Sec. 5.979 5.970 . The Division of Real Estate General |
Fund. |
(Source: P.A. 102-970, eff. 5-27-22; revised 7-27-22.)
|
(30 ILCS 105/5.980) |
Sec. 5.980 5.970 . The Aeronautics Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-27-22.)
|
|
(30 ILCS 105/5.981) |
(Section scheduled to be repealed on January 1, 2024) |
Sec. 5.981 5.971 . The Grocery Tax Replacement Fund. This |
Section is repealed January 1, 2024.
|
(Source: P.A. 102-700, eff. 4-19-22; revised 7-28-22.)
|
(30 ILCS 105/5.982) |
Sec. 5.982 5.971 . The Emergency Planning and Training |
Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/5.983) |
Sec. 5.983 5.972 . The ISAC Accounts Receivable Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/5.984) |
Sec. 5.984 5.973 . The Motor Fuel and Petroleum Standards |
Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/5.985) |
Sec. 5.985 5.974 . The State Small Business Credit |
Initiative Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/5.986) |
|
Sec. 5.986 5.975 . The Public Pension Regulation Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/5.987) |
Sec. 5.987 5.976 . The Vehicle Inspection Fund. |
(Source: P.A. 102-1071, eff. 6-10-22; revised 7-28-22.)
|
(30 ILCS 105/6z-18) (from Ch. 127, par. 142z-18)
|
Sec. 6z-18. Local Government Tax Fund. A portion of the |
money paid into the Local Government Tax
Fund from sales of |
tangible personal property taxed at the 1% rate under the |
Retailers' Occupation Tax Act and the Service Occupation Tax |
Act,
which occurred in municipalities, shall be distributed to |
each municipality
based upon the sales which occurred in that |
municipality. The remainder
shall be distributed to each |
county based upon the sales which occurred in
the |
unincorporated area of that county.
|
Moneys transferred from the Grocery Tax Replacement Fund |
to the Local Government Tax Fund under Section 6z-130 shall be |
treated under this Section in the same manner as if they had |
been remitted with the return on which they were reported. |
A portion of the money paid into the Local Government Tax |
Fund from the
6.25% general use tax 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 any agency of this State's government
shall be |
|
distributed to municipalities as provided in this paragraph. |
Each
municipality shall receive the amount attributable to |
sales for which
Illinois addresses for titling or registration |
purposes are given as being
in such municipality. The |
remainder of the money paid into the Local
Government Tax Fund |
from such sales shall be distributed to counties. Each
county |
shall receive the amount attributable to sales for which |
Illinois
addresses for titling or registration purposes are |
given as being located
in the unincorporated area of such |
county.
|
A portion of the money paid into the Local Government Tax |
Fund from the
6.25% general rate (and, beginning July 1, 2000 |
and through December 31,
2000, the 1.25% rate on motor fuel and |
gasohol, and beginning on August 6, 2010 through August 15, |
2010, and beginning again on August 5, 2022 through August 14, |
2022, the 1.25% rate on sales tax holiday items) on sales
|
subject to taxation under the Retailers'
Occupation Tax Act |
and the Service Occupation Tax Act, which occurred in
|
municipalities, shall be distributed to each municipality, |
based upon the
sales which occurred in that municipality. The |
remainder shall be
distributed to each county, based upon the |
sales which occurred in the
unincorporated area of such |
county.
|
For the purpose of determining allocation to the local |
government unit, a
retail sale by a producer of coal or other |
mineral mined in Illinois is a sale
at retail at the place |
|
where the coal or other mineral mined in Illinois is
extracted |
from the earth. This paragraph does not apply to coal or other
|
mineral when it is delivered or shipped by the seller to the |
purchaser at a
point outside Illinois so that the sale is |
exempt under the United States
Constitution as a sale in |
interstate or foreign commerce.
|
Whenever the Department determines that a refund of money |
paid into
the Local Government Tax Fund should be made to a |
claimant instead of
issuing a credit memorandum, the |
Department shall notify the State
Comptroller, who shall cause |
the order to be drawn for the amount
specified, and to the |
person named, in such notification from the
Department. Such |
refund shall be paid by the State Treasurer out of the
Local |
Government Tax Fund.
|
As soon as possible after the first day of each month, |
beginning January 1, 2011, upon certification of the |
Department of Revenue, the Comptroller shall order |
transferred, and the Treasurer shall transfer, to the STAR |
Bonds Revenue Fund the local sales tax increment, as defined |
in the Innovation Development and Economy Act, collected |
during the second preceding calendar month for sales within a |
STAR bond district and deposited into the Local Government Tax |
Fund, less 3% of that amount, which shall be transferred into |
the Tax Compliance and Administration Fund and shall be used |
by the Department, subject to appropriation, to cover the |
costs of the Department in administering the Innovation |
|
Development and Economy Act. |
After the monthly transfer to the STAR Bonds Revenue Fund, |
on or before the 25th day of each calendar month, the |
Department shall
prepare and certify to the Comptroller the |
disbursement of stated sums of
money to named municipalities |
and counties, the municipalities and counties
to be those |
entitled to distribution of taxes or penalties paid to the
|
Department during the second preceding calendar month. The |
amount to be
paid to each municipality or county shall be the |
amount (not including
credit memoranda) collected during the |
second preceding calendar month by
the Department and paid |
into the Local Government Tax Fund, plus an amount
the |
Department determines is necessary to offset any amounts which |
were
erroneously paid to a different taxing body, and not |
including an amount
equal to the amount of refunds made during |
the second preceding calendar
month by the Department, and not |
including any amount which the Department
determines is |
necessary to offset any amounts which are payable to a
|
different taxing body but were erroneously paid to the |
municipality or
county, and not including any amounts that are |
transferred to the STAR Bonds Revenue Fund. Within 10 days |
after receipt, by the Comptroller, of the
disbursement |
certification to the municipalities and counties, provided for
|
in this Section to be given to the Comptroller by the |
Department, the
Comptroller shall cause the orders to be drawn |
for the respective amounts
in accordance with the directions |
|
contained in such certification.
|
When certifying the amount of monthly disbursement to a |
municipality or
county under this Section, the Department |
shall increase or decrease that
amount by an amount necessary |
to offset any misallocation of previous
disbursements. The |
offset amount shall be the amount erroneously disbursed
within |
the 6 months preceding the time a misallocation is discovered.
|
The provisions directing the distributions from the |
special fund in
the State treasury Treasury provided for in |
this Section shall constitute an
irrevocable and continuing |
appropriation of all amounts as provided herein.
The State |
Treasurer and State Comptroller are hereby authorized to make
|
distributions as provided in this Section.
|
In construing any development, redevelopment, annexation, |
preannexation ,
or other lawful agreement in effect prior to |
September 1, 1990, which
describes or refers to receipts from |
a county or municipal retailers'
occupation tax, use tax or |
service occupation tax which now cannot be
imposed, such |
description or reference shall be deemed to include the
|
replacement revenue for such abolished taxes, distributed from |
the Local
Government Tax Fund.
|
As soon as possible after March 8, 2013 ( the effective |
date of Public Act 98-3) this amendatory Act of the 98th |
General Assembly , the State Comptroller shall order and the |
State Treasurer shall transfer $6,600,000 from the Local |
Government Tax Fund to the Illinois State Medical Disciplinary |
|
Fund. |
(Source: P.A. 102-700, Article 60, Section 60-10, eff. |
4-19-22; 102-700, Article 65, Section 65-15, eff. 4-19-22; |
revised 6-2-22.)
|
(30 ILCS 105/6z-64) |
Sec. 6z-64. The Workers' Compensation Revolving Fund. |
(a) The Workers' Compensation Revolving Fund is created as |
a revolving fund, not subject to fiscal year limitations, in |
the State treasury. The following moneys shall be deposited |
into the Fund: |
(1) amounts authorized for transfer to the Fund from |
the General Revenue Fund and other State funds (except for |
funds classified by the Comptroller as federal trust funds |
or State trust funds) pursuant to State law or Executive |
Order; |
(2) federal funds received by the Department of |
Central Management Services (the "Department") as a result |
of expenditures from the Fund; |
(3) interest earned on moneys in the Fund; |
(4) receipts or inter-fund transfers resulting from |
billings issued to State agencies, officers, boards, |
commissions, and universities for the cost of workers' |
compensation services that are not compensated through the |
specific fund transfers authorized by this Section, if |
any; |
|
(5) amounts received from a State agency, officer, |
board, commission, or university for workers' compensation |
payments for temporary total disability, as provided in |
Section 405-105 of the Department of Central Management |
Services Law of the Civil Administrative Code of Illinois; |
and |
(6) amounts recovered through subrogation in workers' |
compensation and workers' occupational disease cases. |
(b) Moneys in the Fund may be used by the Department for |
reimbursement or payment for: |
(1) providing workers' compensation services to State |
agencies, officers, boards, commissions, and universities; |
or |
(2) providing for payment of administrative and other |
expenses (and, beginning January 1, 2013, fees and charges |
made pursuant to a contract with a private vendor) |
incurred in providing workers' compensation services. The |
Department, or any successor agency designated to enter |
into contracts with one or more private vendors for the |
administration of the workers' compensation program for |
State employees pursuant to subdivision (10b) subsection |
10b of Section 405-105 of the Department of Central |
Management Services Law of the Civil Administrative Code |
of Illinois, is authorized to establish one or more |
special funds, as separate accounts provided by any bank |
or banks as defined by the Illinois Banking Act, any |
|
savings and loan association or associations as defined by |
the Illinois Savings and Loan Act of 1985, or any credit |
union as defined by the Illinois Credit Union Act, to be |
held by the Director outside of the State treasury, for |
the purpose of receiving the transfer of moneys from the |
Workers' Compensation Revolving Fund. The Department may |
promulgate rules further defining the methodology for the |
transfers. Any interest earned by moneys in the funds or |
accounts shall be deposited into the Workers' Compensation |
Revolving Fund. The transferred moneys, and interest |
accrued thereon, shall be used exclusively for transfers |
to contracted private vendors or their financial |
institutions for payments to workers' compensation |
claimants and providers for workers' compensation |
services, claims, and benefits pursuant to this Section |
and subdivision (9) subsection 9 of Section 405-105 of the |
Department of Central Management Services Law of the Civil |
Administrative Code of Illinois. The transferred moneys, |
and interest accrued thereon, shall not be used for any |
other purpose , including, but not limited to, |
reimbursement or payment of administrative fees due the |
contracted vendor pursuant to its contract or contracts |
with the Department. |
(c) State agencies, officers, boards, and commissions may |
direct the Comptroller to process inter-fund
transfers or make |
payment through the voucher and warrant process to the |
|
90% of the revenue from increasing the insurance producer |
license fees, as provided under subsection (a-5) of Section |
500-135 of the Illinois Insurance Code; and (ii) 90% of the |
moneys collected from auto insurance policy fees under Section |
8.6 of the Illinois Vehicle Hijacking and Motor Vehicle Theft |
Prevention and Insurance Verification Act. This Fund shall be |
used by the Illinois Law Enforcement Training Standards Board |
to fund law enforcement certification compliance and the |
development and provision of basic courses by Board-approved |
academics, and in-service courses by approved academies.
|
(Source: P.A. 102-16, eff. 6-17-21; 102-904, eff. 1-1-23; |
102-1071, eff. 6-10-22; revised 12-13-22.)
|
(30 ILCS 105/6z-130) |
(Section scheduled to be repealed on January 1, 2024) |
Sec. 6z-130. Grocery Tax Replacement Fund. |
(a) The Grocery Tax Replacement Fund is hereby created as |
a special fund in the State Treasury. |
(b) On April 19, 2022 ( the effective date of Public Act |
102-700) this amendatory Act of the 102nd General Assembly , or |
as soon thereafter as practical, but no later than June 30, |
2022, the State Comptroller shall direct and the State |
Treasurer shall transfer the sum of $325,000,000 from the |
General Revenue Fund to the Grocery Tax Replacement Fund. |
(c) On July 1, 2022, or as soon thereafter as practical, |
the State Comptroller shall direct and the State Treasurer |
|
shall transfer the sum of $75,000,000 from the General Revenue |
Fund to the Grocery Tax Replacement Fund. |
(d) In addition to any other transfers that may be |
provided for by law, beginning on April 19, 2022 ( the |
effective date of Public Act 102-700) this amendatory Act of |
the 102nd General Assembly and until November 30, 2023, the |
Director may certify additional transfer amounts needed beyond |
the amounts specified in subsections (b) and (c) to cover any |
additional amounts needed to equal the net revenue that, but |
for the reduction of the rate to 0% in the Use Tax Act, the |
Service Use Tax Act, the Service Occupation Tax Act, and the |
Retailers' Occupation Tax Act under Public Act 102-700 this |
amendatory Act of the 102nd General Assembly , would have been |
realized if the items that are subject to the rate reduction |
had been taxed at the 1% rate during the period of the |
reduction. The State Comptroller shall direct and the State |
Treasurer shall transfer the amounts certified by the Director |
from the General Revenue Fund to the Grocery Tax Replacement |
Fund. |
(e) In addition to any other transfers that may be |
provided for by law, beginning on July 1, 2022 and until |
December 1, 2023, at the direction of the Department of |
Revenue, the State Comptroller shall direct and the State |
Treasurer shall transfer from the Grocery Tax Replacement Fund |
to the State and Local Sales Tax Reform Fund any amounts needed |
to equal the net revenue that, but for the reduction of the |
|
rate to 0% in the Use Tax Act and Service Use Tax Act under |
Public Act 102-700 this amendatory Act of the 102nd General |
Assembly , would have been deposited into the State and Local |
Sales Tax Reform Fund if the items that are subject to the rate |
reduction had been taxed at the 1% rate during the period of |
the reduction. |
(f) In addition to any other transfers that may be |
provided for by law, beginning on July 1, 2022 and until |
December 1, 2023, at the direction of the Department of |
Revenue, the State Comptroller shall direct and the State |
Treasurer shall transfer from the Grocery Tax Replacement Fund |
to the Local Government Tax Fund any amounts needed to equal |
the net revenue that, but for the reduction of the rate to 0% |
in the Service Occupation Tax Act and the Retailers' |
Occupation Tax Act under Public Act 102-700 this amendatory |
Act of the 102nd General Assembly , would have been deposited |
into the Local Government Tax Fund if the items that are |
subject to the rate reduction had been taxed at the 1% rate |
during the period of the reduction. |
(g) The State Comptroller shall direct and the State |
Treasurer shall transfer the remaining balance in the Grocery |
Tax Replacement Fund to the General Revenue Fund on December |
1, 2023, or as soon thereafter as practical. Upon completion |
of the transfer, the Grocery Tax Replacement Fund is |
dissolved. |
(h) This Section is repealed on January 1, 2024.
|
|
(Source: P.A. 102-700, eff. 4-19-22; revised 8-1-22.)
|
(30 ILCS 105/6z-131) |
Sec. 6z-131. Agriculture Federal Projects Fund. The |
Agriculture Federal Projects Fund is established as a federal |
trust fund in the State treasury. This Fund is established to |
receive funds from all federal departments and agencies, |
including grants and awards. In addition, the Fund may also |
receive interagency receipts from other State agencies and |
funds from other public and private sources. Moneys in the |
Agriculture Federal Projects Fund shall be held by the State |
Treasurer as ex officio custodian and shall be used for the |
specific purposes established by the terms and conditions of |
the federal grant or award and for other authorized expenses |
in accordance with federal requirements. Other moneys |
deposited into the Fund may be used for purposes associated |
with the federally financed projects.
|
(Source: P.A. 102-699, eff. 4-19-22.)
|
(30 ILCS 105/6z-135) |
Sec. 6z-135 6z-130 . The Law Enforcement Recruitment and |
Retention Fund. |
(a) The Law Enforcement Recruitment and Retention Fund is |
hereby created as a special fund in the State Treasury. |
(b) Subject to appropriation, moneys in the Law |
Enforcement Recruitment and Retention Fund shall be used by |
|
the Illinois Law Enforcement Training Standards Board to award |
grants to units of local government, public institutions of |
higher education, and qualified nonprofit entities for the |
purpose of hiring and retaining law enforcement officers. |
(c) When awarding grants, the Board shall prioritize: |
(1) grants that will be used to hire, retain, or hire |
and retain law enforcement officers in underserved areas |
and areas experiencing the most need; |
(2) achieving demographic and geographic diversity of |
law enforcement officers that are recruited or hired by |
applicants that are awarded grants; |
(3) maximizing the effects of moneys spent on the |
actual recruitment and retention of law enforcement |
officers; and |
(4) providing grants that can impact multiple |
employers. |
(d) Moneys received for the purposes of this Section, |
including, but not limited to, fee receipts, gifts, grants, |
and awards from any public or private entity, must be |
deposited into the Fund. Any interest earned on moneys in the |
Fund must be deposited into the Fund. |
(e) The Illinois Law Enforcement Training Standards Board |
may, by rule, set requirements for the distribution of grant |
moneys and determine which entities are eligible. |
(f) The Illinois Law Enforcement Training Standards Board |
shall consider compliance with the Uniform Crime Reporting Act |
|
as a factor in awarding grant moneys. |
(g) As used in this Section, "qualified nonprofit entity" |
means a nonprofit entity, as defined by the Board by rule, that |
has established experience in recruitment and retention of law |
enforcement officers in Illinois.
|
(Source: P.A. 102-755, eff. 5-10-22; revised 8-1-22.)
|
(30 ILCS 105/6z-136) |
Sec. 6z-136 6z-130 . Industrial Biotechnology Human Capital |
Fund. |
(a) The Industrial Biotechnology Human Capital Fund is |
created as a special fund in the State treasury and may receive |
funds from any source, public or private, including moneys |
appropriated for use by the Department of Commerce and |
Economic Opportunity and laboratories and institutions |
conducting industrial biotechnology research. Subject to |
appropriation, the Industrial Biotechnology Human Capital Fund |
shall receive moneys from the General Revenue Fund until June |
30, 2025. Each eligible entity receiving a grant under this |
Section shall, as a condition of receiving the grant, |
contribute moneys to the Fund as part of a cost-sharing |
agreement between the grantee and the Department of Commerce |
and Economic Opportunity in accordance with rules adopted by |
the Department of Commerce and Economic Opportunity. Grants |
issued under this the Section may be for a period of 2 years. |
An eligible entity issued a grant under this Section Sections |
|
shall be eligible for more than one such grant, but no more |
than one grant annually, for the purpose of hiring and |
retaining experts in residence Experts in Residence ; however, |
such entity may maintain more than one grant at any given time. |
(b) Subject to appropriation, moneys in the Fund shall be |
used for providing grants to laboratories and research |
institutions for the purpose of hiring and retaining in-house |
specialists, to be known as experts in residence, with the |
knowledge and experience in moving industrial biotechnology |
products through the development phase. |
(c) To be eligible for grants provided from the Fund, an |
entity must be a State-sponsored, university-affiliated |
laboratory or research institution conducting collaboratives |
or for-hire research in the development of biorenewable |
chemicals, bio-based polymers, materials, novel feeds, or |
additional value added biorenewables. Eligible entities must |
also establish that the expert in residence |
Expert-In-Residence they seek to hire or retain using the |
grant funds possesses expertise in fermentation engineering, |
process engineering, catalytic engineering, analytical |
chemistry, or is a scale-up specialist. |
(d) On or before January 31 of the next calendar year to |
occur after the last day of any State fiscal year in which the |
Department of Commerce and Economic Opportunity receives State |
funding for the Program under this Section, the Department of |
Commerce and Economic Opportunity shall submit an annual |
|
report to the General Assembly and the Governor on the use of |
moneys in the Fund. The report shall include, but not be |
limited to: (i) the number of laboratories or institutions |
utilizing moneys in the Fund, including the name of such |
entities; (ii) the number of experts in residence hired by |
each laboratory or institution; (iii) the expertise or |
specialty area of each expert in residence hired or retained; |
and (iv) a summary of the benefit to the economy of the State |
of Illinois economy in providing the grants. |
(e) The Department of Commerce and Economic Opportunity |
shall adopt all rules necessary for the implementation of this |
Section.
|
(Source: P.A. 102-991, eff. 1-1-23; revised 8-1-22.)
|
(30 ILCS 105/6z-137) |
Sec. 6z-137 6z-131 . Industrial Biotechnology Capital |
Maintenance Fund. |
(a) The Industrial Biotechnology Capital Maintenance Fund |
is created as a special fund in the State treasury and may |
receive funds from any source, public or private, including |
from moneys appropriated for use by the Department of Commerce |
and Economic Opportunity and laboratories and institutions |
conducting industrial biotechnology research. |
(b) Subject to appropriation, moneys in the Fund shall be |
used for providing grants to laboratories and research |
institutions for the purpose of maintenance and repair of |
|
capital assets. Such maintenance and repairs of capital assets |
shall be designed to extend the serviceable life of equipment |
and buildings and expand the capacity of equipment and |
buildings by at least 10%. For the purposes of this Section, |
"capital assets" means equipment or buildings that have a |
value greater than $250,000. |
(c) To be eligible for grants provided from the Fund, an |
entity must be a State-sponsored, university-affiliated |
laboratory or research institution conducting collaboratives |
or for-hire research in the development of biorenewable |
chemicals, bio-based polymers, materials, novel feeds, or |
additional value added biorenewables. The Department of |
Commerce and Economic Opportunity shall determine the |
disbursement of moneys for the purposes of this Section. Each |
eligible entity, as a condition of receiving a grant under |
this Section, shall match up to at least 50% of the moneys to |
be granted to the entity. |
(d) On or before January 31 of the next calendar year to |
occur after the last day of any State fiscal year in which the |
Department of Commerce and Economic Opportunity receives State |
funding for the Program under this Section, the Department of |
Commerce and Economic Opportunity shall submit an annual |
report to the General Assembly and the Governor on the use of |
moneys in the Fund. The report shall include, but not be |
limited to: (i) the name of the institution or laboratory |
receiving funds; (ii) the capital assets that were maintained |
|
or repaired at each institution or laboratory; (iii) the |
expected usable life extension of each maintained or repaired |
asset; and (iv) the capacity increase of each maintained or |
repaired asset. |
(e) The Department of Commerce and Economic Opportunity |
shall adopt all rules necessary for the implementation of this |
Section.
|
(Source: P.A. 102-991, eff. 1-1-23; revised 8-1-22.)
|
(30 ILCS 105/29a) (from Ch. 127, par. 165a)
|
Sec. 29a.
The Department of Transportation
is authorized |
to contract with any bank or banks in the State for the payment
|
by such banks for the labor and services of day laborers |
engaged in State
road construction and maintenance work and |
for emergency purchases in such
work. Any such emergency |
purchase shall not be for an amount in excess of
$25.00. Such |
bank or banks shall be reimbursed out of appropriations made
|
to the Department in accordance with the provisions of this |
Act, and shall
be paid such reasonable compensation for its |
services as may be agreed on
by the Department and the bank.
|
Such payments by any bank shall be made only upon the |
authorization of
some employee employe or agent of the |
Department duly designated by it for this purpose.
Such |
employee employe or agent shall be required to furnish to the |
Department a bond,
to be paid for by the Department, in an |
amount equal to twice the total
of such payments at any one |
|
time.
|
(Source: P.A. 81-840; revised 9-9-22.)
|
Section 160. The Illinois Procurement Code is amended by |
changing Sections 35-40 and 45-23 as follows:
|
(30 ILCS 500/35-40) |
Sec. 35-40. Subcontractors. |
(a) Any contract granted under this Article shall state |
whether the services
of a subcontractor will be used. The |
contract shall include the names and
addresses of all |
subcontractors with an annual value that exceeds the small |
purchase maximum established by Section 20-20 of this Code , |
the general type of work to be performed by these |
subcontractors, and the expected amount of money each will
|
receive under the contract. Upon the request of the chief |
procurement officer appointed pursuant to paragraph (2) of |
subsection (a) of Section 10-20, the contractor shall provide |
the chief procurement officer a copy of a subcontract so |
identified within 15 calendar days after the request is made. |
A subcontractor, or contractor on behalf of a subcontractor, |
may identify information that is deemed proprietary or |
confidential. If the chief procurement officer determines the |
information is not relevant to the primary contract, the chief |
procurement officer may excuse the inclusion of the |
information. If the chief procurement officer determines the |
|
information is proprietary or could harm the business interest |
of the subcontractor, the chief procurement officer may, in |
his or her discretion, redact the information. Redacted |
information shall not become part of the public record. |
(b) If at any time during the term of a contract, a |
contractor adds or
changes any subcontractors, he or she shall |
promptly notify, in writing, the chief procurement officer for |
matters other than construction
or the higher education chief
|
procurement officer, whichever is appropriate, and the
|
responsible State purchasing officer, or their
designee of the |
names and addresses and the
expected amount of money each new |
or replaced subcontractor will receive. Upon request of the |
chief
procurement officer appointed pursuant to paragraph (2) |
of subsection (a) of Section 10-20, the
contractor shall |
provide the chief procurement officer a copy of any new or |
amended subcontract so
identified within 15 calendar days |
after the request is made. |
(c) In addition to any other requirements of this Code, a |
subcontract subject to this Section must
include all of the |
subcontractor's certifications required by Article 50 of this |
Code. |
(d) For purposes of this Section, the changes made by |
Public Act 98-1076 this amendatory Act of the 98th General |
Assembly apply to procurements solicited on or after January |
1, 2015 ( the effective date of Public Act 98-1076) this
|
amendatory Act of the 98th General Assembly . |
|
(Source: P.A. 102-721, eff. 1-1-23; revised 12-9-22.)
|
(30 ILCS 500/45-23) |
Sec. 45-23. Single-use plastics prohibition; preference. |
(a) For the purposes of this Section: |
"Compostable" means that the item meets the ASTM D6400 |
standard of compostability and has been certified by the |
Biodegradable Products Institute as compostable. |
"Compostable foodware" means containers, bowls, straws, |
plates, trays, cartons, cups, lids, forks, spoons, knives, and |
other items that are designed for one-time use for beverages, |
prepared food, or leftovers from meals that are compostable. |
"Plastic" means a synthetic material made from linking |
monomers through a chemical reaction to create an organic |
polymer chain that can be molded or extruded at high heat into |
various solid forms retaining their defined shapes during |
their life cycle and after disposal. |
"Recyclable foodware" means items that are designed for |
one-time use for beverages, prepared food, or leftovers from |
meals and that are commonly accepted in local curbside |
residential recycling pickup pick up . |
"Single-use plastic disposable foodware" means containers, |
bowls, straws, plates, trays, cartons, cups, lids, forks, |
spoons, knives, and other items that are designed for one-time |
use for beverages, prepared food, or leftovers from meals and |
that are made of plastic, are not compostable, and are not |
|
accepted in residential curbside recycling pickup pick up . |
(b) When a State agency or institution of higher education |
is to award a contract to the lowest responsible bidder, an |
otherwise qualified bidder who will fulfill the contract |
through the use of compostable foodware or recyclable foodware |
may be given preference over other bidders unable to do so; |
provided that the bid is not more than 5% greater than the cost |
of products that are single-use plastic disposable foodware. |
The contract awarded the cost preference in this subsection |
(b) shall also include the option of providing the State |
agency or institution of higher education with single-use |
plastic straws. |
(c) After January 1, 2023, State agencies and departments |
may not procure single-use plastic disposable foodware for use |
at any State parks or natural areas, and instead shall offer |
only compostable foodware or recyclable foodware for use at |
State parks or natural areas. |
(d) After January 1, 2024, or at the renewal of its next |
contract, whichever occurs later, no vendor contracted through |
a State agency or department may provide customers with |
single-use plastic disposable foodware at any site located at |
a State park or a natural area, and instead shall offer only |
compostable foodware or recyclable foodware for use at State |
parks or natural areas. |
(e) This Section does not apply to the procurement of |
supplies for the Illinois State Fair.
|
|
(Source: P.A. 102-1081, eff. 1-1-23; revised 12-16-22.)
|
Section 165. The Community Behavioral Health Center |
Infrastructure Act is amended by changing Section 5 as |
follows:
|
(30 ILCS 732/5) |
Sec. 5. Definitions.
In this Act: |
"Behavioral health center site" means a physical site |
where a community behavioral health center shall provide |
behavioral healthcare services linked to a particular |
Department-contracted community behavioral healthcare |
provider, from which this provider delivers a |
Department-funded service and has the following |
characteristics: |
(i) The site must be owned, leased, or otherwise |
controlled by a Department-funded provider.
|
(ii) A Department-funded provider may have multiple |
service sites.
|
(iii) A Department-funded provider may provide both |
Medicaid and non-Medicaid services
for which they are |
certified or approved at a certified site.
|
"Board" means the Capital Development Board. |
"Community behavioral healthcare provider"
includes, but |
is not limited to, Department-contracted prevention, |
intervention, or treatment care providers of services and |
|
supports for persons with mental health services, alcohol and |
substance abuse services, rehabilitation services, and early |
intervention services provided by a vendor.
|
For the purposes of this definition, "vendor" includes, |
but is not limited to, community providers, including |
community-based organizations that are licensed to provide |
prevention, intervention, or treatment services and support |
for persons with mental illness or substance abuse problems in |
this State, that comply with applicable federal, State, and |
local rules and statutes, including, but not limited to, the |
following: |
(A) Federal requirements: |
(1) Block Grants for Community Mental Health |
Services, Subpart I & III, Part B, Title XIX, P.H.S. |
Act/45 CFR C.F.R. Part 96. |
(2) Medicaid (42 U.S.C. U.S.C.A. 1396 (1996)).
|
(3) 42 CFR C.F.R. 440 (Services: General |
Provision) and 456 (Utilization Control) (1996). |
(4) Health Insurance Portability and |
Accountability Act (HIPAA) as specified in 45 CFR |
C.F.R. Section 160.310.
|
(5) The Substance Abuse Prevention Block Grant |
Regulations (45 CFR C.F.R. Part 96).
|
(6) Program Fraud Civil Remedies Act of 1986 (45 |
CFR C.F.R. Part 79).
|
(7) Federal regulations regarding Opioid |
|
Maintenance Therapy (21 CFR C.F.R. 29) (21 CFR C.F.R. |
1301-1307 (D.E.A.)).
|
(8) Federal regulations regarding Diagnostic, |
Screening, Prevention, and Rehabilitation Services |
(Medicaid) (42 CFR C.F.R. 440.130).
|
(9) Charitable Choice: Providers that qualify as |
religious organizations under 42 CFR C.F.R. 54.2(b), |
who comply with the Charitable Choice Regulations as |
set forth in 42 CFR C.F.R. 54.1 et seq. with regard to |
funds provided directly to pay for substance abuse |
prevention and treatment services. |
(B) State requirements: |
(1) 59 Ill. Adm. Admin. Code 50, Office of |
Inspector General Investigations of Alleged Abuse or |
Neglect in State-Operated Facilities and Community |
Agencies. |
(2) (Blank). 59 Ill. Admin. Code 51, Office of |
Inspector General Adults with Disabilities Project. |
(3) 59 Ill. Adm. Admin. Code 103, Grants. |
(4) 59 Ill. Adm. Admin. Code 115, Standards and |
Licensure Requirements for Community-Integrated Living |
Arrangements. |
(5) 59 Ill. Adm. Admin. Code 117, Family |
Assistance and Home-Based Support Programs for Persons |
with Mental Disabilities. |
(6) 59 Ill. Adm. Admin. Code 125, Recipient |
|
Discharge/Linkage/Aftercare. |
(7) 59 Ill. Adm. Admin. Code 131, Children's |
Mental Health Screening, Assessment and Supportive |
Services Program. |
(8) 59 Ill. Adm. Admin. Code 132, Medicaid |
Community Mental Health Services Program.
|
(9) (Blank). 59 Ill. Admin. Code 135, Individual |
Care Grants for Mentally Ill Children.
|
(10) 89 Ill. Adm. Admin. Code 140, Medical |
Payment.
|
(11) 89 Ill. Adm. Admin. Code 140.642, Screening |
Assessment for Nursing Facility and Alternative |
Residential Settings and Services. |
(12) 89 Ill. Adm. Admin. Code 507, Audit |
Requirements of Illinois Department of Human Services.
|
(13) 89 Ill. Adm. Admin. Code 509, |
Fiscal/Administrative Recordkeeping and Requirements. |
(14) 89 Ill. Adm. Admin. Code 511, Grants and |
Grant Funds Recovery. |
(15) 77 Ill. Adm. Admin. Code , Parts 2030, 2060, |
and 2090.
|
(16) Title 77 Illinois Administrative Code: |
(a) Part 630: Maternal and Child Health |
Services Code. |
(b) Part 635: Family Planning Services Code.
|
(c) Part 672: WIC Vendor Management Code.
|
|
(d) Part 2030: Award and Monitoring of Funds.
|
(e) Part 2200: School Based/Linked Health |
Centers.
|
(17) Title 89 Illinois Administrative Code: |
(a) Section Part 130.200: Administration of |
Social Service Programs, Domestic Violence Shelter |
and Service Programs.
|
(b) Part 310: Delivery of Youth Services |
Funded by the Department of Human Services.
|
(c) Part 313: Community Services.
|
(d) Part 334: Administration and Funding of |
Community-Based Services to Youth.
|
(e) Part 500: Early Intervention Program. |
(f) Part 501: Partner Abuse Intervention. |
(g) Part 507: Audit Requirements of DHS. |
(h) Part 509: Fiscal/Administrative |
Recordkeeping and Requirements. |
(i) Part 511: Grants and Grant Funds Recovery. |
(18) State statutes: |
(a) The Mental Health and Developmental |
Disabilities Code. |
(b) The Community Services Act. |
(c) The Mental Health and Developmental |
Disabilities Confidentiality Act. |
(d) The Substance Use Disorder Act. |
(e) The Early Intervention Services System |
|
Act. |
(f) The Children and Family Services Act. |
(g) The Illinois Commission on Volunteerism |
and Community Services Act. |
(h) The Department of Human Services Act. |
(i) The Domestic Violence Shelters Act. |
(j) The Illinois Youthbuild Act. |
(k) The Civil Administrative Code of Illinois. |
(l) The Illinois Grant Funds Recovery Act. |
(m) The Child Care Act of 1969. |
(n) The Solicitation for Charity Act. |
(o) Sections 9-1, 12-4.5 through 12-4.7, and |
12-13 of the The Illinois Public Aid Code (305 |
ILCS 5/9-1, 12-4.5 through 12-4.7, and 12-13) . |
(p) The Abused and Neglected Child Reporting |
Act. |
(q) The Charitable Trust Act.
|
(r) The Illinois Alcoholism and Other Drug |
Dependency Act.
|
(C) The Provider shall be in compliance with all |
applicable requirements for services and service reporting |
as specified in the following Department manuals or |
handbooks:
|
(1) DHS/DMH Provider Manual. |
(2) DHS Mental Health CSA Program Manual. |
(3) DHS/DMH PAS/MH Manual. |
|
(4) Community Forensic Services Handbook. |
(5) Community Mental Health Service Definitions |
and Reimbursement Guide. |
(6) DHS/DMH Collaborative Provider Manual. |
(7) Handbook for Providers of Screening Assessment |
and Support Services, Chapter CMH-200 Policy and |
Procedures For Screening, Assessment and Support |
Services. |
(8) DHS Division of Substance Use Prevention and |
Recovery: |
(a) Contractual Policy Manual. |
(b) Medicaid Handbook. |
(c) DARTS Manual. |
(9) Division of Substance Use Prevention and |
Recovery Best Practice Program Guidelines for Specific |
Populations. |
(10) Division of Substance Use Prevention and |
Recovery Contract Program Manual.
|
"Community behavioral healthcare services" means any of |
the following: |
(i) Behavioral health services, including, but not |
limited to, prevention, intervention, or treatment care |
services and support for eligible persons provided by a |
vendor of the Department. |
(ii) Referrals to providers of medical services and |
other health-related services, including substance abuse |
|
and mental health services. |
(iii) Patient case management services, including |
counseling, referral, and follow-up services, and other |
services designed to assist community behavioral health |
center patients in establishing eligibility for and |
gaining access to federal, State, and local programs that |
provide or financially support the provision of medical, |
social, educational, or other related services. |
(iv) Services that enable individuals to use the |
services of the behavioral health center including |
outreach and transportation services and, if a substantial |
number of the individuals in the population are of limited |
English-speaking ability, the services of appropriate |
personnel fluent in the language spoken by a predominant |
number of those individuals. |
(v) Education of patients and the general population |
served by the community behavioral health center regarding |
the availability and proper use of behavioral health |
services. |
(vi) Additional behavioral healthcare services |
consisting of services that are appropriate to meet the |
health needs of the population served by the behavioral |
health center involved and that may include housing |
assistance. |
"Department" means the Department of Human Services. |
"Uninsured population" means persons who do not own |
|
private healthcare insurance, are not part of a group |
insurance plan, and are not eligible for any State or federal |
government-sponsored healthcare program.
|
(Source: P.A. 100-759, eff. 1-1-19; revised 2-28-22.)
|
Section 170. The Downstate Public Transportation Act is |
amended by changing Section 2-7 as follows:
|
(30 ILCS 740/2-7) (from Ch. 111 2/3, par. 667)
|
Sec. 2-7. Quarterly reports; annual audit.
|
(a) Any Metro-East Transit District participant shall, no
|
later than 60 days following the end of each quarter
of any |
fiscal year, file
with the Department on forms provided by the |
Department for that purpose, a
report of the actual operating |
deficit experienced during that quarter. The
Department shall, |
upon receipt of the quarterly report, determine whether
the |
operating deficits were incurred in conformity with
the |
program of proposed expenditures and services approved by the |
Department pursuant to
Section 2-11. Any Metro-East District |
may either monthly or quarterly for
any fiscal year file a |
request for the participant's eligible share, as
allocated in |
accordance with Section 2-6, of the amounts transferred into |
the
Metro-East Public Transportation Fund.
|
(b) Each participant other than any Metro-East Transit |
District
participant shall, 30 days before the end of each |
quarter, file with the
Department
on forms provided by the |
|
Department for such purposes a report of the projected
|
eligible operating expenses to be incurred in the next quarter |
and 30 days
before the third and fourth quarters of any fiscal |
year a statement of actual
eligible operating expenses |
incurred in the preceding quarters. Except as otherwise |
provided in subsection (b-5), within
45 days of receipt by the |
Department of such quarterly report, the Comptroller
shall |
order paid and the Treasurer shall pay from the Downstate |
Public
Transportation Fund to each participant an amount equal |
to one-third of
such participant's eligible operating |
expenses; provided, however, that in
Fiscal Year 1997, the |
amount paid to each participant from the
Downstate Public |
Transportation Fund shall be an amount equal to 47% of
such |
participant's eligible operating expenses and shall be |
increased to 49%
in Fiscal Year 1998, 51% in Fiscal Year 1999, |
53% in Fiscal Year 2000, 55%
in Fiscal Years
2001 through 2007, |
and 65% in Fiscal Year 2008 and thereafter; however, in any |
year that a participant
receives funding under subsection (i) |
of Section 2705-305 of the Department of
Transportation Law |
(20 ILCS 2705/2705-305), that participant shall be eligible
|
only for assistance equal to the following percentage of its |
eligible operating
expenses: 42% in Fiscal Year 1997, 44% in |
Fiscal Year 1998, 46% in Fiscal Year
1999, 48% in Fiscal Year |
2000, and 50% in Fiscal Year 2001 and thereafter. Any
such |
payment for the third and fourth quarters of any fiscal year |
shall be
adjusted to reflect
actual eligible operating |
|
expenses for preceding quarters of such fiscal
year. However, |
no participant shall receive an amount less than that which
|
was received in the immediate prior year, provided in the |
event of a
shortfall in the fund those participants receiving |
less than their full
allocation pursuant to Section 2-6 of |
this Article shall be the first
participants to receive an |
amount not less than that received in the
immediate prior |
year.
|
(b-5) (Blank . ) .
|
(b-10) On July 1, 2008, each participant shall receive an |
appropriation in an amount equal to 65% of its fiscal year 2008 |
eligible operating expenses adjusted by the annual 10% |
increase required by Section 2-2.04 of this Act. In no case |
shall any participant receive an appropriation that is less |
than its fiscal year 2008 appropriation. Every fiscal year |
thereafter, each participant's appropriation shall increase by |
10% over the appropriation established for the preceding |
fiscal year as required by Section 2-2.04 of this Act.
|
(b-15) Beginning on July 1, 2007, and for each fiscal year |
thereafter, each participant shall maintain a minimum local |
share contribution (from farebox and all other local revenues) |
equal to the actual amount provided in Fiscal Year 2006 or, for |
new recipients, an amount equivalent to the local share |
provided in the first year of participation.
The local share |
contribution shall be reduced by an amount equal to the total |
amount of lost revenue for services provided under Section |
|
2-15.2 and Section 2-15.3 of this Act. |
(b-20) Any participant in the Downstate Public |
Transportation Fund may use State operating assistance funding |
pursuant to this Section to provide transportation services |
within any county that is contiguous to its territorial |
boundaries as defined by the Department and subject to |
Departmental approval. Any such contiguous-area service |
provided by a participant after July 1, 2007 must meet the |
requirements of subsection (a) of Section 2-5.1.
|
(c) No later than 180 days following the last day of the |
participant's Fiscal Year each
participant shall provide the |
Department with an audit prepared by a Certified
Public |
Accountant covering that Fiscal Year. For those participants |
other than a Metro-East Transit
District, any discrepancy |
between the funds paid and the
percentage of the eligible |
operating expenses provided for by paragraph
(b) of this |
Section shall be reconciled by appropriate payment or credit.
|
In the case of any Metro-East Transit District, any amount of |
payments from
the Metro-East Public Transportation Fund which |
exceed the eligible deficit
of the participant shall be |
reconciled by appropriate payment or credit. |
(d) Upon the Department's final reconciliation |
determination that
identifies a discrepancy between the |
Downstate Operating
Assistance Program funds paid and the |
percentage of the eligible
operating expenses which results in |
a reimbursement payment due
to the Department, the participant |
|
shall remit the reimbursement
payment to the Department no |
later than 90 days after written
notification. |
(e) Funds received by the Department from participants for
|
reimbursement as a result of an overpayment over payment from |
a prior State
fiscal year shall be deposited into the |
Downstate Public
Transportation Fund in the fiscal year in |
which they are received
and all unspent funds shall roll to |
following fiscal years. |
(f) Upon the Department's final reconciliation |
determination that
identifies a discrepancy between the |
Downstate Operating
Assistance Program funds paid and the |
percentage of the eligible
operating expenses which results in |
a reimbursement payment due
to the participant, the Department |
shall remit the reimbursement
payment to the participant no |
later than 90 days after written
notifications.
|
(Source: P.A. 102-626, eff. 8-27-21; 102-790, eff. 1-1-23; |
revised 12-9-22.)
|
Section 175. The State Mandates Act is amended by changing |
Sections 8.45 as follows:
|
(30 ILCS 805/8.45) |
(Text of Section before amendment by P.A. 102-466 ) |
Sec. 8.45. 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 |
|
102-16, 102-63, 102-81, 102-91, 102-97, 102-113, 102-125, |
102-202, 102-210, 102-263, 102-265, 102-293, 102-342, 102-540, |
102-552, or 102-636 , or 102-822 .
|
(Source: P.A. 102-16, eff. 6-17-21; 102-63, eff. 7-9-21; |
102-81, eff. 7-9-21; 102-91, eff. 7-9-21; 102-97, eff. 1-1-22; |
102-113, eff. 7-23-21; 102-125, eff. 7-23-21; 102-202, eff. |
7-30-21; 102-210, eff. 1-1-22; 102-263, eff. 8-6-21; 102-265, |
eff. 8-6-21; 102-293, eff. 8-6-21; 102-342, eff. 8-13-21; |
102-540, eff. 8-20-21; 102-552, eff. 1-1-22; 102-636, eff. |
8-27-21; 102-813, eff. 5-13-22; 102-822, eff. 5-13-22; revised |
7-26-22.)
|
(Text of Section after amendment by P.A. 102-466 ) |
Sec. 8.45. 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 |
102-16, 102-63, 102-81, 102-91, 102-97, 102-113, 102-125, |
102-202, 102-210, 102-263, 102-265, 102-293, 102-342, 102-466, |
102-540, 102-552, or 102-636 , or 102-822 .
|
(Source: P.A. 102-16, eff. 6-17-21; 102-63, eff. 7-9-21; |
102-81, eff. 7-9-21; 102-91, eff. 7-9-21; 102-97, eff. 1-1-22; |
102-113, eff. 7-23-21; 102-125, eff. 7-23-21; 102-202, eff. |
7-30-21; 102-210, eff. 1-1-22; 102-263, eff. 8-6-21; 102-265, |
eff. 8-6-21; 102-293, eff. 8-6-21; 102-342, eff. 8-13-21; |
102-466, eff. 7-1-25; 102-540, eff. 8-20-21; 102-552, eff. |
1-1-22; 102-636, eff. 8-27-21; 102-813, eff. 5-13-22; 102-822, |
|
eff. 5-13-22; revised 7-26-22.)
|
Section 180. The Illinois Income Tax Act is amended by |
changing Sections 212.1, 901, and 917 and by setting forth and |
renumbering multiple versions of Section 232 as follows:
|
(35 ILCS 5/212.1) |
(Section scheduled to be repealed on April 19, 2023) |
Sec. 212.1. Individual income tax rebates. |
(a) Each taxpayer who files an individual income tax |
return under this Act, on or before October 17, 2022, for the |
taxable year that began on January 1, 2021 and whose adjusted |
gross income for the taxable year is less than (i) $400,000, in |
the case of spouses filing a joint federal tax return, or (ii) |
$200,000, in the case of all other taxpayers, is entitled to a |
one-time rebate under this Section. The amount of the rebate |
shall be $50 for single filers and $100 for spouses filing a |
joint return, plus an additional $100 for each person who is |
claimed as a dependent, up to 3 dependents, on the taxpayer's |
federal income tax return for the taxable year that began on |
January 1, 2021. A taxpayer who files an individual income tax |
return under this Act for the taxable year that began on |
January 1, 2021, and who is claimed as a dependent on another |
individual's return for that year, is ineligible for the |
rebate provided under this Section. Spouses who qualify for a |
rebate under this Section and who file a joint return shall be |
|
treated as a single taxpayer for the purposes of the rebate |
under this Section. For a part-year resident, the amount of |
the rebate under this Section shall be in proportion to the |
amount of the taxpayer's income that is attributable to this |
State for the taxable year that began on January 1, 2021. |
Taxpayers who were non-residents for the taxable year that |
began on January 1, 2021 are not entitled to a rebate under |
this Section. |
(b) Beginning on July 5, 2022, the Department shall |
certify to the Comptroller the names of the taxpayers who are |
eligible for a one-time rebate under this Section, the amounts |
of those rebates, and any other information that the |
Comptroller requires to direct the payment of the rebates |
provided under this Section to taxpayers. |
(c) If a taxpayer files an amended return indicating that |
the taxpayer is entitled to a rebate under this Section that |
the taxpayer did not receive, or indicating that the taxpayer |
did not receive the full rebate amount to which the taxpayer is |
entitled, then the rebate shall be processed in the same |
manner as a claim for refund under Article 9. If the taxpayer |
files an amended return indicating that the taxpayer received |
a rebate under this Section to which the taxpayer is not |
entitled, then the Department shall issue a notice of |
deficiency as provided in Article 9. |
(d) The Department shall make the rebate payments |
authorized by this Section from the Income Tax Refund Fund. |
|
(e) The amount of a rebate under this Section shall not be |
included in the taxpayer's income or resources for the |
purposes of determining eligibility or benefit level in any |
means-tested benefit program administered by a governmental |
entity unless required by federal law. |
(f) Nothing in this Section prevents a taxpayer from |
receiving the earned income tax credit and the rebate under |
this Section for the same taxable year. |
(g) Notwithstanding any other law to the contrary, the |
rebates shall not be subject to offset by the Comptroller |
against any liability owed either to the State or to any unit |
of local government. |
(h) The Department shall adopt rules for the |
implementation of this Section, including emergency rules |
under Section 5-45.28 5-45.21 of the Illinois Administrative |
Procedure Act. |
(i) This Section is repealed on April 19, 2023 ( one year |
after the effective date of Public Act 102-700) this |
amendatory Act of the 102nd General Assembly .
|
(Source: P.A. 102-700, eff. 4-19-22; revised 7-26-22.)
|
(35 ILCS 5/232) |
Sec. 232. Tax credit for agritourism liability insurance. |
(a) For taxable years beginning on or after January 1, |
2022 and ending on or before December 31, 2023, any individual |
or entity that operates an agritourism operation in the State |
|
during the taxable year shall be entitled to a tax credit |
against the tax imposed by subsections (a) and (b) of Section |
201 equal to the lesser of 100% of the liability insurance |
premiums paid by that individual or entity during the taxable |
year or $1,000. To claim the credit, the taxpayer must apply to |
the Department of Agriculture for a certificate of credit in |
the form and manner required by the Department of Agriculture |
by rule. If granted, the taxpayer shall attach a copy of the |
certificate of credit to his or her Illinois income tax return |
for the taxable year. The total amount of credits that may be |
awarded by the Department of Agriculture may not exceed |
$1,000,000 in any calendar year. |
(b) For the purposes of this Section: |
"Agricultural property" means property that is used in |
whole or in part for production agriculture, as defined in |
Section 3-35 of the Use Tax Act, or used in connection with one |
or more of the following: |
(1) the growing and harvesting of crops; |
(2) the feeding, breeding, and management of |
livestock; |
(3) dairying or any other agricultural or |
horticultural use or combination of those uses, including, |
but not limited to, the harvesting of hay, grain, fruit, |
or truck or vegetable crops, or floriculture, mushroom |
growing, plant or tree nurseries, orchards, forestry, sod |
farming, or greenhouses; or |
|
(4) the keeping, raising, and feeding of livestock or |
poultry, including dairying, poultry, swine, sheep, beef |
cattle, ponies or horses, fur farming, bees, fish and |
wildlife farming. |
"Agritourism activities" includes, but is not limited to, |
the following: |
(1) historic, cultural, and on-site educational |
programs; |
(2) guided and self-guided tours, including school |
tours; |
(3) animal exhibitions or petting zoos; |
(4) agricultural crop mazes, such as corn or flower |
mazes; |
(5) harvest-your-own or U-pick operations; |
(6) horseback or pony rides; and |
(7) hayrides or sleigh rides. |
"Agritourism activities" does not include the following |
activities: |
(1) hunting; |
(2) fishing; |
(3) amusement rides; |
(4) rodeos; |
(5) off-road biking or motorized off-highway or |
all-terrain vehicle activities; |
(6) boating, swimming, canoeing, hiking, camping, |
skiing, bounce houses, or similar activities; or |
|
(7) entertainment venues such as weddings or concerts. |
"Agritourism operation" means an individual or entity that |
carries out agricultural activities on agricultural property |
and allows members of the general public, for recreational, |
entertainment, or educational purposes, to view or enjoy those |
activities. |
(c) If the taxpayer is a partnership or Subchapter S |
corporation, the credit shall be allowed to the partners or |
shareholders 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. |
(d) In no event shall a credit under this Section reduce |
the taxpayer's liability to less than zero. If the amount of |
the credit exceeds the tax liability for the year, the excess |
may be carried forward and applied to the tax liability of the |
5 taxable years following the excess credit year. The tax |
credit shall be applied to the earliest year for which there is |
a tax liability. If there are credits for more than one year |
that are available to offset a liability, the earlier credit |
shall be applied first.
|
(Source: P.A. 102-700, eff. 4-19-22.)
|
(35 ILCS 5/233) |
Sec. 233 232 . Recovery and Mental Health Tax Credit Act. |
For taxable years beginning on or after January 1, 2023, a
|
taxpayer who has been awarded a credit under the Recovery and
|
|
Mental Health Tax Credit Act is entitled to a credit against
|
the tax imposed by subsections (a) and (b) of Section 201 as
|
provided in that Act. This Section is exempt from the
|
provisions of Section 250.
|
(Source: P.A. 102-1053, eff. 6-10-22; revised 8-3-22.)
|
(35 ILCS 5/901)
|
Sec. 901. Collection authority. |
(a) In general. The Department shall collect the taxes |
imposed by this Act. The Department
shall collect certified |
past due child support amounts under Section 2505-650
of the |
Department of Revenue Law of the
Civil Administrative Code of |
Illinois. Except as
provided in subsections (b), (c), (e), |
(f), (g), and (h) of this Section, money collected
pursuant to |
subsections (a) and (b) of Section 201 of this Act shall be
|
paid into the General Revenue Fund in the State treasury; |
money
collected pursuant to subsections (c) and (d) of Section |
201 of this Act
shall be paid into the Personal Property Tax |
Replacement Fund, a special
fund in the State Treasury; and |
money collected under Section 2505-650 of the
Department of |
Revenue Law of the
Civil Administrative Code of Illinois shall |
be paid
into the
Child Support Enforcement Trust Fund, a |
special fund outside the State
Treasury, or
to the State
|
Disbursement Unit established under Section 10-26 of the |
Illinois Public Aid
Code, as directed by the Department of |
Healthcare and Family Services. |
|
(b) Local Government Distributive Fund. Beginning August |
1, 2017 and continuing through July 31, 2022, the Treasurer |
shall transfer each month from the General Revenue Fund to the |
Local Government Distributive Fund an amount equal to the sum |
of: (i) 6.06% (10% of the ratio of the 3% individual income tax |
rate prior to 2011 to the 4.95% individual income tax rate |
after July 1, 2017) of the net revenue realized from the tax |
imposed by subsections (a) and (b) of Section 201 of this Act |
upon individuals, trusts, and estates during the preceding |
month; (ii) 6.85% (10% of the ratio of the 4.8% corporate |
income tax rate prior to 2011 to the 7% corporate income tax |
rate after July 1, 2017) of the net revenue realized from the |
tax imposed by subsections (a) and (b) of Section 201 of this |
Act upon corporations during the preceding month; and (iii) |
beginning February 1, 2022, 6.06% of the net revenue realized |
from the tax imposed by subsection (p) of Section 201 of this |
Act upon electing pass-through entities. Beginning August 1, |
2022, the Treasurer shall transfer each month from the General |
Revenue Fund to the Local Government Distributive Fund an |
amount equal to the sum of: (i) 6.16% of the net revenue |
realized from the tax imposed by subsections (a) and (b) of |
Section 201 of this Act upon individuals, trusts, and estates |
during the preceding month; (ii) 6.85% of the net revenue |
realized from the tax imposed by subsections (a) and (b) of |
Section 201 of this Act upon corporations during the preceding |
month; and (iii) 6.16% of the net revenue realized from the tax |
|
imposed by subsection (p) of Section 201 of this Act upon |
electing pass-through entities. Net revenue realized for a |
month shall be defined as the
revenue from the tax imposed by |
subsections (a) and (b) of Section 201 of this
Act which is |
deposited in the General Revenue Fund, the Education |
Assistance
Fund, the Income Tax Surcharge Local Government |
Distributive Fund, the Fund for the Advancement of Education, |
and the Commitment to Human Services Fund during the
month |
minus the amount paid out of the General Revenue Fund in State |
warrants
during that same month as refunds to taxpayers for |
overpayment of liability
under the tax imposed by subsections |
(a) and (b) of Section 201 of this Act. |
Notwithstanding any provision of law to the contrary, |
beginning on July 6, 2017 (the effective date of Public Act |
100-23), those amounts required under this subsection (b) to |
be transferred by the Treasurer into the Local Government |
Distributive Fund from the General Revenue Fund shall be |
directly deposited into the Local Government Distributive Fund |
as the revenue is realized from the tax imposed by subsections |
(a) and (b) of Section 201 of this Act. |
(c) Deposits Into Income Tax Refund Fund. |
(1) Beginning on January 1, 1989 and thereafter, the |
Department shall
deposit a percentage of the amounts |
collected pursuant to subsections (a)
and (b)(1), (2), and |
(3) of Section 201 of this Act into a fund in the State
|
treasury known as the Income Tax Refund Fund. Beginning |
|
with State fiscal year 1990 and for each fiscal year
|
thereafter, the percentage deposited into the Income Tax |
Refund Fund during a
fiscal year shall be the Annual |
Percentage. For fiscal year 2011, the Annual Percentage |
shall be 8.75%. For fiscal year 2012, the Annual |
Percentage shall be 8.75%. For fiscal year 2013, the |
Annual Percentage shall be 9.75%. For fiscal year 2014, |
the Annual Percentage shall be 9.5%. For fiscal year 2015, |
the Annual Percentage shall be 10%. For fiscal year 2018, |
the Annual Percentage shall be 9.8%. For fiscal year 2019, |
the Annual Percentage shall be 9.7%. For fiscal year 2020, |
the Annual Percentage shall be 9.5%. For fiscal year 2021, |
the Annual Percentage shall be 9%. For fiscal year 2022, |
the Annual Percentage shall be 9.25%. For fiscal year |
2023, the Annual Percentage shall be 9.25%. For all other
|
fiscal years, the
Annual Percentage shall be calculated as |
a fraction, the numerator of which
shall be the amount of |
refunds approved for payment by the Department during
the |
preceding fiscal year as a result of overpayment of tax |
liability under
subsections (a) and (b)(1), (2), and (3) |
of Section 201 of this Act plus the
amount of such refunds |
remaining approved but unpaid at the end of the
preceding |
fiscal year, minus the amounts transferred into the Income |
Tax
Refund Fund from the Tobacco Settlement Recovery Fund, |
and
the denominator of which shall be the amounts which |
will be collected pursuant
to subsections (a) and (b)(1), |
|
(2), and (3) of Section 201 of this Act during
the |
preceding fiscal year; except that in State fiscal year |
2002, the Annual
Percentage shall in no event exceed 7.6%. |
The Director of Revenue shall
certify the Annual |
Percentage to the Comptroller on the last business day of
|
the fiscal year immediately preceding the fiscal year for |
which it is to be
effective. |
(2) Beginning on January 1, 1989 and thereafter, the |
Department shall
deposit a percentage of the amounts |
collected pursuant to subsections (a)
and (b)(6), (7), and |
(8), (c) and (d) of Section 201
of this Act into a fund in |
the State treasury known as the Income Tax
Refund Fund. |
Beginning
with State fiscal year 1990 and for each fiscal |
year thereafter, the
percentage deposited into the Income |
Tax Refund Fund during a fiscal year
shall be the Annual |
Percentage. For fiscal year 2011, the Annual Percentage |
shall be 17.5%. For fiscal year 2012, the Annual |
Percentage shall be 17.5%. For fiscal year 2013, the |
Annual Percentage shall be 14%. For fiscal year 2014, the |
Annual Percentage shall be 13.4%. For fiscal year 2015, |
the Annual Percentage shall be 14%. For fiscal year 2018, |
the Annual Percentage shall be 17.5%. For fiscal year |
2019, the Annual Percentage shall be 15.5%. For fiscal |
year 2020, the Annual Percentage shall be 14.25%. For |
fiscal year 2021, the Annual Percentage shall be 14%. For |
fiscal year 2022, the Annual Percentage shall be 15%. For |
|
fiscal year 2023, the Annual Percentage shall be 14.5%. |
For all other fiscal years, the Annual
Percentage shall be |
calculated
as a fraction, the numerator of which shall be |
the amount of refunds
approved for payment by the |
Department during the preceding fiscal year as
a result of |
overpayment of tax liability under subsections (a) and |
(b)(6),
(7), and (8), (c) and (d) of Section 201 of this |
Act plus the
amount of such refunds remaining approved but |
unpaid at the end of the
preceding fiscal year, and the |
denominator of
which shall be the amounts which will be |
collected pursuant to subsections (a)
and (b)(6), (7), and |
(8), (c) and (d) of Section 201 of this Act during the
|
preceding fiscal year; except that in State fiscal year |
2002, the Annual
Percentage shall in no event exceed 23%. |
The Director of Revenue shall
certify the Annual |
Percentage to the Comptroller on the last business day of
|
the fiscal year immediately preceding the fiscal year for |
which it is to be
effective. |
(3) The Comptroller shall order transferred and the |
Treasurer shall
transfer from the Tobacco Settlement |
Recovery Fund to the Income Tax Refund
Fund (i) |
$35,000,000 in January, 2001, (ii) $35,000,000 in January, |
2002, and
(iii) $35,000,000 in January, 2003. |
(d) Expenditures from Income Tax Refund Fund. |
(1) Beginning January 1, 1989, money in the Income Tax |
Refund Fund
shall be expended exclusively for the purpose |
|
of paying refunds resulting
from overpayment of tax |
liability under Section 201 of this Act
and for
making |
transfers pursuant to this subsection (d), except that in |
State fiscal years 2022 and 2023, moneys in the Income Tax |
Refund Fund shall also be used to pay one-time rebate |
payments as provided under Sections 208.5 and 212.1. |
(2) The Director shall order payment of refunds |
resulting from
overpayment of tax liability under Section |
201 of this Act from the
Income Tax Refund Fund only to the |
extent that amounts collected pursuant
to Section 201 of |
this Act and transfers pursuant to this subsection (d)
and |
item (3) of subsection (c) have been deposited and |
retained in the
Fund. |
(3) As soon as possible after the end of each fiscal |
year, the Director
shall
order transferred and the State |
Treasurer and State Comptroller shall
transfer from the |
Income Tax Refund Fund to the Personal Property Tax
|
Replacement Fund an amount, certified by the Director to |
the Comptroller,
equal to the excess of the amount |
collected pursuant to subsections (c) and
(d) of Section |
201 of this Act deposited into the Income Tax Refund Fund
|
during the fiscal year over the amount of refunds |
resulting from
overpayment of tax liability under |
subsections (c) and (d) of Section 201
of this Act paid |
from the Income Tax Refund Fund during the fiscal year. |
(4) As soon as possible after the end of each fiscal |
|
year, the Director shall
order transferred and the State |
Treasurer and State Comptroller shall
transfer from the |
Personal Property Tax Replacement Fund to the Income Tax
|
Refund Fund an amount, certified by the Director to the |
Comptroller, equal
to the excess of the amount of refunds |
resulting from overpayment of tax
liability under |
subsections (c) and (d) of Section 201 of this Act paid
|
from the Income Tax Refund Fund during the fiscal year |
over the amount
collected pursuant to subsections (c) and |
(d) of Section 201 of this Act
deposited into the Income |
Tax Refund Fund during the fiscal year. |
(4.5) As soon as possible after the end of fiscal year |
1999 and of each
fiscal year
thereafter, the Director |
shall order transferred and the State Treasurer and
State |
Comptroller shall transfer from the Income Tax Refund Fund |
to the General
Revenue Fund any surplus remaining in the |
Income Tax Refund Fund as of the end
of such fiscal year; |
excluding for fiscal years 2000, 2001, and 2002
amounts |
attributable to transfers under item (3) of subsection (c) |
less refunds
resulting from the earned income tax credit, |
and excluding for fiscal year 2022 amounts attributable to |
transfers from the General Revenue Fund authorized by |
Public Act 102-700 this amendatory Act of the 102nd |
General Assembly . |
(5) This Act shall constitute an irrevocable and |
continuing
appropriation from the Income Tax Refund Fund |
|
for the purposes of (i) paying
refunds upon the order of |
the Director in accordance with the provisions of
this |
Section and (ii) paying one-time rebate payments under |
Sections 208.5 and 212.1. |
(e) Deposits into the Education Assistance Fund and the |
Income Tax
Surcharge Local Government Distributive Fund. On |
July 1, 1991, and thereafter, of the amounts collected |
pursuant to
subsections (a) and (b) of Section 201 of this Act, |
minus deposits into the
Income Tax Refund Fund, the Department |
shall deposit 7.3% into the
Education Assistance Fund in the |
State Treasury. Beginning July 1, 1991,
and continuing through |
January 31, 1993, of the amounts collected pursuant to
|
subsections (a) and (b) of Section 201 of the Illinois Income |
Tax Act, minus
deposits into the Income Tax Refund Fund, the |
Department shall deposit 3.0%
into the Income Tax Surcharge |
Local Government Distributive Fund in the State
Treasury. |
Beginning February 1, 1993 and continuing through June 30, |
1993, of
the amounts collected pursuant to subsections (a) and |
(b) of Section 201 of the
Illinois Income Tax Act, minus |
deposits into the Income Tax Refund Fund, the
Department shall |
deposit 4.4% into the Income Tax Surcharge Local Government
|
Distributive Fund in the State Treasury. Beginning July 1, |
1993, and
continuing through June 30, 1994, of the amounts |
collected under subsections
(a) and (b) of Section 201 of this |
Act, minus deposits into the Income Tax
Refund Fund, the |
Department shall deposit 1.475% into the Income Tax Surcharge
|
|
Local Government Distributive Fund in the State Treasury. |
(f) Deposits into the Fund for the Advancement of |
Education. Beginning February 1, 2015, the Department shall |
deposit the following portions of the revenue realized from |
the tax imposed upon individuals, trusts, and estates by |
subsections (a) and (b) of Section 201 of this Act, minus |
deposits into the Income Tax Refund Fund, into the Fund for the |
Advancement of Education: |
(1) beginning February 1, 2015, and prior to February |
1, 2025, 1/30; and |
(2) beginning February 1, 2025, 1/26. |
If the rate of tax imposed by subsection (a) and (b) of |
Section 201 is reduced pursuant to Section 201.5 of this Act, |
the Department shall not make the deposits required by this |
subsection (f) on or after the effective date of the |
reduction. |
(g) Deposits into the Commitment to Human Services Fund. |
Beginning February 1, 2015, the Department shall deposit the |
following portions of the revenue realized from the tax |
imposed upon individuals, trusts, and estates by subsections |
(a) and (b) of Section 201 of this Act, minus deposits into the |
Income Tax Refund Fund, into the Commitment to Human Services |
Fund: |
(1) beginning February 1, 2015, and prior to February |
1, 2025, 1/30; and |
(2) beginning February 1, 2025, 1/26. |
|
If the rate of tax imposed by subsection (a) and (b) of |
Section 201 is reduced pursuant to Section 201.5 of this Act, |
the Department shall not make the deposits required by this |
subsection (g) on or after the effective date of the |
reduction. |
(h) Deposits into the Tax Compliance and Administration |
Fund. Beginning on the first day of the first calendar month to |
occur on or after August 26, 2014 (the effective date of Public |
Act 98-1098), each month the Department shall pay into the Tax |
Compliance and Administration Fund, to be used, subject to |
appropriation, to fund additional auditors and compliance |
personnel at the Department, an amount equal to 1/12 of 5% of |
the cash receipts collected during the preceding fiscal year |
by the Audit Bureau of the Department from the tax imposed by |
subsections (a), (b), (c), and (d) of Section 201 of this Act, |
net of deposits into the Income Tax Refund Fund made from those |
cash receipts. |
(Source: P.A. 101-8, see Section 99 for effective date; |
101-10, eff. 6-5-19; 101-81, eff. 7-12-19; 101-636, eff. |
6-10-20; 102-16, eff. 6-17-21; 102-558, eff. 8-20-21; 102-658, |
eff. 8-27-21; 102-699, eff. 4-19-22; 102-700, eff. 4-19-22; |
102-813, eff. 5-13-22; revised 8-2-22.)
|
(35 ILCS 5/917) (from Ch. 120, par. 9-917)
|
Sec. 917. Confidentiality and information sharing.
|
(a) Confidentiality.
Except as provided in this Section, |
|
all information received by the Department
from returns filed |
under this Act, or from any investigation conducted under
the |
provisions of this Act, shall be confidential, except for |
official purposes
within the Department or pursuant to |
official procedures for collection
of any State tax or |
pursuant to an investigation or audit by the Illinois
State |
Scholarship Commission of a delinquent student loan or |
monetary award
or enforcement of any civil or criminal penalty |
or sanction
imposed by this Act or by another statute imposing |
a State tax, and any
person who divulges any such information |
in any manner, except for such
purposes and pursuant to order |
of the Director or in accordance with a proper
judicial order, |
shall be guilty of a Class A misdemeanor. However, the
|
provisions of this paragraph are not applicable to information |
furnished
to (i) the Department of Healthcare and Family |
Services (formerly
Department of Public Aid), State's |
Attorneys, and the Attorney General for child support |
enforcement purposes and (ii) a licensed attorney representing |
the taxpayer where an appeal or a protest
has been filed on |
behalf of the taxpayer. If it is necessary to file information |
obtained pursuant to this Act in a child support enforcement |
proceeding, the information shall be filed under seal. The |
furnishing upon request of the Auditor General, or his or her |
authorized agents, for official use of returns filed and |
information related thereto under this Act is deemed to be an |
official purpose within the Department within the meaning of |
|
this Section.
|
(b) Public information. Nothing contained in this Act |
shall prevent
the Director from publishing or making available |
to the public the names
and addresses of persons filing |
returns under this Act, or from publishing
or making available |
reasonable statistics concerning the operation of the
tax |
wherein the contents of returns are grouped into aggregates in |
such a
way that the information contained in any individual |
return shall not be
disclosed.
|
(c) Governmental agencies. The Director may make available |
to the
Secretary of the Treasury of the United States or his |
delegate, or the
proper officer or his delegate of any other |
state imposing a tax upon or
measured by income, for |
exclusively official purposes, information received
by the |
Department in the administration of this Act, but such |
permission
shall be granted only if the United States or such |
other state, as the case
may be, grants the Department |
substantially similar privileges. The Director
may exchange |
information with the Department of Healthcare and Family |
Services and the
Department of Human Services (acting as |
successor to the Department of Public
Aid under the Department |
of Human Services Act) for
the purpose of verifying sources |
and amounts of income and for other purposes
directly |
connected with the administration of this Act, the Illinois |
Public Aid Code, and any other health benefit program |
administered by the State. The Director may exchange |
|
information with the Director of
the Department of Employment |
Security for the purpose of verifying sources
and amounts of |
income and for other purposes directly connected with the
|
administration of this Act and Acts administered by the |
Department of
Employment
Security.
The Director may make |
available to the Illinois Workers' Compensation Commission
|
information regarding employers for the purpose of verifying |
the insurance
coverage required under the Workers' |
Compensation Act and Workers'
Occupational Diseases Act. The |
Director may exchange information with the Illinois Department |
on Aging for the purpose of verifying sources and amounts of |
income for purposes directly related to confirming eligibility |
for participation in the programs of benefits authorized by |
the Senior Citizens and Persons with Disabilities Property Tax |
Relief and Pharmaceutical Assistance Act. The Director may |
exchange information with the State Treasurer's Office and the |
Department of Employment Security for the purpose of |
implementing, administering, and enforcing the Illinois Secure |
Choice Savings Program Act. The Director may exchange |
information with the State Treasurer's Office for the purpose |
of administering the Revised Uniform Unclaimed Property Act or |
successor Acts. The Director may make information available to |
the Secretary of State for the purpose of administering |
Section 5-901 of the Illinois Vehicle Code. The Director may |
exchange information with the State Treasurer's Office for the |
purpose of administering the Illinois Higher Education Savings |
|
Program established under Section 16.8 of the State Treasurer |
Act. The Director may make individual income tax information |
available to the State health benefits exchange, as defined in |
Section 513, if the disclosure is authorized by the taxpayer |
pursuant to Section 513.
|
The Director may make available to any State agency, |
including the
Illinois Supreme Court, which licenses persons |
to engage in any occupation,
information that a person |
licensed by such agency has failed to file
returns under this |
Act or pay the tax, penalty and interest shown therein,
or has |
failed to pay any final assessment of tax, penalty or interest |
due
under this Act.
The Director may make available to any |
State agency, including the Illinois
Supreme
Court, |
information regarding whether a bidder, contractor, or an |
affiliate of a
bidder or
contractor has failed to file returns |
under this Act or pay the tax, penalty,
and interest
shown |
therein, or has failed to pay any final assessment of tax, |
penalty, or
interest due
under this Act, for the limited |
purpose of enforcing bidder and contractor
certifications.
For |
purposes of this Section, the term "affiliate" means any |
entity that (1)
directly,
indirectly, or constructively |
controls another entity, (2) is directly,
indirectly, or
|
constructively controlled by another entity, or (3) is subject |
to the control
of
a common
entity. For purposes of this |
subsection (a), an entity controls another entity
if
it owns,
|
directly or individually, more than 10% of the voting |
|
securities of that
entity.
As used in
this subsection (a), the |
term "voting security" means a security that (1)
confers upon |
the
holder the right to vote for the election of members of the |
board of directors
or similar
governing body of the business |
or (2) is convertible into, or entitles the
holder to receive
|
upon its exercise, a security that confers such a right to |
vote. A general
partnership
interest is a voting security.
|
The Director may make available to any State agency, |
including the
Illinois
Supreme Court, units of local |
government, and school districts, information
regarding
|
whether a bidder or contractor is an affiliate of a person who |
is not
collecting
and
remitting Illinois Use taxes, for the |
limited purpose of enforcing bidder and
contractor
|
certifications.
|
The Director may also make available to the Secretary of |
State
information that a corporation which has been issued a |
certificate of
incorporation by the Secretary of State has |
failed to file returns under
this Act or pay the tax, penalty |
and interest shown therein, or has failed
to pay any final |
assessment of tax, penalty or interest due under this Act.
An |
assessment is final when all proceedings in court for
review |
of such assessment have terminated or the time for the taking
|
thereof has expired without such proceedings being instituted. |
For
taxable years ending on or after December 31, 1987, the |
Director may make
available to the Director or principal |
officer of any Department of the
State of Illinois, |
|
information that a person employed by such Department
has |
failed to file returns under this Act or pay the tax, penalty |
and
interest shown therein. For purposes of this paragraph, |
the word
"Department" shall have the same meaning as provided |
in Section 3 of the
State Employees Group Insurance Act of |
1971.
|
(d) The Director shall make available for public
|
inspection in the Department's principal office and for |
publication, at cost,
administrative decisions issued on or |
after January
1, 1995. These decisions are to be made |
available in a manner so that the
following
taxpayer |
information is not disclosed:
|
(1) The names, addresses, and identification numbers |
of the taxpayer,
related entities, and employees.
|
(2) At the sole discretion of the Director, trade |
secrets
or other confidential information identified as |
such by the taxpayer, no later
than 30 days after receipt |
of an administrative decision, by such means as the
|
Department shall provide by rule.
|
The Director shall determine the
appropriate extent of the
|
deletions allowed in paragraph (2). In the event the taxpayer |
does not submit
deletions,
the Director shall make only the |
deletions specified in paragraph (1).
|
The Director shall make available for public inspection |
and publication an
administrative decision within 180 days |
after the issuance of the
administrative
decision. The term |
|
"administrative decision" has the same meaning as defined in
|
Section 3-101 of Article III of the Code of Civil Procedure. |
Costs collected
under this Section shall be paid into the Tax |
Compliance and Administration
Fund.
|
(e) Nothing contained in this Act shall prevent the |
Director from
divulging
information to any person pursuant to |
a request or authorization made by the
taxpayer, by an |
authorized representative of the taxpayer, or, in the case of
|
information related to a joint return, by the spouse filing |
the joint return
with the taxpayer.
|
(Source: P.A. 102-61, eff. 7-9-21; 102-129, eff. 7-23-21; |
102-799, eff. 5-13-22; 102-813, eff. 5-13-22; 102-941, eff. |
7-1-22; revised 8-3-22.)
|
Section 185. The Historic Preservation Tax Credit Act is |
amended by changing Section 5 as follows:
|
(35 ILCS 31/5)
|
Sec. 5. Definitions. As used in this Act, unless the |
context clearly indicates otherwise: |
"Director" means the Director of Natural Resources or his |
or her designee. |
"Division" means the State Historic Preservation Office |
within the Department of Natural Resources. |
"Placed in service" means the date when the property is |
placed in a condition or state of readiness and availability |
|
for a specifically assigned function as defined under Section |
47 of the federal Internal Revenue Code and federal Treasury |
Regulation Sections 1.46 and 1.48. |
"Qualified expenditures" means all the costs and expenses |
defined as qualified rehabilitation expenditures under Section |
47 of the federal Internal Revenue Code that were incurred in |
connection with a qualified rehabilitation plan. |
"Qualified historic structure" means any structure that is |
located in Illinois and is defined as a certified historic |
structure under Section 47(c)(3) of the federal Internal |
Revenue Code. |
"Qualified rehabilitation plan" means a project that is |
approved by the Department of Natural Resources and the |
National Park Service as being consistent with the United |
States Secretary of the Interior's Standards for |
Rehabilitation. |
"Qualified taxpayer" means the owner of the structure or |
any other person or entity that who may qualify for the federal |
rehabilitation credit allowed by Section 47 of the federal |
Internal Revenue Code. |
"Recapture event" means any of the following events |
occurring during the recapture period: |
(1) failure to place in service the rehabilitated |
portions of the qualified historic structure, or failure |
to maintain the rehabilitated portions of the qualified |
historic structure in service after they are placed in |
|
service; provided that a recapture event under this |
paragraph (1) shall not include a removal from service for |
a reasonable period of time to conduct maintenance and |
repairs that are reasonably necessary to protect the |
health and safety of the public or to protect the |
structural integrity of the qualified historic structure |
or a neighboring structure; |
(2) demolition or other alteration of the qualified |
historic structure in a manner that is inconsistent with |
the qualified rehabilitation plan or the Secretary of the |
Interior's Standards for Rehabilitation; |
(3) disposition of the rehabilitated qualified |
historic structure in whole or a proportional disposition |
of a partnership interest therein, except as otherwise |
permitted by this Section; or |
(4) use of the qualified historic structure in a |
manner that is inconsistent with the qualified |
rehabilitation plan or that is otherwise inconsistent with |
the provisions and intent of this Section. |
A recapture event occurring in one taxable year shall be |
deemed continuing to subsequent taxable years unless and until |
corrected. |
The following dispositions of a qualified historic |
structure shall not be deemed to be a recapture event for |
purposes of this Section: |
(1) a transfer by reason of death; |
|
(2) a transfer between spouses incident to divorce; |
(3) a sale by and leaseback to an entity that, when the |
rehabilitated portions of the qualified historic structure |
are placed in service, will be a lessee of the qualified |
historic structure, but only for so long as the entity |
continues to be a lessee; and |
(4) a mere change in the form of conducting the trade |
or business by the owner (or, if applicable, the lessee) |
of the qualified historic structure, so long as the |
property interest in such qualified historic structure is |
retained in such trade or business and the owner or lessee |
retains a substantial interest in such trade or business. |
"Recapture period" means the 5-year period beginning on |
the date that the qualified historic structure or |
rehabilitated portions of the qualified historic structure are |
placed in service.
|
(Source: P.A. 102-741, eff. 5-6-22; revised 9-8-22.)
|
Section 190. The Invest in Kids Act is amended by changing |
Section 40 as follows:
|
(35 ILCS 40/40) |
(Section scheduled to be repealed on January 1, 2025)
|
Sec. 40. Scholarship granting organization |
responsibilities. |
(a) Before granting a scholarship for an academic year, |
|
all scholarship granting organizations shall assess and |
document each student's eligibility for the academic year.
|
(b) A scholarship granting organization shall grant |
scholarships only to eligible students.
|
(c) A scholarship granting organization shall allow an |
eligible student to attend any qualified school of the |
student's choosing, subject to the availability of funds.
|
(d) In granting scholarships, beginning in the 2022-2023 |
school year and for each school year thereafter, a scholarship |
granting organization shall give priority to eligible students |
who received a scholarship from a scholarship granting |
organization during the previous school year. Second priority |
shall be given to the following priority groups: |
(1) (blank);
|
(2) eligible students who are members of a household |
whose previous year's total annual income does not exceed |
185% of the federal poverty level;
|
(3) eligible students who reside within a focus |
district; and
|
(4) eligible students who are siblings of students |
currently receiving a scholarship.
|
(d-5) A scholarship granting organization shall begin |
granting scholarships no later than February 1 preceding the |
school year for which the scholarship is sought. Each priority |
group identified in subsection (d) of this Section shall be |
eligible to receive scholarships on a first-come, first-served |
|
basis until April 1 immediately preceding the school year for |
which the scholarship is sought , starting with the first |
priority group identified in subsection (d) of this Section. |
Applications for scholarships for eligible students meeting |
the qualifications of one or more priority groups that are |
received before April 1 must be either approved or denied |
within 10 business days after receipt. Beginning April 1, all |
eligible students shall be eligible to receive scholarships |
without regard to the priority groups identified in subsection |
(d) of this Section. |
(e) Except as provided in subsection (e-5) of this |
Section, scholarships shall not exceed the lesser of (i) the |
statewide average operational expense per
student among public |
schools or (ii) the necessary costs and fees for attendance at |
the qualified school. A qualified school may set a lower |
maximum scholarship amount for eligible students whose family |
income falls within paragraphs (2) and (3) of this subsection |
(e); that amount may not exceed the necessary costs and fees |
for attendance at the qualified school and is subject to the |
limitations on average scholarship amounts set forth in |
paragraphs (2) and (3) of this subsection, as applicable. The |
qualified school shall notify the scholarship granting |
organization of its necessary costs and fees as well as any |
maximum scholarship amount set by the school.
Scholarships |
shall be prorated as follows: |
(1) for eligible students whose household income is |
|
less than 185% of the federal poverty level, the |
scholarship shall be 100% of the amount determined |
pursuant to this subsection (e) and subsection (e-5) of |
this Section; |
(2) for eligible students whose household income is |
185% or more of the federal poverty level but less than |
250% of the federal poverty level, the average of |
scholarships shall be 75% of the amount determined |
pursuant to this subsection (e) and subsection (e-5) of |
this Section; and |
(3) for eligible students whose household income is |
250% or more of the federal poverty level, the average of |
scholarships shall be 50% of the amount determined |
pursuant to this subsection (e) and subsection (e-5) of |
this Section. |
(e-5) The statewide average operational expense per |
student among public schools shall be multiplied by the |
following factors: |
(1) for students determined eligible to receive |
services under the federal Individuals with Disabilities |
Education Act, 2; |
(2) for students who are English learners, as defined |
in subsection (d) of Section 14C-2 of the School Code, |
1.2; and |
(3) for students who are gifted and talented children, |
as defined in Section 14A-20 of the School Code, 1.1. |
|
(f) A scholarship granting organization shall distribute |
scholarship payments to the participating school where the |
student is enrolled.
|
(g) For the 2018-2019 school year through the 2022-2023 |
school year, each scholarship granting organization shall |
expend no less than 75% of the qualified contributions |
received during the calendar year in which the qualified |
contributions were received. No more than 25% of the
qualified |
contributions may be carried forward to the following calendar |
year.
|
(h) For the 2023-2024 school year, each scholarship |
granting organization shall expend all qualified contributions |
received during the calendar year in which the qualified |
contributions were
received. No qualified contributions may be |
carried forward to the following calendar year.
|
(i) A scholarship granting organization shall allow an |
eligible student to transfer a scholarship during a school |
year to any other participating school of the custodian's |
choice. Such scholarships shall be prorated.
|
(j) With the prior approval of the Department, a |
scholarship granting organization may transfer funds to |
another scholarship granting organization if additional funds |
are required to meet scholarship demands at the receiving |
scholarship granting organization. All transferred funds must |
be
deposited by the receiving scholarship granting |
organization into its scholarship accounts. All transferred |
|
amounts received by any scholarship granting organization must |
be separately
disclosed to the Department.
|
(k) If the approval of a scholarship granting organization |
is revoked as provided in Section 20 of this Act or the |
scholarship granting organization is dissolved, all remaining |
qualified contributions of the scholarship granting |
organization shall be transferred to another scholarship |
granting organization. All transferred funds must be deposited |
by the receiving scholarship granting organization into its |
scholarship accounts. |
(l) Scholarship granting organizations shall make |
reasonable efforts to advertise the availability of |
scholarships to eligible students.
|
(Source: P.A. 102-699, eff. 4-19-22; 102-1059, eff. 6-10-22; |
revised 8-3-22.)
|
Section 195. The Use Tax Act is amended by changing |
Sections 3-5, 3-10, 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 July 1, 2001 (the |
effective date of Public Act 92-35), 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. Beginning on July 1, 2017, graphic |
arts machinery and equipment is included in the manufacturing |
and assembling machinery and equipment exemption under |
paragraph (18).
|
(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) Until July 1, 2028, coal and aggregate exploration, |
mining, off-highway 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)
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).
|
(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) includes production related tangible personal |
property, as defined in Section 3-50, purchased on or after |
July 1, 2019. 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 are declaratory of existing law as to the |
meaning and scope of this exemption. Beginning on July 1, |
2017, the exemption provided by this paragraph (18) includes, |
but is not limited to, graphic arts machinery and equipment, |
as defined in paragraph (6) of this Section.
|
(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, the MC/DD Act, or the |
Specialized Mental Health Rehabilitation Act of 2013.
|
(31) Beginning on August 2, 2001 (the effective date of |
Public Act 92-227),
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 August 2, 2001 (the effective date of |
Public Act 92-227),
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 and continuing through |
December 31, 2024, 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 are declarative of |
existing law. It is the intent of the General Assembly that the |
exemption under this paragraph (35) applies continuously from |
January 1, 2010 through December 31, 2024; however, no claim |
for credit or refund is allowed for taxes paid as a result of |
the disallowance of this exemption on or after January 1, 2015 |
and prior to February 5, 2020 ( the effective date of Public Act |
101-629) this amendatory Act of the 101st General Assembly . |
(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. |
(37) Beginning January 1, 2017 and through December 31, |
2026, menstrual pads, tampons, and menstrual cups. |
(38) Merchandise that is subject to the Rental Purchase |
Agreement Occupation and Use Tax. The purchaser must certify |
that the item is purchased to be rented subject to a rental |
purchase agreement, as defined in the Rental Purchase |
Agreement Act, and provide proof of registration under the |
Rental Purchase Agreement Occupation and Use Tax Act. This |
paragraph is exempt from the provisions of Section 3-90. |
(39) Tangible personal property purchased by a purchaser |
who is exempt from the tax imposed by this Act by operation of |
federal law. This paragraph is exempt from the provisions of |
Section 3-90. |
(40) Qualified tangible personal property used in the |
construction or operation of a data center that has been |
granted a certificate of exemption by the Department of |
Commerce and Economic Opportunity, whether that tangible |
personal property is purchased by the owner, operator, or |
tenant of the data center or by a contractor or subcontractor |
of the owner, operator, or tenant. Data centers that would |
|
have qualified for a certificate of exemption prior to January |
1, 2020 had Public Act 101-31 been in effect may apply for and |
obtain an exemption for subsequent purchases of computer |
equipment or enabling software purchased or leased to upgrade, |
supplement, or replace computer equipment or enabling software |
purchased or leased in the original investment that would have |
qualified. |
The Department of Commerce and Economic Opportunity shall |
grant a certificate of exemption under this item (40) to |
qualified data centers as defined by Section 605-1025 of the |
Department of Commerce and Economic Opportunity Law of the
|
Civil Administrative Code of Illinois. |
For the purposes of this item (40): |
"Data center" means a building or a series of |
buildings rehabilitated or constructed to house working |
servers in one physical location or multiple sites within |
the State of Illinois. |
"Qualified tangible personal property" means: |
electrical systems and equipment; climate control and |
chilling equipment and systems; mechanical systems and |
equipment; monitoring and secure systems; emergency |
generators; hardware; computers; servers; data storage |
devices; network connectivity equipment; racks; cabinets; |
telecommunications cabling infrastructure; raised floor |
systems; peripheral components or systems; software; |
mechanical, electrical, or plumbing systems; battery |
|
systems; cooling systems and towers; temperature control |
systems; other cabling; and other data center |
infrastructure equipment and systems necessary to operate |
qualified tangible personal property, including fixtures; |
and component parts of any of the foregoing, including |
installation, maintenance, repair, refurbishment, and |
replacement of qualified tangible personal property to |
generate, transform, transmit, distribute, or manage |
electricity necessary to operate qualified tangible |
personal property; and all other tangible personal |
property that is essential to the operations of a computer |
data center. The term "qualified tangible personal |
property" also includes building materials physically |
incorporated in to the qualifying data center. To document |
the exemption allowed under this Section, the retailer |
must obtain from the purchaser a copy of the certificate |
of eligibility issued by the Department of Commerce and |
Economic Opportunity. |
This item (40) is exempt from the provisions of Section |
3-90. |
(41) Beginning July 1, 2022, breast pumps, breast pump |
collection and storage supplies, and breast pump kits. This |
item (41) is exempt from the provisions of Section 3-90. As |
used in this item (41): |
"Breast pump" means an electrically controlled or |
manually controlled pump device designed or marketed to be |
|
used to express milk from a human breast during lactation, |
including the pump device and any battery, AC adapter, or |
other power supply unit that is used to power the pump |
device and is packaged and sold with the pump device at the |
time of sale. |
"Breast pump collection and storage supplies" means |
items of tangible personal property designed or marketed |
to be used in conjunction with a breast pump to collect |
milk expressed from a human breast and to store collected |
milk until it is ready for consumption. |
"Breast pump collection and storage supplies" |
includes, but is not limited to: breast shields and breast |
shield connectors; breast pump tubes and tubing adapters; |
breast pump valves and membranes; backflow protectors and |
backflow protector adaptors; bottles and bottle caps |
specific to the operation of the breast pump; and breast |
milk storage bags. |
"Breast pump collection and storage supplies" does not |
include: (1) bottles and bottle caps not specific to the |
operation of the breast pump; (2) breast pump travel bags |
and other similar carrying accessories, including ice |
packs, labels, and other similar products; (3) breast pump |
cleaning supplies; (4) nursing bras, bra pads, breast |
shells, and other similar products; and (5) creams, |
ointments, and other similar products that relieve |
breastfeeding-related symptoms or conditions of the |
|
breasts or nipples, unless sold as part of a breast pump |
kit that is pre-packaged by the breast pump manufacturer |
or distributor. |
"Breast pump kit" means a kit that: (1) contains no |
more than a breast pump, breast pump collection and |
storage supplies, a rechargeable battery for operating the |
breast pump, a breastmilk cooler, bottle stands, ice |
packs, and a breast pump carrying case; and (2) is |
pre-packaged as a breast pump kit by the breast pump |
manufacturer or distributor. |
(42) (41) Tangible personal property sold by or on behalf |
of the State Treasurer pursuant to the Revised Uniform |
Unclaimed Property Act. This item (42) (41) is exempt from the |
provisions of Section 3-90. |
(Source: P.A. 101-9, eff. 6-5-19; 101-31, eff. 6-28-19; |
101-81, eff. 7-12-19; 101-629, eff. 2-5-20; 102-16, eff. |
6-17-21; 102-700, Article 70, Section 70-5, eff. 4-19-22; |
102-700, Article 75, Section 75-5, eff. 4-19-22; 102-1026, |
eff. 5-27-22; revised 8-1-22.)
|
(35 ILCS 105/3-10)
|
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 |
either the selling price or the
fair market value, if any, of |
the tangible personal property. In all cases
where property |
functionally used or consumed is the same as the property that
|
|
was purchased at retail, then the tax is imposed on the selling |
price of the
property. In all cases where property |
functionally used or consumed is a
by-product or waste product |
that has been refined, manufactured, or produced
from property |
purchased at retail, then the tax is imposed on the lower of |
the
fair market value, if any, of the specific property so used |
in this State or on
the selling price of the property purchased |
at retail. For purposes of this
Section "fair market value" |
means the price at which property would change
hands between a |
willing buyer and a willing seller, neither being under any
|
compulsion to buy or sell and both having reasonable knowledge |
of the
relevant facts. The fair market value shall be |
established by Illinois sales by
the taxpayer of the same |
property as that functionally used or consumed, or if
there |
are no such sales by the taxpayer, then comparable sales or |
purchases of
property of like kind and character in Illinois.
|
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%.
|
Beginning on August 6, 2010 through August 15, 2010, and |
beginning again on August 5, 2022 through August 14, 2022, |
with respect to sales tax holiday items as defined in Section |
3-6 of this Act, the
tax is imposed at the rate of 1.25%. |
With respect to gasohol, the tax imposed by this Act |
applies to (i) 70%
of the proceeds of sales made on or after |
|
January 1, 1990, and before
July 1, 2003, (ii) 80% of the |
proceeds of sales made
on or after July 1, 2003 and on or |
before July 1, 2017, and (iii) 100% of the proceeds of sales |
made
thereafter.
If, at any time, however, the tax under this |
Act on sales of gasohol 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, the tax |
imposed by this Act
does
not apply
to the proceeds of sales |
made on or after July 1, 2003 and on or before
December 31, |
2023 but applies to 100% of the proceeds of sales made |
thereafter.
|
With respect to biodiesel blends with no less than 1% and |
no more than 10%
biodiesel, the tax imposed by this Act applies |
to (i) 80% of the
proceeds of sales made on or after July 1, |
2003 and on or before December 31, 2018
and (ii) 100% of the |
proceeds of sales made
after December 31, 2018 and before |
January 1, 2024. On and after January 1, 2024 and on or before |
December 31, 2030, the taxation of biodiesel, renewable |
diesel, and biodiesel blends shall be as provided in Section |
3-5.1.
If, at any time, however, the tax under this Act on |
sales of biodiesel blends
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 biodiesel and biodiesel blends with more |
than 10%
but no more than 99% biodiesel, the tax imposed by |
this Act does not apply to
the
proceeds of sales made on or |
after July 1, 2003 and on or before
December 31, 2023. On and |
after January 1, 2024 and on or before December 31, 2030, the |
taxation of biodiesel, renewable diesel, and biodiesel blends |
shall be as provided in Section 3-5.1.
|
Until July 1, 2022 and beginning again on July 1, 2023, |
with respect to food for human consumption that is to be |
consumed off the
premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption), the tax is imposed at the rate of 1%. |
Beginning on July 1, 2022 and until July 1, 2023, with respect |
to food for human consumption that is to be consumed off the |
premises where it is sold (other than alcoholic beverages, |
food consisting of or infused with adult use cannabis, soft |
drinks, and food that has been prepared for immediate |
consumption), the tax is imposed at the rate of 0%. |
With respect to prescription and
nonprescription |
medicines, drugs, medical appliances, products classified as |
Class III medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor
vehicle for |
the purpose of rendering it usable by a person with a |
|
disability, and
insulin, blood sugar testing materials, |
syringes, and needles used by human diabetics, the tax is |
imposed at the rate of 1%. 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" does 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 CFR C.F.R. § 201.66. The |
"over-the-counter-drug" label includes: |
(A) a A "Drug Facts" panel; or |
(B) a 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 Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
If the property that is purchased at retail from a |
retailer 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. 101-363, eff. 8-9-19; 101-593, eff. 12-4-19; |
102-4, eff. 4-27-21; 102-700, Article 20, Section 20-5, eff. |
|
4-19-22; 102-700, Article 60, Section 60-15, eff. 4-19-22; |
102-700, Article 65, Section 65-5, eff. 4-19-22; revised |
5-27-22.)
|
(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. When |
determining the discount allowed under this Section, retailers |
shall include the amount of tax that would have been due at the |
6.25% rate but for the 1.25% rate imposed on sales tax holiday |
items under Public Act 102-700 this amendatory Act of the |
102nd General Assembly . The discount under this Section is not |
allowed for the 1.25% portion of taxes paid on aviation fuel |
that is subject to the revenue use requirements of 49 U.S.C. |
47107(b) and 49 U.S.C. 47133. When determining the discount |
allowed under this Section, retailers shall include the amount |
|
of tax that would have been due at the 1% rate but for the 0% |
rate imposed under Public Act 102-700 this amendatory Act of |
the 102nd General Assembly . 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 discount allowed under this Section |
is allowed only for returns that are filed in the manner |
required by this Act. 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 return shall include the gross receipts on food |
for human consumption that is to be consumed off the premises |
where it is sold (other than alcoholic beverages, food |
consisting of or infused with adult use cannabis, soft drinks, |
and food that has been prepared for immediate consumption) |
which were received during the preceding calendar month, |
quarter, or year, as appropriate, and upon which tax would |
have been due but for the 0% rate imposed under Public Act |
102-700 this amendatory Act of the 102nd General Assembly . The |
return shall also include the amount of tax that would have |
been due on food for human consumption that is to be consumed |
off the premises where it is sold (other than alcoholic |
beverages, food consisting of or infused with adult use |
cannabis, soft drinks, and food that has been prepared for |
immediate consumption) but for the 0% rate imposed under |
Public Act 102-700 this amendatory Act of the 102nd General |
Assembly . |
On and after January 1, 2018, except for returns required |
to be filed prior to January 1, 2023 for motor vehicles, |
watercraft, aircraft, and trailers that are required to be |
registered with an agency of this State, with respect to |
|
retailers whose annual gross receipts average $20,000 or more, |
all returns required to be filed pursuant to this Act shall be |
filed electronically. On and after January 1, 2023, with |
respect to retailers whose annual gross receipts average |
$20,000 or more, all returns required to be filed pursuant to |
this Act, including, but not limited to, returns for motor |
vehicles, watercraft, aircraft, and trailers that are required |
to be registered with an agency of this State, shall be filed |
electronically. Retailers who demonstrate that they do not |
have access to the Internet or demonstrate hardship in filing |
electronically may petition the Department to waive the |
electronic filing requirement. |
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. |
Each retailer required or authorized to collect the tax |
imposed by this Act on aviation fuel sold at retail in this |
State during the preceding calendar month shall, instead of |
reporting and paying tax on aviation fuel as otherwise |
required by this Section, report and pay such tax on a separate |
aviation fuel tax return. The requirements related to the |
return shall be as otherwise provided in this Section. |
Notwithstanding any other provisions of this Act to the |
contrary, retailers collecting tax on aviation fuel shall file |
all aviation fuel tax returns and shall make all aviation fuel |
tax payments by electronic means in the manner and form |
required by the Department. For purposes of this Section, |
"aviation fuel" means jet fuel and aviation gasoline. |
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. |
Notwithstanding any other provision of this Act to the |
|
contrary, retailers subject to tax on cannabis shall file all |
cannabis tax returns and shall make all cannabis tax payments |
by electronic means in the manner and form required by the |
Department. |
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. Quarter monthly payment status shall |
be determined under this paragraph as if the rate reduction to |
1.25% in Public Act 102-700 this amendatory Act of the 102nd |
|
General Assembly on sales tax holiday items had not occurred. |
For quarter monthly payments due on or after July 1, 2023 and |
through June 30, 2024, "25% of the taxpayer's liability for |
the same calendar month of the preceding year" shall be |
determined as if the rate reduction to 1.25% in Public Act |
102-700 this amendatory Act of the 102nd General Assembly on |
sales tax holiday items had not occurred. Quarter monthly |
payment status shall be determined under this paragraph as if |
the rate reduction to 0% in Public Act 102-700 this amendatory |
Act of the 102nd General Assembly on food for human |
consumption that is to be consumed off the premises where it is |
sold (other than alcoholic beverages, food consisting of or |
infused with adult use cannabis, soft drinks, and food that |
has been prepared for immediate consumption) had not occurred. |
For quarter monthly payments due under this paragraph on or |
after July 1, 2023 and through June 30, 2024, "25% of the |
taxpayer's liability for the same calendar month of the |
preceding year" shall be determined as if the rate reduction |
to 0% in Public Act 102-700 this amendatory Act of the 102nd |
General Assembly had not occurred. 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, except as otherwise provided in this |
Section, 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. |
In addition, with respect to motor vehicles, watercraft, |
aircraft, and trailers that are required to be registered with |
an agency of this State, every person who is engaged in the |
business of leasing or renting such items and who, in |
connection with such business, sells any such item to a |
retailer for the purpose of resale is, notwithstanding any |
other provision of this Section to the contrary, authorized to |
meet the return-filing requirement of this Act by reporting |
the transfer of all the aircraft, watercraft, motor vehicles, |
or trailers transferred for resale during a month to the |
Department on the same uniform invoice-transaction reporting |
return form on or before the 20th of the month following the |
month in which the transfer takes place. Notwithstanding any |
other provision of this Act to the contrary, all returns filed |
under this paragraph must be filed by electronic means in the |
manner and form as required by the Department. |
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 |
imposed under this Act. |
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 (i) 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 and (ii) aviation fuel sold |
on or after December 1, 2019. This exception for aviation fuel |
only applies for so long as the revenue use requirements of 49 |
U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the State. |
For aviation fuel sold on or after December 1, 2019, each |
month the Department shall pay into the State Aviation Program |
Fund 20% of the net revenue realized for the preceding month |
from the 6.25% general rate on the selling price of aviation |
fuel, less an amount estimated by the Department to be |
required for refunds of the 20% portion of the tax on aviation |
fuel under this Act, which amount shall be deposited into the |
Aviation Fuel Sales Tax Refund Fund. The Department shall only |
pay moneys into the State Aviation Program Fund and the |
Aviation Fuels Sales Tax Refund Fund under this Act for so long |
as the revenue use requirements of 49 U.S.C. 47107(b) and 49 |
U.S.C. 47133 are binding on the State. |
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. If, in any |
month, the tax on sales tax holiday items, as defined in |
Section 3-6, is imposed at the rate of 1.25%, then the |
Department shall pay 100% of the net revenue realized for that |
month from the 1.25% rate on the selling price of sales tax |
holiday items into the
State and Local Sales Tax Reform Fund. |
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 now taxed at 6.25%. |
Beginning July 1, 2011, each
month the Department shall |
pay into the Clean Air Act 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 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. |
Beginning July 1, 2015, of the remainder of the moneys |
received by the Department under this Act, the Service Use Tax |
Act, the Service Occupation Tax Act, and the Retailers' |
Occupation Tax Act, each month the Department shall deposit |
$500,000 into the State Crime Laboratory Fund. |
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 | | 300,000,000 | |
2022 | | 300,000,000 | |
2023 | | 300,000,000 | |
2024 | | 300,000,000 | |
2025 | | 300,000,000 | |
2026 | | 300,000,000 | |
2027 | | 375,000,000 | |
2028 | | 375,000,000 | |
2029 | | 375,000,000 | |
2030 | | 375,000,000 | |
2031 | | 375,000,000 | |
2032 | | 375,000,000 | |
2033 | | 375,000,000 | |
2034 | | 375,000,000 | |
2035 | | 375,000,000 | |
2036 | | 450,000,000 | |
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 Capital Projects |
Fund, the Clean Air Act Permit Fund, the Build Illinois Fund, |
and the McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or in any amendments thereto hereafter |
enacted, for aviation fuel sold on or after December 1, 2019, |
the Department shall each month deposit into the Aviation Fuel |
Sales Tax Refund Fund an amount estimated by the Department to |
be required for refunds of the 80% portion of the tax on |
aviation fuel under this Act. The Department shall only |
deposit moneys into the Aviation Fuel Sales Tax Refund Fund |
under this paragraph for so long as the revenue use |
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are |
binding on the State. |
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. |
Subject to payment of amounts into the Build Illinois |
Fund, the McCormick Place Expansion Project Fund, the Illinois |
Tax Increment Fund, and the Energy Infrastructure Fund |
pursuant to the preceding paragraphs or in any amendments to |
this Section hereafter enacted, beginning on the first day of |
the first calendar month to occur on or after August 26, 2014 |
(the effective date of Public Act 98-1098), each month, from |
|
the collections made 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, the Department shall pay into the Tax Compliance and |
Administration Fund, to be used, subject to appropriation, to |
fund additional auditors and compliance personnel at the |
Department of Revenue, an amount equal to 1/12 of 5% of 80% of |
the cash receipts collected during the preceding fiscal year |
by the Audit Bureau of the Department under the Use Tax Act, |
the Service Use Tax Act, the Service Occupation Tax Act, the |
Retailers' Occupation Tax Act, and associated local occupation |
and use taxes administered by the Department. |
Subject to payments of amounts into the Build Illinois |
Fund, the McCormick Place Expansion Project Fund, the Illinois |
Tax Increment Fund, the Energy Infrastructure Fund, and the |
Tax Compliance and Administration Fund as provided in this |
Section, beginning on July 1, 2018 the Department shall pay |
each month into the Downstate Public Transportation Fund the |
moneys required to be so paid under Section 2-3 of the |
Downstate Public Transportation Act. |
Subject to successful execution and delivery of a |
public-private agreement between the public agency and private |
entity and completion of the civic build, beginning on July 1, |
2023, of the remainder of the moneys received by the |
Department under the Use Tax Act, the Service Use Tax Act, the |
Service Occupation Tax Act, and this Act, the Department shall |
|
deposit the following specified deposits in the aggregate from |
collections under the Use Tax Act, the Service Use Tax Act, the |
Service Occupation Tax Act, and the Retailers' Occupation Tax |
Act, as required under Section 8.25g of the State Finance Act |
for distribution consistent with the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
The moneys received by the Department pursuant to this Act and |
required to be deposited into the Civic and Transit |
Infrastructure Fund are subject to the pledge, claim, and |
charge set forth in Section 25-55 of the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
As used in this paragraph, "civic build", "private entity", |
"public-private agreement", and "public agency" have the |
meanings provided in Section 25-10 of the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
Fiscal Year ............................Total Deposit |
2024 ....................................$200,000,000 |
2025 ....................................$206,000,000 |
2026 ....................................$212,200,000 |
2027 ....................................$218,500,000 |
2028 ....................................$225,100,000 |
2029 ....................................$288,700,000 |
2030 ....................................$298,900,000 |
2031 ....................................$309,300,000 |
2032 ....................................$320,100,000 |
2033 ....................................$331,200,000 |
|
2034 ....................................$341,200,000 |
2035 ....................................$351,400,000 |
2036 ....................................$361,900,000 |
2037 ....................................$372,800,000 |
2038 ....................................$384,000,000 |
2039 ....................................$395,500,000 |
2040 ....................................$407,400,000 |
2041 ....................................$419,600,000 |
2042 ....................................$432,200,000 |
2043 ....................................$445,100,000 |
Beginning July 1, 2021 and until July 1, 2022, subject to |
the payment of amounts into the State and Local Sales Tax |
Reform Fund, the Build Illinois Fund, the McCormick Place |
Expansion Project Fund, the Illinois Tax Increment Fund, the |
Energy Infrastructure Fund, and the Tax Compliance and |
Administration Fund as provided in this Section, the |
Department shall pay each month into the Road Fund the amount |
estimated to represent 16% of the net revenue realized from |
the taxes imposed on motor fuel and gasohol. Beginning July 1, |
2022 and until July 1, 2023, subject to the payment of amounts |
into the State and Local Sales Tax Reform Fund, the Build |
Illinois Fund, the McCormick Place Expansion Project Fund, the |
Illinois Tax Increment Fund, the Energy Infrastructure Fund, |
and the Tax Compliance and Administration Fund as provided in |
this Section, the Department shall pay each month into the |
Road Fund the amount estimated to represent 32% of the net |
|
revenue realized from the taxes imposed on motor fuel and |
gasohol. Beginning July 1, 2023 and until July 1, 2024, |
subject to the payment of amounts into the State and Local |
Sales Tax Reform Fund, the Build Illinois Fund, the McCormick |
Place Expansion Project Fund, the Illinois Tax Increment Fund, |
the Energy Infrastructure Fund, and the Tax Compliance and |
Administration Fund as provided in this Section, the |
Department shall pay each month into the Road Fund the amount |
estimated to represent 48% of the net revenue realized from |
the taxes imposed on motor fuel and gasohol. Beginning July 1, |
2024 and until July 1, 2025, subject to the payment of amounts |
into the State and Local Sales Tax Reform Fund, the Build |
Illinois Fund, the McCormick Place Expansion Project Fund, the |
Illinois Tax Increment Fund, the Energy Infrastructure Fund, |
and the Tax Compliance and Administration Fund as provided in |
this Section, the Department shall pay each month into the |
Road Fund the amount estimated to represent 64% of the net |
revenue realized from the taxes imposed on motor fuel and |
gasohol. Beginning on July 1, 2025, subject to the payment of |
amounts into the State and Local Sales Tax Reform Fund, the |
Build Illinois Fund, the McCormick Place Expansion Project |
Fund, the Illinois Tax Increment Fund, the Energy |
Infrastructure Fund, and the Tax Compliance and Administration |
Fund as provided in this Section, the Department shall pay |
each month into the Road Fund the amount estimated to |
represent 80% of the net revenue realized from the taxes |
|
imposed on motor fuel and gasohol. As used in this paragraph |
"motor fuel" has the meaning given to that term in Section 1.1 |
of the Motor Fuel Tax Law, and "gasohol" has the meaning given |
to that term in Section 3-40 of this Act. |
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. 101-10, Article 15, Section 15-10, eff. 6-5-19; |
101-10, Article 25, Section 25-105, eff. 6-5-19; 101-27, eff. |
6-25-19; 101-32, eff. 6-28-19; 101-604, eff. 12-13-19; |
101-636, eff. 6-10-20; 102-700, Article 60, Section 60-15, |
eff. 4-19-22; 102-700, Article 65, Section 65-5, eff. 4-19-22; |
102-1019, eff. 1-1-23; revised 12-13-22.)
|
Section 200. The Service Use Tax Act is amended by |
changing Sections 3-5 and 3-10 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 July 1, 2001 (the |
effective date of Public Act 92-35), 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. Beginning on |
July 1, 2017, graphic arts machinery and equipment is included |
in the manufacturing and assembling machinery and equipment |
exemption under Section 2 of this Act.
|
(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) Until July 1, 2028, coal and aggregate exploration, |
mining, off-highway 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)
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).
|
(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 |
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).
|
(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, the MC/DD Act, or the |
Specialized Mental Health Rehabilitation Act of 2013.
|
(24) Beginning on August 2, 2001 (the effective date of |
Public Act 92-227), 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 August 2, 2001 (the effective date of |
Public Act 92-227),
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 and continuing through |
December 31, 2024, 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 are declarative of existing law. It is the |
intent of the General Assembly that the exemption under this |
paragraph (27) applies continuously from January 1, 2010 |
through December 31, 2024; however, no claim for credit or |
refund is allowed for taxes paid as a result of the |
disallowance of this exemption on or after January 1, 2015 and |
prior to February 5, 2020 ( the effective date of Public Act |
101-629) this amendatory Act of the 101st General Assembly . |
(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. |
(29) Beginning January 1, 2017 and through December 31, |
2026, menstrual pads, tampons, and menstrual cups. |
(30) Tangible personal property transferred to a purchaser |
who is exempt from the tax imposed by this Act by operation of |
federal law. This paragraph is exempt from the provisions of |
Section 3-75. |
(31) Qualified tangible personal property used in the |
construction or operation of a data center that has been |
granted a certificate of exemption by the Department of |
Commerce and Economic Opportunity, whether that tangible |
personal property is purchased by the owner, operator, or |
tenant of the data center or by a contractor or subcontractor |
of the owner, operator, or tenant. Data centers that would |
have qualified for a certificate of exemption prior to January |
1, 2020 had Public Act 101-31 this amendatory Act of the 101st |
General Assembly been in effect, may apply for and obtain an |
exemption for subsequent purchases of computer equipment or |
enabling software purchased or leased to upgrade, supplement, |
or replace computer equipment or enabling software purchased |
or leased in the original investment that would have |
qualified. |
The Department of Commerce and Economic Opportunity shall |
grant a certificate of exemption under this item (31) to |
qualified data centers as defined by Section 605-1025 of the |
|
Department of Commerce and Economic Opportunity Law of the
|
Civil Administrative Code of Illinois. |
For the purposes of this item (31): |
"Data center" means a building or a series of |
buildings rehabilitated or constructed to house working |
servers in one physical location or multiple sites within |
the State of Illinois. |
"Qualified tangible personal property" means: |
electrical systems and equipment; climate control and |
chilling equipment and systems; mechanical systems and |
equipment; monitoring and secure systems; emergency |
generators; hardware; computers; servers; data storage |
devices; network connectivity equipment; racks; cabinets; |
telecommunications cabling infrastructure; raised floor |
systems; peripheral components or systems; software; |
mechanical, electrical, or plumbing systems; battery |
systems; cooling systems and towers; temperature control |
systems; other cabling; and other data center |
infrastructure equipment and systems necessary to operate |
qualified tangible personal property, including fixtures; |
and component parts of any of the foregoing, including |
installation, maintenance, repair, refurbishment, and |
replacement of qualified tangible personal property to |
generate, transform, transmit, distribute, or manage |
electricity necessary to operate qualified tangible |
personal property; and all other tangible personal |
|
property that is essential to the operations of a computer |
data center. The term "qualified tangible personal |
property" also includes building materials physically |
incorporated in to the qualifying data center. To document |
the exemption allowed under this Section, the retailer |
must obtain from the purchaser a copy of the certificate |
of eligibility issued by the Department of Commerce and |
Economic Opportunity. |
This item (31) is exempt from the provisions of Section |
3-75. |
(32) Beginning July 1, 2022, breast pumps, breast pump |
collection and storage supplies, and breast pump kits. This |
item (32) is exempt from the provisions of Section 3-75. As |
used in this item (32): |
"Breast pump" means an electrically controlled or |
manually controlled pump device designed or marketed to be |
used to express milk from a human breast during lactation, |
including the pump device and any battery, AC adapter, or |
other power supply unit that is used to power the pump |
device and is packaged and sold with the pump device at the |
time of sale. |
"Breast pump collection and storage supplies" means |
items of tangible personal property designed or marketed |
to be used in conjunction with a breast pump to collect |
milk expressed from a human breast and to store collected |
milk until it is ready for consumption. |
|
"Breast pump collection and storage supplies" |
includes, but is not limited to: breast shields and breast |
shield connectors; breast pump tubes and tubing adapters; |
breast pump valves and membranes; backflow protectors and |
backflow protector adaptors; bottles and bottle caps |
specific to the operation of the breast pump; and breast |
milk storage bags. |
"Breast pump collection and storage supplies" does not |
include: (1) bottles and bottle caps not specific to the |
operation of the breast pump; (2) breast pump travel bags |
and other similar carrying accessories, including ice |
packs, labels, and other similar products; (3) breast pump |
cleaning supplies; (4) nursing bras, bra pads, breast |
shells, and other similar products; and (5) creams, |
ointments, and other similar products that relieve |
breastfeeding-related symptoms or conditions of the |
breasts or nipples, unless sold as part of a breast pump |
kit that is pre-packaged by the breast pump manufacturer |
or distributor. |
"Breast pump kit" means a kit that: (1) contains no |
more than a breast pump, breast pump collection and |
storage supplies, a rechargeable battery for operating the |
breast pump, a breastmilk cooler, bottle stands, ice |
packs, and a breast pump carrying case; and (2) is |
pre-packaged as a breast pump kit by the breast pump |
manufacturer or distributor. |
|
(33) (32) Tangible personal property sold by or on behalf |
of the State Treasurer pursuant to the Revised Uniform |
Unclaimed Property Act. This item (33) (32) is exempt from the |
provisions of Section 3-75. |
(Source: P.A. 101-31, eff. 6-28-19; 101-81, eff. 7-12-19; |
101-629, eff. 2-5-20; 102-16, eff. 6-17-21; 102-700, Article |
70, Section 70-10, eff. 4-19-22; 102-700, Article 75, Section |
75-10, eff. 4-19-22; 102-1026, eff. 5-27-22; revised 8-3-22.)
|
(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 |
|
July 1, 2017, 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, 2023 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
after |
December 31, 2018 and before January 1, 2024. On and after |
January 1, 2024 and on or before December 31, 2030, the |
taxation of biodiesel, renewable diesel, and biodiesel blends |
shall be as provided in Section 3-5.1 of the Use Tax Act.
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 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, 2023. On |
and after January 1, 2024 and on or before December 31, 2030, |
the taxation of biodiesel, renewable diesel, and biodiesel |
blends shall be as provided in Section 3-5.1 of the Use Tax |
Act.
|
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.
|
Until July 1, 2022 and beginning again on July 1, 2023, 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 Assisted Living and Shared Housing |
Act, the ID/DD Community Care Act, the MC/DD Act, the |
Specialized Mental Health Rehabilitation Act of 2013, or the
|
Child Care
Act of 1969, or an entity that holds a permit issued |
pursuant to the Life Care Facilities Act. Until July 1, 2022 |
and beginning again on July 1, 2023, 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, food consisting of or infused with adult |
use cannabis,
soft drinks, and food that has been prepared for |
immediate consumption and is
not otherwise included in this |
paragraph). |
Beginning on July 1, 2022 and until July 1, 2023, the tax |
shall be imposed at the rate of 0% 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 Assisted Living and Shared Housing |
Act, the ID/DD Community Care Act, the MC/DD Act, the |
Specialized Mental Health Rehabilitation Act of 2013, or the |
Child Care Act of 1969, or an entity that holds a permit issued |
pursuant to the Life Care Facilities Act. Beginning on July 1, |
2022 and until July 1, 2023, the tax shall also be imposed at |
the rate of 0% on food for human consumption that is to be |
consumed off the premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
|
use cannabis, soft drinks, and food that has been prepared for |
immediate consumption and is not otherwise included in this |
paragraph). |
The tax shall also be imposed at the rate of 1% on |
prescription and nonprescription
medicines, drugs, medical |
appliances, products classified as Class III medical devices |
by the United States Food and Drug Administration that are |
used for cancer treatment pursuant to a prescription, as well |
as any accessories and components related to those devices, |
modifications to a motor vehicle for the
purpose of rendering |
it usable by a person with a disability, and insulin, blood |
sugar testing
materials,
syringes, and needles used by human |
diabetics. 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" does 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 CFR C.F.R. § 201.66. The |
"over-the-counter-drug" label includes: |
(A) a A "Drug Facts" panel; or |
(B) a 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), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis 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. 101-363, eff. 8-9-19; 101-593, eff. 12-4-19; |
102-4, eff. 4-27-21; 102-16, eff. 6-17-21; 102-700, Article |
20, Section 20-10, eff. 4-19-22; 102-700, Article 60, Section |
60-20, eff. 4-19-22; revised 6-1-22.)
|
Section 205. The Service Occupation Tax Act is amended by |
changing Sections 3-5 and 3-10 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 July 1, 2001 (the |
effective date of Public Act 92-35), 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. Beginning on |
July 1, 2017, graphic arts machinery and equipment is included |
in the manufacturing and assembling machinery and equipment |
exemption under Section 2 of this Act.
|
(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) Until July 1, 2028, coal and aggregate exploration, |
mining, off-highway 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)
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).
|
(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, the MC/DD 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 August 2, 2001 (the effective date of |
Public Act 92-227),
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 August 2, 2001 (the effective date of |
Public Act 92-227),
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 and continuing through |
December 31, 2024, 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 are declarative of existing law. It is the intent of |
the General Assembly that the exemption under this paragraph |
(29) applies continuously from January 1, 2010 through |
December 31, 2024; however, no claim for credit or refund is |
allowed for taxes paid as a result of the disallowance of this |
exemption on or after January 1, 2015 and prior to February 5, |
2020 ( the effective date of Public Act 101-629) this |
amendatory Act of the 101st General Assembly . |
(30) Beginning January 1, 2017 and through December 31, |
2026, menstrual pads, tampons, and menstrual cups. |
(31) Tangible personal property transferred to a purchaser |
who is exempt from tax by operation of federal law. This |
paragraph is exempt from the provisions of Section 3-55. |
(32) Qualified tangible personal property used in the |
|
construction or operation of a data center that has been |
granted a certificate of exemption by the Department of |
Commerce and Economic Opportunity, whether that tangible |
personal property is purchased by the owner, operator, or |
tenant of the data center or by a contractor or subcontractor |
of the owner, operator, or tenant. Data centers that would |
have qualified for a certificate of exemption prior to January |
1, 2020 had Public Act 101-31 this amendatory Act of the 101st |
General Assembly been in effect, may apply for and obtain an |
exemption for subsequent purchases of computer equipment or |
enabling software purchased or leased to upgrade, supplement, |
or replace computer equipment or enabling software purchased |
or leased in the original investment that would have |
qualified. |
The Department of Commerce and Economic Opportunity shall |
grant a certificate of exemption under this item (32) to |
qualified data centers as defined by Section 605-1025 of the |
Department of Commerce and Economic Opportunity Law of the
|
Civil Administrative Code of Illinois. |
For the purposes of this item (32): |
"Data center" means a building or a series of |
buildings rehabilitated or constructed to house working |
servers in one physical location or multiple sites within |
the State of Illinois. |
"Qualified tangible personal property" means: |
electrical systems and equipment; climate control and |
|
chilling equipment and systems; mechanical systems and |
equipment; monitoring and secure systems; emergency |
generators; hardware; computers; servers; data storage |
devices; network connectivity equipment; racks; cabinets; |
telecommunications cabling infrastructure; raised floor |
systems; peripheral components or systems; software; |
mechanical, electrical, or plumbing systems; battery |
systems; cooling systems and towers; temperature control |
systems; other cabling; and other data center |
infrastructure equipment and systems necessary to operate |
qualified tangible personal property, including fixtures; |
and component parts of any of the foregoing, including |
installation, maintenance, repair, refurbishment, and |
replacement of qualified tangible personal property to |
generate, transform, transmit, distribute, or manage |
electricity necessary to operate qualified tangible |
personal property; and all other tangible personal |
property that is essential to the operations of a computer |
data center. The term "qualified tangible personal |
property" also includes building materials physically |
incorporated in to the qualifying data center. To document |
the exemption allowed under this Section, the retailer |
must obtain from the purchaser a copy of the certificate |
of eligibility issued by the Department of Commerce and |
Economic Opportunity. |
This item (32) is exempt from the provisions of Section |
|
3-55. |
(33) Beginning July 1, 2022, breast pumps, breast pump |
collection and storage supplies, and breast pump kits. This |
item (33) is exempt from the provisions of Section 3-55. As |
used in this item (33): |
"Breast pump" means an electrically controlled or |
manually controlled pump device designed or marketed to be |
used to express milk from a human breast during lactation, |
including the pump device and any battery, AC adapter, or |
other power supply unit that is used to power the pump |
device and is packaged and sold with the pump device at the |
time of sale. |
"Breast pump collection and storage supplies" means |
items of tangible personal property designed or marketed |
to be used in conjunction with a breast pump to collect |
milk expressed from a human breast and to store collected |
milk until it is ready for consumption. |
"Breast pump collection and storage supplies" |
includes, but is not limited to: breast shields and breast |
shield connectors; breast pump tubes and tubing adapters; |
breast pump valves and membranes; backflow protectors and |
backflow protector adaptors; bottles and bottle caps |
specific to the operation of the breast pump; and breast |
milk storage bags. |
"Breast pump collection and storage supplies" does not |
include: (1) bottles and bottle caps not specific to the |
|
operation of the breast pump; (2) breast pump travel bags |
and other similar carrying accessories, including ice |
packs, labels, and other similar products; (3) breast pump |
cleaning supplies; (4) nursing bras, bra pads, breast |
shells, and other similar products; and (5) creams, |
ointments, and other similar products that relieve |
breastfeeding-related symptoms or conditions of the |
breasts or nipples, unless sold as part of a breast pump |
kit that is pre-packaged by the breast pump manufacturer |
or distributor. |
"Breast pump kit" means a kit that: (1) contains no |
more than a breast pump, breast pump collection and |
storage supplies, a rechargeable battery for operating the |
breast pump, a breastmilk cooler, bottle stands, ice |
packs, and a breast pump carrying case; and (2) is |
pre-packaged as a breast pump kit by the breast pump |
manufacturer or distributor. |
(34) (33) Tangible personal property sold by or on behalf |
of the State Treasurer pursuant to the Revised Uniform |
Unclaimed Property Act. This item (34) (33) is exempt from the |
provisions of Section 3-55. |
(Source: P.A. 101-31, eff. 6-28-19; 101-81, eff. 7-12-19; |
101-629, eff. 2-5-20; 102-16, eff. 6-17-21; 102-700, Article |
70, Section 70-15, eff. 4-19-22; 102-700, Article 75, Section |
75-15, eff. 4-19-22; 102-1026, eff. 5-27-22; revised 8-9-22.)
|
|
(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 July 1, 2017, 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, 2023 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
after |
December 31, 2018 and before January 1, 2024. On and after |
January 1, 2024 and on or before December 31, 2030, the |
taxation of biodiesel, renewable diesel, and biodiesel blends |
shall be as provided in Section 3-5.1 of the Use Tax Act.
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 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, 2023. On and after January 1, 2024 and on or |
before December 31, 2030, the taxation of biodiesel, renewable |
diesel, and biodiesel blends shall be as provided in Section |
3-5.1 of the Use Tax Act.
|
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.
|
Until July 1, 2022 and beginning again on July 1, 2023, 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 Use Tax Act by an |
entity licensed under
the Hospital Licensing Act, the Nursing |
Home Care Act, the Assisted Living and Shared Housing Act, the |
ID/DD Community Care Act, the MC/DD Act, the Specialized |
Mental Health Rehabilitation Act of 2013, or the
Child Care |
Act of 1969, or an entity that holds a permit issued pursuant |
to the Life Care Facilities Act. Until July 1, 2022 and |
beginning again on July 1, 2023, 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, food consisting of or infused with adult |
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption and is not
otherwise included in this |
paragraph). |
Beginning on July 1, 2022 and until July 1, 2023, the tax |
shall be imposed at the rate of 0% on food prepared for |
immediate consumption and transferred incident to a sale of |
service subject to this Act or the Service Use Tax Act by an |
entity licensed under the Hospital Licensing Act, the Nursing |
Home Care Act, the Assisted Living and Shared Housing Act, the |
ID/DD Community Care Act, the MC/DD Act, the Specialized |
Mental Health Rehabilitation Act of 2013, or the Child Care |
Act of 1969, or an entity that holds a permit issued pursuant |
to the Life Care Facilities Act. Beginning July 1, 2022 and |
until July 1, 2023, the tax shall also be imposed at the rate |
|
of 0% on food for human consumption that is to be consumed off |
the premises where it is sold (other than alcoholic beverages, |
food consisting of or infused with adult use cannabis, soft |
drinks, and food that has been prepared for immediate |
consumption and is not otherwise included in this paragraph). |
The tax shall also be imposed at the rate of 1% on |
prescription and
nonprescription medicines, drugs, medical |
appliances, products classified as Class III medical devices |
by the United States Food and Drug Administration that are |
used for cancer treatment pursuant to a prescription, as well |
as any accessories and components related to those devices, |
modifications to a motor
vehicle for the purpose of rendering |
it usable by a person with a disability, and
insulin, blood |
sugar testing materials, syringes, and needles used by human |
diabetics. 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" does 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 CFR C.F.R. § 201.66. The |
"over-the-counter-drug" label includes: |
(A) a A "Drug Facts" panel; or |
(B) a 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), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
|
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
(Source: P.A. 101-363, eff. 8-9-19; 101-593, eff. 12-4-19; |
102-4, eff. 4-27-21; 102-16, eff. 6-17-21; 102-700, Article |
20, Section 20-15, eff. 4-19-22; 102-700, Article 60, Section |
60-25, eff. 4-19-22; revised 6-1-22.)
|
Section 210. The Retailers' Occupation Tax Act is amended |
by changing Sections 2-5, 2-10, 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. Beginning on July 1, 2017, |
graphic arts machinery and equipment is included in the |
manufacturing and assembling machinery and equipment |
exemption under paragraph (14).
|
(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 July 1, 2001 (the effective date of Public Act |
92-35), 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) (Blank).
|
(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 are declaratory of |
existing law as to the meaning and scope of this |
exemption. Beginning on July 1, 2017, the exemption |
provided by this paragraph (14) includes, but is not |
limited to, graphic arts machinery and equipment, as |
defined in paragraph (4) of this Section.
|
(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) Tangible personal property sold to a purchaser if |
the purchaser is exempt from use tax by operation of |
federal law. This paragraph is exempt from the provisions |
of Section 2-70.
|
(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) Until July 1, 2028, coal and aggregate |
exploration, mining, off-highway 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)
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).
|
(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 CFR 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, the MC/DD 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 and continuing through |
December 31, 2024, 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 are declarative of existing law. It is the intent |
of the General Assembly that the exemption under this |
paragraph (40) applies continuously from January 1, 2010 |
through December 31, 2024; however, no claim for credit or |
refund is allowed for taxes paid as a result of the |
disallowance of this exemption on or after January 1, 2015 |
and prior to February 5, 2020 ( the effective date of |
Public Act 101-629) this amendatory Act of the 101st |
General Assembly . |
(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. |
(42) Beginning January 1, 2017 and through December |
31, 2026, menstrual pads, tampons, and menstrual cups. |
(43) Merchandise that is subject to the Rental |
Purchase Agreement Occupation and Use Tax. The purchaser |
must certify that the item is purchased to be rented |
subject to a rental purchase agreement, as defined in the |
Rental Purchase Agreement Act, and provide proof of |
registration under the Rental Purchase Agreement |
Occupation and Use Tax Act. This paragraph is exempt from |
the provisions of Section 2-70. |
(44) Qualified tangible personal property used in the |
construction or operation of a data center that has been |
granted a certificate of exemption by the Department of |
Commerce and Economic Opportunity, whether that tangible |
personal property is purchased by the owner, operator, or |
tenant of the data center or by a contractor or |
subcontractor of the owner, operator, or tenant. Data |
|
centers that would have qualified for a certificate of |
exemption prior to January 1, 2020 had Public Act 101-31 |
this amendatory Act of the 101st General Assembly been in |
effect, may apply for and obtain an exemption for |
subsequent purchases of computer equipment or enabling |
software purchased or leased to upgrade, supplement, or |
replace computer equipment or enabling software purchased |
or leased in the original investment that would have |
qualified. |
The Department of Commerce and Economic Opportunity |
shall grant a certificate of exemption under this item |
(44) to qualified data centers as defined by Section |
605-1025 of the Department of Commerce and Economic |
Opportunity Law of the
Civil Administrative Code of |
Illinois. |
For the purposes of this item (44): |
"Data center" means a building or a series of |
buildings rehabilitated or constructed to house |
working servers in one physical location or multiple |
sites within the State of Illinois. |
"Qualified tangible personal property" means: |
electrical systems and equipment; climate control and |
chilling equipment and systems; mechanical systems and |
equipment; monitoring and secure systems; emergency |
generators; hardware; computers; servers; data storage |
devices; network connectivity equipment; racks; |
|
cabinets; telecommunications cabling infrastructure; |
raised floor systems; peripheral components or |
systems; software; mechanical, electrical, or plumbing |
systems; battery systems; cooling systems and towers; |
temperature control systems; other cabling; and other |
data center infrastructure equipment and systems |
necessary to operate qualified tangible personal |
property, including fixtures; and component parts of |
any of the foregoing, including installation, |
maintenance, repair, refurbishment, and replacement of |
qualified tangible personal property to generate, |
transform, transmit, distribute, or manage electricity |
necessary to operate qualified tangible personal |
property; and all other tangible personal property |
that is essential to the operations of a computer data |
center. The term "qualified tangible personal |
property" also includes building materials physically |
incorporated into the qualifying data center. To |
document the exemption allowed under this Section, the |
retailer must obtain from the purchaser a copy of the |
certificate of eligibility issued by the Department of |
Commerce and Economic Opportunity. |
This item (44) is exempt from the provisions of |
Section 2-70. |
(45) Beginning January 1, 2020 and through December |
31, 2020, sales of tangible personal property made by a |
|
marketplace seller over a marketplace for which tax is due |
under this Act but for which use tax has been collected and |
remitted to the Department by a marketplace facilitator |
under Section 2d of the Use Tax Act are exempt from tax |
under this Act. A marketplace seller claiming this |
exemption shall maintain books and records demonstrating |
that the use tax on such sales has been collected and |
remitted by a marketplace facilitator. Marketplace sellers |
that have properly remitted tax under this Act on such |
sales may file a claim for credit as provided in Section 6 |
of this Act. No claim is allowed, however, for such taxes |
for which a credit or refund has been issued to the |
marketplace facilitator under the Use Tax Act, or for |
which the marketplace facilitator has filed a claim for |
credit or refund under the Use Tax Act. |
(46) Beginning July 1, 2022, breast pumps, breast pump |
collection and storage supplies, and breast pump kits. |
This item (46) is exempt from the provisions of Section |
2-70. As used in this item (46): |
"Breast pump" means an electrically controlled or |
manually controlled pump device designed or marketed to be |
used to express milk from a human breast during lactation, |
including the pump device and any battery, AC adapter, or |
other power supply unit that is used to power the pump |
device and is packaged and sold with the pump device at the |
time of sale. |
|
"Breast pump collection and storage supplies" means |
items of tangible personal property designed or marketed |
to be used in conjunction with a breast pump to collect |
milk expressed from a human breast and to store collected |
milk until it is ready for consumption. |
"Breast pump collection and storage supplies" |
includes, but is not limited to: breast shields and breast |
shield connectors; breast pump tubes and tubing adapters; |
breast pump valves and membranes; backflow protectors and |
backflow protector adaptors; bottles and bottle caps |
specific to the operation of the breast pump; and breast |
milk storage bags. |
"Breast pump collection and storage supplies" does not |
include: (1) bottles and bottle caps not specific to the |
operation of the breast pump; (2) breast pump travel bags |
and other similar carrying accessories, including ice |
packs, labels, and other similar products; (3) breast pump |
cleaning supplies; (4) nursing bras, bra pads, breast |
shells, and other similar products; and (5) creams, |
ointments, and other similar products that relieve |
breastfeeding-related symptoms or conditions of the |
breasts or nipples, unless sold as part of a breast pump |
kit that is pre-packaged by the breast pump manufacturer |
or distributor. |
"Breast pump kit" means a kit that: (1) contains no |
more than a breast pump, breast pump collection and |
|
storage supplies, a rechargeable battery for operating the |
breast pump, a breastmilk cooler, bottle stands, ice |
packs, and a breast pump carrying case; and (2) is |
pre-packaged as a breast pump kit by the breast pump |
manufacturer or distributor. |
(47) (46) Tangible personal property sold by or on |
behalf of the State Treasurer pursuant to the Revised |
Uniform Unclaimed Property Act. This item (47) (46) is |
exempt from the provisions of Section 2-70. |
(Source: P.A. 101-31, eff. 6-28-19; 101-81, eff. 7-12-19; |
101-629, eff. 2-5-20; 102-16, eff. 6-17-21; 102-634, eff. |
8-27-21; 102-700, Article 70, Section 70-20, eff. 4-19-22; |
102-700, Article 75, Section 75-20, eff. 4-19-22; 102-813, |
eff. 5-13-22; 102-1026, eff. 5-27-22; revised 8-15-22.)
|
(35 ILCS 120/2-10)
|
Sec. 2-10. Rate of tax. Unless otherwise provided in this |
Section,
the tax imposed by this Act is at the rate of 6.25% of |
gross receipts
from sales of tangible personal property made |
in the course of business.
|
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%.
|
Beginning on August 6, 2010 through August 15, 2010, and |
beginning again on August 5, 2022 through August 14, 2022, |
|
with respect to sales tax holiday items as defined in Section |
2-8 of this Act, the
tax is imposed at the rate of 1.25%. |
Within 14 days after July 1, 2000 ( the effective date of |
Public Act 91-872) this amendatory Act of the 91st
General |
Assembly , each retailer of motor fuel and gasohol shall cause |
the
following notice to be posted in a prominently visible |
place on each retail
dispensing device that is used to |
dispense motor
fuel or gasohol in the State of Illinois: "As of |
July 1, 2000, the State of
Illinois has eliminated the State's |
share of sales tax on motor fuel and
gasohol through December |
31, 2000. The price on this pump should reflect the
|
elimination of the tax." The notice shall be printed in bold |
print on a sign
that is no smaller than 4 inches by 8 inches. |
The sign shall be clearly
visible to customers. Any retailer |
who fails to post or maintain a required
sign through December |
31, 2000 is guilty of a petty offense for which the fine
shall |
be $500 per day per each retail premises where a violation |
occurs.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act applies to (i) 70% of the proceeds of |
sales made on or after
January 1, 1990, and before July 1, |
2003, (ii) 80% of the proceeds of
sales made on or after July |
1, 2003 and on or before July 1, 2017, and (iii) 100% of the |
proceeds of sales
made 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 proceeds of sales made on or after
July 1, 2003 and on |
or before December 31, 2023 but applies to 100% of the
proceeds |
of sales made 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 proceeds |
of sales made on or after July 1, 2003
and on or before |
December 31, 2018 and (ii) 100% of the
proceeds of sales made |
after December 31, 2018 and before January 1, 2024. On and |
after January 1, 2024 and on or before December 31, 2030, the |
taxation of biodiesel, renewable diesel, and biodiesel blends |
shall be as provided in Section 3-5.1 of the Use Tax Act.
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 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 sales made on or |
|
after July 1, 2003
and on or before December 31, 2023. On and |
after January 1, 2024 and on or before December 31, 2030, the |
taxation of biodiesel, renewable diesel, and biodiesel blends |
shall be as provided in Section 3-5.1 of the Use Tax Act.
|
Until July 1, 2022 and beginning again on July 1, 2023, |
with respect to food for human consumption that is to be |
consumed off the
premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption), the tax is imposed at the rate of 1%. |
Beginning July 1, 2022 and until July 1, 2023, with respect to |
food for human consumption that is to be consumed off the |
premises where it is sold (other than alcoholic beverages, |
food consisting of or infused with adult use cannabis, soft |
drinks, and food that has been prepared for immediate |
consumption), the tax is imposed at the rate of 0%. |
With respect to prescription and
nonprescription |
medicines, drugs, medical appliances, products classified as |
Class III medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor
vehicle for |
the purpose of rendering it usable by a person with a |
disability, and
insulin, blood sugar testing materials, |
syringes, and needles used by human diabetics, the tax is |
imposed at the rate of 1%. 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" does 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 CFR C.F.R. § 201.66. The |
"over-the-counter-drug" label includes: |
(A) a A "Drug Facts" panel; or |
|
(B) a 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 Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
(Source: P.A. 101-363, eff. 8-9-19; 101-593, eff. 12-4-19; |
102-4, eff. 4-27-21; 102-700, Article 20, Section 20-20, eff. |
4-19-22; 102-700, Article 60, Section 60-30, eff. 4-19-22; |
102-700, Article 65, Section 65-10, eff. 4-19-22; revised |
6-1-22.)
|
(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, including gross receipts on |
food for human consumption that is to be consumed off the |
premises where it is sold (other than alcoholic beverages, |
food consisting of or infused with adult use cannabis, |
soft drinks, and food that has been prepared for immediate |
consumption) which were received during the preceding |
calendar month or quarter and upon which tax would have |
|
been due but for the 0% rate imposed under Public Act |
102-700 this amendatory Act of the 102nd General Assembly ; |
7. The amount of credit provided in Section 2d of this |
Act; |
8. The amount of tax due, including the amount of tax |
that would have been due on food for human consumption |
that is to be consumed off the premises where it is sold |
(other than alcoholic beverages, food consisting of or |
infused with adult use cannabis, soft drinks, and food |
that has been prepared for immediate consumption) but for |
the 0% rate imposed under Public Act 102-700 this |
amendatory Act of the 102nd General Assembly ; |
9. The signature of the taxpayer; and |
10. Such other reasonable information as the |
Department may require. |
On and after January 1, 2018, except for returns required |
to be filed prior to January 1, 2023 for motor vehicles, |
watercraft, aircraft, and trailers that are required to be |
registered with an agency of this State, with respect to |
retailers whose annual gross receipts average $20,000 or more, |
all returns required to be filed pursuant to this Act shall be |
filed electronically. On and after January 1, 2023, with |
respect to retailers whose annual gross receipts average |
$20,000 or more, all returns required to be filed pursuant to |
this Act, including, but not limited to, returns for motor |
vehicles, watercraft, aircraft, and trailers that are required |
|
to be registered with an agency of this State, shall be filed |
electronically. Retailers who demonstrate that they do not |
have access to the Internet or demonstrate hardship in filing |
electronically may petition the Department to waive the |
electronic filing requirement. |
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 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. |
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. |
Every person engaged in the business of selling aviation |
fuel at retail in this State during the preceding calendar |
month shall, instead of reporting and paying tax as otherwise |
required by this Section, report and pay such tax on a separate |
aviation fuel tax return. The requirements related to the |
return shall be as otherwise provided in this Section. |
Notwithstanding any other provisions of this Act to the |
contrary, retailers selling aviation fuel shall file all |
aviation fuel tax returns and shall make all aviation fuel tax |
payments by electronic means in the manner and form required |
by the Department. For purposes of this Section, "aviation |
fuel" means jet fuel and aviation gasoline. |
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. |
Notwithstanding any other provision of this Act to the |
contrary, retailers subject to tax on cannabis shall file all |
cannabis tax returns and shall make all cannabis tax payments |
by electronic means in the manner and form required by the |
Department. |
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, except as otherwise provided in this |
Section, 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. |
In addition, with respect to motor vehicles, watercraft, |
aircraft, and trailers that are required to be registered with |
an agency of this State, every person who is engaged in the |
business of leasing or renting such items and who, in |
connection with such business, sells any such item to a |
retailer for the purpose of resale is, notwithstanding any |
other provision of this Section to the contrary, authorized to |
meet the return-filing requirement of this Act by reporting |
the transfer of all the aircraft, watercraft, motor vehicles, |
or trailers transferred for resale during a month to the |
Department on the same uniform invoice-transaction reporting |
return form on or before the 20th of the month following the |
month in which the transfer takes place. Notwithstanding any |
other provision of this Act to the contrary, all returns filed |
|
under this paragraph must be filed by electronic means in the |
manner and form as required by the Department. |
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. On and after January 1, |
2021, a certified service provider, as defined in the Leveling |
the Playing Field for Illinois Retail Act, filing the return |
under this Section on behalf of a remote retailer shall, at the |
time of such return, pay to the Department the amount of tax |
imposed by this Act less a discount of 1.75%. A remote retailer |
using a certified service provider to file a return on its |
|
behalf, as provided in the Leveling the Playing Field for |
Illinois Retail Act, is not eligible for the discount. When |
determining the discount allowed under this Section, retailers |
shall include the amount of tax that would have been due at the |
1% rate but for the 0% rate imposed under Public Act 102-700 |
this amendatory Act of the 102nd General Assembly . When |
determining the discount allowed under this Section, retailers |
shall include the amount of tax that would have been due at the |
6.25% rate but for the 1.25% rate imposed on sales tax holiday |
items under Public Act 102-700 this amendatory Act of the |
102nd General Assembly . The discount under this Section is not |
allowed for the 1.25% portion of taxes paid on aviation fuel |
that is subject to the revenue use requirements of 49 U.S.C. |
47107(b) and 49 U.S.C. 47133. 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 discount allowed |
under this Section is allowed only for returns that are filed |
in the manner required by this Act. 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. Quarter monthly payment status shall |
be determined under this paragraph as if the rate reduction to |
0% in Public Act 102-700 this amendatory Act of the 102nd |
General Assembly on food for human consumption that is to be |
consumed off the premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
use cannabis, soft drinks, and food that has been prepared for |
immediate consumption) had not occurred. For quarter monthly |
payments due under this paragraph on or after July 1, 2023 and |
through June 30, 2024, "25% of the taxpayer's liability for |
the same calendar month of the preceding year" shall be |
determined as if the rate reduction to 0% in Public Act 102-700 |
this amendatory Act of the 102nd General Assembly had not |
occurred. Quarter monthly payment status shall be determined |
|
under this paragraph as if the rate reduction to 1.25% in |
Public Act 102-700 this amendatory Act of the 102nd General |
Assembly on sales tax holiday items had not occurred. For |
quarter monthly payments due on or after July 1, 2023 and |
through June 30, 2024, "25% of the taxpayer's liability for |
the same calendar month of the preceding year" shall be |
determined as if the rate reduction to 1.25% in Public Act |
102-700 this amendatory Act of the 102nd General Assembly on |
sales tax holiday items had not occurred. 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 |
September 1, 1985 (the effective date of Public Act 84-221), |
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 for 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 imposed under |
this Act. |
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 other than aviation fuel sold on or after |
December 1, 2019. This exception for aviation fuel only |
applies for so long as the revenue use requirements of 49 |
U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the State. |
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. If, in any |
|
month, the tax on sales tax holiday items, as defined in |
Section 2-8, is imposed at the rate of 1.25%, then the |
Department shall pay 20% of the net revenue realized for that |
month from the 1.25% rate on the selling price of sales tax |
holiday items into the County and Mass Transit District Fund. |
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 other than |
aviation fuel sold on or after December 1, 2019. This |
exception for aviation fuel only applies for so long as the |
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C. |
47133 are binding on the State. |
For aviation fuel sold on or after December 1, 2019, each |
month the Department shall pay into the State Aviation Program |
Fund 20% of the net revenue realized for the preceding month |
from the 6.25% general rate on the selling price of aviation |
fuel, less an amount estimated by the Department to be |
required for refunds of the 20% portion of the tax on aviation |
fuel under this Act, which amount shall be deposited into the |
Aviation Fuel Sales Tax Refund Fund. The Department shall only |
pay moneys into the State Aviation Program Fund and the |
Aviation Fuel Sales Tax Refund Fund under this Act for so long |
as the revenue use requirements of 49 U.S.C. 47107(b) and 49 |
U.S.C. 47133 are binding on the State. |
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. If, in any month, the |
tax on sales tax holiday items, as defined in Section 2-8, is |
imposed at the rate of 1.25%, then the Department shall pay 80% |
of the net revenue realized for that month from the 1.25% rate |
on the selling price of sales tax holiday items into the Local |
Government Tax Fund. |
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 now taxed at 6.25%. |
Beginning July 1, 2011, each
month the Department shall |
pay into the Clean Air Act 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 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. |
Beginning July 1, 2015, of the remainder of the moneys |
received by the Department under the Use Tax Act, the Service |
Use Tax Act, the Service Occupation Tax Act, and this Act, each |
month the Department shall deposit $500,000 into the State |
Crime Laboratory Fund. |
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 | | 300,000,000 | |
2022 | | 300,000,000 | |
2023 | | 300,000,000 | |
2024 | | 300,000,000 | |
2025 | | 300,000,000 | |
2026 | | 300,000,000 | |
2027 | | 375,000,000 | |
2028 | | 375,000,000 | |
2029 | | 375,000,000 | |
2030 | | 375,000,000 | |
2031 | | 375,000,000 | |
2032 | | 375,000,000 | |
2033 | | 375,000,000 | |
2034 | | 375,000,000 | |
2035 | | 375,000,000 | |
2036 | | 450,000,000 | |
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 Capital Projects |
Fund, the Clean Air Act Permit Fund, the Build Illinois Fund, |
and the McCormick Place Expansion Project Fund pursuant to the |
preceding paragraphs or in any amendments thereto hereafter |
enacted, for aviation fuel sold on or after December 1, 2019, |
the Department shall each month deposit into the Aviation Fuel |
Sales Tax Refund Fund an amount estimated by the Department to |
be required for refunds of the 80% portion of the tax on |
|
aviation fuel under this Act. The Department shall only |
deposit moneys into the Aviation Fuel Sales Tax Refund Fund |
under this paragraph for so long as the revenue use |
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are |
binding on the State. |
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. |
|
Subject to payment of amounts into the Build Illinois |
Fund, the McCormick Place Expansion Project Fund, the Illinois |
Tax Increment Fund, and the Energy Infrastructure Fund |
pursuant to the preceding paragraphs or in any amendments to |
this Section hereafter enacted, beginning on the first day of |
the first calendar month to occur on or after August 26, 2014 |
(the effective date of Public Act 98-1098), each month, from |
the collections made 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, the Department shall pay into the Tax Compliance and |
Administration Fund, to be used, subject to appropriation, to |
fund additional auditors and compliance personnel at the |
Department of Revenue, an amount equal to 1/12 of 5% of 80% of |
the cash receipts collected during the preceding fiscal year |
by the Audit Bureau of the Department under the Use Tax Act, |
the Service Use Tax Act, the Service Occupation Tax Act, the |
Retailers' Occupation Tax Act, and associated local occupation |
and use taxes administered by the Department. |
Subject to payments of amounts into the Build Illinois |
Fund, the McCormick Place Expansion Project Fund, the Illinois |
Tax Increment Fund, the Energy Infrastructure Fund, and the |
Tax Compliance and Administration Fund as provided in this |
Section, beginning on July 1, 2018 the Department shall pay |
each month into the Downstate Public Transportation Fund the |
moneys required to be so paid under Section 2-3 of the |
|
Downstate Public Transportation Act. |
Subject to successful execution and delivery of a |
public-private agreement between the public agency and private |
entity and completion of the civic build, beginning on July 1, |
2023, of the remainder of the moneys received by the |
Department under the Use Tax Act, the Service Use Tax Act, the |
Service Occupation Tax Act, and this Act, the Department shall |
deposit the following specified deposits in the aggregate from |
collections under the Use Tax Act, the Service Use Tax Act, the |
Service Occupation Tax Act, and the Retailers' Occupation Tax |
Act, as required under Section 8.25g of the State Finance Act |
for distribution consistent with the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
The moneys received by the Department pursuant to this Act and |
required to be deposited into the Civic and Transit |
Infrastructure Fund are subject to the pledge, claim and |
charge set forth in Section 25-55 of the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
As used in this paragraph, "civic build", "private entity", |
"public-private agreement", and "public agency" have the |
meanings provided in Section 25-10 of the Public-Private |
Partnership for Civic and Transit Infrastructure Project Act. |
Fiscal Year .............................Total Deposit |
2024 .....................................$200,000,000 |
2025 ....................................$206,000,000 |
2026 ....................................$212,200,000 |
|
2027 ....................................$218,500,000 |
2028 ....................................$225,100,000 |
2029 ....................................$288,700,000 |
2030 ....................................$298,900,000 |
2031 ....................................$309,300,000 |
2032 ....................................$320,100,000 |
2033 ....................................$331,200,000 |
2034 ....................................$341,200,000 |
2035 ....................................$351,400,000 |
2036 ....................................$361,900,000 |
2037 ....................................$372,800,000 |
2038 ....................................$384,000,000 |
2039 ....................................$395,500,000 |
2040 ....................................$407,400,000 |
2041 ....................................$419,600,000 |
2042 ....................................$432,200,000 |
2043 ....................................$445,100,000 |
Beginning July 1, 2021 and until July 1, 2022, subject to |
the payment of amounts into the County and Mass Transit |
District Fund, the Local Government Tax Fund, the Build |
Illinois Fund, the McCormick Place Expansion Project Fund, the |
Illinois Tax Increment Fund, the Energy Infrastructure Fund, |
and the Tax Compliance and Administration Fund as provided in |
this Section, the Department shall pay each month into the |
Road Fund the amount estimated to represent 16% of the net |
revenue realized from the taxes imposed on motor fuel and |
|
gasohol. Beginning July 1, 2022 and until July 1, 2023, |
subject to the payment of amounts into the County and Mass |
Transit District Fund, the Local Government Tax Fund, the |
Build Illinois Fund, the McCormick Place Expansion Project |
Fund, the Illinois Tax Increment Fund, the Energy |
Infrastructure Fund, and the Tax Compliance and Administration |
Fund as provided in this Section, the Department shall pay |
each month into the Road Fund the amount estimated to |
represent 32% of the net revenue realized from the taxes |
imposed on motor fuel and gasohol. Beginning July 1, 2023 and |
until July 1, 2024, subject to the payment of amounts into the |
County and Mass Transit District Fund, the Local Government |
Tax Fund, the Build Illinois Fund, the McCormick Place |
Expansion Project Fund, the Illinois Tax Increment Fund, the |
Energy Infrastructure Fund, and the Tax Compliance and |
Administration Fund as provided in this Section, the |
Department shall pay each month into the Road Fund the amount |
estimated to represent 48% of the net revenue realized from |
the taxes imposed on motor fuel and gasohol. Beginning July 1, |
2024 and until July 1, 2025, subject to the payment of amounts |
into the County and Mass Transit District Fund, the Local |
Government Tax Fund, the Build Illinois Fund, the McCormick |
Place Expansion Project Fund, the Illinois Tax Increment Fund, |
the Energy Infrastructure Fund, and the Tax Compliance and |
Administration Fund as provided in this Section, the |
Department shall pay each month into the Road Fund the amount |
|
estimated to represent 64% of the net revenue realized from |
the taxes imposed on motor fuel and gasohol. Beginning on July |
1, 2025, subject to the payment of amounts into the County and |
Mass Transit District Fund, the Local Government Tax Fund, the |
Build Illinois Fund, the McCormick Place Expansion Project |
Fund, the Illinois Tax Increment Fund, the Energy |
Infrastructure Fund, and the Tax Compliance and Administration |
Fund as provided in this Section, the Department shall pay |
each month into the Road Fund the amount estimated to |
represent 80% of the net revenue realized from the taxes |
imposed on motor fuel and gasohol. As used in this paragraph |
"motor fuel" has the meaning given to that term in Section 1.1 |
of the Motor Fuel Tax Law, and "gasohol" has the meaning given |
to that term in Section 3-40 of the Use Tax Act. |
Of the remainder of the moneys received by the Department |
pursuant to
this Act, 75% thereof shall be paid into the State |
treasury 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. 101-10, Article 15, Section 15-25, eff. 6-5-19; |
101-10, Article 25, Section 25-120, eff. 6-5-19; 101-27, eff. |
6-25-19; 101-32, eff. 6-28-19; 101-604, eff. 12-13-19; |
101-636, eff. 6-10-20; 102-634, eff. 8-27-21; 102-700, Article |
60, Section 60-30, eff. 4-19-22; 102-700, Article 65, Section |
65-10, eff. 4-19-22; 102-813, eff. 5-13-22; 102-1019, eff. |
1-1-23; revised 12-13-22.)
|
|
Section 215. The Property Tax Code is amended by changing |
Sections 10-390, 10-800, 15-168, 15-169, 18-185, 18-190.7, |
22-10, and 22-25 as follows:
|
(35 ILCS 200/10-390)
|
Sec. 10-390. Valuation of supportive living facilities. |
(a) Notwithstanding Section 1-55, to determine
the fair |
cash value of any supportive living facility established under |
Section 5-5.01a of the Illinois Public Aid Code, in assessing |
the facility, a local assessment
officer must use the income |
capitalization approach. For the purposes of this Section, |
gross potential income must not exceed the maximum individual |
Supplemental Security Income (SSI) amount, minus a resident's |
personal allowance as defined at 89 Ill. Adm. Ill Admin. Code |
146.205, multiplied by the number of apartments authorized by |
the supportive living facility certification. |
(b) When assessing supportive living facilities, the local |
assessment
officer may not consider: |
(1) payments from Medicaid for services provided to |
residents of supportive living facilities when such |
payments constitute income that is attributable to |
services and not attributable to the real estate; or |
(2) payments by a resident of a supportive living |
facility for services that would be paid by Medicaid if |
the resident were Medicaid-eligible , when such payments |
|
constitute income that is attributable to services and not |
attributable to real estate.
|
(Source: P.A. 102-16, eff. 6-17-21; revised 2-28-22.)
|
(35 ILCS 200/10-800) |
Sec. 10-800. Southland reactivation property. |
(a) For the purposes of this Section: |
"Base year" means the last tax year prior to the date of |
the application for southland reactivation designation during |
which the property was occupied and assessed and had an |
equalized assessed value. |
"Cook County Land Bank Authority" means the Cook County |
Land Bank Authority created by ordinance of the Cook County |
Board. |
"Municipality" means a city, village, or incorporated town |
located in the State. |
"Participating entity" means any of the following, either |
collectively or individually: the municipality in which the |
property is located; the South Suburban Land Bank and |
Development Authority; or the Cook County Land Bank |
Development Authority. |
"Southland reactivation property" means property that: |
(1) has been designated by the municipality by |
resolution as a priority tax reactivation parcel, site, or |
property due to its clear pattern of stagnation and |
depressed condition or the decline in its assessed |
|
valuation; |
(2) is held by a participating entity; and |
(3) meets all of the following criteria: |
(A) the property is zoned for commercial or |
industrial use; |
(B) the property has had its past property taxes |
cleared and is now classified as exempt, or
the |
property has not had a lawful occupant for at least 12 |
months immediately preceding the application for |
certification as southland reactivation property, as |
attested to by a supporting affidavit; |
(C) the sale or transfer of the property, |
following southland reactivation designation, to a |
developer would result in investment which would |
result a higher assessed value; |
(D) the property will be sold by a participating |
entity to a buyer of property that has been approved by |
the corporate authorities of the municipality or to a |
developer that has been approved by the corporate |
authorities of the municipality whose redevelopment of |
the parcel, site, or property would reverse |
long-standing divestment in the area, enhance |
inclusive economic growth, create jobs or career |
pathways, support equitable recovery of the community, |
and stabilize the tax base through investments that |
align with local government plans and priorities; |
|
(E) an application for southland reactivation |
designation is filed with the participating entity and |
a resolution designating the property as southland |
reactivation property is passed by the municipality |
prior to the sale, rehabilitation, or reoccupation; |
(F) if not for the southland reactivation |
designation, development or redevelopment of the |
property would not occur; and |
(G) the property is located in any of the |
following Townships in Cook County: Bloom, Bremen, |
Calumet, Rich, Thornton, or Worth. |
"South Suburban Land Bank and Development Authority" means |
the South Suburban Land Bank and Development Authority created |
in 2012 by intergovernmental agreement. |
"Tax year" means the calendar year for which assessed |
value is determined as of January 1 of that year. |
(b) Within 5 years after May 27, 2022 ( the effective date |
of Public Act 102-1010) this amendatory Act of the 102nd |
General Assembly , purchasers of real property from any of the |
participating entities may apply to that entity to have the |
property certified as southland reactivation property if the |
property meets the criteria for southland reactivation |
property set forth in subsection (a). The participating entity |
has 5 years from May 27, 2022 ( the effective date of Public Act |
102-1010) this amendatory Act of the 102nd General Assembly |
within which it may certify the property as southland |
|
reactivation property for the purposes of promoting |
rehabilitation of abandoned, vacant, or underutilized property |
to attract and enhance economic activities and investment that |
stabilize, restore, and grow the tax base in severely blighted |
areas within Chicago's south suburbs. This certification is |
nonrenewable and shall be transmitted by the municipality, or |
by the participating entity on behalf of the municipality, to |
the chief county assessment officer as soon as possible after |
the property is certified. Southland reactivation designation |
is limited to the original applicant unless expressly approved |
by the corporate authorities of the municipality and the |
property has no change in use. |
Support by the corporate authorities of the municipality |
for southland reactivation designation shall be considered in |
a lawful public meeting, and impacted taxing districts shall |
receive notification of the agenda item to consider southland |
reactivation of the site not less than 15 days prior to that |
meeting. |
(c) Beginning with the first tax year after the property |
is certified as southland reactivation property and continuing |
through the twelfth tax year after the property is certified |
as southland reactivation property, for the purpose of |
taxation under this Code, the property shall be valued at 50% |
of the base year equalized assessed value as established by |
the chief county assessment officer, excluding all years with |
property tax exemptions applied as a result of the |
|
participating entity's ownership. For the first year after the |
property is certified as southland reactivation property, the |
aggregate property tax liability for the property shall be no |
greater than $100,000 per year. That aggregate property tax |
liability, once collected, shall be distributed to the taxing |
districts in which the property is located according to each |
taxing district's proportionate share of that aggregate |
liability. Beginning with the second tax year after the |
property is certified as southland reactivation property and |
continuing through the twelfth tax year after the property is |
certified as southland reactivation property, the property tax |
liability for the property for each taxing district in which |
the property is located shall be increased over the property |
tax liability for the property for the preceding year by 10%. |
In no event shall the purchaser's annual tax liability |
decrease. |
(d) No later than March 1 of each year, the municipality or |
the participating entity on behalf of the municipality shall |
certify to the county clerk of the county in which the property |
is located a percentage southland reactivation reduction to be |
applied to property taxes for that calendar year, as provided |
in this Section. |
(e) The participating entity shall collect the following |
information annually for the pilot program period: the number |
of program applicants; the street address of each certified |
property; the proposed use of certified properties; the amount |
|
of investment; the number of jobs created as a result of the |
certification; and copies of the certification of each |
southland reactivation site to allow for the evaluation and |
assessment of the effectiveness of southland reactivation |
designation. The participating entity responsible for seeking |
the southland reactivation designation shall present this |
information to the governing body of each taxing district |
affected by a southland reactivation designation on an annual |
basis, and the participating entity shall report the above |
information to any requesting members of the General Assembly |
at the conclusion of the 5-year designation period. |
(f) Any southland reactivation certification granted under |
this Section shall be void if the property is conveyed to an |
entity or person that is liable for any unpaid, delinquent |
property taxes associated with the property.
|
(Source: P.A. 102-1010, eff. 5-27-22; revised 9-7-22.)
|
(35 ILCS 200/15-168) |
Sec. 15-168. Homestead exemption for persons with |
disabilities. |
(a) Beginning with taxable year 2007, an
annual homestead |
exemption is granted to persons with disabilities in
the |
amount of $2,000, except as provided in subsection (c), to
be |
deducted from the property's value as equalized or assessed
by |
the Department of Revenue. The person with a disability shall |
receive
the homestead exemption upon meeting the following
|
|
requirements: |
(1) The property must be occupied as the primary |
residence by the person with a disability. |
(2) The person with a disability must be liable for |
paying the
real estate taxes on the property. |
(3) The person with a disability must be an owner of |
record of
the property or have a legal or equitable |
interest in the
property as evidenced by a written |
instrument. In the case
of a leasehold interest in |
property, the lease must be for
a single family residence. |
A person who has a disability during the taxable year
is |
eligible to apply for this homestead exemption during that
|
taxable year. Application must be made during the
application |
period in effect for the county of residence. If a
homestead |
exemption has been granted under this Section and the
person |
awarded the exemption subsequently becomes a resident of
a |
facility licensed under the Nursing Home Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the |
ID/DD Community Care Act, or the MC/DD Act, then the
exemption |
shall continue (i) so long as the residence continues
to be |
occupied by the qualifying person's spouse or (ii) if the
|
residence remains unoccupied but is still owned by the person
|
qualified for the homestead exemption. |
(b) For the purposes of this Section, "person with a |
disability"
means a person unable to engage in any substantial |
gainful activity by reason of a medically determinable |
|
physical or mental impairment which can be expected to result |
in death or has lasted or can be expected to last for a |
continuous period of not less than 12 months. Persons with |
disabilities filing claims under this Act shall submit proof |
of disability in such form and manner as the Department shall |
by rule and regulation prescribe. Proof that a claimant is |
eligible to receive disability benefits under the Federal |
Social Security Act shall constitute proof of disability for |
purposes of this Act. Issuance of an Illinois Person with a |
Disability Identification Card stating that the claimant is |
under a Class 2 disability, as defined in Section 4A of the |
Illinois Identification Card Act, shall constitute proof that |
the person named thereon is a person with a disability for |
purposes of this Act. A person with a disability not covered |
under the Federal Social Security Act and not presenting an |
Illinois Person with a Disability Identification Card stating |
that the claimant is under a Class 2 disability shall be |
examined by a physician, optometrist (if the person qualifies |
because of a visual disability), advanced practice registered |
nurse, or physician assistant designated by the Department, |
and his status as a person with a disability determined using |
the same standards as used by the Social Security |
Administration. The costs of any required examination shall be |
borne by the claimant. |
(c) For land improved with (i) an apartment building owned
|
and operated as a cooperative or (ii) a life care facility as
|
|
defined under Section 2 of the Life Care Facilities Act that is
|
considered to be a cooperative, the maximum reduction from the
|
value of the property, as equalized or assessed by the
|
Department, shall be multiplied by the number of apartments or
|
units occupied by a person with a disability. The person with a |
disability shall
receive the homestead exemption upon meeting |
the following
requirements: |
(1) The property must be occupied as the primary |
residence by the
person with a disability. |
(2) The person with a disability must be liable by |
contract with
the owner or owners of record for paying the |
apportioned
property taxes on the property of the |
cooperative or life
care facility. In the case of a life |
care facility, the
person with a disability must be liable |
for paying the apportioned
property taxes under a life |
care contract as defined in Section 2 of the Life Care |
Facilities Act. |
(3) The person with a disability must be an owner of |
record of a
legal or equitable interest in the cooperative |
apartment
building. A leasehold interest does not meet |
this
requirement.
|
If a homestead exemption is granted under this subsection, the
|
cooperative association or management firm shall credit the
|
savings resulting from the exemption to the apportioned tax
|
liability of the qualifying person with a disability. The |
chief county
assessment officer may request reasonable proof |
|
that the
association or firm has properly credited the |
exemption. A
person who willfully refuses to credit an |
exemption to the
qualified person with a disability is guilty |
of a Class B misdemeanor.
|
(d) The chief county assessment officer shall determine |
the
eligibility of property to receive the homestead exemption
|
according to guidelines established by the Department. After a
|
person has received an exemption under this Section, an annual
|
verification of eligibility for the exemption shall be mailed
|
to the taxpayer. |
In counties with fewer than 3,000,000 inhabitants, the |
chief county assessment officer shall provide to each
person |
granted a homestead exemption under this Section a form
to |
designate any other person to receive a duplicate of any
|
notice of delinquency in the payment of taxes assessed and
|
levied under this Code on the person's qualifying property. |
The
duplicate notice shall be in addition to the notice |
required to
be provided to the person receiving the exemption |
and shall be given in the manner required by this Code. The |
person filing
the request for the duplicate notice shall pay |
an
administrative fee of $5 to the chief county assessment
|
officer. The assessment officer shall then file the executed
|
designation with the county collector, who shall issue the
|
duplicate notices as indicated by the designation. A
|
designation may be rescinded by the person with a disability |
in the
manner required by the chief county assessment officer. |
|
(d-5) Notwithstanding any other provision of law, each |
chief county assessment officer may approve this exemption for |
the 2020 taxable year, without application, for any property |
that was approved for this exemption for the 2019 taxable |
year, provided that: |
(1) the county board has declared a local disaster as |
provided in the Illinois Emergency Management Agency Act |
related to the COVID-19 public health emergency; |
(2) the owner of record of the property as of January |
1, 2020 is the same as the owner of record of the property |
as of January 1, 2019; |
(3) the exemption for the 2019 taxable year has not |
been determined to be an erroneous exemption as defined by |
this Code; and |
(4) the applicant for the 2019 taxable year has not |
asked for the exemption to be removed for the 2019 or 2020 |
taxable years. |
(d-10) Notwithstanding any other provision of law, each |
chief county assessment officer may approve this exemption for |
the 2021 taxable year, without application, for any property |
that was approved for this exemption for the 2020 taxable |
year, if: |
(1) the county board has declared a local disaster as |
provided in the Illinois Emergency Management Agency Act |
related to the COVID-19 public health emergency; |
(2) the owner of record of the property as of January |
|
1, 2021 is the same as the owner of record of the property |
as of January 1, 2020; |
(3) the exemption for the 2020 taxable year has not |
been determined to be an erroneous exemption as defined by |
this Code; and |
(4) the taxpayer for the 2020 taxable year has not |
asked for the exemption to be removed for the 2020 or 2021 |
taxable years. |
(d-15) For taxable years 2022 through 2027, in any county |
of more than 3,000,000 residents, and in any other county |
where the county board has authorized such action by ordinance |
or resolution, a chief county assessment officer may renew |
this exemption for any person who applied for the exemption |
and presented proof of eligibility, as described in subsection |
(b) above , without an annual application as required under |
subsection (d) above . A chief county assessment officer shall |
not automatically renew an exemption under this subsection if: |
the physician, advanced practice registered nurse, |
optometrist, or physician assistant who examined the claimant |
determined that the disability is not expected to continue for |
12 months or more; the exemption has been deemed erroneous |
since the last
application; or the claimant has reported their |
ineligibility to receive the exemption. A chief county |
assessment officer who automatically renews an exemption under |
this subsection shall notify a person of a subsequent |
determination not to automatically renew that person's |
|
exemption and shall provide that person with an application to |
renew the exemption. |
(e) A taxpayer who claims an exemption under Section |
15-165 or 15-169 may not claim an exemption under this |
Section.
|
(Source: P.A. 101-635, eff. 6-5-20; 102-136, eff. 7-23-21; |
102-895, eff. 5-23-22; revised 9-7-22.)
|
(35 ILCS 200/15-169) |
Sec. 15-169. Homestead exemption for veterans with |
disabilities. |
(a) Beginning with taxable year 2007, an annual homestead |
exemption, limited to the amounts set forth in subsections (b) |
and (b-3), is granted for property that is used as a qualified |
residence by a veteran with a disability. |
(b) For taxable years prior to 2015, the amount of the |
exemption under this Section is as follows: |
(1) for veterans with a service-connected disability |
of at least (i) 75% for exemptions granted in taxable |
years 2007 through 2009 and (ii) 70% for exemptions |
granted in taxable year 2010 and each taxable year |
thereafter, as certified by the United States Department |
of Veterans Affairs, the annual exemption is $5,000; and |
(2) for veterans with a service-connected disability |
of at least 50%, but less than (i) 75% for exemptions |
granted in taxable years 2007 through 2009 and (ii) 70% |
|
for exemptions granted in taxable year 2010 and each |
taxable year thereafter, as certified by the United States |
Department of Veterans Affairs, the annual exemption is |
$2,500. |
(b-3) For taxable years 2015 and thereafter: |
(1) if the veteran has a service connected disability |
of 30% or more but less than 50%, as certified by the |
United States Department of Veterans Affairs, then the |
annual exemption is $2,500; |
(2) if the veteran has a service connected disability |
of 50% or more but less than 70%, as certified by the |
United States Department of Veterans Affairs, then the |
annual exemption is $5,000; |
(3) if the veteran has a service connected disability |
of 70% or more, as certified by the United States |
Department of Veterans Affairs, then the property is |
exempt from taxation under this Code; and |
(4) for taxable year 2023 and thereafter, if the |
taxpayer is the surviving spouse of a veteran whose death |
was determined to be service-connected and who is |
certified by the United States Department of Veterans |
Affairs as a recipient of dependency and indemnity |
compensation under federal law, then the property is also |
exempt from taxation under this Code. |
(b-5) If a homestead exemption is granted under this |
Section and the person awarded the exemption subsequently |
|
becomes a resident of a facility licensed under the Nursing |
Home Care Act or a facility operated by the United States |
Department of Veterans Affairs, then the exemption shall |
continue (i) so long as the residence continues to be occupied |
by the qualifying person's spouse or (ii) if the residence |
remains unoccupied but is still owned by the person who |
qualified for the homestead exemption. |
(c) The tax exemption under this Section carries over to |
the benefit of the veteran's
surviving spouse as long as the |
spouse holds the legal or
beneficial title to the homestead, |
permanently resides
thereon, and does not remarry. If the |
surviving spouse sells
the property, an exemption not to |
exceed the amount granted
from the most recent ad valorem tax |
roll may be transferred to
his or her new residence as long as |
it is used as his or her
primary residence and he or she does |
not remarry. |
As used in this subsection (c): |
(1) for taxable years prior to 2015, "surviving |
spouse" means the surviving spouse of a veteran who |
obtained an exemption under this Section prior to his or |
her death; |
(2) for taxable years 2015 through 2022, "surviving |
spouse" means (i) the surviving spouse of a veteran who |
obtained an exemption under this Section prior to his or |
her death and (ii) the surviving spouse of a veteran who |
was killed in the line of duty at any time prior to the |
|
expiration of the application period in effect for the |
exemption for the taxable year for which the exemption is |
sought; and |
(3) for taxable year 2023 and thereafter, "surviving |
spouse" means: (i) the surviving spouse of a veteran who |
obtained the exemption under this Section prior to his or |
her death; (ii) the surviving spouse of a veteran who was |
killed in the line of duty at any time prior to the |
expiration of the application period in effect for the |
exemption for the taxable year for which the exemption is |
sought; (iii) the surviving spouse of a veteran who did |
not obtain an exemption under this Section before death, |
but who would have qualified for the exemption under this |
Section in the taxable year for which the exemption is |
sought if he or she had survived, and whose surviving |
spouse has been a resident of Illinois from the time of the |
veteran's death through the taxable year for which the |
exemption is sought; and (iv) the surviving spouse of a |
veteran whose death was determined to be |
service-connected, but who would not otherwise qualify |
under item items (i), (ii), or (iii), if the spouse (A) is |
certified by the United States Department of Veterans |
Affairs as a recipient of dependency and indemnity |
compensation under federal law at any time prior to the |
expiration of the application period in effect for the |
exemption for the taxable year for which the exemption is |
|
sought and (B) remains eligible for that dependency and |
indemnity compensation as of January 1 of the taxable year |
for which the exemption is sought. |
(c-1) Beginning with taxable year 2015, nothing in this |
Section shall require the veteran to have qualified for or |
obtained the exemption before death if the veteran was killed |
in the line of duty. |
(d) The exemption under this Section applies for taxable |
year 2007 and thereafter. A taxpayer who claims an exemption |
under Section 15-165 or 15-168 may not claim an exemption |
under this Section. |
(e) Except as otherwise provided in this subsection (e), |
each taxpayer who has been granted an exemption under this |
Section must reapply on an annual basis. Application must be |
made during the application period
in effect for the county of |
his or her residence. 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 must be made in |
accordance with guidelines
established by the Department. |
On and after May 23, 2022 ( the effective date of Public Act |
102-895) this amendatory Act of the 102nd General Assembly , if |
a veteran has a combined service connected disability rating |
of 100% and is deemed to be permanently and totally disabled, |
as certified by the United States Department of Veterans |
|
Affairs, the taxpayer who has been granted an exemption under |
this Section shall no longer be required to reapply for the |
exemption on an annual basis, and the exemption shall be in |
effect for as long as the exemption would otherwise be |
permitted under this Section. |
(e-1) If the person qualifying for the exemption does not |
occupy the qualified residence as of January 1 of the taxable |
year, the exemption granted under this Section shall be |
prorated on a monthly basis. The prorated exemption shall |
apply beginning with the first complete month in which the |
person occupies the qualified residence. |
(e-5) Notwithstanding any other provision of law, each |
chief county assessment officer may approve this exemption for |
the 2020 taxable year, without application, for any property |
that was approved for this exemption for the 2019 taxable |
year, provided that: |
(1) the county board has declared a local disaster as |
provided in the Illinois Emergency Management Agency Act |
related to the COVID-19 public health emergency; |
(2) the owner of record of the property as of January |
1, 2020 is the same as the owner of record of the property |
as of January 1, 2019; |
(3) the exemption for the 2019 taxable year has not |
been determined to be an erroneous exemption as defined by |
this Code; and |
(4) the applicant for the 2019 taxable year has not |
|
asked for the exemption to be removed for the 2019 or 2020 |
taxable years. |
Nothing in this subsection shall preclude a veteran whose |
service connected disability rating has changed since the 2019 |
exemption was granted from applying for the exemption based on |
the subsequent service connected disability rating. |
(e-10) Notwithstanding any other provision of law, each |
chief county assessment officer may approve this exemption for |
the 2021 taxable year, without application, for any property |
that was approved for this exemption for the 2020 taxable |
year, if: |
(1) the county board has declared a local disaster as |
provided in the Illinois Emergency Management Agency Act |
related to the COVID-19 public health emergency; |
(2) the owner of record of the property as of January |
1, 2021 is the same as the owner of record of the property |
as of January 1, 2020; |
(3) the exemption for the 2020 taxable year has not |
been determined to be an erroneous exemption as defined by |
this Code; and |
(4) the taxpayer for the 2020 taxable year has not |
asked for the exemption to be removed for the 2020 or 2021 |
taxable years. |
Nothing in this subsection shall preclude a veteran whose |
service connected disability rating has changed since the 2020 |
exemption was granted from applying for the exemption based on |
|
the subsequent service connected disability rating. |
(f) For the purposes of this Section: |
"Qualified residence" means real
property, but less any |
portion of that property that is used for
commercial purposes, |
with an equalized assessed value of less than $250,000 that is |
the primary residence of a veteran with a disability. Property |
rented for more than 6 months is
presumed to be used for |
commercial purposes. |
"Veteran" means an Illinois resident who has served as a
|
member of the United States Armed Forces on active duty or
|
State active duty, a member of the Illinois National Guard, or
|
a member of the United States Reserve Forces and who has |
received an honorable discharge. |
(Source: P.A. 101-635, eff. 6-5-20; 102-136, eff. 7-23-21; |
102-895, eff. 5-23-22; revised 9-6-22.)
|
(35 ILCS 200/18-185)
|
Sec. 18-185. Short title; definitions. This Division 5 |
may be cited as the
Property Tax Extension Limitation Law. As |
used in this Division 5:
|
"Consumer Price Index" means the Consumer Price Index for |
All Urban
Consumers for all items published by the United |
States Department of Labor.
|
"Extension limitation" means (a) the lesser of 5% or the |
percentage increase
in the Consumer Price Index during the |
12-month calendar year preceding the
levy year or (b) the rate |
|
of increase approved by voters under Section 18-205.
|
"Affected county" means a county of 3,000,000 or more |
inhabitants or a
county contiguous to a county of 3,000,000 or |
more inhabitants.
|
"Taxing district" has the same meaning provided in Section |
1-150, except as
otherwise provided in this Section. For the |
1991 through 1994 levy years only,
"taxing district" includes |
only each non-home rule taxing district having the
majority of |
its
1990 equalized assessed value within any county or |
counties contiguous to a
county with 3,000,000 or more |
inhabitants. Beginning with the 1995 levy
year, "taxing |
district" includes only each non-home rule taxing district
|
subject to this Law before the 1995 levy year and each non-home |
rule
taxing district not subject to this Law before the 1995 |
levy year having the
majority of its 1994 equalized assessed |
value in an affected county or
counties. Beginning with the |
levy year in
which this Law becomes applicable to a taxing |
district as
provided in Section 18-213, "taxing district" also |
includes those taxing
districts made subject to this Law as |
provided in Section 18-213.
|
"Aggregate extension" for taxing districts to which this |
Law applied before
the 1995 levy year means the annual |
corporate extension for the taxing
district and those special |
purpose extensions that are made annually for
the taxing |
district, excluding special purpose extensions: (a) made for |
the
taxing district to pay interest or principal on general |
|
obligation bonds
that were approved by referendum; (b) made |
for any taxing district to pay
interest or principal on |
general obligation bonds issued before October 1,
1991; (c) |
made for any taxing district to pay interest or principal on |
bonds
issued to refund or continue to refund those bonds |
issued before October 1,
1991; (d)
made for any taxing |
district to pay interest or principal on bonds
issued to |
refund or continue to refund bonds issued after October 1, |
1991 that
were approved by referendum; (e)
made for any taxing |
district to pay interest
or principal on revenue bonds issued |
before October 1, 1991 for payment of
which a property tax levy |
or the full faith and credit of the unit of local
government is |
pledged; however, a tax for the payment of interest or |
principal
on those bonds shall be made only after the |
governing body of the unit of local
government finds that all |
other sources for payment are insufficient to make
those |
payments; (f) made for payments under a building commission |
lease when
the lease payments are for the retirement of bonds |
issued by the commission
before October 1, 1991, to pay for the |
building project; (g) made for payments
due under installment |
contracts entered into before October 1, 1991;
(h) made for |
payments of principal and interest on bonds issued under the
|
Metropolitan Water Reclamation District Act to finance |
construction projects
initiated before October 1, 1991; (i) |
made for payments of principal and
interest on limited bonds, |
as defined in Section 3 of the Local Government Debt
Reform |
|
Act, in an amount not to exceed the debt service extension base |
less
the amount in items (b), (c), (e), and (h) of this |
definition for
non-referendum obligations, except obligations |
initially issued pursuant to
referendum; (j) made for payments |
of principal and interest on bonds
issued under Section 15 of |
the Local Government Debt Reform Act; (k)
made
by a school |
district that participates in the Special Education District |
of
Lake County, created by special education joint agreement |
under Section
10-22.31 of the School Code, for payment of the |
school district's share of the
amounts required to be |
contributed by the Special Education District of Lake
County |
to the Illinois Municipal Retirement Fund under Article 7 of |
the
Illinois Pension Code; the amount of any extension under |
this item (k) shall be
certified by the school district to the |
county clerk; (l) made to fund
expenses of providing joint |
recreational programs for persons with disabilities under
|
Section 5-8 of
the
Park District Code or Section 11-95-14 of |
the Illinois Municipal Code; (m) made for temporary relocation |
loan repayment purposes pursuant to Sections 2-3.77 and |
17-2.2d of the School Code; (n) made for payment of principal |
and interest on any bonds issued under the authority of |
Section 17-2.2d of the School Code; (o) made for contributions |
to a firefighter's pension fund created under Article 4 of the |
Illinois Pension Code, to the extent of the amount certified |
under item (5) of Section 4-134 of the Illinois Pension Code; |
and (p) made for road purposes in the first year after a |
|
township assumes the rights, powers, duties, assets, property, |
liabilities, obligations, and
responsibilities of a road |
district abolished under the provisions of Section 6-133 of |
the Illinois Highway Code.
|
"Aggregate extension" for the taxing districts to which |
this Law did not
apply before the 1995 levy year (except taxing |
districts subject to this Law
in
accordance with Section |
18-213) means the annual corporate extension for the
taxing |
district and those special purpose extensions that are made |
annually for
the taxing district, excluding special purpose |
extensions: (a) made for the
taxing district to pay interest |
or principal on general obligation bonds that
were approved by |
referendum; (b) made for any taxing district to pay interest
|
or principal on general obligation bonds issued before March |
1, 1995; (c) made
for any taxing district to pay interest or |
principal on bonds issued to refund
or continue to refund |
those bonds issued before March 1, 1995; (d) made for any
|
taxing district to pay interest or principal on bonds issued |
to refund or
continue to refund bonds issued after March 1, |
1995 that were approved by
referendum; (e) made for any taxing |
district to pay interest or principal on
revenue bonds issued |
before March 1, 1995 for payment of which a property tax
levy |
or the full faith and credit of the unit of local government is |
pledged;
however, a tax for the payment of interest or |
principal on those bonds shall be
made only after the |
governing body of the unit of local government finds that
all |
|
other sources for payment are insufficient to make those |
payments; (f) made
for payments under a building commission |
lease when the lease payments are for
the retirement of bonds |
issued by the commission before March 1, 1995 to
pay for the |
building project; (g) made for payments due under installment
|
contracts entered into before March 1, 1995; (h) made for |
payments of
principal and interest on bonds issued under the |
Metropolitan Water Reclamation
District Act to finance |
construction projects initiated before October 1,
1991; (h-4) |
made for stormwater management purposes by the Metropolitan |
Water Reclamation District of Greater Chicago under Section 12 |
of the Metropolitan Water Reclamation District Act; (h-8) made |
for payments of principal and interest on bonds issued under |
Section 9.6a of the Metropolitan Water Reclamation District |
Act to make contributions to the pension fund established |
under Article 13 of the Illinois Pension Code; (i) made for |
payments of principal and interest on limited bonds,
as |
defined in Section 3 of the Local Government Debt Reform Act, |
in an amount
not to exceed the debt service extension base less |
the amount in items (b),
(c), and (e) of this definition for |
non-referendum obligations, except
obligations initially |
issued pursuant to referendum and bonds described in
|
subsections (h) and (h-8) of this definition; (j) made for |
payments of
principal and interest on bonds issued under |
Section 15 of the Local Government
Debt Reform Act; (k) made |
for payments of principal and interest on bonds
authorized by |
|
Public Act 88-503 and issued under Section 20a of the Chicago
|
Park District Act for aquarium or
museum projects and bonds |
issued under Section 20a of the Chicago Park District Act for |
the purpose of making contributions to the pension fund |
established under Article 12 of the Illinois Pension Code; (l) |
made for payments of principal and interest on
bonds
|
authorized by Public Act 87-1191 or 93-601 and (i) issued |
pursuant to Section 21.2 of the Cook County Forest
Preserve |
District Act, (ii) issued under Section 42 of the Cook County
|
Forest Preserve District Act for zoological park projects, or |
(iii) issued
under Section 44.1 of the Cook County Forest |
Preserve District Act for
botanical gardens projects; (m) made
|
pursuant
to Section 34-53.5 of the School Code, whether levied |
annually or not;
(n) made to fund expenses of providing joint |
recreational programs for persons with disabilities under |
Section 5-8 of the Park
District Code or Section 11-95-14 of |
the Illinois Municipal Code;
(o) made by the
Chicago Park
|
District for recreational programs for persons with |
disabilities under subsection (c) of
Section
7.06 of the |
Chicago Park District Act; (p) made for contributions to a |
firefighter's pension fund created under Article 4 of the |
Illinois Pension Code, to the extent of the amount certified |
under item (5) of Section 4-134 of the Illinois Pension Code; |
(q) made by Ford Heights School District 169 under Section |
17-9.02 of the School Code; and (r) made for the purpose of |
making employer contributions to the Public School Teachers' |
|
Pension and Retirement Fund of Chicago under Section 34-53 of |
the School Code.
|
"Aggregate extension" for all taxing districts to which |
this Law applies in
accordance with Section 18-213, except for |
those taxing districts subject to
paragraph (2) of subsection |
(e) of Section 18-213, means the annual corporate
extension |
for the
taxing district and those special purpose extensions |
that are made annually for
the taxing district, excluding |
special purpose extensions: (a) made for the
taxing district |
to pay interest or principal on general obligation bonds that
|
were approved by referendum; (b) made for any taxing district |
to pay interest
or principal on general obligation bonds |
issued before the date on which the
referendum making this
Law |
applicable to the taxing district is held; (c) made
for any |
taxing district to pay interest or principal on bonds issued |
to refund
or continue to refund those bonds issued before the |
date on which the
referendum making this Law
applicable to the |
taxing district is held;
(d) made for any
taxing district to |
pay interest or principal on bonds issued to refund or
|
continue to refund bonds issued after the date on which the |
referendum making
this Law
applicable to the taxing district |
is held if the bonds were approved by
referendum after the date |
on which the referendum making this Law
applicable to the |
taxing district is held; (e) made for any
taxing district to |
pay interest or principal on
revenue bonds issued before the |
date on which the referendum making this Law
applicable to the
|
|
taxing district is held for payment of which a property tax
|
levy or the full faith and credit of the unit of local |
government is pledged;
however, a tax for the payment of |
interest or principal on those bonds shall be
made only after |
the governing body of the unit of local government finds that
|
all other sources for payment are insufficient to make those |
payments; (f) made
for payments under a building commission |
lease when the lease payments are for
the retirement of bonds |
issued by the commission before the date on which the
|
referendum making this
Law applicable to the taxing district |
is held to
pay for the building project; (g) made for payments |
due under installment
contracts entered into before the date |
on which the referendum making this Law
applicable to
the |
taxing district is held;
(h) made for payments
of principal |
and interest on limited bonds,
as defined in Section 3 of the |
Local Government Debt Reform Act, in an amount
not to exceed |
the debt service extension base less the amount in items (b),
|
(c), and (e) of this definition for non-referendum |
obligations, except
obligations initially issued pursuant to |
referendum; (i) made for payments
of
principal and interest on |
bonds issued under Section 15 of the Local Government
Debt |
Reform Act;
(j)
made for a qualified airport authority to pay |
interest or principal on
general obligation bonds issued for |
the purpose of paying obligations due
under, or financing |
airport facilities required to be acquired, constructed,
|
installed or equipped pursuant to, contracts entered into |
|
before March
1, 1996 (but not including any amendments to such |
a contract taking effect on
or after that date); (k) made to |
fund expenses of providing joint
recreational programs for |
persons with disabilities under Section 5-8 of
the
Park |
District Code or Section 11-95-14 of the Illinois Municipal |
Code; (l) made for contributions to a firefighter's pension |
fund created under Article 4 of the Illinois Pension Code, to |
the extent of the amount certified under item (5) of Section |
4-134 of the Illinois Pension Code; and (m) made for the taxing |
district to pay interest or principal on general obligation |
bonds issued pursuant to Section 19-3.10 of the School Code.
|
"Aggregate extension" for all taxing districts to which |
this Law applies in
accordance with paragraph (2) of |
subsection (e) of Section 18-213 means the
annual corporate |
extension for the
taxing district and those special purpose |
extensions that are made annually for
the taxing district, |
excluding special purpose extensions: (a) made for the
taxing |
district to pay interest or principal on general obligation |
bonds that
were approved by referendum; (b) made for any |
taxing district to pay interest
or principal on general |
obligation bonds issued before March 7, 1997 (the effective |
date of Public Act 89-718);
(c) made
for any taxing district to |
pay interest or principal on bonds issued to refund
or |
continue to refund those bonds issued before March 7, 1997 |
(the effective date
of Public Act 89-718);
(d) made for any
|
taxing district to pay interest or principal on bonds issued |
|
to refund or
continue to refund bonds issued after March 7, |
1997 (the effective date of Public Act 89-718) if the bonds |
were approved by referendum after March 7, 1997 (the effective |
date of Public Act 89-718);
(e) made for any
taxing district to |
pay interest or principal on
revenue bonds issued before March |
7, 1997 (the effective date of Public Act 89-718)
for payment |
of which a property tax
levy or the full faith and credit of |
the unit of local government is pledged;
however, a tax for the |
payment of interest or principal on those bonds shall be
made |
only after the governing body of the unit of local government |
finds that
all other sources for payment are insufficient to |
make those payments; (f) made
for payments under a building |
commission lease when the lease payments are for
the |
retirement of bonds issued by the commission before March 7, |
1997 (the effective date
of Public Act 89-718)
to
pay for the |
building project; (g) made for payments due under installment
|
contracts entered into before March 7, 1997 (the effective |
date of Public Act 89-718);
(h) made for payments
of principal |
and interest on limited bonds,
as defined in Section 3 of the |
Local Government Debt Reform Act, in an amount
not to exceed |
the debt service extension base less the amount in items (b),
|
(c), and (e) of this definition for non-referendum |
obligations, except
obligations initially issued pursuant to |
referendum; (i) made for payments
of
principal and interest on |
bonds issued under Section 15 of the Local Government
Debt |
Reform Act;
(j)
made for a qualified airport authority to pay |
|
interest or principal on
general obligation bonds issued for |
the purpose of paying obligations due
under, or financing |
airport facilities required to be acquired, constructed,
|
installed or equipped pursuant to, contracts entered into |
before March
1, 1996 (but not including any amendments to such |
a contract taking effect on
or after that date); (k) made to |
fund expenses of providing joint
recreational programs for |
persons with disabilities under Section 5-8 of
the
Park |
District Code or Section 11-95-14 of the Illinois Municipal |
Code; and (l) made for contributions to a firefighter's |
pension fund created under Article 4 of the Illinois Pension |
Code, to the extent of the amount certified under item (5) of |
Section 4-134 of the Illinois Pension Code.
|
"Debt service extension base" means an amount equal to |
that portion of the
extension for a taxing district for the |
1994 levy year, or for those taxing
districts subject to this |
Law in accordance with Section 18-213, except for
those |
subject to paragraph (2) of subsection (e) of Section 18-213, |
for the
levy
year in which the referendum making this Law |
applicable to the taxing district
is held, or for those taxing |
districts subject to this Law in accordance with
paragraph (2) |
of subsection (e) of Section 18-213 for the 1996 levy year,
|
constituting an
extension for payment of principal and |
interest on bonds issued by the taxing
district without |
referendum, but not including excluded non-referendum bonds. |
For park districts (i) that were first
subject to this Law in |
|
1991 or 1995 and (ii) whose extension for the 1994 levy
year |
for the payment of principal and interest on bonds issued by |
the park
district without referendum (but not including |
excluded non-referendum bonds)
was less than 51% of the amount |
for the 1991 levy year constituting an
extension for payment |
of principal and interest on bonds issued by the park
district |
without referendum (but not including excluded non-referendum |
bonds),
"debt service extension base" means an amount equal to |
that portion of the
extension for the 1991 levy year |
constituting an extension for payment of
principal and |
interest on bonds issued by the park district without |
referendum
(but not including excluded non-referendum bonds). |
A debt service extension base established or increased at any |
time pursuant to any provision of this Law, except Section |
18-212, shall be increased each year commencing with the later |
of (i) the 2009 levy year or (ii) the first levy year in which |
this Law becomes applicable to the taxing district, by the |
lesser of 5% or the percentage increase in the Consumer Price |
Index during the 12-month calendar year preceding the levy |
year. The debt service extension
base may be established or |
increased as provided under Section 18-212.
"Excluded |
non-referendum bonds" means (i) bonds authorized by Public
Act |
88-503 and issued under Section 20a of the Chicago Park |
District Act for
aquarium and museum projects; (ii) bonds |
issued under Section 15 of the
Local Government Debt Reform |
Act; or (iii) refunding obligations issued
to refund or to |
|
continue to refund obligations initially issued pursuant to
|
referendum.
|
"Special purpose extensions" include, but are not limited |
to, extensions
for levies made on an annual basis for |
unemployment and workers'
compensation, self-insurance, |
contributions to pension plans, and extensions
made pursuant |
to Section 6-601 of the Illinois Highway Code for a road
|
district's permanent road fund whether levied annually or not. |
The
extension for a special service area is not included in the
|
aggregate extension.
|
"Aggregate extension base" means the taxing district's |
last preceding
aggregate extension as adjusted under Sections |
18-135, 18-215,
18-230, 18-206, and 18-233. Beginning with |
levy year 2022, for taxing districts that are specified in |
Section 18-190.7, the taxing district's aggregate extension |
base shall be calculated as provided in Section 18-190.7.
An |
adjustment under Section 18-135 shall be made for the 2007 |
levy year and all subsequent levy years whenever one or more |
counties within which a taxing district is located (i) used |
estimated valuations or rates when extending taxes in the |
taxing district for the last preceding levy year that resulted |
in the over or under extension of taxes, or (ii) increased or |
decreased the tax extension for the last preceding levy year |
as required by Section 18-135(c). Whenever an adjustment is |
required under Section 18-135, the aggregate extension base of |
the taxing district shall be equal to the amount that the |
|
aggregate extension of the taxing district would have been for |
the last preceding levy year if either or both (i) actual, |
rather than estimated, valuations or rates had been used to |
calculate the extension of taxes for the last levy year, or |
(ii) the tax extension for the last preceding levy year had not |
been adjusted as required by subsection (c) of Section 18-135.
|
Notwithstanding any other provision of law, for levy year |
2012, the aggregate extension base for West Northfield School |
District No. 31 in Cook County shall be $12,654,592. |
Notwithstanding any other provision of law, for levy year |
2022, the aggregate extension base of a home equity assurance |
program that levied at least $1,000,000 in property taxes in |
levy year 2019 or 2020 under the Home Equity Assurance Act |
shall be the amount that the program's aggregate extension |
base for levy year 2021 would have been if the program had |
levied a property tax for levy year 2021. |
"Levy year" has the same meaning as "year" under Section
|
1-155.
|
"New property" means (i) the assessed value, after final |
board of review or
board of appeals action, of new |
improvements or additions to existing
improvements on any |
parcel of real property that increase the assessed value of
|
that real property during the levy year multiplied by the |
equalization factor
issued by the Department under Section |
17-30, (ii) the assessed value, after
final board of review or |
board of appeals action, of real property not exempt
from real |
|
estate taxation, which real property was exempt from real |
estate
taxation for any portion of the immediately preceding |
levy year, multiplied by
the equalization factor issued by the |
Department under Section 17-30, including the assessed value, |
upon final stabilization of occupancy after new construction |
is complete, of any real property located within the |
boundaries of an otherwise or previously exempt military |
reservation that is intended for residential use and owned by |
or leased to a private corporation or other entity,
(iii) in |
counties that classify in accordance with Section 4 of Article
|
IX of the
Illinois Constitution, an incentive property's |
additional assessed value
resulting from a
scheduled increase |
in the level of assessment as applied to the first year
final |
board of
review market value, and (iv) any increase in |
assessed value due to oil or gas production from an oil or gas |
well required to be permitted under the Hydraulic Fracturing |
Regulatory Act that was not produced in or accounted for |
during the previous levy year.
In addition, the county clerk |
in a county containing a population of
3,000,000 or more shall |
include in the 1997
recovered tax increment value for any |
school district, any recovered tax
increment value that was |
applicable to the 1995 tax year calculations.
|
"Qualified airport authority" means an airport authority |
organized under
the Airport Authorities Act and located in a |
county bordering on the State of
Wisconsin and having a |
population in excess of 200,000 and not greater than
500,000.
|
|
"Recovered tax increment value" means, except as otherwise |
provided in this
paragraph, the amount of the current year's |
equalized assessed value, in the
first year after a |
municipality terminates
the designation of an area as a |
redevelopment project area previously
established under the |
Tax Increment Allocation Redevelopment Act in the Illinois
|
Municipal Code, previously established under the Industrial |
Jobs Recovery Law
in the Illinois Municipal Code, previously |
established under the Economic Development Project Area Tax |
Increment Act of 1995, or previously established under the |
Economic
Development Area Tax Increment Allocation Act, of |
each taxable lot, block,
tract, or parcel of real property in |
the redevelopment project area over and
above the initial |
equalized assessed value of each property in the
redevelopment |
project area.
For the taxes which are extended for the 1997 |
levy year, the recovered tax
increment value for a non-home |
rule taxing district that first became subject
to this Law for |
the 1995 levy year because a majority of its 1994 equalized
|
assessed value was in an affected county or counties shall be |
increased if a
municipality terminated the designation of an |
area in 1993 as a redevelopment
project area previously |
established under the Tax Increment Allocation Redevelopment
|
Act in the Illinois Municipal Code, previously established |
under
the Industrial Jobs Recovery Law in the Illinois |
Municipal Code, or previously
established under the Economic |
Development Area Tax Increment Allocation Act,
by an amount |
|
equal to the 1994 equalized assessed value of each taxable |
lot,
block, tract, or parcel of real property in the |
redevelopment project area over
and above the initial |
equalized assessed value of each property in the
redevelopment |
project area.
In the first year after a municipality
removes a |
taxable lot, block, tract, or parcel of real property from a
|
redevelopment project area established under the Tax Increment |
Allocation Redevelopment
Act in the Illinois
Municipal Code, |
the Industrial Jobs Recovery Law
in the Illinois Municipal |
Code, or the Economic
Development Area Tax Increment |
Allocation Act, "recovered tax increment value"
means the |
amount of the current year's equalized assessed value of each |
taxable
lot, block, tract, or parcel of real property removed |
from the redevelopment
project area over and above the initial |
equalized assessed value of that real
property before removal |
from the redevelopment project area.
|
Except as otherwise provided in this Section, "limiting |
rate" means a
fraction the numerator of which is the last
|
preceding aggregate extension base times an amount equal to |
one plus the
extension limitation defined in this Section and |
the denominator of which
is the current year's equalized |
assessed value of all real property in the
territory under the |
jurisdiction of the taxing district during the prior
levy |
year. For those taxing districts that reduced their aggregate
|
extension for the last preceding levy year, except for school |
districts that reduced their extension for educational |
|
purposes pursuant to Section 18-206, the highest aggregate |
extension
in any of the last 3 preceding levy years shall be |
used for the purpose of
computing the limiting rate. The |
denominator shall not include new
property or the recovered |
tax increment
value.
If a new rate, a rate decrease, or a |
limiting rate increase has been approved at an election held |
after March 21, 2006, then (i) the otherwise applicable |
limiting rate shall be increased by the amount of the new rate |
or shall be reduced by the amount of the rate decrease, as the |
case may be, or (ii) in the case of a limiting rate increase, |
the limiting rate shall be equal to the rate set forth
in the |
proposition approved by the voters for each of the years |
specified in the proposition, after
which the limiting rate of |
the taxing district shall be calculated as otherwise provided. |
In the case of a taxing district that obtained referendum |
approval for an increased limiting rate on March 20, 2012, the |
limiting rate for tax year 2012 shall be the rate that |
generates the approximate total amount of taxes extendable for |
that tax year, as set forth in the proposition approved by the |
voters; this rate shall be the final rate applied by the county |
clerk for the aggregate of all capped funds of the district for |
tax year 2012.
|
(Source: P.A. 102-263, eff. 8-6-21; 102-311, eff. 8-6-21; |
102-519, eff. 8-20-21; 102-558, eff. 8-20-21; 102-707, eff. |
4-22-22; 102-813, eff. 5-13-22; 102-895, eff. 5-23-22; revised |
8-29-22.)
|
|
(35 ILCS 200/18-190.7) |
Sec. 18-190.7. Alternative aggregate extension base for |
certain taxing districts; recapture. |
(a) This Section applies to the following taxing districts |
that are subject to this Division 5: |
(1) school districts that have a designation of |
recognition or review according to the State Board of |
Education's School District Financial Profile System as of |
the first day of the levy year for which the taxing |
district seeks to increase its aggregate extension under |
this Section; |
(2) park districts; |
(3) library districts; and |
(4) community college districts. |
(b) Subject to the limitations of subsection (c), |
beginning in levy year 2022, a taxing district specified in |
subsection (a) may recapture certain levy amounts that are |
otherwise unavailable to the taxing district as a result of |
the taxing district not extending the maximum amount permitted |
under this Division 5 in a previous levy year. For that |
purpose, the taxing district's aggregate extension base shall |
be the greater of: (1) the taxing district's aggregate |
extension limit; or (2) the taxing district's last preceding |
aggregate extension, as adjusted under Sections 18-135, |
18-215, 18-230, 18-206, and 18-233. |
|
(c) Notwithstanding the provisions of this Section, the |
aggregate extension of a taxing district that uses an |
aggregate extension limit under this Section for a particular |
levy year may not exceed the taxing district's aggregate |
extension for the immediately preceding levy year by more than |
5% unless the increase is approved by the voters under Section |
18-205; however, if a taxing district is unable to recapture |
the entire unrealized levy amount in a single levy year due to |
the limitations of this subsection (c), the taxing district |
may increase its aggregate extension in each immediately |
succeeding levy year until the entire levy amount is |
recaptured, except that the increase in each succeeding levy |
year may not exceed the greater of (i) 5% or (ii) the increase |
approved by the voters under Section 18-205. |
In order to be eligible for recapture under this Section, |
the taxing district must certify to the county clerk that the |
taxing district did not extend the maximum amount permitted |
under this Division 5 for a particular levy year. That |
certification must be made not more than 60 days after the |
taxing district files its levy ordinance or resolution with |
the county clerk for the levy year for which the taxing |
district did not extend the maximum amount permitted under |
this Division 5. |
(d) As used in this Section, "aggregate extension limit" |
means the taxing district's last preceding aggregate extension |
if the district had utilized the maximum limiting rate |
|
permitted without referendum for each of the 3 immediately |
preceding levy years, as adjusted under Sections Section |
18-135, 18-215, 18-230, 18-206, and 18-233.
|
(Source: P.A. 102-895, eff. 5-23-22; revised 9-6-22.)
|
(35 ILCS 200/22-10)
|
Sec. 22-10. Notice of expiration of period of redemption. |
A purchaser or assignee shall not be entitled to a tax deed to |
the
property sold unless, not less than 3 months nor more than |
6 months prior to
the expiration of the period of redemption, |
he or she gives notice of the
sale and the date of expiration |
of the period of redemption to the
owners, occupants, and |
parties interested in the property, including any
mortgagee of |
record, as provided below. the
|
The Notice to be given to the parties shall be in at least |
10-point 10 point
type in the following form completely filled |
in:
|
TAX DEED NO. .................... FILED ....................
|
TAKE NOTICE
|
County of ...............................................
|
Date Premises Sold ......................................
|
Certificate No. ........................................
|
Sold for General Taxes of (year) ........................
|
Sold for Special Assessment of (Municipality)
|
and special assessment number ...........................
|
Warrant No. ................ Inst. No. .................
|
|
THIS PROPERTY HAS BEEN SOLD FOR
|
DELINQUENT TAXES
|
Property located at .........................................
|
Legal Description or Property Index No. .....................
|
.............................................................
|
.............................................................
|
This notice is to advise you that the above property has
|
been sold for delinquent taxes and that the period of
|
redemption from the sale will expire on .....................
|
.............................................................
|
The amount to redeem is subject to increase at 6 month |
intervals from
the date of sale and may be further increased if |
the purchaser at the tax
sale or his or her assignee pays any |
subsequently accruing taxes or special
assessments to redeem |
the property from subsequent forfeitures or tax sales.
Check |
with the county clerk as to the exact amount you owe before |
redeeming.
|
This notice is also to advise you that a petition has been |
filed for
a tax deed which will transfer title and the right to |
possession of this
property if redemption is not made on or |
before ......................................................
|
This matter is set for hearing in the Circuit Court of this |
county in
...., Illinois on .....
|
You may be present at this hearing but your right to redeem |
will
already have expired at that time.
|
YOU ARE URGED TO REDEEM IMMEDIATELY
|
|
TO PREVENT LOSS OF PROPERTY
|
Redemption can be made at any time on or before .... by |
applying to
the County Clerk of ...., County, Illinois at the |
Office of the County Clerk in
...., Illinois.
|
For further information contact the County Clerk
|
ADDRESS:....................
|
TELEPHONE:..................
|
..........................
|
Purchaser or Assignee.
|
Dated (insert date).
|
In counties with 3,000,000 or more inhabitants, the notice |
shall also state
the address, room number , and time at which |
the matter is set for hearing.
|
The changes to this Section made by Public Act 97-557 |
apply only to matters in which a petition for tax deed is filed |
on or after July 1, 2012 (the effective date of Public Act |
97-557).
|
The changes to this Section made by Public Act 102-1003 |
this amendatory Act of the 102nd General Assembly apply to |
matters in which a petition for tax deed is filed on or after |
May 27, 2022 ( the effective date of Public Act 102-1003) this |
amendatory Act of the 102nd General Assembly . Failure of any |
party or any public official to comply with the changes made to |
this Section by Public Act 102-528 does not invalidate any tax |
|
deed issued prior to May 27, 2022 ( the effective date of Public |
Act 102-1003) this amendatory Act of the 102nd General |
Assembly . |
(Source: P.A. 102-528, eff. 1-1-22; 102-813, eff. 5-13-22; |
102-1003, eff. 5-27-22; revised 9-1-22.)
|
(35 ILCS 200/22-25)
|
Sec. 22-25. Mailed notice. In addition to the notice |
required to be served
not less than one month nor more than 6
|
months prior to the expiration of the
period of redemption, |
the purchaser or his or her assignee shall prepare
and deliver |
to the clerk of the Circuit Court of the county in which the
|
property is located, not more than 6 months and not less than |
111 days prior to the expiration of the period of redemption, |
the notice provided for in this Section, together with the
|
statutory costs for mailing the notice by certified mail, |
return receipt
requested. The form of notice to be mailed by |
the clerk shall be
identical in form to that provided by |
Section 22-10 for service upon owners
residing upon the |
property sold, except that it shall bear the signature of the
|
clerk instead of the name of the purchaser or assignee and |
shall designate the parties to whom it is to
be mailed. The |
clerk may furnish the form. The clerk
shall mail the notices |
delivered to him or her by certified mail,
return receipt |
requested, not less than 3 months prior to the expiration of |
the period of redemption. The certificate of the clerk that he |
|
or she has
mailed the notices, together with the return |
receipts, shall be filed
in and made a part of the court |
record. The notices shall be
mailed to the owners of the |
property at their last known addresses, and
to those persons |
who are entitled to service of notice as occupants.
|
The changes to this Section made by Public Act 97-557 this |
amendatory Act of the 97th General Assembly shall be construed |
as being declaratory of existing law and not as a new |
enactment. |
The changes to this Section made by Public Act 102-1003 |
this amendatory Act of the 102nd General Assembly apply to |
matters in which a petition for tax deed is filed on or after |
May 27, 2022 ( the effective date of Public Act 102-1003) this |
amendatory Act of the 102nd General Assembly . Failure of any |
party or any public official to comply with the changes made to |
this Section by Public Act 102-528 does not invalidate any tax |
deed issued prior to May 27, 2022 ( the effective date of Public |
Act 102-1003) this amendatory Act of the 102nd General |
Assembly . |
(Source: P.A. 102-528, eff. 1-1-22; 102-815, eff. 5-13-22; |
102-1003, eff. 5-27-22; revised 8-12-22.)
|
Section 220. The Parking Excise Tax Act is amended by |
changing Section 10-20 as follows:
|
(35 ILCS 525/10-20)
|
|
Sec. 10-20. Exemptions. The tax imposed by this Act shall |
not apply to: |
(1) Parking in a parking area or garage operated by |
the federal government or its instrumentalities that has |
been issued an active tax exemption number by the |
Department under Section 1g of the Retailers' Occupation |
Tax Act; for this exemption to apply, the parking area or |
garage must be operated by the federal government or its |
instrumentalities; the exemption under this paragraph (1) |
does not apply if the parking area or garage is operated by |
a third party, whether under a lease or other contractual |
arrangement, or any other manner whatsoever. |
(2) Residential off-street parking for home or |
apartment tenants or condominium occupants, if the |
arrangement for such parking is provided in the home or |
apartment lease or in a separate writing between the |
landlord and tenant, or in a condominium agreement between |
the condominium association and the owner, occupant, or |
guest of a unit, whether the parking charge is payable to |
the landlord, condominium association, or to the operator |
of the parking spaces. |
(3) Parking by hospital employees in a parking space |
that is owned and operated by the hospital for which they |
work. |
(4) Parking in a parking area or garage where 3 or |
fewer motor vehicles are stored, housed, or parked for |
|
hire, charge, fee , or other valuable consideration, if the |
operator of the parking area or garage does not act as the |
operator of more than a total of 3 parking spaces located |
in the State; if any operator of parking areas or garages, |
including any facilitator or aggregator, acts as an |
operator of more than 3 parking spaces in total that are |
located in the State, then this exemption shall not apply |
to any of those spaces.
|
(5) For the duration of the Illinois State Fair or the |
DuQuoin State Fair, parking in a parking area or garage |
operated for the use of attendees, vendors, or employees |
of the State Fair and not otherwise subject to taxation |
under this Act in the ordinary course of business. |
(6) Parking in a parking area or garage operated by |
the State, a State university created by statute, or a |
unit of local government that has been issued an active |
tax exemption number by the Department under Section 1g of |
the Retailers' Occupation Tax Act; the parking area or |
garage must be operated by the State, State university, or |
unit of local government; the exemption under this |
paragraph does not apply if the parking area or garage is |
operated by a third party, whether under a lease or other |
contractual arrangement, or held in any other manner, |
unless the parking area or garage is exempt under |
paragraph (5). |
(7) Parking in a parking area or garage owned and |
|
operated by a person engaged in the business of renting |
real estate if the parking area or garage is used by the |
lessee to park motor vehicles, recreational vehicles, or |
self-propelled vehicles for the lessee's own use and not |
for the purpose of subleasing parking spaces for |
consideration. |
(8) The purchase of a parking space by the State, a |
State university created by statute, or a unit of local |
government that has been issued an active tax exemption |
number by the Department under Section 1g of the |
Retailers' Occupation Tax Act, for use by employees of the |
State, State university, or unit of local government, |
provided that the purchase price is paid directly by the |
governmental entity. |
(9) Parking in a parking space leased to a |
governmental entity that is exempt pursuant to paragraph |
(1) or (6) when the exempt entity rents or leases the |
parking spaces in the parking area or garage to the |
public; the purchase price must be paid by the |
governmental entity; the exempt governmental entity is |
exempt from collecting tax subject to the provisions of |
paragraph (1) or (6), as applicable, when renting or |
leasing the parking spaces to the public. |
(Source: P.A. 101-31, eff. 6-28-19; 102-920, eff. 5-27-22; |
revised 9-6-22.)
|
|
Section 225. The Illinois Pension Code is amended by |
changing Sections 7-144, 16-203, and 17-149 as follows:
|
(40 ILCS 5/7-144) (from Ch. 108 1/2, par. 7-144)
|
Sec. 7-144. Retirement annuities; suspended annuities - |
suspended during employment.
|
(a) If any person
receiving any annuity again becomes an |
employee
and receives earnings from employment in a position |
requiring him, or entitling him to elect, to
become a |
participating employee, then the annuity payable to such |
employee
shall be suspended as of the first 1st day of the |
month coincidental with or
next following the date upon which |
such person becomes such an employee, unless the person is |
authorized under subsection (b) of Section 7-137.1 of this |
Code to continue receiving a retirement annuity during that |
period.
Upon proper qualification of the participating |
employee payment of such
annuity may be resumed on the first |
1st day of the month following such
qualification and upon |
proper application therefor. The participating
employee in |
such case shall be entitled to a supplemental annuity
arising |
from service and credits earned subsequent to such re-entry as |
a
participating employee.
|
Notwithstanding any other provision of this Article, an |
annuitant shall be considered a participating employee if he |
or she returns to work as an employee with a participating |
employer and works more than 599 hours annually (or 999 hours |
|
annually with a participating employer that has adopted a |
resolution pursuant to subsection (e) of Section 7-137 of this |
Code). Each of these annual periods shall commence on the |
month and day upon which the annuitant is first employed with |
the participating employer following the effective date of the |
annuity. |
(a-5) If any annuitant under this Article must be |
considered a participating employee per the provisions of |
subsection (a) of this Section, and the participating |
municipality or participating instrumentality that employs or |
re-employs that annuitant knowingly fails to notify the Board |
to suspend the annuity, the participating municipality or |
participating instrumentality may be required to reimburse the |
Fund for an amount up to one-half of the total of any annuity |
payments made to the annuitant after the date the annuity |
should have been suspended, as determined by the Board. In no |
case shall the total amount repaid by the annuitant plus any |
amount reimbursed by the employer to the Fund be more than the |
total of all annuity payments made to the annuitant after the |
date the annuity should have been suspended. This subsection |
shall not apply if the annuitant returned to work for the |
employer for less than 12 months. |
The Fund shall notify all annuitants that they must notify |
the Fund immediately if they return to work for any |
participating employer. The notification by the Fund shall |
occur upon retirement and no less than annually thereafter in |
|
a format determined by the Fund. The Fund shall also develop |
and maintain a system to track annuitants who have returned to |
work and notify the participating employer and annuitant at |
least annually of the limitations on returning to work under |
this Section. |
(b) Supplemental annuities to persons who return to |
service for less
than 48 months shall be computed under the |
provisions of Sections 7-141,
7-142 , and 7-143. In determining |
whether an employee is eligible for an
annuity which requires |
a minimum period of service, his entire period of
service |
shall be taken into consideration but the supplemental annuity
|
shall be based on earnings and service in the supplemental |
period only.
The effective date of the suspended and |
supplemental annuity for the
purpose of increases after |
retirement shall be considered to be the
effective date of the |
suspended annuity.
|
(c) Supplemental annuities to persons who return to |
service for 48
months or more shall be a monthly amount |
determined as follows:
|
(1) An amount shall be computed under subparagraph b |
of paragraph
(1) of subsection (a) of Section 7-142, |
considering all of the service
credits of the employee . ;
|
(2) The actuarial value in monthly payments for life |
of the annuity
payments made before suspension shall be |
determined and subtracted from
the amount determined in |
paragraph (1) above . ;
|
|
(3) The monthly amount of the suspended annuity, with |
any applicable
increases after retirement computed from |
the effective date to the date
of reinstatement, shall be |
subtracted from the amount determined in paragraph (2)
|
above and the remainder shall be the amount of the |
supplemental annuity
provided that this amount shall not |
be less than the amount computed under
subsection (b) of |
this Section.
|
(4) The suspended annuity shall be reinstated at an |
amount including
any increases after retirement from the |
effective date to date of
reinstatement.
|
(5) The effective date of the combined suspended and |
supplemental
annuities for the purposes of increases after |
retirement shall be
considered to be the effective date of |
the supplemental annuity.
|
(d) If a Tier 2 regular employee becomes a member or |
participant under any other system or fund created by this |
Code and is employed on a full-time basis, except for those |
members or participants exempted from the provisions of |
subsection (a) of Section 1-160 of this Code (other than a |
participating employee under this Article), then the person's |
retirement annuity shall be suspended during that employment. |
Upon termination of that employment, the person's retirement |
annuity shall resume and be recalculated as required by this |
Section. |
(e) If a Tier 2 regular employee first began participation |
|
on or after January 1, 2012 and is receiving a retirement |
annuity and accepts on a contractual basis a position to |
provide services to a governmental entity from which he or she |
has retired, then that person's annuity or retirement pension |
shall be suspended during that contractual service, |
notwithstanding the provisions of any other Section in this |
Article. Such annuitant shall notify the Fund, as well as his |
or her contractual employer, of his or her retirement status |
before accepting contractual employment. A person who fails to |
submit such notification shall be guilty of a Class A |
misdemeanor and required to pay a fine of $1,000. Upon |
termination of that contractual employment, the person's |
retirement annuity shall resume and be recalculated as |
required by this Section. |
(Source: P.A. 102-210, eff. 1-1-22; revised 8-19-22.)
|
(40 ILCS 5/16-203)
|
Sec. 16-203. Application and expiration of new benefit |
increases. |
(a) As used in this Section, "new benefit increase" means |
an increase in the amount of any benefit provided under this |
Article, or an expansion of the conditions of eligibility for |
any benefit under this Article, that results from an amendment |
to this Code that takes effect after June 1, 2005 (the |
effective date of Public Act 94-4). "New benefit increase", |
however, does not include any benefit increase resulting from |
|
the changes made to Article 1 or this Article by Public Act |
95-910, Public Act 100-23, Public Act 100-587, Public Act |
100-743, Public Act 100-769, Public Act 101-10, Public Act |
101-49, Public Act 102-16, or Public Act 102-871 Public Act |
102-16 this amendatory Act of the 102nd General Assembly . |
(b) Notwithstanding any other provision of this Code or |
any subsequent amendment to this Code, every new benefit |
increase is subject to this Section and shall be deemed to be |
granted only in conformance with and contingent upon |
compliance with the provisions of this Section.
|
(c) The Public Act enacting a new benefit increase must |
identify and provide for payment to the System of additional |
funding at least sufficient to fund the resulting annual |
increase in cost to the System as it accrues. |
Every new benefit increase is contingent upon the General |
Assembly providing the additional funding required under this |
subsection. The Commission on Government Forecasting and |
Accountability shall analyze whether adequate additional |
funding has been provided for the new benefit increase and |
shall report its analysis to the Public Pension Division of |
the Department of Insurance. A new benefit increase created by |
a Public Act that does not include the additional funding |
required under this subsection is null and void. If the Public |
Pension Division determines that the additional funding |
provided for a new benefit increase under this subsection is |
or has become inadequate, it may so certify to the Governor and |
|
the State Comptroller and, in the absence of corrective action |
by the General Assembly, the new benefit increase shall expire |
at the end of the fiscal year in which the certification is |
made.
|
(d) Every new benefit increase shall expire 5 years after |
its effective date or on such earlier date as may be specified |
in the language enacting the new benefit increase or provided |
under subsection (c). This does not prevent the General |
Assembly from extending or re-creating a new benefit increase |
by law. |
(e) Except as otherwise provided in the language creating |
the new benefit increase, a new benefit increase that expires |
under this Section continues to apply to persons who applied |
and qualified for the affected benefit while the new benefit |
increase was in effect and to the affected beneficiaries and |
alternate payees of such persons, but does not apply to any |
other person, including, without limitation, a person who |
continues in service after the expiration date and did not |
apply and qualify for the affected benefit while the new |
benefit increase was in effect.
|
(Source: P.A. 101-10, eff. 6-5-19; 101-49, eff. 7-12-19; |
101-81, eff. 7-12-19; 102-16, eff. 6-17-21; 102-558, eff. |
8-20-21; 102-813, eff. 5-13-22; 102-871, eff. 5-13-22; revised |
7-26-22.)
|
(40 ILCS 5/17-149) (from Ch. 108 1/2, par. 17-149)
|
|
Sec. 17-149. Cancellation of pensions.
|
(a) If any person receiving a disability retirement
|
pension from the Fund is re-employed as a teacher by an |
Employer, the pension
shall be cancelled on the date the |
re-employment begins, or on the first day of
a payroll period |
for which service credit was validated, whichever is earlier.
|
(b) If any person receiving a service retirement pension |
from the Fund
is re-employed as a teacher on a permanent or |
annual basis by an Employer,
the pension shall be cancelled on |
the date the re-employment begins, or on
the first day of a |
payroll period for which service credit was validated,
|
whichever is earlier. However, subject to the limitations and |
requirements of subsection subsections (c-5) or (c-10) , (c-6), |
and (c-7) , or (c-10) , the pension shall not be cancelled
in the |
case of a service retirement pensioner who is
re-employed on a |
temporary and non-annual basis or on an hourly basis.
|
(c) If the date of re-employment on a permanent or annual |
basis
occurs within 5 school months after the date of previous |
retirement, exclusive
of any vacation period, the member shall |
be deemed to have been out of service
only temporarily and not |
permanently retired. Such person shall be entitled
to pension |
payments for the time he could have been employed as a teacher |
and
received salary, but shall not be entitled to pension for |
or during the summer
vacation prior to his return to service.
|
When the member again retires on pension, the time of |
service and the
money contributed by him during re-employment |
|
shall be added to the time
and money previously credited. Such |
person must acquire 3 consecutive years
of additional |
contributing service before he may retire again on a pension
|
at a rate and under conditions other than those in force or |
attained at the
time of his previous retirement.
|
(c-5) For school years beginning on or after July 1, 2019 |
and before July 1, 2022, the service retirement pension shall |
not be cancelled in the case of a service retirement pensioner |
who is re-employed as a teacher on a temporary and non-annual |
basis or on an hourly basis, so long as the person (1) does not |
work as a teacher for compensation on more than 120 days in a |
school year or (2) does not accept gross compensation for the |
re-employment in a school year in excess of (i) $30,000 or (ii) |
in the case of a person who retires with at least 5 years of |
service as a principal, an amount that is equal to the daily |
rate normally paid to retired principals multiplied by 100. |
These limitations apply only to school years that begin on or |
after July 1, 2019 and before July 1, 2022. Such re-employment |
does not require contributions, result in service credit, or |
constitute active membership in the Fund. |
The service retirement pension shall not be cancelled
in |
the case of a service retirement pensioner who is
re-employed |
as a teacher on a temporary and non-annual basis or on an |
hourly basis, so long as the person (1) does not work as a |
teacher for compensation on more than 100 days in a school year |
or (2) does not accept gross compensation for the |
|
re-employment in a school year in excess of (i) $30,000 or (ii) |
in the case of a person who retires with at least 5 years of |
service as a principal, an amount that is equal to the daily |
rate normally paid to retired principals multiplied by 100. |
These limitations apply only to school years that begin on or |
after August 8, 2012 (the effective date of Public Act 97-912) |
and before July 1, 2019. Such re-employment does not require |
contributions, result in service credit, or constitute active |
membership in the Fund. |
Notwithstanding the 120-day limit set forth in item (1) of |
this subsection (c-5), the service retirement pension shall |
not be cancelled in the case of a service retirement pensioner |
who teaches only driver education courses after regular school |
hours and does not teach any other subject area, so long as the |
person does not work as a teacher for compensation for more |
than 900 hours in a school year. The $30,000 limit set forth in |
subitem (i) of item (2) of this subsection (c-5) shall apply to |
a service retirement pensioner who teaches only driver |
education courses after regular school hours and does not |
teach any other subject area. |
To be eligible for such re-employment without cancellation |
of pension, the pensioner must notify the Fund and the Board of |
Education of his or her intention to accept re-employment |
under this subsection (c-5) before beginning that |
re-employment (or if the re-employment began before August 8, |
2012 ( the effective date of Public Act 97-912) this amendatory |
|
Act , then within 30 days after that effective date). |
An Employer must certify to the Fund the temporary and |
non-annual or hourly status and the compensation of each |
pensioner re-employed under this subsection at least |
quarterly, and when the pensioner is approaching the earnings |
limitation under this subsection. |
If the pensioner works more than 100 days or accepts |
excess gross compensation for such re-employment in any school |
year that begins on or after August 8, 2012 (the effective date |
of Public Act 97-912), the service retirement pension shall |
thereupon be cancelled. |
If the pensioner who only teaches drivers education |
courses after regular school hours works more than 900 hours |
or accepts excess gross compensation for such re-employment in |
any school year that begins on or after August 12, 2016 ( the |
effective date of Public Act 99-786) this amendatory Act of |
the 99th General Assembly , the service retirement pension |
shall thereupon be cancelled. |
If the pensioner works more than 120 days or accepts |
excess gross compensation for such re-employment in any school |
year that begins on or after July 1, 2019, the service |
retirement pension shall thereupon be cancelled. |
The Board of the Fund shall adopt rules for the |
implementation and administration of this subsection. |
(c-6) For school years beginning on or after July 1, 2022 |
and before July 1, 2024, the service retirement pension shall |
|
not be cancelled in the case of a service retirement pensioner |
who is re-employed as a teacher or an administrator on a |
temporary and non-annual basis or on an hourly basis bases , so |
long as the person does not work as a teacher or an |
administrator for compensation on more than 140 days in a |
school year. Such re-employment does not require |
contributions, result in service credit, or constitute active |
membership in the Fund. |
(c-7) For school years beginning on or after July 1, 2024, |
the service retirement pension shall not be cancelled in the |
case of a service retirement pensioner who is re-employed as a |
teacher or an administrator on a temporary and non-annual |
basis or on an hourly basis, so long as the person does not |
work as a teacher or an administrator for compensation on more |
than 120 days in a school year. Such re-employment does not |
require contributions, result in service credit, or constitute |
active membership in the Fund. |
(c-10) Until June 30, 2024, the service retirement pension |
of a service retirement pensioner shall not be cancelled if |
the service retirement pensioner is employed in a subject |
shortage area and the Employer that is employing the service |
retirement pensioner meets the following requirements: |
(1) If the Employer
has honorably dismissed, within |
the calendar year preceding the beginning of the school |
term for which it seeks to employ a service retirement |
pensioner under this subsection, any teachers who are |
|
legally qualified to hold positions in the subject |
shortage area and have not yet begun to receive their |
service retirement pensions under this Article, the vacant |
positions must first be tendered to those teachers. |
(2) For a period of at least 90 days during the 6
|
months preceding the beginning of either the fall or |
spring term for which it seeks to employ a service |
retirement pensioner under this subsection, the Employer |
must, on an ongoing basis, (i) advertise its vacancies in |
the subject shortage area in employment bulletins |
published by college and university placement offices |
located near the school; (ii) search for teachers legally |
qualified to fill those vacancies through the Illinois |
Education Job Bank; and (iii) post all vacancies on the |
Employer's website and list the vacancy in an online job |
portal or database. |
An Employer of a teacher who is unable to continue |
employment with the Employer because of documented illness, |
injury, or disability that occurred after being hired by the |
Employer under this subsection is exempt from the provisions |
of paragraph (2) for 90 school days. However, the Employer |
must on an ongoing basis comply with items (i), (ii), and (iii) |
of paragraph (2). |
The Employer must submit documentation of its compliance |
with this subsection to the regional superintendent. Upon |
receiving satisfactory documentation from the Employer, the |
|
regional superintendent shall certify the Employer's |
compliance with this subsection to the Fund. |
(d) Notwithstanding Sections 1-103.1 and 17-157, the |
changes to this
Section made by Public Act 90-32
apply without |
regard to whether termination of service occurred before the
|
effective date of that Act and apply
retroactively to August |
23, 1989.
|
Notwithstanding Sections 1-103.1 and 17-157, the changes |
to this Section
and Section 17-106 made by Public Act 92-599
|
apply without regard to whether termination of service |
occurred before June 28, 2002 ( the
effective date of Public |
Act 92-599) that Act .
|
Notwithstanding Sections 1-103.1 and 17-157, the changes |
to this Section
made by Public Act 97-912 this amendatory Act |
of the 97th General Assembly
apply without regard to whether |
termination of service occurred before August 8, 2012 ( the
|
effective date of Public Act 97-912) this amendatory Act . |
(Source: P.A. 101-340, eff. 8-9-19; 102-1013, eff. 5-27-22; |
102-1090, eff. 6-10-22; revised 7-27-22.)
|
Section 230. The Public Building Commission Act is amended |
by changing Section 3 as follows:
|
(50 ILCS 20/3) (from Ch. 85, par. 1033)
|
Sec. 3. The following terms, wherever used, or referred to |
in this Act,
mean unless the context clearly requires a |
|
different meaning:
|
(a) "Commission" means a Public Building Commission |
created pursuant to
this Act.
|
(b) "Commissioner" or "Commissioners" means a |
Commissioner or
Commissioners of a Public Building |
Commission.
|
(c) "County seat" means a city, village , or town which |
is the county seat
of a county.
|
(d) "Municipality" means any city, village , or |
incorporated town of the
State of Illinois.
|
(e) "Municipal corporation" includes a county, city, |
village, town ,
(including a county seat), park district,
|
school district in a county of 3,000,000 or more |
population, board of
education of a school district in a |
county of 3,000,000 or more population,
sanitary district,
|
airport authority contiguous with the County
Seat as of |
July 1, 1969 , and any other municipal body or governmental |
agency
of the State, and , until July 1, 2011, a school |
district that (i) was organized prior to 1860, (ii) is |
located in part in a city originally incorporated prior to |
1840, and (iii) entered into a lease with a Commission |
prior to 1993, and its board of education, but does not |
include a school district in a county of less
than |
3,000,000 population, a board of education of a school |
district in a
county of less than 3,000,000 population, or |
a community college district in
a county of less than |
|
3,000,000 population, except that , until July 1, 2011, a |
school district that (i) was organized prior to 1860, (ii) |
is located in part in a city originally incorporated prior |
to 1840, and (iii) entered into a lease with a Commission |
prior to 1993, and its board of education, are included.
|
(f) "Governing body" includes a city council, county |
board, or any other
body or board, by whatever name it may |
be known, charged with the governing
of a municipal |
corporation.
|
(g) "Presiding officer" includes the mayor or |
president of a city,
village , or town, the presiding |
officer of a county board, or the presiding
officer of any |
other board or commission, as the case may be.
|
(h) "Oath" means oath or affirmation.
|
(i) "Building" means an improvement to real estate to |
be made available
for use by a municipal corporation for |
the furnishing of governmental
services to its citizens, |
together with any land or interest in land
necessary or |
useful in connection with the improvement.
|
(j) "Delivery system" means the design and |
construction approach used to develop
and construct a |
project.
|
(k) "Design-bid-build" means the traditional delivery |
system used on public
projects that incorporates the Local |
Government Professional Services Selection Act (50 ILCS |
510/) and the
principles of competitive selection.
|
|
(l) "Design-build" means a delivery system that |
provides responsibility within a
single contract for the |
furnishing of architecture, engineering, land surveying ,
|
and related services as required, and the labor, |
materials, equipment, and
other construction services for |
the project.
|
(m) "Design-build contract" means a contract for a |
public project under this Act
between the Commission and a |
design-build entity to furnish
architecture,
engineering, |
land surveying, and related services as required, and to |
furnish
the labor, materials, equipment, and other |
construction services for the
project. The design-build |
contract may be conditioned upon subsequent
refinements in |
scope and price and may allow the Commission to
make
|
modifications in the project scope without invalidating |
the design-build
contract.
|
(n) "Design-build entity" means any individual, sole |
proprietorship, firm,
partnership, joint venture, |
corporation, professional corporation, or other
entity |
that proposes to design and construct any public project |
under this Act.
A design-build entity and associated |
design-build professionals shall conduct themselves in |
accordance with the laws of this State and the related |
provisions of the Illinois Administrative Code, as |
referenced by the licensed design professionals Acts of |
this State.
|
|
(o) "Design professional" means any individual, sole |
proprietorship, firm,
partnership, joint venture, |
corporation, professional corporation, or other
entity |
that offers services under the Illinois Architecture |
Practice Act of
1989 (225 ILCS 305/) , the Professional |
Engineering Practice Act of 1989 (225
ILCS 325/) ,
the |
Structural Engineering Practice Licensing Act of 1989 (225 |
ILCS 340/) , or the
Illinois Professional
Land Surveyor Act |
of 1989 (225 ILCS 330/) .
|
(p) "Evaluation criteria" means the requirements for |
the separate phases of the
selection process for |
design-build proposals as defined in this Act and may |
include the specialized
experience, technical |
qualifications and competence, capacity to perform, past
|
performance, experience with similar projects, assignment |
of personnel to the
project, and other appropriate |
factors. Price may not be used as a factor in
the |
evaluation of Phase I proposals.
|
(q) "Proposal" means the offer to enter into a |
design-build contract as submitted
by a design-build |
entity in accordance with this Act.
|
(r) "Request for proposal" means the document used by |
the Commission
to solicit
proposals for a design-build |
contract.
|
(s) "Scope and performance criteria" means the |
requirements for the public
project, including , but not |
|
limited to, the intended usage, capacity, size,
scope, |
quality and performance standards, life-cycle costs, and |
other
programmatic criteria that are expressed in |
performance-oriented and
quantifiable specifications and |
drawings that can be reasonably inferred and
are suited to |
allow a design-build entity to develop a proposal.
|
(t) "Guaranteed maximum price" means a form of |
contract in which compensation may vary according to the |
scope of work involved but in any case may not exceed an |
agreed total amount.
|
Definitions in this Section with respect to design-build |
shall have no effect beginning on June 1, 2023; provided that |
any design-build contracts entered into before such date or |
any procurement of a project under this Act commenced before |
such date, and the contracts resulting from those |
procurements, shall remain effective.
The actions of any |
person or entity taken on or after June 1, 2013 and before |
January 7, 2014 ( the effective date of Public Act 98-619) this |
amendatory Act of the 98th General Assembly in reliance on the |
provisions of this Section with respect to design-build |
continuing to be effective are hereby validated. |
(Source: P.A. 100-736, eff. 1-1-19; revised 8-23-22.)
|
Section 235. The Illinois Police Training Act is amended |
by changing Sections 7, 8.1, 10.6, and 10.19 as follows:
|
|
(50 ILCS 705/7)
|
(Text of Section before amendment by P.A. 102-982 ) |
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 law enforcement |
officers which shall be
offered by all certified schools |
shall include, but not be limited to,
courses of |
procedural justice, arrest and use and control tactics, |
search and seizure, including temporary questioning, civil |
rights, human rights, human relations,
cultural |
competency, including implicit bias and racial and ethnic |
sensitivity,
criminal law, law of criminal procedure, |
constitutional and proper use of law enforcement |
authority, crisis intervention training, 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), training in the administration of opioid |
antagonists as defined in paragraph (1) of subsection (e) |
of Section 5-23 of the Substance Use Disorder Act, |
|
handling of
juvenile offenders, recognition of
mental |
conditions and crises, including, but not limited to, the |
disease of addiction, which require immediate assistance |
and response 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, including cultural |
perceptions and common myths of sexual assault and sexual |
abuse as well as interview techniques that are age |
sensitive and are trauma informed, victim centered, and |
victim sensitive. 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 training in effective recognition of |
and responses to stress, trauma, and post-traumatic stress |
|
experienced by law enforcement officers that is consistent |
with Section 25 of the Illinois Mental Health First Aid |
Training Act in a peer setting, including recognizing |
signs and symptoms of work-related cumulative stress, |
issues that may lead to suicide, and solutions for |
intervention with peer support resources. The curriculum |
shall include a block of instruction addressing the |
mandatory reporting requirements under the Abused and |
Neglected Child Reporting Act. The curriculum shall also |
include a block of instruction aimed at identifying and |
interacting with persons with autism and other |
developmental or physical 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 shall include |
training in the detection and investigation of all forms |
of human trafficking. The curriculum shall also include |
instruction in trauma-informed responses designed to |
ensure the physical safety and well-being of a child of an |
arrested parent or immediate family member; this |
instruction must include, but is not limited to: (1) |
understanding the trauma experienced by the child while |
maintaining the integrity of the arrest and safety of |
officers, suspects, and other involved individuals; (2) |
de-escalation tactics that would include the use of force |
|
when reasonably necessary; and (3) inquiring whether a |
child will require supervision and care. The curriculum |
for probationary law enforcement officers shall include: |
(1) at least 12 hours of hands-on, scenario-based |
role-playing; (2) at least 6 hours of instruction on use |
of force techniques, including the use of de-escalation |
techniques to prevent or reduce the need for force |
whenever safe and feasible; (3) specific training on |
officer safety techniques, including cover, concealment, |
and time; and (4) at least 6 hours of training focused on |
high-risk traffic stops. The curriculum for
permanent law |
enforcement 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 law enforcement officers, including |
University police officers. The curriculum shall also |
include training on the use of a firearms restraining |
order by providing instruction on the process used to file |
a firearms restraining order and how to identify |
situations in which a firearms restraining order is |
appropriate.
|
|
b. Minimum courses of study, attendance requirements |
and equipment
requirements.
|
c. Minimum requirements for instructors.
|
d. Minimum basic training requirements, which a |
probationary law enforcement
officer must satisfactorily |
complete before being eligible for permanent
employment as |
a local law enforcement officer for a participating local
|
governmental or State 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 |
the officer's successful completion of the
training |
|
course; (ii) attesting to the officer's 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 June 1, 1997 (the effective |
date of Public Act 89-685). 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 June 1, 1997 (the effective
date of Public Act |
89-685) 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.
|
g. Minimum in-service training requirements, which a |
law enforcement officer must satisfactorily complete every |
3 years. Those requirements shall include constitutional |
and proper use of law enforcement authority, procedural |
justice, civil rights, human rights, reporting child abuse |
and neglect, and cultural competency, including implicit |
bias and racial and ethnic sensitivity. These trainings |
shall consist of at least 30 hours of training every 3 |
years. |
h. Minimum in-service training requirements, which a |
law enforcement officer must satisfactorily complete at |
least annually. Those requirements shall include law |
updates, emergency medical response training and |
certification, crisis intervention training, and officer |
wellness and mental health. |
i. Minimum in-service training requirements as set |
forth in Section 10.6. |
The amendatory changes to this Section made by Public Act |
101-652 shall take effect January 1, 2022. |
Notwithstanding any provision of law to the contrary, the |
changes made to this Section by this amendatory Act of the |
102nd General Assembly, Public Act 101-652, and Public Act |
102-28 , and Public Act 102-694 take effect July 1, 2022. |
|
(Source: P.A. 101-18, eff. 1-1-20; 101-81, eff. 7-12-19; |
101-215, eff. 1-1-20; 101-224, eff. 8-9-19; 101-375, eff. |
8-16-19; 101-564, eff. 1-1-20; 101-652, Article 10, Section |
10-143, eff. 7-1-21; 101-652, Article 25, Section 25-40, eff. |
1-1-22; 102-28, eff. 6-25-21; 102-345, eff. 6-1-22; 102-558, |
eff. 8-20-21; 102-694, eff. 1-7-22; revised 8-11-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
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 law enforcement |
officers which shall be
offered by all certified schools |
shall include, but not be limited to,
courses of |
procedural justice, arrest and use and control tactics, |
search and seizure, including temporary questioning, civil |
rights, human rights, human relations,
cultural |
competency, including implicit bias and racial and ethnic |
sensitivity,
criminal law, law of criminal procedure, |
constitutional and proper use of law enforcement |
authority, crisis intervention training, vehicle and |
traffic law including
uniform and non-discriminatory |
enforcement of the Illinois Vehicle Code,
traffic control |
and crash 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), training in the |
administration of opioid antagonists as defined in |
paragraph (1) of subsection (e) of Section 5-23 of the |
Substance Use Disorder Act, handling of
juvenile |
offenders, recognition of
mental conditions and crises, |
including, but not limited to, the disease of addiction, |
which require immediate assistance and response 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, including cultural perceptions and common myths |
of sexual assault and sexual abuse as well as interview |
techniques that are age sensitive and are trauma informed, |
victim centered, and victim sensitive. 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 training in effective |
recognition of and responses to stress, trauma, and |
post-traumatic stress experienced by law enforcement |
officers that is consistent with Section 25 of the |
Illinois Mental Health First Aid Training Act in a peer |
setting, including recognizing signs and symptoms of |
work-related cumulative stress, issues that may lead to |
suicide, and solutions for intervention with peer support |
resources. The curriculum shall include a block of |
instruction addressing the mandatory reporting |
requirements under the Abused and Neglected Child |
Reporting Act. The curriculum shall also include a block |
of instruction aimed at identifying and interacting with |
persons with autism and other developmental or physical |
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 shall include training in the |
detection and investigation of all forms of human |
trafficking. The curriculum shall also include instruction |
in trauma-informed responses designed to ensure the |
physical safety and well-being of a child of an arrested |
|
parent or immediate family member; this instruction must |
include, but is not limited to: (1) understanding the |
trauma experienced by the child while maintaining the |
integrity of the arrest and safety of officers, suspects, |
and other involved individuals; (2) de-escalation tactics |
that would include the use of force when reasonably |
necessary; and (3) inquiring whether a child will require |
supervision and care. The curriculum for probationary law |
enforcement officers shall include: (1) at least 12 hours |
of hands-on, scenario-based role-playing; (2) at least 6 |
hours of instruction on use of force techniques, including |
the use of de-escalation techniques to prevent or reduce |
the need for force whenever safe and feasible; (3) |
specific training on officer safety techniques, including |
cover, concealment, and time; and (4) at least 6 hours of |
training focused on high-risk traffic stops. The |
curriculum for
permanent law enforcement 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 law enforcement officers, |
including University police officers. The curriculum shall |
|
also include training on the use of a firearms restraining |
order by providing instruction on the process used to file |
a firearms restraining order and how to identify |
situations in which a firearms restraining order is |
appropriate.
|
b. Minimum courses of study, attendance requirements |
and equipment
requirements.
|
c. Minimum requirements for instructors.
|
d. Minimum basic training requirements, which a |
probationary law enforcement
officer must satisfactorily |
complete before being eligible for permanent
employment as |
a local law enforcement officer for a participating local
|
governmental or State 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 |
the officer's successful completion of the
training |
course; (ii) attesting to the officer's 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 June 1, 1997 (the effective |
date of Public Act 89-685). 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 June 1, 1997 (the effective
date of Public Act |
89-685) 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.
|
g. Minimum in-service training requirements, which a |
law enforcement officer must satisfactorily complete every |
3 years. Those requirements shall include constitutional |
and proper use of law enforcement authority, procedural |
justice, civil rights, human rights, reporting child abuse |
and neglect, and cultural competency, including implicit |
bias and racial and ethnic sensitivity. These trainings |
shall consist of at least 30 hours of training every 3 |
years. |
h. Minimum in-service training requirements, which a |
law enforcement officer must satisfactorily complete at |
least annually. Those requirements shall include law |
updates, emergency medical response training and |
certification, crisis intervention training, and officer |
wellness and mental health. |
i. Minimum in-service training requirements as set |
forth in Section 10.6. |
The amendatory changes to this Section made by Public Act |
|
101-652 shall take effect January 1, 2022. |
Notwithstanding any provision of law to the contrary, the |
changes made to this Section by this amendatory Act of the |
102nd General Assembly, Public Act 101-652, and Public Act |
102-28 , and Public Act 102-694 take effect July 1, 2022. |
(Source: P.A. 101-18, eff. 1-1-20; 101-81, eff. 7-12-19; |
101-215, eff. 1-1-20; 101-224, eff. 8-9-19; 101-375, eff. |
8-16-19; 101-564, eff. 1-1-20; 101-652, Article 10, Section |
10-143, eff. 7-1-21; 101-652, Article 25, Section 25-40, eff. |
1-1-22; 102-28, eff. 6-25-21; 102-345, eff. 6-1-22; 102-558, |
eff. 8-20-21; 102-694, eff. 1-7-22; 102-982, eff. 7-1-23; |
revised 8-11-22.)
|
(50 ILCS 705/8.1) (from Ch. 85, par. 508.1)
|
Sec. 8.1. Full-time law enforcement and county corrections |
officers.
|
(a) No person shall receive a permanent
appointment as a |
law enforcement officer or a permanent appointment as a county |
corrections officer
unless that person has been awarded, |
within 6 months of the officer's
initial full-time employment, |
a certificate attesting to the officer's
successful completion |
of the Minimum Standards Basic Law Enforcement or County
|
Correctional Training Course as prescribed by the Board; or |
has been awarded a
certificate attesting to the officer's |
satisfactory completion of a training program of
similar |
content and number of hours and which course has been found |
|
acceptable
by the Board under the provisions of this Act; or a |
training waiver by reason of extensive prior
law enforcement |
or county corrections experience the basic training |
requirement
is determined by the Board to be illogical and |
unreasonable.
|
If such training is required and not completed within the |
applicable 6
months, then the officer must forfeit the |
officer's position, or the employing agency
must obtain a |
waiver from the Board extending the period for
compliance. |
Such waiver shall be issued only for good and justifiable
|
reasons, and in no case shall extend more than 90 days beyond |
the
initial 6 months. Any hiring agency that fails to train a |
law enforcement officer within this period shall be prohibited |
from employing this individual in a law enforcement capacity |
for one year from the date training was to be completed. If an |
agency again fails to train the individual a second time, the |
agency shall be permanently barred from employing this |
individual in a law enforcement capacity.
|
An individual who is not certified by the Board or whose |
certified status is inactive shall not function as a law |
enforcement officer, be assigned the duties of a law |
enforcement officer by an employing agency, or be authorized |
to carry firearms under the authority of the employer, except |
as otherwise authorized to carry a firearm under State or |
federal law. Sheriffs who are elected as of January 1, 2022 |
( the effective date of Public Act 101-652) this amendatory Act |
|
of the 101st General Assembly, are exempt from the requirement |
of certified status. Failure to be certified in accordance |
with this Act shall cause the officer to forfeit the officer's |
position. |
An employing agency may not grant a person status as a law |
enforcement officer unless the person has been granted an |
active law enforcement officer certification by the Board. |
(b) Inactive status. A person who has an inactive law |
enforcement officer certification has no law enforcement |
authority. |
(1) A law enforcement officer's certification becomes |
inactive upon termination, resignation, retirement, or |
separation from the officer's employing law enforcement |
agency for any reason. The Board shall re-activate a |
certification upon written application from the law |
enforcement officer's law enforcement agency that shows |
the law enforcement officer: (i) has accepted a full-time |
law enforcement position with that law enforcement agency, |
(ii) is not the subject of a decertification proceeding, |
and (iii) meets all other criteria for re-activation |
required by the Board. The Board may also establish |
special training requirements to be completed as a |
condition for re-activation. |
The Board shall review a notice for reactivation from |
a law enforcement agency and provide a response within 30 |
days. The Board may extend this review. A law enforcement |
|
officer shall be allowed to be employed as a full-time law |
enforcement officer while the law enforcement officer |
reactivation waiver is under review. |
A law enforcement officer who is refused reactivation |
or an employing agency of a law enforcement officer who is |
refused reactivation under this Section may request a |
hearing in accordance with the hearing procedures as |
outlined in subsection (h) of Section 6.3 of this Act. |
The Board may refuse to re-activate the certification |
of a law enforcement officer who was involuntarily |
terminated for good cause by an employing agency for |
conduct subject to decertification under this Act or |
resigned or retired after receiving notice of a law |
enforcement agency's investigation. |
(2) A law enforcement agency may place an officer who |
is currently certified on inactive status by sending a |
written request to the Board. A law enforcement officer |
whose certificate has been placed on inactive status shall |
not function as a law enforcement officer until the |
officer has completed any requirements for reactivating |
the certificate as required by the Board. A request for |
inactive status in this subsection shall be in writing, |
accompanied by verifying documentation, and shall be |
submitted to the Board with a copy to the chief |
administrator of the law enforcement officer's current or |
new employing agency. |
|
(3) Certification that has become inactive under |
paragraph (2) of this subsection (b) , shall be reactivated |
by written notice from the law enforcement officer's |
agency upon a showing that the law enforcement officer is : |
(i) is employed in a full-time law enforcement position |
with the same law enforcement agency , (ii) is not the |
subject of a decertification proceeding, and (iii) meets |
all other criteria for re-activation required by the |
Board. |
(4) Notwithstanding paragraph (3) of this subsection |
(b), a law enforcement officer whose certification has |
become inactive under paragraph (2) may have the officer's |
employing agency submit a request for a waiver of training |
requirements to the Board in writing and accompanied by |
any verifying documentation . . A grant of a waiver is |
within the discretion of the Board. Within 7 days of |
receiving a request for a waiver under this Section |
section , the Board shall notify the law enforcement |
officer and the chief administrator of the law enforcement |
officer's employing agency, whether the request has been |
granted, denied, or if the Board will take additional time |
for information. A law enforcement agency , whose request |
for a waiver under this subsection is denied , is entitled |
to request a review of the denial by the Board. The law |
enforcement agency must request a review within 20 days of |
the waiver being denied. The burden of proof shall be on |
|
the law enforcement agency to show why the law enforcement |
officer is entitled to a waiver of the legislatively |
required training and eligibility requirements. |
(c) No provision
of this Section shall be construed to |
mean that a county corrections
officer employed by a |
governmental agency at the time of the
effective date of this |
amendatory Act, either as a probationary
county corrections |
officer or as a permanent county corrections officer, shall
|
require certification under the provisions of this Section. No |
provision of
this Section shall be construed to apply to |
certification of elected county
sheriffs.
|
(d) Within 14 days, a law enforcement officer shall report |
to the Board: (1) any name change; (2) any change in |
employment; or (3) the filing of any criminal indictment or |
charges against the officer alleging that the officer |
committed any offense as enumerated in Section 6.1 of this |
Act. |
(e) All law enforcement officers must report the |
completion of the training requirements required in this Act |
in compliance with Section 8.4 of this Act. |
(e-1) Each employing law enforcement agency shall allow |
and provide an opportunity for a law enforcement officer to |
complete the mandated requirements in this Act. All mandated |
training shall will be provided for at no cost to the |
employees. Employees shall be paid for all time spent |
attending mandated training. |
|
(e-2) Each agency, academy, or training provider shall |
maintain proof of a law enforcement officer's completion of |
legislatively required training in a format designated by the |
Board. The report of training shall be submitted to the Board |
within 30 days following completion of the training. A copy of |
the report shall be submitted to the law enforcement officer. |
Upon receipt of a properly completed report of training, the |
Board will make the appropriate entry into the training |
records of the law enforcement officer. |
(f) This Section does not apply to part-time law |
enforcement officers or
probationary part-time law enforcement |
officers.
|
(g) Notwithstanding any provision of law to the contrary, |
the changes made to this Section by this amendatory Act of the |
102nd General Assembly, Public Act 101-652, and Public Act |
102-28 , and Public Act 102-694 take effect July 1, 2022. |
(Source: P.A. 101-187, eff. 1-1-20; 101-652, eff. 1-1-22; |
102-28, eff. 6-25-21; 102-694, eff. 1-7-22; revised 2-3-22.)
|
(50 ILCS 705/10.6) |
Sec. 10.6. Mandatory training to be completed every 3 |
years. |
(a) The Board shall adopt rules and
minimum standards for |
in-service training requirements as set forth in this Section. |
The training shall provide officers with knowledge of policies |
and laws regulating the use of force; equip officers with |
|
tactics and skills, including de-escalation techniques, to |
prevent or reduce the need to use force or, when force must be |
used, to use force that is objectively reasonable, necessary, |
and proportional under the totality of the circumstances; and |
ensure appropriate supervision and accountability.
The |
training shall include: |
(1) At least 12 hours of hands-on, scenario-based |
role-playing. |
(2) At least 6 hours of instruction on use of force |
techniques, including the use of de-escalation techniques |
to prevent or reduce the need for force whenever safe and |
feasible. |
(3) Specific training on the law concerning stops, |
searches, and the use of force under the Fourth Amendment |
to the United States Constitution. |
(4) Specific training on officer safety techniques, |
including cover, concealment, and time. |
(5) At least 6 hours of training focused on high-risk |
traffic stops.
|
(b) Notwithstanding any provision of law to the contrary, |
the changes made to this Section by this amendatory Act of the |
102nd General Assembly, Public Act 101-652, and Public Act |
102-28 , and Public Act 102-694 take effect July 1, 2022. |
This Section takes effect January 1, 2022. |
(Source: P.A. 101-652, eff. 7-1-21; 102-28, eff. 6-25-21; |
102-694, eff. 1-7-22; revised 2-3-22.)
|
|
(50 ILCS 705/10.19) |
Sec. 10.19. Training; administration of epinephrine. |
(a) This Section, along with Section 40 of the Illinois |
State Police Act, may be referred to as the Annie LeGere Law. |
(b) For purposes of this Section, "epinephrine |
auto-injector" means a single-use device used for the |
automatic injection of a pre-measured dose of epinephrine into |
the human body prescribed in the name of a local law |
enforcement agency. |
(c) The Board shall conduct or approve an optional |
advanced training program for law enforcement officers to |
recognize and respond to anaphylaxis, including the |
administration of an epinephrine auto-injector. The training |
must include, but is not limited to: |
(1) how to recognize symptoms of an allergic reaction; |
(2) how to respond to an emergency involving an |
allergic reaction; |
(3) how to administer an epinephrine auto-injector; |
(4) how to respond to an individual with a known |
allergy as well as an individual with a previously unknown |
allergy; |
(5) a test demonstrating competency of the knowledge |
required to recognize anaphylaxis and administer an |
epinephrine auto-injector; and |
(6) other criteria as determined in rules adopted by |
|
the Board. |
(d) A local law enforcement agency may authorize a law |
enforcement officer who has completed an optional advanced |
training program under subsection (c) to carry, administer, or |
assist with the administration of epinephrine auto-injectors |
provided by the local law enforcement agency whenever the |
officer is performing official duties. |
(e) A local law enforcement agency that authorizes its |
officers to carry and administer epinephrine auto-injectors |
under subsection (d) must establish a policy to control the |
acquisition, storage, transportation, administration, and |
disposal of epinephrine auto-injectors and to provide |
continued training in the administration of epinephrine |
auto-injectors. |
(f) A physician, physician physician's assistant with |
prescriptive authority, or advanced practice registered nurse |
with prescriptive authority may provide a standing protocol or |
prescription for epinephrine auto-injectors in the name of a |
local law enforcement agency to be maintained for use when |
necessary. |
(g) When a law enforcement officer administers an |
epinephrine auto-injector in good faith, the law enforcement |
officer and local law enforcement agency, and its employees |
and agents, including a physician, physician physician's |
assistant with prescriptive authority, or advanced practice |
registered nurse with prescriptive authority who provides a |
|
standing order or prescription for an epinephrine |
auto-injector, incur no civil or professional liability, |
except for willful and wanton conduct, or as a result of any |
injury or death arising from the use of an epinephrine |
auto-injector.
|
(Source: P.A. 101-652, eff. 1-1-22; 102-538, eff. 8-20-21; |
102-694, eff. 1-7-22; revised 2-3-22.)
|
Section 240. The Police and Community Relations |
Improvement Act is amended by changing Section 1-10 as |
follows:
|
(50 ILCS 727/1-10)
|
Sec. 1-10. Investigation of officer-involved deaths; |
requirements.
|
(a) Each law enforcement agency shall have a written |
policy regarding the investigation of officer-involved deaths |
that involve a law enforcement officer employed by that law |
enforcement agency. |
(b) Each officer-involved death investigation shall be |
conducted by at least 2 investigators, or an entity or agency |
comprised of at least 2 investigators, one of whom is the lead |
investigator. The lead investigator shall be a person |
certified by the Illinois Law Enforcement Training Standards |
Board as a Lead Homicide Investigator, or similar training |
approved by the Illinois Law Enforcement Training Standards |
|
Board or the Illinois State Police, or similar training |
provided at an Illinois Law Enforcement Training Standards |
Board certified school. No
investigator involved in the |
investigation may be employed by the law enforcement agency |
that employs the officer involved in the officer-involved |
death, unless the investigator is employed by the Illinois |
State Police and is not assigned to the same division or unit |
as the officer involved in the death. |
(c) In addition to the requirements of subsection (b) of |
this Section, if the officer-involved death being investigated |
involves a motor vehicle crash, at least one investigator |
shall be certified by the Illinois Law Enforcement Training |
Standards Board as a Crash Reconstruction Specialist, or |
similar training approved by the Illinois Law Enforcement |
Training Standards Board or the Illinois State Police, or |
similar training provided at an Illinois Law Enforcement |
Training Standards Board certified school. Notwithstanding the |
requirements of subsection (b) of this Section, the policy for |
a law enforcement agency, when the officer-involved death |
being investigated involves a motor vehicle collision, may |
allow the use of an investigator who is employed by that law |
enforcement agency and who is certified by the Illinois Law |
Enforcement Training Standards Board as a Crash Reconstruction |
Specialist, or similar training approved by the Illinois Law |
Enforcement Training Standards Board, or similar certified |
training approved by the Illinois State Police, or similar |
|
training provided at an Illinois Law Enforcement Training |
Standards Board certified school. |
(d) The investigators conducting the investigation shall, |
in an expeditious manner, provide a complete report to the |
State's Attorney of the county in which the officer-involved |
death occurred. |
(e) If the State's Attorney, or a designated special |
prosecutor, determines there is no basis to prosecute the law |
enforcement officer involved in the officer-involved death, or |
if the law enforcement officer is not otherwise charged or |
indicted, the investigators shall publicly release a report.
|
(Source: P.A. 102-538, eff. 8-20-21; 102-982, eff. 7-1-23; |
102-1071, eff. 6-10-22; revised 12-13-22.)
|
Section 245. The Emergency Telephone System Act is amended |
by changing Section 15.4a as follows:
|
(50 ILCS 750/15.4a) |
(Section scheduled to be repealed on December 31, 2023) |
Sec. 15.4a. Consolidation. |
(a) By July 1, 2017, and except as otherwise provided in |
this Section, Emergency Telephone System Boards, Joint |
Emergency Telephone System Boards, and PSAPs shall be |
consolidated as follows, subject to subsections (b) and (c) of |
this Section: |
(1) In any county with a population of at least |
|
250,000 that has a single Emergency Telephone System Board |
and more than 2 PSAPs, the 9-1-1 Authority shall reduce |
the number of PSAPs by at least 50% or to 2 PSAPs, |
whichever is greater. Nothing in this paragraph shall |
preclude consolidation resulting in one PSAP in the |
county. |
(2) In any county with a population of at least |
250,000 that has more than one Emergency Telephone System |
Board or , Joint Emergency Telephone System Board, any |
9-1-1 Authority serving a population of less than 25,000 |
shall be consolidated such that no 9-1-1 Authority in the |
county serves a population of less than 25,000. |
(3) In any county with a population of at least |
250,000 but less than 1,000,000 that has more than one |
Emergency Telephone System Board or , Joint Emergency |
Telephone System Board, each 9-1-1 Authority shall reduce |
the number of PSAPs by at least 50% or to 2 PSAPs, |
whichever is greater. Nothing in this paragraph shall |
preclude consolidation of a 9-1-1 Authority into a Joint |
Emergency Telephone System Board, and nothing in this |
paragraph shall preclude consolidation resulting in one |
PSAP in the county. |
(4) In any county with a population of less than |
250,000 that has a single Emergency Telephone System Board |
and more than 2 PSAPs, the 9-1-1 Authority shall reduce |
the number of PSAPs by at least 50% or to 2 PSAPs, |
|
whichever is greater. Nothing in this paragraph shall |
preclude consolidation resulting in one PSAP in the |
county. |
(5) In any county with a population of less than |
250,000 that has more than one Emergency Telephone System |
Board or Joint Emergency Telephone System Board and more |
than 2 PSAPS, the 9-1-1 Authorities shall be consolidated |
into a single joint board, and the number of PSAPs shall be |
reduced by at least 50% or to 2 PSAPs, whichever is |
greater. Nothing in this paragraph shall preclude |
consolidation resulting in one PSAP in the county. |
(6) Any 9-1-1 Authority that does not have a PSAP |
within its jurisdiction shall be consolidated through an |
intergovernmental agreement with an existing 9-1-1 |
Authority that has a PSAP to create a Joint Emergency |
Telephone Board. |
(7) The corporate authorities of each county that has |
no 9-1-1 service as of January 1, 2016 shall provide 9-1-1 |
wireline and wireless 9-1-1 service for that county by |
either (i) entering into an intergovernmental agreement |
with an existing Emergency Telephone System Board to |
create a new Joint Emergency Telephone System Board, or |
(ii) entering into an intergovernmental agreement with the |
corporate authorities that have created an existing Joint |
Emergency Telephone System Board. |
(b) By July 1, 2016, each county required to consolidate |
|
pursuant to paragraph (7) of subsection (a) of this Section |
and each 9-1-1 Authority required to consolidate pursuant to |
paragraphs (1) through (6) of subsection (a) of this Section |
shall file a plan for consolidation or a request for a waiver |
pursuant to subsection (c) of this Section with the Office of |
the Statewide 9-1-1 Administrator. |
(1) No county or 9-1-1 Authority may avoid the |
requirements of this Section by converting primary PSAPs |
to secondary or virtual answering points; however , a PSAP |
may be decommissioned. Staff from decommissioned PSAPs may |
remain to perform nonemergency police, fire, or EMS |
responsibilities. Any county or 9-1-1 Authority not in |
compliance with this Section shall be ineligible to |
receive consolidation grant funds issued under Section |
15.4b of this Act or monthly disbursements otherwise due |
under Section 30 of this Act, until the county or 9-1-1 |
Authority is in compliance. |
(2) Within 60 calendar days of receiving a |
consolidation plan or waiver, the Statewide 9-1-1 Advisory |
Board shall hold at least one public hearing on the plan |
and provide a recommendation to the Administrator. Notice |
of the hearing shall be provided to the respective entity |
to which the plan applies. |
(3) Within 90 calendar days of receiving a |
consolidation plan, the Administrator shall approve the |
plan or waiver, approve the plan as modified, or grant a |
|
waiver pursuant to subsection (c) of this Section. In |
making his or her decision, the Administrator shall |
consider any recommendation from the Statewide 9-1-1 |
Advisory Board regarding the plan. If the Administrator |
does not follow the recommendation of the Board, the |
Administrator shall provide a written explanation for the |
deviation in his or her decision. |
(4) The deadlines provided in this subsection may be |
extended upon agreement between the Administrator and |
entity which submitted the plan. |
(c) A waiver from a consolidation required under |
subsection (a) of this Section may be granted if the |
Administrator finds that the consolidation will result in a |
substantial threat to public safety, is economically |
unreasonable, or is technically infeasible. |
(d) Any decision of the Administrator under this Section |
shall be deemed a final administrative decision and shall be |
subject to judicial review under the Administrative Review |
Law.
|
(Source: P.A. 102-9, eff. 6-3-21; revised 2-28-22.)
|
Section 250. The Counties Code is amended by changing |
Sections 3-3013, 5-1006.7, 5-1182, 5-45025, and 6-30002 and |
the heading of Division 4-13 as follows:
|
(55 ILCS 5/3-3013) (from Ch. 34, par. 3-3013)
|
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 3-3013. Preliminary investigations; blood and urine |
analysis;
summoning jury; reports. Every coroner, whenever, |
as soon as he knows or is
informed that the dead body of any |
person is found, or lying within his
county, whose death is |
suspected of being:
|
(a) A sudden or violent death, whether apparently |
suicidal,
homicidal , or accidental, including , but not |
limited to , deaths apparently
caused or contributed to by |
thermal, traumatic, chemical, electrical , or
radiational |
injury, or a complication of any of them, or by drowning or
|
suffocation, or as a result of domestic violence as |
defined in the Illinois
Domestic
Violence Act of 1986;
|
(b) A death due to a
sex crime;
|
(c) A death where the circumstances are suspicious, |
obscure,
mysterious , or otherwise unexplained or where, in |
the written opinion of
the attending physician, the cause |
of death is not determined;
|
(d) A death where addiction to alcohol or to any drug |
may have been
a contributory cause; or
|
(e) A death where the decedent was not attended by a |
licensed
physician;
|
shall go to the place where the dead body is , and take charge |
of the
same and shall make a preliminary investigation into |
the circumstances
of the death. In the case of death without |
attendance by a licensed
physician , the body may be moved with |
|
the coroner's consent from the
place of death to a mortuary in |
the same county. Coroners in their
discretion shall notify |
such physician as is designated in accordance
with Section |
3-3014 to attempt to ascertain the cause of death, either by
|
autopsy or otherwise.
|
In cases of accidental death involving a motor vehicle in |
which the
decedent was (1) the operator or a suspected |
operator of a motor
vehicle, or (2) a pedestrian 16 years of |
age or older, the coroner shall
require that a blood specimen |
of at least 30 cc., and if medically
possible a urine specimen |
of at least 30 cc. or as much as possible up
to 30 cc., be |
withdrawn from the body of the decedent in a timely fashion |
after
the accident causing his death, by such physician as has |
been designated
in accordance with Section 3-3014, or by the |
coroner or deputy coroner or
a qualified person designated by |
such physician, coroner, or deputy coroner. If the county
does |
not maintain laboratory facilities for making such analysis, |
the
blood and urine so drawn shall be sent to the Illinois |
State Police or any other accredited or State-certified |
laboratory
for analysis of the alcohol, carbon monoxide, and |
dangerous or
narcotic drug content of such blood and urine |
specimens. Each specimen
submitted shall be accompanied by |
pertinent information concerning the
decedent upon a form |
prescribed by such laboratory. Any
person drawing blood and |
urine and any person making any examination of
the blood and |
urine under the terms of this Division shall be immune from all
|
|
liability, civil or criminal, that might otherwise be incurred |
or
imposed.
|
In all other cases coming within the jurisdiction of the |
coroner and
referred to in subparagraphs (a) through (e) |
above, blood, and , whenever
possible, urine samples shall be |
analyzed for the presence of alcohol
and other drugs. When the |
coroner suspects that drugs may have been
involved in the |
death, either directly or indirectly, a toxicological
|
examination shall be performed which may include analyses of |
blood, urine,
bile, gastric contents , and other tissues. When |
the coroner suspects
a death is due to toxic substances, other |
than drugs, the coroner shall
consult with the toxicologist |
prior to collection of samples. Information
submitted to the |
toxicologist shall include information as to height,
weight, |
age, sex , and race of the decedent as well as medical history,
|
medications used by , and the manner of death of the decedent.
|
When the coroner or medical examiner finds that the cause |
of death is due to homicidal means, the coroner or medical |
examiner shall cause blood and buccal specimens (tissue may be |
submitted if no uncontaminated blood or buccal specimen can be |
obtained), whenever possible, to be withdrawn from the body of |
the decedent in a timely fashion. For proper preservation of |
the specimens, collected blood and buccal specimens shall be |
dried and tissue specimens shall be frozen if available |
equipment exists. As soon as possible, but no later than 30 |
days after the collection of the specimens, the coroner or |
|
medical examiner shall release those specimens to the police |
agency responsible for investigating the death. As soon as |
possible, but no later than 30 days after the receipt from the |
coroner or medical examiner, the police agency shall submit |
the specimens using the agency case number to a National DNA |
Index System (NDIS) participating laboratory within this |
State, such as the Illinois State Police, Division of Forensic |
Services, for analysis and categorizing into genetic marker |
groupings. The results of the analysis and categorizing into |
genetic marker groupings shall be provided to the Illinois |
State Police and shall be maintained by the Illinois State |
Police in the State central repository in the same manner, and |
subject to the same conditions, as provided in Section 5-4-3 |
of the Unified Code of Corrections. The requirements of this |
paragraph are in addition to any other findings, specimens, or |
information that the coroner or medical examiner is required |
to provide during the conduct of a criminal investigation.
|
In all counties, in cases of apparent
suicide, homicide, |
or accidental death or in other cases, within the
discretion |
of the coroner, the coroner may summon 8 persons of lawful age
|
from those persons drawn for petit jurors in the county. The |
summons shall
command these persons to present themselves |
personally at such a place and
time as the coroner shall |
determine, and may be in any form which the
coroner shall |
determine and may incorporate any reasonable form of request
|
for acknowledgment which the coroner deems practical and |
|
provides a
reliable proof of service. The summons may be |
served by first class mail.
From the 8 persons so summoned, the |
coroner shall select 6 to serve as the
jury for the inquest. |
Inquests may be continued from time
to time, as the coroner may |
deem necessary. The 6 jurors selected in
a given case may view |
the body of the deceased.
If at any continuation of an inquest |
one or more of the original jurors
shall be unable to continue |
to serve, the coroner shall fill the vacancy or
vacancies. A |
juror serving pursuant to this paragraph shall receive
|
compensation from the county at the same rate as the rate of |
compensation
that is paid to petit or grand jurors in the |
county. The coroner shall
furnish to each juror without fee at |
the time of his discharge a
certificate of the number of days |
in attendance at an inquest, and, upon
being presented with |
such certificate, the county treasurer shall pay to
the juror |
the sum provided for his services.
|
In counties which have a jury commission, in cases of |
apparent suicide or
homicide or of accidental death, the |
coroner may conduct an inquest. The jury commission shall |
provide
at least 8 jurors to the coroner, from whom the coroner |
shall select any 6
to serve as the jury for the inquest. |
Inquests may be continued from time
to time as the coroner may |
deem necessary. The 6 jurors originally chosen
in a given case |
may view the body of the deceased. If at any continuation
of an |
inquest one or more of the 6 jurors originally chosen shall be |
unable
to continue to serve, the coroner shall fill the |
|
vacancy or vacancies. At
the coroner's discretion, additional |
jurors to fill such vacancies shall be
supplied by the jury |
commission. A juror serving pursuant to this
paragraph in such |
county shall receive compensation from the county at the
same |
rate as the rate of compensation that is paid to petit or grand |
jurors
in the county.
|
In every case in which a fire is determined to be
a
|
contributing factor in a death, the coroner shall report the |
death to the
Office of the State Fire Marshal. The coroner |
shall provide a copy of the death certificate (i) within 30 |
days after filing the permanent death certificate and (ii) in |
a manner that is agreed upon by the coroner and the State Fire |
Marshal. |
In every case in which a drug overdose is determined to be |
the cause or a contributing factor in the death, the coroner or |
medical examiner shall report the death to the Department of |
Public Health. The Department of Public Health shall adopt |
rules regarding specific information that must be reported in |
the event of such a death. If possible, the coroner shall |
report the cause of the overdose. As used in this Section, |
"overdose" has the same meaning as it does in Section 414 of |
the Illinois Controlled Substances Act. The Department of |
Public Health shall issue a semiannual report to the General |
Assembly summarizing the reports received. The Department |
shall also provide on its website a monthly report of overdose |
death figures organized by location, age, and any other |
|
factors , the Department deems appropriate. |
In addition, in every case in which domestic violence is |
determined to be
a
contributing factor in a death, the coroner |
shall report the death to the
Illinois State Police.
|
All deaths in State institutions and all deaths of wards |
of the State or youth in care as defined in Section 4d of the |
Children and Family Services Act in
private care facilities or |
in programs funded by the Department of Human
Services under |
its powers relating to mental health and developmental
|
disabilities or alcoholism and substance
abuse or funded by |
the Department of Children and Family Services shall
be |
reported to the coroner of the county in which the facility is
|
located. If the coroner has reason to believe that an |
investigation is
needed to determine whether the death was |
caused by maltreatment or
negligent care of the ward of the |
State or youth in care as defined in Section 4d of the Children |
and Family Services Act, the coroner may conduct a
preliminary |
investigation of the circumstances of such death as in cases |
of
death under circumstances set forth in subparagraphs |
paragraphs (a) through (e) of this
Section.
|
(Source: P.A. 101-13, eff. 6-12-19; 102-538, eff. 8-20-21; |
revised 8-23-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 3-3013. Preliminary investigations; blood and urine |
analysis;
summoning jury; reports. Every coroner, whenever, |
|
as soon as he knows or is
informed that the dead body of any |
person is found, or lying within his
county, whose death is |
suspected of being:
|
(a) A sudden or violent death, whether apparently |
suicidal,
homicidal , or accidental, including , but not |
limited to , deaths apparently
caused or contributed to by |
thermal, traumatic, chemical, electrical , or
radiational |
injury, or a complication of any of them, or by drowning or
|
suffocation, or as a result of domestic violence as |
defined in the Illinois
Domestic
Violence Act of 1986;
|
(b) A death due to a
sex crime;
|
(c) A death where the circumstances are suspicious, |
obscure,
mysterious , or otherwise unexplained or where, in |
the written opinion of
the attending physician, the cause |
of death is not determined;
|
(d) A death where addiction to alcohol or to any drug |
may have been
a contributory cause; or
|
(e) A death where the decedent was not attended by a |
licensed
physician;
|
shall go to the place where the dead body is , and take charge |
of the
same and shall make a preliminary investigation into |
the circumstances
of the death. In the case of death without |
attendance by a licensed
physician , the body may be moved with |
the coroner's consent from the
place of death to a mortuary in |
the same county. Coroners in their
discretion shall notify |
such physician as is designated in accordance
with Section |
|
3-3014 to attempt to ascertain the cause of death, either by
|
autopsy or otherwise.
|
In cases of accidental death involving a motor vehicle in |
which the
decedent was (1) the operator or a suspected |
operator of a motor
vehicle, or (2) a pedestrian 16 years of |
age or older, the coroner shall
require that a blood specimen |
of at least 30 cc., and if medically
possible a urine specimen |
of at least 30 cc. or as much as possible up
to 30 cc., be |
withdrawn from the body of the decedent in a timely fashion |
after
the crash causing his death, by such physician as has |
been designated
in accordance with Section 3-3014, or by the |
coroner or deputy coroner or
a qualified person designated by |
such physician, coroner, or deputy coroner. If the county
does |
not maintain laboratory facilities for making such analysis, |
the
blood and urine so drawn shall be sent to the Illinois |
State Police or any other accredited or State-certified |
laboratory
for analysis of the alcohol, carbon monoxide, and |
dangerous or
narcotic drug content of such blood and urine |
specimens. Each specimen
submitted shall be accompanied by |
pertinent information concerning the
decedent upon a form |
prescribed by such laboratory. Any
person drawing blood and |
urine and any person making any examination of
the blood and |
urine under the terms of this Division shall be immune from all
|
liability, civil or criminal, that might otherwise be incurred |
or
imposed.
|
In all other cases coming within the jurisdiction of the |
|
coroner and
referred to in subparagraphs (a) through (e) |
above, blood, and , whenever
possible, urine samples shall be |
analyzed for the presence of alcohol
and other drugs. When the |
coroner suspects that drugs may have been
involved in the |
death, either directly or indirectly, a toxicological
|
examination shall be performed which may include analyses of |
blood, urine,
bile, gastric contents , and other tissues. When |
the coroner suspects
a death is due to toxic substances, other |
than drugs, the coroner shall
consult with the toxicologist |
prior to collection of samples. Information
submitted to the |
toxicologist shall include information as to height,
weight, |
age, sex , and race of the decedent as well as medical history,
|
medications used by , and the manner of death of the decedent.
|
When the coroner or medical examiner finds that the cause |
of death is due to homicidal means, the coroner or medical |
examiner shall cause blood and buccal specimens (tissue may be |
submitted if no uncontaminated blood or buccal specimen can be |
obtained), whenever possible, to be withdrawn from the body of |
the decedent in a timely fashion. For proper preservation of |
the specimens, collected blood and buccal specimens shall be |
dried and tissue specimens shall be frozen if available |
equipment exists. As soon as possible, but no later than 30 |
days after the collection of the specimens, the coroner or |
medical examiner shall release those specimens to the police |
agency responsible for investigating the death. As soon as |
possible, but no later than 30 days after the receipt from the |
|
coroner or medical examiner, the police agency shall submit |
the specimens using the agency case number to a National DNA |
Index System (NDIS) participating laboratory within this |
State, such as the Illinois State Police, Division of Forensic |
Services, for analysis and categorizing into genetic marker |
groupings. The results of the analysis and categorizing into |
genetic marker groupings shall be provided to the Illinois |
State Police and shall be maintained by the Illinois State |
Police in the State central repository in the same manner, and |
subject to the same conditions, as provided in Section 5-4-3 |
of the Unified Code of Corrections. The requirements of this |
paragraph are in addition to any other findings, specimens, or |
information that the coroner or medical examiner is required |
to provide during the conduct of a criminal investigation.
|
In all counties, in cases of apparent
suicide, homicide, |
or accidental death or in other cases, within the
discretion |
of the coroner, the coroner may summon 8 persons of lawful age
|
from those persons drawn for petit jurors in the county. The |
summons shall
command these persons to present themselves |
personally at such a place and
time as the coroner shall |
determine, and may be in any form which the
coroner shall |
determine and may incorporate any reasonable form of request
|
for acknowledgment which the coroner deems practical and |
provides a
reliable proof of service. The summons may be |
served by first class mail.
From the 8 persons so summoned, the |
coroner shall select 6 to serve as the
jury for the inquest. |
|
Inquests may be continued from time
to time, as the coroner may |
deem necessary. The 6 jurors selected in
a given case may view |
the body of the deceased.
If at any continuation of an inquest |
one or more of the original jurors
shall be unable to continue |
to serve, the coroner shall fill the vacancy or
vacancies. A |
juror serving pursuant to this paragraph shall receive
|
compensation from the county at the same rate as the rate of |
compensation
that is paid to petit or grand jurors in the |
county. The coroner shall
furnish to each juror without fee at |
the time of his discharge a
certificate of the number of days |
in attendance at an inquest, and, upon
being presented with |
such certificate, the county treasurer shall pay to
the juror |
the sum provided for his services.
|
In counties which have a jury commission, in cases of |
apparent suicide or
homicide or of accidental death, the |
coroner may conduct an inquest. The jury commission shall |
provide
at least 8 jurors to the coroner, from whom the coroner |
shall select any 6
to serve as the jury for the inquest. |
Inquests may be continued from time
to time as the coroner may |
deem necessary. The 6 jurors originally chosen
in a given case |
may view the body of the deceased. If at any continuation
of an |
inquest one or more of the 6 jurors originally chosen shall be |
unable
to continue to serve, the coroner shall fill the |
vacancy or vacancies. At
the coroner's discretion, additional |
jurors to fill such vacancies shall be
supplied by the jury |
commission. A juror serving pursuant to this
paragraph in such |
|
county shall receive compensation from the county at the
same |
rate as the rate of compensation that is paid to petit or grand |
jurors
in the county.
|
In every case in which a fire is determined to be
a
|
contributing factor in a death, the coroner shall report the |
death to the
Office of the State Fire Marshal. The coroner |
shall provide a copy of the death certificate (i) within 30 |
days after filing the permanent death certificate and (ii) in |
a manner that is agreed upon by the coroner and the State Fire |
Marshal. |
In every case in which a drug overdose is determined to be |
the cause or a contributing factor in the death, the coroner or |
medical examiner shall report the death to the Department of |
Public Health. The Department of Public Health shall adopt |
rules regarding specific information that must be reported in |
the event of such a death. If possible, the coroner shall |
report the cause of the overdose. As used in this Section, |
"overdose" has the same meaning as it does in Section 414 of |
the Illinois Controlled Substances Act. The Department of |
Public Health shall issue a semiannual report to the General |
Assembly summarizing the reports received. The Department |
shall also provide on its website a monthly report of overdose |
death figures organized by location, age, and any other |
factors , the Department deems appropriate. |
In addition, in every case in which domestic violence is |
determined to be
a
contributing factor in a death, the coroner |
|
shall report the death to the
Illinois State Police.
|
All deaths in State institutions and all deaths of wards |
of the State or youth in care as defined in Section 4d of the |
Children and Family Services Act in
private care facilities or |
in programs funded by the Department of Human
Services under |
its powers relating to mental health and developmental
|
disabilities or alcoholism and substance
abuse or funded by |
the Department of Children and Family Services shall
be |
reported to the coroner of the county in which the facility is
|
located. If the coroner has reason to believe that an |
investigation is
needed to determine whether the death was |
caused by maltreatment or
negligent care of the ward of the |
State or youth in care as defined in Section 4d of the Children |
and Family Services Act, the coroner may conduct a
preliminary |
investigation of the circumstances of such death as in cases |
of
death under circumstances set forth in subparagraphs |
paragraphs (a) through (e) of this
Section.
|
(Source: P.A. 101-13, eff. 6-12-19; 102-538, eff. 8-20-21; |
102-982, eff. 7-1-23; revised 8-23-22.)
|
(55 ILCS 5/Div. 4-13 heading) |
Division 4-13. Penalty for Violations .
|
(55 ILCS 5/5-1006.7) |
Sec. 5-1006.7. School facility and resources occupation |
taxes. |
|
(a) In any county, a tax shall be imposed upon all persons |
engaged in the business of selling tangible personal property, |
other than personal property titled or registered with an |
agency of this State's government, at retail in the county on |
the gross receipts from the sales made in the course of |
business to provide revenue to be used exclusively for (i) |
school facility purposes (except as otherwise provided in this |
Section), (ii) school resource officers and mental health |
professionals, or (iii) school facility purposes, school |
resource officers, and mental health professionals if a |
proposition for the tax has been submitted to the electors of |
that county and approved by a majority of those voting on the |
question as provided in subsection (c). The tax under this |
Section shall be imposed only in one-quarter percent |
increments and may not exceed 1%. |
This additional tax may not be imposed on tangible |
personal property taxed at the 1% rate under the Retailers' |
Occupation Tax Act (or at the 0% rate imposed under Public Act |
102-700 this amendatory Act of the 102nd General Assembly ). |
Beginning December 1, 2019 and through December 31, 2020, this |
tax is not imposed on sales of aviation fuel unless the tax |
revenue is expended for airport-related purposes. If the |
county does not have an airport-related purpose to which it |
dedicates aviation fuel tax revenue, then aviation fuel is |
excluded from the tax. The county must comply with the |
certification requirements for airport-related purposes under |
|
Section 2-22 of the Retailers' Occupation Tax Act. For |
purposes of this Section, "airport-related purposes" has the |
meaning ascribed in Section 6z-20.2 of the State Finance Act. |
Beginning January 1, 2021, this tax is not imposed on sales of |
aviation fuel for so long as the revenue use requirements of 49 |
U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the county.
|
The Department of Revenue has full power to administer and |
enforce this subsection, to collect all taxes and penalties |
due under this subsection, to dispose of taxes and penalties |
so collected in the manner provided in this subsection, and to |
determine all rights to credit memoranda arising on account of |
the erroneous payment of a tax or penalty under this |
subsection. The Department shall deposit all taxes and |
penalties collected under this subsection into a special fund |
created for that purpose. |
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection (i) have the same rights, remedies, privileges, |
immunities, powers, and duties, (ii) are subject to the same |
conditions, restrictions, limitations, penalties, and |
definitions of terms, and (iii) shall employ the same modes of |
procedure as are set forth in Sections 1 through 1o, 2 through |
2-70 (in respect to all provisions contained in those Sections |
other than the State rate of tax), 2a through 2h, 3 (except as |
to the disposition of taxes and penalties collected, and |
except that the retailer's discount is not allowed for taxes |
|
paid on aviation fuel that are subject to the revenue use |
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133), 4, 5, |
5a, 5b, 5c, 5d, 5e, 5f, 5g, 5h, 5i, 5j, 5k, 5l, 6, 6a, 6b, 6c, |
6d, 7, 8, 9, 10, 11, 11a, 12, and 13 of the Retailers' |
Occupation Tax Act and all provisions of the Uniform Penalty |
and Interest Act as if those provisions were set forth in this |
subsection. |
The certificate of registration that is issued by the |
Department to a retailer under the Retailers' Occupation Tax |
Act permits the retailer to engage in a business that is |
taxable without registering separately with the Department |
under an ordinance or resolution under this subsection. |
Persons subject to any tax imposed under the authority |
granted in this subsection may reimburse themselves for their |
seller's tax liability by separately stating that tax as an |
additional charge, which may be stated in combination, in a |
single amount, with State tax that sellers are required to |
collect under the Use Tax Act, pursuant to any bracketed |
schedules set forth by the Department. |
(b) If a tax has been imposed under subsection (a), then a |
service occupation tax must also be imposed at the same rate |
upon all persons engaged, in the county, in the business of |
making sales of service, who, as an incident to making those |
sales of service, transfer tangible personal property within |
the county as an incident to a sale of service. |
This tax may not be imposed on tangible personal property |
|
taxed at the 1% rate under the Service Occupation Tax Act (or |
at the 0% rate imposed under Public Act 102-700 this |
amendatory Act of the 102nd General Assembly ). Beginning |
December 1, 2019 and through December 31, 2020, this tax is not |
imposed on sales of aviation fuel unless the tax revenue is |
expended for airport-related purposes. If the county does not |
have an airport-related purpose to which it dedicates aviation |
fuel tax revenue, then aviation fuel is excluded from the tax. |
The county must comply with the certification requirements for |
airport-related purposes under Section 2-22 of the Retailers' |
Occupation Tax Act. For purposes of this Section, |
"airport-related purposes" has the meaning ascribed in Section |
6z-20.2 of the State Finance Act. Beginning January 1, 2021, |
this tax is not imposed on sales of aviation fuel for so long |
as the revenue use requirements of 49 U.S.C. 47107(b) and 49 |
U.S.C. 47133 are binding on the county. |
The tax imposed under this subsection and all civil |
penalties that may be assessed as an incident thereof shall be |
collected and enforced by the Department and deposited into a |
special fund created for that purpose. The Department has full |
power to administer and enforce this subsection, to collect |
all taxes and penalties due under this subsection, to dispose |
of taxes and penalties so collected in the manner provided in |
this subsection, and to determine all rights to credit |
memoranda arising on account of the erroneous payment of a tax |
or penalty under this subsection. |
|
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection shall (i) have the same rights, remedies, |
privileges, immunities, powers and duties, (ii) be subject to |
the same conditions, restrictions, limitations, penalties and |
definition of terms, and (iii) employ the same modes of |
procedure as are set forth in Sections 2 (except that that |
reference to State in the definition of supplier maintaining a |
place of business in this State means the county), 2a through |
2d, 3 through 3-50 (in respect to all provisions contained in |
those Sections other than the State rate of tax), 4 (except |
that the reference to the State shall be to the county), 5, 7, |
8 (except that the jurisdiction to which the tax is a debt to |
the extent indicated in that Section 8 is the county), 9 |
(except as to the disposition of taxes and penalties |
collected, and except that the retailer's discount is not |
allowed for taxes paid on aviation fuel that are subject to the |
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C. |
47133), 10, 11, 12 (except the reference therein to Section 2b |
of the Retailers' Occupation Tax Act), 13 (except that any |
reference to the State means the county), Section 15, 16, 17, |
18, 19, and 20 of the Service Occupation Tax Act and all |
provisions of the Uniform Penalty and Interest Act, as fully |
as if those provisions were set forth herein. |
Persons subject to any tax imposed under the authority |
granted in this subsection may reimburse themselves for their |
|
serviceman's tax liability by separately stating the tax as an |
additional charge, which may be stated in combination, in a |
single amount, with State tax that servicemen are authorized |
to collect under the Service Use Tax Act, pursuant to any |
bracketed schedules set forth by the Department. |
(c) The tax under this Section may not be imposed until the |
question of imposing the tax has been submitted to the |
electors of the county at a regular election and approved by a |
majority of the electors voting on the question. For all |
regular elections held prior to August 23, 2011 (the effective |
date of Public Act 97-542), upon a resolution by the county |
board or a resolution by school district boards that represent |
at least 51% of the student enrollment within the county, the |
county board must certify the question to the proper election |
authority in accordance with the Election Code. |
For all regular elections held prior to August 23, 2011 |
(the effective date of Public Act 97-542), the election |
authority must submit the question in substantially the |
following form: |
Shall (name of county) be authorized to impose a |
retailers' occupation tax and a service occupation tax |
(commonly referred to as a "sales tax") at a rate of |
(insert rate) to be used exclusively for school facility |
purposes? |
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 county may, thereafter, impose |
the tax. |
For all regular elections held on or after August 23, 2011 |
(the effective date of Public Act 97-542), the regional |
superintendent of schools for the county must, upon receipt of |
a resolution or resolutions of school district boards that |
represent more than 50% of the student enrollment within the |
county, certify the question to the proper election authority |
for submission to the electors of the county at the next |
regular election at which the question lawfully may be |
submitted to the electors, all in accordance with the Election |
Code. |
For all regular elections held on or after August 23, 2011 |
(the effective date of Public Act 97-542) and before August |
23, 2019 (the effective date of Public Act 101-455), the |
election authority must submit the question in substantially |
the following form: |
Shall a retailers' occupation tax and a service |
occupation tax (commonly referred to as a "sales tax") be |
imposed in (name of county) at a rate of (insert rate) to |
be used exclusively for school facility purposes? |
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 tax shall be imposed at the rate |
|
set forth in the question. |
For all regular elections held on or after August 23, 2019 |
(the effective date of Public Act 101-455), the election |
authority must submit the question as follows: |
(1) If the referendum is to expand the use of revenues |
from a currently imposed tax exclusively for school |
facility purposes to include school resource officers and |
mental health professionals, the question shall be in |
substantially the following form: |
In addition to school facility purposes, shall |
(name of county) school districts be authorized to use |
revenues from the tax commonly referred to as the |
school facility sales tax that is currently imposed in |
(name of county) at a rate of (insert rate) for school |
resource officers and mental health professionals? |
(2) If the referendum is to increase the rate of a tax |
currently imposed exclusively for school facility purposes |
at less than 1% and dedicate the additional revenues for |
school resource officers and mental health professionals, |
the question shall be in substantially the following form: |
Shall the tax commonly referred to as the school |
facility sales tax that is currently imposed in (name |
of county) at the rate of (insert rate) be increased to |
a rate of (insert rate) with the additional revenues |
used exclusively for school resource officers and |
mental health professionals? |
|
(3) If the referendum is to impose a tax in a county |
that has not previously imposed a tax under this Section |
exclusively for school facility purposes, the question |
shall be in substantially the following form: |
Shall a retailers' occupation tax and a service |
occupation tax (commonly referred to as a sales tax) |
be imposed in (name of county) at a rate of (insert |
rate) to be used exclusively for school facility |
purposes? |
(4) If the referendum is to impose a tax in a county |
that has not previously imposed a tax under this Section |
exclusively for school resource officers and mental health |
professionals, the question shall be in substantially the |
following form: |
Shall a retailers' occupation tax and a service |
occupation tax (commonly referred to as a sales tax) |
be imposed in (name of county) at a rate of (insert |
rate) to be used exclusively for school resource |
officers and mental health professionals? |
(5) If the referendum is to impose a tax in a county |
that has not previously imposed a tax under this Section |
exclusively for school facility purposes, school resource |
officers, and mental health professionals, the question |
shall be in substantially the following form: |
Shall a retailers' occupation tax and a service |
occupation tax (commonly referred to as a sales tax) |
|
be imposed in (name of county) at a rate of (insert |
rate) to be used exclusively for school facility |
purposes, school resource officers, and mental health |
professionals? |
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 tax shall be imposed at the rate |
set forth in the question. |
For the purposes of this subsection (c), "enrollment" |
means the head count of the students residing in the county on |
the last school day of September of each year, which must be |
reported on the Illinois State Board of Education Public |
School Fall Enrollment/Housing Report.
|
(d) Except as otherwise provided, the Department shall |
immediately pay over to the State Treasurer, ex officio, as |
trustee, all taxes and penalties collected under this Section |
to be deposited into the School Facility Occupation Tax Fund, |
which shall be an unappropriated trust fund held outside the |
State treasury. Taxes and penalties collected on aviation fuel |
sold on or after December 1, 2019 and through December 31, |
2020, shall be immediately paid over by the Department to the |
State Treasurer, ex officio, as trustee, for deposit into the |
Local Government Aviation Trust Fund. The Department shall |
only pay moneys into the Local Government Aviation Trust Fund |
under this Section for so long as the revenue use requirements |
|
of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the |
county. |
On or before the 25th day of each calendar month, the |
Department shall prepare and certify to the Comptroller the |
disbursement of stated sums of money to the regional |
superintendents of schools in counties from which retailers or |
servicemen have paid taxes or penalties to the Department |
during the second preceding calendar month. The amount to be |
paid to each regional superintendent of schools and disbursed |
to him or her in accordance with Section 3-14.31 of the School |
Code, is equal to the amount (not including credit memoranda |
and not including taxes and penalties collected on aviation |
fuel sold on or after December 1, 2019 and through December 31, |
2020) collected from the county under this Section during the |
second preceding calendar month by the Department, (i) less 2% |
of that amount (except the amount collected on aviation fuel |
sold on or after December 1, 2019 and through December 31, |
2020), of which 50% shall be deposited into the Tax Compliance |
and Administration Fund and shall be used by the Department, |
subject to appropriation, to cover the costs of the Department |
in administering and enforcing the provisions of this Section, |
on behalf of the county, and 50% shall be distributed to the |
regional superintendent of schools to cover the costs in |
administering and enforcing the provisions of this Section ; , |
(ii) plus an amount that the Department determines is |
necessary to offset any amounts that were erroneously paid to |
|
a different taxing body; (iii) less an amount equal to the |
amount of refunds made during the second preceding calendar |
month by the Department on behalf of the county; and (iv) less |
any amount that the Department determines is necessary to |
offset any amounts that were payable to a different taxing |
body but were erroneously paid to the county. When certifying |
the amount of a monthly disbursement to a regional |
superintendent of schools under this Section, the Department |
shall increase or decrease the amounts by an amount necessary |
to offset any miscalculation of previous disbursements within |
the previous 6 months from the time a miscalculation is |
discovered. |
Within 10 days after receipt by the Comptroller from the |
Department of the disbursement certification to the regional |
superintendents of the schools provided for in this Section, |
the Comptroller shall cause the orders to be drawn for the |
respective amounts in accordance with directions contained in |
the certification. |
If the Department determines that a refund should be made |
under this Section to a claimant instead of issuing a credit |
memorandum, then the Department shall notify the Comptroller, |
who shall cause the order to be drawn for the amount specified |
and to the person named in the notification from the |
Department. The refund shall be paid by the Treasurer out of |
the School Facility Occupation Tax Fund or the Local |
Government Aviation Trust Fund, as appropriate.
|
|
(e) For the purposes of determining the local governmental |
unit whose tax is applicable, a retail sale by a producer of |
coal or another mineral mined in Illinois is a sale at retail |
at the place where the coal or other mineral mined in Illinois |
is extracted from the earth. This subsection does not apply to |
coal or another mineral when it is delivered or shipped by the |
seller to the purchaser at a point outside Illinois so that the |
sale is exempt under the United States Constitution as a sale |
in interstate or foreign commerce. |
(f) Nothing in this Section may be construed to authorize |
a tax to be imposed upon the privilege of engaging in any |
business that under the Constitution of the United States may |
not be made the subject of taxation by this State. |
(g) If a county board imposes a tax under this Section |
pursuant to a referendum held before August 23, 2011 (the |
effective date of Public Act 97-542) at a rate below the rate |
set forth in the question approved by a majority of electors of |
that county voting on the question as provided in subsection |
(c), then the county board may, by ordinance, increase the |
rate of the tax up to the rate set forth in the question |
approved by a majority of electors of that county voting on the |
question as provided in subsection (c). If a county board |
imposes a tax under this Section pursuant to a referendum held |
before August 23, 2011 (the effective date of Public Act |
97-542), then the board may, by ordinance, discontinue or |
reduce the rate of the tax. If a tax is imposed under this |
|
Section pursuant to a referendum held on or after August 23, |
2011 (the effective date of Public Act 97-542) and before |
August 23, 2019 (the effective date of Public Act 101-455), |
then the county board may reduce or discontinue the tax, but |
only in accordance with subsection (h-5) of this Section. If a |
tax is imposed under this Section pursuant to a referendum |
held on or after August 23, 2019 (the effective date of Public |
Act 101-455), then the county board may reduce or discontinue |
the tax, but only in accordance with subsection (h-10). If, |
however, a school board issues bonds that are secured by the |
proceeds of the tax under this Section, then the county board |
may not reduce the tax rate or discontinue the tax if that rate |
reduction or discontinuance would adversely affect the school |
board's ability to pay the principal and interest on those |
bonds as they become due or necessitate the extension of |
additional property taxes to pay the principal and interest on |
those bonds. If the county board reduces the tax rate or |
discontinues the tax, then a referendum must be held in |
accordance with subsection (c) of this Section in order to |
increase the rate of the tax or to reimpose the discontinued |
tax. |
Until January 1, 2014, the results of any election that |
imposes, reduces, or discontinues a tax under this Section |
must be certified by the election authority, and any ordinance |
that increases or lowers the rate or discontinues the tax must |
be certified by the county clerk and, in each case, filed with |
|
the Illinois Department of Revenue either (i) on or before the |
first day of April, whereupon the Department shall proceed to |
administer and enforce the tax or change in the rate as of the |
first day of July next following the filing; or (ii) on or |
before the first day of October, whereupon the Department |
shall proceed to administer and enforce the tax or change in |
the rate as of the first day of January next following the |
filing. |
Beginning January 1, 2014, the results of any election |
that imposes, reduces, or discontinues a tax under this |
Section must be certified by the election authority, and any |
ordinance that increases or lowers the rate or discontinues |
the tax must be certified by the county clerk and, in each |
case, filed with the Illinois Department of Revenue either (i) |
on or before the first day of May, whereupon the Department |
shall proceed to administer and enforce the tax or change in |
the rate as of the first day of July next following the filing; |
or (ii) on or before the first day of October, whereupon the |
Department shall proceed to administer and enforce the tax or |
change in the rate as of the first day of January next |
following the filing. |
(h) For purposes of this Section, "school facility |
purposes" means (i) the acquisition, development, |
construction, reconstruction, rehabilitation, improvement, |
financing, architectural planning, and installation of capital |
facilities consisting of buildings, structures, and durable |
|
equipment and for the acquisition and improvement of real |
property and interest in real property required, or expected |
to be required, in connection with the capital facilities and |
(ii) the payment of bonds or other obligations heretofore or |
hereafter issued, including bonds or other obligations |
heretofore or hereafter issued to refund or to continue to |
refund bonds or other obligations issued, for school facility |
purposes, provided that the taxes levied to pay those bonds |
are abated by the amount of the taxes imposed under this |
Section that are used to pay those bonds. "School facility |
purposes" also includes fire prevention, safety, energy |
conservation, accessibility, school security, and specified |
repair purposes set forth under Section 17-2.11 of the School |
Code. |
(h-5) A county board in a county where a tax has been |
imposed under this Section pursuant to a referendum held on or |
after August 23, 2011 (the effective date of Public Act |
97-542) and before August 23, 2019 (the effective date of |
Public Act 101-455) may, by ordinance or resolution, submit to |
the voters of the county the question of reducing or |
discontinuing the tax. In the ordinance or resolution, the |
county board shall certify the question to the proper election |
authority in accordance with the Election Code. The election |
authority must submit the question in substantially the |
following form: |
Shall the school facility retailers' occupation tax |
|
and service occupation tax (commonly referred to as the |
"school facility sales tax") currently imposed in (name of |
county) at a rate of (insert rate) be (reduced to (insert |
rate))(discontinued)? |
If a majority of the electors voting on the question vote in |
the affirmative, then, subject to the provisions of subsection |
(g) of this Section, the tax shall be reduced or discontinued |
as set forth in the question. |
(h-10) A county board in a county where a tax has been |
imposed under this Section pursuant to a referendum held on or |
after August 23, 2019 (the effective date of Public Act |
101-455) may, by ordinance or resolution, submit to the voters |
of the county the question of reducing or discontinuing the |
tax. In the ordinance or resolution, the county board shall |
certify the question to the proper election authority in |
accordance with the Election Code. The election authority must |
submit the question in substantially the following form: |
Shall the school facility and resources retailers' |
occupation tax and service occupation tax (commonly |
referred to as the school facility and resources sales |
tax) currently imposed in (name of county) at a rate of |
(insert rate) be (reduced to (insert rate)) |
(discontinued)? |
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, subject to the provisions of |
subsection (g) of this Section, the tax shall be reduced or |
discontinued as set forth in the question. |
(i) This Section does not apply to Cook County. |
(j) This Section may be cited as the County School |
Facility and Resources Occupation Tax Law.
|
(Source: P.A. 101-10, eff. 6-5-19; 101-455, eff. 8-23-19; |
101-604, eff. 12-13-19; 102-700, eff. 4-19-22; 102-1062, eff. |
7-1-22; revised 8-10-22.)
|
(55 ILCS 5/5-1182) |
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 5-1182. Charitable organizations; solicitation. |
(a) No county 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 those persons 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 county 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 county 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 county 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 county 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. |
(b) For purposes of this Section, "local agency" means a |
county, special district, fire district, joint powers of |
authority, or other political subdivision of the State of |
Illinois. |
(c) 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 8-23-22.)
|
(Text of Section after amendment by P.A. 102-982 ) |
Sec. 5-1182. Charitable organizations; solicitation. |
(a) No county 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 those persons 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 county 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 county 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 county 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 crash history, |
then the county 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. |
(b) For purposes of this Section, "local agency" means a |
county, special district, fire district, joint powers of |
authority, or other political subdivision of the State of |
Illinois. |
(c) 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. 102-982, eff. 7-1-23; revised 8-23-22.)
|
(55 ILCS 5/5-45025) |
Sec. 5-45025. Procedures for Selection. |
(a) The county must use a two-phase procedure for the |
selection of the successful design-build entity. Phase I of |
the procedure will evaluate and shortlist the design-build |
entities based on qualifications, and Phase II will evaluate |
|
the technical and cost proposals. |
(b) The county shall include in the request for proposal |
the evaluating factors to be used in Phase I. These factors are |
in addition to any prequalification requirements of |
design-build entities that the county has set forth. Each |
request for proposal shall establish the relative importance |
assigned to each evaluation factor and subfactor, including |
any weighting of criteria to be employed by the county. The |
county must maintain a record of the evaluation scoring to be |
disclosed in event of a protest regarding the solicitation. |
The county shall include the following criteria in every |
Phase I evaluation of design-build entities: (i) experience of |
personnel; (ii) successful experience with similar project |
types; (iii) financial capability; (iv) timeliness of past |
performance; (v) experience with similarly sized projects; |
(vi) successful reference checks of the firm; (vii) commitment |
to assign personnel for the duration of the project and |
qualifications of the entity's consultants; and (viii) ability |
or past performance in meeting or exhausting good faith |
efforts to meet the utilization goals for business enterprises |
established in the Business Enterprise for Minorities, Women, |
and Persons with Disabilities Act and with Section 2-105 of |
the Illinois Human Rights Act. The county may include any |
additional relevant
criteria in Phase I that it deems |
necessary for a proper qualification review. |
The county may not consider any design-build entity for |
|
evaluation or award if the entity has any pecuniary interest |
in the project or has other relationships or circumstances, |
including, but not limited to, long-term leasehold, mutual |
performance, or development contracts with the county, that |
may give the design-build entity a financial or tangible |
advantage over other design-build entities in the preparation, |
evaluation, or performance of the design-build contract or |
that create the appearance of impropriety. No proposal shall |
be considered that does not include an entity's plan to comply |
with the requirements established in the Business Enterprise |
for Minorities, Women, and Persons with Disabilities Act, for |
both the design and construction areas of performance, and |
with Section 2-105 of the Illinois Human Rights Act. |
Upon completion of the qualifications evaluation, the |
county shall create a shortlist of the most highly qualified |
design-build entities. The county, in its discretion, is not |
required to shortlist the maximum number of entities as |
identified for Phase II evaluation, provided that no less than |
2 design-build entities nor more than 6 are selected to submit |
Phase II proposals. |
The county shall notify the entities selected for the |
shortlist in writing. This notification shall commence the |
period for the preparation of the Phase II technical and cost |
evaluations. The county must allow sufficient time for the |
shortlist entities to prepare their Phase II submittals |
considering the scope and detail requested by the county. |
|
(c) The county shall include in the request for proposal |
the evaluating factors to be used in the technical and cost |
submission components of Phase II. Each request for proposal |
shall establish, for both the technical and cost submission |
components of Phase II, the relative importance assigned to |
each evaluation factor and subfactor, including any weighting |
of criteria to be employed by the county. The county must |
maintain a record of the evaluation scoring to be disclosed in |
event of a protest regarding the solicitation. |
The county shall include the following criteria in every |
Phase II technical evaluation of design-build entities: (i) |
compliance with objectives of the project; (ii) compliance of |
proposed services to the request for proposal requirements; |
(iii) quality of products or materials proposed; (iv) quality |
of design parameters; (v) design concepts; (vi) innovation in |
meeting the scope and performance criteria; and (vii) |
constructability of the proposed project. The county may |
include any additional relevant technical evaluation factors |
it deems necessary for proper selection. |
The county shall include the following criteria in every |
Phase II cost evaluation: the total project cost, the |
construction costs, and the time of completion. The county may |
include any additional relevant technical evaluation factors |
it deems necessary for proper selection. The total project |
cost criteria weighting weighing factor shall not exceed 30%. |
The county shall directly employ or retain a licensed |
|
design professional or a public art designer to evaluate the |
technical and cost submissions to determine if the technical |
submissions are in accordance with generally accepted industry |
standards.
Upon completion of the technical submissions and |
cost submissions evaluation, the county may award the |
design-build contract to the highest overall ranked entity.
|
(Source: P.A. 102-954, eff. 1-1-23; revised 12-16-22.)
|
(55 ILCS 5/6-30002) (from Ch. 34, par. 6-30002)
|
Sec. 6-30002. Disbursement to county treasurer for |
distribution
to appropriate recipient. Notwithstanding any |
other provision to
the contrary, any State funds disbursed by |
the State, or federal funds
authorized to be disbursed by the |
State, to any county official of a county
with a population of |
less than 2,000,000, or to any county department,
agency |
program or entity of a such county shall be disbursed only to |
the
county treasurer of such county for distribution by the |
county treasurer to
the appropriate county recipient. This |
Division shall not apply to funds
disbursed by a regional |
superintendent of schools, a regional educational
service |
center, or the Department of Human Services with respect to |
its
functions pertaining to mental health and developmental |
disabilities.
|
(Source: P.A. 89-262, eff. 8-10-95; 89-507, eff. 7-1-97; |
revised 5-27-22.)
|
|
Section 255. The Illinois Municipal Code is amended by |
changing Sections 8-4-27, 8-10-17, 8-10-18, 9-2-119, 9-2-127, |
10-1-29, 10-1-31, 11-1.5-5, and 11-92-1 and the heading of |
Division 31 of Article 11 as follows:
|
(65 ILCS 5/8-4-27) |
(Section scheduled to be repealed on January 1, 2024) |
Sec. 8-4-27. Municipal Water and Wastewater Funding Study |
Committee. |
(a) The Municipal Water and Wastewater Funding Study |
Committee is established. |
(b) The Committee shall be comprised of the following |
members, and the appointed members of the Committee shall be |
appointed to the Committee no later than 30 days after May 13, |
2022 ( the effective date of Public Act 102-865) this |
amendatory Act of the 102nd General Assembly : |
(1) 1) The Governor, or his or her designee, who shall |
serve as chairperson. |
(2) The Director of the Illinois Environmental |
Protection Agency, or his or her designee. |
(3) One member appointed by the President of the |
Senate. |
(4) One member appointed by the Minority Leader of the |
Senate. |
(5) One member appointed by the Speaker of the House |
of Representatives. |
|
(6) One member appointed by the Minority Leader of the |
House of Representatives. |
(7) Members appointed by the Director of the Illinois |
Environmental Protection Agency as follows: |
(A) one member who is a representative of a |
publicly owned publicly-owned drinking water or |
wastewater utility with a service population of 25,000 |
or less; |
(B) one member who is a representative of a |
publicly owned publicly-owned drinking water or |
wastewater utility with a service population over |
25,000 people to 125,000 people; |
(C) one member who is a representative of a |
publicly owned publicly-owned drinking water or |
wastewater utility with a service population over |
125,000 people; |
(D) one member who is a representative of a |
statewide organization representing wastewater |
agencies; and |
(E) one member who is a representative of a |
statewide organization representing drinking water |
agencies. |
The Committee shall meet at the call of the chair. Committee |
members shall serve without compensation. If a vacancy occurs |
in the Committee membership, the vacancy shall be filled in |
the same manner as the original appointment for the remainder |
|
of the Committee. |
(c) The Committee shall study and make recommendations |
concerning any needed modifications to Illinois Environmental |
Protection Agency and Illinois Pollution Control Board |
regulations and policies as they relate to municipal water and |
wastewater funding to ensure that the State's revolving loan |
fund programs account for and prioritize the following |
principles, to the fullest extent allowed by federal law: |
(1) A community shall not be deemed ineligible for |
disadvantaged community status based on size or service |
area of any size, with regard to special rates, loan |
terms, and eligibility for loan or grant funds. |
(2) In determining whether a community is |
disadvantaged, consideration should be given to impacts of |
funding on water and wastewater expenses for low-income |
populations. |
(3) In determining whether a community is eligible for |
funds and special rates or loan terms, environmental |
justice concepts should be considered. |
(4) In determining how funding is allocated, a |
community facing water supply shortages should be |
considered a high priority based on urgency of need. |
(5) The funding programs should promote formation and |
implementation of regional water partnerships. |
(6) Targeted funding should be provided for addressing |
emerging contaminants, including PFAS. |
|
(7) In determining eligibility for assistance, the |
role that the State revolving fund programs play for small |
communities should be understood and fully considered. |
(8) Any recommendations for changes to the programs |
must be fully consistent with federal law and must not |
adversely affect any community's eligibility for loans |
under federal law. |
(d) The Committee shall prepare a report that summarizes |
its work and makes recommendations resulting from its study. |
The Committee shall submit the report of its findings and |
recommendations to the Governor and the General Assembly no |
later than January 31, 2023. Once the Committee has submitted |
the report to the General Assembly and Governor, the Committee |
is dissolved. |
(e) (f) This Section is repealed on January 1, 2024.
|
(Source: P.A. 102-865, eff. 5-13-22; revised 8-23-22.)
|
(65 ILCS 5/8-10-17) (from Ch. 24, par. 8-10-17)
|
Sec. 8-10-17.
The corporate authorities of any such |
municipality may
establish a revolving fund in such amount as |
may be necessary to enable the
purchasing agent to purchase |
items of common usage in advance of immediate
need, the |
revolving fund to be reimbursed from the annual appropriation |
of
the requisitioning agencies. Neither the purchasing agent, |
nor any officer
or employee employe of his office, nor any |
member of the board of standardization
hereinafter provided |
|
for, shall be financially interested, directly or
indirectly, |
in any purchase order or contract coming under the purview of
|
his official duties. The above named officials and employees |
employes are expressly
prohibited from accepting, directly or |
indirectly, from any person,
company, firm , or corporation to |
which any purchase order or contract may be
awarded, any |
rebate, gift, money, or anything of value whatsoever. Any
|
officer or employee employe , as above defined, convicted of |
violating this Section section,
shall be guilty of a business |
offense and shall be fined not to exceed
$10,000 and shall |
forfeit the right to his public office, trust , or
employment |
and shall be removed therefrom.
|
(Source: P.A. 77-2500; revised 8-23-22.)
|
(65 ILCS 5/8-10-18) (from Ch. 24, par. 8-10-18)
|
Sec. 8-10-18.
No department, office, institution, |
commission, board, agency ,
or instrumentality of any such |
municipality, or any officer or employee employe
thereof, |
shall be empowered to execute any purchase order or contract |
as
defined in Section 8-10-3 except as herein specifically |
authorized, but all
such purchase orders or contracts shall be |
executed by the purchasing agent
in conformity with the |
provisions of this Division 10.
|
(Source: Laws 1961, p. 576; revised 8-23-22.)
|
(65 ILCS 5/9-2-119) (from Ch. 24, par. 9-2-119)
|
|
Sec. 9-2-119.
For the purpose of anticipating the |
collection of the
second and succeeding installments, provided |
for in this Division 2, a
municipality may issue bonds, |
payable out of these installments, bearing
interest at a rate |
specified in the ordinance referred to in Section 9-2-10 |
2-9-10
of this the Illinois Municipal Code and not more than |
the rate the installments
of the assessment against which the |
bonds are issued bear,
payable annually and signed by such |
officers as may be by ordinance
prescribed. Bonds shall be |
issued in sums of $100, or some multiple
thereof, and shall be |
dated and draw interest from the date of their
issuance. Each |
bond shall state on its face out of which installment it is
|
payable, and shall state, by number or other designation, the |
assessment to
which that installment belongs. The principal of |
these bonds shall not
exceed, in the aggregate, the amount of |
the deferred installments, and
shall be divided into as many |
series as there are deferred installments.
|
However, if there is a surplus to the credit of any such |
installment
which is not required for the payment of any |
vouchers or bonds issued
against that installment, that |
surplus shall be applied toward the payment
of any outstanding |
vouchers or bonds already issued or to be issued, as the
case |
may be, against any other installment or installments.
|
Each series shall become due at some time in the year in |
which the
corresponding installment will mature, the date to |
conform, as nearly as
may be, to the time when that installment |
|
will be actually collected. This
time shall be estimated and |
determined by the municipal officers issuing
the bonds. But it |
is lawful to provide in the case of any one or more of
the |
bonds in any series, that that bond or bonds shall not become |
due until
some subsequent date, not later than December 31 |
next succeeding the
January in which the installment against |
which that series is issued will
mature.
|
The bonds may be in the following form:
|
State of Illinois)
|
) ss
|
County of .......)
|
|
$............................ |
Series No. ................... |
|
| |
Bond No. ..................... |
|
............................. |
of ........................... |
|
Improvement Bond
|
The .... of .... in .... County, Illinois, for value |
received, promises
to pay to the bearer on (insert date)
the |
sum of .... dollars, with interest thereon from date hereof, |
at the rate of
....%, payable annually on presentation of the |
coupons hereto annexed.
|
Both principal and interest of this bond are payable at |
the office of
the treasurer of said .... of .....
|
This bond is issued to anticipate the collection of a part |
of the ....
installment of special assessment No. .... levied |
for the purpose of ....
which installment bears interest from |
|
(insert date), and this bond and the interest thereon are |
payable solely out of the
installment when collected.
|
Dated (insert date).
|
The bond may have coupons attached to represent the |
interest to accrue
thereon.
|
In lieu of the bonds described in this Section, a |
municipality may issue
bonds of the type described in Section |
9-2-127, but all bonds issued under
any one special assessment |
proceeding must be of the same type.
|
Public Act 77-1185 This amendatory Act of 1971 is not a |
limit upon any municipality which
is a home rule unit.
|
(Source: P.A. 91-357, eff. 7-29-99; revised 2-28-22.)
|
(65 ILCS 5/9-2-127) (from Ch. 24, par. 9-2-127)
|
Sec. 9-2-127.
In lieu of the bonds authorized in Section |
9-2-119, the
municipality upon the written request of the |
holders of all of the
outstanding and unpaid vouchers issued |
in payment of the work, may issue
and deliver to such voucher |
holders, in exchange for such vouchers, bonds
provided for in |
this Section 9-2-127, provided that prior to the receipt of
|
such request the municipality has not issued or has not made |
any commitment
to issue any bonds the funds from which are to |
be used toward paying such
outstanding and unpaid vouchers in |
full. The bonds shall be dated as of and
shall draw interest |
from the date of their issuance, except when issued in
|
|
exchange for vouchers theretofore issued in payment of the |
work. In such
latter case the bonds shall be issued in the |
principal amount of the unpaid
balance of the vouchers and |
shall bear the same date as the vouchers for
which they are |
exchanged or the date to which interest was last paid on the
|
vouchers, and the bonds shall draw interest from such date. |
The bonds shall
be issued at not less than their par value. The |
bonds shall be executed by
such officers as may be prescribed |
by ordinance of such municipality, with
the corporate seal |
attached. The bonds shall bear interest at a rate specified
in |
the ordinance referred to in Section 9-2-10 2-9-10 of this the |
Illinois Municipal
Code and of not more than the rate the |
installments of the assessment against
which the bonds are |
issued bear. The bonds shall recite
specifically that they are |
payable solely and only from the assessment
levied for the |
payment of the cost of the improvement, designating the
|
improvement for which the assessment has been levied, and |
shall mature on
or before December 31 next succeeding the |
January 2 on which the last
installment shall mature. Interest |
coupons attached to the bonds shall bear
the official or |
facsimile signatures of the same officers who signed the
bonds |
and shall be made payable at the office of the treasurer of the
|
municipality. The bonds shall be numbered consecutively |
beginning with
number one upwards and shall be payable in |
their numerical order and
redeemable prior to maturity in |
numerical order as hereinafter provided.
Each of the bonds |
|
issued pursuant to this Section 9-2-127 shall bear a
legend on |
the face of the bond printed in bold face type and in a |
paragraph
by itself to the effect that the bond is one of a |
series of bonds which are
to be paid and redeemed in numerical |
order and not on a pro-rata basis.
|
As used in this Section and in Sections 9-2-128 and |
9-2-129, "treasurer"
with respect to municipalities in which a |
comptroller is elected or
appointed means treasurer or |
comptroller.
|
Public Act 77-1185 This amendatory Act of 1971 is not a |
limit upon any municipality which
is a home rule unit.
|
(Source: P.A. 82-642; revised 2-28-22.)
|
(65 ILCS 5/10-1-29) (from Ch. 24, par. 10-1-29)
|
Sec. 10-1-29.
No person shall, in any room or building |
occupied for the
discharge of official duties by any officer |
or employee employe in any municipality
which adopts this |
Division 1, solicit, orally or by written communication,
|
delivered therein, or in any other manner, or receive any |
contribution of
money or other thing of value, for any party or |
political purpose whatever.
No officer, agent, clerk , or |
employee under the government of such
municipality, who may |
have charge or control of any building, office , or
room, |
occupied for any purpose of such government, shall permit any |
person
to enter the same for the purpose of therein soliciting |
or delivering
written solicitations for receiving or giving |
|
notice of any political
assessments.
|
(Source: Laws 1961, p. 3252; revised 8-23-22.)
|
(65 ILCS 5/10-1-31) (from Ch. 24, par. 10-1-31)
|
Sec. 10-1-31.
No officer or employee of such municipality |
shall discharge
or degrade or promote, or in any manner change |
the official rank or
compensation of any other officer or |
employee employe , or promise or threaten to do
so for giving or |
withholding or neglecting to make any contribution of any
|
money or other valuable thing for any party or political |
purpose, or for
refusal or neglect to render any party or |
political service.
|
(Source: Laws 1961, p. 3252; revised 8-23-22.)
|
(65 ILCS 5/11-1.5-5) |
(Section scheduled to be repealed on January 1, 2029) |
Sec. 11-1.5-5. Definitions. As used in this Division |
Section : |
"Department" means the East St. Louis Police Department, |
the Peoria Police Department, the Springfield Police |
Department, or the Waukegan Police Department. |
"Social Worker" means a licensed clinical social worker or |
licensed social worker, as those terms are defined in the |
Clinical Social Work and Social Work Practice Act. |
"Station adjustment" has the meaning given to that term in |
Section 1-3 of the Juvenile Court Act of 1987. |
|
"Unit" means a co-responder unit created under this |
Division.
|
(Source: P.A. 102-756, eff. 5-10-22; revised 8-23-22.)
|
(65 ILCS 5/Art. 11 Div. 31 heading) |
DIVISION 31. UNSAFE PROPERTY .
|
(65 ILCS 5/11-92-1) (from Ch. 24, par. 11-92-1)
|
Sec. 11-92-1.
"Harbor", as used in this Division 92 , |
includes harbors,
marinas, slips, docks, piers, breakwaters, |
and all buildings, structures,
facilities, connections, |
equipment, parking areas , and all other
improvements for use |
in connection therewith.
|
"Public water" has the same meaning as ascribed to that |
term in Section
18 of the Rivers, Lakes, and Streams Act "An |
Act in relation to the regulation of rivers, lakes and streams |
of
the State of Illinois", approved June 10, 1911, as |
heretofore and hereafter
amended .
|
"Artificially made or reclaimed land" includes all land |
which formerly
was submerged under the public waters of the |
State state , the title to which is
in the State state , and |
which has been artificially made or reclaimed in whole or
in |
part.
|
(Source: Laws 1961, p. 576; revised 2-28-22.)
|
Section 260. The Forest Preserve District and Conservation |
|
District Design-Build Authorization Act is amended by changing |
Section 25 as follows:
|
(70 ILCS 860/25)
|
Sec. 25. Procedures for selection.
|
(a) The forest preserve district or conservation district |
must use a two-phase procedure for the selection of the |
successful design-build entity. Phase I of the procedure will |
evaluate and shortlist the design-build entities based on |
qualifications, and Phase II will evaluate the technical and |
cost proposals. |
(b) The forest preserve district or conservation district |
shall include in the request for proposal the evaluating |
factors to be used in Phase I. These factors are in addition to |
any prequalification requirements of design-build entities |
that the forest preserve district or conservation district has |
set forth. Each request for proposal shall establish the |
relative importance assigned to each evaluation factor and |
subfactor, including any weighting of criteria to be employed |
by the forest preserve district or conservation district. The |
forest preserve district or conservation district must |
maintain a record of the evaluation scoring to be disclosed in |
the event of a protest regarding the solicitation. |
The forest preserve district or conservation district |
shall include the following criteria in every Phase I |
evaluation of design-build entities: (i) experience of |
|
personnel; (ii) successful experience with similar project |
types; (iii) financial capability; (iv) timeliness of past |
performance; (v) experience with similarly sized projects; |
(vi) successful reference checks of the firm; (vii) commitment |
to assign personnel for the duration of the project and |
qualifications of the entity's consultants; and (viii) ability |
or past performance in meeting or exhausting good faith |
efforts to meet the utilization goals for business enterprises |
established in the Business Enterprise for Minorities, Women, |
and Persons with Disabilities Act and with Section 2-105 of |
the Illinois Human Rights Act. The forest preserve district or |
conservation district may include any additional relevant |
criteria in Phase I that it deems necessary for a proper |
qualification review. |
The forest preserve district or conservation district may |
not consider any design-build entity for evaluation or award |
if the entity has any pecuniary interest in the project or has |
other relationships or circumstances, including, but not |
limited to, long-term leasehold, mutual performance, or |
development contracts with the forest preserve district or |
conservation district, that may give the design-build entity a |
financial or tangible advantage over other design-build |
entities in the preparation, evaluation, or performance of the |
design-build contract or that create the appearance of |
impropriety. No proposal shall be considered that does not |
include an entity's plan to comply with the requirements |
|
established in the Business Enterprise for Minorities, Women, |
and Persons with Disabilities Act, for both the design and |
construction areas of performance, and with Section 2-105 of |
the Illinois Human Rights Act. |
Upon completion of the qualifications evaluation, the |
forest preserve district or conservation district shall create |
a shortlist of the most highly qualified design-build |
entities. The forest preserve district or conservation |
district, in its discretion, is not required to shortlist the |
maximum number of entities as identified for Phase II |
evaluation, provided that no less than 2 design-build entities |
nor more than 6 are selected to submit Phase II proposals. |
The forest preserve district or conservation district |
shall notify the entities selected for the shortlist in |
writing. This notification shall commence the period for the |
preparation of the Phase II technical and cost evaluations. |
The forest preserve district or conservation district must |
allow sufficient time for the shortlist entities to prepare |
their Phase II submittals considering the scope and detail |
requested by the forest preserve district or conservation |
district. |
(c) The forest preserve district or conservation district |
shall include in the request for proposal the evaluating |
factors to be used in the technical and cost submission |
components of Phase II. Each request for proposal shall |
establish, for both the technical and cost submission |
|
components of Phase II, the relative importance assigned to |
each evaluation factor and subfactor, including any weighting |
of criteria to be employed by the forest preserve district or |
conservation district. The forest preserve district or |
conservation district must maintain a record of the evaluation |
scoring to be disclosed in the event of a protest regarding the |
solicitation. |
The forest preserve district or conservation district |
shall include the following criteria in every Phase II |
technical evaluation of design-build entities: (i) compliance |
with objectives of the project; (ii) compliance of proposed |
services to the request for proposal requirements; (iii) |
quality of products or materials proposed; (iv) quality of |
design parameters; (v) design concepts; (vi) innovation in |
meeting the scope and performance criteria; and (vii) |
constructability of the proposed project. The forest preserve |
district or conservation district may include any additional |
relevant technical evaluation factors it deems necessary for |
proper selection. |
The forest preserve district or conservation district |
shall include the following criteria in every Phase II cost |
evaluation: the total project cost, the construction costs, |
and the time of completion. The forest preserve or |
conservation district may include any additional relevant |
technical evaluation factors it deems necessary for proper |
selection. The total project cost criteria weighting weighing |
|
factor shall not exceed 30%. |
The forest preserve or conservation district shall |
directly employ or retain a licensed design professional or a |
public art designer to evaluate the technical and cost |
submissions to determine if the technical submissions are in |
accordance with generally accepted industry standards. |
Upon completion of the technical submissions and cost |
submissions evaluation, the forest preserve or conservation |
district may award the design-build contract to the highest |
overall ranked entity.
|
(Source: P.A. 102-460, eff. 6-1-22; revised 2-28-22.)
|
Section 265. The Park Annuity and Benefit Fund Civil |
Service Act is amended by changing Section 23 as follows:
|
(70 ILCS 1215/23) (from Ch. 24 1/2, par. 136)
|
Sec. 23.
No person shall solicit, orally or in writing, or |
be in any manner
concerned in soliciting any assessment, |
contribution , or payment for any
party or political purpose |
whatever from any officer or employee employe in the
|
classified civil service.
|
(Source: Laws 1939, p. 418; revised 9-2-22.)
|
Section 270. The Chicago Park District Act is amended by |
changing Section 14 as follows:
|
|
(70 ILCS 1505/14) (from Ch. 105, par. 333.14)
|
Sec. 14. Civil service. The Park System Civil Service Act |
shall apply to the Chicago Park District, and
upon the coming |
into effect of this Act act there shall be appointed but one
|
Director of Human Resources and but one
civil service board |
for such
district.
|
Every officer and employee employe in the classified civil |
service at the time
this Act takes effect shall be assigned to |
a position having, so far as
possible, duties equivalent to |
his former office or employment, and such
officers and |
employees employes shall have the same standing, grade, and |
privilege
which they respectively had in the districts from |
which they were
transferred, subject, however, to existing and |
future civil service laws.
This Section shall not be construed |
to require the retention of more
officers and employees |
employes than are necessary to the proper performance of the
|
functions of the Chicago Park District and the rules of the |
civil service
board made in pursuance of the civil service law |
shall control in the
making of layoffs and reinstatements of |
such officers and employees employes as are
not necessary to |
be retained. This Act act shall in no way be construed to
|
affect the operation of Article 5 or Article 12 of the Illinois |
Pension
Code nor to affect the
rights of employees to pensions |
or annuities nor any taxes authorized to be
levied therefor. |
In the case of employees employes and policemen of superseded |
park
districts not having annuity benefit funds retained as |
|
employees employes or
policemen of the Chicago Park District |
such employees employes and policemen shall
have the right to |
enter as new employees employes and policemen.
|
(Source: P.A. 91-918, eff. 7-7-00; revised 2-5-23.)
|
Section 275. The Joliet Regional Port District Act is |
amended by changing Section 7 as follows:
|
(70 ILCS 1825/7) (from Ch. 19, par. 257)
|
Sec. 7.
The District has power to procure and enter into |
contracts for any
type of insurance or indemnity against loss |
or damage to property from any
cause, including loss of use and |
occupancy, against death or injury of any
person, against |
employers' liability, against any act of any member,
officer, |
or employee employe of the District in the performance of the |
duties of his
office or employment or any other insurable |
risk.
|
(Source: Laws 1957, p. 1302; revised 9-2-22.)
|
Section 280. The Metropolitan Water Reclamation District |
Act is amended by changing Section 11.19 as follows:
|
(70 ILCS 2605/11.19) (from Ch. 42, par. 331.19)
|
Sec. 11.19.
No department, office, agency or |
instrumentality, officer or employee
employe of the sanitary |
district, shall be empowered to execute any
purchase order or |
|
contract except as expressly authorized by this Act.
|
(Source: Laws 1963, p. 2498; revised 9-2-22.)
|
Section 285. The Illinois Local Library Act is amended by |
changing Section 5-2 as follows:
|
(75 ILCS 5/5-2) (from Ch. 81, par. 5-2)
|
Sec. 5-2.
If the corporate authorities approve the action |
of the library
board under Section 5-1, they may, by |
ordinance, or by resolution in the
case of a township, provide |
that the bonds of the city, village,
incorporated town or |
township be issued for the payment of the cost (so
estimated as |
aforesaid) of constructing a building, or remodeling,
|
repairing, improving an existing library building or the |
erection of an
addition thereto, or purchasing a building, |
site or equipment, or the
acquisition of library materials |
such as books, periodicals, recordings and
electronic data |
storage and retrieval facilities in connection with either
the |
purchase or construction of a new library building or the |
expansion of
an existing library building, or any or all of |
these things in which event
the ordinance or resolution shall |
also state the time or times when such
bonds, and the interest |
thereon shall become payable. However, the whole of
the |
principal of such bonds and the interest thereon shall be |
payable
within 20 years, and the interest on such bonds shall |
not exceed the rate
permitted in the Bond Authorization Act |
|
"An Act to authorize public corporations to issue bonds,
other |
evidences of indebtedness and tax anticipation warrants |
subject to
interest rate limitations set forth therein", |
approved May 26, 1970, as
now or hereafter amended . The |
interest may be made payable at
such times (annually or |
semi-annually) as the ordinance or resolution may
prescribe. |
In case the corporate authorities provide for such payment by
|
the issuance of bonds, they shall make provision at or before |
the issuance
thereof, by ordinance or by resolution in the |
case of a township, which
shall be irrepealable, for the levy |
and collection of a direct annual tax
upon all the taxable |
property within such city, village, incorporated town
or |
township sufficient to meet the principal and interest of the |
bonds as
they mature, which tax shall be in addition to that |
otherwise authorized to
be levied and collected for corporate |
purposes.
|
If, however, the corporate
authorities do not provide that |
the bonds of the city, village,
incorporated town or township |
be issued, but otherwise approve the action
of the library |
board, then the library board shall divide the total cost of
|
constructing and financing a building, or remodeling, |
repairing, improving
an existing library building or the |
erection of an addition thereto, or
purchasing and financing a |
building, site or equipment, or the acquisition
of library |
materials such as books, periodicals, recordings and |
electronic
data storage and retrieval facilities in connection |
|
with either the
purchase or construction of a new library |
building or the expansion of an
existing library building, or |
any or all of these things, into as many
parts as the trustees |
determine to spread the collection thereof, and
shall certify |
the amount of one of these parts to the corporate authorities
|
each year during the term over which the trustees have |
determined to
spread the collection. This action by the |
library board Board shall be
irrepealable. The library board |
shall specify in its certificate the
portion, if any, of the |
amount to be included in the annual appropriation
and library |
tax levy, and the amount of the special tax required to pay the
|
same as has been approved by the voters.
|
(Source: P.A. 84-770; revised 5-27-22.)
|
Section 290. The School Code is amended by changing |
Sections 2-3.195, 10-20.13, 10-21.9, 10-22.24b, 13-40, |
13B-20.5, 18-8.15, 21B-20, 21B-45, 24-6, 26-2, 27-22, 27A-5, |
34-18.5, and 34-21.6 and by setting forth, renumbering, and |
changing multiple versions of Section 10-20.83 and 34-18.78 as |
follows:
|
(105 ILCS 5/2-3.195) |
Sec. 2-3.195. Direct support professional training |
program. Beginning with the 2025-2026 school year and |
continuing for not less than 2 years, the State Board of |
Education shall make available a model program of study that |
|
incorporates the training and experience necessary to serve as |
a direct support professional. By July 1, 2023, the State |
Board shall submit recommendations developed in consultation |
with stakeholders, including, but not limited to, |
organizations representing community-based providers serving |
children and adults with intellectual or developmental |
disabilities, and education practitioners, including, but not |
limited to, teachers, administrators, special education |
directors, and regional superintendents of schools, to the |
Department of Human Services for the training that would be |
required in order to be complete the model program of study.
|
(Source: P.A. 102-874, eff. 1-1-23; revised 12-16-22.)
|
(105 ILCS 5/10-20.13)
|
Sec. 10-20.13. Textbooks for children of parents unable to |
buy them ; waiver of
and other fees and fines. |
(a) To purchase, at the
expense of the district, a |
sufficient number of
textbooks for children whose parents are |
unable to buy them, including ,
but not limited to , children |
living in households that meet the free lunch or breakfast |
eligibility guidelines established by the federal government |
pursuant to Section 1758 of the federal Richard B. Russell |
National School Lunch Act (42 U.S.C. 1758; 7 CFR C.F.R. 245 et |
seq.) and homeless children and youth as defined in Section |
11434a of the federal McKinney-Vento Homeless Assistance Act |
(42 U.S.C. 11434a), subject to verification as set forth in |
|
subsection (c) of this Section. Such textbooks
shall be loaned |
only, and the directors shall require the teacher to see
that |
they are properly cared for and returned at the end of each |
term of
school.
|
(b) To waive all fees and any fines for the loss of school |
property assessed by the district on children whose parents
|
are unable to afford them, including , but not limited to: |
(1) children living in households that meet the free |
lunch or breakfast eligibility guidelines established by |
the federal government pursuant to Section 1758 of the |
federal Richard B. Russell National School Lunch Act (42 |
U.S.C. 1758; 7 CFR C.F.R. 245 et seq.) and students whose |
parents are veterans or active duty military personnel |
with income at or below 200% of the federal poverty line, |
subject to verification as set forth in subsection (c) of |
this Section, and |
(2) homeless children and youth as defined in Section |
11434a of the federal McKinney-Vento Homeless Assistance |
Act (42 U.S.C. 11434a). |
Notice of waiver availability shall be given to parents or |
guardians with every bill for fees or fines.
The school board
|
shall adopt written policies and procedures for such waiver of |
fees in
accordance with regulations promulgated by the State |
Board of Education.
|
(c) Any school board that participates in a federally |
funded, school-based child nutrition program and uses a |
|
student's application for, eligibility for, or participation |
in the federally funded, school-based child nutrition program |
(42 U.S.C. 1758; 7 CFR C.F.R. 245 et seq.) as the basis for |
waiving fees assessed by the school district must follow the |
verification requirements of the federally funded, |
school-based child nutrition program (42 U.S.C. 1758; 7 CFR |
C.F.R. 245.6a). |
A school board that establishes a process for the |
determination of eligibility for waiver of fees assessed by |
the school district that is completely independent of a |
student's application for, eligibility for, or participation |
in a federally funded, school-based child nutrition program |
may provide for fee waiver verification no more often than |
once per academic year. Information obtained during the |
independent, fee waiver verification process indicating that |
the student does not meet free lunch or breakfast eligibility |
guidelines may be used to deny the waiver of the student's fees |
or fines for the loss of school property, provided that any |
information obtained through this independent process for |
determining or verifying eligibility for fee waivers shall not |
be used to determine or verify eligibility for any federally |
funded, school-based child nutrition program. This subsection |
shall not preclude children from obtaining waivers at any |
point during the academic year. |
(Source: P.A. 102-805, eff. 1-1-23; 102-1032, eff. 5-27-22; |
revised 12-13-22.)
|
|
(105 ILCS 5/10-20.83) |
Sec. 10-20.83. COVID-19 paid administrative leave. |
(a) In this Section: |
"Employee" means a person employed by a school district on |
or after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
"Fully vaccinated against COVID-19" means: |
(1) 2 weeks after receiving the second dose in a |
2-dose series of a COVID-19 vaccine authorized for |
emergency use, licensed, or otherwise approved by the |
United States Food and Drug Administration; or |
(2) 2 weeks after receiving a single dose of a |
COVID-19 vaccine authorized for emergency use, licensed, |
or otherwise approved by the United States Food and Drug |
Administration. |
"Fully vaccinated against COVID-19" also includes any |
recommended booster doses for which the individual is eligible |
upon the adoption by the Department of Public Health of any |
changes made by the Centers for Disease Control and Prevention |
of the United States Department of Health and Human Services |
to the definition of "fully vaccinated against COVID-19" to |
include any such booster doses. For purposes of this Section, |
individuals who are eligible for a booster dose but have not |
received a booster dose by 5 weeks after the Department of |
Public Health adopts a revised definition of "fully vaccinated |
|
against COVID-19" are not considered fully vaccinated for |
determining eligibility for future paid administrative leave |
pursuant to this Section. |
"School district" includes charter schools established |
under Article 27A of this Code, but does not include the |
Department of Juvenile Justice School District. |
(b) During any time when the Governor has declared a |
disaster due to a public health emergency pursuant to Section |
7 of the Illinois Emergency Management Agency Act and a school |
district, the State or any of its agencies, or a local public |
health department has issued
guidance, mandates, or rules |
related to COVID-19 that restrict
an employee of the school |
district from being on school district property because the |
employee (i) has a confirmed positive COVID-19 diagnosis via a |
molecular amplification diagnostic test, such as a polymerase |
chain reaction (PCR) test for COVID-19, (ii) has a probable |
COVID-19 diagnosis via an antigen diagnostic test, (iii) has |
been in close contact with a person who had a confirmed case of |
COVID-19 and is required to be excluded from the school, or |
(iv) is required by the school or school district policy to be |
excluded from school district property due to COVID-19 |
symptoms, the employee of the school district shall receive as |
many days of administrative leave as required to abide by the |
public health guidance, mandates, and requirements issued by |
the Department of Public Health, unless a longer period of |
paid administrative leave has been negotiated with the |
|
exclusive bargaining representative if any. Such leave shall |
be provided to an employee for any days for which the employee |
was required to be excluded from school property prior to |
April 5, 2022 ( the effective date of Public Act 102-697) this |
amendatory Act of the 102nd General Assembly , provided that |
the employee receives all doses required to meet the |
definition of "fully vaccinated against COVID-19" under this |
Section no later than 5 weeks after April 5, 2022 ( the |
effective date of Public Act 102-697) this amendatory Act of |
the 102nd General Assembly . |
(c) An employee of a school district shall receive paid
|
administrative leave pursuant to subsection (b) of this |
Section, unless a
longer period of paid administrative leave |
has been negotiated
with the exclusive bargaining |
representative if any, to care for a
child of the employee if |
the child is unable to attend
elementary or secondary school
|
because the child has: |
(1) a confirmed positive COVID-19 diagnosis via a
|
molecular amplification diagnostic test, such as a
|
polymerase chain reaction (PCR) test for COVID-19; |
(2) a probable COVID-19 diagnosis via an antigen
|
diagnostic test; |
(3) been in close contact with a person who has a
|
confirmed case of COVID-19 and is required to be excluded |
from school; or |
(4) been required by the school or school district |
|
policy to be excluded from school district property due to |
COVID-19 symptoms. |
Such leave shall be provided to an employee for any days needed |
to care for a child of the employee prior to April 5, 2022 ( the |
effective date of Public Act 102-697) this amendatory Act of |
the 102nd General Assembly , provided that the employee |
receives the doses required to meet the definition of "fully |
vaccinated against COVID-19" under this Section no later than |
5 weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
(d) An employee of a school district who is on paid
|
administrative leave pursuant to this Section must provide all
|
documentation requested by the school board. |
(e) An employee of a school district who is on paid
|
administrative leave pursuant to this Section shall receive
|
the employee's regular rate of pay. The use of a paid
|
administrative leave day or days by an employee pursuant to
|
this Section may not diminish any other leave or benefits of
|
the employee. |
(f) An employee of a school district may not accrue paid
|
administrative leave pursuant to this Section. |
(g) For an employee of a school district to be eligible to |
receive paid administrative leave pursuant to this Section, |
the employee must: |
(1) have received all required doses to be fully |
vaccinated against COVID-19, as defined in this Section; |
|
and |
(2) participate in the COVID-19 testing program |
adopted by the school district to the extent such a |
testing program requires participation by individuals who |
are fully vaccinated against COVID-19. |
(h) Nothing in this Section is intended to affect any |
right or remedy under federal law. |
(i) No paid administrative leave awarded to or used by a |
fully vaccinated employee prior to the Department of Public |
Health's adoption of a revised definition of the term "fully |
vaccinated against COVID-19" may be rescinded on the basis |
that the employee no longer meets the definition of "fully |
vaccinated against COVID-19" based on the revised definition.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-3-22.)
|
(105 ILCS 5/10-20.84) |
Sec. 10-20.84 10-20.83 . College and career readiness |
systems. |
(a) Subject to subsection (d) of this Section, by July 1, |
2025, a school district that enrolls students in any of grades |
6 through 12 shall adopt and commence implementation of career |
exploration and career development activities in accordance |
with a postsecondary and career expectations framework for |
each of grades 6 through 12 served by the district that |
substantially aligns to the model framework adopted by State |
agencies pursuant to Section 15 of the Postsecondary and |
|
Workforce Readiness Act. The local postsecondary and career |
expectations framework shall be available on a prominent |
location on the school district's website. |
The career exploration and career development activities |
offered in alignment with the postsecondary and career |
expectations framework shall prepare students enrolled in |
grades 6 through 12 to make informed plans and decisions about |
their future education and career goals, including possible |
participation in a career and technical education pathway, by |
providing students with opportunities to explore a wide |
variety of high-skill, high-wage, and in-demand career fields. |
(b) By no later than July 1, 2025, a school district that |
enrolls students in any of grades 9 through 12 shall either |
elect to implement College and Career Pathway Endorsements in |
accordance with subsection (c) of this Section or opt out of |
implementation in accordance with subsection (d) of this |
Section. |
(c) A school district that enrolls students in any of |
grades 9 through 12 electing to implement College and Career |
Pathway Endorsements shall become an eligible school district |
and either (i) independently, (ii) through an area career |
center, or (iii) through an inter-district cooperative, award |
College and
Career Pathway Endorsements pursuant to the |
Postsecondary and Workforce
Readiness Act and pursuant to the |
following schedule: |
(1) for the high school graduating class of 2027, a |
|
school district shall offer College and Career Pathway |
Endorsements in at least one endorsement area; |
(2) for the high school graduating class of 2029, a |
school district shall offer College and Career Pathway |
Endorsements in at least 2 endorsement areas; and |
(3) for the high school graduating class of 2031, a |
school district with a grade 9 through 12 enrollment of |
more than 350 students, as calculated by the State Board |
of Education for the 2022-2023 school year, shall offer |
College and Career Pathway Endorsements in at least 3 |
endorsement areas. |
A school district may elect to implement College and |
Career Pathway Endorsements by July 1, 2025, either by |
submitting the necessary application materials to the State |
Board of Education to award the number of endorsements |
required by this subsection or by the school board of the |
district adopting a timeline for implementation consistent |
with the requirements of this subsection. |
(d) The school board of any school district may, by action |
of the board, opt out of implementation of all or any part of |
this Section through adoption of a set of findings that |
considers the following: |
(1) the school district's current systems for college |
and career readiness; |
(2) the school district's cost of implementation |
balanced against the potential benefits to students and |
|
families through improved postsecondary education and |
career outcomes; |
(3) the willingness and capacity of local businesses |
to partner with the school district for successful |
implementation of pathways other than education; |
(4) the willingness of institutions of higher |
education to partner with the school district for |
successful implementation of the pathway and whether the |
district has sought and established a partnership |
agreement with a community college district incorporating |
the provisions of the Model Partnership Agreement under |
the Dual Credit Quality Act; |
(5) the availability of a statewide database of |
participating local business partners, as provided under |
the Postsecondary and Workforce Readiness Act, for the |
purpose of career readiness and the accessibility of those |
work experiences and apprenticeships listed in the |
database to the students of the school district; and |
(6) the availability of properly licensed teachers or |
teachers meeting faculty credential standards for dual |
credit courses to instruct in the program required for the |
endorsement areas. |
A school district must report its board findings and |
decision on implementation to the State Board of Education. A |
school district electing to opt out of implementation may |
reverse its decision in whole or in part at any time. |
|
(e) The State Board of Education may adopt any rules |
necessary to implement this Section.
|
(Source: P.A. 102-917, eff. 1-1-23; revised 1-10-23.)
|
(105 ILCS 5/10-21.9) (from Ch. 122, par. 10-21.9)
|
(Text of Section before amendment by P.A. 102-702 ) |
Sec. 10-21.9. Criminal history records checks and checks |
of the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database.
|
(a) Licensed and nonlicensed applicants for employment |
with a school
district, except school bus driver applicants, |
are required as a condition
of employment to authorize a |
fingerprint-based criminal history records check to determine |
if such applicants have been convicted of any disqualifying, |
enumerated criminal or drug offenses in subsection (c) of this |
Section or
have been convicted, within 7 years of the |
application for employment with
the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State.
Authorization for
the check shall be furnished by |
the applicant to
the school district, except that if the |
applicant is a substitute teacher
seeking employment in more |
than one school district, a teacher seeking
concurrent |
part-time employment positions with more than one school
|
|
district (as a reading specialist, special education teacher |
or otherwise),
or an educational support personnel employee |
seeking employment positions
with more than one district, any |
such district may require the applicant to
furnish |
authorization for
the check to the regional superintendent
of |
the educational service region in which are located the school |
districts
in which the applicant is seeking employment as a |
substitute or concurrent
part-time teacher or concurrent |
educational support personnel employee.
Upon receipt of this |
authorization, the school district or the appropriate
regional |
superintendent, as the case may be, shall submit the |
applicant's
name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The regional
superintendent submitting the requisite |
information to the Illinois
State Police shall promptly notify |
the school districts in which the
applicant is seeking |
employment as a substitute or concurrent part-time
teacher or |
concurrent educational support personnel employee that
the
|
check of the applicant has been requested. The Illinois State |
Police and the Federal Bureau of Investigation shall furnish, |
pursuant to a fingerprint-based criminal history records |
check, records of convictions, forever and hereinafter, until |
expunged, to the president of the school board for the school |
district that requested the check, or to the regional |
superintendent who requested the check.
The Illinois State |
|
Police
shall charge
the school district
or the appropriate |
regional superintendent a fee for
conducting
such check, which |
fee shall be deposited in the State
Police Services Fund and |
shall not exceed the cost of
the inquiry; and the
applicant |
shall not be charged a fee for
such check by the school
|
district or by the regional superintendent, except that those |
applicants seeking employment as a substitute teacher with a |
school district may be charged a fee not to exceed the cost of |
the inquiry. Subject to appropriations for these purposes, the |
State Superintendent of Education shall reimburse school |
districts and regional superintendents for fees paid to obtain |
criminal history records checks under this Section.
|
(a-5) The school district or regional superintendent shall |
further perform a check of the Statewide Sex Offender |
Database, as authorized by the Sex Offender Community |
Notification Law, for each applicant. The check of the |
Statewide Sex Offender Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(a-6) The school district or regional superintendent shall |
further perform a check of the Statewide Murderer and Violent |
Offender Against Youth Database, as authorized by the Murderer |
and Violent Offender Against Youth Community Notification Law, |
for each applicant. The check of the Murderer and Violent |
Offender Against Youth Database must be conducted by the |
|
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(b)
Any information
concerning the record of convictions |
obtained by the president of the
school board or the regional |
superintendent shall be confidential and may
only be |
transmitted to the superintendent of the school district or |
his
designee, the appropriate regional superintendent if
the |
check was
requested by the school district, the presidents of |
the appropriate school
boards if
the check was requested from |
the Illinois State
Police by the regional superintendent, the |
State Board of Education and a school district as authorized |
under subsection (b-5), the State Superintendent of
Education, |
the State Educator Preparation and Licensure Board, any other |
person
necessary to the decision of hiring the applicant for |
employment, or for clarification purposes the Illinois State |
Police or Statewide Sex Offender Database, or both. A copy
of |
the record of convictions obtained from the Illinois State |
Police
shall be provided to the applicant for employment. Upon |
the check of the Statewide Sex Offender Database or Statewide |
Murderer and Violent Offender Against Youth Database, the |
school district or regional superintendent shall notify an |
applicant as to whether or not the applicant has been |
identified in the Database. If a check of
an applicant for |
employment as a substitute or concurrent part-time teacher
or |
concurrent educational support personnel employee in more than |
|
one
school district was requested by the regional |
superintendent, and the Illinois
State Police upon a check |
ascertains that the applicant
has not been convicted of any of |
the enumerated criminal or drug offenses
in subsection (c) of |
this Section
or has not been convicted, within 7 years of the
|
application for
employment with the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State
and so notifies the regional
superintendent and if |
the regional superintendent upon a check ascertains that the |
applicant has not been identified in the Sex Offender Database |
or Statewide Murderer and Violent Offender Against Youth |
Database, then the
regional superintendent shall issue to the |
applicant a certificate
evidencing that as of the date |
specified by the Illinois State Police
the applicant has not |
been convicted of any of the enumerated criminal or
drug |
offenses in subsection (c) of this Section
or has not been
|
convicted, within 7 years of the application for employment |
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State and |
evidencing that as of the date that the regional |
|
superintendent conducted a check of the Statewide Sex Offender |
Database or Statewide Murderer and Violent Offender Against |
Youth Database, the applicant has not been identified in the |
Database. The school
board of
any
school district
may rely on |
the
certificate issued by any regional superintendent to that |
substitute teacher, concurrent part-time teacher, or |
concurrent educational support personnel employee or may
|
initiate its own criminal history records check of the |
applicant through the Illinois
State Police and its own check |
of the Statewide Sex Offender Database or Statewide Murderer |
and Violent Offender Against Youth Database as provided in |
this Section. Any unauthorized release of confidential |
information may be a violation of Section 7 of the Criminal |
Identification Act.
|
(b-5) If a criminal history records check or check of the |
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database is performed by a |
regional superintendent for an applicant seeking employment as |
a substitute teacher with a school district, the regional |
superintendent may disclose to the State Board of Education |
whether the applicant has been issued a certificate under |
subsection (b) based on those checks. If the State Board |
receives information on an applicant under this subsection, |
then it must indicate in the Educator Licensure Information |
System for a 90-day period that the applicant has been issued |
or has not been issued a certificate. |
|
(c) No school board shall knowingly employ a person who |
has been
convicted of any offense that would subject him or her |
to license suspension or revocation pursuant to Section 21B-80 |
of this Code, except as provided under subsection (b) of |
Section 21B-80.
Further, no school board shall knowingly |
employ a person who has been found
to be the perpetrator of |
sexual or physical abuse of any minor under 18 years
of age |
pursuant to proceedings under Article II of the Juvenile Court |
Act of
1987. As a condition of employment, each school board |
must consider the status of a person who has been issued an |
indicated finding of abuse or neglect of a child by the |
Department of Children and Family Services under the Abused |
and Neglected Child Reporting Act or by a child welfare agency |
of another jurisdiction.
|
(d) No school board shall knowingly employ a person for |
whom a criminal
history records check and a Statewide Sex |
Offender Database check have not been initiated.
|
(e) Within 10 days after a superintendent, regional office |
of education, or entity that provides background checks of |
license holders to public schools receives information of a |
pending criminal charge against a license holder for an |
offense set forth in Section 21B-80 of this Code, the |
superintendent, regional office of education, or entity must |
notify the State Superintendent of Education of the pending |
criminal charge. |
If permissible by federal or State law, no later than 15 |
|
business days after receipt of a record of conviction or of |
checking the Statewide Murderer and Violent Offender Against |
Youth Database or the Statewide Sex Offender Database and |
finding a registration, the superintendent of the employing |
school board or the applicable regional superintendent shall, |
in writing, notify the State Superintendent of Education of |
any license holder who has been convicted of a crime set forth |
in Section 21B-80 of this Code. Upon receipt of the record of a |
conviction of or a finding of child
abuse by a holder of any |
license
issued pursuant to Article 21B or Section 34-8.1 of |
this Code, the
State Superintendent of Education may initiate |
licensure suspension
and revocation proceedings as authorized |
by law. If the receipt of the record of conviction or finding |
of child abuse is received within 6 months after the initial |
grant of or renewal of a license, the State Superintendent of |
Education may rescind the license holder's license.
|
(e-5) The superintendent of the employing school board |
shall, in writing, notify the State Superintendent of |
Education and the applicable regional superintendent of |
schools of any license holder whom he or she has reasonable |
cause to believe has committed an intentional act of abuse or |
neglect with the result of making a child an abused child or a |
neglected child, as defined in Section 3 of the Abused and |
Neglected Child Reporting Act, and that act resulted in the |
license holder's dismissal or resignation from the school |
district. This notification must be submitted within 30 days |
|
after the dismissal or resignation and must include the |
Illinois Educator Identification Number (IEIN) of the license |
holder and a brief description of the misconduct alleged. The |
license holder must also be contemporaneously sent a copy of |
the notice by the superintendent. All correspondence, |
documentation, and other information so received by the |
regional superintendent of schools, the State Superintendent |
of Education, the State Board of Education, or the State |
Educator Preparation and Licensure Board under this subsection |
(e-5) is confidential and must not be disclosed to third |
parties, except (i) as necessary for the State Superintendent |
of Education or his or her designee to investigate and |
prosecute pursuant to Article 21B of this Code, (ii) pursuant |
to a court order, (iii) for disclosure to the license holder or |
his or her representative, or (iv) as otherwise provided in |
this Article and provided that any such information admitted |
into evidence in a hearing is exempt from this confidentiality |
and non-disclosure requirement. Except for an act of willful |
or wanton misconduct, any superintendent who provides |
notification as required in this subsection (e-5) shall have |
immunity from any liability, whether civil or criminal or that |
otherwise might result by reason of such action. |
(f) After January 1, 1990 the provisions of this Section |
shall apply
to all employees of persons or firms holding |
contracts with any school
district including, but not limited |
to, food service workers, school bus
drivers and other |
|
transportation employees, who have direct, daily contact
with |
the pupils of any school in such district. For purposes of |
criminal
history records checks and checks of the Statewide |
Sex Offender Database on employees of persons or firms holding
|
contracts with more than one school district and assigned to |
more than one
school district, the regional superintendent of |
the educational service
region in which the contracting school |
districts are located may, at the
request of any such school |
district, be responsible for receiving the
authorization for
a |
criminal history records check prepared by each such employee |
and
submitting the same to the Illinois State Police and for |
conducting a check of the Statewide Sex Offender Database for |
each employee. Any information
concerning the record of |
conviction and identification as a sex offender of any such |
employee obtained by the
regional superintendent shall be |
promptly reported to the president of the
appropriate school |
board or school boards.
|
(f-5) Upon request of a school or school district, any |
information obtained by a school district pursuant to |
subsection (f) of this Section within the last year must be |
made available to the requesting school or school district. |
(g) Prior to the commencement of any student teaching |
experience or required internship (which is referred to as |
student teaching in this Section) in the public schools, a |
student teacher is required to authorize a fingerprint-based |
criminal history records check. Authorization for and payment |
|
of the costs of the check must be furnished by the student |
teacher to the school district where the student teaching is |
to be completed. Upon receipt of this authorization and |
payment, the school district shall submit the student |
teacher's name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The Illinois State Police and the Federal Bureau of |
Investigation shall furnish, pursuant to a fingerprint-based |
criminal history records check, records of convictions, |
forever and hereinafter, until expunged, to the president of |
the school board for the school district that requested the |
check. The Illinois State Police shall charge the school |
district a fee for conducting the check, which fee must not |
exceed the cost of the inquiry and must be deposited into the |
State Police Services Fund. The school district shall further |
perform a check of the Statewide Sex Offender Database, as |
authorized by the Sex Offender Community Notification Law, and |
of the Statewide Murderer and Violent Offender Against Youth |
Database, as authorized by the Murderer and Violent Offender |
Against Youth Registration Act, for each student teacher. No |
school board may knowingly allow a person to student teach for |
whom a criminal history records check, a Statewide Sex |
Offender Database check, and a Statewide Murderer and Violent |
Offender Against Youth Database check have not been completed |
and reviewed by the district. |
|
A copy of the record of convictions obtained from the |
Illinois State Police must be provided to the student teacher. |
Any information concerning the record of convictions obtained |
by the president of the school board is confidential and may |
only be transmitted to the superintendent of the school |
district or his or her designee, the State Superintendent of |
Education, the State Educator Preparation and Licensure Board, |
or, for clarification purposes, the Illinois State Police or |
the Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database. Any unauthorized |
release of confidential information may be a violation of |
Section 7 of the Criminal Identification Act. |
No school board shall knowingly allow a person to student |
teach who has been convicted of any offense that would subject |
him or her to license suspension or revocation pursuant to |
subsection (c) of Section 21B-80 of this Code, except as |
provided under subsection (b) of Section 21B-80. Further, no |
school board shall allow a person to student teach if he or she |
has been found to be the perpetrator of sexual or physical |
abuse of a minor under 18 years of age pursuant to proceedings |
under Article II of the Juvenile Court Act of 1987. Each school |
board must consider the status of a person to student teach who |
has been issued an indicated finding of abuse or neglect of a |
child by the Department of Children and Family Services under |
the Abused and Neglected Child Reporting Act or by a child |
welfare agency of another jurisdiction. |
|
(h) (Blank). |
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19; |
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff. |
1-1-22; 102-813, eff. 5-13-22; 102-894, eff. 5-20-22; |
102-1071, eff. 6-10-22.)
|
(Text of Section after amendment by P.A. 102-702 )
|
Sec. 10-21.9. Criminal history records checks and checks |
of the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database.
|
(a) Licensed and nonlicensed applicants for employment |
with a school
district, except school bus driver applicants, |
are required as a condition
of employment to authorize a |
fingerprint-based criminal history records check to determine |
if such applicants have been convicted of any disqualifying, |
enumerated criminal or drug offenses in subsection (c) of this |
Section or
have been convicted, within 7 years of the |
application for employment with
the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State.
Authorization for
the check shall be furnished by |
the applicant to
the school district, except that if the |
applicant is a substitute teacher
seeking employment in more |
than one school district, a teacher seeking
concurrent |
|
part-time employment positions with more than one school
|
district (as a reading specialist, special education teacher |
or otherwise),
or an educational support personnel employee |
seeking employment positions
with more than one district, any |
such district may require the applicant to
furnish |
authorization for
the check to the regional superintendent
of |
the educational service region in which are located the school |
districts
in which the applicant is seeking employment as a |
substitute or concurrent
part-time teacher or concurrent |
educational support personnel employee.
Upon receipt of this |
authorization, the school district or the appropriate
regional |
superintendent, as the case may be, shall submit the |
applicant's
name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The regional
superintendent submitting the requisite |
information to the Illinois
State Police shall promptly notify |
the school districts in which the
applicant is seeking |
employment as a substitute or concurrent part-time
teacher or |
concurrent educational support personnel employee that
the
|
check of the applicant has been requested. The Illinois State |
Police and the Federal Bureau of Investigation shall furnish, |
pursuant to a fingerprint-based criminal history records |
check, records of convictions, forever and hereinafter, until |
expunged, to the president of the school board for the school |
district that requested the check, or to the regional |
|
superintendent who requested the check.
The Illinois State |
Police
shall charge
the school district
or the appropriate |
regional superintendent a fee for
conducting
such check, which |
fee shall be deposited in the State
Police Services Fund and |
shall not exceed the cost of
the inquiry; and the
applicant |
shall not be charged a fee for
such check by the school
|
district or by the regional superintendent, except that those |
applicants seeking employment as a substitute teacher with a |
school district may be charged a fee not to exceed the cost of |
the inquiry. Subject to appropriations for these purposes, the |
State Superintendent of Education shall reimburse school |
districts and regional superintendents for fees paid to obtain |
criminal history records checks under this Section.
|
(a-5) The school district or regional superintendent shall |
further perform a check of the Statewide Sex Offender |
Database, as authorized by the Sex Offender Community |
Notification Law, for each applicant. The check of the |
Statewide Sex Offender Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(a-6) The school district or regional superintendent shall |
further perform a check of the Statewide Murderer and Violent |
Offender Against Youth Database, as authorized by the Murderer |
and Violent Offender Against Youth Community Notification Law, |
for each applicant. The check of the Murderer and Violent |
|
Offender Against Youth Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(b)
Any information
concerning the record of convictions |
obtained by the president of the
school board or the regional |
superintendent shall be confidential and may
only be |
transmitted to the superintendent of the school district or |
his
designee, the appropriate regional superintendent if
the |
check was
requested by the school district, the presidents of |
the appropriate school
boards if
the check was requested from |
the Illinois State
Police by the regional superintendent, the |
State Board of Education and a school district as authorized |
under subsection (b-5), the State Superintendent of
Education, |
the State Educator Preparation and Licensure Board, any other |
person
necessary to the decision of hiring the applicant for |
employment, or for clarification purposes the Illinois State |
Police or Statewide Sex Offender Database, or both. A copy
of |
the record of convictions obtained from the Illinois State |
Police
shall be provided to the applicant for employment. Upon |
the check of the Statewide Sex Offender Database or Statewide |
Murderer and Violent Offender Against Youth Database, the |
school district or regional superintendent shall notify an |
applicant as to whether or not the applicant has been |
identified in the Database. If a check of
an applicant for |
employment as a substitute or concurrent part-time teacher
or |
|
concurrent educational support personnel employee in more than |
one
school district was requested by the regional |
superintendent, and the Illinois
State Police upon a check |
ascertains that the applicant
has not been convicted of any of |
the enumerated criminal or drug offenses
in subsection (c) of |
this Section
or has not been convicted, within 7 years of the
|
application for
employment with the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State
and so notifies the regional
superintendent and if |
the regional superintendent upon a check ascertains that the |
applicant has not been identified in the Sex Offender Database |
or Statewide Murderer and Violent Offender Against Youth |
Database, then the
regional superintendent shall issue to the |
applicant a certificate
evidencing that as of the date |
specified by the Illinois State Police
the applicant has not |
been convicted of any of the enumerated criminal or
drug |
offenses in subsection (c) of this Section
or has not been
|
convicted, within 7 years of the application for employment |
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State and |
|
evidencing that as of the date that the regional |
superintendent conducted a check of the Statewide Sex Offender |
Database or Statewide Murderer and Violent Offender Against |
Youth Database, the applicant has not been identified in the |
Database. The school
board of
any
school district
may rely on |
the
certificate issued by any regional superintendent to that |
substitute teacher, concurrent part-time teacher, or |
concurrent educational support personnel employee or may
|
initiate its own criminal history records check of the |
applicant through the Illinois
State Police and its own check |
of the Statewide Sex Offender Database or Statewide Murderer |
and Violent Offender Against Youth Database as provided in |
this Section. Any unauthorized release of confidential |
information may be a violation of Section 7 of the Criminal |
Identification Act.
|
(b-5) If a criminal history records check or check of the |
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database is performed by a |
regional superintendent for an applicant seeking employment as |
a substitute teacher with a school district, the regional |
superintendent may disclose to the State Board of Education |
whether the applicant has been issued a certificate under |
subsection (b) based on those checks. If the State Board |
receives information on an applicant under this subsection, |
then it must indicate in the Educator Licensure Information |
System for a 90-day period that the applicant has been issued |
|
or has not been issued a certificate. |
(c) No school board shall knowingly employ a person who |
has been
convicted of any offense that would subject him or her |
to license suspension or revocation pursuant to Section 21B-80 |
of this Code, except as provided under subsection (b) of |
Section 21B-80.
Further, no school board shall knowingly |
employ a person who has been found
to be the perpetrator of |
sexual or physical abuse of any minor under 18 years
of age |
pursuant to proceedings under Article II of the Juvenile Court |
Act of
1987. As a condition of employment, each school board |
must consider the status of a person who has been issued an |
indicated finding of abuse or neglect of a child by the |
Department of Children and Family Services under the Abused |
and Neglected Child Reporting Act or by a child welfare agency |
of another jurisdiction.
|
(d) No school board shall knowingly employ a person for |
whom a criminal
history records check and a Statewide Sex |
Offender Database check have not been initiated.
|
(e) Within 10 days after a superintendent, regional office |
of education, or entity that provides background checks of |
license holders to public schools receives information of a |
pending criminal charge against a license holder for an |
offense set forth in Section 21B-80 of this Code, the |
superintendent, regional office of education, or entity must |
notify the State Superintendent of Education of the pending |
criminal charge. |
|
If permissible by federal or State law, no later than 15 |
business days after receipt of a record of conviction or of |
checking the Statewide Murderer and Violent Offender Against |
Youth Database or the Statewide Sex Offender Database and |
finding a registration, the superintendent of the employing |
school board or the applicable regional superintendent shall, |
in writing, notify the State Superintendent of Education of |
any license holder who has been convicted of a crime set forth |
in Section 21B-80 of this Code. Upon receipt of the record of a |
conviction of or a finding of child
abuse by a holder of any |
license
issued pursuant to Article 21B or Section 34-8.1 of |
this Code, the
State Superintendent of Education may initiate |
licensure suspension
and revocation proceedings as authorized |
by law. If the receipt of the record of conviction or finding |
of child abuse is received within 6 months after the initial |
grant of or renewal of a license, the State Superintendent of |
Education may rescind the license holder's license.
|
(e-5) The superintendent of the employing school board |
shall, in writing, notify the State Superintendent of |
Education and the applicable regional superintendent of |
schools of any license holder whom he or she has reasonable |
cause to believe has committed (i) an intentional act of abuse |
or neglect with the result of making a child an abused child or |
a neglected child, as defined in Section 3 of the Abused and |
Neglected Child Reporting Act, or (ii) an act of sexual |
misconduct, as defined in Section 22-85.5 of this Code, and |
|
that act resulted in the license holder's dismissal or |
resignation from the school district. This notification must |
be submitted within 30 days after the dismissal or resignation |
and must include the Illinois Educator Identification Number |
(IEIN) of the license holder and a brief description of the |
misconduct alleged. The license holder must also be |
contemporaneously sent a copy of the notice by the |
superintendent. All correspondence, documentation, and other |
information so received by the regional superintendent of |
schools, the State Superintendent of Education, the State |
Board of Education, or the State Educator Preparation and |
Licensure Board under this subsection (e-5) is confidential |
and must not be disclosed to third parties, except (i) as |
necessary for the State Superintendent of Education or his or |
her designee to investigate and prosecute pursuant to Article |
21B of this Code, (ii) pursuant to a court order, (iii) for |
disclosure to the license holder or his or her representative, |
or (iv) as otherwise provided in this Article and provided |
that any such information admitted into evidence in a hearing |
is exempt from this confidentiality and non-disclosure |
requirement. Except for an act of willful or wanton |
misconduct, any superintendent who provides notification as |
required in this subsection (e-5) shall have immunity from any |
liability, whether civil or criminal or that otherwise might |
result by reason of such action. |
(f) After January 1, 1990 the provisions of this Section |
|
shall apply
to all employees of persons or firms holding |
contracts with any school
district including, but not limited |
to, food service workers, school bus
drivers and other |
transportation employees, who have direct, daily contact
with |
the pupils of any school in such district. For purposes of |
criminal
history records checks and checks of the Statewide |
Sex Offender Database on employees of persons or firms holding
|
contracts with more than one school district and assigned to |
more than one
school district, the regional superintendent of |
the educational service
region in which the contracting school |
districts are located may, at the
request of any such school |
district, be responsible for receiving the
authorization for
a |
criminal history records check prepared by each such employee |
and
submitting the same to the Illinois State Police and for |
conducting a check of the Statewide Sex Offender Database for |
each employee. Any information
concerning the record of |
conviction and identification as a sex offender of any such |
employee obtained by the
regional superintendent shall be |
promptly reported to the president of the
appropriate school |
board or school boards.
|
(f-5) Upon request of a school or school district, any |
information obtained by a school district pursuant to |
subsection (f) of this Section within the last year must be |
made available to the requesting school or school district. |
(g) Prior to the commencement of any student teaching |
experience or required internship (which is referred to as |
|
student teaching in this Section) in the public schools, a |
student teacher is required to authorize a fingerprint-based |
criminal history records check. Authorization for and payment |
of the costs of the check must be furnished by the student |
teacher to the school district where the student teaching is |
to be completed. Upon receipt of this authorization and |
payment, the school district shall submit the student |
teacher's name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The Illinois State Police and the Federal Bureau of |
Investigation shall furnish, pursuant to a fingerprint-based |
criminal history records check, records of convictions, |
forever and hereinafter, until expunged, to the president of |
the school board for the school district that requested the |
check. The Illinois State Police shall charge the school |
district a fee for conducting the check, which fee must not |
exceed the cost of the inquiry and must be deposited into the |
State Police Services Fund. The school district shall further |
perform a check of the Statewide Sex Offender Database, as |
authorized by the Sex Offender Community Notification Law, and |
of the Statewide Murderer and Violent Offender Against Youth |
Database, as authorized by the Murderer and Violent Offender |
Against Youth Registration Act, for each student teacher. No |
school board may knowingly allow a person to student teach for |
whom a criminal history records check, a Statewide Sex |
|
Offender Database check, and a Statewide Murderer and Violent |
Offender Against Youth Database check have not been completed |
and reviewed by the district. |
A copy of the record of convictions obtained from the |
Illinois State Police must be provided to the student teacher. |
Any information concerning the record of convictions obtained |
by the president of the school board is confidential and may |
only be transmitted to the superintendent of the school |
district or his or her designee, the State Superintendent of |
Education, the State Educator Preparation and Licensure Board, |
or, for clarification purposes, the Illinois State Police or |
the Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database. Any unauthorized |
release of confidential information may be a violation of |
Section 7 of the Criminal Identification Act. |
No school board shall knowingly allow a person to student |
teach who has been convicted of any offense that would subject |
him or her to license suspension or revocation pursuant to |
subsection (c) of Section 21B-80 of this Code, except as |
provided under subsection (b) of Section 21B-80. Further, no |
school board shall allow a person to student teach if he or she |
has been found to be the perpetrator of sexual or physical |
abuse of a minor under 18 years of age pursuant to proceedings |
under Article II of the Juvenile Court Act of 1987. Each school |
board must consider the status of a person to student teach who |
has been issued an indicated finding of abuse or neglect of a |
|
child by the Department of Children and Family Services under |
the Abused and Neglected Child Reporting Act or by a child |
welfare agency of another jurisdiction. |
(h) (Blank). |
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19; |
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff. |
1-1-22; 102-702, eff. 7-1-23; 102-813, eff. 5-13-22; 102-894, |
eff. 5-20-22; 102-1071, eff. 6-10-22; revised 8-24-22.)
|
(105 ILCS 5/10-22.24b)
|
Sec. 10-22.24b. School counseling services. School |
counseling services in public schools may be provided by |
school counselors as defined in Section 10-22.24a of this Code |
or by individuals who hold a Professional Educator License |
with a school support personnel endorsement in the area of |
school counseling under Section 21B-25 of this Code. |
School counseling services may include, but are not |
limited to: |
(1) designing and delivering a comprehensive school |
counseling program that promotes student achievement and |
wellness; |
(2) incorporating the common core language into the |
school counselor's work and role; |
(3) school counselors working as culturally skilled |
professionals who act sensitively to promote social |
justice and equity in a pluralistic society; |
|
(4) providing individual and group counseling; |
(5) providing a core counseling curriculum that serves |
all students and addresses the knowledge and skills |
appropriate to their developmental level through a |
collaborative model of delivery involving the school |
counselor, classroom teachers, and other appropriate |
education professionals, and including prevention and |
pre-referral activities; |
(6) making referrals when necessary to appropriate |
offices or outside agencies; |
(7) providing college and career development |
activities and counseling; |
(8) developing individual career plans with students, |
which includes planning for post-secondary education, as |
appropriate, and engaging in related and relevant career |
and technical education coursework in high school as |
described in paragraph (55); |
(9) assisting all students with a college or |
post-secondary education plan, which must include a |
discussion on all post-secondary education options, |
including 4-year colleges or universities, community |
colleges, and vocational schools, and includes planning |
for post-secondary education, as appropriate, and engaging |
in related and relevant career and technical education |
coursework in high school as described in paragraph (55); |
(10) intentionally addressing the career and college |
|
needs of first generation students; |
(11) educating all students on scholarships, financial |
aid, and preparation of the Federal Application for |
Federal Student Aid; |
(12) collaborating with institutions of higher |
education and local community colleges so that students |
understand post-secondary education options and are ready |
to transition successfully; |
(13) providing crisis intervention and contributing to |
the development of a specific crisis plan within the |
school setting in collaboration with multiple |
stakeholders; |
(14) educating students, teachers, and parents on |
anxiety, depression, cutting, and suicide issues and |
intervening with students who present with these issues; |
(15) providing counseling and other resources to |
students who are in crisis; |
(16) providing resources for those students who do not |
have access to mental health services; |
(17) addressing bullying and conflict resolution with |
all students; |
(18) teaching communication skills and helping |
students develop positive relationships; |
(19) using culturally sensitive culturally-sensitive |
skills in working with all students to promote wellness; |
(20) addressing the needs of undocumented students in |
|
the school, as well as students who are legally in the |
United States, but whose parents are undocumented; |
(21) contributing to a student's functional behavioral |
assessment, as well as assisting in the development of |
non-aversive behavioral intervention strategies; |
(22) (i) assisting students in need of special |
education services by implementing the academic supports |
and social-emotional and college or career development |
counseling services or interventions per a student's |
individualized education program (IEP); (ii) participating |
in or contributing to a student's IEP and completing a |
social-developmental history; or (iii) providing services |
to a student with a disability under the student's IEP or |
federal Section 504 plan, as recommended by the student's |
IEP team or Section 504 plan team and in compliance with |
federal and State laws and rules governing the provision |
of educational and related services and school-based |
accommodations to students with
disabilities and the |
qualifications of school personnel to provide such |
services and accommodations; |
(23) assisting in the development of a personal |
educational plan with each student; |
(24) educating students on dual credit and learning |
opportunities on the Internet; |
(25) providing information for all students in the |
selection of courses that will lead to post-secondary |
|
education opportunities toward a successful career; |
(26) interpreting achievement test results and guiding |
students in appropriate directions; |
(27) counseling with students, families, and teachers, |
in compliance with federal and State laws; |
(28) providing families with opportunities for |
education and counseling as appropriate in relation to the |
student's educational assessment; |
(29) consulting and collaborating with teachers and |
other school personnel regarding behavior management and |
intervention plans and inclusion in support of students; |
(30) teaming and partnering with staff, parents, |
businesses, and community organizations to support student |
achievement and social-emotional learning standards for |
all students; |
(31) developing and implementing school-based |
prevention programs, including, but not limited to, |
mediation and violence prevention, implementing social and |
emotional education programs and services, and |
establishing and implementing bullying prevention and |
intervention programs; |
(32) developing culturally sensitive |
culturally-sensitive assessment instruments for measuring |
school counseling prevention and intervention |
effectiveness and collecting, analyzing, and interpreting |
data; |
|
(33) participating on school and district committees |
to advocate for student programs and resources, as well as |
establishing a school counseling advisory council that |
includes representatives of key stakeholders selected to |
review and advise on the implementation of the school |
counseling program; |
(34) acting as a liaison between the public schools |
and community resources and building relationships with |
important stakeholders, such as families, administrators, |
teachers, and board members; |
(35) maintaining organized, clear, and useful records |
in a confidential manner consistent with Section 5 of the |
Illinois School Student Records Act, the Family |
Educational Rights and Privacy Act, and the Health |
Insurance Portability and Accountability Act; |
(36) presenting an annual agreement to the |
administration, including a formal discussion of the |
alignment of school and school counseling program missions |
and goals and detailing specific school counselor |
responsibilities; |
(37) identifying and implementing culturally sensitive |
culturally-sensitive measures of success for student |
competencies in each of the 3 domains of academic, social |
and emotional, and college and career learning based on |
planned and periodic assessment of the comprehensive |
developmental school counseling program; |
|
(38) collaborating as a team member in Response to |
Intervention (RtI) and other school initiatives; |
(39) conducting observations and participating in |
recommendations or interventions regarding the placement |
of children in educational programs or special education |
classes; |
(40) analyzing data and results of school counseling |
program assessments, including curriculum, small-group, |
and closing-the-gap results reports, and designing |
strategies to continue to improve program effectiveness; |
(41) analyzing data and results of school counselor |
competency assessments; |
(42) following American School Counselor Association |
Ethical Standards for School Counselors to demonstrate |
high standards of integrity, leadership, and |
professionalism; |
(43) knowing and embracing common core standards by |
using common core language; |
(44) practicing as a culturally skilled |
culturally-skilled school counselor by infusing the |
multicultural competencies within the role of the school |
counselor, including the practice of culturally sensitive |
culturally-sensitive attitudes and beliefs, knowledge, and |
skills; |
(45) infusing the Social-Emotional Standards, as |
presented in the State Board of Education standards, |
|
across the curriculum and in the counselor's role in ways |
that empower and enable students to achieve academic |
success across all grade levels; |
(46) providing services only in areas in which the |
school counselor has appropriate training or expertise, as |
well as only providing counseling or consulting services |
within his or her employment to any student in the |
district or districts which employ such school counselor, |
in accordance with professional ethics; |
(47) having adequate training in supervision knowledge |
and skills in order to supervise school counseling interns |
enrolled in graduate school counselor preparation programs |
that meet the standards established by the State Board of |
Education; |
(48) being involved with State and national |
professional associations; |
(49) participating, at least once every 2 years, in an |
in-service training program for school counselors |
conducted by persons with expertise in domestic and sexual |
violence and the needs of expectant and parenting youth, |
which shall include training concerning (i) communicating |
with and listening to youth victims of domestic or sexual |
violence and expectant and parenting youth, (ii) |
connecting youth victims of domestic or sexual violence |
and expectant and parenting youth to appropriate in-school |
services and other agencies, programs, and services as |
|
needed, and (iii) implementing the school district's |
policies, procedures, and protocols with regard to such |
youth, including confidentiality; at a minimum, school |
personnel must be trained to understand, provide |
information and referrals, and address issues pertaining |
to youth who are parents, expectant parents, or victims of |
domestic or sexual violence; |
(50) participating, at least every 2 years, in an |
in-service training program for school counselors |
conducted by persons with expertise in anaphylactic |
reactions and management; |
(51) participating, at least once every 2 years, in an |
in-service training on educator ethics, teacher-student |
conduct, and school employee-student conduct for all |
personnel; |
(52) participating, in addition to other topics at |
in-service training programs, in training to identify the |
warning signs of mental illness and suicidal behavior in |
adolescents and teenagers and learning appropriate |
intervention and referral techniques; |
(53) obtaining training to have a basic knowledge of |
matters relating to acquired immunodeficiency syndrome |
(AIDS), including the nature of the disease, its causes |
and effects, the means of detecting it and preventing its |
transmission, and the availability of appropriate sources |
of counseling and referral and any other information that |
|
may be appropriate considering the age and grade level of |
the pupils; the school board shall supervise such training |
and the State Board of Education and the Department of |
Public Health shall jointly develop standards for such |
training; |
(54) participating in mandates from the State Board of |
Education for bullying education and social-emotional |
literacy literary ; and |
(55) promoting career and technical education by |
assisting each student to determine an appropriate |
postsecondary plan based upon the student's skills, |
strengths, and goals and assisting the student to |
implement the best practices that improve career or |
workforce readiness after high school. |
School districts may employ a sufficient number of school |
counselors to maintain the national and State recommended |
student-counselor ratio of 250 to 1. School districts may have |
school counselors spend at least 80% of his or her work time in |
direct contact with students. |
Nothing in this Section prohibits other qualified |
professionals, including other endorsed school support |
personnel, from providing the services listed in this Section.
|
(Source: P.A. 101-290, eff. 8-9-19; 102-876, eff. 1-1-23; |
revised 12-9-22.)
|
(105 ILCS 5/13-40) (from Ch. 122, par. 13-40)
|
|
Sec. 13-40. To increase the effectiveness of the |
Department of
Juvenile Justice and
thereby to better serve the |
interests of the people of Illinois the
following bill is |
presented.
|
Its purpose is to enhance the quality and scope of |
education for
inmates and wards within the Department of
|
Juvenile Justice so that they will
be better motivated and |
better equipped to restore themselves to
constructive and |
law-abiding law abiding lives in the community. The specific
|
measure sought is the creation of a school district within the
|
Department so that its educational programs can meet the needs |
of
persons committed and so the resources of public education |
at the state
and federal levels are best used, all of the same |
being contemplated
within the provisions of the Illinois State |
Constitution of 1970 which
provides that "A fundamental goal |
of the People of the State is the
educational development of |
all persons to the limits of their
capacities." Therefore, on |
July 1, 2006, the Department of
Corrections
school district |
shall be transferred to the Department of Juvenile Justice. It |
shall be responsible for the education of youth
within the |
Department of
Juvenile Justice and inmates age 21 or under |
within the Department of Corrections who have not yet earned a |
high school diploma or a State of Illinois High School |
Diploma, and the district may establish
primary, secondary, |
vocational, adult, special, and advanced educational
schools |
as provided in this Act. The Department of Corrections retains |
|
authority as provided for in subsection (d) of Section 3-6-2 |
of the Unified Code of Corrections. The
Board of Education for |
this district shall with the aid and advice of
professional |
educational personnel of the Department of
Juvenile Justice |
and
the State Board of Education determine the
needs and type |
of schools and the curriculum for each school within the
|
school district and may proceed to establish the same through |
existing
means within present and future appropriations, |
federal and state school
funds, vocational rehabilitation |
grants and funds and all other funds,
gifts and grants, |
private or public, including federal funds, but not
exclusive |
to the said sources but inclusive of all funds which might be
|
available for school purposes.
|
(Source: P.A. 102-1100, eff. 1-1-23; revised 12-9-22.)
|
(105 ILCS 5/13B-20.5)
|
Sec. 13B-20.5. Eligible activities and services. |
Alternative learning
opportunities programs
may include, |
without limitation, evening high school, in-school tutoring |
and
mentoring programs,
in-school suspension
programs, high |
school completion programs to assist high school dropouts in
|
completing their education, high school completion programs to |
allow students eligible for remote learning under Section |
34-18.81 34-18.78 to complete their education while |
incarcerated in an institution or facility of the Department |
of Corrections, support services, parental
involvement |
|
programs, and
programs to develop, enhance, or extend the |
transition for students
transferring back to the regular
|
school program, an adult education program, or a |
post-secondary education
program.
|
(Source: P.A. 102-966, eff. 5-27-22; revised 8-3-22.)
|
(105 ILCS 5/18-8.15) |
Sec. 18-8.15. Evidence-Based Funding for student success |
for the 2017-2018 and subsequent school years. |
(a) General provisions. |
(1) The purpose of this Section is to ensure that, by |
June 30, 2027 and beyond, this State has a kindergarten |
through grade 12 public education system with the capacity |
to ensure the educational development of all persons to |
the limits of their capacities in accordance with Section |
1 of Article X of the Constitution of the State of |
Illinois. To accomplish that objective, this Section |
creates a method of funding public education that is |
evidence-based; is sufficient to ensure every student |
receives a meaningful opportunity to learn irrespective of |
race, ethnicity, sexual orientation, gender, or |
community-income level; and is sustainable and |
predictable. When fully funded under this Section, every |
school shall have the resources, based on what the |
evidence indicates is needed, to: |
(A) provide all students with a high quality |
|
education that offers the academic, enrichment, social |
and emotional support, technical, and career-focused |
programs that will allow them to become competitive |
workers, responsible parents, productive citizens of |
this State, and active members of our national |
democracy; |
(B) ensure all students receive the education they |
need to graduate from high school with the skills |
required to pursue post-secondary education and |
training for a rewarding career; |
(C) reduce, with a goal of eliminating, the |
achievement gap between at-risk and non-at-risk |
students by raising the performance of at-risk |
students and not by reducing standards; and |
(D) ensure this State satisfies its obligation to |
assume the primary responsibility to fund public |
education and simultaneously relieve the |
disproportionate burden placed on local property taxes |
to fund schools. |
(2) The Evidence-Based Funding formula under this |
Section shall be applied to all Organizational Units in |
this State. The Evidence-Based Funding formula outlined in |
this Act is based on the formula outlined in Senate Bill 1 |
of the 100th General Assembly, as passed by both |
legislative chambers. As further defined and described in |
this Section, there are 4 major components of the |
|
Evidence-Based Funding model: |
(A) First, the model calculates a unique Adequacy |
Target for each Organizational Unit in this State that |
considers the costs to implement research-based |
activities, the unit's student demographics, and |
regional wage differences. |
(B) Second, the model calculates each |
Organizational Unit's Local Capacity, or the amount |
each Organizational Unit is assumed to contribute |
toward its Adequacy Target from local resources. |
(C) Third, the model calculates how much funding |
the State currently contributes to the Organizational |
Unit and adds that to the unit's Local Capacity to |
determine the unit's overall current adequacy of |
funding. |
(D) Finally, the model's distribution method |
allocates new State funding to those Organizational |
Units that are least well-funded, considering both |
Local Capacity and State funding, in relation to their |
Adequacy Target. |
(3) An Organizational Unit receiving any funding under |
this Section may apply those funds to any fund so received |
for which that Organizational Unit is authorized to make |
expenditures by law. |
(4) As used in this Section, the following terms shall |
have the meanings ascribed in this paragraph (4): |
|
"Adequacy Target" is defined in paragraph (1) of |
subsection (b) of this Section. |
"Adjusted EAV" is defined in paragraph (4) of |
subsection (d) of this Section. |
"Adjusted Local Capacity Target" is defined in |
paragraph (3) of subsection (c) of this Section. |
"Adjusted Operating Tax Rate" means a tax rate for all |
Organizational Units, for which the State Superintendent |
shall calculate and subtract for the Operating Tax Rate a |
transportation rate based on total expenses for |
transportation services under this Code, as reported on |
the most recent Annual Financial Report in Pupil |
Transportation Services, function 2550 in both the |
Education and Transportation funds and functions 4110 and |
4120 in the Transportation fund, less any corresponding |
fiscal year State of Illinois scheduled payments excluding |
net adjustments for prior years for regular, vocational, |
or special education transportation reimbursement pursuant |
to Section 29-5 or subsection (b) of Section 14-13.01 of |
this Code divided by the Adjusted EAV. If an |
Organizational Unit's corresponding fiscal year State of |
Illinois scheduled payments excluding net adjustments for |
prior years for regular, vocational, or special education |
transportation reimbursement pursuant to Section 29-5 or |
subsection (b) of Section 14-13.01 of this Code exceed the |
total transportation expenses, as defined in this |
|
paragraph, no transportation rate shall be subtracted from |
the Operating Tax Rate. |
"Allocation Rate" is defined in paragraph (3) of |
subsection (g) of this Section. |
"Alternative School" means a public school that is |
created and operated by a regional superintendent of |
schools and approved by the State Board. |
"Applicable Tax Rate" is defined in paragraph (1) of |
subsection (d) of this Section. |
"Assessment" means any of those benchmark, progress |
monitoring, formative, diagnostic, and other assessments, |
in addition to the State accountability assessment, that |
assist teachers' needs in understanding the skills and |
meeting the needs of the students they serve. |
"Assistant principal" means a school administrator |
duly endorsed to be employed as an assistant principal in |
this State. |
"At-risk student" means a student who is at risk of |
not meeting the Illinois Learning Standards or not |
graduating from elementary or high school and who |
demonstrates a need for vocational support or social |
services beyond that provided by the regular school |
program. All students included in an Organizational Unit's |
Low-Income Count, as well as all English learner and |
disabled students attending the Organizational Unit, shall |
be considered at-risk students under this Section. |
|
"Average Student Enrollment" or "ASE" for fiscal year |
2018 means, for an Organizational Unit, the greater of the |
average number of students (grades K through 12) reported |
to the State Board as enrolled in the Organizational Unit |
on October 1 in the immediately preceding school year, |
plus the pre-kindergarten students who receive special |
education services of 2 or more hours a day as reported to |
the State Board on December 1 in the immediately preceding |
school year, or the average number of students (grades K |
through 12) reported to the State Board as enrolled in the |
Organizational Unit on October 1, plus the |
pre-kindergarten students who receive special education |
services of 2 or more hours a day as reported to the State |
Board on December 1, for each of the immediately preceding |
3 school years. For fiscal year 2019 and each subsequent |
fiscal year, "Average Student Enrollment" or "ASE" means, |
for an Organizational Unit, the greater of the average |
number of students (grades K through 12) reported to the |
State Board as enrolled in the Organizational Unit on |
October 1 and March 1 in the immediately preceding school |
year, plus the pre-kindergarten students who receive |
special education services as reported to the State Board |
on October 1 and March 1 in the immediately preceding |
school year, or the average number of students (grades K |
through 12) reported to the State Board as enrolled in the |
Organizational Unit on October 1 and March 1, plus the |
|
pre-kindergarten students who receive special education |
services as reported to the State Board on October 1 and |
March 1, for each of the immediately preceding 3 school |
years. For the purposes of this definition, "enrolled in |
the Organizational Unit" means the number of students |
reported to the State Board who are enrolled in schools |
within the Organizational Unit that the student attends or |
would attend if not placed or transferred to another |
school or program to receive needed services. For the |
purposes of calculating "ASE", all students, grades K |
through 12, excluding those attending kindergarten for a |
half day and students attending an alternative education |
program operated by a regional office of education or |
intermediate service center, shall be counted as 1.0. All |
students attending kindergarten for a half day shall be |
counted as 0.5, unless in 2017 by June 15 or by March 1 in |
subsequent years, the school district reports to the State |
Board of Education the intent to implement full-day |
kindergarten district-wide for all students, then all |
students attending kindergarten shall be counted as 1.0. |
Special education pre-kindergarten students shall be |
counted as 0.5 each. If the State Board does not collect or |
has not collected both an October 1 and March 1 enrollment |
count by grade or a December 1 collection of special |
education pre-kindergarten students as of August 31, 2017 |
(the effective date of Public Act 100-465), it shall |
|
establish such collection for all future years. For any |
year in which a count by grade level was collected only |
once, that count shall be used as the single count |
available for computing a 3-year average ASE. Funding for |
programs operated by a regional office of education or an |
intermediate service center must be calculated using the |
Evidence-Based Funding formula under this Section for the |
2019-2020 school year and each subsequent school year |
until separate adequacy formulas are developed and adopted |
for each type of program. ASE for a program operated by a |
regional office of education or an intermediate service |
center must be determined by the March 1 enrollment for |
the program. For the 2019-2020 school year, the ASE used |
in the calculation must be the first-year ASE and, in that |
year only, the assignment of students served by a regional |
office of education or intermediate service center shall |
not result in a reduction of the March enrollment for any |
school district. For the 2020-2021 school year, the ASE |
must be the greater of the current-year ASE or the 2-year |
average ASE. Beginning with the 2021-2022 school year, the |
ASE must be the greater of the current-year ASE or the |
3-year average ASE. School districts shall submit the data |
for the ASE calculation to the State Board within 45 days |
of the dates required in this Section for submission of |
enrollment data in order for it to be included in the ASE |
calculation. For fiscal year 2018 only, the ASE |
|
calculation shall include only enrollment taken on October |
1. In recognition of the impact of COVID-19, the |
definition of "Average Student Enrollment" or "ASE" shall |
be adjusted for calculations under this Section for fiscal |
years 2022 through 2024. For fiscal years 2022 through |
2024, the enrollment used in the calculation of ASE |
representing the 2020-2021 school year shall be the |
greater of the enrollment for the 2020-2021 school year or |
the 2019-2020 school year. |
"Base Funding Guarantee" is defined in paragraph (10) |
of subsection (g) of this Section. |
"Base Funding Minimum" is defined in subsection (e) of |
this Section. |
"Base Tax Year" means the property tax levy year used |
to calculate the Budget Year allocation of primary State |
aid. |
"Base Tax Year's Extension" means the product of the |
equalized assessed valuation utilized by the county clerk |
in the Base Tax Year multiplied by the limiting rate as |
calculated by the county clerk and defined in PTELL. |
"Bilingual Education Allocation" means the amount of |
an Organizational Unit's final Adequacy Target |
attributable to bilingual education divided by the |
Organizational Unit's final Adequacy Target, the product |
of which shall be multiplied by the amount of new funding |
received pursuant to this Section. An Organizational |
|
Unit's final Adequacy Target attributable to bilingual |
education shall include all additional investments in |
English learner students' adequacy elements. |
"Budget Year" means the school year for which primary |
State aid is calculated and awarded under this Section. |
"Central office" means individual administrators and |
support service personnel charged with managing the |
instructional programs, business and operations, and |
security of the Organizational Unit. |
"Comparable Wage Index" or "CWI" means a regional cost |
differentiation metric that measures systemic, regional |
variations in the salaries of college graduates who are |
not educators. The CWI utilized for this Section shall, |
for the first 3 years of Evidence-Based Funding |
implementation, be the CWI initially developed by the |
National Center for Education Statistics, as most recently |
updated by Texas A & M University. In the fourth and |
subsequent years of Evidence-Based Funding implementation, |
the State Superintendent shall re-determine the CWI using |
a similar methodology to that identified in the Texas A & M |
University study, with adjustments made no less frequently |
than once every 5 years. |
"Computer technology and equipment" means computers |
servers, notebooks, network equipment, copiers, printers, |
instructional software, security software, curriculum |
management courseware, and other similar materials and |
|
equipment. |
"Computer technology and equipment investment |
allocation" means the final Adequacy Target amount of an |
Organizational Unit assigned to Tier 1 or Tier 2 in the |
prior school year attributable to the additional $285.50 |
per student computer technology and equipment investment |
grant divided by the Organizational Unit's final Adequacy |
Target, the result of which shall be multiplied by the |
amount of new funding received pursuant to this Section. |
An Organizational Unit assigned to a Tier 1 or Tier 2 final |
Adequacy Target attributable to the received computer |
technology and equipment investment grant shall include |
all additional investments in computer technology and |
equipment adequacy elements. |
"Core subject" means mathematics; science; reading, |
English, writing, and language arts; history and social |
studies; world languages; and subjects taught as Advanced |
Placement in high schools. |
"Core teacher" means a regular classroom teacher in |
elementary schools and teachers of a core subject in |
middle and high schools. |
"Core Intervention teacher (tutor)" means a licensed |
teacher providing one-on-one or small group tutoring to |
students struggling to meet proficiency in core subjects. |
"CPPRT" means corporate personal property replacement |
tax funds paid to an Organizational Unit during the |
|
calendar year one year before the calendar year in which a |
school year begins, pursuant to "An Act in relation to the |
abolition of ad valorem personal property tax and the |
replacement of revenues lost thereby, and amending and |
repealing certain Acts and parts of Acts in connection |
therewith", certified August 14, 1979, as amended (Public |
Act 81-1st S.S.-1). |
"EAV" means equalized assessed valuation as defined in |
paragraph (2) of subsection (d) of this Section and |
calculated in accordance with paragraph (3) of subsection |
(d) of this Section. |
"ECI" means the Bureau of Labor Statistics' national |
employment cost index for civilian workers in educational |
services in elementary and secondary schools on a |
cumulative basis for the 12-month calendar year preceding |
the fiscal year of the Evidence-Based Funding calculation. |
"EIS Data" means the employment information system |
data maintained by the State Board on educators within |
Organizational Units. |
"Employee benefits" means health, dental, and vision |
insurance offered to employees of an Organizational Unit, |
the costs associated with the statutorily required payment |
of the normal cost of the Organizational Unit's teacher |
pensions, Social Security employer contributions, and |
Illinois Municipal Retirement Fund employer contributions. |
"English learner" or "EL" means a child included in |
|
the definition of "English learners" under Section 14C-2 |
of this Code participating in a program of transitional |
bilingual education or a transitional program of |
instruction meeting the requirements and program |
application procedures of Article 14C of this Code. For |
the purposes of collecting the number of EL students |
enrolled, the same collection and calculation methodology |
as defined above for "ASE" shall apply to English |
learners, with the exception that EL student enrollment |
shall include students in grades pre-kindergarten through |
12. |
"Essential Elements" means those elements, resources, |
and educational programs that have been identified through |
academic research as necessary to improve student success, |
improve academic performance, close achievement gaps, and |
provide for other per student costs related to the |
delivery and leadership of the Organizational Unit, as |
well as the maintenance and operations of the unit, and |
which are specified in paragraph (2) of subsection (b) of |
this Section. |
"Evidence-Based Funding" means State funding provided |
to an Organizational Unit pursuant to this Section. |
"Extended day" means academic and enrichment programs |
provided to students outside the regular school day before |
and after school or during non-instructional times during |
the school day. |
|
"Extension Limitation Ratio" means a numerical ratio |
in which the numerator is the Base Tax Year's Extension |
and the denominator is the Preceding Tax Year's Extension. |
"Final Percent of Adequacy" is defined in paragraph |
(4) of subsection (f) of this Section. |
"Final Resources" is defined in paragraph (3) of |
subsection (f) of this Section. |
"Full-time equivalent" or "FTE" means the full-time |
equivalency compensation for staffing the relevant |
position at an Organizational Unit. |
"Funding Gap" is defined in paragraph (1) of |
subsection (g). |
"Hybrid District" means a partial elementary unit |
district created pursuant to Article 11E of this Code. |
"Instructional assistant" means a core or special |
education, non-licensed employee who assists a teacher in |
the classroom and provides academic support to students. |
"Instructional facilitator" means a qualified teacher |
or licensed teacher leader who facilitates and coaches |
continuous improvement in classroom instruction; provides |
instructional support to teachers in the elements of |
research-based instruction or demonstrates the alignment |
of instruction with curriculum standards and assessment |
tools; develops or coordinates instructional programs or |
strategies; develops and implements training; chooses |
standards-based instructional materials; provides |
|
teachers with an understanding of current research; serves |
as a mentor, site coach, curriculum specialist, or lead |
teacher; or otherwise works with fellow teachers, in |
collaboration, to use data to improve instructional |
practice or develop model lessons. |
"Instructional materials" means relevant |
instructional materials for student instruction, |
including, but not limited to, textbooks, consumable |
workbooks, laboratory equipment, library books, and other |
similar materials. |
"Laboratory School" means a public school that is |
created and operated by a public university and approved |
by the State Board. |
"Librarian" means a teacher with an endorsement as a |
library information specialist or another individual whose |
primary responsibility is overseeing library resources |
within an Organizational Unit. |
"Limiting rate for Hybrid Districts" means the |
combined elementary school and high school limiting rates. |
"Local Capacity" is defined in paragraph (1) of |
subsection (c) of this Section. |
"Local Capacity Percentage" is defined in subparagraph |
(A) of paragraph (2) of subsection (c) of this Section. |
"Local Capacity Ratio" is defined in subparagraph (B) |
of paragraph (2) of subsection (c) of this Section. |
"Local Capacity Target" is defined in paragraph (2) of |
|
subsection (c) of this Section. |
"Low-Income Count" means, for an Organizational Unit |
in a fiscal year, the higher of the average number of |
students for the prior school year or the immediately |
preceding 3 school years who, as of July 1 of the |
immediately preceding fiscal year (as determined by the |
Department of Human Services), are eligible for at least |
one of the following low-income programs: Medicaid, the |
Children's Health Insurance Program, Temporary Assistance |
for Needy Families (TANF), or the Supplemental Nutrition |
Assistance Program, excluding pupils who are eligible for |
services provided by the Department of Children and Family |
Services. Until such time that grade level low-income |
populations become available, grade level low-income |
populations shall be determined by applying the low-income |
percentage to total student enrollments by grade level. |
The low-income percentage is determined by dividing the |
Low-Income Count by the Average Student Enrollment. The |
low-income percentage for programs operated by a regional |
office of education or an intermediate service center must |
be set to the weighted average of the low-income |
percentages of all of the school districts in the service |
region. The weighted low-income percentage is the result |
of multiplying the low-income percentage of each school |
district served by the regional office of education or |
intermediate service center by each school district's |
|
Average Student Enrollment, summarizing those products and |
dividing the total by the total Average Student Enrollment |
for the service region. |
"Maintenance and operations" means custodial services, |
facility and ground maintenance, facility operations, |
facility security, routine facility repairs, and other |
similar services and functions. |
"Minimum Funding Level" is defined in paragraph (9) of |
subsection (g) of this Section. |
"New Property Tax Relief Pool Funds" means, for any |
given fiscal year, all State funds appropriated under |
Section 2-3.170 of this Code. |
"New State Funds" means, for a given school year, all |
State funds appropriated for Evidence-Based Funding in |
excess of the amount needed to fund the Base Funding |
Minimum for all Organizational Units in that school year. |
"Nurse" means an individual licensed as a certified |
school nurse, in accordance with the rules established for |
nursing services by the State Board, who is an employee of |
and is available to provide health care-related services |
for students of an Organizational Unit. |
"Operating Tax Rate" means the rate utilized in the |
previous year to extend property taxes for all purposes, |
except Bond and Interest, Summer School, Rent, Capital |
Improvement, and Vocational Education Building purposes. |
For Hybrid Districts, the Operating Tax Rate shall be the |
|
combined elementary and high school rates utilized in the |
previous year to extend property taxes for all purposes, |
except Bond and Interest, Summer School, Rent, Capital |
Improvement, and Vocational Education Building purposes. |
"Organizational Unit" means a Laboratory School or any |
public school district that is recognized as such by the |
State Board and that contains elementary schools typically |
serving kindergarten through 5th grades, middle schools |
typically serving 6th through 8th grades, high schools |
typically serving 9th through 12th grades, a program |
established under Section 2-3.66 or 2-3.41, or a program |
operated by a regional office of education or an |
intermediate service center under Article 13A or 13B. The |
General Assembly acknowledges that the actual grade levels |
served by a particular Organizational Unit may vary |
slightly from what is typical. |
"Organizational Unit CWI" is determined by calculating |
the CWI in the region and original county in which an |
Organizational Unit's primary administrative office is |
located as set forth in this paragraph, provided that if |
the Organizational Unit CWI as calculated in accordance |
with this paragraph is less than 0.9, the Organizational |
Unit CWI shall be increased to 0.9. Each county's current |
CWI value shall be adjusted based on the CWI value of that |
county's neighboring Illinois counties, to create a |
"weighted adjusted index value". This shall be calculated |
|
by summing the CWI values of all of a county's adjacent |
Illinois counties and dividing by the number of adjacent |
Illinois counties, then taking the weighted value of the |
original county's CWI value and the adjacent Illinois |
county average. To calculate this weighted value, if the |
number of adjacent Illinois counties is greater than 2, |
the original county's CWI value will be weighted at 0.25 |
and the adjacent Illinois county average will be weighted |
at 0.75. If the number of adjacent Illinois counties is 2, |
the original county's CWI value will be weighted at 0.33 |
and the adjacent Illinois county average will be weighted |
at 0.66. The greater of the county's current CWI value and |
its weighted adjusted index value shall be used as the |
Organizational Unit CWI. |
"Preceding Tax Year" means the property tax levy year |
immediately preceding the Base Tax Year. |
"Preceding Tax Year's Extension" means the product of |
the equalized assessed valuation utilized by the county |
clerk in the Preceding Tax Year multiplied by the |
Operating Tax Rate. |
"Preliminary Percent of Adequacy" is defined in |
paragraph (2) of subsection (f) of this Section. |
"Preliminary Resources" is defined in paragraph (2) of |
subsection (f) of this Section. |
"Principal" means a school administrator duly endorsed |
to be employed as a principal in this State. |
|
"Professional development" means training programs for |
licensed staff in schools, including, but not limited to, |
programs that assist in implementing new curriculum |
programs, provide data focused or academic assessment data |
training to help staff identify a student's weaknesses and |
strengths, target interventions, improve instruction, |
encompass instructional strategies for English learner, |
gifted, or at-risk students, address inclusivity, cultural |
sensitivity, or implicit bias, or otherwise provide |
professional support for licensed staff. |
"Prototypical" means 450 special education |
pre-kindergarten and kindergarten through grade 5 students |
for an elementary school, 450 grade 6 through 8 students |
for a middle school, and 600 grade 9 through 12 students |
for a high school. |
"PTELL" means the Property Tax Extension Limitation |
Law. |
"PTELL EAV" is defined in paragraph (4) of subsection |
(d) of this Section. |
"Pupil support staff" means a nurse, psychologist, |
social worker, family liaison personnel, or other staff |
member who provides support to at-risk or struggling |
students. |
"Real Receipts" is defined in paragraph (1) of |
subsection (d) of this Section. |
"Regionalization Factor" means, for a particular |
|
Organizational Unit, the figure derived by dividing the |
Organizational Unit CWI by the Statewide Weighted CWI. |
"School counselor" means a licensed school counselor |
who provides guidance and counseling support for students |
within an Organizational Unit. |
"School site staff" means the primary school secretary |
and any additional clerical personnel assigned to a |
school. |
"Special education" means special educational |
facilities and services, as defined in Section 14-1.08 of |
this Code. |
"Special Education Allocation" means the amount of an |
Organizational Unit's final Adequacy Target attributable |
to special education divided by the Organizational Unit's |
final Adequacy Target, the product of which shall be |
multiplied by the amount of new funding received pursuant |
to this Section. An Organizational Unit's final Adequacy |
Target attributable to special education shall include all |
special education investment adequacy elements. |
"Specialist teacher" means a teacher who provides |
instruction in subject areas not included in core |
subjects, including, but not limited to, art, music, |
physical education, health, driver education, |
career-technical education, and such other subject areas |
as may be mandated by State law or provided by an |
Organizational Unit. |
|
"Specially Funded Unit" means an Alternative School, |
safe school, Department of Juvenile Justice school, |
special education cooperative or entity recognized by the |
State Board as a special education cooperative, |
State-approved charter school, or alternative learning |
opportunities program that received direct funding from |
the State Board during the 2016-2017 school year through |
any of the funding sources included within the calculation |
of the Base Funding Minimum or Glenwood Academy. |
"Supplemental Grant Funding" means supplemental |
general State aid funding received by an Organizational |
Unit during the 2016-2017 school year pursuant to |
subsection (H) of Section 18-8.05 of this Code (now |
repealed). |
"State Adequacy Level" is the sum of the Adequacy |
Targets of all Organizational Units. |
"State Board" means the State Board of Education. |
"State Superintendent" means the State Superintendent |
of Education. |
"Statewide Weighted CWI" means a figure determined by |
multiplying each Organizational Unit CWI times the ASE for |
that Organizational Unit creating a weighted value, |
summing all Organizational Units' weighted values, and |
dividing by the total ASE of all Organizational Units, |
thereby creating an average weighted index. |
"Student activities" means non-credit producing |
|
after-school programs, including, but not limited to, |
clubs, bands, sports, and other activities authorized by |
the school board of the Organizational Unit. |
"Substitute teacher" means an individual teacher or |
teaching assistant who is employed by an Organizational |
Unit and is temporarily serving the Organizational Unit on |
a per diem or per period-assignment basis to replace |
another staff member. |
"Summer school" means academic and enrichment programs |
provided to students during the summer months outside of |
the regular school year. |
"Supervisory aide" means a non-licensed staff member |
who helps in supervising students of an Organizational |
Unit, but does so outside of the classroom, in situations |
such as, but not limited to, monitoring hallways and |
playgrounds, supervising lunchrooms, or supervising |
students when being transported in buses serving the |
Organizational Unit. |
"Target Ratio" is defined in paragraph (4) of |
subsection (g). |
"Tier 1", "Tier 2", "Tier 3", and "Tier 4" are defined |
in paragraph (3) of subsection (g). |
"Tier 1 Aggregate Funding", "Tier 2 Aggregate |
Funding", "Tier 3 Aggregate Funding", and "Tier 4 |
Aggregate Funding" are defined in paragraph (1) of |
subsection (g). |
|
(b) Adequacy Target calculation. |
(1) Each Organizational Unit's Adequacy Target is the |
sum of the Organizational Unit's cost of providing |
Essential Elements, as calculated in accordance with this |
subsection (b), with the salary amounts in the Essential |
Elements multiplied by a Regionalization Factor calculated |
pursuant to paragraph (3) of this subsection (b). |
(2) The Essential Elements are attributable on a pro |
rata basis related to defined subgroups of the ASE of each |
Organizational Unit as specified in this paragraph (2), |
with investments and FTE positions pro rata funded based |
on ASE counts in excess of or less than the thresholds set |
forth in this paragraph (2). The method for calculating |
attributable pro rata costs and the defined subgroups |
thereto are as follows: |
(A) Core class size investments. Each |
Organizational Unit shall receive the funding required |
to support that number of FTE core teacher positions |
as is needed to keep the respective class sizes of the |
Organizational Unit to the following maximum numbers: |
(i) For grades kindergarten through 3, the |
Organizational Unit shall receive funding required |
to support one FTE core teacher position for every |
15 Low-Income Count students in those grades and |
one FTE core teacher position for every 20 |
non-Low-Income Count students in those grades. |
|
(ii) For grades 4 through 12, the |
Organizational Unit shall receive funding required |
to support one FTE core teacher position for every |
20 Low-Income Count students in those grades and |
one FTE core teacher position for every 25 |
non-Low-Income Count students in those grades. |
The number of non-Low-Income Count students in a |
grade shall be determined by subtracting the |
Low-Income students in that grade from the ASE of the |
Organizational Unit for that grade. |
(B) Specialist teacher investments. Each |
Organizational Unit shall receive the funding needed |
to cover that number of FTE specialist teacher |
positions that correspond to the following |
percentages: |
(i) if the Organizational Unit operates an |
elementary or middle school, then 20.00% of the |
number of the Organizational Unit's core teachers, |
as determined under subparagraph (A) of this |
paragraph (2); and |
(ii) if such Organizational Unit operates a |
high school, then 33.33% of the number of the |
Organizational Unit's core teachers. |
(C) Instructional facilitator investments. Each |
Organizational Unit shall receive the funding needed |
to cover one FTE instructional facilitator position |
|
for every 200 combined ASE of pre-kindergarten |
children with disabilities and all kindergarten |
through grade 12 students of the Organizational Unit. |
(D) Core intervention teacher (tutor) investments. |
Each Organizational Unit shall receive the funding |
needed to cover one FTE teacher position for each |
prototypical elementary, middle, and high school. |
(E) Substitute teacher investments. Each |
Organizational Unit shall receive the funding needed |
to cover substitute teacher costs that is equal to |
5.70% of the minimum pupil attendance days required |
under Section 10-19 of this Code for all full-time |
equivalent core, specialist, and intervention |
teachers, school nurses, special education teachers |
and instructional assistants, instructional |
facilitators, and summer school and extended day |
teacher positions, as determined under this paragraph |
(2), at a salary rate of 33.33% of the average salary |
for grade K through 12 teachers and 33.33% of the |
average salary of each instructional assistant |
position. |
(F) Core school counselor investments. Each |
Organizational Unit shall receive the funding needed |
to cover one FTE school counselor for each 450 |
combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 5 |
|
students, plus one FTE school counselor for each 250 |
grades 6 through 8 ASE middle school students, plus |
one FTE school counselor for each 250 grades 9 through |
12 ASE high school students. |
(G) Nurse investments. Each Organizational Unit |
shall receive the funding needed to cover one FTE |
nurse for each 750 combined ASE of pre-kindergarten |
children with disabilities and all kindergarten |
through grade 12 students across all grade levels it |
serves. |
(H) Supervisory aide investments. Each |
Organizational Unit shall receive the funding needed |
to cover one FTE for each 225 combined ASE of |
pre-kindergarten children with disabilities and all |
kindergarten through grade 5 students, plus one FTE |
for each 225 ASE middle school students, plus one FTE |
for each 200 ASE high school students. |
(I) Librarian investments. Each Organizational |
Unit shall receive the funding needed to cover one FTE |
librarian for each prototypical elementary school, |
middle school, and high school and one FTE aide or |
media technician for every 300 combined ASE of |
pre-kindergarten children with disabilities and all |
kindergarten through grade 12 students. |
(J) Principal investments. Each Organizational |
Unit shall receive the funding needed to cover one FTE |
|
principal position for each prototypical elementary |
school, plus one FTE principal position for each |
prototypical middle school, plus one FTE principal |
position for each prototypical high school. |
(K) Assistant principal investments. Each |
Organizational Unit shall receive the funding needed |
to cover one FTE assistant principal position for each |
prototypical elementary school, plus one FTE assistant |
principal position for each prototypical middle |
school, plus one FTE assistant principal position for |
each prototypical high school. |
(L) School site staff investments. Each |
Organizational Unit shall receive the funding needed |
for one FTE position for each 225 ASE of |
pre-kindergarten children with disabilities and all |
kindergarten through grade 5 students, plus one FTE |
position for each 225 ASE middle school students, plus |
one FTE position for each 200 ASE high school |
students. |
(M) Gifted investments. Each Organizational Unit |
shall receive $40 per kindergarten through grade 12 |
ASE. |
(N) Professional development investments. Each |
Organizational Unit shall receive $125 per student of |
the combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
|
students for trainers and other professional |
development-related expenses for supplies and |
materials. |
(O) Instructional material investments. Each |
Organizational Unit shall receive $190 per student of |
the combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students to cover instructional material costs. |
(P) Assessment investments. Each Organizational |
Unit shall receive $25 per student of the combined ASE |
of pre-kindergarten children with disabilities and all |
kindergarten through grade 12 students to cover |
assessment costs. |
(Q) Computer technology and equipment investments. |
Each Organizational Unit shall receive $285.50 per |
student of the combined ASE of pre-kindergarten |
children with disabilities and all kindergarten |
through grade 12 students to cover computer technology |
and equipment costs. For the 2018-2019 school year and |
subsequent school years, Organizational Units assigned |
to Tier 1 and Tier 2 in the prior school year shall |
receive an additional $285.50 per student of the |
combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students to cover computer technology and equipment |
costs in the Organizational Unit's Adequacy Target. |
|
The State Board may establish additional requirements |
for Organizational Unit expenditures of funds received |
pursuant to this subparagraph (Q), including a |
requirement that funds received pursuant to this |
subparagraph (Q) may be used only for serving the |
technology needs of the district. It is the intent of |
Public Act 100-465 that all Tier 1 and Tier 2 districts |
receive the addition to their Adequacy Target in the |
following year, subject to compliance with the |
requirements of the State Board. |
(R) Student activities investments. Each |
Organizational Unit shall receive the following |
funding amounts to cover student activities: $100 per |
kindergarten through grade 5 ASE student in elementary |
school, plus $200 per ASE student in middle school, |
plus $675 per ASE student in high school. |
(S) Maintenance and operations investments. Each |
Organizational Unit shall receive $1,038 per student |
of the combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students for day-to-day maintenance and operations |
expenditures, including salary, supplies, and |
materials, as well as purchased services, but |
excluding employee benefits. The proportion of salary |
for the application of a Regionalization Factor and |
the calculation of benefits is equal to $352.92. |
|
(T) Central office investments. Each |
Organizational Unit shall receive $742 per student of |
the combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students to cover central office operations, including |
administrators and classified personnel charged with |
managing the instructional programs, business and |
operations of the school district, and security |
personnel. The proportion of salary for the |
application of a Regionalization Factor and the |
calculation of benefits is equal to $368.48. |
(U) Employee benefit investments. Each |
Organizational Unit shall receive 30% of the total of |
all salary-calculated elements of the Adequacy Target, |
excluding substitute teachers and student activities |
investments, to cover benefit costs. For central |
office and maintenance and operations investments, the |
benefit calculation shall be based upon the salary |
proportion of each investment. If at any time the |
responsibility for funding the employer normal cost of |
teacher pensions is assigned to school districts, then |
that amount certified by the Teachers' Retirement |
System of the State of Illinois to be paid by the |
Organizational Unit for the preceding school year |
shall be added to the benefit investment. For any |
fiscal year in which a school district organized under |
|
Article 34 of this Code is responsible for paying the |
employer normal cost of teacher pensions, then that |
amount of its employer normal cost plus the amount for |
retiree health insurance as certified by the Public |
School Teachers' Pension and Retirement Fund of |
Chicago to be paid by the school district for the |
preceding school year that is statutorily required to |
cover employer normal costs and the amount for retiree |
health insurance shall be added to the 30% specified |
in this subparagraph (U). The Teachers' Retirement |
System of the State of Illinois and the Public School |
Teachers' Pension and Retirement Fund of Chicago shall |
submit such information as the State Superintendent |
may require for the calculations set forth in this |
subparagraph (U). |
(V) Additional investments in low-income students. |
In addition to and not in lieu of all other funding |
under this paragraph (2), each Organizational Unit |
shall receive funding based on the average teacher |
salary for grades K through 12 to cover the costs of: |
(i) one FTE intervention teacher (tutor) |
position for every 125 Low-Income Count students; |
(ii) one FTE pupil support staff position for |
every 125 Low-Income Count students; |
(iii) one FTE extended day teacher position |
for every 120 Low-Income Count students; and |
|
(iv) one FTE summer school teacher position |
for every 120 Low-Income Count students. |
(W) Additional investments in English learner |
students. In addition to and not in lieu of all other |
funding under this paragraph (2), each Organizational |
Unit shall receive funding based on the average |
teacher salary for grades K through 12 to cover the |
costs of: |
(i) one FTE intervention teacher (tutor) |
position for every 125 English learner students; |
(ii) one FTE pupil support staff position for |
every 125 English learner students; |
(iii) one FTE extended day teacher position |
for every 120 English learner students; |
(iv) one FTE summer school teacher position |
for every 120 English learner students; and |
(v) one FTE core teacher position for every |
100 English learner students. |
(X) Special education investments. Each |
Organizational Unit shall receive funding based on the |
average teacher salary for grades K through 12 to |
cover special education as follows: |
(i) one FTE teacher position for every 141 |
combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students; |
|
(ii) one FTE instructional assistant for every |
141 combined ASE of pre-kindergarten children with |
disabilities and all kindergarten through grade 12 |
students; and |
(iii) one FTE psychologist position for every |
1,000 combined ASE of pre-kindergarten children |
with disabilities and all kindergarten through |
grade 12 students. |
(3) For calculating the salaries included within the |
Essential Elements, the State Superintendent shall |
annually calculate average salaries to the nearest dollar |
using the employment information system data maintained by |
the State Board, limited to public schools only and |
excluding special education and vocational cooperatives, |
schools operated by the Department of Juvenile Justice, |
and charter schools, for the following positions: |
(A) Teacher for grades K through 8. |
(B) Teacher for grades 9 through 12. |
(C) Teacher for grades K through 12. |
(D) School counselor for grades K through 8. |
(E) School counselor for grades 9 through 12. |
(F) School counselor for grades K through 12. |
(G) Social worker. |
(H) Psychologist. |
(I) Librarian. |
(J) Nurse. |
|
(K) Principal. |
(L) Assistant principal. |
For the purposes of this paragraph (3), "teacher" |
includes core teachers, specialist and elective teachers, |
instructional facilitators, tutors, special education |
teachers, pupil support staff teachers, English learner |
teachers, extended day teachers, and summer school |
teachers. Where specific grade data is not required for |
the Essential Elements, the average salary for |
corresponding positions shall apply. For substitute |
teachers, the average teacher salary for grades K through |
12 shall apply. |
For calculating the salaries included within the |
Essential Elements for positions not included within EIS |
Data, the following salaries shall be used in the first |
year of implementation of Evidence-Based Funding: |
(i) school site staff, $30,000; and |
(ii) non-instructional assistant, instructional |
assistant, library aide, library media tech, or |
supervisory aide: $25,000. |
In the second and subsequent years of implementation |
of Evidence-Based Funding, the amounts in items (i) and |
(ii) of this paragraph (3) shall annually increase by the |
ECI. |
The salary amounts for the Essential Elements |
determined pursuant to subparagraphs (A) through (L), (S) |
|
and (T), and (V) through (X) of paragraph (2) of |
subsection (b) of this Section shall be multiplied by a |
Regionalization Factor. |
(c) Local Capacity calculation. |
(1) Each Organizational Unit's Local Capacity |
represents an amount of funding it is assumed to |
contribute toward its Adequacy Target for purposes of the |
Evidence-Based Funding formula calculation. "Local |
Capacity" means either (i) the Organizational Unit's Local |
Capacity Target as calculated in accordance with paragraph |
(2) of this subsection (c) if its Real Receipts are equal |
to or less than its Local Capacity Target or (ii) the |
Organizational Unit's Adjusted Local Capacity, as |
calculated in accordance with paragraph (3) of this |
subsection (c) if Real Receipts are more than its Local |
Capacity Target. |
(2) "Local Capacity Target" means, for an |
Organizational Unit, that dollar amount that is obtained |
by multiplying its Adequacy Target by its Local Capacity |
Ratio. |
(A) An Organizational Unit's Local Capacity |
Percentage is the conversion of the Organizational |
Unit's Local Capacity Ratio, as such ratio is |
determined in accordance with subparagraph (B) of this |
paragraph (2), into a cumulative distribution |
resulting in a percentile ranking to determine each |
|
Organizational Unit's relative position to all other |
Organizational Units in this State. The calculation of |
Local Capacity Percentage is described in subparagraph |
(C) of this paragraph (2). |
(B) An Organizational Unit's Local Capacity Ratio |
in a given year is the percentage obtained by dividing |
its Adjusted EAV or PTELL EAV, whichever is less, by |
its Adequacy Target, with the resulting ratio further |
adjusted as follows: |
(i) for Organizational Units serving grades |
kindergarten through 12 and Hybrid Districts, no |
further adjustments shall be made; |
(ii) for Organizational Units serving grades |
kindergarten through 8, the ratio shall be |
multiplied by 9/13; |
(iii) for Organizational Units serving grades |
9 through 12, the Local Capacity Ratio shall be |
multiplied by 4/13; and |
(iv) for an Organizational Unit with a |
different grade configuration than those specified |
in items (i) through (iii) of this subparagraph |
(B), the State Superintendent shall determine a |
comparable adjustment based on the grades served. |
(C) The Local Capacity Percentage is equal to the |
percentile ranking of the district. Local Capacity |
Percentage converts each Organizational Unit's Local |
|
Capacity Ratio to a cumulative distribution resulting |
in a percentile ranking to determine each |
Organizational Unit's relative position to all other |
Organizational Units in this State. The Local Capacity |
Percentage cumulative distribution resulting in a |
percentile ranking for each Organizational Unit shall |
be calculated using the standard normal distribution |
of the score in relation to the weighted mean and |
weighted standard deviation and Local Capacity Ratios |
of all Organizational Units. If the value assigned to |
any Organizational Unit is in excess of 90%, the value |
shall be adjusted to 90%. For Laboratory Schools, the |
Local Capacity Percentage shall be set at 10% in
|
recognition of the absence of EAV and resources from |
the public university that are allocated to
the |
Laboratory School. For programs operated by a regional |
office of education or an intermediate service center, |
the Local Capacity Percentage must be set at 10% in |
recognition of the absence of EAV and resources from |
school districts that are allocated to the regional |
office of education or intermediate service center. |
The weighted mean for the Local Capacity Percentage |
shall be determined by multiplying each Organizational |
Unit's Local Capacity Ratio times the ASE for the unit |
creating a weighted value, summing the weighted values |
of all Organizational Units, and dividing by the total |
|
ASE of all Organizational Units. The weighted standard |
deviation shall be determined by taking the square |
root of the weighted variance of all Organizational |
Units' Local Capacity Ratio, where the variance is |
calculated by squaring the difference between each |
unit's Local Capacity Ratio and the weighted mean, |
then multiplying the variance for each unit times the |
ASE for the unit to create a weighted variance for each |
unit, then summing all units' weighted variance and |
dividing by the total ASE of all units. |
(D) For any Organizational Unit, the |
Organizational Unit's Adjusted Local Capacity Target |
shall be reduced by either (i) the school board's |
remaining contribution pursuant to paragraph (ii) of |
subsection (b-4) of Section 16-158 of the Illinois |
Pension Code in a given year or (ii) the board of |
education's remaining contribution pursuant to |
paragraph (iv) of subsection (b) of Section 17-129 of |
the Illinois Pension Code absent the employer normal |
cost portion of the required contribution and amount |
allowed pursuant to subdivision (3) of Section |
17-142.1 of the Illinois Pension Code in a given year. |
In the preceding sentence, item (i) shall be certified |
to the State Board of Education by the Teachers' |
Retirement System of the State of Illinois and item |
(ii) shall be certified to the State Board of |
|
Education by the Public School Teachers' Pension and |
Retirement Fund of the City of Chicago. |
(3) If an Organizational Unit's Real Receipts are more |
than its Local Capacity Target, then its Local Capacity |
shall equal an Adjusted Local Capacity Target as |
calculated in accordance with this paragraph (3). The |
Adjusted Local Capacity Target is calculated as the sum of |
the Organizational Unit's Local Capacity Target and its |
Real Receipts Adjustment. The Real Receipts Adjustment |
equals the Organizational Unit's Real Receipts less its |
Local Capacity Target, with the resulting figure |
multiplied by the Local Capacity Percentage. |
As used in this paragraph (3), "Real Percent of |
Adequacy" means the sum of an Organizational Unit's Real |
Receipts, CPPRT, and Base Funding Minimum, with the |
resulting figure divided by the Organizational Unit's |
Adequacy Target. |
(d) Calculation of Real Receipts, EAV, and Adjusted EAV |
for purposes of the Local Capacity calculation. |
(1) An Organizational Unit's Real Receipts are the |
product of its Applicable Tax Rate and its Adjusted EAV. |
An Organizational Unit's Applicable Tax Rate is its |
Adjusted Operating Tax Rate for property within the |
Organizational Unit. |
(2) The State Superintendent shall calculate the |
equalized assessed valuation, or EAV, of all taxable |
|
property of each Organizational Unit as of September 30 of |
the previous year in accordance with paragraph (3) of this |
subsection (d). The State Superintendent shall then |
determine the Adjusted EAV of each Organizational Unit in |
accordance with paragraph (4) of this subsection (d), |
which Adjusted EAV figure shall be used for the purposes |
of calculating Local Capacity. |
(3) To calculate Real Receipts and EAV, the Department |
of Revenue shall supply to the State Superintendent the |
value as equalized or assessed by the Department of |
Revenue of all taxable property of every Organizational |
Unit, together with (i) the applicable tax rate used in |
extending taxes for the funds of the Organizational Unit |
as of September 30 of the previous year and (ii) the |
limiting rate for all Organizational Units subject to |
property tax extension limitations as imposed under PTELL. |
(A) The Department of Revenue shall add to the |
equalized assessed value of all taxable property of |
each Organizational Unit situated entirely or |
partially within a county that is or was subject to the |
provisions of Section 15-176 or 15-177 of the Property |
Tax Code (i) an amount equal to the total amount by |
which the homestead exemption allowed under Section |
15-176 or 15-177 of the Property Tax Code for real |
property situated in that Organizational Unit exceeds |
the total amount that would have been allowed in that |
|
Organizational Unit if the maximum reduction under |
Section 15-176 was (I) $4,500 in Cook County or $3,500 |
in all other counties in tax year 2003 or (II) $5,000 |
in all counties in tax year 2004 and thereafter and |
(ii) an amount equal to the aggregate amount for the |
taxable year of all additional exemptions under |
Section 15-175 of the Property Tax Code for owners |
with a household income of $30,000 or less. The county |
clerk of any county that is or was subject to the |
provisions of Section 15-176 or 15-177 of the Property |
Tax Code shall annually calculate and certify to the |
Department of Revenue for each Organizational Unit all |
homestead exemption amounts under Section 15-176 or |
15-177 of the Property Tax Code and all amounts of |
additional exemptions under Section 15-175 of the |
Property Tax Code for owners with a household income |
of $30,000 or less. It is the intent of this |
subparagraph (A) that if the general homestead |
exemption for a parcel of property is determined under |
Section 15-176 or 15-177 of the Property Tax Code |
rather than Section 15-175, then the calculation of |
EAV shall not be affected by the difference, if any, |
between the amount of the general homestead exemption |
allowed for that parcel of property under Section |
15-176 or 15-177 of the Property Tax Code and the |
amount that would have been allowed had the general |
|
homestead exemption for that parcel of property been |
determined under Section 15-175 of the Property Tax |
Code. It is further the intent of this subparagraph |
(A) that if additional exemptions are allowed under |
Section 15-175 of the Property Tax Code for owners |
with a household income of less than $30,000, then the |
calculation of EAV shall not be affected by the |
difference, if any, because of those additional |
exemptions. |
(B) With respect to any part of an Organizational |
Unit within a redevelopment project area in respect to |
which a municipality has adopted tax increment |
allocation financing pursuant to the Tax Increment |
Allocation Redevelopment Act, Division 74.4 of Article |
11 of the Illinois Municipal Code, or the Industrial |
Jobs Recovery Law, Division 74.6 of Article 11 of the |
Illinois Municipal Code, no part of the current EAV of |
real property located in any such project area that is |
attributable to an increase above the total initial |
EAV of such property shall be used as part of the EAV |
of the Organizational Unit, until such time as all |
redevelopment project costs have been paid, as |
provided in Section 11-74.4-8 of the Tax Increment |
Allocation Redevelopment Act or in Section 11-74.6-35 |
of the Industrial Jobs Recovery Law. For the purpose |
of the EAV of the Organizational Unit, the total |
|
initial EAV or the current EAV, whichever is lower, |
shall be used until such time as all redevelopment |
project costs have been paid. |
(B-5) The real property equalized assessed |
valuation for a school district shall be adjusted by |
subtracting from the real property value, as equalized |
or assessed by the Department of Revenue, for the |
district an amount computed by dividing the amount of |
any abatement of taxes under Section 18-170 of the |
Property Tax Code by 3.00% for a district maintaining |
grades kindergarten through 12, by 2.30% for a |
district maintaining grades kindergarten through 8, or |
by 1.05% for a district maintaining grades 9 through |
12 and adjusted by an amount computed by dividing the |
amount of any abatement of taxes under subsection (a) |
of Section 18-165 of the Property Tax Code by the same |
percentage rates for district type as specified in |
this subparagraph (B-5). |
(C) For Organizational Units that are Hybrid |
Districts, the State Superintendent shall use the |
lesser of the adjusted equalized assessed valuation |
for property within the partial elementary unit |
district for elementary purposes, as defined in |
Article 11E of this Code, or the adjusted equalized |
assessed valuation for property within the partial |
elementary unit district for high school purposes, as |
|
defined in Article 11E of this Code. |
(D) If a school district's boundaries span |
multiple counties, then the Department of Revenue |
shall send to the State Board, for the purposes of |
calculating Evidence-Based Funding, the limiting rate |
and individual rates by purpose for the county that |
contains the majority of the school district's |
equalized assessed valuation. |
(4) An Organizational Unit's Adjusted EAV shall be the |
average of its EAV over the immediately preceding 3 years |
or the lesser of its EAV in the immediately preceding year |
or the average of its EAV over the immediately preceding 3 |
years if the EAV in the immediately preceding year has |
declined by 10% or more when comparing the 2 most recent |
years. In the event of Organizational Unit reorganization, |
consolidation, or annexation, the Organizational Unit's |
Adjusted EAV for the first 3 years after such change shall |
be as follows: the most current EAV shall be used in the |
first year, the average of a 2-year EAV or its EAV in the |
immediately preceding year if the EAV declines by 10% or |
more when comparing the 2 most recent years for the second |
year, and the lesser of a 3-year average EAV or its EAV in |
the immediately preceding year if the Adjusted EAV |
declines by 10% or more when comparing the 2 most recent |
years for the third year. For any school district whose |
EAV in the immediately preceding year is used in |
|
calculations, in the following year, the Adjusted EAV |
shall be the average of its EAV over the immediately |
preceding 2 years or the immediately preceding year if |
that year represents a decline of 10% or more when |
comparing the 2 most recent years. |
"PTELL EAV" means a figure calculated by the State |
Board for Organizational Units subject to PTELL as |
described in this paragraph (4) for the purposes of |
calculating an Organizational Unit's Local Capacity Ratio. |
Except as otherwise provided in this paragraph (4), the |
PTELL EAV of an Organizational Unit shall be equal to the |
product of the equalized assessed valuation last used in |
the calculation of general State aid under Section 18-8.05 |
of this Code (now repealed) or Evidence-Based Funding |
under this Section and the Organizational Unit's Extension |
Limitation Ratio. If an Organizational Unit has approved |
or does approve an increase in its limiting rate, pursuant |
to Section 18-190 of the Property Tax Code, affecting the |
Base Tax Year, the PTELL EAV shall be equal to the product |
of the equalized assessed valuation last used in the |
calculation of general State aid under Section 18-8.05 of |
this Code (now repealed) or Evidence-Based Funding under |
this Section multiplied by an amount equal to one plus the |
percentage increase, if any, in the Consumer Price Index |
for All Urban Consumers for all items published by the |
United States Department of Labor for the 12-month |
|
calendar year preceding the Base Tax Year, plus the |
equalized assessed valuation of new property, annexed |
property, and recovered tax increment value and minus the |
equalized assessed valuation of disconnected property. |
As used in this paragraph (4), "new property" and |
"recovered tax increment value" shall have the meanings |
set forth in the Property Tax Extension Limitation Law. |
(e) Base Funding Minimum calculation. |
(1) For the 2017-2018 school year, the Base Funding |
Minimum of an Organizational Unit or a Specially Funded |
Unit shall be the amount of State funds distributed to the |
Organizational Unit or Specially Funded Unit during the |
2016-2017 school year prior to any adjustments and |
specified appropriation amounts described in this |
paragraph (1) from the following Sections, as calculated |
by the State Superintendent: Section 18-8.05 of this Code |
(now repealed); Section 5 of Article 224 of Public Act |
99-524 (equity grants); Section 14-7.02b of this Code |
(funding for children requiring special education |
services); Section 14-13.01 of this Code (special |
education facilities and staffing), except for |
reimbursement of the cost of transportation pursuant to |
Section 14-13.01; Section 14C-12 of this Code (English |
learners); and Section 18-4.3 of this Code (summer |
school), based on an appropriation level of $13,121,600. |
For a school district organized under Article 34 of this |
|
Code, the Base Funding Minimum also includes (i) the funds |
allocated to the school district pursuant to Section 1D-1 |
of this Code attributable to funding programs authorized |
by the Sections of this Code listed in the preceding |
sentence and (ii) the difference between (I) the funds |
allocated to the school district pursuant to Section 1D-1 |
of this Code attributable to the funding programs |
authorized by Section 14-7.02 (non-public special |
education reimbursement), subsection (b) of Section |
14-13.01 (special education transportation), Section 29-5 |
(transportation), Section 2-3.80 (agricultural |
education), Section 2-3.66 (truants' alternative |
education), Section 2-3.62 (educational service centers), |
and Section 14-7.03 (special education - orphanage) of |
this Code and Section 15 of the Childhood Hunger Relief |
Act (free breakfast program) and (II) the school |
district's actual expenditures for its non-public special |
education, special education transportation, |
transportation programs, agricultural education, truants' |
alternative education, services that would otherwise be |
performed by a regional office of education, special |
education orphanage expenditures, and free breakfast, as |
most recently calculated and reported pursuant to |
subsection (f) of Section 1D-1 of this Code. The Base |
Funding Minimum for Glenwood Academy shall be $625,500. |
For programs operated by a regional office of education or |
|
an intermediate service center, the Base Funding Minimum |
must be the total amount of State funds allocated to those |
programs in the 2018-2019 school year and amounts provided |
pursuant to Article 34 of Public Act 100-586 and Section |
3-16 of this Code. All programs established after June 5, |
2019 (the effective date of Public Act 101-10) and |
administered by a regional office of education or an |
intermediate service center must have an initial Base |
Funding Minimum set to an amount equal to the first-year |
ASE multiplied by the amount of per pupil funding received |
in the previous school year by the lowest funded similar |
existing program type. If the enrollment for a program |
operated by a regional office of education or an |
intermediate service center is zero, then it may not |
receive Base Funding Minimum funds for that program in the |
next fiscal year, and those funds must be distributed to |
Organizational Units under subsection (g). |
(2) For the 2018-2019 and subsequent school years, the |
Base Funding Minimum of Organizational Units and Specially |
Funded Units shall be the sum of (i) the amount of |
Evidence-Based Funding for the prior school year, (ii) the |
Base Funding Minimum for the prior school year, and (iii) |
any amount received by a school district pursuant to |
Section 7 of Article 97 of Public Act 100-21. |
For the 2022-2023 school year, the Base Funding |
Minimum of Organizational Units shall be the amounts |
|
recalculated by the State Board of Education for Fiscal |
Year 2019 through Fiscal Year 2022 that were necessary due |
to average student enrollment errors for districts |
organized under Article 34 of this Code, plus the Fiscal |
Year 2022 property tax relief grants provided under |
Section 2-3.170 of this Code, ensuring each Organizational |
Unit has the correct amount of resources for Fiscal Year |
2023 Evidence-Based Funding calculations and that Fiscal |
Year 2023 Evidence-Based Funding Distributions are made in |
accordance with this Section. |
(3) Subject to approval by the General Assembly as |
provided in this paragraph (3), an Organizational Unit |
that meets all of the following criteria, as determined by |
the State Board, shall have District Intervention Money |
added to its Base Funding Minimum at the time the Base |
Funding Minimum is calculated by the State Board: |
(A) The Organizational Unit is operating under an |
Independent Authority under Section 2-3.25f-5 of this |
Code for a minimum of 4 school years or is subject to |
the control of the State Board pursuant to a court |
order for a minimum of 4 school years. |
(B) The Organizational Unit was designated as a |
Tier 1 or Tier 2 Organizational Unit in the previous |
school year under paragraph (3) of subsection (g) of |
this Section. |
(C) The Organizational Unit demonstrates |
|
sustainability through a 5-year financial and |
strategic plan. |
(D) The Organizational Unit has made sufficient |
progress and achieved sufficient stability in the |
areas of governance, academic growth, and finances. |
As part of its determination under this paragraph (3), |
the State Board may consider the Organizational Unit's |
summative designation, any accreditations of the |
Organizational Unit, or the Organizational Unit's |
financial profile, as calculated by the State Board. |
If the State Board determines that an Organizational |
Unit has met the criteria set forth in this paragraph (3), |
it must submit a report to the General Assembly, no later |
than January 2 of the fiscal year in which the State Board |
makes it determination, on the amount of District |
Intervention Money to add to the Organizational Unit's |
Base Funding Minimum. The General Assembly must review the |
State Board's report and may approve or disapprove, by |
joint resolution, the addition of District Intervention |
Money. If the General Assembly fails to act on the report |
within 40 calendar days from the receipt of the report, |
the addition of District Intervention Money is deemed |
approved. If the General Assembly approves the amount of |
District Intervention Money to be added to the |
Organizational Unit's Base Funding Minimum, the District |
Intervention Money must be added to the Base Funding |
|
Minimum annually thereafter. |
For the first 4 years following the initial year that |
the State Board determines that an Organizational Unit has |
met the criteria set forth in this paragraph (3) and has |
received funding under this Section, the Organizational |
Unit must annually submit to the State Board, on or before |
November 30, a progress report regarding its financial and |
strategic plan under subparagraph (C) of this paragraph |
(3). The plan shall include the financial data from the |
past 4 annual financial reports or financial audits that |
must be presented to the State Board by November 15 of each |
year and the approved budget financial data for the |
current year. The plan shall be developed according to the |
guidelines presented to the Organizational Unit by the |
State Board. The plan shall further include financial |
projections for the next 3 fiscal years and include a |
discussion and financial summary of the Organizational |
Unit's facility needs. If the Organizational Unit does not |
demonstrate sufficient progress toward its 5-year plan or |
if it has failed to file an annual financial report, an |
annual budget, a financial plan, a deficit reduction plan, |
or other financial information as required by law, the |
State Board may establish a Financial Oversight Panel |
under Article 1H of this Code. However, if the |
Organizational Unit already has a Financial Oversight |
Panel, the State Board may extend the duration of the |
|
Panel. |
(f) Percent of Adequacy and Final Resources calculation. |
(1) The Evidence-Based Funding formula establishes a |
Percent of Adequacy for each Organizational Unit in order |
to place such units into tiers for the purposes of the |
funding distribution system described in subsection (g) of |
this Section. Initially, an Organizational Unit's |
Preliminary Resources and Preliminary Percent of Adequacy |
are calculated pursuant to paragraph (2) of this |
subsection (f). Then, an Organizational Unit's Final |
Resources and Final Percent of Adequacy are calculated to |
account for the Organizational Unit's poverty |
concentration levels pursuant to paragraphs (3) and (4) of |
this subsection (f). |
(2) An Organizational Unit's Preliminary Resources are |
equal to the sum of its Local Capacity Target, CPPRT, and |
Base Funding Minimum. An Organizational Unit's Preliminary |
Percent of Adequacy is the lesser of (i) its Preliminary |
Resources divided by its Adequacy Target or (ii) 100%. |
(3) Except for Specially Funded Units, an |
Organizational Unit's Final Resources are equal to the sum |
of its Local Capacity, CPPRT, and Adjusted Base Funding |
Minimum. The Base Funding Minimum of each Specially Funded |
Unit shall serve as its Final Resources, except that the |
Base Funding Minimum for State-approved charter schools |
shall not include any portion of general State aid |
|
allocated in the prior year based on the per capita |
tuition charge times the charter school enrollment. |
(4) An Organizational Unit's Final Percent of Adequacy |
is its Final Resources divided by its Adequacy Target. An |
Organizational Unit's Adjusted Base Funding Minimum is |
equal to its Base Funding Minimum less its Supplemental |
Grant Funding, with the resulting figure added to the |
product of its Supplemental Grant Funding and Preliminary |
Percent of Adequacy. |
(g) Evidence-Based Funding formula distribution system. |
(1) In each school year under the Evidence-Based |
Funding formula, each Organizational Unit receives funding |
equal to the sum of its Base Funding Minimum and the unit's |
allocation of New State Funds determined pursuant to this |
subsection (g). To allocate New State Funds, the |
Evidence-Based Funding formula distribution system first |
places all Organizational Units into one of 4 tiers in |
accordance with paragraph (3) of this subsection (g), |
based on the Organizational Unit's Final Percent of |
Adequacy. New State Funds are allocated to each of the 4 |
tiers as follows: Tier 1 Aggregate Funding equals 50% of |
all New State Funds, Tier 2 Aggregate Funding equals 49% |
of all New State Funds, Tier 3 Aggregate Funding equals |
0.9% of all New State Funds, and Tier 4 Aggregate Funding |
equals 0.1% of all New State Funds. Each Organizational |
Unit within Tier 1 or Tier 2 receives an allocation of New |
|
State Funds equal to its tier Funding Gap, as defined in |
the following sentence, multiplied by the tier's |
Allocation Rate determined pursuant to paragraph (4) of |
this subsection (g). For Tier 1, an Organizational Unit's |
Funding Gap equals the tier's Target Ratio, as specified |
in paragraph (5) of this subsection (g), multiplied by the |
Organizational Unit's Adequacy Target, with the resulting |
amount reduced by the Organizational Unit's Final |
Resources. For Tier 2, an Organizational Unit's Funding |
Gap equals the tier's Target Ratio, as described in |
paragraph (5) of this subsection (g), multiplied by the |
Organizational Unit's Adequacy Target, with the resulting |
amount reduced by the Organizational Unit's Final |
Resources and its Tier 1 funding allocation. To determine |
the Organizational Unit's Funding Gap, the resulting |
amount is then multiplied by a factor equal to one minus |
the Organizational Unit's Local Capacity Target |
percentage. Each Organizational Unit within Tier 3 or Tier |
4 receives an allocation of New State Funds equal to the |
product of its Adequacy Target and the tier's Allocation |
Rate, as specified in paragraph (4) of this subsection |
(g). |
(2) To ensure equitable distribution of dollars for |
all Tier 2 Organizational Units, no Tier 2 Organizational |
Unit shall receive fewer dollars per ASE than any Tier 3 |
Organizational Unit. Each Tier 2 and Tier 3 Organizational |
|
Unit shall have its funding allocation divided by its ASE. |
Any Tier 2 Organizational Unit with a funding allocation |
per ASE below the greatest Tier 3 allocation per ASE shall |
get a funding allocation equal to the greatest Tier 3 |
funding allocation per ASE multiplied by the |
Organizational Unit's ASE. Each Tier 2 Organizational |
Unit's Tier 2 funding allocation shall be multiplied by |
the percentage calculated by dividing the original Tier 2 |
Aggregate Funding by the sum of all Tier 2 Organizational |
Units' Tier 2 funding allocation after adjusting |
districts' funding below Tier 3 levels. |
(3) Organizational Units are placed into one of 4 |
tiers as follows: |
(A) Tier 1 consists of all Organizational Units, |
except for Specially Funded Units, with a Percent of |
Adequacy less than the Tier 1 Target Ratio. The Tier 1 |
Target Ratio is the ratio level that allows for Tier 1 |
Aggregate Funding to be distributed, with the Tier 1 |
Allocation Rate determined pursuant to paragraph (4) |
of this subsection (g). |
(B) Tier 2 consists of all Tier 1 Units and all |
other Organizational Units, except for Specially |
Funded Units, with a Percent of Adequacy of less than |
0.90. |
(C) Tier 3 consists of all Organizational Units, |
except for Specially Funded Units, with a Percent of |
|
Adequacy of at least 0.90 and less than 1.0. |
(D) Tier 4 consists of all Organizational Units |
with a Percent of Adequacy of at least 1.0. |
(4) The Allocation Rates for Tiers 1 through 4 are |
determined as follows: |
(A) The Tier 1 Allocation Rate is 30%. |
(B) The Tier 2 Allocation Rate is the result of the |
following equation: Tier 2 Aggregate Funding, divided |
by the sum of the Funding Gaps for all Tier 2 |
Organizational Units, unless the result of such |
equation is higher than 1.0. If the result of such |
equation is higher than 1.0, then the Tier 2 |
Allocation Rate is 1.0. |
(C) The Tier 3 Allocation Rate is the result of the |
following equation: Tier 3
Aggregate Funding, divided |
by the sum of the Adequacy Targets of all Tier 3 |
Organizational
Units. |
(D) The Tier 4 Allocation Rate is the result of the |
following equation: Tier 4
Aggregate Funding, divided |
by the sum of the Adequacy Targets of all Tier 4 |
Organizational
Units. |
(5) A tier's Target Ratio is determined as follows: |
(A) The Tier 1 Target Ratio is the ratio level that |
allows for Tier 1 Aggregate Funding to be distributed |
with the Tier 1 Allocation Rate. |
(B) The Tier 2 Target Ratio is 0.90. |
|
(C) The Tier 3 Target Ratio is 1.0. |
(6) If, at any point, the Tier 1 Target Ratio is |
greater than 90%, then all Tier 1 funding shall be |
allocated to Tier 2 and no Tier 1 Organizational Unit's |
funding may be identified. |
(7) In the event that all Tier 2 Organizational Units |
receive funding at the Tier 2 Target Ratio level, any |
remaining New State Funds shall be allocated to Tier 3 and |
Tier 4 Organizational Units. |
(8) If any Specially Funded Units, excluding Glenwood |
Academy, recognized by the State Board do not qualify for |
direct funding following the implementation of Public Act |
100-465 from any of the funding sources included within |
the definition of Base Funding Minimum, the unqualified |
portion of the Base Funding Minimum shall be transferred |
to one or more appropriate Organizational Units as |
determined by the State Superintendent based on the prior |
year ASE of the Organizational Units. |
(8.5) If a school district withdraws from a special |
education cooperative, the portion of the Base Funding |
Minimum that is attributable to the school district may be |
redistributed to the school district upon withdrawal. The |
school district and the cooperative must include the |
amount of the Base Funding Minimum that is to be |
reapportioned in their withdrawal agreement and notify the |
State Board of the change with a copy of the agreement upon |
|
withdrawal. |
(9) The Minimum Funding Level is intended to establish |
a target for State funding that will keep pace with |
inflation and continue to advance equity through the |
Evidence-Based Funding formula. The target for State |
funding of New Property Tax Relief Pool Funds is |
$50,000,000 for State fiscal year 2019 and subsequent |
State fiscal years. The Minimum Funding Level is equal to |
$350,000,000. In addition to any New State Funds, no more |
than $50,000,000 New Property Tax Relief Pool Funds may be |
counted toward the Minimum Funding Level. If the sum of |
New State Funds and applicable New Property Tax Relief |
Pool Funds are less than the Minimum Funding Level, than |
funding for tiers shall be reduced in the following |
manner: |
(A) First, Tier 4 funding shall be reduced by an |
amount equal to the difference between the Minimum |
Funding Level and New State Funds until such time as |
Tier 4 funding is exhausted. |
(B) Next, Tier 3 funding shall be reduced by an |
amount equal to the difference between the Minimum |
Funding Level and New State Funds and the reduction in |
Tier 4 funding until such time as Tier 3 funding is |
exhausted. |
(C) Next, Tier 2 funding shall be reduced by an |
amount equal to the difference between the Minimum |
|
Funding Level and New State Funds and the reduction in |
Tier 4 and Tier 3. |
(D) Finally, Tier 1 funding shall be reduced by an |
amount equal to the difference between the Minimum |
Funding level and New State Funds and the reduction in |
Tier 2, 3, and 4 funding. In addition, the Allocation |
Rate for Tier 1 shall be reduced to a percentage equal |
to the Tier 1 Allocation Rate set by paragraph (4) of |
this subsection (g), multiplied by the result of New |
State Funds divided by the Minimum Funding Level. |
(9.5) For State fiscal year 2019 and subsequent State |
fiscal years, if New State Funds exceed $300,000,000, then |
any amount in excess of $300,000,000 shall be dedicated |
for purposes of Section 2-3.170 of this Code up to a |
maximum of $50,000,000. |
(10) In the event of a decrease in the amount of the |
appropriation for this Section in any fiscal year after |
implementation of this Section, the Organizational Units |
receiving Tier 1 and Tier 2 funding, as determined under |
paragraph (3) of this subsection (g), shall be held |
harmless by establishing a Base Funding Guarantee equal to |
the per pupil kindergarten through grade 12 funding |
received in accordance with this Section in the prior |
fiscal year. Reductions shall be
made to the Base Funding |
Minimum of Organizational Units in Tier 3 and Tier 4 on a
|
per pupil basis equivalent to the total number of the ASE |
|
in Tier 3-funded and Tier 4-funded Organizational Units |
divided by the total reduction in State funding. The Base
|
Funding Minimum as reduced shall continue to be applied to |
Tier 3 and Tier 4
Organizational Units and adjusted by the |
relative formula when increases in
appropriations for this |
Section resume. In no event may State funding reductions |
to
Organizational Units in Tier 3 or Tier 4 exceed an |
amount that would be less than the
Base Funding Minimum |
established in the first year of implementation of this
|
Section. If additional reductions are required, all school |
districts shall receive a
reduction by a per pupil amount |
equal to the aggregate additional appropriation
reduction |
divided by the total ASE of all Organizational Units. |
(11) The State Superintendent shall make minor |
adjustments to the distribution formula set forth in this |
subsection (g) to account for the rounding of percentages |
to the nearest tenth of a percentage and dollar amounts to |
the nearest whole dollar. |
(h) State Superintendent administration of funding and |
district submission requirements. |
(1) The State Superintendent shall, in accordance with |
appropriations made by the General Assembly, meet the |
funding obligations created under this Section. |
(2) The State Superintendent shall calculate the |
Adequacy Target for each Organizational Unit under this |
Section. No Evidence-Based Funding shall be distributed |
|
within an Organizational Unit without the approval of the |
unit's school board. |
(3) Annually, the State Superintendent shall calculate |
and report to each Organizational Unit the unit's |
aggregate financial adequacy amount, which shall be the |
sum of the Adequacy Target for each Organizational Unit. |
The State Superintendent shall calculate and report |
separately for each Organizational Unit the unit's total |
State funds allocated for its students with disabilities. |
The State Superintendent shall calculate and report |
separately for each Organizational Unit the amount of |
funding and applicable FTE calculated for each Essential |
Element of the unit's Adequacy Target. |
(4) Annually, the State Superintendent shall calculate |
and report to each Organizational Unit the amount the unit |
must expend on special education and bilingual education |
and computer technology and equipment for Organizational |
Units assigned to Tier 1 or Tier 2 that received an |
additional $285.50 per student computer technology and |
equipment investment grant to their Adequacy Target |
pursuant to the unit's Base Funding Minimum, Special |
Education Allocation, Bilingual Education Allocation, and |
computer technology and equipment investment allocation. |
(5) Moneys distributed under this Section shall be |
calculated on a school year basis, but paid on a fiscal |
year basis, with payments beginning in August and |
|
extending through June. Unless otherwise provided, the |
moneys appropriated for each fiscal year shall be |
distributed in 22 equal payments at least 2 times monthly |
to each Organizational Unit. If moneys appropriated for |
any fiscal year are distributed other than monthly, the |
distribution shall be on the same basis for each |
Organizational Unit. |
(6) Any school district that fails, for any given |
school year, to maintain school as required by law or to |
maintain a recognized school is not eligible to receive |
Evidence-Based Funding. In case of non-recognition of one |
or more attendance centers in a school district otherwise |
operating recognized schools, the claim of the district |
shall be reduced in the proportion that the enrollment in |
the attendance center or centers bears to the enrollment |
of the school district. "Recognized school" means any |
public school that meets the standards for recognition by |
the State Board. A school district or attendance center |
not having recognition status at the end of a school term |
is entitled to receive State aid payments due upon a legal |
claim that was filed while it was recognized. |
(7) School district claims filed under this Section |
are subject to Sections 18-9 and 18-12 of this Code, |
except as otherwise provided in this Section. |
(8) Each fiscal year, the State Superintendent shall |
calculate for each Organizational Unit an amount of its |
|
Base Funding Minimum and Evidence-Based Funding that shall |
be deemed attributable to the provision of special |
educational facilities and services, as defined in Section |
14-1.08 of this Code, in a manner that ensures compliance |
with maintenance of State financial support requirements |
under the federal Individuals with Disabilities Education |
Act. An Organizational Unit must use such funds only for |
the provision of special educational facilities and |
services, as defined in Section 14-1.08 of this Code, and |
must comply with any expenditure verification procedures |
adopted by the State Board. |
(9) All Organizational Units in this State must submit |
annual spending plans by the end of September of each year |
to the State Board as part of the annual budget process, |
which shall describe how each Organizational Unit will |
utilize the Base Funding Minimum and Evidence-Based |
Funding it receives from this State under this Section |
with specific identification of the intended utilization |
of Low-Income, English learner, and special education |
resources. Additionally, the annual spending plans of each |
Organizational Unit shall describe how the Organizational |
Unit expects to achieve student growth and how the |
Organizational Unit will achieve State education goals, as |
defined by the State Board. The State Superintendent may, |
from time to time, identify additional requisites for |
Organizational Units to satisfy when compiling the annual |
|
spending plans required under this subsection (h). The |
format and scope of annual spending plans shall be |
developed by the State Superintendent and the State Board |
of Education. School districts that serve students under |
Article 14C of this Code shall continue to submit |
information as required under Section 14C-12 of this Code. |
(10) No later than January 1, 2018, the State |
Superintendent shall develop a 5-year strategic plan for |
all Organizational Units to help in planning for adequacy |
funding under this Section. The State Superintendent shall |
submit the plan to the Governor and the General Assembly, |
as provided in Section 3.1 of the General Assembly |
Organization Act. The plan shall include recommendations |
for: |
(A) a framework for collaborative, professional, |
innovative, and 21st century learning environments |
using the Evidence-Based Funding model; |
(B) ways to prepare and support this State's |
educators for successful instructional careers; |
(C) application and enhancement of the current |
financial accountability measures, the approved State |
plan to comply with the federal Every Student Succeeds |
Act, and the Illinois Balanced Accountability Measures |
in relation to student growth and elements of the |
Evidence-Based Funding model; and |
(D) implementation of an effective school adequacy |
|
funding system based on projected and recommended |
funding levels from the General Assembly. |
(11) On an annual basis, the State Superintendent
must |
recalibrate all of the following per pupil elements of the |
Adequacy Target and applied to the formulas, based on the |
study of average expenses and as reported in the most |
recent annual financial report: |
(A) Gifted under subparagraph (M) of paragraph
(2) |
of subsection (b). |
(B) Instructional materials under subparagraph
(O) |
of paragraph (2) of subsection (b). |
(C) Assessment under subparagraph (P) of
paragraph |
(2) of subsection (b). |
(D) Student activities under subparagraph (R) of
|
paragraph (2) of subsection (b). |
(E) Maintenance and operations under subparagraph
|
(S) of paragraph (2) of subsection (b). |
(F) Central office under subparagraph (T) of
|
paragraph (2) of subsection (b). |
(i) Professional Review Panel. |
(1) A Professional Review Panel is created to study |
and review topics related to the implementation and effect |
of Evidence-Based Funding, as assigned by a joint |
resolution or Public Act of the General Assembly or a |
motion passed by the State Board of Education. The Panel |
must provide recommendations to and serve the Governor, |
|
the General Assembly, and the State Board. The State |
Superintendent or his or her designee must serve as a |
voting member and chairperson of the Panel. The State |
Superintendent must appoint a vice chairperson from the |
membership of the Panel. The Panel must advance |
recommendations based on a three-fifths majority vote of |
Panel members present and voting. A minority opinion may |
also accompany any recommendation of the Panel. The Panel |
shall be appointed by the State Superintendent, except as |
otherwise provided in paragraph (2) of this subsection (i) |
and include the following members: |
(A) Two appointees that represent district |
superintendents, recommended by a statewide |
organization that represents district superintendents. |
(B) Two appointees that represent school boards, |
recommended by a statewide organization that |
represents school boards. |
(C) Two appointees from districts that represent |
school business officials, recommended by a statewide |
organization that represents school business |
officials. |
(D) Two appointees that represent school |
principals, recommended by a statewide organization |
that represents school principals. |
(E) Two appointees that represent teachers, |
recommended by a statewide organization that |
|
represents teachers. |
(F) Two appointees that represent teachers, |
recommended by another statewide organization that |
represents teachers. |
(G) Two appointees that represent regional |
superintendents of schools, recommended by |
organizations that represent regional superintendents. |
(H) Two independent experts selected solely by the |
State Superintendent. |
(I) Two independent experts recommended by public |
universities in this State. |
(J) One member recommended by a statewide |
organization that represents parents. |
(K) Two representatives recommended by collective |
impact organizations that represent major metropolitan |
areas or geographic areas in Illinois. |
(L) One member from a statewide organization |
focused on research-based education policy to support |
a school system that prepares all students for |
college, a career, and democratic citizenship. |
(M) One representative from a school district |
organized under Article 34 of this Code. |
The State Superintendent shall ensure that the |
membership of the Panel includes representatives from |
school districts and communities reflecting the |
geographic, socio-economic, racial, and ethnic diversity |
|
of this State. The State Superintendent shall additionally |
ensure that the membership of the Panel includes |
representatives with expertise in bilingual education and |
special education. Staff from the State Board shall staff |
the Panel. |
(2) In addition to those Panel members appointed by |
the State Superintendent, 4 members of the General |
Assembly shall be appointed as follows: one member of the |
House of Representatives appointed by the Speaker of the |
House of Representatives, one member of the Senate |
appointed by the President of the Senate, one member of |
the House of Representatives appointed by the Minority |
Leader of the House of Representatives, and one member of |
the Senate appointed by the Minority Leader of the Senate. |
There shall be one additional member appointed by the |
Governor. All members appointed by legislative leaders or |
the Governor shall be non-voting, ex officio members. |
(3) The Panel must study topics at the direction of |
the General Assembly or State Board of Education, as |
provided under paragraph (1). The Panel may also study the |
following topics at the direction of the chairperson: |
(A) The format and scope of annual spending plans |
referenced in paragraph (9) of subsection (h) of this |
Section. |
(B) The Comparable Wage Index under this Section. |
(C) Maintenance and operations, including capital |
|
maintenance and construction costs. |
(D) "At-risk student" definition. |
(E) Benefits. |
(F) Technology. |
(G) Local Capacity Target. |
(H) Funding for Alternative Schools, Laboratory |
Schools, safe schools, and alternative learning |
opportunities programs. |
(I) Funding for college and career acceleration |
strategies. |
(J) Special education investments. |
(K) Early childhood investments, in collaboration |
with the Illinois Early Learning Council. |
(4) (Blank). |
(5) Within 5 years after the implementation of this |
Section, and every 5 years thereafter, the Panel shall |
complete an evaluative study of the entire Evidence-Based |
Funding model, including an assessment of whether or not |
the formula is achieving State goals. The Panel shall |
report to the State Board, the General Assembly, and the |
Governor on the findings of the study. |
(6) (Blank). |
(7) To ensure that (i) the Adequacy Target calculation |
under subsection (b) accurately reflects the needs of |
students living in poverty or attending schools located in |
areas of high poverty, (ii) racial equity within the |
|
Evidence-Based Funding formula is explicitly explored and |
advanced, and (iii) the funding goals of the formula |
distribution system established under this Section are |
sufficient to provide adequate funding for every student |
and to fully fund every school in this State, the Panel |
shall review the Essential Elements under paragraph (2) of |
subsection (b). The Panel shall consider all of the |
following in its review: |
(A) The financial ability of school districts to |
provide instruction in a foreign language to every |
student and whether an additional Essential Element |
should be added to the formula to ensure that every |
student has access to instruction in a foreign |
language. |
(B) The adult-to-student ratio for each Essential |
Element in which a ratio is identified. The Panel |
shall consider whether the ratio accurately reflects |
the staffing needed to support students living in |
poverty or who have traumatic backgrounds. |
(C) Changes to the Essential Elements that may be |
required to better promote racial equity and eliminate |
structural racism within schools. |
(D) The impact of investing $350,000,000 in |
additional funds each year under this Section and an |
estimate of when the school system will become fully |
funded under this level of appropriation. |
|
(E) Provide an overview of alternative funding |
structures that would enable the State to become fully |
funded at an earlier date. |
(F) The potential to increase efficiency and to |
find cost savings within the school system to expedite |
the journey to a fully funded system. |
(G) The appropriate levels for reenrolling and |
graduating high-risk high school students who have |
been previously out of school. These outcomes shall |
include enrollment, attendance, skill gains, credit |
gains, graduation or promotion to the next grade |
level, and the transition to college, training, or |
employment, with an emphasis on progressively |
increasing the overall attendance. |
(H) The evidence-based or research-based practices |
that are shown to reduce the gaps and disparities |
experienced by African American students in academic |
achievement and educational performance, including |
practices that have been shown to reduce disparities |
in disciplinary rates, drop-out rates, graduation |
rates, college matriculation rates, and college |
completion rates. |
On or before December 31, 2021, the Panel shall report |
to the State Board, the General Assembly, and the Governor |
on the findings of its review. This paragraph (7) is |
inoperative on and after July 1, 2022. |
|
(j) References. Beginning July 1, 2017, references in |
other laws to general State aid funds or calculations under |
Section 18-8.05 of this Code (now repealed) shall be deemed to |
be references to evidence-based model formula funds or |
calculations under this Section. |
(Source: P.A. 101-10, eff. 6-5-19; 101-17, eff. 6-14-19; |
101-643, eff. 6-18-20; 101-654, eff. 3-8-21; 102-33, eff. |
6-25-21; 102-197, eff. 7-30-21; 102-558, eff. 8-20-21; |
102-699, eff. 4-19-22; 102-782, eff. 1-1-23; 102-813, eff. |
5-13-22; 102-894, eff. 5-20-22; revised 12-13-22.)
|
(105 ILCS 5/21B-20) |
Sec. 21B-20. Types of licenses. The State Board of |
Education shall implement a system of educator licensure, |
whereby individuals employed in school districts who are |
required to be licensed must have one of the following |
licenses: (i) a professional educator license; (ii) an |
educator license with stipulations; (iii) a substitute |
teaching license; or (iv) until June 30, 2023, a short-term |
substitute teaching license. References in law regarding |
individuals certified or certificated or required to be |
certified or certificated under Article 21 of this Code shall |
also include individuals licensed or required to be licensed |
under this Article. The first year of all licenses ends on June |
30 following one full year of the license being issued. |
The State Board of Education, in consultation with the |
|
State Educator Preparation and Licensure Board, may adopt such |
rules as may be necessary to govern the requirements for |
licenses and endorsements under this Section. |
(1) Professional Educator License. Persons who (i) |
have successfully completed an approved educator |
preparation program and are recommended for licensure by |
the Illinois institution offering the educator preparation |
program, (ii) have successfully completed the required |
testing under Section 21B-30 of this Code, (iii) have |
successfully completed coursework on the psychology of, |
the identification of, and the methods of instruction for |
the exceptional child, including without limitation |
children with learning disabilities, (iv) have |
successfully completed coursework in methods of reading |
and reading in the content area, and (v) have met all other |
criteria established by rule of the State Board of |
Education shall be issued a Professional Educator License. |
All Professional Educator Licenses are valid until June 30 |
immediately following 5 years of the license being issued. |
The Professional Educator License shall be endorsed with |
specific areas and grade levels in which the individual is |
eligible to practice. For an early childhood education |
endorsement, an individual may satisfy the student |
teaching requirement of his or her early childhood teacher |
preparation program through placement in a setting with |
children from birth through grade 2, and the individual |
|
may be paid and receive credit while student teaching. The |
student teaching experience must meet the requirements of |
and be approved by the individual's early childhood |
teacher preparation program. |
Individuals can receive subsequent endorsements on the |
Professional Educator License. Subsequent endorsements |
shall require a minimum of 24 semester hours of coursework |
in the endorsement area and passage of the applicable |
content area test, unless otherwise specified by rule. |
(2) Educator License with Stipulations. An Educator |
License with Stipulations shall be issued an endorsement |
that limits the license holder to one particular position |
or does not require completion of an approved educator |
program or both. |
An individual with an Educator License with |
Stipulations must not be employed by a school district or |
any other entity to replace any presently employed teacher |
who otherwise would not be replaced for any reason. |
An Educator License with Stipulations may be issued |
with the following endorsements: |
(A) (Blank). |
(B) Alternative provisional educator. An |
alternative provisional educator endorsement on an |
Educator License with Stipulations may be issued to an |
applicant who, at the time of applying for the |
endorsement, has done all of the following: |
|
(i) Graduated from a regionally accredited |
college or university with a minimum of a |
bachelor's degree. |
(ii) Successfully completed the first phase of |
the Alternative Educator Licensure Program for |
Teachers, as described in Section 21B-50 of this |
Code. |
(iii) Passed a content area test, as required |
under Section 21B-30 of this Code. |
The alternative provisional educator endorsement is |
valid for 2 years of teaching and may be renewed for a |
third year by an individual meeting the requirements set |
forth in Section 21B-50 of this Code. |
(C) Alternative provisional superintendent. An |
alternative provisional superintendent endorsement on |
an Educator License with Stipulations entitles the |
holder to serve only as a superintendent or assistant |
superintendent in a school district's central office. |
This endorsement may only be issued to an applicant |
who, at the time of applying for the endorsement, has |
done all of the following: |
(i) Graduated from a regionally accredited |
college or university with a minimum of a master's |
degree in a management field other than education. |
(ii) Been employed for a period of at least 5 |
years in a management level position in a field |
|
other than education. |
(iii) Successfully completed the first phase |
of an alternative route to superintendent |
endorsement program, as provided in Section 21B-55 |
of this Code. |
(iv) Passed a content area test required under |
Section 21B-30 of this Code. |
The endorsement is valid for 2 fiscal years in |
order to complete one full year of serving as a |
superintendent or assistant superintendent. |
(D) (Blank). |
(E) Career and technical educator. A career and |
technical educator endorsement on an Educator License |
with Stipulations may be issued to an applicant who |
has a minimum of 60 semester hours of coursework from a |
regionally accredited institution of higher education |
or an accredited trade and technical institution and |
has a minimum of 2,000 hours of experience outside of |
education in each area to be taught. |
The career and technical educator endorsement on |
an Educator License with Stipulations is valid until |
June 30 immediately following 5 years of the |
endorsement being issued and may be renewed. |
An individual who holds a valid career and |
technical educator endorsement on an Educator License |
with Stipulations but does not hold a bachelor's |
|
degree may substitute teach in career and technical |
education classrooms. |
(F) (Blank). |
(G) Transitional bilingual educator. A |
transitional bilingual educator endorsement on an |
Educator License with Stipulations may be issued for |
the purpose of providing instruction in accordance |
with Article 14C of this Code to an applicant who |
provides satisfactory evidence that he or she meets |
all of the following requirements: |
(i) Possesses adequate speaking, reading, and |
writing ability in the language other than English |
in which transitional bilingual education is |
offered. |
(ii) Has the ability to successfully |
communicate in English. |
(iii) Either possessed, within 5 years |
previous to his or her applying for a transitional |
bilingual educator endorsement, a valid and |
comparable teaching certificate or comparable |
authorization issued by a foreign country or holds |
a degree from an institution of higher learning in |
a foreign country that the State Educator |
Preparation and Licensure Board determines to be |
the equivalent of a bachelor's degree from a |
regionally accredited institution of higher |
|
learning in the United States. |
A transitional bilingual educator endorsement |
shall be valid for prekindergarten through grade 12, |
is valid until June 30 immediately following 5 years |
of the endorsement being issued, and shall not be |
renewed. |
Persons holding a transitional bilingual educator |
endorsement shall not be employed to replace any |
presently employed teacher who otherwise would not be |
replaced for any reason. |
(H) Language endorsement. In an effort to |
alleviate the shortage of teachers speaking a language |
other than English in the public schools, an |
individual who holds an Educator License with |
Stipulations may also apply for a language |
endorsement, provided that the applicant provides |
satisfactory evidence that he or she meets all of the |
following requirements: |
(i) Holds a transitional bilingual |
endorsement. |
(ii) Has demonstrated proficiency in the |
language for which the endorsement is to be issued |
by passing the applicable language content test |
required by the State Board of Education. |
(iii) Holds a bachelor's degree or higher from |
a regionally accredited institution of higher |
|
education or, for individuals educated in a |
country other than the United States, holds a |
degree from an institution of higher learning in a |
foreign country that the State Educator |
Preparation and Licensure Board determines to be |
the equivalent of a bachelor's degree from a |
regionally accredited institution of higher |
learning in the United States. |
(iv) (Blank). |
A language endorsement on an Educator License with |
Stipulations is valid for prekindergarten through |
grade 12 for the same validity period as the |
individual's transitional bilingual educator |
endorsement on the Educator License with Stipulations |
and shall not be renewed. |
(I) Visiting international educator. A visiting |
international educator endorsement on an Educator |
License with Stipulations may be issued to an |
individual who is being recruited by a particular |
school district that conducts formal recruitment |
programs outside of the United States to secure the |
services of qualified teachers and who meets all of |
the following requirements: |
(i) Holds the equivalent of a minimum of a |
bachelor's degree issued in the United States. |
(ii) Has been prepared as a teacher at the |
|
grade level for which he or she will be employed. |
(iii) Has adequate content knowledge in the |
subject to be taught. |
(iv) Has an adequate command of the English |
language. |
A holder of a visiting international educator |
endorsement on an Educator License with Stipulations |
shall be permitted to teach in bilingual education |
programs in the language that was the medium of |
instruction in his or her teacher preparation program, |
provided that he or she passes the English Language |
Proficiency Examination or another test of writing |
skills in English identified by the State Board of |
Education, in consultation with the State Educator |
Preparation and Licensure Board. |
A visiting international educator endorsement on |
an Educator License with Stipulations is valid for 5 |
years and shall not be renewed. |
(J) Paraprofessional educator. A paraprofessional |
educator endorsement on an Educator License with |
Stipulations may be issued to an applicant who holds a |
high school diploma or its recognized equivalent and |
(i) holds an associate's degree or a minimum of 60 |
semester hours of credit from a regionally accredited |
institution of higher education; (ii) has passed a |
paraprofessional competency test under subsection |
|
(c-5) of Section 21B-30; or (iii) is at least 18 years |
of age and will be using the Educator License with |
Stipulations exclusively for grades prekindergarten |
through grade 8, until the individual reaches the age |
of 19 years and otherwise meets the criteria for a |
paraprofessional educator endorsement pursuant to this |
subparagraph (J). The paraprofessional educator |
endorsement is valid until June 30 immediately |
following 5 years of the endorsement being issued and |
may be renewed through application and payment of the |
appropriate fee, as required under Section 21B-40 of |
this Code. An individual who holds only a |
paraprofessional educator endorsement is not subject |
to additional requirements in order to renew the |
endorsement. |
(K) Chief school business official. A chief school |
business official endorsement on an Educator License |
with Stipulations may be issued to an applicant who |
qualifies by having a master's degree or higher, 2 |
years of full-time administrative experience in school |
business management or 2 years of university-approved |
practical experience, and a minimum of 24 semester |
hours of graduate credit in a program approved by the |
State Board of Education for the preparation of school |
business administrators and by passage of the |
applicable State tests, including an applicable |
|
content area test. |
The chief school business official endorsement may |
also be affixed to the Educator License with |
Stipulations of any holder who qualifies by having a |
master's degree in business administration, finance, |
accounting, or public administration and who completes |
an additional 6 semester hours of internship in school |
business management from a regionally accredited |
institution of higher education and passes the |
applicable State tests, including an applicable |
content area test. This endorsement shall be required |
for any individual employed as a chief school business |
official. |
The chief school business official endorsement on |
an Educator License with Stipulations is valid until |
June 30 immediately following 5 years of the |
endorsement being issued and may be renewed if the |
license holder completes renewal requirements as |
required for individuals who hold a Professional |
Educator License endorsed for chief school business |
official under Section 21B-45 of this Code and such |
rules as may be adopted by the State Board of |
Education. |
The State Board of Education shall adopt any rules |
necessary to implement Public Act 100-288. |
(L) Provisional in-state educator. A provisional |
|
in-state educator endorsement on an Educator License |
with Stipulations may be issued to a candidate who has |
completed an Illinois-approved educator preparation |
program at an Illinois institution of higher education |
and who has not successfully completed an |
evidence-based assessment of teacher effectiveness but |
who meets all of the following requirements: |
(i) Holds at least a bachelor's degree. |
(ii) Has completed an approved educator |
preparation program at an Illinois institution. |
(iii) Has passed an applicable content area |
test, as required by Section 21B-30 of this Code. |
(iv) Has attempted an evidence-based |
assessment of teacher effectiveness and received a |
minimum score on that assessment, as established |
by the State Board of Education in consultation |
with the State Educator Preparation and Licensure |
Board. |
A provisional in-state educator endorsement on an |
Educator License with Stipulations is valid for one |
full fiscal year after the date of issuance and may not |
be renewed. |
(M) (Blank). |
(N) Specialized services. A specialized services |
endorsement on an Educator License with Stipulations |
may be issued as defined and specified by rule. |
|
(3) Substitute Teaching License. A Substitute Teaching |
License may be issued to qualified applicants for |
substitute teaching in all grades of the public schools, |
prekindergarten through grade 12. Substitute Teaching |
Licenses are not eligible for endorsements. Applicants for |
a Substitute Teaching License must hold a bachelor's |
degree or higher from a regionally accredited institution |
of higher education or must be enrolled in an approved |
educator preparation program in this State and have earned |
at least 90 credit hours. |
Substitute Teaching Licenses are valid for 5 years. |
Substitute Teaching Licenses are valid for substitute |
teaching in every county of this State. If an individual |
has had his or her Professional Educator License or |
Educator License with Stipulations suspended or revoked, |
then that individual is not eligible to obtain a |
Substitute Teaching License. |
A substitute teacher may only teach in the place of a |
licensed teacher who is under contract with the employing |
board. If, however, there is no licensed teacher under |
contract because of an emergency situation, then a |
district may employ a substitute teacher for no longer |
than 30 calendar days per each vacant position in the |
district if the district notifies the appropriate regional |
office of education within 5 business days after the |
employment of the substitute teacher in the emergency |
|
situation. An emergency situation is one in which an |
unforeseen vacancy has occurred and (i) a teacher is |
unable to fulfill his or her contractual duties or (ii) |
teacher capacity needs of the district exceed previous |
indications, and the district is actively engaged in |
advertising to hire a fully licensed teacher for the |
vacant position. |
There is no limit on the number of days that a |
substitute teacher may teach in a single school district, |
provided that no substitute teacher may teach for longer |
than 120 days beginning with the 2021-2022 school year |
through the 2022-2023 school year, otherwise 90 school |
days for any one licensed teacher under contract in the |
same school year. A substitute teacher who holds a |
Professional Educator License or Educator License with |
Stipulations shall not teach for more than 120 school days |
for any one licensed teacher under contract in the same |
school year. The limitations in this paragraph (3) on the |
number of days a substitute teacher may be employed do not |
apply to any school district operating under Article 34 of |
this Code. |
A school district may not require an individual who |
holds a valid Professional Educator License or Educator |
License with Stipulations to seek or hold a Substitute |
Teaching License to teach as a substitute teacher. |
(4) Short-Term Substitute Teaching License. Beginning |
|
on July 1, 2018 and until June 30, 2023, the State Board of |
Education may issue a Short-Term Substitute Teaching |
License. A Short-Term Substitute Teaching License may be |
issued to a qualified applicant for substitute teaching in |
all grades of the public schools, prekindergarten through |
grade 12. Short-Term Substitute Teaching Licenses are not |
eligible for endorsements. Applicants for a Short-Term |
Substitute Teaching License must hold an associate's |
degree or have completed at least 60 credit hours from a |
regionally accredited institution of higher education. |
Short-Term Substitute Teaching Licenses are valid for |
substitute teaching in every county of this State. If an |
individual has had his or her Professional Educator |
License or Educator License with Stipulations suspended or |
revoked, then that individual is not eligible to obtain a |
Short-Term Substitute Teaching License. |
The provisions of Sections 10-21.9 and 34-18.5 of this |
Code apply to short-term substitute teachers. |
An individual holding a Short-Term Substitute Teaching |
License may teach no more than 15 consecutive days per |
licensed teacher who is under contract. For teacher |
absences lasting 6 or more days per licensed teacher who |
is under contract, a school district may not hire an |
individual holding a Short-Term Substitute Teaching |
License, unless the Governor has declared a disaster due |
to a public health emergency pursuant to Section 7 of the |
|
Illinois Emergency Management Agency Act. An individual |
holding a Short-Term Substitute Teaching License must |
complete the training program under Section 10-20.67 or |
34-18.60 of this Code to be eligible to teach at a public |
school. This paragraph (4) is inoperative on and after |
July 1, 2023.
|
(Source: P.A. 101-81, eff. 7-12-19; 101-220, eff. 8-7-19; |
101-594, eff. 12-5-19; 101-643, eff. 6-18-20; 102-711, eff. |
1-1-23; 102-712, eff. 4-27-22; 102-713, eff. 1-1-23; 102-717, |
eff. 4-29-22; 102-894, eff. 5-20-22; revised 12-13-22.)
|
(105 ILCS 5/21B-45) |
Sec. 21B-45. Professional Educator License renewal. |
(a) Individuals holding a Professional Educator License |
are required to complete the licensure renewal requirements as |
specified in this Section, unless otherwise provided in this |
Code. |
Individuals holding a Professional Educator License shall |
meet the renewal requirements set forth in this Section, |
unless otherwise provided in this Code. If an individual holds |
a license endorsed in more than one area that has different |
renewal requirements, that individual shall follow the renewal |
requirements for the position for which he or she spends the |
majority of his or her time working. |
(b) All Professional Educator Licenses not renewed as |
provided in this Section shall lapse on September 1 of that |
|
year. Notwithstanding any other provisions of this Section, if |
a license holder's electronic mail address is available, the |
State Board of Education shall send him or her notification |
electronically that his or her license will lapse if not |
renewed, to be sent no more than 6 months prior to the license |
lapsing. Lapsed licenses may be immediately reinstated upon |
(i) payment to the State Board of Education by the applicant of |
a $50 penalty or (ii) the demonstration of proficiency by |
completing 9 semester hours of coursework from a regionally |
accredited institution of higher education in the content area |
that most aligns with one or more of the educator's |
endorsement areas. Any and all back fees, including without |
limitation registration fees owed from the time of expiration |
of the license until the date of reinstatement, shall be paid |
and kept in accordance with the provisions in Article 3 of this |
Code concerning an institute fund and the provisions in |
Article 21B of this Code concerning fees and requirements for |
registration. Licenses not registered in accordance with |
Section 21B-40 of this Code shall lapse after a period of 6 |
months from the expiration of the last year of registration or |
on January 1 of the fiscal year following initial issuance of |
the license. An unregistered license is invalid after |
September 1 for employment and performance of services in an |
Illinois public or State-operated school or cooperative and in |
a charter school. Any license or endorsement may be |
voluntarily surrendered by the license holder. A voluntarily |
|
surrendered license shall be treated as a revoked license. An |
Educator License with Stipulations with only a |
paraprofessional endorsement does not lapse.
|
(c) From July 1, 2013 through June 30, 2014, in order to |
satisfy the requirements for licensure renewal provided for in |
this Section, each professional educator licensee with an |
administrative endorsement who is working in a position |
requiring such endorsement shall complete one Illinois |
Administrators' Academy course, as described in Article 2 of |
this Code, per fiscal year. |
(c-5) All licenses issued by the State Board of Education |
under this Article that expire on June 30, 2020 and have not |
been renewed by the end of the 2020 renewal period shall be |
extended for one year and shall expire on June 30, 2021. |
(d) Beginning July 1, 2014, in order to satisfy the |
requirements for licensure renewal provided for in this |
Section, each professional educator licensee may create a |
professional development plan each year. The plan shall |
address one or more of the endorsements that are required of |
his or her educator position if the licensee is employed and |
performing services in an Illinois public or State-operated |
school or cooperative. If the licensee is employed in a |
charter school, the plan shall address that endorsement or |
those endorsements most closely related to his or her educator |
position. Licensees employed and performing services in any |
other Illinois schools may participate in the renewal |
|
requirements by adhering to the same process. |
Except as otherwise provided in this Section, the |
licensee's professional development activities shall align |
with one or more of the following criteria: |
(1) activities are of a type that engages engage |
participants over a sustained period of time allowing for |
analysis, discovery, and application as they relate to |
student learning, social or emotional achievement, or |
well-being; |
(2) professional development aligns to the licensee's |
performance; |
(3) outcomes for the activities must relate to student |
growth or district improvement; |
(4) activities align to State-approved standards;
and |
(5) higher education coursework. |
(e) For each renewal cycle, each professional educator |
licensee shall engage in professional development activities. |
Prior to renewal, the licensee shall enter electronically into |
the Educator Licensure Information System (ELIS) the name, |
date, and location of the activity, the number of professional |
development hours, and the provider's name. The following |
provisions shall apply concerning professional development |
activities: |
(1) Each licensee shall complete a total of 120 hours |
of professional development per 5-year renewal cycle in |
order to renew the license, except as otherwise provided |
|
in this Section. |
(2) Beginning with his or her first full 5-year cycle, |
any licensee with an administrative endorsement who is not |
working in a position requiring such endorsement is not |
required to complete Illinois Administrators' Academy |
courses, as described in Article 2 of this Code. Such |
licensees must complete one Illinois Administrators' |
Academy course within one year after returning to a |
position that requires the administrative endorsement. |
(3) Any licensee with an administrative endorsement |
who is working in a position requiring such endorsement or |
an individual with a Teacher Leader endorsement serving in |
an administrative capacity at least 50% of the day shall |
complete one Illinois Administrators' Academy course, as |
described in Article 2 of this Code, each fiscal year in |
addition to 100 hours of professional development per |
5-year renewal cycle in accordance with this Code. |
However, for the 2021-2022 school year only, a licensee |
under this paragraph (3) is not required to complete an |
Illinois Administrators' Academy course. |
(4) Any licensee holding a current National Board for |
Professional Teaching Standards (NBPTS) master teacher |
designation shall complete a total of 60 hours of |
professional development per 5-year renewal cycle in order |
to renew the license. |
(5) Licensees working in a position that does not |
|
require educator licensure or working in a position for |
less than 50% for any particular year are considered to be |
exempt and shall be required to pay only the registration |
fee in order to renew and maintain the validity of the |
license. |
(6) Licensees who are retired and qualify for benefits |
from a State of Illinois retirement system shall be listed |
as retired, and the license shall be maintained in retired |
status. For any renewal cycle in which a licensee retires |
during the renewal cycle, the licensee must complete |
professional development activities on a prorated basis |
depending on the number of years during the renewal cycle |
the educator held an active license. If a licensee retires |
during a renewal cycle, the license status must be updated |
using ELIS indicating that the licensee wishes to maintain |
the license in retired status and the licensee must show |
proof of completion of professional development activities |
on a prorated basis for all years of that renewal cycle for |
which the license was active. An individual with a license |
in retired status shall not be required to complete |
professional development activities until returning to a |
position that requires educator licensure. Upon returning |
to work in a position that requires the Professional |
Educator License, the license status shall immediately be |
updated using ELIS and the licensee shall complete renewal |
requirements for that year. A retired teacher, even if |
|
returning to a position that requires educator licensure, |
shall not be required to pay registration fees. A license |
in retired status cannot lapse. Beginning on January 6, |
2017 (the effective date of Public Act 99-920) through |
December 31, 2017, any licensee who has retired and whose |
license has lapsed for failure to renew as provided in |
this Section may reinstate that license and maintain it in |
retired status upon providing proof to the State Board of |
Education using ELIS that the licensee is retired and is |
not working in a position that requires a Professional |
Educator License. |
(7) For any renewal cycle in which professional |
development hours were required, but not fulfilled, the |
licensee shall complete any missed hours to total the |
minimum professional development hours required in this |
Section prior to September 1 of that year. Professional |
development hours used to fulfill the minimum required |
hours for a renewal cycle may be used for only one renewal |
cycle. For any fiscal year or renewal cycle in which an |
Illinois Administrators' Academy course was required but |
not completed, the licensee shall complete any missed |
Illinois Administrators' Academy courses prior to |
September 1 of that year. The licensee may complete all |
deficient hours and Illinois Administrators' Academy |
courses while continuing to work in a position that |
requires that license until September 1 of that year. |
|
(8) Any licensee who has not fulfilled the |
professional development renewal requirements set forth in |
this Section at the end of any 5-year renewal cycle is |
ineligible to register his or her license and may submit |
an appeal to the State Superintendent of Education for |
reinstatement of the license. |
(9) If professional development opportunities were |
unavailable to a licensee, proof that opportunities were |
unavailable and request for an extension of time beyond |
August 31 to complete the renewal requirements may be |
submitted from April 1 through June 30 of that year to the |
State Educator Preparation and Licensure Board. If an |
extension is approved, the license shall remain valid |
during the extension period. |
(10) Individuals who hold exempt licenses prior to |
December 27, 2013 (the effective date of Public Act |
98-610) shall commence the annual renewal process with the |
first scheduled registration due after December 27, 2013 |
(the effective date of Public Act 98-610). |
(11) Notwithstanding any other provision of this |
subsection (e), if a licensee earns more than the required |
number of professional development hours during a renewal |
cycle, then the licensee may carry over any hours earned |
from April 1 through June 30 of the last year of the |
renewal cycle. Any hours carried over in this manner must |
be applied to the next renewal cycle. Illinois |
|
Administrators' Academy courses or hours earned in those |
courses may not be carried over. |
(e-5) The number of professional development hours |
required under subsection (e) is reduced by 20% for any |
renewal cycle that includes the 2021-2022 school year. |
(f) At the time of renewal, each licensee shall respond to |
the required questions under penalty of perjury. |
(f-5) The State Board of Education shall conduct random |
audits of licensees to verify a licensee's fulfillment of the |
professional development hours required under this Section. |
Upon completion of a random audit, if it is determined by the |
State Board of Education that the licensee did not complete |
the required number of professional development hours or did |
not provide sufficient proof of completion, the licensee shall |
be notified that his or her license has lapsed. A license that |
has lapsed under this subsection may be reinstated as provided |
in subsection (b). |
(g) The following entities shall be designated as approved |
to provide professional development activities for the renewal |
of Professional Educator Licenses: |
(1) The State Board of Education. |
(2) Regional offices of education and intermediate |
service centers. |
(3) Illinois professional associations representing |
the following groups that are approved by the State |
Superintendent of Education: |
|
(A) school administrators; |
(B) principals; |
(C) school business officials; |
(D) teachers, including special education |
teachers; |
(E) school boards; |
(F) school districts; |
(G) parents; and |
(H) school service personnel. |
(4) Regionally accredited institutions of higher |
education that offer Illinois-approved educator |
preparation programs and public community colleges subject |
to the Public Community College Act. |
(5) Illinois public school districts, charter schools |
authorized under Article 27A of this Code, and joint |
educational programs authorized under Article 10 of this |
Code for the purposes of providing career and technical |
education or special education services. |
(6) A not-for-profit organization that, as of December |
31, 2014 (the effective date of Public Act 98-1147), has |
had or has a grant from or a contract with the State Board |
of Education to provide professional development services |
in the area of English Learning to Illinois school |
districts, teachers, or administrators. |
(7) State agencies, State boards, and State |
commissions. |
|
(8) Museums as defined in Section 10 of the Museum |
Disposition of Property Act. |
(h) Approved providers under subsection (g) of this |
Section shall make available professional development |
opportunities that satisfy at least one of the following: |
(1) increase the knowledge and skills of school and |
district leaders who guide continuous professional |
development; |
(2) improve the learning of students; |
(3) organize adults into learning communities whose |
goals are aligned with those of the school and district; |
(4) deepen educator's content knowledge; |
(5) provide educators with research-based |
instructional strategies to assist students in meeting |
rigorous academic standards; |
(6) prepare educators to appropriately use various |
types of classroom assessments; |
(7) use learning strategies appropriate to the |
intended goals; |
(8) provide educators with the knowledge and skills to |
collaborate; |
(9) prepare educators to apply research to decision |
making; |
(10) provide educators with training on inclusive |
practices in the classroom that examines instructional and |
behavioral strategies that improve academic and |
|
social-emotional outcomes for all students, with or |
without disabilities, in a general education setting; or |
(11) beginning on July 1, 2022, provide educators with |
training on the physical
and mental health needs of |
students, student safety, educator ethics, professional |
conduct, and
other topics that address the well-being of |
students and improve the academic and social-emotional
|
outcomes of students. |
(i) Approved providers under subsection (g) of this |
Section shall do the following: |
(1) align professional development activities to the |
State-approved national standards for professional |
learning; |
(2) meet the professional development criteria for |
Illinois licensure renewal; |
(3) produce a rationale for the activity that explains |
how it aligns to State standards and identify the |
assessment for determining the expected impact on student |
learning or school improvement; |
(4) maintain original documentation for completion of |
activities; |
(5) provide license holders with evidence of |
completion of activities; |
(6) request an Illinois Educator Identification Number |
(IEIN) for each educator during each professional |
development activity; and |
|
(7) beginning on July 1, 2019, register annually with |
the State Board of Education prior to offering any |
professional development opportunities in the current |
fiscal year. |
(j) The State Board of Education shall conduct annual |
audits of a subset of approved providers, except for school |
districts, which shall be audited by regional offices of |
education and intermediate service centers. The State Board of |
Education shall ensure that each approved provider, except for |
a school district, is audited at least once every 5 years. The |
State Board of Education may conduct more frequent audits of |
providers if evidence suggests the requirements of this |
Section or administrative rules are not being met. |
(1) (Blank). |
(2) Approved providers shall comply with the |
requirements in subsections (h) and (i) of this Section by |
annually submitting data to the State Board of Education |
demonstrating how the professional development activities |
impacted one or more of the following: |
(A) educator and student growth in regards to |
content knowledge or skills, or both; |
(B) educator and student social and emotional |
growth; or |
(C) alignment to district or school improvement |
plans. |
(3) The State Superintendent of Education shall review |
|
the annual data collected by the State Board of Education, |
regional offices of education, and intermediate service |
centers in audits to determine if the approved provider |
has met the criteria and should continue to be an approved |
provider or if further action should be taken as provided |
in rules. |
(k) Registration fees shall be paid for the next renewal |
cycle between April 1 and June 30 in the last year of each |
5-year renewal cycle using ELIS. If all required professional |
development hours for the renewal cycle have been completed |
and entered by the licensee, the licensee shall pay the |
registration fees for the next cycle using a form of credit or |
debit card. |
(l) Any professional educator licensee endorsed for school |
support personnel who is employed and performing services in |
Illinois public schools and who holds an active and current |
professional license issued by the Department of Financial and |
Professional Regulation or a national certification board, as |
approved by the State Board of Education, related to the |
endorsement areas on the Professional Educator License shall |
be deemed to have satisfied the continuing professional |
development requirements provided for in this Section. Such |
individuals shall be required to pay only registration fees to |
renew the Professional Educator License. An individual who |
does not hold a license issued by the Department of Financial |
and Professional Regulation shall complete professional |
|
development requirements for the renewal of a Professional |
Educator License provided for in this Section. |
(m) Appeals to the State Educator Preparation and |
Licensure Board
must be made within 30 days after receipt of |
notice from the State Superintendent of Education that a |
license will not be renewed based upon failure to complete the |
requirements of this Section. A licensee may appeal that |
decision to the State Educator Preparation and Licensure Board |
in a manner prescribed by rule. |
(1) Each appeal shall state the reasons why the State |
Superintendent's decision should be reversed and shall be |
sent by certified mail, return receipt requested, to the |
State Board of Education. |
(2) The State Educator Preparation and Licensure Board |
shall review each appeal regarding renewal of a license |
within 90 days after receiving the appeal in order to |
determine whether the licensee has met the requirements of |
this Section. The State Educator Preparation and Licensure |
Board may hold an appeal hearing or may make its |
determination based upon the record of review, which shall |
consist of the following: |
(A) the regional superintendent of education's |
rationale for recommending nonrenewal of the license, |
if applicable; |
(B) any evidence submitted to the State |
Superintendent along with the individual's electronic |
|
statement of assurance for renewal; and |
(C) the State Superintendent's rationale for |
nonrenewal of the license. |
(3) The State Educator Preparation and Licensure Board |
shall notify the licensee of its decision regarding |
license renewal by certified mail, return receipt |
requested, no later than 30 days after reaching a |
decision. Upon receipt of notification of renewal, the |
licensee, using ELIS, shall pay the applicable |
registration fee for the next cycle using a form of credit |
or debit card. |
(n) The State Board of Education may adopt rules as may be |
necessary to implement this Section. |
(Source: P.A. 101-85, eff. 1-1-20; 101-531, eff. 8-23-19; |
101-643, eff. 6-18-20; 102-676, eff. 12-3-21; 102-710, eff. |
4-27-22; 102-730, eff. 5-6-22; 102-852, eff. 5-13-22; revised |
8-25-22.)
|
(105 ILCS 5/24-6)
|
Sec. 24-6. Sick leave. The school boards of all school |
districts, including special charter
districts, but not |
including school districts in municipalities of 500,000
or |
more, shall grant their full-time teachers, and also shall |
grant
such of their other employees as are eligible to |
participate in the
Illinois Municipal Retirement Fund under |
the "600-Hour Standard"
established, or under such other |
|
eligibility participation standard as may
from time to time be |
established, by rules and regulations now or hereafter
|
promulgated by the Board of that Fund under Section 7-198 of |
the Illinois
Pension Code, as now or hereafter amended, sick |
leave
provisions not less in amount than 10 days at full pay in |
each school year.
If any such teacher or employee does not use |
the full amount of annual leave
thus allowed, the unused |
amount shall be allowed to accumulate to a minimum
available |
leave of 180 days at full pay, including the leave of the |
current
year. Sick leave shall be interpreted to mean personal |
illness, mental or behavioral health complications, quarantine
|
at home, or serious illness or death in the immediate family or |
household.
The school board may require a certificate from a |
physician licensed in Illinois to practice medicine and |
surgery in all its branches, a mental health professional |
licensed in Illinois providing ongoing care or treatment to |
the teacher or employee, a chiropractic physician licensed |
under the Medical Practice Act of 1987, a licensed advanced |
practice registered nurse, a licensed physician assistant, or, |
if the treatment
is by prayer or spiritual means, a spiritual |
adviser or
practitioner of the teacher's or employee's faith |
as a basis for pay during leave after
an absence of 3 days for |
personal illness or as the school board may deem necessary in
|
other cases. If the school board does require a
certificate
as |
a basis for pay during leave of
less than 3 days for personal |
illness, the school board shall pay, from school funds, the
|
|
expenses incurred by the teachers or other employees in |
obtaining the certificate.
|
Sick leave shall also be interpreted to mean birth, |
adoption, placement for adoption, and the acceptance of a |
child in need of foster care. Teachers and other employees to |
which this Section applies are entitled to use up to 30 days of |
paid sick leave because of the birth of a child that is not |
dependent on the need to recover from childbirth. Paid sick |
leave because of the birth of a child may be used absent |
medical certification for up to 30 working school days, which |
days may be used at any time within the 12-month period |
following the birth of the child. The use of up to 30 working |
school days of paid sick leave because of the birth of a child |
may not be diminished as a result of any intervening period of |
nonworking days or school not being in session, such as for |
summer, winter, or spring break or holidays, that may occur |
during the use of the paid sick leave. For paid sick leave for |
adoption, placement for adoption, or the acceptance of a child |
in need of foster care, the school board may require that the |
teacher or other employee to which this Section applies |
provide evidence that the formal adoption process or the |
formal foster care process is underway, and such sick leave is |
limited to 30 days unless a longer leave has been negotiated |
with the exclusive bargaining representative. Paid sick leave |
for adoption, placement for adoption, or the acceptance of a |
child in need of foster care need not be used consecutively |
|
once the formal adoption process or the formal foster care |
process is underway, and such sick leave may be used for |
reasons related to the formal adoption process or the formal |
foster care process prior to taking custody of the child or |
accepting the child in need of foster care, in addition to |
using such sick leave upon taking custody of the child or |
accepting the child in need of foster care. |
If, by reason of any change in the boundaries of school |
districts, or by
reason of the creation of a new school |
district, the employment of a
teacher is transferred to a new |
or different board, the accumulated sick
leave of such teacher |
is not thereby lost, but is transferred to such new
or |
different district.
|
Any sick leave used by a teacher or employee during the |
2021-2022 school year shall be returned to a teacher or |
employee who receives all doses required to be fully |
vaccinated against COVID-19, as defined in Section 10-20.83 of |
this Code, if: |
(1) the sick leave was taken because the teacher or |
employee was restricted from being on school district |
property because the teacher or employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
|
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
teacher or employee who was unable to attend elementary or |
secondary school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
For purposes of return of sick leave used in the 2021-2022 |
school year pursuant this Section, an "employee" is a teacher |
or employee employed by the school district on or after April |
5, 2022 ( the effective date of Public Act 102-697) this |
amendatory Act of the 102nd General Assembly . |
Leave shall be returned to a teacher or employee pursuant |
|
to this Section provided that the teacher or employee has |
received all required doses to meet the definition of "fully |
vaccinated against COVID-19" under Section 10-20.83 of this |
Code no later than 5 weeks after April 5, 2022 ( the effective |
date of Public Act 102-697) this amendatory Act of the 102nd |
General Assembly . |
No school may rescind any sick leave returned to a teacher |
or employee on the basis of a revision to the definition of |
"fully vaccinated against COVID-19" by the Centers for Disease |
Control and Prevention of the United States Department of |
Health and Human Services or the Department of Public Health, |
provided that the teacher or employee received all doses |
required to be fully vaccinated against COVID-19, as defined |
in Section 10-20.83 of this Code, at the time the sick leave |
was returned to the teacher or employee. |
For purposes of this Section, "immediate family" shall |
include parents,
spouse, brothers, sisters, children, |
grandparents, grandchildren,
parents-in-law, brothers-in-law, |
sisters-in-law, and legal guardians.
|
(Source: P.A. 102-275, eff. 8-6-21; 102-697, eff. 4-5-22; |
102-866, eff. 5-13-22; revised 8-25-22.)
|
(105 ILCS 5/26-2) (from Ch. 122, par. 26-2)
|
Sec. 26-2. Enrolled pupils not of compulsory school age.
|
(a) Any person having
custody or control of a child who is |
below the age of 6 years or is 17 years of age or above and who |
|
is enrolled in any of grades kindergarten
through 12 in the |
public school shall cause the child to attend the public
|
school in the district wherein he or she resides when it is in |
session
during the regular school term, unless the child is |
excused under
Section 26-1 of this Code.
|
(b) A school district shall deny reenrollment in its |
secondary schools
to any
child 19 years of age or above who has |
dropped out of school
and who could
not, because of age and |
lack of credits, attend classes during the normal
school year |
and graduate before his or her twenty-first birthday.
A |
district may, however, enroll the child in a graduation |
incentives program under Section 26-16 of this Code or an |
alternative learning
opportunities program established
under |
Article 13B.
No
child shall be denied reenrollment for the |
above reasons
unless the school district first offers the |
child
due process as required in cases of expulsion under |
Section
10-22.6. If a child is denied reenrollment after being |
provided with due
process, the school district must provide |
counseling to that child and
must direct that child to
|
alternative educational
programs, including adult education |
programs, that lead to graduation or
receipt of a State of |
Illinois High School Diploma.
|
(c)
A school or school district may deny enrollment to a |
student 17 years of age
or
older for one semester for failure |
to meet minimum attendance standards if all
of the
following |
conditions are met:
|
|
(1) The student was absent without valid cause for 20% |
or more of the
attendance
days in the semester immediately |
prior to the current semester.
|
(2) The student and the student's parent or guardian |
are given written
notice
warning that the student is |
subject to denial from enrollment for one
semester
unless |
the student is absent without valid cause less than 20% of |
the
attendance days
in the current semester.
|
(3) The student's parent or guardian is provided with |
the right to appeal
the
notice, as determined by the State |
Board of Education in accordance with due
process.
|
(4) The student is provided with attendance |
remediation services,
including
without limitation |
assessment, counseling, and support services.
|
(5) The student is absent without valid cause for 20% |
or more of the
attendance
days in the current semester.
|
A school or school district may not deny enrollment to a |
student (or
reenrollment
to a dropout) who is at least 17
years |
of age or older but below 19
years for more
than one |
consecutive semester for failure to meet attendance
standards.
|
(d) No child may be denied reenrollment under this
Section |
in violation
of the federal Individuals with Disabilities |
Education Act or the Americans with
Disabilities Act.
|
(e) In this subsection (e), "reenrolled student" means a |
dropout who has
reenrolled
full-time in a public school. Each |
school district shall identify, track, and
report on the
|
|
educational progress and outcomes of reenrolled students as a |
subset of the
district's
required reporting on all |
enrollments.
A reenrolled student who again drops out must not |
be counted again
against a district's dropout rate performance |
measure.
The State
Board of Education shall set performance |
standards for programs serving
reenrolled
students.
|
(f) The State Board of Education shall adopt any rules |
necessary to
implement the
changes to this Section made by |
Public Act 93-803.
|
(Source: P.A. 102-981, eff. 1-1-23; 102-1100, eff. 1-1-23; |
revised 12-13-22.)
|
(105 ILCS 5/27-22) (from Ch. 122, par. 27-22)
|
Sec. 27-22. Required high school courses.
|
(a) (Blank).
|
(b) (Blank). |
(c) (Blank). |
(d) (Blank). |
(e) Through the 2023-2024 school year, as a prerequisite |
to receiving a high school diploma, each pupil
entering the |
9th grade must, in addition to other course requirements, |
successfully
complete all of the following courses: |
(1) Four years of language arts. |
(2) Two years of writing intensive courses, one of |
which must be English and the other of which may be English |
or any other subject. When applicable, writing-intensive |
|
courses may be counted towards the fulfillment of other |
graduation requirements.
|
(3) Three years of mathematics, one of which must be |
Algebra I, one of which must include geometry content, and |
one of which may be an Advanced Placement computer science |
course. A mathematics course that includes geometry |
content may be offered as an integrated, applied, |
interdisciplinary, or career and technical education |
course that prepares a student for a career readiness |
path. |
(3.5) For pupils entering the 9th grade in the |
2022-2023 school year and 2023-2024 school year, one year |
of a course that includes intensive instruction in |
computer literacy, which may be English, social studies, |
or any other subject and which may be counted toward the |
fulfillment of other graduation requirements. |
(4) Two years of science. |
(5) Two years of social studies, of which at least one |
year must be history of the United States or a combination |
of history of the United States and American government |
and, beginning with pupils entering the 9th grade in the |
2016-2017 school year and each school year thereafter, at |
least one semester must be civics, which shall help young |
people acquire and learn to use the skills, knowledge, and |
attitudes that will prepare them to be competent and |
responsible citizens throughout their lives. Civics course |
|
content shall focus on government institutions, the |
discussion of current and controversial issues, service |
learning, and simulations of the democratic process. |
School districts may utilize private funding available for |
the purposes of offering civics education. Beginning with
|
pupils entering the 9th grade in the 2021-2022 school |
year, one semester, or part of
one semester, may include a |
financial literacy course. |
(6) One year chosen from (A) music, (B) art, (C) |
foreign language, which shall be deemed to include |
American Sign Language, (D) vocational education, or (E) |
forensic speech (speech and debate). A forensic speech |
course used to satisfy the course requirement under |
subdivision (1) may not be used to satisfy the course |
requirement under this subdivision (6). |
(e-5) Beginning with the 2024-2025 school year, as a |
prerequisite to receiving a high school diploma, each pupil |
entering the 9th grade must, in addition to other course |
requirements, successfully complete all of the following |
courses: |
(1) Four years of language arts. |
(2) Two years of writing intensive courses, one of |
which must be English and the other of which may be English |
or any other subject. If applicable, writing-intensive |
courses may be counted toward the fulfillment of other |
graduation requirements. |
|
(3) Three years of mathematics, one of which must be |
Algebra I, one of which must include geometry content, and |
one of which may be an Advanced Placement computer science |
course. A mathematics course that includes geometry |
content may be offered as an integrated, applied, |
interdisciplinary, or career and technical education |
course that prepares a student for a career readiness |
path. |
(3.5) One year of a course that includes intensive |
instruction in computer literacy, which may be English, |
social studies, or any other subject and which may be |
counted toward the fulfillment of other graduation |
requirements. |
(4) Two years of laboratory science. |
(5) Two years of social studies, of which at least one |
year must be history of the United States or a combination |
of history of the United States and American government |
and at least one semester must be civics, which shall help |
young people acquire and learn to use the skills, |
knowledge, and attitudes that will prepare them to be |
competent and responsible citizens throughout their lives. |
Civics course content shall focus on government |
institutions, the discussion of current and controversial |
issues, service learning, and simulations of the |
democratic process. School districts may utilize private |
funding available for the purposes of offering civics |
|
education. One semester, or part of
one semester, may |
include a financial literacy course. |
(6) One year chosen from (A) music, (B) art, (C) |
foreign language, which shall be deemed to include |
American Sign Language, (D) vocational education, or (E) |
forensic speech (speech and debate). A forensic speech |
course used to satisfy the course requirement under |
subdivision (1) may not be used to satisfy the course |
requirement under this subdivision (6). |
(e-10) Beginning with the 2028-2029 school year, as a |
prerequisite to receiving a high school diploma, each pupil |
entering the 9th grade must, in addition to other course |
requirements, successfully complete 2 years of foreign |
language courses, which may include American Sign Language. A |
pupil may choose a third year of foreign language to satisfy |
the requirement under subdivision paragraph (6) of subsection |
(e-5). |
(f) The State Board of Education shall develop and inform |
school districts of standards for writing-intensive |
coursework.
|
(f-5) If a school district offers an Advanced Placement |
computer science course to high school students, then the |
school board must designate that course as equivalent to a |
high school mathematics course and must denote on the |
student's transcript that the Advanced Placement computer |
science course qualifies as a mathematics-based, quantitative |
|
course for students in accordance with subdivision (3) of |
subsection (e) of this Section. |
(g) Public Act 83-1082 This amendatory Act of 1983 does |
not apply to pupils entering the 9th grade
in 1983-1984 school |
year and prior school years or to students
with disabilities |
whose course of study is determined by an individualized
|
education program.
|
Public Act 94-676 This amendatory Act of the 94th General |
Assembly does not apply
to pupils entering the 9th grade in the |
2004-2005 school year or a prior
school year or to students |
with disabilities whose course of study is
determined by an |
individualized education program.
|
Subdivision (3.5) of subsection (e) does not apply
to |
pupils entering the 9th grade in the 2021-2022 school year or a |
prior
school year or to students with disabilities whose |
course of study is
determined by an individualized education |
program. |
Subsection (e-5) does not apply
to pupils entering the 9th |
grade in the 2023-2024 school year or a prior
school year or to |
students with disabilities whose course of study is
determined |
by an individualized education program. Subsection (e-10) does |
not apply
to pupils entering the 9th grade in the 2027-2028 |
school year or a prior
school year or to students with |
disabilities whose course of study is
determined by an |
individualized education program. |
(h) The provisions of this Section are subject to the |
|
provisions of
Section
27-22.05 of this Code and the |
Postsecondary and Workforce Readiness Act.
|
(i) The State Board of Education may adopt rules to modify |
the requirements of this Section for any students enrolled in |
grades 9 through 12 if the Governor has declared a disaster due |
to a public health emergency pursuant to Section 7 of the |
Illinois Emergency Management Agency Act. |
(Source: P.A. 101-464, eff. 1-1-20; 101-643, eff. 6-18-20; |
101-654, Article 50, Section 50-5, eff. 3-8-21; 101-654, |
Article 60, Section 60-5, eff. 3-8-21; 102-366, eff. 8-13-21; |
102-551, eff. 1-1-22; 102-864, eff. 5-13-22; revised 9-2-22.)
|
(105 ILCS 5/27A-5)
|
(Text of Section before amendment by P.A. 102-466 and |
102-702 ) |
Sec. 27A-5. Charter school; legal entity; requirements.
|
(a) A charter school shall be a public, nonsectarian, |
nonreligious, non-home
based, and non-profit school. A charter |
school shall be organized and operated
as a nonprofit |
corporation or other discrete, legal, nonprofit entity
|
authorized under the laws of the State of Illinois.
|
(b) A charter school may be established under this Article |
by creating a new
school or by converting an existing public |
school or attendance center to
charter
school status.
|
Beginning on April 16, 2003 (the effective date of Public Act |
93-3), in all new
applications to establish
a charter
school |
|
in a city having a population exceeding 500,000, operation of |
the
charter
school shall be limited to one campus. The changes |
made to this Section by Public Act 93-3 do not apply to charter |
schools existing or approved on or before April 16, 2003 (the
|
effective date of Public Act 93-3). |
(b-5) In this subsection (b-5), "virtual-schooling" means |
a cyber school where students engage in online curriculum and |
instruction via the Internet and electronic communication with |
their teachers at remote locations and with students |
participating at different times. |
From April 1, 2013 through December 31, 2016, there is a |
moratorium on the establishment of charter schools with |
virtual-schooling components in school districts other than a |
school district organized under Article 34 of this Code. This |
moratorium does not apply to a charter school with |
virtual-schooling components existing or approved prior to |
April 1, 2013 or to the renewal of the charter of a charter |
school with virtual-schooling components already approved |
prior to April 1, 2013.
|
(c) A charter school shall be administered and governed by |
its board of
directors or other governing body
in the manner |
provided in its charter. The governing body of a charter |
school
shall be subject to the Freedom of Information Act and |
the Open Meetings Act. No later than January 1, 2021 (one year |
after the effective date of Public Act 101-291), a charter |
school's board of directors or other governing body must |
|
include at least one parent or guardian of a pupil currently |
enrolled in the charter school who may be selected through the |
charter school or a charter network election, appointment by |
the charter school's board of directors or other governing |
body, or by the charter school's Parent Teacher Organization |
or its equivalent. |
(c-5) No later than January 1, 2021 (one year after the |
effective date of Public Act 101-291) or within the first year |
of his or her first term, every voting member of a charter |
school's board of directors or other governing body shall |
complete a minimum of 4 hours of professional development |
leadership training to ensure that each member has sufficient |
familiarity with the board's or governing body's role and |
responsibilities, including financial oversight and |
accountability of the school, evaluating the principal's and |
school's performance, adherence to the Freedom of Information |
Act and the Open Meetings Act, and compliance with education |
and labor law. In each subsequent year of his or her term, a |
voting member of a charter school's board of directors or |
other governing body shall complete a minimum of 2 hours of |
professional development training in these same areas. The |
training under this subsection may be provided or certified by |
a statewide charter school membership association or may be |
provided or certified by other qualified providers approved by |
the State Board of Education.
|
(d) For purposes of this subsection (d), "non-curricular |
|
health and safety requirement" means any health and safety |
requirement created by statute or rule to provide, maintain, |
preserve, or safeguard safe or healthful conditions for |
students and school personnel or to eliminate, reduce, or |
prevent threats to the health and safety of students and |
school personnel. "Non-curricular health and safety |
requirement" does not include any course of study or |
specialized instructional requirement for which the State |
Board has established goals and learning standards or which is |
designed primarily to impart knowledge and skills for students |
to master and apply as an outcome of their education. |
A charter school shall comply with all non-curricular |
health and safety
requirements applicable to public schools |
under the laws of the State of
Illinois. On or before September |
1, 2015, the State Board shall promulgate and post on its |
Internet website a list of non-curricular health and safety |
requirements that a charter school must meet. The list shall |
be updated annually no later than September 1. Any charter |
contract between a charter school and its authorizer must |
contain a provision that requires the charter school to follow |
the list of all non-curricular health and safety requirements |
promulgated by the State Board and any non-curricular health |
and safety requirements added by the State Board to such list |
during the term of the charter. Nothing in this subsection (d) |
precludes an authorizer from including non-curricular health |
and safety requirements in a charter school contract that are |
|
not contained in the list promulgated by the State Board, |
including non-curricular health and safety requirements of the |
authorizing local school board.
|
(e) Except as otherwise provided in the School Code, a |
charter school shall
not charge tuition; provided that a |
charter school may charge reasonable fees
for textbooks, |
instructional materials, and student activities.
|
(f) A charter school shall be responsible for the |
management and operation
of its fiscal affairs, including,
but |
not limited to, the preparation of its budget. An audit of each |
charter
school's finances shall be conducted annually by an |
outside, independent
contractor retained by the charter |
school. The contractor shall not be an employee of the charter |
school or affiliated with the charter school or its authorizer |
in any way, other than to audit the charter school's finances. |
To ensure financial accountability for the use of public |
funds, on or before December 1 of every year of operation, each |
charter school shall submit to its authorizer and the State |
Board a copy of its audit and a copy of the Form 990 the |
charter school filed that year with the federal Internal |
Revenue Service. In addition, if deemed necessary for proper |
financial oversight of the charter school, an authorizer may |
require quarterly financial statements from each charter |
school.
|
(g) A charter school shall comply with all provisions of |
this Article, the Illinois Educational Labor Relations Act, |
|
all federal and State laws and rules applicable to public |
schools that pertain to special education and the instruction |
of English learners, and
its charter. A charter
school is |
exempt from all other State laws and regulations in this Code
|
governing public
schools and local school board policies; |
however, a charter school is not exempt from the following:
|
(1) Sections 10-21.9 and 34-18.5 of this Code |
regarding criminal
history records checks and checks of |
the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database of applicants |
for employment;
|
(2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and |
34-84a of this Code regarding discipline of
students;
|
(3) the Local Governmental and Governmental Employees |
Tort Immunity Act;
|
(4) Section 108.75 of the General Not For Profit |
Corporation Act of 1986
regarding indemnification of |
officers, directors, employees, and agents;
|
(5) the Abused and Neglected Child Reporting Act;
|
(5.5) subsection (b) of Section 10-23.12 and |
subsection (b) of Section 34-18.6 of this Code; |
(6) the Illinois School Student Records Act;
|
(7) Section 10-17a of this Code regarding school |
report cards;
|
(8) the P-20 Longitudinal Education Data System Act; |
(9) Section 27-23.7 of this Code regarding bullying |
|
prevention; |
(10) Section 2-3.162 of this Code regarding student |
discipline reporting; |
(11) Sections 22-80 and 27-8.1 of this Code; |
(12) Sections 10-20.60 and 34-18.53 of this Code; |
(13) Sections 10-20.63 and 34-18.56 of this Code; |
(14) Sections 22-90 and 26-18 of this Code; |
(15) Section 22-30 of this Code; |
(16) Sections 24-12 and 34-85 of this Code; |
(17) the Seizure Smart School Act; |
(18) Section 2-3.64a-10 of this Code; |
(19) Sections 10-20.73 and 34-21.9 of this Code; |
(20) Section 10-22.25b of this Code; |
(21) Section 27-9.1a of this Code; |
(22) Section 27-9.1b of this Code; |
(23) Section 34-18.8 of this Code; |
(25) Section 2-3.188 of this Code; |
(26) Section 22-85.5 of this Code; |
(27) subsections Subsections (d-10), (d-15), and |
(d-20) of Section 10-20.56 of this Code; and |
(28) Sections 10-20.83 and 34-18.78 of this Code ; . |
(29) (27) Section 10-20.13 of this Code; |
(30) (28) Section 28-19.2 of this Code; and |
(31) (29) Section 34-21.6 of this Code. |
The change made by Public Act 96-104 to this subsection |
(g) is declaratory of existing law. |
|
(h) A charter school may negotiate and contract with a |
school district, the
governing body of a State college or |
university or public community college, or
any other public or |
for-profit or nonprofit private entity for: (i) the use
of a |
school building and grounds or any other real property or |
facilities that
the charter school desires to use or convert |
for use as a charter school site,
(ii) the operation and |
maintenance thereof, and
(iii) the provision of any service, |
activity, or undertaking that the charter
school is required |
to perform in order to carry out the terms of its charter.
|
However, a charter school
that is established on
or
after |
April 16, 2003 (the effective date of Public Act 93-3) and that |
operates
in a city having a population exceeding
500,000 may |
not contract with a for-profit entity to
manage or operate the |
school during the period that commences on April 16, 2003 (the
|
effective date of Public Act 93-3) and
concludes at the end of |
the 2004-2005 school year.
Except as provided in subsection |
(i) of this Section, a school district may
charge a charter |
school reasonable rent for the use of the district's
|
buildings, grounds, and facilities. Any services for which a |
charter school
contracts
with a school district shall be |
provided by the district at cost. Any services
for which a |
charter school contracts with a local school board or with the
|
governing body of a State college or university or public |
community college
shall be provided by the public entity at |
cost.
|
|
(i) In no event shall a charter school that is established |
by converting an
existing school or attendance center to |
charter school status be required to
pay rent for space
that is |
deemed available, as negotiated and provided in the charter |
agreement,
in school district
facilities. However, all other |
costs for the operation and maintenance of
school district |
facilities that are used by the charter school shall be |
subject
to negotiation between
the charter school and the |
local school board and shall be set forth in the
charter.
|
(j) A charter school may limit student enrollment by age |
or grade level.
|
(k) If the charter school is approved by the State Board or |
Commission, then the charter school is its own local education |
agency. |
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19; |
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff. |
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-157, |
eff. 7-1-22; 102-360, eff. 1-1-22; 102-445, eff. 8-20-21; |
102-522, eff. 8-20-21; 102-558, eff. 8-20-21; 102-676, eff. |
12-3-21; 102-697, eff. 4-5-22; 102-805, eff. 1-1-23; 102-813, |
eff. 5-13-22; revised 12-13-22.)
|
(Text of Section after amendment by P.A. 102-702 but |
before amendment by P.A. 102-466 ) |
Sec. 27A-5. Charter school; legal entity; requirements.
|
(a) A charter school shall be a public, nonsectarian, |
|
nonreligious, non-home
based, and non-profit school. A charter |
school shall be organized and operated
as a nonprofit |
corporation or other discrete, legal, nonprofit entity
|
authorized under the laws of the State of Illinois.
|
(b) A charter school may be established under this Article |
by creating a new
school or by converting an existing public |
school or attendance center to
charter
school status.
|
Beginning on April 16, 2003 (the effective date of Public Act |
93-3), in all new
applications to establish
a charter
school |
in a city having a population exceeding 500,000, operation of |
the
charter
school shall be limited to one campus. The changes |
made to this Section by Public Act 93-3 do not apply to charter |
schools existing or approved on or before April 16, 2003 (the
|
effective date of Public Act 93-3). |
(b-5) In this subsection (b-5), "virtual-schooling" means |
a cyber school where students engage in online curriculum and |
instruction via the Internet and electronic communication with |
their teachers at remote locations and with students |
participating at different times. |
From April 1, 2013 through December 31, 2016, there is a |
moratorium on the establishment of charter schools with |
virtual-schooling components in school districts other than a |
school district organized under Article 34 of this Code. This |
moratorium does not apply to a charter school with |
virtual-schooling components existing or approved prior to |
April 1, 2013 or to the renewal of the charter of a charter |
|
school with virtual-schooling components already approved |
prior to April 1, 2013.
|
(c) A charter school shall be administered and governed by |
its board of
directors or other governing body
in the manner |
provided in its charter. The governing body of a charter |
school
shall be subject to the Freedom of Information Act and |
the Open Meetings Act. No later than January 1, 2021 (one year |
after the effective date of Public Act 101-291), a charter |
school's board of directors or other governing body must |
include at least one parent or guardian of a pupil currently |
enrolled in the charter school who may be selected through the |
charter school or a charter network election, appointment by |
the charter school's board of directors or other governing |
body, or by the charter school's Parent Teacher Organization |
or its equivalent. |
(c-5) No later than January 1, 2021 (one year after the |
effective date of Public Act 101-291) or within the first year |
of his or her first term, every voting member of a charter |
school's board of directors or other governing body shall |
complete a minimum of 4 hours of professional development |
leadership training to ensure that each member has sufficient |
familiarity with the board's or governing body's role and |
responsibilities, including financial oversight and |
accountability of the school, evaluating the principal's and |
school's performance, adherence to the Freedom of Information |
Act and the Open Meetings Act, and compliance with education |
|
and labor law. In each subsequent year of his or her term, a |
voting member of a charter school's board of directors or |
other governing body shall complete a minimum of 2 hours of |
professional development training in these same areas. The |
training under this subsection may be provided or certified by |
a statewide charter school membership association or may be |
provided or certified by other qualified providers approved by |
the State Board of Education.
|
(d) For purposes of this subsection (d), "non-curricular |
health and safety requirement" means any health and safety |
requirement created by statute or rule to provide, maintain, |
preserve, or safeguard safe or healthful conditions for |
students and school personnel or to eliminate, reduce, or |
prevent threats to the health and safety of students and |
school personnel. "Non-curricular health and safety |
requirement" does not include any course of study or |
specialized instructional requirement for which the State |
Board has established goals and learning standards or which is |
designed primarily to impart knowledge and skills for students |
to master and apply as an outcome of their education. |
A charter school shall comply with all non-curricular |
health and safety
requirements applicable to public schools |
under the laws of the State of
Illinois. On or before September |
1, 2015, the State Board shall promulgate and post on its |
Internet website a list of non-curricular health and safety |
requirements that a charter school must meet. The list shall |
|
be updated annually no later than September 1. Any charter |
contract between a charter school and its authorizer must |
contain a provision that requires the charter school to follow |
the list of all non-curricular health and safety requirements |
promulgated by the State Board and any non-curricular health |
and safety requirements added by the State Board to such list |
during the term of the charter. Nothing in this subsection (d) |
precludes an authorizer from including non-curricular health |
and safety requirements in a charter school contract that are |
not contained in the list promulgated by the State Board, |
including non-curricular health and safety requirements of the |
authorizing local school board.
|
(e) Except as otherwise provided in the School Code, a |
charter school shall
not charge tuition; provided that a |
charter school may charge reasonable fees
for textbooks, |
instructional materials, and student activities.
|
(f) A charter school shall be responsible for the |
management and operation
of its fiscal affairs, including,
but |
not limited to, the preparation of its budget. An audit of each |
charter
school's finances shall be conducted annually by an |
outside, independent
contractor retained by the charter |
school. The contractor shall not be an employee of the charter |
school or affiliated with the charter school or its authorizer |
in any way, other than to audit the charter school's finances. |
To ensure financial accountability for the use of public |
funds, on or before December 1 of every year of operation, each |
|
charter school shall submit to its authorizer and the State |
Board a copy of its audit and a copy of the Form 990 the |
charter school filed that year with the federal Internal |
Revenue Service. In addition, if deemed necessary for proper |
financial oversight of the charter school, an authorizer may |
require quarterly financial statements from each charter |
school.
|
(g) A charter school shall comply with all provisions of |
this Article, the Illinois Educational Labor Relations Act, |
all federal and State laws and rules applicable to public |
schools that pertain to special education and the instruction |
of English learners, and
its charter. A charter
school is |
exempt from all other State laws and regulations in this Code
|
governing public
schools and local school board policies; |
however, a charter school is not exempt from the following:
|
(1) Sections 10-21.9 and 34-18.5 of this Code |
regarding criminal
history records checks and checks of |
the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database of applicants |
for employment;
|
(2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and |
34-84a of this Code regarding discipline of
students;
|
(3) the Local Governmental and Governmental Employees |
Tort Immunity Act;
|
(4) Section 108.75 of the General Not For Profit |
Corporation Act of 1986
regarding indemnification of |
|
officers, directors, employees, and agents;
|
(5) the Abused and Neglected Child Reporting Act;
|
(5.5) subsection (b) of Section 10-23.12 and |
subsection (b) of Section 34-18.6 of this Code; |
(6) the Illinois School Student Records Act;
|
(7) Section 10-17a of this Code regarding school |
report cards;
|
(8) the P-20 Longitudinal Education Data System Act; |
(9) Section 27-23.7 of this Code regarding bullying |
prevention; |
(10) Section 2-3.162 of this Code regarding student |
discipline reporting; |
(11) Sections 22-80 and 27-8.1 of this Code; |
(12) Sections 10-20.60 and 34-18.53 of this Code; |
(13) Sections 10-20.63 and 34-18.56 of this Code; |
(14) Sections 22-90 and 26-18 of this Code; |
(15) Section 22-30 of this Code; |
(16) Sections 24-12 and 34-85 of this Code; |
(17) the Seizure Smart School Act; |
(18) Section 2-3.64a-10 of this Code; |
(19) Sections 10-20.73 and 34-21.9 of this Code; |
(20) Section 10-22.25b of this Code; |
(21) Section 27-9.1a of this Code; |
(22) Section 27-9.1b of this Code; |
(23) Section 34-18.8 of this Code; and |
(25) Section 2-3.188 of this Code; |
|
(26) Section 22-85.5 of this Code; |
(27) subsections Subsections (d-10), (d-15), and |
(d-20) of Section 10-20.56 of this Code; and |
(28) Sections 10-20.83 and 34-18.78 of this Code ; . |
(29) (27) Section 10-20.13 of this Code; |
(30) (28) Section 28-19.2 of this Code; and |
(31) (29) Section 34-21.6 of this Code ; and . |
(32) (25) Section 22-85.10 of this Code. |
The change made by Public Act 96-104 to this subsection |
(g) is declaratory of existing law. |
(h) A charter school may negotiate and contract with a |
school district, the
governing body of a State college or |
university or public community college, or
any other public or |
for-profit or nonprofit private entity for: (i) the use
of a |
school building and grounds or any other real property or |
facilities that
the charter school desires to use or convert |
for use as a charter school site,
(ii) the operation and |
maintenance thereof, and
(iii) the provision of any service, |
activity, or undertaking that the charter
school is required |
to perform in order to carry out the terms of its charter.
|
However, a charter school
that is established on
or
after |
April 16, 2003 (the effective date of Public Act 93-3) and that |
operates
in a city having a population exceeding
500,000 may |
not contract with a for-profit entity to
manage or operate the |
school during the period that commences on April 16, 2003 (the
|
effective date of Public Act 93-3) and
concludes at the end of |
|
the 2004-2005 school year.
Except as provided in subsection |
(i) of this Section, a school district may
charge a charter |
school reasonable rent for the use of the district's
|
buildings, grounds, and facilities. Any services for which a |
charter school
contracts
with a school district shall be |
provided by the district at cost. Any services
for which a |
charter school contracts with a local school board or with the
|
governing body of a State college or university or public |
community college
shall be provided by the public entity at |
cost.
|
(i) In no event shall a charter school that is established |
by converting an
existing school or attendance center to |
charter school status be required to
pay rent for space
that is |
deemed available, as negotiated and provided in the charter |
agreement,
in school district
facilities. However, all other |
costs for the operation and maintenance of
school district |
facilities that are used by the charter school shall be |
subject
to negotiation between
the charter school and the |
local school board and shall be set forth in the
charter.
|
(j) A charter school may limit student enrollment by age |
or grade level.
|
(k) If the charter school is approved by the State Board or |
Commission, then the charter school is its own local education |
agency. |
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19; |
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff. |
|
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-157, |
eff. 7-1-22; 102-360, eff. 1-1-22; 102-445, eff. 8-20-21; |
102-522, eff. 8-20-21; 102-558, eff. 8-20-21; 102-676, eff. |
12-3-21; 102-697, eff. 4-5-22; 102-702, eff. 7-1-23; 102-805, |
eff. 1-1-23; 102-813, eff. 5-13-22; revised 12-13-22.)
|
(Text of Section after amendment by P.A. 102-466 ) |
Sec. 27A-5. Charter school; legal entity; requirements.
|
(a) A charter school shall be a public, nonsectarian, |
nonreligious, non-home
based, and non-profit school. A charter |
school shall be organized and operated
as a nonprofit |
corporation or other discrete, legal, nonprofit entity
|
authorized under the laws of the State of Illinois.
|
(b) A charter school may be established under this Article |
by creating a new
school or by converting an existing public |
school or attendance center to
charter
school status.
|
Beginning on April 16, 2003 (the effective date of Public Act |
93-3), in all new
applications to establish
a charter
school |
in a city having a population exceeding 500,000, operation of |
the
charter
school shall be limited to one campus. The changes |
made to this Section by Public Act 93-3 do not apply to charter |
schools existing or approved on or before April 16, 2003 (the
|
effective date of Public Act 93-3). |
(b-5) In this subsection (b-5), "virtual-schooling" means |
a cyber school where students engage in online curriculum and |
instruction via the Internet and electronic communication with |
|
their teachers at remote locations and with students |
participating at different times. |
From April 1, 2013 through December 31, 2016, there is a |
moratorium on the establishment of charter schools with |
virtual-schooling components in school districts other than a |
school district organized under Article 34 of this Code. This |
moratorium does not apply to a charter school with |
virtual-schooling components existing or approved prior to |
April 1, 2013 or to the renewal of the charter of a charter |
school with virtual-schooling components already approved |
prior to April 1, 2013.
|
(c) A charter school shall be administered and governed by |
its board of
directors or other governing body
in the manner |
provided in its charter. The governing body of a charter |
school
shall be subject to the Freedom of Information Act and |
the Open Meetings Act. No later than January 1, 2021 (one year |
after the effective date of Public Act 101-291), a charter |
school's board of directors or other governing body must |
include at least one parent or guardian of a pupil currently |
enrolled in the charter school who may be selected through the |
charter school or a charter network election, appointment by |
the charter school's board of directors or other governing |
body, or by the charter school's Parent Teacher Organization |
or its equivalent. |
(c-5) No later than January 1, 2021 (one year after the |
effective date of Public Act 101-291) or within the first year |
|
of his or her first term, every voting member of a charter |
school's board of directors or other governing body shall |
complete a minimum of 4 hours of professional development |
leadership training to ensure that each member has sufficient |
familiarity with the board's or governing body's role and |
responsibilities, including financial oversight and |
accountability of the school, evaluating the principal's and |
school's performance, adherence to the Freedom of Information |
Act and the Open Meetings Act, and compliance with education |
and labor law. In each subsequent year of his or her term, a |
voting member of a charter school's board of directors or |
other governing body shall complete a minimum of 2 hours of |
professional development training in these same areas. The |
training under this subsection may be provided or certified by |
a statewide charter school membership association or may be |
provided or certified by other qualified providers approved by |
the State Board of Education.
|
(d) For purposes of this subsection (d), "non-curricular |
health and safety requirement" means any health and safety |
requirement created by statute or rule to provide, maintain, |
preserve, or safeguard safe or healthful conditions for |
students and school personnel or to eliminate, reduce, or |
prevent threats to the health and safety of students and |
school personnel. "Non-curricular health and safety |
requirement" does not include any course of study or |
specialized instructional requirement for which the State |
|
Board has established goals and learning standards or which is |
designed primarily to impart knowledge and skills for students |
to master and apply as an outcome of their education. |
A charter school shall comply with all non-curricular |
health and safety
requirements applicable to public schools |
under the laws of the State of
Illinois. On or before September |
1, 2015, the State Board shall promulgate and post on its |
Internet website a list of non-curricular health and safety |
requirements that a charter school must meet. The list shall |
be updated annually no later than September 1. Any charter |
contract between a charter school and its authorizer must |
contain a provision that requires the charter school to follow |
the list of all non-curricular health and safety requirements |
promulgated by the State Board and any non-curricular health |
and safety requirements added by the State Board to such list |
during the term of the charter. Nothing in this subsection (d) |
precludes an authorizer from including non-curricular health |
and safety requirements in a charter school contract that are |
not contained in the list promulgated by the State Board, |
including non-curricular health and safety requirements of the |
authorizing local school board.
|
(e) Except as otherwise provided in the School Code, a |
charter school shall
not charge tuition; provided that a |
charter school may charge reasonable fees
for textbooks, |
instructional materials, and student activities.
|
(f) A charter school shall be responsible for the |
|
management and operation
of its fiscal affairs, including,
but |
not limited to, the preparation of its budget. An audit of each |
charter
school's finances shall be conducted annually by an |
outside, independent
contractor retained by the charter |
school. The contractor shall not be an employee of the charter |
school or affiliated with the charter school or its authorizer |
in any way, other than to audit the charter school's finances. |
To ensure financial accountability for the use of public |
funds, on or before December 1 of every year of operation, each |
charter school shall submit to its authorizer and the State |
Board a copy of its audit and a copy of the Form 990 the |
charter school filed that year with the federal Internal |
Revenue Service. In addition, if deemed necessary for proper |
financial oversight of the charter school, an authorizer may |
require quarterly financial statements from each charter |
school.
|
(g) A charter school shall comply with all provisions of |
this Article, the Illinois Educational Labor Relations Act, |
all federal and State laws and rules applicable to public |
schools that pertain to special education and the instruction |
of English learners, and
its charter. A charter
school is |
exempt from all other State laws and regulations in this Code
|
governing public
schools and local school board policies; |
however, a charter school is not exempt from the following:
|
(1) Sections 10-21.9 and 34-18.5 of this Code |
regarding criminal
history records checks and checks of |
|
the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database of applicants |
for employment;
|
(2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and |
34-84a of this Code regarding discipline of
students;
|
(3) the Local Governmental and Governmental Employees |
Tort Immunity Act;
|
(4) Section 108.75 of the General Not For Profit |
Corporation Act of 1986
regarding indemnification of |
officers, directors, employees, and agents;
|
(5) the Abused and Neglected Child Reporting Act;
|
(5.5) subsection (b) of Section 10-23.12 and |
subsection (b) of Section 34-18.6 of this Code; |
(6) the Illinois School Student Records Act;
|
(7) Section 10-17a of this Code regarding school |
report cards;
|
(8) the P-20 Longitudinal Education Data System Act; |
(9) Section 27-23.7 of this Code regarding bullying |
prevention; |
(10) Section 2-3.162 of this Code regarding student |
discipline reporting; |
(11) Sections 22-80 and 27-8.1 of this Code; |
(12) Sections 10-20.60 and 34-18.53 of this Code; |
(13) Sections 10-20.63 and 34-18.56 of this Code; |
(14) Sections 22-90 and 26-18 of this Code; |
(15) Section 22-30 of this Code; |
|
(16) Sections 24-12 and 34-85 of this Code; |
(17) the Seizure Smart School Act; |
(18) Section 2-3.64a-10 of this Code; |
(19) Sections 10-20.73 and 34-21.9 of this Code; |
(20) Section 10-22.25b of this Code; |
(21) Section 27-9.1a of this Code; |
(22) Section 27-9.1b of this Code; |
(23) Section 34-18.8 of this Code; |
(24) Article 26A of this Code; and |
(25) Section 2-3.188 of this Code; |
(26) Section 22-85.5 of this Code; |
(27) subsections Subsections (d-10), (d-15), and |
(d-20) of Section 10-20.56 of this Code; and |
(28) Sections 10-20.83 and 34-18.78 of this Code ; . |
(29) (27) Section 10-20.13 of this Code; |
(30) (28) Section 28-19.2 of this Code; and |
(31) (29) Section 34-21.6 of this Code ; and . |
(32) (25) Section 22-85.10 of this Code. |
The change made by Public Act 96-104 to this subsection |
(g) is declaratory of existing law. |
(h) A charter school may negotiate and contract with a |
school district, the
governing body of a State college or |
university or public community college, or
any other public or |
for-profit or nonprofit private entity for: (i) the use
of a |
school building and grounds or any other real property or |
facilities that
the charter school desires to use or convert |
|
for use as a charter school site,
(ii) the operation and |
maintenance thereof, and
(iii) the provision of any service, |
activity, or undertaking that the charter
school is required |
to perform in order to carry out the terms of its charter.
|
However, a charter school
that is established on
or
after |
April 16, 2003 (the effective date of Public Act 93-3) and that |
operates
in a city having a population exceeding
500,000 may |
not contract with a for-profit entity to
manage or operate the |
school during the period that commences on April 16, 2003 (the
|
effective date of Public Act 93-3) and
concludes at the end of |
the 2004-2005 school year.
Except as provided in subsection |
(i) of this Section, a school district may
charge a charter |
school reasonable rent for the use of the district's
|
buildings, grounds, and facilities. Any services for which a |
charter school
contracts
with a school district shall be |
provided by the district at cost. Any services
for which a |
charter school contracts with a local school board or with the
|
governing body of a State college or university or public |
community college
shall be provided by the public entity at |
cost.
|
(i) In no event shall a charter school that is established |
by converting an
existing school or attendance center to |
charter school status be required to
pay rent for space
that is |
deemed available, as negotiated and provided in the charter |
agreement,
in school district
facilities. However, all other |
costs for the operation and maintenance of
school district |
|
facilities that are used by the charter school shall be |
subject
to negotiation between
the charter school and the |
local school board and shall be set forth in the
charter.
|
(j) A charter school may limit student enrollment by age |
or grade level.
|
(k) If the charter school is approved by the State Board or |
Commission, then the charter school is its own local education |
agency. |
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19; |
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff. |
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-157, |
eff. 7-1-22; 102-360, eff. 1-1-22; 102-445, eff. 8-20-21; |
102-466, eff. 7-1-25; 102-522, eff. 8-20-21; 102-558, eff. |
8-20-21; 102-676, eff. 12-3-21; 102-697, eff. 4-5-22; 102-702, |
eff. 7-1-23; 102-805, eff. 1-1-23; 102-813, eff. 5-13-22; |
revised 12-13-22.)
|
(105 ILCS 5/34-18.5) (from Ch. 122, par. 34-18.5)
|
(Text of Section before amendment by P.A. 102-702 ) |
Sec. 34-18.5. Criminal history records checks and checks |
of the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database. |
(a) Licensed and nonlicensed applicants for
employment |
with the school district are required as a condition of
|
employment to authorize a fingerprint-based criminal history |
records check to determine if such applicants
have been |
|
convicted of any disqualifying, enumerated criminal or drug |
offense in
subsection (c) of this Section or have been
|
convicted, within 7 years of the application for employment |
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State. |
Authorization
for
the
check shall
be furnished by the |
applicant to the school district, except that if the
applicant |
is a substitute teacher seeking employment in more than one
|
school district, or a teacher seeking concurrent part-time |
employment
positions with more than one school district (as a |
reading specialist,
special education teacher or otherwise), |
or an educational support
personnel employee seeking |
employment positions with more than one
district, any such |
district may require the applicant to furnish
authorization |
for
the check to the regional superintendent of the
|
educational service region in which are located the school |
districts in
which the applicant is seeking employment as a |
substitute or concurrent
part-time teacher or concurrent |
educational support personnel employee.
Upon receipt of this |
authorization, the school district or the appropriate
regional |
superintendent, as the case may be, shall submit the |
applicant's
name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
|
prescribed by the Illinois State Police, to the Illinois State |
Police. The regional
superintendent submitting the requisite |
information to the Illinois
State Police shall promptly notify |
the school districts in which the
applicant is seeking |
employment as a substitute or concurrent part-time
teacher or |
concurrent educational support personnel employee that
the
|
check of the applicant has been requested. The Illinois State
|
Police and the Federal Bureau of Investigation shall furnish, |
pursuant to a fingerprint-based criminal history records |
check, records of convictions, forever and hereinafter, until |
expunged, to the president of the school board for the school |
district that requested the check, or to the regional |
superintendent who requested the check. The Illinois State |
Police
shall charge
the school district
or the appropriate |
regional superintendent a fee for
conducting
such check, which |
fee shall be deposited in the State
Police Services Fund and |
shall not exceed the cost of the inquiry; and the
applicant |
shall not be charged a fee for
such check by the school
|
district or by the regional superintendent. Subject to |
appropriations for these purposes, the State Superintendent of |
Education shall reimburse the school district and regional |
superintendent for fees paid to obtain criminal history |
records checks under this Section. |
(a-5) The school district or regional superintendent shall |
further perform a check of the Statewide Sex Offender |
Database, as authorized by the Sex Offender Community |
|
Notification Law, for each applicant. The check of the |
Statewide Sex Offender Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(a-6) The school district or regional superintendent shall |
further perform a check of the Statewide Murderer and Violent |
Offender Against Youth Database, as authorized by the Murderer |
and Violent Offender Against Youth Community Notification Law, |
for each applicant. The check of the Murderer and Violent |
Offender Against Youth Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(b) Any
information concerning the record of convictions |
obtained by the president
of the board of education or the |
regional superintendent shall be
confidential and may only be |
transmitted to the general superintendent of
the school |
district or his designee, the appropriate regional
|
superintendent if
the check was requested by the board of |
education
for the school district, the presidents of the |
appropriate board of
education or school boards if
the check |
was requested from the Illinois
State Police by the regional |
superintendent, the State Board of Education and the school |
district as authorized under subsection (b-5), the State
|
Superintendent of Education, the State Educator Preparation |
|
and Licensure Board or any
other person necessary to the |
decision of hiring the applicant for
employment. A copy of the |
record of convictions obtained from the Illinois
State Police |
shall be provided to the applicant for
employment. Upon the |
check of the Statewide Sex Offender Database or Statewide |
Murderer and Violent Offender Against Youth Database, the |
school district or regional superintendent shall notify an |
applicant as to whether or not the applicant has been |
identified in the Database. If a check of an applicant for |
employment as a
substitute or concurrent part-time teacher or |
concurrent educational
support personnel employee in more than |
one school district was requested
by the regional |
superintendent, and the Illinois State Police upon
a check |
ascertains that the applicant has not been convicted of any
of |
the enumerated criminal or drug offenses in subsection (c) of |
this Section
or has not been
convicted,
within 7 years of the |
application for employment with the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State and so
notifies the regional superintendent and if |
the regional superintendent upon a check ascertains that the |
applicant has not been identified in the Sex Offender Database |
or Statewide Murderer and Violent Offender Against Youth |
Database, then the regional superintendent
shall issue to the |
|
applicant a certificate evidencing that as of the date
|
specified by the Illinois State Police the applicant has not |
been
convicted of any of the enumerated criminal or drug |
offenses in subsection
(c) of this Section
or has not been
|
convicted, within 7 years of the application for employment |
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State and |
evidencing that as of the date that the regional |
superintendent conducted a check of the Statewide Sex Offender |
Database or Statewide Murderer and Violent Offender Against |
Youth Database, the applicant has not been identified in the |
Database. The school
board of any school district may rely on |
the certificate issued by any regional
superintendent to that |
substitute teacher, concurrent part-time teacher, or |
concurrent educational support personnel employee
or may |
initiate its own criminal history records check of
the |
applicant through the Illinois State Police and its own check |
of the Statewide Sex Offender Database or Statewide Murderer |
and Violent Offender Against Youth Database as provided in
|
this Section. Any unauthorized release of confidential |
information may be a violation of Section 7 of the Criminal |
Identification Act. |
(b-5) If a criminal history records check or check of the |
|
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database is performed by a |
regional superintendent for an applicant seeking employment as |
a substitute teacher with the school district, the regional |
superintendent may disclose to the State Board of Education |
whether the applicant has been issued a certificate under |
subsection (b) based on those checks. If the State Board |
receives information on an applicant under this subsection, |
then it must indicate in the Educator Licensure Information |
System for a 90-day period that the applicant has been issued |
or has not been issued a certificate. |
(c) The board of education shall not knowingly employ a |
person who has
been convicted of any offense that would |
subject him or her to license suspension or revocation |
pursuant to Section 21B-80 of this Code, except as provided |
under subsection (b) of 21B-80.
Further, the board of |
education shall not knowingly employ a person who has
been |
found to be the perpetrator of sexual or physical abuse of any |
minor under
18 years of age pursuant to proceedings under |
Article II of the Juvenile Court
Act of 1987. As a condition of |
employment, the board of education must consider the status of |
a person who has been issued an indicated finding of abuse or |
neglect of a child by the Department of Children and Family |
Services under the Abused and Neglected Child Reporting Act or |
by a child welfare agency of another jurisdiction. |
(d) The board of education shall not knowingly employ a |
|
person for whom
a criminal history records check and a |
Statewide Sex Offender Database check have not been initiated. |
(e) Within 10 days after the general superintendent of |
schools, a regional office of education, or an entity that |
provides background checks of license holders to public |
schools receives information of a pending criminal charge |
against a license holder for an offense set forth in Section |
21B-80 of this Code, the superintendent, regional office of |
education, or entity must notify the State Superintendent of |
Education of the pending criminal charge. |
No later than 15 business days after receipt of a record of |
conviction or of checking the Statewide Murderer and Violent |
Offender Against Youth Database or the Statewide Sex Offender |
Database and finding a registration, the general |
superintendent of schools or the applicable regional |
superintendent shall, in writing, notify the State |
Superintendent of Education of any license holder who has been |
convicted of a crime set forth in Section 21B-80 of this Code. |
Upon receipt of the record of a conviction of or a finding of |
child
abuse by a holder of any license
issued pursuant to |
Article 21B or Section 34-8.1 of this Code, the State |
Superintendent of
Education may initiate licensure suspension |
and revocation
proceedings as authorized by law. If the |
receipt of the record of conviction or finding of child abuse |
is received within 6 months after the initial grant of or |
renewal of a license, the State Superintendent of Education |
|
may rescind the license holder's license. |
(e-5) The general superintendent of schools shall, in |
writing, notify the State Superintendent of Education of any |
license holder whom he or she has reasonable cause to believe |
has committed an intentional act of abuse or neglect with the |
result of making a child an abused child or a neglected child, |
as defined in Section 3 of the Abused and Neglected Child |
Reporting Act, and that act resulted in the license holder's |
dismissal or resignation from the school district and must |
include the Illinois Educator Identification Number (IEIN) of |
the license holder and a brief description of the misconduct |
alleged. This notification must be submitted within 30 days |
after the dismissal or resignation. The license holder must |
also be contemporaneously sent a copy of the notice by the |
superintendent. All correspondence, documentation, and other |
information so received by the State Superintendent of |
Education, the State Board of Education, or the State Educator |
Preparation and Licensure Board under this subsection (e-5) is |
confidential and must not be disclosed to third parties, |
except (i) as necessary for the State Superintendent of |
Education or his or her designee to investigate and prosecute |
pursuant to Article 21B of this Code, (ii) pursuant to a court |
order, (iii) for disclosure to the license holder or his or her |
representative, or (iv) as otherwise provided in this Article |
and provided that any such information admitted into evidence |
in a hearing is exempt from this confidentiality and |
|
non-disclosure requirement. Except for an act of willful or |
wanton misconduct, any superintendent who provides |
notification as required in this subsection (e-5) shall have |
immunity from any liability, whether civil or criminal or that |
otherwise might result by reason of such action. |
(f) After March 19, 1990, the provisions of this Section |
shall apply to
all employees of persons or firms holding |
contracts with any school district
including, but not limited |
to, food service workers, school bus drivers and
other |
transportation employees, who have direct, daily contact with |
the
pupils of any school in such district. For purposes of |
criminal history records checks and checks of the Statewide |
Sex Offender Database on employees of persons or firms holding |
contracts with more
than one school district and assigned to |
more than one school district, the
regional superintendent of |
the educational service region in which the
contracting school |
districts are located may, at the request of any such
school |
district, be responsible for receiving the authorization for
a |
criminal history records check prepared by each such employee |
and submitting the same to the Illinois
State Police and for |
conducting a check of the Statewide Sex Offender Database for |
each employee. Any information concerning the record of
|
conviction and identification as a sex offender of any such |
employee obtained by the regional superintendent
shall be |
promptly reported to the president of the appropriate school |
board
or school boards. |
|
(f-5) Upon request of a school or school district, any |
information obtained by the school district pursuant to |
subsection (f) of this Section within the last year must be |
made available to the requesting school or school district. |
(g) Prior to the commencement of any student teaching |
experience or required internship (which is referred to as |
student teaching in this Section) in the public schools, a |
student teacher is required to authorize a fingerprint-based |
criminal history records check. Authorization for and payment |
of the costs of the check must be furnished by the student |
teacher to the school district. Upon receipt of this |
authorization and payment, the school district shall submit |
the student teacher's name, sex, race, date of birth, social |
security number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The Illinois State Police and the Federal Bureau of |
Investigation shall furnish, pursuant to a fingerprint-based |
criminal history records check, records of convictions, |
forever and hereinafter, until expunged, to the president of |
the board. The Illinois State Police shall charge the school |
district a fee for conducting the check, which fee must not |
exceed the cost of the inquiry and must be deposited into the |
State Police Services Fund. The school district shall further |
perform a check of the Statewide Sex Offender Database, as |
authorized by the Sex Offender Community Notification Law, and |
of the Statewide Murderer and Violent Offender Against Youth |
|
Database, as authorized by the Murderer and Violent Offender |
Against Youth Registration Act, for each student teacher. The |
board may not knowingly allow a person to student teach for |
whom a criminal history records check, a Statewide Sex |
Offender Database check, and a Statewide Murderer and Violent |
Offender Against Youth Database check have not been completed |
and reviewed by the district. |
A copy of the record of convictions obtained from the |
Illinois State Police must be provided to the student teacher. |
Any information concerning the record of convictions obtained |
by the president of the board is confidential and may only be |
transmitted to the general superintendent of schools or his or |
her designee, the State Superintendent of Education, the State |
Educator Preparation and Licensure Board, or, for |
clarification purposes, the Illinois State Police or the |
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database. Any unauthorized |
release of confidential information may be a violation of |
Section 7 of the Criminal Identification Act. |
The board may not knowingly allow a person to student |
teach who has been convicted of any offense that would subject |
him or her to license suspension or revocation pursuant to |
subsection (c) of Section 21B-80 of this Code, except as |
provided under subsection (b) of Section 21B-80. Further, the |
board may not allow a person to student teach if he or she has |
been found to be the perpetrator of sexual or physical abuse of |
|
a minor under 18 years of age pursuant to proceedings under |
Article II of the Juvenile Court Act of 1987. The board must |
consider the status of a person to student teach who has been |
issued an indicated finding of abuse or neglect of a child by |
the Department of Children and Family Services under the |
Abused and Neglected Child Reporting Act or by a child welfare |
agency of another jurisdiction. |
(h) (Blank). |
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19; |
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff. |
1-1-22; 102-813, eff. 5-13-22; 102-894, eff. 5-20-22; |
102-1071, eff. 6-10-22.)
|
(Text of Section after amendment by P.A. 102-702 )
|
Sec. 34-18.5. Criminal history records checks and checks |
of the Statewide Sex Offender Database and Statewide Murderer |
and Violent Offender Against Youth Database. |
(a) Licensed and nonlicensed applicants for
employment |
with the school district are required as a condition of
|
employment to authorize a fingerprint-based criminal history |
records check to determine if such applicants
have been |
convicted of any disqualifying, enumerated criminal or drug |
offense in
subsection (c) of this Section or have been
|
convicted, within 7 years of the application for employment |
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
|
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State. |
Authorization
for
the
check shall
be furnished by the |
applicant to the school district, except that if the
applicant |
is a substitute teacher seeking employment in more than one
|
school district, or a teacher seeking concurrent part-time |
employment
positions with more than one school district (as a |
reading specialist,
special education teacher or otherwise), |
or an educational support
personnel employee seeking |
employment positions with more than one
district, any such |
district may require the applicant to furnish
authorization |
for
the check to the regional superintendent of the
|
educational service region in which are located the school |
districts in
which the applicant is seeking employment as a |
substitute or concurrent
part-time teacher or concurrent |
educational support personnel employee.
Upon receipt of this |
authorization, the school district or the appropriate
regional |
superintendent, as the case may be, shall submit the |
applicant's
name, sex, race, date of birth, social security |
number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The regional
superintendent submitting the requisite |
information to the Illinois
State Police shall promptly notify |
the school districts in which the
applicant is seeking |
employment as a substitute or concurrent part-time
teacher or |
|
concurrent educational support personnel employee that
the
|
check of the applicant has been requested. The Illinois State
|
Police and the Federal Bureau of Investigation shall furnish, |
pursuant to a fingerprint-based criminal history records |
check, records of convictions, forever and hereinafter, until |
expunged, to the president of the school board for the school |
district that requested the check, or to the regional |
superintendent who requested the check. The Illinois State |
Police
shall charge
the school district
or the appropriate |
regional superintendent a fee for
conducting
such check, which |
fee shall be deposited in the State
Police Services Fund and |
shall not exceed the cost of the inquiry; and the
applicant |
shall not be charged a fee for
such check by the school
|
district or by the regional superintendent. Subject to |
appropriations for these purposes, the State Superintendent of |
Education shall reimburse the school district and regional |
superintendent for fees paid to obtain criminal history |
records checks under this Section. |
(a-5) The school district or regional superintendent shall |
further perform a check of the Statewide Sex Offender |
Database, as authorized by the Sex Offender Community |
Notification Law, for each applicant. The check of the |
Statewide Sex Offender Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
|
(a-6) The school district or regional superintendent shall |
further perform a check of the Statewide Murderer and Violent |
Offender Against Youth Database, as authorized by the Murderer |
and Violent Offender Against Youth Community Notification Law, |
for each applicant. The check of the Murderer and Violent |
Offender Against Youth Database must be conducted by the |
school district or regional superintendent once for every 5 |
years that an applicant remains employed by the school |
district. |
(b) Any
information concerning the record of convictions |
obtained by the president
of the board of education or the |
regional superintendent shall be
confidential and may only be |
transmitted to the general superintendent of
the school |
district or his designee, the appropriate regional
|
superintendent if
the check was requested by the board of |
education
for the school district, the presidents of the |
appropriate board of
education or school boards if
the check |
was requested from the Illinois
State Police by the regional |
superintendent, the State Board of Education and the school |
district as authorized under subsection (b-5), the State
|
Superintendent of Education, the State Educator Preparation |
and Licensure Board or any
other person necessary to the |
decision of hiring the applicant for
employment. A copy of the |
record of convictions obtained from the Illinois
State Police |
shall be provided to the applicant for
employment. Upon the |
check of the Statewide Sex Offender Database or Statewide |
|
Murderer and Violent Offender Against Youth Database, the |
school district or regional superintendent shall notify an |
applicant as to whether or not the applicant has been |
identified in the Database. If a check of an applicant for |
employment as a
substitute or concurrent part-time teacher or |
concurrent educational
support personnel employee in more than |
one school district was requested
by the regional |
superintendent, and the Illinois State Police upon
a check |
ascertains that the applicant has not been convicted of any
of |
the enumerated criminal or drug offenses in subsection (c) of |
this Section
or has not been
convicted,
within 7 years of the |
application for employment with the
school district, of any |
other felony under the laws of this State or of any
offense |
committed or attempted in any other state or against the laws |
of
the United States that, if committed or attempted in this |
State, would
have been punishable as a felony under the laws of |
this State and so
notifies the regional superintendent and if |
the regional superintendent upon a check ascertains that the |
applicant has not been identified in the Sex Offender Database |
or Statewide Murderer and Violent Offender Against Youth |
Database, then the regional superintendent
shall issue to the |
applicant a certificate evidencing that as of the date
|
specified by the Illinois State Police the applicant has not |
been
convicted of any of the enumerated criminal or drug |
offenses in subsection
(c) of this Section
or has not been
|
convicted, within 7 years of the application for employment |
|
with the
school district, of any other felony under the laws of |
this State or of any
offense committed or attempted in any |
other state or against the laws of
the United States that, if |
committed or attempted in this State, would
have been |
punishable as a felony under the laws of this State and |
evidencing that as of the date that the regional |
superintendent conducted a check of the Statewide Sex Offender |
Database or Statewide Murderer and Violent Offender Against |
Youth Database, the applicant has not been identified in the |
Database. The school
board of any school district may rely on |
the certificate issued by any regional
superintendent to that |
substitute teacher, concurrent part-time teacher, or |
concurrent educational support personnel employee
or may |
initiate its own criminal history records check of
the |
applicant through the Illinois State Police and its own check |
of the Statewide Sex Offender Database or Statewide Murderer |
and Violent Offender Against Youth Database as provided in
|
this Section. Any unauthorized release of confidential |
information may be a violation of Section 7 of the Criminal |
Identification Act. |
(b-5) If a criminal history records check or check of the |
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database is performed by a |
regional superintendent for an applicant seeking employment as |
a substitute teacher with the school district, the regional |
superintendent may disclose to the State Board of Education |
|
whether the applicant has been issued a certificate under |
subsection (b) based on those checks. If the State Board |
receives information on an applicant under this subsection, |
then it must indicate in the Educator Licensure Information |
System for a 90-day period that the applicant has been issued |
or has not been issued a certificate. |
(c) The board of education shall not knowingly employ a |
person who has
been convicted of any offense that would |
subject him or her to license suspension or revocation |
pursuant to Section 21B-80 of this Code, except as provided |
under subsection (b) of 21B-80.
Further, the board of |
education shall not knowingly employ a person who has
been |
found to be the perpetrator of sexual or physical abuse of any |
minor under
18 years of age pursuant to proceedings under |
Article II of the Juvenile Court
Act of 1987. As a condition of |
employment, the board of education must consider the status of |
a person who has been issued an indicated finding of abuse or |
neglect of a child by the Department of Children and Family |
Services under the Abused and Neglected Child Reporting Act or |
by a child welfare agency of another jurisdiction. |
(d) The board of education shall not knowingly employ a |
person for whom
a criminal history records check and a |
Statewide Sex Offender Database check have not been initiated. |
(e) Within 10 days after the general superintendent of |
schools, a regional office of education, or an entity that |
provides background checks of license holders to public |
|
schools receives information of a pending criminal charge |
against a license holder for an offense set forth in Section |
21B-80 of this Code, the superintendent, regional office of |
education, or entity must notify the State Superintendent of |
Education of the pending criminal charge. |
No later than 15 business days after receipt of a record of |
conviction or of checking the Statewide Murderer and Violent |
Offender Against Youth Database or the Statewide Sex Offender |
Database and finding a registration, the general |
superintendent of schools or the applicable regional |
superintendent shall, in writing, notify the State |
Superintendent of Education of any license holder who has been |
convicted of a crime set forth in Section 21B-80 of this Code. |
Upon receipt of the record of a conviction of or a finding of |
child
abuse by a holder of any license
issued pursuant to |
Article 21B or Section 34-8.1 of this Code, the State |
Superintendent of
Education may initiate licensure suspension |
and revocation
proceedings as authorized by law. If the |
receipt of the record of conviction or finding of child abuse |
is received within 6 months after the initial grant of or |
renewal of a license, the State Superintendent of Education |
may rescind the license holder's license. |
(e-5) The general superintendent of schools shall, in |
writing, notify the State Superintendent of Education of any |
license holder whom he or she has reasonable cause to believe |
has committed (i) an intentional act of abuse or neglect with |
|
the result of making a child an abused child or a neglected |
child, as defined in Section 3 of the Abused and Neglected |
Child Reporting Act or (ii) an act of sexual misconduct, as |
defined in Section 22-85.5 of this Code, and that act resulted |
in the license holder's dismissal or resignation from the |
school district and must include the Illinois Educator |
Identification Number (IEIN) of the license holder and a brief |
description of the misconduct alleged. This notification must |
be submitted within 30 days after the dismissal or |
resignation. The license holder must also be contemporaneously |
sent a copy of the notice by the superintendent. All |
correspondence, documentation, and other information so |
received by the State Superintendent of Education, the State |
Board of Education, or the State Educator Preparation and |
Licensure Board under this subsection (e-5) is confidential |
and must not be disclosed to third parties, except (i) as |
necessary for the State Superintendent of Education or his or |
her designee to investigate and prosecute pursuant to Article |
21B of this Code, (ii) pursuant to a court order, (iii) for |
disclosure to the license holder or his or her representative, |
or (iv) as otherwise provided in this Article and provided |
that any such information admitted into evidence in a hearing |
is exempt from this confidentiality and non-disclosure |
requirement. Except for an act of willful or wanton |
misconduct, any superintendent who provides notification as |
required in this subsection (e-5) shall have immunity from any |
|
liability, whether civil or criminal or that otherwise might |
result by reason of such action. |
(f) After March 19, 1990, the provisions of this Section |
shall apply to
all employees of persons or firms holding |
contracts with any school district
including, but not limited |
to, food service workers, school bus drivers and
other |
transportation employees, who have direct, daily contact with |
the
pupils of any school in such district. For purposes of |
criminal history records checks and checks of the Statewide |
Sex Offender Database on employees of persons or firms holding |
contracts with more
than one school district and assigned to |
more than one school district, the
regional superintendent of |
the educational service region in which the
contracting school |
districts are located may, at the request of any such
school |
district, be responsible for receiving the authorization for
a |
criminal history records check prepared by each such employee |
and submitting the same to the Illinois
State Police and for |
conducting a check of the Statewide Sex Offender Database for |
each employee. Any information concerning the record of
|
conviction and identification as a sex offender of any such |
employee obtained by the regional superintendent
shall be |
promptly reported to the president of the appropriate school |
board
or school boards. |
(f-5) Upon request of a school or school district, any |
information obtained by the school district pursuant to |
subsection (f) of this Section within the last year must be |
|
made available to the requesting school or school district. |
(g) Prior to the commencement of any student teaching |
experience or required internship (which is referred to as |
student teaching in this Section) in the public schools, a |
student teacher is required to authorize a fingerprint-based |
criminal history records check. Authorization for and payment |
of the costs of the check must be furnished by the student |
teacher to the school district. Upon receipt of this |
authorization and payment, the school district shall submit |
the student teacher's name, sex, race, date of birth, social |
security number, fingerprint images, and other identifiers, as |
prescribed by the Illinois State Police, to the Illinois State |
Police. The Illinois State Police and the Federal Bureau of |
Investigation shall furnish, pursuant to a fingerprint-based |
criminal history records check, records of convictions, |
forever and hereinafter, until expunged, to the president of |
the board. The Illinois State Police shall charge the school |
district a fee for conducting the check, which fee must not |
exceed the cost of the inquiry and must be deposited into the |
State Police Services Fund. The school district shall further |
perform a check of the Statewide Sex Offender Database, as |
authorized by the Sex Offender Community Notification Law, and |
of the Statewide Murderer and Violent Offender Against Youth |
Database, as authorized by the Murderer and Violent Offender |
Against Youth Registration Act, for each student teacher. The |
board may not knowingly allow a person to student teach for |
|
whom a criminal history records check, a Statewide Sex |
Offender Database check, and a Statewide Murderer and Violent |
Offender Against Youth Database check have not been completed |
and reviewed by the district. |
A copy of the record of convictions obtained from the |
Illinois State Police must be provided to the student teacher. |
Any information concerning the record of convictions obtained |
by the president of the board is confidential and may only be |
transmitted to the general superintendent of schools or his or |
her designee, the State Superintendent of Education, the State |
Educator Preparation and Licensure Board, or, for |
clarification purposes, the Illinois State Police or the |
Statewide Sex Offender Database or Statewide Murderer and |
Violent Offender Against Youth Database. Any unauthorized |
release of confidential information may be a violation of |
Section 7 of the Criminal Identification Act. |
The board may not knowingly allow a person to student |
teach who has been convicted of any offense that would subject |
him or her to license suspension or revocation pursuant to |
subsection (c) of Section 21B-80 of this Code, except as |
provided under subsection (b) of Section 21B-80. Further, the |
board may not allow a person to student teach if he or she has |
been found to be the perpetrator of sexual or physical abuse of |
a minor under 18 years of age pursuant to proceedings under |
Article II of the Juvenile Court Act of 1987. The board must |
consider the status of a person to student teach who has been |
|
issued an indicated finding of abuse or neglect of a child by |
the Department of Children and Family Services under the |
Abused and Neglected Child Reporting Act or by a child welfare |
agency of another jurisdiction. |
(h) (Blank). |
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19; |
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff. |
1-1-22; 102-702, eff. 7-1-23; 102-813, eff. 5-13-22; 102-894, |
eff. 5-20-22; 102-1071, eff. 6-10-22; revised 8-17-22.)
|
(105 ILCS 5/34-18.78) |
Sec. 34-18.78. COVID-19 paid administrative leave. |
(a) In this Section: |
"Employee" means a person employed by the school district |
on or after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
"Fully vaccinated against COVID-19" means: |
(1) 2 weeks after receiving the second dose in a |
2-dose series of a COVID-19 vaccine authorized for |
emergency use, licensed, or otherwise approved by the |
United States Food and Drug Administration; or |
(2) 2 weeks after receiving a single dose of a |
COVID-19 vaccine authorized for emergency use, licensed, |
or otherwise approved by the United States Food and Drug |
Administration. |
"Fully vaccinated against COVID-19" also includes any |
|
recommended booster doses for which the individual is eligible |
upon the adoption by the Department of Public Health of any |
changes made by the Centers for Disease Control and Prevention |
of the United States Department of Health and Human Services |
to the definition of "fully vaccinated against COVID-19" to |
include any such booster doses. For purposes of this Section, |
individuals who are eligible for a booster dose but have not |
received a booster dose by 5 weeks after the Department of |
Public Health adopts a revised definition of "fully vaccinated |
against COVID-19" are not considered fully vaccinated for |
determining eligibility for future paid administrative leave |
pursuant to this Section. |
"School district" includes charter schools established |
under Article 27A of this Code. |
(b) During any time when the Governor has declared a |
disaster due to a public health emergency pursuant to Section |
7 of the Illinois Emergency Management Agency Act and the |
school district, the State or any of its agencies, or a local |
public health department has issued
guidance, mandates, or |
rules related to COVID-19 that restrict
an employee of the |
school district from being on school district property because |
the employee (i) has a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as a |
polymerase chain reaction (PCR) test for COVID-19, (ii) has a |
probable COVID-19 diagnosis via an antigen diagnostic test, |
(iii) has been in close contact with a person who had a |
|
confirmed case of COVID-19 and is required to be excluded from |
the school, or (iv) is required by the school or school |
district policy to be excluded from school district property |
due to COVID-19 symptoms, the employee of the school district |
shall receive as many days of administrative leave as required |
to abide by the public health guidance, mandates, and |
requirements issued by the Department of Public Health, unless |
a longer period of paid administrative leave has been |
negotiated with the exclusive bargaining representative. Such |
leave shall be provided to an employee for any days for which |
the employee was required to be excluded from school property |
prior to April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly , |
provided that the employee receives all doses required to meet |
the definition of "fully vaccinated against COVID-19" under |
this Section no later than 5 weeks after April 5, 2022 ( the |
effective date of Public Act 102-697) this amendatory Act of |
the 102nd General Assembly . |
(c) An employee of the school district shall receive paid
|
administrative leave pursuant to subsection (b) of this |
Section, unless a
longer period of paid administrative leave |
has been negotiated
with the exclusive bargaining |
representative, to care for a
child of the employee if the |
child is unable to attend
elementary or secondary school
|
because the child has: |
(1) a confirmed positive COVID-19 diagnosis via a
|
|
molecular amplification diagnostic test, such as a
|
polymerase chain reaction (PCR) test for COVID-19; |
(2) a probable COVID-19 diagnosis via an antigen
|
diagnostic test; |
(3) been in close contact with a person who has a
|
confirmed case of COVID-19 and is required to be excluded |
from school; or |
(4) been required by the school or school district |
policy to be excluded from school district property due to |
COVID-19 symptoms. |
Such leave shall be provided to an employee for any days needed |
to care for a child of the employee prior to April 5, 2022 ( the |
effective date of Public Act 102-697) this amendatory Act of |
the 102nd General Assembly , provided that the employee |
receives the doses required to meet the definition of "fully |
vaccinated against COVID-19" under this Section no later than |
5 weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
(d) An employee of the school district who is on paid
|
administrative leave pursuant to this Section must provide all
|
documentation requested by the board. |
(e) An employee of the school district who is on paid
|
administrative leave pursuant to this Section shall receive
|
the employee's regular rate of pay. The use of a paid
|
administrative leave day or days by an employee pursuant to
|
this Section may not diminish any other leave or benefits of
|
|
the employee. |
(f) An employee of the school district may not accrue paid
|
administrative leave pursuant to this Section. |
(g) For an employee of the school district to be eligible |
to receive paid administrative leave pursuant to this Section, |
the employee must: |
(1) have received all required doses to be fully |
vaccinated against COVID-19, as defined in this Section; |
and |
(2) participate in the COVID-19 testing program |
adopted by the school district to the extent such a |
testing program requires participation by individuals who |
are fully vaccinated against COVID-19. |
(h) Nothing in this Section is intended to affect any |
right or remedy under federal law. |
(i) No paid administrative leave awarded to or used by a |
fully vaccinated employee prior to the Department of Public |
Health's adoption of a revised definition of the term "fully |
vaccinated against COVID-19" may be rescinded on the basis |
that the employee no longer meets the definition of "fully |
vaccinated against COVID-19" based on the revised definition.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-3-22.)
|
(105 ILCS 5/34-18.79) |
Sec. 34-18.79 34-18.78 . Sick leave; mental or behavioral |
health complications. In addition to any interpretation or |
|
definition included in a collective bargaining agreement or |
board of education or district policy, sick leave, or its |
equivalent, to which a teacher or other eligible employee is |
entitled shall be interpreted to include mental or behavioral |
health complications. Unless contrary to a collective |
bargaining agreement or board of education or district policy, |
the board may require a certificate from a mental health |
professional licensed in Illinois providing ongoing care or |
treatment to the teacher or employee as a basis for pay during |
leave after an absence of 3 days for mental or behavioral |
health complications.
|
(Source: P.A. 102-866, eff. 5-13-22; revised 8-3-22.)
|
(105 ILCS 5/34-18.80) |
Sec. 34-18.80 34-18.78 . College and career readiness |
systems. |
(a) Subject to subsection (c) of this Section, by July 1, |
2024, the school district shall adopt and commence |
implementation of a postsecondary and career expectations |
framework for each of grades 6 through 12 that substantially |
aligns to the model framework adopted by State agencies |
pursuant to Section 15 of the Postsecondary and Workforce |
Readiness Act. The local postsecondary and career expectations |
framework shall be available on a prominent location on the |
school district's website. |
The career exploration and career development activities |
|
offered in alignment with the postsecondary and career |
expectations framework shall prepare students enrolled in |
grades 6 through 12 to make informed plans and decisions about |
their future education and career goals, including possible |
participation in a career and technical education pathway, by |
providing students with opportunities to explore a wide |
variety of high-skill, high-wage, and in-demand career fields. |
(b) Subject to subsection (c) of this Section, the school |
district shall become an eligible school district and award |
College and Career Pathway Endorsements pursuant to the |
Postsecondary and Workforce Readiness Act and pursuant to the |
following schedule: |
(1) for the high school graduating class of 2026, the |
school district shall offer College and Career Pathway |
Endorsements in at least one endorsement area; |
(2) for the high school graduating class of 2028, the |
school district shall offer College and Career Pathway |
Endorsements in at least 2 endorsement areas; and |
(3) for the high school graduating class of 2030, the |
school district shall offer College and Career Pathway |
Endorsements in at least 3 endorsement areas. |
(c) The board may, by action of the board, opt out of |
implementation of all or any part of this Section through |
adoption of a set of findings that considers the following: |
(1) the school district's current systems for college |
and career readiness; |
|
(2) the school district's cost of implementation |
balanced against the potential benefits to students and |
families through improved postsecondary education and |
career outcomes; |
(3) the willingness and capacity of local businesses |
to partner with the school district for successful |
implementation of pathways other than education; |
(4) the availability of a statewide database of |
participating local business partners, as provided under |
the Postsecondary and Workforce Readiness Act, for the |
purpose of career readiness and the accessibility of those |
work experiences and apprenticeships listed in the |
database to the students of the school district; and |
(5) the availability of properly licensed teachers or |
teachers meeting faculty credential standards for dual |
credit courses to instruct in the program required for the |
endorsement areas. |
The school district must report its board findings and |
decision on implementation to the State Board of Education. If |
the school district elects to opt out of implementation, the |
district may reverse its decision in whole or in part at any |
time. |
(d) The State Board of Education may adopt any rules |
necessary to implement this Section.
|
(Source: P.A. 102-917, eff. 1-1-23; revised 1-10-23.)
|
|
(105 ILCS 5/34-18.81) |
Sec. 34-18.81 34-18.78 . Pilot program for remote learning |
for students in the custody of the Department of Corrections. |
The board may offer the option of remote learning to allow a |
student who is in the custody of the Department of Corrections |
to successfully complete the course requirements necessary to |
graduate from high school and receive a high school diploma. |
The school district may offer a remote learning option to a |
student if the student: |
(1) is enrolled at Consuella B. York Alternative High |
School at the time the student is transferred to a |
Department of Corrections facility or institution or had |
been enrolled at Consuella B. York Alternative High School |
within the 6 months prior to being transferred to a |
Department of Corrections facility or institution; and |
(2) is within 2 school years of completing all of the |
course requirements necessary to graduate from high school |
and receive a high school diploma. |
The Department of Corrections educators and security staff |
shall be involved in assisting and supervising students |
participating in the pilot program. The Department of |
Corrections shall negotiate with all bargaining units involved |
to ensure that the implementation of the pilot program is |
consistent with collective bargaining agreements. |
The school district may continue to offer the option of |
remote learning to the student for up to one school year |
|
following the student's release from the custody of the |
Department of Corrections to allow the student to complete any |
remaining course requirements necessary to graduate from high |
school and receive a high school diploma. |
The establishment of the pilot program described in this |
Section is contingent upon there being provided to the |
Department of Corrections sufficient appropriations to |
implement and administer the program.
|
(Source: P.A. 102-966, eff. 5-27-22; revised 8-3-22.)
|
(105 ILCS 5/34-21.6) (from Ch. 122, par. 34-21.6)
|
Sec. 34-21.6. Waiver of fees and fines. |
(a) The board shall waive all fees and any fines for the |
loss of school property assessed by the district
on children |
whose parents are unable to afford them, including but not |
limited
to: |
(1) children living in households that meet the free |
lunch or breakfast eligibility guidelines established by |
the federal government pursuant to Section 1758 of the |
federal Richard B. Russell National School Lunch Act (42 |
U.S.C. 1758; 7 CFR C.F.R. 245 et seq.) and students whose |
parents are veterans or active duty military personnel |
with income at or below 200% of the federal poverty level, |
subject to verification as set forth in subsection (b) of |
this Section ; , and |
(2) homeless children and youths youth as defined in |
|
Section 11434a of the federal McKinney-Vento Homeless |
Assistance Act (42 U.S.C. 11434a). |
Notice of waiver availability shall be given to parents or |
guardians with every bill for fees or fines. The board shall |
develop written
policies and procedures implementing this |
Section in accordance with
regulations promulgated by the |
State Board of Education.
|
(b) If the board participates in a federally funded, |
school-based child nutrition program and uses a student's |
application for, eligibility for, or participation in the |
federally funded, school-based child nutrition program (42 |
U.S.C. 1758; 7 C.F.R. 245 et seq.) as the basis for waiving |
fees assessed by the district, then the board must follow the |
verification requirements of the federally funded, |
school-based child nutrition program (42 U.S.C. 1758; 7 CFR |
C.F.R. 245.6a). |
If the board establishes a process for the determination |
of eligibility for waiver of all fees assessed by the district |
that is completely independent of the criteria listed in |
subsection (b), the board may provide for waiver verification |
no more often than once every academic year. Information |
obtained during the independent waiver verification process |
indicating that the student does not meet free lunch or |
breakfast eligibility guidelines may be used to deny the |
waiver of the student's fees or fines for the loss of school |
property, provided that any information obtained through this |
|
independent process for determining or verifying eligibility |
for fee waivers shall not be used to determine or verify |
eligibility for any federally funded, school-based child |
nutrition program. |
This subsection shall not preclude children from obtaining |
waivers at any point during the academic year. |
(Source: P.A. 102-805, eff. 1-1-23; 102-1032, eff. 5-27-22; |
revised 12-13-22.)
|
Section 295. The School Safety Drill Act is amended by |
changing Sections 5 and 45 as follows:
|
(105 ILCS 128/5)
|
Sec. 5. Definitions. In this Act: |
"First responder" means and includes all fire departments |
and districts, law enforcement agencies and officials, |
emergency medical responders, emergency medical dispatchers, |
and emergency management officials involved in the execution |
and documentation of the drills administered under this Act. |
"School" means a public or private facility that offers |
elementary or secondary education to students under the age of |
21, a charter school authorized by the State Board of |
Education, or a special education cooperative. As used in this |
definition, "public facility" means a facility operated by the |
State or by a unit of local government. As used in this |
definition, "private facility" means any non-profit, |
|
non-home-based, non-public elementary or secondary school 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. While more than one school may be |
housed in a facility, for purposes of this Act, the facility |
shall be considered a school. When a school has more than one |
location, for purposes of this Act, each different location |
shall be considered its own school. |
"School safety drill" means a pre-planned exercise |
conducted by a school in accordance with the drills and |
requirements set forth in this Act.
|
(Source: P.A. 102-894, eff. 5-20-22; 102-1006, eff. 1-1-23; |
revised 12-13-22.)
|
(105 ILCS 128/45)
|
Sec. 45. Threat assessment procedure. |
(a) Each school district must implement a threat |
assessment procedure that may be part of a school board policy |
on targeted school violence prevention. The procedure must |
include the creation of a threat assessment team. The team |
must include all of the following members: |
(1) An administrator employed by the school district |
or a special education cooperative that serves the school |
district and is available to serve. |
(2) A teacher employed by the school district or a |
special education cooperative that serves the school |
|
district and is available to serve. |
(3) A school counselor employed by the school district |
or a special education cooperative that serves the school |
district and is available to serve. |
(4) A school psychologist employed by the school |
district or a special education cooperative that serves |
the school district and is available to serve. |
(5) A school social worker employed by the school |
district or a special education cooperative that serves |
the school district and is available to serve. |
(6) At least one law enforcement official. |
If a school district is unable to establish a threat |
assessment team with school district staff and resources, it |
may utilize a regional behavioral threat assessment and |
intervention team that includes mental health professionals |
and representatives from the State, county, and local law |
enforcement agencies. |
(b) A school district shall establish the threat |
assessment team under this Section no later than 180 days |
after August 23, 2019 ( the effective date of Public Act |
101-455) this amendatory Act of the 101st General Assembly and |
must implement an initial threat assessment procedure no later |
than 120 days after August 23, 2019 ( the effective date of |
Public Act 101-455) this amendatory Act of the 101st General |
Assembly . Each year prior to the start of the school year, the |
school board shall file the threat assessment procedure and a |
|
list identifying the members of the school district's threat |
assessment team or regional behavior threat assessment and |
intervention team with (i) a local law enforcement agency and |
(ii) the regional office of education or, with respect to a |
school district organized under Article 34 of the School Code, |
the State Board of Education. |
(c) Any sharing of student information under this Section |
must comply with the federal Family Educational Rights and |
Privacy Act of 1974 and the Illinois School Student Records |
Act.
|
(d) A charter school must follow the threat assessment |
procedures implemented by its authorizing school district or |
must implement its own threat assessment procedure that |
complies with this Section. |
(Source: P.A. 101-455, eff. 8-23-19; 102-791, eff. 5-13-22; |
102-894, eff. 5-20-22; revised 8-25-22.)
|
Section 300. The School Construction Law is amended by |
changing Section 5-15 as follows:
|
(105 ILCS 230/5-15)
|
Sec. 5-15. Grant award amounts and required local match. |
(a) After June 30, 2022, any time there is an |
appropriation of funds by the General Assembly from the School |
Infrastructure Fund or School Construction Fund and a release |
of the appropriated funds to the Capital Development Board for |
|
expenditure on grant awards pursuant to the provisions of this |
Article, the State Board of Education is authorized
to open an |
application cycle to receive grant applications from school |
districts for school construction projects. No grant |
application filed before the start of the first application |
cycle after June 30, 2022 may be considered. After the close of |
each application cycle, the State Board of Education shall |
determine the approval of applications, the required local |
match percentage for each approved application, and the |
priority order for school construction project grants
to be |
made by the Capital Development Board and shall then notify |
all applicants regarding their eligibility for a grant. Such |
notification shall include an estimate of the required local |
match. The State Board of Education shall publish a list of |
applicants eligible for grants and forward it to the Capital |
Development Board. .
|
(b) The Capital Development Board, to the extent that |
appropriated funds have been released and proceeding through |
the list of eligible applicants in the order of priority |
determined by the State Board of Education, shall issue |
conditional grant awards to eligible school districts. An |
applicant that does not receive a conditional grant award |
notification must submit a new application during another |
application cycle in order to receive future consideration for |
a grant award. |
(c) The conditional grant award certifies to a school |
|
district the recognized project costs for its school |
construction project determined by the Capital Development |
Board, the applicable required local match percentage and |
grant award percentage, the required local match and grant |
award amount calculated by multiplying the required local |
match percentage and the grant award percentage by the |
recognized project cost, and the required local match and |
grant award amount as those amounts may be adjusted as |
required in subsection (d). |
(d) The required local match and grant award amount are |
calculated by multiplying the required local match percentage |
and the grant award percentage by the recognized project cost, |
provided that, only during the first application cycle after |
June 30, 2022, these amounts may be adjusted if the applicant |
had previously expended funds on a school construction project |
on the 2004, 2005, or 2006 School Construction Grant List. In |
that case, the required local match shall be reduced (but not |
below zero) and the grant award amount shall be increased (to |
an amount no greater than the recognized project cost) by an |
amount determined by the Capital Development Board to be equal |
to the amount of the grant the applicant would have received |
pursuant to Section 5-35 had it been awarded a grant in 2004, |
2005, or 2006 based on the 2004, 2005, or 2006 School |
Construction Grant List and the year in which the school |
district applied for the grant. |
(e) A school district shall have 2 years from the date the |
|
school district was issued a conditional grant award from the |
Capital Development Board to obtain the school district's |
required local match and receive a final grant award from the |
Capital Development Board. If the required local match is not |
obtained within the 2-year time frame, the school district |
shall be required to reapply in another application cycle, |
after the 2-year time frame, to be considered for a grant |
award. The State share of the grant amount in a conditional |
grant award that is not claimed by a school district within the |
2-year time frame shall be reallocated to future application |
cycles after the 2-year time frame expires. |
(Source: P.A. 102-723, eff. 5-6-22; revised 9-2-22.)
|
Section 305. The Private Business and Vocational Schools |
Act of 2012 is amended by changing Sections 37, 70, and 75 as |
follows:
|
(105 ILCS 426/37)
|
Sec. 37. Disclosures. All schools shall make, at a |
minimum, the disclosures required under this Section clearly |
and conspicuously on their Internet websites. The disclosure |
shall consist of a statement containing the following |
information for the most recent 12-month reporting period of |
July 1 through June 30: |
(1) The number of students who were admitted in the |
course of instruction as of July 1
of that reporting |
|
period. |
(2) Additions during the year due to: |
(A) new starts;
|
(B) re-enrollments; and
|
(C) transfers into the course of instruction from |
other courses of instruction at the school.
|
(3) The total number of students admitted during the |
reporting period (the number of students reported under |
paragraph (1) of this Section plus the additions reported |
under subparagraphs (A), (B), and (C) of paragraph (2) of |
this Section ) .
|
(4) Of the total course of instruction enrollment, the |
number of students who:
|
(A) transferred out of the course of instruction |
to another course of
instruction;
|
(B) completed or graduated from a course of |
instruction;
|
(C) withdrew from the school;
|
(D) are still enrolled.
|
(5) The number of students listed in paragraph (4) of |
this Section who:
|
(A) were placed in their field of study;
|
(B) were placed in a related field;
|
(C) placed out of the field;
|
(D) were not available for placement due to |
personal reasons;
|
|
(E) were not employed.
|
(6) The number of students who took a State licensing |
examination or professional certification examination, if |
any, during the reporting period, as well as the number |
who passed. |
(7) The number of graduates who obtained employment in |
the field who did not use the school's placement |
assistance during the reporting period; such information |
may be compiled
by reasonable efforts of the school to |
contact graduates by written correspondence.
|
(8) The average starting salary for all school |
graduates employed during the reporting period; such |
information may be compiled by reasonable efforts of the |
school to contact graduates by written correspondence. |
(9) The following clear and conspicuous caption, set |
forth with the address and telephone number of the Board's |
office: |
"COMPLAINTS AGAINST THIS SCHOOL MAY BE REGISTERED |
WITH THE BOARD OF HIGHER EDUCATION.". |
(10) If the United States Department of Education |
places the school on either the Heightened Cash Monitoring |
2 payment method or the reimbursement payment method, as |
authorized under 34 CFR 668.162, a clear and conspicuous |
disclosure that the United States Department of Education |
has heightened monitoring of the school's finances and the |
reason for such monitoring. Such disclosure shall be made |
|
within 14 days of the action of the United States |
Department of Education both on the school's website and |
to all students and prospective students on a form |
prescribed by the Board. |
An alphabetical list of names, addresses, and dates of |
admission by course or course of instruction and a sample copy |
of the enrollment agreement employed to enroll the students |
listed shall be filed with the Board's Executive Director on |
an annual basis. The list shall be signed and verified by the |
school's
chief managing employee.
|
(Source: P.A. 102-1046, eff. 6-7-22; revised 9-2-22.)
|
(105 ILCS 426/70)
|
Sec. 70. Closing of a school.
|
(a) In the event a school proposes to discontinue its |
operations, the chief administrative officer of the school |
shall cause to be filed with the Board the original or legible |
true copies of all such academic records of the institution as |
may be specified by the Board.
|
(b) These records shall include, at a minimum, the |
academic records of each former student that is traditionally |
provided on an academic transcript, such as, but not limited |
to, courses taken, terms, grades, and other such information.
|
(c) In the event it appears to the Board that any such |
records of an institution discontinuing its operations is in |
danger of being lost, hidden, destroyed, or otherwise made |
|
unavailable to the Board, the Board may seize and take |
possession of the records, on its own motion and without order |
of court.
|
(d) The Board shall maintain or cause to be maintained a |
permanent file of such records coming into its possession.
|
(e) As an alternative to the deposit of such records with |
the Board, the institution may propose to the Board a plan for |
permanent retention of the records. The plan must be put into |
effect only with the approval of the Board.
|
(f) When a postsecondary educational institution now or |
hereafter operating in this State proposes to discontinue its |
operation, such institution shall cause to be created a |
teach-out plan acceptable to the Board, which shall fulfill |
the school's educational obligations to its students. Should |
the school fail to deliver or act on the teach-out plan, the |
Board is in no way responsible for providing the teach-out.
|
(f-5) The school shall release any institutional holds |
placed on any student students record, regardless of the type |
of hold placed on the student record. |
(g) The school and its designated surety bonding company |
are responsible for the return to students of all prepaid, |
unearned tuition. As identified in Section 55 of this Act, the |
surety bond must be a written agreement that provides for |
monetary compensation in the event that the school fails to |
fulfill its obligations. The surety bonding company shall |
guarantee the return to the school's students and their |
|
parents, guardians, or sponsors of all prepaid, unearned |
tuition in the event of school closure. Should the school or |
its surety bonding company fail to deliver or act to fulfill |
the obligation, the Board is in no way responsible for the |
repayment or any related damages or claims.
|
(Source: P.A. 102-1046, eff. 6-7-22; revised 9-2-22.)
|
(105 ILCS 426/75)
|
Sec. 75. Application and renewal fees. The Board may not |
approve any application for a permit of approval or program of |
study that has been plagiarized in part or whole and may return |
any such application for a permit of approval or program of |
study. Additionally, the Board may not approve any application |
for a permit of approval or program of study that has not been |
completed in its entirety. Fees for application and renewal |
may be set by the Board by rule. Fees shall be collected for |
all of the following:
|
(1) An original school application for a permit of |
approval.
|
(2) An initial school application for a permit of |
approval upon occurrence of a change of ownership.
|
(3) An annual school application for renewal of a |
certificate of approval.
|
(4) A school application for a change of location.
|
(5) A school application for a classroom extension.
|
(6) If an applicant school that has not remedied all |
|
deficiencies cited by the Board within 12 months after the |
date of its original application for a permit of approval, |
an additional original application fee for the continued |
cost of investigation of its application.
|
(7) Transcript processing.
|
(Source: P.A. 102-1046, eff. 6-7-22; revised 9-2-22.)
|
Section 310. The Dual Credit Quality Act is amended by |
changing Section 20 as follows:
|
(110 ILCS 27/20) |
Sec. 20. Standards. All institutions offering dual credit |
courses shall meet the following standards: |
(1) High school instructors teaching credit-bearing |
college-level courses for dual credit must meet any of the |
academic credential requirements set forth in this |
paragraph or paragraph (2) or (3) of this Section and need |
not meet higher certification requirements or those set |
out in Article 21B of the School Code: |
(A) Approved instructors of dual credit courses |
shall meet any of the faculty credential standards |
allowed by the Higher Learning Commission to determine |
minimally qualified faculty. At the request of an |
instructor, an instructor who meets these credential |
standards shall be provided by the State Board of |
Education with a Dual Credit Endorsement, to be placed |
|
on the professional educator license, as established |
by the State Board of Education and as authorized |
under Article 21B of the School Code and promulgated |
through administrative rule in cooperation with the |
Illinois Community College Board and the Board of |
Higher Education. |
(B) An instructor who does not meet the faculty |
credential standards allowed by the Higher Learning |
Commission to determine minimally qualified faculty |
may teach dual credit courses if the instructor has a |
professional development plan, approved by the |
institution and shared with the State Board of |
Education no later than January 1, 2025, to raise his |
or her credentials to be in line with the credentials |
under subparagraph (A) of this paragraph (1). The |
institution shall have 30 days to review the plan and |
approve an instructor professional development plan |
that is in line with the credentials set forth in |
paragraph (2) of this Section. The institution shall |
not unreasonably withhold approval of a professional |
development plan. These approvals shall be good for as |
long as satisfactory progress toward the completion of |
the credential is demonstrated, but in no event shall |
a professional development plan be in effect for more |
than 3 years from the date of its approval or after |
January 1, 2028, whichever is sooner. A high school |
|
instructor whose professional development plan is not |
approved by the institution may appeal to the Illinois |
Community College Board or the Board of Higher |
Education, as appropriate. |
(C) The Illinois Community College Board and Board |
of Higher Education shall report yearly on their its |
Internet websites website the following: |
(i) the number of teachers presently enrolled |
in an approved professional development plan under |
this Section; |
(ii) the number of instructors who |
successfully completed an approved professional |
development plan; |
(iii) the number of instructors who did not |
successfully complete an approved professional |
development plan after 3 years; |
(iv) a breakdown of the information in |
subdivisions (i), (ii), and (iii) of this |
subparagraph (C) by subject area; and |
(v) a summary, by community college district, |
of professional development plans that are in |
progress, that were successfully completed, or |
that have expired. |
(2) For a high school instructor entering into a |
professional development plan prior to January 1, 2023, |
the high school instructor shall qualify for a |
|
professional development plan if the instructor: |
(A) has a master's degree in any discipline and |
has earned 9 graduate hours in a discipline in which he |
or she is currently teaching or expects to teach; or |
(B) has a bachelor's degree with a minimum of 18 |
graduate hours in a discipline that he or she is |
currently teaching or expects to teach and is enrolled |
in a discipline-specific master's degree program; and |
(C) agrees to demonstrate his or her progress |
toward completion to the supervising institution, as |
outlined in the professional development plan. |
(2.5) For a high school instructor entering into a |
professional development plan on or after January 1, 2023, |
the high school instructor shall qualify for a |
professional development plan if the instructor: |
(A) has a master's degree in any discipline, has |
earned 9 graduate hours in a discipline in which he or |
she currently teaches or expects to teach, and agrees |
to demonstrate his or her progress toward completion |
to the supervising institution, as outlined in the |
professional development plan; or |
(B) is a fully licensed instructor in career and |
technical education who is halfway toward meeting the |
institution's requirements for faculty in the |
discipline to be taught and agrees to demonstrate his |
or her progress toward completion to the supervising |
|
institution, as outlined in the professional |
development plan. |
(3) An instructor in career and technical education |
courses must possess the credentials and demonstrated |
teaching competencies appropriate to the field of |
instruction. |
(4) Course content must be equivalent to |
credit-bearing college-level courses offered at the |
community college. |
(5) Learning outcomes must be the same as |
credit-bearing college-level courses and be appropriately |
measured. |
(6) A high school instructor is expected to |
participate in any orientation developed by the |
institution for dual credit instructors in course |
curriculum, assessment methods, and administrative |
requirements. |
(7) Dual credit instructors must be given the |
opportunity to participate in all activities available to |
other adjunct faculty, including professional development, |
seminars, site visits, and internal communication, |
provided that such opportunities do not interfere with an |
instructor's regular teaching duties. |
(8) Every dual credit course must be reviewed annually |
by faculty through the appropriate department to ensure |
consistency with campus courses.
|
|
(9) Dual credit students must be assessed using |
methods consistent with students in traditional |
credit-bearing college courses.
|
(10) Within 15 days after entering into or renewing a |
partnership agreement, the institution shall notify its |
faculty of the agreement, including access to copies of |
the agreement if requested. |
(Source: P.A. 102-558, eff. 8-20-21; 102-1077, eff. 1-1-23; |
revised 12-9-22.)
|
Section 315. The Board of Higher Education Act is amended |
by changing Section 9.16 as follows:
|
(110 ILCS 205/9.16) (from Ch. 144, par. 189.16)
|
Sec. 9.16. Underrepresentation of certain groups in higher |
education.
To require public institutions of higher education |
to develop and implement an equity plan and practices that |
include
methods and strategies to increase the access, |
retention, completion, and student loan repayment rates of |
minorities, rural students, adult students, women,
and |
individuals with disabilities who are traditionally |
underrepresented in
education programs and activities. To |
encourage private institutions of higher education to develop |
and implement an equity plan and practices. For the purpose of |
this Section,
minorities shall mean persons residents who are |
any of the following: |
|
(1) American Indian or Alaska Native (a person having |
origins in any of the original peoples of North and South |
America, including Central America, and who maintains |
tribal affiliation or community attachment). |
(2) Asian (a person having origins in any of the |
original peoples of the Far East, Southeast Asia, or the |
Indian subcontinent, including, but not limited to, |
Cambodia, China, India, Japan, Korea, Malaysia, Pakistan, |
the Philippine Islands, Thailand, and Vietnam). |
(3) Black or African American (a person having origins |
in any of the black racial groups of Africa). |
(4) Hispanic or Latino (a person of Cuban, Mexican, |
Puerto Rican, South or Central American, or other Spanish |
culture or origin, regardless of race). |
(5) Native Hawaiian or Other Pacific Islander (a |
person having origins in any of the original peoples of |
Hawaii, Guam, Samoa, or other Pacific Islands).
|
The Board shall adopt any rules necessary to administer |
this Section.
The Board, in collaboration with the Illinois |
Community College Board, shall also do the following:
|
(a) require all public institutions of higher |
education to develop and
submit an equity plan and |
implement practices that, at a minimum, close gaps in |
enrollment, retention, completion, and student loan |
repayment rates for underrepresented groups and encourage |
all private institutions of higher education to develop |
|
and submit such equity plans and implement such practices;
|
(b) conduct periodic review of public institutions of |
higher education and private institutions of higher |
education to
determine compliance with this Section; and |
if the Board finds that a public
institution of higher |
education is not in compliance with this Section,
it shall |
notify the institution of steps to take to attain |
compliance;
|
(c) provide advice and counsel pursuant to this |
Section;
|
(d) conduct studies of the effectiveness and outcomes |
of the methods and strategies outlined in an institution's |
equity plan, as well as others
designed to increase |
participation and success of students in education |
programs and
activities in which minorities, rural |
students, adult students, women, and individuals with |
disabilities are
traditionally underrepresented, and |
monitor and report the outcomes for students as a result |
of the implementation of equity plans;
|
(e) require components of an institution's equity plan |
to include strategies to increase minority student |
recruitment, retention, and student loan repayment rates |
in colleges
and universities. In implementing this |
paragraph, the Board shall undertake ,
but need not be |
limited to , the following: the establishment of guidelines
|
and plans for public institutions of higher education and |
|
private institutions of higher education for minority |
student
recruitment, retention, and student loan repayment |
rates, including requirements to establish campus climate |
and culture surveys, the review and monitoring of minority |
student services,
programs, and supports implemented at |
public institutions of higher education and private |
institutions of higher education to
determine their |
compliance with any guidelines and plans so established,
|
the determination of the effectiveness and funding |
requirements of minority
student services, programs, and |
supports at public institutions of higher education and |
private institutions of higher education, the
|
dissemination of successful programs as models, and the |
encouragement of
cooperative partnerships between |
community colleges, local school
attendance centers, and |
4-year colleges and universities to support enrollment of
|
minority students;
|
(f) mandate all public institutions of higher |
education and encourage all private institutions of higher |
education to submit data
and information essential to |
determine compliance with this Section. The
Board shall |
prescribe the format and the date for submission of this |
data
and any other education equity data; and
|
(g) report to the General Assembly and the Governor |
annually with a
description of the plans submitted by each |
public institution of higher
education and each private |
|
institution of higher education for implementation of this |
Section, including financial data
relating to the most |
recent fiscal year, the effectiveness of such
plans and |
programs and the effectiveness of the methods and |
strategies developed by the
Board in meeting the purposes |
of this Section, the degree of compliance
with this |
Section by each public institution of higher education and |
each private institution of higher education as
determined |
by the Board pursuant to its periodic review |
responsibilities,
and the findings made by the Board in |
conducting its studies and monitoring
student outcomes and |
institutional success as required by paragraph (d) of this |
Section. With
respect to each public institution of higher |
education and each private institution of higher |
education, such report also shall
include, but need not be |
limited to, information with respect to each
institution's |
minority program budget allocations; minority student
|
admission, retention and graduation and student loan |
repayment rate statistics; admission, retention, |
graduation, and student loan repayment rate statistics of |
all students who are the first in their immediate family |
to attend an institution of higher education; number of |
financial
assistance awards, not including student loans, |
to undergraduate and graduate minority students; and
|
minority faculty representation. This paragraph shall not |
be construed to
prohibit the Board from making, preparing , |
|
or issuing additional surveys or
studies with respect to |
minority education in Illinois.
|
(Source: P.A. 102-465, eff. 1-1-22; 102-1030, eff. 5-27-22; |
102-1046, eff. 6-7-22; revised 7-26-22.)
|
Section 320. The Higher Education Cooperation Act is |
amended by changing Section 4 as follows:
|
(110 ILCS 220/4) (from Ch. 144, par. 284)
|
Sec. 4.
A program of financial assistance to programs of |
interinstitutional
cooperation , in higher education is |
established to implement the policy of
encouraging such |
cooperation in order to achieve an efficient use of
|
educational resources, an equitable distribution of |
educational services,
the development of innovative concepts |
and applications, and other public
purposes.
|
The Board of Higher Education shall administer this |
program of financial
assistance and shall distribute the funds |
appropriated by the General
Assembly for this purpose in the |
form of grants to not-for-profit
corporations organized to |
administer programs of interinstitutional
cooperation in |
higher education or to public or nonpublic institutions of
|
higher education participating in such programs.
|
In awarding grants to interinstitutional programs under |
this Act, the
Board shall consider in relation to each such |
program whether it serves the
public purposes expressed in |
|
this Act, whether the local community is
substantially |
involved, whether its function could be performed better by a
|
single existing institution, whether the program is consistent |
with the
Illinois strategic plan for higher education, and |
such other criteria as it
determines to be appropriate.
|
No grant may be awarded under this Section for any program |
of sectarian
instruction or for any program designed to serve |
a sectarian purpose.
|
As a part of its administration of this Act , the Board may |
require
audits or reports in relation to the administrative, |
fiscal and academic aspects of
any interinstitutional program |
for which a grant is awarded under this Act.
The Board shall |
annually submit to the Governor and the General Assembly a
|
budgetary recommendation for grants under this Act.
|
(Source: P.A. 102-1046, eff. 6-7-22; revised 9-2-22.)
|
Section 325. The University of Illinois Act is amended by |
setting forth, renumbering, and changing multiple versions of |
Section 160 as follows:
|
(110 ILCS 305/160) |
Sec. 160. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
|
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
|
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 305/170) |
Sec. 170 160 . COVID-19 sick leave. For purposes of this |
Section, "employee" means a person employed by the University |
on or after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
175 of this Act, if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
|
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 175 of this Act no later than 5 weeks |
|
after April 5, 2022 ( the effective date of Public Act 102-697) |
this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 175 of this Act, at the time |
the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-19-22.)
|
Section 330. The Southern Illinois University Management |
Act is amended by setting forth, renumbering, and changing |
multiple versions of Section 135 as follows:
|
(110 ILCS 520/135) |
Sec. 135. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
|
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
|
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 520/145) |
Sec. 145 135 . COVID-19 sick leave. For purposes of this |
Section, "employee" means a person employed by the University |
on or after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
150 of this Act, if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
|
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 150 of this Act no later than 5 weeks |
after April 5, 2022 ( the effective date of Public Act 102-697) |
this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
|
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 150 of this Act, at the time |
the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-22-22.)
|
Section 335. The Chicago State University Law is amended |
by setting forth, renumbering, and changing multiple versions |
of Section 5-245 as follows:
|
(110 ILCS 660/5-245) |
Sec. 5-245. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
|
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
|
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 660/5-255) |
Sec. 5-255 5-245 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
5-260 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
|
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 5-260 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
|
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 5-260 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-23-22.)
|
Section 340. The Eastern Illinois University Law is |
amended by setting forth, renumbering, and changing multiple |
versions of Section 10-245 as follows:
|
(110 ILCS 665/10-245) |
Sec. 10-245. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
|
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
|
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 665/10-260) |
Sec. 10-260 10-245 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
10-265 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
|
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 10-265 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
|
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 10-265 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-23-22.)
|
Section 345. The Governors State University Law is amended |
by setting forth, renumbering, and changing multiple versions |
of Section 15-245 as follows:
|
(110 ILCS 670/15-245) |
Sec. 15-245. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
|
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
|
(110 ILCS 670/15-255) |
Sec. 15-255 15-245 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
15-260 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
|
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 15-260 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
|
COVID-19, as defined in Section 15-260 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-24-22.)
|
Section 350. The Illinois State University Law is amended |
by setting forth, renumbering, and changing multiple versions |
of Section 20-250 as follows:
|
(110 ILCS 675/20-250) |
Sec. 20-250. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
|
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 675/20-265) |
|
Sec. 20-265 20-250 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
20-270 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
|
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 20-270 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 20-270 of this Law Act , at the |
time the sick leave was returned to the employee.
|
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-24-22.)
|
Section 355. The Northeastern Illinois University Law is |
amended by setting forth, renumbering, and changing multiple |
versions of Section 25-245 as follows:
|
(110 ILCS 680/25-245) |
Sec. 25-245. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
|
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 680/25-260) |
Sec. 25-260 25-245 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
|
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
25-265 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
|
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 25-265 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 25-265 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-25-22.)
|
|
Section 360. The Northern Illinois University Law is |
amended by setting forth, renumbering, and changing multiple |
versions of Section 30-255 as follows:
|
(110 ILCS 685/30-255) |
Sec. 30-255. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
|
shall: |
(1) assist students at the University in determining |
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 685/30-270) |
Sec. 30-270 30-255 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
|
Assembly . |
Any sick leave used by an employee of the University |
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
30-275 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
|
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 30-275 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 30-275 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-25-22.)
|
Section 365. The Western Illinois University Law is |
amended by setting forth, renumbering, and changing multiple |
|
versions of Section 35-250 as follows:
|
(110 ILCS 690/35-250) |
Sec. 35-250. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by the University for the purpose of helping students at the |
University determine eligibility for benefit programs and |
identify campuswide and community resource support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) The University shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide consortium with other |
public institutions of higher education, facilitated by |
the Board of Higher Education, for the purpose of |
facilitating communication between benefits navigators at |
different institutions and developing best practices for |
benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the University in determining |
|
eligibility for benefit programs and identifying |
campuswide and community resource support; |
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the University. |
(d) The University, in consultation with the benefits |
navigator designated under this Section, shall develop an |
internal process to enable students at the University to |
provide feedback and recommendations on how the University can |
better assist students in determining eligibility for benefit |
programs and applying for assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 690/35-265) |
Sec. 35-265 35-250 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by the |
University on or after April 5, 2022 ( the effective date of |
Public Act 102-697) this amendatory Act of the 102nd General |
Assembly . |
Any sick leave used by an employee of the University |
|
during the 2021-2022 academic year shall be returned to an |
employee of the University who receives all doses required to |
be fully vaccinated against COVID-19, as defined in Section |
35-270 of this Law Act , if: |
(1) the sick leave was taken because the employee was |
restricted from being on University property because the |
employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from the University; or |
(D) was required by the University to be excluded |
from University property due to COVID-19 symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
|
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 35-270 of this Law Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The University may not rescind any sick leave returned to |
an employee of the University on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 35-270 of this Law Act , at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-25-22.)
|
Section 370. The Public Community College Act is amended |
by setting forth, renumbering, and changing multiple versions |
of Section 3-29.20 as follows:
|
|
(110 ILCS 805/3-29.20) |
Sec. 3-29.20. Benefits navigator. |
(a) In this Section: |
"Benefits navigator" means an individual who is designated |
by a community college for the purpose of helping students at |
the community college determine eligibility for benefit |
programs and identify campuswide and community resource |
support. |
"Benefit program" means any federal, State, or local |
program that provides assistance or benefits to individuals on |
the basis of need. |
(b) A community college shall: |
(1) designate a benefits navigator who has a detailed |
understanding of eligibility requirements for benefit |
programs and campuswide and community resource support; |
(2) provide training for the benefits navigator; and |
(3) participate in a statewide community college |
consortium, facilitated by the State Board, for the |
purpose of facilitating communication between benefits |
navigators at different institutions and developing best |
practices for benefits navigators. |
(c) The benefits navigator designated under this Section |
shall: |
(1) assist students at the community college in |
determining eligibility for benefit programs and |
identifying campuswide and community resource support; |
|
(2) use the consortium under paragraph (3) of |
subsection (b) of this Section to coordinate with benefits |
navigators at other public institutions of higher |
education for the purpose of collecting data and |
developing best practices for helping students apply for |
and receive assistance from benefit programs; and |
(3) coordinate and provide culturally specific |
resources, including resources for non-English speakers, |
to support students at the community college. |
(d) The community college, in consultation with the |
benefits navigator designated under this Section, shall |
develop an internal process to enable students at the |
community college to provide feedback and recommendations on |
how the community college can better assist students in |
determining eligibility for benefit programs and applying for |
assistance under benefit programs.
|
(Source: P.A. 102-1045, eff. 1-1-23; revised 12-29-22.)
|
(110 ILCS 805/3-29.23)
|
Sec. 3-29.23 3-29.20 . COVID-19 sick leave. For purposes of |
this Section, "employee" means a person employed by a |
community college or community college district on or after |
April 5, 2022 ( the effective date of Public Act 102-697) this |
amendatory Act of the 102nd General Assembly . |
Any sick leave used by an employee of a community college |
or community college district during the 2021-2022 academic |
|
year shall be returned to an employee of the community college |
or community college district who receives all doses required |
to be fully vaccinated against COVID-19, as defined in Section |
3-29.25 of this Act, if: |
(1) the sick leave was taken because the employee was |
restricted from being on community college district |
property because the employee: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from community college district property; or |
(D) was required by the community college or |
community college district policy to be excluded from |
community college district property due to COVID-19 |
symptoms; or |
(2) the sick leave was taken to care for a child of the |
employee who was unable to attend elementary or secondary |
school because the child: |
(A) had a confirmed positive COVID-19 diagnosis |
via a molecular amplification diagnostic test, such as |
a polymerase chain reaction (PCR) test for COVID-19; |
(B) had a probable COVID-19 diagnosis via an |
|
antigen diagnostic test; |
(C) was in close contact with a person who had a |
confirmed case of COVID-19 and was required to be |
excluded from school; or |
(D) was required by the school or school district |
policy to be excluded from school district property |
due to COVID-19 symptoms. |
Leave shall be returned to an employee pursuant to this |
Section provided that the employee has received all required |
doses to meet the definition of "fully vaccinated against |
COVID-19" under Section 3-29.25 of this Act no later than 5 |
weeks after April 5, 2022 ( the effective date of Public Act |
102-697) this amendatory Act of the 102nd General Assembly . |
The community college district may not rescind any sick |
leave returned to an employee of the community college or |
community college district on the basis of a revision to the |
definition of "fully vaccinated against COVID-19" by the |
Centers for Disease Control and Prevention of the United |
States Department of Health and Human Services or the |
Department of Public Health, provided that the employee |
received all doses required to be fully vaccinated against |
COVID-19, as defined in Section 3-29.25 of this Act, at the |
time the sick leave was returned to the employee.
|
(Source: P.A. 102-697, eff. 4-5-22; revised 8-25-22.)
|
Section 375. The Equity and Representation in Health Care |
|
Act is amended by changing Section 10 as follows:
|
(110 ILCS 932/10)
|
Sec. 10. Definitions. As used in this Act: |
"Accredited school" means a college or university in which |
a degree in allopathic medicine, osteopathic medicine, |
dentistry, physical therapy, or an equivalent credential for a |
health program is earned and for which the Council for Higher |
Education Accreditation or its affiliates has determined that |
the school meets specific standards for its programs, faculty, |
and curriculum. |
"Advanced practice registered nurse" or "APRN" means an |
advanced practice registered nurse as defined under Section |
50-10 of the Nurse Practice Act. |
"Allopathic medicine" means the use of pharmacological |
agents or physical interventions to treat or suppress symptoms |
or processes of diseases or conditions. |
"Applicant" means a health care professional or medical |
facility who applies for loan repayment assistance or |
scholarship funds under this Act. |
"Approved graduate training" means training in medicine, |
dentistry, or any other health profession that leads to |
eligibility for board certification, provides evidence of |
completion, and is approved by the appropriate health care |
professional's body. |
"Behavioral health provider" means a provider of a |
|
commonly recognized discipline in the behavioral health |
industry, including, but not limited to, licensed clinical |
social workers, behavioral health therapists, certified |
marriage and family counselors, licensed social workers, and |
addiction counselors. |
"Breach of service obligation" means failure for any |
reason to begin or complete a contractual service commitment. |
"Commercial loan" means a loan made by a bank, credit |
union, savings and loan association, insurance company, |
school, or other financial institution. |
"Community health center" means a migrant health center, |
community health center, health care program for the homeless |
or for residents of public housing supported under Section 330 |
of the federal Public Health Service Act, or FQHC, including |
an FQHC Look-Alike, as designated by the U.S. Department of |
Health and Human Services, that operates at least one |
federally designated primary health care delivery site in |
Illinois. |
"Default" means failure to meet a legal obligation or |
condition of a loan. |
"Department" means the Department of Public Health. |
"Dental assistant" means a person who serves as a member |
of a dental care team, working directly with a dentist to |
perform duties that include, but are not limited to, assisting |
with dental procedures, preparing patients for procedures, |
preparing examinations, and sterilizing equipment. |
|
"Dentist" means a person licensed to practice dentistry |
under the Illinois Dental Practice Act. |
"Director" means the Director of Public Health. |
"Equity and Representation in Health Care Workforce |
Repayment Program" or "Repayment Program" means the Equity and |
Representation in Health Care Workforce Repayment Program |
created under subsection (a) of Section 15. |
"Equity and Representation in Health Care Workforce |
Scholarship Program" or "Scholarship Program" means the Equity |
and Representation in Health Care Workforce Scholarship |
Program created under subsection (b) of Section 15. |
"Federally Qualified Health Center" or "FQHC" means a |
health center funded under Section 330 of the federal Public |
Health Service Act. |
"Federally Qualified Health Center Look-Alike" or "FQHC |
Look-Alike" means a health center that meets the requirements |
for receiving a grant under Section 330 of the federal Public |
Health Service Act but does not receive funding under that |
authority. |
"Government loan" means a loan made by a federal, State, |
county, or city agency authorized to make the loan. |
"Health care professional" means a physician, physician |
assistant, advanced practice registered nurse, nurse, |
chiropractic physician, podiatric physician podiatrist , |
physical therapist, physical therapist assistant, occupational |
therapist, speech therapist, behavioral health provider, |
|
psychiatrist, psychologist, pharmacist, dentist, medical |
assistant, dental assistant, or dental hygienist. |
"Health professional shortage area" or "HPSA" means a |
designation from the U.S. Department of Health and Human |
Services that indicates the shortage of primary medical care |
or dental or mental health providers. The designation may be |
geographic, such as a county or service area; demographic, |
such as low-income population; or institutional, such as a |
comprehensive health center, FQHC, or other public facility. |
"Lender" means the commercial or government entity that |
makes a qualifying loan. |
"Loan repayment award" or "award" means the amount of |
funding awarded to a recipient based upon his or her |
reasonable educational expenses, up to a maximum established |
by the program. |
"Loan repayment agreement" or "agreement" means the |
written instrument defining a legal relationship entered into |
between the Department and a recipient. |
"Medical assistant" means a person who serves as a member |
of a medical care team working directly with other providers |
to perform duties that include, but are not limited to, |
gathering patient information, taking vital signs, preparing |
patients for examinations, and assisting physicians during |
examinations. |
"Medical facility" means a facility in which the delivery |
of health services is provided. A medical facility must be a |
|
nonprofit or public facility located in Illinois and includes |
the following: |
(1) A Federally Qualified Health Center. |
(2) An FQHC Look-Alike. |
(3) A hospital system operated by a county with more |
than 3,000,000 residents. |
"Medically underserved area" or "MUA" means an area |
designated by the U.S. Department of Health and Human |
Services' Health Resources and Services Administration as |
having too few primary care providers, high infant mortality, |
high poverty, or a high elderly population. |
"Nurse" means a person who is licensed as a licensed |
practical nurse or as a registered nurse under the Nurse |
Practice Act. |
"Osteopathic medicine" means medical practice based upon |
the theory that diseases are due to loss of structural |
integrity, which can be restored by manipulation of the parts |
and supplemented by therapeutic measures. |
"Physical therapist" means an individual licensed as a |
physical therapist under the Illinois Physical Therapy Act. |
"Physical therapist assistant" means an individual |
licensed as a physical therapist assistant under the Illinois |
Physical Therapy Act.
|
"Physician" means a person licensed to practice medicine |
in all of its branches under the Medical Practice Act of 1987. |
"Physician assistant" means an individual licensed under |
|
the Physician Assistant Practice Act of 1987. |
"Primary care" means health care that encompasses |
prevention services, basic diagnostic and treatment services, |
and support services, including laboratory, radiology, |
transportation, and pharmacy services. |
"Psychiatrist" means a physician licensed to practice |
medicine in Illinois under the Medical Practice Act of 1987 |
who has successfully completed an accredited residency program |
in psychiatry. |
"Qualifying loan" means a government loan or commercial |
loan used for tuition and reasonable educational and living |
expenses related to undergraduate or graduate education that |
was obtained by the recipient prior to his or her application |
for loan repayment and that is contemporaneous with the |
education received. |
"Reasonable educational expenses" means costs for |
education, exclusive of tuition. These costs include, but are |
not limited to, fees, books, supplies, clinical travel, |
educational equipment, materials, board certification, or |
licensing examinations. "Reasonable educational expenses" do |
not exceed the estimated standard budget for expenses for the |
degree program and for the years of enrollment. |
"Reasonable living expenses" means room and board, |
transportation, and commuting costs associated with the |
applicant's attendance and participation in an educational and |
workforce training program. "Reasonable living expenses" do |
|
not exceed the estimated standard budget for the recipient's |
degree program and for the years of enrollment. |
"Recognized training entity" means an entity approved by |
the Department to provide training and education for medical |
assistants and dental assistants. |
"Recipient" means a health care professional or medical |
facility that may use loan repayment funds. |
"Rural" has the same meaning that is used by the federal |
Health Resources and Services Administration to determine |
eligibility for Rural Health Grants. |
"State" means the State of Illinois.
|
(Source: P.A. 102-942, eff. 1-1-23; revised 2-5-23.)
|
Section 380. The Higher Education Student Assistance Act |
is amended by changing Section 52 as follows:
|
(110 ILCS 947/52)
|
Sec. 52. Golden Apple Scholars of Illinois Program; Golden |
Apple Foundation for Excellence in Teaching.
|
(a) In this Section, "Foundation" means the Golden Apple |
Foundation for Excellence in Teaching, a registered 501(c)(3) |
not-for-profit corporation. |
(a-2) In order to encourage academically talented Illinois |
students,
especially minority students, to pursue teaching |
careers, especially in
teacher shortage
disciplines
(which |
shall be defined to include early childhood education) or at
|
|
hard-to-staff schools (as defined by the Commission in |
consultation with the
State Board of Education), to provide |
those students with the crucial mentoring, guidance, and |
in-service support that will significantly increase the |
likelihood that they will complete their full teaching |
commitments and elect to continue teaching in targeted |
disciplines and hard-to-staff schools, and to ensure that |
students in this State will continue to have access to a pool |
of highly-qualified teachers, each qualified student shall be |
awarded a Golden Apple Scholars of Illinois Program |
scholarship to any Illinois institution of higher learning. |
The Commission shall administer the Golden Apple Scholars of |
Illinois Program, which shall be managed by the Foundation |
pursuant to the terms of a grant agreement meeting the |
requirements of Section 4 of the Illinois Grant Funds Recovery |
Act. |
(a-3) For purposes of this Section, a qualified student |
shall be a student who meets the following qualifications: |
(1) is a resident of this State and a citizen or |
eligible noncitizen of the United States; |
(2) is a high school graduate or a person who has |
received a State of Illinois High School Diploma; |
(3) is enrolled or accepted, on at least a half-time |
basis, at an institution of higher learning; |
(4) is pursuing a postsecondary course of study |
leading to initial certification or pursuing additional |
|
course work needed to gain State Board of Education |
approval to teach, including alternative teacher |
licensure; and |
(5) is a participant in programs managed by and is |
approved to receive a scholarship from the Foundation. |
(a-5) (Blank).
|
(b) (Blank).
|
(b-5) Funds designated for the Golden Apple Scholars of |
Illinois Program shall be used by the Commission for the |
payment of scholarship assistance under this Section or for |
the award of grant funds, subject to the Illinois Grant Funds |
Recovery Act, to the Foundation. Subject to appropriation, |
awards of grant funds to the Foundation shall be made on an |
annual basis and following an application for grant funds by |
the Foundation. |
(b-10) Each year, the Foundation shall include in its |
application to the Commission for grant funds an estimate of |
the amount of scholarship assistance to be provided to |
qualified students during the grant period. Any amount of |
appropriated funds exceeding the estimated amount of |
scholarship assistance may be awarded by the Commission to the |
Foundation for management expenses expected to be incurred by |
the Foundation in providing the mentoring, guidance, and |
in-service supports that will increase the likelihood that |
qualified students will complete their teaching commitments |
and elect to continue teaching in hard-to-staff schools. If |
|
the estimate of the amount of scholarship assistance described |
in the Foundation's application is less than the actual amount |
required for the award of scholarship assistance to qualified |
students, the Foundation shall be responsible for using |
awarded grant funds to ensure all qualified students receive |
scholarship assistance under this Section. |
(b-15) All grant funds not expended or legally obligated |
within the time specified in a grant agreement between the |
Foundation and the Commission shall be returned to the |
Commission within 45 days. Any funds legally obligated by the |
end of a grant agreement shall be liquidated within 45 days or |
otherwise returned to the Commission within 90 days after the |
end of the grant agreement that resulted in the award of grant |
funds. |
(c) Each scholarship awarded under this Section shall be |
in an amount
sufficient to pay the tuition and fees and room |
and board costs of the Illinois
institution of higher learning |
at which the recipient is enrolled, up to
an annual maximum of |
$5,000; except that , in the case of a
recipient who
does not
|
reside on campus
on-campus at the institution of higher |
learning at which he or she is enrolled,
the amount of the |
scholarship shall be sufficient to pay tuition and fee
|
expenses and a commuter allowance, up to an annual maximum of |
$5,000. All scholarship funds distributed in accordance with |
this Section shall be paid to the institution on behalf of |
recipients.
|
|
(d) The total amount of scholarship assistance awarded by |
the Commission
under this Section to an individual in any |
given fiscal year, when added to
other financial assistance |
awarded to that individual for that year, shall not
exceed the |
cost of attendance at the institution of higher learning at |
which
the student is enrolled. In any academic year for which a |
qualified student under this Section accepts financial |
assistance through any other teacher scholarship program |
administered by the Commission, a qualified student shall not |
be eligible for scholarship assistance awarded under this |
Section.
|
(e) A recipient may receive up to 8 semesters or 12
|
quarters of scholarship
assistance under this Section. |
Scholarship funds are applicable toward 2 semesters or 3 |
quarters of enrollment each academic year.
|
(f) All applications for scholarship assistance to be |
awarded under this
Section shall be made to the Foundation in a |
form determined by the Foundation. Each year, the Foundation |
shall notify the Commission of the individuals awarded |
scholarship assistance under this Section. Each year, at least |
30% of the Golden Apple Scholars of Illinois Program |
scholarships shall be awarded to students residing in counties |
having a population of less than 500,000.
|
(g) (Blank).
|
(h) The Commission shall administer the payment of
|
scholarship assistance provided through the Golden Apple |
|
Scholars of Illinois Program and shall make all necessary
and
|
proper rules not inconsistent with this Section for the |
effective
implementation of this Section.
|
(i) Prior to receiving scholarship assistance for any |
academic year, each
recipient of a scholarship awarded under |
this
Section shall be required by the Foundation to sign an |
agreement under which
the
recipient pledges that, within the |
2-year period following the
termination
of the academic |
program for which the recipient was awarded a scholarship, the
|
recipient: (i) shall begin teaching for a period of not
less |
than 5 years, (ii) shall fulfill this teaching obligation at a |
nonprofit
Illinois public,
private, or parochial
preschool or |
an Illinois public elementary or secondary school that |
qualifies for teacher loan cancellation under Section |
465(a)(2)(A) of the federal Higher Education Act of 1965 (20 |
U.S.C. 1087ee(a)(2)(A)) or other Illinois schools deemed |
eligible for fulfilling the teaching commitment as designated |
by the Foundation, and (iii)
shall, upon request of
the |
Foundation, provide the Foundation with evidence that he or |
she is fulfilling
or has fulfilled the terms of the teaching |
agreement provided for in this
subsection. Upon request, the |
Foundation shall provide evidence of teacher fulfillment to |
the Commission.
|
(j) If a recipient of a scholarship awarded under this |
Section fails to
fulfill the teaching obligation set forth in |
subsection (i) of this Section,
the Commission shall require |
|
the recipient to repay the amount of the
scholarships |
received, prorated according to the fraction of the teaching
|
obligation not completed, plus interest at a rate of 5% and , if |
applicable, reasonable
collection fees.
Payments received by |
the Commission under this subsection (j)
shall be remitted to |
the State Comptroller for deposit into
the General Revenue |
Fund, except that that portion of a
recipient's repayment that |
equals the amount in expenses that
the Commission has |
reasonably incurred in attempting
collection from that |
recipient shall be remitted to the State
Comptroller for |
deposit into the ISAC Accounts
Receivable Fund, a special fund |
in the State treasury. |
(k) A recipient of a scholarship awarded by the Foundation |
under this
Section shall not be considered to have failed to |
fulfill the teaching obligations of the agreement entered into |
pursuant to
subsection (i) if the recipient (i) enrolls on a |
full-time basis as a graduate
student in a course of study |
related to the field of teaching at an institution
of higher |
learning; (ii) is serving as a member of the armed services of |
the
United States; (iii) is a person with a temporary total |
disability, as established by sworn
affidavit of a qualified |
physician; (iv) is seeking and unable to find
full-time |
employment as a teacher at a school that satisfies the |
criteria set
forth
in subsection (i) and is able to provide |
evidence of that fact; (v) is taking additional courses, on at |
least a half-time basis, needed to obtain certification as a |
|
teacher in Illinois; (vi) is fulfilling teaching requirements |
associated with other programs administered by the Commission |
and cannot concurrently fulfill them under this Section in a |
period of time equal to the length of the teaching obligation; |
or (vii) is participating in a program established under |
Executive Order 10924 of the President of the United States or |
the federal National Community Service Act of 1990 (42 U.S.C. |
12501 et seq.). Any such
extension of the period during which |
the teaching requirement must be fulfilled
shall be subject to |
limitations of duration as established by the Commission.
|
(l) A recipient who fails to fulfill the teaching |
obligations of the agreement entered into pursuant to |
subsection (i) of this Section shall repay the amount of |
scholarship assistance awarded to them under this Section |
within 10 years. |
(m) Annually, at a time determined by the Commission in |
consultation with the Foundation, the Foundation shall submit |
a report to assist the Commission in monitoring the |
Foundation's performance of grant activities. The report shall |
describe the following: |
(1) the Foundation's anticipated expenditures for the |
next fiscal year; |
(2) the number of qualified students receiving |
scholarship assistance at each institution of higher |
learning where a qualified student was enrolled under this |
Section during the previous fiscal year; |
|
(3) the total monetary value of scholarship funds paid |
to each institution of higher learning at which a |
qualified student was enrolled during the previous fiscal |
year; |
(4) the number of scholarship recipients who completed |
a baccalaureate degree during the previous fiscal year; |
(5) the number of scholarship recipients who fulfilled |
their teaching obligation during the previous fiscal year; |
(6) the number of scholarship recipients who failed to |
fulfill their teaching obligation during the previous |
fiscal year; |
(7) the number of scholarship recipients granted an |
extension described in subsection (k) of this Section |
during the previous fiscal year; |
(8) the number of scholarship recipients required to |
repay scholarship assistance in accordance with subsection |
(j) of this Section during the previous fiscal year; |
(9) the number of scholarship recipients who |
successfully repaid scholarship assistance in full during |
the previous fiscal year; |
(10) the number of scholarship recipients who |
defaulted on their obligation to repay scholarship |
assistance during the previous fiscal year; |
(11) the amount of scholarship assistance subject to |
collection in accordance with subsection (j) of this |
Section at the end of the previous fiscal year; |
|
(12) the amount of collected funds to be remitted to |
the Comptroller in accordance with subsection (j) of this |
Section at the end of the previous fiscal year; and |
(13) other information that the Commission may |
reasonably request. |
(n) Nothing in this Section shall affect the rights of the |
Commission to collect moneys owed to it by recipients of |
scholarship assistance through the Illinois Future Teacher |
Corps Program, repealed by Public Act 98-533. |
(o) The Auditor General shall prepare an annual audit of |
the operations and finances of the Golden Apple Scholars of |
Illinois Program. This audit shall be provided to the |
Governor, General Assembly, and the Commission. |
(p) The suspension of grant making authority found in |
Section 4.2 of the Illinois Grant Funds Recovery Act shall not |
apply to grants made pursuant to this Section. |
(Source: P.A. 102-1071, eff. 6-10-22; 102-1100, eff. 1-1-23; |
revised 12-13-22.)
|
Section 385. The Nursing Education Scholarship Law is |
amended by changing Sections 5 and 6.5 as follows:
|
(110 ILCS 975/5) (from Ch. 144, par. 2755)
|
Sec. 5. Nursing education scholarships. Beginning with the |
fall term of the 2004-2005
academic year, the
Department, in |
accordance with rules and regulations promulgated by it for |
|
this
program, shall provide scholarships to individuals |
selected
from among those applicants who qualify for |
consideration by showing:
|
(1) that he or she has been a resident of this State |
for at least one
year prior to application , and is a |
citizen or a lawful permanent resident
of the United |
States;
|
(2) that he or she is enrolled in or accepted for |
admission to an associate degree in
nursing program, |
hospital-based
diploma in nursing program, baccalaureate |
degree
in nursing program, graduate degree in nursing |
program, or practical nursing program at an approved
|
institution; and
|
(3) that he or she agrees to meet the nursing |
employment obligation.
|
If in any year the number of qualified applicants exceeds |
the number of
scholarships to be awarded, the Department |
shall, in consultation with the Illinois Nursing Workforce |
Center Advisory Board, consider the following factors in |
granting priority in awarding
scholarships: |
(A) Financial need, as shown on a
standardized |
financial needs assessment form used by an approved
|
institution, of students who will pursue their education |
on a full-time or close to
full-time
basis and who already |
have a certificate in practical nursing, a diploma
in |
nursing, or an associate degree in nursing and are |
|
pursuing a higher
degree.
|
(B) A student's status as a registered nurse who is |
pursuing a graduate degree in nursing to pursue employment |
in an approved institution that educates licensed |
practical nurses and that educates registered nurses in |
undergraduate and graduate nursing programs.
|
(C) A student's merit, as shown through his or her |
grade point average, class rank, and other academic and |
extracurricular activities. The Department may add to and |
further define these merit criteria by rule.
|
Unless otherwise indicated, scholarships shall be awarded |
to
recipients at approved institutions for a period
of up to 2 |
years if the recipient is enrolled in an
associate degree in
|
nursing
program, up to 3 years if the recipient is enrolled in |
a hospital-based
diploma in nursing program, up to 4 years if |
the recipient is enrolled in a
baccalaureate degree in nursing |
program, up to 5 years if the recipient is enrolled in a |
graduate degree in nursing program, and up to one year if the
|
recipient is enrolled in a certificate in practical nursing |
program. At least
40% of the scholarships awarded shall be for |
recipients who are
pursuing baccalaureate degrees in nursing, |
30% of the scholarships
awarded shall be for recipients who |
are pursuing associate degrees in
nursing
or a diploma in |
nursing, 10% of the scholarships awarded
shall be for |
recipients who are pursuing a certificate in practical |
nursing, and 20% of the scholarships awarded shall be for |
|
recipients who are pursuing a graduate degree in nursing.
|
During the 2021-2022 academic year, subject to |
appropriation from the Hospital Licensure Fund, in addition to |
any other funds available to the Department for such |
scholarships, the Department may award a total of $500,000 in |
scholarships under this Section. |
(Source: P.A. 102-641, eff. 8-27-21; 102-699, eff. 4-19-22; |
102-1030, eff. 5-27-22; revised 8-12-22.)
|
(110 ILCS 975/6.5)
|
Sec. 6.5. Nurse educator scholarships. |
(a) Beginning with the fall term of the 2009-2010 academic |
year, the Department shall provide scholarships to individuals |
selected from among those applicants who qualify for |
consideration by showing the following: |
(1) that he or she has been a resident of this State |
for at least one year prior to application and is a citizen |
or a lawful permanent resident of the United States; |
(2) that he or she is enrolled in or accepted for |
admission to a graduate degree in nursing program at an |
approved institution; and |
(3) that he or she agrees to meet the nurse educator |
employment obligation. |
(b) If in any year the number of qualified applicants |
exceeds the number of scholarships to be awarded under this |
Section, the Department shall, in consultation with the |
|
Illinois Nursing Workforce Center Advisory Board, consider the |
following factors in granting priority in awarding |
scholarships: |
(1) Financial need, as shown on a standardized |
financial needs assessment form used by an approved |
institution, of students who will pursue their education |
on a full-time or close to full-time basis and who already |
have a diploma in nursing and are pursuing a higher |
degree. |
(2) A student's status as a registered nurse who is |
pursuing a graduate degree in nursing to pursue employment |
in an approved institution that educates licensed |
practical nurses and that educates registered nurses in |
undergraduate and graduate nursing programs. |
(3) A student's merit, as shown through his or her |
grade point average, class rank, experience as a nurse, |
including supervisory experience, experience as a nurse in |
the United States military, and other academic and |
extracurricular activities. |
(c) Unless otherwise indicated, scholarships under this |
Section shall be awarded to recipients at approved |
institutions for a period of up to 3 years. |
(d) Within 12 months after graduation from a graduate |
degree in nursing program for nurse educators, any recipient |
who accepted a scholarship under this Section shall begin |
meeting the required nurse educator employment obligation. In |
|
order to defer his or her continuous employment obligation, a |
recipient must request the deferment in writing from the |
Department. A recipient shall receive a deferment if he or she |
notifies the Department, within 30 days after enlisting, that |
he or she is spending up to 4 years in military service. A |
recipient shall receive a deferment if he or she notifies the |
Department, within 30 days after enrolling, that he or she is |
enrolled in an academic program leading to a graduate degree |
in nursing. The recipient must begin meeting the required |
nurse educator employment obligation no later than 6 months |
after the end of the deferment or deferments. |
Any person who fails to fulfill the nurse educator |
employment obligation shall pay to the Department an amount |
equal to the amount of scholarship funds received per year for |
each unfulfilled year of the nurse educator employment |
obligation, together with interest at 7% per year on the |
unpaid balance. Payment must begin within 6 months following |
the date of the occurrence initiating the repayment. All |
repayments must be completed within 6 years from the date of |
the occurrence initiating the repayment. However, this |
repayment obligation may be deferred and re-evaluated every 6 |
months when the failure to fulfill the nurse educator |
employment obligation results from involuntarily leaving the |
profession due to a decrease in the number of nurses employed |
in this State or when the failure to fulfill the nurse educator |
employment obligation results from total and permanent |
|
disability. The repayment obligation shall be excused if the |
failure to fulfill the nurse educator employment obligation |
results from the death or adjudication as incompetent of the |
person holding the scholarship. No claim for repayment may be |
filed against the estate of such a decedent or incompetent. |
The Department may allow a nurse educator employment |
obligation fulfillment alternative if the nurse educator |
scholarship recipient is unsuccessful in finding work as a |
nurse educator. The Department shall maintain a database of |
all available nurse educator positions in this State. |
(e) Each person applying for a scholarship under this |
Section must be provided with a copy of this Section at the |
time of application for the benefits of this scholarship. |
(f) Rulemaking authority to implement this Act is |
conditioned on the rules being adopted in accordance with all |
provisions of the Illinois Administrative Procedure Act and |
all rules and procedures of the Joint Committee on |
Administrative Rules; any purported rule not so adopted, for |
whatever reason, is unauthorized.
|
(Source: P.A. 102-699, eff. 4-19-22; 102-1030, eff. 5-27-22; |
revised 8-12-22.)
|
Section 390. The Illinois Banking Act is amended by |
changing Section 48 as follows:
|
(205 ILCS 5/48)
|
|
Sec. 48. Secretary's powers; duties. The Secretary shall |
have the
powers and authority, and is charged with the duties |
and responsibilities
designated in this Act, and a State bank |
shall not be subject to any
other visitorial power other than |
as authorized by this Act, except those
vested in the courts, |
or upon prior consultation with the Secretary, a
foreign bank |
regulator with an appropriate supervisory interest in the |
parent
or affiliate of a State state bank. In the performance |
of the Secretary's
duties:
|
(1) The Commissioner shall call for statements from |
all State banks
as provided in Section 47 at least one time |
during each calendar quarter.
|
(2) (a) The Commissioner, as often as the Commissioner |
shall deem
necessary or
proper, and no less frequently |
than 18 months following the preceding
examination, shall |
appoint a suitable person or
persons to make an |
examination of the affairs of every State bank,
except |
that for every eligible State bank, as defined by |
regulation, the
Commissioner in lieu of the examination |
may accept on an alternating basis the
examination made by |
the eligible State bank's appropriate federal banking
|
agency pursuant to Section 111 of the Federal Deposit |
Insurance Corporation
Improvement Act of 1991, provided |
the appropriate federal banking agency has
made such an |
examination. A person so appointed shall not be a |
stockholder or
officer or employee of
any bank which that |
|
person may be directed to examine, and shall have
powers |
to make a thorough examination into all the affairs of the |
bank and
in so doing to examine any of the officers or |
agents or employees thereof
on oath and shall make a full |
and detailed report of the condition of the
bank to the |
Commissioner. In making the examination the examiners |
shall
include an examination of the affairs of all the |
affiliates of the bank, as
defined in subsection (b) of |
Section 35.2 of this Act, or subsidiaries of the
bank as |
shall be
necessary to disclose fully the conditions of the |
subsidiaries or
affiliates, the relations
between the bank |
and the subsidiaries or affiliates and the effect of those
|
relations upon
the affairs of the bank, and in connection |
therewith shall have power to
examine any of the officers, |
directors, agents, or employees of the
subsidiaries or |
affiliates
on oath. After May 31, 1997, the Commissioner |
may enter into cooperative
agreements
with state |
regulatory authorities of other states to provide for |
examination of
State bank branches in those states, and |
the Commissioner may accept reports
of examinations of |
State bank branches from those state regulatory |
authorities.
These cooperative agreements may set forth |
the manner in which the other state
regulatory authorities |
may be compensated for examinations prepared for and
|
submitted to the Commissioner.
|
(b) After May 31, 1997, the Commissioner is authorized |
|
to examine, as often
as the Commissioner shall deem |
necessary or proper, branches of out-of-state
banks. The |
Commissioner may establish and may assess fees to be paid |
to the
Commissioner for examinations under this subsection |
(b). The fees shall be
borne by the out-of-state bank, |
unless the fees are borne by the state
regulatory |
authority that chartered the out-of-state bank, as |
determined by a
cooperative agreement between the |
Commissioner and the state regulatory
authority that |
chartered the out-of-state bank.
|
(2.1) Pursuant to paragraph (a) of subsection (6) of |
this Section, the Secretary shall adopt rules that ensure |
consistency and due process in the examination process. |
The Secretary may also establish guidelines that (i) |
define the scope of the examination process and (ii) |
clarify examination items to be resolved. The rules, |
formal guidance, interpretive letters, or opinions |
furnished to State banks by the Secretary may be relied |
upon by the State banks. |
(2.5) Whenever any State bank, any subsidiary or |
affiliate of a State
bank, or after May 31, 1997, any |
branch of an out-of-state bank causes to
be performed, by |
contract or otherwise, any bank services
for itself, |
whether on or off its premises:
|
(a) that performance shall be subject to |
examination by the Commissioner
to the same extent as |
|
if services were being performed by the bank or, after
|
May 31, 1997, branch of the out-of-state bank itself
|
on its own premises; and
|
(b) the bank or, after May 31, 1997, branch of the |
out-of-state bank
shall notify the Commissioner of the |
existence of a service
relationship. The notification |
shall be submitted with the first statement
of |
condition (as required by Section 47 of this Act) due |
after the making
of the service contract or the |
performance of the service, whichever occurs
first. |
The Commissioner shall be notified of each subsequent |
contract in
the same manner.
|
For purposes of this subsection (2.5), the term "bank |
services" means
services such as sorting and posting of |
checks and deposits, computation
and posting of interest |
and other credits and charges, preparation and
mailing of |
checks, statements, notices, and similar items, or any |
other
clerical, bookkeeping, accounting, statistical, or |
similar functions
performed for a State bank, including, |
but not limited to, electronic data
processing related to |
those bank services.
|
(3) The expense of administering this Act, including |
the expense of
the examinations of State banks as provided |
in this Act, shall to the extent
of the amounts resulting |
from the fees provided for in paragraphs (a),
(a-2), and |
(b) of this subsection (3) be assessed against and borne |
|
by the
State banks:
|
(a) Each bank shall pay to the Secretary a Call |
Report Fee which
shall be paid in quarterly |
installments equal
to one-fourth of the sum of the |
annual fixed fee of $800, plus a variable
fee based on |
the assets shown on the quarterly statement of |
condition
delivered to the Secretary in accordance |
with Section 47 for the
preceding quarter according to |
the following schedule: 16¢ per $1,000 of
the first |
$5,000,000 of total assets, 15¢ per $1,000 of the next
|
$20,000,000 of total assets, 13¢ per $1,000 of the |
next $75,000,000 of
total assets, 9¢ per $1,000 of the |
next $400,000,000 of total assets, 7¢
per $1,000 of |
the next $500,000,000 of total assets, and 5¢ per |
$1,000 of
all assets in excess of $1,000,000,000, of |
the State bank. The Call Report
Fee shall be |
calculated by the Secretary and billed to the banks |
for
remittance at the time of the quarterly statements |
of condition
provided for in Section 47. The Secretary |
may require payment of the fees
provided in this |
Section by an electronic transfer of funds or an |
automatic
debit of an account of each of the State |
banks. In case more than one
examination of any
bank is |
deemed by the Secretary to be necessary in any |
examination
frequency cycle specified in subsection |
2(a) of this Section,
and is performed at his |
|
direction, the Secretary may
assess a reasonable |
additional fee to recover the cost of the additional
|
examination.
In lieu
of the method and amounts set |
forth in this paragraph (a) for the calculation
of the |
Call Report Fee, the Secretary may specify by
rule |
that the Call Report Fees provided by this Section may |
be assessed
semiannually or some other period and may |
provide in the rule the formula to
be
used for |
calculating and assessing the periodic Call Report |
Fees to be paid by
State
banks.
|
(a-1) If in the opinion of the Commissioner an |
emergency exists or
appears likely, the Commissioner |
may assign an examiner or examiners to
monitor the |
affairs of a State bank with whatever frequency he |
deems
appropriate, including, but not limited to, a |
daily basis. The reasonable
and necessary expenses of |
the Commissioner during the period of the monitoring
|
shall be borne by the subject bank. The Commissioner |
shall furnish the
State bank a statement of time and |
expenses if requested to do so within 30
days of the |
conclusion of the monitoring period.
|
(a-2) On and after January 1, 1990, the reasonable |
and necessary
expenses of the Commissioner during |
examination of the performance of
electronic data |
processing services under subsection (2.5) shall be
|
borne by the banks for which the services are |
|
provided. An amount, based
upon a fee structure |
prescribed by the Commissioner, shall be paid by the
|
banks or, after May 31, 1997, branches of out-of-state |
banks receiving the
electronic data processing |
services along with the
Call Report Fee assessed under |
paragraph (a) of this
subsection (3).
|
(a-3) After May 31, 1997, the reasonable and |
necessary expenses of the
Commissioner during |
examination of the performance of electronic data
|
processing services under subsection (2.5) at or on |
behalf of branches of
out-of-state banks shall be |
borne by the out-of-state banks, unless those
expenses |
are borne by the state regulatory authorities that |
chartered the
out-of-state banks, as determined by |
cooperative agreements between the
Commissioner and |
the state regulatory authorities that chartered the
|
out-of-state banks.
|
(b) "Fiscal year" for purposes of this Section 48 |
is defined as a
period beginning July 1 of any year and |
ending June 30 of the next year.
The Commissioner |
shall receive for each fiscal year, commencing with |
the
fiscal year ending June 30, 1987, a contingent fee |
equal to the lesser of
the aggregate of the fees paid |
by all State banks under paragraph (a) of
subsection |
(3) for that year, or the amount, if any, whereby the |
aggregate
of the administration expenses, as defined |
|
in paragraph (c), for that
fiscal year exceeds the sum |
of the aggregate of the fees payable by all
State banks |
for that year under paragraph (a) of subsection (3),
|
plus any amounts transferred into the Bank and Trust |
Company Fund from the
State Pensions Fund for that |
year,
plus all
other amounts collected by the |
Commissioner for that year under any
other provision |
of this Act, plus the aggregate of all fees
collected |
for that year by the Commissioner under the Corporate |
Fiduciary
Act, excluding the receivership fees |
provided for in Section 5-10 of the
Corporate |
Fiduciary Act, and the Foreign Banking Office Act.
The |
aggregate amount of the contingent
fee thus arrived at |
for any fiscal year shall be apportioned among |
amongst ,
assessed upon, and paid by the State banks |
and foreign banking corporations,
respectively, in the |
same proportion
that the fee of each under paragraph |
(a) of subsection (3), respectively,
for that year |
bears to the aggregate for that year of the fees |
collected
under paragraph (a) of subsection (3). The |
aggregate amount of the
contingent fee, and the |
portion thereof to be assessed upon each State
bank |
and foreign banking corporation,
respectively, shall |
be determined by the Commissioner and shall be paid by
|
each, respectively, within 120 days of the close of |
the period for which
the contingent fee is computed |
|
and is payable, and the Commissioner shall
give 20 |
days' advance notice of the amount of the contingent |
fee payable by
the State bank and of the date fixed by |
the Commissioner for payment of
the fee.
|
(c) The "administration expenses" for any fiscal |
year shall mean the
ordinary and contingent expenses |
for that year incident to making the
examinations |
provided for by, and for otherwise administering, this |
Act,
the Corporate Fiduciary Act, excluding the |
expenses paid from the
Corporate Fiduciary |
Receivership account in the Bank and Trust Company
|
Fund, the Foreign Banking Office Act,
the Electronic |
Fund Transfer Act,
and the Illinois Bank Examiners'
|
Education Foundation Act, including all salaries and |
other
compensation paid for personal services rendered |
for the State by
officers or employees of the State, |
including the Commissioner and the
Deputy |
Commissioners, communication equipment and services, |
office furnishings, surety bond
premiums, and travel |
expenses of those officers and employees, employees,
|
expenditures or charges for the acquisition, |
enlargement or improvement
of, or for the use of, any |
office space, building, or structure, or
expenditures |
for the maintenance thereof or for furnishing heat, |
light,
or power with respect thereto, all to the |
extent that those expenditures
are directly incidental |
|
to such examinations or administration.
The |
Commissioner shall not be required by paragraph |
paragraphs (c) or (d-1) of this
subsection (3) to |
maintain in any fiscal year's budget appropriated |
reserves
for accrued vacation and accrued sick leave |
that is required to be paid to
employees of the |
Commissioner upon termination of their service with |
the
Commissioner in an amount that is more than is |
reasonably anticipated to be
necessary for any |
anticipated turnover in employees, whether due to |
normal
attrition or due to layoffs, terminations, or |
resignations.
|
(d) The aggregate of all fees collected by the |
Secretary under
this Act, the Corporate Fiduciary Act,
|
or the Foreign Banking Office Act on
and after July 1, |
1979, shall be paid promptly after receipt of the |
same,
accompanied by a detailed statement thereof, |
into the State treasury and
shall be set apart in a |
special fund to be known as the " Bank and Trust
Company |
Fund " , except as provided in paragraph (c) of |
subsection (11) of
this Section. All earnings received |
from investments of funds in the Bank
and
Trust |
Company Fund shall be deposited into in the Bank and |
Trust Company Fund
and may be used for the same |
purposes as fees deposited into in that Fund. The
|
amount from time to time deposited into the Bank and
|
|
Trust Company Fund shall be used: (i) to offset the |
ordinary administrative
expenses of the Secretary as |
defined in
this Section or (ii) as a credit against |
fees under paragraph (d-1) of this subsection (3). |
Nothing in Public Act 81-131 shall prevent
continuing |
the practice of paying expenses involving salaries, |
retirement,
social security, and State-paid insurance |
premiums of State officers by
appropriations from the |
General Revenue Fund. However, the General Revenue
|
Fund shall be reimbursed for those payments made on |
and after July 1, 1979,
by an annual transfer of funds |
from the Bank and Trust Company Fund. Moneys in the |
Bank and Trust Company Fund may be transferred to the |
Professions Indirect Cost Fund, as authorized under |
Section 2105-300 of the Department of Professional |
Regulation Law of the Civil Administrative Code of |
Illinois.
|
Notwithstanding provisions in the State Finance |
Act, as now or hereafter amended, or any other law to |
the contrary, the Governor may, during any fiscal year |
through January 10, 2011, from time to time direct the |
State Treasurer and Comptroller to transfer a |
specified sum not exceeding 10% of the revenues to be |
deposited into the Bank and Trust Company Fund during |
that fiscal year from that Fund to the General Revenue |
Fund in order to help defray the State's operating |
|
costs for the fiscal year. Notwithstanding provisions |
in the State Finance Act, as now or hereafter amended, |
or any other law to the contrary, the total sum |
transferred during any fiscal year through January 10, |
2011, from the Bank and Trust Company Fund to the |
General Revenue Fund pursuant to this provision shall |
not exceed during any fiscal year 10% of the revenues |
to be deposited into the Bank and Trust Company Fund |
during that fiscal year. The State Treasurer and |
Comptroller shall transfer the amounts designated |
under this Section as soon as may be practicable after |
receiving the direction to transfer from the Governor.
|
(d-1) Adequate funds shall be available in the |
Bank and Trust
Company Fund to permit the timely |
payment of administration expenses. In
each fiscal |
year the total administration expenses shall be |
deducted from
the total fees collected by the |
Commissioner and the remainder transferred
into the |
Cash Flow Reserve Account, unless the balance of the |
Cash Flow
Reserve Account prior to the transfer equals |
or exceeds
one-fourth of the total initial |
appropriations from the Bank and Trust
Company Fund |
for the subsequent year, in which case the remainder |
shall be
credited to State banks and foreign banking |
corporations
and applied against their fees for the |
subsequent
year. The amount credited to each State |
|
bank and foreign banking corporation
shall be in the |
same proportion as the
Call Report Fees paid by each |
for the year bear to the total Call Report
Fees |
collected for the year. If, after a transfer to the |
Cash Flow Reserve
Account is made or if no remainder is |
available for transfer, the balance
of the Cash Flow |
Reserve Account is less than one-fourth of the total
|
initial appropriations for the subsequent year and the |
amount transferred
is less than 5% of the total Call |
Report Fees for the year, additional
amounts needed to |
make the transfer equal to 5% of the total Call Report
|
Fees for the year shall be apportioned among amongst , |
assessed upon, and
paid by the State banks and foreign |
banking corporations
in the same proportion that the |
Call Report Fees of each,
respectively, for the year |
bear to the total Call Report Fees collected for
the |
year. The additional amounts assessed shall be |
transferred into the
Cash Flow Reserve Account. For |
purposes of this paragraph (d-1), the
calculation of |
the fees collected by the Commissioner shall exclude |
the
receivership fees provided for in Section 5-10 of |
the Corporate Fiduciary Act.
|
(e) The Commissioner may upon request certify to |
any public record
in his keeping and shall have |
authority to levy a reasonable charge for
issuing |
certifications of any public record in his keeping.
|
|
(f) In addition to fees authorized elsewhere in |
this Act, the
Commissioner
may, in connection with a |
review, approval, or provision of a service, levy a
|
reasonable charge to recover the cost of the review, |
approval, or service.
|
(4) Nothing contained in this Act shall be construed |
to limit the
obligation relative to examinations and |
reports of any State bank, deposits
in which are to any |
extent insured by the United States or any agency
thereof, |
nor to limit in any way the powers of the Commissioner with
|
reference to examinations and reports of that bank.
|
(5) The nature and condition of the assets in or |
investment of any
bonus, pension, or profit sharing plan |
for officers or employees of every
State bank or, after |
May 31, 1997, branch of an out-of-state bank shall be
|
deemed to be included in the affairs of that State
bank or |
branch of an out-of-state bank subject to examination by |
the
Commissioner under the
provisions of subsection (2) of |
this Section, and if the Commissioner
shall find from an |
examination that the condition of or operation
of the |
investments or assets of the plan is unlawful, fraudulent, |
or
unsafe, or that any trustee has abused his trust, the |
Commissioner
shall, if the situation so found by the |
Commissioner shall not be
corrected to his satisfaction |
within 60 days after the Commissioner has
given notice to |
the board of directors of the State bank or out-of-state
|
|
bank of his
findings, report the facts to the Attorney |
General who shall thereupon
institute proceedings against |
the State bank or out-of-state bank, the
board of |
directors
thereof, or the trustees under such plan as the |
nature of the case may require.
|
(6) The Commissioner shall have the power:
|
(a) To promulgate reasonable rules for the purpose |
of
administering the provisions of this Act.
|
(a-5) To impose conditions on any approval issued |
by the Commissioner
if he determines that the |
conditions are necessary or appropriate. These
|
conditions shall be imposed in writing and shall |
continue
in effect for the period prescribed by the |
Commissioner.
|
(b) To issue orders
against any person, if the |
Commissioner has
reasonable cause to believe that an |
unsafe or unsound banking practice
has occurred, is |
occurring, or is about to occur, if any person has |
violated,
is violating, or is about to violate any |
law, rule, or written
agreement with the Commissioner, |
or
for the purpose of administering the provisions of
|
this Act and any rule promulgated in accordance with |
this Act.
|
(b-1) To enter into agreements with a bank |
establishing a program to
correct the condition of the |
bank or its practices.
|
|
(c) To appoint hearing officers to execute any of |
the powers granted to
the Commissioner under this |
Section for the purpose of administering this
Act and |
any rule promulgated in accordance with this Act
and |
otherwise to authorize, in writing, an officer or |
employee of the Office
of
Banks and Real Estate to |
exercise his powers under this Act.
|
(d) To subpoena witnesses, to compel their |
attendance, to administer
an oath, to examine any |
person under oath, and to require the production of
|
any relevant books, papers, accounts, and documents in |
the course of and
pursuant to any investigation being |
conducted, or any action being taken,
by the |
Commissioner in respect of any matter relating to the |
duties imposed
upon, or the powers vested in, the |
Commissioner under the provisions of
this Act or any |
rule promulgated in accordance with this Act.
|
(e) To conduct hearings.
|
(7) Whenever, in the opinion of the Secretary, any |
director,
officer, employee, or agent of a State bank
or |
any subsidiary or bank holding company of the bank
or, |
after May 31, 1997, of any
branch of an out-of-state bank
|
or any subsidiary or bank holding company of the bank
|
shall have violated any law,
rule, or order relating to |
that bank
or any subsidiary or bank holding company of the |
bank, shall have
obstructed or impeded any examination or |
|
investigation by the Secretary, shall have engaged in an |
unsafe or
unsound practice in conducting the business of |
that bank
or any subsidiary or bank holding company of the |
bank,
or shall have
violated any law or engaged or |
participated in any unsafe or unsound practice
in |
connection with any financial institution or other |
business entity such that
the character and fitness of the |
director, officer, employee, or agent does not
assure |
reasonable promise of safe and sound operation of the |
State bank, the
Secretary
may issue an order of removal.
|
If, in the opinion of the Secretary, any former director, |
officer,
employee,
or agent of a State bank
or any |
subsidiary or bank holding company of the bank, prior to |
the
termination of his or her service with
that bank
or any |
subsidiary or bank holding company of the bank, violated |
any law,
rule, or order relating to that
State bank
or any |
subsidiary or bank holding company of the bank, obstructed |
or impeded
any examination or investigation by the |
Secretary, engaged in an unsafe or unsound practice in |
conducting the
business of that bank
or any subsidiary or |
bank holding company of the bank,
or violated any law or |
engaged or participated in any
unsafe or unsound practice |
in connection with any financial institution or
other |
business entity such that the character and fitness of the |
director,
officer, employee, or agent would not have |
assured reasonable promise of safe
and sound operation of |
|
the State bank, the Secretary may issue an order
|
prohibiting that person from
further
service with a bank
|
or any subsidiary or bank holding company of the bank
as a |
director, officer, employee, or agent. An order
issued |
pursuant to this subsection shall be served upon the
|
director,
officer, employee, or agent. A copy of the order |
shall be sent to each
director of the bank affected by |
registered mail. A copy of
the order shall also be served |
upon the bank of which he is a director,
officer, |
employee, or agent, whereupon he shall cease to be a |
director,
officer, employee, or agent of that bank. The |
Secretary may
institute a civil action against the |
director, officer, or agent of the
State bank or, after |
May 31, 1997, of the branch of the out-of-state bank
|
against whom any order provided for by this subsection (7) |
of
this Section 48 has been issued, and against the State |
bank or, after May 31,
1997, out-of-state bank, to enforce
|
compliance with or to enjoin any violation of the terms of |
the order.
Any person who has been the subject of an order |
of removal
or
an order of prohibition issued by the |
Secretary under
this subsection or Section 5-6 of the |
Corporate Fiduciary Act may not
thereafter serve as |
director, officer, employee, or agent of any State bank
or |
of any branch of any out-of-state bank,
or of any |
corporate fiduciary, as defined in Section 1-5.05 of the
|
Corporate
Fiduciary Act, or of any other entity that is |
|
subject to licensure or
regulation by the Division of |
Banking unless
the Secretary has granted prior approval in |
writing.
|
For purposes of this paragraph (7), "bank holding |
company" has the
meaning prescribed in Section 2 of the |
Illinois Bank Holding Company Act of
1957.
|
(7.5) Notwithstanding the provisions of this Section, |
the Secretary shall not: |
(1) issue an order against a State bank or any |
subsidiary organized under this Act for unsafe or |
unsound banking practices solely because the entity |
provides or has provided financial services to a |
cannabis-related legitimate business; |
(2) prohibit, penalize, or otherwise discourage a |
State bank or any subsidiary from providing financial |
services to a cannabis-related legitimate business |
solely because the entity provides or has provided |
financial services to a cannabis-related legitimate |
business; |
(3) recommend, incentivize, or encourage a State |
bank or any subsidiary not to offer financial services |
to an account holder or to downgrade or cancel the |
financial services offered to an account holder solely |
because: |
(A) the account holder is a manufacturer or |
producer, or is the owner, operator, or employee |
|
of a cannabis-related legitimate business; |
(B) the account holder later becomes an owner |
or operator of a cannabis-related legitimate |
business; or |
(C) the State bank or any subsidiary was not |
aware that the account holder is the owner or |
operator of a cannabis-related legitimate |
business; and |
(4) take any adverse or corrective supervisory |
action on a loan made to an owner or operator of: |
(A) a cannabis-related legitimate business |
solely because the owner or operator owns or |
operates a cannabis-related legitimate business; |
or |
(B) real estate or equipment that is leased to |
a cannabis-related legitimate business solely |
because the owner or operator of the real estate |
or equipment leased the equipment or real estate |
to a cannabis-related legitimate business. |
(8) The Commissioner may impose civil penalties of up |
to $100,000 against
any person for each violation of any |
provision of this Act, any rule
promulgated in accordance |
with this Act, any order of the Commissioner, or
any other |
action which in the Commissioner's discretion is an unsafe |
or
unsound banking practice.
|
(9) The Commissioner may impose civil penalties of up |
|
to $100
against any person for the first failure to comply |
with reporting
requirements set forth in the report of |
examination of the bank and up to
$200 for the second and |
subsequent failures to comply with those reporting
|
requirements.
|
(10) All final administrative decisions of the |
Commissioner hereunder
shall be subject to judicial review |
pursuant to the provisions of the
Administrative Review |
Law. For matters involving administrative review,
venue |
shall be in either Sangamon County or Cook County.
|
(11) The endowment fund for the Illinois Bank |
Examiners' Education
Foundation shall be administered as |
follows:
|
(a) (Blank).
|
(b) The Foundation is empowered to receive |
voluntary contributions,
gifts, grants, bequests, and |
donations on behalf of the Illinois Bank
Examiners' |
Education Foundation from national banks and other |
persons for
the purpose of funding the endowment of |
the Illinois Bank Examiners'
Education Foundation.
|
(c) The aggregate of all special educational fees |
collected by the
Secretary and property received by |
the Secretary on behalf of the
Illinois Bank |
Examiners' Education Foundation under this subsection
|
(11) on or after June 30, 1986, shall be either (i) |
promptly paid after
receipt of the same, accompanied |
|
by a detailed statement thereof, into the
State |
treasury Treasury and shall be set apart in a special |
fund to be known as the "The
Illinois Bank Examiners' |
Education Fund " to be invested by either the
Treasurer |
of the State of Illinois in the Public Treasurers' |
Investment
Pool or in any other investment he is |
authorized to make or by the Illinois
State Board of |
Investment as the State Banking Board of Illinois may |
direct or (ii) deposited into an account
maintained in |
a commercial bank or corporate fiduciary in the name |
of the
Illinois Bank Examiners' Education Foundation |
pursuant to the order and
direction of the Board of |
Trustees of the Illinois Bank Examiners' Education
|
Foundation.
|
(12) (Blank).
|
(13) The Secretary may borrow funds from the General |
Revenue Fund on behalf of the Bank and Trust Company Fund |
if the Director of Banking certifies to the Governor that |
there is an economic emergency affecting banking that |
requires a borrowing to provide additional funds to the |
Bank and Trust Company Fund. The borrowed funds shall be |
paid back within 3 years and shall not exceed the total |
funding appropriated to the Agency in the previous year. |
(14) In addition to the fees authorized in this Act, |
the Secretary may assess reasonable receivership fees |
against any State bank that does not maintain insurance |
|
with the Federal Deposit Insurance Corporation. All fees |
collected under this subsection (14) shall be paid into |
the Non-insured Institutions Receivership account in the |
Bank and Trust Company Fund, as established by the |
Secretary. The fees assessed under this subsection (14) |
shall provide for the expenses that arise from the |
administration of the receivership of any such institution |
required to pay into the Non-insured Institutions |
Receivership account, whether pursuant to this Act, the |
Corporate Fiduciary Act, the Foreign Banking Office Act, |
or any other Act that requires payments into the |
Non-insured Institutions Receivership account. The |
Secretary may establish by rule a reasonable manner of |
assessing fees under this subsection (14). |
(Source: P.A. 101-27, eff. 6-25-19; 101-275, eff. 8-9-19; |
102-558, eff. 8-20-21; revised 2-28-22.)
|
Section 395. The Illinois Credit Union Act is amended by |
changing Sections 8, 19, 20, and 59 as follows:
|
(205 ILCS 305/8) (from Ch. 17, par. 4409)
|
Sec. 8. Secretary's powers and duties. Credit unions are |
regulated by the
Department. The Secretary in executing the |
powers and discharging the duties
vested by law in the |
Department has the following powers and duties:
|
(1) To exercise the rights, powers , and duties set |
|
forth in this Act or
any related Act. The Director shall |
oversee the functions of the Division and report to the |
Secretary, with respect to the Director's exercise of any |
of the rights, powers, and duties vested by law in the |
Secretary under this Act. All references in this Act to |
the Secretary shall be deemed to include the Director, as |
a person authorized by the Secretary or this Act to assume |
responsibility for the oversight of the functions of the |
Department relating to the regulatory supervision of |
credit unions under this Act.
|
(2) To prescribe rules and regulations for the |
administration of this
Act. The provisions of the Illinois |
Administrative Procedure Act are hereby
expressly adopted |
and incorporated herein
as though a part of this Act, and |
shall apply to all administrative rules
and procedures of |
the Department under this Act.
|
(3) To direct and supervise all the administrative and |
technical
activities
of the Department including the |
employment of a Credit Union Supervisor
who shall have |
knowledge in the theory and practice of, or experience in, |
the
operations or supervision of financial institutions, |
preferably credit unions,
and such other persons as are |
necessary to carry out his functions. The Secretary shall |
ensure that all examiners appointed or assigned to examine |
the affairs of State-chartered credit unions possess the |
necessary training and continuing education to effectively |
|
execute their jobs.
|
(4) To issue cease and desist orders when in the |
opinion of the Secretary,
a credit union is engaged or has |
engaged, or the Secretary has reasonable
cause to believe |
the credit union is about to engage, in an unsafe or |
unsound
practice, or is violating or has violated or the |
Secretary has reasonable
cause to believe is about to |
violate a law, rule , or regulation or any condition
|
imposed in writing by the Department.
|
(5) To suspend from office and to prohibit from |
further participation
in any manner in the conduct of the |
affairs of any credit union any director,
officer , or |
committee member who has committed any violation of a law, |
rule, or
regulation or of a cease and desist order or who |
has engaged or participated
in any unsafe or unsound |
practice in connection with the credit union or
who has |
committed or engaged in any act, omission, or practice |
which
constitutes a breach of his fiduciary duty as such |
director, officer , or
committee member, when the Secretary |
has determined that such action or actions
have resulted |
or will result in substantial financial loss or other |
damage that
seriously prejudices the interests of the |
members.
|
(6) To assess a civil penalty against a credit union |
provided that: |
(A) the Secretary reasonably determines, based on |
|
objective facts and an accurate assessment of |
applicable legal standards, that the credit union has: |
(i) committed a violation of this Act, any |
rule adopted in accordance with this Act, or any |
order of the Secretary issued pursuant to his or |
her authority under this Act; or |
(ii) engaged or participated in any unsafe or |
unsound practice; |
(B) before a civil penalty is assessed under this |
item (6), the Secretary must make the further |
reasonable determination, based on objective facts and |
an accurate assessment of applicable legal standards, |
that the credit union's action constituting a |
violation under subparagraph (i) of paragraph (A) of |
this item (6) or an unsafe and unsound practice under |
subparagraph (ii) of paragraph (A) of this item (6): |
(i) directly resulted in a substantial and |
material financial loss or created a reasonable |
probability that a substantial and material |
financial loss will directly result; or |
(ii) constituted willful misconduct or a |
material breach of fiduciary duty of any director, |
officer, or committee member of the credit union; |
Material financial loss, as referenced in this |
paragraph (B), shall be assessed in light of |
surrounding circumstances and the relative size and |
|
nature of the financial loss or probable financial |
loss. Certain benchmarks shall be used in determining |
whether financial loss is material, such as a |
percentage of total assets or total gross income for |
the immediately preceding 12-month period. Absent |
compelling and extraordinary circumstances, no civil |
penalty shall be assessed, unless the financial loss |
or probable financial loss is equal to or greater than |
either 1% of the credit union's total assets for the |
immediately preceding 12-month period, or 1% of the |
credit union's total gross income for the immediately |
preceding 12-month period, whichever is less; |
(C) before a civil penalty is assessed under this |
item (6), the credit union must be expressly advised |
in writing of the: |
(i) specific violation that could subject it |
to a penalty under this item (6); and |
(ii) specific remedial action to be taken |
within a specific and reasonable time frame to |
avoid imposition of the penalty; |
(D) civil Civil penalties assessed under this item |
(6) shall be remedial, not punitive, and reasonably |
tailored to ensure future compliance by the credit |
union with the provisions of this Act and any rules |
adopted pursuant to this Act; |
(E) a credit union's failure to take timely |
|
remedial action with respect to the specific violation |
may result in the issuance of an order assessing a |
civil penalty up to the following maximum amount, |
based upon the total assets of the credit union: |
(i) Credit unions with assets of less than $10 |
million ................................................$1,000 |
(ii) Credit unions with assets of at least $10 |
million and less than $50 million ......................$2,500 |
(iii) Credit unions with assets of at least |
$50 million and less than $100 million .................$5,000 |
(iv) Credit unions with assets of at least |
$100 million and less than $500 million ...............$10,000 |
(v) Credit unions with assets of at least $500 |
million and less than $1 billion ......................$25,000 |
(vi) Credit unions with assets of $1 billion |
and greater .....................................$50,000; and |
(F) an order assessing a civil penalty under this |
item (6) shall take effect upon service of the order, |
unless the credit union makes a written request for a |
hearing under 38 Ill. IL. Adm. Code 190.20 of the |
Department's rules for credit unions within 90 days |
after issuance of the order; in that event, the order |
shall be stayed until a final administrative order is |
entered. |
This item (6) shall not apply to violations separately |
addressed in rules as authorized under item (7) of this |
|
Section. |
(7) Except for the fees established in this Act, to |
prescribe, by rule
and regulation, fees and penalties for |
preparing, approving, and filing
reports and other |
documents; furnishing
transcripts; holding hearings; |
investigating applications
for permission to
organize, |
merge, or convert; failure to maintain accurate books and |
records
to enable the Department to conduct an |
examination; and taking supervisory
actions.
|
(8) To destroy, in his discretion, any or all books |
and records of any
credit union in his possession or under |
his control after the expiration
of three years from the |
date of cancellation of the charter of such credit
unions.
|
(9) To make investigations and to conduct research and |
studies and to
publish some of the problems of persons in |
obtaining credit at reasonable
rates of interest and of |
the methods and benefits of cooperative saving
and lending |
for such persons.
|
(10) To authorize, foster , or establish experimental, |
developmental,
demonstration , or pilot projects by public |
or private organizations including
credit unions which:
|
(a) promote more effective operation of credit |
unions so as to provide
members an opportunity to use |
and control their own money to improve their
economic |
and social conditions; or
|
(b) are in the best interests of credit unions, |
|
their members and the
people of the State of Illinois.
|
(11) To cooperate in studies, training , or other |
administrative activities
with, but not limited to, the |
NCUA, other state credit union regulatory
agencies and |
industry trade associations in order to promote more |
effective
and efficient supervision of Illinois chartered |
credit unions.
|
(12) Notwithstanding the provisions of this Section, |
the Secretary shall not: |
(1) issue an order against a credit union |
organized under this Act for unsafe or unsound banking |
practices solely because the entity provides or has |
provided financial services to a cannabis-related |
legitimate business; |
(2) prohibit, penalize, or otherwise discourage a |
credit union from providing financial services to a |
cannabis-related legitimate business solely because |
the entity provides or has provided financial services |
to a cannabis-related legitimate business; |
(3) recommend, incentivize, or encourage a credit |
union not to offer financial services to an account |
holder or to downgrade or cancel the financial |
services offered to an account holder solely because: |
(A) the account holder is a manufacturer or |
producer, or is the owner, operator, or employee |
of a cannabis-related legitimate business; |
|
(B) the account holder later becomes an owner |
or operator of a cannabis-related legitimate |
business; or |
(C) the credit union was not aware that the |
account holder is the owner or operator of a |
cannabis-related legitimate business; and |
(4) take any adverse or corrective supervisory |
action on a loan made to an owner or operator of: |
(A) a cannabis-related legitimate business |
solely because the owner or operator owns or |
operates a cannabis-related legitimate business; |
or |
(B) real estate or equipment that is leased to |
a cannabis-related legitimate business solely |
because the owner or operator of the real estate |
or equipment leased the equipment or real estate |
to a cannabis-related legitimate business. |
(Source: P.A. 101-27, eff. 6-25-19; 102-858, eff. 5-13-22; |
revised 8-19-22.)
|
(205 ILCS 305/19) (from Ch. 17, par. 4420)
|
Sec. 19. Meeting of members.
|
(1)(a) The annual meeting shall be held each
year during |
the months of January, February or March or such other month
as |
may be approved by the Department. The meeting shall be held at |
the
time, place and in the manner set forth in the bylaws. Any |
|
special
meetings of the members of the credit union shall be |
held at the time, place
and in the manner set forth in the |
bylaws. Unless otherwise set forth in
this Act, quorum |
requirements for meetings of members shall be established
by a |
credit union in its bylaws. Notice of all meetings must be |
given by
the secretary of the credit union at least 7 days |
before the date of such
meeting, either by handing a written or |
printed notice to each
member of the credit union, by mailing |
the notice to the member at his address
as listed on the books |
and records of the credit union, by posting a
notice of the |
meeting in three conspicuous places, including the office
of |
the credit union, by posting the notice of the meeting on the |
credit union's website, or by disclosing the notice of the |
meeting in membership newsletters or account statements.
|
(b) Unless expressly prohibited by the articles of |
incorporation or bylaws and subject to applicable requirements |
of this Act, the board of directors may provide by resolution |
that members may attend, participate in, act in, and vote at |
any annual meeting or special meeting through the use of a |
conference telephone or interactive technology, including, but |
not limited to, electronic transmission, internet usage, or |
remote communication, by means of which all persons |
participating in the meeting can communicate with each other. |
Participation through the use of a conference telephone or |
interactive technology shall constitute attendance, presence, |
and representation in person at the annual meeting or special |
|
meeting of the person or persons so participating and count |
towards the quorum required to conduct business at the |
meeting. The following conditions shall apply to any virtual |
meeting of the members: |
(i) the credit union must internally possess or retain |
the technological capacity to facilitate virtual meeting |
attendance, participation, communication, and voting; and |
(ii) the members must receive notice of the use of a |
virtual meeting format and appropriate instructions for |
joining, participating, and voting during the virtual |
meeting at least 7 days before the virtual meeting. |
(2) On all questions and at all elections, except election |
of directors,
each member has one vote regardless of the |
number of his shares. There
shall be no voting by proxy except |
on the election of directors, proposals
for merger or |
voluntary dissolution. Members may vote on questions, |
including, without limitation, the approval of mergers and |
voluntary dissolutions under this Act, and in elections by |
electronic record if approved by the board of directors. All |
voting on the election of directors
shall be by ballot, but |
when there is no contest, written or electronic ballots need |
not
be cast. The record date to be used for the purpose of |
determining which
members are entitled to notice of or to vote |
at any meeting of members,
may be fixed in advance by the |
directors on a date not more than 90 days
nor less than 10 days |
prior to the date of the meeting. If no record date
is fixed by |
|
the directors, the first day on which notice of the meeting
is |
given, mailed or posted is the record date.
|
(3) Regardless of the number of shares owned by a society, |
association,
club, partnership, other credit union or |
corporation, having membership
in the credit union, it shall |
be entitled to only
one vote and it may be represented and have |
its vote cast by its
designated agent acting on its
behalf |
pursuant
to a resolution
adopted by the organization's board |
of directors or similar governing
authority;
provided that the |
credit union shall obtain a certified copy of such resolution
|
before such vote may be cast. |
(4) A member may revoke a proxy by delivery to the credit |
union of a written statement to that effect, by execution of a |
subsequently dated proxy, by execution of an electronic |
record, or by attendance at a meeting and voting in person.
|
(5) The use of electronic records for member voting |
pursuant to this Section shall employ a security procedure |
that meets the attribution criteria set forth in Section 9 of |
the Uniform Electronic Transactions Act. |
(6) As used in this Section, "electronic", "electronic |
record", and "security procedure" have the meanings ascribed |
to those terms in the Uniform Electronic Transactions Act. the |
(Source: P.A. 102-38, eff. 6-25-21; 102-496, eff. 8-20-21; |
102-774, eff. 5-13-22; 102-813, eff. 5-13-22; revised 8-3-22.)
|
(205 ILCS 305/20) (from Ch. 17, par. 4421)
|
|
Sec. 20. Election or appointment of officials.
|
(1) The credit union shall
be directed by a board of |
directors consisting of no less than 7 in number,
to be elected |
at the annual meeting by and from the members. Directors shall
|
hold office until the next annual meeting, unless their
terms |
are staggered. Upon amendment of its bylaws, a credit union |
may divide
the directors into 2 or 3 classes with each class as |
nearly equal in number as
possible. The term of office of the |
directors of the first class shall expire
at the first annual |
meeting after their election, that of the second class
shall
|
expire at the second annual meeting after their election, and |
that of the third
class, if any, shall expire at the third |
annual meeting after their election.
At each annual meeting |
after the classification, the number of directors equal
to the |
number of directors whose terms expire at the time of the |
meeting shall
be elected to hold office until the second |
succeeding annual meeting if there
are 2 classes or until the |
third succeeding annual meeting if there are 3
classes. A |
director shall hold office for the term for which he
or she is |
elected and until his or her
successor
is elected and |
qualified. |
(1.5) Except as provided in subsection (1.10), in all |
elections for directors, every member
has the right to vote, |
in person, by proxy, or by electronic record if approved by the |
board of directors, the number of shares owned
by him, or in |
the case of a member other than a natural person, the member's
|
|
one vote, for as many persons as there are directors to be |
elected, or to
cumulate such shares, and give one candidate as |
many votes as the number
of directors multiplied by the number |
of his shares equals, or to distribute
them on
the same |
principle among as many candidates as he may desire and the |
directors
shall not be elected in any other manner. Shares |
held in a joint account
owned by more than one member may be |
voted by any one of the members, however,
the number of |
cumulative votes cast may not exceed a total equal to the |
number
of shares multiplied by the number of directors to be |
elected. A majority of
the shares entitled
to vote shall be |
represented either in person or by proxy for the election
of |
directors. Each director shall wholly take and subscribe to an |
oath
that he will diligently and honestly perform his duties |
in administering
the affairs of the credit union, that while |
he may delegate to another the
performance of those |
administrative duties he is not thereby relieved from
his |
responsibility for their performance, that he will not |
knowingly violate
or permit to be violated any law applicable |
to the credit union,
and that he is the owner of at least one |
share of the credit union.
|
(1.10) Upon amendment of a credit union's bylaws, in all |
elections for directors, every member who is a natural person |
shall have the right to cast one vote, regardless of the number |
of his or her shares, in person, by proxy, or by electronic |
record if approved by the board of directors, for as many |
|
persons as there are directors to be elected.
|
(1.15) If the board of directors has adopted a policy |
addressing age eligibility standards on voting, holding |
office, or petitioning the board, then a credit union may |
require (i) that members be at least 18 years of age by the |
date of the meeting in order to vote at meetings of the |
members, sign nominating petitions, or sign petitions |
requesting special meetings, and (ii) that members be at least |
18 years of age by the date of election or appointment in order |
to hold elective or appointive office. |
(2) The board of directors shall appoint from among the |
members of the
credit union, a supervisory committee of not |
less than 3 members at the
organization meeting and within 30 |
days following each annual meeting of
the members for such |
terms as the bylaws provide. Members of the supervisory |
committee may, but need not be, on the board of directors, but |
shall not
be officers of the credit union, members of the |
credit committee,
or the
credit manager if no credit committee |
has been appointed.
|
(3) The board of directors may appoint, from among the
|
members of the
credit union, a credit committee consisting of |
an odd number, not less than
3 for such terms as the bylaws |
provide. Members of the credit committee
may, but need not be, |
directors or officers of the credit union, but shall
not be |
members of the supervisory committee.
|
(4) The board of directors may appoint from among the |
|
members
of the
credit union a membership committee of one or |
more persons. If appointed,
the committee shall act
upon all |
applications for membership and submit a report of its actions
|
to the board of directors at the next regular meeting for
|
review.
If no membership committee is appointed, credit union |
management shall act
upon all applications for membership and |
submit a report of its actions to the board of directors
at the |
next regular meeting for review.
|
(5) The board of directors may appoint, from among the |
members of the credit union, a nominating committee of 3 or |
more persons. Members of the nominating committee may, but |
need not, be directors or officers of the credit union, but may |
not be members of the supervisory committee. The appointment, |
if made, shall be made in a timely manner to permit the |
nominating committee to recruit, evaluate, and nominate |
eligible candidates for each position to be filled in the |
election of directors or, in the event of a vacancy in office, |
to be filled by appointment of the board of directors for the |
remainder of the unexpired term of the director creating the |
vacancy. Factors the nominating committee may consider in |
evaluating prospective candidates include whether a candidate |
possesses or is willing to acquire through training the |
requisite skills and qualifications to carry out the statutory |
duties of a director. The board of directors may delegate to |
the nominating committee the recruitment, evaluation, and |
nomination of eligible candidates to serve on committees and |
|
in executive officer positions. |
(6) The use of electronic records for member voting |
pursuant to this Section shall employ a security procedure |
that meets the attribution criteria set forth in Section 9 of |
the Uniform Electronic Transactions Act. |
(7) As used in this Section, "electronic", "electronic |
record", and "security procedure" have the meanings ascribed |
to those terms in the Uniform Electronic Transactions Act. the |
(Source: P.A. 102-38, eff. 6-25-21; 102-687, eff. 12-17-21; |
102-774, eff. 5-13-22; 102-858, eff. 5-13-22; revised 8-3-22.)
|
(205 ILCS 305/59) (from Ch. 17, par. 4460)
|
Sec. 59. Investment of funds.
|
(a) Funds not used in loans to members may be
invested, |
pursuant to subsection (7) of Section 30 of this Act, and
|
subject to Departmental rules and
regulations:
|
(1) In securities, obligations or other instruments of |
or issued by or
fully guaranteed as to principal and |
interest by the United States of America
or any agency |
thereof or in any trust or trusts established for |
investing
directly or collectively in the same;
|
(2) In obligations of any state of the United States, |
the District of
Columbia, the Commonwealth of Puerto Rico, |
and the several
territories organized
by Congress, or any |
political subdivision thereof; however, a credit union
may
|
not invest more than 10% of its unimpaired capital and |
|
surplus in the
obligations of one issuer, exclusive of |
general obligations of the issuer, and
investments in |
municipal securities must be limited to securities rated |
in one
of the 4
highest rating investment grades by a |
nationally recognized statistical rating
organization;
|
(3) In certificates of deposit or passbook type |
accounts issued by a state
or national bank, mutual |
savings bank or savings and loan association; provided
|
that such institutions have their accounts insured by the |
Federal Deposit
Insurance Corporation or the Federal |
Savings and Loan Insurance Corporation;
but provided, |
further, that a credit union's investment in an account in
|
any one institution may exceed the insured limit on |
accounts;
|
(4) In shares, classes of shares or share certificates |
of other credit
unions, including, but not limited to , |
corporate credit unions; provided
that such credit unions |
have their members' accounts insured by the NCUA
or other |
approved insurers, and that if the members' accounts are |
so insured,
a credit union's investment may exceed the |
insured limit on accounts;
|
(5) In shares of a cooperative society organized under |
the laws of this
State or the laws of the United States in |
the total amount not exceeding
10% of the unimpaired |
capital and surplus of the credit union; provided
that |
such investment shall first be approved by the Department;
|
|
(6) In obligations of the State of Israel, or |
obligations fully guaranteed
by the State of Israel as to |
payment of principal and interest;
|
(7) In shares, stocks or obligations of other |
financial institutions in
the total amount not exceeding |
5% of the unimpaired capital and surplus
of the credit |
union;
|
(8) In federal funds and bankers' acceptances;
|
(9) In shares or stocks of Credit Union Service |
Organizations in the
total amount not exceeding the |
greater of 6% of the unimpaired
capital and surplus of the
|
credit union or the amount authorized for federal credit |
unions;
|
(10) In corporate bonds identified as investment grade |
by at least one nationally recognized statistical rating |
organization, provided that: |
(i) the board of directors has established a |
written policy that addresses corporate bond |
investment procedures and how the credit union will |
manage credit risk, interest rate risk, liquidity |
risk, and concentration risk; and |
(ii) the credit union has documented in its |
records that a credit analysis of a particular |
investment and the issuing entity was conducted by the |
credit union, a third party on behalf of the credit |
union qualified by education or experience to assess |
|
the risk characteristics of corporate bonds, or a |
nationally recognized statistical rating agency before |
purchasing the investment and the analysis is updated |
at least annually for as long as it holds the |
investment; |
(11) To aid in the credit union's management of its |
assets, liabilities, and liquidity in the purchase of an |
investment interest in a pool of loans, in whole or in part |
and without regard to the membership of the borrowers, |
from other depository institutions and financial type |
institutions, including mortgage banks, finance companies, |
insurance companies, and other loan sellers, subject to |
such safety and soundness standards, limitations, and |
qualifications as the Department may establish by rule or |
guidance from time to time; |
(12) To aid in the credit union's management of its |
assets, liabilities, and liquidity by receiving funds from |
another financial institution as evidenced by certificates |
of deposit, share certificates, or other classes of shares |
issued by the credit union to the financial institution; |
(13) In the purchase and assumption of assets held by |
other financial institutions, with approval of the |
Secretary and subject to any safety and soundness |
standards, limitations, and qualifications as the |
Department may establish by rule or guidance from time to |
time; |
|
(14) In the shares, stocks, or obligations of |
community development financial institutions as defined in |
regulations issued by the U.S. Department of the Treasury |
and minority depository institutions as defined by the |
National Credit Union Administration; however the |
aggregate amount of all such investments shall not at any |
time exceed 5% of the paid-in and unimpaired capital and |
surplus of the credit union; and |
(15)(A) In shares, stocks, or member units of |
financial technology companies in the total amount not |
exceeding 2.5% of the net worth of the credit union, so |
long as: |
(i) the credit union would remain well capitalized |
as defined by 12 CFR 702.102 if the credit union |
reduced its net worth by the full investment amount at |
the time the investment is made or at any point during |
the time the investment is held by the credit union; |
(ii) the credit union and the financial technology |
company are operated in a manner that demonstrates to |
the public the separate corporate existence of the |
credit union and financial technology company; and |
(iii) the credit union has received a composite |
rating of 1 or 2 under the CAMELS supervisory rating |
system. |
(B) The investment limit in subparagraph (A) of this |
paragraph (15) is increased to 5% of the net worth of the |
|
credit union , if it has received a management rating of 1 |
under the CAMELS supervisory rating system at the time a |
specific investment is made and at all times during the |
term of the investment. A credit union that satisfies the |
criteria in subparagraph (A) of this paragraph (15) and |
this subparagraph may request approval from the Secretary |
for an exception to the 5% limit up to a limit of 10% of |
the net worth of the credit union, subject to such safety |
and soundness standards, limitations, and qualifications |
as the Department may establish by rule or guidance from |
time to time. The request shall be in writing and |
substantiate the need for the higher limit, describe the |
credit union's record of investment activity, and include |
financial statements reflecting a sound fiscal history. |
(C) Before investing in a financial technology |
company, the credit union shall obtain a written legal |
opinion as to whether the financial technology company is |
established in a manner that will limit potential exposure |
of the credit union to no more than the loss of funds |
invested in the financial technology company and the legal |
opinion shall: |
(i) address factors that have led courts to |
"pierce the corporate veil", such as inadequate |
capitalization, lack of separate corporate identity, |
common boards of directors and employees, control of |
one entity over another, and lack of separate books |
|
and records; and |
(ii) be provided by independent legal counsel of |
the credit union. |
(D) Before investing in the financial technology |
company, the credit union shall enter into a written |
investment agreement with the financial technology company |
and the agreement shall contain the following clauses: |
(i) the financial technology company will: (I) |
provide the Department with access to the books and |
records of the financial technology company relating |
to the investment made by the credit union, with the |
costs of examining those records borne by the credit |
union in accordance with the per diem rate established |
by the Department by rule; (II) follow generally |
accepted accounting principles; and (III) provide the |
credit union with its financial statements on at least |
a quarterly basis and certified public accountant |
audited financial statements on an annual basis; and |
(ii) the financial technology company and credit |
union agree to terminate their contractual |
relationship: (I) upon 90 days' written notice to the |
parties by the Secretary that the safety and soundness |
of the credit union is threatened pursuant to the |
Department's cease and desist and suspension authority |
in Sections 8 and 61; (II) upon 30 days' written notice |
to the parties if the credit union's net worth ratio |
|
falls below the level that classifies it as well |
capitalized well-capitalized as defined by 12 CFR |
702.102; and (III) immediately upon the parties' |
receipt of written notice from the Secretary when the |
Secretary reasonably concludes, based upon specific |
facts set forth in the notice to the parties, that the |
credit union will suffer immediate, substantial, and |
irreparable injury or loss if it remains a party to the |
investment agreement. |
(E) The termination of the investment agreement |
between the financial technology company and credit union |
shall in no way operate to relieve the financial |
technology company from repaying the investment or other |
obligation due and owing the credit union at the time of |
termination. |
(F) Any financial technology company in which a credit |
union invests pursuant to this paragraph (15) that |
directly or indirectly originates, purchases, facilitates, |
brokers, or services loans to consumers in Illinois shall |
not charge an interest rate that exceeds the applicable |
maximum rate established by the Board of the National |
Credit Union Administration pursuant to 12 CFR |
701.21(c)(7)(iii)-(iv). The maximum interest rate |
described in this subparagraph that may be charged by a |
financial technology company applies to all consumer loans |
and consumer credit products. |
|
(b) As used in this Section: |
"Political subdivision" includes, but is not
limited to, |
counties,
townships, cities, villages, incorporated towns, |
school districts, educational
service regions, special road |
districts, public water supply districts, fire
protection |
districts, drainage districts, levee districts, sewer |
districts,
housing authorities, park districts, and any
|
agency, corporation, or instrumentality of a state or its |
political
subdivisions, whether now or hereafter created and |
whether herein specifically
mentioned or not.
|
"Financial institution" includes any bank, savings bank, |
savings and loan association, or credit union established |
under the laws of the United States, this State, or any other |
state. |
"Financial technology company" includes any corporation, |
partnership, limited liability company, or other entity |
organized under the laws of Illinois, another state, or the |
United States of America: |
(1) that the principal business of which is the |
provision of financial products or financial services, or |
both, that: |
(i) currently relate or may prospectively relate |
to the daily operations of credit unions; |
(ii) are of current or prospective benefit to the |
members of credit unions; or |
(iii) are of current or prospective benefit to |
|
consumers eligible for membership in credit unions; |
and |
(2) that applies technological interventions, |
including, without limitation, specialized software or |
algorithm processes, products, or solutions, to improve |
and automate the delivery and use of those financial |
products or financial services. |
(c) A credit union investing to fund an employee benefit |
plan obligation is not subject to the investment limitations |
of this Act and this Section and may purchase an investment |
that would otherwise be impermissible if the investment is |
directly related to the credit union's obligation under the |
employee benefit plan and the credit union holds the |
investment only for so long as it has an actual or potential |
obligation under the employee benefit plan.
|
(d) If a credit union acquires loans from another |
financial institution or financial-type institution pursuant |
to this Section, the credit union shall be authorized to |
provide loan servicing and collection services in connection |
with those loans. |
(Source: P.A. 101-567, eff. 8-23-19; 102-496, eff. 8-20-21; |
102-774, eff. 5-13-22; 102-858, eff. 5-13-22; revised 8-3-22.)
|
Section 400. The Residential Mortgage License Act of 1987 |
is amended by changing Section 7-7 as follows:
|
|
(205 ILCS 635/7-7) |
Sec. 7-7. Continuing education for mortgage loan |
originators. |
(a) In order to meet the annual continuing education |
requirements referred to in Section 7-6, a licensed mortgage |
loan originator shall complete at least 8 hours of education |
approved in accordance with subsection (b) of this Section, |
which shall include at least: |
(1) 3 hours of federal Federal law and regulations; |
(2) 2 hours of ethics, which shall include instruction |
on fraud, consumer protection, and fair lending issues; |
and |
(3) 2 hours of training related to lending standards |
for the nontraditional mortgage product marketplace. |
(b) For purposes of this subsection (a), continuing |
education courses shall be reviewed and approved by the |
Nationwide Multistate Licensing System and Registry based upon |
reasonable standards. Review and approval of a continuing |
education course shall include review and approval of the |
course provider. |
(c) Nothing in this Section shall preclude any education |
course, as approved by the Nationwide Multistate Licensing |
System and Registry, that is provided by the employer of the |
mortgage loan originator or an entity which is affiliated with |
the mortgage loan originator by an agency contract, or any |
subsidiary or affiliate of the employer or entity. |
|
(d) Continuing education may be offered either in a |
classroom, online, or by any other means approved by the |
Nationwide Multistate Licensing System and Registry. |
(e) A licensed mortgage loan originator: |
(1) except Except as provided in Section 7-6 and |
subsection (i) of this Section, may only receive credit |
for a continuing education course in the year in which the |
course is taken; and |
(2) may May not take the same approved course in the |
same or successive years to meet the annual requirements |
for continuing education. |
(f) A licensed mortgage loan originator who is an approved |
instructor of an approved continuing education course may |
receive credit for the licensed mortgage loan originator's own |
annual continuing education requirement at the rate of 2 hours |
credit for every one hour taught. |
(g) A person having successfully completed the education |
requirements approved by the Nationwide Multistate Licensing |
System and Registry for the subjects listed in subsection (a) |
of this Section for any state shall be accepted as credit |
towards completion of continuing education requirements in |
this State. |
(h) A licensed mortgage loan originator who subsequently |
becomes unlicensed must complete the continuing education |
requirements for the last year in which the license was held |
prior to issuance of a new or renewed license. |
|
(i) A person meeting the requirements of Section 7-6 may |
make up any deficiency in continuing education as established |
by rule or regulation of the Director.
|
(Source: P.A. 100-1153, eff. 12-19-18; revised 3-16-22.)
|
Section 405. The Assisted Living and Shared Housing Act is |
amended by setting forth and renumbering multiple versions of |
Section 77 as follows:
|
(210 ILCS 9/77) |
Sec. 77. Establishment employee assistance programs. An |
establishment shall ensure that licensed health care |
professionals employed by the establishment are aware of |
employee assistance programs or other like programs available |
for the physical and mental well-being of the employee. The |
establishment shall provide information on these programs, no |
less than at the time of employment and during any benefit open |
enrollment period, by an information form about the respective |
programs that a licensed health care professional must sign |
during onboarding at the establishment. The signed information |
form shall be added to the licensed health care professional's |
personnel file. The establishment may provide this information |
to licensed health care professionals electronically.
|
(Source: P.A. 102-1007, eff. 1-1-23; revised 12-19-22.)
|
(210 ILCS 9/78) |
|
Sec. 78 77 . Certified nursing assistant interns. |
(a) A certified nursing assistant intern shall report to |
an establishment's charge nurse or nursing supervisor and may |
only be assigned duties authorized in Section 2310-434 of the |
Department of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois by a supervising nurse. |
(b) An establishment shall notify its certified and |
licensed staff members, in writing, that a certified nursing |
assistant intern may only provide the services and perform the |
procedures permitted under Section 2310-434 of the Department |
of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois. The notification shall detail |
which duties may be delegated to a certified nursing assistant |
intern. The establishment shall establish a policy describing |
the authorized duties, supervision, and evaluation of |
certified nursing assistant interns available upon request of |
the Department and any surveyor. |
(c) If an establishment learns that a certified nursing |
assistant intern is performing work outside the scope of the |
Certified Nursing Assistant Intern Program's training, the |
establishment shall: |
(1) stop the certified nursing assistant intern from |
performing the work; |
(2) inspect the work and correct mistakes, if the work |
performed was done improperly; |
(3) assign the work to the appropriate personnel; and |
|
(4) ensure that a thorough assessment of any resident |
involved in the work performed is completed by a |
registered nurse. |
(d) An establishment that employs a certified nursing |
assistant intern in violation of this Section shall be subject |
to civil penalties or fines under subsection (a) of Section |
135.
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 8-8-22.)
|
Section 410. The Nursing Home Care Act is amended by |
changing Sections 3-202.2b and 3-702 and by setting forth and |
renumbering multiple versions of Section 3-613 as follows:
|
(210 ILCS 45/3-202.2b) |
Sec. 3-202.2b. Certification of psychiatric rehabilitation |
program. |
(a) No later than January 1, 2011, the Department shall |
file with the Joint Committee on Administrative Rules, |
pursuant to the Illinois Administrative Procedure Act, |
proposed rules or proposed amendments to existing rules to |
establish a special certification program for compliance with |
77 Ill. Adm. Admin. Code 300.4000 and following (Subpart S), |
which provides for psychiatric rehabilitation services that |
are required to be offered by a long-term long term care |
facility licensed under this Act that serves residents with |
serious mental illness. Compliance with standards promulgated |
|
pursuant to this Section must be demonstrated before a |
long-term long term care facility licensed under this Act is |
eligible to become certified under this Section and annually |
thereafter. |
(b) No long-term long term care facility shall establish, |
operate, maintain, or offer psychiatric rehabilitation |
services, or admit, retain, or seek referrals of a resident |
with a serious mental illness diagnosis, unless and until a |
valid certification, which remains unsuspended, unrevoked, and |
unexpired, has been issued. |
(c) A facility that currently serves a resident with |
serious mental illness may continue to admit such residents |
until the Department performs a certification review and |
determines that the facility does not meet the requirements |
for certification. The Department, at its discretion, may |
provide an additional 90-day period for the facility to meet |
the requirements for certification if it finds that the |
facility has made a good faith effort to comply with all |
certification requirements and will achieve total compliance |
with the requirements before the end of the 90-day period. The |
facility shall be prohibited from admitting residents with |
serious mental illness until the Department certifies the |
facility to be in compliance with the requirements of this |
Section. |
(d) A facility currently serving residents with serious |
mental illness that elects to terminate provision of services |
|
to this population must immediately notify the Department of |
its intent, cease to admit new residents with serious mental |
illness, and give notice to all existing residents with |
serious mental illness of their impending discharge. These |
residents shall be accorded all rights and assistance provided |
to a resident being involuntarily discharged and those |
provided under Section 2-201.5. The facility shall continue to |
adhere to all requirements of 77 Ill. Adm. Admin. Code |
300.4000 until all residents with serious mental illness have |
been discharged. |
(e) A long-term long term care facility found to be out of |
compliance with the certification requirements under this |
Section may be subject to denial, revocation, or suspension of |
the psychiatric rehabilitation services certification or the |
imposition of sanctions and penalties, including the immediate |
suspension of new admissions. Hearings shall be conducted |
pursuant to Article III, Part 7 of this Act. |
(f) The Department shall indicate, on its list of licensed |
long-term long term care facilities, which facilities are |
certified under this Section and shall distribute this list to |
the appropriate State agencies charged with administering and |
implementing the State's program of pre-admission screening |
and resident review, hospital discharge planners, Area |
Agencies on Aging, Case Coordination Units, and others upon |
request. |
(g) No public official, agent, or employee of the State, |
|
or any subcontractor of the State, may refer or arrange for the |
placement of a person with serious mental illness in a |
long-term long term care facility that is not certified under |
this Section. No public official, agent, or employee of the |
State, or any subcontractor of the State, may place the name of |
a long-term long term care facility on a list of facilities |
serving the seriously mentally ill for distribution to the |
general public or to professionals arranging for placements or |
making referrals unless the facility is certified under this |
Section. |
(h) Certification requirements. The Department shall |
establish requirements for certification that augment current |
quality of care standards for long-term long term care |
facilities serving residents with serious mental illness, |
which shall include admission, discharge planning, psychiatric |
rehabilitation services, development of age-group appropriate |
treatment plan goals and services, behavior management |
services, coordination with community mental health services, |
staff qualifications and training, clinical consultation, |
resident access to the outside community, and appropriate |
environment and space for resident programs, recreation, |
privacy, and any other issue deemed appropriate by the |
Department. The augmented standards shall at a minimum |
include, but need not be limited to, the following: |
(1) Staff sufficient in number and qualifications |
necessary to meet the scheduled and unscheduled needs of |
|
the residents on a 24-hour basis. The Department shall |
establish by rule the minimum number of psychiatric |
services rehabilitation coordinators in relation to the |
number of residents with serious mental illness residing |
in the facility. |
(2) The number and qualifications of consultants |
required to be contracted with to provide continuing |
education and training, and to assist with program |
development. |
(3) Training for all new employees specific to the |
care needs of residents with a serious mental illness |
diagnosis during their orientation period and annually |
thereafter. Training shall be independent of the |
Department and overseen by an agency designated by the |
Governor to determine the content of all facility employee |
training and to provide training for all trainers of |
facility employees. Training of employees shall at minimum |
include, but need not be limited to, (i) the impact of a |
serious mental illness diagnosis, (ii) the recovery |
paradigm and the role of psychiatric rehabilitation, (iii) |
preventive strategies for managing aggression and crisis |
prevention, (iv) basic psychiatric rehabilitation |
techniques and service delivery, (v) resident rights, (vi) |
abuse prevention, (vii) appropriate interaction between |
staff and residents, and (viii) any other topic deemed by |
the Department to be important to ensuring quality of |
|
care. |
(4) Quality assessment and improvement requirements, |
in addition to those contained in this Act on July 29, 2010 |
( the effective date of Public Act 96-1372) this amendatory |
Act of the 96th General Assembly , specific to a facility's |
residential psychiatric rehabilitation services, which |
shall be made available to the Department upon request. A |
facility shall be required at a minimum to develop and |
maintain policies and procedures that include, but need |
not be limited to, evaluation of the appropriateness of |
resident admissions based on the facility's capacity to |
meet specific needs, resident assessments, development and |
implementation of care plans, and discharge planning. |
(5) Room selection and appropriateness of roommate |
assignment. |
(6) Comprehensive quarterly review of all treatment |
plans for residents with serious mental illness by the |
resident's interdisciplinary team, which takes into |
account, at a minimum, the resident's progress, prior |
assessments, and treatment plan. |
(7) Substance abuse screening and management and |
documented referral relationships with certified substance |
abuse treatment providers. |
(8) Administration of psychotropic medications to a |
resident with serious mental illness who is incapable of |
giving informed consent, in compliance with the applicable |
|
provisions of the Mental Health and Developmental |
Disabilities Code. |
(i) The Department shall establish a certification fee |
schedule by rule, in consultation with advocates, nursing |
homes, and representatives of associations representing |
long-term long term care facilities. |
(j) The Director or her or his designee shall seek input |
from the Long-Term Long Term Care Facility Advisory Board |
before filing rules to implement this Section. |
Rules proposed no later than January 1, 2011 under this |
Section shall take effect 180 days after being approved by the |
Joint Committee on Administrative Rules.
|
(Source: P.A. 96-1372, eff. 7-29-10; revised 2-28-22.)
|
(210 ILCS 45/3-613) |
Sec. 3-613. Facility employee assistance programs. A |
facility shall ensure that nurses employed by the facility are |
aware of employee assistance programs or other like programs |
available for the physical and mental well-being of the |
employee. The facility shall provide information on these |
programs, no less than at the time of employment and during any |
benefit open enrollment period, by an information form about |
the respective programs that a nurse must sign during |
onboarding at the facility. The signed information form shall |
be added to the nurse's personnel file. The facility may |
provide this information to nurses electronically.
|
|
(Source: P.A. 102-1007, eff. 1-1-23; revised 12-19-22.)
|
(210 ILCS 45/3-614) |
Sec. 3-614 3-613 . Certified nursing assistant interns. |
(a) A certified nursing assistant intern shall report to a
|
facility's charge nurse or nursing supervisor and may only be
|
assigned duties authorized in Section 2310-434 of the
|
Department of Public Health Powers and Duties Law of the Civil
|
Administrative Code of Illinois by a supervising nurse. |
(b) A facility shall notify its certified and licensed
|
staff members, in writing, that a certified nursing assistant
|
intern may only provide the services and perform the
|
procedures permitted under Section 2310-434 of the Department
|
of Public Health Powers and Duties Law of the Civil
|
Administrative Code of Illinois. The notification shall detail
|
which duties may be delegated to a certified nursing assistant
|
intern. The facility shall establish a policy describing the |
authorized duties, supervision, and evaluation of certified |
nursing assistant interns available upon request of the |
Department and any surveyor. |
(c) If a facility learns that a certified nursing
|
assistant intern is performing work outside the scope of
the |
Certified Nursing Assistant Intern Program's training, the |
facility shall: |
(1) stop the certified nursing assistant intern from
|
performing the work; |
|
(2) inspect the work and correct mistakes, if the work |
performed was done improperly; |
(3) assign the work to the appropriate personnel; and |
(4) ensure that a thorough assessment of any resident |
involved in the work performed is completed by a |
registered nurse. |
(d) A facility that employs a certified nursing assistant |
intern in violation of this Section shall be subject to civil |
penalties or fines under Section 3-305. |
(e) A minimum of 50% of nursing and personal care time |
shall be provided by a certified nursing assistant, but no |
more than 15% of nursing and personal care time may be provided |
by a certified nursing assistant intern.
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 8-8-22.)
|
(210 ILCS 45/3-702) (from Ch. 111 1/2, par. 4153-702)
|
Sec. 3-702.
(a) A person who believes that this Act or a |
rule promulgated
under this Act may have been violated may |
request an investigation. The
request may be submitted to the |
Department in writing, by telephone, by electronic means, or |
by
personal visit. An oral complaint shall be reduced to |
writing by the
Department. The Department shall make |
available, through its website and upon request, information |
regarding the oral and phone intake processes and the list of |
questions that will be asked of the complainant. The |
Department shall request information identifying the
|
|
complainant, including the name, address , and telephone |
number, to help
enable appropriate follow-up. The Department |
shall act on such complaints
via on-site visits or other |
methods deemed appropriate to handle the
complaints with or |
without such identifying information, as otherwise
provided |
under this Section. The complainant shall be informed that
|
compliance with such request is not required to satisfy the |
procedures for
filing a complaint under this Act. The |
Department must notify complainants that complaints with less |
information provided are far more difficult to respond to and |
investigate.
|
(b) The substance of the complaint shall be provided in |
writing to the
licensee, owner, or administrator no earlier |
than at the commencement of an
on-site inspection of the |
facility which takes place pursuant to the complaint.
|
(c) The Department shall not disclose the name of the |
complainant unless
the complainant consents in writing to the |
disclosure or the investigation
results in a judicial |
proceeding, or unless disclosure is essential to the
|
investigation. The complainant shall be given the opportunity |
to withdraw
the complaint before disclosure. Upon the request |
of the complainant, the
Department may permit the complainant |
or a representative of the complainant
to accompany the person |
making the on-site inspection of the facility.
|
(d) Upon receipt of a complaint, the Department shall |
determine whether this
Act or a rule promulgated under this |
|
Act has been or is being violated. The
Department shall |
investigate all complaints alleging abuse or neglect within
7 |
days after the receipt of the complaint except that complaints |
of abuse
or neglect which indicate that a resident's life or |
safety is in imminent
danger shall be investigated within 24 |
hours after receipt of the
complaint. All other complaints |
shall be investigated within 30 days after
the receipt of the |
complaint. The Department employees investigating a
complaint |
shall conduct a brief, informal exit conference with the |
facility
to alert its administration of any suspected serious |
deficiency that poses
a direct threat to the health, safety , |
or welfare of a resident to enable an
immediate correction for |
the alleviation or elimination of such threat.
Such |
information and findings discussed in the brief exit |
conference shall
become a part of the investigating record but |
shall not in any way
constitute an official or final notice of |
violation as provided under
Section 3-301. All complaints |
shall be classified as
"an invalid report", "a valid report", |
or "an undetermined
report". For any complaint classified as |
"a valid report", the
Department must determine within 30 |
working days after any Department employee enters a facility |
to begin an on-site inspection
if any rule or provision of this |
Act has been or is being violated.
|
(d-1) The Department shall, whenever possible, combine an |
on-site
investigation of a complaint in a facility with other |
inspections in order
to avoid duplication of inspections.
|
|
(e) In all cases, the Department shall inform the |
complainant of its
findings within 10 days of its |
determination unless otherwise indicated
by the complainant, |
and the complainant may direct the Department to
send a copy of |
such findings to another person. The Department's findings
may |
include comments or documentation provided by either the |
complainant
or the licensee pertaining to the complaint. The |
Department shall also
notify the facility of such findings |
within 10 days of the determination,
but the name of the |
complainant or residents shall not be disclosed in this
notice |
to the facility. The notice of such
findings shall include a |
copy of the written determination; the
correction order, if |
any; the warning notice, if any; the inspection
report; or the |
State licensure form on which the violation is listed.
|
(f) A written determination, correction order, or warning |
notice
concerning a complaint, together with the facility's |
response, shall be
available for public inspection, but the |
name of the complainant or
resident shall not be disclosed |
without his consent.
|
(g) A complainant who is dissatisfied with the |
determination or
investigation by the Department may request a |
hearing under Section
3-703. The facility shall be given |
notice of any such
hearing and may participate in the hearing |
as a party. If a facility
requests a hearing under Section |
3-703 which
concerns a matter covered by a complaint, the |
complainant shall be given
notice and may participate in the |
|
hearing as a party. A request
for a hearing by either a |
complainant or a facility shall be
submitted in writing to the |
Department within 30 days after the mailing
of the |
Department's findings as described in subsection (e) of this
|
Section. Upon receipt of the request the Department shall |
conduct a hearing
as provided under Section 3-703.
|
(g-5) The Department shall conduct an annual review of all |
survey activity from the preceding fiscal year and make a |
report concerning the complaint and survey process. The report |
shall include, but not be limited to: |
(1) the total number of complaints received; |
(2) the breakdown of 24-hour, 7-day, and 30-day |
complaints; |
(3) the breakdown of anonymous and non-anonymous |
complaints; |
(4) the number of complaints that were substantiated |
versus unsubstantiated; |
(5) the total number of substantiated complaints that |
were completed in the time frame determined under |
subsection (d); |
(6) the total number of informal dispute resolutions |
requested; |
(7) the total number of informal dispute resolution |
requests approved; |
(8) the total number of informal dispute resolutions |
that were overturned or reduced in severity; |
|
(9) the total number of nurse surveyors
hired during |
the calendar year; |
(10) the total number of nurse
surveyors who left |
Department employment; |
(11) the average length of tenure for nurse surveyors |
employed by the Department at the time the report is |
created; |
(12) the total number of times the Department imposed |
discretionary denial of payment within 15 days of notice |
and within 2 days of notice as well as the number of times |
the discretionary denial of payment took effect; and |
(13) any other complaint information requested by the |
Long-Term Care Facility Advisory Board created under |
Section 2-204 of this Act or the Illinois Long-Term Care |
Council created under Section 4.04a of the Illinois Act on |
the Aging. |
This report shall be provided to the Long-Term Care |
Facility Advisory Board, the Illinois Long-Term Care Council, |
and the General Assembly. The Long-Term Care Facility Advisory |
Board and the Illinois Long-Term Care Council shall review the |
report and suggest any changes deemed necessary to the |
Department for review and action, including how to investigate |
and substantiate anonymous complaints. |
(h) Any person who knowingly transmits a false report to |
the
Department commits the offense of disorderly conduct under |
subsection
(a)(8) of Section 26-1 of the Criminal Code of |
|
2012.
|
(Source: P.A. 102-432, eff. 8-20-21; 102-947, eff. 1-1-23; |
revised 12-9-22.)
|
Section 415. The MC/DD Act is amended by setting forth and |
renumbering multiple versions of Section 3-613 as follows:
|
(210 ILCS 46/3-613) |
Sec. 3-613. Facility employee assistance programs. A |
facility shall ensure that nurses employed by the facility are |
aware of employee assistance programs or other like programs |
available for the physical and mental well-being of the |
employee. The facility shall provide information on these |
programs, no less than at the time of employment and during any |
benefit open enrollment period, by an information form about |
the respective programs that a nurse must sign during |
onboarding at the facility. The signed information form shall |
be added to the nurse's personnel file. The facility may |
provide this information to nurses electronically.
|
(Source: P.A. 102-1007, eff. 1-1-23; revised 12-19-22.)
|
(210 ILCS 46/3-614) |
Sec. 3-614 3-613 . Certified nursing assistant interns. |
(a) A certified nursing assistant intern shall report to a |
facility's charge nurse or nursing supervisor and may only be |
assigned duties authorized in Section 2310-434 of the |
|
Department of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois by a supervising nurse. |
(b) A facility shall notify its certified and licensed |
staff members, in writing, that a certified nursing assistant |
intern may only provide the services and perform the |
procedures permitted under Section 2310-434 of the Department |
of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois. The notification shall detail |
which duties may be delegated to a certified nursing assistant |
intern. The facility shall establish a policy describing the |
authorized duties, supervision, and evaluation of certified |
nursing assistant interns available upon request of the |
Department and any surveyor. |
(c) If a facility learns that a certified nursing |
assistant intern is performing work outside the scope of the |
Certified Nursing Assistant Intern Program's training, the |
facility shall: |
(1) stop the certified nursing assistant intern from |
performing the work; |
(2) inspect the work and correct mistakes, if the work |
performed was done improperly; |
(3) assign the work to the appropriate personnel; and |
(4) ensure that a thorough assessment of any resident |
involved in the work performed is completed by a |
registered nurse. |
(d) A facility that employs a certified nursing assistant |
|
intern in violation of this Section shall be subject to civil |
penalties or fines under Section 3-305.
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 8-8-22.)
|
Section 420. The ID/DD Community Care Act is amended by by |
setting forth and renumbering multiple versions of Section |
3-613 as follows:
|
(210 ILCS 47/3-613) |
Sec. 3-613. Facility employee assistance programs. A |
facility shall ensure that nurses employed by the facility are |
aware of employee assistance programs or other like programs |
available for the physical and mental well-being of the |
employee. The facility shall provide information on these |
programs, no less than at the time of employment and during any |
benefit open enrollment period, by an information form about |
the respective programs that a nurse must sign during |
onboarding at the facility. The signed information form shall |
be added to the nurse's personnel file. The facility may |
provide this information to nurses electronically.
|
(Source: P.A. 102-1007, eff. 1-1-23; revised 12-19-22.)
|
(210 ILCS 47/3-614) |
Sec. 3-614 3-613 . Certified nursing assistant interns. |
(a) A certified nursing assistant intern shall report to a |
facility's charge nurse or nursing supervisor and may only be |
|
assigned duties authorized in Section 2310-434 of the |
Department of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois by a supervising nurse. |
(b) A facility shall notify its certified and licensed |
staff members, in writing, that a certified nursing assistant |
intern may only provide the services and perform the |
procedures permitted under Section 2310-434 of the Department |
of Public Health Powers and Duties Law of the
Civil |
Administrative Code of Illinois. The notification shall detail |
which duties may be delegated to a certified nursing assistant |
intern. The facility shall establish a policy describing the |
authorized duties, supervision, and evaluation of certified |
nursing assistant interns available upon request of the |
Department and any surveyor. |
(c) If a facility learns that a certified nursing |
assistant intern is performing work outside the scope of the |
Certified Nursing Assistant Intern Program's training, the |
facility shall: |
(1) stop the certified nursing assistant intern from |
performing the work; |
(2) inspect the work and correct mistakes, if the work |
performed was done improperly; |
(3) assign the work to the appropriate personnel; and |
(4) ensure that a thorough assessment of any resident |
involved in the work performed is completed by a |
registered nurse. |
|
(d) A facility that employs a certified nursing assistant |
intern in violation of this Section shall be subject to civil |
penalties or fines under Section 3-305.
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 8-8-22.)
|
Section 425. The Specialized Mental Health Rehabilitation |
Act of 2013 is amended by changing Section 4-105 as follows:
|
(210 ILCS 49/4-105)
|
Sec. 4-105. Provisional licensure duration. A provisional |
license shall be valid upon fulfilling the requirements |
established by the Department by emergency rule. The license |
shall remain valid as long as a facility remains in compliance |
with the licensure provisions established in rule. Provisional |
licenses issued upon initial licensure as a specialized mental |
health rehabilitation facility shall expire at the end of a |
3-year period, which commences on the date the provisional |
license is issued. Issuance of a provisional license for any |
reason other than initial licensure (including, but not |
limited to, change of ownership, location, number of beds, or |
services) shall not extend the maximum 3-year period, at the |
end of which a facility must be licensed pursuant to Section |
4-201. Notwithstanding any other provision of this Act or the |
Specialized Mental Health Rehabilitation Facilities Code, 77 |
Ill. Adm. Admin. Code 380, to the contrary, if a facility has |
received notice from the Department that its application for |
|
provisional licensure to provide recovery and rehabilitation |
services has been accepted as complete and the facility has |
attested in writing to the Department that it will comply with |
the staff training plan approved by the Division of Mental |
Health, then a provisional license for recovery and |
rehabilitation services shall be issued to the facility within |
60 days after the Department determines that the facility is |
in compliance with the requirements of the Life Safety Code in |
accordance with Section 4-104.5 of this Act.
|
(Source: P.A. 99-712, eff. 8-5-16; 100-365, eff. 8-25-17; |
revised 2-28-22.)
|
Section 430. The Illinois Insurance Code is amended by |
changing Sections 143a, 229.4a, 356z.14, 364.01, and 513b1 and |
by setting forth, renumbering, and changing multiple versions |
of Section 356z.53 as follows:
|
(215 ILCS 5/143a)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 143a. Uninsured and hit-and-run hit and run motor |
vehicle coverage.
|
(1) No policy insuring against
loss resulting from |
liability imposed by law for bodily injury or death
suffered |
by any person arising out of the ownership, maintenance or use
|
of a motor vehicle that is designed for use on public highways |
and that
is either required to be registered in this State or |
|
is principally garaged
in this State shall be renewed, |
delivered, or issued for delivery
in this State unless |
coverage is provided therein or
supplemental thereto, in |
limits for bodily injury or death set forth in
Section 7-203 of |
the Illinois Vehicle Code for the
protection of persons |
insured thereunder who are legally entitled to
recover damages |
from owners or operators of uninsured motor vehicles and
|
hit-and-run motor vehicles because of bodily injury, sickness |
or
disease, including death, resulting therefrom. Uninsured |
motor vehicle
coverage does not apply to bodily injury, |
sickness, disease, or death resulting
therefrom, of an insured |
while occupying a motor vehicle owned by, or furnished
or |
available for the regular use of the insured, a resident |
spouse or resident
relative, if that motor vehicle is not |
described in the policy under which a
claim is made or is not a |
newly acquired or replacement motor vehicle covered
under the |
terms of the policy. The limits for any coverage for any |
vehicle
under the policy may not be aggregated with the limits |
for any similar
coverage, whether provided by the same insurer |
or another insurer, applying to
other motor vehicles, for |
purposes of determining the total limit of insurance
coverage |
available for bodily injury or death suffered by a person in |
any one
accident. No
policy shall be renewed, delivered, or |
issued for delivery in this
State unless it is provided |
therein that any dispute
with respect to the coverage and the |
amount of damages shall be submitted
for arbitration to the
|
|
American Arbitration Association and be subject to its rules |
for the conduct
of arbitration hearings
as to all matters |
except medical opinions. As to medical opinions, if the
amount |
of damages being sought is equal to or less than the amount |
provided for
in Section 7-203 of the Illinois Vehicle Code, |
then the current American
Arbitration Association Rules shall |
apply. If the amount being sought in an
American Arbitration |
Association case exceeds that amount as set forth in
Section |
7-203 of the Illinois Vehicle Code, then the Rules of Evidence |
that
apply in the circuit court for placing medical opinions |
into evidence shall
govern. Alternatively, disputes with |
respect to damages and the coverage shall
be
determined in the
|
following
manner: Upon the insured requesting arbitration, |
each party to the
dispute shall select an arbitrator and the 2 |
arbitrators so named
shall select a third arbitrator. If such |
arbitrators are not selected
within 45 days from such request, |
either party may request that the
arbitration be submitted to |
the American Arbitration Association.
Any decision made by the |
arbitrators shall be binding for the amount of
damages not |
exceeding $75,000 for bodily injury to or
death of any one |
person, $150,000 for bodily injury to or death of 2 or more
|
persons in any one motor vehicle accident,
or the |
corresponding policy limits for bodily injury or death, |
whichever is
less.
All 3-person arbitration cases proceeding |
in accordance with any uninsured
motorist
coverage conducted |
in this State in
which the claimant is only seeking monetary |
|
damages up to the limits
set forth in Section 7-203 of the |
Illinois Vehicle Code
shall be subject to the following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without |
foundation or other proof:
|
(1) bills, records, and reports of hospitals, |
doctors, dentists,
registered nurses, licensed |
practical nurses, physical therapists, and other
|
healthcare providers;
|
(2) bills for drugs, medical appliances, and |
prostheses;
|
(3) property repair bills or estimates, when |
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
(4) a report of the rate of earnings and time lost |
from work or lost
compensation prepared by an |
employer;
|
(5) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a |
witness that the witness would be allowed to
express |
if testifying in person, if the opinion or statement |
is made by
affidavit or by
certification as provided |
in Section 1-109 of the Code of Civil Procedure;
|
|
(6) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as |
the case may be, for the issuance of a
subpoena directed to |
the author or maker or custodian of the document that is
|
the subject of the notice, requiring the person subpoenaed |
to produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
|
in substantially similar form and served by notice as |
provided by Illinois
Supreme Court Rule 204(a)(4). Any |
such subpoena shall be returnable not
less than 5 days |
before the arbitration hearing.
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
expert or opinion witness at the hearing may do so |
provided a written notice
of that
intention is given to |
every other party not less than 60 days prior to the date
|
of hearing, accompanied by a statement containing the |
identity of the
witness, his or her qualifications, the |
subject matter, the basis of the
witness's conclusions,
|
and his or her opinion.
|
(C) Any other party may subpoena the author or maker |
|
of a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that |
the appearance is set before an arbitration panel and to |
give the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(2) No policy insuring
against loss resulting from |
liability imposed by law for property damage
arising out of |
the ownership, maintenance, or use of a motor vehicle shall
be |
renewed, delivered, or issued for delivery in this State with |
respect
to any private passenger or recreational motor vehicle |
that is
designed for use on public highways and that is either |
required to be
registered in this State or is principally |
garaged in this State, unless coverage is made available in |
the amount of the actual
cash value of the motor vehicle |
described in the policy or the corresponding policy limit for |
uninsured motor vehicle property damage coverage,
whichever is |
less, subject to a maximum $250 deductible, for the protection |
of
persons insured thereunder who are legally entitled to |
recover damages from
owners or operators of uninsured motor |
vehicles and hit-and-run motor
vehicles because of property |
|
damage to the motor vehicle described in the
policy.
|
There shall be no liability imposed under the uninsured |
motorist
property damage coverage required by this subsection |
if the owner or
operator of the at-fault uninsured motor |
vehicle or hit-and-run motor
vehicle cannot be identified. |
This subsection shall not apply to any
policy which does not |
provide primary motor vehicle liability insurance for
|
liabilities arising from the maintenance, operation, or use of |
a
specifically insured motor vehicle.
|
Each insurance company providing motor vehicle property |
damage liability
insurance shall advise applicants of the |
availability of uninsured motor
vehicle property damage |
coverage, the premium therefor, and provide a brief
|
description of the coverage. That information
need be given |
only once and shall not be required in any subsequent renewal,
|
reinstatement or reissuance, substitute, amended, replacement |
or
supplementary policy. No written rejection shall be |
required, and
the absence of a premium payment for uninsured |
motor vehicle property damage
shall constitute conclusive |
proof that the applicant or policyholder has
elected not to |
accept uninsured motorist property damage coverage.
|
An insurance company issuing uninsured motor vehicle
|
property damage coverage may provide that:
|
(i) Property damage losses recoverable thereunder |
shall be limited to
damages caused by the actual physical |
contact of an uninsured motor vehicle
with the insured |
|
motor vehicle.
|
(ii) There shall be no coverage for loss of use of the |
insured motor
vehicle and no coverage for loss or damage |
to personal property located in
the insured motor vehicle.
|
(iii) Any claim submitted shall include the name and |
address of the
owner of the at-fault uninsured motor |
vehicle, or a registration number and
description of the |
vehicle, or any other available information to
establish |
that there is no applicable motor vehicle property damage |
liability
insurance.
|
Any dispute with respect to the coverage and the amount of
|
damages shall be submitted for
arbitration to the American |
Arbitration Association and be subject to its
rules for the |
conduct of arbitration hearings or for determination in
the |
following manner: Upon the insured requesting arbitration, |
each party
to the dispute shall select an arbitrator and the 2 |
arbitrators so named
shall select a third arbitrator. If such |
arbitrators are not selected
within 45 days from such request, |
either party may request that the
arbitration be submitted to |
the American Arbitration Association.
Any arbitration |
proceeding under this subsection seeking recovery for
property |
damages shall be
subject to the following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without |
|
foundation or other proof:
|
(1) property repair bills or estimates, when |
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
(2) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a |
witness that the witness would be allowed to
express |
if testifying in person, if the opinion or statement |
is made by
affidavit or by
certification as provided |
in Section 1-109 of the Code of Civil Procedure;
|
(3) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as |
the case may be, for the issuance of a
subpoena directed to |
the author or maker or custodian of the document that is
|
the subject of the notice, requiring the person subpoenaed |
to produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
|
in substantially similar form and served by notice as |
provided by Illinois
Supreme Court Rule 204(a)(4). Any |
such subpoena shall be returnable not
less than 5 days |
before the arbitration hearing.
|
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
expert or opinion witness at the hearing may do so |
provided a written notice
of that
intention is given to |
every other party not less than 60 days prior to the date
|
of hearing, accompanied by a statement containing the |
identity of the
witness, his or her qualifications, the |
subject matter, the basis of the
witness's conclusions,
|
and his or her opinion.
|
(C) Any other party may subpoena the author or maker |
of a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that |
the appearance is set before an arbitration panel and to |
give the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(3) For the purpose of the coverage, the term "uninsured |
motor
vehicle" includes, subject to the terms and conditions |
of the coverage,
a motor vehicle where on, before , or after the |
accident date the
liability insurer thereof is unable to make |
|
payment with respect to the
legal liability of its insured |
within the limits specified in the policy
because of the entry |
by a court of competent jurisdiction of an order of
|
rehabilitation or liquidation by reason of insolvency on or |
after the
accident date. An insurer's extension of coverage, |
as provided in this
subsection, shall be applicable to all |
accidents occurring after July
1, 1967 during a policy period |
in which its insured's uninsured motor
vehicle coverage is in |
effect. Nothing in this Section may be construed
to prevent |
any insurer from extending coverage under terms and
conditions |
more favorable to its insureds than is required by this |
Section.
|
(4) In the event of payment to any person under the |
coverage
required by this Section and subject to the terms and |
conditions of the
coverage, the insurer making the payment |
shall, to the extent thereof,
be entitled to the proceeds of |
any settlement or judgment resulting from
the exercise of any |
rights of recovery of the person against any person
or |
organization legally responsible for the property damage, |
bodily
injury or death for which the payment is made, |
including the proceeds
recoverable from the assets of the |
insolvent insurer. With respect to
payments made by reason of |
the coverage described in subsection (3), the
insurer making |
such payment shall not be entitled to any right of recovery
|
against the tortfeasor in excess of the proceeds recovered |
from the assets
of the insolvent insurer of the tortfeasor.
|
|
(5) This amendatory Act of 1967 (Laws of Illinois 1967, |
page 875) shall not be construed to terminate
or reduce any |
insurance coverage or any right of any party under this
Code in |
effect before July 1, 1967. Public Act 86-1155 shall not
be |
construed to terminate or reduce any insurance coverage or any |
right of
any party under this Code in effect before its |
effective date.
|
(6) Failure of the motorist from whom the claimant is |
legally
entitled to recover damages to file the appropriate |
forms with the
Safety Responsibility Section of the Department |
of Transportation within
120 days of the accident date shall |
create a rebuttable presumption that
the motorist was |
uninsured at the time of the injurious occurrence.
|
(7) An insurance carrier may upon good cause require the
|
insured to commence a legal action against the owner or |
operator of an
uninsured motor vehicle before good faith |
negotiation with the carrier. If
the action is commenced at |
the request of the insurance carrier, the
carrier shall pay to |
the insured, before the action is commenced, all court
costs, |
jury fees and sheriff's fees arising from the action.
|
The changes made by Public Act 90-451 apply to all |
policies of
insurance amended, delivered, issued, or renewed |
on and after January 1, 1998 (the effective
date of Public Act |
90-451).
|
(8) The changes made by Public Act 98-927 apply to all |
policies of
insurance amended, delivered, issued, or renewed |
|
on and after January 1, 2015 (the effective
date of Public Act |
98-927). |
(Source: P.A. 102-775, eff. 5-13-22; revised 8-3-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 143a. Uninsured and hit-and-run hit and run motor |
vehicle coverage.
|
(1) No policy insuring against
loss resulting from |
liability imposed by law for bodily injury or death
suffered |
by any person arising out of the ownership, maintenance or use
|
of a motor vehicle that is designed for use on public highways |
and that
is either required to be registered in this State or |
is principally garaged
in this State shall be renewed, |
delivered, or issued for delivery
in this State unless |
coverage is provided therein or
supplemental thereto, in |
limits for bodily injury or death set forth in
Section 7-203 of |
the Illinois Vehicle Code for the
protection of persons |
insured thereunder who are legally entitled to
recover damages |
from owners or operators of uninsured motor vehicles and
|
hit-and-run motor vehicles because of bodily injury, sickness |
or
disease, including death, resulting therefrom. Uninsured |
motor vehicle
coverage does not apply to bodily injury, |
sickness, disease, or death resulting
therefrom, of an insured |
while occupying a motor vehicle owned by, or furnished
or |
available for the regular use of the insured, a resident |
spouse or resident
relative, if that motor vehicle is not |
|
described in the policy under which a
claim is made or is not a |
newly acquired or replacement motor vehicle covered
under the |
terms of the policy. The limits for any coverage for any |
vehicle
under the policy may not be aggregated with the limits |
for any similar
coverage, whether provided by the same insurer |
or another insurer, applying to
other motor vehicles, for |
purposes of determining the total limit of insurance
coverage |
available for bodily injury or death suffered by a person in |
any one
crash. No
policy shall be renewed, delivered, or |
issued for delivery in this
State unless it is provided |
therein that any dispute
with respect to the coverage and the |
amount of damages shall be submitted
for arbitration to the
|
American Arbitration Association and be subject to its rules |
for the conduct
of arbitration hearings
as to all matters |
except medical opinions. As to medical opinions, if the
amount |
of damages being sought is equal to or less than the amount |
provided for
in Section 7-203 of the Illinois Vehicle Code, |
then the current American
Arbitration Association Rules shall |
apply. If the amount being sought in an
American Arbitration |
Association case exceeds that amount as set forth in
Section |
7-203 of the Illinois Vehicle Code, then the Rules of Evidence |
that
apply in the circuit court for placing medical opinions |
into evidence shall
govern. Alternatively, disputes with |
respect to damages and the coverage shall
be
determined in the
|
following
manner: Upon the insured requesting arbitration, |
each party to the
dispute shall select an arbitrator and the 2 |
|
arbitrators so named
shall select a third arbitrator. If such |
arbitrators are not selected
within 45 days from such request, |
either party may request that the
arbitration be submitted to |
the American Arbitration Association.
Any decision made by the |
arbitrators shall be binding for the amount of
damages not |
exceeding $75,000 for bodily injury to or
death of any one |
person, $150,000 for bodily injury to or death of 2 or more
|
persons in any one motor vehicle crash,
or the corresponding |
policy limits for bodily injury or death, whichever is
less.
|
All 3-person arbitration cases proceeding in accordance with |
any uninsured
motorist
coverage conducted in this State in
|
which the claimant is only seeking monetary damages up to the |
limits
set forth in Section 7-203 of the Illinois Vehicle Code
|
shall be subject to the following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without |
foundation or other proof:
|
(1) bills, records, and reports of hospitals, |
doctors, dentists,
registered nurses, licensed |
practical nurses, physical therapists, and other
|
healthcare providers;
|
(2) bills for drugs, medical appliances, and |
prostheses;
|
(3) property repair bills or estimates, when |
|
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
(4) a report of the rate of earnings and time lost |
from work or lost
compensation prepared by an |
employer;
|
(5) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a |
witness that the witness would be allowed to
express |
if testifying in person, if the opinion or statement |
is made by
affidavit or by
certification as provided |
in Section 1-109 of the Code of Civil Procedure;
|
(6) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as |
the case may be, for the issuance of a
subpoena directed to |
the author or maker or custodian of the document that is
|
the subject of the notice, requiring the person subpoenaed |
to produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
|
in substantially similar form and served by notice as |
provided by Illinois
Supreme Court Rule 204(a)(4). Any |
such subpoena shall be returnable not
less than 5 days |
|
before the arbitration hearing.
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
expert or opinion witness at the hearing may do so |
provided a written notice
of that
intention is given to |
every other party not less than 60 days prior to the date
|
of hearing, accompanied by a statement containing the |
identity of the
witness, his or her qualifications, the |
subject matter, the basis of the
witness's conclusions,
|
and his or her opinion.
|
(C) Any other party may subpoena the author or maker |
of a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that |
the appearance is set before an arbitration panel and to |
give the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(2) No policy insuring
against loss resulting from |
liability imposed by law for property damage
arising out of |
the ownership, maintenance, or use of a motor vehicle shall
be |
|
renewed, delivered, or issued for delivery in this State with |
respect
to any private passenger or recreational motor vehicle |
that is
designed for use on public highways and that is either |
required to be
registered in this State or is principally |
garaged in this State, unless coverage is made available in |
the amount of the actual
cash value of the motor vehicle |
described in the policy or the corresponding policy limit for |
uninsured motor vehicle property damage coverage,
whichever is |
less, subject to a maximum $250 deductible, for the protection |
of
persons insured thereunder who are legally entitled to |
recover damages from
owners or operators of uninsured motor |
vehicles and hit-and-run motor
vehicles because of property |
damage to the motor vehicle described in the
policy.
|
There shall be no liability imposed under the uninsured |
motorist
property damage coverage required by this subsection |
if the owner or
operator of the at-fault uninsured motor |
vehicle or hit-and-run motor
vehicle cannot be identified. |
This subsection shall not apply to any
policy which does not |
provide primary motor vehicle liability insurance for
|
liabilities arising from the maintenance, operation, or use of |
a
specifically insured motor vehicle.
|
Each insurance company providing motor vehicle property |
damage liability
insurance shall advise applicants of the |
availability of uninsured motor
vehicle property damage |
coverage, the premium therefor, and provide a brief
|
description of the coverage. That information
need be given |
|
only once and shall not be required in any subsequent renewal,
|
reinstatement or reissuance, substitute, amended, replacement |
or
supplementary policy. No written rejection shall be |
required, and
the absence of a premium payment for uninsured |
motor vehicle property damage
shall constitute conclusive |
proof that the applicant or policyholder has
elected not to |
accept uninsured motorist property damage coverage.
|
An insurance company issuing uninsured motor vehicle
|
property damage coverage may provide that:
|
(i) Property damage losses recoverable thereunder |
shall be limited to
damages caused by the actual physical |
contact of an uninsured motor vehicle
with the insured |
motor vehicle.
|
(ii) There shall be no coverage for loss of use of the |
insured motor
vehicle and no coverage for loss or damage |
to personal property located in
the insured motor vehicle.
|
(iii) Any claim submitted shall include the name and |
address of the
owner of the at-fault uninsured motor |
vehicle, or a registration number and
description of the |
vehicle, or any other available information to
establish |
that there is no applicable motor vehicle property damage |
liability
insurance.
|
Any dispute with respect to the coverage and the amount of
|
damages shall be submitted for
arbitration to the American |
Arbitration Association and be subject to its
rules for the |
conduct of arbitration hearings or for determination in
the |
|
following manner: Upon the insured requesting arbitration, |
each party
to the dispute shall select an arbitrator and the 2 |
arbitrators so named
shall select a third arbitrator. If such |
arbitrators are not selected
within 45 days from such request, |
either party may request that the
arbitration be submitted to |
the American Arbitration Association.
Any arbitration |
proceeding under this subsection seeking recovery for
property |
damages shall be
subject to the following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without |
foundation or other proof:
|
(1) property repair bills or estimates, when |
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
(2) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a |
witness that the witness would be allowed to
express |
if testifying in person, if the opinion or statement |
is made by
affidavit or by
certification as provided |
in Section 1-109 of the Code of Civil Procedure;
|
(3) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as |
the case may be, for the issuance of a
subpoena directed to |
the author or maker or custodian of the document that is
|
the subject of the notice, requiring the person subpoenaed |
to produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
|
in substantially similar form and served by notice as |
provided by Illinois
Supreme Court Rule 204(a)(4). Any |
such subpoena shall be returnable not
less than 5 days |
before the arbitration hearing.
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
expert or opinion witness at the hearing may do so |
provided a written notice
of that
intention is given to |
every other party not less than 60 days prior to the date
|
of hearing, accompanied by a statement containing the |
identity of the
witness, his or her qualifications, the |
subject matter, the basis of the
witness's conclusions,
|
and his or her opinion.
|
(C) Any other party may subpoena the author or maker |
of a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
|
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that |
the appearance is set before an arbitration panel and to |
give the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(3) For the purpose of the coverage, the term "uninsured |
motor
vehicle" includes, subject to the terms and conditions |
of the coverage,
a motor vehicle where on, before, or after the |
date of the crash the
liability insurer thereof is unable to |
make payment with respect to the
legal liability of its |
insured within the limits specified in the policy
because of |
the entry by a court of competent jurisdiction of an order of
|
rehabilitation or liquidation by reason of insolvency on or |
after the date of the crash. An insurer's extension of |
coverage, as provided in this
subsection, shall be applicable |
to all crashes occurring after July
1, 1967 during a policy |
period in which its insured's uninsured motor
vehicle coverage |
is in effect. Nothing in this Section may be construed
to |
prevent any insurer from extending coverage under terms and
|
conditions more favorable to its insureds than is required by |
this Section.
|
(4) In the event of payment to any person under the |
coverage
required by this Section and subject to the terms and |
|
conditions of the
coverage, the insurer making the payment |
shall, to the extent thereof,
be entitled to the proceeds of |
any settlement or judgment resulting from
the exercise of any |
rights of recovery of the person against any person
or |
organization legally responsible for the property damage, |
bodily
injury or death for which the payment is made, |
including the proceeds
recoverable from the assets of the |
insolvent insurer. With respect to
payments made by reason of |
the coverage described in subsection (3), the
insurer making |
such payment shall not be entitled to any right of recovery
|
against the tortfeasor in excess of the proceeds recovered |
from the assets
of the insolvent insurer of the tortfeasor.
|
(5) This amendatory Act of 1967 (Laws of Illinois 1967, |
page 875) shall not be construed to terminate
or reduce any |
insurance coverage or any right of any party under this
Code in |
effect before July 1, 1967. Public Act 86-1155 shall not
be |
construed to terminate or reduce any insurance coverage or any |
right of
any party under this Code in effect before its |
effective date.
|
(6) Failure of the motorist from whom the claimant is |
legally
entitled to recover damages to file the appropriate |
forms with the
Safety Responsibility Section of the Department |
of Transportation within
120 days of the date of the crash |
shall create a rebuttable presumption that
the motorist was |
uninsured at the time of the injurious occurrence.
|
(7) An insurance carrier may upon good cause require the
|
|
insured to commence a legal action against the owner or |
operator of an
uninsured motor vehicle before good faith |
negotiation with the carrier. If
the action is commenced at |
the request of the insurance carrier, the
carrier shall pay to |
the insured, before the action is commenced, all court
costs, |
jury fees and sheriff's fees arising from the action.
|
The changes made by Public Act 90-451 apply to all |
policies of
insurance amended, delivered, issued, or renewed |
on and after January 1, 1998 (the effective
date of Public Act |
90-451).
|
(8) The changes made by Public Act 98-927 apply to all |
policies of
insurance amended, delivered, issued, or renewed |
on and after January 1, 2015 (the effective
date of Public Act |
98-927). |
(Source: P.A. 102-775, eff. 5-13-22; 102-982, eff. 7-1-23; |
revised 8-3-22.)
|
(215 ILCS 5/229.4a)
|
Sec. 229.4a. Standard Nonforfeiture Non-forfeiture Law for |
Individual Deferred
Annuities. |
(1)
Title.
This Section shall be known as the Standard |
Nonforfeiture Law for Individual Deferred Annuities. |
(2) Applicability.
This Section shall not apply to any |
reinsurance, group annuity purchased under a retirement plan |
or plan of deferred compensation established or maintained by |
an employer (including a partnership or sole proprietorship) |
|
or by an employee organization, or by both, other than a plan |
providing individual retirement accounts or individual |
retirement annuities under Section 408 of the Internal Revenue |
Code, as now or hereafter amended, premium deposit fund, |
variable annuity, investment annuity, immediate annuity, any |
deferred annuity contract after annuity payments have |
commenced, or reversionary annuity, nor to any contract which |
shall be delivered outside this State through an agent or |
other representative of the company issuing the contract. |
(3) Nonforfeiture Requirements. |
(A) In the case of contracts issued on or after the |
operative date of this Section
as defined in subsection |
(13), no contract of annuity, except as stated in |
subsection (2), shall be delivered or issued for delivery |
in this State unless it contains in substance the |
following provisions, or corresponding provisions which in |
the opinion of the Director of Insurance are at least as |
favorable to the contract holder, upon cessation of |
payment of considerations under the contract: |
(i) That upon cessation of payment of |
considerations under a contract, or upon the written |
request of the contract owner, the company shall grant |
a paid-up annuity benefit on a plan stipulated in the |
contract of such value as is specified in subsections |
(5), (6), (7), (8) , and (10); |
(ii)
If a contract provides for a lump sum |
|
settlement at maturity, or at any other time, that |
upon surrender of the contract at or prior to the |
commencement of any annuity payments, the company |
shall pay in lieu of a paid-up annuity benefit a cash |
surrender benefit of such amount as is
specified in |
subsections (5), (6), (8) , and (10). The company may |
reserve the right to
defer the payment of the cash |
surrender benefit for a period not to exceed 6 months |
after demand therefor with surrender of the contract |
after making written request and receiving written |
approval of the Director. The request shall address |
the necessity and equitability to all policyholders of |
the deferral; |
(iii) A statement of the mortality table, if any, |
and interest rates used calculating any minimum |
paid-up annuity, cash surrender, or death benefits |
that are guaranteed under the contract, together with |
sufficient information to determine the amounts of the |
benefits; and |
(iv)
A statement that any paid-up annuity, cash |
surrender , or death benefits that may be available |
under the contract are not less than the minimum |
benefits required by any statute of the state in which |
the contract is delivered and an explanation of the |
manner in which the benefits are altered by the |
existence of any additional amounts credited by the |
|
company to the contract, any indebtedness to the |
company on the contract , or any prior withdrawals from |
or partial surrenders of the contract. |
(B) Notwithstanding the requirements of this Section, |
a deferred annuity contract may provide that if no |
considerations have been received under a contract for a |
period of 2 full years and the portion of the paid-up |
annuity benefit at maturity on the plan stipulated in the |
contract arising from prior considerations paid would be |
less than $20 monthly, the company may at its option |
terminate the contract by payment in cash of the then |
present value of the portion of the paid-up annuity |
benefit, calculated on the basis on the mortality table, |
if any, and interest rate specified in the contract for |
determining the paid-up annuity benefit, and by this |
payment shall be relieved of any further obligation under |
the contract. |
(4) Minimum values. The minimum values as specified in |
subsections (5), (6), (7), (8) , and (10) of any paid-up |
annuity, cash surrender , or death benefits available under an |
annuity contract shall be based upon minimum nonforfeiture |
amounts as defined in this subsection.
|
(A)(i) The minimum nonforfeiture amount at any time at |
or prior to the commencement of any annuity payments shall |
be equal to an accumulation up to such time at rates of |
interest as indicated in subdivision (4)(B) of the net |
|
considerations (as hereinafter defined) paid prior to such |
time, decreased by the sum of paragraphs (a) through (d) |
below: |
(a) Any prior withdrawals from or partial |
surrenders of the contract accumulated at rates of |
interest as indicated in subdivision (4)(B);
|
(b) An annual contract charge of $50, accumulated |
at rates of interest as indicated in subdivision |
(4)(B);
|
(c) Any premium tax paid by the company for the |
contract, accumulated at rates of interest as |
indicated in subdivision (4)(B); and
|
(d) The amount of any indebtedness to the company |
on the contract, including
interest due and accrued. |
(ii) The net considerations for a given contract year |
used to define the minimum nonforfeiture amount shall be |
an amount
equal to 87.5% of the gross considerations,
|
credited to the contract during that contract year. |
(B) The interest rate used in determining minimum |
nonforfeiture amounts shall be an
annual rate of interest |
determined as the lesser of 3% per annum
and the |
following, which shall be specified in the contract if the |
interest rate will be reset: |
(i) The 5-year five-year Constant Maturity |
Treasury Rate reported by the Federal Reserve as of a |
date, or average over a period, rounded to the nearest |
|
1/20th of one percent, specified in the contract no |
longer than 15 months prior to the contract issue date |
or redetermination date under subdivision (4)(B)(iv); |
(ii) Reduced by 125 basis points; |
(iii) Where the resulting interest rate is not |
less than 0.15%; and |
(iv) The interest rate shall apply for an initial |
period and may be redetermined for additional periods. |
The redetermination date, basis , and period, if any, |
shall be stated in the contract. The basis is the date |
or average over a specified period that produces the |
value of the 5-year Constant Maturity Treasury Rate to |
be used at each redetermination date. |
(C) During the period or term that a contract provides |
substantive participation in an equity indexed benefit, it |
may increase the reduction described in subdivision |
(4)(B)(ii)
above by up to an additional 100 basis points |
to reflect the value of the equity
index benefit. The |
present value at the contract issue date, and at each
|
redetermination date thereafter, of the additional |
reduction shall not exceed market value of the benefit. |
The Director may require a demonstration that the present |
value of the additional reduction does not exceed the |
market value of the benefit. Lacking such a demonstration |
that is acceptable to the Director, the Director may |
disallow or limit the additional reduction. |
|
(D) The Director may adopt rules to implement the |
provisions of subdivision (4)(C) and to provide for |
further adjustments to the calculation of minimum |
nonforfeiture amounts for contracts that provide |
substantive participation in an equity index benefit and |
for other contracts that the Director determines |
adjustments are justified. |
(5) Computation of Present Value.
Any paid-up annuity |
benefit available under a contract shall be such that its |
present value on the date annuity payments are to commence is |
at least equal to the minimum nonforfeiture amount on that |
date. Present value shall be computed using the mortality |
table, if any, and the interest rates specified in the |
contract for determining the minimum paid-up annuity benefits |
guaranteed in the contract. |
(6) Calculation of Cash Surrender Value.
For contracts |
that provide cash surrender benefits, the cash surrender |
benefits available prior to maturity shall not be less than |
the present value as of the date of surrender of that portion |
of the maturity value of the paid-up annuity benefit that |
would be provided under the contract at maturity arising from |
considerations paid prior to the time of cash surrender |
reduced by the amount appropriate to reflect any prior |
withdrawals from or partial surrenders of the contract, such |
present value being calculated on the basis of an interest |
rate not more than 1% higher than the interest rate specified |
|
in the contract for accumulating the net considerations to |
determine maturity value, decreased by the amount of any |
indebtedness to the company on the contract, including |
interest due and accrued, and increased by any existing |
additional amounts credited by the company to the contract. In |
no event shall any cash surrender benefit be less than the |
minimum nonforfeiture amount at that time. The death benefit |
under such contracts shall be at least equal to the cash |
surrender benefit. |
(7) Calculation of Paid-up Annuity Benefits.
For contracts |
that do not provide cash surrender benefits, the present value |
of any paid-up annuity benefit available as a nonforfeiture |
option at any time prior to maturity shall not be less than the |
present value of that portion of the maturity value of the |
paid-up annuity benefit provided under the contract arising |
from considerations paid prior to the time the contract is
|
surrendered in exchange for, or changed to, a deferred paid-up |
annuity, such present value being calculated for the period |
prior to the maturity date on the basis of the interest rate |
specified in the contract for accumulating the net |
considerations to determine maturity value, and increased by |
any additional amounts credited by the company to the |
contract. For contracts that do not provide any death benefits |
prior to the commencement of any annuity payments, present |
values shall be calculated on the basis of such interest rate |
and the mortality table specified in the contract for |
|
determining the maturity value of the paid-up annuity benefit. |
However, in no event shall the present value of a paid-up |
annuity benefit be less than the minimum nonforfeiture amount |
at that time. |
(8) Maturity Date.
For the purpose of determining the |
benefits calculated under subsections (6) and (7), in the case |
of annuity contracts under which an election may be made to |
have annuity payments commence at optional maturity dates, the |
maturity date shall be deemed to be the latest date for which |
election shall be permitted by the contract, but shall not be |
deemed to be later than the anniversary of the contract next |
following the annuitant's seventieth birthday or the tenth |
anniversary of the contract, whichever is later. |
(9) Disclosure of Limited Death Benefits.
A contract that |
does not provide cash surrender benefits or does not provide |
death benefits at least equal to the minimum nonforfeiture |
amount prior to the commencement of any annuity payments shall |
include a statement in a prominent place in the contract that |
such benefits are not
provided. |
(10) Inclusion of Lapse of Time Considerations.
Any |
paid-up annuity, cash surrender , or death benefits available |
at any time, other than on the contract anniversary under any |
contract with fixed scheduled considerations, shall be |
calculated with allowance for the lapse of time and the |
payment of any scheduled considerations beyond the beginning |
of the contract year in which cessation of payment of |
|
considerations under the contract occurs. |
(11) Proration of Values; Additional Benefits.
For a |
contract which provides, within the same contract by rider or |
supplemental contract provision, both annuity benefits and |
life insurance benefits that are in excess of the greater of |
cash surrender benefits or a return of the gross |
considerations with interest, the minimum nonforfeiture |
benefits shall be equal to the sum of the minimum |
nonforfeiture benefits for the annuity portion and the minimum |
nonforfeiture benefits, if any, for the life insurance portion |
computed as if each portion were a separate contract. |
Notwithstanding the provisions of subsections (5), (6), (7), |
(8) , and (10), additional benefits payable in the event of |
total and permanent disability, as reversionary annuity or |
deferred reversionary annuity benefits, or as other policy |
benefits additional to life insurance, endowment , and annuity |
benefits, and considerations for all such additional benefits, |
shall be disregarded in ascertaining the minimum nonforfeiture |
amounts,
paid-up annuity, cash surrender , and death benefits |
that may be required under this Section. The inclusion of such |
benefits shall not be required in any paid-up benefits, unless |
the additional benefits separately would require minimum |
nonforfeiture amounts, paid-up annuity, cash surrender , and |
death benefits. |
(12) Rules. The Director may adopt rules to implement the |
provisions of this Section. |
|
(13) Effective Date. After August 6, 2004 ( the effective |
date of Public Act 93-873) this amendatory Act of the 93rd |
General Assembly , a company may elect to apply its provisions |
to annuity
contracts on a contract form-by-contract form basis |
before July 1, 2006. In all other instances, this Section |
shall become operative with respect to annuity contracts |
issued by the company on or after July 1, 2006.
|
(14) (Blank).
|
(Source: P.A. 102-775, eff. 5-13-22; revised 8-19-22.)
|
(215 ILCS 5/356z.14) |
Sec. 356z.14. Autism spectrum disorders. |
(a) A group or individual policy of accident and health |
insurance or managed care plan amended, delivered, issued, or |
renewed after December 12, 2008 ( the effective date of Public |
Act 95-1005) this amendatory Act of the 95th General Assembly |
must provide individuals under 21 years of age coverage for |
the diagnosis of autism spectrum disorders and for the |
treatment of autism spectrum disorders to the extent that the |
diagnosis and treatment of autism spectrum disorders are not |
already covered by the policy of accident and health insurance |
or managed care plan. |
(b) Coverage provided under this Section shall be subject |
to a maximum benefit of $36,000 per year, but shall not be |
subject to any limits on the number of visits to a service |
provider. After December 30, 2009, the Director of the |
|
Division of Insurance shall, on an annual basis, adjust the |
maximum benefit for inflation using the Medical Care Component |
of the United States Department of Labor Consumer Price Index |
for All Urban Consumers. Payments made by an insurer on behalf |
of a covered individual for any care, treatment, intervention, |
service, or item, the provision of which was for the treatment |
of a health condition not diagnosed as an autism spectrum |
disorder, shall not be applied toward any maximum benefit |
established under this subsection. |
(c) Coverage under this Section shall be subject to |
copayment, deductible, and coinsurance provisions of a policy |
of accident and health insurance or managed care plan to the |
extent that other medical services covered by the policy of |
accident and health insurance or managed care plan are subject |
to these provisions. |
(d) This Section shall not be construed as limiting |
benefits that are otherwise available to an individual under a |
policy of accident and health insurance or managed care plan |
and benefits provided under this Section may not be subject to |
dollar limits, deductibles, copayments, or coinsurance |
provisions that are less favorable to the insured than the |
dollar limits, deductibles, or coinsurance provisions that |
apply to physical illness generally. |
(e) An insurer may not deny or refuse to provide otherwise |
covered services, or refuse to renew, refuse to reissue, or |
otherwise terminate or restrict coverage under an individual |
|
contract to provide services to an individual because the |
individual or their dependent is diagnosed with an autism |
spectrum disorder or due to the individual utilizing benefits |
in this Section. |
(e-5) An insurer may not deny or refuse to provide |
otherwise covered services under a group or individual policy |
of accident and health insurance or a managed care plan solely |
because of the location wherein the clinically appropriate |
services are provided. |
(f) Upon request of the reimbursing insurer, a provider of |
treatment for autism spectrum disorders shall furnish medical |
records, clinical notes, or other necessary data that |
substantiate that initial or continued medical treatment is |
medically necessary and is resulting in improved clinical |
status. When treatment is anticipated to require continued |
services to achieve demonstrable progress, the insurer may |
request a treatment plan consisting of diagnosis, proposed |
treatment by type, frequency, anticipated duration of |
treatment, the anticipated outcomes stated as goals, and the |
frequency by which the treatment plan will be updated. |
(g) When making a determination of medical necessity for a |
treatment modality for autism spectrum disorders, an insurer |
must make the determination in a manner that is consistent |
with the manner used to make that determination with respect |
to other diseases or illnesses covered under the policy, |
including an appeals process. During the appeals process, any |
|
challenge to medical necessity must be viewed as reasonable |
only if the review includes a physician with expertise in the |
most current and effective treatment modalities for autism |
spectrum disorders. |
(h) Coverage for medically necessary early intervention |
services must be delivered by certified early intervention |
specialists, as defined in 89 Ill. Adm. Admin. Code 500 and any |
subsequent amendments thereto. |
(h-5) If an individual has been diagnosed as having an |
autism spectrum disorder, meeting the diagnostic criteria in |
place at the time of diagnosis, and treatment is determined |
medically necessary, then that individual shall remain |
eligible for coverage under this Section even if subsequent |
changes to the diagnostic criteria are adopted by the American |
Psychiatric Association. If no changes to the diagnostic |
criteria are adopted after April 1, 2012, and before December |
31, 2014, then this subsection (h-5) shall be of no further |
force and effect. |
(h-10) An insurer may not deny or refuse to provide |
covered services, or refuse to renew, refuse to reissue, or |
otherwise terminate or restrict coverage under an individual |
contract, for a person diagnosed with an autism spectrum |
disorder on the basis that the individual declined an |
alternative medication or covered service when the |
individual's health care provider has determined that such |
medication or covered service may exacerbate clinical |
|
symptomatology and is medically contraindicated for the |
individual and the individual has requested and received a |
medical exception as provided for under Section 45.1 of the |
Managed Care Reform and Patient Rights Act. For the purposes |
of this subsection (h-10), "clinical symptomatology" means any |
indication of disorder or disease when experienced by an |
individual as a change from normal function, sensation, or |
appearance. |
(h-15) If, at any time, the Secretary of the United States |
Department of Health and Human Services, or its successor |
agency, promulgates rules or regulations to be published in |
the Federal Register or publishes a comment in the Federal |
Register or issues an opinion, guidance, or other action that |
would require the State, pursuant to any provision of the |
Patient Protection and Affordable Care Act (Public Law |
111-148), including, but not limited to, 42 U.S.C. |
18031(d)(3)(B) or any successor provision, to defray the cost |
of any coverage outlined in subsection (h-10), then subsection |
(h-10) is inoperative with respect to all coverage outlined in |
subsection (h-10) other than that authorized under Section |
1902 of the Social Security Act, 42 U.S.C. 1396a, and the State |
shall not assume any obligation for the cost of the coverage |
set forth in subsection (h-10). |
(i) As used in this Section: |
"Autism spectrum disorders" means pervasive developmental |
disorders as defined in the most recent edition of the |
|
Diagnostic and Statistical Manual of Mental Disorders, |
including autism, Asperger's disorder, and pervasive |
developmental disorder not otherwise specified. |
"Diagnosis of autism spectrum disorders" means one or more |
tests, evaluations, or assessments to diagnose whether an |
individual has autism spectrum disorder that is prescribed, |
performed, or ordered by (A) a physician licensed to practice |
medicine in all its branches or (B) a licensed clinical |
psychologist with expertise in diagnosing autism spectrum |
disorders. |
"Medically necessary" means any care, treatment, |
intervention, service or item which will or is reasonably |
expected to do any of the following: (i) prevent the onset of |
an illness, condition, injury, disease , or disability; (ii) |
reduce or ameliorate the physical, mental or developmental |
effects of an illness, condition, injury, disease , or |
disability; or (iii) assist to achieve or maintain maximum |
functional activity in performing daily activities. |
"Treatment for autism spectrum disorders" shall include |
the following care prescribed, provided, or ordered for an |
individual diagnosed with an autism spectrum disorder by (A) a |
physician licensed to practice medicine in all its branches or |
(B) a certified, registered, or licensed health care |
professional with expertise in treating effects of autism |
spectrum disorders when the care is determined to be medically |
necessary and ordered by a physician licensed to practice |
|
medicine in all its branches: |
(1) Psychiatric care, meaning direct, consultative, or |
diagnostic services provided by a licensed psychiatrist. |
(2) Psychological care, meaning direct or consultative |
services provided by a licensed psychologist. |
(3) Habilitative or rehabilitative care, meaning |
professional, counseling, and guidance services and |
treatment programs, including applied behavior analysis, |
that are intended to develop, maintain, and restore the |
functioning of an individual. As used in this subsection |
(i), "applied behavior analysis" means the design, |
implementation, and evaluation of environmental |
modifications using behavioral stimuli and consequences to |
produce socially significant improvement in human |
behavior, including the use of direct observation, |
measurement, and functional analysis of the relations |
between environment and behavior. |
(4) Therapeutic care, including behavioral, speech, |
occupational, and physical therapies that provide |
treatment in the following areas: (i) self care and |
feeding, (ii) pragmatic, receptive, and expressive |
language, (iii) cognitive functioning, (iv) applied |
behavior analysis, intervention, and modification, (v) |
motor planning, and (vi) sensory processing. |
(j) Rulemaking authority to implement this amendatory Act |
of the 95th General Assembly, if any, is conditioned on the |
|
rules being adopted in accordance with all provisions of the |
Illinois Administrative Procedure Act and all rules and |
procedures of the Joint Committee on Administrative Rules; any |
purported rule not so adopted, for whatever reason, is |
unauthorized.
|
(Source: P.A. 102-322, eff. 1-1-22; revised 2-28-22.)
|
(215 ILCS 5/356z.53) |
Sec. 356z.53. Coverage for home health services. A group |
or individual policy of accident and health insurance or a |
managed care plan that is amended, delivered, issued, or |
renewed on or after January 1, 2024 shall provide coverage for |
access to home health services for the duration of medically |
necessary care.
|
(Source: P.A. 102-816, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/356z.54)
|
Sec. 356z.54 356z.53 . Coverage for breast reduction |
surgery. A group or individual policy of accident and health |
insurance or a managed care plan that is amended, delivered, |
issued, or renewed on or after January 1, 2024 shall provide |
coverage for medically necessary breast reduction surgery.
|
(Source: P.A. 102-731, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/356z.55)
|
(This Section may contain text from a Public Act with a |
|
delayed effective date ) |
Sec. 356z.55 356z.53 . Coverage for cleft lip and cleft |
palate. |
(a) As used in this Section, "medically necessary care and |
treatment" to address congenital anomalies associated with a |
cleft lip or palate, or both, includes: |
(1) oral and facial surgery, including reconstructive |
services and procedures necessary to improve and restore |
and maintain vital functions; |
(2) prosthetic treatment such as obturators |
obdurators , speech appliances, and feeding appliances; |
(3) orthodontic treatment and management; |
(4) prosthodontic treatment and management; and |
(5) otolaryngology treatment and management. |
"Medically necessary care and treatment" does not include |
cosmetic surgery performed to reshape normal structures of the |
lip, jaw, palate, or other facial structures to improve |
appearance. |
(b) An individual or group policy of accident and health |
insurance amended, delivered, issued, or renewed on or after |
January 1, 2024 ( the effective date of Public Act 102-768) |
this amendatory Act of the 102nd General Assembly shall |
provide coverage for the medically necessary care and |
treatment of cleft lip and palate for children under the age of |
19. Coverage for cleft lip and palate care and treatment may |
impose the same deductible, coinsurance, or other cost-sharing |
|
limitation that is imposed on other related surgical benefits |
under the policy. |
(c) This Section does not apply to a policy that covers |
only dental care.
|
(Source: P.A. 102-768, eff. 1-1-24; revised 7-25-22.)
|
(215 ILCS 5/356z.56)
|
Sec. 356z.56 356z.53 . Coverage for hormone therapy to |
treat menopause. A group or individual policy of accident and |
health insurance or a managed care plan that is amended, |
delivered, issued, or renewed on or after January 1, 2024 |
shall provide coverage for medically necessary hormone therapy |
treatment to treat menopause that has been induced by a |
hysterectomy.
|
(Source: P.A. 102-804, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/356z.57)
|
Sec. 356z.57 356z.53 . Pediatric palliative care. |
(a) A group or individual policy of accident and health |
insurance or a managed care plan amended, delivered, issued, |
or renewed on or after January 1, 2024 shall provide coverage |
for community-based pediatric palliative care and hospice |
care. This care shall be delivered to any qualifying child |
with a serious illness by a trained interdisciplinary team |
that allows a child to receive community-based pediatric |
palliative care and hospice care while continuing to pursue |
|
curative treatment and disease-directed therapies for the |
qualifying illness. |
(b) As used in this Section, "palliative care" and |
"serious illness" have the same meaning as set forth in the |
Pediatric Palliative Care Act.
|
(Source: P.A. 102-860, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/356z.58)
|
Sec. 356z.58 356z.53 . Prenatal vitamins coverage. A group |
or individual policy of accident and health insurance that is |
amended, delivered, issued, or renewed on or after January 1, |
2024 that provides coverage for prescription drugs shall |
provide coverage for prenatal vitamins when prescribed by a |
physician licensed to practice medicine in all of its branches |
or an advanced practice registered nurse licensed under the |
Nurse Practice Act.
|
(Source: P.A. 102-930, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/356z.59)
|
Sec. 356z.59 356z.53 . Coverage for continuous glucose |
monitors. A group or individual policy of accident and health |
insurance or a managed care plan that is amended, delivered, |
issued, or renewed on or after January 1, 2024 shall provide |
coverage for medically necessary continuous glucose monitors |
for individuals who are diagnosed with type 1 or type 2 |
diabetes and require insulin for the management of their |
|
diabetes.
|
(Source: P.A. 102-1093, eff. 1-1-23; revised 12-29-22.)
|
(215 ILCS 5/364.01) |
Sec. 364.01. Qualified clinical cancer trials. |
(a) No individual or group policy of accident and health |
insurance issued or renewed in this State may be cancelled or |
non-renewed for any individual based on that individual's |
participation in a qualified clinical cancer trial. |
(b) Qualified clinical cancer trials must meet the |
following criteria: |
(1) the effectiveness of the treatment has not been |
determined relative to established therapies; |
(2) the trial is under clinical investigation as part |
of an approved cancer research trial in Phase II, Phase |
III, or Phase IV of investigation; |
(3) the trial is: |
(A) approved by the Food and Drug Administration; |
or |
(B) approved and funded by the National Institutes |
of Health, the Centers for Disease Control and |
Prevention, the Agency for Healthcare Research and |
Quality, the United States Department of Defense, the |
United States Department of Veterans Affairs, or the |
United States Department of Energy in the form of an |
investigational new drug application, or a cooperative |
|
group or center of any entity described in this |
subdivision (B); and
|
(4) the patient's primary care physician, if any, is |
involved in the coordination of care.
|
(c) No group policy of accident and health insurance shall |
exclude coverage for any routine patient care administered to |
an insured who is a qualified individual participating in a |
qualified clinical cancer trial, if the policy covers that |
same routine patient care of insureds not enrolled in a |
qualified clinical cancer trial. |
(d) The coverage that may not be excluded under subsection |
(c) of this Section is subject to all terms, conditions, |
restrictions, exclusions, and limitations that apply to the |
same routine patient care received by an insured not enrolled |
in a qualified clinical cancer trial, including the |
application of any authorization requirement, utilization |
review, or medical management practices. The insured or |
enrollee shall incur no greater out-of-pocket liability than |
had the insured or enrollee not enrolled in a qualified |
clinical cancer trial. |
(e) If the group policy of accident and health insurance |
uses a preferred provider program and a preferred provider |
provides routine patient care in connection with a qualified |
clinical cancer trial, then the insurer may require the |
insured to use the preferred provider if the preferred |
provider agrees to provide to the insured that routine patient |
|
care. |
(f) A qualified clinical cancer trial may not pay or |
refuse to pay for routine patient care of an individual |
participating in the trial, based in whole or in part on the |
person's having or not having coverage for routine patient |
care under a group policy of accident and health insurance. |
(g) Nothing in this Section shall be construed to limit an |
insurer's coverage with respect to clinical trials. |
(h) Nothing in this Section shall require coverage for |
out-of-network services where the underlying health benefit |
plan does not provide coverage for out-of-network services. |
(i) As used in this Section, "routine patient care" means |
all health care services provided in the qualified clinical |
cancer trial that are otherwise generally covered under the |
policy if those items or services were not provided in |
connection with a qualified clinical cancer trial consistent |
with the standard of care for the treatment of cancer, |
including the type and frequency of any diagnostic modality, |
that a provider typically provides to a cancer patient who is |
not enrolled in a qualified clinical cancer trial. "Routine |
patient care" does not include, and a group policy of accident |
and health insurance may exclude, coverage for: |
(1) a health care service, item, or drug that is the |
subject of the cancer clinical trial; |
(2) a health care service, item, or drug provided |
solely to satisfy data collection and analysis needs for |
|
the qualified clinical cancer trial that is not used in |
the direct clinical management of the patient; |
(3) an investigational drug or device that has not |
been approved for market by the United States Food and |
Drug Administration; |
(4) transportation, lodging, food, or other expenses |
for the patient or a family member or companion of the |
patient that are associated with the travel to or from a |
facility providing the qualified clinical cancer trial, |
unless the policy covers these expenses for a cancer |
patient who is not enrolled in a qualified clinical cancer |
trial; |
(5) a health care service, item, or drug customarily |
provided by the qualified clinical cancer trial sponsors |
free of charge for any patient; |
(6) a health care service or item, which except for |
the fact that it is being provided in a qualified clinical |
cancer trial, is otherwise specifically excluded from |
coverage under the insured's policy, including: |
(A) costs of extra treatments, services, |
procedures, tests, or drugs that would not be |
performed or administered except for the fact that the |
insured is participating in the cancer clinical trial; |
and |
(B) costs of nonhealth care services that the |
patient is required to receive as a result of |
|
participation in the approved cancer clinical trial; |
(7) costs for services, items, or drugs that are |
eligible for reimbursement from a source other than a |
patient's contract or policy providing for third-party |
payment or prepayment of health or medical expenses, |
including the sponsor of the approved cancer clinical |
trial; |
(8) costs associated with approved cancer clinical |
trials designed exclusively to test toxicity or disease |
pathophysiology, unless the policy covers these expenses |
for a cancer patient who is not enrolled in a qualified |
clinical cancer trial; or |
(9) a health care service or item that is eligible for |
reimbursement by a source other than the insured's policy, |
including the sponsor of the qualified clinical cancer |
trial. |
The definitions of the terms "health care services", |
"Non-Preferred Provider", "Preferred Provider", and "Preferred |
Provider Program", stated in 50 Ill. IL Adm. Code Part 2051 |
Preferred Provider Programs apply to these terms in this |
Section. |
(j) The external review procedures established under the |
Health Carrier External Review Act shall apply to the |
provisions under this Section. |
(Source: P.A. 97-91, eff. 1-1-12; 97-813, eff. 7-13-12; |
revised 3-16-22.)
|
|
(215 ILCS 5/513b1) |
Sec. 513b1. Pharmacy benefit manager contracts. |
(a) As used in this Section: |
"340B drug discount program" means the program established
|
under Section 340B of the federal Public Health Service Act, |
42 U.S.C. 256b. |
"340B entity" means a covered entity as defined in 42 |
U.S.C. 256b(a)(4) authorized to participate in the 340B drug |
discount program. |
"340B pharmacy" means any pharmacy used to dispense 340B |
drugs for a covered entity, whether entity-owned or external. |
"Biological product" has the meaning ascribed to that term |
in Section 19.5 of the Pharmacy Practice Act. |
"Maximum allowable cost" means the maximum amount that a |
pharmacy benefit manager will reimburse a pharmacy for the |
cost of a drug. |
"Maximum allowable cost list" means a list of drugs for |
which a maximum allowable cost has been established by a |
pharmacy benefit manager. |
"Pharmacy benefit manager" means a person, business, or |
entity, including a wholly or partially owned or controlled |
subsidiary of a pharmacy benefit manager, that provides claims |
processing services or other prescription drug or device |
services, or both, for health benefit plans. |
"Retail price" means the price an individual without |
|
prescription drug coverage would pay at a retail pharmacy, not |
including a pharmacist dispensing fee. |
"Third-party payer" means any entity that pays for |
prescription drugs on behalf of a patient other than a health |
care provider or sponsor of a plan subject to regulation under |
Medicare Part D, 42 U.S.C. 1395w-101 , et seq. |
(b) A contract between a health insurer and a pharmacy |
benefit manager must require that the pharmacy benefit |
manager: |
(1) Update maximum allowable cost pricing information |
at least every 7 calendar days. |
(2) Maintain a process that will, in a timely manner, |
eliminate drugs from maximum allowable cost lists or |
modify drug prices to remain consistent with changes in |
pricing data used in formulating maximum allowable cost |
prices and product availability. |
(3) Provide access to its maximum allowable cost list |
to each pharmacy or pharmacy services administrative |
organization subject to the maximum allowable cost list. |
Access may include a real-time pharmacy website portal to |
be able to view the maximum allowable cost list. As used in |
this Section, "pharmacy services administrative |
organization" means an entity operating within the State |
that contracts with independent pharmacies to conduct |
business on their behalf with third-party payers. A |
pharmacy services administrative organization may provide |
|
administrative services to pharmacies and negotiate and |
enter into contracts with third-party payers or pharmacy |
benefit managers on behalf of pharmacies. |
(4) Provide a process by which a contracted pharmacy |
can appeal the provider's reimbursement for a drug subject |
to maximum allowable cost pricing. The appeals process |
must, at a minimum, include the following: |
(A) A requirement that a contracted pharmacy has |
14 calendar days after the applicable fill date to |
appeal a maximum allowable cost if the reimbursement |
for the drug is less than the net amount that the |
network provider paid to the supplier of the drug. |
(B) A requirement that a pharmacy benefit manager |
must respond to a challenge within 14 calendar days of |
the contracted pharmacy making the claim for which the |
appeal has been submitted. |
(C) A telephone number and e-mail address or |
website to network providers, at which the provider |
can contact the pharmacy benefit manager to process |
and submit an appeal. |
(D) A requirement that, if an appeal is denied, |
the pharmacy benefit manager must provide the reason |
for the denial and the name and the national drug code |
number from national or regional wholesalers. |
(E) A requirement that, if an appeal is sustained, |
the pharmacy benefit manager must make an adjustment |
|
in the drug price effective the date the challenge is |
resolved and make the adjustment applicable to all |
similarly situated network pharmacy providers, as |
determined by the managed care organization or |
pharmacy benefit manager. |
(5) Allow a plan sponsor contracting with a pharmacy |
benefit manager an annual right to audit compliance with |
the terms of the contract by the pharmacy benefit manager, |
including, but not limited to, full disclosure of any and |
all rebate amounts secured, whether product specific or |
generalized rebates, that were provided to the pharmacy |
benefit manager by a pharmaceutical manufacturer. |
(6) Allow a plan sponsor contracting with a pharmacy |
benefit manager to request that the pharmacy benefit |
manager disclose the actual amounts paid by the pharmacy |
benefit manager to the pharmacy. |
(7) Provide notice to the party contracting with the |
pharmacy benefit manager of any consideration that the |
pharmacy benefit manager receives from the manufacturer |
for dispense as written prescriptions once a generic or |
biologically similar product becomes available. |
(c) In order to place a particular prescription drug on a |
maximum allowable cost list, the pharmacy benefit manager |
must, at a minimum, ensure that: |
(1) if the drug is a generically equivalent drug, it |
is listed as therapeutically equivalent and |
|
pharmaceutically equivalent "A" or "B" rated in the United |
States Food and Drug Administration's most recent version |
of the "Orange Book" or have an NR or NA rating by |
Medi-Span, Gold Standard, or a similar rating by a |
nationally recognized reference; |
(2) the drug is available for purchase by each |
pharmacy in the State from national or regional |
wholesalers operating in Illinois; and |
(3) the drug is not obsolete. |
(d) A pharmacy benefit manager is prohibited from limiting |
a pharmacist's ability to disclose whether the cost-sharing |
obligation exceeds the retail price for a covered prescription |
drug, and the availability of a more affordable alternative |
drug, if one is available in accordance with Section 42 of the |
Pharmacy Practice Act. |
(e) A health insurer or pharmacy benefit manager shall not |
require an insured to make a payment for a prescription drug at |
the point of sale in an amount that exceeds the lesser of: |
(1) the applicable cost-sharing amount; or |
(2) the retail price of the drug in the absence of |
prescription drug coverage. |
(f) Unless required by law, a contract between a pharmacy |
benefit manager or third-party payer and a 340B entity or 340B |
pharmacy shall not contain any provision that: |
(1) distinguishes between drugs purchased through the |
340B drug discount program and other drugs when |
|
determining reimbursement or reimbursement methodologies, |
or contains otherwise less favorable payment terms or |
reimbursement methodologies for 340B entities or 340B |
pharmacies when compared to similarly situated non-340B |
entities; |
(2) imposes any fee, chargeback, or rate adjustment |
that is not similarly imposed on similarly situated |
pharmacies that are not 340B entities or 340B pharmacies; |
(3) imposes any fee, chargeback, or rate adjustment |
that exceeds the fee, chargeback, or rate adjustment that |
is not similarly imposed on similarly situated pharmacies |
that are not 340B entities or 340B pharmacies; |
(4) prevents or interferes with an individual's choice |
to receive a covered prescription drug from a 340B entity |
or 340B pharmacy through any legally permissible means, |
except that nothing in this paragraph shall prohibit the |
establishment of differing copayments or other |
cost-sharing amounts within the benefit plan for covered |
persons who acquire covered prescription drugs from a |
nonpreferred or nonparticipating provider; |
(5) excludes a 340B entity or 340B pharmacy from a |
pharmacy network on any basis that includes consideration |
of whether the 340B entity or 340B pharmacy participates |
in the 340B drug discount program; |
(6) prevents a 340B entity or 340B pharmacy from using |
a drug purchased under the 340B drug discount program; or |
|
(7) any other provision that discriminates against a |
340B entity or 340B pharmacy by treating the 340B entity |
or 340B pharmacy differently than non-340B entities or |
non-340B pharmacies for any reason relating to the |
entity's participation in the 340B drug discount program. |
As used in this subsection, "pharmacy benefit manager" and |
"third-party payer" do not include pharmacy benefit managers |
and third-party payers acting on behalf of a Medicaid program. |
(g) A violation of this Section by a pharmacy benefit |
manager constitutes an unfair or deceptive act or practice in |
the business of insurance under Section 424. |
(h) A provision that violates subsection (f) in a contract |
between a pharmacy benefit manager or a third-party payer and |
a 340B entity that is entered into, amended, or renewed after |
July 1, 2022 shall be void and unenforceable. |
(i) This Section applies to contracts entered into or |
renewed on or after July 1, 2022. |
(j) This Section applies to any group or individual policy |
of accident and health insurance or managed care plan that |
provides coverage for prescription drugs and that is amended, |
delivered, issued, or renewed on or after July 1, 2020.
|
(Source: P.A. 101-452, eff. 1-1-20; 102-778, eff. 7-1-22; |
revised 8-19-22.)
|
Section 435. The Small Employer Health Insurance Rating |
Act is amended by changing Section 25 as follows:
|
|
(215 ILCS 93/25)
|
Sec. 25. Premium Rates.
|
(a) Premium rates for health benefit plans subject to this |
Act shall be
subject to all of the following provisions:
|
(1) The index rate for a rating period for any class of |
business shall not
exceed the index rate for any other |
class of business by more than
20%.
|
(2) For a class of business, the premium rates charged |
during a rating
period
to small employers with similar |
case characteristics for the same or similar
coverage, or |
the rates that could be charged to such employers under |
the
rating system for that class of business, shall not |
vary from the index rate by
more than 25% of the index |
rate.
|
(3) The percentage increase in the premium rate |
charged to a small
employer
for a new rating period shall |
not exceed the sum of the following:
|
(A) the percentage change in the new business |
premium rate measured from
the
first day of the prior |
rating period to the first day of the new rating |
period.
In the case of a health benefit plan into which |
the small employer carrier is
no longer enrolling new |
small employers, the small employer carrier shall use
|
the percentage change in the base premium rate;
|
(B) an adjustment, not to exceed 15% annually and
|
|
adjusted
pro rata for rating periods of less than one |
year, due to claim experience,
health status, or |
duration of coverage of the employees or dependents of |
the
small employer as determined from the small |
employer carrier's rate manual for
the class of |
business; and
|
(C) any adjustment due to change in coverage or |
change in the case
characteristics of the small |
employer as determined from the small employer
|
carrier's rate manual for the class of business.
|
(4) Adjustments in rates for a new rating period due |
to claim experience,
health status , and duration of |
coverage shall not be charged to individual
employees or |
dependents. Any such adjustment shall be applied uniformly |
to the
rates charged for all employees and dependents of |
the small employer.
|
(5) In the case of health benefit plans delivered or |
issued for delivery
prior
to the effective date of this |
Act, a premium rate for a rating period may
exceed the |
ranges set forth in items (1) and (2) of this subsection
|
(a) for a period
of 3 years following the effective date of |
this Act. In such case, the
percentage increase in the |
premium rate charged to a small employer for a new
rating |
period shall not exceed the sum of the following:
|
(A) the percentage change in the new business |
premium rate measured from
the
first day of the prior |
|
rating period to the first day of the new rating |
period;
in
the case of a class of business into which |
the small employer carrier is no
longer enrolling new |
small employers employes , the small employer carrier |
shall use the
percentage change in the base premium |
rate, provided that such change does not
exceed, on a |
percentage basis, the change in the new business |
premium rate for
the most similar class of business |
into which the small employer carrier is
actively |
enrolling new small employers; and
|
(B) any adjustment due to change in coverage or |
change in the case
characteristics of the small |
employer as determined from the carrier's rate
manual |
for the class of business.
|
(6) Small employer carriers shall apply rating |
factors, including case
characteristics, consistently with |
respect to all small employers in a class of
business.
A |
small employer carrier shall treat all health benefit |
plans issued or
renewed in the same calendar month as |
having the same rating period.
|
(7) For the purposes of this subsection, a health |
benefit plan that
contains
a restricted network provision |
shall not be considered similar coverage to a
health |
benefit plan that does not contain such a provision, |
provided that the
restriction of benefits to network |
providers results in substantial differences
in claim |
|
costs.
|
(b) A small employer carrier shall not transfer a small |
employer
involuntarily into or out of a class of business. A |
small employer carrier
shall not offer to transfer a small |
employer into or out of a class of business
unless such offer |
is made to transfer all small employers in the class of
|
business without regard to case characteristics, claim |
experience, health
status , or duration of coverage since |
issue.
|
(Source: P.A. 91-510, eff. 1-1-00; revised 8-19-22.)
|
Section 440. The Health Maintenance Organization Act is |
amended by changing Sections 4.5-1 and 5-3 as follows:
|
(215 ILCS 125/4.5-1)
|
Sec. 4.5-1. Point-of-service health service contracts.
|
(a) A health maintenance organization that offers a |
point-of-service
contract:
|
(1) must include as in-plan covered services all |
services required by law
to
be provided by a health |
maintenance organization;
|
(2) must provide incentives, which shall include |
financial incentives, for
enrollees to use in-plan covered |
services;
|
(3) may not offer services out-of-plan without |
providing those services on
an in-plan basis;
|
|
(4) may include annual out-of-pocket limits and |
lifetime maximum
benefits allowances for out-of-plan |
services that are separate from any limits
or
allowances |
applied to in-plan services;
|
(5) may not consider emergency services, authorized |
referral services, or
non-routine services obtained out of |
the service area to be point-of-service
services;
|
(6) may treat as out-of-plan services those services |
that an enrollee
obtains
from a participating provider, |
but for which the proper authorization was not
given by |
the health maintenance organization; and
|
(7) after January 1, 2003 ( the effective date of |
Public Act 92-579) this amendatory Act of the 92nd General
|
Assembly , must include
the following disclosure on its |
point-of-service contracts and evidences of
coverage:
|
"WARNING, LIMITED BENEFITS WILL BE PAID WHEN |
NON-PARTICIPATING
PROVIDERS ARE USED. You should be aware |
that when you elect to utilize the
services of a
|
non-participating provider for a covered service in |
non-emergency situations,
benefit payments
to such |
non-participating provider are not based upon the amount |
billed. The
basis of your
benefit payment will be |
determined according to your policy's fee schedule,
usual |
and customary
charge (which is determined by comparing |
charges for similar services adjusted
to the
geographical |
area where the services are performed), or other method as |
|
defined
by the policy.
YOU CAN EXPECT TO PAY MORE THAN THE |
COINSURANCE AMOUNT DEFINED IN
THE POLICY AFTER THE PLAN |
HAS PAID ITS REQUIRED PORTION. Non-participating
providers |
may bill members for any amount up to the billed charge |
after the
plan
has paid its portion of the bill, except as |
provided in Section 356z.3a of the Illinois Insurance Code |
for covered services received at a participating health |
care facility from a non-participating provider that are: |
(a) ancillary services, (b) items or services furnished as |
a result of unforeseen, urgent medical needs that arise at |
the time the item or service is furnished, or (c) items or |
services received when the facility or the |
non-participating provider fails to satisfy the notice and |
consent criteria specified under Section 356z.3a. |
Participating providers have agreed to accept
discounted
|
payments for services with no additional billing to the |
member other than
co-insurance and
deductible amounts. You |
may obtain further information about the participating
|
status of
professional providers and information on |
out-of-pocket expenses by calling the
toll free
telephone |
number on your identification card.".
|
(b) A health maintenance organization offering a |
point-of-service contract
is
subject to all of the following |
limitations:
|
(1) The health maintenance organization may not expend |
in any calendar
quarter more than 20% of its total |
|
expenditures for all its members for
out-of-plan
covered |
services.
|
(2) If the amount specified in item (1) of this |
subsection is exceeded by
2% in a quarter, the health
|
maintenance organization must effect compliance with
item |
(1) of this subsection by the end of the following |
quarter.
|
(3) If compliance with the amount specified in item |
(1) of this subsection
is not demonstrated in the
health |
maintenance organization's next quarterly report,
the |
health maintenance organization may not offer the |
point-of-service contract
to
new groups or include the |
point-of-service option in the renewal of an existing
|
group until compliance
with the amount specified in item |
(1) of this subsection is
demonstrated or until otherwise |
allowed by the Director.
|
(4) A health maintenance organization failing, without |
just cause, to
comply with the provisions of this |
subsection shall be required, after notice
and
hearing, to |
pay a penalty of $250 for each day out of compliance, to be
|
recovered
by the Director. Any penalty recovered shall be |
paid into the General Revenue
Fund. The Director may |
reduce the penalty if the health maintenance
organization
|
demonstrates to the Director that the imposition of the |
penalty
would constitute a
financial hardship to the |
health maintenance organization.
|
|
(c) A health maintenance organization that offers a
|
point-of-service product must
do all of the following:
|
(1) File a quarterly financial statement detailing |
compliance with the
requirements of subsection (b).
|
(2) Track out-of-plan, point-of-service utilization |
separately from
in-plan
or non-point-of-service, |
out-of-plan emergency care, referral care, and urgent
care
|
out of the service area utilization.
|
(3) Record out-of-plan utilization in a manner that |
will permit such
utilization and cost reporting as the |
Director may, by rule, require.
|
(4) Demonstrate to the Director's satisfaction that |
the health maintenance
organization has the fiscal, |
administrative, and marketing capacity to control
its
|
point-of-service enrollment, utilization, and costs so as |
not to jeopardize the
financial security of the health |
maintenance organization.
|
(5) Maintain, in addition to any other deposit |
required under
this Act, the deposit required by Section |
2-6.
|
(6) Maintain cash and cash equivalents of sufficient |
amount to fully
liquidate 10 days' average claim payments, |
subject to review by the Director.
|
(7) Maintain and file with the Director, reinsurance |
coverage protecting
against catastrophic losses on |
out-of-network out of network point-of-service services.
|
|
Deductibles may not
exceed $100,000 per covered life per |
year, and the portion of
risk retained by the health |
maintenance organization once deductibles have been
|
satisfied may not exceed 20%. Reinsurance must be placed |
with licensed
authorized reinsurers qualified to do |
business in this State.
|
(d) A health maintenance organization may not issue a |
point-of-service
contract
until it has filed and had approved |
by the Director a plan to comply with the
provisions of
this |
Section. The compliance plan must, at a minimum, include |
provisions
demonstrating
that the health maintenance |
organization will do all of the following:
|
(1) Design the benefit levels and conditions of |
coverage for in-plan
covered services and out-of-plan |
covered services as required by this Article.
|
(2) Provide or arrange for the provision of adequate |
systems to:
|
(A) process and pay claims for all out-of-plan |
covered services;
|
(B) meet the requirements for point-of-service |
contracts set forth in
this Section and any additional |
requirements that may be set forth by the
Director; |
and
|
(C) generate accurate data and financial and |
regulatory reports on a
timely basis so that the |
Department of Insurance can evaluate the health
|
|
maintenance organization's experience with the |
point-of-service contract
and monitor compliance with |
point-of-service contract provisions.
|
(3) Comply with the requirements of subsections (b) |
and (c).
|
(Source: P.A. 102-901, eff. 1-1-23; revised 12-9-22.)
|
(215 ILCS 125/5-3) (from Ch. 111 1/2, par. 1411.2)
|
Sec. 5-3. Insurance Code provisions.
|
(a) Health Maintenance Organizations
shall be subject to |
the provisions of Sections 133, 134, 136, 137, 139, 140, |
141.1,
141.2, 141.3, 143, 143c, 147, 148, 149, 151,
152, 153, |
154, 154.5, 154.6,
154.7, 154.8, 155.04, 155.22a, 355.2, |
355.3, 355b, 355c, 356g.5-1, 356m, 356q, 356v, 356w, 356x, |
356y,
356z.2, 356z.3a, 356z.4, 356z.4a, 356z.5, 356z.6, |
356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13, 356z.14, |
356z.15, 356z.17, 356z.18, 356z.19, 356z.21, 356z.22, 356z.25, |
356z.26, 356z.29, 356z.30, 356z.30a, 356z.32, 356z.33, |
356z.35, 356z.36, 356z.40, 356z.41, 356z.46, 356z.47, 356z.48, |
356z.50, 356z.51, 356z.53 256z.53 , 356z.54, 356z.56, 356z.57, |
356z.59, 356z.60, 364, 364.01, 364.3, 367.2, 367.2-5, 367i, |
368a, 368b, 368c, 368d, 368e, 370c,
370c.1, 401, 401.1, 402, |
403, 403A,
408, 408.2, 409, 412, 444,
and
444.1,
paragraph (c) |
of subsection (2) of Section 367, and Articles IIA, VIII 1/2,
|
XII,
XII 1/2, XIII, XIII 1/2, XXV, XXVI, and XXXIIB of the |
Illinois Insurance Code.
|
|
(b) For purposes of the Illinois Insurance Code, except |
for Sections 444
and 444.1 and Articles XIII and XIII 1/2, |
Health Maintenance Organizations in
the following categories |
are deemed to be "domestic companies":
|
(1) a corporation authorized under the
Dental Service |
Plan Act or the Voluntary Health Services Plans Act;
|
(2) a corporation organized under the laws of this |
State; or
|
(3) a corporation organized under the laws of another |
state, 30% or more
of the enrollees of which are residents |
of this State, except a
corporation subject to |
substantially the same requirements in its state of
|
organization as is a "domestic company" under Article VIII |
1/2 of the
Illinois Insurance Code.
|
(c) In considering the merger, consolidation, or other |
acquisition of
control of a Health Maintenance Organization |
pursuant to Article VIII 1/2
of the Illinois Insurance Code,
|
(1) the Director shall give primary consideration to |
the continuation of
benefits to enrollees and the |
financial conditions of the acquired Health
Maintenance |
Organization after the merger, consolidation, or other
|
acquisition of control takes effect;
|
(2)(i) the criteria specified in subsection (1)(b) of |
Section 131.8 of
the Illinois Insurance Code shall not |
apply and (ii) the Director, in making
his determination |
with respect to the merger, consolidation, or other
|
|
acquisition of control, need not take into account the |
effect on
competition of the merger, consolidation, or |
other acquisition of control;
|
(3) the Director shall have the power to require the |
following
information:
|
(A) certification by an independent actuary of the |
adequacy
of the reserves of the Health Maintenance |
Organization sought to be acquired;
|
(B) pro forma financial statements reflecting the |
combined balance
sheets of the acquiring company and |
the Health Maintenance Organization sought
to be |
acquired as of the end of the preceding year and as of |
a date 90 days
prior to the acquisition, as well as pro |
forma financial statements
reflecting projected |
combined operation for a period of 2 years;
|
(C) a pro forma business plan detailing an |
acquiring party's plans with
respect to the operation |
of the Health Maintenance Organization sought to
be |
acquired for a period of not less than 3 years; and
|
(D) such other information as the Director shall |
require.
|
(d) The provisions of Article VIII 1/2 of the Illinois |
Insurance Code
and this Section 5-3 shall apply to the sale by |
any health maintenance
organization of greater than 10% of its
|
enrollee population (including without limitation the health |
maintenance
organization's right, title, and interest in and |
|
to its health care
certificates).
|
(e) In considering any management contract or service |
agreement subject
to Section 141.1 of the Illinois Insurance |
Code, the Director (i) shall, in
addition to the criteria |
specified in Section 141.2 of the Illinois
Insurance Code, |
take into account the effect of the management contract or
|
service agreement on the continuation of benefits to enrollees |
and the
financial condition of the health maintenance |
organization to be managed or
serviced, and (ii) need not take |
into account the effect of the management
contract or service |
agreement on competition.
|
(f) Except for small employer groups as defined in the |
Small Employer
Rating, Renewability and Portability Health |
Insurance Act and except for
medicare supplement policies as |
defined in Section 363 of the Illinois
Insurance Code, a |
Health Maintenance Organization may by contract agree with a
|
group or other enrollment unit to effect refunds or charge |
additional premiums
under the following terms and conditions:
|
(i) the amount of, and other terms and conditions with |
respect to, the
refund or additional premium are set forth |
in the group or enrollment unit
contract agreed in advance |
of the period for which a refund is to be paid or
|
additional premium is to be charged (which period shall |
not be less than one
year); and
|
(ii) the amount of the refund or additional premium |
shall not exceed 20%
of the Health Maintenance |
|
Organization's profitable or unprofitable experience
with |
respect to the group or other enrollment unit for the |
period (and, for
purposes of a refund or additional |
premium, the profitable or unprofitable
experience shall |
be calculated taking into account a pro rata share of the
|
Health Maintenance Organization's administrative and |
marketing expenses, but
shall not include any refund to be |
made or additional premium to be paid
pursuant to this |
subsection (f)). The Health Maintenance Organization and |
the
group or enrollment unit may agree that the profitable |
or unprofitable
experience may be calculated taking into |
account the refund period and the
immediately preceding 2 |
plan years.
|
The Health Maintenance Organization shall include a |
statement in the
evidence of coverage issued to each enrollee |
describing the possibility of a
refund or additional premium, |
and upon request of any group or enrollment unit,
provide to |
the group or enrollment unit a description of the method used |
to
calculate (1) the Health Maintenance Organization's |
profitable experience with
respect to the group or enrollment |
unit and the resulting refund to the group
or enrollment unit |
or (2) the Health Maintenance Organization's unprofitable
|
experience with respect to the group or enrollment unit and |
the resulting
additional premium to be paid by the group or |
enrollment unit.
|
In no event shall the Illinois Health Maintenance |
|
Organization
Guaranty Association be liable to pay any |
contractual obligation of an
insolvent organization to pay any |
refund authorized under this Section.
|
(g) 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. |
(Source: P.A. 101-13, eff. 6-12-19; 101-81, eff. 7-12-19; |
101-281, eff. 1-1-20; 101-371, eff. 1-1-20; 101-393, eff. |
1-1-20; 101-452, eff. 1-1-20; 101-461, eff. 1-1-20; 101-625, |
eff. 1-1-21; 102-30, eff. 1-1-22; 102-34, eff. 6-25-21; |
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff. |
1-1-22; 102-589, eff. 1-1-22; 102-642, eff. 1-1-22; 102-665, |
eff. 10-8-21; 102-731, eff. 1-1-23; 102-775, eff. 5-13-22; |
102-804, eff. 1-1-23; 102-813, eff. 5-13-22; 102-816, eff. |
1-1-23; 102-860, eff. 1-1-23; 102-901, eff. 7-1-22; 102-1093, |
eff. 1-1-23; 102-1117, eff. 1-13-23; revised 1-22-23.)
|
Section 445. The Managed Care Reform and Patient Rights |
Act is amended by changing Sections 15 and 45.1 as follows:
|
(215 ILCS 134/15)
|
Sec. 15. Provision of information.
|
(a) A health care plan shall provide annually to enrollees |
|
and prospective
enrollees, upon request, a complete list of |
participating health care providers
in the
health care plan's |
service area and a description of the following terms of
|
coverage:
|
(1) the service area;
|
(2) the covered benefits and services with all |
exclusions, exceptions, and
limitations;
|
(3) the pre-certification and other utilization review |
procedures
and requirements;
|
(4) a description of the process for the selection of |
a primary care
physician,
any limitation on access to |
specialists, and the plan's standing referral
policy;
|
(5) the emergency coverage and benefits, including any |
restrictions on
emergency
care services;
|
(6) the out-of-area coverage and benefits, if any;
|
(7) the enrollee's financial responsibility for |
copayments, deductibles,
premiums, and any other |
out-of-pocket expenses;
|
(8) the provisions for continuity of treatment in the |
event a health care
provider's
participation terminates |
during the course of an enrollee's treatment by that
|
provider;
|
(9) the appeals process, forms, and time frames for |
health care services
appeals, complaints, and external |
independent reviews, administrative
complaints,
and |
utilization review complaints, including a phone
number
to |
|
call to receive more information from the health care plan |
concerning the
appeals process; and
|
(10) a statement of all basic health care services and |
all specific
benefits and
services mandated to be provided |
to enrollees by any State law or
administrative
rule.
|
(a-5) Without limiting the generality of subsection (a) of |
this Section, no qualified health plans shall be offered for |
sale directly to consumers through the health insurance |
marketplace operating in the State in accordance with Sections |
1311 and
1321 of the federal Patient Protection and Affordable |
Care Act of 2010 (Public Law 111-148), as amended by the |
federal Health Care and Education Reconciliation Act of 2010 |
(Public Law 111-152), and any amendments thereto, or |
regulations or guidance issued thereunder (collectively, "the |
Federal Act"), unless, in addition to the information required |
under subsection (a) of this Section, the following |
information is available to the consumer at the time he or she |
is comparing health care plans and their premiums: |
(1) With respect to prescription drug benefits, the |
most recently published formulary where a consumer can |
view in one location covered prescription drugs; |
information on tiering and the cost-sharing structure for |
each tier; and information about how a consumer can obtain |
specific copayment amounts or coinsurance percentages for |
a specific qualified health plan before enrolling in that |
plan. This information shall clearly identify the |
|
qualified health plan to which it applies. |
(2) The most recently published provider directory |
where a consumer can view the provider network that |
applies to each qualified health plan and information |
about each provider, including location, contact |
information, specialty, medical group, if any, any |
institutional affiliation, and whether the provider is |
accepting new patients. The information shall clearly |
identify the qualified health plan to which it applies. |
In the event of an inconsistency between any separate |
written disclosure
statement and the enrollee contract or |
certificate, the terms of the enrollee
contract or certificate |
shall control.
|
(b) Upon written request, a health care plan shall provide |
to enrollees a
description of the financial relationships |
between the health care plan and any
health care provider
and, |
if requested, the percentage
of copayments, deductibles, and |
total premiums spent on healthcare related
expenses and the |
percentage of
copayments, deductibles, and total premiums |
spent on other expenses, including
administrative expenses,
|
except that no health care plan shall be required to disclose |
specific provider
reimbursement.
|
(c) A participating health care provider shall provide all |
of the
following, where applicable, to enrollees upon request:
|
(1) Information related to the health care provider's |
educational
background,
experience, training, specialty, |
|
and board certification, if applicable.
|
(2) The names of licensed facilities on the provider |
panel where
the health
care provider presently has |
privileges for the treatment, illness, or
procedure
that |
is the subject of the request.
|
(3) Information regarding the health care provider's |
participation
in
continuing education programs and |
compliance with any licensure,
certification, or |
registration requirements, if applicable.
|
(d) A health care plan shall provide the information |
required to be
disclosed under this Act upon enrollment and |
annually thereafter in a legible
and understandable format. |
The Department
shall promulgate rules to establish the format |
based, to the extent
practical,
on
the standards developed for |
supplemental insurance coverage under Title XVIII
of
the |
federal Social Security Act as a guide, so that a person can |
compare the
attributes of the various health care plans.
|
(e) The written disclosure requirements of this Section |
may be met by
disclosure to one enrollee in a household.
|
(f) Each issuer of qualified health plans for sale |
directly to consumers through the health insurance marketplace |
operating in the State shall make the information described in |
subsection (a) of this Section, for each qualified health plan |
that it offers, available and accessible to the general public |
on the company's Internet website and through other means for |
individuals without access to the Internet. |
|
(g) The Department shall ensure that State-operated |
Internet websites, in addition to the Internet website for the |
health insurance marketplace established in this State in |
accordance with the Federal Act and its implementing |
regulations, prominently provide links to Internet-based |
materials and tools to help consumers be informed purchasers |
of health care plans. |
(h) Nothing in this Section shall be interpreted or |
implemented in a manner not consistent with the Federal Act. |
This Section shall apply to all qualified health plans offered |
for sale directly to consumers through the health insurance |
marketplace operating in this State for any coverage year |
beginning on or after January 1, 2015. |
(Source: P.A. 98-1035, eff. 8-25-14; revised 6-2-22.)
|
(215 ILCS 134/45.1) |
Sec. 45.1. Medical exceptions procedures required. |
(a) Notwithstanding any other provision of law, on or |
after
January 1, 2018 ( the effective date of Public Act |
99-761) this amendatory Act of the 99th General
Assembly , |
every insurer licensed in this State to sell a policy
of group |
or individual accident and health insurance or a
health |
benefits plan shall establish and maintain a medical |
exceptions process that allows covered persons or their |
authorized representatives to request any clinically |
appropriate prescription drug when (1) the drug is not covered |
|
based on the health benefit plan's formulary; (2) the health |
benefit plan is discontinuing coverage of the drug on the |
plan's formulary for reasons other than safety or other than |
because the prescription drug has been withdrawn from the |
market by the drug's manufacturer; (3) the prescription drug |
alternatives required to be used in accordance with a step |
therapy requirement (A) has been ineffective in the treatment |
of the enrollee's disease or medical condition or, based on |
both sound clinical evidence and medical and scientific |
evidence, the known relevant physical or mental |
characteristics of the enrollee, and the known characteristics |
of the drug regimen, is likely to be ineffective or adversely |
affect the drug's effectiveness or patient compliance or (B) |
has caused or, based on sound medical evidence, is likely to |
cause an adverse reaction or harm to the enrollee; or (4) the |
number of doses available under a dose restriction for the |
prescription drug (A) has been ineffective in the treatment of |
the enrollee's disease or medical condition or (B) based on |
both sound clinical evidence and medical and scientific |
evidence, the known relevant physical and mental |
characteristics of the enrollee, and known characteristics of |
the drug regimen, is likely to be ineffective or adversely |
affect the drug's effective or patient compliance. |
(b) The health carrier's established medical exceptions |
procedures must require, at a minimum, the following: |
(1) Any request for approval of coverage made verbally |
|
or in writing (regardless of whether made using a paper or |
electronic form or some other writing) at any time shall |
be reviewed by appropriate health care professionals. |
(2) The health carrier must, within 72 hours after |
receipt of a request made under subsection (a) of this |
Section, either approve or deny the request. In the case |
of a denial, the health carrier shall provide the covered |
person or the covered person's authorized representative |
and the covered person's prescribing provider with the |
reason for the denial, an alternative covered medication, |
if applicable, and information regarding the procedure for |
submitting an appeal to the denial. |
(3) In the case of an expedited coverage |
determination, the health carrier must either approve or |
deny the request within 24 hours after receipt of the |
request. In the case of a denial, the health carrier shall |
provide the covered person or the covered person's |
authorized representative and the covered person's |
prescribing provider with the reason for the denial, an |
alternative covered medication, if applicable, and |
information regarding the procedure for submitting an |
appeal to the denial. |
(c) A step therapy requirement exception request shall be
|
approved if: |
(1) the required prescription drug is contraindicated; |
(2) the patient has tried the required prescription
|
|
drug while under the patient's current or previous health
|
insurance or health benefit plan and the prescribing
|
provider submits evidence of failure or intolerance; or |
(3) the patient is stable on a prescription
drug |
selected by his or her health care provider for the
|
medical condition under consideration while on a
current |
or previous health insurance or health benefit plan. |
(d) Upon the granting of an exception request, the |
insurer,
health plan, utilization review organization, or |
other entity
shall authorize the coverage for the drug
|
prescribed by the enrollee's treating health care provider,
to |
the extent the prescribed drug is a covered drug under the |
policy or contract up to the quantity covered. |
(e) Any approval of a medical exception request made |
pursuant to this Section shall be honored for 12 months |
following the date of the approval or until renewal of the |
plan. |
(f) Notwithstanding any other provision of this Section, |
nothing in this Section shall be interpreted or implemented in |
a manner not consistent with the federal Patient Protection |
and Affordable Care Act of 2010 (Public Law 111-148), as |
amended by the federal Health Care and Education |
Reconciliation Act of 2010 (Public Law 111-152), and any |
amendments thereto, or regulations or guidance issued under |
those Acts.
|
(g) Nothing in this Section shall require or authorize the |
|
State agency responsible for the administration of the medical |
assistance program established under the Illinois Public Aid |
Code to approve, supply, or cover prescription drugs pursuant |
to the procedure established in this Section. |
(Source: P.A. 98-1035, eff. 8-25-14; 99-761, eff. 1-1-18; |
revised 6-6-22.)
|
Section 450. The Viatical Settlements Act of 2009 is |
amended by changing Section 20 as follows:
|
(215 ILCS 159/20)
|
Sec. 20. Approval of viatical settlement contracts and |
disclosure statements. A person shall not use a viatical |
settlement contract form or provide to a viator a disclosure |
statement form in this State unless first filed with and |
approved by the Director. The Director shall disapprove a |
viatical settlement contract form or disclosure statement form |
if, in the Director's opinion, the contract or provisions |
contained therein fail to meet the requirements of this Act or |
are unreasonable, contrary to the interests of the public, or |
otherwise misleading or unfair to the viator. At the |
Director's discretion, the Director may require the submission |
of advertising material. If the Director disapproves a |
viatical settlement contract form or disclosure statement |
form, then the Director shall notify the viatical settlement |
provider and advise the viatical settlement provider, in |
|
writing, of the reason for the disapproval. The viatical |
settlement provider may make written demand upon the Director |
within 30 days after the date of mailing for a hearing before |
the Director to determine the reasonableness of the Director's |
action. The hearing must be held within not fewer than 20 days |
nor more than 30 days after the mailing of the notice of |
hearing and shall be held in accordance with the Illinois |
Administrative Procedure Act and 50 Ill. Adm. Admin. Code |
2402.
|
(Source: P.A. 96-736, eff. 7-1-10; revised 2-28-22.)
|
Section 455. The Public Utilities Act is amended by |
changing Sections 7-213, 8-103B, 8-201.4, 14-102, 14-103, |
14-104, and 16-108.5 as follows:
|
(220 ILCS 5/7-213)
|
Sec. 7-213. Limitations on the transfer of water systems. |
(a) In the event of a sale, purchase, or any other transfer |
of ownership, including, without limitation, the acquisition |
by eminent domain, of a water system, as defined under Section |
11-124-5 11-124-10 of the Illinois Municipal Code, operated by |
a privately held public water utility, the water utility's |
contract or agreements with the acquiring entity (or, in the |
case of an eminent domain action, the court order) must |
require that the acquiring entity hire a sufficient number of |
non-supervisory employees to operate and maintain the water |
|
system by initially making offers of employment to the |
non-supervisory workforce of the water system at no less than |
the wage rates, and substantially equivalent fringe benefits |
and terms and conditions of employment that are in effect at |
the time of transfer of ownership of the water system. The wage |
rates and substantially equivalent fringe benefits and terms |
and conditions of employment must continue for at least 30 |
months after the time of the transfer of ownership unless the |
parties mutually agree to different terms and conditions of |
employment within that 30-month period. |
(b) The privately held public water utility shall offer a |
transition plan to those employees who are not offered jobs by |
the acquiring entity because that entity has a need for fewer |
workers. The transition plan shall mitigate employee job |
losses to the extent practical through such means as offers of |
voluntary severance, retraining, early retirement, out |
placement, or related benefits. Before any reduction in the |
workforce during a water system transaction, the privately |
held public water utility shall present to the employees, or |
their representatives, a transition plan outlining the means |
by which the utility intends to mitigate the impact of the |
workforce reduction of its employees.
|
(Source: P.A. 94-1007, eff. 1-1-07; revised 8-22-22.)
|
(220 ILCS 5/8-103B) |
Sec. 8-103B. Energy efficiency and demand-response |
|
measures. |
(a) It is the policy of the State that electric utilities |
are required to use cost-effective energy efficiency and |
demand-response measures to reduce delivery load. Requiring |
investment in cost-effective energy efficiency and |
demand-response measures will reduce direct and indirect costs |
to consumers by decreasing environmental impacts and by |
avoiding or delaying the need for new generation, |
transmission, and distribution infrastructure. It serves the |
public interest to allow electric utilities to recover costs |
for reasonably and prudently incurred expenditures for energy |
efficiency and demand-response measures. As used in this |
Section, "cost-effective" means that the measures satisfy the |
total resource cost test. The low-income measures described in |
subsection (c) of this Section shall not be required to meet |
the total resource cost test. For purposes of this Section, |
the terms "energy-efficiency", "demand-response", "electric |
utility", and "total resource cost test" have the meanings set |
forth in the Illinois Power Agency Act. "Black, indigenous, |
and people of color" and "BIPOC" means people who are members |
of the groups described in subparagraphs (a) through (e) of |
paragraph (A) of subsection (1) of Section 2 of the Business |
Enterprise for Minorities, Women, and Persons with |
Disabilities Act. |
(a-5) This Section applies to electric utilities serving |
more than 500,000 retail customers in the State for those |
|
multi-year plans commencing after December 31, 2017. |
(b) For purposes of this Section, electric utilities |
subject to this Section that serve more than 3,000,000 retail |
customers in the State shall be deemed to have achieved a |
cumulative persisting annual savings of 6.6% from energy |
efficiency measures and programs implemented during the period |
beginning January 1, 2012 and ending December 31, 2017, which |
percent is based on the deemed average weather normalized |
sales of electric power and energy during calendar years 2014, |
2015, and 2016 of 88,000,000 MWhs. For the purposes of this |
subsection (b) and subsection (b-5), the 88,000,000 MWhs of |
deemed electric power and energy sales shall be reduced by the |
number of MWhs equal to the sum of the annual consumption of |
customers that have opted out of subsections (a) through (j) |
of this Section under paragraph (1) of subsection (l) of this |
Section, as averaged across the calendar years 2014, 2015, and |
2016. After 2017, the deemed value of cumulative persisting |
annual savings from energy efficiency measures and programs |
implemented during the period beginning January 1, 2012 and |
ending December 31, 2017, shall be reduced each year, as |
follows, and the applicable value shall be applied to and |
count toward the utility's achievement of the cumulative |
persisting annual savings goals set forth in subsection (b-5): |
(1) 5.8% deemed cumulative persisting annual savings |
for the year ending December 31, 2018; |
(2) 5.2% deemed cumulative persisting annual savings |
|
for the year ending December 31, 2019; |
(3) 4.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2020; |
(4) 4.0% deemed cumulative persisting annual savings |
for the year ending December 31, 2021; |
(5) 3.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2022; |
(6) 3.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2023; |
(7) 2.8% deemed cumulative persisting annual savings |
for the year ending December 31, 2024; |
(8) 2.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2025; |
(9) 2.3% deemed cumulative persisting annual savings |
for the year ending December 31, 2026; |
(10) 2.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2027; |
(11) 1.8% deemed cumulative persisting annual savings |
for the year ending December 31, 2028; |
(12) 1.7% deemed cumulative persisting annual savings |
for the year ending December 31, 2029; |
(13) 1.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2030; |
(14) 1.3% deemed cumulative persisting annual savings |
for the year ending December 31, 2031; |
(15) 1.1% deemed cumulative persisting annual savings |
|
for the year ending December 31, 2032; |
(16) 0.9% deemed cumulative persisting annual savings |
for the year ending December 31, 2033; |
(17) 0.7% deemed cumulative persisting annual savings |
for the year ending December 31, 2034; |
(18) 0.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2035; |
(19) 0.4% deemed cumulative persisting annual savings |
for the year ending December 31, 2036; |
(20) 0.3% deemed cumulative persisting annual savings |
for the year ending December 31, 2037; |
(21) 0.2% deemed cumulative persisting annual savings |
for the year ending December 31, 2038; |
(22) 0.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2039; and |
(23) 0.0% deemed cumulative persisting annual savings |
for the year ending December 31, 2040 and all subsequent |
years. |
For purposes of this Section, "cumulative persisting |
annual savings" means the total electric energy savings in a |
given year from measures installed in that year or in previous |
years, but no earlier than January 1, 2012, that are still |
operational and providing savings in that year because the |
measures have not yet reached the end of their useful lives. |
(b-5) Beginning in 2018, electric utilities subject to |
this Section that serve more than 3,000,000 retail customers |
|
in the State shall achieve the following cumulative persisting |
annual savings goals, as modified by subsection (f) of this |
Section and as compared to the deemed baseline of 88,000,000 |
MWhs of electric power and energy sales set forth in |
subsection (b), as reduced by the number of MWhs equal to the |
sum of the annual consumption of customers that have opted out |
of subsections (a) through (j) of this Section under paragraph |
(1) of subsection (l) of this Section as averaged across the |
calendar years 2014, 2015, and 2016, through the |
implementation of energy efficiency measures during the |
applicable year and in prior years, but no earlier than |
January 1, 2012: |
(1) 7.8% cumulative persisting annual savings for the |
year ending December 31, 2018; |
(2) 9.1% cumulative persisting annual savings for the |
year ending December 31, 2019; |
(3) 10.4% cumulative persisting annual savings for the |
year ending December 31, 2020; |
(4) 11.8% cumulative persisting annual savings for the |
year ending December 31, 2021; |
(5) 13.1% cumulative persisting annual savings for the |
year ending December 31, 2022; |
(6) 14.4% cumulative persisting annual savings for the |
year ending December 31, 2023; |
(7) 15.7% cumulative persisting annual savings for the |
year ending December 31, 2024; |
|
(8) 17% cumulative persisting annual savings for the |
year ending December 31, 2025; |
(9) 17.9% cumulative persisting annual savings for the |
year ending December 31, 2026; |
(10) 18.8% cumulative persisting annual savings for |
the year ending December 31, 2027; |
(11) 19.7% cumulative persisting annual savings for |
the year ending December 31, 2028; |
(12) 20.6% cumulative persisting annual savings for |
the year ending December 31, 2029; and |
(13) 21.5% cumulative persisting annual savings for |
the year ending December 31, 2030. |
No later than December 31, 2021, the Illinois Commerce |
Commission shall establish additional cumulative persisting |
annual savings goals for the years 2031 through 2035. No later |
than December 31, 2024, the Illinois Commerce Commission shall |
establish additional cumulative persisting annual savings |
goals for the years 2036 through 2040. The Commission shall |
also establish additional cumulative persisting annual savings |
goals every 5 years thereafter to ensure that utilities always |
have goals that extend at least 11 years into the future. The |
cumulative persisting annual savings goals beyond the year |
2030 shall increase by 0.9 percentage points per year, absent |
a Commission decision to initiate a proceeding to consider |
establishing goals that increase by more or less than that |
amount. Such a proceeding must be conducted in accordance with |
|
the procedures described in subsection (f) of this Section. If |
such a proceeding is initiated, the cumulative persisting |
annual savings goals established by the Commission through |
that proceeding shall reflect the Commission's best estimate |
of the maximum amount of additional savings that are forecast |
to be cost-effectively achievable unless such best estimates |
would result in goals that represent less than 0.5 percentage |
point annual increases in total cumulative persisting annual |
savings. The Commission may only establish goals that |
represent less than 0.5 percentage point annual increases in |
cumulative persisting annual savings if it can demonstrate, |
based on clear and convincing evidence and through independent |
analysis, that 0.5 percentage point increases are not |
cost-effectively achievable. The Commission shall inform its |
decision based on an energy efficiency potential study that |
conforms to the requirements of this Section. |
(b-10) For purposes of this Section, electric utilities |
subject to this Section that serve less than 3,000,000 retail |
customers but more than 500,000 retail customers in the State |
shall be deemed to have achieved a cumulative persisting |
annual savings of 6.6% from energy efficiency measures and |
programs implemented during the period beginning January 1, |
2012 and ending December 31, 2017, which is based on the deemed |
average weather normalized sales of electric power and energy |
during calendar years 2014, 2015, and 2016 of 36,900,000 MWhs. |
For the purposes of this subsection (b-10) and subsection |
|
(b-15), the 36,900,000 MWhs of deemed electric power and |
energy sales shall be reduced by the number of MWhs equal to |
the sum of the annual consumption of customers that have opted |
out of subsections (a) through (j) of this Section under |
paragraph (1) of subsection (l) of this Section, as averaged |
across the calendar years 2014, 2015, and 2016. After 2017, |
the deemed value of cumulative persisting annual savings from |
energy efficiency measures and programs implemented during the |
period beginning January 1, 2012 and ending December 31, 2017, |
shall be reduced each year, as follows, and the applicable |
value shall be applied to and count toward the utility's |
achievement of the cumulative persisting annual savings goals |
set forth in subsection (b-15): |
(1) 5.8% deemed cumulative persisting annual savings |
for the year ending December 31, 2018; |
(2) 5.2% deemed cumulative persisting annual savings |
for the year ending December 31, 2019; |
(3) 4.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2020; |
(4) 4.0% deemed cumulative persisting annual savings |
for the year ending December 31, 2021; |
(5) 3.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2022; |
(6) 3.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2023; |
(7) 2.8% deemed cumulative persisting annual savings |
|
for the year ending December 31, 2024; |
(8) 2.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2025; |
(9) 2.3% deemed cumulative persisting annual savings |
for the year ending December 31, 2026; |
(10) 2.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2027; |
(11) 1.8% deemed cumulative persisting annual savings |
for the year ending December 31, 2028; |
(12) 1.7% deemed cumulative persisting annual savings |
for the year ending December 31, 2029; |
(13) 1.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2030; |
(14) 1.3% deemed cumulative persisting annual savings |
for the year ending December 31, 2031; |
(15) 1.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2032; |
(16) 0.9% deemed cumulative persisting annual savings |
for the year ending December 31, 2033; |
(17) 0.7% deemed cumulative persisting annual savings |
for the year ending December 31, 2034; |
(18) 0.5% deemed cumulative persisting annual savings |
for the year ending December 31, 2035; |
(19) 0.4% deemed cumulative persisting annual savings |
for the year ending December 31, 2036; |
(20) 0.3% deemed cumulative persisting annual savings |
|
for the year ending December 31, 2037; |
(21) 0.2% deemed cumulative persisting annual savings |
for the year ending December 31, 2038; |
(22) 0.1% deemed cumulative persisting annual savings |
for the year ending December 31, 2039; and |
(23) 0.0% deemed cumulative persisting annual savings |
for the year ending December 31, 2040 and all subsequent |
years. |
(b-15) Beginning in 2018, electric utilities subject to |
this Section that serve less than 3,000,000 retail customers |
but more than 500,000 retail customers in the State shall |
achieve the following cumulative persisting annual savings |
goals, as modified by subsection (b-20) and subsection (f) of |
this Section and as compared to the deemed baseline as reduced |
by the number of MWhs equal to the sum of the annual |
consumption of customers that have opted out of subsections |
(a) through (j) of this Section under paragraph (1) of |
subsection (l) of this Section as averaged across the calendar |
years 2014, 2015, and 2016, through the implementation of |
energy efficiency measures during the applicable year and in |
prior years, but no earlier than January 1, 2012: |
(1) 7.4% cumulative persisting annual savings for the |
year ending December 31, 2018; |
(2) 8.2% cumulative persisting annual savings for the |
year ending December 31, 2019; |
(3) 9.0% cumulative persisting annual savings for the |
|
year ending December 31, 2020; |
(4) 9.8% cumulative persisting annual savings for the |
year ending December 31, 2021; |
(5) 10.6% cumulative persisting annual savings for the |
year ending December 31, 2022; |
(6) 11.4% cumulative persisting annual savings for the |
year ending December 31, 2023; |
(7) 12.2% cumulative persisting annual savings for the |
year ending December 31, 2024; |
(8) 13% cumulative persisting annual savings for the |
year ending December 31, 2025; |
(9) 13.6% cumulative persisting annual savings for the |
year ending December 31, 2026; |
(10) 14.2% cumulative persisting annual savings for |
the year ending December 31, 2027; |
(11) 14.8% cumulative persisting annual savings for |
the year ending December 31, 2028; |
(12) 15.4% cumulative persisting annual savings for |
the year ending December 31, 2029; and |
(13) 16% cumulative persisting annual savings for the |
year ending December 31, 2030. |
No later than December 31, 2021, the Illinois Commerce |
Commission shall establish additional cumulative persisting |
annual savings goals for the years 2031 through 2035. No later |
than December 31, 2024, the Illinois Commerce Commission shall |
establish additional cumulative persisting annual savings |
|
goals for the years 2036 through 2040. The Commission shall |
also establish additional cumulative persisting annual savings |
goals every 5 years thereafter to ensure that utilities always |
have goals that extend at least 11 years into the future. The |
cumulative persisting annual savings goals beyond the year |
2030 shall increase by 0.6 percentage points per year, absent |
a Commission decision to initiate a proceeding to consider |
establishing goals that increase by more or less than that |
amount. Such a proceeding must be conducted in accordance with |
the procedures described in subsection (f) of this Section. If |
such a proceeding is initiated, the cumulative persisting |
annual savings goals established by the Commission through |
that proceeding shall reflect the Commission's best estimate |
of the maximum amount of additional savings that are forecast |
to be cost-effectively achievable unless such best estimates |
would result in goals that represent less than 0.4 percentage |
point annual increases in total cumulative persisting annual |
savings. The Commission may only establish goals that |
represent less than 0.4 percentage point annual increases in |
cumulative persisting annual savings if it can demonstrate, |
based on clear and convincing evidence and through independent |
analysis, that 0.4 percentage point increases are not |
cost-effectively achievable. The Commission shall inform its |
decision based on an energy efficiency potential study that |
conforms to the requirements of this Section. |
(b-20) Each electric utility subject to this Section may |
|
include cost-effective voltage optimization measures in its |
plans submitted under subsections (f) and (g) of this Section, |
and the costs incurred by a utility to implement the measures |
under a Commission-approved plan shall be recovered under the |
provisions of Article IX or Section 16-108.5 of this Act. For |
purposes of this Section, the measure life of voltage |
optimization measures shall be 15 years. The measure life |
period is independent of the depreciation rate of the voltage |
optimization assets deployed. Utilities may claim savings from |
voltage optimization on circuits for more than 15 years if |
they can demonstrate that they have made additional |
investments necessary to enable voltage optimization savings |
to continue beyond 15 years. Such demonstrations must be |
subject to the review of independent evaluation. |
Within 270 days after June 1, 2017 (the effective date of |
Public Act 99-906), an electric utility that serves less than |
3,000,000 retail customers but more than 500,000 retail |
customers in the State shall file a plan with the Commission |
that identifies the cost-effective voltage optimization |
investment the electric utility plans to undertake through |
December 31, 2024. The Commission, after notice and hearing, |
shall approve or approve with modification the plan within 120 |
days after the plan's filing and, in the order approving or |
approving with modification the plan, the Commission shall |
adjust the applicable cumulative persisting annual savings |
goals set forth in subsection (b-15) to reflect any amount of |
|
cost-effective energy savings approved by the Commission that |
is greater than or less than the following cumulative |
persisting annual savings values attributable to voltage |
optimization for the applicable year: |
(1) 0.0% of cumulative persisting annual savings for |
the year ending December 31, 2018; |
(2) 0.17% of cumulative persisting annual savings for |
the year ending December 31, 2019; |
(3) 0.17% of cumulative persisting annual savings for |
the year ending December 31, 2020; |
(4) 0.33% of cumulative persisting annual savings for |
the year ending December 31, 2021; |
(5) 0.5% of cumulative persisting annual savings for |
the year ending December 31, 2022; |
(6) 0.67% of cumulative persisting annual savings for |
the year ending December 31, 2023; |
(7) 0.83% of cumulative persisting annual savings for |
the year ending December 31, 2024; and |
(8) 1.0% of cumulative persisting annual savings for |
the year ending December 31, 2025 and all subsequent |
years. |
(b-25) In the event an electric utility jointly offers an |
energy efficiency measure or program with a gas utility under |
plans approved under this Section and Section 8-104 of this |
Act, the electric utility may continue offering the program, |
including the gas energy efficiency measures, in the event the |
|
gas utility discontinues funding the program. In that event, |
the energy savings value associated with such other fuels |
shall be converted to electric energy savings on an equivalent |
Btu basis for the premises. However, the electric utility |
shall prioritize programs for low-income residential customers |
to the extent practicable. An electric utility may recover the |
costs of offering the gas energy efficiency measures under |
this subsection (b-25). |
For those energy efficiency measures or programs that save |
both electricity and other fuels but are not jointly offered |
with a gas utility under plans approved under this Section and |
Section 8-104 or not offered with an affiliated gas utility |
under paragraph (6) of subsection (f) of Section 8-104 of this |
Act, the electric utility may count savings of fuels other |
than electricity toward the achievement of its annual savings |
goal, and the energy savings value associated with such other |
fuels shall be converted to electric energy savings on an |
equivalent Btu basis at the premises. |
In no event shall more than 10% of each year's applicable |
annual total savings requirement as defined in paragraph (7.5) |
of subsection (g) of this Section be met through savings of |
fuels other than electricity. |
(b-27) Beginning in 2022, an electric utility may offer |
and promote measures that electrify space heating, water |
heating, cooling, drying, cooking, industrial processes, and |
other building and industrial end uses that would otherwise be |
|
served by combustion of fossil fuel at the premises, provided |
that the electrification measures reduce total energy |
consumption at the premises. The electric utility may count |
the reduction in energy consumption at the premises toward |
achievement of its annual savings goals. The reduction in |
energy consumption at the premises shall be calculated as the |
difference between: (A) the reduction in Btu consumption of |
fossil fuels as a result of electrification, converted to |
kilowatt-hour equivalents by dividing by 3,412 Btus Btu's per |
kilowatt hour; and (B) the increase in kilowatt hours of |
electricity consumption resulting from the displacement of |
fossil fuel consumption as a result of electrification. An |
electric utility may recover the costs of offering and |
promoting electrification measures under this subsection |
(b-27). |
In no event shall electrification savings counted toward |
each year's applicable annual total savings requirement, as |
defined in paragraph (7.5) of subsection (g) of this Section, |
be greater than: |
(1) 5% per year for each year from 2022 through 2025; |
(2) 10% per year for each year from 2026 through 2029; |
and |
(3) 15% per year for 2030 and all subsequent years. |
In addition, a minimum of 25% of all electrification savings |
counted toward a utility's applicable annual total savings |
requirement must be from electrification of end uses in |
|
low-income housing. The limitations on electrification savings |
that may be counted toward a utility's annual savings goals |
are separate from and in addition to the subsection (b-25) |
limitations governing the counting of the other fuel savings |
resulting from efficiency measures and programs. |
As part of the annual informational filing to the |
Commission that is required under paragraph (9) of subsection |
(g) of this Section, each utility shall identify the specific |
electrification measures offered under this subsection |
subjection (b-27); the quantity of each electrification |
measure that was installed by its customers; the average total |
cost, average utility cost, average reduction in fossil fuel |
consumption, and average increase in electricity consumption |
associated with each electrification measure; the portion of |
installations of each electrification measure that were in |
low-income single-family housing, low-income multifamily |
housing, non-low-income single-family housing, non-low-income |
multifamily housing, commercial buildings, and industrial |
facilities; and the quantity of savings associated with each |
measure category in each customer category that are being |
counted toward the utility's applicable annual total savings |
requirement. Prior to installing an electrification measure, |
the utility shall provide a customer with an estimate of the |
impact of the new measure on the customer's average monthly |
electric bill and total annual energy expenses. |
(c) Electric utilities shall be responsible for overseeing |
|
the design, development, and filing of energy efficiency plans |
with the Commission and may, as part of that implementation, |
outsource various aspects of program development and |
implementation. A minimum of 10%, for electric utilities that |
serve more than 3,000,000 retail customers in the State, and a |
minimum of 7%, for electric utilities that serve less than |
3,000,000 retail customers but more than 500,000 retail |
customers in the State, of the utility's entire portfolio |
funding level for a given year shall be used to procure |
cost-effective energy efficiency measures from units of local |
government, municipal corporations, school districts, public |
housing, and community college districts, provided that a |
minimum percentage of available funds shall be used to procure |
energy efficiency from public housing, which percentage shall |
be equal to public housing's share of public building energy |
consumption. |
The utilities shall also implement energy efficiency |
measures targeted at low-income households, which, for |
purposes of this Section, shall be defined as households at or |
below 80% of area median income, and expenditures to implement |
the measures shall be no less than $40,000,000 per year for |
electric utilities that serve more than 3,000,000 retail |
customers in the State and no less than $13,000,000 per year |
for electric utilities that serve less than 3,000,000 retail |
customers but more than 500,000 retail customers in the State. |
The ratio of spending on efficiency programs targeted at |
|
low-income multifamily buildings to spending on efficiency |
programs targeted at low-income single-family buildings shall |
be designed to achieve levels of savings from each building |
type that are approximately proportional to the magnitude of |
cost-effective lifetime savings potential in each building |
type. Investment in low-income whole-building weatherization |
programs shall constitute a minimum of 80% of a utility's |
total budget specifically dedicated to serving low-income |
customers. |
The utilities shall work to bundle low-income energy |
efficiency offerings with other programs that serve low-income |
households to maximize the benefits going to these households. |
The utilities shall market and implement low-income energy |
efficiency programs in coordination with low-income assistance |
programs, the Illinois Solar for All Program, and |
weatherization whenever practicable. The program implementer |
shall walk the customer through the enrollment process for any |
programs for which the customer is eligible. The utilities |
shall also pilot targeting customers with high arrearages, |
high energy intensity (ratio of energy usage divided by home |
or unit square footage), or energy assistance programs with |
energy efficiency offerings, and then track reduction in |
arrearages as a result of the targeting. This targeting and |
bundling of low-income energy programs shall be offered to |
both low-income single-family and multifamily customers |
(owners and residents). |
|
The utilities shall invest in health and safety measures |
appropriate and necessary for comprehensively weatherizing a |
home or multifamily building, and shall implement a health and |
safety fund of at least 15% of the total income-qualified |
weatherization budget that shall be used for the purpose of |
making grants for technical assistance, construction, |
reconstruction, improvement, or repair of buildings to |
facilitate their participation in the energy efficiency |
programs targeted at low-income single-family and multifamily |
households. These funds may also be used for the purpose of |
making grants for technical assistance, construction, |
reconstruction, improvement, or repair of the following |
buildings to facilitate their participation in the energy |
efficiency programs created by this Section: (1) buildings |
that are owned or operated by registered 501(c)(3) public |
charities; and (2) day care centers, day care homes, or group |
day care homes, as defined under 89 Ill. Adm. Code Part 406, |
407, or 408, respectively. |
Each electric utility shall assess opportunities to |
implement cost-effective energy efficiency measures and |
programs through a public housing authority or authorities |
located in its service territory. If such opportunities are |
identified, the utility shall propose such measures and |
programs to address the opportunities. Expenditures to address |
such opportunities shall be credited toward the minimum |
procurement and expenditure requirements set forth in this |
|
subsection (c). |
Implementation of energy efficiency measures and programs |
targeted at low-income households should be contracted, when |
it is practicable, to independent third parties that have |
demonstrated capabilities to serve such households, with a |
preference for not-for-profit entities and government agencies |
that have existing relationships with or experience serving |
low-income communities in the State. |
Each electric utility shall develop and implement |
reporting procedures that address and assist in determining |
the amount of energy savings that can be applied to the |
low-income procurement and expenditure requirements set forth |
in this subsection (c). Each electric utility shall also track |
the types and quantities or volumes of insulation and air |
sealing materials, and their associated energy saving |
benefits, installed in energy efficiency programs targeted at |
low-income single-family and multifamily households. |
The electric utilities shall participate in a low-income |
energy efficiency accountability committee ("the committee"), |
which will directly inform the design, implementation, and |
evaluation of the low-income and public-housing energy |
efficiency programs. The committee shall be comprised of the |
electric utilities subject to the requirements of this |
Section, the gas utilities subject to the requirements of |
Section 8-104 of this Act, the utilities' low-income energy |
efficiency implementation contractors, nonprofit |
|
organizations, community action agencies, advocacy groups, |
State and local governmental agencies, public-housing |
organizations, and representatives of community-based |
organizations, especially those living in or working with |
environmental justice communities and BIPOC communities. The |
committee shall be composed of 2 geographically differentiated |
subcommittees: one for stakeholders in northern Illinois and |
one for stakeholders in central and southern Illinois. The |
subcommittees shall meet together at least twice per year. |
There shall be one statewide leadership committee led by |
and composed of community-based organizations that are |
representative of BIPOC and environmental justice communities |
and that includes equitable representation from BIPOC |
communities. The leadership committee shall be composed of an |
equal number of representatives from the 2 subcommittees. The |
subcommittees shall address specific programs and issues, with |
the leadership committee convening targeted workgroups as |
needed. The leadership committee may elect to work with an |
independent facilitator to solicit and organize feedback, |
recommendations and meeting participation from a wide variety |
of community-based stakeholders. If a facilitator is used, |
they shall be fair and responsive to the needs of all |
stakeholders involved in the committee. |
All committee meetings must be accessible, with rotating |
locations if meetings are held in-person, virtual |
participation options, and materials and agendas circulated in |
|
advance. |
There shall also be opportunities for direct input by |
committee members outside of committee meetings, such as via |
individual meetings, surveys, emails and calls, to ensure |
robust participation by stakeholders with limited capacity and |
ability to attend committee meetings. Committee meetings shall |
emphasize opportunities to bundle and coordinate delivery of |
low-income energy efficiency with other programs that serve |
low-income communities, such as the Illinois Solar for All |
Program and bill payment assistance programs. Meetings shall |
include educational opportunities for stakeholders to learn |
more about these additional offerings, and the committee shall |
assist in figuring out the best methods for coordinated |
delivery and implementation of offerings when serving |
low-income communities. The committee shall directly and |
equitably influence and inform utility low-income and |
public-housing energy efficiency programs and priorities. |
Participating utilities shall implement recommendations from |
the committee whenever possible. |
Participating utilities shall track and report how input |
from the committee has led to new approaches and changes in |
their energy efficiency portfolios. This reporting shall occur |
at committee meetings and in quarterly energy efficiency |
reports to the Stakeholder Advisory Group and Illinois |
Commerce Commission, and other relevant reporting mechanisms. |
Participating utilities shall also report on relevant equity |
|
data and metrics requested by the committee, such as energy |
burden data, geographic, racial, and other relevant |
demographic data on where programs are being delivered and |
what populations programs are serving. |
The Illinois Commerce Commission shall oversee and have |
relevant staff participate in the committee. The committee |
shall have a budget of 0.25% of each utility's entire |
efficiency portfolio funding for a given year. The budget |
shall be overseen by the Commission. The budget shall be used |
to provide grants for community-based organizations serving on |
the leadership committee, stipends for community-based |
organizations participating in the committee, grants for |
community-based organizations to do energy efficiency outreach |
and education, and relevant meeting needs as determined by the |
leadership committee. The education and outreach shall |
include, but is not limited to, basic energy efficiency |
education, information about low-income energy efficiency |
programs, and information on the committee's purpose, |
structure, and activities. |
(d) Notwithstanding any other provision of law to the |
contrary, a utility providing approved energy efficiency |
measures and, if applicable, demand-response measures in the |
State shall be permitted to recover all reasonable and |
prudently incurred costs of those measures from all retail |
customers, except as provided in subsection (l) of this |
Section, as follows, provided that nothing in this subsection |
|
(d) permits the double recovery of such costs from customers: |
(1) The utility may recover its costs through an |
automatic adjustment clause tariff filed with and approved |
by the Commission. The tariff shall be established outside |
the context of a general rate case. Each year the |
Commission shall initiate a review to reconcile any |
amounts collected with the actual costs and to determine |
the required adjustment to the annual tariff factor to |
match annual expenditures. To enable the financing of the |
incremental capital expenditures, including regulatory |
assets, for electric utilities that serve less than |
3,000,000 retail customers but more than 500,000 retail |
customers in the State, the utility's actual year-end |
capital structure that includes a common equity ratio, |
excluding goodwill, of up to and including 50% of the |
total capital structure shall be deemed reasonable and |
used to set rates. |
(2) A utility may recover its costs through an energy |
efficiency formula rate approved by the Commission under a |
filing under subsections (f) and (g) of this Section, |
which shall specify the cost components that form the |
basis of the rate charged to customers with sufficient |
specificity to operate in a standardized manner and be |
updated annually with transparent information that |
reflects the utility's actual costs to be recovered during |
the applicable rate year, which is the period beginning |
|
with the first billing day of January and extending |
through the last billing day of the following December. |
The energy efficiency formula rate shall be implemented |
through a tariff filed with the Commission under |
subsections (f) and (g) of this Section that is consistent |
with the provisions of this paragraph (2) and that shall |
be applicable to all delivery services customers. The |
Commission shall conduct an investigation of the tariff in |
a manner consistent with the provisions of this paragraph |
(2), subsections (f) and (g) of this Section, and the |
provisions of Article IX of this Act to the extent they do |
not conflict with this paragraph (2). The energy |
efficiency formula rate approved by the Commission shall |
remain in effect at the discretion of the utility and |
shall do the following: |
(A) Provide for the recovery of the utility's |
actual costs incurred under this Section that are |
prudently incurred and reasonable in amount consistent |
with Commission practice and law. The sole fact that a |
cost differs from that incurred in a prior calendar |
year or that an investment is different from that made |
in a prior calendar year shall not imply the |
imprudence or unreasonableness of that cost or |
investment. |
(B) Reflect the utility's actual year-end capital |
structure for the applicable calendar year, excluding |
|
goodwill, subject to a determination of prudence and |
reasonableness consistent with Commission practice and |
law. To enable the financing of the incremental |
capital expenditures, including regulatory assets, for |
electric utilities that serve less than 3,000,000 |
retail customers but more than 500,000 retail |
customers in the State, a participating electric |
utility's actual year-end capital structure that |
includes a common equity ratio, excluding goodwill, of |
up to and including 50% of the total capital structure |
shall be deemed reasonable and used to set rates. |
(C) Include a cost of equity, which shall be |
calculated as the sum of the following: |
(i) the average for the applicable calendar |
year of the monthly average yields of 30-year U.S. |
Treasury bonds published by the Board of Governors |
of the Federal Reserve System in its weekly H.15 |
Statistical Release or successor publication; and |
(ii) 580 basis points. |
At such time as the Board of Governors of the |
Federal Reserve System ceases to include the monthly |
average yields of 30-year U.S. Treasury bonds in its |
weekly H.15 Statistical Release or successor |
publication, the monthly average yields of the U.S. |
Treasury bonds then having the longest duration |
published by the Board of Governors in its weekly H.15 |
|
Statistical Release or successor publication shall |
instead be used for purposes of this paragraph (2). |
(D) Permit and set forth protocols, subject to a |
determination of prudence and reasonableness |
consistent with Commission practice and law, for the |
following: |
(i) recovery of incentive compensation expense |
that is based on the achievement of operational |
metrics, including metrics related to budget |
controls, outage duration and frequency, safety, |
customer service, efficiency and productivity, and |
environmental compliance; however, this protocol |
shall not apply if such expense related to costs |
incurred under this Section is recovered under |
Article IX or Section 16-108.5 of this Act; |
incentive compensation expense that is based on |
net income or an affiliate's earnings per share |
shall not be recoverable under the
energy |
efficiency formula rate; |
(ii) recovery of pension and other |
post-employment benefits expense, provided that |
such costs are supported by an actuarial study; |
however, this protocol shall not apply if such |
expense related to costs incurred under this |
Section is recovered under Article IX or Section |
16-108.5 of this Act; |
|
(iii) recovery of existing regulatory assets |
over the periods previously authorized by the |
Commission; |
(iv) as described in subsection (e), |
amortization of costs incurred under this Section; |
and |
(v) projected, weather normalized billing |
determinants for the applicable rate year. |
(E) Provide for an annual reconciliation, as |
described in paragraph (3) of this subsection (d), |
less any deferred taxes related to the reconciliation, |
with interest at an annual rate of return equal to the |
utility's weighted average cost of capital, including |
a revenue conversion factor calculated to recover or |
refund all additional income taxes that may be payable |
or receivable as a result of that return, of the energy |
efficiency revenue requirement reflected in rates for |
each calendar year, beginning with the calendar year |
in which the utility files its energy efficiency |
formula rate tariff under this paragraph (2), with |
what the revenue requirement would have been had the |
actual cost information for the applicable calendar |
year been available at the filing date. |
The utility shall file, together with its tariff, the |
projected costs to be incurred by the utility during the |
rate year under the utility's multi-year plan approved |
|
under subsections (f) and (g) of this Section, including, |
but not limited to, the projected capital investment costs |
and projected regulatory asset balances with |
correspondingly updated depreciation and amortization |
reserves and expense, that shall populate the energy |
efficiency formula rate and set the initial rates under |
the formula. |
The Commission shall review the proposed tariff in |
conjunction with its review of a proposed multi-year plan, |
as specified in paragraph (5) of subsection (g) of this |
Section. The review shall be based on the same evidentiary |
standards, including, but not limited to, those concerning |
the prudence and reasonableness of the costs incurred by |
the utility, the Commission applies in a hearing to review |
a filing for a general increase in rates under Article IX |
of this Act. The initial rates shall take effect beginning |
with the January monthly billing period following the |
Commission's approval. |
The tariff's rate design and cost allocation across |
customer classes shall be consistent with the utility's |
automatic adjustment clause tariff in effect on June 1, |
2017 (the effective date of Public Act 99-906); however, |
the Commission may revise the tariff's rate design and |
cost allocation in subsequent proceedings under paragraph |
(3) of this subsection (d). |
If the energy efficiency formula rate is terminated, |
|
the then current rates shall remain in effect until such |
time as the energy efficiency costs are incorporated into |
new rates that are set under this subsection (d) or |
Article IX of this Act, subject to retroactive rate |
adjustment, with interest, to reconcile rates charged with |
actual costs. |
(3) The provisions of this paragraph (3) shall only |
apply to an electric utility that has elected to file an |
energy efficiency formula rate under paragraph (2) of this |
subsection (d). Subsequent to the Commission's issuance of |
an order approving the utility's energy efficiency formula |
rate structure and protocols, and initial rates under |
paragraph (2) of this subsection (d), the utility shall |
file, on or before June 1 of each year, with the Chief |
Clerk of the Commission its updated cost inputs to the |
energy efficiency formula rate for the applicable rate |
year and the corresponding new charges, as well as the |
information described in paragraph (9) of subsection (g) |
of this Section. Each such filing shall conform to the |
following requirements and include the following |
information: |
(A) The inputs to the energy efficiency formula |
rate for the applicable rate year shall be based on the |
projected costs to be incurred by the utility during |
the rate year under the utility's multi-year plan |
approved under subsections (f) and (g) of this |
|
Section, including, but not limited to, projected |
capital investment costs and projected regulatory |
asset balances with correspondingly updated |
depreciation and amortization reserves and expense. |
The filing shall also include a reconciliation of the |
energy efficiency revenue requirement that was in |
effect for the prior rate year (as set by the cost |
inputs for the prior rate year) with the actual |
revenue requirement for the prior rate year |
(determined using a year-end rate base) that uses |
amounts reflected in the applicable FERC Form 1 that |
reports the actual costs for the prior rate year. Any |
over-collection or under-collection indicated by such |
reconciliation shall be reflected as a credit against, |
or recovered as an additional charge to, respectively, |
with interest calculated at a rate equal to the |
utility's weighted average cost of capital approved by |
the Commission for the prior rate year, the charges |
for the applicable rate year. Such over-collection or |
under-collection shall be adjusted to remove any |
deferred taxes related to the reconciliation, for |
purposes of calculating interest at an annual rate of |
return equal to the utility's weighted average cost of |
capital approved by the Commission for the prior rate |
year, including a revenue conversion factor calculated |
to recover or refund all additional income taxes that |
|
may be payable or receivable as a result of that |
return. Each reconciliation shall be certified by the |
participating utility in the same manner that FERC |
Form 1 is certified. The filing shall also include the |
charge or credit, if any, resulting from the |
calculation required by subparagraph (E) of paragraph |
(2) of this subsection (d). |
Notwithstanding any other provision of law to the |
contrary, the intent of the reconciliation is to |
ultimately reconcile both the revenue requirement |
reflected in rates for each calendar year, beginning |
with the calendar year in which the utility files its |
energy efficiency formula rate tariff under paragraph |
(2) of this subsection (d), with what the revenue |
requirement determined using a year-end rate base for |
the applicable calendar year would have been had the |
actual cost information for the applicable calendar |
year been available at the filing date. |
For purposes of this Section, "FERC Form 1" means |
the Annual Report of Major Electric Utilities, |
Licensees and Others that electric utilities are |
required to file with the Federal Energy Regulatory |
Commission under the Federal Power Act, Sections 3, |
4(a), 304 and 209, modified as necessary to be |
consistent with 83 Ill. Adm. Admin. Code Part 415 as of |
May 1, 2011. Nothing in this Section is intended to |
|
allow costs that are not otherwise recoverable to be |
recoverable by virtue of inclusion in FERC Form 1. |
(B) The new charges shall take effect beginning on |
the first billing day of the following January billing |
period and remain in effect through the last billing |
day of the next December billing period regardless of |
whether the Commission enters upon a hearing under |
this paragraph (3). |
(C) The filing shall include relevant and |
necessary data and documentation for the applicable |
rate year. Normalization adjustments shall not be |
required. |
Within 45 days after the utility files its annual |
update of cost inputs to the energy efficiency formula |
rate, the Commission shall with reasonable notice, |
initiate a proceeding concerning whether the projected |
costs to be incurred by the utility and recovered during |
the applicable rate year, and that are reflected in the |
inputs to the energy efficiency formula rate, are |
consistent with the utility's approved multi-year plan |
under subsections (f) and (g) of this Section and whether |
the costs incurred by the utility during the prior rate |
year were prudent and reasonable. The Commission shall |
also have the authority to investigate the information and |
data described in paragraph (9) of subsection (g) of this |
Section, including the proposed adjustment to the |
|
utility's return on equity component of its weighted |
average cost of capital. During the course of the |
proceeding, each objection shall be stated with |
particularity and evidence provided in support thereof, |
after which the utility shall have the opportunity to |
rebut the evidence. Discovery shall be allowed consistent |
with the Commission's Rules of Practice, which Rules of |
Practice shall be enforced by the Commission or the |
assigned administrative law judge. The Commission shall |
apply the same evidentiary standards, including, but not |
limited to, those concerning the prudence and |
reasonableness of the costs incurred by the utility, |
during the proceeding as it would apply in a proceeding to |
review a filing for a general increase in rates under |
Article IX of this Act. The Commission shall not, however, |
have the authority in a proceeding under this paragraph |
(3) to consider or order any changes to the structure or |
protocols of the energy efficiency formula rate approved |
under paragraph (2) of this subsection (d). In a |
proceeding under this paragraph (3), the Commission shall |
enter its order no later than the earlier of 195 days after |
the utility's filing of its annual update of cost inputs |
to the energy efficiency formula rate or December 15. The |
utility's proposed return on equity calculation, as |
described in paragraphs (7) through (9) of subsection (g) |
of this Section, shall be deemed the final, approved |
|
calculation on December 15 of the year in which it is filed |
unless the Commission enters an order on or before |
December 15, after notice and hearing, that modifies such |
calculation consistent with this Section. The Commission's |
determinations of the prudence and reasonableness of the |
costs incurred, and determination of such return on equity |
calculation, for the applicable calendar year shall be |
final upon entry of the Commission's order and shall not |
be subject to reopening, reexamination, or collateral |
attack in any other Commission proceeding, case, docket, |
order, rule, or regulation; however, nothing in this |
paragraph (3) shall prohibit a party from petitioning the |
Commission to rehear or appeal to the courts the order |
under the provisions of this Act. |
(e)
Beginning on June 1, 2017 (the effective date of |
Public Act 99-906), a utility subject to the requirements of |
this Section may elect to defer, as a regulatory asset, up to |
the full amount of its expenditures incurred under this |
Section for each annual period, including, but not limited to, |
any expenditures incurred above the funding level set by |
subsection (f) of this Section for a given year. The total |
expenditures deferred as a regulatory asset in a given year |
shall be amortized and recovered over a period that is equal to |
the weighted average of the energy efficiency measure lives |
implemented for that year that are reflected in the regulatory |
asset. The unamortized balance shall be recognized as of |
|
December 31 for a given year. The utility shall also earn a |
return on the total of the unamortized balances of all of the |
energy efficiency regulatory assets, less any deferred taxes |
related to those unamortized balances, at an annual rate equal |
to the utility's weighted average cost of capital that |
includes, based on a year-end capital structure, the utility's |
actual cost of debt for the applicable calendar year and a cost |
of equity, which shall be calculated as the sum of the (i) the |
average for the applicable calendar year of the monthly |
average yields of 30-year U.S. Treasury bonds published by the |
Board of Governors of the Federal Reserve System in its weekly |
H.15 Statistical Release or successor publication; and (ii) |
580 basis points, including a revenue conversion factor |
calculated to recover or refund all additional income taxes |
that may be payable or receivable as a result of that return. |
Capital investment costs shall be depreciated and recovered |
over their useful lives consistent with generally accepted |
accounting principles. The weighted average cost of capital |
shall be applied to the capital investment cost balance, less |
any accumulated depreciation and accumulated deferred income |
taxes, as of December 31 for a given year. |
When an electric utility creates a regulatory asset under |
the provisions of this Section, the costs are recovered over a |
period during which customers also receive a benefit which is |
in the public interest. Accordingly, it is the intent of the |
General Assembly that an electric utility that elects to |
|
create a regulatory asset under the provisions of this Section |
shall recover all of the associated costs as set forth in this |
Section. After the Commission has approved the prudence and |
reasonableness of the costs that comprise the regulatory |
asset, the electric utility shall be permitted to recover all |
such costs, and the value and recoverability through rates of |
the associated regulatory asset shall not be limited, altered, |
impaired, or reduced. |
(f) Beginning in 2017, each electric utility shall file an |
energy efficiency plan with the Commission to meet the energy |
efficiency standards for the next applicable multi-year period |
beginning January 1 of the year following the filing, |
according to the schedule set forth in paragraphs (1) through |
(3) of this subsection (f). If a utility does not file such a |
plan on or before the applicable filing deadline for the plan, |
it shall face a penalty of $100,000 per day until the plan is |
filed. |
(1) No later than 30 days after June 1, 2017 (the |
effective date of Public Act 99-906), each electric |
utility shall file a 4-year energy efficiency plan |
commencing on January 1, 2018 that is designed to achieve |
the cumulative persisting annual savings goals specified |
in paragraphs (1) through (4) of subsection (b-5) of this |
Section or in paragraphs (1) through (4) of subsection |
(b-15) of this Section, as applicable, through |
implementation of energy efficiency measures; however, the |
|
goals may be reduced if the utility's expenditures are |
limited pursuant to subsection (m) of this Section or, for |
a utility that serves less than 3,000,000 retail |
customers, if each of the following conditions are met: |
(A) the plan's analysis and forecasts of the utility's |
ability to acquire energy savings demonstrate that |
achievement of such goals is not cost effective; and (B) |
the amount of energy savings achieved by the utility as |
determined by the independent evaluator for the most |
recent year for which savings have been evaluated |
preceding the plan filing was less than the average annual |
amount of savings required to achieve the goals for the |
applicable 4-year plan period. Except as provided in |
subsection (m) of this Section, annual increases in |
cumulative persisting annual savings goals during the |
applicable 4-year plan period shall not be reduced to |
amounts that are less than the maximum amount of |
cumulative persisting annual savings that is forecast to |
be cost-effectively achievable during the 4-year plan |
period. The Commission shall review any proposed goal |
reduction as part of its review and approval of the |
utility's proposed plan. |
(2) No later than March 1, 2021, each electric utility |
shall file a 4-year energy efficiency plan commencing on |
January 1, 2022 that is designed to achieve the cumulative |
persisting annual savings goals specified in paragraphs |
|
(5) through (8) of subsection (b-5) of this Section or in |
paragraphs (5) through (8) of subsection (b-15) of this |
Section, as applicable, through implementation of energy |
efficiency measures; however, the goals may be reduced if |
either (1) clear and convincing evidence demonstrates, |
through independent analysis, that the expenditure limits
|
in subsection (m) of this Section preclude full |
achievement of the goals or (2) each of the following |
conditions are met: (A) the plan's analysis and forecasts |
of the utility's ability to acquire energy savings |
demonstrate by clear and convincing evidence and through |
independent analysis that achievement of such goals is not |
cost effective; and (B) the amount of energy savings |
achieved by the utility as determined by the independent |
evaluator for the most recent year for which savings have |
been evaluated preceding the plan filing was less than the |
average annual amount of savings required to achieve the |
goals for the applicable 4-year plan period. If there is |
not clear and convincing evidence that achieving the |
savings goals specified in paragraph (b-5) or (b-15) of |
this Section is possible both cost-effectively and within |
the expenditure limits in subsection (m), such savings |
goals shall not be reduced. Except as provided in |
subsection (m) of this Section, annual increases in |
cumulative persisting annual savings goals during the |
applicable 4-year plan period shall not be reduced to |
|
amounts that are less than the maximum amount of |
cumulative persisting annual savings that is forecast to |
be cost-effectively achievable during the 4-year plan |
period. The Commission shall review any proposed goal |
reduction as part of its review and approval of the |
utility's proposed plan. |
(3) No later than March 1, 2025, each electric utility |
shall file a 4-year energy efficiency plan commencing on |
January 1, 2026 that is designed to achieve the cumulative |
persisting annual savings goals specified in paragraphs |
(9) through (12) of subsection (b-5) of this Section or in |
paragraphs (9) through (12) of subsection (b-15) of this |
Section, as applicable, through implementation of energy |
efficiency measures; however, the goals may be reduced if |
either (1) clear and convincing evidence demonstrates, |
through independent analysis, that the expenditure limits |
in subsection (m) of this Section preclude full |
achievement of the goals or (2) each of the following |
conditions are met: (A) the plan's analysis and forecasts |
of the utility's ability to acquire energy savings |
demonstrate by clear and convincing evidence and through |
independent analysis that achievement of such goals is not |
cost effective; and (B) the amount of energy savings |
achieved by the utility as determined by the independent |
evaluator for the most recent year for which savings have |
been evaluated preceding the plan filing was less than the |
|
average annual amount of savings required to achieve the |
goals for the applicable 4-year plan period. If there is |
not clear and convincing evidence that achieving the |
savings goals specified in paragraphs (b-5) or (b-15) of |
this Section is possible both cost-effectively and within |
the expenditure limits in subsection (m), such savings |
goals shall not be reduced. Except as provided in |
subsection (m) of this Section, annual increases in |
cumulative persisting annual savings goals during the |
applicable 4-year plan period shall not be reduced to |
amounts that are less than the maximum amount of |
cumulative persisting annual savings that is forecast to |
be cost-effectively achievable during the 4-year plan |
period. The Commission shall review any proposed goal |
reduction as part of its review and approval of the |
utility's proposed plan. |
(4) No later than March 1, 2029, and every 4 years |
thereafter, each electric utility shall file a 4-year |
energy efficiency plan commencing on January 1, 2030, and |
every 4 years thereafter, respectively, that is designed |
to achieve the cumulative persisting annual savings goals |
established by the Illinois Commerce Commission pursuant |
to direction of subsections (b-5) and (b-15) of this |
Section, as applicable, through implementation of energy |
efficiency measures; however, the goals may be reduced if |
either (1) clear and convincing evidence and independent |
|
analysis demonstrates that the expenditure limits in |
subsection (m) of this Section preclude full achievement |
of the goals or (2) each of the following conditions are |
met: (A) the plan's analysis and forecasts of the |
utility's ability to acquire energy savings demonstrate by |
clear and convincing evidence and through independent |
analysis that achievement of such goals is not |
cost-effective; and (B) the amount of energy savings |
achieved by the utility as determined by the independent |
evaluator for the most recent year for which savings have |
been evaluated preceding the plan filing was less than the |
average annual amount of savings required to achieve the |
goals for the applicable 4-year plan period. If there is |
not clear and convincing evidence that achieving the |
savings goals specified in paragraphs (b-5) or (b-15) of |
this Section is possible both cost-effectively and within |
the expenditure limits in subsection (m), such savings |
goals shall not be reduced. Except as provided in |
subsection (m) of this Section, annual increases in |
cumulative persisting annual savings goals during the |
applicable 4-year plan period shall not be reduced to |
amounts that are less than the maximum amount of |
cumulative persisting annual savings that is forecast to |
be cost-effectively achievable during the 4-year plan |
period. The Commission shall review any proposed goal |
reduction as part of its review and approval of the |
|
utility's proposed plan. |
Each utility's plan shall set forth the utility's |
proposals to meet the energy efficiency standards identified |
in subsection (b-5) or (b-15), as applicable and as such |
standards may have been modified under this subsection (f), |
taking into account the unique circumstances of the utility's |
service territory. For those plans commencing on January 1, |
2018, the Commission shall seek public comment on the |
utility's plan and shall issue an order approving or |
disapproving each plan no later than 105 days after June 1, |
2017 (the effective date of Public Act 99-906). For those |
plans commencing after December 31, 2021, the Commission shall |
seek public comment on the utility's plan and shall issue an |
order approving or disapproving each plan within 6 months |
after its submission. If the Commission disapproves a plan, |
the Commission shall, within 30 days, describe in detail the |
reasons for the disapproval and describe a path by which the |
utility may file a revised draft of the plan to address the |
Commission's concerns satisfactorily. If the utility does not |
refile with the Commission within 60 days, the utility shall |
be subject to penalties at a rate of $100,000 per day until the |
plan is filed. This process shall continue, and penalties |
shall accrue, until the utility has successfully filed a |
portfolio of energy efficiency and demand-response measures. |
Penalties shall be deposited into the Energy Efficiency Trust |
Fund. |
|
(g) In submitting proposed plans and funding levels under |
subsection (f) of this Section to meet the savings goals |
identified in subsection (b-5) or (b-15) of this Section, as |
applicable, the utility shall: |
(1) Demonstrate that its proposed energy efficiency |
measures will achieve the applicable requirements that are |
identified in subsection (b-5) or (b-15) of this Section, |
as modified by subsection (f) of this Section. |
(2) (Blank). |
(2.5) Demonstrate consideration of program options for |
(A) advancing new building codes, appliance standards, and |
municipal regulations governing existing and new building |
efficiency improvements and (B) supporting efforts to |
improve compliance with new building codes, appliance |
standards and municipal regulations, as potentially |
cost-effective means of acquiring energy savings to count |
toward savings goals. |
(3) Demonstrate that its overall portfolio of |
measures, not including low-income programs described in |
subsection (c) of this Section, is cost-effective using |
the total resource cost test or complies with paragraphs |
(1) through (3) of subsection (f) of this Section and |
represents a diverse cross-section of opportunities for |
customers of all rate classes, other than those customers |
described in subsection (l) of this Section, to |
participate in the programs. Individual measures need not |
|
be cost effective. |
(3.5) Demonstrate that the utility's plan integrates |
the delivery of energy efficiency programs with natural |
gas efficiency programs, programs promoting distributed |
solar, programs promoting demand response and other |
efforts to address bill payment issues, including, but not |
limited to, LIHEAP and the Percentage of Income Payment |
Plan, to the extent such integration is practical and has |
the potential to enhance customer engagement, minimize |
market confusion, or reduce administrative costs. |
(4) Present a third-party energy efficiency |
implementation program subject to the following |
requirements: |
(A) beginning with the year commencing January 1, |
2019, electric utilities that serve more than |
3,000,000 retail customers in the State shall fund |
third-party energy efficiency programs in an amount |
that is no less than $25,000,000 per year, and |
electric utilities that serve less than 3,000,000 |
retail customers but more than 500,000 retail |
customers in the State shall fund third-party energy |
efficiency programs in an amount that is no less than |
$8,350,000 per year; |
(B) during 2018, the utility shall conduct a |
solicitation process for purposes of requesting |
proposals from third-party vendors for those |
|
third-party energy efficiency programs to be offered |
during one or more of the years commencing January 1, |
2019, January 1, 2020, and January 1, 2021; for those |
multi-year plans commencing on January 1, 2022 and |
January 1, 2026, the utility shall conduct a |
solicitation process during 2021 and 2025, |
respectively, for purposes of requesting proposals |
from third-party vendors for those third-party energy |
efficiency programs to be offered during one or more |
years of the respective multi-year plan period; for |
each solicitation process, the utility shall identify |
the sector, technology, or geographical area for which |
it is seeking requests for proposals; the solicitation |
process must be either for programs that fill gaps in |
the utility's program portfolio and for programs that |
target low-income customers, business sectors, |
building types, geographies, or other specific parts |
of its customer base with initiatives that would be |
more effective at reaching these customer segments |
than the utilities' programs filed in its energy |
efficiency plans; |
(C) the utility shall propose the bidder |
qualifications, performance measurement process, and |
contract structure, which must include a performance |
payment mechanism and general terms and conditions; |
the proposed qualifications, process, and structure |
|
shall be subject to Commission approval; and |
(D) the utility shall retain an independent third |
party to score the proposals received through the |
solicitation process described in this paragraph (4), |
rank them according to their cost per lifetime |
kilowatt-hours saved, and assemble the portfolio of |
third-party programs. |
The electric utility shall recover all costs |
associated with Commission-approved, third-party |
administered programs regardless of the success of those |
programs. |
(4.5) Implement cost-effective demand-response |
measures to reduce peak demand by 0.1% over the prior year |
for eligible retail customers, as defined in Section |
16-111.5 of this Act, and for customers that elect hourly |
service from the utility pursuant to Section 16-107 of |
this Act, provided those customers have not been declared |
competitive. This requirement continues until December 31, |
2026. |
(5) Include a proposed or revised cost-recovery tariff |
mechanism, as provided for under subsection (d) of this |
Section, to fund the proposed energy efficiency and |
demand-response measures and to ensure the recovery of the |
prudently and reasonably incurred costs of |
Commission-approved programs. |
(6) Provide for an annual independent evaluation of |
|
the performance of the cost-effectiveness of the utility's |
portfolio of measures, as well as a full review of the |
multi-year plan results of the broader net program impacts |
and, to the extent practical, for adjustment of the |
measures on a going-forward basis as a result of the |
evaluations. The resources dedicated to evaluation shall |
not exceed 3% of portfolio resources in any given year. |
(7) For electric utilities that serve more than |
3,000,000 retail customers in the State: |
(A) Through December 31, 2025, provide for an |
adjustment to the return on equity component of the |
utility's weighted average cost of capital calculated |
under subsection (d) of this Section: |
(i) If the independent evaluator determines |
that the utility achieved a cumulative persisting |
annual savings that is less than the applicable |
annual incremental goal, then the return on equity |
component shall be reduced by a maximum of 200 |
basis points in the event that the utility |
achieved no more than 75% of such goal. If the |
utility achieved more than 75% of the applicable |
annual incremental goal but less than 100% of such |
goal, then the return on equity component shall be |
reduced by 8 basis points for each percent by |
which the utility failed to achieve the goal. |
(ii) If the independent evaluator determines |
|
that the utility achieved a cumulative persisting |
annual savings that is more than the applicable |
annual incremental goal, then the return on equity |
component shall be increased by a maximum of 200 |
basis points in the event that the utility |
achieved at least 125% of such goal. If the |
utility achieved more than 100% of the applicable |
annual incremental goal but less than 125% of such |
goal, then the return on equity component shall be |
increased by 8 basis points for each percent by |
which the utility achieved above the goal. If the |
applicable annual incremental goal was reduced |
under paragraph paragraphs (1) or (2) of |
subsection (f) of this Section, then the following |
adjustments shall be made to the calculations |
described in this item (ii): |
(aa) the calculation for determining |
achievement that is at least 125% of the |
applicable annual incremental goal shall use |
the unreduced applicable annual incremental |
goal to set the value; and |
(bb) the calculation for determining |
achievement that is less than 125% but more |
than 100% of the applicable annual incremental |
goal shall use the reduced applicable annual |
incremental goal to set the value for 100% |
|
achievement of the goal and shall use the |
unreduced goal to set the value for 125% |
achievement. The 8 basis point value shall |
also be modified, as necessary, so that the |
200 basis points are evenly apportioned among |
each percentage point value between 100% and |
125% achievement. |
(B) For the period January 1, 2026 through |
December 31, 2029 and in all subsequent 4-year |
periods, provide for an adjustment to the return on |
equity component of the utility's weighted average |
cost of capital calculated under subsection (d) of |
this Section: |
(i) If the independent evaluator determines |
that the utility achieved a cumulative persisting |
annual savings that is less than the applicable |
annual incremental goal, then the return on equity |
component shall be reduced by a maximum of 200 |
basis points in the event that the utility |
achieved no more than 66% of such goal. If the |
utility achieved more than 66% of the applicable |
annual incremental goal but less than 100% of such |
goal, then the return on equity component shall be |
reduced by 6 basis points for each percent by |
which the utility failed to achieve the goal. |
(ii) If the independent evaluator determines |
|
that the utility achieved a cumulative persisting |
annual savings that is more than the applicable |
annual incremental goal, then the return on equity |
component shall be increased by a maximum of 200 |
basis points in the event that the utility |
achieved at least 134% of such goal. If the |
utility achieved more than 100% of the applicable |
annual incremental goal but less than 134% of such |
goal, then the return on equity component shall be |
increased by 6 basis points for each percent by |
which the utility achieved above the goal. If the |
applicable annual incremental goal was reduced |
under paragraph (3) of subsection (f) of this |
Section, then the following adjustments shall be |
made to the calculations described in this item |
(ii): |
(aa) the calculation for determining |
achievement that is at least 134% of the |
applicable annual incremental goal shall use |
the unreduced applicable annual incremental |
goal to set the value; and |
(bb) the calculation for determining |
achievement that is less than 134% but more |
than 100% of the applicable annual incremental |
goal shall use the reduced applicable annual |
incremental goal to set the value for 100% |
|
achievement of the goal and shall use the |
unreduced goal to set the value for 134% |
achievement. The 6 basis point value shall |
also be modified, as necessary, so that the |
200 basis points are evenly apportioned among |
each percentage point value between 100% and |
134% achievement. |
(C) Notwithstanding the provisions of |
subparagraphs (A) and (B) of this paragraph (7), if |
the applicable annual incremental goal for an electric |
utility is ever less than 0.6% of deemed average |
weather normalized sales of electric power and energy |
during calendar years 2014, 2015, and 2016, an |
adjustment to the return on equity component of the |
utility's weighted average cost of capital calculated |
under subsection (d) of this Section shall be made as |
follows: |
(i) If the independent evaluator determines |
that the utility achieved a cumulative persisting |
annual savings that is less than would have been |
achieved had the applicable annual incremental |
goal been achieved, then the return on equity |
component shall be reduced by a maximum of 200 |
basis points if the utility achieved no more than |
75% of its applicable annual total savings |
requirement as defined in paragraph (7.5) of this |
|
subsection. If the utility achieved more than 75% |
of the applicable annual total savings requirement |
but less than 100% of such goal, then the return on |
equity component shall be reduced by 8 basis |
points for each percent by which the utility |
failed to achieve the goal. |
(ii) If the independent evaluator determines |
that the utility achieved a cumulative persisting |
annual savings that is more than would have been |
achieved had the applicable annual incremental |
goal been achieved, then the return on equity |
component shall be increased by a maximum of 200 |
basis points if the utility achieved at least 125% |
of its applicable annual total savings |
requirement. If the utility achieved more than |
100% of the applicable annual total savings |
requirement but less than 125% of such goal, then |
the return on equity component shall be increased |
by 8 basis points for each percent by which the |
utility achieved above the applicable annual total |
savings requirement. If the applicable annual |
incremental goal was reduced under paragraph (1) |
or (2) of subsection (f) of this Section, then the |
following adjustments shall be made to the |
calculations described in this item (ii): |
(aa) the calculation for determining |
|
achievement that is at least 125% of the |
applicable annual total savings requirement |
shall use the unreduced applicable annual |
incremental goal to set the value; and |
(bb) the calculation for determining |
achievement that is less than 125% but more |
than 100% of the applicable annual total |
savings requirement shall use the reduced |
applicable annual incremental goal to set the |
value for 100% achievement of the goal and |
shall use the unreduced goal to set the value |
for 125% achievement. The 8 basis point value |
shall also be modified, as necessary, so that |
the 200 basis points are evenly apportioned |
among each percentage point value between 100% |
and 125% achievement. |
(7.5) For purposes of this Section, the term |
"applicable
annual incremental goal" means the difference |
between the
cumulative persisting annual savings goal for |
the calendar
year that is the subject of the independent |
evaluator's
determination and the cumulative persisting |
annual savings
goal for the immediately preceding calendar |
year, as such
goals are defined in subsections (b-5) and |
(b-15) of this
Section and as these goals may have been |
modified as
provided for under subsection (b-20) and |
paragraphs (1)
through (3) of subsection (f) of this |
|
Section. Under
subsections (b), (b-5), (b-10), and (b-15) |
of this Section,
a utility must first replace energy |
savings from measures
that have expired before any |
progress towards achievement of its
applicable annual |
incremental goal may be counted. Savings may expire |
because measures installed in previous years have reached |
the end of their lives, because measures installed in |
previous years are producing lower savings in the current |
year than in the previous year, or for other reasons |
identified by independent evaluators.
Notwithstanding |
anything else set forth in this Section,
the difference |
between the actual annual incremental
savings achieved in |
any given year, including the
replacement of energy |
savings that have
expired, and the applicable annual |
incremental goal shall
not affect adjustments to the |
return on equity for
subsequent calendar years under this |
subsection (g). |
In this Section, "applicable annual total savings |
requirement" means the total amount of new annual savings |
that the utility must achieve in any given year to achieve |
the applicable annual incremental goal. This is equal to |
the applicable annual incremental goal plus the total new |
annual savings that are required to replace savings that |
expired in or at the end of the previous year. |
(8) For electric utilities that serve less than |
3,000,000 retail customers but more than 500,000 retail |
|
customers in the State: |
(A) Through December 31, 2025, the applicable |
annual incremental goal shall be compared to the |
annual incremental savings as determined by the |
independent evaluator. |
(i) The return on equity component shall be |
reduced by 8 basis points for each percent by |
which the utility did not achieve 84.4% of the |
applicable annual incremental goal. |
(ii) The return on equity component shall be |
increased by 8 basis points for each percent by |
which the utility exceeded 100% of the applicable |
annual incremental goal. |
(iii) The return on equity component shall not |
be increased or decreased if the annual |
incremental savings as determined by the |
independent evaluator is greater than 84.4% of the |
applicable annual incremental goal and less than |
100% of the applicable annual incremental goal. |
(iv) The return on equity component shall not |
be increased or decreased by an amount greater |
than 200 basis points pursuant to this |
subparagraph (A). |
(B) For the period of January 1, 2026 through |
December 31, 2029 and in all subsequent 4-year |
periods, the applicable annual incremental goal shall |
|
be compared to the annual incremental savings as |
determined by the independent evaluator. |
(i) The return on equity component shall be |
reduced by 6 basis points for each percent by |
which the utility did not achieve 100% of the |
applicable annual incremental goal. |
(ii) The return on equity component shall be |
increased by 6 basis points for each percent by |
which the utility exceeded 100% of the applicable |
annual incremental goal. |
(iii) The return on equity component shall not |
be increased or decreased by an amount greater |
than 200 basis points pursuant to this |
subparagraph (B). |
(C) Notwithstanding provisions in subparagraphs |
(A) and (B) of paragraph (7) of this subsection, if the |
applicable annual incremental goal for an electric |
utility is ever less than 0.6% of deemed average |
weather normalized sales of electric power and energy |
during calendar years 2014, 2015 and 2016, an |
adjustment to the return on equity component of the |
utility's weighted average cost of capital calculated |
under subsection (d) of this Section shall be made as |
follows: |
(i) The return on equity component shall be |
reduced by 8 basis points for each percent by |
|
which the utility did not achieve 100% of the |
applicable annual total savings requirement. |
(ii) The return on equity component shall be |
increased by 8 basis points for each percent by |
which the utility exceeded 100% of the applicable |
annual total savings requirement. |
(iii) The return on equity component shall not |
be increased or decreased by an amount greater |
than 200 basis points pursuant to this |
subparagraph (C). |
(D) If the applicable annual incremental goal was |
reduced under paragraph (1), (2), (3), or (4) of |
subsection (f) of this Section, then the following |
adjustments shall be made to the calculations |
described in subparagraphs (A), (B), and (C) of this |
paragraph (8): |
(i) The calculation for determining |
achievement that is at least 125% or 134%, as |
applicable, of the applicable annual incremental |
goal or the applicable annual total savings |
requirement, as applicable, shall use the |
unreduced applicable annual incremental goal to |
set the value. |
(ii) For the period through December 31, 2025, |
the calculation for determining achievement that |
is less than 125% but more than 100% of the |
|
applicable annual incremental goal or the |
applicable annual total savings requirement, as |
applicable, shall use the reduced applicable |
annual incremental goal to set the value for 100% |
achievement of the goal and shall use the |
unreduced goal to set the value for 125% |
achievement. The 8 basis point value shall also be |
modified, as necessary, so that the 200 basis |
points are evenly apportioned among each |
percentage point value between 100% and 125% |
achievement. |
(iii) For the period of January 1, 2026 |
through December 31, 2029 and all subsequent |
4-year periods, the calculation for determining |
achievement that is less than 125% or 134%, as |
applicable, but more than 100% of the applicable |
annual incremental goal or the applicable annual |
total savings requirement, as applicable, shall |
use the reduced applicable annual incremental goal |
to set the value for 100% achievement of the goal |
and shall use the unreduced goal to set the value |
for 125% achievement. The 6 basis-point value or 8 |
basis-point value, as applicable, shall also be |
modified, as necessary, so that the 200 basis |
points are evenly apportioned among each |
percentage point value between 100% and 125% or |
|
between 100% and 134% achievement, as applicable. |
(9) The utility shall submit the energy savings data |
to the independent evaluator no later than 30 days after |
the close of the plan year. The independent evaluator |
shall determine the cumulative persisting annual savings |
for a given plan year, as well as an estimate of job |
impacts and other macroeconomic impacts of the efficiency |
programs for that year, no later than 120 days after the |
close of the plan year. The utility shall submit an |
informational filing to the Commission no later than 160 |
days after the close of the plan year that attaches the |
independent evaluator's final report identifying the |
cumulative persisting annual savings for the year and |
calculates, under paragraph (7) or (8) of this subsection |
(g), as applicable, any resulting change to the utility's |
return on equity component of the weighted average cost of |
capital applicable to the next plan year beginning with |
the January monthly billing period and extending through |
the December monthly billing period. However, if the |
utility recovers the costs incurred under this Section |
under paragraphs (2) and (3) of subsection (d) of this |
Section, then the utility shall not be required to submit |
such informational filing, and shall instead submit the |
information that would otherwise be included in the |
informational filing as part of its filing under paragraph |
(3) of such subsection (d) that is due on or before June 1 |
|
of each year. |
For those utilities that must submit the informational |
filing, the Commission may, on its own motion or by |
petition, initiate an investigation of such filing, |
provided, however, that the utility's proposed return on |
equity calculation shall be deemed the final, approved |
calculation on December 15 of the year in which it is filed |
unless the Commission enters an order on or before |
December 15, after notice and hearing, that modifies such |
calculation consistent with this Section. |
The adjustments to the return on equity component |
described in paragraphs (7) and (8) of this subsection (g) |
shall be applied as described in such paragraphs through a |
separate tariff mechanism, which shall be filed by the |
utility under subsections (f) and (g) of this Section. |
(9.5) The utility must demonstrate how it will ensure |
that program implementation contractors and energy |
efficiency installation vendors will promote workforce |
equity and quality jobs. |
(9.6) Utilities shall collect data necessary to ensure |
compliance with paragraph (9.5) no less than quarterly and |
shall communicate progress toward compliance with |
paragraph (9.5) to program implementation contractors and |
energy efficiency installation vendors no less than |
quarterly. Utilities shall work with relevant vendors, |
providing education, training, and other resources needed |
|
to ensure compliance and, where necessary, adjusting or |
terminating work with vendors that cannot assist with |
compliance. |
(10) Utilities required to implement efficiency |
programs under subsections (b-5) and (b-10) shall report |
annually to the Illinois Commerce Commission and the |
General Assembly on how hiring, contracting, job training, |
and other practices related to its energy efficiency |
programs enhance the diversity of vendors working on such |
programs. These reports must include data on vendor and |
employee diversity, including data on the implementation |
of paragraphs (9.5) and (9.6). If the utility is not |
meeting the requirements of paragraphs (9.5) and (9.6), |
the utility shall submit a plan to adjust their activities |
so that they meet the requirements of paragraphs (9.5) and |
(9.6) within the following year. |
(h) No more than 4% of energy efficiency and |
demand-response program revenue may be allocated for research, |
development, or pilot deployment of new equipment or measures. |
Electric utilities shall work with interested stakeholders to |
formulate a plan for how these funds should be spent, |
incorporate statewide approaches for these allocations, and |
file a 4-year plan that demonstrates that collaboration. If a |
utility files a request for modified annual energy savings |
goals with the Commission, then a utility shall forgo spending |
portfolio dollars on research and development proposals.
|
|
(i) When practicable, electric utilities shall incorporate |
advanced metering infrastructure data into the planning, |
implementation, and evaluation of energy efficiency measures |
and programs, subject to the data privacy and confidentiality |
protections of applicable law. |
(j) The independent evaluator shall follow the guidelines |
and use the savings set forth in Commission-approved energy |
efficiency policy manuals and technical reference manuals, as |
each may be updated from time to time. Until such time as |
measure life values for energy efficiency measures implemented |
for low-income households under subsection (c) of this Section |
are incorporated into such Commission-approved manuals, the |
low-income measures shall have the same measure life values |
that are established for same measures implemented in |
households that are not low-income households. |
(k) Notwithstanding any provision of law to the contrary, |
an electric utility subject to the requirements of this |
Section may file a tariff cancelling an automatic adjustment |
clause tariff in effect under this Section or Section 8-103, |
which shall take effect no later than one business day after |
the date such tariff is filed. Thereafter, the utility shall |
be authorized to defer and recover its expenditures incurred |
under this Section through a new tariff authorized under |
subsection (d) of this Section or in the utility's next rate |
case under Article IX or Section 16-108.5 of this Act, with |
interest at an annual rate equal to the utility's weighted |
|
average cost of capital as approved by the Commission in such |
case. If the utility elects to file a new tariff under |
subsection (d) of this Section, the utility may file the |
tariff within 10 days after June 1, 2017 (the effective date of |
Public Act 99-906), and the cost inputs to such tariff shall be |
based on the projected costs to be incurred by the utility |
during the calendar year in which the new tariff is filed and |
that were not recovered under the tariff that was cancelled as |
provided for in this subsection. Such costs shall include |
those incurred or to be incurred by the utility under its |
multi-year plan approved under subsections (f) and (g) of this |
Section, including, but not limited to, projected capital |
investment costs and projected regulatory asset balances with |
correspondingly updated depreciation and amortization reserves |
and expense. The Commission shall, after notice and hearing, |
approve, or approve with modification, such tariff and cost |
inputs no later than 75 days after the utility filed the |
tariff, provided that such approval, or approval with |
modification, shall be consistent with the provisions of this |
Section to the extent they do not conflict with this |
subsection (k). The tariff approved by the Commission shall |
take effect no later than 5 days after the Commission enters |
its order approving the tariff. |
No later than 60 days after the effective date of the |
tariff cancelling the utility's automatic adjustment clause |
tariff, the utility shall file a reconciliation that |
|
reconciles the moneys collected under its automatic adjustment |
clause tariff with the costs incurred during the period |
beginning June 1, 2016 and ending on the date that the electric |
utility's automatic adjustment clause tariff was cancelled. In |
the event the reconciliation reflects an under-collection, the |
utility shall recover the costs as specified in this |
subsection (k). If the reconciliation reflects an |
over-collection, the utility shall apply the amount of such |
over-collection as a one-time credit to retail customers' |
bills. |
(l) For the calendar years covered by a multi-year plan
|
commencing after December 31, 2017, subsections (a) through
|
(j) of this Section do not apply to eligible large private
|
energy customers that have chosen to opt out of multi-year
|
plans consistent with this subsection
(1). |
(1) For purposes of this subsection (l), "eligible
|
large private energy customer" means any retail
customers, |
except for federal, State, municipal, and other
public |
customers, of an electric utility that serves more
than |
3,000,000 retail customers, except for federal,
State, |
municipal and other public customers, in the State
and |
whose total highest 30 minute demand was more than
10,000 |
kilowatts, or any retail customers of an electric
utility |
that serves less than 3,000,000 retail customers
but more |
than 500,000 retail customers in the State and
whose total |
highest 15 minute demand was more than 10,000
kilowatts. |
|
For purposes of this subsection (l), "retail
customer" has |
the meaning set forth in Section 16-102 of
this Act. |
However, for a business entity with multiple sites located |
in the State, where at least one of those sites qualifies |
as an eligible large private energy customer, then any of |
that business entity's sites, properly identified on a |
form for notice, shall be considered eligible large |
private energy customers for the purposes of this |
subsection (l). A determination of whether this subsection |
is
applicable to a customer shall be made for each |
multi-year
plan beginning after December 31, 2017. The |
criteria for
determining whether this subsection (l) is |
applicable to a
retail customer shall be based on the 12 |
consecutive
billing periods prior to the start of the |
first year of
each such multi-year plan. |
(2) Within 45 days after September 15, 2021 ( the |
effective date of Public Act 102-662) this amendatory Act |
of the 102nd General Assembly , the Commission shall |
prescribe the form for notice
required for opting out of |
energy efficiency programs. The
notice must be submitted |
to the retail electric utility 12 months
before the next |
energy efficiency planning cycle. However, within 120 days |
after the Commission's initial issuance of the form for |
notice, eligible large private energy customers may submit |
a form for notice to an electric utility. The form for |
notice for opting out of energy efficiency programs shall
|
|
include all of the following: |
(A) a statement indicating that the customer has
|
elected to opt out; |
(B) the account numbers for the customer accounts |
to
which the opt out shall apply; |
(C) the mailing address associated with the
|
customer accounts identified under subparagraph (B); |
(D) an American Society of Heating, Refrigerating,
|
and Air-Conditioning Engineers (ASHRAE) level 2 or
|
higher audit report conducted by an independent |
third-party expert identifying cost-effective energy
|
efficiency project opportunities that could be
|
invested in over the next 10 years. A retail customer |
with specialized processes may utilize a self-audit |
process in lieu of the ASHRAE audit; |
(E) a description of the customer's plans to
|
reallocate the funds toward internal energy efficiency
|
efforts identified in the subparagraph (D) report,
|
including, but not limited to: (i) strategic energy
|
management or other programs, including descriptions
|
of targeted buildings, equipment and operations; (ii)
|
eligible energy efficiency measures; and (iii)
|
expected energy savings, itemized by technology. If |
the subparagraph (D) audit report identifies that the |
customer currently utilizes the best available energy |
efficient technology, equipment, programs, and |
|
operations, the customer may provide a statement that |
more efficient technology, equipment, programs, and |
operations are not reasonably available as a means of |
satisfying this subparagraph (E); and |
(F) the effective date of the opt out, which will
|
be the next January 1 following notice of the opt out. |
(3) Upon receipt of a properly and timely noticed
|
request for opt out submitted by an eligible large private
|
energy customer, the retail electric utility shall grant |
the
request, file the request with the Commission and,
|
beginning January 1 of the following year, the opted out
|
customer shall no longer be assessed the costs of the plan
|
and shall be prohibited from participating in that
4-year |
plan cycle to give the retail utility the
certainty to |
design program plan proposals. |
(4) Upon a customer's election to opt out under
|
paragraphs (1) and (2) of this subsection (l) and
|
commencing on the effective date of said opt out, the
|
account properly identified in the customer's notice under
|
paragraph (2) shall not be subject to any cost recovery
|
and shall not be eligible to participate in, or directly
|
benefit from, compliance with energy efficiency cumulative
|
persisting savings requirements under subsections (a)
|
through (j). |
(5) A utility's cumulative persisting annual savings
|
targets will exclude any opted out load. |
|
(6) The request to opt out is only valid for the
|
requested plan cycle. An eligible large private energy
|
customer must also request to opt out for future energy
|
plan cycles, otherwise the customer will be included in
|
the future energy plan cycle. |
(m) Notwithstanding the requirements of this Section, as |
part of a proceeding to approve a multi-year plan under |
subsections (f) and (g) of this Section if the multi-year plan |
has been designed to maximize savings, but does not meet the |
cost cap limitations of this Section, the Commission shall |
reduce the amount of energy efficiency measures implemented |
for any single year, and whose costs are recovered under |
subsection (d) of this Section, by an amount necessary to |
limit the estimated average net increase due to the cost of the |
measures to no more than |
(1) 3.5% for each of the 4 years beginning January 1, |
2018, |
(2) (blank), |
(3) 4% for each of the 4 years beginning January 1, |
2022, |
(4) 4.25% for the 4 years beginning January 1, 2026, |
and |
(5) 4.25% plus an increase sufficient to account for |
the rate of inflation between January 1, 2026 and January |
1 of the first year of each subsequent 4-year plan cycle, |
of the average amount paid per kilowatthour by residential |
|
eligible retail customers during calendar year 2015. An |
electric utility may plan to spend up to 10% more in any year |
during an applicable multi-year plan period to |
cost-effectively achieve additional savings so long as the |
average over the applicable multi-year plan period does not |
exceed the percentages defined in items (1) through (5). To |
determine the total amount that may be spent by an electric |
utility in any single year, the applicable percentage of the |
average amount paid per kilowatthour shall be multiplied by |
the total amount of energy delivered by such electric utility |
in the calendar year 2015, adjusted to reflect the proportion |
of the utility's load attributable to customers that have |
opted out of subsections (a) through (j) of this Section under |
subsection (l) of this Section. For purposes of this |
subsection (m), the amount paid per kilowatthour includes,
|
without limitation, estimated amounts paid for supply,
|
transmission, distribution, surcharges, and add-on taxes. For |
purposes of this Section, "eligible retail customers" shall |
have the meaning set forth in Section 16-111.5 of this Act. |
Once the Commission has approved a plan under subsections (f) |
and (g) of this Section, no subsequent rate impact |
determinations shall be made. |
(n) A utility shall take advantage of the efficiencies |
available through existing Illinois Home Weatherization |
Assistance Program infrastructure and services, such as |
enrollment, marketing, quality assurance and implementation, |
|
which can reduce the need for similar services at a lower cost |
than utility-only programs, subject to capacity constraints at |
community action agencies, for both single-family and |
multifamily weatherization services, to the extent Illinois |
Home Weatherization Assistance Program community action |
agencies provide multifamily services. A utility's plan shall |
demonstrate that in formulating annual weatherization budgets, |
it has sought input and coordination with community action |
agencies regarding agencies' capacity to expand and maximize |
Illinois Home Weatherization Assistance Program delivery using |
the ratepayer dollars collected under this Section.
|
(Source: P.A. 101-81, eff. 7-12-19; 102-662, eff. 9-15-21; |
revised 2-28-22.)
|
(220 ILCS 5/8-201.4) |
Sec. 8-201.4. Prohibition on use of utility name or logo |
by non-utility entity. No non-utility individual, business, or |
entity shall use a public utility name or logo, in whole or in |
part, in any manner to market, solicit, sell, or bill for a |
home (i) insurance, (ii) maintenance, or (iii) warranty |
product. This prohibition does not apply to activities |
permitted to implement a program or plan approved by the |
Commission pursuant to an order entered under this Act. This |
prohibition does not apply to the partial use by a non-utility |
entity of a logo belonging to an electric utility that serves |
fewer than 200,000 customers in this State.
|
|
(Source: P.A. 102-928, eff. 1-1-23; revised 12-19-22.)
|
(220 ILCS 5/14-102) (from Ch. 111 2/3, par. 14-102)
|
Sec. 14-102. Terms of office, vacancies, restrictions , and |
removals. |
Terms of office. The first members of the transit |
commission shall be
appointed for two, three, and four year |
terms respectively. The term of
office of each member |
thereafter appointed shall be four years.
|
Vacancies. Any vacancy in the membership of the transit |
commission occurring by
reason of the death, resignation, |
disqualification, removal, or inability
or refusal to act of |
any of the members of such transit commission shall be filled
|
by appointment by the mayor by and with the advice and consent |
of the city
council of the city.
|
Restrictions and removals. Each member of the transit |
commission shall
devote all time necessary to perform properly |
and adequately the duties of
his office, and shall hold no |
other office or position of profit, or engage
in any other |
business, employment, or vocation to the detriment or neglect
|
of such duties.
|
No person holding stocks or bonds in any corporation |
subject to the
jurisdiction of the transit commission, or who |
is in any other manner
directly or indirectly pecuniarily |
interested in any such corporation,
shall be appointed as a |
member of the transit commission or shall be
appointed or |
|
employed by the transit commission.
|
No member of the transit commission or any officer or |
employee employe of the
transit commission shall voluntarily |
become so interested and if he shall
become so interested |
otherwise than voluntarily he shall within a
reasonable time |
divest himself of such interest.
|
No member of the transit commission or any officer or |
employee employe of the
transit commission shall solicit or |
accept any gift, gratuity, emolument,
or employment from any |
corporation subject to the jurisdiction of the
transit |
commission or from any officer, agent, or employee employe |
thereof; nor
solicit, request, or recommend directly or |
indirectly, to any such
corporation or to any officer, agent, |
or employee employe thereof, the appointment
or employment of |
any person by any such corporation to any office or
position. |
And no such corporation or any officer, agent, or employee |
employe
thereof, shall offer to any member of the transit |
commission or any officer or employee
employe of the transit |
commission any gift, gratuity, emolument, or employment.
|
Violation of any of the provisions of this paragraph by |
any member,
officer, or employee employe of the transit |
commission shall be ground for his
removal from the office or |
employment held by him.
|
No member of the transit commission shall be removed from |
office during
the term for which he shall be appointed except |
upon written charges made
and sustained, as hereinafter |
|
provided for violation of any of the
provisions of this |
paragraph, or for malfeasance, misfeasance , or
nonfeasance in |
the discharge of the duties of his office.
|
Such charges shall be preferred by the mayor in writing to |
the city
council of the city, or by resolution of the city |
council of the city and
shall be investigated by a committee |
designated by the city council, which
shall afford full |
opportunity to the commissioner complained of to appear
and be |
heard in his own defense and to be represented by counsel.
|
The finding or decision of such committee shall be |
reported by it to the
city council. In case such finding or |
decision shall sustain the charges
and shall be approved by a |
vote of two-thirds two thirds of all of the members of the
city |
council, the mayor of the city shall issue a declaration |
removing such
commissioner from office and the vacancy thus |
created shall be filled as in
this Section section provided.
|
(Source: P.A. 84-617; revised 8-22-22.)
|
(220 ILCS 5/14-103) (from Ch. 111 2/3, par. 14-103)
|
Sec. 14-103. Offices, employees employes and supplies, |
salaries. |
Offices. The transit commission shall establish and |
maintain an office
in the city hall of the city or at such |
other place as the city council of
the city shall from time to |
time authorize or provide.
|
Such office shall be open for business between the hours |
|
of nine o'clock
A. M. and five o'clock P. M. of each week day |
except holidays, except on
Saturdays the hours shall be from |
nine o'clock A. M. to twelve o'clock
noon.
|
Employees Employes and supplies. The transit commission |
shall have power to
appoint a secretary, and to employ such |
accountants, engineers, experts,
inspectors, clerks , and other |
employees employes and fix their compensation, and to
purchase |
such furniture, stationery, and other supplies and materials, |
as
are reasonably necessary to enable it properly to perform |
its duties and
exercise its powers.
|
The secretary and such other employees employes as the |
transit commission may require
shall give bond in such amount |
and with such security as the transit commission may
|
prescribe.
|
Salaries and expenses. Each of the members of the transit |
commission
shall receive such annual salary as shall be fixed |
by the city council of
the city.
|
The salary of any member shall not be reduced during his |
term of office.
|
The city council of the city shall have power to provide |
for the payment
of the salaries of all members and the expenses |
of the transit commission.
|
(Source: P.A. 84-617; revised 8-22-22.)
|
(220 ILCS 5/14-104) (from Ch. 111 2/3, par. 14-104)
|
Sec. 14-104. Rules and regulations, meetings, seal and |
|
authentication
of records, etc. |
Rules and regulations. Consistent with the provisions of |
this Article,
the transit commission may adopt such rules and |
regulations and may alter
and amend the same as it shall deem |
advisable relative to the calling,
holding , and conduct of its |
meetings, the transaction of its business, the
regulation and |
control of its agents and employees employes , the filing of |
complaints
and petitions and the service of notices thereof |
and the conduct of
hearings thereon, and the performance in |
general of its duties and powers
hereunder.
|
Meetings. For the purpose of receiving, considering , and |
acting upon any
complaints or applications which may be |
presented to it or for the purpose
of conducting |
investigations or hearings on its own motion the transit
|
commission shall hold a regular meeting at least once a week |
except in the
months of July and August in each year. In |
addition to such other meetings of
the transit commission as |
may be held, called or provided for by the rules and
|
regulations of the transit commission, the Chairman shall call |
a meeting of the transit
commission at any time upon the |
request of the mayor or city council of
the city.
|
Quorum and Majority Rule. Two members of the transit |
commission shall
constitute a quorum to transact business and |
no vacancy shall impair the
right of the remaining |
commissioners to exercise all the powers of the transit
|
commission; and every finding, order, decision, rule, |
|
regulation , or
requirement of the transit commission approved |
by at least two members thereof
shall be deemed to be the |
finding, order, decision, rule, regulation , or
requirement of |
the transit commission.
|
Seal, Authentication of records, etc. The transit |
commission may adopt,
keep, and use a common seal, of which |
judicial notice shall be taken in all
courts of this State |
state . Any process, notice, or other instrument which
the |
transit commission may be authorized by law to issue shall be |
deemed sufficient
if signed by the secretary of the transit |
commission and authenticated by such
seal. All acts, orders, |
decisions, rules, and records of the transit commission,
and |
all reports, schedules, and documents filed with the transit |
commission may be
proved in any court in this State state by a |
copy thereof certified by the
secretary under the seal of the |
transit commission.
|
(Source: P.A. 84-617; revised 8-22-22.)
|
(220 ILCS 5/16-108.5) |
Sec. 16-108.5. Infrastructure investment and |
modernization; regulatory reform. |
(a) (Blank). |
(b) For purposes of this Section, "participating utility" |
means an electric utility or a combination utility serving |
more than 1,000,000 customers in Illinois that voluntarily |
elects and commits to undertake (i) the infrastructure |
|
investment program consisting of the commitments and |
obligations described in this subsection (b) and (ii) the |
customer assistance program consisting of the commitments and |
obligations described in subsection (b-10) of this Section, |
notwithstanding any other provisions of this Act and without |
obtaining any approvals from the Commission or any other |
agency other than as set forth in this Section, regardless of |
whether any such approval would otherwise be required. |
"Combination utility" means a utility that, as of January 1, |
2011, provided electric service to at least one million retail |
customers in Illinois and gas service to at least 500,000 |
retail customers in Illinois. A participating utility shall |
recover the expenditures made under the infrastructure |
investment program through the ratemaking process, including, |
but not limited to, the performance-based formula rate and |
process set forth in this Section. |
During the infrastructure investment program's peak |
program year, a participating utility other than a combination |
utility shall create 2,000 full-time equivalent jobs in |
Illinois, and a participating utility that is a combination |
utility shall create 450 full-time equivalent jobs in Illinois |
related to the provision of electric service. These jobs shall |
include direct jobs, contractor positions, and induced jobs, |
but shall not include any portion of a job commitment, not |
specifically contingent on an amendatory Act of the 97th |
General Assembly becoming law, between a participating utility |
|
and a labor union that existed on December 30, 2011 (the |
effective date of Public Act 97-646) and that has not yet been |
fulfilled. A portion of the full-time equivalent jobs created |
by each participating utility shall include incremental |
personnel hired subsequent to December 30, 2011 (the effective |
date of Public Act 97-646). For purposes of this Section, |
"peak program year" means the consecutive 12-month period with |
the highest number of full-time equivalent jobs that occurs |
between the beginning of investment year 2 and the end of |
investment year 4. |
A participating utility shall meet one of the following |
commitments, as applicable: |
(1) Beginning no later than 180 days after a |
participating utility other than a combination utility |
files a performance-based formula rate tariff pursuant to |
subsection (c) of this Section, or, beginning no later |
than January 1, 2012 if such utility files such |
performance-based formula rate tariff within 14 days of |
October 26, 2011 (the effective date of Public Act |
97-616), the participating utility shall, except as |
provided in subsection (b-5): |
(A) over a 5-year period, invest an estimated |
$1,300,000,000 in electric system upgrades, |
modernization projects, and training facilities, |
including, but not limited to: |
(i) distribution infrastructure improvements |
|
totaling an estimated $1,000,000,000, including |
underground residential distribution cable |
injection and replacement and mainline cable |
system refurbishment and replacement projects; |
(ii) training facility construction or upgrade |
projects totaling an estimated $10,000,000, |
provided that, at a minimum, one such facility |
shall be located in a municipality having a |
population of more than 2 million residents and |
one such facility shall be located in a |
municipality having a population of more than |
150,000 residents but fewer than 170,000 |
residents; any such new facility located in a |
municipality having a population of more than 2 |
million residents must be designed for the purpose |
of obtaining, and the owner of the facility shall |
apply for, certification under the United States |
Green Building Council's Leadership in Energy |
Efficiency Design Green Building Rating System; |
(iii) wood pole inspection, treatment, and |
replacement programs; |
(iv) an estimated $200,000,000 for reducing |
the susceptibility of certain circuits to |
storm-related damage, including, but not limited |
to, high winds, thunderstorms, and ice storms; |
improvements may include, but are not limited to, |
|
overhead to underground conversion and other |
engineered outcomes for circuits; the |
participating utility shall prioritize the |
selection of circuits based on each circuit's |
historical susceptibility to storm-related damage |
and the ability to provide the greatest customer |
benefit upon completion of the improvements; to be |
eligible for improvement, the participating |
utility's ability to maintain proper tree |
clearances surrounding the overhead circuit must |
not have
been impeded by third parties; and |
(B) over a 10-year period, invest an estimated |
$1,300,000,000 to upgrade and modernize its |
transmission and distribution infrastructure and in |
Smart Grid electric system upgrades, including, but |
not limited to: |
(i) additional smart meters; |
(ii) distribution automation; |
(iii) associated cyber secure data |
communication network; and |
(iv) substation micro-processor relay |
upgrades. |
(2) Beginning no later than 180 days after a |
participating utility that is a combination utility files |
a performance-based formula rate tariff pursuant to |
subsection (c) of this Section, or, beginning no later |
|
than January 1, 2012 if such utility files such |
performance-based formula rate tariff within 14 days of |
October 26, 2011 (the effective date of Public Act |
97-616), the participating utility shall, except as |
provided in subsection (b-5): |
(A) over a 10-year period, invest an estimated |
$265,000,000 in electric system upgrades, |
modernization projects, and training facilities, |
including, but not limited to: |
(i) distribution infrastructure improvements |
totaling an estimated $245,000,000, which may |
include bulk supply substations, transformers, |
reconductoring, and rebuilding overhead |
distribution and sub-transmission lines, |
underground residential distribution cable |
injection and replacement and mainline cable |
system refurbishment and replacement projects; |
(ii) training facility construction or upgrade |
projects totaling an estimated $1,000,000; any |
such new facility must be designed for the purpose |
of obtaining, and the owner of the facility shall |
apply for, certification under the United States |
Green Building Council's Leadership in Energy |
Efficiency Design Green Building Rating System; |
and |
(iii) wood pole inspection, treatment, and |
|
replacement programs; and |
(B) over a 10-year period, invest an estimated |
$360,000,000 to upgrade and modernize its transmission |
and distribution infrastructure and in Smart Grid |
electric system upgrades, including, but not limited |
to: |
(i) additional smart meters; |
(ii) distribution automation; |
(iii) associated cyber secure data |
communication network; and |
(iv) substation micro-processor relay |
upgrades. |
For purposes of this Section, "Smart Grid electric system |
upgrades" shall have the meaning set forth in subsection (a) |
of Section 16-108.6 of this Act. |
The investments in the infrastructure investment program |
described in this subsection (b) shall be incremental to the |
participating utility's annual capital investment program, as |
defined by, for purposes of this subsection (b), the |
participating utility's average capital spend for calendar |
years 2008, 2009, and 2010 as reported in the applicable |
Federal Energy Regulatory Commission (FERC) Form 1; provided |
that where one or more utilities have merged, the average |
capital spend shall be determined using the aggregate of the |
merged utilities' capital spend reported in FERC Form 1 for |
the years 2008, 2009, and 2010. A participating utility may |
|
add reasonable construction ramp-up and ramp-down time to the |
investment periods specified in this subsection (b). For each |
such investment period, the ramp-up and ramp-down time shall |
not exceed a total of 6 months. |
Within 60 days after filing a tariff under subsection (c) |
of this Section, a participating utility shall submit to the |
Commission its plan, including scope, schedule, and staffing, |
for satisfying its infrastructure investment program |
commitments pursuant to this subsection (b). The submitted |
plan shall include a schedule and staffing plan for the next |
calendar year. The plan shall also include a plan for the |
creation, operation, and administration of a Smart Grid test |
bed as described in subsection (c) of Section 16-108.8. The |
plan need not allocate the work equally over the respective |
periods, but should allocate material increments throughout |
such periods commensurate with the work to be undertaken. No |
later than April 1 of each subsequent year, the utility shall |
submit to the Commission a report that includes any updates to |
the plan, a schedule for the next calendar year, the |
expenditures made for the prior calendar year and |
cumulatively, and the number of full-time equivalent jobs |
created for the prior calendar year and cumulatively. If the |
utility is materially deficient in satisfying a schedule or |
staffing plan, then the report must also include a corrective |
action plan to address the deficiency. The fact that the plan, |
implementation of the plan, or a schedule changes shall not |
|
imply the imprudence or unreasonableness of the infrastructure |
investment program, plan, or schedule. Further, no later than |
45 days following the last day of the first, second, and third |
quarters of each year of the plan, a participating utility |
shall submit to the Commission a verified quarterly report for |
the prior quarter that includes (i) the total number of |
full-time equivalent jobs created during the prior quarter, |
(ii) the total number of employees as of the last day of the |
prior quarter, (iii) the total number of full-time equivalent |
hours in each job classification or job title, (iv) the total |
number of incremental employees and contractors in support of |
the investments undertaken pursuant to this subsection (b) for |
the prior quarter, and (v) any other information that the |
Commission may require by rule. |
With respect to the participating utility's peak job |
commitment, if, after considering the utility's corrective |
action plan and compliance thereunder, the Commission enters |
an order finding, after notice and hearing, that a |
participating utility did not satisfy its peak job commitment |
described in this subsection (b) for reasons that are |
reasonably within its control, then the Commission shall also |
determine, after consideration of the evidence, including, but |
not limited to, evidence submitted by the Department of |
Commerce and Economic Opportunity and the utility, the |
deficiency in the number of full-time equivalent jobs during |
the peak program year due to such failure. The Commission |
|
shall notify the Department of any proceeding that is |
initiated pursuant to this paragraph. For each full-time |
equivalent job deficiency during the peak program year that |
the Commission finds as set forth in this paragraph, the |
participating utility shall, within 30 days after the entry of |
the Commission's order, pay $6,000 to a fund for training |
grants administered under Section 605-800 of the Department of |
Commerce and Economic Opportunity Law, which shall not be a |
recoverable expense. |
With respect to the participating utility's investment |
amount commitments, if, after considering the utility's |
corrective action plan and compliance thereunder, the |
Commission enters an order finding, after notice and hearing, |
that a participating utility is not satisfying its investment |
amount commitments described in this subsection (b), then the |
utility shall no longer be eligible to annually update the |
performance-based formula rate tariff pursuant to subsection |
(d) of this Section. In such event, the then current rates |
shall remain in effect until such time as new rates are set |
pursuant to Article IX of this Act, subject to retroactive |
adjustment, with interest, to reconcile rates charged with |
actual costs. |
If the Commission finds that a participating utility is no |
longer eligible to update the performance-based formula rate |
tariff pursuant to subsection (d) of this Section, or the |
performance-based formula rate is otherwise terminated, then |
|
the participating utility's voluntary commitments and |
obligations under this subsection (b) shall immediately |
terminate, except for the utility's obligation to pay an |
amount already owed to the fund for training grants pursuant |
to a Commission order. |
In meeting the obligations of this subsection (b), to the |
extent feasible and consistent with State and federal law, the |
investments under the infrastructure investment program should |
provide employment opportunities for all segments of the |
population and workforce, including minority-owned and |
female-owned business enterprises, and shall not, consistent |
with State and federal law, discriminate based on race or |
socioeconomic status. |
(b-5) Nothing in this Section shall prohibit the |
Commission from investigating the prudence and reasonableness |
of the expenditures made under the infrastructure investment |
program during the annual review required by subsection (d) of |
this Section and shall, as part of such investigation, |
determine whether the utility's actual costs under the program |
are prudent and reasonable. The fact that a participating |
utility invests more than the minimum amounts specified in |
subsection (b) of this Section or its plan shall not imply |
imprudence or unreasonableness. |
If the participating utility finds that it is implementing |
its plan for satisfying the infrastructure investment program |
commitments described in subsection (b) of this Section at a |
|
cost below the estimated amounts specified in subsection (b) |
of this Section, then the utility may file a petition with the |
Commission requesting that it be permitted to satisfy its |
commitments by spending less than the estimated amounts |
specified in subsection (b) of this Section. The Commission |
shall, after notice and hearing, enter its order approving, or |
approving as modified, or denying each such petition within |
150 days after the filing of the petition. |
In no event, absent General Assembly approval, shall the |
capital investment costs incurred by a participating utility |
other than a combination utility in satisfying its |
infrastructure investment program commitments described in |
subsection (b) of this Section exceed $3,000,000,000 or, for a |
participating utility that is a combination utility, |
$720,000,000. If the participating utility's updated cost |
estimates for satisfying its infrastructure investment program |
commitments described in subsection (b) of this Section exceed |
the limitation imposed by this subsection (b-5), then it shall |
submit a report to the Commission that identifies the |
increased costs and explains the reason or reasons for the |
increased costs no later than the year in which the utility |
estimates it will exceed the limitation. The Commission shall |
review the report and shall, within 90 days after the |
participating utility files the report, report to the General |
Assembly its findings regarding the participating utility's |
report. If the General Assembly does not amend the limitation |
|
imposed by this subsection (b-5), then the utility may modify |
its plan so as not to exceed the limitation imposed by this |
subsection (b-5) and may propose corresponding changes to the |
metrics established pursuant to subparagraphs (5) through (8) |
of subsection (f) of this Section, and the Commission may |
modify the metrics and incremental savings goals established |
pursuant to subsection (f) of this Section accordingly. |
(b-10) All participating utilities shall make |
contributions for an energy low-income and support program in |
accordance with this subsection. Beginning no later than 180 |
days after a participating utility files a performance-based |
formula rate tariff pursuant to subsection (c) of this |
Section, or beginning no later than January 1, 2012 if such |
utility files such performance-based formula rate tariff |
within 14 days of December 30, 2011 (the effective date of |
Public Act 97-646), and without obtaining any approvals from |
the Commission or any other agency other than as set forth in |
this Section, regardless of whether any such approval would |
otherwise be required, a participating utility other than a |
combination utility shall pay $10,000,000 per year for 5 years |
and a participating utility that is a combination utility |
shall pay $1,000,000 per year for 10 years to the energy |
low-income and support program, which is intended to fund |
customer assistance programs with the primary purpose being |
avoidance of
imminent disconnection. Such programs may |
include: |
|
(1) a residential hardship program that may partner |
with community-based
organizations, including senior |
citizen organizations, and provides grants to low-income |
residential customers, including low-income senior |
citizens, who demonstrate a hardship; |
(2) a program that provides grants and other bill |
payment concessions to veterans with disabilities who |
demonstrate a hardship and members of the armed services |
or reserve forces of the United States or members of the |
Illinois National Guard who are on 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 and who demonstrate a
hardship; |
(3) a budget assistance program that provides tools |
and education to low-income senior citizens to assist them |
with obtaining information regarding energy usage and
|
effective means of managing energy costs; |
(4) a non-residential special hardship program that |
provides grants to non-residential customers such as small |
businesses and non-profit organizations that demonstrate a |
hardship, including those providing services to senior |
citizen and low-income customers; and |
(5) a performance-based assistance program that |
provides grants to encourage residential customers to make |
on-time payments by matching a portion of the customer's |
payments or providing credits towards arrearages. |
|
The payments made by a participating utility pursuant to |
this subsection (b-10) shall not be a recoverable expense. A |
participating utility may elect to fund either new or existing |
customer assistance programs, including, but not limited to, |
those that are administered by the utility. |
Programs that use funds that are provided by a |
participating utility to reduce utility bills may be |
implemented through tariffs that are filed with and reviewed |
by the Commission. If a utility elects to file tariffs with the |
Commission to implement all or a portion of the programs, |
those tariffs shall, regardless of the date actually filed, be |
deemed accepted and approved, and shall become effective on |
December 30, 2011 (the effective date of Public Act 97-646). |
The participating utilities whose customers benefit from the |
funds that are disbursed as contemplated in this Section shall |
file annual reports documenting the disbursement of those |
funds with the Commission. The Commission has the authority to |
audit disbursement of the funds to ensure they were disbursed |
consistently with this Section. |
If the Commission finds that a participating utility is no |
longer eligible to update the performance-based formula rate |
tariff pursuant to subsection (d) of this Section, or the |
performance-based formula rate is otherwise terminated, then |
the participating utility's voluntary commitments and |
obligations under this subsection (b-10) shall immediately |
terminate. |
|
(c) A participating utility may elect to recover its |
delivery services costs through a performance-based formula |
rate approved by the Commission, which shall specify the cost |
components that form the basis of the rate charged to |
customers with sufficient specificity to operate in a |
standardized manner and be updated annually with transparent |
information that reflects the utility's actual costs to be |
recovered during the applicable rate year, which is the period |
beginning with the first billing day of January and extending |
through the last billing day of the following December. In the |
event the utility recovers a portion of its costs through |
automatic adjustment clause tariffs on October 26, 2011 (the |
effective date of Public Act 97-616), the utility may elect to |
continue to recover these costs through such tariffs, but then |
these costs shall not be recovered through the |
performance-based formula rate. In the event the participating |
utility, prior to December 30, 2011 (the effective date of |
Public Act 97-646), filed electric delivery services tariffs |
with the Commission pursuant to Section 9-201 of this Act that |
are related to the recovery of its electric delivery services |
costs that are still pending on December 30, 2011 (the |
effective date of Public Act 97-646), the participating |
utility shall, at the time it files its performance-based |
formula rate tariff with the Commission, also file a notice of |
withdrawal with the Commission to withdraw the electric |
delivery services tariffs previously filed pursuant to Section |
|
9-201 of this Act. Upon receipt of such notice, the Commission |
shall dismiss with prejudice any docket that had been |
initiated to investigate the electric delivery services |
tariffs filed pursuant to Section 9-201 of this Act, and such |
tariffs and the record related thereto shall not be the |
subject of any further hearing, investigation, or proceeding |
of any kind related to rates for electric delivery services. |
The performance-based formula rate shall be implemented |
through a tariff filed with the Commission consistent with the |
provisions of this subsection (c) that shall be applicable to |
all delivery services customers. The Commission shall initiate |
and conduct an investigation of the tariff in a manner |
consistent with the provisions of this subsection (c) and the |
provisions of Article IX of this Act to the extent they do not |
conflict with this subsection (c). Except in the case where |
the Commission finds, after notice and hearing, that a |
participating utility is not satisfying its investment amount |
commitments under subsection (b) of this Section, the |
performance-based formula rate shall remain in effect at the |
discretion of the utility. The performance-based formula rate |
approved by the Commission shall do the following: |
(1) Provide for the recovery of the utility's actual |
costs of delivery services that are prudently incurred and |
reasonable in amount consistent with Commission practice |
and law. The sole fact that a cost differs from that |
incurred in a prior calendar year or that an investment is |
|
different from that made in a prior calendar year shall |
not imply the imprudence or unreasonableness of that cost |
or investment. |
(2) Reflect the utility's actual year-end capital |
structure for the applicable calendar year, excluding |
goodwill, subject to a determination of prudence and |
reasonableness consistent with Commission practice and |
law. To enable the financing of the incremental capital |
expenditures, including regulatory assets, for electric |
utilities that serve less than 3,000,000 retail customers |
but more than 500,000 retail customers in the State, a |
participating electric utility's actual year-end capital |
structure that includes a common equity ratio, excluding |
goodwill, of up to and including 50% of the total capital |
structure shall be deemed reasonable and used to set |
rates. |
(3) Include a cost of equity, which shall be |
calculated as the sum of the following: |
(A) the average for the applicable calendar year |
of the monthly average yields of 30-year U.S. Treasury |
bonds published by the Board of Governors of the |
Federal Reserve System in its weekly H.15 Statistical |
Release or successor publication; and |
(B) 580 basis points. |
At such time as the Board of Governors of the Federal |
Reserve System ceases to include the monthly average |
|
yields of 30-year U.S. Treasury bonds in its weekly H.15 |
Statistical Release or successor publication, the monthly |
average yields of the U.S. Treasury bonds then having the |
longest duration published by the Board of Governors in |
its weekly H.15 Statistical Release or successor |
publication shall instead be used for purposes of this |
paragraph (3). |
(4) Permit and set forth protocols, subject to a |
determination of prudence and reasonableness consistent |
with Commission practice and law, for the following: |
(A) recovery of incentive compensation expense |
that is based on the achievement of operational |
metrics, including metrics related to budget controls, |
outage duration and frequency, safety, customer |
service, efficiency and productivity, and |
environmental compliance. Incentive compensation |
expense that is based on net income or an affiliate's |
earnings per share shall not be recoverable under the |
performance-based formula rate; |
(B) recovery of pension and other post-employment |
benefits expense, provided that such costs are |
supported by an actuarial study; |
(C) recovery of severance costs, provided that if |
the amount is over $3,700,000 for a participating |
utility that is a combination utility or $10,000,000 |
for a participating utility that serves more than 3 |
|
million retail customers, then the full amount shall |
be amortized consistent with subparagraph (F) of this |
paragraph (4); |
(D) investment return at a rate equal to the |
utility's weighted average cost of long-term debt, on |
the pension assets as, and in the amount, reported in |
Account 186 (or in such other Account or Accounts as |
such asset may subsequently be recorded) of the |
utility's most recently filed FERC Form 1, net of |
deferred tax benefits; |
(E) recovery of the expenses related to the |
Commission proceeding under this subsection (c) to |
approve this performance-based formula rate and |
initial rates or to subsequent proceedings related to |
the formula, provided that the recovery shall be |
amortized over a 3-year period; recovery of expenses |
related to the annual Commission proceedings under |
subsection (d) of this Section to review the inputs to |
the performance-based formula rate shall be expensed |
and recovered through the performance-based formula |
rate; |
(F) amortization over a 5-year period of the full |
amount of each charge or credit that exceeds |
$3,700,000 for a participating utility that is a |
combination utility or $10,000,000 for a participating |
utility that serves more than 3 million retail |
|
customers in the applicable calendar year and that |
relates to a workforce reduction program's severance |
costs, changes in accounting rules, changes in law, |
compliance with any Commission-initiated audit, or a |
single storm or other similar expense, provided that |
any unamortized balance shall be reflected in the rate |
base. For purposes of this subparagraph (F), changes |
in law includes any enactment, repeal, or amendment in |
a law, ordinance, rule, regulation, interpretation, |
permit, license, consent, or order, including those |
relating to taxes, accounting, or to environmental |
matters, or in the interpretation or application |
thereof by any governmental authority occurring after |
October 26, 2011 (the effective date of Public Act |
97-616); |
(G) recovery of existing regulatory assets over |
the periods previously authorized by the Commission; |
(H) historical weather normalized billing |
determinants; and |
(I) allocation methods for common costs. |
(5) Provide that if the participating utility's earned |
rate of return on common equity related to the provision |
of delivery services for the prior rate year (calculated |
using costs and capital structure approved by the |
Commission as provided in subparagraph (2) of this |
subsection (c), consistent with this Section, in |
|
accordance with Commission rules and orders, including, |
but not limited to, adjustments for goodwill, and after |
any Commission-ordered disallowances and taxes) is more |
than 50 basis points higher than the rate of return on |
common equity calculated pursuant to paragraph (3) of this |
subsection (c) (after adjusting for any penalties to the |
rate of return on common equity applied pursuant to the |
performance metrics provision of subsection (f) of this |
Section), then the participating utility shall apply a |
credit through the performance-based formula rate that |
reflects an amount equal to the value of that portion of |
the earned rate of return on common equity that is more |
than 50 basis points higher than the rate of return on |
common equity calculated pursuant to paragraph (3) of this |
subsection (c) (after adjusting for any penalties to the |
rate of return on common equity applied pursuant to the |
performance metrics provision of subsection (f) of this |
Section) for the prior rate year, adjusted for taxes. If |
the participating utility's earned rate of return on |
common equity related to the provision of delivery |
services for the prior rate year (calculated using costs |
and capital structure approved by the Commission as |
provided in subparagraph (2) of this subsection (c), |
consistent with this Section, in accordance with |
Commission rules and orders, including, but not limited |
to, adjustments for goodwill, and after any |
|
Commission-ordered disallowances and taxes) is more than |
50 basis points less than the return on common equity |
calculated pursuant to paragraph (3) of this subsection |
(c) (after adjusting for any penalties to the rate of |
return on common equity applied pursuant to the |
performance metrics provision of subsection (f) of this |
Section), then the participating utility shall apply a |
charge through the performance-based formula rate that |
reflects an amount equal to the value of that portion of |
the earned rate of return on common equity that is more |
than 50 basis points less than the rate of return on common |
equity calculated pursuant to paragraph (3) of this |
subsection (c) (after adjusting for any penalties to the |
rate of return on common equity applied pursuant to the |
performance metrics provision of subsection (f) of this |
Section) for the prior rate year, adjusted for taxes. |
(6) Provide for an annual reconciliation, as described |
in subsection (d) of this Section, with interest, of the |
revenue requirement reflected in rates for each calendar |
year, beginning with the calendar year in which the |
utility files its performance-based formula rate tariff |
pursuant to subsection (c) of this Section, with what the |
revenue requirement would have been had the actual cost |
information for the applicable calendar year been |
available at the filing date. |
The utility shall file, together with its tariff, final |
|
data based on its most recently filed FERC Form 1, plus |
projected plant additions and correspondingly updated |
depreciation reserve and expense for the calendar year in |
which the tariff and data are filed, that shall populate the |
performance-based formula rate and set the initial delivery |
services rates under the formula. For purposes of this |
Section, "FERC Form 1" means the Annual Report of Major |
Electric Utilities, Licensees and Others that electric |
utilities are required to file with the Federal Energy |
Regulatory Commission under the Federal Power Act, Sections 3, |
4(a), 304 and 209, modified as necessary to be consistent with |
83 Ill. Adm. Admin. Code Part 415 as of May 1, 2011. Nothing in |
this Section is intended to allow costs that are not otherwise |
recoverable to be recoverable by virtue of inclusion in FERC |
Form 1. |
After the utility files its proposed performance-based |
formula rate structure and protocols and initial rates, the |
Commission shall initiate a docket to review the filing. The |
Commission shall enter an order approving, or approving as |
modified, the performance-based formula rate, including the |
initial rates, as just and reasonable within 270 days after |
the date on which the tariff was filed, or, if the tariff is |
filed within 14 days after October 26, 2011 (the effective |
date of Public Act 97-616), then by May 31, 2012. Such review |
shall be based on the same evidentiary standards, including, |
but not limited to, those concerning the prudence and |
|
reasonableness of the costs incurred by the utility, the |
Commission applies in a hearing to review a filing for a |
general increase in rates under Article IX of this Act. The |
initial rates shall take effect within 30 days after the |
Commission's order approving the performance-based formula |
rate tariff. |
Until such time as the Commission approves a different |
rate design and cost allocation pursuant to subsection (e) of |
this Section, rate design and cost allocation across customer |
classes shall be consistent with the Commission's most recent |
order regarding the participating utility's request for a |
general increase in its delivery services rates. |
Subsequent changes to the performance-based formula rate |
structure or protocols shall be made as set forth in Section |
9-201 of this Act, but nothing in this subsection (c) is |
intended to limit the Commission's authority under Article IX |
and other provisions of this Act to initiate an investigation |
of a participating utility's performance-based formula rate |
tariff, provided that any such changes shall be consistent |
with paragraphs (1) through (6) of this subsection (c). Any |
change ordered by the Commission shall be made at the same time |
new rates take effect following the Commission's next order |
pursuant to subsection (d) of this Section, provided that the |
new rates take effect no less than 30 days after the date on |
which the Commission issues an order adopting the change. |
A participating utility that files a tariff pursuant to |
|
this subsection (c) must submit a one-time $200,000 filing fee |
at the time the Chief Clerk of the Commission accepts the |
filing, which shall be a recoverable expense. |
In the event the performance-based formula rate is |
terminated, the then current rates shall remain in effect |
until such time as new rates are set pursuant to Article IX of |
this Act, subject to retroactive rate adjustment, with |
interest, to reconcile rates charged with actual costs. At |
such time that the performance-based formula rate is |
terminated, the participating utility's voluntary commitments |
and obligations under subsection (b) of this Section shall |
immediately terminate, except for the utility's obligation to |
pay an amount already owed to the fund for training grants |
pursuant to a Commission order issued under subsection (b) of |
this Section. |
(d) Subsequent to the Commission's issuance of an order |
approving the utility's performance-based formula rate |
structure and protocols, and initial rates under subsection |
(c) of this Section, the utility shall file, on or before May 1 |
of each year, with the Chief Clerk of the Commission its |
updated cost inputs to the performance-based formula rate for |
the applicable rate year and the corresponding new charges. |
Each such filing shall conform to the following requirements |
and include the following information: |
(1) The inputs to the performance-based formula rate |
for the applicable rate year shall be based on final |
|
historical data reflected in the utility's most recently |
filed annual FERC Form 1 plus projected plant additions |
and correspondingly updated depreciation reserve and |
expense for the calendar year in which the inputs are |
filed. The filing shall also include a reconciliation of |
the revenue requirement that was in effect for the prior |
rate year (as set by the cost inputs for the prior rate |
year) with the actual revenue requirement for the prior |
rate year (determined using a year-end rate base) that |
uses amounts reflected in the applicable FERC Form 1 that |
reports the actual costs for the prior rate year. Any |
over-collection or under-collection indicated by such |
reconciliation shall be reflected as a credit against, or |
recovered as an additional charge to, respectively, with |
interest calculated at a rate equal to the utility's |
weighted average cost of capital approved by the |
Commission for the prior rate year, the charges for the |
applicable rate year. Provided, however, that the first |
such reconciliation shall be for the calendar year in |
which the utility files its performance-based formula rate |
tariff pursuant to subsection (c) of this Section and |
shall reconcile (i) the revenue requirement or |
requirements established by the rate order or orders in |
effect from time to time during such calendar year |
(weighted, as applicable) with (ii) the revenue |
requirement determined using a year-end rate base for that |
|
calendar year calculated pursuant to the performance-based |
formula rate using (A) actual costs for that year as |
reflected in the applicable FERC Form 1, and (B) for the |
first such reconciliation only, the cost of equity, which |
shall be calculated as the sum of 590 basis points plus the |
average for the applicable calendar year of the monthly |
average yields of 30-year U.S. Treasury bonds published by |
the Board of Governors of the Federal Reserve System in |
its weekly H.15 Statistical Release or successor |
publication. The first such reconciliation is not intended |
to provide for the recovery of costs previously excluded |
from rates based on a prior Commission order finding of |
imprudence or unreasonableness. Each reconciliation shall |
be certified by the participating utility in the same |
manner that FERC Form 1 is certified. The filing shall |
also include the charge or credit, if any, resulting from |
the calculation required by paragraph (6) of subsection |
(c) of this Section. |
Notwithstanding anything that may be to the contrary, |
the intent of the reconciliation is to ultimately |
reconcile the revenue requirement reflected in rates for |
each calendar year, beginning with the calendar year in |
which the utility files its performance-based formula rate |
tariff pursuant to subsection (c) of this Section, with |
what the revenue requirement determined using a year-end |
rate base for the applicable calendar year would have been |
|
had the actual cost information for the applicable |
calendar year been available at the filing date. |
(2) The new charges shall take effect beginning on the |
first billing day of the following January billing period |
and remain in effect through the last billing day of the |
next December billing period regardless of whether the |
Commission enters upon a hearing pursuant to this |
subsection (d). |
(3) The filing shall include relevant and necessary |
data and documentation for the applicable rate year that |
is consistent with the Commission's rules applicable to a |
filing for a general increase in rates or any rules |
adopted by the Commission to implement this Section. |
Normalization adjustments shall not be required. |
Notwithstanding any other provision of this Section or Act |
or any rule or other requirement adopted by the |
Commission, a participating utility that is a combination |
utility with more than one rate zone shall not be required |
to file a separate set of such data and documentation for |
each rate zone and may combine such data and documentation |
into a single set of schedules. |
Within 45 days after the utility files its annual update |
of cost inputs to the performance-based formula rate, the |
Commission shall have the authority, either upon complaint or |
its own initiative, but with reasonable notice, to enter upon |
a hearing concerning the prudence and reasonableness of the |
|
costs incurred by the utility to be recovered during the |
applicable rate year that are reflected in the inputs to the |
performance-based formula rate derived from the utility's FERC |
Form 1. During the course of the hearing, each objection shall |
be stated with particularity and evidence provided in support |
thereof, after which the utility shall have the opportunity to |
rebut the evidence. Discovery shall be allowed consistent with |
the Commission's Rules of Practice, which Rules shall be |
enforced by the Commission or the assigned administrative law |
judge. The Commission shall apply the same evidentiary |
standards, including, but not limited to, those concerning the |
prudence and reasonableness of the costs incurred by the |
utility, in the hearing as it would apply in a hearing to |
review a filing for a general increase in rates under Article |
IX of this Act. The Commission shall not, however, have the |
authority in a proceeding under this subsection (d) to |
consider or order any changes to the structure or protocols of |
the performance-based formula rate approved pursuant to |
subsection (c) of this Section. In a proceeding under this |
subsection (d), the Commission shall enter its order no later |
than the earlier of 240 days after the utility's filing of its |
annual update of cost inputs to the performance-based formula |
rate or December 31. The Commission's determinations of the |
prudence and reasonableness of the costs incurred for the |
applicable calendar year shall be final upon entry of the |
Commission's order and shall not be subject to reopening, |
|
reexamination, or collateral attack in any other Commission |
proceeding, case, docket, order, rule or regulation, provided, |
however, that nothing in this subsection (d) shall prohibit a |
party from petitioning the Commission to rehear or appeal to |
the courts the order pursuant to the provisions of this Act. |
In the event the Commission does not, either upon |
complaint or its own initiative, enter upon a hearing within |
45 days after the utility files the annual update of cost |
inputs to its performance-based formula rate, then the costs |
incurred for the applicable calendar year shall be deemed |
prudent and reasonable, and the filed charges shall not be |
subject to reopening, reexamination, or collateral attack in |
any other proceeding, case, docket, order, rule, or |
regulation. |
A participating utility's first filing of the updated cost |
inputs, and any Commission investigation of such inputs |
pursuant to this subsection (d) shall proceed notwithstanding |
the fact that the Commission's investigation under subsection |
(c) of this Section is still pending and notwithstanding any |
other law, order, rule, or Commission practice to the |
contrary. |
(e) Nothing in subsections (c) or (d) of this Section |
shall prohibit the Commission from investigating, or a |
participating utility from filing, revenue-neutral tariff |
changes related to rate design of a performance-based formula |
rate that has been placed into effect for the utility. |
|
Following approval of a participating utility's |
performance-based formula rate tariff pursuant to subsection |
(c) of this Section, the utility shall make a filing with the |
Commission within one year after the effective date of the |
performance-based formula rate tariff that proposes changes to |
the tariff to incorporate the findings of any final rate |
design orders of the Commission applicable to the |
participating utility and entered subsequent to the |
Commission's approval of the tariff. The Commission shall, |
after notice and hearing, enter its order approving, or |
approving with modification, the proposed changes to the |
performance-based formula rate tariff within 240 days after |
the utility's filing. Following such approval, the utility |
shall make a filing with the Commission during each subsequent |
3-year period that either proposes revenue-neutral tariff |
changes or re-files the existing tariffs without change, which |
shall present the Commission with an opportunity to suspend |
the tariffs and consider revenue-neutral tariff changes |
related to rate design. |
(f) Within 30 days after the filing of a tariff pursuant to |
subsection (c) of this Section, each participating utility |
shall develop and file with the Commission multi-year metrics |
designed to achieve, ratably (i.e., in equal segments) over a |
10-year period, improvement over baseline performance values |
as follows: |
(1) Twenty percent improvement in the System Average |
|
Interruption Frequency Index, using a baseline of the |
average of the data from 2001 through 2010. |
(2) Fifteen percent improvement in the system Customer |
Average Interruption Duration Index, using a baseline of |
the average of the data from 2001 through 2010. |
(3) For a participating utility other than a |
combination utility, 20% improvement in the System Average |
Interruption Frequency Index for its Southern Region, |
using a baseline of the average of the data from 2001 |
through 2010. For purposes of this paragraph (3), Southern |
Region shall have the meaning set forth in the |
participating utility's most recent report filed pursuant |
to Section 16-125 of this Act. |
(3.5) For a participating utility other than a |
combination utility, 20% improvement in the System Average |
Interruption Frequency Index for its Northeastern Region, |
using a baseline of the average of the data from 2001 |
through 2010. For purposes of this paragraph (3.5), |
Northeastern Region shall have the meaning set forth in |
the participating utility's most recent report filed |
pursuant to Section 16-125 of this Act. |
(4) Seventy-five percent improvement in the total |
number of customers who exceed the service reliability |
targets as set forth in subparagraphs (A) through (C) of |
paragraph (4) of subsection (b) of 83 Ill. Adm. Admin. |
Code Part 411.140 as of May 1, 2011, using 2010 as the |
|
baseline year. |
(5) Reduction in issuance of estimated electric bills: |
90% improvement for a participating utility other than a |
combination utility, and 56% improvement for a |
participating utility that is a combination utility, using |
a baseline of the average number of estimated bills for |
the years 2008 through 2010. |
(6) Consumption on inactive meters: 90% improvement |
for a participating utility other than a combination |
utility, and 56% improvement for a participating utility |
that is a combination utility, using a baseline of the |
average unbilled kilowatthours for the years 2009 and |
2010. |
(7) Unaccounted for energy: 50% improvement for a |
participating utility other than a combination utility |
using a baseline of the non-technical line loss |
unaccounted for energy kilowatthours for the year 2009. |
(8) Uncollectible expense: reduce uncollectible |
expense by at least $30,000,000 for a participating |
utility other than a combination utility and by at least |
$3,500,000 for a participating utility that is a |
combination utility, using a baseline of the average |
uncollectible expense for the years 2008 through 2010. |
(9) Opportunities for minority-owned and female-owned |
business enterprises: design a performance metric |
regarding the creation of opportunities for minority-owned |
|
and female-owned business enterprises consistent with |
State and federal law using a base performance value of |
the percentage of the participating utility's capital |
expenditures that were paid to minority-owned and |
female-owned business enterprises in 2010. |
The definitions set forth in 83 Ill. Adm. Admin. Code Part |
411.20 as of May 1, 2011 shall be used for purposes of |
calculating performance under paragraphs (1) through (3.5) of |
this subsection (f), provided, however, that the participating |
utility may exclude up to 9 extreme weather event days from |
such calculation for each year, and provided further that the
|
participating utility shall exclude 9 extreme weather event |
days when calculating each year of the baseline period to the |
extent that there are 9 such days in a given year of the |
baseline period. For purposes of this Section, an extreme |
weather event day is a 24-hour calendar day (beginning at |
12:00 a.m. and ending at 11:59 p.m.) during which any weather |
event (e.g., storm, tornado) caused interruptions for 10,000 |
or more of the participating utility's customers for 3 hours |
or more. If there are more than 9 extreme weather event days in |
a year, then the utility may choose no more than 9 extreme |
weather event days to exclude, provided that the same extreme |
weather event days are excluded from each of the calculations |
performed under paragraphs (1) through (3.5) of this |
subsection (f). |
The metrics shall include incremental performance goals |
|
for each year of the 10-year period, which shall be designed to |
demonstrate that the utility is on track to achieve the |
performance goal in each category at the end of the 10-year |
period. The utility shall elect when the 10-year period shall |
commence for the metrics set forth in subparagraphs (1) |
through (4) and (9) of this subsection (f), provided that it |
begins no later than 14 months following the date on which the |
utility begins investing pursuant to subsection (b) of this |
Section, and when the 10-year period shall commence for the |
metrics set forth in subparagraphs (5) through (8) of this |
subsection (f), provided that it begins no later than 14 |
months following the date on which the Commission enters its |
order approving the utility's Advanced Metering Infrastructure |
Deployment Plan pursuant to subsection (c) of Section 16-108.6 |
of this Act. |
The metrics and performance goals set forth in |
subparagraphs (5) through (8) of this subsection (f) are based |
on the assumptions that the participating utility may fully |
implement the technology described in subsection (b) of this |
Section, including utilizing the full functionality of such |
technology and that there is no requirement for personal |
on-site notification. If the utility is unable to meet the |
metrics and performance goals set forth in subparagraphs (5) |
through (8) of this subsection (f) for such reasons, and the |
Commission so finds after notice and hearing, then the utility |
shall be excused from compliance, but only to the limited |
|
extent achievement of the affected metrics and performance |
goals was hindered by the less than full implementation. |
(f-5) The financial penalties applicable to the metrics |
described in subparagraphs (1) through (8) of subsection (f) |
of this Section, as applicable, shall be applied through an |
adjustment to the participating utility's return on equity of |
no more than a total of 30 basis points in each of the first 3 |
years, of no more than a total of 34 basis points
in each of |
the 3 years thereafter, and of no more than a total of 38 basis |
points in each
of the 4 years thereafter, as follows: |
(1) With respect to each of the incremental annual |
performance goals established pursuant to paragraph (1) of |
subsection (f) of this Section, |
(A) for each year that a participating utility |
other than a combination utility does not achieve the |
annual goal, the participating utility's return on |
equity shall be reduced as
follows: during years 1 |
through 3, by 5 basis points; during years 4 through 6, |
by 6 basis points; and during years 7 through 10, by 7 |
basis points; and |
(B) for each year that a participating utility |
that is a combination utility does not achieve the |
annual goal, the participating utility's return on |
equity shall be reduced as follows: during years 1 |
through 3, by 10 basis points; during years 4 through |
6, by 12
basis points; and during years 7 through 10, |
|
by 14 basis points. |
(2) With respect to each of the incremental annual |
performance goals established pursuant to paragraph (2) of |
subsection (f) of this Section, for each year that the |
participating utility does not achieve each such goal, the |
participating utility's return on equity shall be reduced |
as follows: during years 1 through 3, by 5 basis points; |
during years 4
through 6, by 6 basis points; and during |
years 7 through 10, by 7 basis points. |
(3) With respect to each of the incremental annual |
performance goals established
pursuant to paragraphs (3) |
and (3.5) of subsection (f) of this Section, for each year |
that a participating utility other than a combination |
utility does not achieve both such
goals, the |
participating utility's return on equity shall be reduced |
as follows: during years 1 through 3, by 5 basis points; |
during years 4 through 6, by 6 basis points; and during |
years 7 through 10, by 7 basis points. |
(4) With respect to each of the incremental annual |
performance goals established
pursuant to paragraph (4) of |
subsection (f) of this Section, for each year that the |
participating utility does not achieve each such goal, the |
participating utility's return
on equity shall be reduced |
as follows: during years 1 through 3, by 5 basis points;
|
during years 4 through 6, by 6 basis points; and during |
years 7 through 10, by 7 basis points. |
|
(5) With respect to each of the incremental annual |
performance goals established pursuant to subparagraph (5) |
of subsection (f) of this Section, for each year that the |
participating utility does not achieve at least 95% of |
each such goal, the participating utility's return on |
equity shall be reduced by 5 basis points for each such |
unachieved goal. |
(6) With respect to each of the incremental annual |
performance goals established pursuant to paragraphs (6), |
(7), and (8) of subsection (f) of this Section, as |
applicable, which together measure non-operational |
customer savings and benefits
relating to the |
implementation of the Advanced Metering Infrastructure |
Deployment
Plan, as defined in Section 16-108.6 of this |
Act, the performance under each such goal shall be |
calculated in terms of the percentage of the goal |
achieved. The percentage of goal achieved for each of the |
goals shall be aggregated, and an average percentage value |
calculated, for each year of the 10-year period. If the |
utility does not achieve an average percentage value in a |
given year of at least 95%, the participating utility's |
return on equity shall be reduced by 5 basis points. |
The financial penalties shall be applied as described in |
this subsection (f-5) for the 12-month period in which the |
deficiency occurred through a separate tariff mechanism, which |
shall be filed by the utility together with its metrics. In the |
|
event the formula rate tariff established pursuant to |
subsection (c) of this Section terminates, the utility's |
obligations under subsection (f) of this Section and this |
subsection (f-5) shall also terminate, provided, however, that |
the tariff mechanism established pursuant to subsection (f) of |
this Section and this subsection (f-5) shall remain in effect |
until any penalties due and owing at the time of such |
termination are applied. |
The Commission shall, after notice and hearing, enter an |
order within 120 days after the metrics are filed approving, |
or approving with modification, a participating utility's |
tariff or mechanism to satisfy the metrics set forth in |
subsection (f) of this Section. On June 1 of each subsequent |
year, each participating utility shall file a report with the |
Commission that includes, among other things, a description of |
how the participating utility performed under each metric and |
an identification of any extraordinary events that adversely |
impacted the utility's performance. Whenever a participating |
utility does not satisfy the metrics required pursuant to |
subsection (f) of this Section, the Commission shall, after |
notice and hearing, enter an order approving financial |
penalties in accordance with this subsection (f-5). The |
Commission-approved financial penalties shall be applied |
beginning with the next rate year. Nothing in this Section |
shall authorize the Commission to reduce or otherwise obviate |
the imposition of financial penalties for failing to achieve |
|
one or more of the metrics established pursuant to |
subparagraphs subparagraph (1) through (4) of subsection (f) |
of this Section. |
(g) On or before July 31, 2014, each participating utility |
shall file a report with the Commission that sets forth the |
average annual increase in the average amount paid per |
kilowatthour for residential eligible retail customers, |
exclusive of the effects of energy efficiency programs, |
comparing the 12-month period ending May 31, 2012; the |
12-month period ending May 31, 2013; and the 12-month period |
ending May 31, 2014. For a participating utility that is a |
combination utility with more than one rate zone, the weighted |
average aggregate increase shall be provided. The report shall |
be filed together with a statement from an independent auditor |
attesting to the accuracy of the report. The cost of the |
independent auditor shall be borne by the participating |
utility and shall not be a recoverable expense. "The average |
amount paid per kilowatthour" shall be based on the |
participating utility's tariffed rates actually in effect and |
shall not be calculated using any hypothetical rate or |
adjustments to actual charges (other than as specified for |
energy efficiency) as an input. |
In the event that the average annual increase exceeds 2.5% |
as calculated pursuant to this subsection (g), then Sections |
16-108.5, 16-108.6, 16-108.7, and 16-108.8 of this Act, other |
than this subsection, shall be inoperative as they relate to |
|
the utility and its service area as of the date of the report |
due to be submitted pursuant to this subsection and the |
utility shall no longer be eligible to annually update the |
performance-based formula rate tariff pursuant to subsection |
(d) of this Section. In such event, the then current rates |
shall remain in effect until such time as new rates are set |
pursuant to Article IX of this Act, subject to retroactive |
adjustment, with interest, to reconcile rates charged with |
actual costs, and the participating utility's voluntary |
commitments and obligations under subsection (b) of this |
Section shall immediately terminate, except for the utility's |
obligation to pay an amount already owed to the fund for |
training grants pursuant to a Commission order issued under |
subsection (b) of this Section. |
In the event that the average annual increase is 2.5% or |
less as calculated pursuant to this subsection (g), then the |
performance-based formula rate shall remain in effect as set |
forth in this Section. |
For purposes of this Section, the amount per kilowatthour |
means the total amount paid for electric service expressed on |
a per kilowatthour basis, and the total amount paid for |
electric service includes without limitation amounts paid for |
supply, transmission, distribution, surcharges, and add-on |
taxes exclusive of any increases in taxes or new taxes imposed |
after October 26, 2011 (the effective date of Public Act |
97-616). For purposes of this Section, "eligible retail |
|
customers" shall have the meaning set forth in Section |
16-111.5 of this Act. |
The fact that this Section becomes inoperative as set |
forth in this subsection shall not be construed to mean that |
the Commission may reexamine or otherwise reopen prudence or |
reasonableness determinations already made. |
(h) By December 31, 2017, the Commission shall prepare and |
file with the General Assembly a report on the infrastructure |
program and the performance-based formula rate. The report |
shall include the change in the average amount per |
kilowatthour paid by residential customers between June 1, |
2011 and May 31, 2017. If the change in the total average rate |
paid exceeds 2.5% compounded annually, the Commission shall |
include in the report an analysis that shows the portion of the |
change due to the delivery services component and the portion |
of the change due to the supply component of the rate. The |
report shall include separate sections for each participating |
utility. |
Sections 16-108.5, 16-108.6, 16-108.7, and 16-108.8 of |
this Act, other than this subsection (h) and subsection (i) of |
this Section, are inoperative after December 31, 2022 for |
every participating utility, after which time a participating |
utility shall no longer be eligible to annually update the |
performance-based formula rate tariff pursuant to subsection |
(d) of this Section. At such time, the then current rates shall |
remain in effect until such time as new rates are set pursuant |
|
to Article IX of this Act, subject to retroactive adjustment, |
with interest, to reconcile rates charged with actual costs. |
The fact that this Section becomes inoperative as set |
forth in this subsection shall not be construed to mean that |
the Commission may reexamine or otherwise reopen prudence or |
reasonableness determinations already made. |
(i) While a participating utility may use, develop, and |
maintain broadband systems and the delivery of broadband |
services, voice-over-internet-protocol services, |
telecommunications services, and cable and video programming |
services for use in providing delivery services and Smart Grid |
functionality or application to its retail customers, |
including, but not limited to, the installation, |
implementation and maintenance of Smart Grid electric system |
upgrades as defined in Section 16-108.6 of this Act, a |
participating utility is prohibited from providing to its |
retail customers broadband services, |
voice-over-internet-protocol services, telecommunications |
services, or cable or video programming services, unless they |
are part of a service directly related to delivery services or |
Smart Grid functionality or applications as defined in Section |
16-108.6 of this Act, and from recovering the costs of such |
offerings from retail customers. The prohibition set forth in |
this subsection (i) is inoperative after December 31, 2027 for |
every participating utility. |
(j) Nothing in this Section is intended to legislatively |
|
overturn the opinion issued in Commonwealth Edison Co. v. Ill. |
Commerce Comm'n, Nos. 2-08-0959, 2-08-1037, 2-08-1137, |
1-08-3008, 1-08-3030, 1-08-3054, 1-08-3313 cons. (Ill. App. |
Ct. 2d Dist. Sept. 30, 2010). Public Act 97-616 shall not be |
construed as creating a contract between the General Assembly |
and the participating utility, and shall not establish a |
property right in the participating utility.
|
(k) The changes made in subsections (c) and (d) of this |
Section by Public Act 98-15 are intended to be a restatement |
and clarification of existing law, and intended to give |
binding effect to the provisions of House Resolution 1157 |
adopted by the House of Representatives of the 97th General |
Assembly and Senate Resolution 821 adopted by the Senate of |
the 97th General Assembly that are reflected in paragraph (3) |
of this subsection. In addition, Public Act 98-15 preempts and |
supersedes any final Commission orders entered in Docket Nos. |
11-0721, 12-0001, 12-0293, and 12-0321 to the extent |
inconsistent with the amendatory language added to subsections |
(c) and (d). |
(1) No earlier than 5 business days after May 22, 2013 |
(the effective date of Public Act 98-15), each |
participating utility shall file any tariff changes |
necessary to implement the amendatory language set forth |
in subsections (c) and (d) of this Section by Public Act |
98-15 and a revised revenue requirement under the |
participating utility's performance-based formula rate. |
|
The Commission shall enter a final order approving such |
tariff changes and revised revenue requirement within 21 |
days after the participating utility's filing. |
(2) Notwithstanding anything that may be to the |
contrary, a participating utility may file a tariff to |
retroactively recover its previously unrecovered actual |
costs of delivery service that are no longer subject to |
recovery through a reconciliation adjustment under |
subsection (d) of this Section. This retroactive recovery |
shall include any derivative adjustments resulting from |
the changes to subsections (c) and (d) of this Section by |
Public Act 98-15. Such tariff shall allow the utility to |
assess, on current customer bills over a period of 12 |
monthly billing periods, a charge or credit related to |
those unrecovered costs with interest at the utility's |
weighted average cost of capital during the period in |
which those costs were unrecovered. A participating |
utility may file a tariff that implements a retroactive |
charge or credit as described in this paragraph for |
amounts not otherwise included in the tariff filing |
provided for in paragraph (1) of this subsection (k). The |
Commission shall enter a final order approving such tariff |
within 21 days after the participating utility's filing. |
(3) The tariff changes described in paragraphs (1) and |
(2) of this subsection (k) shall relate only to, and be |
consistent with, the following provisions of Public Act |
|
98-15: paragraph (2) of subsection (c) regarding year-end |
capital structure, subparagraph (D) of paragraph (4) of |
subsection (c) regarding pension assets, and subsection |
(d) regarding the reconciliation components related to |
year-end rate base and interest calculated at a rate equal |
to the utility's weighted average cost of capital. |
(4) Nothing in this subsection is intended to effect a |
dismissal of or otherwise affect an appeal from any final |
Commission orders entered in Docket Nos. 11-0721, 12-0001, |
12-0293, and 12-0321 other than to the extent of the |
amendatory language contained in subsections (c) and (d) |
of this Section of Public Act 98-15. |
(l) Each participating utility shall be deemed to have |
been in full compliance with all requirements of subsection |
(b) of this Section, subsection (c) of this Section, Section |
16-108.6 of this Act, and all Commission orders entered |
pursuant to Sections 16-108.5 and 16-108.6 of this Act, up to |
and including May 22, 2013 (the effective date of Public Act |
98-15). The Commission shall not undertake any investigation |
of such compliance and no penalty shall be assessed or adverse |
action taken against a participating utility for noncompliance |
with Commission orders associated with subsection (b) of this |
Section, subsection (c) of this Section, and Section 16-108.6 |
of this Act prior to such date. Each participating utility |
other than a combination utility shall be permitted, without |
penalty, a period of 12 months after such effective date to |
|
take actions required to ensure its infrastructure investment |
program is in compliance with subsection (b) of this Section |
and with Section 16-108.6 of this Act. Provided further, the |
following subparagraphs shall apply to a participating utility |
other than a combination utility: |
(A) if the Commission has initiated a proceeding |
pursuant to subsection (e) of Section 16-108.6 of this Act |
that is pending as of May 22, 2013 (the effective date of |
Public Act 98-15), then the order entered in such |
proceeding shall, after notice and hearing, accelerate the |
commencement of the meter deployment schedule approved in |
the final Commission order on rehearing entered in Docket |
No. 12-0298; |
(B) if the Commission has entered an order pursuant to |
subsection (e) of Section 16-108.6 of this Act prior to |
May 22, 2013 (the effective date of Public Act 98-15) that |
does not accelerate the commencement of the meter |
deployment schedule approved in the final Commission order |
on rehearing entered in Docket No. 12-0298, then the |
utility shall file with the Commission, within 45 days |
after such effective date, a plan for accelerating the |
commencement of the utility's meter deployment schedule |
approved in the final Commission order on rehearing |
entered in Docket No. 12-0298; the Commission shall reopen |
the proceeding in which it entered its order pursuant to |
subsection (e) of Section 16-108.6 of this Act and shall, |
|
after notice and hearing, enter an amendatory order that |
approves or approves as modified such accelerated plan |
within 90 days after the utility's filing; or |
(C) if the Commission has not initiated a proceeding |
pursuant to subsection (e) of Section 16-108.6 of this Act |
prior to May 22, 2013 (the effective date of Public Act |
98-15), then the utility shall file with the Commission, |
within 45 days after such effective date, a plan for |
accelerating the commencement of the utility's meter |
deployment schedule approved in the final Commission order |
on rehearing entered in Docket No. 12-0298 and the |
Commission shall, after notice and hearing, approve or |
approve as modified such plan within 90 days after the |
utility's filing. |
Any schedule for meter deployment approved by the |
Commission pursuant to this subsection (l) shall take into |
consideration procurement times for meters and other equipment |
and operational issues. Nothing in Public Act 98-15 shall |
shorten or extend the end dates for the 5-year or 10-year |
periods set forth in subsection (b) of this Section or Section |
16-108.6 of this Act. Nothing in this subsection is intended |
to address whether a participating utility has, or has not, |
satisfied any or all of the metrics and performance goals |
established pursuant to subsection (f) of this Section. |
(m) The provisions of Public Act 98-15 are severable under |
Section 1.31 of the Statute on Statutes. |
|
(Source: P.A. 102-1031, eff. 5-27-22; revised 8-22-22.)
|
Section 460. The Broadband Advisory Council Act is amended |
by changing Section 15 as follows:
|
(220 ILCS 80/15) |
Sec. 15. Broadband Advisory Council; members of
Council; |
administrative support.
|
(a) The Broadband Advisory Council is hereby established.
|
The Department of Commerce and Economic Opportunity shall |
house
the Council and provide administrative, personnel, and
|
technical support services.
|
(b) The Council shall consist of the following 25 voting
|
members: |
(1) the Director of Commerce and Economic Opportunity
|
or his or her designee, who shall serve as chair of the |
Council; |
(2) the Secretary of Innovation and Technology or his
|
or her designee; |
(3) the Director of Aging or his or her designee; |
(4) the Attorney General or his or her designee;
|
(5) the Chairman of the Illinois Commerce Commission |
or
his or her designee;
|
(6) one member appointed by the Director of Healthcare
|
and Family Services to represent the needs of disabled
|
citizens; |
|
(7) one member appointed by the Director of Commerce
|
and Economic Opportunity and nominated by the president of
|
a statewide organization representing electric
|
cooperatives; |
(8) one member appointed by the Director of Commerce
|
and Economic Opportunity and nominated by the executive
|
director of a statewide organization representing
|
municipalities; |
(9) one member appointed by the Director of Commerce
|
and Economic Opportunity and nominated by the president of
|
a statewide organization representing libraries; |
(10) one member appointed by the Director of Commerce
|
and Economic Opportunity and nominated by the president of
|
a statewide organization representing public housing
|
authorities; |
(11) one member appointed by the Chair of the Illinois
|
Community College Board; |
(12) one member appointed by the Chair of the Illinois
|
Board of Higher Education; and |
(13) one member appointed by the Director of Commerce |
and Economic Opportunity and nominated by the president of |
the State's largest general farm organization; |
(14) one member appointed by the Director of Aging and |
nominated by an organization representing Illinois' senior |
population with a membership of at least 1,500,000; |
(15) seven members to represent broadband providers |
|
for
3-year terms appointed by the Governor as follows: |
(A) one member representing an incumbent local
|
exchange carrier that serves rural areas; |
(B) one member representing an incumbent local
|
exchange carrier that serves urban areas; |
(C) one member representing wireless carriers that
|
offer broadband Internet access; |
(D) one member representing cable companies that
|
serve Illinois; |
(E) one member representing a statewide rural |
broadband association;
|
(F) one member representing a telecommunications |
carrier issued a certificate of public convenience and |
necessity or a certificate of service authority from |
the Illinois Commerce Commission, whose principal |
place of business is located in east central Illinois |
and who is engaged in providing broadband access in |
rural areas through the installation of broadband |
lines that connect telecommunications facilities to |
other telecommunications facilities or to end-users; |
and |
(G) one member representing satellite providers; |
and |
(16) four members to represent underrepresented and |
ethnically diverse communities for 3-year terms appointed |
by the Governor as follows: |
|
(A) one member from a community-based organization |
representing the interests of African-American or |
Black individuals; |
(B) one member from a community-based organization |
representing the interests of Hispanic or Latino |
individuals; |
(C) one member from a community-based organization |
representing the interests of Asian-American or |
Pacific Islander individuals; and |
(D) one member from a community-based organization |
representing the interests of ethnically diverse |
individuals. |
(c) In addition to the 25 voting members of the Council, |
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 shall each |
appoint one non-voting member of the Council.
|
(d) All voting and non-voting members must be appointed |
within 90 days after the effective date of this Act. |
(e) The members shall select a vice chair from
their |
number. In the absence of the chair, the vice chair shall
serve |
as chair. The Council shall appoint a secretary-treasurer
who |
need not be a member of the Council and who, among other
tasks |
or functions designated by the Council, shall keep
records of |
its proceedings.
|
(f) The Council may appoint working groups to investigate
|
|
and make recommendations to the full Council. Members of these
|
working groups need not be members of the Council.
|
(g) Nine voting members of the Council constitute a
|
quorum, and the affirmative vote of a simple majority of those
|
members present is necessary for any action taken by vote of
|
the Council.
|
(h) The Council shall conduct its first meeting within 30 |
days after all members have been appointed. The Council shall |
meet quarterly after its first meeting. Additional hearings |
and public meetings are permitted at the discretion of the |
members. The Council may meet in person or through video or |
audio conference. |
(i) Members shall serve without compensation and may be
|
reimbursed for reasonable expenses incurred in the performance
|
of their duties from funds appropriated for that purpose.
|
(Source: P.A. 102-247, eff. 1-1-22 ; revised 8-19-22.)
|
Section 465. The Illinois Athletic Trainers Practice Act |
is amended by changing Section 4 as follows:
|
(225 ILCS 5/4) (from Ch. 111, par. 7604)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 4. Licensure; exempt activities. No
person
shall |
provide any of the services set forth in subsection (4) of |
Section 3
of this Act, or use the title "athletic trainer" , or
|
"certified athletic trainer" , or "athletic trainer certified" , |
|
or "licensed athletic trainer" or the letters "LAT", "L.A.T.",
|
"A.T.", "C.A.T.", "A.T.C.", "A.C.T.", or
"I.A.T.L." after the |
athletic trainer's name, unless licensed
under this Act.
|
Nothing in this Act shall be construed as preventing or |
restricting the
practice, services, or activities of:
|
(1) Any person licensed or registered in this State by |
any other law
from engaging in the profession or |
occupation for which he or she is
licensed or
registered.
|
(2) Any person employed as an athletic trainer by the |
Government of the
United States, if such person provides |
athletic training solely under the
direction or control of |
the organization by which he or she is employed.
|
(3) Any person pursuing a course of study leading to a |
degree in athletic training at an accredited educational
|
program if such activities and services constitute a part |
of a supervised
course of study involving daily personal |
or verbal contact at the site of supervision between the |
athletic training student and the licensed athletic |
trainer who plans, directs, advises, and evaluates the |
student's athletic training clinical education. The |
supervising licensed athletic trainer must be on-site |
where the athletic training clinical education is being |
obtained.
A person meeting the criteria under this |
paragraph (3) must be designated by a title which clearly
|
indicates his or her status as a student.
|
(4) (Blank).
|
|
(5) The practice of athletic training under the |
supervision of a licensed athletic trainer by one who has |
applied in writing
to the Department for
licensure and has |
complied with all the provisions
of Section 9 except the |
passing of the examination to be eligible to receive
such |
license. This temporary right to act as an athletic |
trainer shall expire 3 months after the filing of his or |
her written application to the Department; when the |
applicant has been notified of his or her failure to pass |
the examination authorized by the Department; when the |
applicant has withdrawn his or her application; when the |
applicant has received a license from the Department after |
successfully passing the examination authorized by the |
Department; or when the applicant has been notified by the |
Department to cease and desist from practicing, whichever |
occurs first. This provision shall not apply to an |
applicant who has previously failed the examination.
|
(6) Any person in a coaching position from rendering |
emergency care on an
as
needed basis to the athletes under |
his or her supervision when a licensed athletic trainer is |
not available.
|
(7) Any person who is an athletic trainer from another |
state or territory of the United States or another nation, |
state, or
territory
acting as an athletic trainer while |
performing
his or her duties for his or her respective |
non-Illinois based team or
organization, so long as he or |
|
she restricts his or her duties to his
or her team or |
organization during the course of his or her team's or
|
organization's stay in this State. For the purposes of |
this Act, a team shall be considered based in Illinois if |
its home contests are held in Illinois, regardless of the |
location of the team's administrative offices.
|
(8) The practice of athletic training by persons |
licensed in another state who have applied in writing to |
the Department for licensure by endorsement. This |
temporary right to act as an athletic trainer shall expire |
6 months after the filing of his or her written |
application to the Department; upon the withdrawal of the |
application for licensure under this Act; upon delivery of |
a notice of intent to deny the application from the |
Department; or upon the denial of the application by the |
Department, whichever occurs first. |
(9) The practice of athletic training by one who has |
applied in writing to the Department for licensure and has |
complied with all the provisions of Section 9. This |
temporary right to act as an athletic trainer shall expire |
6 months after the filing of his or her written |
application to the Department; upon the withdrawal of the |
application for licensure under this Act; upon delivery of |
a notice of intent to deny the application from the |
Department; or upon the denial of the application by the |
Department, whichever occurs first. |
|
(10) The practice of athletic training by persons |
actively licensed as an athletic trainer in another state |
or territory of the United States or another country, or |
currently certified by the Board of Certification, or its |
successor entity, at a special athletic tournament or |
event conducted by a sanctioned amateur athletic |
organization for no more than 14 days. This shall not |
include contests or events that are part of a scheduled |
series of regular season events. |
(11) Aides from performing patient care activities |
under the on-site supervision of a licensed athletic |
trainer. These patient care activities shall not include |
interpretation of referrals or evaluation procedures, |
planning or major modifications of patient programs, |
administration of medication, or solo practice or event |
coverage without immediate access to a licensed athletic |
trainer.
|
(12) (Blank). Persons or entities practicing the |
specified occupations set forth in subsection (a) of, and |
pursuant to a licensing exemption granted in subsection |
(b) or (d) of, Section 2105-350 of the Department of |
Professional Regulation Law of the Civil Administrative |
Code of Illinois, but only for so long as the 2016 Olympic |
and Paralympic Games Professional Licensure Exemption Law |
is operable. |
(Source: P.A. 102-940, eff. 1-1-23; revised 12-9-22.)
|
|
Section 470. The Dietitian Nutritionist Practice Act is |
amended by changing Sections 100 and 105 as follows:
|
(225 ILCS 30/100) (from Ch. 111, par. 8401-100)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 100. Injunctions; cease and desist orders.
|
(a) If any person violates a provision of this Act, the |
Secretary
may, in the name of the People of the State of |
Illinois through
the Attorney General of the State of Illinois |
or the State's Attorney of the county in which the violation is |
alleged to have occurred, petition for an order
enjoining the |
violation or for an order enforcing compliance with this Act.
|
Upon the filing of a verified petition, the court may issue a |
temporary
restraining order, without notice or bond, and may |
preliminarily and
permanently enjoin the violation. If it is |
established that the person has
violated or is violating the |
injunction, the Court may punish the offender
for contempt of |
court. Proceedings under this Section shall be in addition
to, |
and not in lieu of, all other remedies and penalties provided |
by this Act.
|
(b) If any person provides, offers to provide, attempts to |
provide or
holds himself or herself out as qualified, |
licensed, or able to provide medical nutrition therapy or |
holds oneself out as licensed or qualified to practice |
dietetics and nutrition or holds oneself out as a licensed |
|
dietitian nutritionist or uses words or letters in connection |
with the person's name in violation of Section 80 without |
having a valid license under
this Act, then any licensee, any |
interested party, or any person injured
thereby may, in |
addition to the Secretary, petition for relief as provided
in |
subsection (a) of this Section.
|
(c) Whenever in the opinion of the Department any person |
violates any
provision of this Act, the Department may issue a |
rule to show cause why an
order to cease and desist should be |
entered against him or her. The rule shall
clearly set forth |
the grounds relied upon by the Department and shall provide
a |
period of 7 days from the date of the rule to file an answer to |
the
satisfaction of the Department. Failure to answer to the |
satisfaction of
the Department shall cause an in order to |
cease and desist to be issued
immediately.
|
(Source: P.A. 102-945, eff. 1-1-23; revised 12-9-22.)
|
(225 ILCS 30/105) (from Ch. 111, par. 8401-105)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 105. Investigation; notice and hearing. The |
Department may investigate
the actions or qualifications of |
any applicant or of any person or persons
holding or claiming |
to hold a license or certificate of registration.
The |
Department shall, before refusing to issue or renew a license |
or to discipline a licensee under Section 95, at least 30 days |
before the date set for the
hearing, (i) notify the accused in |
|
writing of any charges made and the time and
place for a |
hearing of the charges, (ii) direct him or her to
file his or |
her written answer to the charges under oath within 20 days |
after the service of the notice,
and (iii) inform the |
applicant or licensee that failure to file an answer shall |
result in a
default judgment being entered n against the |
applicant or licensee. At the time and place fixed in the |
notice, the Department shall proceed to hear the charges and |
the parties or their counsel shall be accorded ample |
opportunity to present any pertinent statements, testimony, |
evidence, and arguments. The Department may continue the |
hearing from time to time. In case the person, after receiving |
the notice, fails to file an answer, his or her license, may, |
in the discretion of the Department, be revoked, suspended, or |
placed on probationary status or the Department may take |
whatever disciplinary action considered proper, including |
limiting the scope, nature, or extent of the person's practice |
or the imposition of a fine, without a hearing, if the act or |
acts charged constitute sufficient grounds for that action |
under the Act. The written notice and any notice in the |
subsequent proceeding may be served by mail to the licensee's |
address of record or by email to the licensee's email address |
of record.
|
(Source: P.A. 102-945, eff. 1-1-23; revised 12-9-22.)
|
Section 475. The Licensed Certified Professional Midwife |
|
Practice Act is amended by changing Section 10 as follows:
|
(225 ILCS 64/10)
|
(Section scheduled to be repealed on January 1, 2027) |
Sec. 10. Definitions. As used in this Act: |
"Address of record" means the designated address recorded |
by the Department in the applicant's application file or the |
licensee's licensure file as maintained by the Department. |
"Antepartum" means before labor or childbirth. |
"Board" means the Illinois Midwifery Board. |
"Certified nurse midwife" means an individual who is |
licensed under the Nurse Practice Act as an advanced practice |
registered nurse and is certified as a nurse midwife. |
"Client" means a childbearing individual or newborn for |
whom a licensed certified professional midwife provides |
services. |
"Consultation" means the process by which a licensed |
certified professional midwife seeks the advice or opinion of |
another health care professional. |
"Department" means the Department of Financial and |
Professional Regulation. |
"Email address of record" means the designated email |
address of record by the Department in the applicant's |
application file or the licensee's licensure file as |
maintained by the Department. |
"Health care professional" means an advanced practice |
|
registered nurse or a physician licensed to practice medicine |
in all of its branches. |
"Intrapartum" means during labor and delivery or |
childbirth. |
"Licensed certified professional midwife" means a person |
who has successfully met the requirements under Section 45 of |
this Act and has been licensed by the Department. |
"Low-risk" means a low-risk pregnancy where there is an |
absence of any preexisting maternal disease, significant |
disease arising from the pregnancy, or any condition likely to |
affect the pregnancy, including, but not limited to, those |
listed in Section 85. |
"Midwife assistant" means a person, at least 18 years of |
age, who performs basic administrative, clerical, and |
supportive services under the supervision of a certified |
professional midwife, is educated to provide both basic and |
emergency care to newborns and mothers during labor, delivery, |
and immediately postpartum, and who maintains Neonatal |
Resuscitation Program provider status and cardiopulmonary |
resuscitation certification. |
"Midwifery bridge certificate" means a certificate issued |
by the North American Registry of Midwives that documents |
completion of accredited continuing education for certified |
professional midwives based upon identified areas to address |
education in emergency skills and other competencies set by |
the international confederation of midwives. |
|
"Midwifery Education and Accreditation Council" or "MEAC" |
means the nationally recognized accrediting agency, or its |
successor, that establishes standards for the education of |
direct-entry midwives in the United States. |
"National Association of Certified Professional Midwives" |
or "NACPM" means the professional organization, or its |
successor, that promotes the growth and development of the |
profession of certified professional midwives. |
"North American Registry of Midwives" or "NARM" means the |
accredited international agency, or its successor |
organization, that has established and has continued to |
administer certification for the credentialing of certified |
professional midwives, including the administration of a |
national competency examination. |
"Onset of care" means the initial prenatal visit upon an |
agreement between a licensed certified professional midwife |
and client to establish a midwife-client relationship, during |
which the licensed certified professional midwife may take a |
client's medical history, complete an exam, establish a |
client's record, or perform other services related to |
establishing care. "Onset of care" does not include an initial |
interview where information about the licensed certified |
professional midwife's practice is shared but no |
midwife-client relationship is established. |
"Pediatric health care professional" means a licensed |
physician specializing in the care of children, a family |
|
practice physician, or an advanced practice registered nurse |
licensed under the Nurse Practice Act and certified as a |
Pediatric Nurse Practitioner or Family Nurse Practitioner. |
"Physician" means a physician licensed under the Medical |
Practice Act of 1987 to practice medicine in all of its |
branches. |
"Postpartum period" means the first 6 weeks after |
delivery. |
"Practice of midwifery" means providing the necessary |
supervision, care, and advice to a client during a low-risk |
pregnancy, labor, and the postpartum period, including the |
intended low-risk delivery of a child, and providing normal |
newborn care. "Practice of midwifery" does not include the |
practice of medicine or nursing. |
"Qualified midwife preceptor" means a licensed and |
experienced midwife or other health professional licensed in |
the State who participated in the clinical education of |
individuals enrolled in a midwifery education institution, |
program, or pathway accredited by the midwifery education |
accreditation council and who meet the criteria for midwife |
preceptors by NARM or its successor organization. |
"Secretary" means the Secretary of Financial and |
Professional Regulation. |
"Supportive services" means simple routine medical tasks |
and procedures for which the midwife assistant or student |
midwife is appropriately trained.
|
|
(Source: P.A. 102-683, eff. 10-1-22; 102-963, eff. 5-27-22; |
revised 10-17-22.)
|
Section 480. The Nurse Practice Act is amended by changing |
Section 50-10 as follows:
|
(225 ILCS 65/50-10)
(was 225 ILCS 65/5-10)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 50-10. Definitions. Each of the following terms, when |
used
in this Act, shall have the meaning ascribed to it in this |
Section, except
where the context clearly indicates otherwise:
|
"Academic year" means the customary annual schedule of |
courses at a
college, university, or approved school, |
customarily regarded as the school
year as distinguished from |
the calendar year.
|
"Address of record" means the designated address recorded |
by the Department in the applicant's or licensee's application |
file or license file as maintained by the Department's |
licensure maintenance unit. |
"Advanced practice registered nurse" or "APRN" means a |
person who has met the qualifications for a (i) certified |
nurse midwife (CNM); (ii) certified nurse practitioner (CNP); |
(iii) certified registered nurse anesthetist (CRNA); or (iv) |
clinical nurse specialist (CNS) and has been licensed by the |
Department. All advanced practice registered nurses licensed |
and practicing in the State of Illinois shall use the title |
|
APRN and may use specialty credentials CNM, CNP, CRNA, or CNS |
after their name. All advanced practice registered nurses may |
only practice in accordance with national certification and |
this Act.
|
"Advisory Board" means the Illinois Nursing Workforce |
Center Advisory Board. |
"Approved program of professional nursing education" and |
"approved
program of practical nursing education" are programs |
of professional or
practical nursing, respectively, approved |
by the Department under the
provisions of this Act.
|
"Board" means the Board of Nursing appointed by the |
Secretary. |
"Center" means the Illinois Nursing Workforce Center. |
"Collaboration" means a process involving 2 or more health |
care professionals working together, each contributing one's |
respective area of expertise to provide more comprehensive |
patient care. |
"Competence" means an expected and measurable level of |
performance that integrates knowledge, skills, abilities, and |
judgment based on established scientific knowledge and |
expectations for nursing practice. |
"Comprehensive nursing assessment" means the gathering of |
information about the patient's physiological, psychological, |
sociological, and spiritual status on an ongoing basis by a |
registered professional nurse and is the first step in |
implementing and guiding the nursing plan of care. |
|
"Consultation" means the process whereby an advanced |
practice registered nurse seeks the advice or opinion of |
another health care professional. |
"Credentialed" means the process of assessing and |
validating the qualifications of a health care professional. |
"Dentist" means a person licensed to practice dentistry |
under the Illinois Dental Practice Act. |
"Department" means the Department of Financial and |
Professional Regulation. |
"Email address of record" means the designated email |
address recorded by the Department in the applicant's |
application file or the licensee's license file, as maintained |
by the Department's licensure maintenance unit. |
"Focused nursing assessment" means an appraisal of an |
individual's status and current situation, contributing to the |
comprehensive nursing assessment performed by the registered |
professional nurse or advanced practice registered nurse or |
the assessment by the physician assistant, physician, dentist, |
podiatric physician, or other licensed health care |
professional, as determined by the Department, supporting |
ongoing data collection, and deciding who needs to be informed |
of the information and when to inform. |
" Full practice authority" means the authority of an |
advanced practice registered nurse licensed in Illinois and |
certified as a nurse practitioner, clinical nurse specialist, |
or nurse midwife to practice without a written collaborative |
|
agreement and: |
(1) to be fully accountable to patients for the |
quality of advanced nursing care rendered; |
(2) to be fully accountable for recognizing limits of |
knowledge and experience and for planning for the |
management of situations beyond the advanced practice |
registered nurse's expertise; the full practice authority |
for advanced practice registered nurses includes accepting |
referrals from, consulting with, collaborating with, or |
referring to other health care professionals as warranted |
by the needs of the patient; and |
(3) to possess the authority to prescribe medications, |
including Schedule II through V controlled substances, as |
provided in Section 65-43. |
"Hospital affiliate" means a corporation, partnership, |
joint venture, limited liability company, or similar |
organization, other than a hospital, that is devoted primarily |
to the provision, management, or support of health care |
services and that directly or indirectly controls, is |
controlled by, or is under common control of the hospital. For |
the purposes of this definition, "control" means having at |
least an equal or a majority ownership or membership interest. |
A hospital affiliate shall be 100% owned or controlled by any |
combination of hospitals, their parent corporations, or |
physicians licensed to practice medicine in all its branches |
in Illinois. "Hospital affiliate" does not include a health |
|
maintenance organization regulated under the Health |
Maintenance Organization Act. |
"Impaired nurse" means a nurse licensed under this Act who |
is unable to practice with reasonable skill and safety because |
of a physical or mental disability as evidenced by a written |
determination or written consent based on clinical evidence, |
including loss of motor skills, abuse of drugs or alcohol, or a |
psychiatric disorder, of sufficient degree to diminish his or |
her ability to deliver competent patient care. |
"License-pending advanced practice registered nurse" means |
a registered professional nurse who has completed all |
requirements for licensure as an advanced practice registered |
nurse except the certification examination and has applied to |
take the next available certification exam and received a |
temporary permit from the Department. |
"License-pending registered nurse" means a person who has |
passed the Department-approved registered nurse licensure exam |
and has applied for a license from the Department. A |
license-pending registered nurse shall use the title "RN lic |
pend" on all documentation related to nursing practice. |
"Nursing intervention" means any treatment based on |
clinical nursing judgment or knowledge that a nurse performs. |
An individual or entity shall not mandate that a registered |
professional nurse delegate nursing interventions if the |
registered professional nurse determines it is inappropriate |
to do so. A nurse shall not be subject to disciplinary or any |
|
other adverse action for refusing to delegate a nursing |
intervention based on patient safety. |
"Physician" means a person licensed to practice medicine |
in all its branches under the Medical Practice Act of 1987. |
"Podiatric physician" means a person licensed to practice |
podiatry under the Podiatric Medical Practice Act of 1987.
|
"Practical nurse" or "licensed practical nurse" means a |
person who is
licensed as a practical nurse under this Act and |
practices practical
nursing as defined in this Act. Only a |
practical nurse
licensed under this Act is entitled to use the |
title "licensed practical
nurse" and the abbreviation |
"L.P.N.".
|
"Practical nursing" means the performance of
nursing |
interventions requiring the nursing knowledge, judgment, and |
skill
acquired by means of completion of an approved practical |
nursing education
program. Practical nursing includes |
assisting in the nursing process under the guidance of a |
registered professional nurse or an advanced practice |
registered nurse. The
practical nurse may work under the |
direction of a licensed physician, dentist, podiatric |
physician, or other health care professional determined by the |
Department.
|
"Privileged" means the authorization granted by the |
governing body of a healthcare facility, agency, or |
organization to provide specific patient care services within |
well-defined limits, based on qualifications reviewed in the |
|
credentialing process.
|
"Registered Nurse" or "Registered Professional Nurse" |
means a person
who is licensed as a professional nurse under |
this Act and practices
nursing as defined in
this Act. Only a |
registered
nurse licensed under this Act is entitled to use |
the
titles "registered nurse" and "registered professional |
nurse" and the
abbreviation, "R.N.".
|
"Registered professional nursing practice" means a |
scientific process founded on a professional body of knowledge |
that includes, but is not limited to, the protection, |
promotion, and optimization of health and abilities, |
prevention of illness and injury, development and |
implementation of the nursing plan of care, facilitation of |
nursing interventions to alleviate suffering, care |
coordination, and advocacy in the care of individuals, |
families, groups, communities, and populations. "Registered |
professional nursing practice" does not include the act of |
medical diagnosis or prescription of medical therapeutic or |
corrective measures.
|
"Professional assistance program for nurses" means a |
professional
assistance program that meets criteria |
established by the Board of Nursing
and approved by the |
Secretary, which provides a non-disciplinary treatment
|
approach for nurses licensed under this Act whose ability to |
practice is
compromised by alcohol or chemical substance |
addiction.
|
|
"Secretary" means the Secretary of Financial and |
Professional Regulation. |
"Unencumbered license" means a license issued in good |
standing. |
"Written collaborative agreement" means a written |
agreement between an advanced practice registered nurse and a |
collaborating physician, dentist, or podiatric physician |
pursuant to Section 65-35.
|
(Source: P.A. 99-173, eff. 7-29-15; 99-330, eff. 1-1-16; |
99-642, eff. 7-28-16; 100-513, eff. 1-1-18; revised 2-28-22.)
|
Section 485. The Pharmacy Practice Act is amended by |
changing Sections 9 and 25.10 as follows:
|
(225 ILCS 85/9)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 9. Licensure as registered pharmacy technician. |
(a) Any person shall be entitled
to licensure as a |
registered pharmacy technician who is of the age of 16
or over, |
has not engaged in conduct or behavior determined to be |
grounds for
discipline under this Act, is attending or has
|
graduated from an accredited high school or comparable school |
or educational
institution or received a State of Illinois |
High School Diploma, and has filed a written or electronic |
application for licensure on a form
to be prescribed and |
furnished by the Department for that purpose. The
Department |
|
shall issue a license as a registered pharmacy technician to |
any applicant who has
qualified as aforesaid, and such license |
shall be the sole authority
required to assist licensed |
pharmacists in the practice of pharmacy, under
the supervision |
of a licensed pharmacist. A registered pharmacy technician may |
be delegated to perform any task within the practice of |
pharmacy if specifically trained for that task, except for |
patient counseling, drug regimen review, clinical conflict |
resolution, or final prescription verification except where a |
registered certified pharmacy technician verifies a |
prescription dispensed by another pharmacy technician using |
technology-assisted medication verification, or providing |
patients prophylaxis drugs for human immunodeficiency virus |
pre-exposure prophylaxis or post-exposure prophylaxis. |
(b) Beginning on January 1, 2017, within 2 years after |
initial licensure as a registered pharmacy technician, the |
licensee must meet the requirements described in Section 9.5 |
of this Act and become licensed as a registered certified |
pharmacy technician. If the licensee has not yet attained the |
age of 18, then upon the next renewal as a registered pharmacy |
technician, the licensee must meet the requirements described |
in Section 9.5 of this Act and become licensed as a registered |
certified pharmacy technician. This requirement does not apply |
to pharmacy technicians registered prior to January 1, 2008.
|
(c) Any person registered
as a pharmacy technician who is |
also enrolled in a first professional
degree program in |
|
pharmacy in a school or college of pharmacy or a
department of |
pharmacy of a university approved by the Department or has |
graduated from such a program within the last 18 months, shall |
be
considered a "student pharmacist"
and entitled to use the |
title "student pharmacist". A student pharmacist must meet all |
of the requirements for licensure as a registered pharmacy |
technician set forth in this Section excluding the requirement |
of certification prior to the second license renewal and pay |
the required registered pharmacy technician license fees. A |
student pharmacist may, under the supervision of a pharmacist, |
assist in the practice of pharmacy and perform any and all |
functions delegated to him or her by the pharmacist. |
(d) Any person seeking licensure as a pharmacist who has |
graduated from a pharmacy program outside the United States |
must register as a pharmacy technician and shall be considered |
a "student pharmacist" and be entitled to use the title |
"student pharmacist" while completing the 1,200 clinical hours |
of training approved by the Board of Pharmacy described and |
for no more than 18 months after completion of these hours. |
These individuals are not required to become registered |
certified pharmacy technicians while completing their Board |
approved clinical training, but must become licensed as a |
pharmacist or become licensed as a registered certified |
pharmacy technician before the second pharmacy technician |
license renewal following completion of the Board approved |
clinical training. |
|
(e) The Department shall not renew the registered pharmacy |
technician license of any person who has been licensed as a |
registered pharmacy technician with the designation "student |
pharmacist" who: (1) has dropped out of or been expelled from |
an ACPE accredited college of pharmacy; (2) has failed to |
complete his or her 1,200 hours of Board approved clinical |
training within 24 months; or (3) has failed the pharmacist |
licensure examination 3 times. The Department shall require |
these individuals to meet the requirements of and become |
licensed as a registered certified pharmacy technician. |
(f) The Department may
take any action set forth in |
Section 30 of this Act with regard to a license
pursuant to |
this Section.
|
(g) Any person who is enrolled in a non-traditional |
Pharm.D.
program at an ACPE accredited college of pharmacy and |
is licensed as a registered pharmacist
under the laws of |
another United States jurisdiction shall be permitted to
|
engage in the program of practice experience required in the |
academic program
by virtue of such license. Such person shall |
be exempt from the requirement
of licensure as a registered |
pharmacy technician or registered certified pharmacy |
technician while engaged in the
program of practice experience |
required in the academic program.
|
An applicant for licensure as a registered pharmacy |
technician may assist a
pharmacist in the practice of pharmacy |
for a period of up to
60 days prior to the issuance of a |
|
license if the
applicant has submitted the required fee and an |
application for licensure
to the Department. The applicant |
shall keep a copy of the submitted
application on the premises |
where the applicant is assisting in the
practice of pharmacy. |
The Department shall forward confirmation of receipt of the |
application with start and expiration dates of practice |
pending licensure.
|
(Source: P.A. 101-621, eff. 1-1-20; 102-882, eff. 1-1-23; |
102-1051, eff. 1-1-23; 102-1100, eff. 1-1-23; revised |
12-14-22.)
|
(225 ILCS 85/25.10) |
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 25.10. Remote prescription processing. |
(a) In this Section, "remote prescription processing" |
means and includes the outsourcing of certain prescription |
functions to another pharmacy or licensed non-resident |
pharmacy. "Remote prescription processing" includes any of the |
following activities related to the dispensing process: |
(1) Receiving, interpreting, evaluating, or clarifying |
prescriptions. |
(2) Entering prescription and patient data into a data |
processing system. |
(3) Transferring prescription information. |
(4) Performing a drug regimen review. |
(5) Obtaining refill or substitution authorizations or |
|
otherwise communicating with the prescriber concerning a |
patient's prescription. |
(6) Evaluating clinical data for prior authorization |
for dispensing. |
(7) Discussing therapeutic interventions with |
prescribers. |
(8) Providing drug information or counseling |
concerning a patient's prescription to the patient or |
patient's agent, as defined in this Act. |
(b) A pharmacy may engage in remote prescription |
processing under the following conditions: |
(1) The pharmacies shall either have the same owner or |
have a written contract describing the scope of services |
to be provided and the responsibilities and |
accountabilities of each pharmacy in compliance with all |
federal and State laws and regulations related to the |
practice of pharmacy. |
(2) The pharmacies shall share a common electronic |
file or have technology that allows sufficient information |
necessary to process a non-dispensing function. |
(3) The records may be maintained separately by each |
pharmacy or in a common electronic file shared by both |
pharmacies, provided that the system can produce a record |
at either location that shows each processing task, the |
identity of the person performing each task, and the |
location where each task was performed. |
|
(c) Nothing in this Section shall prohibit an individual |
employee licensed as a pharmacist, pharmacy technician, or |
student pharmacist from accessing the employer pharmacy's |
database from a home or other remote location or pharmacist's |
home verification for the purpose of performing certain |
prescription processing functions, provided that the pharmacy |
establishes controls to protect the privacy and security of |
confidential records.
|
(Source: P.A. 102-882, eff. 1-1-23; revised 12-9-22.)
|
Section 490. The Professional Counselor and Clinical |
Professional Counselor
Licensing and Practice Act is amended |
by changing Sections 20 and 50 as follows:
|
(225 ILCS 107/20)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 20. Restrictions and limitations.
|
(a) No person shall, without a valid license as a |
professional
counselor issued by the Department: (i) in any |
manner hold himself or
herself out to the public as a |
professional counselor
under this Act; (ii) attach the title |
"professional counselor" or , "licensed
professional
|
counselor" , or use the credential "L.P.C."; or (iii) offer to |
render or render to individuals,
corporations, or the public |
professional counseling services.
|
(b) No person shall, without a valid license as a clinical |
|
professional
counselor issued by the Department: (i) in any |
manner hold himself or
herself out to the public as a clinical |
professional counselor or licensed
clinical professional |
counselor
under this Act; (ii) attach the title "clinical |
professional counselor" or ,
"licensed clinical professional
|
counselor", or use the credential "L.P.C."; or (iii) offer to |
render to individuals, corporations, or the
public clinical |
professional counseling services.
|
(c) (Blank).
|
(d) No association, limited liability company, |
professional limited liability company, or partnership shall |
provide, attempt to provide, or offer to provide
clinical |
professional counseling or professional counseling services |
unless
every member, partner, and employee of the association, |
limited liability company, professional limited liability |
company, or partnership who
practices professional counseling |
or clinical professional counseling
or who renders |
professional counseling or clinical
professional counseling |
services holds a currently
valid license issued under this |
Act. No business shall provide, attempt to provide, or offer |
to provide professional counseling or
clinical professional |
counseling services unless it is organized under the
|
Professional Service Corporation Act or Professional Limited |
Liability Company Act.
|
(d-5) Nothing in this Act shall preclude individuals |
licensed under this Act from practicing directly or indirectly |
|
for a physician licensed to practice medicine in all its |
branches under the Medical Practice Act of 1987 or for any |
legal entity as provided under subsection (c) of Section 22.2 |
of the Medical Practice Act of 1987. |
(e) Nothing in this Act shall be construed as permitting |
persons
licensed as professional counselors or clinical |
professional counselors to
engage in any manner in the |
practice of medicine in all its branches as defined
by law in |
this State.
|
(f) When, in the course of providing professional |
counseling or clinical
professional counseling services to any |
person, a professional counselor or
clinical professional |
counselor licensed under this Act finds indication of
a |
disease or condition that in his or her professional judgment |
requires
professional service outside the scope of practice as |
defined in this Act,
he or she shall refer that person to a |
physician licensed to practice
medicine in all of its branches |
or another appropriate health care
practitioner.
|
(Source: P.A. 102-878, eff. 1-1-23; revised 12-9-22.)
|
(225 ILCS 107/50)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 50. Licenses; renewal; restoration; person in |
military service;
inactive status. |
(a) The expiration date and renewal period for each |
license issued under
this Act shall be set by rule. As a |
|
condition for renewal of a license, the licensee shall be |
required to complete continuing education in accordance with |
rules established by the Department and pay the current |
renewal fee.
|
(b) Any person who has permitted a license to expire or who |
has a
license on inactive status may have it restored by |
submitting an application to
the Department and filing proof |
of fitness acceptable to the Department, to have
the license |
restored, including, if appropriate, evidence which is |
satisfactory
to the Department certifying the active practice |
of professional counseling or
clinical professional counseling |
in another jurisdiction and by paying the
required fee.
|
(c) If the person has not maintained an active practice in |
another
jurisdiction which is satisfactory to the Department, |
the Department shall
determine, by rule, the person's fitness |
to resume active status and shall establish procedures and |
requirements for restoration.
|
(d) However, any person whose license expired while he or |
she was (i) in federal service on active duty with
the armed |
forces of the United States or the State Militia or (ii) in |
training or education under the
supervision of the United |
States government prior to induction into the
military service |
may have his or her license restored without paying any lapsed |
renewal
fees if, within 2 years after the honorable |
termination of such service, training, or
education, the |
Department is
furnished with satisfactory evidence that the |
|
person has been so engaged and
that such service, training, or |
education has been so terminated.
|
(e) A license to practice shall not be denied any |
applicant because of
the applicant's race, religion, creed, |
national origin, political beliefs
or activities, age, sex, |
sexual orientation, or physical impairment.
|
(f) (Blank). |
(g) Notwithstanding any other provision of law, the |
following requirements for restoration of an inactive or |
expired license of 5 years or less as set forth in subsections |
(b), (c), and (f) are suspended for any licensed clinical |
professional counselor who has had no disciplinary action |
taken against his
or her license in this State or in any other |
jurisdiction during the entire period of licensure: proof of |
fitness, certification of active practice in another |
jurisdiction, and the payment of a renewal fee. An individual |
may not restore his or her license in accordance with this |
subsection more than once. |
(Source: P.A. 102-878, eff. 1-1-23; 102-1053, eff. 6-10-22; |
revised 12-14-22.)
|
Section 495. The Wholesale Drug Distribution Licensing Act |
is amended by changing Sections 15, 21, 35, and 110 as follows:
|
(225 ILCS 120/15) (from Ch. 111, par. 8301-15)
|
(Section scheduled to be repealed on January 1, 2028)
|
|
Sec. 15. Definitions. As used in this Act:
|
"Address of record" means the designated address recorded |
by the Department in the applicant's application file or |
licensee's license file maintained by the Department's |
licensure maintenance unit. |
"Authentication" means the affirmative verification, |
before any wholesale distribution of a prescription drug |
occurs, that each transaction listed on the pedigree has |
occurred. |
"Authorized distributor of record" means a wholesale |
distributor with whom a manufacturer has established an |
ongoing relationship to distribute the manufacturer's |
prescription drug. An ongoing relationship is deemed to exist |
between a wholesale distributor and a manufacturer when the |
wholesale distributor, including any affiliated group of the |
wholesale distributor, as defined in Section 1504 of the |
Internal Revenue Code, complies with the following: |
(1) The wholesale distributor has a written agreement |
currently in effect with the manufacturer evidencing the |
ongoing relationship; and |
(2) The wholesale distributor is listed on the |
manufacturer's current list of authorized distributors of |
record, which is updated by the manufacturer on no less |
than a monthly basis.
|
"Blood" means whole blood collected from a single donor |
and processed
either for transfusion or further manufacturing.
|
|
"Blood component" means that part of blood separated by |
physical or
mechanical means.
|
"Board" means the State Board of Pharmacy of the |
Department of Financial and
Professional Regulation.
|
"Chain pharmacy warehouse" means a physical location for |
prescription drugs that acts as a central warehouse and |
performs intracompany sales or transfers of the drugs to a |
group of chain or mail order pharmacies that have the same |
common ownership and control. Notwithstanding any other |
provision of this Act, a chain pharmacy warehouse shall be |
considered part of the normal distribution channel. |
"Co-licensed partner or product" means an instance where |
one or more parties have the right to engage in the |
manufacturing or marketing of a prescription drug, consistent |
with the FDA's implementation of the Prescription Drug |
Marketing Act.
|
"Department" means the Department of Financial and
|
Professional Regulation.
|
"Drop shipment" means the sale of a prescription drug to a |
wholesale distributor by the manufacturer of the prescription |
drug or that manufacturer's co-licensed product partner, that |
manufacturer's third-party logistics provider, or that |
manufacturer's exclusive distributor or by an authorized |
distributor of record that purchased the product directly from |
the manufacturer or one of these entities whereby the |
wholesale distributor or chain pharmacy warehouse takes title |
|
but not physical possession of such prescription drug and the |
wholesale distributor invoices the pharmacy, chain pharmacy |
warehouse, or other person authorized by law to dispense or |
administer such drug to a patient and the pharmacy, chain |
pharmacy warehouse, or other authorized person receives |
delivery of the prescription drug directly from the |
manufacturer, that manufacturer's third-party logistics |
provider, or that manufacturer's exclusive distributor or from |
an authorized distributor of record that purchased the product |
directly from the manufacturer or one of these entities.
|
"Drug sample" means a unit of a prescription drug that is |
not intended to
be sold and is intended to promote the sale of |
the drug.
|
"Email address of record" means the designated email |
address recorded by the Department in the applicant's |
application file or the licensee's license file, as maintained |
by the Department's licensure maintenance unit. |
"Facility" means a facility of a wholesale distributor |
where prescription drugs are stored, handled, repackaged, or |
offered for sale, or a facility of a third-party logistics |
provider where prescription drugs are stored or handled. |
"FDA" means the United States Food and Drug |
Administration.
|
"Manufacturer" means a person licensed or approved by the |
FDA to engage in the manufacture of drugs or devices, |
consistent with the definition of "manufacturer" set forth in |
|
the FDA's regulations and guidances implementing the |
Prescription Drug Marketing Act. "Manufacturer" does not
|
include anyone who is engaged in the packaging, repackaging, |
or
labeling of drugs only to the extent permitted
under the |
Illinois Drug Reuse Opportunity Program Act. |
"Manufacturer's exclusive distributor" means anyone who |
contracts with a manufacturer to provide or coordinate |
warehousing, distribution, or other services on behalf of a |
manufacturer and who takes title to that manufacturer's |
prescription drug, but who does not have general |
responsibility to direct the sale or disposition of the |
manufacturer's prescription drug. A manufacturer's exclusive |
distributor must be licensed as a wholesale distributor under |
this Act and, in order to be considered part of the normal |
distribution channel, must also be an authorized distributor |
of record.
|
"Normal distribution channel" means a chain of custody for |
a prescription drug that goes, directly or by drop shipment, |
from (i) a manufacturer of the prescription drug, (ii) that |
manufacturer to that manufacturer's co-licensed partner, (iii) |
that manufacturer to that manufacturer's third-party logistics |
provider, or (iv) that manufacturer to that manufacturer's |
exclusive distributor to: |
(1) a pharmacy or to other designated persons |
authorized by law to dispense or administer the drug to a |
patient; |
|
(2) a wholesale distributor to a pharmacy or other |
designated persons authorized by law to dispense or |
administer the drug to a patient; |
(3) a wholesale distributor to a chain pharmacy |
warehouse to that chain pharmacy warehouse's intracompany |
pharmacy to a patient or other designated persons |
authorized by law to dispense or administer the drug to a |
patient; |
(4) a chain pharmacy warehouse to the chain pharmacy |
warehouse's intracompany pharmacy or other designated |
persons authorized by law to dispense or administer the |
drug to the patient; |
(5) an authorized distributor of record to one other |
authorized distributor of record to an office-based health |
care practitioner authorized by law to dispense or |
administer the drug to the patient; or |
(6) an authorized distributor to a pharmacy or other |
persons licensed to dispense or administer the drug. |
"Pedigree" means a document or electronic file containing |
information that records each wholesale distribution of any |
given prescription drug from the point of origin to the final |
wholesale distribution point of any given prescription drug.
|
"Person" means and includes a natural person, partnership, |
association,
corporation, or any other legal business entity.
|
"Pharmacy distributor" means any pharmacy licensed in this |
State or
hospital pharmacy that is engaged in the delivery or |
|
distribution of
prescription drugs either to any other |
pharmacy licensed in this State or
to any other person or |
entity including, but not limited to, a wholesale
drug |
distributor engaged in the delivery or distribution of |
prescription
drugs who is involved in the actual, |
constructive, or attempted transfer of
a drug in this State to |
other than the ultimate consumer except as
otherwise provided |
for by law.
|
"Prescription drug" means any human drug, including any |
biological product (except for blood and blood components |
intended for transfusion or biological products that are also |
medical devices), required by federal law or
regulation to be |
dispensed only by a prescription, including finished
dosage |
forms and bulk drug substances
subject to Section
503 of the |
Federal Food, Drug and Cosmetic Act.
|
"Repackage" means repackaging or otherwise changing the |
container, wrapper, or labeling to further the distribution of |
a prescription drug, excluding that completed by the |
pharmacist responsible for dispensing the product to a |
patient. |
"Secretary" means the Secretary of the Department of |
Financial and Professional Regulation. |
"Suspicious order" includes, but is not limited to, an |
order of a controlled substance of unusual size, an order of a |
controlled substance deviating substantially from a normal |
pattern, and orders of controlled substances of unusual |
|
frequency as defined by 21 U.S.C. USC 802. |
"Third-party logistics provider" means anyone who |
contracts with a prescription drug manufacturer to provide or |
coordinate warehousing, distribution, or other services on |
behalf of a manufacturer, but does not take title to the |
prescription drug or have general responsibility to direct the |
prescription drug's sale or disposition. |
"Wholesale distribution"
means the distribution
of |
prescription drugs to persons other than a consumer or |
patient, but does
not include any of the following:
|
(1)
Intracompany sales of prescription drugs, meaning |
(i) any transaction or transfer
between any division, |
subsidiary, parent, or affiliated or related company
under |
the common ownership and control of a corporate entity or |
(ii) any transaction or transfer between co-licensees of a |
co-licensed product.
|
(2) The sale, purchase, distribution, trade, or |
transfer of a prescription drug or offer to sell, |
purchase, distribute, trade, or transfer a prescription |
drug for emergency medical reasons.
|
(3) The distribution of prescription drug samples by |
manufacturers' representatives. |
(4) Drug returns, when conducted by a hospital, health |
care entity, or charitable institution in accordance with |
federal regulation. |
(5) The sale of minimal quantities of prescription |
|
drugs by licensed pharmacies to licensed practitioners for |
office use or other licensed pharmacies. |
(6) The sale, purchase, or trade of a drug, an offer to |
sell, purchase, or trade a drug, or the dispensing of a |
drug pursuant to a prescription. |
(7) The sale, transfer, merger, or consolidation of |
all or part of the business of a pharmacy or pharmacies |
from or with another pharmacy or pharmacies, whether |
accomplished as a purchase and sale of stock or business |
assets. |
(8) The sale, purchase, distribution, trade, or |
transfer of a prescription drug from one authorized |
distributor of record to one additional authorized |
distributor of record when the manufacturer has stated in |
writing to the receiving authorized distributor of record |
that the manufacturer is unable to supply the prescription |
drug and the supplying authorized distributor of record |
states in writing that the prescription drug being |
supplied had until that time been exclusively in the |
normal distribution channel. |
(9) The delivery of or the offer to deliver a |
prescription drug by a common carrier solely in the common |
carrier's usual course of business of transporting |
prescription drugs when the common carrier does not store, |
warehouse, or take legal ownership of the prescription |
drug. |
|
(10) The sale or transfer from a retail pharmacy, mail |
order pharmacy, or chain pharmacy warehouse of expired, |
damaged, returned, or recalled prescription drugs to the |
original manufacturer, the originating wholesale |
distributor, or a third party returns processor.
|
(11) The donation of drugs to the extent
permitted |
under the Illinois Drug Reuse Opportunity Program Act.
|
"Wholesale drug distributor" means anyone
engaged in the
|
wholesale distribution of prescription drugs into, out of, or |
within the State, including , without limitation ,
|
manufacturers; repackers; own label distributors; jobbers; |
private
label distributors; brokers; warehouses, including |
manufacturers' and
distributors' warehouses; manufacturer's |
exclusive distributors; and authorized distributors of record; |
drug wholesalers or distributors; independent wholesale drug |
traders; specialty wholesale distributors; and retail |
pharmacies that conduct wholesale distribution; and chain |
pharmacy warehouses that conduct wholesale distribution. In |
order to be considered part of the normal distribution |
channel, a wholesale distributor must also be an authorized |
distributor of record.
|
(Source: P.A. 101-420, eff. 8-16-19; 102-389, eff. 1-1-22; |
102-879, eff. 1-1-23; revised 12-9-22.)
|
(225 ILCS 120/21) |
(Section scheduled to be repealed on January 1, 2028) |
|
Sec. 21. Reports to Department. Each licensee that is |
required to report suspicious orders under 21 U.S.C. USC 832 |
shall also submit such suspicions order reports to the |
Department.
|
(Source: P.A. 102-879, eff. 1-1-23; revised 12-19-22.)
|
(225 ILCS 120/35) (from Ch. 111, par. 8301-35)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 35. Fees; Illinois State Pharmacy Disciplinary Fund.
|
(a) The Department shall provide by rule for a schedule of |
fees for the
administration and
enforcement of this Act, |
including , but not limited to , original licensure,
renewal, |
and
restoration. The fees shall be nonrefundable.
|
(b) All fees collected under this Act shall be deposited |
into the Illinois
State
Pharmacy
Disciplinary Fund and shall |
be appropriated to the Department for the ordinary
and
|
contingent expenses of the Department in the administration of |
this Act. Moneys in the Fund may be transferred to the |
Professions
Indirect Cost Fund as authorized by Section |
2105-300 of the
Department of Financial and Professional |
Regulation Law (20 ILCS 2105/2105-300) .
|
The moneys deposited into the Illinois State Pharmacy |
Disciplinary Fund shall
be invested to earn interest which |
shall accrue to the Fund.
|
(c) Any person who delivers a check or other payment to the |
Department that
is returned to the Department unpaid by the |
|
financial institution upon
which it is drawn shall pay to the |
Department, in addition to the amount
already owed to the |
Department, a fine of $50. The fines imposed by this Section |
are in addition
to any other discipline provided under this |
Act for unlicensed
practice or practice on a nonrenewed |
license. The Department shall notify
the person that payment |
of fees and fines shall be paid to the Department
by certified |
check or money order within 30 calendar days of the
|
notification. If, after the expiration of 30 days from the |
date of the
notification, the person has failed to submit the |
necessary remittance, the
Department shall automatically |
terminate the license or certificate or deny
the application, |
without hearing. If, after termination or denial, the
person |
seeks a license or certificate, he or she shall apply to the
|
Department for restoration or issuance of the license or |
certificate and
pay all fees and fines due to the Department. |
The Department may establish
a fee for the processing of an |
application for restoration of a license or
certificate to pay |
all expenses of processing this application. The Secretary
may |
waive the fines due under this Section in individual cases |
where the Secretary
finds that the fines would be unreasonable |
or unnecessarily
burdensome.
|
(d) (Blank).
|
(e) A manufacturer of controlled substances, wholesale |
distributor of controlled substances, or third-party logistics |
provider that is licensed under this Act and owned and |
|
operated by the State is exempt from licensure, registration, |
renewal, and other fees required under this Act. Nothing in |
this subsection (e) shall be construed to prohibit the |
Department
from imposing any fine or other penalty allowed |
under this Act.
|
(Source: P.A. 101-420, eff. 8-16-19; 102-879, eff. 1-1-23; |
revised 12-9-22.)
|
(225 ILCS 120/110) (from Ch. 111, par. 8301-110)
|
(Section scheduled to be repealed on January 1, 2028)
|
Sec. 110. Hearing officers; appointment. Notwithstanding |
any other
provision of this Act, the Secretary shall have the |
authority to appoint
any attorney duly licensed to practice |
law in the State of Illinois to
serve as the hearing officer in |
any action before the Board for refusal to
issue or renew a |
license, or the discipline of a licensee. The hearing officer
|
shall report his findings of fact, conclusions of law, and |
recommendations
to the Board and the Secretary. The Board |
shall have 60 days from receipt
of the report to review the |
report of the hearing officer and present its
findings of |
fact, conclusions of law, and recommendations to the |
Secretary.
If the Board fails to present its report within the |
60-day 60 day period, the Secretary
may issue an order based on |
the report of the hearing officer and the record of the |
proceedings or issue an order remanding the matter back to the |
hearing officer for additional proceedings in accordance with |
|
the order. If the Secretary disagrees with the recommendation |
of the Board or the hearing officer, the Secretary may issue an |
order in contravention of the recommendation.
|
(Source: P.A. 102-879, eff. 1-1-23; revised 12-9-22.)
|
Section 500. The Solid Waste Site Operator Certification |
Law is amended by changing Section 1011 as follows:
|
(225 ILCS 230/1011)
|
Sec. 1011. Fees.
|
(a) Fees for the issuance or renewal of a Solid
Waste Site |
Operator Certificate shall be as follows:
|
(1)(A) $400 for issuance or renewal for Solid Waste |
Site
Operators; |
(B) (blank); and |
(C) $100 for issuance or renewal for special waste |
endorsements.
|
(2) If the fee for renewal is not paid within the grace |
period the
above fees for renewal shall each be increased by $ |
50.
|
(b) (Blank).
|
(c) All fees collected by the Agency under this Section |
shall be deposited into the Environmental Protection Permit |
and Inspection Fund to be used in accordance with the |
provisions of subsection (a) of Section 22.8 of the |
Environmental Protection Act. |
|
(Source: P.A. 102-1017, eff. 1-1-23; 102-1071, eff. 6-10-22; |
revised 12-14-22.)
|
Section 505. The Registered Interior Designers Act is |
amended by changing Sections 3, 4.1, and 4.2 as follows:
|
(225 ILCS 310/3) (from Ch. 111, par. 8203)
|
(Section scheduled to be repealed on January 1, 2027) |
Sec. 3. Definitions. As used in this Act:
|
"Accredited institution" means an institution accredited |
by the Council for Interior Design Accreditation, an |
accreditation body recognized by the United States Department |
of Education, or a curriculum or transcript approved by the |
Board per a registration applicant's application. |
"Address of record" means the designated address recorded |
by the Department in the applicant's application file or the |
registrant's registration file as maintained by the |
Department's licensure maintenance unit. |
"Board" means the Board of Registered Interior Design |
Professionals established
under Section 6 of this Act.
|
"Department" means the Department of Financial and |
Professional Regulation. |
"Email address of record" means the designated email |
address recorded by the Department in the applicant's |
application file or the registrant's registration file as |
maintained by the Department's licensure maintenance unit. |
|
"Interior technical submissions" means the designs, |
drawings, and specifications that establish the scope of the |
interior design to be constructed, the standard of quality for |
materials, workmanship, equipment, and construction systems, |
and the studies and other technical reports and calculations |
prepared in the course of the practice of registered interior |
design. |
"Practice of registered interior design" means the design |
of interior spaces
as a part of an interior alteration or |
interior construction project in conformity with
public |
health, safety, and welfare requirements, including the |
preparation of
documents relating to building code |
descriptions, project egress plans that require
no increase |
capacity of exits in the space affected, space planning, |
finish
materials, furnishings, fixtures, equipment, and the |
preparation of documents
and interior technical submissions |
relating to interior construction.
"Practice of registered |
interior design" does not include: |
(1) The practice of structural engineering as defined |
in the Structural Engineering Practice Act of 1989, the |
practice of professional engineering as defined in the |
Professional Engineering Practice Act of 1989, or the |
practice of land surveying as defined in the Illinois |
Professional Land Surveyor Act of 1989. |
(2) Services that constitute the practice of |
architecture as defined in the Illinois Architecture |
|
Practice Act of 1989, except as provided in this Act. |
(3) Altering or affecting the structural system of a |
building, including changing
the building's live or dead |
load on the structural system. |
(4) Changes to the building envelope, including |
exterior walls, exterior wall
coverings, exterior wall |
openings, exterior windows and doors, architectural trim,
|
balconies and similar projections, bay and oriel windows, |
roof assemblies and rooftop
structures, and glass and |
glazing for exterior use in both vertical and sloped
|
applications in buildings and structures. |
(5) Altering or affecting the mechanical, plumbing, |
heating, air conditioning,
ventilation, electrical, |
vertical transportation, fire sprinkler, or fire alarm |
systems. |
(6) Changes beyond the exit access component of a |
means of egress system. |
(7) Construction that materially affects life safety |
systems pertaining to fire
safety or the fire protection |
of structural elements, or alterations to smoke
evacuation |
and compartmentalization systems or to fire-rated vertical |
shafts in
multistory structures. |
(8) Changes of use to an occupancy of greater hazard |
as determined by the
International Building Code. |
(9) Changes to the construction classification of the |
building or structure
according to the International |
|
Building Code. |
"Public member" means a person who is not a registered |
interior designer,
educator in the field, architect, |
structural engineer, or professional
engineer. For purposes of |
board membership, any person with a significant
financial |
interest in the design or construction service or profession |
is
not a public member.
|
"Registered interior designer" means a person who has |
received registration
under Section 8 of this Act. A person |
represents himself or herself to be a "registered interior |
designer" within the meaning of this Act if he or she holds |
himself or herself out to the public by any title |
incorporating the words "registered interior designer" or any |
title that includes the words "registered interior design".
|
"Responsible control" means the amount of control over |
detailed professional knowledge of the content of interior |
technical submissions during the preparation as is ordinarily |
exercised by registered interior designers applying the |
required professional standard of care. Merely reviewing or |
reviewing and correcting an interior technical submission or |
any portion thereof prepared by those not in the regular |
employment of the office where the registered interior |
designer is a resident without control over the content of |
such work throughout its preparation does not constitute |
responsible control. |
"Secretary" means the Secretary of Financial and |
|
Professional Regulation.
|
(Source: P.A. 102-20, eff. 1-1-22; 102-1066, eff. 1-1-23; |
revised 12-9-22.)
|
(225 ILCS 310/4.1) |
(Section scheduled to be repealed on January 1, 2027) |
Sec. 4.1. Seal. Every registered interior designer shall |
have a reproducible seal, or facsimile, the impression of |
which shall contain the name of the registered interior |
designer, the registration registrations number, and the words |
"Registered Interior Designer, State of Illinois". The |
registered interior designer shall affix the signature, |
current date, date of registration expiration, and seal to the |
first sheet of any bound set or loose sheets of interior |
technical submissions used as contract documents between |
parties to the contract or prepared for the review and |
approval of any governmental or public authority having |
jurisdiction by that registered interior designer or under |
that registered interior designer's responsible control. The |
sheet of interior technical submissions in which the seal is |
affixed shall indicate those documents or parts thereof for |
which the seal shall apply. The seal and dates may be |
electronically affixed. The registrant may provide, at the |
registrant's sole discretion, an original signature in the |
registrant's handwriting, a scanned copy of the document |
bearing an original signature, or a signature generated by a |
|
computer. All interior technical submissions issued by any |
corporation, partnership, or professional service corporation |
shall contain the corporate or assumed business name in |
addition to any other seal requirements set forth in this Act. |
A registered interior designer under this Act shall not |
sign and seal interior technical submissions that were not |
prepared by or under the responsible control of the registered |
interior designer, except that: |
(1) the registered interior designer may sign and seal |
those portions of the interior technical submission that |
were prepared by or under the responsible control of a |
person who holds a registration under this Act, and who |
has signed and sealed the documents, if the registered |
interior designer has reviewed in whole or in part such |
portions and has either coordinated their preparation or |
integrated them into the work; |
(2) the registered interior designer may sign and seal |
portions of the professional work that are not required by |
this Act to be prepared by or under the responsible |
control of a registered interior designer if the |
registered interior designer has reviewed and adopted in |
whole or in part such portions and has integrated them |
into the work. The work associated with the combination of |
services in connection with the design and construction of |
buildings shall be provided by a licensed architect. If |
engineering, structural engineering, or licensed land |
|
surveying services are required in association with an |
interior nonstructural project being performed by a |
registered interior designer, the documents that have |
already been properly sealed by a licensed professional |
engineer, licensed structural engineer, or licensed land |
surveyor may be compiled by a registered interior |
designer. Each design professional shall seal the |
respective documents and shall not seal a document that |
was not prepared under the design professional's |
responsible charge. For all other projects, engineering, |
structural engineering, or land surveying services shall |
be procured separate from the registered interior |
designer; |
(3) a partner or corporate officer of a professional |
design firm registered in this State who has professional |
knowledge of the content of the interior technical |
submissions and intends to be responsible for the adequacy |
of the interior technical submissions may sign and seal |
interior technical submissions that are prepared by or |
under the responsible control of a registered interior |
designer who is registered in this State and who is in the |
regular employment of the professional design firm. |
The registered interior designer exercising responsible |
control under which the interior technical submissions or |
portions of the interior technical submission were prepared |
shall be identified on the interior technical submissions or |
|
portions of the interior technical submissions by name and |
Illinois registration number. |
Any registered interior designer who signs and seals |
interior technical submissions not prepared by that registered |
interior designer but prepared under that registered interior |
designer's responsible control by persons not regularly |
employed in the office where the registered interior designer |
is a resident shall maintain and make available to the Board |
upon request for at least 5 years following such signing and |
sealing, adequate and complete records demonstrating the |
nature and extent of the registered interior designer's |
control over, and detailed professional knowledge of the |
interior technical submissions throughout their preparation.
|
(Source: P.A. 102-1066, eff. 1-1-23; revised 12-19-22.)
|
(225 ILCS 310/4.2) |
(Section scheduled to be repealed on January 1, 2027) |
Sec. 4.2. Interior technical submissions. |
(a) All interior technical submissions intended for use in |
this State shall be prepared and administered in accordance |
with standards of reasonable professional skill and diligence. |
Care shall be taken to reflect the requirements of State law |
and, where applicable, county and municipal ordinances in the |
submissions. In recognition that registered interior designers |
are registered for the protection of the public health, |
safety, and welfare, submissions shall be of such quality and |
|
scope, and be so administered, as to conform to professional |
standards. |
(b) No officer, board, commission, or other public entity |
who receives interior technical submissions shall accept for |
filing or approval any interior technical submissions related |
to services requiring the involvement of a registered interior |
designer that do not bear the seal and signature of a |
registered interior designer. |
(c) It is unlawful to affix a seal to interior technical |
submissions if it masks the true identity identify of the |
person who actually exercised responsible control of the |
preparation of such work. A registered interior designer who |
seals and signs interior technical submissions is not |
responsible for damage caused by subsequent changes to, or |
uses of, those interior technical submissions where the |
subsequent changes or uses, including changes to uses made by |
State or local agencies, are not authorized or approved in |
writing by the registered interior designer who originally |
sealed and signed the interior technical submissions.
|
(Source: P.A. 102-1066, eff. 1-1-23; revised 12-19-22.)
|
Section 510. The Illinois Plumbing License Law is amended |
by changing Section 5 as follows:
|
(225 ILCS 320/5) (from Ch. 111, par. 1104)
|
Sec. 5. Advertising.
|
|
(a) Persons who advertise plumbing services shall,
at |
their place
of business, display the licensed plumber's |
license of at least one
member of the firm, partnership or |
officer of the corporation and shall
maintain a register |
listing the names and license numbers of all licensed
plumbers |
and all licensed apprentice plumbers currently employed by |
them.
The number of the license so displayed shall also be |
included with the
plumbing identification on vehicles.
|
(b) No person who provides plumbing services may advertise |
those services
unless
that person includes in the |
advertisement the license number that is required
to be |
displayed under
subsection (a). Nothing contained in this |
subsection
requires the publisher of advertising for plumbing |
services to investigate or
verify the accuracy of the license |
number provided by the
advertiser.
|
(b.5) Any person who advertises plumbing services (i) who |
fails to display
the license number required by subsection (a) |
in all manners required by
that subsection, (ii) who fails to |
provide a publisher with the correct number
under subsection |
(b), or (iii) who provides a publisher with a false license
|
number or a
license number of a person other than the person |
designated under subsection
(a), or any person who allows his |
or her license number to be displayed or used
in
order to allow |
any other person
to circumvent any
provisions of this Section |
is guilty of a Class A misdemeanor with a fine of
$1,000, which |
shall be subject to the enforcement provisions of Section 29 |
|
of
this Act. Each day that a person fails to display the |
required license under
subsection (a) and each day that an |
advertisement runs or each day that a
person
allows his or her |
license to be displayed or used in violation of this Section
|
constitutes a separate offense.
|
In addition to, and not in lieu of, the
penalties and |
remedies provided for in this Section and Section 29 of this |
Act,
any person licensed under this Act who violates any |
provision of this Section
shall be subject to suspension or |
revocation of his or her license under
Section 19 of this Act.
|
(b.10) In addition to, and not in lieu of, the penalties |
and remedies
provided for in this Section and Sections 19, 20, |
and 29 of this Act, and
after notice and an opportunity for |
hearing as provided for in this
subsection and Section 19 of |
this Act, the Department may issue an Order Of
Correction to |
the telecommunications carrier furnishing service to any
|
telephone number contained in a printed advertisement for |
plumbing services
that is found to be in violation of the |
provisions
of this subsection. The Order of Correction shall |
be limited to the
telephone number contained in the unlawful |
advertisement. The Order of
Correction shall notify the |
telecommunications carrier to disconnect the
telephone service |
furnished to any telephone number contained in the
unlawful |
advertisement and that subsequent calls to that number shall |
not
be referred by the telecommunications carrier to any new |
telephone number
obtained by or any existing number registered |
|
to the person.
|
If, upon investigation, the Department has probable cause |
to believe
that a person has placed an advertisement with a |
telecommunications carrier
that: (i) contains a false license |
number, (ii) contains a license number
of a person other than |
the person designated under subsection (a), or (iii)
is placed |
or circulated by a person who is not properly licensed under |
this
Act, the Department shall provide notice to the person of |
the Department's
intent to issue an Order of Correction to the |
telecommunications carrier to
disconnect the telephone service |
furnished to any telephone number
contained in the unlawful |
advertisement, and that subsequent calls to that
number shall |
not be referred by the telecommunications carrier to any new
|
telephone number obtained by or any existing number registered |
to the
person.
|
Notice shall be provided by certified mail or by personal |
service
setting forth the particular reasons for the proposed |
action and fixing a
date, not less than 20 days from the date |
of the mailing or service, within
which time the person must |
request a hearing in writing. Failure to serve
upon the |
Department a written request for hearing within the time |
provided
in the notice shall constitute a waiver of the |
person's right to an
administrative hearing. The hearing, |
findings, and conclusions shall be in
accordance with the |
provisions contained in Section 19 of this Act and the
|
Department's Rules of Practice and Procedure in Administrative |
|
Hearings (77
Ill. Adm. Admin. Code 100), which are |
incorporated by reference herein.
|
Upon a finding that the person has violated the provisions |
of this
subsection, the Department shall issue the Order of |
Correction to the
telecommunications carrier. If the |
telecommunications carrier fails to
comply with the Order of |
Correction within 20 days after the order is
final, the |
Department shall inform the Illinois Commerce Commission of |
the
failure to comply and the Illinois Commerce Commission |
shall require the
telecommunications carrier furnishing |
services to that person to disconnect
the telephone service |
furnished to the telephone number contained in the
unlawful |
advertisement and direct that subsequent calls to that number
|
shall not be referred by the telecommunications carrier to any |
new
telephone number obtained by or any existing number |
registered to the
person.
|
A person may have his or her telephone services restored, |
after an
Order of Correction has been issued, upon a showing, |
to the satisfaction of
the Department, that he or she is in |
compliance with the provisions of this
Act.
|
(c) The Department may require by rule and regulation |
additional
information concerning licensed plumbers and |
licensed apprentice plumbers
maintained in the register. The |
Department shall have the right to examine
the payroll records |
of such persons to determine compliance with this
provision. |
The Department's right to examine payroll records is limited
|
|
solely to those records and does not extend to any other |
business records.
|
(Source: P.A. 91-184, eff. 1-1-00; revised 2-28-22.)
|
Section 515. The Collateral Recovery Act is amended by |
changing Section 35 as follows:
|
(225 ILCS 422/35) |
(Section scheduled to be repealed on January 1, 2027) |
Sec. 35. Application for repossession agency licensure. |
(a) Application for original licensure as a repossession |
agency shall be made to the Commission in writing on forms |
prescribed by the Commission and shall be accompanied by the |
appropriate documentation and the required fee, and the fee is |
nonrefundable. |
(b) Every application shall state, in addition to any |
other requirements, (i) the name of the applicant, (ii) the |
name under which the applicant shall do business, (iii) the |
proposed location of the agency by number, street, and city, |
and (iv) the proposed location of the agency's remote storage |
location or locations by number, street, and city, (v) the |
proposed location of the Agency's branch office or branch |
offices by number, street, and city, and (vi) the usual |
business hours that the agency shall maintain. |
(c) No license may be issued (i) in any fictitious name |
that may be confused with or is similar to any federal, state, |
|
county, or municipal government function or agency, (ii) in |
any name that may tend to describe any business function or |
enterprise not actually engaged in by the applicant, (iii) in |
any name that is the same as or similar to any existing |
licensed company and that would tend to deceive the public, |
(iv) in any name that would tend to be deceptive or misleading, |
or (v) to any repossession agency applicant without that |
agency's location or branch office location maintaining a |
secured storage facility as defined in Section 10 of this Act. |
(d) If the applicant for repossession agency licensure is |
an individual, then his or her application shall include (i) |
the full residential address of the applicant and (ii) either |
the sworn statement of the applicant declaring that he or she |
is the licensed recovery manager who shall be personally in |
control of the agency for which the licensure is sought, or the |
name and signed sworn statement of the licensed recovery |
manager who shall be in control or management of the agency. |
(e) If the applicant for repossession agency licensure is |
a partnership, then the application shall include (i) a |
statement of the names and full residential addresses of all |
partners in the business and (ii) a sworn statement signed by |
each partner verifying the name of the person who is a licensed |
recovery manager and shall be in control or management of the |
business. If a licensed recovery manager who is not a partner |
shall be in control or management of the agency, then he or she |
must also sign the sworn statement. The application shall also |
|
state whether any of the partners has ever used an alias. |
(f) If the applicant for licensure as a repossession |
agency is a corporation, then the application shall include |
(i) the names and full residential addresses of all |
corporation officers and (ii) a sworn statement signed by a |
duly authorized officer of the corporation verifying the name |
of the person who is a licensed recovery manager and shall be |
in control or management of the agency. If a licensed recovery |
manager who is not an officer shall be in control or management |
of the agency, then he or she must also sign the sworn |
statement. The application shall also state whether any of the |
officers has ever used an alias. |
(g) If the applicant for licensure as a repossession |
agency is a limited liability company, then the application |
shall include (i) the names and full residential addresses of |
all members and (ii) a sworn statement signed by each member |
verifying the name of the person who is a licensed recovery |
manager and shall be in control or management of the agency. If |
a licensed recovery manager who is not a member shall be in |
control or management of the agency, then he or she must also |
sign the sworn statement. The application shall also state |
whether any of the members has ever used an alias. |
(h) Each individual, partner of a partnership, officer of |
a corporation, or member of a limited liability company shall |
submit with the application a copy of a valid State or U.S. |
government-issued photo identification card. An applicant who |
|
is 21 years of age or older seeking a religious exemption to |
the photograph requirement of this subsection shall furnish |
with the application an approved copy of United States |
Department of the Treasury Internal Revenue Service Form 4029. |
Regardless of age, an applicant seeking a religious exemption |
to this photograph requirement shall submit fingerprints in a |
form and manner prescribed by the Commission with his or her |
application in lieu of a photograph. |
(i) No examination shall be required for licensure as a |
repossession agency by the Commission. |
(j) The Commission may require any additional information |
that, in the judgment of the Commission, shall enable the |
Commission to determine the qualifications of the applicant |
for licensure. |
(k) Applicants have 90 days from the date of application |
to complete the application process. If the application has |
not been completed within 90 days, then the application shall |
be denied, the fee shall be forfeited, and the applicant must |
reapply and meet the requirements in effect at the time of |
reapplication. |
(l) Nothing in this Section precludes a domestic or |
foreign limited liability company being licensed as a |
repossession agency. |
(m) A repossession agency license may be transferable upon |
prior notice to the Commission and upon completion of all |
requirements relative to the application process for |
|
repossession agency licensure. |
(n) Repossessions performed in this State must be |
performed by
repossession agencies, their employees, or agents |
licensed by the Commission, with the exception of financial |
institutions or the employees of a financial institution that |
are exempt under subsection (d) of Section 30 of this Act.
|
(Source: P.A. 102-748, eff. 1-1-23; revised 12-9-22.)
|
Section 520. The Real Estate License Act of 2000 is |
amended by changing Section 5-10 as follows:
|
(225 ILCS 454/5-10)
|
(Section scheduled to be repealed on January 1, 2030)
|
Sec. 5-10. Requirements for license as a residential |
leasing agent; continuing education. |
(a) Every applicant for licensure as a residential leasing |
agent must meet the following qualifications: |
(1) be at least 18 years of age; |
(2) be of good moral
character; |
(3) successfully complete
a 4-year course of study in |
a high school or secondary school or an
equivalent course |
of
study approved by the state in which the school is |
located, or possess a State of Illinois High School |
Diploma, which shall be verified under oath by the |
applicant; |
(4) personally take and pass a written
examination |
|
authorized by the Department sufficient to demonstrate the |
applicant's
knowledge of the
provisions of this Act |
relating to residential leasing agents and the applicant's
|
competence to engage in the
activities of a licensed |
residential leasing agent; |
(5) provide satisfactory evidence of having completed |
15 hours of
instruction in an approved course of study |
relating to the leasing of residential real property. The |
Board may recommend to the Department the number of hours |
each topic of study shall require. The
course of study |
shall, among other topics, cover
the provisions of this |
Act
applicable to residential leasing agents; fair housing |
and human rights issues relating to residential
leasing; |
advertising and marketing issues;
leases, applications, |
and credit and criminal background reports; owner-tenant |
relationships and
owner-tenant laws; the handling of |
funds; and
environmental issues relating
to residential |
real
property; |
(6) complete any other requirements as set forth by |
rule; and
|
(7) present a valid application for issuance of an |
initial license accompanied by fees specified by rule. |
(b) No applicant shall engage in any of the activities |
covered by this Act without a valid license and until a valid |
sponsorship has been registered with the Department. |
(c) Successfully completed course work, completed pursuant |
|
to the
requirements of this
Section, may be applied to the |
course work requirements to obtain a managing
broker's or
|
broker's license as provided by rule. The Board may
recommend |
to the Department and the Department may adopt requirements |
for approved courses, course
content, and the
approval of |
courses, instructors, and education providers, as well as |
education provider and instructor
fees. The Department may
|
establish continuing education requirements for residential |
licensed leasing agents, by
rule, consistent with the language |
and intent of this Act, with the advice of
the Board.
|
(d) The continuing education requirement for residential |
leasing agents shall consist of a single core curriculum to be |
prescribed by the Department as recommended by the Board. |
Leasing agents shall be required to complete no less than 8 |
hours of continuing education in the core curriculum during |
the current term of the license. The curriculum shall, at a |
minimum, consist of a single course or courses on the subjects |
of fair housing and human rights issues related to residential |
leasing, advertising and marketing issues, leases, |
applications, credit reports, and criminal history, the |
handling of funds, owner-tenant relationships and owner-tenant |
laws, and environmental issues relating to residential real |
estate. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22; |
102-1100, eff. 1-1-23; revised 12-14-22.)
|
|
Section 530. The Coal Mining Act is amended by changing |
Sections 2.14 and 8.11 as follows:
|
(225 ILCS 705/2.14) (from Ch. 96 1/2, par. 314)
|
Sec. 2.14.
The Director shall promulgate rules, in |
accordance with the Illinois Administrative Procedure Act, |
necessary for the effective
and orderly conduct
of hearings |
held pursuant to this Act. These rules shall include, but not
|
necessarily be limited
to, the following for the benefit of |
any affected operator, miner, labor
representative , or other
|
person with a substantial interest in the hearing:
|
1. adequate written notice of charges against any |
charged party;
|
2. adequate written notice of all hearings to any |
affected operator, miner,
labor representative , or other |
interested person;
|
3. the right to be represented by counsel;
|
4. the right to present evidence ; .
|
5. the right to cross-examine witnesses ; .
|
6. the right to present its position orally or in |
writing to the Board ; .
|
7. the right to request issuance of subpoenas by the |
Department.
|
(Source: P.A. 102-937, eff. 5-27-22; revised 8-22-22.)
|
(225 ILCS 705/8.11) (from Ch. 96 1/2, par. 811)
|
|
Sec. 8.11.
In no case shall an applicant for a certificate |
of competency be
deemed competent unless he appears in person |
before the Mining
Board and orally answers intelligently and |
correctly practical questions,
propounded to him by said |
Board, pertaining to the requirements and
qualifications of a |
practical miner.
|
(Source: P.A. 102-937, eff. 5-27-22; revised 8-22-22.)
|
Section 535. The Illinois Gambling Act is amended by |
changing Section 7.2 as follows:
|
(230 ILCS 10/7.2)
|
Sec. 7.2. Temporary operating permits. Any person |
operating
under a temporary operating permit issued pursuant |
to 86 Ill. Adm. Admin. Code
3000.230 shall be deemed to be |
operating under the authority of an owner's
license for |
purposes of Section 13 of this Act. This Section shall not |
affect
in any way the licensure requirements of this Act.
|
(Source: P.A. 93-28, eff. 6-20-03; revised 2-28-22.)
|
Section 540. The Liquor Control Act of 1934 is amended by |
changing Sections 1-3.43, 5-3, 6-9.15, 6-38, and 10-5 as |
follows:
|
(235 ILCS 5/1-3.43) |
Sec. 1-3.43. Beer showcase permit license . "Beer showcase |
|
permit" means a license for use by a class 3 brewer , or |
distributor to allow for the transfer of beer only from an |
existing licensed premises of a class 3 brewer or distributor |
to a designated site for a specific event.
|
(Source: P.A. 102-442, eff. 8-20-21; revised 2-28-22.)
|
(235 ILCS 5/5-3) (from Ch. 43, par. 118) |
Sec. 5-3. License fees. Except as otherwise provided |
herein, at the time
application is made to the State |
Commission for a license of any class, the
applicant shall pay |
to the State Commission the fee hereinafter provided for
the |
kind of license applied for. |
The fee for licenses issued by the State Commission shall |
be as follows: |
|
| Online | Initial | |
| renewal | license | |
| | or | |
| | non-online | |
| | renewal |
|
|
For a manufacturer's license: | | | |
Class 1. Distiller ................. | $4,000 | $5,000 | |
Class 2. Rectifier ................. | 4,000 | 5,000 | |
Class 3. Brewer .................... | 1,200 | 1,500 | |
Class 4. First-class Wine | | | |
Manufacturer ................... | 1,200 | 1,500 | |
Class 5. Second-class | | | |
|
|
For a brewer warehouse permit ....... | 25 | 25 | |
For a craft distiller | | | |
warehouse permit ............... | 25 | 25 |
|
Fees collected under this Section shall be paid into the
|
Dram Shop Fund. The State Commission shall waive license |
renewal fees for those retailers' licenses that are designated |
as "1A" by the State Commission and expire on or after July 1, |
2022, and on or before June 30, 2023. One-half of the funds |
received for a retailer's license shall be paid into the Dram |
Shop Fund and one-half of the funds received for a retailer's |
license shall be paid into the General Revenue Fund. |
No fee shall be paid for licenses issued by the State |
Commission to
the following non-beverage users: |
(a) Hospitals, sanitariums, or clinics when their use |
of alcoholic
liquor is exclusively medicinal, mechanical |
or scientific. |
(b) Universities, colleges of learning or schools when |
their use of
alcoholic liquor is exclusively medicinal, |
mechanical or scientific. |
(c) Laboratories when their use is exclusively for the |
purpose of
scientific research. |
(Source: P.A. 101-482, eff. 8-23-19; 101-615, eff. 12-20-19; |
102-442, eff. 8-20-21; 102-558, eff. 8-20-21; 102-699, eff. |
4-19-22; revised 2-6-23.)
|
(235 ILCS 5/6-9.15) |
|
Sec. 6-9.15. Quantity discounting terms for wine or |
spirits cooperative purchase agreements. |
(a) All wine or spirits quantity discount programs offered |
to consumption off the premises retailers must be offered to |
all consumption off the premises cooperative groups and |
cooperative agents , ; and all quantity discount programs |
offered to consumption on the premises retailers shall be |
offered to all consumption on the premises cooperative groups |
and cooperative agents. Quantity discount programs shall: |
(1) be open and available for acceptance for 7 |
business days; |
(2) be designed and implemented to produce product |
volume growth with retail licensees; |
(3) be based on the volume of product purchased; |
however, discounts may include price reductions, cash, and |
credits , and no-charge wine or spirits products may be |
given instead of a discount; |
(4) be documented on related sales invoices or credit |
memoranda; |
(5) not require a retail licensee to take and dispose |
of any quota of wine or spirits; however, bona fide |
quantity discounts shall not be deemed to be quota sales; |
and |
(6) not require a retail licensee to purchase one |
product in order to purchase another; this includes |
combination sales if one or more products may be purchased |
|
only in combination with other products and not |
individually. |
(b) A distributor or importing distributor that makes |
quantity discount sales to participating members of a |
cooperative purchase group shall issue customary invoices to |
each participating retail licensee itemizing the wine or |
spirit sold and delivered as part of a quantity discount |
program to each participating retail licensee. |
(c) If a distributor or importing distributor offers a |
quantity discount for wine or spirits, excluding any product |
fermented with malt or any substitute for malt, cooperative |
purchase groups shall purchase a minimum of 250 cases in each |
quantity discount program. Each individual participating |
member of a cooperative purchase group purchasing product |
through a quantity discount program may be required to |
purchase the following minimum amounts: |
(1) 2% of cases of any quantity discount program of |
500 or fewer cases. |
(2) 1.5% of cases of any quantity discount program of |
at least 501 and not more than 2,000 cases. |
(3) 1% of cases of any quantity discount program of |
2,001 or more cases. |
(d) The cooperative agent shall place each cooperative |
purchase order under the name of the cooperative purchase |
group and shall identify each participating retail member |
involved with the purchase, the quantity of product purchased |
|
purchase , the price attributable to each retailer member's |
purchase , and a requested delivery date. A retail licensee may |
make purchases through a cooperative purchasing group or |
independently of such group. Nothing in this Section shall be |
construed to prohibit retail licensees from making purchases |
separate and apart from any cooperative purchasing group. |
(e) Each distributor or importing distributor shall |
separately invoice each participating cooperative purchase |
group member for the purchase made on behalf of such |
participating member. |
(f) A cooperative purchasing group shall maintain the |
records of each cooperative purchase order placed for 90 days. |
The records shall include: |
(1) the date the cooperative purchasing group order |
was placed and the date of any amendments to the order; |
(2) the distributor or importing distributor with |
which the cooperative purchasing group placed the order; |
(3) the names and license numbers of each cooperative |
purchasing group member participating in the order; |
(4) the price discounts and net price of all wine or |
spirits ordered by each cooperative purchase group member; |
and |
(5) the requested delivery date for the order. |
(g) A cooperative purchase group is subject to the books |
and records requirements of Section 6-10 and subsection (e) of |
11 Ill. Adm. Admin. Code 100.130. |
|
(h) A cooperative purchasing group shall retain a surety |
bond at all times for no less than $250,000. If a cooperative |
purchasing group member is delinquent in payment pursuant to |
Section 6-5, the surety shall immediately pay the importing |
distributor or distributor the delinquent amount. The surety |
bond required by this Section may be acquired from a company, |
agent, or broker of the cooperative purchase group's choice. |
If the surety bond does not cure the indebtedness, the 30-day |
merchandising credit requirements of Section 6-5 shall apply |
jointly to each cooperative purchasing group until the |
indebtedness is cured. The cooperative purchasing group is |
responsible for all costs and fees related to the surety bond. |
(i) Any licensee that fails to comply with the terms and |
conditions of this Section may be deemed to be in violation of |
this Act. |
(j) Nothing in this Section shall apply to quantity |
discount programs offered for any product fermented with malt |
or any substitute for malt. Nothing in this the Section shall |
be construed to prohibit, limit, or interfere with quantity |
discount, credit, or rebate programs offered for any product |
fermented with malt or any substitute for malt.
|
(Source: P.A. 102-442, eff. 8-20-21; revised 2-28-22.)
|
(235 ILCS 5/6-38) |
Sec. 6-38. One-time inventory transfer of wine or spirits |
by a retail licensee with multiple licenses. |
|
(a) No original package of wine or spirits may be |
transferred from one retail licensee to any other retail |
licensee without permission from the State Commission pursuant |
to 11 Ill. Adm. Admin. Code 100.250; however, if the same |
retailer owns more than one licensed retail location, the |
retailer may transfer inventory of original packages of wine |
or spirits from one or more of such retailer's licensed |
locations to another of that retailer's licensed locations |
without prior permission from the State Commission, under the |
following circumstances: |
(1) acts of god (such as, but not limited to, |
pandemics, fires, explosions, tornadoes, earthquakes, |
drought, and floods); |
(2) federal, State, or local law or ordinance change; |
(3) bankruptcy; |
(4) permanent or temporary closure of one or more of |
the retail licensee's locations; |
(5) the retail licensee obtains an additional liquor |
license for a new location; |
(6) a retail licensee purchases another retail |
licensee's location; |
(7) a new licensee opens a business at the same |
location where the prior licensee conducted business, when |
the new licensee takes possession of the inventory of the |
immediately prior license; or |
(8) other unforeseeable circumstances beyond the |
|
control of the licensee, such as circumstances: |
(A) the licensee cannot reasonably take |
precautions to prevent; and |
(B) in which the only reasonable method of |
disposing of the alcoholic liquor products would be a |
transfer to another licensee or location. |
(b) The transfer shall be made by: |
(1) common carrier; |
(2) a licensed distributor's or importing |
distributor's vehicle; or |
(3) a vehicle owned and operated by the licensee. |
(c) All transfers must be properly documented on a form |
provided by the State Commission that includes the following |
information: |
(1) the license number of the retail licensee's |
location from which the transfer is to be made and the |
license number of the retail licensee's location to which |
the transfer is to be made; |
(2) the brand, size, and quantity of the wine or |
spirits to be transferred; and |
(3) the date the transfer is made. |
(d) A retail licensee location that transfers or receives |
an original package of wine or spirits as authorized by this |
Section shall not be deemed to be engaged in business as a |
wholesaler or distributor based upon the transfer authorized |
by this Section. |
|
(e) A transfer authorized by this Section shall not be |
deemed a sale.
|
(Source: P.A. 102-442, eff. 8-20-21; revised 2-28-22.)
|
(235 ILCS 5/10-5) (from Ch. 43, par. 187)
|
Sec. 10-5.
Whenever any officer, director, manager , or |
other employee employe in a
position of authority of any |
licensee under this Act shall be convicted of
any violation of |
this Act while engaged in the course of his employment or
while |
upon the premises described by said license, said license |
shall be
revoked and the fees paid thereon forfeited both as to |
the holder of said
license and as to said premises, and said |
bond given by said licensee to
secure the faithful compliance |
with the terms of this Act shall be
forfeited in like manner as |
if said licensee had himself been convicted.
|
(Source: P.A. 82-783; revised 8-19-22.)
|
Section 545. The Illinois Public Aid Code is amended by |
changing Sections 5-3, 5-5, 5-5.01b, and 14-12 and the |
headings of Articles V-G, V-H, X, XIV, and XV and by setting |
forth, renumbering, and changing multiple versions of Section |
5-45 as follows:
|
(305 ILCS 5/5-3) (from Ch. 23, par. 5-3)
|
Sec. 5-3. Residence. ) Any person who has established his |
residence
in this State and lives therein, including any |
|
person who is a migrant
worker, may qualify for medical |
assistance. A person who, while
temporarily in this State, |
suffers injury or illness endangering his
life and health and |
necessitating emergency care, may also qualify.
|
Temporary absence from the State shall not disqualify a |
person from
maintaining his eligibility under this Article.
|
As used in this Section, "migrant worker" means any person |
residing
temporarily and employed in Illinois who moves |
seasonally from one
place to another for the purpose of |
employment in agricultural
activities, including the planting, |
raising , or harvesting of any
agricultural or horticultural |
commodities and the handling, packing , or
processing of such |
commodities on the farm where produced or at the
point of first |
processing, in animal husbandry, or in other activities |
connected
with the care of animals. Dependents of such person |
shall be
considered eligible if they are living with the |
person during his or her
temporary residence and employment in |
Illinois.
|
In order to be eligible for medical assistance under this |
section,
each migrant worker shall show proof of citizenship |
or legal immigration status.
|
(Source: P.A. 102-1030, eff. 5-27-22; revised 8-22-22.)
|
(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 individuals, 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; (16.5) services performed by |
a chiropractic physician licensed under the Medical Practice |
Act of 1987 and acting within the scope of his or her license, |
including, but not limited to, chiropractic manipulative |
treatment; and (17)
any other medical care, and any other type |
of remedial care recognized
under the laws of this State. 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, |
reproductive health care that is otherwise legal in Illinois |
shall be covered under the medical assistance program for |
persons who are otherwise eligible for medical assistance |
under this Article. |
Notwithstanding any other provision of this Section, all |
tobacco cessation medications approved by the United States |
Food and Drug Administration and all individual and group |
tobacco cessation counseling services and telephone-based |
counseling services and tobacco cessation medications provided |
through the Illinois Tobacco Quitline shall be covered under |
the medical assistance program for persons who are otherwise |
eligible for assistance under this Article. The Department |
shall comply with all federal requirements necessary to obtain |
federal financial participation, as specified in 42 CFR |
433.15(b)(7), for telephone-based counseling services provided |
through the Illinois Tobacco Quitline, including, but not |
limited to: (i) entering into a memorandum of understanding or |
interagency agreement with the Department of Public Health, as |
administrator of the Illinois Tobacco Quitline; and (ii) |
developing a cost allocation plan for Medicaid-allowable |
Illinois Tobacco Quitline services in accordance with 45 CFR |
95.507. The Department shall submit the memorandum of |
|
understanding or interagency agreement, the cost allocation |
plan, and all other necessary documentation to the Centers for |
Medicare and Medicaid Services for review and approval. |
Coverage under this paragraph shall be contingent upon federal |
approval. |
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.
|
Upon receipt of federal approval of an amendment to the |
Illinois Title XIX State Plan for this purpose, the Department |
shall authorize the Chicago Public Schools (CPS) to procure a |
vendor or vendors to manufacture eyeglasses for individuals |
enrolled in a school within the CPS system. CPS shall ensure |
that its vendor or vendors are enrolled as providers in the |
medical assistance program and in any capitated Medicaid |
managed care entity (MCE) serving individuals enrolled in a |
school within the CPS system. Under any contract procured |
under this provision, the vendor or vendors must serve only |
individuals enrolled in a school within the CPS system. Claims |
for services provided by CPS's vendor or vendors to recipients |
of benefits in the medical assistance program under this Code, |
the Children's Health Insurance Program, or the Covering ALL |
|
KIDS Health Insurance Program shall be submitted to the |
Department or the MCE in which the individual is enrolled for |
payment and shall be reimbursed at the Department's or the |
MCE's established rates or rate methodologies for eyeglasses. |
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.
|
On and after July 1, 2018, the Department of Healthcare |
and Family Services shall provide dental services to any adult |
who is otherwise eligible for assistance under the medical |
assistance program. As used in this paragraph, "dental |
services" means diagnostic, preventative, restorative, or |
corrective procedures, including procedures and services for |
the prevention and treatment of periodontal disease and dental |
caries disease, provided by an individual who is licensed to |
practice dentistry or dental surgery or who is under the |
supervision of a dentist in the practice of his or her |
profession. |
|
On and after July 1, 2018, targeted dental services, as |
set forth in Exhibit D of the Consent Decree entered by the |
United States District Court for the Northern District of |
Illinois, Eastern Division, in the matter of Memisovski v. |
Maram, Case No. 92 C 1982, that are provided to adults under |
the medical assistance program shall be established at no less |
than the rates set forth in the "New Rate" column in Exhibit D |
of the Consent Decree for targeted dental services that are |
provided to persons under the age of 18 under the medical |
assistance program. |
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. |
On and after January 1, 2022, the Department of Healthcare |
and Family Services shall administer and regulate a |
school-based dental program that allows for the out-of-office |
|
delivery of preventative dental services in a school setting |
to children under 19 years of age. The Department shall |
establish, by rule, guidelines for participation by providers |
and set requirements for follow-up referral care based on the |
requirements established in the Dental Office Reference Manual |
published by the Department that establishes the requirements |
for dentists participating in the All Kids Dental School |
Program. Every effort shall be made by the Department when |
developing the program requirements to consider the different |
geographic differences of both urban and rural areas of the |
State for initial treatment and necessary follow-up care. No |
provider shall be charged a fee by any unit of local government |
to participate in the school-based dental program administered |
by the Department. Nothing in this paragraph shall be |
construed to limit or preempt a home rule unit's or school |
district's authority to establish, change, or administer a |
school-based dental program in addition to, or independent of, |
the school-based dental program administered by the |
Department. |
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 |
individuals 35 years of age or older who are eligible
for |
medical assistance under this Article, as follows: |
(A) A baseline
mammogram for individuals 35 to 39 |
years of age.
|
(B) An annual mammogram for individuals 40 years of |
age or older. |
(C) A mammogram at the age and intervals considered |
medically necessary by the individual's health care |
provider for individuals 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 and MRI of an |
entire breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue or when medically |
necessary as determined by a physician licensed to |
practice medicine in all of its branches. |
(E) A screening MRI when medically necessary, as |
determined by a physician licensed to practice medicine in |
|
all of its branches. |
(F) A diagnostic mammogram when medically necessary, |
as determined by a physician licensed to practice medicine |
in all its branches, advanced practice registered nurse, |
or physician assistant. |
The Department shall not impose a deductible, coinsurance, |
copayment, or any other cost-sharing requirement on the |
coverage provided under this paragraph; except that this |
sentence does not apply to coverage of diagnostic mammograms |
to the extent such coverage would disqualify a high-deductible |
health plan from eligibility for a health savings account |
pursuant to Section 223 of the Internal Revenue Code (26 |
U.S.C. 223). |
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: |
"Diagnostic
mammogram" means a mammogram obtained using |
diagnostic mammography. |
"Diagnostic
mammography" means a method of screening that |
is designed to
evaluate an abnormality in a breast, including |
an abnormality seen
or suspected on a screening mammogram or a |
subjective or objective
abnormality otherwise detected in the |
breast. |
"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 and |
includes breast tomosynthesis. |
"Breast tomosynthesis" means a radiologic procedure that |
involves the acquisition of projection images over the |
stationary breast to produce cross-sectional digital |
three-dimensional images of the breast. |
If, at any time, the Secretary of the United States |
Department of Health and Human Services, or its successor |
agency, promulgates rules or regulations to be published in |
the Federal Register or publishes a comment in the Federal |
Register or issues an opinion, guidance, or other action that |
would require the State, pursuant to any provision of the |
Patient Protection and Affordable Care Act (Public Law |
111-148), including, but not limited to, 42 U.S.C. |
18031(d)(3)(B) or any successor provision, to defray the cost |
of any coverage for breast tomosynthesis outlined in this |
paragraph, then the requirement that an insurer cover breast |
tomosynthesis is inoperative other than any such coverage |
authorized under Section 1902 of the Social Security Act, 42 |
U.S.C. 1396a, and the State shall not assume any obligation |
for the cost of coverage for breast tomosynthesis set forth in |
this paragraph.
|
|
On and after January 1, 2016, the Department shall ensure |
that all networks of care for adult clients of the Department |
include access to at least one breast imaging Center of |
Imaging Excellence as certified by the American College of |
Radiology. |
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 and, after |
January 1, 2023 ( the effective date of Public Act 102-1018) |
this amendatory Act of the 102nd General Assembly , breast |
tomosynthesis. |
The Department shall convene an expert panel including |
representatives of hospitals, free-standing mammography |
facilities, and doctors, including radiologists, to establish |
quality standards for mammography. |
On and after January 1, 2017, providers participating in a |
breast cancer treatment quality improvement program approved |
by the Department shall be reimbursed for breast cancer |
treatment at a rate that is no lower than 95% of the Medicare |
program's rates for the data elements included in the breast |
cancer treatment quality program. |
The Department shall convene an expert panel, including |
representatives of hospitals, free-standing breast cancer |
treatment centers, breast cancer quality organizations, and |
|
doctors, including breast surgeons, reconstructive breast |
surgeons, oncologists, and primary care providers to establish |
quality standards for breast cancer treatment. |
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. By January 1, 2016, the |
Department shall report to the General Assembly on the status |
of the provision set forth in this paragraph. |
The Department shall establish a methodology to remind |
individuals 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 work with experts in breast |
cancer outreach and patient navigation to optimize these |
reminders and shall establish a methodology for evaluating |
their effectiveness and modifying the methodology based on the |
evaluation. |
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. On or |
after July 1, 2016, the pilot program shall be expanded to |
include one site in western Illinois, one site in southern |
Illinois, one site in central Illinois, and 4 sites within |
metropolitan Chicago. 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. |
The Department shall require all networks of care to |
develop a means either internally or by contract with experts |
in navigation and community outreach to navigate cancer |
patients to comprehensive care in a timely fashion. The |
Department shall require all networks of care to include |
access for patients diagnosed with cancer to at least one |
academic commission on cancer-accredited cancer program as an |
in-network covered benefit. |
The Department shall provide coverage and reimbursement |
for a human papillomavirus (HPV) vaccine that is approved for |
marketing by the federal Food and Drug Administration for all |
persons between the ages of 9 and 45 and persons of the age of |
46 and above who have been diagnosed with cervical dysplasia |
|
with a high risk of recurrence or progression. The Department |
shall disallow any preauthorization requirements for the |
administration of the human papillomavirus (HPV) vaccine. |
On or after July 1, 2022, individuals who are otherwise |
eligible for medical assistance under this Article shall |
receive coverage for perinatal depression screenings for the |
12-month period beginning on the last day of their pregnancy. |
Medical assistance coverage under this paragraph shall be |
conditioned on the use of a screening instrument approved by |
the Department. |
Any medical or health care provider shall immediately |
recommend, to
any pregnant individual who is being provided |
prenatal services and is suspected
of having a substance use |
disorder as defined in the Substance Use Disorder Act, |
referral to a local substance use disorder treatment program |
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 individuals
under this Code shall receive information |
from the Department on the
availability of services under any
|
program providing case management services for addicted |
|
individuals,
including information on appropriate referrals |
for other social services
that may be needed by addicted |
individuals 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 the recipient's
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 September 16, 1984 |
(the effective date of Public Act 83-1439), 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.
|
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), 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, by July 1, 2016, test the |
viability of the new system and implement any necessary |
operational or structural changes to its information |
technology platforms in order to allow for the direct |
acceptance and payment of nursing home claims. |
Notwithstanding any other law to the contrary, the |
|
Illinois Department shall, within 365 days after August 15, |
2014 (the effective date of Public Act 98-963), establish |
procedures to permit ID/DD facilities licensed under the ID/DD |
Community Care Act and MC/DD facilities licensed under the |
MC/DD 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 the 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, within 120 |
calendar days of receipt by the facility of required |
prescreening information, new admissions with associated |
admission documents shall be submitted 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. Effective September
1, 2014, admission |
documents, including all prescreening
information, must be |
submitted through MEDI or REV. 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-adjudicated 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. |
Notwithstanding any provision of Section 5-5f to the contrary, |
the Department may, by rule, exempt certain replacement |
wheelchair parts from prior approval and, for wheelchairs, |
wheelchair parts, wheelchair accessories, and related seating |
and positioning items, determine the wholesale price by |
methods other than actual acquisition costs. |
The Department shall require, by rule, all providers of |
durable medical equipment to be accredited by an accreditation |
organization approved by the federal Centers for Medicare and |
Medicaid Services and recognized by the Department in order to |
bill the Department for providing durable medical equipment to |
recipients. No later than 15 months after the effective date |
|
of the rule adopted pursuant to this paragraph, all providers |
must meet the accreditation requirement.
|
In order to promote environmental responsibility, meet the |
needs of recipients and enrollees, and achieve significant |
cost savings, the Department, or a managed care organization |
under contract with the Department, may provide recipients or |
managed care enrollees who have a prescription or Certificate |
of Medical Necessity access to refurbished durable medical |
equipment under this Section (excluding prosthetic and |
orthotic devices as defined in the Orthotics, Prosthetics, and |
Pedorthics Practice Act and complex rehabilitation technology |
products and associated services) through the State's |
assistive technology program's reutilization program, using |
staff with the Assistive Technology Professional (ATP) |
Certification if the refurbished durable medical equipment: |
(i) is available; (ii) is less expensive, including shipping |
costs, than new durable medical equipment of the same type; |
(iii) is able to withstand at least 3 years of use; (iv) is |
cleaned, disinfected, sterilized, and safe in accordance with |
federal Food and Drug Administration regulations and guidance |
governing the reprocessing of medical devices in health care |
settings; and (v) equally meets the needs of the recipient or |
enrollee. The reutilization program shall confirm that the |
recipient or enrollee is not already in receipt of the same or |
similar equipment from another service provider, and that the |
refurbished durable medical equipment equally meets the needs |
|
of the recipient or enrollee. Nothing in this paragraph shall |
be construed to limit recipient or enrollee choice to obtain |
new durable medical equipment or place any additional prior |
authorization conditions on enrollees of managed care |
organizations. |
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 requirement for reporting to the General |
Assembly shall be satisfied
by filing copies of the report as |
required by Section 3.1 of the General Assembly Organization |
Act, and filing 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.
|
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. |
Because kidney transplantation can be an appropriate, |
cost-effective
alternative to renal dialysis when medically |
necessary and notwithstanding the provisions of Section 1-11 |
|
of this Code, beginning October 1, 2014, the Department shall |
cover kidney transplantation for noncitizens with end-stage |
renal disease who are not eligible for comprehensive medical |
benefits, who meet the residency requirements of Section 5-3 |
of this Code, and who would otherwise meet the financial |
requirements of the appropriate class of eligible persons |
under Section 5-2 of this Code. To qualify for coverage of |
kidney transplantation, such person must be receiving |
emergency renal dialysis services covered by the Department. |
Providers under this Section shall be prior approved and |
certified by the Department to perform kidney transplantation |
and the services under this Section shall be limited to |
services associated with kidney transplantation. |
Notwithstanding any other provision of this Code to the |
contrary, on or after July 1, 2015, all FDA approved forms of |
medication assisted treatment prescribed for the treatment of |
alcohol dependence or treatment of opioid dependence shall be |
covered under both fee for service and managed care medical |
assistance programs for persons who are otherwise eligible for |
medical assistance under this Article and shall not be subject |
to any (1) utilization control, other than those established |
under the American Society of Addiction Medicine patient |
placement criteria,
(2) prior authorization mandate, or (3) |
lifetime restriction limit
mandate. |
On or after July 1, 2015, opioid antagonists prescribed |
for the treatment of an opioid overdose, including the |
|
medication product, administration devices, and any pharmacy |
fees or hospital fees related to the dispensing, distribution, |
and administration of the opioid antagonist, shall be covered |
under the medical assistance program for persons who are |
otherwise eligible for medical assistance under this Article. |
As used in this Section, "opioid antagonist" means a drug that |
binds to opioid receptors and blocks or inhibits the effect of |
opioids acting on those receptors, including, but not limited |
to, naloxone hydrochloride or any other similarly acting drug |
approved by the U.S. Food and Drug Administration. The |
Department shall not impose a copayment on the coverage |
provided for naloxone hydrochloride under the medical |
assistance program. |
Upon federal approval, the Department shall provide |
coverage and reimbursement for all drugs that are approved for |
marketing by the federal Food and Drug Administration and that |
are recommended by the federal Public Health Service or the |
United States Centers for Disease Control and Prevention for |
pre-exposure prophylaxis and related pre-exposure prophylaxis |
services, including, but not limited to, HIV and sexually |
transmitted infection screening, treatment for sexually |
transmitted infections, medical monitoring, assorted labs, and |
counseling to reduce the likelihood of HIV infection among |
individuals who are not infected with HIV but who are at high |
risk of HIV infection. |
A federally qualified health center, as defined in Section |
|
1905(l)(2)(B) of the federal
Social Security Act, shall be |
reimbursed by the Department in accordance with the federally |
qualified health center's encounter rate for services provided |
to medical assistance recipients that are performed by a |
dental hygienist, as defined under the Illinois Dental |
Practice Act, working under the general supervision of a |
dentist and employed by a federally qualified health center. |
Within 90 days after October 8, 2021 (the effective date |
of Public Act 102-665), the Department shall seek federal |
approval of a State Plan amendment to expand coverage for |
family planning services that includes presumptive eligibility |
to individuals whose income is at or below 208% of the federal |
poverty level. Coverage under this Section shall be effective |
beginning no later than December 1, 2022. |
Subject to approval by the federal Centers for Medicare |
and Medicaid Services of a Title XIX State Plan amendment |
electing the Program of All-Inclusive Care for the Elderly |
(PACE) as a State Medicaid option, as provided for by Subtitle |
I (commencing with Section 4801) of Title IV of the Balanced |
Budget Act of 1997 (Public Law 105-33) and Part 460 |
(commencing with Section 460.2) of Subchapter E of Title 42 of |
the Code of Federal Regulations, PACE program services shall |
become a covered benefit of the medical assistance program, |
subject to criteria established in accordance with all |
applicable laws. |
Notwithstanding any other provision of this Code, |
|
community-based pediatric palliative care from a trained |
interdisciplinary team shall be covered under the medical |
assistance program as provided in Section 15 of the Pediatric |
Palliative
Care Act. |
Notwithstanding any other provision of this Code, within |
12 months after June 2, 2022 ( the effective date of Public Act |
102-1037) this amendatory Act of the 102nd General Assembly |
and subject to federal approval, acupuncture services |
performed by an acupuncturist licensed under the Acupuncture |
Practice Act who is acting within the scope of his or her |
license shall be covered under the medical assistance program. |
The Department shall apply for any federal waiver or State |
Plan amendment, if required, to implement this paragraph. The |
Department may adopt any rules, including standards and |
criteria, necessary to implement this paragraph. |
(Source: P.A. 101-209, eff. 8-5-19; 101-580, eff. 1-1-20; |
102-43, Article 30, Section 30-5, eff. 7-6-21; 102-43, Article |
35, Section 35-5, eff. 7-6-21; 102-43, Article 55, Section |
55-5, eff. 7-6-21; 102-95, eff. 1-1-22; 102-123, eff. 1-1-22; |
102-558, eff. 8-20-21; 102-598, eff. 1-1-22; 102-655, eff. |
1-1-22; 102-665, eff. 10-8-21; 102-813, eff. 5-13-22; |
102-1018, eff. 1-1-23; 102-1037, eff. 6-2-22; 102-1038 eff. |
1-1-23; revised 2-5-23.)
|
(305 ILCS 5/5-5.01b) |
Sec. 5-5.01b. Certified Nursing Assistant Intern Program. |
|
(a) The Department shall establish or approve a Certified |
Nursing Assistant Intern Program to address the increasing |
need for trained health care workers for the supporting living |
facilities program established under Section 5-5.01a. Upon |
successful completion of the classroom education and |
on-the-job training requirements of the Program under this |
Section, an individual may provide, at a facility certified |
under this Act, the patient and resident care services |
determined under the Program and may perform the procedures |
listed under subsection (d). |
(b) In order to qualify as a certified nursing assistant |
intern, an individual shall successfully complete at least 8 |
hours of classroom education on the services and procedures |
listed under subsection (d). The classroom education shall be: |
(1) taken within the facility where the certified |
nursing assistant intern will be employed; |
(2) proctored by either an advanced practice |
registered nurse or a registered nurse who holds a |
bachelor's degree in nursing, has a minimum of 3 years of |
continuous experience in geriatric care, or is certified |
as a nursing assistant instructor; and |
(3) satisfied by the successful completion of an |
approved 8-hour online training course or in-person group |
training. |
(c) In order to qualify as a certified nursing assistant |
intern, an individual shall successfully complete at least 24 |
|
hours of on-the-job training in the services and procedures |
determined under the Program and listed under subsection (d), |
as follows: |
(1) The training program instructor shall be either an |
advanced practice registered nurse or a registered nurse |
who holds a bachelor's degree in nursing, has a minimum of |
3 years of continuous experience in geriatric care, or is |
certified as a nursing assistant instructor. |
(2) The training program instructor shall ensure that |
the student meets the competencies determined under the |
Program and those listed under subsection (d). The |
instructor shall document the successful completion or |
failure of the competencies and any remediation that may |
allow for the successful completion of the competencies. |
(3) All on-the-job training shall be under the direct |
observation of either an advanced practice registered |
nurse or a registered nurse who holds a bachelor's degree |
in nursing, has a minimum of 3 years of continuous |
experience in geriatric care, or is certified as a nursing |
assistant instructor. |
(4) All on-the-job training shall be conducted at a |
facility that is licensed by the State of Illinois and |
that is the facility where the certified nursing assistant |
intern will be working. |
(d) A certified nursing assistant intern shall receive |
classroom and on-the-job training on how to provide the |
|
patient or resident care services and procedures, as |
determined under the Program, that are required of a certified |
nursing assistant's performance skills, including, but not |
limited to, all of the following: |
(1) Successful completion and maintenance of active |
certification in both first aid and the American Red |
Cross' courses on cardiopulmonary resuscitation. |
(2) Infection control and in-service training required |
at the facility. |
(3) Washing a resident's hands. |
(4) Performing oral hygiene on a resident. |
(5) Shaving a resident with an electric razor. |
(6) Giving a resident a partial bath. |
(7) Making a bed that is occupied. |
(8) Dressing a resident. |
(9) Transferring a resident to a wheelchair using a |
gait belt or transfer belt. |
(10) Ambulating a resident with a gait belt or |
transfer belt. |
(11) Feeding a resident. |
(12) Calculating a resident's intake and output. |
(13) Placing a resident in a side-lying position. |
(14) The Heimlich maneuver. |
(e) A certified nursing assistant intern may not perform |
any of the following on a resident: |
(1) Shaving with a nonelectric razor. |
|
(2) Nail care. |
(3) Perineal care. |
(4) Transfer using a mechanical lift. |
(5) Passive range of motion. |
(f) A certified nursing assistant intern may only provide |
the patient or resident care services and perform the |
procedures that he or she is deemed qualified to perform that |
are listed under subsection (d). A certified nursing assistant |
intern may not provide the procedures excluded under |
subsection (e). |
(g) A certified nursing assistant intern shall report to a |
facility's charge nurse or nursing supervisor and may only be |
assigned duties authorized in this Section by a supervising |
nurse. |
(h) A facility shall notify its certified and licensed |
staff members, in writing, that a certified nursing assistant |
intern may only provide the services and perform the |
procedures listed under subsection (d). The notification shall |
detail which duties may be delegated to a certified nursing |
assistant intern. |
(i) If a facility learns that a certified nursing |
assistant intern is performing work outside of the scope of |
the Program's training, the facility shall: |
(1) stop the certified nursing assistant intern from |
performing the work; |
(2) inspect the work and correct mistakes, if the work |
|
performed was done improperly; |
(3) assign the work to the appropriate personnel; and |
(4) ensure that a thorough assessment of any resident |
involved in the work performed is completed by a |
registered nurse. |
(j) The Program is subject to the Health Care Worker |
Background Check Act and the Health Care Worker Background |
Check Code under 77 Ill. Adm. Code 955. Program participants |
and personnel shall be included on the Health Care Worker |
Registry. |
(k) A Program participant who has completed the training |
required under paragraph (5) of subsection (a) of Section |
3-206 of the Nursing Home Care Act, has completed the Program |
from April 21, 2020 through September 18, 2020, and has shown |
competency in all of the performance skills listed under |
subsection (d) shall be considered a certified nursing |
assistant intern. |
(l) The requirement under subsection (b) of Section |
395.400 of Title 77 of the Illinois Administrative Code that a |
student must pass a BNATP written competency examination |
within 12 months after the completion of the BNATP does not |
apply to a certified nursing assistant intern under this |
Section. However, upon a Program participant's enrollment in a |
certified nursing assistant course, the requirement under |
subsection (b) of Section 395.400 of Title 77 of the Illinois |
Administrative Code that a student pass a BNATP written |
|
competency examination within 12 months after completion of |
the BNATP program applies. |
(m) A certified nursing assistant intern shall enroll in a |
certified nursing assistant program within 6 months after |
completing his or her certified nursing assistant intern |
training under the Program. The individual may continue to |
work as a certified nursing assistant intern during his or her |
certified nursing assistant training. If the scope of work for |
a nurse assistant in training pursuant to 77 Ill. Adm. Code |
300.660 is broader in scope than the work permitted to be |
performed by a certified nursing assistant intern, then the |
certified nursing assistant intern enrolled in certified |
nursing assistant training may perform the work allowed under |
77. Ill. Adm. Code 300.660. The individual shall receive one |
hour of credit for every hour employed as a certified nursing |
assistant intern or as a temporary nurse assistant, not to |
exceed 30 hours of credit, subject to the approval of an |
accredited certified nursing assistant training program. |
(n) A facility that seeks to train and employ a certified |
nursing assistant intern at the facility must: |
(1) not have received a substantiated citation, that |
the facility has the right to the appeal, for a violation |
that has caused severe harm to or the death of a resident |
within the 2 years prior to employing a certified nursing |
assistant intern; and |
(2) establish a certified nursing assistant intern |
|
mentoring program within the facility for the purposes of |
increasing education and retention, which must include an |
experienced certified nurse assistant who has at least 3 |
years of active employment and is employed by the |
facility. |
(o) A facility that does not meet the requirements of |
subsection (n) shall cease its new employment training, |
education, or onboarding of any employee under the Program. |
The facility may resume its new employment training, |
education, or onboarding of an employee under the Program once |
the Department determines that the facility is in compliance |
with subsection (n). |
(p) To study the effectiveness of the Program, the |
Department shall collect data from participating facilities |
and publish a report on the extent to which the Program brought |
individuals into continuing employment as certified nursing |
assistants in long-term care. Data collected from facilities |
shall include, but shall not be limited to, the number of |
certified nursing assistants employed, the number of persons |
who began participation in the Program, the number of persons |
who successfully completed the Program, and the number of |
persons who continue employment in a long-term care service or |
facility. The report shall be published no later than 6 months |
after the Program end date determined under subsection (r). A |
facility participating in the Program shall, twice annually, |
submit data under this subsection in a manner and time |
|
determined by the Department. Failure to submit data under |
this subsection shall result in suspension of the facility's |
Program. |
(q) The Department may adopt emergency rules in accordance |
with Section 5-45.32 5-45.22 of the Illinois Administrative |
Procedure Act. |
(r) The Program shall end upon the termination of the |
Secretary of Health and Human Services' public health |
emergency declaration for COVID-19 or 3 years after the date |
that the Program becomes operational, whichever occurs later. |
(s) This Section is inoperative 18 months after the |
Program end date determined under subsection (r).
|
(Source: P.A. 102-1037, eff. 6-2-22; revised 7-26-22.)
|
(305 ILCS 5/5-45) |
Sec. 5-45. Reimbursement rates; substance use disorder
|
treatment providers and facilities. Beginning on July 1, 2022,
|
the Department of Human Services' Division of Substance Use
|
Prevention and Recovery in conjunction with the Department of
|
Healthcare and Family Services, shall provide for an increase
|
in reimbursement rates by way of an increase to existing rates |
of
47% for all community-based substance use disorder |
treatment
services, including, but not limited to, all of the |
following: |
(1) Admission and Discharge Assessment. |
(2) Level 1 (Individual). |
|
(3) Level 1 (Group). |
(4) Level 2 (Individual). |
(5) Level 2 (Group). |
(6) Psychiatric/Diagnostic. |
(7) Medication Monitoring (Individual). |
(8) Methadone as an Adjunct to Treatment. |
No existing or future reimbursement rates or add-ons shall |
be
reduced or changed to address the rate increase proposed |
under this Section.
The Department of Healthcare and Family |
Services shall immediately,
no later than 3 months following |
April 19, 2022 ( the effective date of Public Act 102-699) this |
amendatory Act of the 102nd General Assembly ,
submit any |
necessary application to the federal Centers for Medicare
and |
Medicaid Services for a waiver or State Plan amendment to |
implement the requirements of this Section.
Beginning in State |
fiscal year 2023, and every State fiscal year thereafter,
|
reimbursement rates for those community-based substance use |
disorder
treatment services shall be adjusted upward by an |
amount equal
to the Consumer Price Index-U from the previous |
year, not to
exceed 2% in any State fiscal year. If there is a |
decrease in
the Consumer Price Index-U, rates shall remain |
unchanged for
that State fiscal year. The Department of Human |
Services shall adopt rules,
including emergency rules under |
Section 5-45.1 of the Illinois
Administrative Procedure Act, |
to implement the provisions of
this Section. |
As used in 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.
|
(Source: P.A. 102-699, eff. 4-19-22; revised 8-8-22.)
|
(305 ILCS 5/5-46) |
Sec. 5-46 5-45 . General acute care hospitals. A general |
acute care hospital is authorized to file a notice with the |
Department of Public Health and the Health Facilities and |
Services Review Board to establish an acute mental illness |
category of service in accordance with the Illinois Health |
Facilities Planning Act and add authorized acute mental |
illness beds if the following conditions are met: |
(1) the general acute care hospital qualifies as a |
safety-net hospital, as defined in Section 5-5e.1, as |
determined by the Department of Healthcare and Family |
Services at the time of filing the notice or for the year |
immediately prior to the date of filing the notice; |
(2) the notice seeks to establish no more than 24 |
authorized acute mental illness beds; and |
(3) the notice seeks to reduce the number of |
authorized beds in another category of service to offset |
the number of authorized acute mental illness beds.
|
(Source: P.A. 102-886, eff. 5-17-22; revised 8-8-22.)
|
|
(305 ILCS 5/Art. V-G heading) |
ARTICLE V-G. SUPPORTIVE LIVING FACILITY FUNDING .
|
(Source: P.A. 98-651, eff. 6-16-14; revised 8-22-22.)
|
(305 ILCS 5/Art. V-H heading) |
ARTICLE V-H. MANAGED CARE ORGANIZATION PROVIDER ASSESSMENT .
|
(Source: P.A. 101-9, eff. 6-5-19; revised 8-22-22.)
|
(305 ILCS 5/Art. X heading) |
ARTICLE X . : DETERMINATION AND ENFORCEMENT OF
|
SUPPORT RESPONSIBILITY OF RELATIVES
|
(305 ILCS 5/Art. XIV heading) |
ARTICLE XIV . HOSPITAL SERVICES TRUST FUND
|
(305 ILCS 5/14-12) |
Sec. 14-12. Hospital rate reform payment system. The |
hospital payment system pursuant to Section 14-11 of this |
Article shall be as follows: |
(a) Inpatient hospital services. Effective for discharges |
on and after July 1, 2014, reimbursement for inpatient general |
acute care services shall utilize the All Patient Refined |
Diagnosis Related Grouping (APR-DRG) software, version 30, |
distributed by 3M TM Health Information System. |
(1) The Department shall establish Medicaid weighting |
|
factors to be used in the reimbursement system established |
under this subsection. Initial weighting factors shall be |
the weighting factors as published by 3M Health |
Information System, associated with Version 30.0 adjusted |
for the Illinois experience. |
(2) The Department shall establish a |
statewide-standardized amount to be used in the inpatient |
reimbursement system. The Department shall publish these |
amounts on its website no later than 10 calendar days |
prior to their effective date. |
(3) In addition to the statewide-standardized amount, |
the Department shall develop adjusters to adjust the rate |
of reimbursement for critical Medicaid providers or |
services for trauma, transplantation services, perinatal |
care, and Graduate Medical Education (GME). |
(4) The Department shall develop add-on payments to |
account for exceptionally costly inpatient stays, |
consistent with Medicare outlier principles. Outlier fixed |
loss thresholds may be updated to control for excessive |
growth in outlier payments no more frequently than on an |
annual basis, but at least once every 4 years. Upon |
updating the fixed loss thresholds, the Department shall |
be required to update base rates within 12 months. |
(5) The Department shall define those hospitals or |
distinct parts of hospitals that shall be exempt from the |
APR-DRG reimbursement system established under this |
|
Section. The Department shall publish these hospitals' |
inpatient rates on its website no later than 10 calendar |
days prior to their effective date. |
(6) Beginning July 1, 2014 and ending on June 30, |
2024, in addition to the statewide-standardized amount, |
the Department shall develop an adjustor to adjust the |
rate of reimbursement for safety-net hospitals defined in |
Section 5-5e.1 of this Code excluding pediatric hospitals. |
(7) Beginning July 1, 2014, in addition to the |
statewide-standardized amount, the Department shall |
develop an adjustor to adjust the rate of reimbursement |
for Illinois freestanding inpatient psychiatric hospitals |
that are not designated as children's hospitals by the |
Department but are primarily treating patients under the |
age of 21. |
(7.5) (Blank). |
(8) Beginning July 1, 2018, in addition to the |
statewide-standardized amount, the Department shall adjust |
the rate of reimbursement for hospitals designated by the |
Department of Public Health as a Perinatal Level II or II+ |
center by applying the same adjustor that is applied to |
Perinatal and Obstetrical care cases for Perinatal Level |
III centers, as of December 31, 2017. |
(9) Beginning July 1, 2018, in addition to the |
statewide-standardized amount, the Department shall apply |
the same adjustor that is applied to trauma cases as of |
|
December 31, 2017 to inpatient claims to treat patients |
with burns, including, but not limited to, APR-DRGs 841, |
842, 843, and 844. |
(10) Beginning July 1, 2018, the |
statewide-standardized amount for inpatient general acute |
care services shall be uniformly increased so that base |
claims projected reimbursement is increased by an amount |
equal to the funds allocated in paragraph (1) of |
subsection (b) of Section 5A-12.6, less the amount |
allocated under paragraphs (8) and (9) of this subsection |
and paragraphs (3) and (4) of subsection (b) multiplied by |
40%. |
(11) Beginning July 1, 2018, the reimbursement for |
inpatient rehabilitation services shall be increased by |
the addition of a $96 per day add-on. |
(b) Outpatient hospital services. Effective for dates of |
service on and after July 1, 2014, reimbursement for |
outpatient services shall utilize the Enhanced Ambulatory |
Procedure Grouping (EAPG) software, version 3.7 distributed by |
3M TM Health Information System. |
(1) The Department shall establish Medicaid weighting |
factors to be used in the reimbursement system established |
under this subsection. The initial weighting factors shall |
be the weighting factors as published by 3M Health |
Information System, associated with Version 3.7. |
(2) The Department shall establish service specific |
|
statewide-standardized amounts to be used in the |
reimbursement system. |
(A) The initial statewide standardized amounts, |
with the labor portion adjusted by the Calendar Year |
2013 Medicare Outpatient Prospective Payment System |
wage index with reclassifications, shall be published |
by the Department on its website no later than 10 |
calendar days prior to their effective date. |
(B) The Department shall establish adjustments to |
the statewide-standardized amounts for each Critical |
Access Hospital, as designated by the Department of |
Public Health in accordance with 42 CFR 485, Subpart |
F. For outpatient services provided on or before June |
30, 2018, the EAPG standardized amounts are determined |
separately for each critical access hospital such that |
simulated EAPG payments using outpatient base period |
paid claim data plus payments under Section 5A-12.4 of |
this Code net of the associated tax costs are equal to |
the estimated costs of outpatient base period claims |
data with a rate year cost inflation factor applied. |
(3) In addition to the statewide-standardized amounts, |
the Department shall develop adjusters to adjust the rate |
of reimbursement for critical Medicaid hospital outpatient |
providers or services, including outpatient high volume or |
safety-net hospitals. Beginning July 1, 2018, the |
outpatient high volume adjustor shall be increased to |
|
increase annual expenditures associated with this adjustor |
by $79,200,000, based on the State Fiscal Year 2015 base |
year data and this adjustor shall apply to public |
hospitals, except for large public hospitals, as defined |
under 89 Ill. Adm. Code 148.25(a). |
(4) Beginning July 1, 2018, in addition to the |
statewide standardized amounts, the Department shall make |
an add-on payment for outpatient expensive devices and |
drugs. This add-on payment shall at least apply to claim |
lines that: (i) are assigned with one of the following |
EAPGs: 490, 1001 to 1020, and coded with one of the |
following revenue codes: 0274 to 0276, 0278; or (ii) are |
assigned with one of the following EAPGs: 430 to 441, 443, |
444, 460 to 465, 495, 496, 1090. The add-on payment shall |
be calculated as follows: the claim line's covered charges |
multiplied by the hospital's total acute cost to charge |
ratio, less the claim line's EAPG payment plus $1,000, |
multiplied by 0.8. |
(5) Beginning July 1, 2018, the statewide-standardized |
amounts for outpatient services shall be increased by a |
uniform percentage so that base claims projected |
reimbursement is increased by an amount equal to no less |
than the funds allocated in paragraph (1) of subsection |
(b) of Section 5A-12.6, less the amount allocated under |
paragraphs (8) and (9) of subsection (a) and paragraphs |
(3) and (4) of this subsection multiplied by 46%. |
|
(6) Effective for dates of service on or after July 1, |
2018, the Department shall establish adjustments to the |
statewide-standardized amounts for each Critical Access |
Hospital, as designated by the Department of Public Health |
in accordance with 42 CFR 485, Subpart F, such that each |
Critical Access Hospital's standardized amount for |
outpatient services shall be increased by the applicable |
uniform percentage determined pursuant to paragraph (5) of |
this subsection. It is the intent of the General Assembly |
that the adjustments required under this paragraph (6) by |
Public Act 100-1181 shall be applied retroactively to |
claims for dates of service provided on or after July 1, |
2018. |
(7) Effective for dates of service on or after March |
8, 2019 (the effective date of Public Act 100-1181), the |
Department shall recalculate and implement an updated |
statewide-standardized amount for outpatient services |
provided by hospitals that are not Critical Access |
Hospitals to reflect the applicable uniform percentage |
determined pursuant to paragraph (5). |
(1) Any recalculation to the |
statewide-standardized amounts for outpatient services |
provided by hospitals that are not Critical Access |
Hospitals shall be the amount necessary to achieve the |
increase in the statewide-standardized amounts for |
outpatient services increased by a uniform percentage, |
|
so that base claims projected reimbursement is |
increased by an amount equal to no less than the funds |
allocated in paragraph (1) of subsection (b) of |
Section 5A-12.6, less the amount allocated under |
paragraphs (8) and (9) of subsection (a) and |
paragraphs (3) and (4) of this subsection, for all |
hospitals that are not Critical Access Hospitals, |
multiplied by 46%. |
(2) It is the intent of the General Assembly that |
the recalculations required under this paragraph (7) |
by Public Act 100-1181 shall be applied prospectively |
to claims for dates of service provided on or after |
March 8, 2019 (the effective date of Public Act |
100-1181) and that no recoupment or repayment by the |
Department or an MCO of payments attributable to |
recalculation under this paragraph (7), issued to the |
hospital for dates of service on or after July 1, 2018 |
and before March 8, 2019 (the effective date of Public |
Act 100-1181), shall be permitted. |
(8) The Department shall ensure that all necessary |
adjustments to the managed care organization capitation |
base rates necessitated by the adjustments under |
subparagraph (6) or (7) of this subsection are completed |
and applied retroactively in accordance with Section |
5-30.8 of this Code within 90 days of March 8, 2019 (the |
effective date of Public Act 100-1181). |
|
(9) Within 60 days after federal approval of the |
change made to the assessment in Section 5A-2 by Public |
Act 101-650 this amendatory Act of the 101st General |
Assembly , the Department shall incorporate into the EAPG |
system for outpatient services those services performed by |
hospitals currently billed through the Non-Institutional |
Provider billing system. |
(b-5) Notwithstanding any other provision of this Section, |
beginning with dates of service on and after January 1, 2023, |
any general acute care hospital with more than 500 outpatient |
psychiatric Medicaid services to persons under 19 years of age |
in any calendar year shall be paid the outpatient add-on |
payment of no less than $113. |
(c) In consultation with the hospital community, the |
Department is authorized to replace 89 Ill. Adm. Admin. Code |
152.150 as published in 38 Ill. Reg. 4980 through 4986 within |
12 months of June 16, 2014 (the effective date of Public Act |
98-651). If the Department does not replace these rules within |
12 months of June 16, 2014 (the effective date of Public Act |
98-651), the rules in effect for 152.150 as published in 38 |
Ill. Reg. 4980 through 4986 shall remain in effect until |
modified by rule by the Department. Nothing in this subsection |
shall be construed to mandate that the Department file a |
replacement rule. |
(d) Transition period.
There shall be a transition period |
to the reimbursement systems authorized under this Section |
|
that shall begin on the effective date of these systems and |
continue until June 30, 2018, unless extended by rule by the |
Department. To help provide an orderly and predictable |
transition to the new reimbursement systems and to preserve |
and enhance access to the hospital services during this |
transition, the Department shall allocate a transitional |
hospital access pool of at least $290,000,000 annually so that |
transitional hospital access payments are made to hospitals. |
(1) After the transition period, the Department may |
begin incorporating the transitional hospital access pool |
into the base rate structure; however, the transitional |
hospital access payments in effect on June 30, 2018 shall |
continue to be paid, if continued under Section 5A-16. |
(2) After the transition period, if the Department |
reduces payments from the transitional hospital access |
pool, it shall increase base rates, develop new adjustors, |
adjust current adjustors, develop new hospital access |
payments based on updated information, or any combination |
thereof by an amount equal to the decreases proposed in |
the transitional hospital access pool payments, ensuring |
that the entire transitional hospital access pool amount |
shall continue to be used for hospital payments. |
(d-5) Hospital and health care transformation program. The |
Department shall develop a hospital and health care |
transformation program to provide financial assistance to |
hospitals in transforming their services and care models to |
|
better align with the needs of the communities they serve. The |
payments authorized in this Section shall be subject to |
approval by the federal government. |
(1) Phase 1. In State fiscal years 2019 through 2020, |
the Department shall allocate funds from the transitional |
access hospital pool to create a hospital transformation |
pool of at least $262,906,870 annually and make hospital |
transformation payments to hospitals. Subject to Section |
5A-16, in State fiscal years 2019 and 2020, an Illinois |
hospital that received either a transitional hospital |
access payment under subsection (d) or a supplemental |
payment under subsection (f) of this Section in State |
fiscal year 2018, shall receive a hospital transformation |
payment as follows: |
(A) If the hospital's Rate Year 2017 Medicaid |
inpatient utilization rate is equal to or greater than |
45%, the hospital transformation payment shall be |
equal to 100% of the sum of its transitional hospital |
access payment authorized under subsection (d) and any |
supplemental payment authorized under subsection (f). |
(B) If the hospital's Rate Year 2017 Medicaid |
inpatient utilization rate is equal to or greater than |
25% but less than 45%, the hospital transformation |
payment shall be equal to 75% of the sum of its |
transitional hospital access payment authorized under |
subsection (d) and any supplemental payment authorized |
|
under subsection (f). |
(C) If the hospital's Rate Year 2017 Medicaid |
inpatient utilization rate is less than 25%, the |
hospital transformation payment shall be equal to 50% |
of the sum of its transitional hospital access payment |
authorized under subsection (d) and any supplemental |
payment authorized under subsection (f). |
(2) Phase 2. |
(A) The funding amount from phase one shall be |
incorporated into directed payment and pass-through |
payment methodologies described in Section 5A-12.7. |
(B) Because there are communities in Illinois that |
experience significant health care disparities due to |
systemic racism, as recently emphasized by the |
COVID-19 pandemic, aggravated by social determinants |
of health and a lack of sufficiently allocated |
healthcare resources, particularly community-based |
services, preventive care, obstetric care, chronic |
disease management, and specialty care, the Department |
shall establish a health care transformation program |
that shall be supported by the transformation funding |
pool. It is the intention of the General Assembly that |
innovative partnerships funded by the pool must be |
designed to establish or improve integrated health |
care delivery systems that will provide significant |
access to the Medicaid and uninsured populations in |
|
their communities, as well as improve health care |
equity. It is also the intention of the General |
Assembly that partnerships recognize and address the |
disparities revealed by the COVID-19 pandemic, as well |
as the need for post-COVID care. During State fiscal |
years 2021 through 2027, the hospital and health care |
transformation program shall be supported by an annual |
transformation funding pool of up to $150,000,000, |
pending federal matching funds, to be allocated during |
the specified fiscal years for the purpose of |
facilitating hospital and health care transformation. |
No disbursement of moneys for transformation projects |
from the transformation funding pool described under |
this Section shall be considered an award, a grant, or |
an expenditure of grant funds. Funding agreements made |
in accordance with the transformation program shall be |
considered purchases of care under the Illinois |
Procurement Code, and funds shall be expended by the |
Department in a manner that maximizes federal funding |
to expend the entire allocated amount. |
The Department shall convene, within 30 days after |
March 12, 2021 ( the effective date of Public Act |
101-655) this amendatory Act of the 101st General |
Assembly , a workgroup that includes subject matter |
experts on healthcare disparities and stakeholders |
from distressed communities, which could be a |
|
subcommittee of the Medicaid Advisory Committee, to |
review and provide recommendations on how Department |
policy, including health care transformation, can |
improve health disparities and the impact on |
communities disproportionately affected by COVID-19. |
The workgroup shall consider and make recommendations |
on the following issues: a community safety-net |
designation of certain hospitals, racial equity, and a |
regional partnership to bring additional specialty |
services to communities. |
(C) As provided in paragraph (9) of Section 3 of |
the Illinois Health Facilities Planning Act, any |
hospital participating in the transformation program |
may be excluded from the requirements of the Illinois |
Health Facilities Planning Act for those projects |
related to the hospital's transformation. To be |
eligible, the hospital must submit to the Health |
Facilities and Services Review Board approval from the |
Department that the project is a part of the |
hospital's transformation. |
(D) As provided in subsection (a-20) of Section |
32.5 of the Emergency Medical Services (EMS) Systems |
Act, a hospital that received hospital transformation |
payments under this Section may convert to a |
freestanding emergency center. To be eligible for such |
a conversion, the hospital must submit to the |
|
Department of Public Health approval from the |
Department that the project is a part of the |
hospital's transformation. |
(E) Criteria for proposals. To be eligible for |
funding under this Section, a transformation proposal |
shall meet all of the following criteria: |
(i) the proposal shall be designed based on |
community needs assessment completed by either a |
University partner or other qualified entity with |
significant community input; |
(ii) the proposal shall be a collaboration |
among providers across the care and community |
spectrum, including preventative care, primary |
care specialty care, hospital services, mental |
health and substance abuse services, as well as |
community-based entities that address the social |
determinants of health; |
(iii) the proposal shall be specifically |
designed to improve healthcare outcomes and reduce |
healthcare disparities, and improve the |
coordination, effectiveness, and efficiency of |
care delivery; |
(iv) the proposal shall have specific |
measurable metrics related to disparities that |
will be tracked by the Department and made public |
by the Department; |
|
(v) the proposal shall include a commitment to |
include Business Enterprise Program certified |
vendors or other entities controlled and managed |
by minorities or women; and |
(vi) the proposal shall specifically increase |
access to primary, preventive, or specialty care. |
(F) Entities eligible to be funded. |
(i) Proposals for funding should come from |
collaborations operating in one of the most |
distressed communities in Illinois as determined |
by the U.S. Centers for Disease Control and |
Prevention's Social Vulnerability Index for |
Illinois and areas disproportionately impacted by |
COVID-19 or from rural areas of Illinois. |
(ii) The Department shall prioritize |
partnerships from distressed communities, which |
include Business Enterprise Program certified |
vendors or other entities controlled and managed |
by minorities or women and also include one or |
more of the following: safety-net hospitals, |
critical access hospitals, the campuses of |
hospitals that have closed since January 1, 2018, |
or other healthcare providers designed to address |
specific healthcare disparities, including the |
impact of COVID-19 on individuals and the |
community and the need for post-COVID care. All |
|
funded proposals must include specific measurable |
goals and metrics related to improved outcomes and |
reduced disparities which shall be tracked by the |
Department. |
(iii) The Department should target the funding |
in the following ways: $30,000,000 of |
transformation funds to projects that are a |
collaboration between a safety-net hospital, |
particularly community safety-net hospitals, and |
other providers and designed to address specific |
healthcare disparities, $20,000,000 of |
transformation funds to collaborations between |
safety-net hospitals and a larger hospital partner |
that increases specialty care in distressed |
communities, $30,000,000 of transformation funds |
to projects that are a collaboration between |
hospitals and other providers in distressed areas |
of the State designed to address specific |
healthcare disparities, $15,000,000 to |
collaborations between critical access hospitals |
and other providers designed to address specific |
healthcare disparities, and $15,000,000 to |
cross-provider collaborations designed to address |
specific healthcare disparities, and $5,000,000 to |
collaborations that focus on workforce |
development. |
|
(iv) The Department may allocate up to |
$5,000,000 for planning, racial equity analysis, |
or consulting resources for the Department or |
entities without the resources to develop a plan |
to meet the criteria of this Section. Any contract |
for consulting services issued by the Department |
under this subparagraph shall comply with the |
provisions of Section 5-45 of the State Officials |
and Employees Ethics Act. Based on availability of |
federal funding, the Department may directly |
procure consulting services or provide funding to |
the collaboration. The provision of resources |
under this subparagraph is not a guarantee that a |
project will be approved. |
(v) The Department shall take steps to ensure |
that safety-net hospitals operating in |
under-resourced communities receive priority |
access to hospital and healthcare transformation |
funds, including consulting funds, as provided |
under this Section. |
(G) Process for submitting and approving projects |
for distressed communities. The Department shall issue |
a template for application. The Department shall post |
any proposal received on the Department's website for |
at least 2 weeks for public comment, and any such |
public comment shall also be considered in the review |
|
process. Applicants may request that proprietary |
financial information be redacted from publicly posted |
proposals and the Department in its discretion may |
agree. Proposals for each distressed community must |
include all of the following: |
(i) A detailed description of how the project |
intends to affect the goals outlined in this |
subsection, describing new interventions, new |
technology, new structures, and other changes to |
the healthcare delivery system planned. |
(ii) A detailed description of the racial and |
ethnic makeup of the entities' board and |
leadership positions and the salaries of the |
executive staff of entities in the partnership |
that is seeking to obtain funding under this |
Section. |
(iii) A complete budget, including an overall |
timeline and a detailed pathway to sustainability |
within a 5-year period, specifying other sources |
of funding, such as in-kind, cost-sharing, or |
private donations, particularly for capital needs. |
There is an expectation that parties to the |
transformation project dedicate resources to the |
extent they are able and that these expectations |
are delineated separately for each entity in the |
proposal. |
|
(iv) A description of any new entities formed |
or other legal relationships between collaborating |
entities and how funds will be allocated among |
participants. |
(v) A timeline showing the evolution of sites |
and specific services of the project over a 5-year |
period, including services available to the |
community by site. |
(vi) Clear milestones indicating progress |
toward the proposed goals of the proposal as |
checkpoints along the way to continue receiving |
funding. The Department is authorized to refine |
these milestones in agreements, and is authorized |
to impose reasonable penalties, including |
repayment of funds, for substantial lack of |
progress. |
(vii) A clear statement of the level of |
commitment the project will include for minorities |
and women in contracting opportunities, including |
as equity partners where applicable, or as |
subcontractors and suppliers in all phases of the |
project. |
(viii) If the community study utilized is not |
the study commissioned and published by the |
Department, the applicant must define the |
methodology used, including documentation of clear |
|
community participation. |
(ix) A description of the process used in |
collaborating with all levels of government in the |
community served in the development of the |
project, including, but not limited to, |
legislators and officials of other units of local |
government. |
(x) Documentation of a community input process |
in the community served, including links to |
proposal materials on public websites. |
(xi) Verifiable project milestones and quality |
metrics that will be impacted by transformation. |
These project milestones and quality metrics must |
be identified with improvement targets that must |
be met. |
(xii) Data on the number of existing employees |
by various job categories and wage levels by the |
zip code of the employees' residence and |
benchmarks for the continued maintenance and |
improvement of these levels. The proposal must |
also describe any retraining or other workforce |
development planned for the new project. |
(xiii) If a new entity is created by the |
project, a description of how the board will be |
reflective of the community served by the |
proposal. |
|
(xiv) An explanation of how the proposal will |
address the existing disparities that exacerbated |
the impact of COVID-19 and the need for post-COVID |
care in the community, if applicable. |
(xv) An explanation of how the proposal is |
designed to increase access to care, including |
specialty care based upon the community's needs. |
(H) The Department shall evaluate proposals for |
compliance with the criteria listed under subparagraph |
(G). Proposals meeting all of the criteria may be |
eligible for funding with the areas of focus |
prioritized as described in item (ii) of subparagraph |
(F). Based on the funds available, the Department may |
negotiate funding agreements with approved applicants |
to maximize federal funding. Nothing in this |
subsection requires that an approved project be funded |
to the level requested. Agreements shall specify the |
amount of funding anticipated annually, the |
methodology of payments, the limit on the number of |
years such funding may be provided, and the milestones |
and quality metrics that must be met by the projects in |
order to continue to receive funding during each year |
of the program. Agreements shall specify the terms and |
conditions under which a health care facility that |
receives funds under a purchase of care agreement and |
closes in violation of the terms of the agreement must |
|
pay an early closure fee no greater than 50% of the |
funds it received under the agreement, prior to the |
Health Facilities and Services Review Board |
considering an application for closure of the |
facility. Any project that is funded shall be required |
to provide quarterly written progress reports, in a |
form prescribed by the Department, and at a minimum |
shall include the progress made in achieving any |
milestones or metrics or Business Enterprise Program |
commitments in its plan. The Department may reduce or |
end payments, as set forth in transformation plans, if |
milestones or metrics or Business Enterprise Program |
commitments are not achieved. The Department shall |
seek to make payments from the transformation fund in |
a manner that is eligible for federal matching funds. |
In reviewing the proposals, the Department shall |
take into account the needs of the community, data |
from the study commissioned by the Department from the |
University of Illinois-Chicago if applicable, feedback |
from public comment on the Department's website, as |
well as how the proposal meets the criteria listed |
under subparagraph (G). Alignment with the |
Department's overall strategic initiatives shall be an |
important factor. To the extent that fiscal year |
funding is not adequate to fund all eligible projects |
that apply, the Department shall prioritize |
|
applications that most comprehensively and effectively |
address the criteria listed under subparagraph (G). |
(3) (Blank). |
(4) Hospital Transformation Review Committee. There is |
created the Hospital Transformation Review Committee. The |
Committee shall consist of 14 members. No later than 30 |
days after March 12, 2018 (the effective date of Public |
Act 100-581), the 4 legislative leaders shall each appoint |
3 members; the Governor shall appoint the Director of |
Healthcare and Family Services, or his or her designee, as |
a member; and the Director of Healthcare and Family |
Services shall appoint one member. Any vacancy shall be |
filled by the applicable appointing authority within 15 |
calendar days. The members of the Committee shall select a |
Chair and a Vice-Chair from among its members, provided |
that the Chair and Vice-Chair cannot be appointed by the |
same appointing authority and must be from different |
political parties. The Chair shall have the authority to |
establish a meeting schedule and convene meetings of the |
Committee, and the Vice-Chair shall have the authority to |
convene meetings in the absence of the Chair. The |
Committee may establish its own rules with respect to |
meeting schedule, notice of meetings, and the disclosure |
of documents; however, the Committee shall not have the |
power to subpoena individuals or documents and any rules |
must be approved by 9 of the 14 members. The Committee |
|
shall perform the functions described in this Section and |
advise and consult with the Director in the administration |
of this Section. In addition to reviewing and approving |
the policies, procedures, and rules for the hospital and |
health care transformation program, the Committee shall |
consider and make recommendations related to qualifying |
criteria and payment methodologies related to safety-net |
hospitals and children's hospitals. Members of the |
Committee appointed by the legislative leaders shall be |
subject to the jurisdiction of the Legislative Ethics |
Commission, not the Executive Ethics Commission, and all |
requests under the Freedom of Information Act shall be |
directed to the applicable Freedom of Information officer |
for the General Assembly. The Department shall provide |
operational support to the Committee as necessary. The |
Committee is dissolved on April 1, 2019. |
(e) Beginning 36 months after initial implementation, the |
Department shall update the reimbursement components in |
subsections (a) and (b), including standardized amounts and |
weighting factors, and at least once every 4 years and no more |
frequently than annually thereafter. The Department shall |
publish these updates on its website no later than 30 calendar |
days prior to their effective date. |
(f) Continuation of supplemental payments. Any |
supplemental payments authorized under Illinois Administrative |
Code 148 effective January 1, 2014 and that continue during |
|
the period of July 1, 2014 through December 31, 2014 shall |
remain in effect as long as the assessment imposed by Section |
5A-2 that is in effect on December 31, 2017 remains in effect. |
(g) Notwithstanding subsections (a) through (f) of this |
Section and notwithstanding the changes authorized under |
Section 5-5b.1, any updates to the system shall not result in |
any diminishment of the overall effective rates of |
reimbursement as of the implementation date of the new system |
(July 1, 2014). These updates shall not preclude variations in |
any individual component of the system or hospital rate |
variations. Nothing in this Section shall prohibit the |
Department from increasing the rates of reimbursement or |
developing payments to ensure access to hospital services. |
Nothing in this Section shall be construed to guarantee a |
minimum amount of spending in the aggregate or per hospital as |
spending may be impacted by factors, including, but not |
limited to, the number of individuals in the medical |
assistance program and the severity of illness of the |
individuals. |
(h) The Department shall have the authority to modify by |
rulemaking any changes to the rates or methodologies in this |
Section as required by the federal government to obtain |
federal financial participation for expenditures made under |
this Section. |
(i) Except for subsections (g) and (h) of this Section, |
the Department shall, pursuant to subsection (c) of Section |
|
5-40 of the Illinois Administrative Procedure Act, provide for |
presentation at the June 2014 hearing of the Joint Committee |
on Administrative Rules (JCAR) additional written notice to |
JCAR of the following rules in order to commence the second |
notice period for the following rules: rules published in the |
Illinois Register, rule dated February 21, 2014 at 38 Ill. |
Reg. 4559 (Medical Payment), 4628 (Specialized Health Care |
Delivery Systems), 4640 (Hospital Services), 4932 (Diagnostic |
Related Grouping (DRG) Prospective Payment System (PPS)), and |
4977 (Hospital Reimbursement Changes), and published in the |
Illinois Register dated March 21, 2014 at 38 Ill. Reg. 6499 |
(Specialized Health Care Delivery Systems) and 6505 (Hospital |
Services).
|
(j) Out-of-state hospitals. Beginning July 1, 2018, for |
purposes of determining for State fiscal years 2019 and 2020 |
and subsequent fiscal years the hospitals eligible for the |
payments authorized under subsections (a) and (b) of this |
Section, the Department shall include out-of-state hospitals |
that are designated a Level I pediatric trauma center or a |
Level I trauma center by the Department of Public Health as of |
December 1, 2017. |
(k) The Department shall notify each hospital and managed |
care organization, in writing, of the impact of the updates |
under this Section at least 30 calendar days prior to their |
effective date. |
(Source: P.A. 101-81, eff. 7-12-19; 101-650, eff. 7-7-20; |
|
101-655, eff. 3-12-21; 102-682, eff. 12-10-21; 102-1037, eff. |
6-2-22; revised 8-22-22.)
|
(305 ILCS 5/Art. XV heading) |
ARTICLE XV .
|
COUNTY PROVIDER TRUST FUND
|
Section 548. The Rebuild Illinois Mental Health Workforce |
Act is amended by changing Section 20-10 as follows:
|
(305 ILCS 66/20-10)
|
Sec. 20-10. Medicaid funding for community mental health |
services. Medicaid funding for the specific community mental |
health services listed in this Act shall be adjusted and paid |
as set forth in this Act. Such payments shall be paid in |
addition to the base Medicaid reimbursement rate and add-on |
payment rates per service unit. |
(a) The payment adjustments shall begin on July 1, 2022 |
for State Fiscal Year 2023 and shall continue for every State |
fiscal year thereafter. |
(1) Individual Therapy Medicaid Payment rate for |
services provided under the H0004 Code: |
(A) The Medicaid total payment rate for individual |
therapy provided by a qualified mental health |
professional shall be increased by no less than $9 per |
service unit. |
|
(B) The Medicaid total payment rate for individual |
therapy provided by a mental health professional shall |
be increased by no less than then $9 per service unit. |
(2) Community Support - Individual Medicaid Payment |
rate for services provided under the H2015 Code: All |
community support - individual services shall be increased |
by no less than $15 per service unit. |
(3) Case Management Medicaid Add-on Payment for |
services provided under the T1016 code: All case |
management services rates shall be increased by no less |
than $15 per service unit. |
(4) Assertive Community Treatment Medicaid Add-on |
Payment for services provided under the H0039 code: The |
Medicaid total payment rate for assertive community |
treatment services shall increase by no less than $8 per |
service unit. |
(5) Medicaid user-based directed payments. |
(A) For each State fiscal year, a monthly directed |
payment shall be paid to a community mental health |
provider of community support team services based on |
the number of Medicaid users of community support team |
services documented by Medicaid fee-for-service and |
managed care encounter claims delivered by that |
provider in the base year. The Department of |
Healthcare and Family Services shall make the monthly |
directed payment to each provider entitled to directed |
|
payments under this Act by no later than the last day |
of each month throughout each State fiscal year. |
(i) The monthly directed payment for a |
community support team provider shall be |
calculated as follows: The sum total number of |
individual Medicaid users of community support |
team services delivered by that provider |
throughout the base year, multiplied by $4,200 per |
Medicaid user, divided into 12 equal monthly |
payments for the State fiscal year. |
(ii) As used in this subparagraph, "user" |
means an individual who received at least 200 |
units of community support team services (H2016) |
during the base year. |
(B) For each State fiscal year, a monthly directed |
payment shall be paid to each community mental health |
provider of assertive community treatment services |
based on the number of Medicaid users of assertive |
community treatment services documented by Medicaid |
fee-for-service and managed care encounter claims |
delivered by the provider in the base year. |
(i) The monthly direct payment for an |
assertive community treatment provider shall be |
calculated as follows: The sum total number of |
Medicaid users of assertive community treatment |
services provided by that provider throughout the |
|
base year, multiplied by $6,000 per Medicaid user, |
divided into 12 equal monthly payments for that |
State fiscal year. |
(ii) As used in this subparagraph, "user" |
means an individual that received at least 300 |
units of assertive community treatment services |
during the base year. |
(C) The base year for directed payments under this |
Section shall be calendar year 2019 for State Fiscal |
Year 2023 and State Fiscal Year 2024. For the State |
fiscal year beginning on July 1, 2024, and for every |
State fiscal year thereafter, the base year shall be |
the calendar year that ended 18 months prior to the |
start of the State fiscal year in which payments are |
made.
|
(b) Subject to federal approval, a one-time directed |
payment must be made in calendar year 2023 for community |
mental health services provided by community mental health |
providers. The one-time directed payment shall be for an |
amount appropriated for these purposes. The one-time directed |
payment shall be for services for Integrated Assessment and |
Treatment Planning and other intensive services, including, |
but not limited to, services for Mobile Crisis Response, |
crisis intervention, and medication monitoring. The amounts |
and services used for designing and distributing these |
one-time directed payments shall not be construed to require |
|
any future rate or funding increases for the same or other |
mental health services. |
(Source: P.A. 102-699, eff. 4-19-22; 102-1118, eff. 1-18-23; |
revised 1-23-23.)
|
Section 550. The Abused and Neglected Child Reporting Act |
is amended by changing Section 4 as follows:
|
(325 ILCS 5/4)
|
Sec. 4. Persons required to report; privileged |
communications;
transmitting false report. |
(a) The following persons are required to immediately |
report to the Department when they have reasonable cause to |
believe that a child known to them in their professional or |
official capacities may be an abused child or a neglected |
child: |
(1) Medical personnel, including any: physician |
licensed to practice medicine in any of its branches |
(medical doctor or doctor of osteopathy); resident; |
intern; medical administrator or personnel engaged in the |
examination, care, and treatment of persons; psychiatrist; |
surgeon; dentist; dental hygienist; chiropractic |
physician; podiatric physician; physician assistant; |
emergency medical technician; physical therapist; physical |
therapy assistant; occupational therapist; occupational |
therapy assistant; acupuncturist; registered nurse; |
|
licensed practical nurse; advanced practice registered |
nurse; genetic counselor; respiratory care practitioner; |
home health aide; or certified nursing assistant. |
(2) Social services and mental health personnel, |
including any: licensed professional counselor; licensed |
clinical professional counselor; licensed social worker; |
licensed clinical social worker; licensed psychologist or |
assistant working under the direct supervision of a |
psychologist; associate licensed marriage and family |
therapist; licensed marriage and family therapist; field |
personnel of the Departments of Healthcare and Family |
Services, Public Health, Human Services, Human Rights, or |
Children and Family Services; supervisor or administrator |
of the General Assistance program established under |
Article VI of the Illinois Public Aid Code; social |
services administrator; or substance abuse treatment |
personnel. |
(3) Crisis intervention personnel, including any: |
crisis line or hotline personnel; or domestic violence |
program personnel. |
(4)
Education personnel, including any: school |
personnel (including administrators and certified and |
non-certified school employees); personnel of institutions |
of higher education; educational advocate assigned to a |
child in accordance with 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 under subsection (d)); or truant officer. |
(5)
Recreation or athletic program or facility |
personnel; or an athletic trainer. |
(6)
Child care personnel, including any: early |
intervention provider as defined in the Early Intervention |
Services System Act; director or staff assistant of a |
nursery school or a child day care center; or foster |
parent, homemaker, or child care worker. |
(7)
Law enforcement personnel, including any: law |
enforcement officer; field personnel of the Department of |
Juvenile Justice; field personnel of the Department of |
Corrections; probation officer; or animal control officer |
or field investigator of the Department of Agriculture's |
Bureau of Animal Health and Welfare. |
(8)
Any funeral home director; funeral home director |
and embalmer; funeral home employee; coroner; or medical |
examiner. |
(9)
Any member of the clergy. |
(10) Any physician, physician assistant, registered |
nurse, licensed practical nurse, medical technician, |
certified nursing assistant, licensed social worker, |
licensed clinical social worker, or licensed professional |
counselor of any office, clinic, licensed behavior |
analyst, licensed assistant behavior analyst, or any other |
physical location that provides abortions, abortion |
|
referrals, or contraceptives. |
(b) When 2 or more persons who work within the same |
workplace and are required to report under this Act share a |
reasonable cause to believe that a child may be an abused or |
neglected child, one of those reporters may be designated to |
make a single report. The report shall include the names and |
contact information for the other mandated reporters sharing |
the reasonable cause to believe that a child may be an abused |
or neglected child. The designated reporter must provide |
written confirmation of the report to those mandated reporters |
within 48 hours. If confirmation is not provided, those |
mandated reporters are individually responsible for |
immediately ensuring a report is made. Nothing in this Section |
precludes or may be used to preclude any person from reporting |
child abuse or child neglect. |
(c)(1) As used in this Section, "a child known to them in |
their professional or official capacities" means: |
(A) the mandated reporter comes into contact with the |
child in the course of the reporter's employment or |
practice of a profession, or through a regularly scheduled |
program, activity, or service; |
(B) the mandated reporter is affiliated with an |
agency, institution, organization, school, school |
district, regularly established church or religious |
organization, or other entity that is directly responsible |
for the care, supervision, guidance, or training of the |
|
child; or |
(C) a person makes a specific disclosure to the |
mandated reporter that an identifiable child is the victim |
of child abuse or child neglect, and the disclosure |
happens while the mandated reporter is engaged in his or |
her employment or practice of a profession, or in a |
regularly scheduled program, activity, or service. |
(2) Nothing in this Section requires a child to come |
before the mandated reporter in order for the reporter to make |
a report of suspected child abuse or child neglect.
|
(d) 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.
|
(e) 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.
|
(f) In addition to the persons required to report |
suspected cases of child abuse or child neglect under this |
Section, 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. |
(g) 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.
|
(h) 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.
|
(i) 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. On and after January 1, 2019, the statement
shall |
also include information about available mandated reporter |
training provided by the Department. 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.
|
(j) Persons required to report child abuse or child |
neglect as provided under this Section must complete an |
initial mandated reporter training, including a section on |
implicit bias, within 3 months of their date of engagement in a |
professional or official capacity as a mandated reporter, or |
within the time frame of any other applicable State law that |
governs training requirements for a specific profession, and |
at least every 3 years thereafter. The initial requirement |
only applies to the first time they engage in their |
professional or official capacity. In lieu of training every 3 |
years, medical personnel, as listed in paragraph (1) of |
subsection (a), must meet the requirements described in |
|
subsection (k). |
The mandated reporter trainings shall be in-person or |
web-based, and shall include, at a minimum, information on the |
following topics: (i) indicators for recognizing child abuse |
and child neglect, as defined under this Act; (ii) the process |
for reporting suspected child abuse and child neglect in |
Illinois as required by this Act and the required |
documentation; (iii) responding to a child in a |
trauma-informed manner; and (iv) understanding the response of |
child protective services and the role of the reporter after a |
call has been made. Child-serving organizations are encouraged |
to provide in-person annual trainings. |
The implicit bias section shall be in-person or web-based, |
and shall include, at a minimum, information on the following |
topics: (i) implicit bias and (ii) racial and ethnic |
sensitivity. As used in this subsection, "implicit bias" means |
the attitudes or internalized stereotypes that affect people's |
perceptions, actions, and decisions in an unconscious manner |
and that exist and often contribute to unequal treatment of |
people based on race, ethnicity, gender identity, sexual |
orientation, age, disability, and other characteristics. The |
implicit bias section shall provide tools to adjust automatic |
patterns of thinking and ultimately eliminate discriminatory |
behaviors. During these trainings mandated reporters shall |
complete the following: (1) a pretest to assess baseline |
implicit bias levels; (2) an implicit bias training task; and |
|
(3) a posttest to reevaluate bias levels after training. The |
implicit bias curriculum for mandated reporters shall be |
developed within one year after January 1, 2022 ( the effective |
date of Public Act 102-604) this amendatory Act of the 102nd |
General Assembly and shall be created in consultation with |
organizations demonstrating expertise and or experience in the |
areas of implicit bias, youth and adolescent developmental |
issues, prevention of child abuse, exploitation, and neglect, |
culturally diverse family systems, and the child welfare |
system. |
The mandated reporter training, including a section on |
implicit bias, shall be provided through the Department, |
through an entity authorized to provide continuing education |
for professionals licensed through the Department of Financial |
and Professional Regulation, the State Board of Education, the |
Illinois Law Enforcement Training Standards Board, or the |
Illinois Department of State Police, or through an |
organization approved by the Department to provide mandated |
reporter training, including a section on implicit bias. The |
Department must make available a free web-based training for |
reporters. |
Each mandated reporter shall report to his or her employer |
and, when applicable, to his or her licensing or certification |
board that he or she received the mandated reporter training. |
The mandated reporter shall maintain records of completion. |
Beginning January 1, 2021, if a mandated reporter receives |
|
licensure from the Department of Financial and Professional |
Regulation or the State Board of Education, and his or her |
profession has continuing education requirements, the training |
mandated under this Section shall count toward meeting the |
licensee's required continuing education hours. |
(k)(1) Medical personnel, as listed in paragraph (1) of |
subsection (a), who work with children in their professional |
or official capacity, must complete mandated reporter training |
at least every 6 years. Such medical personnel, if licensed, |
must attest at each time of licensure renewal on their renewal |
form that they understand they are a mandated reporter of |
child abuse and neglect, that they are aware of the process for |
making a report, that they know how to respond to a child in a |
trauma-informed manner, and that they are aware of the role of |
child protective services and the role of a reporter after a |
call has been made. |
(2) In lieu of repeated training, medical personnel, as |
listed in paragraph (1) of subsection (a), who do not work with |
children in their professional or official capacity, may |
instead attest each time at licensure renewal on their renewal |
form that they understand they are a mandated reporter of |
child abuse and neglect, that they are aware of the process for |
making a report, that they know how to respond to a child in a |
trauma-informed manner, and that they are aware of the role of |
child protective services and the role of a reporter after a |
call has been made. Nothing in this paragraph precludes |
|
medical personnel from completing mandated reporter training |
and receiving continuing education credits for that training. |
(l) 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.
|
(m) 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).
|
(n) 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.
|
(o) 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.
|
(p) 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. |
(q) 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. |
(r) 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. 101-564, eff. 1-1-20; 102-604, eff. 1-1-22; |
102-861, eff. 1-1-23; 102-953, eff. 5-27-22; revised 2-5-23.)
|
Section 555. The Service Member Employment and |
|
Reemployment Rights Act is amended by changing Section 1-10 as |
follows:
|
(330 ILCS 61/1-10)
|
Sec. 1-10. Definitions. As used in this Act: |
"Accrue" means to accumulate in regular or increasing |
amounts over time subject to customary allocation of cost. |
"Active duty" means any full-time military service |
regardless of length or voluntariness including, but not |
limited to, annual training, full-time National Guard duty, |
and State active duty. "Active duty" does not include any form |
of inactive duty service such as drill duty or muster duty. |
"Active duty", unless provided otherwise, includes active duty |
without pay. |
"Active service" means all forms of active and inactive |
duty regardless of voluntariness including, but not limited |
to, annual training, active duty for training, initial active |
duty training, overseas training duty, full-time National |
Guard duty, active duty other than training, State active |
duty, mobilizations, and muster duty. "Active service", unless |
provided otherwise, includes active service without pay. |
"Active service" includes: |
(1) Reserve component voluntary active service means |
service under one of the following authorities: |
(A) any duty under 32 U.S.C. 502(f)(1)(B); |
(B) active guard reserve duty, operational |
|
support, or additional duty under 10 U.S.C. 12301(d) |
or 32 U.S.C. 502(f)(1)(B); |
(C) funeral honors under 10 U.S.C. 12503 or 32 |
U.S.C. 115; |
(D) duty at the National Guard Bureau under 10 |
U.S.C. 12402; |
(E) unsatisfactory participation under 10 U.S.C. |
10148 or 10 U.S.C. 12303; |
(F) discipline under 10 U.S.C. 802(d); |
(G) extended active duty under 10 U.S.C. 12311; |
and |
(H) reserve program administrator under 10 U.S.C. |
10211. |
(2) Reserve component involuntary active service |
includes, but is not limited to, service under one of the |
following authorities: |
(A) annual training or drill requirements under 10 |
U.S.C. 10147, 10 U.S.C. 12301(b) , or 32 U.S.C. |
502(a) ; . |
(B) additional training duty or other duty under |
32 U.S.C. 502(f)(1)(A); |
(C) pre-planned or pre-programmed combatant |
commander support under 10 U.S.C. 12304b; |
(D) mobilization under 10 U.S.C. 12301(a) or 10 |
U.S.C. 12302; |
(E) presidential reserve call-up under 10 U.S.C. |
|
12304; |
(F) emergencies and natural disasters under 10 |
U.S.C. 12304a or 14 U.S.C. 712; |
(G) muster duty under 10 U.S.C. 12319; |
(H) retiree recall under 10 U.S.C. 688; |
(I) captive status under 10 U.S.C. 12301(g); |
(J) insurrection under 10 U.S.C. 331, 10 U.S.C. |
332, or 10 U.S.C. 12406; |
(K) pending line of duty determination for |
response to sexual assault under 10 U.S.C. 12323; and |
(L) initial active duty for training under 10 |
U.S.C. 671. |
Reserve component active service not listed in paragraph |
(1) or (2) shall be considered involuntary active service |
under paragraph (2). |
"Active service without pay" means active service |
performed under any authority in which base pay is not |
received regardless of other allowances. |
"Annual training" means any active duty performed under |
Section 10147 or 12301(b) of Title 10 of the United States Code |
or under Section 502(a) of Title 32 of the United States Code. |
"Base pay" means the main component of military pay, |
whether active or inactive, based on rank and time in service. |
It does not include the addition of conditional funds for |
specific purposes such as allowances, incentive and special |
pay. Base pay, also known as basic pay, can be determined by |
|
referencing the appropriate military pay chart covering the |
time period in question located on the federal Defense Finance |
and Accounting Services website or as reflected on a federal |
Military Leave and Earnings Statement. |
"Benefits" includes, but is not limited to, the terms, |
conditions, or privileges of employment, including any |
advantage, profit, privilege, gain, status, account, or |
interest, including wages or salary for work performed, that |
accrues by reason of an employment contract or agreement or an |
employer policy, plan, or practice and includes rights and |
benefits under a pension plan, a health plan, an employee |
stock ownership plan, insurance coverage and awards, bonuses, |
severance pay, supplemental unemployment benefits, vacations, |
and the opportunity to select work hours or location of |
employment. |
"Differential compensation" means pay due when the |
employee's daily rate of compensation for military service is |
less than his or her daily rate of compensation as a public |
employee. |
"Employee" means anyone employed by an employer. |
"Employee" includes any person who is a citizen, national, or |
permanent resident of the United States employed in a |
workplace that the State has legal authority to regulate |
business and employment. "Employee" does not include an |
independent contractor. |
"Employer" means any person, institution, organization, or |
|
other entity that pays salary or wages for work performed or |
that has control over employment opportunities, including: |
(1) a person, institution, organization, or other |
entity to whom the employer has delegated the performance |
of employment-related responsibilities; |
(2) an employer of a public employee; |
(3) any successor in interest to a person, |
institution, organization, or other entity referred to |
under this definition; and |
(4) a person, institution, organization, or other |
entity that has been denied initial employment in |
violation of Section 5-15. |
"Inactive duty" means inactive duty training, including |
drills, consisting of regularly scheduled unit training |
assemblies, additional training assemblies, periods of |
appropriate duty or equivalent training, and any special |
additional duties authorized for reserve component personnel |
by appropriate military authority. "Inactive duty" does not |
include active duty. |
"Military leave" means a furlough or leave of absence |
while performing active service. It cannot be substituted for |
accrued vacation, annual, or similar leave with pay except at |
the sole discretion of the service member employee. It is not a |
benefit of employment that is requested but a legal |
requirement upon receiving notice of pending military service. |
"Military service" means: |
|
(1) Service in the Armed Forces of the United States, |
the National Guard of any state or territory regardless of |
status, and the State Guard as defined in the State Guard |
Act. "Military service", whether active or reserve, |
includes service under the authority of U.S.C. Titles 10, |
14, or 32, or State active duty. |
(2) Service in a federally recognized auxiliary of the |
United States Armed Forces when performing official duties |
in support of military or civilian authorities as a result |
of an emergency. |
(3) A period for which an employee is absent from a |
position of employment for the purpose of medical or |
dental treatment for a condition, illness, or injury |
sustained or aggravated during a period of active service |
in which treatment is paid by the United States Department |
of Defense Military Health System. |
"Public employee" means any person classified as a |
full-time employee of the State of Illinois, a unit of local |
government, a public institution of higher education as |
defined in Section 1 of the Board of Higher Education Act, or a |
school district, other than an independent contractor. |
"Reserve component" means the reserve components of |
Illinois and the United States Armed Forces regardless of |
status. |
"Service member" means any person who is a member of a |
military service. |
|
"State active duty" means full-time State-funded military |
duty under the command and control of the Governor and subject |
to the Military Code of Illinois. |
"Unit of local government" means any city, village, town, |
county, or special district.
|
(Source: P.A. 102-1030, eff. 5-27-22; revised 8-22-22.)
|
Section 560. The Community Mental Health Act is amended by |
changing Section 5 as follows:
|
(405 ILCS 20/5) (from Ch. 91 1/2, par. 305)
|
Sec. 5. (a) When the governing body of a governmental unit |
passes a
resolution as provided in Section 4 asking that an |
annual tax may be
levied for the purpose of providing such |
mental health facilities and
services, including facilities |
and services for the person with a
developmental disability or |
a substance use disorder, in the community and so
instructs |
the clerk of the governmental unit such clerk shall certify |
the
proposition to the proper election officials for |
submission at a regular
election in accordance with the |
general election law. The proposition shall be
in the |
following form:
|
-------------------------------------------------------------
|
Shall............ (governmental
|
unit) levy an annual tax of (not YES
|
more than .15%) for the purpose of providing
|
|
community mental health facilities and ---------------
|
services including facilities and services
|
for persons the person with a developmental NO
|
disability or a substance use disorder?
|
-------------------------------------------------------------
|
(a-5) If the governmental unit is also subject to the |
Property Tax Extension Limitation Law, then the proposition |
shall also comply with the Property Tax Extension Limitation |
Law. Notwithstanding any provision of this subsection, any |
referendum imposing an annual tax on or after January 1, 1994 |
and prior to May 13, 2022 ( the effective date of Public Act |
102-839) this amendatory Act of the 102nd General Assembly |
that complies with subsection (a) is hereby validated. |
(b) If a majority of all the votes cast upon the |
proposition are for the
levy of such tax, the governing
body of |
such governmental unit shall
thereafter annually levy a tax |
not to exceed the rate set forth in
Section 4. Thereafter, the |
governing body shall in the annual
appropriation bill |
appropriate from such funds such sum or sums of money
as may be |
deemed necessary, based upon the community mental health
|
board's budget, the board's annual mental health report, and |
the local
mental health plan to defray necessary expenses and |
liabilities in
providing for such community mental health |
facilities and services.
|
(c) If the governing body of a governmental unit levies a |
tax under Section 4 of this Act and the rate specified in the |
|
proposition under subsection (a) of this Section is less than |
0.15%, then the governing body of the governmental unit may, |
upon referendum approval, increase that rate to not more than |
0.15%. The governing body shall instruct the clerk of the |
governmental unit to certify the
proposition to the proper |
election officials for submission at a regular
election in |
accordance with the general election law. The proposition |
shall be
in the following form: |
"Shall the tax imposed by (governmental unit) for the |
purpose of providing community mental health facilities |
and services, including facilities and services for |
persons with a developmental disability or substance use |
disorder be increased to (not more than 0.15%)?" |
If a majority of all the votes cast upon the proposition |
are for the
increase of the tax, then the governing
body of the |
governmental unit may
thereafter annually levy a tax not to |
exceed the rate set forth in the referendum question. |
(Source: P.A. 102-839, eff. 5-13-22; 102-935, eff. 7-1-22; |
revised 8-25-22.)
|
Section 565. The Children's Mental Health Act is amended |
by changing Section 5 as follows:
|
(405 ILCS 49/5)
|
Sec. 5. Children's Mental Health Partnership; Children's |
Mental Health Plan.
|
|
(a) The Children's Mental Health Partnership (hereafter |
referred to as "the Partnership") created under Public Act |
93-495 and continued under Public Act 102-899 this amendatory |
Act of the 102nd General Assembly shall advise State agencies |
on designing and implementing short-term and long-term |
strategies to provide comprehensive and coordinated services |
for children from birth to age 25 and their families with the |
goal of addressing children's mental health needs across a |
full continuum of care, including social determinants of |
health, prevention, early identification, and treatment. The |
recommended strategies shall build upon the recommendations in |
the Children's Mental Health Plan of 2022 and may include, but |
are not limited to, recommendations regarding the following:
|
(1) Increasing public awareness on issues connected to |
children's mental health and wellness to decrease stigma, |
promote acceptance, and strengthen the ability of |
children, families, and communities to access supports.
|
(2) Coordination of programs, services, and policies |
across child-serving State agencies to best monitor and |
assess spending, as well as foster innovation of adaptive |
or new practices.
|
(3) Funding and resources for children's mental health |
prevention, early identification, and treatment across |
child-serving State agencies.
|
(4) Facilitation of research on best practices and |
model programs and dissemination of this information to |
|
State policymakers, practitioners, and the general public.
|
(5) Monitoring programs, services, and policies |
addressing children's mental health and wellness.
|
(6) Growing, retaining, diversifying, and supporting |
the child-serving workforce, with special emphasis on |
professional development around child and family mental |
health and wellness services.
|
(7) Supporting the design, implementation, and |
evaluation of a quality-driven children's mental health |
system of care across all child services that prevents |
mental health concerns and mitigates trauma.
|
(8) Improving the system to more effectively meet the |
emergency and residential placement needs for all children |
with severe mental and behavioral challenges.
|
(b) The Partnership shall have the responsibility of
|
developing and updating the Children's Mental Health Plan and |
advising the relevant State agencies on implementation of the |
Plan. The Children's Mental Health Partnership shall be |
comprised of the following members: |
(1) The Governor or his or her designee. |
(2) The Attorney General or his or her designee. |
(3) The Secretary of the Department of Human Services |
or his or her designee. |
(4) The State Superintendent of Education or his or |
her designee. |
(5) The Director of the Department of Children and |
|
Family Services or his or her designee. |
(6) The Director of the Department of Healthcare and |
Family Services or his or her designee. |
(7) The Director of the Department of Public Health or |
his or her designee. |
(8) The Director of the Department of Juvenile Justice |
or his or her designee. |
(9) The Executive Director of the Governor's Office of |
Early Childhood Development or his or her designee. |
(10) The Director of the Criminal Justice Information |
Authority or his or her designee. |
(11) One member of the General Assembly appointed by |
the Speaker of the House. |
(12) One member of the General Assembly appointed by |
the President of the Senate. |
(13) One member of the General Assembly appointed by |
the Minority Leader of the Senate. |
(14) One member of the General Assembly appointed by |
the Minority Leader of the House. |
(15) Up to 25 representatives from the public |
reflecting a diversity of age, gender identity, race, |
ethnicity, socioeconomic status, and geographic location, |
to be appointed by the Governor. Those public members |
appointed under this paragraph must include, but are not |
limited to: |
(A) a family member or individual with lived |
|
experience in the children's mental health system; |
(B) a child advocate; |
(C) a community mental health expert, |
practitioner, or provider; |
(D) a representative of a statewide association |
representing a majority of hospitals in the State; |
(E) an early childhood expert or practitioner; |
(F) a representative from the K-12 school system; |
(G) a representative from the healthcare sector; |
(H) a substance use prevention expert or |
practitioner, or a representative of a statewide |
association representing community-based mental health |
substance use disorder treatment providers in the |
State; |
(I) a violence prevention expert or practitioner; |
(J) a representative from the juvenile justice |
system; |
(K) a school social worker; and |
(L) a representative of a statewide organization |
representing pediatricians. |
(16) Two co-chairs appointed by the Governor, one |
being a representative from the public and one being a |
representative from the State. |
The members appointed by the Governor shall be appointed |
for 4 years with one opportunity for reappointment, except as |
otherwise provided for in this subsection. Members who were |
|
appointed by the Governor and are serving on January 1, 2023 |
( the effective date of Public Act 102-899) this amendatory Act |
of the 102nd General Assembly shall maintain their appointment |
until the term of their appointment has expired. For new |
appointments made pursuant to Public Act 102-899 this |
amendatory Act of the 102nd General Assembly , members shall be |
appointed for one-year, 2-year two-year , or 4-year four-year |
terms, as determined by the Governor, with no more than 9 of |
the Governor's new or existing appointees serving the same |
term. Those new appointments serving a one-year or 2-year term |
may be appointed to 2 additional 4-year terms. If a vacancy |
occurs in the Partnership membership, the vacancy shall be |
filled in the same manner as the original appointment for the |
remainder of the term. |
The Partnership shall be convened no later than January |
31, 2023 to discuss the changes in Public Act 102-899 this |
amendatory Act of the 102nd General Assembly . |
The members of the Partnership shall serve without |
compensation but may be entitled to reimbursement for all |
necessary expenses incurred in the performance of their |
official duties as members of the Partnership from funds |
appropriated for that purpose. |
The Partnership may convene and appoint special committees |
or study groups to operate under the direction of the |
Partnership. Persons appointed to such special committees or |
study groups shall only receive reimbursement for reasonable |
|
expenses.
|
(b-5) The Partnership shall include an adjunct council |
comprised of no more than 6 youth aged 14 to 25 and 4 |
representatives of 4 different community-based community based |
organizations that focus on youth mental health. Of the |
community-based organizations that focus on youth mental |
health, one of the community-based organizations shall be led |
by an LGBTQ-identified person, one of the community-based |
organizations shall be led by a person of color, and one of the |
community-based organizations shall be led by a woman. Of the |
representatives appointed to the council from the |
community-based organizations, at least one representative |
shall be LGBTQ-identified, at least one representative shall |
be a person of color, and at least one representative shall be |
a woman. The council members shall be appointed by the Chair of |
the Partnership and shall reflect the racial, gender identity, |
sexual orientation, ability, socioeconomic, ethnic, and |
geographic diversity of the State, including rural, suburban, |
and urban appointees. The council shall make recommendations |
to the Partnership regarding youth mental health, including, |
but not limited to, identifying barriers to youth feeling |
supported by and empowered by the system of mental health and |
treatment providers, barriers perceived by youth in accessing |
mental health services, gaps in the mental health system, |
available resources in schools, including youth's perceptions |
and experiences with outreach personnel, agency websites, and |
|
informational materials, methods to destigmatize mental health |
services, and how to improve State policy concerning student |
mental health. The mental health system may include services |
for substance use disorders and addiction. The council shall |
meet at least 4 times annually. |
(c) (Blank).
|
(d) The Illinois Children's Mental Health Partnership has |
the following powers and duties: |
(1) Conducting research assessments to determine the |
needs and gaps of programs, services, and policies that |
touch children's mental health. |
(2) Developing policy statements for interagency |
cooperation to cover all aspects of mental health |
delivery, including social determinants of health, |
prevention, early identification, and treatment. |
(3) Recommending policies and providing provide |
information on effective programs for delivery of mental |
health services. |
(4) Using funding from federal, State state , or |
philanthropic partners, to fund pilot programs or research |
activities to resource innovative practices by |
organizational partners that will address children's |
mental health. However, the Partnership may not provide |
direct services. |
(5) Submitting an annual report, on or before December |
30 of each year, to the Governor and the General Assembly |
|
on the progress of the Plan, any recommendations regarding |
State policies, laws, or rules necessary to fulfill the |
purposes of the Act, and any additional recommendations |
regarding mental or behavioral health that the Partnership |
deems necessary. |
(6) Employing an Executive Director and setting the |
compensation of the Executive Director and other such |
employees and technical assistance as it deems necessary |
to carry out its duties under this Section. |
The Partnership may designate a fiscal and administrative |
agent that can accept funds to carry out its duties as outlined |
in this Section. |
The Department of Healthcare and Family Services shall |
provide technical and administrative support for the |
Partnership. |
(e) The Partnership may accept monetary gifts or grants |
from the federal government or any agency thereof, from any |
charitable foundation or professional association, or from any |
reputable source for implementation of any program necessary |
or desirable to carry out the powers and duties as defined |
under this Section. |
(f) On or before January 1, 2027, the Partnership shall |
submit recommendations to the Governor and General Assembly |
that includes recommended updates to the Act to reflect the |
current mental health landscape in this State. |
(Source: P.A. 102-16, eff. 6-17-21; 102-116, eff. 7-23-21; |
|
102-899, eff. 1-1-23; 102-1034, eff. 1-1-23; revised |
12-14-22.)
|
Section 570. The Mental Health Inpatient Facility Access |
Act is amended by changing Section 10 as follows:
|
(405 ILCS 140/10)
|
Sec. 10. Strategic plan on improving access to inpatient |
psychiatric beds. The Department of Human Services' Division |
of Mental Health shall develop a written, strategic plan that |
comprehensively addresses improving access to inpatient |
psychiatric beds in State-operated mental health facilities |
for individuals needing a hospital level of care. This plan |
shall address achieving the best use of State-operated |
psychiatric beds across Illinois, with strategies specifically |
to mitigate inefficient use of forensic beds and reduce |
lengths of stays for the forensic population. A comprehensive |
approach to this plan shall include training and education, |
ongoing assessment of individuals receiving inpatient |
services, reviewing and updating policies and procedures, and |
increasing community-based capacity for individuals in all |
State-operated forensic beds. The plan shall include: |
(1) Annual training. Required annual training for all |
State-operated inpatient mental health facility clinicians |
shall include: |
(A) Best practices for evaluating whether |
|
individuals found not guilty by reason of insanity or |
unfit to stand trial meet the legal criteria for |
inpatient treatment. |
(B) Best practices for determining appropriate |
treatment for individuals found not guilty by reason |
of insanity or unfit to stand trial. |
(C) The requirements of treatment plan reports. |
(D) The types of mental health services available |
following discharge, including, but not limited to: |
assertive community treatment, community support |
teams, supportive housing, medication management, |
psychotherapy, peer support services, specialized |
mental health rehabilitation facilities, and nursing |
homes. |
(2) Regular and periodic assessment of mental health |
condition and progress. At least once every year following |
the admission of any individual under Section 5-2-4 of the |
Unified Code of Corrections or Section 104-17 of the Code |
of Criminal Procedure of 1963, the Director of the |
Division of Mental Health, or his or her designee, shall |
meet with the treatment team assigned to that individual |
to review whether: |
(A) The individual continues to meet the standard |
for inpatient care. |
(B) The individual may be appropriate for |
unsupervised on-grounds privileges, off-grounds |
|
privileges (with or without escort by personnel of the |
Department of Human Services), home visits, and |
participation in work programs. |
(C) The current treatment plan is reasonably |
expected to result in the improvement of the |
individual's clinical condition so that the individual |
no longer needs inpatient treatment, and, if not, what |
other treatments or placements are available to meet |
the individual's needs and safety. |
(3) Updated policies and procedures. |
(A) Revise facility policies and procedures to |
increase opportunities for home visits and work |
programs that assist with community reintegration. |
This shall include a review of unsupervised on-grounds |
privileges, off-grounds privileges (with or without |
escort by personnel of the Department of Human |
Services), home visits, and participation in work or |
educational programs to ensure that policies do not |
limit the ability to approve these activities. The |
plan shall also address the frequency for which |
individuals are assessed to be eligible for these |
activities. |
(B) Ensure all individuals found unfit to stand |
trial or not guilty by reason of insanity , who can be |
treated on an outpatient basis are recommended for |
outpatient services. |
|
(C) Develop benchmarks to ensure that: |
(i) every individual found unfit to stand |
trial or not guilty by reason of insanity who has |
been committed by a court to the Department for |
treatment shall be admitted to a Department |
facility within the time periods set forth in
|
subsection (b) of Section 104-17 of the Code of
|
Criminal Procedure of 1963 and subsection (a) of
|
Section 5-2-4 of Unified Code of Corrections; and |
(ii) no individual who needs inpatient |
psychiatric care remains in an emergency |
department of any hospital or in any other |
non-psychiatric unit longer than 48 hours. |
(4) Building community treatment capacity. |
(A) Specific steps to increase access to |
community-based mental health services that provide |
(i) outpatient alternatives to those being assessed |
for inpatient stays at State-operated inpatient mental |
health facilities and (ii) step-down services for |
those no longer meeting inpatient stay criteria, |
specifically the population of individuals found not |
guilty by reason of insanity. Such steps must |
specifically identify community-based treatment |
alternatives and how these services will be funded. |
(B) Specific steps to ensure each State-operated |
inpatient mental health facility has sufficient |
|
qualified psychiatrists, psychologists, social |
workers, peer support professionals, and other staff |
so that the Department may provide adequate and humane |
care and services for all patients. That plan shall |
include: |
(i) an assessment of whether the salary and |
other benefits provided to professional staff are |
sufficient to attract and retain staff; |
(ii) an assessment of the annual budget needed |
to attract and retain staff; |
(iii) an assessment of any other impediments |
to attracting and retaining staff, and a |
mitigation plan for those impediments; and |
(iv) a detailed plan for recruiting |
psychiatrists, psychologists, social workers, peer |
support professionals, and other mental health |
staff. |
(5) Certification of mental health clinicians. The |
Division of Mental Health shall outline in the strategic
|
plan a plan for training, implementing standard
|
qualifications, and credentialing all psychiatrists, |
clinical social workers, clinical psychologists, and |
qualified examiners who conduct any evaluations, as |
employees, agents, or vendors of the Division concerning: |
(A) findings of unfitness to stand trial and all |
other evaluations of individuals receiving treatment |
|
in accordance with Section 104-10 of the Code of |
Criminal Procedure of 1963: |
(B) individuals receiving treatment in accordance |
with Section 5-2-4 of the Unified Code of Corrections; |
(C) whether individuals are subject to involuntary |
admission on an inpatient or outpatient basis in |
accordance with the Mental Health and Developmental |
Disabilities Code; and |
(D) whether individuals are subject to |
court-ordered treatment in accordance with Section |
2-107.1 of the Mental Health and Developmental |
Disabilities Code. |
Such evaluations shall include any treatment reports |
required under the Code of Criminal Procedure of 1963 or |
the Mental Health and Developmental Disabilities Code. |
(6) There shall be stakeholder input during the |
planning process from the Division of Mental Health's |
forensic workgroup.
|
(Source: P.A. 102-913, eff. 5-27-22; revised 8-19-22.)
|
Section 575. The Ensuring a More Qualified, Competent, and |
Diverse Community Behavioral Health Workforce Act is amended |
by changing Section 1-5 as follows:
|
(405 ILCS 145/1-5)
|
Sec. 1-5. Findings. The General Assembly finds that: |
|
(1) The behavioral health workforce shortage, already |
at dire levels before 2020, has been exacerbated by the |
COVID-19 pandemic and is at a crisis point. |
(2) Behavioral health workforce shortages, |
particularly licensed clinical staff, staff turnover in |
all positions, and workforce development are major |
concerns in the behavioral health field. |
(3) By 2026, unfilled mental healthcare jobs in |
Illinois are expected to reach 8,353, according to |
Mercer's 2021 External Healthcare Labor Market Analysis. |
(4) Community-based Community based mental health |
agencies often serve as training or supervision sites for |
interns and new entrants to the workforce seeking |
supervision hours to meet licensure requirements. These |
professionals are mandated to complete up to 3000 hours of |
supervised clinical experience. This places financial and |
time-resource hardships on these already lean |
organizations to provide the supervision. |
(5) Many new mental health clinicians have to pay an |
estimated $10,000-$30,000 in fees for supervision |
according to Motivo. The amount is unaffordable for many |
students, particularly lower-income students, who graduate |
with tens of thousands of dollars in debt. |
(6) Community mental health agencies frequently serve |
the most complex and chronically ill behavioral health |
clients, which can be a challenging population for new |
|
entrants to the workforce. Many times, professionals leave |
for better-paid opportunities with lower acuity patients |
after completing their facility-sponsored supervision |
requirements. |
(7) The lack of compensation for serving as a training |
or supervision site and staff turnover adversely impact |
the ability of agencies to better prepare the workforce |
and meet the needs of their behavioral health clients. |
(8) Recognizing and providing financial support for |
this function will help community-based agencies provide |
more training or supervision opportunities and may also |
assist with recruiting and retaining professionals at |
these sites. |
(9) Providing financial support for this role would |
help to address reductions in standard clinical |
productivity as a result of time spent supervising new |
workers, enabling better absorption of the costs of high |
turnover, or allowing for these settings to staff |
appropriately to support training or supervision. |
(10) For individuals seeking their licensure, |
roadblocks to supervision include cost-prohibitive fees, |
difficulty finding supervisors, and an even greater |
supervisor shortage in rural areas. |
(11) Beyond fulfilling the required hours to get |
licensed, clinical supervision has a profound impact on |
the trajectory of an individual's career and the lives of |
|
their clients. Ultimately, effective clinical supervision |
helps ensure that clients are competently served. |
(12) At a time when behavioral health providers report |
crisis level wait lists that force individuals seeking |
care to wait for months before they receive care, now more |
than ever, we need immediate solutions to help strengthen |
our State's behavioral health workforce.
|
(Source: P.A. 102-1053, eff. 6-10-22; revised 8-19-22.)
|
Section 580. The Sexual Assault Survivors Emergency |
Treatment Act is amended by changing Sections 1a, 1a-1, 2-1, |
5-1, 5.4, 7, 7-1, and 9.5 as follows:
|
(410 ILCS 70/1a) (from Ch. 111 1/2, par. 87-1a)
|
Sec. 1a. Definitions. |
(a) In this Act:
|
"Advanced practice registered nurse" has the meaning |
provided in Section 50-10 of the Nurse Practice Act. |
"Ambulance provider" means an individual or entity that |
owns and operates a business or service using ambulances or |
emergency medical services vehicles to transport emergency |
patients.
|
"Approved pediatric health care facility" means a health |
care facility, other than a hospital, with a sexual assault |
treatment plan approved by the Department to provide medical |
forensic services to sexual assault survivors under the age of |
|
18 who present with a complaint of sexual assault within a |
minimum of the last 7 days or who have disclosed past sexual |
assault by a specific individual and were in the care of that |
individual within a minimum of the last 7 days. |
"Areawide sexual assault treatment plan" means a plan, |
developed by hospitals or by hospitals and approved pediatric |
health care facilities in a community or area to be served, |
which provides for medical forensic services to sexual assault |
survivors that shall be made available by each of the |
participating hospitals and approved pediatric health care |
facilities.
|
"Board-certified child abuse pediatrician" means a |
physician certified by the American Board of Pediatrics in |
child abuse pediatrics. |
"Board-eligible child abuse pediatrician" means a |
physician who has completed the requirements set forth by the |
American Board of Pediatrics to take the examination for |
certification in child abuse pediatrics. |
"Department" means the Department of Public Health.
|
"Emergency contraception" means medication as approved by |
the federal Food and Drug Administration (FDA) that can |
significantly reduce the risk of pregnancy if taken within 72 |
hours after sexual assault.
|
"Follow-up healthcare" means healthcare services related |
to a sexual assault, including laboratory services and |
pharmacy services, rendered within 180 days of the initial |
|
visit for medical forensic services.
|
"Health care professional" means a physician, a physician |
assistant, a sexual assault forensic examiner, an advanced |
practice registered nurse, a registered professional nurse, a |
licensed practical nurse, or a sexual assault nurse examiner.
|
"Hospital" means a hospital licensed under the Hospital |
Licensing Act or operated under the University of Illinois |
Hospital Act, any outpatient center included in the hospital's |
sexual assault treatment plan where hospital employees provide |
medical forensic services, and an out-of-state hospital that |
has consented to the jurisdiction of the Department under |
Section 2.06.
|
"Illinois State Police Sexual Assault Evidence Collection |
Kit" means a prepackaged set of materials and forms to be used |
for the collection of evidence relating to sexual assault. The |
standardized evidence collection kit for the State of Illinois |
shall be the Illinois State Police Sexual Assault Evidence |
Collection Kit.
|
"Law enforcement agency having jurisdiction" means the law |
enforcement agency in the jurisdiction where an alleged sexual |
assault or sexual abuse occurred. |
"Licensed practical nurse" has the meaning provided in |
Section 50-10 of the Nurse Practice Act. |
"Medical forensic services" means health care delivered to |
patients within or under the care and supervision of personnel |
working in a designated emergency department of a hospital or |
|
an approved pediatric health care facility. "Medical forensic |
services" includes, but is not limited to, taking a medical |
history, performing photo documentation, performing a physical |
and anogenital examination, assessing the patient for evidence |
collection, collecting evidence in accordance with a statewide |
sexual assault evidence collection program administered by the |
Illinois State Police using the Illinois State Police Sexual |
Assault Evidence Collection Kit, if appropriate, assessing the |
patient for drug-facilitated or alcohol-facilitated sexual |
assault, providing an evaluation of and care for sexually |
transmitted infection and human immunodeficiency virus (HIV), |
pregnancy risk evaluation and care, and discharge and |
follow-up healthcare planning. |
"Pediatric health care facility" means a clinic or |
physician's office that provides medical services to patients |
under the age of 18. |
"Pediatric sexual assault survivor" means a person under |
the age of 13 who presents for medical forensic services in |
relation to injuries or trauma resulting from a sexual |
assault. |
"Photo documentation" means digital photographs or |
colposcope videos stored and backed up securely in the |
original file format. |
"Physician" means a person licensed to practice medicine |
in all its branches.
|
"Physician assistant" has the meaning provided in Section |
|
4 of the Physician Assistant Practice Act of 1987. |
"Prepubescent sexual assault survivor" means a female who |
is under the age of 18 years and has not had a first menstrual |
cycle or a male who is under the age of 18 years and has not |
started to develop secondary sex characteristics who presents |
for medical forensic services in relation to injuries or |
trauma resulting from a sexual assault. |
"Qualified medical provider" means a board-certified child |
abuse pediatrician, board-eligible child abuse pediatrician, a |
sexual assault forensic examiner, or a sexual assault nurse |
examiner who has access to photo documentation tools, and who |
participates in peer review. |
"Registered Professional Nurse" has the meaning provided |
in Section 50-10 of the Nurse Practice Act. |
"Sexual assault" means: |
(1) an act of sexual conduct; as used in this |
paragraph, "sexual conduct" has the meaning provided under |
Section 11-0.1 of the Criminal Code of 2012; or |
(2) any act of sexual penetration; as used in this |
paragraph, "sexual penetration" has the meaning provided |
under Section 11-0.1 of the Criminal Code of 2012 and |
includes, without limitation, acts prohibited under |
Sections 11-1.20 through 11-1.60 of the Criminal Code of |
2012.
|
"Sexual assault forensic examiner" means a physician or |
physician assistant who has completed training that meets or |
|
is substantially similar to the Sexual Assault Nurse Examiner |
Education Guidelines established by the International |
Association of Forensic Nurses. |
"Sexual assault nurse examiner" means an advanced practice |
registered nurse or registered professional nurse who has |
completed a sexual assault nurse examiner training program |
that meets the Sexual Assault Nurse Examiner Education |
Guidelines established by the International Association of |
Forensic Nurses. |
"Sexual assault services voucher" means a document |
generated by a hospital or approved pediatric health care |
facility at the time the sexual assault survivor receives |
outpatient medical forensic services that may be used to seek |
payment for any ambulance services, medical forensic services, |
laboratory services, pharmacy services, and follow-up |
healthcare provided as a result of the sexual assault. |
"Sexual assault survivor" means a person who presents for |
medical forensic services in relation to injuries or trauma |
resulting from a sexual assault.
|
"Sexual assault transfer plan" means a written plan |
developed by a hospital and approved by the Department, which |
describes the hospital's procedures for transferring sexual |
assault survivors to another hospital, and an approved |
pediatric health care facility, if applicable, in order to |
receive medical forensic services. |
"Sexual assault treatment plan" means a written plan that |
|
describes the procedures and protocols for providing medical |
forensic services to sexual assault survivors who present |
themselves for such services, either directly or through |
transfer from a hospital or an approved pediatric health care |
facility.
|
"Transfer hospital" means a hospital with a sexual assault |
transfer plan approved by the Department. |
"Transfer services" means the appropriate medical |
screening examination and necessary stabilizing treatment |
prior to the transfer of a sexual assault survivor to a |
hospital or an approved pediatric health care facility that |
provides medical forensic services to sexual assault survivors |
pursuant to a sexual assault treatment plan or areawide sexual |
assault treatment plan.
|
"Treatment hospital" means a hospital with a sexual |
assault treatment plan approved by the Department to provide |
medical forensic services to all sexual assault survivors who |
present with a complaint of sexual assault within a minimum of |
the last 7 days or who have disclosed past sexual assault by a |
specific individual and were in the care of that individual |
within a minimum of the last 7 days. |
"Treatment hospital with approved pediatric transfer" |
means a hospital with a treatment plan approved by the |
Department to provide medical forensic services to sexual |
assault survivors 13 years old or older who present with a |
complaint of sexual assault within a minimum of the last 7 days |
|
or who have disclosed past sexual assault by a specific |
individual and were in the care of that individual within a |
minimum of the last 7 days. |
(b) This Section is effective on and after January 1, |
2024. |
(Source: P.A. 101-81, eff. 7-12-19; 101-634, eff. 6-5-20; |
102-22, eff. 6-25-21; 102-538, eff. 8-20-21; 102-674, eff. |
11-30-21; 102-813, eff. 5-13-22; 102-1097, eff. 1-1-23; |
102-1106, eff. 1-1-23; revised 12-19-22.)
|
(410 ILCS 70/1a-1) |
(Section scheduled to be repealed on December 31, 2023) |
Sec. 1a-1. Definitions. |
(a) In this Act: |
"Advanced practice registered nurse" has the meaning |
provided in Section 50-10 of the Nurse Practice Act. |
"Ambulance provider" means an individual or entity that |
owns and operates a business or service using ambulances or |
emergency medical services vehicles to transport emergency |
patients. |
"Approved pediatric health care facility" means a health |
care facility, other than a hospital, with a sexual assault |
treatment plan approved by the Department to provide medical |
forensic services to sexual assault survivors under the age of |
18 who present with a complaint of sexual assault within a |
minimum of the last 7 days or who have disclosed past sexual |
|
assault by a specific individual and were in the care of that |
individual within a minimum of the last 7 days. |
"Approved federally qualified health center" means a |
facility as defined in Section 1905(l)(2)(B) of the federal |
Social Security Act with a sexual assault treatment plan |
approved by the Department to provide medical forensic |
services to sexual assault survivors 13 years old or older who |
present with a complaint of sexual assault within a minimum of |
the last 7 days or who have disclosed past sexual assault by a |
specific individual and were in the care of that individual |
within a minimum of the last 7 days. |
"Areawide sexual assault treatment plan" means a plan, |
developed by hospitals or by hospitals, approved pediatric |
health care facilities, and approved federally qualified |
health centers in a community or area to be served, which |
provides for medical forensic services to sexual assault |
survivors that shall be made available by each of the |
participating hospitals and approved pediatric health care |
facilities. |
"Board-certified child abuse pediatrician" means a |
physician certified by the American Board of Pediatrics in |
child abuse pediatrics. |
"Board-eligible child abuse pediatrician" means a |
physician who has completed the requirements set forth by the |
American Board of Pediatrics to take the examination for |
certification in child abuse pediatrics. |
|
"Department" means the Department of Public Health. |
"Emergency contraception" means medication as approved by |
the federal Food and Drug Administration (FDA) that can |
significantly reduce the risk of pregnancy if taken within 72 |
hours after sexual assault. |
"Federally qualified health center" means a facility as |
defined in Section 1905(l)(2)(B) of the federal Social |
Security Act that provides primary care or sexual health |
services. |
"Follow-up healthcare" means healthcare services related |
to a sexual assault, including laboratory services and |
pharmacy services, rendered within 180 days of the initial |
visit for medical forensic services. |
"Health care professional" means a physician, a physician |
assistant, a sexual assault forensic examiner, an advanced |
practice registered nurse, a registered professional nurse, a |
licensed practical nurse, or a sexual assault nurse examiner. |
"Hospital" means a hospital licensed under the Hospital |
Licensing Act or operated under the University of Illinois |
Hospital Act, any outpatient center included in the hospital's |
sexual assault treatment plan where hospital employees provide |
medical forensic services, and an out-of-state hospital that |
has consented to the jurisdiction of the Department under |
Section 2.06-1. |
"Illinois State Police Sexual Assault Evidence Collection |
Kit" means a prepackaged set of materials and forms to be used |
|
for the collection of evidence relating to sexual assault. The |
standardized evidence collection kit for the State of Illinois |
shall be the Illinois State Police Sexual Assault Evidence |
Collection Kit. |
"Law enforcement agency having jurisdiction" means the law |
enforcement agency in the jurisdiction where an alleged sexual |
assault or sexual abuse occurred. |
"Licensed practical nurse" has the meaning provided in |
Section 50-10 of the Nurse Practice Act. |
"Medical forensic services" means health care delivered to |
patients within or under the care and supervision of personnel |
working in a designated emergency department of a hospital, |
approved pediatric health care facility, or an approved |
federally qualified health center centers . |
"Medical forensic services" includes, but is not limited |
to, taking a medical history, performing photo documentation, |
performing a physical and anogenital examination, assessing |
the patient for evidence collection, collecting evidence in |
accordance with a statewide sexual assault evidence collection |
program administered by the Illinois Department of State |
Police using the Illinois State Police Sexual Assault Evidence |
Collection Kit, if appropriate, assessing the patient for |
drug-facilitated or alcohol-facilitated sexual assault, |
providing an evaluation of and care for sexually transmitted |
infection and human immunodeficiency virus (HIV), pregnancy |
risk evaluation and care, and discharge and follow-up |
|
healthcare planning. |
"Pediatric health care facility" means a clinic or |
physician's office that provides medical services to patients |
under the age of 18. |
"Pediatric sexual assault survivor" means a person under |
the age of 13 who presents for medical forensic services in |
relation to injuries or trauma resulting from a sexual |
assault. |
"Photo documentation" means digital photographs or |
colposcope videos stored and backed up securely in the |
original file format. |
"Physician" means a person licensed to practice medicine |
in all its branches. |
"Physician assistant" has the meaning provided in Section |
4 of the Physician Assistant Practice Act of 1987. |
"Prepubescent sexual assault survivor" means a female who |
is under the age of 18 years and has not had a first menstrual |
cycle or a male who is under the age of 18 years and has not |
started to develop secondary sex characteristics who presents |
for medical forensic services in relation to injuries or |
trauma resulting from a sexual assault. |
"Qualified medical provider" means a board-certified child |
abuse pediatrician, board-eligible child abuse pediatrician, a |
sexual assault forensic examiner, or a sexual assault nurse |
examiner who has access to photo documentation tools, and who |
participates in peer review. |
|
"Registered Professional Nurse" has the meaning provided |
in Section 50-10 of the Nurse Practice Act. |
"Sexual assault" means: |
(1) an act of sexual conduct; as used in this |
paragraph, "sexual conduct" has the meaning provided under |
Section 11-0.1 of the Criminal Code of 2012; or |
(2) any act of sexual penetration; as used in this |
paragraph, "sexual penetration" has the meaning provided |
under Section 11-0.1 of the Criminal Code of 2012 and |
includes, without limitation, acts prohibited under |
Sections 11-1.20 through 11-1.60 of the Criminal Code of |
2012. |
"Sexual assault forensic examiner" means a physician or |
physician assistant who has completed training that meets or |
is substantially similar to the Sexual Assault Nurse Examiner |
Education Guidelines established by the International |
Association of Forensic Nurses. |
"Sexual assault nurse examiner" means an advanced practice |
registered nurse or registered professional nurse who has |
completed a sexual assault nurse examiner training program |
that meets the Sexual Assault Nurse Examiner Education |
Guidelines established by the International Association of |
Forensic Nurses. |
"Sexual assault services voucher" means a document |
generated by a hospital or approved pediatric health care |
facility at the time the sexual assault survivor receives |
|
outpatient medical forensic services that may be used to seek |
payment for any ambulance services, medical forensic services, |
laboratory services, pharmacy services, and follow-up |
healthcare provided as a result of the sexual assault. |
"Sexual assault survivor" means a person who presents for |
medical forensic services in relation to injuries or trauma |
resulting from a sexual assault. |
"Sexual assault transfer plan" means a written plan |
developed by a hospital and approved by the Department, which |
describes the hospital's procedures for transferring sexual |
assault survivors to another hospital, and an approved |
pediatric health care facility, if applicable, in order to |
receive medical forensic services. |
"Sexual assault treatment plan" means a written plan that |
describes the procedures and protocols for providing medical |
forensic services to sexual assault survivors who present |
themselves for such services, either directly or through |
transfer from a hospital or an approved pediatric health care |
facility. |
"Transfer hospital" means a hospital with a sexual assault |
transfer plan approved by the Department. |
"Transfer services" means the appropriate medical |
screening examination and necessary stabilizing treatment |
prior to the transfer of a sexual assault survivor to a |
hospital or an approved pediatric health care facility that |
provides medical forensic services to sexual assault survivors |
|
pursuant to a sexual assault treatment plan or areawide sexual |
assault treatment plan. |
"Treatment hospital" means a hospital with a sexual |
assault treatment plan approved by the Department to provide |
medical forensic services to all sexual assault survivors who |
present with a complaint of sexual assault within a minimum of |
the last 7 days or who have disclosed past sexual assault by a |
specific individual and were in the care of that individual |
within a minimum of the last 7 days. |
"Treatment hospital with approved pediatric transfer" |
means a hospital with a treatment plan approved by the |
Department to provide medical forensic services to sexual |
assault survivors 13 years old or older who present with a |
complaint of sexual assault within a minimum of the last 7 days |
or who have disclosed past sexual assault by a specific |
individual and were in the care of that individual within a |
minimum of the last 7 days. |
(b) This Section is repealed on December 31, 2023.
|
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21; |
102-674, eff. 11-30-21; 102-1097, eff. 1-1-23; 102-1106, eff. |
1-1-23; revised 12-19-22.)
|
(410 ILCS 70/2-1) |
(Section scheduled to be repealed on December 31, 2023) |
Sec. 2-1. Hospital, approved pediatric health care |
facility, and approved federally qualified health center |
|
requirements for sexual assault plans. |
(a) Every hospital
required to be licensed by the |
Department pursuant to
the Hospital Licensing Act, or operated |
under the University of Illinois Hospital Act that provides |
general medical and surgical hospital services
shall provide |
either (i) transfer services to all sexual assault survivors, |
(ii) medical forensic services to all sexual assault |
survivors, or (iii) transfer services to pediatric sexual |
assault survivors and medical forensic services to sexual |
assault survivors 13 years old or older, in accordance with |
rules adopted by the Department. |
In addition, every such hospital, regardless of whether or |
not a request
is made for reimbursement, shall submit
to the |
Department a plan to provide either (i) transfer services to |
all sexual assault survivors, (ii) medical forensic services |
to all sexual assault survivors, or (iii) transfer services to |
pediatric sexual assault survivors and medical forensic |
services to sexual assault survivors 13 years old or older |
within the time frame established by the Department.
The
|
Department shall approve such plan for
either (i) transfer |
services to all sexual assault survivors, (ii) medical |
forensic services
to all sexual assault survivors, or (iii) |
transfer services to pediatric sexual assault survivors and |
medical forensic services to sexual assault survivors 13 years |
old or older, if it finds that the implementation of
the |
proposed plan would provide (i) transfer services or (ii) |
|
medical forensic services for
sexual assault survivors in |
accordance with the requirements of this Act and provide |
sufficient protections from the
risk of pregnancy to
sexual |
assault survivors. Notwithstanding anything to the contrary in |
this paragraph, the Department may approve a sexual assault |
transfer plan for the provision of medical forensic services |
if: |
(1) a treatment hospital with approved pediatric |
transfer has agreed, as part of an areawide treatment |
plan, to accept sexual assault survivors 13 years of age |
or older from the proposed transfer hospital, if the |
treatment hospital with approved pediatric transfer is |
geographically closer to the transfer hospital than a |
treatment hospital or another treatment hospital with |
approved pediatric transfer and such transfer is not |
unduly burdensome on the sexual assault survivor; and |
(2) a treatment hospital has agreed, as a part of an |
areawide treatment plan, to accept sexual assault |
survivors under 13 years of age from the proposed transfer |
hospital and transfer to the treatment hospital would not |
unduly burden the sexual assault survivor. |
The Department may not approve a sexual assault transfer |
plan unless a treatment hospital has agreed, as a part of an |
areawide treatment plan, to accept sexual assault survivors |
from the proposed transfer hospital and a transfer to the |
treatment hospital would not unduly burden the sexual assault |
|
survivor. |
In counties with a population of less than 1,000,000, the |
Department may not approve a sexual assault transfer plan for |
a hospital located within a 20-mile radius of a 4-year public |
university, not including community colleges, unless there is |
a treatment hospital with a sexual assault treatment plan |
approved by the Department within a 20-mile radius of the |
4-year public university. |
A transfer must be in accordance with federal and State |
laws and local ordinances. |
A treatment hospital with approved pediatric transfer must |
submit an areawide treatment plan under Section 3-1 of this |
Act that includes a written agreement with a treatment |
hospital stating that the treatment hospital will provide |
medical forensic services to pediatric sexual assault |
survivors transferred from the treatment hospital with |
approved pediatric transfer. The areawide treatment plan may |
also include an approved pediatric health care facility. |
A transfer hospital must submit an areawide treatment plan |
under Section 3-1 of this Act that includes a written |
agreement with a treatment hospital stating that the treatment |
hospital will provide medical forensic services to all sexual |
assault survivors transferred from the transfer hospital. The |
areawide treatment plan may also include an approved pediatric |
health care facility. Notwithstanding anything to the contrary |
in this paragraph, the areawide treatment plan may include a |
|
written agreement with a treatment hospital with approved |
pediatric transfer that is geographically closer than other |
hospitals providing medical forensic services to sexual |
assault survivors 13 years of age or older stating that the |
treatment hospital with approved pediatric transfer will |
provide medical services to sexual assault survivors 13 years |
of age or older who are transferred from the transfer |
hospital. If the areawide treatment plan includes a written |
agreement with a treatment hospital with approved pediatric |
transfer, it must also include a written agreement with a |
treatment hospital stating that the treatment hospital will |
provide medical forensic services to sexual assault survivors |
under 13 years of age who are transferred from the transfer |
hospital. |
Beginning January 1, 2019, each treatment hospital and |
treatment hospital with approved pediatric transfer shall |
ensure that emergency department attending physicians, |
physician assistants, advanced practice registered nurses, and |
registered professional nurses providing clinical services, |
who do not meet the definition of a qualified medical provider |
in Section 1a-1 of this Act, receive a minimum of 2 hours of |
sexual assault training by July 1, 2020 or until the treatment |
hospital or treatment hospital with approved pediatric |
transfer certifies to the Department, in a form and manner |
prescribed by the Department, that it employs or contracts |
with a qualified medical provider in accordance with |
|
subsection (a-7) of Section 5-1, whichever occurs first. |
After July 1, 2020 or once a treatment hospital or a |
treatment hospital with approved pediatric transfer certifies |
compliance with subsection (a-7) of Section 5-1, whichever |
occurs first, each treatment hospital and treatment hospital |
with approved pediatric transfer shall ensure that emergency |
department attending physicians, physician assistants, |
advanced practice registered nurses, and registered |
professional nurses providing clinical services, who do not |
meet the definition of a qualified medical provider in Section |
1a-1 of this Act, receive a minimum of 2 hours of continuing |
education on responding to sexual assault survivors every 2 |
years. Protocols for training shall be included in the |
hospital's sexual assault treatment plan. |
Sexual assault training provided under this subsection may |
be provided in person or online and shall include, but not be |
limited to: |
(1) information provided on the provision of medical |
forensic services; |
(2) information on the use of the Illinois Sexual |
Assault Evidence Collection Kit; |
(3) information on sexual assault epidemiology, |
neurobiology of trauma, drug-facilitated sexual assault, |
child sexual abuse, and Illinois sexual assault-related |
laws; and |
(4) information on the hospital's sexual |
|
assault-related policies and procedures. |
The online training made available by the Office of the |
Attorney General under subsection (b) of Section 10-1 may be |
used to comply with this subsection. |
(a-5) A hospital must submit a plan to provide either (i) |
transfer services to all sexual assault survivors, (ii) |
medical forensic services to all sexual assault survivors, or |
(iii) transfer services to pediatric sexual assault survivors |
and medical forensic services to sexual assault survivors 13 |
years old or older as required in subsection (a) of this |
Section within 60 days of the Department's request. Failure to |
submit a plan as described in this subsection shall subject a |
hospital to the imposition of a fine by the Department. The |
Department may impose a fine of up to $500 per day until the |
hospital submits a plan as described in this subsection. No |
fine shall be taken or assessed until January 1, 2024 ( 12 |
months after the effective date of Public Act 102-1106) this |
amendatory Act of the 102nd General Assembly . |
(a-10) Upon receipt of a plan as described in subsection |
(a-5), the Department shall notify the hospital whether or not |
the plan is acceptable. If the Department determines that the |
plan is unacceptable, the hospital must submit a modified plan |
within 10 days of service of the notification. If the |
Department determines that the modified plan is unacceptable, |
or if the hospital fails to submit a modified plan within 10 |
days, the Department may impose a fine of up to $500 per day |
|
until an acceptable plan has been submitted, as determined by |
the Department. No fine shall be taken or assessed until |
January 1, 2024 ( 12 months after the effective date of Public |
Act 102-1106) this amendatory Act of the 102nd General |
Assembly . |
(b) An approved pediatric health care facility may provide |
medical forensic services, in accordance with rules adopted by |
the Department, to all sexual assault survivors under the age |
of 18 who present for medical forensic services in relation to |
injuries or trauma resulting from a sexual assault. These |
services shall be provided by a qualified medical provider. |
A pediatric health care facility must participate in or |
submit an areawide treatment plan under Section 3-1 of this |
Act that includes a treatment hospital. If a pediatric health |
care facility does not provide certain medical or surgical |
services that are provided by hospitals, the areawide sexual |
assault treatment plan must include a procedure for ensuring a |
sexual assault survivor in need of such medical or surgical |
services receives the services at the treatment hospital. The |
areawide treatment plan may also include a treatment hospital |
with approved pediatric transfer. |
The Department shall review a proposed sexual assault |
treatment plan submitted by a pediatric health care facility |
within 60 days after receipt of the plan. If the Department |
finds that the proposed plan meets the minimum requirements |
set forth in Section 5-1 of this Act and that implementation of |
|
the proposed plan would provide medical forensic services for |
sexual assault survivors under the age of 18, then the |
Department shall approve the plan. If the Department does not |
approve a plan, then the Department shall notify the pediatric |
health care facility that the proposed plan has not been |
approved. The pediatric health care facility shall have 30 |
days to submit a revised plan. The Department shall review the |
revised plan within 30 days after receipt of the plan and |
notify the pediatric health care facility whether the revised |
plan is approved or rejected. A pediatric health care facility |
may not provide medical forensic services to sexual assault |
survivors under the age of 18 who present with a complaint of |
sexual assault within a minimum of the last 7 days or who have |
disclosed past sexual assault by a specific individual and |
were in the care of that individual within a minimum of the |
last 7 days until the Department has approved a treatment |
plan. |
If an approved pediatric health care facility is not open |
24 hours a day, 7 days a week, it shall post signage at each |
public entrance to its facility that: |
(1) is at least 14 inches by 14 inches in size; |
(2) directs those seeking services as follows: "If |
closed, call 911 for services or go to the closest |
hospital emergency department, (insert name) located at |
(insert address)."; |
(3) lists the approved pediatric health care |
|
facility's hours of operation; |
(4) lists the street address of the building; |
(5) has a black background with white bold capital |
lettering in a clear and easy to read font that is at least |
72-point type, and with "call 911" in at least 125-point |
type; |
(6) is posted clearly and conspicuously on or adjacent |
to the door at each entrance and, if building materials |
allow, is posted internally for viewing through glass; if |
posted externally, the sign shall be made of |
weather-resistant and theft-resistant materials, |
non-removable, and adhered permanently to the building; |
and |
(7) has lighting that is part of the sign itself or is |
lit with a dedicated light that fully illuminates the |
sign. |
(b-5) An approved federally qualified health center may |
provide medical forensic services, in accordance with rules |
adopted by the Department, to all sexual assault survivors 13 |
years old or older who present for medical forensic services |
in relation to injuries or trauma resulting from a sexual |
assault during the duration, and 90 days thereafter, of a |
proclamation issued by the Governor declaring a disaster, or a |
successive proclamation regarding the same disaster, in all |
102 counties due to a public health emergency. These services |
must be available on-site during an approved federally |
|
qualified health center's hours of operation and shall be |
provided by a qualified medical provider. If the treatment |
plan is terminated, the federally qualified health center must |
submit to the Department for approval, before providing |
medical forensic services, a new treatment plan and a list of |
qualified medical providers to ensure coverage for the days |
and hours of operation. |
A federally qualified health center must employ a Sexual |
Assault Nurse Examiner Coordinator who is a qualified medical |
provider and a Medical Director who is a qualified medical |
provider. |
A federally qualified health center must participate in or |
submit an areawide treatment plan under Section 3-1 of this |
Act that includes a treatment hospital. If a federally |
qualified health center does not provide certain medical or |
surgical services that are provided by hospitals, the areawide |
sexual assault treatment plan must include a procedure for |
ensuring a sexual assault survivor in need of such medical or |
surgical services receives the services at the treatment |
hospital. The areawide treatment plan may also include a |
treatment hospital with approved pediatric transfer or an |
approved pediatric health care facility. An approved federally |
qualified health center must report each instance that a |
sexual assault survivor is transferred to a treatment |
hospital, treatment hospital with approved pediatric transfer, |
or an approved pediatric health care facility to the |
|
Department within 24 hours of the transfer, in a form and |
manner prescribed by the Department, including the reason for |
the transfer. |
The Department shall review a proposed sexual assault |
treatment plan submitted by a federally qualified health |
center within 14 days after receipt of the plan. The |
Department shall approve the proposed sexual assault treatment |
plan if it finds that the proposed plan: |
(1) meets the minimum requirements set forth in |
Section 5-1; |
(2) would provide medical forensic services for sexual |
assault survivors 13 years old or older on-site during the |
approved federally qualified health center's hours of |
operation; and |
(3) includes an emergency protocol for sexual assault |
survivors 13 years old or older to be transferred to a |
treatment hospital or treatment hospital with approved |
pediatric transfer to receive medical forensic services if |
medical forensic services are not available by a qualified |
medical provider during the approved federally qualified |
health center's hours of operation, as required. |
The Department shall not approve sexual assault treatment |
plans for more than 6 federally qualified health centers, |
which must be located in geographically diverse areas of the |
State. If the Department does not approve a plan, then the |
Department shall notify the federally qualified health center |
|
that the proposed plan has not been approved. The federally |
qualified health center shall have 14 days to submit a revised |
plan. The Department shall review the revised plan within 14 |
days after receipt of the plan and notify the federally |
qualified health center whether the revised plan is approved |
or rejected. A federally qualified health center may not (i) |
provide medical forensic services to sexual assault survivors |
13 years old or older who present with a complaint of sexual |
assault within a minimum of the previous 7 days or (ii) who |
have disclosed past sexual assault by a specific individual |
and were in the care of that individual within a minimum of the |
previous 7 days until the Department has approved a treatment |
plan. |
Each approved federally qualified health center shall |
ensure that any physician, physician assistant, advanced |
practice registered nurse, or registered professional nurse |
who (i) provides clinical services to sexual assault survivors |
and (ii) does not meet the definition of a qualified medical |
provider under Section 1a-1 receives (A) a minimum of 2 hours |
of sexual assault training within 6 months after June 16, 2022 |
( the effective date of Public Act 102-1097) this amendatory |
Act of the 102nd General Assembly or within 6 months after |
beginning employment, whichever is later, and (B) a minimum of |
2 hours of continuing education on responding to sexual |
assault survivors every 2 years. Protocols for training shall |
be included in the approved federally qualified health |
|
center's sexual assault treatment plan. Sexual assault |
training provided under this paragraph may be provided in |
person or online and shall include, but not be limited to: |
(1) information provided on the provision of medical
|
forensic services; |
(2) information on the use of the Illinois Sexual
|
Assault Evidence Collection Kit; |
(3) information on sexual assault epidemiology,
|
neurobiology of trauma, drug-facilitated sexual assault, |
child sexual abuse, and Illinois sexual assault-related |
laws; and |
(4) information on the approved federally qualified |
health center's sexual assault-related policies and |
procedures. |
The online training made available by the Office of the |
Attorney General under subsection (b) of Section 10-1 may be |
used to comply with the sexual assault training required under |
the preceding paragraph. |
If an approved federally qualified health center is not |
open 24 hours a day, 7 days a week, it shall post signage at |
each public entrance to its facility that: |
(1) is at least 14 inches by 14 inches in size; |
(2) directs those seeking services as follows: "If |
closed, call 911 for services or go to the closest |
hospital emergency department, (insert name) located at |
(insert address)."; |
|
(3) lists the approved federally qualified health |
center's hours of operation; |
(4) lists the street address of the building; |
(5) has a black background with white bold capital |
lettering in a clear and easy to read font that is at least |
72-point type, and with "call 911" in at least 125-point |
type; |
(6) is posted clearly and conspicuously on or adjacent |
to the door at each entrance and, if building materials |
allow, is posted internally for viewing through glass; if |
posted externally, the sign shall be made of |
weather-resistant and theft-resistant materials, |
non-removable, and adhered permanently to the building; |
(7) has lighting that is part of the sign itself or is |
lit with a dedicated light that fully illuminates the |
sign; |
(8) directs those seeking services as follows: "Call |
the local rape crisis center for support."; and |
(9) includes the name and hotline number, available 24 |
hours a day, 7 days a week, of the local rape crisis |
center. |
A copy of the proposed sign must be submitted to the |
Department and approved as part of the approved federally |
qualified health center's sexual assault treatment plan. |
(c) Each treatment hospital, treatment hospital with |
approved pediatric transfer, approved pediatric health care |
|
facility, and approved federally qualified health center must |
enter into a memorandum of understanding with a rape crisis |
center for medical advocacy services, if these services are |
available to the treatment hospital, treatment hospital with |
approved pediatric transfer, approved pediatric health care |
facility, or approved federally qualified health center. With |
the consent of the sexual assault survivor, a rape crisis |
counselor shall remain in the exam room during the collection |
for forensic evidence. |
An approved federally qualified health center that has a |
memorandum of understanding with a rape crisis center must |
notify the rape crisis center immediately if medical forensic |
services are not available during the approved federally |
qualified health center's hours of operation or if the |
approved federally qualified health center's treatment plan is |
terminated by the Department. |
(d) Every treatment hospital, treatment hospital with |
approved pediatric transfer, approved pediatric health care |
facility, and approved federally qualified health center's |
sexual assault treatment plan shall include procedures for |
complying with mandatory reporting requirements pursuant to |
(1) the Abused and Neglected Child Reporting Act; (2) the |
Abused and Neglected Long Term Care Facility Residents |
Reporting Act; (3) the Adult Protective Services Act; and (iv) |
the Criminal Identification Act. |
(e) Each treatment hospital, treatment hospital with |
|
approved pediatric transfer, approved pediatric health care |
facility, and approved federally qualified health center shall |
submit to the Department every 6 months, in a manner |
prescribed by the Department, the following information: |
(1) The total number of patients who presented with a |
complaint of sexual assault. |
(2) The total number of Illinois Sexual Assault |
Evidence Collection Kits: |
(A) offered to (i) all sexual assault survivors |
and (ii) pediatric sexual assault survivors
pursuant |
to paragraph (1.5) of subsection (a-5) of Section 5-1; |
(B) completed for (i) all sexual assault survivors |
and (ii) pediatric sexual assault
survivors; and |
(C) declined by (i) all sexual assault survivors |
and (ii) pediatric sexual assault survivors. |
This information shall be made available on the |
Department's website. |
(f) This Section is repealed on December 31, 2023.
|
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21; |
102-674, eff. 11-30-21; 102-1097, eff. 6-16-22; 102-1106, eff. |
1-1-23; revised 12-19-22.)
|
(410 ILCS 70/5-1) |
(Section scheduled to be repealed on December 31, 2023) |
Sec. 5-1. Minimum requirements for medical forensic |
services provided to sexual assault survivors by hospitals, |
|
approved pediatric health care facilities, and approved |
federally qualified health centers. |
(a) Every hospital, approved pediatric health care |
facility, and approved federally qualified health center |
providing medical forensic services to sexual assault |
survivors under this Act shall, as minimum requirements for
|
such services, provide, with the consent of the sexual assault |
survivor, and as ordered by the attending physician, an |
advanced practice registered nurse, or a physician assistant, |
the services set forth in subsection (a-5). |
Beginning January 1, 2023, a qualified medical provider |
must provide the services set forth in subsection (a-5). |
(a-5) A treatment hospital, a treatment hospital with |
approved pediatric transfer, an approved pediatric health care |
facility, or an approved federally qualified health center |
shall provide the following services in accordance with |
subsection (a): |
(1) Appropriate medical forensic services without |
delay, in a private, age-appropriate or |
developmentally-appropriate space, required to ensure the |
health, safety, and welfare
of a sexual assault survivor |
and which may be
used as evidence in a criminal proceeding |
against a person accused of the
sexual assault, in a |
proceeding under the Juvenile Court Act of 1987, or in an |
investigation under the Abused and Neglected Child |
Reporting Act. |
|
Records of medical forensic services, including |
results of examinations and tests, the Illinois State |
Police Medical Forensic Documentation Forms, the Illinois |
State Police Patient Discharge Materials, and the Illinois |
State Police Patient Consent: Collect and Test Evidence or |
Collect and Hold Evidence Form, shall be maintained by the |
hospital or approved pediatric health care facility as |
part of the patient's electronic medical record. |
Records of medical forensic services of sexual assault |
survivors under the age of 18 shall be retained by the |
hospital for a period of 60 years after the sexual assault |
survivor reaches the age of 18. Records of medical |
forensic services of sexual assault survivors 18 years of |
age or older shall be retained by the hospital for a period |
of 20 years after the date the record was created. |
Records of medical forensic services may only be |
disseminated in accordance with Section 6.5-1 of this Act |
and other State and federal law. |
(1.5) An offer to complete the Illinois Sexual Assault |
Evidence Collection Kit for any sexual assault survivor |
who presents within a minimum of the last 7 days of the |
assault or who has disclosed past sexual assault by a |
specific individual and was in the care of that individual |
within a minimum of the last 7 days. |
(A) Appropriate oral and written information |
concerning evidence-based guidelines for the |
|
appropriateness of evidence collection depending on |
the sexual development of the sexual assault survivor, |
the type of sexual assault, and the timing of the |
sexual assault shall be provided to the sexual assault |
survivor. Evidence collection is encouraged for |
prepubescent sexual assault survivors who present to a |
hospital or approved pediatric health care facility |
with a complaint of sexual assault within a minimum of |
96 hours after the sexual assault. |
Before January 1, 2023, the information required |
under this subparagraph shall be provided in person by |
the health care professional providing medical |
forensic services directly to the sexual assault |
survivor. |
On and after January 1, 2023, the information |
required under this subparagraph shall be provided in |
person by the qualified medical provider providing |
medical forensic services directly to the sexual |
assault survivor. |
The written information provided shall be the |
information created in accordance with Section 10-1 of |
this Act. |
(B) Following the discussion regarding the |
evidence-based guidelines for evidence collection in |
accordance with subparagraph (A), evidence collection |
must be completed at the sexual assault survivor's |
|
request. A sexual assault nurse examiner conducting an |
examination using the Illinois State Police Sexual |
Assault Evidence Collection Kit may do so without the |
presence or participation of a physician. |
(2) Appropriate oral and written information |
concerning the possibility
of infection, sexually |
transmitted infection, including an evaluation of the |
sexual assault survivor's risk of contracting human |
immunodeficiency virus (HIV) from sexual assault, and |
pregnancy
resulting from sexual assault. |
(3) Appropriate oral and written information |
concerning accepted medical
procedures, laboratory tests, |
medication, and possible contraindications of such |
medication
available for the prevention or treatment of |
infection or disease resulting
from sexual assault. |
(3.5) After a medical evidentiary or physical |
examination, access to a shower at no cost, unless |
showering facilities are unavailable. |
(4) An amount of medication, including HIV |
prophylaxis, for treatment at the hospital, approved |
pediatric health care facility, or approved federally |
qualified health center and after discharge as is deemed |
appropriate by the attending physician, an advanced |
practice registered nurse, or a physician assistant in |
accordance with the Centers for Disease Control and |
Prevention guidelines and consistent with the hospital's |
|
or approved pediatric health care facility's current |
approved protocol for sexual assault survivors. |
(5) Photo documentation of the sexual assault |
survivor's injuries, anatomy involved in the assault, or |
other visible evidence on the sexual assault survivor's |
body to supplement the medical forensic history and |
written documentation of physical findings and evidence |
beginning July 1, 2019. Photo documentation does not |
replace written documentation of the injury. |
(6) Written and oral instructions indicating the need |
for follow-up examinations and laboratory tests after the |
sexual assault to determine the presence or absence of
|
sexually transmitted infection. |
(7) Referral by hospital, approved pediatric health |
care facility, or approved federally qualified health |
center personnel for appropriate counseling. |
(8) Medical advocacy services provided by a rape |
crisis counselor whose communications are protected under |
Section 8-802.1 of the Code of Civil Procedure, if there |
is a memorandum of understanding between the hospital, |
approved pediatric health care facility, or approved |
federally qualified health center and a rape crisis |
center. With the consent of the sexual assault survivor, a |
rape crisis counselor shall remain in the exam room during |
the medical forensic examination. |
(9) Written information regarding services provided by |
|
a Children's Advocacy Center and rape crisis center, if |
applicable. |
(10) A treatment hospital, a treatment hospital with |
approved pediatric transfer, an out-of-state hospital as |
defined in Section 5.4, an approved pediatric health care |
facility, or an approved federally qualified health center |
shall comply with the rules relating to the collection and |
tracking of sexual assault evidence adopted by the |
Illinois Department of State Police under Section 50 of |
the Sexual Assault Evidence Submission Act. |
(11) Written information regarding the Illinois State |
Police sexual assault evidence tracking system. |
(a-7) By January 1, 2023, every hospital with a treatment |
plan approved by the Department shall employ or contract with |
a qualified medical provider to initiate medical forensic |
services to a sexual assault survivor within 90 minutes of the |
patient presenting to the treatment hospital or treatment |
hospital with approved pediatric transfer. The provision of |
medical forensic services by a qualified medical provider |
shall not delay the provision of life-saving medical care. |
(a-10) Every federally qualified health center with a |
treatment plan approved by the Department shall employ or |
contract with a qualified medical provider to initiate medical |
forensic services to a sexual assault survivor within 90 |
minutes of the patient presenting to the federally qualified |
health center. The provision of medical forensic services by a |
|
qualified medical provider shall not delay the provision of |
life-saving medical care. |
(b) Any person who is a sexual assault survivor who seeks |
medical forensic services or follow-up healthcare
under this |
Act shall be provided such services without the consent
of any |
parent, guardian, custodian, surrogate, or agent. If a sexual |
assault survivor is unable to consent to medical forensic |
services, the services may be provided under the Consent by |
Minors to Health Care Services Act, the Health Care Surrogate |
Act, or other applicable State and federal laws. |
(b-5) Every hospital, approved pediatric health care |
facility, or approved federally qualified health center |
providing medical forensic services to sexual assault |
survivors shall issue a voucher to any sexual assault survivor |
who is eligible to receive one in accordance with Section |
5.2-1 of this Act. The hospital, approved pediatric health |
care facility, or approved federally qualified health center |
shall make a copy of the voucher and place it in the medical |
record of the sexual assault survivor. The hospital, approved |
pediatric health care facility, or approved federally
|
qualified health center shall provide a copy of the voucher to |
the sexual assault survivor after discharge upon request. |
(c) Nothing in this Section creates a physician-patient |
relationship that extends beyond discharge from the hospital, |
or approved pediatric health care facility, or approved |
federally qualified health center. |
|
(d) This Section is repealed on December 31, 2023.
|
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21; |
102-674, eff. 11-30-21; 102-1097, eff. 6-16-22; 102-1106, eff. |
1-1-23; revised 12-19-22.)
|
(410 ILCS 70/5.4) |
Sec. 5.4. Out-of-state hospitals. |
(a) Nothing in this Section shall prohibit the transfer of |
a patient in need of medical services from a hospital that has |
been designated as a trauma center by the Department in |
accordance with Section 3.90 of the Emergency Medical Services |
(EMS) Systems Act. |
(b) A transfer hospital, treatment hospital with approved |
pediatric transfer, or approved pediatric health care facility |
may transfer a sexual assault survivor to an out-of-state |
hospital that is located in a county that borders Illinois if |
the out-of-state hospital: (1) submits an areawide treatment |
plan approved by the Department; and (2) has certified the |
following to the Department in a form and manner prescribed by |
the Department that the out-of-state hospital will: |
(i) consent to the jurisdiction of the Department in |
accordance with Section 2.06 of this Act; |
(ii) comply with all requirements of this Act |
applicable to treatment hospitals, including, but not |
limited to, offering evidence collection to any Illinois |
sexual assault survivor who presents with a complaint of |
|
sexual assault within a minimum of the last 7 days or who |
has disclosed past sexual assault by a specific individual |
and was in the care of that individual within a minimum of |
the last 7 days and not billing the sexual assault |
survivor for medical forensic services or 180 days of |
follow-up healthcare; |
(iii) use an Illinois State Police Sexual Assault |
Evidence Collection Kit to collect forensic evidence from |
an Illinois sexual assault survivor; |
(iv) ensure its staff cooperates with Illinois law |
enforcement agencies and are responsive to subpoenas |
issued by Illinois courts; and |
(v) provide appropriate transportation upon the |
completion of medical forensic services back to the |
transfer hospital or treatment hospital with pediatric |
transfer where the sexual assault survivor initially |
presented seeking medical forensic services, unless the |
sexual assault survivor chooses to arrange his or her own |
transportation. |
(c) Subsection (b) of this Section is inoperative on and |
after January 1, 2029.
|
(Source: P.A. 102-1097, eff. 1-1-23; 102-1106, eff. 1-1-23; |
revised 12-19-22.)
|
(410 ILCS 70/7)
|
Sec. 7. Reimbursement. |
|
(a) A hospital, approved pediatric health care facility, |
or health care professional furnishing medical forensic |
services, an ambulance provider furnishing transportation to a |
sexual assault survivor, a hospital, health care professional, |
or laboratory providing follow-up healthcare, or a pharmacy |
dispensing prescribed medications to any sexual assault |
survivor shall furnish such services or medications to that |
person without charge and shall seek payment as follows: |
(1) If a sexual assault survivor is eligible to |
receive benefits under the medical assistance program |
under Article V of the Illinois Public Aid Code, the |
ambulance provider, hospital, approved pediatric health |
care facility, health care professional, laboratory, or |
pharmacy must submit the bill to the Department of |
Healthcare and Family Services or the appropriate Medicaid |
managed care organization and accept the amount paid as |
full payment. |
(2) If a sexual assault survivor is covered by one or |
more policies of health insurance or is a beneficiary |
under a public or private health coverage program, the |
ambulance provider, hospital, approved pediatric health |
care facility, health care professional, laboratory, or |
pharmacy shall bill the insurance company or program. With |
respect to such insured patients, applicable deductible, |
co-pay, co-insurance, denial of claim, or any other |
out-of-pocket insurance-related expense may be submitted |
|
to the Illinois Sexual Assault Emergency Treatment Program |
of the Department of Healthcare and Family Services in |
accordance with 89 Ill. Adm. Code 148.510 for payment at |
the Department of Healthcare and Family Services' |
allowable rates under the Illinois Public Aid Code. The |
ambulance provider, hospital, approved pediatric health |
care facility, health care professional, laboratory, or |
pharmacy shall accept the amounts paid by the insurance |
company or health coverage program and the Illinois Sexual |
Assault Treatment Program as full payment. |
(3) If a sexual assault survivor (i) is neither |
eligible to receive benefits under the medical assistance |
program under Article V of the Illinois Public Aid Code |
nor covered by a policy of insurance or a public or private |
health coverage program or (ii) opts out of billing a |
private insurance provider, as permitted under subsection |
(a-5) of Section 7.5, the ambulance provider, hospital, |
approved pediatric health care facility, health care |
professional, laboratory, or pharmacy shall submit the |
request for reimbursement to the Illinois Sexual Assault |
Emergency Treatment Program under the Department of |
Healthcare and Family Services in accordance with 89 Ill. |
Adm. Code 148.510 at the Department of Healthcare and |
Family Services' allowable rates under the Illinois Public |
Aid Code. |
(4) If a sexual assault survivor presents a sexual |
|
assault services voucher for follow-up healthcare, the |
healthcare professional, pediatric health care facility, |
or laboratory that provides follow-up healthcare or the |
pharmacy that dispenses prescribed medications to a sexual |
assault survivor shall submit the request for |
reimbursement for follow-up healthcare, pediatric health |
care facility, laboratory, or pharmacy services to the |
Illinois Sexual Assault Emergency Treatment Program under |
the Department of Healthcare and Family Services in |
accordance with 89 Ill. Adm. Code 148.510 at the |
Department of Healthcare and Family Services' allowable |
rates under the Illinois Public Aid Code. Nothing in this |
subsection (a) precludes hospitals or approved pediatric |
health care facilities from providing follow-up healthcare |
and receiving reimbursement under this Section.
|
(b) Nothing in this Section precludes a hospital, health |
care provider, ambulance provider, laboratory, or pharmacy |
from billing the sexual assault survivor or any applicable |
health insurance or coverage for inpatient services. |
(b-5) Medical forensic services furnished by a person or |
entity described under subsection (a) to any sexual assault |
survivor on or after July 1, 2022 that are required under this |
Act to be reimbursed by the Department of Healthcare and |
Family Services, the Illinois Sexual Assault Emergency |
Treatment Program under the Department of Healthcare and |
Family Services, or the appropriate Medicaid managed care |
|
organization shall be reimbursed at a rate of at least $1,000. |
(c) (Blank). |
(d) (Blank). |
(e) The Department of Healthcare and Family Services shall |
establish standards, rules, and regulations to implement this |
Section.
|
(f) This Section is effective on and after January 1, |
2024. |
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21; |
102-674, eff. 11-30-21; 102-699, Article 30, Section 30-5, |
eff. 4-19-22; 102-699, Article 35, Section 35-5 (See Section |
99-99 of P.A. 102-699 and Section 99 of P.A. 102-1097 |
regarding the effective date of changes made in Article 35 of |
P.A. 102-699); revised 12-14-22.)
|
(410 ILCS 70/7-1)
|
(Section scheduled to be repealed on December 31, 2023) |
Sec. 7-1. Reimbursement |
(a) A hospital, approved pediatric health care facility, |
approved federally qualified health center, or health care
|
professional furnishing medical forensic services, an |
ambulance provider furnishing transportation to a sexual |
assault survivor, a hospital, health care professional, or |
laboratory providing follow-up healthcare, or a pharmacy |
dispensing prescribed medications to any sexual assault |
survivor shall furnish such services or medications to that |
|
person without charge and shall seek payment as follows: |
(1) If a sexual assault survivor is eligible to |
receive benefits under the medical assistance program |
under Article V of the Illinois Public Aid Code, the |
ambulance provider, hospital, approved pediatric health |
care facility, approved federally qualified health center, |
health care professional, laboratory, or pharmacy must |
submit the bill to the Department of Healthcare and Family |
Services or the appropriate Medicaid managed care |
organization and accept the amount paid as full payment. |
(2) If a sexual assault survivor is covered by one or |
more policies of health insurance or is a beneficiary |
under a public or private health coverage program, the |
ambulance provider, hospital, approved pediatric health |
care facility, approved federally qualified health center, |
health care professional, laboratory, or pharmacy shall |
bill the insurance company or program. With respect to |
such insured patients, applicable deductible, co-pay, |
co-insurance, denial of claim, or any other out-of-pocket |
insurance-related expense may be submitted to the Illinois
|
Sexual Assault Emergency Treatment Program of the |
Department of Healthcare and Family Services in accordance |
with 89 Ill. Adm. Code 148.510 for payment at the |
Department of Healthcare and Family Services' allowable |
rates under the Illinois Public Aid Code. The ambulance |
provider, hospital, approved pediatric health care |
|
facility, approved federally qualified health center, |
health care professional, laboratory, or pharmacy shall |
accept the amounts paid by the insurance company or health |
coverage program and the Illinois Sexual Assault Treatment |
Program as full payment. |
(3) If a sexual assault survivor (i) is neither |
eligible to receive benefits under the medical assistance |
program under Article V of the Illinois Public Aid Code |
nor covered by a policy of insurance or a public or private |
health coverage program or (ii) opts out of billing a |
private insurance provider, as permitted under subsection |
(a-5) of Section 7.5, the ambulance provider, hospital, |
approved pediatric health care facility, approved |
federally qualified health center, health care |
professional, laboratory, or pharmacy shall submit the |
request for reimbursement to the Illinois Sexual Assault |
Emergency Treatment Program under the Department of |
Healthcare and Family Services in accordance with 89 Ill. |
Adm. Code 148.510 at the Department of Healthcare and |
Family Services' allowable rates under the Illinois Public |
Aid Code. |
(4) If a sexual assault survivor presents a sexual
|
assault services voucher for follow-up healthcare, the |
healthcare professional, pediatric health care facility, |
federally qualified health center, or laboratory that |
provides follow-up healthcare or the pharmacy that |
|
dispenses prescribed medications to a sexual assault |
survivor shall submit the request for reimbursement for |
follow-up healthcare, pediatric health care facility, |
laboratory, or pharmacy services to the Illinois Sexual |
Assault Emergency Treatment Program under the Department |
of Healthcare and Family Services in accordance with 89 |
Ill. Adm. Code 148.510 at the Department of Healthcare and |
Family Services' allowable rates under the Illinois Public |
Aid Code. Nothing in this subsection (a) precludes |
hospitals, or approved pediatric health care facilities or |
approved federally qualified health centers from providing |
follow-up healthcare and receiving reimbursement under |
this Section. |
(b) Nothing in this Section precludes a hospital, health |
care provider, ambulance provider, laboratory, or pharmacy |
from billing the sexual assault survivor or any applicable |
health insurance or coverage for inpatient services. |
(b-5) Medical forensic services furnished by a person or |
entity described under subsection (a) to any sexual assault |
survivor on or after July 1, 2022 that are required under this |
Act to be reimbursed by the Department of Healthcare and |
Family Services, the Illinois Sexual Assault Emergency |
Treatment Program under the Department of Healthcare and |
Family Services, or the appropriate Medicaid managed care |
organization shall be reimbursed at a rate of at least $1,000. |
(c) (Blank). |
|
(d) (Blank). |
(e) The Department of Healthcare and Family Services shall |
establish standards, rules, and regulations to implement this |
Section. |
(f) This Section is repealed on December 31, 2023.
|
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21; |
102-674, eff. 11-30-21; 102-699, Article 30, Section 30-5, |
eff. 4-19-22; 102-699, Article 35, Section 35-5 (See Section |
99-99 of P.A. 102-699 and Section 99 of P.A. 102-1097 |
regarding the effective date of changes made in Article 35 of |
P.A. 102-699); revised 12-14-22.)
|
(410 ILCS 70/9.5) |
(Section scheduled to be repealed on January 1, 2025) |
Sec. 9.5. Sexual Assault Medical Forensic Services |
Implementation Task Force. |
(a) The Sexual Assault Medical Forensic Services |
Implementation Task Force is created to assist hospitals and |
approved pediatric health care facilities with the |
implementation of the changes made by Public Act 100-775 this |
amendatory Act of the l00th General Assembly . The Task Force |
shall consist of the following members, who shall serve |
without compensation: |
(1) one member of the Senate appointed by the |
President of the Senate, who may designate an alternate |
member; |
|
(2) one member of the Senate appointed by the Minority |
Leader of the Senate, who may designate an alternate |
member; |
(3) one member of the House of Representatives |
appointed by the Speaker of the House of Representatives, |
who may designate an alternate member; |
(4) one member of the House of Representatives |
appointed by the Minority Leader of the House of |
Representatives, who may designate an alternate member; |
(5) two members representing the Office of the |
Attorney General appointed by the Attorney General, one of |
whom shall be the Sexual Assault Nurse Examiner |
Coordinator for the State of
Illinois; |
(6) one member representing the Department of Public |
Health appointed by the Director of Public Health; |
(7) one member representing the Illinois State Police |
appointed by the Director of the Illinois State Police; |
(8) one member representing the Department of |
Healthcare and Family Services appointed by the Director |
of Healthcare and Family Services; |
(9) six members representing hospitals appointed by |
the head of a statewide organization representing the |
interests of hospitals in Illinois, at least one of whom |
shall represent small and rural hospitals and at least one |
of these members shall represent urban hospitals; |
(10) one member representing physicians appointed by |
|
the head of a statewide organization representing the |
interests of physicians in Illinois; |
(11) one member representing emergency physicians |
appointed by the head of a statewide organization |
representing the interests of emergency physicians in |
Illinois; |
(12) two members representing child abuse |
pediatricians appointed by the head of a statewide |
organization representing the interests of child abuse |
pediatricians in Illinois, at least one of whom shall |
represent child abuse pediatricians providing medical |
forensic services in rural locations and at least one of |
whom shall represent child abuse pediatricians providing |
medical forensic services in urban locations; |
(13) one member representing nurses appointed by the |
head of a statewide organization representing the |
interests of nurses in Illinois; |
(14) two members representing sexual assault nurse |
examiners appointed by the head of a statewide |
organization representing the interests of forensic nurses |
in Illinois, at least one of whom shall represent |
pediatric/adolescent sexual assault nurse examiners and at |
least one of these members shall represent |
adult/adolescent sexual assault nurse examiners; |
(15) one member representing State's Attorneys |
appointed by the head of a statewide organization |
|
representing the interests of State's Attorneys in |
Illinois; |
(16) three members representing sexual assault |
survivors appointed by the head of a statewide |
organization representing the interests of sexual assault |
survivors and rape crisis centers, at least one of whom |
shall represent rural rape crisis centers and at least one |
of whom shall represent urban rape crisis centers; |
(17) two members representing children's advocacy |
centers appointed by the head of a statewide organization |
representing the interests of children's advocacy centers |
in Illinois, one of whom represents rural child advocacy |
centers and one of whom represents urban child advocacy |
centers; and |
(18) one member representing approved federally |
qualified health centers appointed by the Director of |
Public Health. |
The members representing the Office of the Attorney |
General and the Department of Public Health shall serve as |
co-chairpersons of the Task Force. The Office of the Attorney |
General shall provide administrative and other support to the |
Task Force. |
(b) The first meeting of the Task Force shall be called by |
the co-chairpersons no later than 90 days after the effective |
date of this Section. |
(c) The goals of the Task Force shall include, but not be |
|
limited to, the following: |
(1) to facilitate the development of areawide |
treatment plans among hospitals and pediatric health care |
facilities; |
(2) to facilitate the development of on-call systems |
of qualified medical providers and assist hospitals with |
the development of plans to employ or contract with a |
qualified medical provider to initiate medical forensic |
services to a sexual assault survivor within 90 minutes of |
the patient presenting to the hospital as required in |
subsection (a-7) of Section 5; |
(3) to identify photography and storage options for |
hospitals to comply with the photo documentation |
requirements in Sections 5 and 5.1; |
(4) to develop a model written agreement for use by |
rape crisis centers, hospitals, and approved pediatric |
health care facilities with sexual assault treatment plans |
to comply with subsection (c) of Section 2; |
(5) to develop and distribute educational information |
regarding the implementation of this Act to hospitals, |
health care providers, rape crisis centers, children's |
advocacy centers, State's Attorney's offices; |
(6) to examine the role of telemedicine in the |
provision of medical forensic services under this Act and |
to develop recommendations for statutory change and |
standards and procedures for the use of telemedicine to be |
|
adopted by the Department; |
(7) to seek inclusion of the International Association |
of Forensic Nurses Sexual Assault Nurse Examiner Education |
Guidelines for nurses within the registered nurse training |
curriculum in Illinois nursing programs and the American |
College of Emergency Physicians Management of the Patient |
with the Complaint of Sexual Assault for emergency |
physicians within the Illinois residency training |
curriculum for emergency physicians; and |
(8) to submit a report to the General Assembly by |
January 1, 2024 regarding the status of implementation of |
Public Act 100-775 this amendatory Act of the 100th |
General Assembly , including, but not limited to, the |
impact of transfers to out-of-state hospitals on sexual |
assault survivors, the availability of treatment hospitals |
in Illinois, and the status of pediatric sexual assault |
care. The report shall also cover the impact of medical |
forensic services provided at approved federally qualified |
health centers on sexual assault survivors. The report to |
the General Assembly shall be filed with the Clerk of the |
House of Representatives and the Secretary of the Senate |
in electronic form only, in the manner that the Clerk and |
the Secretary shall direct. |
(d) This Section is repealed on January 1, 2025.
|
(Source: P.A. 102-538, eff. 8-20-21; 102-1097, eff. 6-16-22; |
102-1106, eff. 12-14-22; revised 12-19-22.)
|
|
Section 585. The Vital Records Act is amended by changing |
Section 18 as follows:
|
(410 ILCS 535/18) (from Ch. 111 1/2, par. 73-18)
|
Sec. 18. (1) Each death which occurs in this State shall be |
registered
by filing a death certificate with the local |
registrar
of the district in which the death occurred or the |
body was found, within
7 days after such death (within 5 days |
if the death occurs prior to
January 1, 1989) and prior to |
cremation or removal of the body from
the State, except when |
death is subject to investigation by the coroner or
medical |
examiner.
|
(a) For the purposes of this Section, if the place of |
death is unknown,
a death certificate shall be filed in |
the registration district in which
a dead body is found, |
which shall be considered the place of death.
|
(b) When a death occurs on a moving conveyance, the |
place where the body
is first removed from the conveyance |
shall be considered the place of death
and a death |
certificate shall be filed in the registration district in
|
which such place is located.
|
(c) The funeral director who first assumes
custody of |
a dead body shall be responsible for filing a completed |
death
certificate. He or she shall obtain the personal |
data from the next
of kin or the best qualified person or |
|
source available; he or she shall enter
on the certificate |
the name, relationship,
and address of the informant; he |
or she shall enter the date, place, and method
of final |
disposition; he or she shall affix his or her own |
signature and enter his or her address;
and shall present |
the certificate to the person responsible for completing
|
the medical certification of cause of death. The person |
responsible for completing
the medical certification of |
cause of death must note the presence of |
methicillin-resistant staphylococcus aureus, clostridium |
difficile, or vancomycin-resistant enterococci if it is a |
contributing factor to or the cause of death. Additional |
multi-drug resistant organisms (MDROs) may be added to |
this list by the Department by rule.
|
(2) The medical certification shall be completed and |
signed within 48
hours after death by the certifying health |
care professional who, within 12 months prior to the date of |
the patient's death, was treating or managing treatment of the |
patient's
illness or condition which resulted in death, except |
when death is subject
to the coroner's or medical examiner's |
investigation. In the absence of
the certifying health care |
professional or with his or her approval, the medical |
certificate may be
completed and signed by his or her |
associate physician , or advanced practice registered nurse, or |
physician assistant, the chief medical officer
of the |
institution in which death occurred, or by the physician who
|
|
performed an autopsy upon the decedent.
|
(3) When a death occurs without medical attendance, or |
when it is otherwise
subject to the coroner's or medical |
examiner's investigation, the coroner
or medical examiner |
shall be responsible for the completion of a coroner's
or |
medical examiner's certificate of death and shall sign the |
medical
certification within 48 hours after death, except as |
provided by regulation
in special problem cases. If the |
decedent was under the age of 18 years at the time of his or |
her death, and the death was due to injuries suffered as a |
result of a motor vehicle backing over a child, or if the death |
occurred due to the power window of a motor vehicle, the |
coroner or medical examiner must send a copy of the medical |
certification, with information documenting that the death was |
due to a vehicle backing over the child or that the death was |
caused by a power window of a vehicle, to the Department of |
Children and Family Services. The Department of Children and |
Family Services shall (i) collect this information for use by |
Child Death Review Teams and (ii) compile and maintain this |
information as part of its Annual Child Death Review Team |
Report to the General Assembly.
|
(3.5) The medical certification of cause of death shall |
expressly provide
an
opportunity for the person completing the
|
certification to indicate that the death was caused in whole |
or in part by a
dementia-related disease, Parkinson's Disease, |
or Parkinson-Dementia Complex.
|
|
(4) When the deceased was a veteran of any war of the |
United States, the
funeral director shall prepare a |
"Certificate of Burial of U. S. War Veteran",
as prescribed |
and furnished by the Illinois Department of Veterans' Affairs,
|
and submit such certificate to the Illinois Department of |
Veterans' Affairs
monthly.
|
(5) When a death is presumed to have occurred in this State |
but the
body cannot be located, a death certificate may be |
prepared by the State
Registrar upon receipt of an order of a |
court of competent jurisdiction
which includes the finding of |
facts required to complete the death
certificate. Such death |
certificate shall be marked "Presumptive" and shall
show on |
its face the date of the registration and shall identify the |
court
and the date of the judgment.
|
(Source: P.A. 102-257, eff. 1-1-22; 102-844, eff. 1-1-23; |
revised 12-12-22.)
|
Section 590. The Sanitary Food Preparation Act is amended |
by changing Sections 2 and 8 as follows:
|
(410 ILCS 650/2) (from Ch. 56 1/2, par. 68)
|
Sec. 2.
The floors, sidewalks, ceilings, furniture, |
receptacles,
implements , and machinery of every such |
establishment or place where such
food intended for sale is |
produced, prepared, manufactured, packed,
stored, sold , or |
distributed, and all cars, trucks , and vehicles used in
the |
|
transportation of such food products, shall at no time be kept |
or
permitted to remain in an unclean, unhealthful , or |
insanitary condition;
and for the purpose of this Act act , |
unclean, unhealthful , or insanitary
conditions shall be deemed |
to exist if food in the process of
production, preparation, |
manufacture, packing, storing, sale,
distribution , or |
transportation is not securely protected from flies,
dust, |
dirt, and, as far as may be necessary by all reasonable means,
|
from all other foreign or injurious contamination; or if the |
refuse,
dirt , or waste products subject to decomposition and |
fermentation
incident to the manufacture, preparation, |
packing, storing, selling,
distributing , or transportation of |
such food are not removed daily, or if
all trucks, trays, |
boxes, buckets , or other receptacles, or the shutes,
|
platforms, racks, tables, shelves, and knives, saws, cleavers , |
or other
utensils, or the machinery used in moving, handling, |
cutting, chopping,
mixing, canning , or other processes are not |
thoroughly cleaned daily; or
if the clothing of operatives, |
employees employes , clerks , or other persons therein
employed, |
is unclean.
|
(Source: P.A. 80-1495; revised 8-24-22.)
|
(410 ILCS 650/8) (from Ch. 56 1/2, par. 74)
|
Sec. 8.
No operative, employee employe , or other persons |
shall expectorate on the
food or on the utensils or on the |
floors or sidewalls of any building,
room, basement , or cellar |
|
where the production, preparation, manufacture,
packing, |
storing , or sale of any such food is conducted. Operatives, |
employees
employes , clerks, and all other persons who handle |
the material from which
such food is prepared or the finished |
product, before beginning work, or
after visiting toilet or |
toilets, shall wash their hands thoroughly in
clean water. |
Whoever fails to observe or violates the provisions of this
|
Section shall be guilty of a petty offense and fined not more |
than $25.
|
(Source: P.A. 77-2695; revised 8-24-22.)
|
Section 595. The Drug Take-Back Act is amended by changing |
Section 25 as follows:
|
(410 ILCS 720/25)
|
Sec. 25. Drug take-back program requirements. |
(a) At least 120 days prior to submitting a proposal under |
Section 35, a manufacturer program operator must notify |
potential authorized collectors of the opportunity to serve as |
an authorized collector for the proposed drug take-back |
program. No later than 30 days after a potential authorized |
collector expresses interest in participating in a proposed |
program, the manufacturer program operator must commence good |
faith negotiations with the potential authorized collector |
regarding the collector's participation in the program. |
(b) A person may serve as an authorized collector for a |
|
drug take-back program voluntarily or in exchange for |
compensation. Nothing in this Act requires any person to serve |
as an authorized collector for a drug take-back program. |
(c) A pharmacy shall not be required to participate in a |
drug take-back program. |
(d) A drug take-back program must include as a collector |
any person who (i) is a potential authorized collector and |
(ii) offers to participate in the program. The manufacturer |
program operator must include the person in the program as an |
authorized collector no later than 90 days after receiving a |
written offer to participate. |
(e) A drug take-back program must pay for all |
administrative and operational costs of the drug take-back |
program, as outlined in subsection (a) of Section 55. |
(f) An authorized collector operating a drug take-back |
program collection site must accept all covered drugs from |
consumers during the hours that the location used as a |
collection site is normally open for business to the public. |
(g) A drug take-back program collection site must collect |
covered drugs and store them in compliance with State and |
federal law, including United States Drug Enforcement |
Administration regulations. The manufacturer program operator |
must provide for transportation and disposal of collected |
covered drugs in a manner that ensures each collection site is |
serviced as often as necessary to avoid reaching capacity and |
that collected covered drugs are transported to final disposal |
|
in a manner compliant with State and federal law, including a |
process for additional prompt collection service upon |
notification from the collection site. Covered drugs shall be |
disposed of at: |
(1) a permitted hazardous waste facility that meets |
the requirements under 40 CFR 264 and 40 CFR 265; |
(2) a permitted municipal waste incinerator that meets |
the requirements under 40 CFR 50 and 40 CFR 62; or |
(3) a permitted hospital, medical, and infectious |
waste incinerator that meets the requirements under |
subpart HHH of 40 CFR part 62, an applicable State plan for |
existing hospital, medical, and infectious waste |
incinerators, or subpart Ec of 40 CFR part 60 for new |
hospital, medical, and infectious waste incinerators. |
(h) Authorized collectors must comply with all State and |
federal laws and regulations governing the collection, |
storage, and disposal of covered drugs, including United |
States Drug Enforcement Administration regulations. |
(i) A drug take-back program must provide for the |
collection, transportation, and disposal of covered drugs on |
an ongoing, year-round basis and must provide access for |
residents across the State as set forth in subsection (j). |
(j) A drug take-back program shall provide, in every |
county with a potential authorized collector, one authorized |
collection site and a minimum of at least one additional |
collection site for every 50,000 county residents, provided |
|
that there are enough potential authorized collectors offering |
to participate in the drug take-back program. |
All potential authorized collection sites that offer to |
participate in a drug take-back program shall be counted |
toward towards meeting the minimum number of authorized |
collection sites within a drug take-back program. Collection |
sites funded in part or in whole under a contract between a |
covered manufacturer and a pharmacy entered into on or before |
June 10, 2022 ( the effective date of this Act ) shall be counted |
toward towards the minimum requirements within this Section |
for so long as the contract continues. |
(k) A drug take-back program may include mail-back |
distribution locations or periodic collection events for each |
county in the State. The manufacturer program operator shall |
consult with each county authority identified in the written |
notice prior to preparing the program plan to determine the |
role that mail-back distribution locations or periodic |
collection events will have in the drug take-back program. |
The requirement to hold periodic collection events shall |
be deemed to be satisfied if a manufacturer program operator |
makes reasonable efforts to arrange periodic collection events |
but they cannot be scheduled due to lack of law enforcement |
availability. |
A drug take-back program must permit a consumer who is a |
homeless, homebound, or disabled individual to request |
prepaid, preaddressed mailing envelopes. A manufacturer |
|
program operator shall accept the request through a website |
and toll-free telephone number that it must maintain to comply |
with the requests.
|
(Source: P.A. 102-1055, eff. 6-10-22; revised 8-24-22.)
|
Section 600. The Environmental Protection Act is amended |
by changing Sections 10, 22.15, and 22.59 as follows:
|
(415 ILCS 5/10) (from Ch. 111 1/2, par. 1010)
|
Sec. 10. Regulations.
|
(A) The Board, pursuant to procedures prescribed in Title |
VII of
this Act, may adopt regulations to promote the purposes |
of this Title.
Without limiting the generality of this |
authority, such regulations may
among other things prescribe:
|
(a) (Blank);
|
(b) Emission standards specifying the maximum amounts |
or concentrations
of various contaminants that may be |
discharged into the atmosphere;
|
(c) Standards for the issuance of permits for |
construction, installation,
or operation of any equipment, |
facility, vehicle, vessel, or aircraft capable
of causing |
or contributing to air pollution or designed to prevent |
air
pollution;
|
(d) Standards and conditions regarding the sale, |
offer, or use of any
fuel, vehicle, or other article |
determined by the Board to constitute an
air-pollution |
|
hazard;
|
(e) Alert and abatement standards relative to |
air-pollution episodes or
emergencies constituting an |
acute danger to health or to the environment;
|
(f) Requirements and procedures for the inspection of |
any equipment,
facility, vehicle, vessel, or aircraft that |
may cause or contribute to air
pollution;
|
(g) Requirements and standards for equipment and |
procedures for monitoring
contaminant discharges at their |
sources, the collection of samples , and the
collection, |
reporting , and retention of data resulting from such |
monitoring.
|
(B) The Board may adopt regulations and emission standards |
that are applicable or that may become applicable to |
stationary emission sources located in all areas of the State |
in accordance with any of the following:
|
(1) that are required by federal law;
|
(2) that are otherwise part of the State's attainment |
plan and are necessary to attain the national ambient air |
quality standards; or
|
(3) that are necessary to comply with the requirements |
of the federal Clean Air Act.
|
(C) The Board may not adopt any regulation banning the |
burning of landscape
waste throughout the State generally. The |
Board may, by regulation, restrict
or prohibit the burning of |
landscape waste within
any geographical area of the State if |
|
it determines based on medical and
biological evidence |
generally accepted by the scientific community that
such |
burning will produce in the atmosphere of that geographical |
area
contaminants in sufficient quantities and of such |
characteristics and
duration as to be injurious to human |
humans , plant, or animal life , or health.
|
(D) The Board shall adopt regulations requiring the owner |
or operator of
a gasoline dispensing system that dispenses |
more than 10,000 gallons of
gasoline per month to install and |
operate a system for the recovery of
gasoline vapor emissions |
arising from the fueling of motor vehicles that
meets the |
requirements of Section 182 of the federal Clean Air Act (42 |
U.S.C. USC
7511a). These regulations shall apply only in areas |
of the State that are
classified as moderate, serious, severe , |
or extreme nonattainment areas for
ozone pursuant to Section |
181 of the federal Clean Air Act (42 U.S.C. USC 7511),
but |
shall not apply in such areas classified as moderate |
nonattainment
areas for ozone if the Administrator of the U.S. |
Environmental Protection
Agency promulgates standards for |
vehicle-based (onboard) systems for the
control of vehicle |
refueling emissions pursuant to Section 202(a)(6) of the
|
federal Clean Air Act (42 U.S.C. USC 7521(a)(6)) by November |
15, 1992.
|
(E) The Board shall not adopt or enforce any regulation |
requiring the use
of a tarpaulin or other covering on a truck, |
trailer, or other vehicle that is
stricter than the |
|
requirements of Section 15-109.1 of the Illinois Vehicle
Code. |
To the extent that it is in conflict with this subsection, the |
Board's
rule codified as 35 Ill. Adm. Admin. Code , Section |
212.315 is hereby superseded.
|
(F) Any person who , prior to June 8, 1988, has filed a |
timely Notice of
Intent to Petition for an Adjusted RACT |
Emissions Limitation and who
subsequently timely files a |
completed petition for an adjusted RACT
emissions limitation |
pursuant to 35 Ill. Adm. Code , Part 215, Subpart I,
shall be |
subject to the procedures contained in Subpart I but shall be
|
excluded by operation of law from 35 Ill. Adm. Code , Part 215, |
Subparts PP,
QQ , and RR, including the applicable definitions |
in 35 Ill. Adm. Code , Part
211. Such persons shall instead be |
subject to a separate regulation which
the Board is hereby |
authorized to adopt pursuant to the adjusted RACT
emissions |
limitation procedure in 35 Ill. Adm. Code , Part 215, Subpart |
I.
In its final action on the petition, the Board shall create |
a separate rule
which establishes Reasonably Available Control |
Technology (RACT) for such
person. The purpose of this |
procedure is to create separate and
independent regulations |
for purposes of SIP submittal, review, and approval
by USEPA.
|
(G) Subpart FF of Subtitle B, Title 35 Ill. Adm. Code , |
Sections 218.720
through 218.730 and Sections 219.720 through |
219.730, are hereby repealed by
operation of law and are |
rendered null and void and of no force and effect.
|
(H) In accordance with subsection (b) of Section 7.2, the |
|
Board shall adopt ambient air quality standards specifying the |
maximum permissible short-term and long-term concentrations of |
various contaminants in the atmosphere; those standards shall |
be identical in substance to the national ambient air quality |
standards promulgated by the Administrator of the United |
States Environmental Protection Agency in accordance with |
Section 109 of the Clean Air Act. The Board may consolidate |
into a single rulemaking under this subsection all such |
federal regulations adopted within a period of time not to |
exceed 6 months. The provisions and requirements of Title VII |
of this Act and Section 5-35 of the Illinois Administrative |
Procedure Act, relating to procedures for rulemaking, shall |
not apply to identical in substance regulations adopted |
pursuant to this subsection. However, the Board shall provide |
for notice and public comment before adopted rules are filed |
with the Secretary of State. Nothing in this subsection shall |
be construed to limit the right of any person to submit a |
proposal to the Board, or the authority of the Board to adopt, |
air quality standards more stringent than the standards |
promulgated by the Administrator, pursuant to the rulemaking |
requirements of Title VII of this Act and Section 5-35 of the |
Illinois Administrative Procedure Act. |
(Source: P.A. 97-945, eff. 8-10-12; revised 2-28-22.)
|
(415 ILCS 5/22.15)
|
Sec. 22.15. Solid Waste Management Fund; fees.
|
|
(a) There is hereby created within the State Treasury a
|
special fund to be known as the Solid Waste Management Fund, to |
be
constituted from the fees collected by the State pursuant |
to this Section,
from repayments of loans made from the Fund |
for solid waste projects, from registration fees collected |
pursuant to the Consumer Electronics Recycling Act, and from |
amounts transferred into the Fund pursuant to Public Act |
100-433.
Moneys received by either the Agency or the |
Department of Commerce and Economic Opportunity
in repayment |
of loans made pursuant to the Illinois Solid Waste Management
|
Act shall be deposited into the General Revenue Fund.
|
(b) The Agency shall assess and collect a
fee in the amount |
set forth herein from the owner or operator of each sanitary
|
landfill permitted or required to be permitted by the Agency |
to dispose of
solid waste if the sanitary landfill is located |
off the site where such waste
was produced and if such sanitary |
landfill is owned, controlled, and operated
by a person other |
than the generator of such waste. The Agency shall deposit
all |
fees collected into the Solid Waste Management Fund. If a site |
is
contiguous to one or more landfills owned or operated by the |
same person, the
volumes permanently disposed of by each |
landfill shall be combined for purposes
of determining the fee |
under this subsection. Beginning on July 1, 2018, and on the |
first day of each month thereafter during fiscal years 2019 |
through 2023, the State Comptroller shall direct and State |
Treasurer shall transfer an amount equal to 1/12 of $5,000,000 |
|
per fiscal year from the Solid Waste Management Fund to the |
General Revenue Fund.
|
(1) If more than 150,000 cubic yards of non-hazardous |
solid waste is
permanently disposed of at a site in a |
calendar year, the owner or operator
shall either pay a |
fee of 95 cents per cubic yard or,
alternatively, the |
owner or operator may weigh the quantity of the solid |
waste
permanently disposed of with a device for which |
certification has been obtained
under the Weights and |
Measures Act and pay a fee of $2.00 per
ton of solid waste |
permanently disposed of. In no case shall the fee |
collected
or paid by the owner or operator under this |
paragraph exceed $1.55 per cubic yard or $3.27 per ton.
|
(2) If more than 100,000 cubic yards but not more than |
150,000 cubic
yards of non-hazardous waste is permanently |
disposed of at a site in a calendar
year, the owner or |
operator shall pay a fee of $52,630.
|
(3) If more than 50,000 cubic yards but not more than |
100,000 cubic
yards of non-hazardous solid waste is |
permanently disposed of at a site
in a calendar year, the |
owner or operator shall pay a fee of $23,790.
|
(4) If more than 10,000 cubic yards but not more than |
50,000 cubic
yards of non-hazardous solid waste is |
permanently disposed of at a site
in a calendar year, the |
owner or operator shall pay a fee of $7,260.
|
(5) If not more than 10,000 cubic yards of |
|
non-hazardous solid waste is
permanently disposed of at a |
site in a calendar year, the owner or operator
shall pay a |
fee of $1050.
|
(c) (Blank).
|
(d) The Agency shall establish rules relating to the |
collection of the
fees authorized by this Section. Such rules |
shall include, but not be
limited to:
|
(1) necessary records identifying the quantities of |
solid waste received
or disposed;
|
(2) the form and submission of reports to accompany |
the payment of fees
to the Agency;
|
(3) the time and manner of payment of fees to the |
Agency, which payments
shall not be more often than |
quarterly; and
|
(4) procedures setting forth criteria establishing |
when an owner or
operator may measure by weight or volume |
during any given quarter or other
fee payment period.
|
(e) Pursuant to appropriation, all monies in the Solid |
Waste Management
Fund shall be used by the Agency for the |
purposes set forth in this Section and in the Illinois
Solid |
Waste Management Act, including for the costs of fee |
collection and
administration, and for the administration of |
the Consumer Electronics Recycling Act and the Drug Take-Back |
Act.
|
(f) The Agency is authorized to enter into such agreements |
and to
promulgate such rules as are necessary to carry out its |
|
duties under this
Section and the Illinois Solid Waste |
Management Act.
|
(g) On the first day of January, April, July, and October |
of each year,
beginning on July 1, 1996, the State Comptroller |
and Treasurer shall
transfer $500,000 from the Solid Waste |
Management Fund to the Hazardous Waste
Fund. Moneys |
transferred under this subsection (g) shall be used only for |
the
purposes set forth in item (1) of subsection (d) of Section |
22.2.
|
(h) The Agency is authorized to provide financial |
assistance to units of
local government for the performance of |
inspecting, investigating , and
enforcement activities pursuant |
to subsection (r) of Section 4 Section 4(r) at nonhazardous |
solid
waste disposal sites.
|
(i) The Agency is authorized to conduct household waste |
collection and
disposal programs.
|
(j) A unit of local government, as defined in the Local |
Solid Waste Disposal
Act, in which a solid waste disposal |
facility is located may establish a fee,
tax, or surcharge |
with regard to the permanent disposal of solid waste.
All |
fees, taxes, and surcharges collected under this subsection |
shall be
utilized for solid waste management purposes, |
including long-term monitoring
and maintenance of landfills, |
planning, implementation, inspection, enforcement
and other |
activities consistent with the Solid Waste Management Act and |
the
Local Solid Waste Disposal Act, or for any other |
|
environment-related purpose,
including, but not limited to, an |
environment-related public works project, but
not for the |
construction of a new pollution control facility other than a
|
household hazardous waste facility. However, the total fee, |
tax or surcharge
imposed by all units of local government |
under this subsection (j) upon the
solid waste disposal |
facility shall not exceed:
|
(1) 60¢ per cubic yard if more than 150,000 cubic |
yards of non-hazardous
solid waste is permanently disposed |
of at the site in a calendar year, unless
the owner or |
operator weighs the quantity of the solid waste received |
with a
device for which certification has been obtained |
under the Weights and Measures
Act, in which case the fee |
shall not exceed $1.27 per ton of solid waste
permanently |
disposed of.
|
(2) $33,350 if more than 100,000
cubic yards, but not |
more than 150,000 cubic yards, of non-hazardous waste
is |
permanently disposed of at the site in a calendar year.
|
(3) $15,500 if more than 50,000 cubic
yards, but not |
more than 100,000 cubic yards, of non-hazardous solid |
waste is
permanently disposed of at the site in a calendar |
year.
|
(4) $4,650 if more than 10,000 cubic
yards, but not |
more than 50,000 cubic yards, of non-hazardous solid waste
|
is permanently disposed of at the site in a calendar year.
|
(5) $650 if not more than 10,000 cubic
yards of |
|
non-hazardous solid waste is permanently disposed of at |
the site in
a calendar year.
|
The corporate authorities of the unit of local government
|
may use proceeds from the fee, tax, or surcharge to reimburse a |
highway
commissioner whose road district lies wholly or |
partially within the
corporate limits of the unit of local |
government for expenses incurred in
the removal of |
nonhazardous, nonfluid municipal waste that has been dumped
on |
public property in violation of a State law or local |
ordinance.
|
For the disposal of solid waste from general construction
|
or demolition debris recovery facilities as defined in |
subsection (a-1) of Section 3.160, the total fee, tax, or |
surcharge imposed by
all units of local government under this |
subsection (j) upon
the solid waste disposal facility shall |
not exceed 50% of the
applicable amount set forth above. A unit |
of local government,
as defined in the Local Solid Waste |
Disposal Act, in which a
general construction or demolition |
debris recovery facility is
located may establish a fee, tax, |
or surcharge on the general construction or demolition debris |
recovery facility with
regard to the permanent disposal of |
solid waste by the
general construction or demolition debris |
recovery facility at
a solid waste disposal facility, provided |
that such fee, tax,
or surcharge shall not exceed 50% of the |
applicable amount set
forth above, based on the total amount |
of solid waste transported from the general construction or |
|
demolition debris recovery facility for disposal at solid |
waste disposal facilities, and the unit of local government |
and fee shall be
subject to all other requirements of this |
subsection (j). |
A county or Municipal Joint Action Agency that imposes a |
fee, tax, or
surcharge under this subsection may use the |
proceeds thereof to reimburse a
municipality that lies wholly |
or partially within its boundaries for expenses
incurred in |
the removal of nonhazardous, nonfluid municipal waste that has |
been
dumped on public property in violation of a State law or |
local ordinance.
|
If the fees are to be used to conduct a local sanitary |
landfill
inspection or enforcement program, the unit of local |
government must enter
into a written delegation agreement with |
the Agency pursuant to subsection
(r) of Section 4. The unit of |
local government and the Agency shall enter
into such a |
written delegation agreement within 60 days after the
|
establishment of such fees. At least annually,
the Agency |
shall conduct an audit of the expenditures made by units of |
local
government from the funds granted by the Agency to the |
units of local
government for purposes of local sanitary |
landfill inspection and enforcement
programs, to ensure that |
the funds have been expended for the prescribed
purposes under |
the grant.
|
The fees, taxes or surcharges collected under this |
subsection (j) shall
be placed by the unit of local government |
|
in a separate fund, and the
interest received on the moneys in |
the fund shall be credited to the fund. The
monies in the fund |
may be accumulated over a period of years to be
expended in |
accordance with this subsection.
|
A unit of local government, as defined in the Local Solid |
Waste Disposal
Act, shall prepare and post on its website, in |
April of each year, a
report that details spending plans for |
monies collected in accordance with
this subsection. The |
report will at a minimum include the following:
|
(1) The total monies collected pursuant to this |
subsection.
|
(2) The most current balance of monies collected |
pursuant to this
subsection.
|
(3) An itemized accounting of all monies expended for |
the previous year
pursuant to this subsection.
|
(4) An estimation of monies to be collected for the |
following 3
years pursuant to this subsection.
|
(5) A narrative detailing the general direction and |
scope of future
expenditures for one, 2 and 3 years.
|
The exemptions granted under Sections 22.16 and 22.16a, |
and under
subsection (k) of this Section, shall be applicable |
to any fee,
tax or surcharge imposed under this subsection |
(j); except that the fee,
tax or surcharge authorized to be |
imposed under this subsection (j) may be
made applicable by a |
unit of local government to the permanent disposal of
solid |
waste after December 31, 1986, under any contract lawfully |
|
executed
before June 1, 1986 under which more than 150,000 |
cubic yards (or 50,000 tons)
of solid waste is to be |
permanently disposed of, even though the waste is
exempt from |
the fee imposed by the State under subsection (b) of this |
Section
pursuant to an exemption granted under Section 22.16.
|
(k) In accordance with the findings and purposes of the |
Illinois Solid
Waste Management Act, beginning January 1, 1989 |
the fee under subsection
(b) and the fee, tax or surcharge |
under subsection (j) shall not apply to:
|
(1) waste which is hazardous waste;
|
(2) waste which is pollution control waste;
|
(3) waste from recycling, reclamation or reuse |
processes which have been
approved by the Agency as being |
designed to remove any contaminant from
wastes so as to |
render such wastes reusable, provided that the process
|
renders at least 50% of the waste reusable; the exemption |
set forth in this paragraph (3) of this subsection (k) |
shall not apply to general construction or demolition |
debris recovery
facilities as defined in subsection (a-1) |
of Section 3.160;
|
(4) non-hazardous solid waste that is received at a |
sanitary landfill
and composted or recycled through a |
process permitted by the Agency; or
|
(5) any landfill which is permitted by the Agency to |
receive only
demolition or construction debris or |
landscape waste.
|
|
(Source: P.A. 101-10, eff. 6-5-19; 101-636, eff. 6-10-20; |
102-16, eff. 6-17-21; 102-310, eff. 8-6-21; 102-444, eff. |
8-20-21; 102-699, eff. 4-19-22; 102-813, eff. 5-13-22; |
102-1055, eff. 6-10-22; revised 8-25-22.)
|
(415 ILCS 5/22.59) |
Sec. 22.59. CCR surface impoundments. |
(a) The General Assembly finds that: |
(1) the State of Illinois has a long-standing policy |
to restore, protect, and enhance the environment, |
including the purity of the air, land, and waters, |
including groundwaters, of this State; |
(2) a clean environment is essential to the growth and |
well-being of this State; |
(3) CCR generated by the electric generating industry |
has caused groundwater contamination and other forms of |
pollution at active and inactive plants throughout this |
State; |
(4) environmental laws should be supplemented to |
ensure consistent, responsible regulation of all existing |
CCR surface impoundments; and |
(5) meaningful participation of State residents, |
especially vulnerable populations who may be affected by |
regulatory actions, is critical to ensure that |
environmental justice considerations are incorporated in |
the development of, decision-making related to, and |
|
implementation of environmental laws and rulemaking that |
protects and improves the well-being of communities in |
this State that bear disproportionate burdens imposed by |
environmental pollution. |
Therefore, the purpose of this Section is to promote a |
healthful environment, including clean water, air, and land, |
meaningful public involvement, and the responsible disposal |
and storage of coal combustion residuals, so as to protect |
public health and to prevent pollution of the environment of |
this State. |
The provisions of this Section shall be liberally |
construed to carry out the purposes of this Section. |
(b) No person shall: |
(1) cause or allow the discharge of any contaminants |
from a CCR surface impoundment into the environment so as |
to cause, directly or indirectly, a violation of this |
Section or any regulations or standards adopted by the |
Board under this Section, either alone or in combination |
with contaminants from other sources; |
(2) construct, install, modify, operate, or close any |
CCR surface impoundment without a permit granted by the |
Agency, or so as to violate any conditions imposed by such |
permit, any provision of this Section or any regulations |
or standards adopted by the Board under this Section; |
(3) cause or allow, directly or indirectly, the |
discharge, deposit, injection, dumping, spilling, leaking, |
|
or placing of any CCR upon the land in a place and manner |
so as to cause or tend to cause a violation of this Section |
or any regulations or standards adopted by the Board under |
this Section; or |
(4) construct, install, modify, or close a CCR surface
|
impoundment in accordance with a permit issued under this
|
Act without certifying to the Agency that all contractors, |
subcontractors, and installers utilized to construct, |
install, modify, or close a CCR surface impoundment are |
participants in: |
(A) a training program that is approved by and
|
registered with the United States Department of
|
Labor's Employment and Training Administration and
|
that includes instruction in erosion control and
|
environmental remediation; and |
(B) a training program that is approved by and
|
registered with the United States Department of
|
Labor's Employment and Training Administration and
|
that includes instruction in the operation of heavy
|
equipment and excavation. |
Nothing in this paragraph (4) shall be construed to |
require providers of construction-related professional |
services to participate in a training program approved by |
and registered with the United States Department of |
Labor's Employment and Training Administration. |
In this paragraph (4), "construction-related |
|
professional services" includes, but is
not limited to, |
those services within the scope of: (i) the
practice of |
architecture as regulated under the
Illinois Architecture |
Practice Act of 1989; (ii) professional
engineering as |
defined in Section 4 of the Professional
Engineering |
Practice Act of 1989; (iii) the practice of a structural
|
engineer as defined in Section 4 of the Structural |
Engineering Practice Act of
1989; or (iv) land surveying |
under the Illinois Professional Land
Surveyor Act of 1989. |
(c) (Blank). |
(d) Before commencing closure of a CCR surface |
impoundment, in accordance with Board rules, the owner of a |
CCR surface impoundment must submit to the Agency for approval |
a closure alternatives analysis that analyzes all closure |
methods being considered and that otherwise satisfies all |
closure requirements adopted by the Board under this Act. |
Complete removal of CCR, as specified by the Board's rules, |
from the CCR surface impoundment must be considered and |
analyzed. Section 3.405 does not apply to the Board's rules |
specifying complete removal of CCR. The selected closure |
method must ensure compliance with regulations adopted by the |
Board pursuant to this Section. |
(e) Owners or operators of CCR surface impoundments who |
have submitted a closure plan to the Agency before May 1, 2019, |
and who have completed closure prior to 24 months after July |
30, 2019 (the effective date of Public Act 101-171) shall not |
|
be required to obtain a construction permit for the surface |
impoundment closure under this Section. |
(f) Except for the State, its agencies and institutions, a |
unit of local government, or a not-for-profit electric |
cooperative as defined in Section 3.4 of the Electric Supplier |
Act, any person who owns or operates a CCR surface impoundment |
in this State shall post with the Agency a performance bond or |
other security for the purpose of: (i) ensuring closure of the |
CCR surface impoundment and post-closure care in accordance |
with this Act and its rules; and (ii) ensuring remediation of |
releases from the CCR surface impoundment. The only acceptable |
forms of financial assurance are: a trust fund, a surety bond |
guaranteeing payment, a surety bond guaranteeing performance, |
or an irrevocable letter of credit. |
(1) The cost estimate for the post-closure care of a |
CCR surface impoundment shall be calculated using a |
30-year post-closure care period or such longer period as |
may be approved by the Agency under Board or federal |
rules. |
(2) The Agency is authorized to enter into such |
contracts and agreements as it may deem necessary to carry |
out the purposes of this Section. Neither the State, nor |
the Director, nor any State employee shall be liable for |
any damages or injuries arising out of or resulting from |
any action taken under this Section. |
(3) The Agency shall have the authority to approve or |
|
disapprove any performance bond or other security posted |
under this subsection. Any person whose performance bond |
or other security is disapproved by the Agency may contest |
the disapproval as a permit denial appeal pursuant to |
Section 40. |
(g) The Board shall adopt rules establishing construction |
permit requirements, operating permit requirements, design |
standards, reporting, financial assurance, and closure and |
post-closure care requirements for CCR surface impoundments. |
Not later than 8 months after July 30, 2019 (the effective date |
of Public Act 101-171) the Agency shall propose, and not later |
than one year after receipt of the Agency's proposal the Board |
shall adopt, rules under this Section. The Board shall not be |
deemed in noncompliance with the rulemaking deadline due to |
delays in adopting rules as a result of the Joint Committee |
Commission on Administrative Rules oversight process. The |
rules must, at a minimum: |
(1) be at least as protective and comprehensive as the |
federal regulations or amendments thereto promulgated by |
the Administrator of the United States Environmental |
Protection Agency in Subpart D of 40 CFR 257 governing CCR |
surface impoundments; |
(2) specify the minimum contents of CCR surface |
impoundment construction and operating permit |
applications, including the closure alternatives analysis |
required under subsection (d); |
|
(3) specify which types of permits include |
requirements for closure, post-closure, remediation and |
all other requirements applicable to CCR surface |
impoundments; |
(4) specify when permit applications for existing CCR |
surface impoundments must be submitted, taking into |
consideration whether the CCR surface impoundment must |
close under the RCRA; |
(5) specify standards for review and approval by the |
Agency of CCR surface impoundment permit applications; |
(6) specify meaningful public participation procedures |
for the issuance of CCR surface impoundment construction |
and operating permits, including, but not limited to, |
public notice of the submission of permit applications, an |
opportunity for the submission of public comments, an |
opportunity for a public hearing prior to permit issuance, |
and a summary and response of the comments prepared by the |
Agency; |
(7) prescribe the type and amount of the performance |
bonds or other securities required under subsection (f), |
and the conditions under which the State is entitled to |
collect moneys from such performance bonds or other |
securities; |
(8) specify a procedure to identify areas of |
environmental justice concern in relation to CCR surface |
impoundments; |
|
(9) specify a method to prioritize CCR surface |
impoundments required to close under RCRA if not otherwise |
specified by the United States Environmental Protection |
Agency, so that the CCR surface impoundments with the |
highest risk to public health and the environment, and |
areas of environmental justice concern are given first |
priority; |
(10) define when complete removal of CCR is achieved |
and specify the standards for responsible removal of CCR |
from CCR surface impoundments, including, but not limited |
to, dust controls and the protection of adjacent surface |
water and groundwater; and |
(11) describe the process and standards for |
identifying a specific alternative source of groundwater |
pollution when the owner or operator of the CCR surface |
impoundment believes that groundwater contamination on the |
site is not from the CCR surface impoundment. |
(h) Any owner of a CCR surface impoundment that generates |
CCR and sells or otherwise provides coal combustion byproducts |
pursuant to Section 3.135 shall, every 12 months, post on its |
publicly available website a report specifying the volume or |
weight of CCR, in cubic yards or tons, that it sold or provided |
during the past 12 months. |
(i) The owner of a CCR surface impoundment shall post all |
closure plans, permit applications, and supporting |
documentation, as well as any Agency approval of the plans or |
|
applications , on its publicly available website. |
(j) The owner or operator of a CCR surface impoundment |
shall pay the following fees: |
(1) An initial fee to the Agency within 6 months after |
July 30, 2019 (the effective date of Public Act 101-171) |
of: |
$50,000 for each closed CCR surface impoundment; |
and |
$75,000 for each CCR surface impoundment that have |
not completed closure. |
(2) Annual fees to the Agency, beginning on July 1, |
2020, of: |
$25,000 for each CCR surface impoundment that has |
not completed closure; and |
$15,000 for each CCR surface impoundment that has |
completed closure, but has not completed post-closure |
care. |
(k) All fees collected by the Agency under subsection (j) |
shall be deposited into the Environmental Protection Permit |
and Inspection Fund. |
(l) The Coal Combustion Residual Surface Impoundment |
Financial Assurance Fund is created as a special fund in the |
State treasury. Any moneys forfeited to the State of Illinois |
from any performance bond or other security required under |
this Section shall be placed in the Coal Combustion Residual |
Surface Impoundment Financial Assurance Fund and shall, upon |
|
approval by the Governor and the Director, be used by the |
Agency for the purposes for which such performance bond or |
other security was issued. The Coal Combustion Residual |
Surface Impoundment Financial Assurance Fund is not subject to |
the provisions of subsection (c) of Section 5 of the State |
Finance Act. |
(m) The provisions of this Section shall apply, without |
limitation, to all existing CCR surface impoundments and any |
CCR surface impoundments constructed after July 30, 2019 (the |
effective date of Public Act 101-171), except to the extent |
prohibited by the Illinois or United States Constitutions.
|
(Source: P.A. 101-171, eff. 7-30-19; 102-16, eff. 6-17-21; |
102-137, eff. 7-23-21; 102-309, eff. 8-6-21; 102-558, eff. |
8-20-21; 102-662, eff. 9-15-21; 102-813, eff. 5-13-22; revised |
8-24-22.)
|
Section 605. 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, including any aquatic plants and animals or |
their by-products that are produced, grown, managed, harvested |
and marketed on an annual, semi-annual, biennial or short-term |
basis, in permitted aquaculture facilities.
|
5. "Animal" means all vertebrate and invertebrate species |
including,
but not limited to, man and other mammals, birds |
bird , fish, and shellfish.
|
5.5 . "Barrier mosquitocide" means a pesticide that is |
formulated to kill adult mosquitoes and that is applied so as |
to leave a residual mosquitocidal coating on natural or |
manmade surfaces. "Barrier mosquitocide" does not include a |
product that is exempt from registration under the Federal |
|
Insecticide, Fungicide, and Rodenticide Act, or rules adopted |
pursuant to that Act. |
5.6 . "Barrier mosquitocide treatment" means application of |
a barrier mosquitocide to a natural or manmade surface. |
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. "Commercial Not For Hire Applicator" also |
includes 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, and |
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 effects 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 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 |
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 a 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. 102-555, eff. 1-1-22; 102-916, eff. 1-1-23; |
revised 2-5-23.)
|
Section 610. The Drycleaner Environmental Response Trust |
Fund Act is amended by changing Section 45 as follows:
|
(415 ILCS 135/45)
|
Sec. 45. Insurance account.
|
(a) The insurance account shall offer financial assurance |
for a qualified
owner
or operator of a drycleaning facility |
under the terms and conditions provided
for under this |
Section. Coverage may be provided to either the owner or the
|
operator of a drycleaning facility. Neither the Agency nor the
|
|
Council is required to resolve whether the owner or operator, |
or both,
are responsible for a release under the terms of an |
agreement between
the owner and operator.
|
(b) The source of funds for the insurance account shall be |
as follows:
|
(1) moneys allocated to the
insurance
account;
|
(2) moneys collected as an insurance premium, |
including service fees, if
any; and
|
(3) investment income attributed to the insurance |
account.
|
(c) An owner or operator may purchase
coverage of up to |
$500,000 per drycleaning facility subject to the terms and
|
conditions under this Section and those adopted by the Council |
before July 1, 2020 or by the Board on or after that date. |
Coverage
shall be limited to remedial action costs associated |
with soil and
groundwater contamination resulting from a |
release of drycleaning solvent
at an insured drycleaning |
facility, including third-party liability for soil
and |
groundwater contamination. Coverage is not provided for a |
release
that occurred before the date of coverage.
|
(d) An
owner or operator, subject to underwriting |
requirements and terms
and conditions deemed necessary and |
convenient by the Council for periods before July 1, 2020 and |
subject to terms and conditions deemed necessary and |
convenient by the Board for periods on or after that date, may
|
purchase insurance coverage from the insurance account |
|
provided that:
|
(1) a site investigation designed to identify soil and
|
groundwater contamination resulting from the release
of a |
drycleaning solvent has been completed for the drycleaning |
facility to be insured and the site investigation has been |
found adequate by the Council before July 1, 2020 or by the |
Agency on or after that date;
|
(2) the drycleaning facility
is participating in and |
meets all
drycleaning compliance program requirements |
adopted by the Board pursuant to Section 12 of this Act;
|
(3) the drycleaning facility to be insured is licensed |
under Section 60 of this Act and all fees due under that |
Section have been paid; |
(4) the owner or operator of the drycleaning facility |
to be insured provides proof to the Agency or Council |
that: |
(A) all drycleaning solvent wastes generated at |
the facility are managed in accordance with applicable |
State waste management laws and rules; |
(B) there is no discharge of wastewater from |
drycleaning machines, or of drycleaning solvent from |
drycleaning operations, to a sanitary sewer or septic |
tank, to the surface, or in groundwater; |
(C) the facility has a containment dike or other |
containment structure around each machine, item of |
equipment, drycleaning area, and portable waste |
|
container in which any drycleaning solvent is |
utilized, that is capable of containing leaks, spills, |
or releases of drycleaning solvent from that machine, |
item, area, or container, including: (i) 100% of the |
drycleaning solvent in the largest tank or vessel; |
(ii) 100% of the drycleaning solvent of each item of |
drycleaning equipment; and (iii) 100% of the |
drycleaning solvent of the largest portable waste |
container or at least 10% of the total volume of the |
portable waste containers stored within the |
containment dike or structure, whichever is greater; |
(D) those portions of diked floor surfaces at the |
facility on which a drycleaning solvent may leak, |
spill, or otherwise be released are sealed or |
otherwise rendered impervious; |
(E) all drycleaning solvent is delivered to the |
facility by means of closed, direct-coupled delivery |
systems; and |
(F) the drycleaning facility is in compliance with |
paragraph (2) of this subsection (d) of this Section ; |
and |
(5) the owner or operator of the drycleaning facility |
to be insured has paid all insurance premiums for |
insurance coverage provided under this Section. |
Petroleum underground storage tank systems that are in |
compliance with applicable USEPA and State Fire Marshal rules, |
|
including, but not limited to, leak detection system rules, |
are exempt from the secondary containment requirement in |
subparagraph (C) of paragraph (4) (3) of this subsection (d). |
(e) The annual premium for insurance coverage shall be:
|
(1) For the year July 1, 1999 through June 30,
2000, |
$250
per drycleaning facility.
|
(2) For the year July 1, 2000 through
June 30, 2001, |
$375
per drycleaning facility.
|
(3) For the year July 1, 2001 through
June 30, 2002, |
$500
per drycleaning facility.
|
(4) For the year July 1, 2002 through
June 30, 2003, |
$625
per drycleaning facility.
|
(5) For each subsequent program year through the |
program year ending June 30, 2019, an owner or operator |
applying for
coverage shall pay an annual actuarially |
sound actuarially-sound insurance premium
for coverage by |
the insurance account. The Council may approve
Fund |
coverage through the payment of a premium established on
|
an actuarially sound actuarially-sound basis, taking into |
consideration the risk to the
insurance account presented |
by the insured.
Risk factor adjustments utilized to |
determine actuarially sound actuarially-sound
insurance |
premiums should reflect the range of risk presented by
the |
variety of drycleaning systems, monitoring systems, |
drycleaning
volume, risk management practices, and other |
factors as
determined by the Council. As used in this |
|
item, "actuarially sound" is not
limited to Fund premium |
revenue equaling or exceeding Fund
expenditures for the |
general drycleaning facility population.
Actuarially |
determined Actuarially-determined premiums shall be |
published at least 180
days prior to the premiums becoming |
effective.
|
(6) For the year July 1, 2020 through June 30, 2021, |
and for subsequent years through June 30, 2029, $1,500 per |
drycleaning facility per year. |
(7) For July 1, 2029 through January 1, 2030, $750 per |
drycleaning facility. |
(e-5) (Blank). |
(e-6) (Blank). |
(f) If coverage is purchased for any part of a year, the |
purchaser shall pay
the full annual premium. Until July 1, |
2020, the insurance premium is fully earned upon issuance
of |
the insurance policy. Beginning July 1, 2020, coverage first |
commences for a purchaser only after payment of the full |
annual premium due for the applicable program year.
|
(g) Any insurance coverage provided under this Section |
shall be subject to a
$10,000 deductible.
|
(h) A future repeal of this Section shall not terminate
|
the
obligations under this Section or authority necessary to |
administer the
obligations until the obligations are |
satisfied, including , but not limited to ,
the payment of |
claims filed prior
to the effective date of any future repeal |
|
against the insurance account until
moneys in the account are |
exhausted. Upon exhaustion of the
moneys in the account, any |
remaining claims shall be invalid. If moneys remain
in the |
account following
satisfaction of the obligations under this |
Section,
the remaining moneys in and moneys due to the account |
shall be deposited in the remedial action account.
|
(Source: P.A. 101-400, eff. 12-31-19 (See Section 5 of P.A. |
101-605 for effective date of P.A. 101-400); 101-605, eff. |
12-31-19; revised 6-1-22.)
|
Section 615. The Illinois Nuclear Safety Preparedness Act |
is amended by changing Section 8 as follows:
|
(420 ILCS 5/8) (from Ch. 111 1/2, par. 4308)
|
Sec. 8. (a) The Illinois Nuclear Safety Preparedness |
Program shall
consist of an assessment of the potential |
nuclear accidents, their
radiological consequences, and the |
necessary protective actions required to
mitigate the effects |
of such accidents. It shall include, but not
necessarily be |
limited to:
|
(1) Development of a remote effluent monitoring system |
capable of
reliably detecting and quantifying accidental |
radioactive releases from
nuclear power plants to the |
environment;
|
(2) Development of an environmental monitoring program |
for nuclear
facilities other than nuclear power plants;
|
|
(3) Development of procedures for radiological |
assessment and radiation
exposure control for areas |
surrounding each nuclear facility in Illinois;
|
(4) Radiological training of State state and local |
emergency
response personnel in accordance with the |
Agency's responsibilities
under the program;
|
(5) Participation in the development of accident |
scenarios
and in the exercising of fixed facility nuclear |
emergency response plans;
|
(6) Development of mitigative emergency planning |
standards including,
but not limited to, standards |
pertaining to evacuations, re-entry into
evacuated areas, |
contaminated foodstuffs and contaminated water supplies;
|
(7) Provision of specialized response equipment |
necessary to accomplish
this task;
|
(8) Implementation of the Boiler and Pressure Vessel |
Safety program
at nuclear steam-generating facilities as |
mandated by
Section
2005-35 of the Department of Nuclear |
Safety Law, or its successor statute;
|
(9) Development and implementation of a plan for |
inspecting and
escorting all shipments of spent nuclear |
fuel, high-level
radioactive
waste, transuranic waste, and |
highway route controlled quantities of radioactive |
materials in Illinois; and
|
(10) Implementation of the program under the Illinois |
Nuclear Facility
Safety Act ; and . |
|
(11) Development and implementation of a |
radiochemistry laboratory capable of preparing |
environmental samples, performing analyses, |
quantification, and reporting for assessment and radiation |
exposure control due to accidental radioactive releases |
from nuclear power plants into the environment.
|
(b) The Agency may incorporate data collected by the |
operator of a
nuclear facility into the Agency's remote |
monitoring system.
|
(c) The owners of each nuclear power reactor in Illinois |
shall provide
the Agency all system status signals which |
initiate Emergency Action
Level Declarations, actuate accident |
mitigation and provide mitigation
verification as directed by |
the Agency. The Agency shall designate
by rule those system |
status signals that must be provided. Signals
providing |
indication of operating power level shall also be provided.
|
The owners of the nuclear power reactors shall, at their |
expense, ensure
that valid signals will be provided |
continuously 24 hours a day.
|
All such signals shall be provided in a manner and at a |
frequency
specified by the Agency for incorporation into and |
augmentation of the
remote effluent monitoring system |
specified in paragraph (1) of subsection (a) (1) of this
|
Section. Provision shall be made for assuring that such system |
status and
power level signals shall be available to the |
Agency
during reactor
operation as well as throughout |
|
accidents and subsequent
recovery operations.
|
For nuclear reactors with operating licenses issued by the |
Nuclear
Regulatory Commission prior to the effective date of |
this amendatory Act,
such system status and power level |
signals shall be provided to the
Department of Nuclear Safety |
(of which the Agency is the successor) by March 1, 1985. For |
reactors without such a license on the
effective date of this |
amendatory Act, such signals shall be provided to
the |
Department prior to commencing initial fuel load for such |
reactor.
Nuclear reactors receiving their operating license |
after September 7, 1984 ( the effective date
of Public Act |
83-1342) this amendatory Act , but before July 1, 1985, shall |
provide such system
status and power level signals to the |
Department of Nuclear Safety (of which the Agency is the |
successor) by September 1, 1985.
|
(Source: P.A. 102-133, eff. 7-23-21; revised 8-24-22.)
|
Section 620. The Firearm Owners Identification Card Act is |
amended by changing Sections 1.1, 8.3, and 9.5 as follows:
|
(430 ILCS 65/1.1)
|
Sec. 1.1. For purposes of this Act:
|
"Addicted to narcotics" means a person who has been: |
(1) convicted of an offense involving the use or |
possession of cannabis, a controlled substance, or |
methamphetamine within the past year; or |
|
(2) determined by the Illinois State Police to be |
addicted to narcotics based upon federal law or federal |
guidelines. |
"Addicted to narcotics" does not include possession or use |
of a prescribed controlled substance under the direction and |
authority of a physician or other person authorized to |
prescribe the controlled substance when the controlled |
substance is used in the prescribed manner. |
"Adjudicated as a person with a mental disability" means |
the person is the subject of a determination by a court, board, |
commission or other lawful authority that the person, as a |
result of marked subnormal intelligence, or mental illness, |
mental impairment, incompetency, condition, or disease: |
(1) presents a clear and present danger to himself, |
herself, or to others; |
(2) lacks the mental capacity to manage his or her own |
affairs or is adjudicated a person with a disability as |
defined in Section 11a-2 of the Probate Act of 1975; |
(3) is not guilty in a criminal case by reason of |
insanity, mental disease or defect; |
(3.5) is guilty but mentally ill, as provided in |
Section 5-2-6 of the Unified Code of Corrections; |
(4) is incompetent to stand trial in a criminal case; |
(5) is not guilty by reason of lack of mental |
responsibility under Articles 50a and 72b of the Uniform |
Code of Military Justice, 10 U.S.C. 850a, 876b;
|
|
(6) is a sexually violent person under subsection (f) |
of Section 5 of the Sexually Violent Persons Commitment |
Act; |
(7) is a sexually dangerous person under the Sexually |
Dangerous Persons Act; |
(8) is unfit to stand trial under the Juvenile Court |
Act of 1987; |
(9) is not guilty by reason of insanity under the |
Juvenile Court Act of 1987; |
(10) is subject to involuntary admission as an |
inpatient as defined in Section 1-119 of the Mental Health |
and Developmental Disabilities Code; |
(11) is subject to involuntary admission as an |
outpatient as defined in Section 1-119.1 of the Mental |
Health and Developmental Disabilities Code; |
(12) is subject to judicial admission as set forth in |
Section 4-500 of the Mental Health and Developmental |
Disabilities Code; or |
(13) is subject to the provisions of the Interstate |
Agreements on Sexually Dangerous Persons Act. |
"Clear and present danger" means a person who: |
(1) communicates a serious threat of physical violence |
against a reasonably identifiable victim or poses a clear |
and imminent risk of serious physical injury to himself, |
herself, or another person as determined by a physician, |
clinical psychologist, or qualified examiner; or |
|
(2) demonstrates threatening physical or verbal |
behavior, such as violent, suicidal, or assaultive |
threats, actions, or other behavior, as determined by a |
physician, clinical psychologist, qualified examiner, |
school administrator, or law enforcement official. |
"Clinical psychologist" has the meaning provided in |
Section 1-103 of the Mental Health and Developmental |
Disabilities Code. |
"Controlled substance" means a controlled substance or |
controlled substance analog as defined in the Illinois |
Controlled Substances Act. |
"Counterfeit" means to copy or imitate, without legal |
authority, with
intent
to deceive. |
"Developmental disability" means a severe, chronic |
disability of an individual that: |
(1) is attributable to a mental or physical impairment |
or combination of mental and physical impairments; |
(2) is manifested before the individual attains age |
22; |
(3) is likely to continue indefinitely; |
(4) results in substantial functional limitations in 3 |
or more of the following areas of major life activity: |
(A) Self-care. |
(B) Receptive and expressive language. |
(C) Learning. |
(D) Mobility. |
|
(E) Self-direction. |
(F) Capacity for independent living. |
(G) Economic self-sufficiency; and |
(5) reflects the individual's need for a combination |
and sequence of special, interdisciplinary, or generic |
services, individualized supports, or other forms of |
assistance that are of lifelong or extended duration and |
are individually planned and coordinated. |
"Federally licensed firearm dealer" means a person who is |
licensed as a federal firearms dealer under Section 923 of the |
federal Gun Control Act of 1968 (18 U.S.C. 923).
|
"Firearm" means any device, by
whatever name known, which |
is designed to expel a projectile or projectiles
by the action |
of an explosion, expansion of gas or escape of gas; excluding,
|
however:
|
(1) any pneumatic gun, spring gun, paint ball gun, or |
B-B gun which
expels a single globular projectile not |
exceeding .18 inch in
diameter or which has a maximum |
muzzle velocity of less than 700 feet
per second;
|
(1.1) any pneumatic gun, spring gun, paint ball gun, |
or B-B gun which expels breakable paint balls containing |
washable marking colors; |
(2) any device used exclusively for signaling or |
safety and required or
recommended by the United States |
Coast Guard or the Interstate Commerce
Commission;
|
(3) any device used exclusively for the firing of stud |
|
cartridges,
explosive rivets or similar industrial |
ammunition; and
|
(4) an antique firearm (other than a machine-gun) |
which, although
designed as a weapon, the Illinois State |
Police finds by reason of
the date of its manufacture, |
value, design, and other characteristics is
primarily a |
collector's item and is not likely to be used as a weapon.
|
"Firearm ammunition" means any self-contained cartridge or |
shotgun
shell, by whatever name known, which is designed to be |
used or adaptable to
use in a firearm; excluding, however:
|
(1) any ammunition exclusively designed for use with a |
device used
exclusively for signaling or safety and |
required or recommended by the
United States Coast Guard |
or the Interstate Commerce Commission; and
|
(2) any ammunition designed exclusively for use with a |
stud or rivet
driver or other similar industrial |
ammunition. |
"Gun show" means an event or function: |
(1) at which the sale and transfer of firearms is the |
regular and normal course of business and where 50 or more |
firearms are displayed, offered, or exhibited for sale, |
transfer, or exchange; or |
(2) at which not less than 10 gun show vendors |
display, offer, or exhibit for sale, sell, transfer, or |
exchange firearms.
|
"Gun show" includes the entire premises provided for an |
|
event or function, including parking areas for the event or |
function, that is sponsored to facilitate the purchase, sale, |
transfer, or exchange of firearms as described in this |
Section.
Nothing in this definition shall be construed to |
exclude a gun show held in conjunction with competitive |
shooting events at the World Shooting Complex sanctioned by a |
national governing body in which the sale or transfer of |
firearms is authorized under subparagraph (5) of paragraph (g) |
of subsection (A) of Section 24-3 of the Criminal Code of 2012. |
Unless otherwise expressly stated, "gun show" does not |
include training or safety classes, competitive shooting |
events, such as rifle, shotgun, or handgun matches, trap, |
skeet, or sporting clays shoots, dinners, banquets, raffles, |
or
any other event where the sale or transfer of firearms is |
not the primary course of business. |
"Gun show promoter" means a person who organizes or |
operates a gun show. |
"Gun show vendor" means a person who exhibits, sells, |
offers for sale, transfers, or exchanges any firearms at a gun |
show, regardless of whether the person arranges with a gun |
show promoter for a fixed location from which to exhibit, |
sell, offer for sale, transfer, or exchange any firearm. |
"Intellectual disability" means significantly subaverage |
general intellectual functioning, existing concurrently with |
deficits in adaptive behavior and manifested during the |
developmental period, which is defined as before the age of |
|
22, that adversely affects a child's educational performance. |
"Involuntarily admitted" has the meaning as prescribed in |
Sections 1-119 and 1-119.1 of the Mental Health and |
Developmental Disabilities Code. |
"Mental health facility" means any licensed private |
hospital or hospital affiliate, institution, or facility, or |
part thereof, and any facility, or part thereof, operated by |
the State or a political subdivision thereof which provides |
treatment of persons with mental illness and includes all |
hospitals, institutions, clinics, evaluation facilities, |
mental health centers, colleges, universities, long-term care |
facilities, and nursing homes, or parts thereof, which provide |
treatment of persons with mental illness whether or not the |
primary purpose is to provide treatment of persons with mental |
illness. |
"National governing body" means a group of persons who |
adopt rules and formulate policy on behalf of a national |
firearm sporting organization. |
"Noncitizen" means a person who is not a citizen of the |
United States, but is a person who is a foreign-born person who |
lives in the United States, has not been naturalized, and is |
still a citizen of a foreign country. |
"Patient" means: |
(1) a person who is admitted as an inpatient or |
resident of a public or private mental health facility for |
mental health treatment under Chapter III of the Mental |
|
Health and Developmental Disabilities Code as an informal |
admission, a voluntary admission, a minor admission, an |
emergency admission, or an involuntary admission, unless |
the treatment was solely for an alcohol abuse disorder; or |
(2) a person who voluntarily or involuntarily receives |
mental health treatment as an out-patient or is otherwise |
provided services by a public or private mental health |
facility and who poses a clear and present danger to |
himself, herself, or others. |
"Physician" has the meaning as defined in Section 1-120 of |
the Mental Health and Developmental Disabilities Code. |
"Protective order" means any orders of protection issued |
under the Illinois Domestic Violence Act of 1986, stalking no |
contact orders issued under the Stalking No Contact Order Act, |
civil no contact orders issued under the Civil No Contact |
Order Act, and firearms restraining orders issued under the |
Firearms Restraining Order Act or a substantially similar |
order issued by the court of another state, tribe, or United |
States territory or military tribunal. |
"Qualified examiner" has the meaning provided in Section |
1-122 of the Mental Health and Developmental Disabilities |
Code. |
"Sanctioned competitive shooting event" means a shooting |
contest officially recognized by a national or state shooting |
sport association, and includes any sight-in or practice |
conducted in conjunction with the event.
|
|
"School administrator" means the person required to report |
under the School Administrator Reporting of Mental Health |
Clear and Present Danger Determinations Law. |
"Stun gun or taser" has the meaning ascribed to it in |
Section 24-1 of the Criminal Code of 2012. |
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21; |
102-813, eff. 5-13-22; 102-890, eff. 5-19-22; 102-972, eff. |
1-1-23; 102-1030, eff. 5-27-22; revised 12-14-22.)
|
(430 ILCS 65/8.3) |
Sec. 8.3. Suspension of Firearm Owner's Identification |
Card. The Illinois State Police may suspend the Firearm |
Owner's Identification Card of a person whose Firearm Owner's |
Identification Card is subject to revocation and seizure under |
this Act for the duration of the disqualification if the |
disqualification is not a permanent ground grounds for |
revocation of a Firearm Owner's Identification Card under this |
Act. The Illinois State Police may adopt rules necessary to |
implement this Section.
|
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21; |
102-813, eff. 5-13-22; revised 8-24-22.)
|
(430 ILCS 65/9.5) |
Sec. 9.5. Revocation of Firearm Owner's Identification
|
Card. |
(a) A person who receives a revocation notice under |
|
Section 9 of this Act shall, within 48 hours of receiving |
notice of the revocation: |
(1) surrender his or her Firearm Owner's |
Identification Card to the local law enforcement agency |
where the person resides or to the Illinois State Police; |
and |
(2) complete a Firearm Disposition Record on a form |
prescribed by the Illinois State Police and place his or |
her firearms in the location or with the person reported |
in the Firearm Disposition Record. The form shall require |
the person to disclose: |
(A) the make, model, and serial number of each |
firearm owned by or under the custody and control of |
the revoked person; |
(B) the location where each firearm will be |
maintained during the prohibited term; |
(C) if any firearm will be transferred to the |
custody of another person, the name, address and |
Firearm Owner's Identification Card number of the |
transferee; and |
(D) to whom his or her Firearm Owner's |
Identification Card was surrendered. |
Once completed, the person shall retain a copy and |
provide a copy of the Firearm Disposition Record to the |
Illinois State Police. |
(b) Upon confirming through the portal created under |
|
Section 2605-304 of the Illinois State Police Law of the Civil |
Administrative Code of Illinois that the Firearm Owner's |
Identification Card has been revoked by the Illinois State |
Police, surrendered cards shall be destroyed by the law |
enforcement agency receiving the cards. If a card has not been |
revoked, the card shall be returned to the cardholder. |
(b-5) If a court orders the surrender of a Firearm |
Firearms Owner's Identification Card and accepts receipt of |
the Card, the court shall destroy the Card and direct the |
person whose Firearm Owner's Identification Card has been |
surrendered to comply with paragraph (2) of subsection (a). |
(b-10) If the person whose Firearm Owner's Identification |
Card has been revoked has either lost or destroyed the Card, |
the person must still comply with paragraph (2) of subsection |
(a). |
(b-15) A notation shall be made in the portal created |
under Section 2605-304 of the Illinois State Police Law of the |
Civil Administrative Code of Illinois that the revoked Firearm |
Owner's Identification Card has been destroyed. |
(c) If the person whose Firearm Owner's Identification |
Card has been revoked fails to comply with the requirements of |
this Section, the sheriff or law enforcement agency where the |
person resides may petition the circuit court to issue a |
warrant to search for and seize the Firearm Owner's |
Identification Card and firearms in the possession or under |
the custody or control of the person whose Firearm Owner's |
|
Identification Card has been revoked. |
(d) A violation of subsection (a) of this Section is a |
Class A misdemeanor. |
(e) The observation of a Firearm Owner's Identification |
Card in the possession of a person whose Firearm Owner's |
Identification Card has been revoked constitutes a sufficient |
basis for the arrest of that person for violation of this |
Section. |
(f) Within 30 days after July 9, 2013 (the effective date |
of Public Act 98-63), the Illinois State Police shall provide |
written notice of the requirements of this Section to persons |
whose Firearm Owner's Identification Cards have been revoked, |
suspended, or expired and who have failed to surrender their |
cards to the Illinois State Police. |
(g) A person whose Firearm Owner's Identification Card has |
been revoked and who received notice under subsection (f) |
shall comply with the requirements of this Section within 48 |
hours of receiving notice.
|
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21; |
102-813, eff. 5-13-22; revised 8-24-22.)
|
Section 625. The Lake Michigan Rescue Equipment Act is |
amended by changing Section 25 as follows:
|
(430 ILCS 175/25) |
(This Section may contain text from a Public Act with a |
|
delayed effective date )
|
Sec. 25. High-incident drowning area plans. Within one |
year after an owner's property becomes becoming a |
high-incident drowning area, the owner shall update and |
disseminate a water safety plan as well as upgrade installed |
safety equipment as needed, which may include, but is not |
limited to, installing equipment that automatically contacts |
9-1-1 or other safety improvements.
|
(Source: P.A. 102-1036, eff. 6-2-23; revised 8-24-22.)
|
Section 630. The Herptiles-Herps Act is amended by |
changing Section 100-10 as follows:
|
(510 ILCS 68/100-10) |
Sec. 100-10. Search and seizure. Whenever any authorized |
employee of the Department, sheriff, deputy sheriff, or other |
peace officer office of the State has reason to believe that |
any person, owner, possessor, commercial institution, pet |
store, or reptile show vendor or attendee possesses any |
herptile or any part or parts of a herptile contrary to the |
provisions of this Act, including administrative rules, he or |
she may file, or cause to be filed, a sworn complaint to that |
effect before the circuit court and procure and execute a |
search warrant. Upon execution of the search warrant, the |
officer executing the search warrant shall make due return of |
the search warrant to the court issuing the search warrant, |
|
together with an inventory of all the herptiles or any part or |
parts of a herptile taken under the search warrant. The court |
shall then issue process against the party owning, |
controlling, or transporting the herptile or any part of a |
herptile seized, and upon its return shall proceed to |
determine whether or not the herptile or any part or parts of a |
herptile were held, possessed, or transported in violation of |
this Act, including administrative rules. In case of a finding |
that a herptile was illegally held, possessed, transported, or |
sold, a judgment shall be entered against the owner or party |
found in possession of the herptile or any part or parts of a |
herptile for the costs of the proceeding and providing for the |
disposition of the property seized, as provided for by this |
Act.
|
(Source: P.A. 102-315, eff. 1-1-22; revised 2-28-22.)
|
Section 635. The Fish and Aquatic Life Code is amended by |
changing Section 20-45 as follows:
|
(515 ILCS 5/20-45) (from Ch. 56, par. 20-45)
|
Sec. 20-45. License fees for residents. Fees for licenses |
for residents
of the State of Illinois shall be as follows:
|
(a) Except as otherwise provided in this Section, for |
sport fishing
devices as defined in Section 10-95 or |
spearing devices as defined in
Section 10-110, the fee is |
$14.50 for individuals 16 to 64 years old,
one-half of the |
|
current fishing license fee for individuals age 65 or |
older,
and, commencing with the 2012 license year, |
one-half of the current fishing license fee for resident |
veterans of the United States Armed Forces after returning |
from service abroad or mobilization by the President of |
the United States as an active duty member of the United |
States Armed Forces, the Illinois National Guard, or the |
Reserves of the United States Armed Forces. Veterans must |
provide to the Department acceptable verification of their |
service. The Department shall establish by administrative |
rule the procedure by which such verification of service |
shall be made to the Department for the purpose of issuing |
fishing licenses to resident veterans at a reduced fee.
|
(a-5) The fee for all sport fishing licenses shall be |
$1 for residents over 75 years of age. |
(b) All residents before using any commercial fishing |
device shall
obtain a commercial fishing license, the fee |
for which shall be $60 and a resident fishing license, the |
fee for which is $14.50.
Each and every commercial device |
used shall be licensed by a resident
commercial fisherman |
as follows:
|
(1) For each 100 lineal yards, or fraction |
thereof, of seine
the fee is $18. For each minnow |
seine, minnow trap, or net for commercial
purposes the |
fee is $20.
|
(2) For each device to fish with a 100 hook trot |
|
line
device,
basket trap, hoop net, or dip net the fee |
is $3.
|
(3) When used in the waters of Lake Michigan, for |
the first 2000
lineal feet, or fraction thereof, of |
gill net the fee is $10; and
for each 1000 additional |
lineal feet, or fraction thereof, the fee is $10.
|
These fees shall apply to all gill nets in use in the |
water or on drying
reels on the shore.
|
(4) For each 100 lineal yards, or fraction |
thereof, of gill net
or trammel net the fee is $18.
|
(c) Residents of the State of Illinois may obtain a |
sportsmen's
combination license that shall entitle the |
holder to the same
non-commercial fishing privileges as |
residents holding a license as
described in subsection (a) |
of this Section and to the same hunting
privileges as |
residents holding a license to hunt all species as
|
described in Section 3.1 of the Wildlife Code. No |
sportsmen's combination
license shall be issued to any |
individual who would be ineligible for
either the fishing |
or hunting license separately. The sportsmen's
combination |
license fee shall be $25.50.
For residents age 65 or |
older, the fee is one-half of the fee charged for a
|
sportsmen's combination license. For resident veterans of |
the United States Armed Forces after returning from |
service abroad or mobilization by the President of the |
United States as an active duty member of the United |
|
States Armed Forces, the Illinois National Guard, or the |
Reserves of the United States Armed Forces, the fee, |
commencing with the 2012 license year, is one-half of the |
fee charged for a
sportsmen's combination license. |
Veterans must provide to the Department acceptable |
verification of their service. The Department shall |
establish by administrative rule the procedure by which |
such verification of service shall be made to the |
Department for the purpose of issuing sportsmen's
|
combination licenses to resident veterans at a reduced |
fee.
|
(d) For 24 hours of fishing
by sport fishing devices
|
as defined in Section 10-95 or by spearing devices as |
defined in Section
10-110 the fee is $5. This license does |
not exempt the licensee from the
requirement for a salmon |
or inland trout stamp. The licenses provided for
by this |
subsection
are not required for residents of the State of |
Illinois who have obtained the
license provided for in |
subsection (a) of this Section.
|
(e) All residents before using any commercial mussel |
device shall
obtain a commercial mussel license, the fee |
for which shall be $50.
|
(f) Residents of this State, upon establishing |
residency as required
by the Department, may obtain a |
lifetime hunting or fishing license or
lifetime |
sportsmen's combination license which shall entitle the |
|
holder to
the same non-commercial fishing privileges as |
residents holding a license
as described in paragraph (a) |
of this Section and to the same hunting
privileges as |
residents holding a license to hunt all species as |
described
in Section 3.1 of the Wildlife Code. No lifetime |
sportsmen's combination
license shall be issued to or |
retained by any individual
who would be ineligible for |
either the fishing or hunting license
separately, either |
upon issuance, or in any year a violation would
subject an |
individual to have either or both fishing or hunting |
privileges
rescinded. The lifetime hunting and fishing |
license fees shall be as follows:
|
(1) Lifetime fishing: 30 x the current fishing |
license fee.
|
(2) Lifetime hunting: 30 x the current hunting |
license fee.
|
(3) Lifetime sportsmen's combination license: 30 x |
the current
sportsmen's combination license fee.
|
Lifetime licenses shall not be refundable. A $10 fee shall |
be charged
for reissuing any lifetime license. The Department |
may establish rules and
regulations for the issuance and use |
of lifetime licenses and may suspend
or revoke any lifetime |
license issued under this Section for violations of
those |
rules or regulations or other provisions under this Code or , |
the
Wildlife Code, or a violation of the United States Code |
that involves the taking, possessing, killing, harvesting, |
|
transportation, selling, exporting, or importing any fish or |
aquatic life protected by this Code or the taking, possessing, |
killing, harvesting, transportation, selling, exporting, or |
importing any fauna protected by the Wildlife Code when any |
part of the United States Code violation occurred in Illinois. |
Individuals under 16 years of age who possess a lifetime
|
hunting or sportsmen's combination license shall have in their |
possession,
while in the field, a certificate of competency as |
required under Section
3.2 of the Wildlife Code. Any lifetime |
license issued under this Section
shall not exempt individuals |
from obtaining additional stamps or permits
required under the |
provisions of this Code or the Wildlife Code.
Individuals |
required to purchase additional stamps shall sign the stamps
|
and have them in their possession while fishing or hunting |
with a lifetime
license. All fees received from the issuance
|
of lifetime licenses shall be deposited in the Fish and |
Wildlife Endowment
Fund.
|
Except for licenses issued under subsection (e) of this |
Section, all
licenses provided for in this Section shall |
expire on March 31 of
each year, except that the license |
provided for in subsection (d) of
this Section shall expire 24 |
hours after the effective date and time listed
on the face of |
the license.
|
All individuals required to have and failing to have the |
license provided
for in subsection (a) or (d) of this Section |
shall be fined according to the
provisions of Section 20-35 of |
|
this Code.
|
All individuals required to have and failing to have the |
licenses
provided for in subsections (b) and (e) of this |
Section shall be guilty of a
Class B misdemeanor.
|
(g) For the purposes of this Section, "acceptable |
verification" means official documentation from the Department |
of Defense
or the appropriate Major Command showing |
mobilization dates or service abroad
dates, including: (i) a |
DD-214, (ii) a letter from the Illinois Department of
Military |
Affairs for members of the Illinois National Guard, (iii) a |
letter
from the Regional Reserve Command for members of the |
Armed Forces Reserve,
(iv) a letter from the Major Command |
covering Illinois for active duty
members, (v) personnel |
records for mobilized State employees, and (vi) any
other |
documentation that the Department, by administrative rule, |
deems
acceptable to establish dates of mobilization or service |
abroad. |
For the purposes of this Section, the term "service |
abroad" means active
duty service outside of the 50 United |
States and the District of Columbia, and
includes all active |
duty service in territories and possessions of the United
|
States. |
(Source: P.A. 102-780, eff. 5-13-22; 102-837, eff. 5-13-22; |
revised 7-26-22.)
|
Section 640. The Wildlife Code is amended by changing |
|
Sections 1.2t and 2.33 as follows:
|
(520 ILCS 5/1.2t) (from Ch. 61, par. 1.2t)
|
Sec. 1.2t.
"Wildlife" means any bird or mammal that is are |
by nature wild by way of distinction from a bird or mammal |
those that is
are naturally tame and is are ordinarily living |
unconfined in a state of nature
without the care of man.
|
(Source: P.A. 97-431, eff. 8-16-11; revised 6-1-22.)
|
(520 ILCS 5/2.33)
|
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,
conveyance, or unmanned aircraft as |
defined by the Illinois Aeronautics Act, except as permitted |
by the Code of Federal Regulations for the
taking of |
waterfowl; except that nothing in this subsection shall |
prohibit the use of unmanned aircraft in the inspection of a |
public utility facility, tower, or structure or a mobile |
service facility, tower, or structure by a public utility, as |
defined in Section 3-105 of the Public Utilities Act, or a |
provider of mobile services as defined in Section 153 of Title |
47 of the United States Code. It is also unlawful to use the |
lights of any vehicle
or conveyance, any light connected to |
any
vehicle or conveyance, or any other lighting device or |
mechanism from inside or on a 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. For purposes of this Section, any |
other lighting device or mechanism shall include, but not be |
limited to, any device that uses infrared or other light not |
visible to the naked eye, electronic image intensification, |
active illumination, thermal imaging, or night vision. Striped |
skunk, opossum, red fox, gray
fox, raccoon, bobcat, 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 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 unless in accordance with |
the Firearm Concealed Carry Act.
|
(o) (Blank).
|
|
(p) It is unlawful to take game birds, migratory game |
birds or
migratory waterfowl with a rifle, pistol, revolver, |
or air rifle.
|
(q) It is unlawful to fire a rifle, pistol, revolver, or |
air rifle 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, or 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 which 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 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 providing outfitting services under a |
waterfowl outfitter permit, or
on licensed game breeding and |
hunting preserve areas, as defined in Section
3.27, 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 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 one
half hour after sunset and one-half one |
half hour before sunrise, except that
hunting hours between |
one-half one half hour after sunset and one-half 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. However, coyotes may |
not be hunted utilizing these devices during open season for |
deer except by properly licensed deer hunters.
|
(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 Sections 2.25 and |
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 or solid |
blaze pink color, with
such articles of clothing displaying a |
|
minimum of 400 square inches of
blaze orange or solid blaze |
pink color 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 or |
solid blaze pink 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 |
persons with disabilities 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 are 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. |
(oo) It is unlawful while deer hunting: |
(1) to possess or be in close proximity to a rifle that |
is not centerfire; or |
(2) to be in possession of or in close proximity to a |
magazine that is capable of making a rifle not a single |
shot. |
(Source: P.A. 102-237, eff. 1-1-22; 102-837, eff. 5-13-22; |
102-932, eff. 1-1-23; revised 12-14-22.)
|
Section 645. The Wildlife Habitat Management Areas Act is |
amended by changing Section 20 as follows:
|
(520 ILCS 20/20) (from Ch. 61, par. 237)
|
Sec. 20.
In connection with their official duties, it is |
lawful for any
member of the Department, or any employee |
employe or duly appointed agent thereof , to
go upon a Wildlife |
Habitat Management Area, restricted or open, at any time
of |
the year with or without firearms, traps , or dogs.
|
(Source: Laws 1961, p. 2296; revised 8-22-22.)
|
|
Section 650. The Illinois Highway Code is amended by |
changing Section 2-201 as follows:
|
(605 ILCS 5/2-201) (from Ch. 121, par. 2-201)
|
Sec. 2-201.
The terms used in this Code shall, for the |
purposes of this
Code , have the meanings ascribed to them in |
this Division of this Article,
except when the context |
otherwise requires.
|
(Source: Laws 1959, p. 196; revised 2-28-22.)
|
Section 655. The Expressway Camera Act is amended by |
changing Section 5 as follows:
|
(605 ILCS 140/5)
|
(Section scheduled to be repealed on July 1, 2025) |
Sec. 5. Camera program. |
(a) The Illinois State Police, the Illinois Department of
|
Transportation, and the Illinois State Toll Highway Authority
|
shall work together to conduct a program to increase the |
amount
of cameras along (i) expressways and the State highway |
system in the counties of Boone, Bureau, Champaign, Cook, |
DeKalb, DuPage, Grundy, Henry, Kane, Kendall, Lake, LaSalle, |
Macon, Madison, McHenry, Morgan, Peoria, Rock Island, |
Sangamon, St. Clair, Will, and Winnebago and (ii) |
Jean-Baptiste Pointe DuSable Lake Shore Drive in Cook County . |
|
Within 90 days after June 3, 2022 ( the effective date of Public |
Act 102-1042) this amendatory Act of the 102nd General |
Assembly , details about the program objectives, counties where |
the program is operational, and policies under which the |
program operates shall be made publicly available and posted |
online. |
(b) Images from the cameras may be extracted by any |
authorized user and used by any municipal police department, |
county sheriff's office, State Police officer, or other law |
enforcement agency with jurisdiction in the investigation of |
any offenses involving vehicular hijacking, aggravated |
vehicular hijacking, terrorism, motor vehicle theft, or any |
forcible felony, including, but not limited to, offenses |
involving the use of a firearm; to detect expressway hazards |
and highway conditions; and to facilitate highway safety and |
incident management. Images from the cameras shall not be used |
to enforce petty offenses or offenses not listed in this |
subsection, unless use of the images pertains to expressway or |
highway safety or hazards. Images from the cameras may be used |
by any law enforcement agency conducting an active law |
enforcement investigation. All images from the cameras shall |
be deleted within 120 days, unless the images are relevant to |
an ongoing investigation or pending criminal trial. Cameras |
shall not be used to monitor individuals or groups in a |
discriminatory manner contrary to applicable State or federal |
law. |
|
(b-5) By June 30th of each year, the Illinois State |
Police, the Illinois Department of Transportation, and the |
Illinois State Toll Highway Authority shall issue a joint |
report to the General Assembly detailing the program |
operations, including, but not limited to: |
(1) the cost of installation of cameras by county; |
(2) the cost of ongoing maintenance of the camera |
systems per county, including electrical costs and data |
transfer costs; |
(3) the number of inquiries where the investigation |
involved the criminal offenses outlined in subsection (b); |
and |
(4) the number of incidents in which law enforcement |
searched the stored data for the criminal offenses |
outlined in subsection (b). |
(c) Subject to appropriation, any funds needed to conduct |
the program for use on the expressways or State highway system |
under the jurisdiction of the Department of Transportation |
shall be taken from the Road Fund and shall be included in |
requests for qualification processes. Any funds needed to |
conduct the program for use on expressways under the |
jurisdiction of the Illinois State Toll Highway Authority |
shall be paid for by funds from the Illinois State Tollway |
Highway Authority and shall be included in requests for |
qualification processes. |
(c-5) Any forcible felony, gunrunning, or firearms |
|
trafficking offense, as defined in Section 2-8, 24-3a, or |
24-3b of the Criminal Code of 2012, respectively, committed on |
an expressway monitored by a camera system funded by money |
from the Road Fund and investigated by officers of the |
Illinois State Police may be prosecuted by the Attorney |
General or the State's Attorney where the offense was |
committed. |
(d) (Blank).
|
(Source: P.A. 101-42, eff. 1-1-20; 102-1042, eff. 6-3-22; |
102-1043, eff. 6-3-22; revised 7-26-22.)
|
Section 660. The Railroad Incorporation Act is amended by |
changing Section 13a as follows:
|
(610 ILCS 5/13a) (from Ch. 114, par. 13a)
|
Sec. 13a.
Any railroad corporation may, with the consent |
of the
stockholders hereinafter stated, issue and sell, |
subject, however, to the
provisions of the Illinois Securities |
Law and amendments thereto, under
such restrictions and terms |
and for such consideration as the stockholders
shall |
authorize, any part or all of its unissued stock, or |
additional stock
authorized pursuant to the provisions of this |
Act, to employees employes of the
corporation or of any |
subsidiary corporation, without first offering such
stock for |
subscription to its stockholders. Such consent and |
authorization
may be given at any annual or special meeting of |
|
the stockholders by the
affirmative vote of two-thirds in |
amount of all the shares of stock
outstanding and entitled to |
vote. If any stockholder not voting in favor of
said issue and |
sale of stock to employees employes , so desires, he may, at |
such
meeting, or within twenty days thereafter, object thereto |
in writing, to be
filed with the secretary of the corporation , |
and demand payment for the
stock then held by him, in which |
case such stockholder or the corporation
may at any time |
within sixty days after such meeting file a petition in the
|
Circuit Court of the county in which the principal office of |
the
corporation is located, asking for a finding and |
determination of the fair
value of his shares of stock at the |
date of such stockholders' meeting.
|
The same procedure shall be followed upon the filing of |
such a petition,
as near as may be, as is provided for other |
cases where a stockholder, who
objects to a certain action of a |
corporation, is permitted to have the
value of his stock fixed |
by the Circuit Court and is given the power to
compel the |
corporation to buy the stock at that price. The value of such
|
shares of stock at such date shall be their market value in |
case the stock
of such corporation is listed upon any |
exchange. Upon payment by the
corporation of the value of such |
shares of stock so determined , such
stockholder shall cease to |
have any interest in such shares or in the
property of the |
corporation and his shares of stock shall be transferred to
|
and may be held and disposed of by the corporation as it shall |
|
see fit. The
corporation shall be liable for and shall pay to |
any such objecting
stockholder the value of his shares of |
stock so determined.
|
(Source: Laws 1925, p. 513; revised 8-22-22.)
|
Section 665. The Illinois Vehicle Code is amended by |
changing Sections 4-203, 5-101.1, 6-107, 6-206, 6-514, 7-328, |
7-329, 11-208.6, 11-208.9, 11-506, 11-605, and 12-215 as |
follows:
|
(625 ILCS 5/4-203) (from Ch. 95 1/2, par. 4-203)
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 4-203. Removal of motor vehicles or other vehicles; |
towing or
hauling away.
|
(a) When a vehicle is abandoned, or left unattended, on a |
toll
highway, interstate highway, or expressway for 2 hours or |
more, its
removal by a towing service may be authorized by a |
law enforcement
agency having jurisdiction.
|
(b) When a vehicle is abandoned on a highway in an urban |
district for 10
hours or more, its removal by a towing service |
may be authorized by a
law enforcement agency having |
jurisdiction.
|
(c) When a vehicle is abandoned or left unattended on a |
highway
other than a toll highway, interstate highway, or |
expressway, outside of
an urban district for 24 hours or more, |
its removal by a towing service
may be authorized by a law |
|
enforcement agency having jurisdiction.
|
(d) When an abandoned, unattended, wrecked, burned , or |
partially
dismantled vehicle is creating a traffic hazard |
because of its position
in relation to the highway or its |
physical appearance is causing the
impeding of traffic, its |
immediate removal from the highway or private
property |
adjacent to the highway by a towing service may be authorized
|
by a law enforcement agency having jurisdiction.
|
(e) Whenever a
peace officer reasonably believes that a |
person under
arrest for a violation of Section 11-501 of this |
Code or a similar
provision of a local ordinance is likely, |
upon release, to commit a
subsequent violation of Section |
11-501, or a similar provision of a local
ordinance, the |
arresting officer shall have the vehicle which the person
was |
operating at the time of the arrest impounded for a period of |
12 hours after the time of arrest. However, such vehicle may be
|
released by the arresting law enforcement agency prior to the |
end of the
impoundment period if:
|
(1) the vehicle was not owned by the person under |
arrest, and the lawful
owner requesting such release |
possesses a valid operator's license, proof
of ownership, |
and would not, as determined by the arresting law |
enforcement
agency, indicate a lack of ability to operate |
a motor vehicle in a safe
manner, or who would otherwise, |
by operating such motor vehicle, be in
violation of this |
Code; or
|
|
(2) the vehicle is owned by the person under arrest, |
and the person
under arrest gives permission to another |
person to operate such vehicle,
provided however, that the |
other person possesses a valid operator's license
and |
would not, as determined by the arresting law enforcement
|
agency, indicate a lack of ability to operate a motor |
vehicle in a safe
manner or who would otherwise, by |
operating such motor vehicle, be in
violation of this |
Code.
|
(e-5) Whenever a registered owner of a vehicle is taken |
into custody for
operating the vehicle in violation of Section |
11-501 of this Code or a similar
provision of a local ordinance |
or Section 6-303 of this Code, a
law enforcement officer
may |
have the vehicle immediately impounded for a period not less |
than:
|
(1) 24 hours for a second violation of Section 11-501 |
of this Code or a
similar provision of a local ordinance or |
Section 6-303
of
this Code or a combination of these |
offenses; or
|
(2) 48 hours for a third violation of Section 11-501 |
of this Code or a
similar provision of a local ordinance or |
Section 6-303 of this
Code or a combination of these |
offenses.
|
The vehicle may be released sooner if the vehicle is owned |
by the person
under arrest and the person under arrest gives |
permission to another person to
operate the vehicle and that |
|
other person possesses a valid operator's license
and would |
not, as determined by the arresting law enforcement agency, |
indicate
a lack of ability to operate a motor vehicle in a safe |
manner or would
otherwise, by operating the motor vehicle, be |
in violation of this Code.
|
(f) Except as provided in Chapter 18a of this Code, the |
owner or
lessor of privately owned real property within this |
State, or any person
authorized by such owner or lessor, or any |
law enforcement agency in the
case of publicly owned real |
property may cause any motor vehicle abandoned
or left |
unattended upon such property without permission to be removed |
by a
towing service without liability for the costs of |
removal, transportation
or storage or damage caused by such |
removal, transportation or storage.
The towing or removal of |
any vehicle from private property without the
consent of the |
registered owner or other legally authorized person in
control |
of the vehicle is subject to compliance with the following
|
conditions and restrictions:
|
1. Any towed or removed vehicle must be stored at the |
site of the towing
service's place of business. The site |
must be open during business hours,
and for the purpose of |
redemption of vehicles, during the time that the
person or |
firm towing such vehicle is open for towing purposes.
|
2. The towing service shall within 30 minutes of |
completion of such
towing or removal, notify the law |
enforcement agency having jurisdiction of
such towing or |
|
removal, and the make, model, color , and license plate |
number
of the vehicle, and shall obtain and record the |
name of the person at the law
enforcement agency to whom |
such information was reported.
|
3. If the registered owner or legally authorized |
person entitled to
possession of the vehicle shall arrive |
at the scene prior to actual removal
or towing of the |
vehicle, the vehicle shall be disconnected from the tow
|
truck and that person shall be allowed to remove the |
vehicle without
interference, upon the payment of a |
reasonable service fee of not more than one-half
one half |
the posted rate of the towing service as provided in |
paragraph
6 of this subsection, for which a receipt shall |
be given.
|
4. The rebate or payment of money or any other |
valuable consideration
from the towing service or its |
owners, managers , or employees to the owners
or operators |
of the premises from which the vehicles are towed or |
removed,
for the privilege of removing or towing those |
vehicles, is prohibited. Any
individual who violates this |
paragraph shall be guilty of a Class A
misdemeanor.
|
5. Except for property appurtenant to and obviously a |
part of a single
family residence, and except for |
instances where notice is personally given
to the owner or |
other legally authorized person in control of the vehicle
|
that the area in which that vehicle is parked is reserved |
|
or otherwise
unavailable to unauthorized vehicles and they |
are subject to being removed
at the owner or operator's |
expense, any property owner or lessor, prior to
towing or |
removing any vehicle from private property without the |
consent of
the owner or other legally authorized person in |
control of that vehicle,
must post a notice meeting the |
following requirements:
|
a. Except as otherwise provided in subparagraph |
a.1 of this subdivision (f)5, the notice must be |
prominently placed at each driveway access or curb
cut |
allowing vehicular access to the property within 5 |
feet from the public
right-of-way line. If there are |
no curbs or access barriers, the sign must
be posted |
not less than one sign each 100 feet of lot frontage.
|
a.1. In a municipality with a population of less |
than 250,000, as an alternative to the requirement of |
subparagraph a of this subdivision (f)5, the notice |
for a parking lot contained within property used |
solely for a 2-family, 3-family, or 4-family residence |
may be prominently placed at the perimeter of the |
parking lot, in a position where the notice is visible |
to the occupants of vehicles entering the lot.
|
b. The notice must indicate clearly, in not less |
than 2 inch high
light-reflective letters on a |
contrasting background, that unauthorized
vehicles |
will be towed away at the owner's expense.
|
|
c. The notice must also provide the name and |
current telephone
number of the towing service towing |
or removing the vehicle.
|
d. The sign structure containing the required |
notices must be
permanently installed with the bottom |
of the sign not less than 4 feet
above ground level, |
and must be continuously maintained on the property |
for
not less than 24 hours prior to the towing or |
removing of any vehicle.
|
6. Any towing service that tows or removes vehicles |
and proposes to
require the owner, operator, or person in |
control of the vehicle to pay the
costs of towing and |
storage prior to redemption of the vehicle must file
and |
keep on record with the local law enforcement agency a |
complete copy of
the current rates to be charged for such |
services, and post at the storage
site an identical rate |
schedule and any written contracts with property
owners, |
lessors, or persons in control of property which authorize |
them to
remove vehicles as provided in this Section.
The |
towing and storage charges, however, shall not exceed the |
maximum allowed by the Illinois Commerce Commission under |
Section 18a-200.
|
7. No person shall engage in the removal of vehicles |
from private
property as described in this Section without |
filing a notice of intent
in each community where he |
intends to do such removal, and such
notice shall be filed |
|
at least 7 days before commencing such towing.
|
8. No removal of a vehicle from private property shall |
be done except
upon express written instructions of the |
owners or persons in charge of the
private property upon |
which the vehicle is said to be trespassing.
|
9. Vehicle entry for the purpose of removal shall be |
allowed with
reasonable care on the part of the person or |
firm towing the vehicle. Such
person or firm shall be |
liable for any damages occasioned to the vehicle if
such |
entry is not in accordance with the standards of |
reasonable care.
|
9.5. Except as authorized by a law enforcement |
officer, no towing service shall engage in the removal of |
a commercial motor vehicle that requires a commercial |
driver's license to operate by operating the vehicle under |
its own power on a highway. |
10. When a vehicle has been towed or removed pursuant |
to this Section,
it must be released to its owner, |
custodian, agent, or lienholder within one-half one half |
hour after
requested, if such request is made during |
business hours. Any vehicle owner,
custodian, agent, or |
lienholder shall have the right to inspect the vehicle |
before
accepting its return, and no release or waiver of |
any kind which would
release the towing service from |
liability for damages incurred during the
towing and |
storage may be required from any vehicle owner or other |
|
legally
authorized person as a condition of release of the |
vehicle. A detailed,
signed receipt showing the legal name |
of the towing service must be given
to the person paying |
towing or storage charges at the time of payment,
whether |
requested or not.
|
This Section shall not apply to law enforcement, |
firefighting, rescue,
ambulance, or other emergency |
vehicles which are marked as such or to
property owned by |
any governmental entity.
|
When an authorized person improperly causes a motor |
vehicle to be
removed, such person shall be liable to the |
owner or lessee of the vehicle
for the cost of or removal, |
transportation and storage, any damages resulting
from the |
removal, transportation and storage, attorney's fee and |
court costs.
|
Any towing or storage charges accrued shall be payable |
in cash or by cashier's check, certified check, debit |
card, credit card, or wire transfer, at the option of the |
party taking possession of the vehicle.
|
11. Towing companies shall also provide insurance |
coverage for areas
where vehicles towed under the |
provisions of this Chapter will be impounded
or otherwise |
stored, and shall adequately cover loss by fire, theft , or
|
other risks.
|
Any person who fails to comply with the conditions and |
restrictions of
this subsection shall be guilty of a Class C |
|
misdemeanor and shall be fined
not less than $100 nor more than |
$500.
|
(g)(1) When a vehicle is determined to be a hazardous |
dilapidated
motor
vehicle pursuant to Section 11-40-3.1 of the |
Illinois Municipal Code or Section 5-12002.1 of the Counties |
Code, its
removal and impoundment by a towing service may be |
authorized by a law
enforcement agency with appropriate |
jurisdiction.
|
(2) When a vehicle removal from either public or private |
property is
authorized by a law enforcement agency, the owner |
of the vehicle shall be
responsible for all towing and storage |
charges.
|
(3) Vehicles removed from public or private property and
|
stored by a commercial vehicle relocator or any other towing |
service authorized by a law enforcement agency in
compliance |
with this Section and Sections 4-201 and 4-202
of this Code, or |
at the request of the vehicle owner or operator,
shall
be |
subject to a possessor lien for services
pursuant to the Labor |
and Storage Lien (Small Amount) Act. The provisions of Section |
1 of that Act relating to notice
and implied consent shall be |
deemed satisfied by compliance with Section
18a-302 and |
subsection (6) of Section 18a-300. In no event shall such lien
|
be greater than the rate or rates established in accordance |
with subsection
(6) of Section 18a-200 of this Code. In no |
event shall such lien be
increased or altered to reflect any |
charge for services or materials
rendered in addition to those |
|
authorized by this Code. Every such lien
shall be payable in |
cash or by cashier's check, certified check, debit card, |
credit card, or wire transfer, at the option of the party |
taking possession of the vehicle.
|
(4) Any personal property belonging to the vehicle owner |
in a vehicle subject to a lien under this
subsection
(g) shall |
likewise be subject to that lien, excepting only:
child |
restraint systems as defined in Section 4 of the Child |
Passenger Protection Act and other child booster seats; |
eyeglasses; food; medicine; perishable property; any |
operator's licenses; any cash, credit
cards, or checks or |
checkbooks; any wallet, purse, or other property
containing |
any operator's license or other identifying documents or |
materials,
cash, credit cards, checks, or checkbooks; and any |
personal property belonging to a person other than the vehicle |
owner if that person provides adequate proof that the personal |
property belongs to that person. The spouse, child, mother, |
father, brother, or sister of the vehicle owner may claim |
personal property excepted under this paragraph (4) if the |
person claiming the personal property provides the commercial |
vehicle relocator or towing service with the authorization of |
the vehicle owner. |
(5) This paragraph (5) applies only in the case of a |
vehicle that is towed as a result of being involved in an |
accident. In addition to the personal property excepted under |
paragraph (4), all other personal property in a vehicle |
|
subject to a lien under this subsection (g) is exempt from that |
lien and may be claimed by the vehicle owner if the vehicle |
owner provides the commercial vehicle relocator or towing |
service with proof that the vehicle owner has an insurance |
policy covering towing and storage fees. The spouse, child, |
mother, father, brother, or sister of the vehicle owner may |
claim personal property in a vehicle subject to a lien under |
this subsection (g) if the person claiming the personal |
property provides the commercial vehicle relocator or towing |
service with the authorization of the vehicle owner and proof |
that the vehicle owner has an insurance policy covering towing |
and storage fees. The regulation of liens on personal property |
and exceptions to those liens in the case of vehicles towed as |
a result of being involved in an accident are
exclusive powers |
and functions of the State. A home
rule unit may not regulate |
liens on personal property and exceptions to those liens in |
the case of vehicles towed as a result of being involved in an |
accident. This paragraph (5) is a denial and
limitation of |
home rule powers and functions under
subsection (h) of Section |
6 of Article VII of the
Illinois Constitution. |
(6) No lien under this subsection (g) shall:
exceed $2,000 |
in its total amount; or
be increased or altered to reflect any |
charge for services or
materials rendered in addition to those |
authorized by this Code.
|
(h) Whenever a peace officer issues a citation to a driver |
for a violation of subsection (a) of Section 11-506 of this |
|
Code, the arresting officer may have the vehicle which the |
person was operating at the time of the arrest impounded for a |
period of 5 days after the time of arrest.
An impounding agency |
shall release a motor vehicle impounded under this subsection |
(h) to the registered owner of the vehicle under any of the |
following circumstances: |
(1) if If the vehicle is a stolen vehicle; or |
(2) if If the person ticketed for a violation of |
subsection (a) of Section 11-506 of this Code was not |
authorized by the registered owner of the vehicle to |
operate the vehicle at the time of the violation; or |
(3) if If the registered owner of the vehicle was |
neither the driver nor a passenger in the vehicle at the |
time of the violation or was unaware that the driver was |
using the vehicle to engage in street racing; or |
(4) if If the legal owner or registered owner of the |
vehicle is a rental car agency; or |
(5) if If , prior to the expiration of the impoundment |
period specified above, the citation is dismissed or the |
defendant is found not guilty of the offense.
|
(i) Except for vehicles exempted under subsection (b) of |
Section 7-601 of this Code, whenever a law enforcement officer |
issues a citation to a driver for a violation of Section 3-707 |
of this Code, and the driver has a prior conviction for a |
violation of Section 3-707 of this Code in the past 12 months, |
the arresting officer shall authorize the removal and |
|
impoundment of the vehicle by a towing service. |
(Source: P.A. 99-438, eff. 1-1-16; 100-311, eff. 11-23-17; |
100-537, eff. 6-1-18; 100-863, eff. 8-14-18; revised 8-26-22.)
|
(Text of Section after amendment by P.A. 102-982 ) |
Sec. 4-203. Removal of motor vehicles or other vehicles; |
towing or
hauling away.
|
(a) When a vehicle is abandoned, or left unattended, on a |
toll
highway, interstate highway, or expressway for 2 hours or |
more, its
removal by a towing service may be authorized by a |
law enforcement
agency having jurisdiction.
|
(b) When a vehicle is abandoned on a highway in an urban |
district for 10
hours or more, its removal by a towing service |
may be authorized by a
law enforcement agency having |
jurisdiction.
|
(c) When a vehicle is abandoned or left unattended on a |
highway
other than a toll highway, interstate highway, or |
expressway, outside of
an urban district for 24 hours or more, |
its removal by a towing service
may be authorized by a law |
enforcement agency having jurisdiction.
|
(d) When an abandoned, unattended, wrecked, burned , or |
partially
dismantled vehicle is creating a traffic hazard |
because of its position
in relation to the highway or its |
physical appearance is causing the
impeding of traffic, its |
immediate removal from the highway or private
property |
adjacent to the highway by a towing service may be authorized
|
|
by a law enforcement agency having jurisdiction.
|
(e) Whenever a
peace officer reasonably believes that a |
person under
arrest for a violation of Section 11-501 of this |
Code or a similar
provision of a local ordinance is likely, |
upon release, to commit a
subsequent violation of Section |
11-501, or a similar provision of a local
ordinance, the |
arresting officer shall have the vehicle which the person
was |
operating at the time of the arrest impounded for a period of |
12 hours after the time of arrest. However, such vehicle may be
|
released by the arresting law enforcement agency prior to the |
end of the
impoundment period if:
|
(1) the vehicle was not owned by the person under |
arrest, and the lawful
owner requesting such release |
possesses a valid operator's license, proof
of ownership, |
and would not, as determined by the arresting law |
enforcement
agency, indicate a lack of ability to operate |
a motor vehicle in a safe
manner, or who would otherwise, |
by operating such motor vehicle, be in
violation of this |
Code; or
|
(2) the vehicle is owned by the person under arrest, |
and the person
under arrest gives permission to another |
person to operate such vehicle,
provided however, that the |
other person possesses a valid operator's license
and |
would not, as determined by the arresting law enforcement
|
agency, indicate a lack of ability to operate a motor |
vehicle in a safe
manner or who would otherwise, by |
|
operating such motor vehicle, be in
violation of this |
Code.
|
(e-5) Whenever a registered owner of a vehicle is taken |
into custody for
operating the vehicle in violation of Section |
11-501 of this Code or a similar
provision of a local ordinance |
or Section 6-303 of this Code, a
law enforcement officer
may |
have the vehicle immediately impounded for a period not less |
than:
|
(1) 24 hours for a second violation of Section 11-501 |
of this Code or a
similar provision of a local ordinance or |
Section 6-303
of
this Code or a combination of these |
offenses; or
|
(2) 48 hours for a third violation of Section 11-501 |
of this Code or a
similar provision of a local ordinance or |
Section 6-303 of this
Code or a combination of these |
offenses.
|
The vehicle may be released sooner if the vehicle is owned |
by the person
under arrest and the person under arrest gives |
permission to another person to
operate the vehicle and that |
other person possesses a valid operator's license
and would |
not, as determined by the arresting law enforcement agency, |
indicate
a lack of ability to operate a motor vehicle in a safe |
manner or would
otherwise, by operating the motor vehicle, be |
in violation of this Code.
|
(f) Except as provided in Chapter 18a of this Code, the |
owner or
lessor of privately owned real property within this |
|
State, or any person
authorized by such owner or lessor, or any |
law enforcement agency in the
case of publicly owned real |
property may cause any motor vehicle abandoned
or left |
unattended upon such property without permission to be removed |
by a
towing service without liability for the costs of |
removal, transportation
or storage or damage caused by such |
removal, transportation or storage.
The towing or removal of |
any vehicle from private property without the
consent of the |
registered owner or other legally authorized person in
control |
of the vehicle is subject to compliance with the following
|
conditions and restrictions:
|
1. Any towed or removed vehicle must be stored at the |
site of the towing
service's place of business. The site |
must be open during business hours,
and for the purpose of |
redemption of vehicles, during the time that the
person or |
firm towing such vehicle is open for towing purposes.
|
2. The towing service shall within 30 minutes of |
completion of such
towing or removal, notify the law |
enforcement agency having jurisdiction of
such towing or |
removal, and the make, model, color , and license plate |
number
of the vehicle, and shall obtain and record the |
name of the person at the law
enforcement agency to whom |
such information was reported.
|
3. If the registered owner or legally authorized |
person entitled to
possession of the vehicle shall arrive |
at the scene prior to actual removal
or towing of the |
|
vehicle, the vehicle shall be disconnected from the tow
|
truck and that person shall be allowed to remove the |
vehicle without
interference, upon the payment of a |
reasonable service fee of not more than one-half
one half |
the posted rate of the towing service as provided in |
paragraph
6 of this subsection, for which a receipt shall |
be given.
|
4. The rebate or payment of money or any other |
valuable consideration
from the towing service or its |
owners, managers , or employees to the owners
or operators |
of the premises from which the vehicles are towed or |
removed,
for the privilege of removing or towing those |
vehicles, is prohibited. Any
individual who violates this |
paragraph shall be guilty of a Class A
misdemeanor.
|
5. Except for property appurtenant to and obviously a |
part of a single
family residence, and except for |
instances where notice is personally given
to the owner or |
other legally authorized person in control of the vehicle
|
that the area in which that vehicle is parked is reserved |
or otherwise
unavailable to unauthorized vehicles and they |
are subject to being removed
at the owner or operator's |
expense, any property owner or lessor, prior to
towing or |
removing any vehicle from private property without the |
consent of
the owner or other legally authorized person in |
control of that vehicle,
must post a notice meeting the |
following requirements:
|
|
a. Except as otherwise provided in subparagraph |
a.1 of this subdivision (f)5, the notice must be |
prominently placed at each driveway access or curb
cut |
allowing vehicular access to the property within 5 |
feet from the public
right-of-way line. If there are |
no curbs or access barriers, the sign must
be posted |
not less than one sign each 100 feet of lot frontage.
|
a.1. In a municipality with a population of less |
than 250,000, as an alternative to the requirement of |
subparagraph a of this subdivision (f)5, the notice |
for a parking lot contained within property used |
solely for a 2-family, 3-family, or 4-family residence |
may be prominently placed at the perimeter of the |
parking lot, in a position where the notice is visible |
to the occupants of vehicles entering the lot.
|
b. The notice must indicate clearly, in not less |
than 2 inch high
light-reflective letters on a |
contrasting background, that unauthorized
vehicles |
will be towed away at the owner's expense.
|
c. The notice must also provide the name and |
current telephone
number of the towing service towing |
or removing the vehicle.
|
d. The sign structure containing the required |
notices must be
permanently installed with the bottom |
of the sign not less than 4 feet
above ground level, |
and must be continuously maintained on the property |
|
for
not less than 24 hours prior to the towing or |
removing of any vehicle.
|
6. Any towing service that tows or removes vehicles |
and proposes to
require the owner, operator, or person in |
control of the vehicle to pay the
costs of towing and |
storage prior to redemption of the vehicle must file
and |
keep on record with the local law enforcement agency a |
complete copy of
the current rates to be charged for such |
services, and post at the storage
site an identical rate |
schedule and any written contracts with property
owners, |
lessors, or persons in control of property which authorize |
them to
remove vehicles as provided in this Section.
The |
towing and storage charges, however, shall not exceed the |
maximum allowed by the Illinois Commerce Commission under |
Section 18a-200.
|
7. No person shall engage in the removal of vehicles |
from private
property as described in this Section without |
filing a notice of intent
in each community where he |
intends to do such removal, and such
notice shall be filed |
at least 7 days before commencing such towing.
|
8. No removal of a vehicle from private property shall |
be done except
upon express written instructions of the |
owners or persons in charge of the
private property upon |
which the vehicle is said to be trespassing.
|
9. Vehicle entry for the purpose of removal shall be |
allowed with
reasonable care on the part of the person or |
|
firm towing the vehicle. Such
person or firm shall be |
liable for any damages occasioned to the vehicle if
such |
entry is not in accordance with the standards of |
reasonable care.
|
9.5. Except as authorized by a law enforcement |
officer, no towing service shall engage in the removal of |
a commercial motor vehicle that requires a commercial |
driver's license to operate by operating the vehicle under |
its own power on a highway. |
10. When a vehicle has been towed or removed pursuant |
to this Section,
it must be released to its owner, |
custodian, agent, or lienholder within one-half one half |
hour after
requested, if such request is made during |
business hours. Any vehicle owner,
custodian, agent, or |
lienholder shall have the right to inspect the vehicle |
before
accepting its return, and no release or waiver of |
any kind which would
release the towing service from |
liability for damages incurred during the
towing and |
storage may be required from any vehicle owner or other |
legally
authorized person as a condition of release of the |
vehicle. A detailed,
signed receipt showing the legal name |
of the towing service must be given
to the person paying |
towing or storage charges at the time of payment,
whether |
requested or not.
|
This Section shall not apply to law enforcement, |
firefighting, rescue,
ambulance, or other emergency |
|
vehicles which are marked as such or to
property owned by |
any governmental entity.
|
When an authorized person improperly causes a motor |
vehicle to be
removed, such person shall be liable to the |
owner or lessee of the vehicle
for the cost of or removal, |
transportation and storage, any damages resulting
from the |
removal, transportation and storage, attorney's fee and |
court costs.
|
Any towing or storage charges accrued shall be payable |
in cash or by cashier's check, certified check, debit |
card, credit card, or wire transfer, at the option of the |
party taking possession of the vehicle.
|
11. Towing companies shall also provide insurance |
coverage for areas
where vehicles towed under the |
provisions of this Chapter will be impounded
or otherwise |
stored, and shall adequately cover loss by fire, theft , or
|
other risks.
|
Any person who fails to comply with the conditions and |
restrictions of
this subsection shall be guilty of a Class C |
misdemeanor and shall be fined
not less than $100 nor more than |
$500.
|
(g)(1) When a vehicle is determined to be a hazardous |
dilapidated
motor
vehicle pursuant to Section 11-40-3.1 of the |
Illinois Municipal Code or Section 5-12002.1 of the Counties |
Code, its
removal and impoundment by a towing service may be |
authorized by a law
enforcement agency with appropriate |
|
jurisdiction.
|
(2) When a vehicle removal from either public or private |
property is
authorized by a law enforcement agency, the owner |
of the vehicle shall be
responsible for all towing and storage |
charges.
|
(3) Vehicles removed from public or private property and
|
stored by a commercial vehicle relocator or any other towing |
service authorized by a law enforcement agency in
compliance |
with this Section and Sections 4-201 and 4-202
of this Code, or |
at the request of the vehicle owner or operator,
shall
be |
subject to a possessor lien for services
pursuant to the Labor |
and Storage Lien (Small Amount) Act. The provisions of Section |
1 of that Act relating to notice
and implied consent shall be |
deemed satisfied by compliance with Section
18a-302 and |
subsection (6) of Section 18a-300. In no event shall such lien
|
be greater than the rate or rates established in accordance |
with subsection
(6) of Section 18a-200 of this Code. In no |
event shall such lien be
increased or altered to reflect any |
charge for services or materials
rendered in addition to those |
authorized by this Code. Every such lien
shall be payable in |
cash or by cashier's check, certified check, debit card, |
credit card, or wire transfer, at the option of the party |
taking possession of the vehicle.
|
(4) Any personal property belonging to the vehicle owner |
in a vehicle subject to a lien under this
subsection
(g) shall |
likewise be subject to that lien, excepting only:
child |
|
restraint systems as defined in Section 4 of the Child |
Passenger Protection Act and other child booster seats; |
eyeglasses; food; medicine; perishable property; any |
operator's licenses; any cash, credit
cards, or checks or |
checkbooks; any wallet, purse, or other property
containing |
any operator's license or other identifying documents or |
materials,
cash, credit cards, checks, or checkbooks; and any |
personal property belonging to a person other than the vehicle |
owner if that person provides adequate proof that the personal |
property belongs to that person. The spouse, child, mother, |
father, brother, or sister of the vehicle owner may claim |
personal property excepted under this paragraph (4) if the |
person claiming the personal property provides the commercial |
vehicle relocator or towing service with the authorization of |
the vehicle owner. |
(5) This paragraph (5) applies only in the case of a |
vehicle that is towed as a result of being involved in a crash. |
In addition to the personal property excepted under paragraph |
(4), all other personal property in a vehicle subject to a lien |
under this subsection (g) is exempt from that lien and may be |
claimed by the vehicle owner if the vehicle owner provides the |
commercial vehicle relocator or towing service with proof that |
the vehicle owner has an insurance policy covering towing and |
storage fees. The spouse, child, mother, father, brother, or |
sister of the vehicle owner may claim personal property in a |
vehicle subject to a lien under this subsection (g) if the |
|
person claiming the personal property provides the commercial |
vehicle relocator or towing service with the authorization of |
the vehicle owner and proof that the vehicle owner has an |
insurance policy covering towing and storage fees. The |
regulation of liens on personal property and exceptions to |
those liens in the case of vehicles towed as a result of being |
involved in a crash are
exclusive powers and functions of the |
State. A home
rule unit may not regulate liens on personal |
property and exceptions to those liens in the case of vehicles |
towed as a result of being involved in a crash. This paragraph |
(5) is a denial and
limitation of home rule powers and |
functions under
subsection (h) of Section 6 of Article VII of |
the
Illinois Constitution. |
(6) No lien under this subsection (g) shall:
exceed $2,000 |
in its total amount; or
be increased or altered to reflect any |
charge for services or
materials rendered in addition to those |
authorized by this Code.
|
(h) Whenever a peace officer issues a citation to a driver |
for a violation of subsection (a) of Section 11-506 of this |
Code, the arresting officer may have the vehicle which the |
person was operating at the time of the arrest impounded for a |
period of 5 days after the time of arrest.
An impounding agency |
shall release a motor vehicle impounded under this subsection |
(h) to the registered owner of the vehicle under any of the |
following circumstances: |
(1) if If the vehicle is a stolen vehicle; or |
|
(2) if If the person ticketed for a violation of |
subsection (a) of Section 11-506 of this Code was not |
authorized by the registered owner of the vehicle to |
operate the vehicle at the time of the violation; or |
(3) if If the registered owner of the vehicle was |
neither the driver nor a passenger in the vehicle at the |
time of the violation or was unaware that the driver was |
using the vehicle to engage in street racing; or |
(4) if If the legal owner or registered owner of the |
vehicle is a rental car agency; or |
(5) if If , prior to the expiration of the impoundment |
period specified above, the citation is dismissed or the |
defendant is found not guilty of the offense.
|
(i) Except for vehicles exempted under subsection (b) of |
Section 7-601 of this Code, whenever a law enforcement officer |
issues a citation to a driver for a violation of Section 3-707 |
of this Code, and the driver has a prior conviction for a |
violation of Section 3-707 of this Code in the past 12 months, |
the arresting officer shall authorize the removal and |
impoundment of the vehicle by a towing service. |
(Source: P.A. 102-982, eff. 7-1-23; revised 8-26-22.)
|
(625 ILCS 5/5-101.1)
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 5-101.1. Motor vehicle financing affiliates; |
licensing.
|
|
(a) In this State , no business shall engage in the |
business of a motor
vehicle financing
affiliate without a |
license to do so in writing from the Secretary of State.
|
(b) An application for a motor vehicle financing |
affiliate's license must be
filed with
the Secretary of State, |
duly verified by oath, on a form prescribed by the
Secretary of
|
State and shall contain all of the following:
|
(1) The name and type of business organization of the |
applicant and the
applicant's
established place of |
business and any additional places of business in this
|
State.
|
(2) The name and address of the licensed new or used |
vehicle dealer to
which the
applicant will be selling, |
transferring, or assigning new or used motor
vehicles |
pursuant
to a written contract. If more than one dealer is |
on the application, the
applicant shall
state in writing |
the basis of common ownership among the dealers.
|
(3) A list of the business organization's officers, |
directors, members,
and
shareholders having a 10% or |
greater ownership interest in the business,
providing the
|
residential address for each person listed.
|
(4) If selling, transferring, or assigning new motor |
vehicles, the make or
makes of
new vehicles that it will |
sell, assign, or otherwise transfer to the
contracting new |
motor
vehicle dealer listed on the application pursuant to |
paragraph (2).
|
|
(5) The name of each manufacturer or franchised |
distributor, if any, of
new
vehicles with whom the |
applicant has contracted for the sale of new vehicles
and |
a signed
statement from each manufacturer or franchised |
distributor acknowledging the
contract.
|
(6) A statement that the applicant has been approved |
for registration
under the
Retailers' Occupation Tax Act |
by the Department of Revenue. This requirement
does not
|
apply to a motor vehicle financing affiliate that is |
already licensed with the
Secretary of
State and is |
applying for a renewal of its license.
|
(7) A statement that the applicant has complied with |
the appropriate
liability
insurance requirement and a |
Certificate of Insurance that shall not expire
before
|
December 31 of the year for which the license was issued or |
renewed with a
minimum
liability coverage of $100,000 for |
the bodily injury or death of any person,
$300,000 for
the |
bodily injury or death of 2 or more persons in any one |
accident, and
$50,000 for
damage to property. The |
expiration of the insurance policy shall not terminate
the
|
liability under the policy arising during the period for |
which the policy was
filed. Trailer
and mobile home |
dealers are exempt from the requirements of this |
paragraph. A
motor
vehicle financing affiliate is exempt |
from the requirements of this paragraph
if it is
covered |
by the insurance policy of the new or used dealer listed on |
|
the
application
pursuant to paragraph (2).
|
(8) A license fee of $1,000 for the applicant's |
established place of
business and
$250 for each additional |
place of business, if any, to which the application
|
pertains.
However, if the application is made after June |
15 of any year, the license fee
shall be
$500 for the |
applicant's established place of business and $125 for |
each
additional place
of business, if any, to which the |
application pertains. These license fees
shall be
|
returnable only in the event that the application is |
denied by the Secretary of
State.
|
(9) A statement incorporating the requirements of |
paragraphs 8 and 9 of
subsection (b) of Section 5-101.
|
(10) Any other information concerning the business of |
the applicant as the
Secretary of State may prescribe.
|
(11) A statement that the applicant understands |
Chapter 1 through Chapter
5 of
this Code.
|
(12) The full name, address, and contact information |
of each of the dealer's agents or legal representatives |
who is an Illinois resident and liable for the performance |
of the dealership. |
(c) Any change which renders no longer accurate any |
information contained in
any
application for a motor vehicle |
financing affiliate's license shall be amended
within 30
days |
after the occurrence of the change on a form prescribed by the |
Secretary
of State,
accompanied by an amendatory fee of $2.
|
|
(d) If a new vehicle dealer is not listed on the |
application, pursuant to
paragraph (2) of
subsection (b), the |
motor vehicle financing affiliate shall not receive,
possess, |
or transfer
any new vehicle. If a new motor vehicle dealer is |
listed on the application,
pursuant to
paragraph (2) of |
subsection (b), the new motor vehicle dealer can only receive
|
those new
cars it is permitted to receive under its franchise |
agreement. If both a new
and used
motor vehicle dealer are |
listed on the application, pursuant to paragraph (2)
of |
subsection
(b), only the new motor vehicle dealer may receive |
new motor vehicles. If a
used motor
vehicle is listed on the |
application, pursuant to paragraph (2) of
subsection (b), the |
used
motor vehicle dealer shall not receive any new motor |
vehicles.
|
(e) The applicant and dealer provided pursuant to |
paragraph (2) of
subsection (b)
must be business organizations |
registered to conduct business in Illinois.
Three-fourths
of |
the dealer's board of directors must be members of the motor |
vehicle
financing
affiliate's board of directors, if |
applicable.
|
(f) Unless otherwise provided in this Chapter 5, no |
business organization
registered to
do business in Illinois |
shall be licensed as a motor vehicle financing
affiliate |
unless:
|
(1) The motor vehicle financing affiliate shall only |
sell, transfer, or
assign motor
vehicles to the licensed |
|
new or used dealer listed on the application pursuant
to |
paragraph (2) of subsection (b).
|
(2) The motor vehicle financing affiliate sells, |
transfers, or assigns to
the new
motor vehicle dealer |
listed on the application, if any, only those new motor
|
vehicles the
motor vehicle financing affiliate has |
received under the contract set forth in
paragraph (5)
of |
subsection (b).
|
(3) Any new vehicle dealer listed pursuant to |
paragraph (2) of subsection
(b) has a
franchise agreement |
that permits the dealer to receive motor vehicles from the
|
motor
vehicle franchise affiliate.
|
(4) The new or used motor vehicle dealer listed on the |
application
pursuant to
paragraph (2) of subsection (b) |
has one established place of business or
supplemental
|
places of business as referenced in subsection (g).
|
(g) The Secretary of State shall, within a reasonable time |
after receipt,
examine an
application submitted pursuant to |
this Section and, unless it is determined
that the
application |
does not conform with the requirements of this Section or that
|
grounds exist
for a denial of the application under Section |
5-501, grant the applicant a
motor vehicle
financing affiliate |
license in writing for the applicant's established place of
|
business and
a supplemental license in writing for each |
additional place of business in a
form prescribed
by the |
Secretary, which shall include all of the following:
|
|
(1) The name of the business licensed;
|
(2) The name and address of its officers, directors, |
or members, as
applicable;
|
(3) In the case of an original license, the |
established place of business
of the
licensee;
|
(4) If applicable, the make or makes of new vehicles |
which the licensee is
licensed
to sell to the new motor |
vehicle dealer listed on the application pursuant to
|
paragraph (2)
of subsection (b); and
|
(5) The full name, address, and contact information of |
each of the dealer's agents or legal representatives who |
is an Illinois resident and liable for the performance of |
the dealership. |
(h) The appropriate instrument evidencing the license or a |
certified copy,
provided by
the Secretary of State, shall be |
kept posted conspicuously in the established
place of
business |
of the licensee.
|
(i) Except as provided in subsection (h), all motor |
vehicle financing
affiliate's
licenses granted under this |
Section shall expire expired by operation of law on
December |
31 of
the calendar year for which they are granted, unless |
revoked or canceled at an
earlier date
pursuant to Section |
5-501.
|
(j) A motor vehicle financing affiliate's license may be |
renewed upon
application and
payment of the required fee. |
However, when an application for renewal of a
motor
vehicle |
|
financing affiliate's license is made during the month of |
December, the
effective
license shall remain in force until |
the application is granted or denied by the
Secretary of
|
State.
|
(k) The contract a motor vehicle financing affiliate has |
with a manufacturer
or
franchised distributor, as provided in |
paragraph (5) of subsection (b), shall
only permit
the |
applicant to sell, transfer, or assign new motor vehicles to |
the new motor
vehicle
dealer listed on the application |
pursuant to paragraph (2) of subsection (b).
The contract
|
shall specifically prohibit the motor vehicle financing |
affiliate from selling
motor
vehicles at retail. This contract |
shall not be considered the granting of a
franchise as
defined |
in Section 2 of the Motor Vehicle Franchise Act.
|
(l) When purchasing of a motor vehicle by a new or used |
motor vehicle
dealer, all
persons licensed as a motor vehicle |
financing affiliate are required to furnish
all of the
|
following:
|
(1) For a new vehicle, a manufacturer's statement of |
origin properly
assigned to
the purchasing dealer. For a |
used vehicle, a certificate of title properly
assigned to |
the
purchasing dealer.
|
(2) A statement verified under oath that all |
identifying numbers on the
vehicle
agree with those on the |
certificate of title or manufacturer's statement of
|
origin.
|
|
(3) A bill of sale properly executed on behalf of the |
purchasing dealer.
|
(4) A copy of the Uniform Invoice-transaction report |
pursuant to Section
5-402.
|
(5) In the case of a rebuilt vehicle, a copy of the |
Disclosure of Rebuilt
Vehicle
Status pursuant to Section |
5-104.3.
|
(6) In the case of a vehicle for which a warranty has |
been reinstated, a
copy of the
warranty.
|
(m) The motor vehicle financing affiliate shall use the |
established and
supplemental
place or places of business the |
new or used vehicle dealer listed on the
application
pursuant |
to paragraph (2) of subsection (b) as its established and |
supplemental
place or
places of business.
|
(n) The motor vehicle financing affiliate shall keep all |
books and records
required by
this Code with the books and |
records of the new or used vehicle dealer listed
on the
|
application pursuant to paragraph (2) of subsection (b). The |
motor vehicle
financing
affiliate may use the books and |
records of the new or used motor vehicle dealer
listed on
the |
application pursuant to paragraph (2) of subsection (b).
|
(o) Under no circumstances shall a motor vehicle financing |
affiliate sell,
transfer, or
assign a new vehicle to any place |
of business of a new motor vehicle dealer,
unless that
place of |
business is licensed under this Chapter to sell, assign, or |
otherwise
transfer the
make of the new motor vehicle |
|
transferred.
|
(p) All moneys received by the Secretary of State as |
license fees under this
Section
shall be deposited into the |
Motor Vehicle Review Board Fund and shall be used
to
|
administer the Motor Vehicle Review Board under the Motor |
Vehicle Franchise
Act.
|
(q) Except as otherwise provided in this Section, a motor |
vehicle financing
affiliate
shall comply with all provisions |
of this Code.
|
(r) If a licensee under this Section voluntarily |
surrenders a license to the Illinois Secretary of State Police |
or a representative of the Secretary of State Vehicle Services |
Department due to the licensee's inability to adhere to |
recordkeeping provisions, or the inability to properly issue |
certificates of title or registrations under this Code, or the |
Secretary revokes a license under this Section, then the |
licensee and the licensee's agent, designee, or legal |
representative, if applicable, may not be named on a new |
application for a licensee under this Section or under this |
Chapter, nor is the licensee or the licensee's agent, |
designee, or legal representative permitted to work for |
another licensee under this Chapter in a recordkeeping, |
management, or financial position or as an employee who |
handles certificate of title and registration documents and |
applications. |
(Source: P.A. 102-154, eff. 1-1-22; revised 8-22-22.)
|
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 5-101.1. Motor vehicle financing affiliates; |
licensing.
|
(a) In this State , no business shall engage in the |
business of a motor
vehicle financing
affiliate without a |
license to do so in writing from the Secretary of State.
|
(b) An application for a motor vehicle financing |
affiliate's license must be
filed with
the Secretary of State, |
duly verified by oath, on a form prescribed by the
Secretary of
|
State and shall contain all of the following:
|
(1) The name and type of business organization of the |
applicant and the
applicant's
established place of |
business and any additional places of business in this
|
State.
|
(2) The name and address of the licensed new or used |
vehicle dealer to
which the
applicant will be selling, |
transferring, or assigning new or used motor
vehicles |
pursuant
to a written contract. If more than one dealer is |
on the application, the
applicant shall
state in writing |
the basis of common ownership among the dealers.
|
(3) A list of the business organization's officers, |
directors, members,
and
shareholders having a 10% or |
greater ownership interest in the business,
providing the
|
residential address for each person listed.
|
(4) If selling, transferring, or assigning new motor |
|
vehicles, the make or
makes of
new vehicles that it will |
sell, assign, or otherwise transfer to the
contracting new |
motor
vehicle dealer listed on the application pursuant to |
paragraph (2).
|
(5) The name of each manufacturer or franchised |
distributor, if any, of
new
vehicles with whom the |
applicant has contracted for the sale of new vehicles
and |
a signed
statement from each manufacturer or franchised |
distributor acknowledging the
contract.
|
(6) A statement that the applicant has been approved |
for registration
under the
Retailers' Occupation Tax Act |
by the Department of Revenue. This requirement
does not
|
apply to a motor vehicle financing affiliate that is |
already licensed with the
Secretary of
State and is |
applying for a renewal of its license.
|
(7) A statement that the applicant has complied with |
the appropriate
liability
insurance requirement and a |
Certificate of Insurance that shall not expire
before
|
December 31 of the year for which the license was issued or |
renewed with a
minimum
liability coverage of $100,000 for |
the bodily injury or death of any person,
$300,000 for
the |
bodily injury or death of 2 or more persons in any one |
crash, and
$50,000 for
damage to property. The expiration |
of the insurance policy shall not terminate
the
liability |
under the policy arising during the period for which the |
policy was
filed. Trailer
and mobile home dealers are |
|
exempt from the requirements of this paragraph. A
motor
|
vehicle financing affiliate is exempt from the |
requirements of this paragraph
if it is
covered by the |
insurance policy of the new or used dealer listed on the
|
application
pursuant to paragraph (2).
|
(8) A license fee of $1,000 for the applicant's |
established place of
business and
$250 for each additional |
place of business, if any, to which the application
|
pertains.
However, if the application is made after June |
15 of any year, the license fee
shall be
$500 for the |
applicant's established place of business and $125 for |
each
additional place
of business, if any, to which the |
application pertains. These license fees
shall be
|
returnable only in the event that the application is |
denied by the Secretary of
State.
|
(9) A statement incorporating the requirements of |
paragraphs 8 and 9 of
subsection (b) of Section 5-101.
|
(10) Any other information concerning the business of |
the applicant as the
Secretary of State may prescribe.
|
(11) A statement that the applicant understands |
Chapter 1 through Chapter
5 of
this Code.
|
(12) The full name, address, and contact information |
of each of the dealer's agents or legal representatives |
who is an Illinois resident and liable for the performance |
of the dealership. |
(c) Any change which renders no longer accurate any |
|
information contained in
any
application for a motor vehicle |
financing affiliate's license shall be amended
within 30
days |
after the occurrence of the change on a form prescribed by the |
Secretary
of State,
accompanied by an amendatory fee of $2.
|
(d) If a new vehicle dealer is not listed on the |
application, pursuant to
paragraph (2) of
subsection (b), the |
motor vehicle financing affiliate shall not receive,
possess, |
or transfer
any new vehicle. If a new motor vehicle dealer is |
listed on the application,
pursuant to
paragraph (2) of |
subsection (b), the new motor vehicle dealer can only receive
|
those new
cars it is permitted to receive under its franchise |
agreement. If both a new
and used
motor vehicle dealer are |
listed on the application, pursuant to paragraph (2)
of |
subsection
(b), only the new motor vehicle dealer may receive |
new motor vehicles. If a
used motor
vehicle is listed on the |
application, pursuant to paragraph (2) of
subsection (b), the |
used
motor vehicle dealer shall not receive any new motor |
vehicles.
|
(e) The applicant and dealer provided pursuant to |
paragraph (2) of
subsection (b)
must be business organizations |
registered to conduct business in Illinois.
Three-fourths
of |
the dealer's board of directors must be members of the motor |
vehicle
financing
affiliate's board of directors, if |
applicable.
|
(f) Unless otherwise provided in this Chapter 5, no |
business organization
registered to
do business in Illinois |
|
shall be licensed as a motor vehicle financing
affiliate |
unless:
|
(1) The motor vehicle financing affiliate shall only |
sell, transfer, or
assign motor
vehicles to the licensed |
new or used dealer listed on the application pursuant
to |
paragraph (2) of subsection (b).
|
(2) The motor vehicle financing affiliate sells, |
transfers, or assigns to
the new
motor vehicle dealer |
listed on the application, if any, only those new motor
|
vehicles the
motor vehicle financing affiliate has |
received under the contract set forth in
paragraph (5)
of |
subsection (b).
|
(3) Any new vehicle dealer listed pursuant to |
paragraph (2) of subsection
(b) has a
franchise agreement |
that permits the dealer to receive motor vehicles from the
|
motor
vehicle franchise affiliate.
|
(4) The new or used motor vehicle dealer listed on the |
application
pursuant to
paragraph (2) of subsection (b) |
has one established place of business or
supplemental
|
places of business as referenced in subsection (g).
|
(g) The Secretary of State shall, within a reasonable time |
after receipt,
examine an
application submitted pursuant to |
this Section and, unless it is determined
that the
application |
does not conform with the requirements of this Section or that
|
grounds exist
for a denial of the application under Section |
5-501, grant the applicant a
motor vehicle
financing affiliate |
|
license in writing for the applicant's established place of
|
business and
a supplemental license in writing for each |
additional place of business in a
form prescribed
by the |
Secretary, which shall include all of the following:
|
(1) The name of the business licensed;
|
(2) The name and address of its officers, directors, |
or members, as
applicable;
|
(3) In the case of an original license, the |
established place of business
of the
licensee;
|
(4) If applicable, the make or makes of new vehicles |
which the licensee is
licensed
to sell to the new motor |
vehicle dealer listed on the application pursuant to
|
paragraph (2)
of subsection (b); and
|
(5) The full name, address, and contact information of |
each of the dealer's agents or legal representatives who |
is an Illinois resident and liable for the performance of |
the dealership. |
(h) The appropriate instrument evidencing the license or a |
certified copy,
provided by
the Secretary of State, shall be |
kept posted conspicuously in the established
place of
business |
of the licensee.
|
(i) Except as provided in subsection (h), all motor |
vehicle financing
affiliate's
licenses granted under this |
Section shall expire expired by operation of law on
December |
31 of
the calendar year for which they are granted, unless |
revoked or canceled at an
earlier date
pursuant to Section |
|
5-501.
|
(j) A motor vehicle financing affiliate's license may be |
renewed upon
application and
payment of the required fee. |
However, when an application for renewal of a
motor
vehicle |
financing affiliate's license is made during the month of |
December, the
effective
license shall remain in force until |
the application is granted or denied by the
Secretary of
|
State.
|
(k) The contract a motor vehicle financing affiliate has |
with a manufacturer
or
franchised distributor, as provided in |
paragraph (5) of subsection (b), shall
only permit
the |
applicant to sell, transfer, or assign new motor vehicles to |
the new motor
vehicle
dealer listed on the application |
pursuant to paragraph (2) of subsection (b).
The contract
|
shall specifically prohibit the motor vehicle financing |
affiliate from selling
motor
vehicles at retail. This contract |
shall not be considered the granting of a
franchise as
defined |
in Section 2 of the Motor Vehicle Franchise Act.
|
(l) When purchasing of a motor vehicle by a new or used |
motor vehicle
dealer, all
persons licensed as a motor vehicle |
financing affiliate are required to furnish
all of the
|
following:
|
(1) For a new vehicle, a manufacturer's statement of |
origin properly
assigned to
the purchasing dealer. For a |
used vehicle, a certificate of title properly
assigned to |
the
purchasing dealer.
|
|
(2) A statement verified under oath that all |
identifying numbers on the
vehicle
agree with those on the |
certificate of title or manufacturer's statement of
|
origin.
|
(3) A bill of sale properly executed on behalf of the |
purchasing dealer.
|
(4) A copy of the Uniform Invoice-transaction report |
pursuant to Section
5-402.
|
(5) In the case of a rebuilt vehicle, a copy of the |
Disclosure of Rebuilt
Vehicle
Status pursuant to Section |
5-104.3.
|
(6) In the case of a vehicle for which a warranty has |
been reinstated, a
copy of the
warranty.
|
(m) The motor vehicle financing affiliate shall use the |
established and
supplemental
place or places of business the |
new or used vehicle dealer listed on the
application
pursuant |
to paragraph (2) of subsection (b) as its established and |
supplemental
place or
places of business.
|
(n) The motor vehicle financing affiliate shall keep all |
books and records
required by
this Code with the books and |
records of the new or used vehicle dealer listed
on the
|
application pursuant to paragraph (2) of subsection (b). The |
motor vehicle
financing
affiliate may use the books and |
records of the new or used motor vehicle dealer
listed on
the |
application pursuant to paragraph (2) of subsection (b).
|
(o) Under no circumstances shall a motor vehicle financing |
|
affiliate sell,
transfer, or
assign a new vehicle to any place |
of business of a new motor vehicle dealer,
unless that
place of |
business is licensed under this Chapter to sell, assign, or |
otherwise
transfer the
make of the new motor vehicle |
transferred.
|
(p) All moneys received by the Secretary of State as |
license fees under this
Section
shall be deposited into the |
Motor Vehicle Review Board Fund and shall be used
to
|
administer the Motor Vehicle Review Board under the Motor |
Vehicle Franchise
Act.
|
(q) Except as otherwise provided in this Section, a motor |
vehicle financing
affiliate
shall comply with all provisions |
of this Code.
|
(r) If a licensee under this Section voluntarily |
surrenders a license to the Illinois Secretary of State Police |
or a representative of the Secretary of State Vehicle Services |
Department due to the licensee's inability to adhere to |
recordkeeping provisions, or the inability to properly issue |
certificates of title or registrations under this Code, or the |
Secretary revokes a license under this Section, then the |
licensee and the licensee's agent, designee, or legal |
representative, if applicable, may not be named on a new |
application for a licensee under this Section or under this |
Chapter, nor is the licensee or the licensee's agent, |
designee, or legal representative permitted to work for |
another licensee under this Chapter in a recordkeeping, |
|
management, or financial position or as an employee who |
handles certificate of title and registration documents and |
applications. |
(Source: P.A. 102-154, eff. 1-1-22; 102-982, eff. 7-1-23; |
revised 8-22-22.)
|
(625 ILCS 5/6-107)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 6-107. Graduated license.
|
(a) The purpose of the Graduated
Licensing Program is to |
develop safe and mature driving habits in young,
inexperienced |
drivers and reduce or prevent motor vehicle accidents,
|
fatalities,
and injuries by:
|
(1) providing for an increase in the time of practice |
period before
granting
permission to obtain a driver's |
license;
|
(2) strengthening driver licensing and testing |
standards for persons under
the age of 21 years;
|
(3) sanctioning driving privileges of drivers under |
age 21 who have
committed serious traffic violations or |
other specified offenses; and
|
(4) setting stricter standards to promote the public's |
health and
safety.
|
(b) The application of any person under
the age of 18 |
years, and not legally emancipated, for a driver's drivers
|
license or permit to operate a motor vehicle issued under the |
|
laws of this
State, shall be accompanied by the written |
consent of either parent of the
applicant; otherwise by the |
guardian having custody of the applicant, or
in the event |
there is no parent or guardian, then by another responsible |
adult. The written consent must accompany any application for |
a driver's license under this subsection (b), regardless of |
whether or not the required written consent also accompanied |
the person's previous application for an instruction permit.
|
No graduated driver's license shall be issued to any |
applicant under 18
years
of age, unless the applicant is at |
least 16 years of age and has:
|
(1) Held a valid instruction permit for a minimum of 9 |
months.
|
(2) Passed an approved driver education course
and |
submits proof of having passed the course as may
be |
required.
|
(3) Certification by the parent, legal guardian, or |
responsible adult that
the applicant has had a minimum of |
50 hours of behind-the-wheel practice time, at least 10 |
hours of which have been at night,
and is sufficiently |
prepared and able to safely operate a motor vehicle.
|
(b-1) No graduated
driver's license shall be issued to any |
applicant who is under 18 years of age
and not legally |
emancipated, unless the applicant has graduated
from a |
secondary school of this State or any other state, is enrolled |
in a
course leading to a State of Illinois High School Diploma, |
|
has
obtained a State of Illinois High School Diploma, is |
enrolled in an elementary or secondary school or college or |
university
of this State or any other state and is not a |
chronic or habitual truant as provided in Section 26-2a of the |
School Code, or is receiving home instruction and submits |
proof of meeting any of those
requirements at the time of |
application.
|
An applicant under 18 years of age who provides proof |
acceptable to the Secretary that the applicant has resumed |
regular school attendance or home instruction or that his or |
her application was denied in error shall be eligible to |
receive a graduated license if other requirements are met. The |
Secretary shall adopt rules for implementing this subsection |
(b-1).
|
(c) No graduated driver's license or permit shall be |
issued to
any applicant under 18
years of age who has committed |
the offense of operating a motor vehicle
without a valid |
license or permit in violation of Section 6-101 of this Code
or |
a similar out of state offense and no graduated driver's
|
license or permit shall be issued to any applicant under 18 |
years of age
who has committed an offense that would otherwise |
result in a
mandatory revocation of a license or permit as |
provided in Section 6-205 of
this Code or who has been either |
convicted of or adjudicated a delinquent based
upon a |
violation of the Cannabis Control Act, the Illinois Controlled
|
Substances Act, the Use of Intoxicating Compounds Act, or the |
|
Methamphetamine Control and Community Protection 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 such an this offense, while in actual physical |
control of a motor vehicle,
shall have an entry made in the |
court record by the judge that the 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.
|
(d) No graduated driver's license shall be issued for 9 |
months to any
applicant
under
the
age of 18 years who has |
committed and subsequently been convicted of an offense |
against traffic regulations governing the movement of |
vehicles, any violation of this Section or Section 12-603.1 of |
this Code, or who has received a disposition of court |
supervision for a violation of Section 6-20 of the Illinois |
Liquor Control Act of 1934 or a similar provision of a local |
ordinance.
|
(e) No graduated driver's license holder under the age
of |
18 years shall operate any
motor vehicle, except a motor |
driven cycle or motorcycle, with
more than one passenger in |
the front seat of the motor vehicle
and no more passengers in |
|
the back seats than the number of available seat
safety belts |
as set forth in Section 12-603 of this Code. If a graduated |
driver's license holder over the age of 18 committed an |
offense against traffic regulations governing the movement of |
vehicles or any violation of this Section or Section 12-603.1 |
of this Code in the 6 months prior to the graduated driver's |
license holder's 18th birthday, and was subsequently convicted |
of the violation, the provisions of this paragraph shall |
continue to apply until such time as a period of 6 consecutive |
months has elapsed without an additional violation and |
subsequent conviction of an offense against traffic |
regulations governing the movement of vehicles or any |
violation of this Section or Section 12-603.1 of this Code.
|
(f) (Blank).
|
(g) If a graduated driver's license holder is under the |
age of 18 when he
or she receives the license, for the first 12 |
months he or she holds the license
or
until he or she reaches |
the age of 18, whichever occurs sooner, the graduated
license
|
holder may not operate a motor vehicle with more than one |
passenger in the
vehicle
who is under the age of 20, unless any |
additional passenger or passengers are
siblings, |
step-siblings, children, or stepchildren of the driver. If a |
graduated driver's license holder committed an offense against |
traffic regulations governing the movement of vehicles or any |
violation of this Section or Section 12-603.1 of this Code |
during the first 12 months the license is held and |
|
subsequently is convicted of the violation, the provisions of |
this paragraph shall remain in effect until such time as a |
period of 6 consecutive months has elapsed without an |
additional violation and subsequent conviction of an offense |
against traffic regulations governing the movement of vehicles |
or any violation of this Section or Section 12-603.1 of this |
Code.
|
(h) It shall be an offense for a person that is age 15, but |
under age 20, to be a passenger in a vehicle operated by a |
driver holding a graduated driver's license during the first |
12 months the driver holds the license or until the driver |
reaches the age of 18, whichever occurs sooner, if another |
passenger under the age of 20 is present, excluding a sibling, |
step-sibling, child, or step-child of the driver.
|
(i) No graduated driver's license shall be issued to any |
applicant under the age of 18 years if the applicant has been |
issued a traffic citation for which a disposition has not been |
rendered at the time of application. |
(Source: P.A. 102-1100, eff. 1-1-23; revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 6-107. Graduated license.
|
(a) The purpose of the Graduated
Licensing Program is to |
develop safe and mature driving habits in young,
inexperienced |
drivers and reduce or prevent motor vehicle crashes,
|
fatalities,
and injuries by:
|
|
(1) providing for an increase in the time of practice |
period before
granting
permission to obtain a driver's |
license;
|
(2) strengthening driver licensing and testing |
standards for persons under
the age of 21 years;
|
(3) sanctioning driving privileges of drivers under |
age 21 who have
committed serious traffic violations or |
other specified offenses; and
|
(4) setting stricter standards to promote the public's |
health and
safety.
|
(b) The application of any person under
the age of 18 |
years, and not legally emancipated, for a driver's drivers
|
license or permit to operate a motor vehicle issued under the |
laws of this
State, shall be accompanied by the written |
consent of either parent of the
applicant; otherwise by the |
guardian having custody of the applicant, or
in the event |
there is no parent or guardian, then by another responsible |
adult. The written consent must accompany any application for |
a driver's license under this subsection (b), regardless of |
whether or not the required written consent also accompanied |
the person's previous application for an instruction permit.
|
No graduated driver's license shall be issued to any |
applicant under 18
years
of age, unless the applicant is at |
least 16 years of age and has:
|
(1) Held a valid instruction permit for a minimum of 9 |
months.
|
|
(2) Passed an approved driver education course
and |
submits proof of having passed the course as may
be |
required.
|
(3) Certification by the parent, legal guardian, or |
responsible adult that
the applicant has had a minimum of |
50 hours of behind-the-wheel practice time, at least 10 |
hours of which have been at night,
and is sufficiently |
prepared and able to safely operate a motor vehicle.
|
(b-1) No graduated
driver's license shall be issued to any |
applicant who is under 18 years of age
and not legally |
emancipated, unless the applicant has graduated
from a |
secondary school of this State or any other state, is enrolled |
in a
course leading to a State of Illinois High School Diploma, |
has
obtained a State of Illinois High School Diploma, is |
enrolled in an elementary or secondary school or college or |
university
of this State or any other state and is not a |
chronic or habitual truant as provided in Section 26-2a of the |
School Code, or is receiving home instruction and submits |
proof of meeting any of those
requirements at the time of |
application.
|
An applicant under 18 years of age who provides proof |
acceptable to the Secretary that the applicant has resumed |
regular school attendance or home instruction or that his or |
her application was denied in error shall be eligible to |
receive a graduated license if other requirements are met. The |
Secretary shall adopt rules for implementing this subsection |
|
(b-1).
|
(c) No graduated driver's license or permit shall be |
issued to
any applicant under 18
years of age who has committed |
the offense of operating a motor vehicle
without a valid |
license or permit in violation of Section 6-101 of this Code
or |
a similar out of state offense and no graduated driver's
|
license or permit shall be issued to any applicant under 18 |
years of age
who has committed an offense that would otherwise |
result in a
mandatory revocation of a license or permit as |
provided in Section 6-205 of
this Code or who has been either |
convicted of or adjudicated a delinquent based
upon a |
violation of the Cannabis Control Act, the Illinois Controlled
|
Substances Act, the Use of Intoxicating Compounds Act, or the |
Methamphetamine Control and Community Protection 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 such an this offense, while in actual physical |
control of a motor vehicle,
shall have an entry made in the |
court record by the judge that the 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.
|
|
(d) No graduated driver's license shall be issued for 9 |
months to any
applicant
under
the
age of 18 years who has |
committed and subsequently been convicted of an offense |
against traffic regulations governing the movement of |
vehicles, any violation of this Section or Section 12-603.1 of |
this Code, or who has received a disposition of court |
supervision for a violation of Section 6-20 of the Illinois |
Liquor Control Act of 1934 or a similar provision of a local |
ordinance.
|
(e) No graduated driver's license holder under the age
of |
18 years shall operate any
motor vehicle, except a motor |
driven cycle or motorcycle, with
more than one passenger in |
the front seat of the motor vehicle
and no more passengers in |
the back seats than the number of available seat
safety belts |
as set forth in Section 12-603 of this Code. If a graduated |
driver's license holder over the age of 18 committed an |
offense against traffic regulations governing the movement of |
vehicles or any violation of this Section or Section 12-603.1 |
of this Code in the 6 months prior to the graduated driver's |
license holder's 18th birthday, and was subsequently convicted |
of the violation, the provisions of this paragraph shall |
continue to apply until such time as a period of 6 consecutive |
months has elapsed without an additional violation and |
subsequent conviction of an offense against traffic |
regulations governing the movement of vehicles or any |
violation of this Section or Section 12-603.1 of this Code.
|
|
(f) (Blank).
|
(g) If a graduated driver's license holder is under the |
age of 18 when he
or she receives the license, for the first 12 |
months he or she holds the license
or
until he or she reaches |
the age of 18, whichever occurs sooner, the graduated
license
|
holder may not operate a motor vehicle with more than one |
passenger in the
vehicle
who is under the age of 20, unless any |
additional passenger or passengers are
siblings, |
step-siblings, children, or stepchildren of the driver. If a |
graduated driver's license holder committed an offense against |
traffic regulations governing the movement of vehicles or any |
violation of this Section or Section 12-603.1 of this Code |
during the first 12 months the license is held and |
subsequently is convicted of the violation, the provisions of |
this paragraph shall remain in effect until such time as a |
period of 6 consecutive months has elapsed without an |
additional violation and subsequent conviction of an offense |
against traffic regulations governing the movement of vehicles |
or any violation of this Section or Section 12-603.1 of this |
Code.
|
(h) It shall be an offense for a person that is age 15, but |
under age 20, to be a passenger in a vehicle operated by a |
driver holding a graduated driver's license during the first |
12 months the driver holds the license or until the driver |
reaches the age of 18, whichever occurs sooner, if another |
passenger under the age of 20 is present, excluding a sibling, |
|
step-sibling, child, or step-child of the driver.
|
(i) No graduated driver's license shall be issued to any |
applicant under the age of 18 years if the applicant has been |
issued a traffic citation for which a disposition has not been |
rendered at the time of application. |
(Source: P.A. 102-982, eff. 7-1-23; 102-1100, eff. 1-1-23; |
revised 12-14-22.)
|
(625 ILCS 5/6-206)
|
(Text of Section before amendment by P.A. 102-982 )
|
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 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 Code, or Section 14, 14A, or |
14B of the Illinois Identification Card
Act or a similar |
offense in another state if, at the time of the offense, |
the person held an Illinois driver's license or |
identification card;
|
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 if the person |
exercised actual physical control over the vehicle during |
the commission of the offense, 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. (Blank);
|
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 or in |
another state 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. (Blank);
|
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 and the person was an occupant of a motor |
vehicle at the time of the violation;
|
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 and the person was an |
occupant of a motor vehicle at the time of the violation, |
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;
|
47. Has committed a violation of subsection (a) of |
Section 11-502.1 of this Code; |
48. Has submitted a falsified or altered medical |
examiner's certificate to the Secretary of State or |
provided false information to obtain a medical examiner's |
certificate; |
49. Has been convicted of a violation of Section |
11-1002 or 11-1002.5 that resulted in a Type A injury to |
another, in which case the driving privileges of the |
person shall be suspended for 12 months; |
50. Has committed a violation of subsection (b-5) of |
Section 12-610.2 that resulted in great bodily harm, |
permanent disability, or disfigurement, in which case the |
driving privileges of the person shall be suspended for 12 |
months; |
51. Has committed a violation of Section 10-15 Of the |
Cannabis Regulation and Tax Act or a similar provision of |
a local ordinance while in a motor vehicle; or |
52. Has committed a violation of subsection (b) of |
Section 10-20 of the Cannabis Regulation and Tax Act or a |
similar provision of a local ordinance. |
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 persons with disabilities 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.
|
|
(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 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. |
(B-5) If a person's license or permit is revoked or |
suspended due to a conviction for a violation of |
subparagraph (C) or (F) of paragraph (1) of subsection (d) |
of Section 11-501 of this Code, or a similar provision of a |
local ordinance or similar out-of-state offense, 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. For any person who, within a 5-year period, is |
convicted of a second or subsequent offense under Section |
11-501 of this Code, or a similar provision of a local |
ordinance or similar out-of-state offense, this employment |
|
exemption does not apply until either a one-year period |
has elapsed during which that person had his or her |
driving privileges revoked or a one-year period has |
elapsed during which that person had a restricted driving |
permit which required the use of an ignition interlock |
device on every motor vehicle owned or operated by that |
person. |
(E) In each case the Secretary may issue a
restricted |
driving permit for a period deemed appropriate, except |
that all
permits shall expire no later than 2 years from |
the date of issuance. 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.
|
|
(F) A person subject to the provisions of paragraph 4 |
of subsection (b) of Section 6-208 of this Code may make |
application for a restricted driving permit at a hearing |
conducted under Section 2-118 of this Code after the |
expiration of 5 years from the effective date of the most |
recent revocation or after 5 years from the date of |
release from a period of imprisonment resulting from a |
conviction of the most recent offense, whichever is later, |
provided the person, in addition to all other requirements |
of the Secretary, shows by clear and convincing evidence: |
(i) a minimum of 3 years of uninterrupted |
abstinence from alcohol and the unlawful use or |
consumption of cannabis under the Cannabis Control |
Act, a controlled substance under the Illinois |
Controlled Substances Act, an intoxicating compound |
under the Use of Intoxicating Compounds Act, or |
methamphetamine under the Methamphetamine Control and |
Community Protection Act; and |
(ii) the successful completion of any |
rehabilitative treatment and involvement in any |
ongoing rehabilitative activity that may be |
recommended by a properly licensed service provider |
according to an assessment of the person's alcohol or |
drug use under Section 11-501.01 of this Code. |
In determining whether an applicant is eligible for a |
restricted driving permit under this subparagraph (F), the |
|
Secretary may consider any relevant evidence, including, |
but not limited to, testimony, affidavits, records, and |
the results of regular alcohol or drug tests. Persons |
subject to the provisions of paragraph 4 of subsection (b) |
of Section 6-208 of this Code and who have been convicted |
of more than one violation of paragraph (3), paragraph |
(4), or paragraph (5) of subsection (a) of Section 11-501 |
of this Code shall not be eligible to apply for a |
restricted driving permit under this subparagraph (F). |
A restricted driving permit issued under this |
subparagraph (F) shall provide that the holder may only |
operate motor vehicles equipped with an ignition interlock |
device as required under paragraph (2) of subsection (c) |
of Section 6-205 of this Code and subparagraph (A) of |
paragraph 3 of subsection (c) of this Section. The |
Secretary may revoke a restricted driving permit or amend |
the conditions of a restricted driving permit issued under |
this subparagraph (F) if the holder operates a vehicle |
that is not equipped with an ignition interlock device, or |
for any other reason authorized under this Code. |
A restricted driving permit issued under this |
subparagraph (F) shall be revoked, and the holder barred |
from applying for or being issued a restricted driving |
permit in the future, if the holder is convicted of a |
violation of Section 11-501 of this Code, a similar |
provision of a local ordinance, or a similar offense in |
|
another state. |
(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 |
Driver 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 CFR 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. 101-90, eff. 7-1-20; 101-470, eff. 7-1-20; |
101-623, eff. 7-1-20; 101-652, eff. 1-1-23; 102-299, eff. |
8-6-21; 102-558, eff. 8-20-21; 102-749, eff. 1-1-23; 102-813, |
eff. 5-13-22; revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 ) |
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 a crash 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 crash, or shall start not more |
than one year
after
the date of the crash, 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 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 Code, or Section 14, 14A, or |
14B of the Illinois Identification Card
Act or a similar |
offense in another state if, at the time of the offense, |
the person held an Illinois driver's license or |
identification card;
|
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 if the person |
exercised actual physical control over the vehicle during |
the commission of the offense, 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. (Blank);
|
|
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 a crash |
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 or in |
another state 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. (Blank);
|
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 and the person was an occupant of a motor |
vehicle at the time of the violation;
|
|
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 and the person was an |
occupant of a motor vehicle at the time of the violation, |
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;
|
47. Has committed a violation of subsection (a) of |
Section 11-502.1 of this Code; |
48. Has submitted a falsified or altered medical |
examiner's certificate to the Secretary of State or |
provided false information to obtain a medical examiner's |
certificate; |
49. Has been convicted of a violation of Section |
11-1002 or 11-1002.5 that resulted in a Type A injury to |
another, in which case the driving privileges of the |
person shall be suspended for 12 months; |
50. Has committed a violation of subsection (b-5) of |
Section 12-610.2 that resulted in great bodily harm, |
permanent disability, or disfigurement, in which case the |
driving privileges of the person shall be suspended for 12 |
months; |
51. Has committed a violation of Section 10-15 Of the |
Cannabis Regulation and Tax Act or a similar provision of |
a local ordinance while in a motor vehicle; or |
|
52. Has committed a violation of subsection (b) of |
Section 10-20 of the Cannabis Regulation and Tax Act or a |
similar provision of a local ordinance. |
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 persons with disabilities 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.
|
(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 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. |
(B-5) If a person's license or permit is revoked or |
suspended due to a conviction for a violation of |
subparagraph (C) or (F) of paragraph (1) of subsection (d) |
of Section 11-501 of this Code, or a similar provision of a |
local ordinance or similar out-of-state offense, 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. For any person who, within a 5-year period, is |
convicted of a second or subsequent offense under Section |
11-501 of this Code, or a similar provision of a local |
ordinance or similar out-of-state offense, this employment |
exemption does not apply until either a one-year period |
has elapsed during which that person had his or her |
driving privileges revoked or a one-year period has |
elapsed during which that person had a restricted driving |
permit which required the use of an ignition interlock |
device on every motor vehicle owned or operated by that |
person. |
(E) In each case the Secretary may issue a
restricted |
driving permit for a period deemed appropriate, except |
that all
permits shall expire no later than 2 years from |
the date of issuance. 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.
|
(F) A person subject to the provisions of paragraph 4 |
of subsection (b) of Section 6-208 of this Code may make |
application for a restricted driving permit at a hearing |
conducted under Section 2-118 of this Code after the |
expiration of 5 years from the effective date of the most |
recent revocation or after 5 years from the date of |
release from a period of imprisonment resulting from a |
conviction of the most recent offense, whichever is later, |
provided the person, in addition to all other requirements |
of the Secretary, shows by clear and convincing evidence: |
(i) a minimum of 3 years of uninterrupted |
abstinence from alcohol and the unlawful use or |
consumption of cannabis under the Cannabis Control |
Act, a controlled substance under the Illinois |
Controlled Substances Act, an intoxicating compound |
under the Use of Intoxicating Compounds Act, or |
methamphetamine under the Methamphetamine Control and |
Community Protection Act; and |
(ii) the successful completion of any |
|
rehabilitative treatment and involvement in any |
ongoing rehabilitative activity that may be |
recommended by a properly licensed service provider |
according to an assessment of the person's alcohol or |
drug use under Section 11-501.01 of this Code. |
In determining whether an applicant is eligible for a |
restricted driving permit under this subparagraph (F), the |
Secretary may consider any relevant evidence, including, |
but not limited to, testimony, affidavits, records, and |
the results of regular alcohol or drug tests. Persons |
subject to the provisions of paragraph 4 of subsection (b) |
of Section 6-208 of this Code and who have been convicted |
of more than one violation of paragraph (3), paragraph |
(4), or paragraph (5) of subsection (a) of Section 11-501 |
of this Code shall not be eligible to apply for a |
restricted driving permit under this subparagraph (F). |
A restricted driving permit issued under this |
subparagraph (F) shall provide that the holder may only |
operate motor vehicles equipped with an ignition interlock |
device as required under paragraph (2) of subsection (c) |
of Section 6-205 of this Code and subparagraph (A) of |
paragraph 3 of subsection (c) of this Section. The |
Secretary may revoke a restricted driving permit or amend |
the conditions of a restricted driving permit issued under |
this subparagraph (F) if the holder operates a vehicle |
that is not equipped with an ignition interlock device, or |
|
for any other reason authorized under this Code. |
A restricted driving permit issued under this |
subparagraph (F) shall be revoked, and the holder barred |
from applying for or being issued a restricted driving |
permit in the future, if the holder is convicted of a |
violation of Section 11-501 of this Code, a similar |
provision of a local ordinance, or a similar offense in |
another state. |
(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 |
Driver 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 CFR 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. 101-90, eff. 7-1-20; 101-470, eff. 7-1-20; |
101-623, eff. 7-1-20; 101-652, eff. 1-1-23; 102-299, eff. |
8-6-21; 102-558, eff. 8-20-21; 102-749, eff. 1-1-23; 102-813, |
eff. 5-13-22; 102-982, eff. 7-1-23; revised 12-14-22.)
|
(625 ILCS 5/6-514)
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 6-514. Commercial driver's license (CDL); commercial |
|
learner's permit (CLP); 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 to determine the driver's blood |
concentration of alcohol, other drug, or both
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, other |
bodily substance, or urine is at least 0.04, or any
amount |
of a drug, substance, or compound in the person's blood, |
other bodily substance, 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, other bodily |
substance, 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, other bodily |
substance, 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) (Blank). |
(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 CFR 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.
|
|
(l) A foreign commercial driver is subject to |
disqualification under this Section. |
(m) A person shall be disqualified from operating a |
commercial motor vehicle for life if that individual uses a |
commercial motor vehicle in the commission of a felony |
involving an act or practice of severe forms of human |
trafficking, as defined in 22 U.S.C. 7102(11). |
(Source: P.A. 102-749, eff. 1-1-23.)
|
(Text of Section after amendment by P.A. 102-982 ) |
Sec. 6-514. Commercial driver's license (CDL); commercial |
learner's permit (CLP); 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 to determine the driver's blood |
concentration of alcohol, other drug, or both
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, other |
bodily substance, or urine is at least 0.04, or any
amount |
of a drug, substance, or compound in the person's blood, |
other bodily substance, 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, other bodily |
substance, 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, other bodily |
substance, 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 a crash 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) (Blank). |
(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 CFR 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.
|
(l) A foreign commercial driver is subject to |
disqualification under this Section. |
(m) A person shall be disqualified from operating a |
commercial motor vehicle for life if that individual uses a |
commercial motor vehicle in the commission of a felony |
involving an act or practice of severe forms of human |
trafficking, as defined in 22 U.S.C. 7102(11). |
(Source: P.A. 102-749, eff. 1-1-23; 102-982, eff. 7-1-23; |
revised 12-14-22.)
|
(625 ILCS 5/7-328) (from Ch. 95 1/2, par. 7-328)
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 7-328. Duration of proof; when proof - When proof may |
be canceled or returned.
The Secretary of State shall upon |
request cancel any bond or return any
certificate of |
insurance, or the Secretary of State shall direct and the
|
|
State Treasurer shall return to the person entitled thereto |
any money or
securities, deposited pursuant to this Chapter as |
proof of financial
responsibility or waive the requirements of |
filing proof of financial
responsibility in any of the |
following events:
|
1. In the event of the death of the person on whose |
behalf such proof
was filed, or the permanent incapacity |
of such person to operate a motor
vehicle . ;
|
2. In the event the person who has given proof of |
financial
responsibility surrenders such person's driver's
|
license, registration
certificates, license plates , and |
registration stickers, but the Secretary
of State shall |
not release such proof in the event any action for damages
|
upon a liability referred to in this Article is then |
pending
or any judgment upon any such liability is then |
outstanding and unsatisfied
or in the event the Secretary |
of State has received notice that such person
has, within |
the period of 3 months immediately preceding,
been |
involved as a driver in any motor vehicle accident. An |
affidavit of
the applicant of the nonexistence of such |
facts shall
be sufficient evidence thereof in the absence |
of evidence to the contrary
in the records of the |
Secretary of State. Any person who has
not completed the |
required 3-year 3 year period of proof of financial
|
responsibility pursuant to Section 7-304, and to whom |
proof
has been surrendered as provided in this paragraph |
|
applies for a driver's
license or the
registration of a |
motor vehicle shall have the application denied
unless the |
applicant reestablishes re-establishes
such proof for the |
remainder of such period.
|
3. In the event that proof of financial responsibility |
has been
deposited voluntarily, at any time upon request |
of the person entitled
thereto, provided that the person |
on whose behalf such proof was given has
not, during the |
period between the date of the original deposit thereof |
and
the date of such request, been convicted of any |
offense for which
revocation is mandatory as provided in |
Section 6-205; provided, further,
that no action for |
damages is pending against such person on whose behalf
|
such proof of financial responsibility was furnished and |
no judgment
against such person is outstanding and |
unsatisfied in respect to bodily
injury, or in respect to |
damage to property resulting from the ownership,
|
maintenance, use , or operation hereafter of a motor |
vehicle. An affidavit
of the applicant under this Section |
shall be sufficient evidence of the facts
in the absence |
of evidence to the contrary in the records of the |
Secretary
of State.
|
(Source: P.A. 85-321; revised 8-19-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 7-328. Duration of proof; when proof - When proof may |
|
be canceled or returned.
The Secretary of State shall upon |
request cancel any bond or return any
certificate of |
insurance, or the Secretary of State shall direct and the
|
State Treasurer shall return to the person entitled thereto |
any money or
securities, deposited pursuant to this Chapter as |
proof of financial
responsibility or waive the requirements of |
filing proof of financial
responsibility in any of the |
following events:
|
1. In the event of the death of the person on whose |
behalf such proof
was filed, or the permanent incapacity |
of such person to operate a motor
vehicle . ;
|
2. In the event the person who has given proof of |
financial
responsibility surrenders such person's driver's
|
license, registration
certificates, license plates and |
registration stickers, but the Secretary
of State shall |
not release such proof in the event any action for damages
|
upon a liability referred to in this Article is then |
pending
or any judgment upon any such liability is then |
outstanding and unsatisfied
or in the event the Secretary |
of State has received notice that such person
has, within |
the period of 3 months immediately preceding,
been |
involved as a driver in any motor vehicle crash. An |
affidavit of
the applicant of the nonexistence of such |
facts shall
be sufficient evidence thereof in the absence |
of evidence to the contrary
in the records of the |
Secretary of State. Any person who has
not completed the |
|
required 3-year 3 year period of proof of financial
|
responsibility pursuant to Section 7-304, and to whom |
proof
has been surrendered as provided in this paragraph |
applies for a driver's
license or the
registration of a |
motor vehicle shall have the application denied
unless the |
applicant reestablishes re-establishes
such proof for the |
remainder of such period.
|
3. In the event that proof of financial responsibility |
has been
deposited voluntarily, at any time upon request |
of the person entitled
thereto, provided that the person |
on whose behalf such proof was given has
not, during the |
period between the date of the original deposit thereof |
and
the date of such request, been convicted of any |
offense for which
revocation is mandatory as provided in |
Section 6-205; provided, further,
that no action for |
damages is pending against such person on whose behalf
|
such proof of financial responsibility was furnished and |
no judgment
against such person is outstanding and |
unsatisfied in respect to bodily
injury, or in respect to |
damage to property resulting from the ownership,
|
maintenance, use , or operation hereafter of a motor |
vehicle. An affidavit
of the applicant under this Section |
shall be sufficient evidence of the facts
in the absence |
of evidence to the contrary in the records of the |
Secretary
of State.
|
(Source: P.A. 102-982, eff. 7-1-23; revised 8-19-22.)
|
|
(625 ILCS 5/7-329) (from Ch. 95 1/2, par. 7-329)
|
(Text of Section before amendment by P.A. 102-982 )
|
Sec. 7-329. Proof of financial responsibility made |
voluntarily. |
1. Proof of financial responsibility may be made |
voluntarily by or on behalf
of any person. The privilege of |
operation of any motor vehicle within this
State by such |
person shall not be suspended or withdrawn under the
|
provisions of this Article if such proof of financial |
responsibility
has been voluntarily filed or deposited prior |
to the offense or accident
out of which any conviction, |
judgment, or order arises and if such proof, at the
date of |
such conviction, judgment, or order, is valid and sufficient |
for
the requirements of this Code.
|
2. If the Secretary of State receives record of any |
conviction or
judgment against such person which, in the |
absence of such proof of
financial responsibility would have |
caused the suspension of the driver's
license of such person, |
the Secretary of State shall forthwith
notify the insurer or |
surety of such person of the conviction or judgment so |
reported.
|
(Source: P.A. 83-831; revised 8-19-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 7-329. Proof of financial responsibility made |
|
voluntarily. |
1. Proof of financial responsibility may be made |
voluntarily by or on behalf
of any person. The privilege of |
operation of any motor vehicle within this
State by such |
person shall not be suspended or withdrawn under the
|
provisions of this Article if such proof of financial |
responsibility
has been voluntarily filed or deposited prior |
to the offense or crash
out of which any conviction, judgment, |
or order arises and if such proof, at the
date of such |
conviction, judgment, or order, is valid and sufficient for
|
the requirements of this Code.
|
2. If the Secretary of State receives record of any |
conviction or
judgment against such person which, in the |
absence of such proof of
financial responsibility would have |
caused the suspension of the driver's
license of such person, |
the Secretary of State shall forthwith
notify the insurer or |
surety of such person of the conviction or judgment so |
reported.
|
(Source: P.A. 102-982, eff. 7-1-23; revised 8-19-22.)
|
(625 ILCS 5/11-208.6)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 11-208.6. Automated traffic law enforcement system.
|
(a) As used in this Section, "automated traffic law |
enforcement
system" means a device with one or more motor |
vehicle sensors working
in conjunction with a red light signal |
|
to produce recorded images of
motor vehicles entering an |
intersection against a red signal
indication in violation of |
Section 11-306 of this Code or a similar provision
of a local |
ordinance.
|
An
automated traffic law enforcement system is a system, |
in a municipality or
county operated by a
governmental agency, |
that
produces a recorded image of a motor vehicle's
violation |
of a provision of this Code or a local ordinance
and is |
designed to obtain a clear recorded image of the
vehicle and |
the vehicle's license plate. The recorded image must also
|
display the time, date, and location of the violation.
|
(b) As used in this Section, "recorded images" means |
images
recorded by an automated traffic law enforcement system |
on:
|
(1) 2 or more photographs;
|
(2) 2 or more microphotographs;
|
(3) 2 or more electronic images; or
|
(4) a video recording showing the motor vehicle and, |
on at
least one image or portion of the recording, clearly |
identifying the
registration plate or digital registration |
plate number of the motor vehicle.
|
(b-5) A municipality or
county that
produces a recorded |
image of a motor vehicle's
violation of a provision of this |
Code or a local ordinance must make the recorded images of a |
violation accessible to the alleged violator by providing the |
alleged violator with a website address, accessible through |
|
the Internet. |
(c) Except as provided under Section 11-208.8 of this |
Code, a county or municipality, including a home rule county |
or municipality, may not use an automated traffic law |
enforcement system to provide recorded images of a motor |
vehicle for the purpose of recording its speed. Except as |
provided under Section 11-208.8 of this Code, the regulation |
of the use of automated traffic law enforcement systems to |
record vehicle speeds is an exclusive power and function of |
the State. This subsection (c) is a denial and limitation of |
home rule powers and functions under subsection (h) of Section |
6 of Article VII of the Illinois Constitution.
|
(c-5) A county or municipality, including a home rule |
county or municipality, may not use an automated traffic law |
enforcement system to issue violations in instances where the |
motor vehicle comes to a complete stop and does not enter the |
intersection, as defined by Section 1-132 of this Code, during |
the cycle of the red signal indication unless one or more |
pedestrians or bicyclists are present, even if the motor |
vehicle stops at a point past a stop line or crosswalk where a |
driver is required to stop, as specified in subsection (c) of |
Section 11-306 of this Code or a similar provision of a local |
ordinance. |
(c-6) A county, or a municipality with less than 2,000,000 |
inhabitants, including a home rule county or municipality, may |
not use an automated traffic law enforcement system to issue |
|
violations in instances where a motorcyclist enters an |
intersection against a red signal
indication when the red |
signal fails to change to a green signal within a reasonable |
period of time not less than 120 seconds because of a signal |
malfunction or because the signal has failed to detect the |
arrival of the motorcycle due to the motorcycle's size or |
weight. |
(d) For each violation of a provision of this Code or a |
local ordinance
recorded by an automatic
traffic law |
enforcement system, the county or municipality having
|
jurisdiction shall issue a written notice of the
violation to |
the registered owner of the vehicle as the alleged
violator. |
The notice shall be delivered to the registered
owner of the |
vehicle, by mail, within 30 days after the Secretary of State |
notifies the municipality or county of the identity of the |
owner of the vehicle, but in no event later than 90 days after |
the violation.
|
The notice shall include:
|
(1) the name and address of the registered owner of |
the
vehicle;
|
(2) the registration number of the motor vehicle
|
involved in the violation;
|
(3) the violation charged;
|
(4) the location where the violation occurred;
|
(5) the date and time of the violation;
|
(6) a copy of the recorded images;
|
|
(7) the amount of the civil penalty imposed and the |
requirements of any traffic education program imposed and |
the date
by which the civil penalty should be paid and the |
traffic education program should be completed;
|
(8) a statement that recorded images are evidence of a
|
violation of a red light signal;
|
(9) a warning that failure to pay the civil penalty, |
to complete a required traffic education program, or to
|
contest liability in a timely manner is an admission of
|
liability;
|
(10) a statement that the person may elect to proceed |
by:
|
(A) paying the fine, completing a required traffic |
education program, or both; or
|
(B) challenging the charge in court, by mail, or |
by administrative hearing; and
|
(11) a website address, accessible through the |
Internet, where the person may view the recorded images of |
the violation. |
(e) (Blank).
|
(f) Based on inspection of recorded images produced by an
|
automated traffic law enforcement system, a notice alleging |
that the violation occurred shall be evidence of the facts |
contained
in the notice and admissible in any proceeding |
alleging a
violation under this Section.
|
(g) Recorded images made by an automatic traffic law
|
|
enforcement system are confidential and shall be made
|
available only to the alleged violator and governmental and
|
law enforcement agencies for purposes of adjudicating a
|
violation of this Section, for statistical purposes, or for |
other governmental purposes. Any recorded image evidencing a
|
violation of this Section, however, may be admissible in
any |
proceeding resulting from the issuance of the citation.
|
(h) The court or hearing officer may consider in defense |
of a violation:
|
(1) that the motor vehicle or registration plates or |
digital registration plates of the motor
vehicle were |
stolen before the violation occurred and not
under the |
control of or in the possession of the owner or lessee at
|
the time of the violation;
|
(1.5) that the motor vehicle was hijacked before the |
violation occurred and not under the control of or in the |
possession of the owner or lessee at the time of the |
violation; |
(2) that the driver of the vehicle passed through the
|
intersection when the light was red either (i) in order to
|
yield the right-of-way to an emergency vehicle or (ii) as
|
part of a funeral procession; and
|
(3) any other evidence or issues provided by municipal |
or county ordinance.
|
(i) To demonstrate that the motor vehicle was hijacked or |
the motor vehicle or registration
plates or digital |
|
registration plates were stolen before the violation occurred |
and were not under the
control or possession of the owner or |
lessee at the time of the violation, the
owner or lessee must |
submit proof that a report concerning the
motor vehicle or |
registration plates was filed with a law enforcement agency in |
a timely manner.
|
(j) Unless the driver of the motor vehicle received a |
Uniform
Traffic Citation from a police officer at the time of |
the violation,
the motor vehicle owner is subject to a civil |
penalty not exceeding
$100 or the completion of a traffic |
education program, or both, plus an additional penalty of not |
more than $100 for failure to pay the original penalty or to |
complete a required traffic education program, or both, in a |
timely manner, if the motor vehicle is recorded by an |
automated traffic law
enforcement system. A violation for |
which a civil penalty is imposed
under this Section is not a |
violation of a traffic regulation governing
the movement of |
vehicles and may not be recorded on the driving record
of the |
owner of the vehicle.
|
(j-3) A registered owner who is a holder of a valid |
commercial driver's license is not required to complete a |
traffic education program. |
(j-5) For purposes of the required traffic education |
program only, a registered owner may submit an affidavit to |
the court or hearing officer swearing that at the time of the |
alleged violation, the vehicle was in the custody and control |
|
of another person. The affidavit must identify the person in |
custody and control of the vehicle, including the person's |
name and current address. The person in custody and control of |
the vehicle at the time of the violation is required to |
complete the required traffic education program. If the person |
in custody and control of the vehicle at the time of the |
violation completes the required traffic education program, |
the registered owner of the vehicle is not required to |
complete a traffic education program. |
(k) An intersection equipped with an automated traffic law
|
enforcement system must be posted with a sign visible to |
approaching traffic
indicating that the intersection is being |
monitored by an automated
traffic law enforcement system. |
(k-3) A municipality or
county that has one or more |
intersections equipped with an automated traffic law
|
enforcement system must provide notice to drivers by posting |
the locations of automated traffic law systems on the |
municipality or county website.
|
(k-5) An intersection equipped with an automated traffic |
law
enforcement system must have a yellow change interval that |
conforms with the Illinois Manual on Uniform Traffic Control |
Devices (IMUTCD) published by the Illinois Department of |
Transportation. |
(k-7) A municipality or county operating an automated |
traffic law enforcement system shall conduct a statistical |
analysis to assess the safety impact of each automated traffic |
|
law enforcement system at an intersection following |
installation of the system. The statistical analysis shall be |
based upon the best available crash, traffic, and other data, |
and shall cover a period of time before and after installation |
of the system sufficient to provide a statistically valid |
comparison of safety impact. The statistical analysis shall be |
consistent with professional judgment and acceptable industry |
practice. The statistical analysis also shall be consistent |
with the data required for valid comparisons of before and |
after conditions and shall be conducted within a reasonable |
period following the installation of the automated traffic law |
enforcement system. The statistical analysis required by this |
subsection (k-7) shall be made available to the public and |
shall be published on the website of the municipality or |
county. If the statistical analysis for the 36-month 36 month |
period following installation of the system indicates that |
there has been an increase in the rate of accidents at the |
approach to the intersection monitored by the system, the |
municipality or county shall undertake additional studies to |
determine the cause and severity of the accidents, and may |
take any action that it determines is necessary or appropriate |
to reduce the number or severity of the accidents at that |
intersection. |
(l) The compensation paid for an automated traffic law |
enforcement system
must be based on the value of the equipment |
or the services provided and may
not be based on the number of |
|
traffic citations issued or the revenue generated
by the |
system.
|
(m) This Section applies only to the counties of Cook, |
DuPage, Kane, Lake, Madison, McHenry, St. Clair, and Will and |
to municipalities located within those counties.
|
(n) The fee for participating in a traffic education |
program under this Section shall not exceed $25. |
A low-income individual required to complete a traffic |
education program under this Section who provides proof of |
eligibility for the federal earned income tax credit under |
Section 32 of the Internal Revenue Code or the Illinois earned |
income tax credit under Section 212 of the Illinois Income Tax |
Act shall not be required to pay any fee for participating in a |
required traffic education program. |
(o) (Blank). |
(p) No person who is the lessor of a motor vehicle pursuant |
to a written lease agreement shall be liable for an automated |
speed or traffic law enforcement system violation involving |
such motor vehicle during the period of the lease; provided |
that upon the request of the appropriate authority received |
within 120 days after the violation occurred, the lessor |
provides within 60 days after such receipt the name and |
address of the lessee. |
Upon the provision of information by the lessor pursuant |
to this subsection, the county or municipality may issue the |
violation to the lessee of the vehicle in the same manner as it |
|
would issue a violation to a registered owner of a vehicle |
pursuant to this Section, and the lessee may be held liable for |
the violation. |
(Source: P.A. 101-395, eff. 8-16-19; 101-652, eff. 7-1-21; |
102-905, eff. 1-1-23; revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 11-208.6. Automated traffic law enforcement system.
|
(a) As used in this Section, "automated traffic law |
enforcement
system" means a device with one or more motor |
vehicle sensors working
in conjunction with a red light signal |
to produce recorded images of
motor vehicles entering an |
intersection against a red signal
indication in violation of |
Section 11-306 of this Code or a similar provision
of a local |
ordinance.
|
An
automated traffic law enforcement system is a system, |
in a municipality or
county operated by a
governmental agency, |
that
produces a recorded image of a motor vehicle's
violation |
of a provision of this Code or a local ordinance
and is |
designed to obtain a clear recorded image of the
vehicle and |
the vehicle's license plate. The recorded image must also
|
display the time, date, and location of the violation.
|
(b) As used in this Section, "recorded images" means |
images
recorded by an automated traffic law enforcement system |
on:
|
(1) 2 or more photographs;
|
|
(2) 2 or more microphotographs;
|
(3) 2 or more electronic images; or
|
(4) a video recording showing the motor vehicle and, |
on at
least one image or portion of the recording, clearly |
identifying the
registration plate or digital registration |
plate number of the motor vehicle.
|
(b-5) A municipality or
county that
produces a recorded |
image of a motor vehicle's
violation of a provision of this |
Code or a local ordinance must make the recorded images of a |
violation accessible to the alleged violator by providing the |
alleged violator with a website address, accessible through |
the Internet. |
(c) Except as provided under Section 11-208.8 of this |
Code, a county or municipality, including a home rule county |
or municipality, may not use an automated traffic law |
enforcement system to provide recorded images of a motor |
vehicle for the purpose of recording its speed. Except as |
provided under Section 11-208.8 of this Code, the regulation |
of the use of automated traffic law enforcement systems to |
record vehicle speeds is an exclusive power and function of |
the State. This subsection (c) is a denial and limitation of |
home rule powers and functions under subsection (h) of Section |
6 of Article VII of the Illinois Constitution.
|
(c-5) A county or municipality, including a home rule |
county or municipality, may not use an automated traffic law |
enforcement system to issue violations in instances where the |
|
motor vehicle comes to a complete stop and does not enter the |
intersection, as defined by Section 1-132 of this Code, during |
the cycle of the red signal indication unless one or more |
pedestrians or bicyclists are present, even if the motor |
vehicle stops at a point past a stop line or crosswalk where a |
driver is required to stop, as specified in subsection (c) of |
Section 11-306 of this Code or a similar provision of a local |
ordinance. |
(c-6) A county, or a municipality with less than 2,000,000 |
inhabitants, including a home rule county or municipality, may |
not use an automated traffic law enforcement system to issue |
violations in instances where a motorcyclist enters an |
intersection against a red signal
indication when the red |
signal fails to change to a green signal within a reasonable |
period of time not less than 120 seconds because of a signal |
malfunction or because the signal has failed to detect the |
arrival of the motorcycle due to the motorcycle's size or |
weight. |
(d) For each violation of a provision of this Code or a |
local ordinance
recorded by an automatic
traffic law |
enforcement system, the county or municipality having
|
jurisdiction shall issue a written notice of the
violation to |
the registered owner of the vehicle as the alleged
violator. |
The notice shall be delivered to the registered
owner of the |
vehicle, by mail, within 30 days after the Secretary of State |
notifies the municipality or county of the identity of the |
|
owner of the vehicle, but in no event later than 90 days after |
the violation.
|
The notice shall include:
|
(1) the name and address of the registered owner of |
the
vehicle;
|
(2) the registration number of the motor vehicle
|
involved in the violation;
|
(3) the violation charged;
|
(4) the location where the violation occurred;
|
(5) the date and time of the violation;
|
(6) a copy of the recorded images;
|
(7) the amount of the civil penalty imposed and the |
requirements of any traffic education program imposed and |
the date
by which the civil penalty should be paid and the |
traffic education program should be completed;
|
(8) a statement that recorded images are evidence of a
|
violation of a red light signal;
|
(9) a warning that failure to pay the civil penalty, |
to complete a required traffic education program, or to
|
contest liability in a timely manner is an admission of
|
liability;
|
(10) a statement that the person may elect to proceed |
by:
|
(A) paying the fine, completing a required traffic |
education program, or both; or
|
(B) challenging the charge in court, by mail, or |
|
by administrative hearing; and
|
(11) a website address, accessible through the |
Internet, where the person may view the recorded images of |
the violation. |
(e) (Blank).
|
(f) Based on inspection of recorded images produced by an
|
automated traffic law enforcement system, a notice alleging |
that the violation occurred shall be evidence of the facts |
contained
in the notice and admissible in any proceeding |
alleging a
violation under this Section.
|
(g) Recorded images made by an automatic traffic law
|
enforcement system are confidential and shall be made
|
available only to the alleged violator and governmental and
|
law enforcement agencies for purposes of adjudicating a
|
violation of this Section, for statistical purposes, or for |
other governmental purposes. Any recorded image evidencing a
|
violation of this Section, however, may be admissible in
any |
proceeding resulting from the issuance of the citation.
|
(h) The court or hearing officer may consider in defense |
of a violation:
|
(1) that the motor vehicle or registration plates or |
digital registration plates of the motor
vehicle were |
stolen before the violation occurred and not
under the |
control of or in the possession of the owner or lessee at
|
the time of the violation;
|
(1.5) that the motor vehicle was hijacked before the |
|
violation occurred and not under the control of or in the |
possession of the owner or lessee at the time of the |
violation; |
(2) that the driver of the vehicle passed through the
|
intersection when the light was red either (i) in order to
|
yield the right-of-way to an emergency vehicle or (ii) as
|
part of a funeral procession; and
|
(3) any other evidence or issues provided by municipal |
or county ordinance.
|
(i) To demonstrate that the motor vehicle was hijacked or |
the motor vehicle or registration
plates or digital |
registration plates were stolen before the violation occurred |
and were not under the
control or possession of the owner or |
lessee at the time of the violation, the
owner or lessee must |
submit proof that a report concerning the
motor vehicle or |
registration plates was filed with a law enforcement agency in |
a timely manner.
|
(j) Unless the driver of the motor vehicle received a |
Uniform
Traffic Citation from a police officer at the time of |
the violation,
the motor vehicle owner is subject to a civil |
penalty not exceeding
$100 or the completion of a traffic |
education program, or both, plus an additional penalty of not |
more than $100 for failure to pay the original penalty or to |
complete a required traffic education program, or both, in a |
timely manner, if the motor vehicle is recorded by an |
automated traffic law
enforcement system. A violation for |
|
which a civil penalty is imposed
under this Section is not a |
violation of a traffic regulation governing
the movement of |
vehicles and may not be recorded on the driving record
of the |
owner of the vehicle.
|
(j-3) A registered owner who is a holder of a valid |
commercial driver's license is not required to complete a |
traffic education program. |
(j-5) For purposes of the required traffic education |
program only, a registered owner may submit an affidavit to |
the court or hearing officer swearing that at the time of the |
alleged violation, the vehicle was in the custody and control |
of another person. The affidavit must identify the person in |
custody and control of the vehicle, including the person's |
name and current address. The person in custody and control of |
the vehicle at the time of the violation is required to |
complete the required traffic education program. If the person |
in custody and control of the vehicle at the time of the |
violation completes the required traffic education program, |
the registered owner of the vehicle is not required to |
complete a traffic education program. |
(k) An intersection equipped with an automated traffic law
|
enforcement system must be posted with a sign visible to |
approaching traffic
indicating that the intersection is being |
monitored by an automated
traffic law enforcement system. |
(k-3) A municipality or
county that has one or more |
intersections equipped with an automated traffic law
|
|
enforcement system must provide notice to drivers by posting |
the locations of automated traffic law systems on the |
municipality or county website.
|
(k-5) An intersection equipped with an automated traffic |
law
enforcement system must have a yellow change interval that |
conforms with the Illinois Manual on Uniform Traffic Control |
Devices (IMUTCD) published by the Illinois Department of |
Transportation. |
(k-7) A municipality or county operating an automated |
traffic law enforcement system shall conduct a statistical |
analysis to assess the safety impact of each automated traffic |
law enforcement system at an intersection following |
installation of the system. The statistical analysis shall be |
based upon the best available crash, traffic, and other data, |
and shall cover a period of time before and after installation |
of the system sufficient to provide a statistically valid |
comparison of safety impact. The statistical analysis shall be |
consistent with professional judgment and acceptable industry |
practice. The statistical analysis also shall be consistent |
with the data required for valid comparisons of before and |
after conditions and shall be conducted within a reasonable |
period following the installation of the automated traffic law |
enforcement system. The statistical analysis required by this |
subsection (k-7) shall be made available to the public and |
shall be published on the website of the municipality or |
county. If the statistical analysis for the 36-month 36 month |
|
period following installation of the system indicates that |
there has been an increase in the rate of crashes at the |
approach to the intersection monitored by the system, the |
municipality or county shall undertake additional studies to |
determine the cause and severity of the crashes, and may take |
any action that it determines is necessary or appropriate to |
reduce the number or severity of the crashes at that |
intersection. |
(l) The compensation paid for an automated traffic law |
enforcement system
must be based on the value of the equipment |
or the services provided and may
not be based on the number of |
traffic citations issued or the revenue generated
by the |
system.
|
(m) This Section applies only to the counties of Cook, |
DuPage, Kane, Lake, Madison, McHenry, St. Clair, and Will and |
to municipalities located within those counties.
|
(n) The fee for participating in a traffic education |
program under this Section shall not exceed $25. |
A low-income individual required to complete a traffic |
education program under this Section who provides proof of |
eligibility for the federal earned income tax credit under |
Section 32 of the Internal Revenue Code or the Illinois earned |
income tax credit under Section 212 of the Illinois Income Tax |
Act shall not be required to pay any fee for participating in a |
required traffic education program. |
(o) (Blank). |
|
(p) No person who is the lessor of a motor vehicle pursuant |
to a written lease agreement shall be liable for an automated |
speed or traffic law enforcement system violation involving |
such motor vehicle during the period of the lease; provided |
that upon the request of the appropriate authority received |
within 120 days after the violation occurred, the lessor |
provides within 60 days after such receipt the name and |
address of the lessee. |
Upon the provision of information by the lessor pursuant |
to this subsection, the county or municipality may issue the |
violation to the lessee of the vehicle in the same manner as it |
would issue a violation to a registered owner of a vehicle |
pursuant to this Section, and the lessee may be held liable for |
the violation. |
(Source: P.A. 101-395, eff. 8-16-19; 101-652, eff. 7-1-21; |
102-905, eff. 1-1-23; 102-982, eff. 7-1-23; revised 12-14-22.)
|
(625 ILCS 5/11-208.9)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 11-208.9. Automated traffic law enforcement system; |
approaching, overtaking, and passing a school bus. |
(a) As used in this Section, "automated traffic law |
enforcement
system" means a device with one or more motor |
vehicle sensors working
in conjunction with the visual signals |
on a school bus, as specified in Sections 12-803 and 12-805 of |
this Code, to produce recorded images of
motor vehicles that |
|
fail to stop before meeting or overtaking, from either |
direction, any school bus stopped at any location for the |
purpose of receiving or discharging pupils in violation of |
Section 11-1414 of this Code or a similar provision
of a local |
ordinance. |
An
automated traffic law enforcement system is a system, |
in a municipality or
county operated by a
governmental agency, |
that
produces a recorded image of a motor vehicle's
violation |
of a provision of this Code or a local ordinance
and is |
designed to obtain a clear recorded image of the
vehicle and |
the vehicle's license plate. The recorded image must also
|
display the time, date, and location of the violation. |
(b) As used in this Section, "recorded images" means |
images
recorded by an automated traffic law enforcement system |
on: |
(1) 2 or more photographs; |
(2) 2 or more microphotographs; |
(3) 2 or more electronic images; or |
(4) a video recording showing the motor vehicle and, |
on at
least one image or portion of the recording, clearly |
identifying the
registration plate or digital registration |
plate number of the motor vehicle. |
(c) A municipality or
county that
produces a recorded |
image of a motor vehicle's
violation of a provision of this |
Code or a local ordinance must make the recorded images of a |
violation accessible to the alleged violator by providing the |
|
alleged violator with a website address, accessible through |
the Internet. |
(d) For each violation of a provision of this Code or a |
local ordinance
recorded by an automated
traffic law |
enforcement system, the county or municipality having
|
jurisdiction shall issue a written notice of the
violation to |
the registered owner of the vehicle as the alleged
violator. |
The notice shall be delivered to the registered
owner of the |
vehicle, by mail, within 30 days after the Secretary of State |
notifies the municipality or county of the identity of the |
owner of the vehicle, but in no event later than 90 days after |
the violation. |
(e) The notice required under subsection (d) shall |
include: |
(1) the name and address of the registered owner of |
the
vehicle; |
(2) the registration number of the motor vehicle
|
involved in the violation; |
(3) the violation charged; |
(4) the location where the violation occurred; |
(5) the date and time of the violation; |
(6) a copy of the recorded images; |
(7) the amount of the civil penalty imposed and the |
date
by which the civil penalty should be paid; |
(8) a statement that recorded images are evidence of a
|
violation of overtaking or passing a school bus stopped |
|
for the purpose of receiving or discharging pupils; |
(9) a warning that failure to pay the civil penalty or |
to
contest liability in a timely manner is an admission of
|
liability; |
(10) a statement that the person may elect to proceed |
by: |
(A) paying the fine; or |
(B) challenging the charge in court, by mail, or |
by administrative hearing; and |
(11) a website address, accessible through the |
Internet, where the person may view the recorded images of |
the violation. |
(f) (Blank). |
(g) Based on inspection of recorded images produced by an
|
automated traffic law enforcement system, a notice alleging |
that the violation occurred shall be evidence of the facts |
contained
in the notice and admissible in any proceeding |
alleging a
violation under this Section. |
(h) Recorded images made by an automated traffic law
|
enforcement system are confidential and shall be made
|
available only to the alleged violator and governmental and
|
law enforcement agencies for purposes of adjudicating a
|
violation of this Section, for statistical purposes, or for |
other governmental purposes. Any recorded image evidencing a
|
violation of this Section, however, may be admissible in
any |
proceeding resulting from the issuance of the citation. |
|
(i) The court or hearing officer may consider in defense |
of a violation: |
(1) that the motor vehicle or registration plates or |
digital registration plates of the motor
vehicle were |
stolen before the violation occurred and not
under the |
control of or in the possession of the owner or lessee at
|
the time of the violation; |
(1.5) that the motor vehicle was hijacked before the |
violation occurred and not under the control of or in the |
possession of the owner or lessee at the time of the |
violation; |
(2) that the driver of the motor vehicle received a |
Uniform Traffic Citation from a police officer for a |
violation of Section 11-1414 of this Code within |
one-eighth of a mile and 15 minutes of the violation that |
was recorded by the system; |
(3) that the visual signals required by Sections |
12-803 and 12-805 of this Code were damaged, not |
activated, not present in violation of Sections 12-803 and |
12-805, or inoperable; and |
(4) any other evidence or issues provided by municipal |
or county ordinance. |
(j) To demonstrate that the motor vehicle was hijacked or |
the motor vehicle or registration
plates or digital |
registration plates were stolen before the violation occurred |
and were not under the
control or possession of the owner or |
|
lessee at the time of the violation, the
owner or lessee must |
submit proof that a report concerning the
motor vehicle or |
registration plates was filed with a law enforcement agency in |
a timely manner. |
(k) Unless the driver of the motor vehicle received a |
Uniform
Traffic Citation from a police officer at the time of |
the violation,
the motor vehicle owner is subject to a civil |
penalty not exceeding
$150 for a first time violation or $500 |
for a second or subsequent violation, plus an additional |
penalty of not more than $100 for failure to pay the original |
penalty in a timely manner, if the motor vehicle is recorded by |
an automated traffic law
enforcement system. A violation for |
which a civil penalty is imposed
under this Section is not a |
violation of a traffic regulation governing
the movement of |
vehicles and may not be recorded on the driving record
of the |
owner of the vehicle, but may be recorded by the municipality |
or county for the purpose of determining if a person is subject |
to the higher fine for a second or subsequent offense. |
(l) A school bus equipped with an automated traffic law
|
enforcement system must be posted with a sign indicating that |
the school bus is being monitored by an automated
traffic law |
enforcement system. |
(m) A municipality or
county that has one or more school |
buses equipped with an automated traffic law
enforcement |
system must provide notice to drivers by posting a list of |
school districts using school buses equipped with an automated |
|
traffic law enforcement system on the municipality or county |
website. School districts that have one or more school buses |
equipped with an automated traffic law enforcement system must |
provide notice to drivers by posting that information on their |
websites. |
(n) A municipality or county operating an automated |
traffic law enforcement system shall conduct a statistical |
analysis to assess the safety impact in each school district |
using school buses equipped with an automated traffic law |
enforcement system following installation of the system. The |
statistical analysis shall be based upon the best available |
crash, traffic, and other data, and shall cover a period of |
time before and after installation of the system sufficient to |
provide a statistically valid comparison of safety impact. The |
statistical analysis shall be consistent with professional |
judgment and acceptable industry practice. The statistical |
analysis also shall be consistent with the data required for |
valid comparisons of before and after conditions and shall be |
conducted within a reasonable period following the |
installation of the automated traffic law enforcement system. |
The statistical analysis required by this subsection shall be |
made available to the public and shall be published on the |
website of the municipality or county. If the statistical |
analysis for the 36-month period following installation of the |
system indicates that there has been an increase in the rate of |
accidents at the approach to school buses monitored by the |
|
system, the municipality or county shall undertake additional |
studies to determine the cause and severity of the accidents, |
and may take any action that it determines is necessary or |
appropriate to reduce the number or severity of the accidents |
involving school buses equipped with an automated traffic law |
enforcement system. |
(o) The compensation paid for an automated traffic law |
enforcement system
must be based on the value of the equipment |
or the services provided and may
not be based on the number of |
traffic citations issued or the revenue generated
by the |
system. |
(p) No person who is the lessor of a motor vehicle pursuant |
to a written lease agreement shall be liable for an automated |
speed or traffic law enforcement system violation involving |
such motor vehicle during the period of the lease; provided |
that upon the request of the appropriate authority received |
within 120 days after the violation occurred, the lessor |
provides within 60 days after such receipt the name and |
address of the lessee. |
Upon the provision of information by the lessor pursuant |
to this subsection, the county or municipality may issue the |
violation to the lessee of the vehicle in the same manner as it |
would issue a violation to a registered owner of a vehicle |
pursuant to this Section, and the lessee may be held liable for |
the violation. |
(q) (Blank). |
|
(r) After a municipality or county enacts an ordinance |
providing for automated traffic law enforcement systems under |
this Section, each school district within that municipality or |
county's jurisdiction may implement an automated traffic law |
enforcement system under this Section. The elected school |
board for that district must approve the implementation of an |
automated traffic law enforcement system. The school district |
shall be responsible for entering into a contract, approved by |
the elected school board of that district, with vendors for |
the installation, maintenance, and operation of the automated |
traffic law enforcement system. The school district must enter |
into an intergovernmental agreement, approved by the elected |
school board of that district, with the municipality or county |
with jurisdiction over that school district for the |
administration of the automated traffic law enforcement |
system. The proceeds from a school district's automated |
traffic law enforcement system's fines shall be divided |
equally between the school district and the municipality or |
county administering the automated traffic law enforcement |
system.
|
(Source: P.A. 101-395, eff. 8-16-19; 101-652, eff. 7-1-21; |
102-905, eff. 1-1-23.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 11-208.9. Automated traffic law enforcement system; |
approaching, overtaking, and passing a school bus. |
|
(a) As used in this Section, "automated traffic law |
enforcement
system" means a device with one or more motor |
vehicle sensors working
in conjunction with the visual signals |
on a school bus, as specified in Sections 12-803 and 12-805 of |
this Code, to produce recorded images of
motor vehicles that |
fail to stop before meeting or overtaking, from either |
direction, any school bus stopped at any location for the |
purpose of receiving or discharging pupils in violation of |
Section 11-1414 of this Code or a similar provision
of a local |
ordinance. |
An
automated traffic law enforcement system is a system, |
in a municipality or
county operated by a
governmental agency, |
that
produces a recorded image of a motor vehicle's
violation |
of a provision of this Code or a local ordinance
and is |
designed to obtain a clear recorded image of the
vehicle and |
the vehicle's license plate. The recorded image must also
|
display the time, date, and location of the violation. |
(b) As used in this Section, "recorded images" means |
images
recorded by an automated traffic law enforcement system |
on: |
(1) 2 or more photographs; |
(2) 2 or more microphotographs; |
(3) 2 or more electronic images; or |
(4) a video recording showing the motor vehicle and, |
on at
least one image or portion of the recording, clearly |
identifying the
registration plate or digital registration |
|
plate number of the motor vehicle. |
(c) A municipality or
county that
produces a recorded |
image of a motor vehicle's
violation of a provision of this |
Code or a local ordinance must make the recorded images of a |
violation accessible to the alleged violator by providing the |
alleged violator with a website address, accessible through |
the Internet. |
(d) For each violation of a provision of this Code or a |
local ordinance
recorded by an automated
traffic law |
enforcement system, the county or municipality having
|
jurisdiction shall issue a written notice of the
violation to |
the registered owner of the vehicle as the alleged
violator. |
The notice shall be delivered to the registered
owner of the |
vehicle, by mail, within 30 days after the Secretary of State |
notifies the municipality or county of the identity of the |
owner of the vehicle, but in no event later than 90 days after |
the violation. |
(e) The notice required under subsection (d) shall |
include: |
(1) the name and address of the registered owner of |
the
vehicle; |
(2) the registration number of the motor vehicle
|
involved in the violation; |
(3) the violation charged; |
(4) the location where the violation occurred; |
(5) the date and time of the violation; |
|
(6) a copy of the recorded images; |
(7) the amount of the civil penalty imposed and the |
date
by which the civil penalty should be paid; |
(8) a statement that recorded images are evidence of a
|
violation of overtaking or passing a school bus stopped |
for the purpose of receiving or discharging pupils; |
(9) a warning that failure to pay the civil penalty or |
to
contest liability in a timely manner is an admission of
|
liability; |
(10) a statement that the person may elect to proceed |
by: |
(A) paying the fine; or |
(B) challenging the charge in court, by mail, or |
by administrative hearing; and |
(11) a website address, accessible through the |
Internet, where the person may view the recorded images of |
the violation. |
(f) (Blank). |
(g) Based on inspection of recorded images produced by an
|
automated traffic law enforcement system, a notice alleging |
that the violation occurred shall be evidence of the facts |
contained
in the notice and admissible in any proceeding |
alleging a
violation under this Section. |
(h) Recorded images made by an automated traffic law
|
enforcement system are confidential and shall be made
|
available only to the alleged violator and governmental and
|
|
law enforcement agencies for purposes of adjudicating a
|
violation of this Section, for statistical purposes, or for |
other governmental purposes. Any recorded image evidencing a
|
violation of this Section, however, may be admissible in
any |
proceeding resulting from the issuance of the citation. |
(i) The court or hearing officer may consider in defense |
of a violation: |
(1) that the motor vehicle or registration plates or |
digital registration plates of the motor
vehicle were |
stolen before the violation occurred and not
under the |
control of or in the possession of the owner or lessee at
|
the time of the violation; |
(1.5) that the motor vehicle was hijacked before the |
violation occurred and not under the control of or in the |
possession of the owner or lessee at the time of the |
violation; |
(2) that the driver of the motor vehicle received a |
Uniform Traffic Citation from a police officer for a |
violation of Section 11-1414 of this Code within |
one-eighth of a mile and 15 minutes of the violation that |
was recorded by the system; |
(3) that the visual signals required by Sections |
12-803 and 12-805 of this Code were damaged, not |
activated, not present in violation of Sections 12-803 and |
12-805, or inoperable; and |
(4) any other evidence or issues provided by municipal |
|
or county ordinance. |
(j) To demonstrate that the motor vehicle was hijacked or |
the motor vehicle or registration
plates or digital |
registration plates were stolen before the violation occurred |
and were not under the
control or possession of the owner or |
lessee at the time of the violation, the
owner or lessee must |
submit proof that a report concerning the
motor vehicle or |
registration plates was filed with a law enforcement agency in |
a timely manner. |
(k) Unless the driver of the motor vehicle received a |
Uniform
Traffic Citation from a police officer at the time of |
the violation,
the motor vehicle owner is subject to a civil |
penalty not exceeding
$150 for a first time violation or $500 |
for a second or subsequent violation, plus an additional |
penalty of not more than $100 for failure to pay the original |
penalty in a timely manner, if the motor vehicle is recorded by |
an automated traffic law
enforcement system. A violation for |
which a civil penalty is imposed
under this Section is not a |
violation of a traffic regulation governing
the movement of |
vehicles and may not be recorded on the driving record
of the |
owner of the vehicle, but may be recorded by the municipality |
or county for the purpose of determining if a person is subject |
to the higher fine for a second or subsequent offense. |
(l) A school bus equipped with an automated traffic law
|
enforcement system must be posted with a sign indicating that |
the school bus is being monitored by an automated
traffic law |
|
enforcement system. |
(m) A municipality or
county that has one or more school |
buses equipped with an automated traffic law
enforcement |
system must provide notice to drivers by posting a list of |
school districts using school buses equipped with an automated |
traffic law enforcement system on the municipality or county |
website. School districts that have one or more school buses |
equipped with an automated traffic law enforcement system must |
provide notice to drivers by posting that information on their |
websites. |
(n) A municipality or county operating an automated |
traffic law enforcement system shall conduct a statistical |
analysis to assess the safety impact in each school district |
using school buses equipped with an automated traffic law |
enforcement system following installation of the system. The |
statistical analysis shall be based upon the best available |
crash, traffic, and other data, and shall cover a period of |
time before and after installation of the system sufficient to |
provide a statistically valid comparison of safety impact. The |
statistical analysis shall be consistent with professional |
judgment and acceptable industry practice. The statistical |
analysis also shall be consistent with the data required for |
valid comparisons of before and after conditions and shall be |
conducted within a reasonable period following the |
installation of the automated traffic law enforcement system. |
The statistical analysis required by this subsection shall be |
|
made available to the public and shall be published on the |
website of the municipality or county. If the statistical |
analysis for the 36-month period following installation of the |
system indicates that there has been an increase in the rate of |
crashes at the approach to school buses monitored by the |
system, the municipality or county shall undertake additional |
studies to determine the cause and severity of the crashes, |
and may take any action that it determines is necessary or |
appropriate to reduce the number or severity of the crashes |
involving school buses equipped with an automated traffic law |
enforcement system. |
(o) The compensation paid for an automated traffic law |
enforcement system
must be based on the value of the equipment |
or the services provided and may
not be based on the number of |
traffic citations issued or the revenue generated
by the |
system. |
(p) No person who is the lessor of a motor vehicle pursuant |
to a written lease agreement shall be liable for an automated |
speed or traffic law enforcement system violation involving |
such motor vehicle during the period of the lease; provided |
that upon the request of the appropriate authority received |
within 120 days after the violation occurred, the lessor |
provides within 60 days after such receipt the name and |
address of the lessee. |
Upon the provision of information by the lessor pursuant |
to this subsection, the county or municipality may issue the |
|
violation to the lessee of the vehicle in the same manner as it |
would issue a violation to a registered owner of a vehicle |
pursuant to this Section, and the lessee may be held liable for |
the violation. |
(q) (Blank). |
(r) After a municipality or county enacts an ordinance |
providing for automated traffic law enforcement systems under |
this Section, each school district within that municipality or |
county's jurisdiction may implement an automated traffic law |
enforcement system under this Section. The elected school |
board for that district must approve the implementation of an |
automated traffic law enforcement system. The school district |
shall be responsible for entering into a contract, approved by |
the elected school board of that district, with vendors for |
the installation, maintenance, and operation of the automated |
traffic law enforcement system. The school district must enter |
into an intergovernmental agreement, approved by the elected |
school board of that district, with the municipality or county |
with jurisdiction over that school district for the |
administration of the automated traffic law enforcement |
system. The proceeds from a school district's automated |
traffic law enforcement system's fines shall be divided |
equally between the school district and the municipality or |
county administering the automated traffic law enforcement |
system.
|
(Source: P.A. 101-395, eff. 8-16-19; 101-652, eff. 7-1-21; |
|
102-905, eff. 1-1-23; 102-982, eff. 7-1-23; revised 12-14-22.)
|
(625 ILCS 5/11-506) |
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 11-506. Street racing; aggravated street racing; |
street sideshows. |
(a) No person shall engage in street racing on any street |
or highway of this State. |
(a-5) No person shall engage in a street sideshow on any |
street or highway of this State. |
(b) No owner of any vehicle shall acquiesce in or permit |
his or her vehicle to be used by another for the purpose of |
street racing or a street sideshow. |
(b-5) A person may not knowingly interfere with or cause |
the movement of traffic to slow or stop for the purpose of |
facilitating street racing or a street sideshow. |
(c) For the purposes of this Section: |
"Acquiesce" or "permit" means actual knowledge that the |
motor vehicle was to be used for the purpose of street racing. |
"Motor vehicle stunt" includes, but is not limited to, |
operating a vehicle in a manner that causes the vehicle to |
slide or spin, driving within the proximity of a gathering of |
persons, performing maneuvers to demonstrate the performance |
capability of the motor vehicle, or maneuvering the vehicle in |
an attempt to elicit a reaction from a gathering of persons. |
"Street racing" means: |
|
(1) The operation of 2 or more vehicles from a point |
side by side at accelerating speeds in a competitive |
attempt to outdistance each other; or |
(2) The operation of one or more vehicles over a |
common selected course, each starting at the same point, |
for the purpose of comparing the relative speeds or power |
of acceleration of such vehicle or vehicles within a |
certain distance or time limit; or |
(3) The use of one or more vehicles in an attempt to |
outgain or outdistance another vehicle; or |
(4) The use of one or more vehicles to prevent another |
vehicle from passing; or |
(5) The use of one or more vehicles to arrive at a |
given destination ahead of another vehicle or vehicles; or |
(6) The use of one or more vehicles to test the |
physical stamina or endurance of drivers over |
long-distance driving routes. |
"Street sideshow" means an event in which one or more |
vehicles block or impede traffic on a street or highway, for |
the purpose of performing unauthorized motor vehicle stunts, |
motor vehicle speed contests, or motor vehicle exhibitions of |
speed. |
(d) Penalties. |
(1) Any person who is convicted of a violation of |
subsection (a), (a-5), or (b-5) shall be guilty of a Class |
A misdemeanor for the first offense and shall be subject |
|
to a minimum fine of $250. Any person convicted of a |
violation of subsection (a), (a-5), or (b-5) a second or |
subsequent time shall be guilty of a Class 4 felony and |
shall be subject to a minimum fine of $500. The driver's |
license of any person convicted of subsection (a) shall be |
revoked in the manner provided by Section 6-205 of this |
Code. |
(2) Any person who is convicted of a violation of |
subsection (b) shall be guilty of a Class B misdemeanor. |
Any person who is convicted of subsection (b) for a second |
or subsequent time shall be guilty of a Class A |
misdemeanor. |
(3) Every person convicted of committing a violation |
of subsection (a) of this Section shall be guilty of |
aggravated street racing if 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, where |
the violation was a proximate cause of the injury. |
Aggravated street racing is a Class 4 felony for which the |
defendant, if sentenced to a term of imprisonment , shall |
be sentenced to not less than one year nor more than 12 |
years.
|
(Source: P.A. 102-733, eff. 1-1-23; revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 ) |
|
Sec. 11-506. Street racing; aggravated street racing; |
street sideshows. |
(a) No person shall engage in street racing on any street |
or highway of this State. |
(a-5) No person shall engage in a street sideshow on any |
street or highway of this State. |
(b) No owner of any vehicle shall acquiesce in or permit |
his or her vehicle to be used by another for the purpose of |
street racing or a street sideshow. |
(b-5) A person may not knowingly interfere with or cause |
the movement of traffic to slow or stop for the purpose of |
facilitating street racing or a street sideshow. |
(c) For the purposes of this Section: |
"Acquiesce" or "permit" means actual knowledge that the |
motor vehicle was to be used for the purpose of street racing. |
"Motor vehicle stunt" includes, but is not limited to, |
operating a vehicle in a manner that causes the vehicle to |
slide or spin, driving within the proximity of a gathering of |
persons, performing maneuvers to demonstrate the performance |
capability of the motor vehicle, or maneuvering the vehicle in |
an attempt to elicit a reaction from a gathering of persons. |
"Street racing" means: |
(1) The operation of 2 or more vehicles from a point |
side by side at accelerating speeds in a competitive |
attempt to outdistance each other; or |
(2) The operation of one or more vehicles over a |
|
common selected course, each starting at the same point, |
for the purpose of comparing the relative speeds or power |
of acceleration of such vehicle or vehicles within a |
certain distance or time limit; or |
(3) The use of one or more vehicles in an attempt to |
outgain or outdistance another vehicle; or |
(4) The use of one or more vehicles to prevent another |
vehicle from passing; or |
(5) The use of one or more vehicles to arrive at a |
given destination ahead of another vehicle or vehicles; or |
(6) The use of one or more vehicles to test the |
physical stamina or endurance of drivers over |
long-distance driving routes. |
"Street sideshow" means an event in which one or more |
vehicles block or impede traffic on a street or highway, for |
the purpose of performing unauthorized motor vehicle stunts, |
motor vehicle speed contests, or motor vehicle exhibitions of |
speed. |
(d) Penalties. |
(1) Any person who is convicted of a violation of |
subsection (a), (a-5), or (b-5) shall be guilty of a Class |
A misdemeanor for the first offense and shall be subject |
to a minimum fine of $250. Any person convicted of a |
violation of subsection (a), (a-5), or (b-5) a second or |
subsequent time shall be guilty of a Class 4 felony and |
shall be subject to a minimum fine of $500. The driver's |
|
license of any person convicted of subsection (a) shall be |
revoked in the manner provided by Section 6-205 of this |
Code. |
(2) Any person who is convicted of a violation of |
subsection (b) shall be guilty of a Class B misdemeanor. |
Any person who is convicted of subsection (b) for a second |
or subsequent time shall be guilty of a Class A |
misdemeanor. |
(3) Every person convicted of committing a violation |
of subsection (a) of this Section shall be guilty of |
aggravated street racing if the person, in committing a |
violation of subsection (a) was involved in a motor |
vehicle crash crashes that resulted in great bodily harm |
or permanent disability or disfigurement to another, where |
the violation was a proximate cause of the injury. |
Aggravated street racing is a Class 4 felony for which the |
defendant, if sentenced to a term of imprisonment , shall |
be sentenced to not less than one year nor more than 12 |
years.
|
(Source: P.A. 102-733, eff. 1-1-23; 102-982, eff. 7-1-23; |
revised 12-14-22.)
|
(625 ILCS 5/11-605) (from Ch. 95 1/2, par. 11-605)
|
Sec. 11-605. Special speed limit while passing schools.
|
(a) For the purpose of this Section, "school" means the |
following
entities:
|
|
(1) A public or private primary or secondary school.
|
(2) A primary or secondary school operated by a |
religious institution.
|
(3) A public, private, or religious nursery school.
|
On a school day when school children are present and so |
close
thereto
that a potential hazard exists because of the |
close proximity of the motorized
traffic, no person shall |
drive a motor vehicle at a speed in excess of 20 miles
per hour |
while passing a school zone or while traveling on a local, |
county, or State roadway on public
school property or upon any |
public
thoroughfare where children pass going
to and from |
school.
|
For the purpose of this Section, a school day begins at |
6:30 a.m. and concludes at 4 p.m.
|
This Section shall not be applicable unless appropriate |
signs are posted
upon streets and highways under their |
respective jurisdiction and
maintained by the Department, |
township, county, park district, city,
village or incorporated |
town wherein the school zone is located. With regard
to the |
special speed limit while passing schools, such signs
shall |
give proper due warning that a school zone is being approached |
and
shall indicate the school zone and the maximum speed limit |
in effect during
school days when school children are present.
|
(b) (Blank).
|
(c) Nothing in this Chapter shall
prohibit the use of |
electronic speed-detecting devices within 500 feet of
signs |
|
within a special school speed zone indicating such zone, as |
defined
in this Section, nor shall evidence obtained thereby |
be inadmissible in any
prosecution for speeding provided the |
use of such device shall apply only
to the enforcement of the |
speed limit in such special school speed zone.
|
(d) (Blank).
|
(e) Except as provided in subsection (e-5), a person who |
violates this Section is guilty of a petty
offense. Violations |
of this Section are punishable with a minimum fine
of $150 for |
the first violation, a minimum fine of $300 for the second or |
subsequent violation, and community service in an amount |
determined by the court.
|
(e-5) A person committing a violation of this Section is |
guilty of aggravated special speed limit while passing schools |
when he or she drives a motor vehicle at a speed that is: |
(1) 26 miles per hour or more but less than 35 miles |
per hour in excess of the applicable special speed limit |
established under this Section or a similar provision of a |
local ordinance and is guilty of a Class B misdemeanor; or |
(2) 35 miles per hour or more in excess of the |
applicable special speed limit established under this |
Section or a similar provision of a local ordinance and is |
guilty of a Class A misdemeanor. |
(f) (Blank).
|
(g) (Blank).
|
(h) (Blank).
|
|
(Source: P.A. 102-58, eff. 7-9-21; 102-859, eff. 1-1-23; |
102-978, eff. 1-1-23; revised 12-14-22.)
|
(625 ILCS 5/12-215)
|
(Text of Section before amendment by P.A. 102-982 ) |
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, 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, deputy fire |
chief, or assistant 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, fire departments, or fire |
protection districts, 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;
|
4.5. Vehicles which are occasionally used as rescue |
vehicles that have been authorized for use as rescue |
vehicles by a volunteer EMS provider, provided that the |
operator of the vehicle has successfully completed an |
emergency vehicle operation training course recognized by |
the Department of Public Health; furthermore, the lights |
shall not be lighted except when responding to an |
emergency call for 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; |
10. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response; |
11. Vehicles of the Illinois Department of |
Transportation identified as Emergency Traffic Patrol; 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; and |
12. Vehicles of the Illinois State Toll Highway
|
Authority with a gross vehicle weight rating of 9,000 |
pounds or more and those identified as Highway Emergency |
Lane Patrol; 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, the Illinois State Toll Highway Authority, 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. 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, |
recycling, or refuse hauling. Such lights shall not be
|
lighted except when such vehicles are actually being used |
for such purposes;
|
|
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 or fire protection district 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 subsection |
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 subsection subsections (a) or (c) |
of this Section shall be guilty of a
Class A misdemeanor.
|
(Source: P.A. 101-56, eff. 1-1-20; 102-842, eff. 1-1-23; |
revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
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, 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, deputy fire |
chief, or assistant 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, fire departments, or fire |
protection districts, 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;
|
4.5. Vehicles which are occasionally used as rescue |
vehicles that have been authorized for use as rescue |
vehicles by a volunteer EMS provider, provided that the |
operator of the vehicle has successfully completed an |
|
emergency vehicle operation training course recognized by |
the Department of Public Health; furthermore, the lights |
shall not be lighted except when responding to an |
emergency call for 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; |
|
10. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response; |
11. Vehicles of the Illinois Department of |
Transportation identified as Emergency Traffic Patrol; 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; and |
12. Vehicles of the Illinois State Toll Highway
|
Authority with a gross vehicle weight rating of 9,000 |
pounds or more and those identified as Highway Emergency |
Lane Patrol; 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 a crash 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, the Illinois State Toll Highway Authority, 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. 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, |
recycling, or refuse hauling. Such lights shall not be
|
lighted except when such vehicles are actually being used |
for such purposes;
|
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 or fire protection district 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 crash.
|
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 crash.
|
(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 subsection |
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 subsection subsections (a) or (c) |
of this Section shall be guilty of a
Class A misdemeanor.
|
(Source: P.A. 101-56, eff. 1-1-20; 102-842, eff. 1-1-23; |
102-982, eff. 7-1-23; revised 8-1-22.)
|
Section 670. The Innovations for Transportation |
Infrastructure Act is amended by changing Sections 15 and 20 |
as follows:
|
(630 ILCS 10/15) |
(Section scheduled to be repealed on July 1, 2032)
|
Sec. 15. Authorization of project delivery methods.
|
(a) Notwithstanding any other law, and as authority |
supplemental to its existing powers, except as otherwise |
provided for in this Act, the Transportation Agency, in |
accordance with this Act, may use the design-build project |
delivery method for transportation facilities if the capital |
costs for transportation facilities delivered utilizing the |
design-build project delivery method or Construction |
Manager/General Contractor project delivery method or |
Alternative Technical Concepts in a design-bid-build project |
delivery method do not: (i) for transportation facilities |
delivered by the Department, exceed $400 million of contracts |
awarded during the Department's multi-year highway improvement |
program for any 5-year period; or (ii) for transportation |
|
facilities delivered by the Authority, exceed 20% of the |
Authority's annual improvement program. The Transportation |
Agency shall make this calculation before commencing the |
procurement. Notwithstanding any other law, and as authority |
supplemental to its existing powers, the Department, in |
accordance with this Act, may use the Construction |
Manager/General Contractor project delivery method for up to 2 |
transportation facilities per year. Before commencing a |
procurement under this Act for either a design-build contract |
or a Construction Manager/General Contractor contract, the |
Transportation Agency shall first undertake an analysis and |
make a written determination that it is in the best interests |
of this State to use the selected delivery method for that |
transportation facility. The analysis and determination shall |
discuss the design-build project delivery method or |
Construction Manager/General Contractor project delivery |
method's impact on the anticipated schedule, completion date, |
and project costs. The best interests of the State analysis |
shall be made available to the public.
|
(b) The Transportation Agency shall report to the General |
Assembly annually for the first 5 years after June 15, 2022 |
( the effective date of this Act ) on the progress of |
procurements and transportation facilities procured under this |
Act. |
(c) A contract entered into pursuant to the provisions of |
this Act is are excepted from the Public Contract Fraud Act.
|
|
(Source: P.A. 102-1094, eff. 6-15-22; revised 8-19-22.)
|
(630 ILCS 10/20) |
(Section scheduled to be repealed on July 1, 2032)
|
Sec. 20. Preconditions to commencement of procurement.
If |
the Transportation Agency determines to use the design-build |
project delivery method or the Construction Manager/General |
Contractor project delivery method for a particular |
transportation facility, the Transportation Agency may not |
commence a procurement for the transportation facility until |
the Transportation Agency has satisfied the following |
requirements: |
(1) the Transportation Agency does one of the following: |
(A) the Transportation Agency includes the |
transportation facility in the Transportation Agency's |
respective multi-year highway
improvement program and |
designates it as a design-build project delivery method |
project or Construction Manager/General Contractor |
project; |
(B) the Transportation Agency issues a notice of |
intent to receive qualifications, that includes a |
description of the proposed procurement and transportation |
facility, at least 28 days before the issuance of the |
request for qualifications, and for a Department-issued |
notice of intent publishes the notice in the Illinois |
Transportation Procurement Bulletin and for an |
|
Authority-issued notice of intent publishes the notice in |
the Illinois Procurement Bulletin; or |
(C) for a single-phase procurement authorized under |
subsection (a) of Section 25 of this Act, the |
Transportation Agency issues a notice of intent to receive |
proposals, that includes a description of the proposed |
procurement and transportation facility, at least 14 days |
before the issuance of the request for proposals, and for |
a Department-issued notice of intent publishes the notice |
in the Illinois Transportation Procurement Bulletin and |
for an Authority-issued notice of intent publishes the |
notice in the Illinois Procurement Bulletin; and |
(2) the Transportation Agency uses its best efforts to |
ensure that the transportation facility is consistent with the |
regional plan in existence at the time of any metropolitan |
planning organization in which the boundaries of the |
transportation facility is located, or any other publicly |
approved publicly-approved plan.
|
(Source: P.A. 102-1094, eff. 6-15-22; revised 8-19-22.)
|
Section 675. The Juvenile Court Act of 1987 is amended by |
changing Sections 2-28 and 5-915 as follows:
|
(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, or earlier if the court determines |
it to be necessary to protect the health, safety, or welfare of |
the minor, 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.
|
(1.5) The public agency that is the custodian or guardian |
of the minor shall file a written report with the court no |
later than 15 days after a minor in the agency's care remains: |
(1) in a shelter placement beyond 30 days; |
(2) in a psychiatric hospital past the time when the |
minor is clinically ready for discharge or beyond medical |
necessity for the minor's health; or |
(3) in a detention center or Department of Juvenile |
Justice facility solely because the public agency cannot |
find an appropriate placement for the minor. |
The report shall explain the steps the agency is taking to |
ensure the minor is placed appropriately, how the minor's |
needs are being met in the minor's shelter placement, and if a |
future placement has been identified by the Department, why |
the anticipated placement is appropriate for the needs of the |
minor and the anticipated placement date. |
(1.6) Within 35 days after placing a child in its care in a |
qualified residential treatment program, as defined by the |
federal Social Security Act, the Department of Children and |
Family Services shall file a written report with the court and |
send copies of the report to all parties. Within 20 days of the |
filing of the report, the court shall hold a hearing to |
consider the Department's report and determine whether |
placement of the child in a qualified residential treatment |
program provides the most effective and appropriate level of |
|
care for the child in the least restrictive environment and if |
the placement is consistent with the short-term and long-term |
goals for the child, as specified in the permanency plan for |
the child. The court shall approve or disapprove the |
placement. If applicable, the requirements of Sections 2-27.1 |
and 2-27.2 must also be met.
The Department's written report |
and the court's written determination shall be included in and |
made part of the case plan for the child. If the child remains |
placed in a qualified residential treatment program, the |
Department shall submit evidence at each status and permanency |
hearing: |
(1) demonstrating that on-going assessment of the |
strengths and needs of the child continues to support the |
determination that the child's needs cannot be met through |
placement in a foster family home, that the placement |
provides the most effective and appropriate level of care |
for the child in the least restrictive, appropriate |
environment, and that the placement is consistent with the |
short-term and long-term permanency goal for the child, as |
specified in the permanency plan for the child; |
(2) documenting the specific treatment or service |
needs that should be met for the child in the placement and |
the length of time the child is expected to need the |
treatment or services; and |
(3) the efforts made by the agency to prepare the |
child to return home or to be placed with a fit and willing |
|
relative, a legal guardian, or an adoptive parent, or in a |
foster family home. |
(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 agency's service 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. If not contained in the |
agency's service plan, the agency's report shall specify if a |
minor is placed in a licensed child care facility under a |
corrective plan by the Department due to concerns impacting |
the minor's safety and well-being. The report shall explain |
the steps the Department is taking to ensure the safety and |
|
well-being of the minor and that the minor's needs are met in |
the facility. 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 deemed inappropriate |
and not in the child's best interests. The court shall |
confirm that the Department has discussed adoption, if |
appropriate, and guardianship with the caregiver prior to |
changing a goal to guardianship.
|
(F) The minor over age 15 will be in substitute care |
pending
independence. In selecting this permanency goal, |
the Department of Children and Family Services may provide |
services to enable reunification and to strengthen the |
minor's connections with family, fictive kin, and other |
responsible adults, provided the services are in the |
minor's best interest. The services shall be documented in |
|
the service plan.
|
(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 deemed inappropriate and not in |
the child's best interests.
|
In selecting any permanency goal, the court shall indicate |
in writing the
reasons the goal was selected and why the |
preceding goals were deemed inappropriate and not in the |
child's best interest.
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, except as provided in paragraph (F) of |
this subsection (2), 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 deemed all other permanency |
goals inappropriate 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 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. Except as authorized by subsection |
(2.5) of this Section and as otherwise specifically authorized |
by law, the court is not empowered under this Section to order |
specific placements, specific services, or specific service |
providers to be included in the service 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.
|
(2.5) If, after reviewing the evidence, including evidence |
from the Department, the court determines that the minor's |
current or planned placement is not necessary or appropriate |
to facilitate achievement of the permanency goal, the court |
shall put in writing the factual basis supporting its |
determination and enter specific findings based on the |
evidence. If the court finds that the minor's current or |
planned placement is not necessary or appropriate, the court |
may enter an order directing the Department to implement a |
recommendation by the minor's treating clinician or a |
clinician contracted by the Department to evaluate the minor |
or a recommendation made by the Department. If the Department |
places a minor in a placement under an order entered under this |
subsection (2.5), the Department has the authority to remove |
the minor from that placement when a change in circumstances |
necessitates the removal to protect the minor's health, |
safety, and best interest. If the Department determines |
removal is necessary, the Department shall notify the parties |
of the planned placement change in writing no later than 10 |
days prior to the implementation of its determination unless |
|
remaining in the placement poses an imminent risk of harm to |
the minor, in which case the Department shall notify the |
parties of the placement change in writing immediately |
following the implementation of its decision. The Department |
shall notify others of the decision to change the minor's |
placement as required by Department rule. |
(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 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 current or planned |
|
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. If a |
motion is filed to modify or
vacate a private guardianship |
order and return the child to a parent, guardian, or legal |
custodian, the
court may order the Department of Children and |
Family Services to assess the minor's current and
proposed |
living arrangements and to provide ongoing monitoring of the |
health, safety, and best interest
of the minor during the |
pendency of the motion to assist the court in making that |
determination. 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.
|
If the minor is being restored to the custody of a parent, |
legal custodian, or guardian who lives
outside of Illinois, |
and an Interstate Compact has been requested and refused, the |
court may order the
Department of Children and Family Services |
to arrange for an assessment of the minor's
proposed living |
arrangement and for ongoing monitoring of the health, safety, |
and best
interest of the minor and compliance with any order of |
protective supervision entered 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 cooperate
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. 101-63, eff. 10-1-19; 102-193, eff. 7-30-21; |
102-489, eff. 8-20-21; 102-813, eff. 5-13-22; revised |
8-23-22.)
|
(705 ILCS 405/5-915)
|
Sec. 5-915. Expungement of juvenile law enforcement and |
juvenile court records.
|
(0.05) (Blank). |
(0.1) (a) The Illinois State Police and all law |
enforcement agencies within the State shall automatically |
expunge, on or before January 1 of each year, except as |
described in paragraph (c) of subsection (0.1), all juvenile |
|
law enforcement records relating to events occurring before an |
individual's 18th birthday if: |
(1) one year or more has elapsed since the date of the |
arrest or law enforcement interaction documented in the |
records; |
(2) no petition for delinquency or criminal charges |
were filed with the clerk of the circuit court relating to |
the arrest or law enforcement interaction documented in |
the records; and |
(3) 6 months have elapsed since the date of the arrest |
without an additional subsequent arrest or filing of a |
petition for delinquency or criminal charges whether |
related or not to the arrest or law enforcement |
interaction documented in the records. |
(b) If the law enforcement agency is unable to verify |
satisfaction of conditions (2) and (3) of this subsection |
(0.1), records that satisfy condition (1) of this subsection |
(0.1) shall be automatically expunged if the records relate to |
an offense that if committed by an adult would not be an |
offense classified as a Class 2 felony or higher, an offense |
under Article 11 of the Criminal Code of 1961 or Criminal Code |
of 2012, or an offense under Section 12-13, 12-14, 12-14.1, |
12-15, or 12-16 of the Criminal Code of 1961. |
(c) If the juvenile law enforcement record was received |
through a public submission to a statewide student |
confidential reporting system administered by the Illinois |
|
State Police, the record will be maintained for a period of 5 |
years according to all other provisions in subsection (0.1). |
(0.15) If a juvenile law enforcement record meets |
paragraph (a) of subsection (0.1) of this Section, a juvenile |
law enforcement record created: |
(1) prior to January 1, 2018, but on or after January |
1, 2013 shall be automatically expunged prior to January |
1, 2020; |
(2) prior to January 1, 2013, but on or after January |
1, 2000, shall be automatically expunged prior to January |
1, 2023; and |
(3) prior to January 1, 2000 shall not be subject to |
the automatic expungement provisions of this Act. |
Nothing in this subsection (0.15) shall be construed to |
restrict or modify an individual's right to have his or her |
juvenile law enforcement records expunged except as otherwise |
may be provided in this Act. |
(0.2) (a) Upon dismissal of a petition alleging |
delinquency or upon a finding of not delinquent, the |
successful termination of an order of supervision, or the |
successful termination of an adjudication for an offense which |
would be a Class B misdemeanor, Class C misdemeanor, or a petty |
or business offense if committed by an adult, the court shall |
automatically order the expungement of the juvenile court |
records and juvenile law enforcement records. The clerk shall |
deliver a certified copy of the expungement order to the |
|
Illinois State Police and the arresting agency. Upon request, |
the State's Attorney shall furnish the name of the arresting |
agency. The expungement shall be completed within 60 business |
days after the receipt of the expungement order. |
(b) If the chief law enforcement officer of the agency, or |
his or her designee, certifies in writing that certain |
information is needed for a pending investigation involving |
the commission of a felony, that information, and information |
identifying the juvenile, may be retained until the statute of |
limitations for the felony has run. If the chief law |
enforcement officer of the agency, or his or her designee, |
certifies in writing that certain information is needed with |
respect to an internal investigation of any law enforcement |
office, that information and information identifying the |
juvenile may be retained within an intelligence file until the |
investigation is terminated or the disciplinary action, |
including appeals, has been completed, whichever is later. |
Retention of a portion of a juvenile's law enforcement record |
does not disqualify the remainder of his or her record from |
immediate automatic expungement. |
(0.3) (a) Upon an adjudication of delinquency based on any |
offense except a disqualified offense, the juvenile court |
shall automatically order the expungement of the juvenile |
court and law enforcement records 2 years after the juvenile's |
case was closed if no delinquency or criminal proceeding is |
pending and the person has had no subsequent delinquency |
|
adjudication or criminal conviction. The clerk shall deliver a |
certified copy of the expungement order to the Illinois State |
Police and the arresting agency. Upon request, the State's |
Attorney shall furnish the name of the arresting agency. The |
expungement shall be completed within 60 business days after |
the receipt of the expungement order. In this subsection |
(0.3), "disqualified offense" means any of the following |
offenses: Section 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, |
10-1, 10-2, 10-3, 10-3.1, 10-4, 10-5, 10-9, 11-1.20, 11-1.30, |
11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 12-2, 12-3.05, |
12-3.3, 12-4.4a, 12-5.02, 12-6.2, 12-6.5, 12-7.1, 12-7.5, |
12-20.5, 12-32, 12-33, 12-34, 12-34.5, 18-1, 18-2, 18-3, 18-4, |
18-6, 19-3, 19-6, 20-1, 20-1.1, 24-1.2, 24-1.2-5, 24-1.5, |
24-3A, 24-3B, 24-3.2, 24-3.8, 24-3.9, 29D-14.9, 29D-20, 30-1, |
31-1a, 32-4a, or 33A-2 of the Criminal Code of 2012, or |
subsection (b) of Section 8-1, paragraph (4) of subsection (a) |
of Section 11-14.4, subsection (a-5) of Section 12-3.1, |
paragraph (1), (2), or (3) of subsection (a) of Section 12-6, |
subsection (a-3) or (a-5) of Section 12-7.3, paragraph (1) or |
(2) of subsection (a) of Section 12-7.4, subparagraph (i) of |
paragraph (1) of subsection (a) of Section 12-9, subparagraph |
(H) of paragraph (3) of subsection (a) of Section 24-1.6, |
paragraph (1) of subsection (a) of Section 25-1, or subsection |
(a-7) of Section 31-1 of the Criminal Code of 2012. |
(b) If the chief law enforcement officer of the agency, or |
his or her designee, certifies in writing that certain |
|
information is needed for a pending investigation involving |
the commission of a felony, that information, and information |
identifying the juvenile, may be retained in an intelligence |
file until the investigation is terminated or for one |
additional year, whichever is sooner. Retention of a portion |
of a juvenile's juvenile law enforcement record does not |
disqualify the remainder of his or her record from immediate |
automatic expungement. |
(0.4) Automatic expungement for the purposes of this |
Section shall not require law enforcement agencies to |
obliterate or otherwise destroy juvenile law enforcement |
records that would otherwise need to be automatically expunged |
under this Act, except after 2 years following the subject |
arrest for purposes of use in civil litigation against a |
governmental entity or its law enforcement agency or personnel |
which created, maintained, or used the records. However, these |
juvenile law enforcement records shall be considered expunged |
for all other purposes during this period and the offense, |
which the records or files concern, shall be treated as if it |
never occurred as required under Section 5-923. |
(0.5) Subsection (0.1) or (0.2) of this Section does not |
apply to violations of traffic, boating, fish and game laws, |
or county or municipal ordinances. |
(0.6) Juvenile law enforcement records of a plaintiff who |
has filed civil litigation against the governmental entity or |
its law enforcement agency or personnel that created, |
|
maintained, or used the records, or juvenile law enforcement |
records that contain information related to the allegations |
set forth in the civil litigation may not be expunged until |
after 2 years have elapsed after the conclusion of the |
lawsuit, including any appeal. |
(0.7) Officer-worn body camera recordings shall not be |
automatically expunged except as otherwise authorized by the |
Law Enforcement Officer-Worn Body Camera Act. |
(1) Whenever a person has been arrested, charged, or |
adjudicated delinquent for an incident occurring before his or |
her 18th birthday that if committed by an adult would be an |
offense, and that person's juvenile law enforcement and |
juvenile court records are not eligible for automatic |
expungement under subsection (0.1), (0.2), or (0.3), the
|
person may petition the court at any time for expungement of |
juvenile law
enforcement records and juvenile court records |
relating to the incident and, upon termination of all juvenile
|
court proceedings relating to that incident, the court shall |
order the expungement of all records in the possession of the |
Illinois State Police, the clerk of the circuit court, and law |
enforcement agencies relating to the incident, but only in any |
of the following circumstances:
|
(a) the minor was arrested and no petition for |
delinquency was filed with
the clerk of the circuit court; |
(a-5) the minor was charged with an offense and the |
petition or petitions were dismissed without a finding of |
|
delinquency;
|
(b) the minor was charged with an offense and was |
found not delinquent of
that offense;
|
(c) the minor was placed under supervision under |
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.
|
(1.5) The Illinois State Police shall allow a person to |
use the Access and Review process, established in the Illinois |
State Police, for verifying that his or her juvenile law |
enforcement records relating to incidents occurring before his |
or her 18th birthday eligible under this Act have been |
expunged. |
(1.6) (Blank). |
(1.7) (Blank). |
(1.8) (Blank). |
(2) Any person whose delinquency adjudications are not |
eligible for automatic expungement under subsection (0.3) of |
this Section may petition the court to expunge all juvenile |
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 or an offense under Article 11 of the |
|
Criminal Code of 2012 if the person is required to register |
under the Sex Offender Registration Act at the time he or she |
petitions the court for expungement; provided that 2 years |
have elapsed since all juvenile court proceedings relating to
|
him or her have been terminated and his or her commitment to |
the Department of
Juvenile Justice
under this Act has been |
terminated.
|
(2.5) If a minor is arrested and no petition for |
delinquency is filed with the clerk of the circuit court 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 the minor shall have an |
arrest record and shall provide the minor and the minor's |
parents or guardians with an expungement information packet, |
information regarding this State's expungement laws including |
a petition to expunge juvenile law enforcement and juvenile |
court records obtained from the clerk of the circuit court. |
(2.6) If a minor is referred to court, then, at the time of |
sentencing, dismissal of the case, or successful completion of |
supervision, the judge shall inform the delinquent minor of |
his or her rights regarding expungement and the clerk of the |
circuit court shall provide an expungement information packet |
to the minor, written in plain language, including information |
regarding this State's expungement laws and 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 law enforcement or juvenile court |
record, and (iv) if petitioning 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) (Blank). |
(2.8) (Blank). |
(3) (Blank).
|
(3.1) (Blank).
|
(3.2) (Blank). |
(3.3) (Blank).
|
(4) (Blank).
|
(5) (Blank).
|
(5.5) Whether or not expunged, records eligible for |
automatic expungement under subdivision (0.1)(a), (0.2)(a), or |
(0.3)(a) may be treated as expunged by the individual subject |
to the records. |
(6) (Blank). |
|
(6.5) The Illinois State Police or any employee of the |
Illinois State Police shall be immune from civil or criminal |
liability for failure to expunge any records of arrest that |
are subject to expungement under this Section because of |
inability to verify a record. Nothing in this Section shall |
create Illinois State Police liability or responsibility for |
the expungement of juvenile law enforcement records it does |
not possess. |
(7) (Blank).
|
(7.5) (Blank). |
(8) The expungement of juvenile law enforcement or |
juvenile court records under subsection (0.1), (0.2), or (0.3) |
of this Section shall be funded by appropriation by the |
General Assembly for that purpose. |
(9) (Blank). |
(10) (Blank). |
(Source: P.A. 102-538, eff. 8-20-21; 102-558, eff. 8-20-21; |
102-752, eff. 1-1-23; revised 8-23-22.)
|
Section 680. The Criminal Code of 2012 is amended by |
changing Sections 11-35 and 24-2 as follows:
|
(720 ILCS 5/11-35) (was 720 ILCS 5/11-7)
|
Sec. 11-35. Adultery. |
(a) A person commits adultery when he or she has sexual |
intercourse with
another not his or her spouse, if the |
|
behavior is open and notorious, and :
|
(1) the The person is married and knows the other |
person involved in such
intercourse is not his spouse; or
|
(2) the The person is not married and knows that the |
other person
involved in such intercourse is married.
|
A person shall be exempt from prosecution under this |
Section if his
liability is based solely on evidence he has |
given in order to comply with
the requirements of Section |
4-1.7 of the "The Illinois Public Aid Code ",
approved April |
11, 1967, as amended .
|
(b) Sentence.
|
Adultery is a Class A misdemeanor.
|
(Source: P.A. 96-1551, eff. 7-1-11; revised 3-16-22.)
|
(720 ILCS 5/24-2)
|
Sec. 24-2. Exemptions.
|
(a) Subsections 24-1(a)(3), 24-1(a)(4), 24-1(a)(10), and |
24-1(a)(13) and Section
24-1.6 do not apply to
or affect any of |
the following:
|
(1) Peace officers, and any person summoned by a peace |
officer to
assist in making arrests or preserving the |
peace, while actually engaged in
assisting such officer.
|
(2) Wardens, superintendents and keepers of prisons,
|
penitentiaries, jails and other institutions for the |
detention of persons
accused or convicted of an offense, |
while in the performance of their
official duty, or while |
|
commuting between their homes and places of employment.
|
(3) Members of the Armed Services or Reserve Forces of |
the United States
or the Illinois National Guard or the |
Reserve Officers Training Corps,
while in the performance |
of their official duty.
|
(4) Special agents employed by a railroad or a public |
utility to
perform police functions, and guards of armored |
car companies, while
actually engaged in the performance |
of the duties of their employment or
commuting between |
their homes and places of employment; and watchmen
while |
actually engaged in the performance of the duties of their |
employment.
|
(5) Persons licensed as private security contractors, |
private
detectives, or private alarm contractors, or |
employed by a private security contractor, private |
detective, or private alarm contractor agency licensed
by |
the Department of Financial and Professional Regulation, |
if their duties
include the carrying of a weapon under the |
provisions of the Private
Detective, Private Alarm,
|
Private Security, Fingerprint Vendor, and Locksmith Act of |
2004,
while actually
engaged in the performance of the |
duties of their employment or commuting
between their |
homes and places of employment. A person shall be |
considered eligible for this
exemption if he or she has |
completed the required 20
hours of training for a private |
security contractor, private
detective, or private alarm |
|
contractor, or employee of a licensed private security |
contractor, private detective, or private alarm contractor |
agency and 28 hours of required firearm
training, and has |
been issued a firearm control card by
the Department of |
Financial and Professional Regulation. Conditions for the |
renewal of
firearm control cards issued under the |
provisions of this Section
shall be the same as for those |
cards issued under the provisions of the
Private |
Detective, Private Alarm,
Private Security, Fingerprint |
Vendor, and Locksmith Act of 2004. The
firearm control |
card shall be carried by the private security contractor, |
private
detective, or private alarm contractor, or |
employee of the licensed private security contractor, |
private detective, or private alarm contractor agency at |
all
times when he or she is in possession of a concealable |
weapon permitted by his or her firearm control card.
|
(6) Any person regularly employed in a commercial or |
industrial
operation as a security guard for the |
protection of persons employed
and private property |
related to such commercial or industrial
operation, while |
actually engaged in the performance of his or her
duty or |
traveling between sites or properties belonging to the
|
employer, and who, as a security guard, is a member of a |
security force registered with the Department of Financial |
and Professional
Regulation; provided that such security |
guard has successfully completed a
course of study, |
|
approved by and supervised by the Department of
Financial |
and Professional Regulation, consisting of not less than |
48 hours of training
that includes the theory of law |
enforcement, liability for acts, and the
handling of |
weapons. A person shall be considered eligible for this
|
exemption if he or she has completed the required 20
hours |
of training for a security officer and 28 hours of |
required firearm
training, and has been issued a firearm |
control card by
the Department of Financial and |
Professional Regulation. Conditions for the renewal of
|
firearm control cards issued under the provisions of this |
Section
shall be the same as for those cards issued under |
the provisions of the
Private Detective, Private Alarm,
|
Private Security, Fingerprint Vendor, and Locksmith Act of |
2004. The
firearm control card shall be carried by the |
security guard at all
times when he or she is in possession |
of a concealable weapon permitted by his or her firearm |
control card.
|
(7) Agents and investigators of the Illinois |
Legislative Investigating
Commission authorized by the |
Commission to carry the weapons specified in
subsections |
24-1(a)(3) and 24-1(a)(4), while on duty in the course of
|
any investigation for the Commission.
|
(8) Persons employed by a financial institution as a |
security guard for the protection of
other employees and |
property related to such financial institution, while
|
|
actually engaged in the performance of their duties, |
commuting between
their homes and places of employment, or |
traveling between sites or
properties owned or operated by |
such financial institution, and who, as a security guard, |
is a member of a security force registered with the |
Department; provided that
any person so employed has |
successfully completed a course of study,
approved by and |
supervised by the Department of Financial and Professional |
Regulation,
consisting of not less than 48 hours of |
training which includes theory of
law enforcement, |
liability for acts, and the handling of weapons.
A person |
shall be considered to be eligible for this exemption if |
he or
she has completed the required 20 hours of training |
for a security officer
and 28 hours of required firearm |
training, and has been issued a
firearm control card by |
the Department of Financial and Professional Regulation.
|
Conditions for renewal of firearm control cards issued |
under the
provisions of this Section shall be the same as |
for those issued under the
provisions of the Private |
Detective, Private Alarm,
Private Security, Fingerprint |
Vendor, and Locksmith Act of 2004. The
firearm control |
card shall be carried by the security guard at all times |
when he or she is in possession of a concealable
weapon |
permitted by his or her firearm control card. For purposes |
of this subsection, "financial institution" means a
bank, |
savings and loan association, credit union or company |
|
providing
armored car services.
|
(9) Any person employed by an armored car company to |
drive an armored
car, while actually engaged in the |
performance of his duties.
|
(10) Persons who have been classified as peace |
officers pursuant
to the Peace Officer Fire Investigation |
Act.
|
(11) Investigators of the Office of the State's |
Attorneys Appellate
Prosecutor authorized by the board of |
governors of the Office of the
State's Attorneys Appellate |
Prosecutor to carry weapons pursuant to
Section 7.06 of |
the State's Attorneys Appellate Prosecutor's Act.
|
(12) Special investigators appointed by a State's |
Attorney under
Section 3-9005 of the Counties Code.
|
(12.5) Probation officers while in the performance of |
their duties, or
while commuting between their homes, |
places of employment or specific locations
that are part |
of their assigned duties, with the consent of the chief |
judge of
the circuit for which they are employed, if they |
have received weapons training according
to requirements |
of the Peace Officer and Probation Officer Firearm |
Training Act.
|
(13) Court Security Officers while in the performance |
of their official
duties, or while commuting between their |
homes and places of employment, with
the
consent of the |
Sheriff.
|
|
(13.5) A person employed as an armed security guard at |
a nuclear energy,
storage, weapons or development site or |
facility regulated by the Nuclear
Regulatory Commission |
who has completed the background screening and training
|
mandated by the rules and regulations of the Nuclear |
Regulatory Commission.
|
(14) Manufacture, transportation, or sale of weapons |
to
persons
authorized under subdivisions (1) through |
(13.5) of this
subsection
to
possess those weapons.
|
(a-5) Subsections 24-1(a)(4) and 24-1(a)(10) do not apply |
to
or affect any person carrying a concealed pistol, revolver, |
or handgun and the person has been issued a currently valid |
license under the Firearm Concealed Carry Act at the time of |
the commission of the offense. |
(a-6) Subsections 24-1(a)(4) and 24-1(a)(10) do not apply |
to
or affect a qualified current or retired law enforcement |
officer or a current or retired deputy, county correctional |
officer, or correctional officer of the Department of |
Corrections qualified under the laws of this State or under |
the federal Law Enforcement Officers Safety Act. |
(b) Subsections 24-1(a)(4) and 24-1(a)(10) and Section |
24-1.6 do not
apply to or affect
any of the following:
|
(1) Members of any club or organization organized for |
the purpose of
practicing shooting at targets upon |
established target ranges, whether
public or private, and |
patrons of such ranges, while such members
or patrons are |
|
using their firearms on those target ranges.
|
(2) Duly authorized military or civil organizations |
while parading,
with the special permission of the |
Governor.
|
(3) Hunters, trappers, or fishermen while engaged in |
lawful hunting,
trapping, or fishing under the provisions |
of the Wildlife Code or the Fish and Aquatic Life Code.
|
(4) Transportation of weapons that are broken down in |
a
non-functioning state or are not immediately accessible.
|
(5) Carrying or possessing any pistol, revolver, stun |
gun or taser or other firearm on the land or in the legal |
dwelling of another person as an invitee with that |
person's permission. |
(c) Subsection 24-1(a)(7) does not apply to or affect any |
of the
following:
|
(1) Peace officers while in performance of their |
official duties.
|
(2) Wardens, superintendents and keepers of prisons, |
penitentiaries,
jails and other institutions for the |
detention of persons accused or
convicted of an offense.
|
(3) Members of the Armed Services or Reserve Forces of |
the United States
or the Illinois National Guard, while in |
the performance of their official
duty.
|
(4) Manufacture, transportation, or sale of machine |
guns to persons
authorized under subdivisions (1) through |
(3) of this subsection to
possess machine guns, if the |
|
machine guns are broken down in a
non-functioning state or |
are not immediately accessible.
|
(5) Persons licensed under federal law to manufacture |
any weapon from
which 8 or more shots or bullets can be |
discharged by a
single function of the firing device, or |
ammunition for such weapons, and
actually engaged in the |
business of manufacturing such weapons or
ammunition, but |
only with respect to activities which are within the |
lawful
scope of such business, such as the manufacture, |
transportation, or testing
of such weapons or ammunition. |
This exemption does not authorize the
general private |
possession of any weapon from which 8 or more
shots or |
bullets can be discharged by a single function of the |
firing
device, but only such possession and activities as |
are within the lawful
scope of a licensed manufacturing |
business described in this paragraph.
|
During transportation, such weapons shall be broken |
down in a
non-functioning state or not immediately |
accessible.
|
(6) The manufacture, transport, testing, delivery, |
transfer or sale,
and all lawful commercial or |
experimental activities necessary thereto, of
rifles, |
shotguns, and weapons made from rifles or shotguns,
or |
ammunition for such rifles, shotguns or weapons, where |
engaged in
by a person operating as a contractor or |
subcontractor pursuant to a
contract or subcontract for |
|
the development and supply of such rifles,
shotguns, |
weapons or ammunition to the United States government or |
any
branch of the Armed Forces of the United States, when |
such activities are
necessary and incident to fulfilling |
the terms of such contract.
|
The exemption granted under this subdivision (c)(6)
|
shall also apply to any authorized agent of any such |
contractor or
subcontractor who is operating within the |
scope of his employment, where
such activities involving |
such weapon, weapons or ammunition are necessary
and |
incident to fulfilling the terms of such contract.
|
(7) A person possessing a rifle with a barrel or |
barrels less than 16 inches in length if: (A) the person |
has been issued a Curios and Relics license from the U.S. |
Bureau of Alcohol, Tobacco, Firearms and Explosives; or |
(B) the person is an active member of a bona fide, |
nationally recognized military re-enacting group and the |
modification is required and necessary to accurately |
portray the weapon for historical re-enactment purposes; |
the re-enactor is in possession of a valid and current |
re-enacting group membership credential; and the overall |
length of the weapon as modified is not less than 26 |
inches. |
(d) Subsection 24-1(a)(1) does not apply to the purchase, |
possession
or carrying of a black-jack or slung-shot by a |
peace officer.
|
|
(e) Subsection 24-1(a)(8) does not apply to any owner, |
manager or
authorized employee of any place specified in that |
subsection nor to any
law enforcement officer.
|
(f) Subsection 24-1(a)(4) and subsection 24-1(a)(10) and |
Section 24-1.6
do not apply
to members of any club or |
organization organized for the purpose of practicing
shooting |
at targets upon established target ranges, whether public or |
private,
while using their firearms on those target ranges.
|
(g) Subsections 24-1(a)(11) and 24-3.1(a)(6) do not apply |
to:
|
(1) Members of the Armed Services or Reserve Forces of |
the United
States or the Illinois National Guard, while in |
the performance of their
official duty.
|
(2) Bonafide collectors of antique or surplus military |
ordnance.
|
(3) Laboratories having a department of forensic |
ballistics, or
specializing in the development of |
ammunition or explosive ordnance.
|
(4) Commerce, preparation, assembly or possession of |
explosive
bullets by manufacturers of ammunition licensed |
by the federal government,
in connection with the supply |
of those organizations and persons exempted
by subdivision |
(g)(1) of this Section, or like organizations and persons
|
outside this State, or the transportation of explosive |
bullets to any
organization or person exempted in this |
Section by a common carrier or by a
vehicle owned or leased |
|
by an exempted manufacturer.
|
(g-5) Subsection 24-1(a)(6) does not apply to or affect |
persons licensed
under federal law to manufacture any device |
or attachment of any kind designed,
used, or intended for use |
in silencing the report of any firearm, firearms, or
|
ammunition
for those firearms equipped with those devices, and |
actually engaged in the
business of manufacturing those |
devices, firearms, or ammunition, but only with
respect to
|
activities that are within the lawful scope of that business, |
such as the
manufacture, transportation, or testing of those |
devices, firearms, or
ammunition. This
exemption does not |
authorize the general private possession of any device or
|
attachment of any kind designed, used, or intended for use in |
silencing the
report of any firearm, but only such possession |
and activities as are within
the
lawful scope of a licensed |
manufacturing business described in this subsection
(g-5). |
During transportation, these devices shall be detached from |
any weapon
or
not immediately accessible.
|
(g-6) Subsections 24-1(a)(4) and 24-1(a)(10) and Section
|
24-1.6 do not apply to
or affect any parole agent or parole |
supervisor who meets the qualifications and conditions |
prescribed in Section 3-14-1.5 of the Unified Code of |
Corrections. |
(g-7) Subsection 24-1(a)(6) does not apply to a peace |
officer while serving as a member of a tactical response team |
or special operations team. A peace officer may not personally |
|
own or apply for ownership of a device or attachment of any |
kind designed, used, or intended for use in silencing the |
report of any firearm. These devices shall be owned and |
maintained by lawfully recognized units of government whose |
duties include the investigation of criminal acts. |
(g-10) (Blank). |
(h) An information or indictment based upon a violation of |
any
subsection of this Article need not negative any |
exemptions contained in
this Article. The defendant shall have |
the burden of proving such an
exemption.
|
(i) Nothing in this Article shall prohibit, apply to, or |
affect
the transportation, carrying, or possession, of any |
pistol or revolver,
stun gun, taser, or other firearm |
consigned to a common carrier operating
under license of the |
State of Illinois or the federal government, where
such |
transportation, carrying, or possession is incident to the |
lawful
transportation in which such common carrier is engaged; |
and nothing in this
Article shall prohibit, apply to, or |
affect the transportation, carrying,
or possession of any |
pistol, revolver, stun gun, taser, or other firearm,
not the |
subject of and regulated by subsection 24-1(a)(7) or |
subsection
24-2(c) of this Article, which is unloaded and |
enclosed in a case, firearm
carrying box, shipping box, or |
other container, by the possessor of a valid
Firearm Owners |
Identification Card.
|
(Source: P.A. 101-80, eff. 7-12-19; 102-152, eff. 1-1-22; |
|
102-779, eff. 1-1-23; 102-837, eff. 5-13-22; revised |
12-14-22.)
|
Section 685. The Illinois Controlled Substances Act is |
amended by changing Section 312 as follows:
|
(720 ILCS 570/312) (from Ch. 56 1/2, par. 1312)
|
Sec. 312. Requirements for dispensing controlled |
substances.
|
(a) A practitioner, in good faith, may dispense a Schedule
|
II controlled substance, which is a narcotic drug listed in |
Section 206
of this Act; or which contains any quantity of |
amphetamine or
methamphetamine, their salts, optical isomers |
or salts of optical
isomers; phenmetrazine and its salts; or |
pentazocine; and Schedule III, IV, or V controlled substances
|
to any person upon
a written or electronic prescription of any |
prescriber, dated and signed
by the
person prescribing (or |
electronically validated in compliance with Section 311.5) on |
the day when issued and bearing the name and
address of the |
patient for whom, or the owner of the animal for which
the |
controlled substance is dispensed, and the full name, address |
and
registry number under the laws of the United States |
relating to
controlled substances of the prescriber, if he or |
she is
required by
those laws to be registered. If the |
prescription is for an animal it
shall state the species of |
animal for which it is ordered. The
practitioner filling the |
|
prescription shall, unless otherwise permitted, write the date |
of filling
and his or her own signature on the face of the |
written prescription or, alternatively, shall indicate such |
filling using a unique identifier as defined in paragraph (v) |
of Section 3 of the Pharmacy Practice Act.
The written |
prescription shall be
retained on file by the practitioner who |
filled it or pharmacy in which
the prescription was filled for |
a period of 2 years, so as to be readily
accessible for |
inspection or removal by any officer or employee engaged
in |
the enforcement of this Act. Whenever the practitioner's or
|
pharmacy's copy of any prescription is removed by an officer |
or
employee engaged in the enforcement of this Act, for the |
purpose of
investigation or as evidence, such officer or |
employee shall give to the
practitioner or pharmacy a receipt |
in lieu thereof. If the specific prescription is machine or |
computer generated and printed at the prescriber's office, the |
date does not need to be handwritten. A prescription
for a |
Schedule II controlled substance shall not be issued for more |
than a 30 day supply, except as provided in subsection (a-5), |
and shall be valid for up to 90 days
after the date of |
issuance. A written prescription for Schedule III, IV or
V |
controlled substances shall not be filled or refilled more |
than 6 months
after the date thereof or refilled more than 5 |
times unless renewed, in
writing, by the prescriber. A |
pharmacy shall maintain a policy regarding the type of |
identification necessary, if any, to receive a prescription in |
|
accordance with State and federal law. The pharmacy must post |
such information where prescriptions are filled.
|
(a-5) Physicians may issue multiple prescriptions (3 |
sequential 30-day supplies) for the same Schedule II |
controlled substance, authorizing up to a 90-day supply. |
Before authorizing a 90-day supply of a Schedule II controlled |
substance, the physician must meet the following conditions: |
(1) Each separate prescription must be issued for a |
legitimate medical purpose by an individual physician |
acting in the usual course of professional practice. |
(2) The individual physician must provide written |
instructions on each prescription (other than the first |
prescription, if the prescribing physician intends for the |
prescription to be filled immediately) indicating the |
earliest date on which a pharmacy may fill that |
prescription. |
(3) The physician shall document in the medical record |
of a patient the medical necessity for the amount and |
duration of the 3 sequential 30-day prescriptions for |
Schedule II narcotics. |
(a-10) Prescribers who issue a prescription for an opioid |
shall inform the patient that opioids are addictive and that |
opioid antagonists are available by prescription or from a |
pharmacy. |
(b) In lieu of a written prescription required by this |
Section, a
pharmacist, in good faith, may dispense Schedule |
|
III, IV, or V
substances to any person either upon receiving a |
facsimile of a written,
signed prescription transmitted by the |
prescriber or the prescriber's agent
or upon a lawful oral |
prescription of a
prescriber which oral prescription shall be |
reduced
promptly to
writing by the pharmacist and such written |
memorandum thereof shall be
dated on the day when such oral |
prescription is received by the
pharmacist and shall bear the |
full name and address of the ultimate user
for whom, or of the |
owner of the animal for which the controlled
substance is |
dispensed, and the full name, address, and registry number
|
under the law of the United States relating to controlled |
substances of
the prescriber prescribing if he or she is |
required by those laws
to be so
registered, and the pharmacist |
filling such oral prescription shall
write the date of filling |
and his or her own signature on the face of such
written |
memorandum thereof. The facsimile copy of the prescription or
|
written memorandum of the oral
prescription shall be retained |
on file by the proprietor of the pharmacy
in which it is filled |
for a period of not less than two years, so as to
be readily |
accessible for inspection by any officer or employee engaged
|
in the enforcement of this Act in the same manner as a written
|
prescription. The facsimile copy of the prescription or oral |
prescription
and the written memorandum thereof
shall not be |
filled or refilled more than 6 months after the date
thereof or |
be refilled more than 5 times, unless renewed, in writing, by
|
the prescriber.
|
|
(c) Except for any non-prescription targeted |
methamphetamine precursor regulated by the Methamphetamine |
Precursor Control Act, a
controlled substance included in |
Schedule V shall not be
distributed or dispensed other than |
for a medical purpose and not for
the purpose of evading this |
Act, and then:
|
(1) only personally by a person registered to dispense |
a Schedule V
controlled substance and then only to his or |
her patients, or
|
(2) only personally by a pharmacist, and then only to |
a person over
21 years of age who has identified himself or |
herself to the pharmacist by means of
2 positive documents |
of identification.
|
The (3) the dispenser shall record the name and address of |
the
purchaser, the name and quantity of the product, the date |
and time of
the sale, and the dispenser's signature.
|
No (4) no person shall purchase or be dispensed more than |
120
milliliters or more than 120 grams of any Schedule V |
substance which
contains codeine, dihydrocodeine, or any salts |
thereof, or
ethylmorphine, or any salts thereof, in any |
96-hour 96 hour period. The
purchaser shall sign a form, |
approved by the Department of Financial and Professional
|
Regulation, attesting that he or she has not purchased any |
Schedule V
controlled substances within the immediately |
preceding 96 hours.
|
(5) (Blank).
|
|
All (6) all records of purchases and sales shall be |
maintained for not
less than 2 years.
|
No (7) no person shall obtain or attempt to obtain within |
any
consecutive 96-hour 96 hour period any Schedule V |
substances of more than 120
milliliters or more than 120 grams |
containing codeine, dihydrocodeine or
any of its salts, or |
ethylmorphine or any of its salts. Any person
obtaining any |
such preparations or combination of preparations in excess
of |
this limitation shall be in unlawful possession of such |
controlled
substance.
|
A (8) a person qualified to dispense controlled substances |
under this
Act and registered thereunder shall at no time |
maintain or keep in stock
a quantity of Schedule V controlled |
substances in excess of 4.5 liters for each
substance; a |
pharmacy shall at no time maintain or keep in stock a
quantity |
of Schedule V controlled substances as defined in excess of |
4.5
liters for each substance, plus the additional quantity of |
controlled
substances necessary to fill the largest number of |
prescription orders
filled by that pharmacy for such |
controlled substances in any one week
in the previous year. |
These limitations shall not apply to Schedule V
controlled |
substances which Federal law prohibits from being dispensed
|
without a prescription.
|
No (9) no person shall distribute or dispense butyl |
nitrite for
inhalation or other introduction into the human |
body for euphoric or
physical effect.
|
|
(d) Every practitioner shall keep a record or log of |
controlled substances
received by him or her and a record of |
all such controlled substances
administered, dispensed or |
professionally used by him or her otherwise than by
|
prescription. It shall, however, be sufficient compliance with |
this
paragraph if any practitioner utilizing controlled |
substances listed in
Schedules III, IV and V shall keep a |
record of all those substances
dispensed and distributed by |
him or her other than those controlled substances
which are |
administered by the direct application of a controlled
|
substance, whether by injection, inhalation, ingestion, or any |
other
means to the body of a patient or research subject. A |
practitioner who
dispenses, other than by administering, a |
controlled substance in
Schedule II, which is a narcotic drug |
listed in Section 206 of this Act,
or which contains any |
quantity of amphetamine or methamphetamine, their
salts, |
optical isomers or salts of optical isomers, pentazocine, or
|
methaqualone shall do so only upon
the issuance of a written |
prescription blank or electronic prescription issued by a
|
prescriber.
|
(e) Whenever a manufacturer distributes a controlled |
substance in a
package prepared by him or her, and whenever a |
wholesale distributor
distributes a controlled substance in a |
package prepared by him or her or the
manufacturer, he or she |
shall securely affix to each package in which that
substance |
is contained a label showing in legible English the name and
|
|
address of the manufacturer, the distributor and the quantity, |
kind and
form of controlled substance contained therein. No |
person except a
pharmacist and only for the purposes of |
filling a prescription under
this Act, shall alter, deface or |
remove any label so affixed.
|
(f) Whenever a practitioner dispenses any controlled |
substance except a non-prescription Schedule V product or a |
non-prescription targeted methamphetamine precursor regulated |
by the Methamphetamine Precursor Control Act, he or she
shall |
affix to the container in which such substance is sold or
|
dispensed, a label indicating the date of initial filling, the |
practitioner's
name and address, the name
of the patient, the |
name of the prescriber,
the directions
for use and cautionary |
statements, if any, contained in any prescription
or required |
by law, the proprietary name or names or the established name
|
of the controlled substance, and the dosage and quantity, |
except as otherwise
authorized by regulation by the Department |
of Financial and Professional Regulation. No
person shall |
alter, deface or remove any label so affixed as long as the |
specific medication remains in the container.
|
(g) A person to whom or for whose use any controlled |
substance has
been prescribed or dispensed by a practitioner, |
or other persons
authorized under this Act, and the owner of |
any animal for which such
substance has been prescribed or |
dispensed by a veterinarian, may
lawfully possess such |
substance only in the container in which it was
delivered to |
|
him or her by the person dispensing such substance.
|
(h) The responsibility for the proper prescribing or |
dispensing of
controlled substances that are under the |
prescriber's direct control is upon the prescriber. The |
responsibility for
the proper filling of a prescription for |
controlled substance drugs
rests with the pharmacist. An order |
purporting to be a prescription
issued to any individual, |
which is not in the regular course of
professional treatment |
nor part of an authorized methadone maintenance
program, nor |
in legitimate and authorized research instituted by any
|
accredited hospital, educational institution, charitable |
foundation, or
federal, state or local governmental agency, |
and which is intended to
provide that individual with |
controlled substances sufficient to
maintain that individual's |
or any other individual's physical or
psychological addiction, |
habitual or customary use, dependence, or
diversion of that |
controlled substance is not a prescription within the
meaning |
and intent of this Act; and the person issuing it, shall be
|
subject to the penalties provided for violations of the law |
relating to
controlled substances.
|
(i) A prescriber shall not pre-print or cause to be
|
pre-printed a
prescription for any controlled substance; nor |
shall any practitioner
issue, fill or cause to be issued or |
filled, a pre-printed prescription
for any controlled |
substance.
|
(i-5) A prescriber may use a machine or electronic device |
|
to individually generate a printed prescription, but the |
prescriber is still required to affix his or her manual |
signature. |
(j) No person shall manufacture, dispense, deliver, |
possess with
intent to deliver, prescribe, or administer or |
cause to be administered
under his or her direction any |
anabolic steroid, for any use in humans other than
the |
treatment of disease in accordance with the order of a |
physician licensed
to practice medicine in all its branches |
for a
valid medical purpose in the course of professional |
practice. The use of
anabolic steroids for the purpose of |
hormonal manipulation that is intended
to increase muscle |
mass, strength or weight without a medical necessity to
do so, |
or for the intended purpose of improving physical appearance |
or
performance in any form of exercise, sport, or game, is not |
a valid medical
purpose or in the course of professional |
practice.
|
(k) Controlled substances may be mailed if all of the |
following conditions are met: |
(1) The controlled substances are not outwardly |
dangerous and are not likely, of their own force, to cause |
injury to a person's life or health. |
(2) The inner container of a parcel containing |
controlled substances must be marked and sealed as |
required under this Act and its rules, and be placed in a |
plain outer container or securely wrapped in plain paper. |
|
(3) If the controlled substances consist of |
prescription medicines, the inner container must be |
labeled to show the name and address of the pharmacy or |
practitioner dispensing the prescription. |
(4) The outside wrapper or container must be free of |
markings that would indicate the nature of the contents. |
(l) Notwithstanding any other provision of this Act to the |
contrary, emergency medical services personnel may administer |
Schedule II, III, IV, or V controlled substances to a person in |
the scope of their employment without a written, electronic, |
or oral prescription of a prescriber. |
(Source: P.A. 102-1040, eff. 1-1-23; revised 12-30-22.)
|
Section 690. The Code of Criminal Procedure of 1963 is |
amended by changing Sections 110-1, 112A-5.5, and 115-11 as |
follows:
|
(725 ILCS 5/110-1) (from Ch. 38, par. 110-1)
|
Sec. 110-1. Definitions. As used in this Article: |
(a) (Blank).
|
(b) "Sureties" encompasses the nonmonetary requirements
|
set by the court as conditions for release either before or |
after
conviction.
|
(c) The phrase "for which a sentence of imprisonment, |
without
conditional and revocable release, shall be imposed by |
law as a consequence
of conviction" means an offense for which |
|
a sentence of imprisonment in the Department of Corrections,
|
without probation, periodic imprisonment or conditional |
discharge, is
required by law upon conviction.
|
(d)(Blank). |
(e) "Protective order" means any order of protection |
issued under Section 112A-14 of this Code or the Illinois |
Domestic Violence Act of 1986, a stalking no contact order |
issued under Section 80 of the Stalking No Contact Order Act, |
or a civil no contact order issued under Section 213 of the |
Civil No Contact Order Act. |
(f) "Willful flight" means intentional conduct with a |
purpose to thwart the judicial process to avoid prosecution. |
Isolated instances of nonappearance in court alone are not |
evidence of the risk of willful flight. Reoccurrence and |
patterns of intentional conduct to evade prosecution, along |
with any affirmative steps to communicate or remedy any such |
missed court date, may be considered as factors in assessing |
future intent to evade prosecution.
|
(Source: P.A. 101-652, eff. 1-1-23; 102-813, eff. 5-13-22; |
102-1104, eff. 1-1-23; revised 12-13-22.)
|
(725 ILCS 5/112A-5.5) |
Sec. 112A-5.5. Time for filing petition; service on |
respondent, hearing on petition, and default orders. |
(a) A petition for a protective order may be filed at any |
time, in person in-person or online, after a criminal charge |
|
or delinquency petition is filed and before the charge or |
delinquency petition is dismissed, the defendant or juvenile |
is acquitted, or the defendant or juvenile completes service |
of his or her sentence.
|
(b) The request for an ex parte protective order may be |
considered without notice to the respondent under Section |
112A-17.5 of this Code. |
(c) A summons shall be issued and served for a protective |
order. The summons may be served by delivery to the respondent |
personally in open court in the criminal or juvenile |
delinquency proceeding, in the form prescribed by subsection |
(d) of Supreme Court Rule 101, except that it shall require the |
respondent to answer or appear within 7 days. Attachments to |
the summons shall include the petition for protective order, |
supporting affidavits, if any, and any ex parte protective |
order that has been issued. |
(d) The summons shall be served by the sheriff or other law |
enforcement officer at the earliest time available and shall |
take precedence over any other summons, except those of a |
similar emergency nature. Attachments to the summons shall |
include the petition for protective order, supporting |
affidavits, if any, and any ex parte protective order that has |
been issued. Special process servers may be appointed at any |
time and their designation shall not affect the |
responsibilities and authority of the sheriff or other |
official process servers. In a county with a population over |
|
3,000,000, a special process server may not be appointed if |
the protective order grants the surrender of a child, the |
surrender of a firearm or Firearm Owner's Identification Card, |
or the exclusive possession of a shared residence. |
(e) If the respondent is not served within 30 days of the |
filing of the petition, the court shall schedule a court |
proceeding on the issue of service. Either the petitioner, the |
petitioner's counsel, or the State's Attorney shall appear and |
the court shall either order continued attempts at personal |
service or shall order service by publication, in accordance |
with Sections 2-203, 2-206, and 2-207 of the Code of Civil |
Procedure. |
(f) The request for a final protective order can be |
considered at any court proceeding in the delinquency or |
criminal case after service of the petition. If the petitioner |
has not been provided notice of the court proceeding at least |
10 days in advance of the proceeding, the court shall schedule |
a hearing on the petition and provide notice to the |
petitioner. |
(f-5) A court in a county with a population above 250,000 |
shall offer the option of a remote hearing to a petitioner for |
a protective order. The court has the discretion to grant or |
deny the request for a remote hearing. Each court shall |
determine the procedure for a remote hearing. The petitioner |
and respondent may appear remotely or in person in-person . |
The court shall issue and publish a court order, standing |
|
order, or local rule detailing information about the process |
for requesting and participating in a remote court appearance. |
The court order, standing order, or local rule shall be |
published on the court's website and posted on signs |
throughout the courthouse, including in the clerk's office. |
The sign shall be written in plain language and include |
information about the availability of remote court appearances |
and the process for requesting a remote hearing. |
(g) Default orders. |
(1) A final domestic violence order of protection may |
be entered by default: |
(A) for any of the remedies sought in the |
petition, if the respondent has been served with |
documents under subsection (b) or (c) of this Section |
and if the respondent fails to appear on the specified |
return date or any subsequent hearing date agreed to |
by the petitioner and respondent or set by the court; |
or |
(B) for any of the remedies provided under |
paragraph (1), (2), (3), (5), (6), (7), (8), (9), |
(10), (11), (14), (15), (17), or (18) of subsection |
(b) of Section 112A-14 of this Code, or if the |
respondent fails to answer or appear in accordance |
with the date set in the publication notice or the |
return date indicated on the service of a household |
member. |
|
(2) A final civil no contact order may be entered by |
default for any of the remedies provided in Section |
112A-14.5 of this Code, if the respondent has been served |
with documents under subsection (b) or (c) of this |
Section, and if the respondent fails to answer or appear |
in accordance with the date set in the publication notice |
or the return date indicated on the service of a household |
member. |
(3) A final stalking no contact order may be entered |
by default for any of the remedies provided by Section |
112A-14.7 of this Code, if the respondent has been served |
with documents under subsection (b) or (c) of this Section |
and if the respondent fails to answer or appear in |
accordance with the date set in the publication notice or |
the return date indicated on the service of a household |
member. |
(Source: P.A. 102-853, eff. 1-1-23; revised 12-12-22.)
|
(725 ILCS 5/115-11) (from Ch. 38, par. 115-11)
|
Sec. 115-11.
In a prosecution for a criminal offense |
defined
in Article 11 or in 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 alleged victim of the offense was a minor
under 18
years of |
age at the time of the offense, the court may exclude from the |
proceedings
while the victim is testifying, regardless of the |
|
alleged victim's age at the time of the victim's courtroom |
testimony, all persons, who, in the opinion of the
court, do |
not have a direct interest in the case, except the media. When |
the court publishes to the trier of fact videos, photographs, |
or any depiction of a minor under 18 years of age engaged in a |
sex act, the court may exclude from the proceedings all |
persons, who , in the opinion of the court, do not have a direct |
interest in the case, except the media. The court shall enter |
its finding that particular parties are disinterested and the |
basis for that finding into the record.
|
(Source: P.A. 102-994, eff. 5-27-22; revised 8-19-22.)
|
Section 695. The Unified Code of Corrections is amended by |
changing Sections 3-5-1, 3-6-3, 3-6-7.3, and 3-7-2 as follows:
|
(730 ILCS 5/3-5-1) (from Ch. 38, par. 1003-5-1)
|
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 |
or by disclosure in accordance with a court order or subpoena.
|
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.
|
(f) A committed person may request a summary of the |
committed person's master record file once per year and the |
committed person's attorney may request one summary of the |
committed person's master record file once per year. The |
Department shall create a form for requesting this summary, |
and shall make that form available to committed persons and to |
the public on its website. Upon receipt of the request form, |
the Department shall provide the summary within 15 days. The |
summary must contain, unless otherwise prohibited by law: |
(1) the person's name, ethnic, racial, and other |
identifying information; |
(2) all digitally available information from the |
committing court; |
(3) all information in the Offender 360 system on the |
person's criminal history; |
(4) the person's complete assignment history in the |
Department of Corrections; |
(5) the person's disciplinary card; |
(6) additional records about up to 3 specific |
disciplinary incidents as identified by the requester; |
(7) any available records about up to 5 specific |
grievances filed by the person, as identified by the |
requester; and |
(8) the records of all grievances filed on or after |
January 1, 2023. |
|
Notwithstanding any provision of this subsection (f) to |
the contrary, a committed person's master record file is not |
subject to disclosure and copying under the Freedom of |
Information Act. |
(Source: P.A. 102-776, eff. 1-1-23; 102-784, eff. 5-13-22; |
revised 12-14-22.)
|
(730 ILCS 5/3-6-3) (from Ch. 38, par. 1003-6-3)
|
Sec. 3-6-3. Rules and regulations for sentence credit.
|
(a)(1) The Department of Corrections shall prescribe rules
|
and regulations for awarding and revoking sentence credit for |
persons committed to the Department of Corrections and the |
Department of Juvenile Justice shall prescribe rules and |
regulations for awarding and revoking sentence credit for |
persons committed to the Department of Juvenile Justice under |
Section 5-8-6 of the Unified Code of Corrections, which shall
|
be subject to review by the Prisoner Review Board.
|
(1.5) As otherwise provided by law, sentence credit may be |
awarded for the following: |
(A) successful completion of programming while in |
custody of the Department of Corrections or the Department |
of Juvenile Justice or while in custody prior to |
sentencing; |
(B) compliance with the rules and regulations of the |
Department; or |
(C) service to the institution, service to a |
|
community, or service to the State. |
(2) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations on sentence credit |
shall provide, with
respect to offenses listed in clause (i), |
(ii), or (iii) of this paragraph (2) committed on or after June |
19, 1998 or with respect to the offense listed in clause (iv) |
of this paragraph (2) committed on or after June 23, 2005 (the |
effective date of Public Act 94-71) or with
respect to offense |
listed in clause (vi)
committed on or after June 1, 2008 (the |
effective date of Public Act 95-625)
or with respect to the |
offense of being an armed habitual criminal committed on or |
after August 2, 2005 (the effective date of Public Act 94-398) |
or with respect to the offenses listed in clause (v) of this |
paragraph (2) committed on or after August 13, 2007 (the |
effective date of Public Act 95-134) or with respect to the |
offense of aggravated domestic battery committed on or after |
July 23, 2010 (the effective date of Public Act 96-1224) or |
with respect to the offense of attempt to commit terrorism |
committed on or after January 1, 2013 (the effective date of |
Public Act 97-990), the following:
|
(i) that a prisoner who is serving a term of |
imprisonment for first
degree murder or for the offense of |
terrorism shall receive no sentence
credit and shall serve |
the entire
sentence imposed by the court;
|
(ii) that a prisoner serving a sentence for attempt to |
commit terrorism, attempt to commit first
degree murder, |
|
solicitation of murder, solicitation of murder for hire,
|
intentional homicide of an unborn child, predatory |
criminal sexual assault of a
child, aggravated criminal |
sexual assault, criminal sexual assault, aggravated
|
kidnapping, 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, heinous battery as described |
in Section 12-4.1 or subdivision (a)(2) of Section |
12-3.05, being an armed habitual criminal, aggravated
|
battery of a senior citizen as described in Section 12-4.6 |
or subdivision (a)(4) of Section 12-3.05, or aggravated |
battery of a child as described in Section 12-4.3 or |
subdivision (b)(1) of Section 12-3.05 shall receive no
|
more than 4.5 days of sentence credit for each month of his |
or her sentence
of imprisonment;
|
(iii) that a prisoner serving a sentence
for home |
invasion, armed robbery, aggravated vehicular hijacking,
|
aggravated discharge of a firearm, or armed violence with |
a category I weapon
or category II weapon, when the court
|
has made and entered a finding, pursuant to subsection |
(c-1) of Section 5-4-1
of this Code, that the conduct |
leading to conviction for the enumerated offense
resulted |
in great bodily harm to a victim, shall receive no more |
than 4.5 days
of sentence credit for each month of his or |
her sentence of imprisonment;
|
(iv) that a prisoner serving a sentence for aggravated |
|
discharge of a firearm, whether or not the conduct leading |
to conviction for the offense resulted in great bodily |
harm to the victim, shall receive no more than 4.5 days of |
sentence credit for each month of his or her sentence of |
imprisonment;
|
(v) that a person serving a sentence for gunrunning, |
narcotics racketeering, controlled substance trafficking, |
methamphetamine trafficking, drug-induced homicide, |
aggravated methamphetamine-related child endangerment, |
money laundering pursuant to clause (c) (4) or (5) of |
Section 29B-1 of the Criminal Code of 1961 or the Criminal |
Code of 2012, or a Class X felony conviction for delivery |
of a controlled substance, possession of a controlled |
substance with intent to manufacture or deliver, |
calculated criminal drug conspiracy, criminal drug |
conspiracy, street gang criminal drug conspiracy, |
participation in methamphetamine manufacturing, |
aggravated participation in methamphetamine |
manufacturing, delivery of methamphetamine, possession |
with intent to deliver methamphetamine, aggravated |
delivery of methamphetamine, aggravated possession with |
intent to deliver methamphetamine, methamphetamine |
conspiracy when the substance containing the controlled |
substance or methamphetamine is 100 grams or more shall |
receive no more than 7.5 days sentence credit for each |
month of his or her sentence of imprisonment;
|
|
(vi)
that a prisoner serving a sentence for a second |
or subsequent offense of luring a minor shall receive no |
more than 4.5 days of sentence credit for each month of his |
or her sentence of imprisonment; and
|
(vii) that a prisoner serving a sentence for |
aggravated domestic battery shall receive no more than 4.5 |
days of sentence credit for each month of his or her |
sentence of imprisonment. |
(2.1) For all offenses, other than those enumerated in |
subdivision (a)(2)(i), (ii), or (iii)
committed on or after |
June 19, 1998 or subdivision (a)(2)(iv) committed on or after |
June 23, 2005 (the effective date of Public Act 94-71) or |
subdivision (a)(2)(v) committed on or after August 13, 2007 |
(the effective date of Public Act 95-134)
or subdivision |
(a)(2)(vi) committed on or after June 1, 2008 (the effective |
date of Public Act 95-625) or subdivision (a)(2)(vii) |
committed on or after July 23, 2010 (the effective date of |
Public Act 96-1224), and other than the offense of aggravated |
driving under the influence of alcohol, other drug or drugs, |
or
intoxicating compound or compounds, or any combination |
thereof as defined in
subparagraph (F) of paragraph (1) of |
subsection (d) of Section 11-501 of the
Illinois Vehicle Code, |
and other than the offense of aggravated driving under the |
influence of alcohol,
other drug or drugs, or intoxicating |
compound or compounds, or any combination
thereof as defined |
in subparagraph (C) of paragraph (1) of subsection (d) of
|
|
Section 11-501 of the Illinois Vehicle Code committed on or |
after January 1, 2011 (the effective date of Public Act |
96-1230),
the rules and regulations shall
provide that a |
prisoner who is serving a term of
imprisonment shall receive |
one day of sentence credit for each day of
his or her sentence |
of imprisonment or recommitment under Section 3-3-9.
Each day |
of sentence credit shall reduce by one day the prisoner's |
period
of imprisonment or recommitment under Section 3-3-9.
|
(2.2) A prisoner serving a term of natural life |
imprisonment or a
prisoner who has been sentenced to death |
shall receive no sentence
credit.
|
(2.3) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations on sentence credit |
shall provide that
a prisoner who is serving a sentence for |
aggravated driving under the influence of alcohol,
other drug |
or drugs, or intoxicating compound or compounds, or any |
combination
thereof as defined in subparagraph (F) of |
paragraph (1) of subsection (d) of
Section 11-501 of the |
Illinois Vehicle Code, shall receive no more than 4.5
days of |
sentence credit for each month of his or her sentence of
|
imprisonment.
|
(2.4) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations on sentence credit |
shall provide with
respect to the offenses of aggravated |
battery with a machine gun or a firearm
equipped with any |
device or attachment designed or used for silencing the
report |
|
of a firearm or aggravated discharge of a machine gun or a |
firearm
equipped with any device or attachment designed or |
used for silencing the
report of a firearm, committed on or |
after
July 15, 1999 (the effective date of Public Act 91-121),
|
that a prisoner serving a sentence for any of these offenses |
shall receive no
more than 4.5 days of sentence credit for each |
month of his or her sentence
of imprisonment.
|
(2.5) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations on sentence credit |
shall provide that a
prisoner who is serving a sentence for |
aggravated arson committed on or after
July 27, 2001 (the |
effective date of Public Act 92-176) shall receive no more |
than
4.5 days of sentence credit for each month of his or her |
sentence of
imprisonment.
|
(2.6) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations on sentence credit |
shall provide that a
prisoner who is serving a sentence for |
aggravated driving under the influence of alcohol,
other drug |
or drugs, or intoxicating compound or compounds or any |
combination
thereof as defined in subparagraph (C) of |
paragraph (1) of subsection (d) of
Section 11-501 of the |
Illinois Vehicle Code committed on or after January 1, 2011 |
(the effective date of Public Act 96-1230) shall receive no |
more than 4.5
days of sentence credit for each month of his or |
her sentence of
imprisonment. |
(3) In addition to the sentence credits earned under |
|
paragraphs (2.1), (4), (4.1), (4.2), and (4.7) of this |
subsection (a), the rules and regulations shall also provide |
that
the Director of Corrections or the Director of Juvenile |
Justice may award up to 180 days of earned sentence
credit for |
prisoners serving a sentence of incarceration of less than 5 |
years, and up to 365 days of earned sentence credit for |
prisoners serving a sentence of 5 years or longer. The |
Director may grant this credit for good conduct in specific |
instances as either
Director deems proper for eligible persons |
in the custody of each Director's respective Department. The |
good conduct may include, but is not limited to, compliance |
with the rules and regulations of the Department, service to |
the Department, service to a community, or service to the |
State.
|
Eligible inmates for an award of earned sentence credit |
under
this paragraph (3) may be selected to receive the credit |
at
either Director's or his or her designee's sole discretion.
|
Eligibility for the additional earned sentence credit under |
this paragraph (3) may be based on, but is not limited to, |
participation in programming offered by the Department as |
appropriate for the prisoner based on the results of any |
available risk/needs assessment or other relevant assessments |
or evaluations administered by the Department using a |
validated instrument, the circumstances of the crime, |
demonstrated commitment to rehabilitation by a prisoner with a |
history of conviction for a forcible felony enumerated in |
|
Section 2-8 of the Criminal Code of 2012, the inmate's |
behavior and improvements in disciplinary history while |
incarcerated, and the inmate's commitment to rehabilitation, |
including participation in programming offered by the |
Department. |
The Director of Corrections or the Director of Juvenile |
Justice shall not award sentence credit under this paragraph |
(3) to an inmate unless the inmate has served a minimum of 60 |
days of the sentence; except nothing in this paragraph shall |
be construed to permit either Director to extend an inmate's |
sentence beyond that which was imposed by the court. Prior to |
awarding credit under this paragraph (3), each Director shall |
make a written determination that the inmate: |
(A) is eligible for the earned sentence credit; |
(B) has served a minimum of 60 days, or as close to 60 |
days as the sentence will allow; |
(B-1) has received a risk/needs assessment or other |
relevant evaluation or assessment administered by the |
Department using a validated instrument; and |
(C) has met the eligibility criteria established by |
rule for earned sentence credit. |
The Director of Corrections or the Director of Juvenile |
Justice shall determine the form and content of the written |
determination required in this subsection. |
(3.5) The Department shall provide annual written reports |
to the Governor and the General Assembly on the award of earned |
|
sentence credit no later than February 1 of each year. The |
Department must publish both reports on its website within 48 |
hours of transmitting the reports to the Governor and the |
General Assembly. The reports must include: |
(A) the number of inmates awarded earned sentence |
credit; |
(B) the average amount of earned sentence credit |
awarded; |
(C) the holding offenses of inmates awarded earned |
sentence credit; and |
(D) the number of earned sentence credit revocations. |
(4)(A) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations shall also provide |
that any prisoner who is engaged full-time in substance abuse |
programs, correctional
industry assignments, educational |
programs, work-release programs or activities in accordance |
with Article 13 of Chapter III of this Code, behavior |
modification programs, life skills courses, or re-entry |
planning provided by the Department
under this paragraph (4) |
and satisfactorily completes the assigned program as
|
determined by the standards of the Department, shall receive |
one day of sentence credit for each day in which that prisoner |
is engaged in the activities described in this paragraph.
The |
rules and regulations shall also provide that sentence credit |
may be provided to an inmate who was held in pre-trial |
detention prior to his or her current commitment to the |
|
Department of Corrections and successfully completed a |
full-time, 60-day or longer substance abuse program, |
educational program, behavior modification program, life |
skills course, or re-entry planning provided by the county |
department of corrections or county jail. Calculation of this |
county program credit shall be done at sentencing as provided |
in Section 5-4.5-100 of this Code and shall be included in the |
sentencing order. The rules and regulations shall also provide |
that sentence credit may be provided to an inmate who is in |
compliance with programming requirements in an adult |
transition center.
|
(B) The Department shall award sentence credit under this |
paragraph (4) accumulated prior to January 1, 2020 (the |
effective date of Public Act 101-440) in an amount specified |
in subparagraph (C) of this paragraph (4) to an inmate serving |
a sentence for an offense committed prior to June 19, 1998, if |
the Department determines that the inmate is entitled to this |
sentence credit, based upon: |
(i) documentation provided by the Department that the |
inmate engaged in any full-time substance abuse programs, |
correctional industry assignments, educational programs, |
behavior modification programs, life skills courses, or |
re-entry planning provided by the Department under this |
paragraph (4) and satisfactorily completed the assigned |
program as determined by the standards of the Department |
during the inmate's current term of incarceration; or |
|
(ii) the inmate's own testimony in the form of an |
affidavit or documentation, or a third party's |
documentation or testimony in the form of an affidavit |
that the inmate likely engaged in any full-time substance |
abuse programs, correctional industry assignments, |
educational programs, behavior modification programs, life |
skills courses, or re-entry planning provided by the |
Department under paragraph (4) and satisfactorily |
completed the assigned program as determined by the |
standards of the Department during the inmate's current |
term of incarceration. |
(C) If the inmate can provide documentation that he or she |
is entitled to sentence credit under subparagraph (B) in |
excess of 45 days of participation in those programs, the |
inmate shall receive 90 days of sentence credit. If the inmate |
cannot provide documentation of more than 45 days of |
participation in those programs, the inmate shall receive 45 |
days of sentence credit. In the event of a disagreement |
between the Department and the inmate as to the amount of |
credit accumulated under subparagraph (B), if the Department |
provides documented proof of a lesser amount of days of |
participation in those programs, that proof shall control. If |
the Department provides no documentary proof, the inmate's |
proof as set forth in clause (ii) of subparagraph (B) shall |
control as to the amount of sentence credit provided. |
(D) If the inmate has been convicted of a sex offense as |
|
defined in Section 2 of the Sex Offender Registration Act, |
sentencing credits under subparagraph (B) of this paragraph |
(4) shall be awarded by the Department only if the conditions |
set forth in paragraph (4.6) of subsection (a) are satisfied. |
No inmate serving a term of natural life imprisonment shall |
receive sentence credit under subparagraph (B) of this |
paragraph (4). |
Educational, vocational, substance abuse, behavior |
modification programs, life skills courses, re-entry planning, |
and correctional
industry programs under which sentence credit |
may be earned under
this paragraph (4) and paragraph (4.1) of |
this subsection (a) shall be evaluated by the Department on |
the basis of
documented standards. The Department shall report |
the results of these
evaluations to the Governor and the |
General Assembly by September 30th of each
year. The reports |
shall include data relating to the recidivism rate among
|
program participants.
|
Availability of these programs shall be subject to the
|
limits of fiscal resources appropriated by the General |
Assembly for these
purposes. Eligible inmates who are denied |
immediate admission shall be
placed on a waiting list under |
criteria established by the Department. The rules and |
regulations shall provide that a prisoner who has been placed |
on a waiting list but is transferred for non-disciplinary |
reasons before beginning a program shall receive priority |
placement on the waitlist for appropriate programs at the new |
|
facility.
The inability of any inmate to become engaged in any |
such programs
by reason of insufficient program resources or |
for any other reason
established under the rules and |
regulations of the Department shall not be
deemed a cause of |
action under which the Department or any employee or
agent of |
the Department shall be liable for damages to the inmate. The |
rules and regulations shall provide that a prisoner who begins |
an educational, vocational, substance abuse, work-release |
programs or activities in accordance with Article 13 of |
Chapter III of this Code, behavior modification program, life |
skills course, re-entry planning, or correctional industry |
programs but is unable to complete the program due to illness, |
disability, transfer, lockdown, or another reason outside of |
the prisoner's control shall receive prorated sentence credits |
for the days in which the prisoner did participate.
|
(4.1) Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations shall also provide |
that an additional 90 days of sentence credit shall be awarded |
to any prisoner who passes high school equivalency testing |
while the prisoner is committed to the Department of |
Corrections. The sentence credit awarded under this paragraph |
(4.1) shall be in addition to, and shall not affect, the award |
of sentence credit under any other paragraph of this Section, |
but shall also be pursuant to the guidelines and restrictions |
set forth in paragraph (4) of subsection (a) of this Section.
|
The sentence credit provided for in this paragraph shall be |
|
available only to those prisoners who have not previously |
earned a high school diploma or a State of Illinois High School |
Diploma. If, after an award of the high school equivalency |
testing sentence credit has been made, the Department |
determines that the prisoner was not eligible, then the award |
shall be revoked.
The Department may also award 90 days of |
sentence credit to any committed person who passed high school |
equivalency testing while he or she was held in pre-trial |
detention prior to the current commitment to the Department of |
Corrections. Except as provided in paragraph (4.7) of this |
subsection (a), the rules and regulations shall provide that |
an additional 120 days of sentence credit shall be awarded to |
any prisoner who obtains an associate degree while the |
prisoner is committed to the Department of Corrections, |
regardless of the date that the associate degree was obtained, |
including if prior to July 1, 2021 (the effective date of |
Public Act 101-652). The sentence credit awarded under this |
paragraph (4.1) shall be in addition to, and shall not affect, |
the award of sentence credit under any other paragraph of this |
Section, but shall also be under the guidelines and |
restrictions set forth in paragraph (4) of subsection (a) of |
this Section. The sentence credit provided for in this |
paragraph (4.1) shall be available only to those prisoners who |
have not previously earned an associate degree prior to the |
current commitment to the Department of Corrections. If, after |
an award of the associate degree sentence credit has been made |
|
and the Department determines that the prisoner was not |
eligible, then the award shall be revoked. The Department may |
also award 120 days of sentence credit to any committed person |
who earned an associate degree while he or she was held in |
pre-trial detention prior to the current commitment to the |
Department of Corrections. |
Except as provided in paragraph (4.7) of this subsection |
(a), the rules and regulations shall provide that an |
additional 180 days of sentence credit shall be awarded to any |
prisoner who obtains a bachelor's degree while the prisoner is |
committed to the Department of Corrections. The sentence |
credit awarded under this paragraph (4.1) shall be in addition |
to, and shall not affect, the award of sentence credit under |
any other paragraph of this Section, but shall also be under |
the guidelines and restrictions set forth in paragraph (4) of |
this subsection (a). The sentence credit provided for in this |
paragraph shall be available only to those prisoners who have |
not earned a bachelor's degree prior to the current commitment |
to the Department of Corrections. If, after an award of the |
bachelor's degree sentence credit has been made, the |
Department determines that the prisoner was not eligible, then |
the award shall be revoked. The Department may also award 180 |
days of sentence credit to any committed person who earned a |
bachelor's degree while he or she was held in pre-trial |
detention prior to the current commitment to the Department of |
Corrections. |
|
Except as provided in paragraph (4.7) of this subsection |
(a), the rules and regulations shall provide that an |
additional 180 days of sentence credit shall be awarded to any |
prisoner who obtains a master's or professional degree while |
the prisoner is committed to the Department of Corrections. |
The sentence credit awarded under this paragraph (4.1) shall |
be in addition to, and shall not affect, the award of sentence |
credit under any other paragraph of this Section, but shall |
also be under the guidelines and restrictions set forth in |
paragraph (4) of this subsection (a). The sentence credit |
provided for in this paragraph shall be available only to |
those prisoners who have not previously earned a master's or |
professional degree prior to the current commitment to the |
Department of Corrections. If, after an award of the master's |
or professional degree sentence credit has been made, the |
Department determines that the prisoner was not eligible, then |
the award shall be revoked. The Department may also award 180 |
days of sentence credit to any committed person who earned a |
master's or professional degree while he or she was held in |
pre-trial detention prior to the current commitment to the |
Department of Corrections. |
(4.2) The rules and regulations shall also provide that |
any prisoner engaged in self-improvement programs, volunteer |
work, or work assignments that are not otherwise eligible |
activities under paragraph (4), shall receive up to 0.5 days |
of sentence credit for each day in which the prisoner is |
|
engaged in activities described in this paragraph. |
(4.5) The rules and regulations on sentence credit shall |
also provide that
when the court's sentencing order recommends |
a prisoner for substance abuse treatment and the
crime was |
committed on or after September 1, 2003 (the effective date of
|
Public Act 93-354), the prisoner shall receive no sentence |
credit awarded under clause (3) of this subsection (a) unless |
he or she participates in and
completes a substance abuse |
treatment program. The Director of Corrections may waive the |
requirement to participate in or complete a substance abuse |
treatment program in specific instances if the prisoner is not |
a good candidate for a substance abuse treatment program for |
medical, programming, or operational reasons. Availability of
|
substance abuse treatment shall be subject to the limits of |
fiscal resources
appropriated by the General Assembly for |
these purposes. If treatment is not
available and the |
requirement to participate and complete the treatment has not |
been waived by the Director, the prisoner shall be placed on a |
waiting list under criteria
established by the Department. The |
Director may allow a prisoner placed on
a waiting list to |
participate in and complete a substance abuse education class |
or attend substance
abuse self-help meetings in lieu of a |
substance abuse treatment program. A prisoner on a waiting |
list who is not placed in a substance abuse program prior to |
release may be eligible for a waiver and receive sentence |
credit under clause (3) of this subsection (a) at the |
|
discretion of the Director.
|
(4.6) The rules and regulations on sentence credit shall |
also provide that a prisoner who has been convicted of a sex |
offense as defined in Section 2 of the Sex Offender |
Registration Act shall receive no sentence credit unless he or |
she either has successfully completed or is participating in |
sex offender treatment as defined by the Sex Offender |
Management Board. However, prisoners who are waiting to |
receive treatment, but who are unable to do so due solely to |
the lack of resources on the part of the Department, may, at |
either Director's sole discretion, be awarded sentence credit |
at a rate as the Director shall determine. |
(4.7) On or after January 1, 2018 (the effective date of |
Public Act 100-3), sentence credit under paragraph (3), (4), |
or (4.1) of this subsection (a) may be awarded to a prisoner |
who is serving a sentence for an offense described in |
paragraph (2), (2.3), (2.4), (2.5), or (2.6) for credit earned |
on or after January 1, 2018 (the effective date of Public Act |
100-3); provided, the award of the credits under this |
paragraph (4.7) shall not reduce the sentence of the prisoner |
to less than the following amounts: |
(i) 85% of his or her sentence if the prisoner is |
required to serve 85% of his or her sentence; or |
(ii) 60% of his or her sentence if the prisoner is |
required to serve 75% of his or her sentence, except if the |
prisoner is serving a sentence for gunrunning his or her |
|
sentence shall not be reduced to less than 75%. |
(iii) 100% of his or her sentence if the prisoner is |
required to serve 100% of his or her sentence. |
(5) Whenever the Department is to release any inmate |
earlier than it
otherwise would because of a grant of earned |
sentence credit under paragraph (3) of subsection (a) of this |
Section given at any time during the term, the Department |
shall give
reasonable notice of the impending release not less |
than 14 days prior to the date of the release to the State's
|
Attorney of the county where the prosecution of the inmate |
took place, and if applicable, the State's Attorney of the |
county into which the inmate will be released. The Department |
must also make identification information and a recent photo |
of the inmate being released accessible on the Internet by |
means of a hyperlink labeled "Community Notification of Inmate |
Early Release" on the Department's World Wide Web homepage.
|
The identification information shall include the inmate's: |
name, any known alias, date of birth, physical |
characteristics, commitment offense, and county where |
conviction was imposed. The identification information shall |
be placed on the website within 3 days of the inmate's release |
and the information may not be removed until either: |
completion of the first year of mandatory supervised release |
or return of the inmate to custody of the Department.
|
(b) Whenever a person is or has been committed under
|
several convictions, with separate sentences, the sentences
|
|
shall be construed under Section 5-8-4 in granting and
|
forfeiting of sentence credit.
|
(c) (1) The Department shall prescribe rules and |
regulations
for revoking sentence credit, including revoking |
sentence credit awarded under paragraph (3) of subsection (a) |
of this Section. The Department shall prescribe rules and |
regulations establishing and requiring the use of a sanctions |
matrix for revoking sentence credit. The Department shall |
prescribe rules and regulations for suspending or reducing
the |
rate of accumulation of sentence credit for specific
rule |
violations, during imprisonment. These rules and regulations
|
shall provide that no inmate may be penalized more than one
|
year of sentence credit for any one infraction.
|
(2) When the Department seeks to revoke, suspend, or |
reduce
the rate of accumulation of any sentence credits for
an |
alleged infraction of its rules, it shall bring charges
|
therefor against the prisoner sought to be so deprived of
|
sentence credits before the Prisoner Review Board as
provided |
in subparagraph (a)(4) of Section 3-3-2 of this
Code, if the |
amount of credit at issue exceeds 30 days, whether from one |
infraction or cumulatively from multiple infractions arising |
out of a single event, 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 those 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 30 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 within any calendar year |
for any prisoner or to increase any penalty
beyond the length |
requested by the Department.
|
(3) The Director of Corrections or the Director of |
Juvenile Justice, in appropriate cases, may
restore sentence |
credits which have been revoked, suspended,
or reduced. The |
Department shall prescribe rules and regulations governing the |
restoration of sentence credits. These rules and regulations |
shall provide for the automatic restoration of sentence |
credits following a period in which the prisoner maintains a |
record without a disciplinary violation.
|
Nothing contained in this Section shall prohibit the |
Prisoner Review Board
from ordering, pursuant to Section |
3-3-9(a)(3)(i)(B), that a prisoner serve up
to one year of the |
sentence imposed by the court that was not served due to the
|
accumulation of sentence credit.
|
(d) If a lawsuit is filed by a prisoner in an Illinois or |
federal court
against the State, the Department of |
Corrections, or the Prisoner Review Board,
or against any of
|
their officers or employees, and the court makes a specific |
finding that a
pleading, motion, or other paper filed by the |
prisoner is frivolous, the
Department of Corrections shall |
|
conduct a hearing to revoke up to
180 days of sentence credit |
by bringing charges against the prisoner
sought to be deprived |
of the sentence credits before the Prisoner Review
Board as |
provided in subparagraph (a)(8) of Section 3-3-2 of this Code.
|
If the prisoner has not accumulated 180 days of sentence |
credit at the
time of the finding, then the Prisoner Review |
Board may revoke all
sentence credit accumulated by the |
prisoner.
|
For purposes of this subsection (d):
|
(1) "Frivolous" means that a pleading, motion, or |
other filing which
purports to be a legal document filed |
by a prisoner in his or her lawsuit meets
any or all of the |
following criteria:
|
(A) it lacks an arguable basis either in law or in |
fact;
|
(B) it is being presented for any improper |
purpose, such as to harass or
to cause unnecessary |
delay or needless increase in the cost of litigation;
|
(C) the claims, defenses, and other legal |
contentions therein are not
warranted by existing law |
or by a nonfrivolous argument for the extension,
|
modification, or reversal of existing law or the |
establishment of new law;
|
(D) the allegations and other factual contentions |
do not have
evidentiary
support or, if specifically so |
identified, are not likely to have evidentiary
support |
|
after a reasonable opportunity for further |
investigation or discovery;
or
|
(E) the denials of factual contentions are not |
warranted on the
evidence, or if specifically so |
identified, are not reasonably based on a lack
of |
information or belief.
|
(2) "Lawsuit" means a motion pursuant to Section
116-3 |
of the Code of Criminal Procedure of 1963, a habeas corpus |
action under
Article X of the Code of Civil Procedure or |
under federal law (28 U.S.C. 2254),
a petition for claim |
under the Court of Claims Act, an action under the
federal |
Civil Rights Act (42 U.S.C. 1983), or a second or |
subsequent petition for post-conviction relief under |
Article 122 of the Code of Criminal Procedure of 1963 |
whether filed with or without leave of court or a second or |
subsequent petition for relief from judgment under Section |
2-1401 of the Code of Civil Procedure.
|
(e) Nothing in Public Act 90-592 or 90-593 affects the |
validity of Public Act 89-404.
|
(f) Whenever the Department is to release any inmate who |
has been convicted of a violation of an order of protection |
under Section 12-3.4 or 12-30 of the Criminal Code of 1961 or |
the Criminal Code of 2012, earlier than it
otherwise would |
because of a grant of sentence credit, the Department, as a |
condition of release, shall require that the person, upon |
release, be placed under electronic surveillance as provided |
|
in Section 5-8A-7 of this Code. |
(Source: P.A. 101-440, eff. 1-1-20; 101-652, eff. 7-1-21; |
102-28, eff. 6-25-21; 102-558, eff. 8-20-21; 102-784, eff. |
5-13-22; 102-1100, eff. 1-1-23; revised 12-14-22.)
|
(730 ILCS 5/3-6-7.3) |
Sec. 3-6-7.3. Committed person post-partum recovery |
requirements. The Department shall ensure that, for a period |
of 72 hours after the birth of an infant by a an committed |
person: |
(1) the infant is allowed to remain with the committed |
person, unless a medical professional determines doing so |
would pose a health or safety risk to the committed person |
or infant based on information only available to the |
Department. The mental health professional shall make any |
such determination on an individualized basis and in |
consultation with the birthing team of the pregnant person |
and the Chief of the Women's Division. The birthing team |
shall include the committed person's perinatal care |
providers and doula, if available; and |
(2) the committed person has access to any nutritional |
or hygiene-related products necessary to care for the |
infant, including diapers.
|
(Source: P.A. 101-652, eff. 7-1-21; 102-28, eff. 6-25-21; |
revised 2-28-22.)
|
|
(730 ILCS 5/3-7-2) (from Ch. 38, par. 1003-7-2) |
(Text of Section before amendment by P.A. 102-1111 ) |
Sec. 3-7-2. Facilities. |
(a) All institutions and facilities of the Department |
shall provide
every committed person with access to toilet |
facilities, barber
facilities, bathing facilities at least |
once each week, a library of
legal materials and published |
materials including newspapers and magazines
approved by the |
Director. A committed person may not receive any materials
|
that the Director deems pornographic. |
(b) (Blank). |
(c) All institutions and facilities of the Department |
shall provide
facilities for every committed person to leave |
his cell for at least one
hour each day unless the chief |
administrative officer determines that it
would be harmful or |
dangerous to the security or safety of the
institution or |
facility. |
(d) All institutions and facilities of the Department |
shall provide
every committed person with a wholesome and |
nutritional diet at
regularly scheduled hours, drinking water, |
clothing adequate for the
season, bedding, soap and towels and |
medical and dental care. |
(e) All institutions and facilities of the Department |
shall permit
every committed person to send and receive an |
unlimited number of
uncensored letters, provided, however, |
that the Director may order that
mail be inspected and read for |
|
reasons of the security, safety or morale
of the institution |
or facility. |
(f) All of the institutions and facilities of the |
Department shall
permit every committed person to receive |
in-person visitors and video contact, if available, except in |
case of
abuse of the visiting privilege or when the chief |
administrative officer
determines that such visiting would be |
harmful or dangerous to the
security, safety or morale of the |
institution or facility.
Each committed person is entitled to |
7 visits per month. Every committed person may submit a list of |
at least 30 persons to the Department that are authorized to |
visit the committed person. The list shall be kept in an |
electronic format by the Department beginning on August 1, |
2019, as well as available in paper form for Department |
employees. The chief administrative officer shall have the |
right to restrict visitation
to non-contact visits, video, or |
other forms of non-contact visits for reasons of safety, |
security, and order, including,
but not limited to, |
restricting contact visits for committed persons engaged in
|
gang activity.
No committed person in a super maximum security |
facility or on disciplinary
segregation is allowed contact |
visits. Any committed person found in
possession of illegal |
drugs or who fails a drug test shall not be permitted
contact |
visits for a period of at least 6 months. Any committed person
|
involved in gang activities or found guilty of assault |
committed against a
Department employee shall not be permitted |
|
contact visits for a period of at
least 6 months. The |
Department shall offer every visitor appropriate written |
information concerning HIV and AIDS, including information |
concerning how to contact the Illinois Department of Public |
Health for counseling information. The Department shall |
develop the written materials in consultation with the |
Department of Public Health. The Department shall ensure that |
all such information and materials are culturally sensitive |
and reflect cultural diversity as appropriate. Implementation |
of the changes made to this Section by Public Act 94-629 is |
subject to appropriation.
The Department shall seek the lowest |
possible cost to provide video calling and shall charge to the |
extent of recovering any demonstrated costs of providing video |
calling. The Department shall not make a commission or profit |
from video calling services. Nothing in this Section shall be |
construed to permit video calling instead of in-person |
visitation. |
(f-5) (Blank). |
(f-10) The Department may not restrict or limit in-person |
visits to committed persons due to the availability of |
interactive video conferences. |
(f-15)(1) The Department shall issue a standard written |
policy for each institution and facility of the Department |
that provides for: |
(A) the number of in-person visits each committed
|
person is entitled to per week and per month including the |
|
requirements of subsection (f) of this Section; |
(B) the hours of in-person visits; |
(C) the type of identification required for visitors |
at least 18 years of age; and |
(D) the type of identification, if any, required for |
visitors under 18 years of age. |
(2) This policy shall be posted on the Department website
|
and at each facility. |
(3) The Department shall post on its website daily any
|
restrictions or denials of visitation for that day and the
|
succeeding 5 calendar days, including those based on a |
lockdown
of the facility, to inform family members and other |
visitors. |
(g) All institutions and facilities of the Department |
shall permit
religious ministrations and sacraments to be |
available to every
committed person, but attendance at |
religious services shall not be
required. |
(h) Within 90 days after December 31, 1996, the Department |
shall prohibit
the use of curtains, cell-coverings, or any |
other matter or object that
obstructs or otherwise impairs the |
line of vision into a committed person's
cell. |
(i) A point of contact person appointed under subsection |
(u-6) of Section 3-2-2 of this Code shall promptly and |
efficiently review suggestions, complaints, and other requests |
made by visitors to institutions and facilities of the |
Department and by other members of the public. Based on the |
|
nature of the submission, the point of contact person shall |
communicate with the appropriate division of the Department, |
disseminate the concern or complaint, and act as liaison |
between the parties to reach a resolution. |
(1) The point of contact person shall maintain |
information about the subject matter of each |
correspondence, including, but not limited to, information |
about the following subjects: |
(A) the parties making the submission; |
(B) any commissary-related concerns; |
(C) any concerns about the institution or |
facility's COVID protocols and mitigations; |
(D) any concerns about mail, video, or electronic |
messages or other communications with incarcerated |
persons; |
(E) any concerns about the institution or |
facility; |
(F) any discipline-related concerns; |
(G) any concerns about earned sentencing credits; |
(H) any concerns about educational opportunities |
for incarcerated persons; |
(I) any concerns about health-related matters; |
(J) any mental health concerns; |
(K) any concerns about personal property; |
(L) any concerns about the records of the |
incarcerated person; |
|
(M) any concerns about recreational opportunities |
for incarcerated persons; |
(N) any staffing-related concerns; |
(O) any concerns about the transfer of individuals |
in custody; |
(P) any concerns about visitation; and |
(Q) any concerns about work opportunities for |
incarcerated persons. |
The information shall be maintained in accordance with |
standards set by the Department of Corrections, and shall |
be made available to the Department's Planning and |
Research Division. The point of contact person shall |
provide a summary of the results of the review, including |
any resolution or recommendations made as a result of |
correspondence with the Planning and Research Division of |
the Department. |
(2) The Department shall provide an annual written |
report to the General Assembly and the Governor, with the |
first report due no later than January 1, 2023, and |
publish the report on its website within 48 hours after |
the report is transmitted to the Governor and the General |
Assembly. The report shall include a summary of activities |
undertaken and completed as a result of submissions to the |
point of contact person. The Department of Corrections |
shall collect and report the following aggregated and |
disaggregated data for each institution and facility and |
|
describe: |
(A) the work of the point of contact person; |
(B) the general nature of suggestions, complaints, |
and other requests submitted to the point of contact |
person; |
(C) the volume of emails, calls, letters, and |
other correspondence received by the point of contact |
person; |
(D) the resolutions reached or recommendations |
made as a result of the point of contact person's |
review; |
(E) whether, if an investigation is recommended, a |
report of the complaint was forwarded to the Chief |
Inspector of the Department or other Department |
employee, and the resolution of the complaint, and if |
the investigation has not concluded, a detailed status |
report on the complaint; and |
(F) any recommendations that the point of contact |
person has relating to systemic issues in the |
Department of Corrections, and any other matters for |
consideration by the General Assembly and the |
Governor. |
The name, address, or other personally identifiable |
information of a person who files a complaint, suggestion, |
or other request with the point of contact person, and |
confidential records shall be redacted from the annual |
|
report and are not subject to disclosure under the Freedom |
of Information Act. The Department shall disclose the |
records only if required by a court order on a showing of |
good cause. |
(3) The Department must post in a conspicuous place in |
the waiting area of every facility or institution a sign |
that contains in bold, black type the following: |
(A) a short statement notifying visitors of the |
point of contact person and that person's duty to |
receive suggestions, complaints, or other requests; |
and |
(B) information on how to submit suggestions, |
complaints, or other requests to the point of contact |
person. |
(Source: P.A. 102-1082, eff. 6-10-22.)
|
(Text of Section after amendment by P.A. 102-1111 ) |
Sec. 3-7-2. Facilities. |
(a) All institutions and facilities of the Department |
shall provide
every committed person with access to toilet |
facilities, barber
facilities, bathing facilities at least |
once each week, a library of
legal materials and published |
materials including newspapers and magazines
approved by the |
Director. A committed person may not receive any materials
|
that the Director deems pornographic. |
(b) (Blank). |
|
(c) All institutions and facilities of the Department |
shall provide
facilities for every committed person to leave |
his cell for at least one
hour each day unless the chief |
administrative officer determines that it
would be harmful or |
dangerous to the security or safety of the
institution or |
facility. |
(d) All institutions and facilities of the Department |
shall provide
every committed person with a wholesome and |
nutritional diet at
regularly scheduled hours, drinking water, |
clothing adequate for the
season, including underwear, |
bedding, soap and towels and medical and dental care. |
Underwear provided to each committed person in all |
institutions and facilities of the Department shall be free of |
charge and shall be provided at any time upon request, |
including multiple requests, of the committed person or as |
needed by the committed person. |
(e) All institutions and facilities of the Department |
shall permit
every committed person to send and receive an |
unlimited number of
uncensored letters, provided, however, |
that the Director may order that
mail be inspected and read for |
reasons of the security, safety or morale
of the institution |
or facility. |
(f) All of the institutions and facilities of the |
Department shall
permit every committed person to receive |
in-person visitors and video contact, if available, except in |
case of
abuse of the visiting privilege or when the chief |
|
administrative officer
determines that such visiting would be |
harmful or dangerous to the
security, safety or morale of the |
institution or facility.
Each committed person is entitled to |
7 visits per month. Every committed person may submit a list of |
at least 30 persons to the Department that are authorized to |
visit the committed person. The list shall be kept in an |
electronic format by the Department beginning on August 1, |
2019, as well as available in paper form for Department |
employees. The chief administrative officer shall have the |
right to restrict visitation
to non-contact visits, video, or |
other forms of non-contact visits for reasons of safety, |
security, and order, including,
but not limited to, |
restricting contact visits for committed persons engaged in
|
gang activity.
No committed person in a super maximum security |
facility or on disciplinary
segregation is allowed contact |
visits. Any committed person found in
possession of illegal |
drugs or who fails a drug test shall not be permitted
contact |
visits for a period of at least 6 months. Any committed person
|
involved in gang activities or found guilty of assault |
committed against a
Department employee shall not be permitted |
contact visits for a period of at
least 6 months. The |
Department shall offer every visitor appropriate written |
information concerning HIV and AIDS, including information |
concerning how to contact the Illinois Department of Public |
Health for counseling information. The Department shall |
develop the written materials in consultation with the |
|
Department of Public Health. The Department shall ensure that |
all such information and materials are culturally sensitive |
and reflect cultural diversity as appropriate. Implementation |
of the changes made to this Section by Public Act 94-629 is |
subject to appropriation.
The Department shall seek the lowest |
possible cost to provide video calling and shall charge to the |
extent of recovering any demonstrated costs of providing video |
calling. The Department shall not make a commission or profit |
from video calling services. Nothing in this Section shall be |
construed to permit video calling instead of in-person |
visitation. |
(f-5) (Blank). |
(f-10) The Department may not restrict or limit in-person |
visits to committed persons due to the availability of |
interactive video conferences. |
(f-15)(1) The Department shall issue a standard written |
policy for each institution and facility of the Department |
that provides for: |
(A) the number of in-person visits each committed
|
person is entitled to per week and per month including the |
requirements of subsection (f) of this Section; |
(B) the hours of in-person visits; |
(C) the type of identification required for visitors |
at least 18 years of age; and |
(D) the type of identification, if any, required for |
visitors under 18 years of age. |
|
(2) This policy shall be posted on the Department website
|
and at each facility. |
(3) The Department shall post on its website daily any
|
restrictions or denials of visitation for that day and the
|
succeeding 5 calendar days, including those based on a |
lockdown
of the facility, to inform family members and other |
visitors. |
(g) All institutions and facilities of the Department |
shall permit
religious ministrations and sacraments to be |
available to every
committed person, but attendance at |
religious services shall not be
required. |
(h) Within 90 days after December 31, 1996, the Department |
shall prohibit
the use of curtains, cell-coverings, or any |
other matter or object that
obstructs or otherwise impairs the |
line of vision into a committed person's
cell. |
(i) A point of contact person appointed under subsection |
(u-6) of Section 3-2-2 of this Code shall promptly and |
efficiently review suggestions, complaints, and other requests |
made by visitors to institutions and facilities of the |
Department and by other members of the public. Based on the |
nature of the submission, the point of contact person shall |
communicate with the appropriate division of the Department, |
disseminate the concern or complaint, and act as liaison |
between the parties to reach a resolution. |
(1) The point of contact person shall maintain |
information about the subject matter of each |
|
correspondence, including, but not limited to, information |
about the following subjects: |
(A) the parties making the submission; |
(B) any commissary-related concerns; |
(C) any concerns about the institution or |
facility's COVID protocols and mitigations; |
(D) any concerns about mail, video, or electronic |
messages or other communications with incarcerated |
persons; |
(E) any concerns about the institution or |
facility; |
(F) any discipline-related concerns; |
(G) any concerns about earned sentencing credits; |
(H) any concerns about educational opportunities |
for incarcerated persons; |
(I) any concerns about health-related matters; |
(J) any mental health concerns; |
(K) any concerns about personal property; |
(L) any concerns about the records of the |
incarcerated person; |
(M) any concerns about recreational opportunities |
for incarcerated persons; |
(N) any staffing-related concerns; |
(O) any concerns about the transfer of individuals |
in custody; |
(P) any concerns about visitation; and |
|
(Q) any concerns about work opportunities for |
incarcerated persons. |
The information shall be maintained in accordance with |
standards set by the Department of Corrections, and shall |
be made available to the Department's Planning and |
Research Division. The point of contact person shall |
provide a summary of the results of the review, including |
any resolution or recommendations made as a result of |
correspondence with the Planning and Research Division of |
the Department. |
(2) The Department shall provide an annual written |
report to the General Assembly and the Governor, with the |
first report due no later than January 1, 2023, and |
publish the report on its website within 48 hours after |
the report is transmitted to the Governor and the General |
Assembly. The report shall include a summary of activities |
undertaken and completed as a result of submissions to the |
point of contact person. The Department of Corrections |
shall collect and report the following aggregated and |
disaggregated data for each institution and facility and |
describe: |
(A) the work of the point of contact person; |
(B) the general nature of suggestions, complaints, |
and other requests submitted to the point of contact |
person; |
(C) the volume of emails, calls, letters, and |
|
other correspondence received by the point of contact |
person; |
(D) the resolutions reached or recommendations |
made as a result of the point of contact person's |
review; |
(E) whether, if an investigation is recommended, a |
report of the complaint was forwarded to the Chief |
Inspector of the Department or other Department |
employee, and the resolution of the complaint, and if |
the investigation has not concluded, a detailed status |
report on the complaint; and |
(F) any recommendations that the point of contact |
person has relating to systemic issues in the |
Department of Corrections, and any other matters for |
consideration by the General Assembly and the |
Governor. |
The name, address, or other personally identifiable |
information of a person who files a complaint, suggestion, |
or other request with the point of contact person, and |
confidential records shall be redacted from the annual |
report and are not subject to disclosure under the Freedom |
of Information Act. The Department shall disclose the |
records only if required by a court order on a showing of |
good cause. |
(3) The Department must post in a conspicuous place in |
the waiting area of every facility or institution a sign |
|
that contains in bold, black type the following: |
(A) a short statement notifying visitors of the |
point of contact person and that person's duty to |
receive suggestions, complaints, or other requests; |
and |
(B) information on how to submit suggestions, |
complaints, or other requests to the point of contact |
person. |
(j) (i) Menstrual hygiene products shall be available, as |
needed, free of charge, at all institutions and facilities of |
the Department for all committed persons who menstruate. In |
this subsection (j) (i) , "menstrual hygiene products" means |
tampons and sanitary napkins for use in connection with
the |
menstrual cycle. |
(Source: P.A. 102-1082, eff. 6-10-22; 102-1111, eff. 6-1-23; |
revised 1-8-23.)
|
Section 700. The Illinois Substance Abuse Treatment |
Program is amended by changing Section 1 as follows:
|
(730 ILCS 145/1) (from Ch. 38, par. 1531)
|
Sec. 1. Short Title. This Act shall be known and may be |
cited as the
Illinois Substance Abuse Treatment Program Act .
|
(Source: P.A. 86-1320; revised 2-28-22.)
|
Section 705. The Veterans and Servicemembers Court
|
|
Treatment Act is amended by changing Section 20 as follows:
|
(730 ILCS 167/20) |
Sec. 20. Eligibility. Veterans and servicemembers are |
eligible for veterans and servicemembers courts, provided the |
following:
|
(a)
A defendant may be admitted into a veterans and |
servicemembers court program only upon the consent of the |
defendant and with the approval of the court. A defendant |
agrees to be admitted when a written consent to |
participate is provided to the court in open court and the |
defendant acknowledges understanding of its contents. |
(a-5) Each veterans and servicemembers court shall |
have a target population defined in its written policies |
and procedures. The policies and procedures shall define |
that court's eligibility and exclusionary criteria. |
(b) A defendant shall be excluded from a veterans |
Veterans and servicemembers court Servicemembers Court |
program if
any of one of the following applies:
|
(1) The crime is a crime of violence as set forth |
in paragraph (3) of this subsection (b). |
(2) The defendant does not demonstrate a |
willingness to participate in a treatment
program.
|
(3) The defendant has been convicted of a crime of |
violence within the past 5
years excluding |
incarceration time, parole, and periods of mandatory |
|
supervised release. As used in this paragraph, "crime |
of violence" means: first degree murder,
second degree |
murder, predatory criminal sexual assault of a child, |
aggravated criminal
sexual assault, criminal sexual |
assault, armed robbery, aggravated arson, arson,
|
aggravated kidnapping and kidnapping, aggravated |
battery resulting in great bodily harm
or permanent |
disability, aggravated domestic battery resulting in |
great bodily harm or permanent disability, aggravated |
criminal sexual abuse by a person in a position of |
trust or authority over a child, stalking, aggravated |
stalking, home invasion, aggravated vehicular |
hijacking, or any offense involving the
discharge of a |
firearm. |
(4) The defendant is charged with a violation of |
subparagraph (F) of paragraph (1) of subsection (d) of |
Section 11-501 of the Illinois Vehicle Code in which |
an individual is charged with aggravated driving under |
the influence that resulted in the death of another |
person or when the violation was a proximate cause of |
the death, unless, pursuant to subparagraph (G) of |
paragraph (1) of subsection (d) of Section 11-501 of |
the Illinois Vehicle Code, the court determines that |
extraordinary circumstances exist and require |
probation.
|
(5) (Blank). |
|
(6) (Blank).
|
(c) Notwithstanding subsection (a), the defendant may |
be admitted into a veterans and servicemembers court |
program only upon the agreement of the prosecutor if the |
defendant is charged with a Class 2 or
greater felony |
violation of: |
(1) Section 401, 401.1, 405, or 405.2 of the
|
Illinois Controlled Substances Act; |
(2) Section 5, 5.1, or 5.2 of the Cannabis
Control |
Act; or |
(3) Section 15, 20, 25, 30, 35, 40, 45, 50, 55,
56, |
or 65 of the Methamphetamine Control and Community |
Protection Act. |
(Source: P.A. 101-652, eff. 7-1-21; 102-1041, eff. 6-2-22; |
revised 8-19-22.)
|
Section 710. The Eminent Domain Act is amended by changing |
Sections 15-5-35 and 15-5-48 as follows:
|
(735 ILCS 30/15-5-35)
|
Sec. 15-5-35. Eminent domain powers in ILCS Chapters 605 |
through 630 625 . 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 |
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 |
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.
|
(630 ILCS 10/60); Innovations for Transportation |
Infrastructure Act; for the purposes of constructing a |
transportation facility under the Act. |
(Source: P.A. 97-808, eff. 7-13-12; incorporates 98-109, eff. |
7-25-13; 98-756, eff. 7-16-14; revised 9-12-22.)
|
(735 ILCS 30/15-5-48) |
Sec. 15-5-48. 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 Innovations for Transportation |
Infrastructure Act; for the purposes of constructing a |
transportation facility under the Act.
|
(Source: P.A. 102-1094, eff. 6-15-22; revised 9-12-22 .)
|
Section 715. The Stalking No Contact Order Act is amended |
by changing Sections 20 and 70 as follows:
|
(740 ILCS 21/20)
|
Sec. 20. Commencement of action; filing fees. |
(a) An action for a stalking no contact order is |
commenced: |
(1) independently, by filing a petition for a stalking |
no contact order in any civil court, unless specific |
courts are designated by local rule or order; or |
(2) in conjunction with a delinquency petition or a |
criminal prosecution as provided in Article 112A of the |
Code of Criminal Procedure of 1963. |
(a-1) A petition for a stalking no contact order may be |
filed in person in-person or online. |
(a-5) When a petition for an emergency stalking no contact |
order is filed, the petition and file shall not be public and |
shall only be accessible to the court, law enforcement, |
petitioner, victim advocate, counsel of record for either |
|
party, and the State's Attorney for the county until the |
petition is served on the respondent. |
(b) Withdrawal or dismissal of any petition for a stalking |
no contact order prior to adjudication where the petitioner is |
represented by the State shall operate as a dismissal without |
prejudice. No action for a stalking no contact order shall be |
dismissed because the respondent is being prosecuted for a |
crime against the petitioner. For any action commenced under |
item (2) of subsection (a) of this Section, dismissal of the |
conjoined case (or a finding of not guilty) shall not require |
dismissal of the action for a stalking no contact order; |
instead, it may be treated as an independent action and, if |
necessary and appropriate, transferred to a different court or |
division. |
(c) No fee shall be charged by the clerk of the court for |
filing petitions or modifying or certifying orders. No fee |
shall be charged by the sheriff for service by the sheriff of a |
petition, rule, motion, or order in an action commenced under |
this Section. |
(d) The court shall provide, through the office of the |
clerk of the court, simplified forms for filing of a petition |
under this Section by any person not represented by counsel.
|
(Source: P.A. 101-255, eff. 1-1-20; 102-831, eff. 5-13-22; |
102-853, eff. 1-1-23; revised 12-14-22.)
|
(740 ILCS 21/70) |
|
Sec. 70. Hearings. |
(a) A petition for a stalking no contact order shall be |
treated as an expedited proceeding, and no court may transfer |
or otherwise decline to decide all or part of such petition. |
Nothing in this Section shall prevent the court from reserving |
issues if jurisdiction or notice requirements are not met.
|
(b) A court in a county with a population above 250,000 |
shall offer the option of a remote hearing to a petitioner for |
a stalking no contact order. The court has the discretion to |
grant or deny the request for a remote hearing. Each court |
shall determine the procedure for a remote hearing. The |
petitioner and respondent may appear remotely or in person |
in-person . |
The court shall issue and publish a court order, standing |
order, or local rule detailing information about the process |
for requesting and participating in a remote court appearance. |
The court order, standing order, or local rule shall be |
published on the court's website and posted on signs |
throughout the courthouse, including in the clerk's office. |
The sign shall be written in plain language and include |
information about the availability of remote court appearances |
and the process for requesting a remote hearing. |
(Source: P.A. 102-853, eff. 1-1-23; revised 12-12-22.)
|
Section 720. The Civil No Contact Order Act is amended by |
changing Sections 202 and 210 as follows:
|
|
(740 ILCS 22/202)
|
Sec. 202. Commencement of action; filing fees.
|
(a) An action for a civil no contact order is commenced:
|
(1) independently, by filing a petition for a civil no |
contact order in any civil court,
unless specific courts |
are designated by local rule or order; or
|
(2) in conjunction with a
delinquency
petition or a |
criminal prosecution as provided in Article 112A of the |
Code of Criminal Procedure of 1963.
|
(a-1) A petition for a civil no contact order may be filed |
in person in-person or online. |
(a-5) When a petition for an emergency civil no contact |
order is filed, the petition and file shall not be public and |
shall only be accessible to the court, law enforcement, |
petitioner, rape crisis advocate, counsel of record for either |
party, and the State's Attorney for the county until the |
petition is served on the respondent. |
(b) Withdrawal or dismissal of any petition for a
civil no |
contact order
prior to adjudication where the petitioner is |
represented by the State shall
operate as a dismissal without |
prejudice. No action for a civil no contact
order shall be |
dismissed because the respondent is being prosecuted for a |
crime
against the petitioner. For any action commenced under |
item (2) of subsection
(a) of
this Section, dismissal of the |
conjoined case (or a finding of not guilty)
shall not require |
|
dismissal of the action for a civil no contact order;
instead, |
it may be treated as an independent action and, if necessary |
and
appropriate, transferred to a different court or division.
|
(c) No fee shall be
charged by the clerk of the court for |
filing petitions or modifying or
certifying orders. No
fee
|
shall be charged by the sheriff for service by the sheriff of a
|
petition, rule, motion, or order in an action commenced under |
this
Section.
|
(d) The court shall provide, through the office
of the |
clerk of the court, simplified forms for filing of a petition |
under this Section by any
person not represented by counsel.
|
(Source: P.A. 101-255, eff. 1-1-20; 102-831, eff. 5-13-22; |
102-853, eff. 1-1-23; revised 12-14-22.)
|
(740 ILCS 22/210)
|
Sec. 210. Hearings. |
(a) A petition for a civil no contact order shall be
|
treated as an expedited proceeding, and no court may transfer |
or otherwise
decline
to decide all or part of such petition. |
Nothing in this Section shall prevent
the court from reserving |
issues if jurisdiction or notice requirements are not
met.
|
(b) A court in a county with a population above 250,000 |
shall offer the option of a remote hearing to a petitioner for |
a civil no contact order. The court has the discretion to grant |
or deny the request for a remote hearing. Each court shall |
determine the procedure for a remote hearing. The petitioner |
|
and respondent may appear remotely or in person in-person . |
The court shall issue and publish a court order, standing |
order, or local rule detailing information about the process |
for requesting and participating in a remote court appearance. |
The court order, standing order, or local rule shall be |
published on the court's website and posted on signs |
throughout the courthouse, including in the clerk's office. |
The sign shall be written in plain language and include |
information about the availability of remote court appearances |
and the process for requesting a remote hearing. |
(Source: P.A. 102-853, eff. 1-1-23; revised 12-12-22.)
|
Section 725. The Crime Victims Compensation Act is amended |
by changing Section 2 as follows:
|
(740 ILCS 45/2)
|
(Text of Section before amendment by P.A. 102-982 ) |
Sec. 2. Definitions. As used in this Act, unless the |
context
otherwise requires:
|
(a) "Applicant" means any person who applies for |
compensation under this
Act or any person the Court of Claims |
or the Attorney General finds is entitled to compensation,
|
including the guardian of a minor or of a person under legal |
disability. It
includes any person who was a dependent of a |
deceased victim of a crime of
violence for his or her support |
at the time of the death of that victim.
|
|
The changes made to this subsection by Public Act 101-652 |
this amendatory Act of the 101st General Assembly apply to |
actions commenced or pending on or after January 1, 2022. |
(b) "Court of Claims" means the Court of Claims created by |
the Court
of Claims Act.
|
(c) "Crime of violence" means and includes any offense |
defined in
Sections 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 10-1, |
10-2, 10-9, 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, |
11-11, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 11-23, 11-23.5, |
12-1,
12-2,
12-3, 12-3.1, 12-3.2,
12-3.3,
12-3.4, 12-4, |
12-4.1, 12-4.2, 12-4.3, 12-5, 12-7.1, 12-7.3, 12-7.4, 12-13, |
12-14,
12-14.1, 12-15,
12-16, 12-20.5, 12-30, 20-1 or 20-1.1, |
or Section 12-3.05 except for subdivision (a)(4) or (g)(1), or |
subdivision (a)(4) of Section 11-14.4, of the Criminal Code of |
1961 or the Criminal Code of 2012, Sections 1(a) and 1(a-5) of |
the Cemetery Protection Act, Section 125 of the Stalking No |
Contact Order Act, Section 219 of the Civil No Contact Order |
Act, driving under
the influence as defined in Section
11-501 |
of the Illinois Vehicle Code, a violation of Section 11-401 of |
the Illinois Vehicle Code, provided the victim was a |
pedestrian or was operating a vehicle moved solely by human |
power or a mobility device at the time of contact, and a |
violation of Section 11-204.1 of the Illinois Vehicle Code; so |
long as the offense did not occur
during a civil riot, |
insurrection or rebellion. "Crime of violence" does not
|
include any other offense or accident involving a motor |
|
vehicle except those
vehicle offenses specifically provided |
for in this paragraph. "Crime of
violence" does include all of |
the offenses specifically provided for in this
paragraph that |
occur within this State but are subject to federal |
jurisdiction
and crimes involving terrorism as defined in 18 |
U.S.C. 2331.
|
(d) "Victim" means (1) a person killed or injured in this |
State as a
result of a crime of violence perpetrated or |
attempted against him or her,
(2) the
spouse, parent, or child |
of a person killed or injured in this State as a result of a |
crime of
violence perpetrated or attempted against the person, |
or anyone living in the household of a person killed or injured |
in a relationship that is substantially similar to that of a |
parent, spouse, or child, (3) a person killed
or injured in |
this State while attempting to assist a person against whom a
|
crime of violence is being perpetrated or attempted, if that |
attempt of
assistance would be expected of a reasonable person |
under the circumstances,
(4) a person killed or injured in |
this State while assisting a law
enforcement official |
apprehend a person who has perpetrated a crime of
violence or |
prevent the perpetration of any such crime if that
assistance |
was in response to the express request of the law enforcement
|
official, (5) a person who personally
witnessed a violent |
crime, (5.05) a person who will be called as a witness by the |
prosecution to establish a necessary nexus between the |
offender and the violent crime, (5.1) solely
for the purpose |
|
of compensating for pecuniary loss incurred for
psychological |
treatment of a mental or emotional condition caused or |
aggravated
by the crime, any other person under the age of 18 |
who is the brother, sister,
half brother, or half sister
of a |
person killed or injured in
this State as a
result of a crime |
of violence, (6) an Illinois resident
who is a victim of a |
"crime of violence" as defined in this Act except, if
the crime |
occurred outside this State, the resident has the same rights
|
under this Act as if the crime had occurred in this State upon |
a showing
that the state, territory, country, or political |
subdivision of a country
in which the crime occurred does not |
have a compensation of victims of
crimes law for which that |
Illinois resident is eligible, (7) a deceased person whose |
body is dismembered or whose remains are desecrated as the |
result of a crime of violence, or (8) solely for the purpose of |
compensating for pecuniary loss incurred for psychological |
treatment of a mental or emotional condition caused or |
aggravated by the crime, any parent, spouse, or child under |
the age of 18 of a deceased person whose body is dismembered or |
whose remains are desecrated as the result of a crime of |
violence.
|
(e) "Dependent" means a relative of a deceased victim who |
was wholly or
partially dependent upon the victim's income at |
the time of his or her
death
and shall include the child of a |
victim born after his or her death.
|
(f) "Relative" means a spouse, parent, grandparent, |
|
stepfather, stepmother,
child, grandchild, brother, |
brother-in-law, sister, sister-in-law, half
brother, half |
sister, spouse's parent, nephew, niece, uncle, aunt, or anyone |
living in the household of a person killed or injured in a |
relationship that is substantially similar to that of a |
parent, spouse, or child.
|
(g) "Child" means a son or daughter and includes a |
stepchild, an adopted child or a child born out of wedlock.
|
(h) "Pecuniary loss" means, in the case of injury, |
appropriate medical
expenses and hospital expenses including |
expenses of medical
examinations, rehabilitation, medically |
required
nursing care expenses, appropriate
psychiatric care |
or psychiatric counseling expenses, appropriate expenses for |
care or
counseling by a licensed clinical psychologist, |
licensed clinical social
worker, licensed professional |
counselor, or licensed clinical professional counselor and |
expenses for treatment by Christian Science practitioners and
|
nursing care appropriate thereto; transportation expenses to |
and from medical and counseling treatment facilities; |
prosthetic appliances, eyeglasses, and
hearing aids necessary |
or damaged as a result of the
crime; expenses incurred for the |
towing and storage of a victim's vehicle in connection with a |
crime of violence, to a maximum of $1,000; costs associated |
with trafficking tattoo removal by a person authorized or |
licensed to perform the specific removal procedure; |
replacement costs for clothing and bedding used as evidence; |
|
costs
associated with temporary lodging or relocation |
necessary as a
result of the crime, including, but not limited |
to, the first month's rent and security deposit of the |
dwelling that the claimant relocated to and other reasonable |
relocation expenses incurred as a result of the violent crime;
|
locks or windows necessary or damaged as a result of the crime; |
the purchase,
lease, or rental of equipment necessary to |
create usability of and
accessibility to the victim's real and |
personal property, or the real and
personal property which is |
used by the victim, necessary as a result of the
crime; the |
costs of appropriate crime scene clean-up;
replacement
|
services loss, to a maximum of $1,250 per month;
dependents |
replacement
services loss, to a maximum of $1,250 per month; |
loss of tuition paid to
attend grammar school or high school |
when the victim had been enrolled as a
student prior to the |
injury, or college or graduate school when
the victim had been |
enrolled as a day or night student prior to
the injury when the |
victim becomes unable to continue attendance at school
as a |
result of the crime of violence perpetrated against him or |
her; loss
of
earnings, loss of future earnings because of |
disability resulting from the
injury, and, in addition, in the |
case of death, expenses for funeral, burial, and travel and |
transport for survivors
of homicide victims to secure bodies |
of deceased victims and to transport
bodies for burial all of |
which
may be awarded up to a maximum of $10,000 and loss of |
support of the dependents of
the victim; in the case of |
|
dismemberment or desecration of a body, expenses for funeral |
and burial, all of which may be awarded up to a maximum of |
$10,000.
Loss of future earnings shall be reduced by any |
income from substitute work
actually performed by the victim |
or by income he or she would have earned
in
available |
appropriate substitute work he or she was capable of |
performing
but
unreasonably failed to undertake. Loss of |
earnings, loss of future
earnings and loss of support shall be |
determined on the basis of the
victim's average net monthly |
earnings for the 6 months immediately
preceding the date of |
the injury or on $2,400 per month, whichever is less or, in |
cases where the absences commenced more than 3 years from the |
date of the crime, on the basis of the net monthly earnings for |
the 6 months immediately preceding the date of the first |
absence, not to exceed $2,400 per month.
If a divorced or |
legally separated applicant is claiming loss of support
for a |
minor child of the deceased, the amount of support for each |
child
shall be based either on the amount of support
pursuant |
to the judgment prior to the date of the deceased
victim's |
injury or death, or, if the subject of pending litigation |
filed by
or on behalf of the divorced or legally separated |
applicant prior to the
injury or death, on the result of that |
litigation. Real and personal
property includes, but is not |
limited to, vehicles, houses, apartments,
town houses, or |
condominiums. Pecuniary loss does not
include pain and |
suffering or property loss or damage.
|
|
The changes made to this subsection by Public Act 101-652 |
this amendatory Act of the 101st General Assembly apply to |
actions commenced or pending on or after January 1, 2022. |
(i) "Replacement services loss" means expenses reasonably |
incurred in
obtaining ordinary and necessary services in lieu |
of those the
injured person would have performed, not for |
income, but for the benefit
of himself or herself or his or her |
family, if he or she had not
been injured.
|
(j) "Dependents replacement services loss" means loss |
reasonably incurred
by dependents or private legal guardians |
of minor dependents after a victim's death in obtaining |
ordinary and necessary
services in lieu of those the victim |
would have performed, not for income,
but for their benefit, |
if he or she had not been fatally injured.
|
(k) "Survivor" means immediate family including a parent, |
stepfather, stepmother, child,
brother, sister, or spouse.
|
(l) "Parent" means a natural parent, adopted parent, |
stepparent, or permanent legal guardian of another person. |
(m) "Trafficking tattoo" is a tattoo which is applied to a |
victim in connection with the commission of a violation of |
Section 10-9 of the Criminal Code of 2012. |
(Source: P.A. 101-81, eff. 7-12-19; 101-652, eff. 7-1-21; |
102-27, eff. 6-25-21; 102-905, eff. 1-1-23; revised 12-14-22.)
|
(Text of Section after amendment by P.A. 102-982 )
|
Sec. 2. Definitions. As used in this Act, unless the |
|
context
otherwise requires:
|
(a) "Applicant" means any person who applies for |
compensation under this
Act or any person the Court of Claims |
or the Attorney General finds is entitled to compensation,
|
including the guardian of a minor or of a person under legal |
disability. It
includes any person who was a dependent of a |
deceased victim of a crime of
violence for his or her support |
at the time of the death of that victim.
|
The changes made to this subsection by Public Act 101-652 |
this amendatory Act of the 101st General Assembly apply to |
actions commenced or pending on or after January 1, 2022. |
(b) "Court of Claims" means the Court of Claims created by |
the Court
of Claims Act.
|
(c) "Crime of violence" means and includes any offense |
defined in
Sections 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 10-1, |
10-2, 10-9, 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, |
11-11, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 11-23, 11-23.5, |
12-1,
12-2,
12-3, 12-3.1, 12-3.2,
12-3.3,
12-3.4, 12-4, |
12-4.1, 12-4.2, 12-4.3, 12-5, 12-7.1, 12-7.3, 12-7.4, 12-13, |
12-14,
12-14.1, 12-15,
12-16, 12-20.5, 12-30, 20-1 or 20-1.1, |
or Section 12-3.05 except for subdivision (a)(4) or (g)(1), or |
subdivision (a)(4) of Section 11-14.4, of the Criminal Code of |
1961 or the Criminal Code of 2012, Sections 1(a) and 1(a-5) of |
the Cemetery Protection Act, Section 125 of the Stalking No |
Contact Order Act, Section 219 of the Civil No Contact Order |
Act, driving under
the influence as defined in Section
11-501 |
|
of the Illinois Vehicle Code, a violation of Section 11-401 of |
the Illinois Vehicle Code, provided the victim was a |
pedestrian or was operating a vehicle moved solely by human |
power or a mobility device at the time of contact, and a |
violation of Section 11-204.1 of the Illinois Vehicle Code; so |
long as the offense did not occur
during a civil riot, |
insurrection or rebellion. "Crime of violence" does not
|
include any other offense or crash involving a motor vehicle |
except those
vehicle offenses specifically provided for in |
this paragraph. "Crime of
violence" does include all of the |
offenses specifically provided for in this
paragraph that |
occur within this State but are subject to federal |
jurisdiction
and crimes involving terrorism as defined in 18 |
U.S.C. 2331.
|
(d) "Victim" means (1) a person killed or injured in this |
State as a
result of a crime of violence perpetrated or |
attempted against him or her,
(2) the
spouse, parent, or child |
of a person killed or injured in this State as a result of a |
crime of
violence perpetrated or attempted against the person, |
or anyone living in the household of a person killed or injured |
in a relationship that is substantially similar to that of a |
parent, spouse, or child, (3) a person killed
or injured in |
this State while attempting to assist a person against whom a
|
crime of violence is being perpetrated or attempted, if that |
attempt of
assistance would be expected of a reasonable person |
under the circumstances,
(4) a person killed or injured in |
|
this State while assisting a law
enforcement official |
apprehend a person who has perpetrated a crime of
violence or |
prevent the perpetration of any such crime if that
assistance |
was in response to the express request of the law enforcement
|
official, (5) a person who personally
witnessed a violent |
crime, (5.05) a person who will be called as a witness by the |
prosecution to establish a necessary nexus between the |
offender and the violent crime, (5.1) solely
for the purpose |
of compensating for pecuniary loss incurred for
psychological |
treatment of a mental or emotional condition caused or |
aggravated
by the crime, any other person under the age of 18 |
who is the brother, sister,
half brother, or half sister
of a |
person killed or injured in
this State as a
result of a crime |
of violence, (6) an Illinois resident
who is a victim of a |
"crime of violence" as defined in this Act except, if
the crime |
occurred outside this State, the resident has the same rights
|
under this Act as if the crime had occurred in this State upon |
a showing
that the state, territory, country, or political |
subdivision of a country
in which the crime occurred does not |
have a compensation of victims of
crimes law for which that |
Illinois resident is eligible, (7) a deceased person whose |
body is dismembered or whose remains are desecrated as the |
result of a crime of violence, or (8) solely for the purpose of |
compensating for pecuniary loss incurred for psychological |
treatment of a mental or emotional condition caused or |
aggravated by the crime, any parent, spouse, or child under |
|
the age of 18 of a deceased person whose body is dismembered or |
whose remains are desecrated as the result of a crime of |
violence.
|
(e) "Dependent" means a relative of a deceased victim who |
was wholly or
partially dependent upon the victim's income at |
the time of his or her
death
and shall include the child of a |
victim born after his or her death.
|
(f) "Relative" means a spouse, parent, grandparent, |
stepfather, stepmother,
child, grandchild, brother, |
brother-in-law, sister, sister-in-law, half
brother, half |
sister, spouse's parent, nephew, niece, uncle, aunt, or anyone |
living in the household of a person killed or injured in a |
relationship that is substantially similar to that of a |
parent, spouse, or child.
|
(g) "Child" means a son or daughter and includes a |
stepchild, an adopted child or a child born out of wedlock.
|
(h) "Pecuniary loss" means, in the case of injury, |
appropriate medical
expenses and hospital expenses including |
expenses of medical
examinations, rehabilitation, medically |
required
nursing care expenses, appropriate
psychiatric care |
or psychiatric counseling expenses, appropriate expenses for |
care or
counseling by a licensed clinical psychologist, |
licensed clinical social
worker, licensed professional |
counselor, or licensed clinical professional counselor and |
expenses for treatment by Christian Science practitioners and
|
nursing care appropriate thereto; transportation expenses to |
|
and from medical and counseling treatment facilities; |
prosthetic appliances, eyeglasses, and
hearing aids necessary |
or damaged as a result of the
crime; expenses incurred for the |
towing and storage of a victim's vehicle in connection with a |
crime of violence, to a maximum of $1,000; costs associated |
with trafficking tattoo removal by a person authorized or |
licensed to perform the specific removal procedure; |
replacement costs for clothing and bedding used as evidence; |
costs
associated with temporary lodging or relocation |
necessary as a
result of the crime, including, but not limited |
to, the first month's rent and security deposit of the |
dwelling that the claimant relocated to and other reasonable |
relocation expenses incurred as a result of the violent crime;
|
locks or windows necessary or damaged as a result of the crime; |
the purchase,
lease, or rental of equipment necessary to |
create usability of and
accessibility to the victim's real and |
personal property, or the real and
personal property which is |
used by the victim, necessary as a result of the
crime; the |
costs of appropriate crime scene clean-up;
replacement
|
services loss, to a maximum of $1,250 per month;
dependents |
replacement
services loss, to a maximum of $1,250 per month; |
loss of tuition paid to
attend grammar school or high school |
when the victim had been enrolled as a
student prior to the |
injury, or college or graduate school when
the victim had been |
enrolled as a day or night student prior to
the injury when the |
victim becomes unable to continue attendance at school
as a |
|
result of the crime of violence perpetrated against him or |
her; loss
of
earnings, loss of future earnings because of |
disability resulting from the
injury, and, in addition, in the |
case of death, expenses for funeral, burial, and travel and |
transport for survivors
of homicide victims to secure bodies |
of deceased victims and to transport
bodies for burial all of |
which
may be awarded up to a maximum of $10,000 and loss of |
support of the dependents of
the victim; in the case of |
dismemberment or desecration of a body, expenses for funeral |
and burial, all of which may be awarded up to a maximum of |
$10,000.
Loss of future earnings shall be reduced by any |
income from substitute work
actually performed by the victim |
or by income he or she would have earned
in
available |
appropriate substitute work he or she was capable of |
performing
but
unreasonably failed to undertake. Loss of |
earnings, loss of future
earnings and loss of support shall be |
determined on the basis of the
victim's average net monthly |
earnings for the 6 months immediately
preceding the date of |
the injury or on $2,400 per month, whichever is less or, in |
cases where the absences commenced more than 3 years from the |
date of the crime, on the basis of the net monthly earnings for |
the 6 months immediately preceding the date of the first |
absence, not to exceed $2,400 per month.
If a divorced or |
legally separated applicant is claiming loss of support
for a |
minor child of the deceased, the amount of support for each |
child
shall be based either on the amount of support
pursuant |
|
to the judgment prior to the date of the deceased
victim's |
injury or death, or, if the subject of pending litigation |
filed by
or on behalf of the divorced or legally separated |
applicant prior to the
injury or death, on the result of that |
litigation. Real and personal
property includes, but is not |
limited to, vehicles, houses, apartments,
town houses, or |
condominiums. Pecuniary loss does not
include pain and |
suffering or property loss or damage.
|
The changes made to this subsection by Public Act 101-652 |
this amendatory Act of the 101st General Assembly apply to |
actions commenced or pending on or after January 1, 2022. |
(i) "Replacement services loss" means expenses reasonably |
incurred in
obtaining ordinary and necessary services in lieu |
of those the
injured person would have performed, not for |
income, but for the benefit
of himself or herself or his or her |
family, if he or she had not
been injured.
|
(j) "Dependents replacement services loss" means loss |
reasonably incurred
by dependents or private legal guardians |
of minor dependents after a victim's death in obtaining |
ordinary and necessary
services in lieu of those the victim |
would have performed, not for income,
but for their benefit, |
if he or she had not been fatally injured.
|
(k) "Survivor" means immediate family including a parent, |
stepfather, stepmother, child,
brother, sister, or spouse.
|
(l) "Parent" means a natural parent, adopted parent, |
stepparent, or permanent legal guardian of another person. |
|
(m) "Trafficking tattoo" is a tattoo which is applied to a |
victim in connection with the commission of a violation of |
Section 10-9 of the Criminal Code of 2012. |
(Source: P.A. 101-81, eff. 7-12-19; 101-652, eff. 7-1-21; |
102-27, eff. 6-25-21; 102-905, eff. 1-1-23; 102-982, eff. |
7-1-23; revised 12-14-22.)
|
Section 730. The Illinois Domestic Violence Act of 1986 is |
amended by changing Sections 202, 212, and 217 as follows:
|
(750 ILCS 60/202) (from Ch. 40, par. 2312-2)
|
Sec. 202. Commencement of action; filing fees; dismissal.
|
(a) How to commence action. Actions for orders of |
protection are commenced:
|
(1) Independently: By filing a petition for an order |
of protection in
any civil court, unless specific courts |
are designated by local rule or order.
|
(2) In conjunction with another civil proceeding: By
|
filing a petition for an order of protection under the |
same case number
as another civil proceeding involving the |
parties, including , but not
limited to: (i) any proceeding |
under the Illinois Marriage and Dissolution of
Marriage |
Act, Illinois Parentage Act of 2015, Nonsupport of Spouse |
and
Children Act, or Revised Uniform Reciprocal |
Enforcement of Support Act or an
action for nonsupport |
brought under Article X of the
Illinois Public Aid
Code, |
|
provided that a petitioner and
the respondent are a party |
to or the subject of that proceeding or (ii) a
|
guardianship proceeding under the Probate Act of
1975, or |
a proceeding for involuntary
commitment under the Mental |
Health and Developmental Disabilities Code, or
any |
proceeding, other than a delinquency petition, under the |
Juvenile Court
Act of 1987, provided that a petitioner or |
the
respondent is a party to or the subject of such |
proceeding.
|
(3) In conjunction with a delinquency petition or a
|
criminal prosecution as provided in Section 112A-20 of the |
Code of Criminal Procedure of 1963.
|
(a-1) A petition for an order of protection may be filed in |
person in-person or online. |
(a-5) When a petition for an emergency order of protection |
is filed, the petition shall not be publicly available until |
the petition is served on the respondent. |
(b) Filing, certification, and service fees. No fee shall |
be charged
by the clerk for filing, amending, vacating, |
certifying, or photocopying
petitions or orders; or for |
issuing alias summons; or for any
related filing service. No
|
fee shall be charged by the sheriff for service by the sheriff |
of a
petition,
rule, motion, or order in an action commenced |
under this Section.
|
(c) Dismissal and consolidation. Withdrawal or dismissal |
of any
petition for an order of protection prior to |
|
adjudication where the
petitioner is represented by the State |
shall operate as a dismissal without
prejudice. No action for |
an order of protection shall be dismissed because
the |
respondent is being prosecuted for a crime against the |
petitioner. An
independent action may be consolidated with |
another civil proceeding, as
provided by paragraph (2) of |
subsection (a) of this Section. For any
action commenced under |
paragraph (2) or (3) of subsection (a) of this Section,
|
dismissal of the conjoined case (or a finding of not guilty) |
shall not
require dismissal of the action
for the order of |
protection; instead, it may be treated as an
independent |
action and, if necessary and appropriate, transferred to a
|
different court or division. Dismissal of any conjoined case |
shall not affect
the
validity of any previously issued order |
of protection, and thereafter
subsections (b)(1) and (b)(2) of |
Section 220 shall be inapplicable to
such order.
|
(d) Pro se petitions. The court shall provide, through the |
office of
the clerk of the court, simplified forms and |
clerical assistance to help
with the writing and filing of a |
petition under this Section by any person
not represented by |
counsel. In addition, that assistance may be provided
by the |
State's Attorney state's attorney .
|
(e)
As provided in this subsection, the administrative |
director of the Administrative Office of the Illinois Courts, |
with the approval of the administrative board of the courts, |
may adopt rules to establish and implement a pilot program to |
|
allow the electronic filing of petitions for temporary orders |
of protection and the issuance of such orders by audio-visual |
means to accommodate litigants for whom attendance in court to |
file for and obtain emergency relief would constitute an undue |
hardship or would constitute a risk of harm to the litigant. |
(1) As used in this subsection: |
(A) "Electronic means" means any method of |
transmission of information between computers or other |
machines designed for the purpose of sending or |
receiving electronic transmission and that allows for |
the recipient of information to reproduce the |
information received in a tangible medium of |
expression. |
(B) "Independent audio-visual system" means an |
electronic system for the transmission and receiving |
of audio and visual signals, including those with the |
means to preclude the unauthorized reception and |
decoding of the signals by commercially available |
television receivers, channel converters, or other |
available receiving devices. |
(C) "Electronic appearance" means an appearance in |
which one or more of the parties are not present in the |
court, but in which, by means of an independent |
audio-visual system, all of the participants are |
simultaneously able to see and hear reproductions of |
the voices and images of the judge, counsel, parties, |
|
witnesses, and any other participants. |
(2) Any pilot program under this subsection (e) shall |
be developed by the administrative director or his or her |
delegate in consultation with at least one local |
organization providing assistance to domestic violence |
victims. The program plan shall include , but not be |
limited to: |
(A) identification of agencies equipped with or |
that have access to an independent audio-visual system |
and electronic means for filing documents; and |
(B) identification of one or more organizations |
who are trained and available to assist petitioners in |
preparing and filing petitions for temporary orders of |
protection and in their electronic appearances before |
the court to obtain such orders; and |
(C) identification of the existing resources |
available in local family courts for the |
implementation and oversight of the pilot program; and |
(D) procedures for filing petitions and documents |
by electronic means, swearing in the petitioners and |
witnesses, preparation of a transcript of testimony |
and evidence presented, and a prompt transmission of |
any orders issued to the parties; and |
(E) a timeline for implementation and a plan for |
informing the public about the availability of the |
program; and |
|
(F) a description of the data to be collected in |
order to evaluate and make recommendations for |
improvements to the pilot program. |
(3) In conjunction with an electronic appearance, any |
petitioner for an ex parte temporary order of protection |
may, using the assistance of a trained advocate if |
necessary, commence the proceedings by filing a petition |
by electronic means. |
(A) A petitioner who is seeking an ex parte |
temporary order of protection using an electronic |
appearance must file a petition in advance of the |
appearance and may do so electronically. |
(B) The petitioner must show that traveling to or |
appearing in court would constitute an undue hardship |
or create a risk of harm to the petitioner. In granting |
or denying any relief sought by the petitioner, the |
court shall state the names of all participants and |
whether it is granting or denying an appearance by |
electronic means and the basis for such a |
determination. A party is not required to file a |
petition or other document by electronic means or to |
testify by means of an electronic appearance. |
(C) Nothing in this subsection (e) affects or |
changes any existing laws governing the service of |
process, including requirements for personal service |
or the sealing and confidentiality of court records in |
|
court proceedings or access to court records by the |
parties to the proceedings. |
(4) Appearances. |
(A) All electronic appearances by a petitioner |
seeking an ex parte temporary order of protection |
under this subsection (e) are strictly voluntary and |
the court shall obtain the consent of the petitioner |
on the record at the commencement of each appearance. |
(B) Electronic appearances under this subsection |
(e) shall be recorded and preserved for transcription. |
Documentary evidence, if any, referred to by a party |
or witness or the court may be transmitted and |
submitted and introduced by electronic means. |
(Source: P.A. 101-255, eff. 1-1-20; 102-853, eff. 1-1-23; |
revised 12-13-22.)
|
(750 ILCS 60/212) (from Ch. 40, par. 2312-12)
|
Sec. 212. Hearings.
|
(a) A petition for an order of protection shall be
treated |
as an expedited proceeding, and no court
shall transfer or
|
otherwise decline to decide all or part of such petition
|
except as otherwise provided herein. Nothing in this Section
|
shall prevent the court from reserving issues when |
jurisdiction or notice
requirements are not met.
|
(b) Any court or a division thereof which ordinarily does |
not decide
matters of child custody and family support may |
|
decline to decide contested
issues of
physical care, custody, |
visitation, or family
support unless a decision on one or more |
of those contested
issues is necessary to
avoid the risk of |
abuse, neglect, removal from the State state or concealment
|
within the State state of the child or of separation of the |
child from the primary
caretaker.
If the court or division |
thereof has declined to decide any or all of
these issues, then |
it shall transfer all undecided issues to the
appropriate |
court or division.
In the event of such a transfer, a |
government attorney involved in the
criminal prosecution may, |
but need not, continue to offer counsel to the
petitioner on |
transferred matters.
|
(c) If the court transfers or otherwise declines to decide
|
any issue,
judgment on that issue shall be expressly reserved |
and ruling on other
issues shall not be delayed or declined. |
(d) A court in a county with a population above 250,000 |
shall offer the option of a remote hearing to a petitioner for |
an order of protection. The court has the discretion to grant |
or deny the request for a remote hearing. Each court shall |
determine the procedure for a remote hearing. The petitioner |
and respondent may appear remotely or in person in-person . |
The court shall issue and publish a court order, standing |
order, or local rule detailing information about the process |
for requesting and participating in a remote court appearance. |
The court order, standing order, or local rule shall be |
published on the court's website and posted on signs |
|
throughout the courthouse, including in the clerk's office. |
The sign shall be written in plain language and include |
information about the availability of remote court appearances |
and the process for requesting a remote hearing.
|
(Source: P.A. 102-853, eff. 1-1-23; revised 12-13-22.)
|
(750 ILCS 60/217) (from Ch. 40, par. 2312-17)
|
Sec. 217. Emergency order of protection.
|
(a) Prerequisites. An emergency order of protection shall |
issue if
petitioner satisfies the requirements of this |
subsection for one or more of the
requested remedies. For each |
remedy requested, the petitioner shall establish
that:
|
(1) The court has jurisdiction under Section 208;
|
(2) The requirements of Section 214 are satisfied; and
|
(3) There is good cause to grant the remedy, |
regardless of prior service
of process or of notice upon |
the respondent, because:
|
(i) For
the remedies of "prohibition of abuse" |
described in
Section 214(b)(1), "stay away order and |
additional prohibitions" described in
Section
|
214(b)(3), "removal or concealment of minor child" |
described in Section
214(b)(8), "order to appear" |
described in Section 214(b)(9), "physical
care and |
possession of the minor child" described in Section |
214(b)(5),
"protection of property" described in |
Section 214(b)(11), "prohibition
of entry" described |
|
in Section 214(b)(14), "prohibition of firearm |
possession" described in Section 214(b)(14.5), |
"prohibition of access to
records" described in |
Section 214(b)(15), and "injunctive relief"
described |
in Section 214(b)(16), the harm which that remedy
is |
intended to prevent would be likely to occur if the |
respondent were given
any prior notice, or greater |
notice than was actually given, of the
petitioner's |
efforts to obtain judicial relief;
|
(ii) For the remedy of "grant of exclusive |
possession of
residence" described in Section |
214(b)(2), the immediate danger of further
abuse of |
the petitioner by the respondent,
if the petitioner |
chooses or had chosen to remain in the residence or |
household
while the respondent was given any prior |
notice or greater notice than was
actually given of |
the petitioner's efforts to obtain judicial relief,
|
outweighs the hardships to the respondent of an |
emergency order
granting the petitioner exclusive |
possession of the residence or household.
This remedy |
shall not be denied because the petitioner has or |
could obtain
temporary shelter elsewhere while prior |
notice is given to the respondent, unless
the
|
hardships to respondent from exclusion from the home |
substantially outweigh
those to the petitioner;
|
(iii) For the remedy of "possession of personal |
|
property"
described in
Section 214(b)(10), improper |
disposition of the personal
property would be likely
|
to occur if the respondent were given any prior |
notice, or greater notice than
was actually given, of |
the petitioner's efforts to obtain judicial relief, or |
the
petitioner has an immediate and pressing need for |
possession of that property.
|
An emergency order may not include the counseling, legal |
custody, payment
of support , or monetary compensation |
remedies.
|
(a-5) When a petition for an emergency order of protection |
is granted, the order and file shall not be public and shall |
only be accessible to the court, the petitioner, law |
enforcement, a domestic violence advocate or counselor, the |
counsel of record for either party, and the State's Attorney |
for the county until the order is served on the respondent. |
(b) Appearance by respondent.
If the respondent appears in |
court for this hearing for an emergency order,
he or she may |
elect to file a general appearance and testify.
Any resulting |
order may be an emergency order, governed
by this Section.
|
Notwithstanding the requirements of this Section, if all |
requirements of
Section 218 have been met, the court may issue |
a 30-day interim order.
|
(c) Emergency orders: court holidays and evenings.
|
(1) Prerequisites. When the court is unavailable at |
the close of
business, the petitioner may file a petition |
|
for a 21-day emergency order
before any available circuit |
judge or associate judge who may grant relief
under this |
Act. If the judge finds that there is an immediate and |
present
danger of abuse to the petitioner and that the |
petitioner has satisfied the
prerequisites set forth in |
subsection (a) of Section 217, that judge may
issue an |
emergency order of protection.
|
(1.5) Issuance of order. The chief judge of the |
circuit court
may designate for each county in the circuit |
at least one judge to be
reasonably available to
issue |
orally, by telephone, by facsimile, or otherwise, an |
emergency
order of protection at all times, whether or not |
the court is in session.
|
(2) Certification and transfer. The judge who issued |
the order under this Section shall promptly communicate or |
convey the order to the sheriff to facilitate the entry of |
the order into the Law Enforcement Agencies Data System by |
the Illinois State Police pursuant to Section 302. Any |
order issued under this Section and
any documentation in |
support thereof shall be certified on the next court
day |
to the appropriate court. The clerk of that court shall |
immediately
assign a case number, file the petition, order |
and other documents with the
court, and enter the order of |
record and file it with the sheriff for
service, in |
accordance with Section 222. Filing the petition
shall |
commence proceedings for further relief under Section 202.
|
|
Failure to comply with the requirements of this subsection |
shall not
affect the validity of the order.
|
(Source: P.A. 101-255, eff. 1-1-20; 102-538, eff. 8-20-21; |
102-831, eff. 5-13-22; revised 7-29-22.)
|
Section 735. The Trusts for Employees Act is amended by |
changing the title of the Act and Sections 1 and 2 as follows:
|
(760 ILCS 40/Act title)
|
An Act concerning trusts for employees employes ,
including |
their beneficiaries.
|
(760 ILCS 40/1) (from Ch. 48, par. 39t)
|
Sec. 1.
A trust created as a part of a plan for the benefit |
of some or all
of the employees employes of one or more |
employers, including, but without
limitation, a stock bonus, |
pension, disability, death benefit, profit
sharing, |
unemployment benefit or other plan, for the purpose of
|
distributing for the benefit of the employees employes , |
including their
beneficiaries, the earnings or the principal, |
or both earnings and
principal, of the fund held in trust, may |
continue in perpetuity or for
such time as may be necessary to |
accomplish the purpose for which it is
created, and shall not |
be invalid as violating any rule of law against
perpetuities |
or suspension of the power of alienation of the title to
|
property.
|
|
(Source: Laws 1957, p. 305; revised 8-23-22.)
|
(760 ILCS 40/2) (from Ch. 48, par. 39u)
|
Sec. 2.
No rule of law against perpetuities or suspension |
of the power of
alienation of the title to property shall |
operate to invalidate any trust
heretofore created or |
attempted to be created by an employer as part of a
stock |
bonus, pension, disability, death benefit, or profit sharing |
plan for
the benefit of some or all of his employees employes |
to which contributions are made
by the employer or employees |
employes or both, for the purpose of distributing to the |
employees
employes earnings or principal or both earnings and |
principal of the fund
held in trust, unless the trust is |
terminated by a court of competent
jurisdiction in a suit |
instituted within three years after the effective
date of this |
Act.
|
(Source: Laws 1945, p. 761; revised 8-23-22.)
|
Section 740. The Property Owned By Noncitizens Act is |
amended by changing Section 8 as follows:
|
(765 ILCS 60/8) (from Ch. 6, par. 8)
|
Sec. 8.
An act in regard to aliens noncitizens and to |
restrict their right to acquire
and hold real and personal |
estate and to provide for the disposition of the
lands now |
owned by non-resident aliens noncitizens , approved June 16, |
|
1887, and in
force July 1, 1887, and all other acts and parts |
of acts in conflict with
this act, are hereby repealed.
|
(Source: P.A. 102-1030, eff. 5-27-22; revised 8-23-22.)
|
Section 745. The Illinois Human Rights Act is amended by |
changing Section 1-103 as follows:
|
(775 ILCS 5/1-103) (from Ch. 68, par. 1-103)
|
Sec. 1-103. General definitions. When used in this Act, |
unless the
context requires otherwise, the term:
|
(A) Age. "Age" means the chronological age of a person who |
is at least
40 years old, except with regard to any practice |
described in Section
2-102, insofar as that practice concerns |
training or apprenticeship
programs. In the case of training |
or apprenticeship programs, for the
purposes of Section 2-102, |
"age" means the chronological age of a person
who is 18 but not |
yet 40 years old.
|
(B) Aggrieved party. "Aggrieved party" means a person who |
is alleged
or proved to have been injured by a civil rights |
violation or believes he
or she will be injured by a civil |
rights violation under Article 3 that is
about to occur.
|
(B-5) Arrest record. "Arrest record" means: |
(1) an arrest not leading to a conviction; |
(2) a juvenile record; or |
(3) criminal history record information ordered |
expunged, sealed, or impounded under Section 5.2 of the |
|
Criminal Identification Act. |
(C) Charge. "Charge" means an allegation filed with the |
Department
by an aggrieved party or initiated by the |
Department under its
authority.
|
(D) Civil rights violation. "Civil rights violation" |
includes and
shall be limited to only those specific acts set |
forth in Sections
2-102, 2-103, 2-105, 3-102, 3-102.1, 3-103, |
3-102.10, 3-104.1, 3-105, 3-105.1, 4-102, 4-103,
5-102, |
5A-102, 6-101, 6-101.5, and 6-102 of this Act.
|
(E) Commission. "Commission" means the Human Rights |
Commission
created by this Act.
|
(F) Complaint. "Complaint" means the formal pleading filed |
by
the Department with the Commission following an |
investigation and
finding of substantial evidence of a civil |
rights violation.
|
(G) Complainant. "Complainant" means a person including |
the
Department who files a charge of civil rights violation |
with the Department or
the Commission.
|
(G-5) Conviction record. "Conviction record" means |
information indicating that a person has been convicted of a |
felony, misdemeanor or other criminal offense, placed on |
probation, fined, imprisoned, or paroled pursuant to any law |
enforcement or military authority. |
(H) Department. "Department" means the Department of Human |
Rights
created by this Act.
|
(I) Disability. |
|
(1) "Disability" means a determinable physical or mental
|
characteristic of a person, including, but not limited to, a |
determinable
physical characteristic which necessitates the |
person's use of a guide,
hearing or support dog, the history of |
such characteristic, or the
perception of such characteristic |
by the person complained against, which
may result from |
disease, injury, congenital condition of birth or
functional |
disorder and which characteristic:
|
(a) For purposes of Article 2, is unrelated to the |
person's ability
to perform the duties of a particular job |
or position and, pursuant to
Section 2-104 of this Act, a |
person's illegal use of drugs or alcohol is not a
|
disability;
|
(b) For purposes of Article 3, is unrelated to the |
person's ability
to acquire, rent, or maintain a housing |
accommodation;
|
(c) For purposes of Article 4, is unrelated to a |
person's ability to
repay;
|
(d) For purposes of Article 5, is unrelated to a |
person's ability to
utilize and benefit from a place of |
public accommodation;
|
(e) For purposes of Article 5, also includes any |
mental, psychological, or developmental disability, |
including autism spectrum disorders. |
(2) Discrimination based on disability includes unlawful |
discrimination against an individual because of the |
|
individual's association with a person with a disability. |
(J) Marital status. "Marital status" means the legal |
status of being
married, single, separated, divorced, or |
widowed.
|
(J-1) Military status. "Military status" means a person's |
status on
active duty in or status as a veteran of the armed |
forces of the United States, status as a current member or |
veteran of any
reserve component of the armed forces of the |
United States, including the United
States Army Reserve, |
United States Marine Corps Reserve, United States Navy
|
Reserve, United States Air Force Reserve, and United States |
Coast Guard
Reserve, or status as a current member or veteran |
of the Illinois Army National Guard or Illinois Air National
|
Guard.
|
(K) National origin. "National origin" means the place in |
which a
person or one of his or her ancestors was born.
|
(K-5) "Order of protection status" means a person's status |
as being a person protected under an order of protection |
issued pursuant to the Illinois Domestic Violence Act of 1986, |
Article 112A of the Code of Criminal Procedure of 1963, the |
Stalking No Contact Order Act, or the Civil No Contact Order |
Act, or an order of protection issued by a court of another |
state. |
(L) Person. "Person" includes one or more individuals, |
partnerships,
associations or organizations, labor |
organizations, labor unions, joint
apprenticeship committees, |
|
or union labor associations, corporations, the
State of |
Illinois and its instrumentalities, political subdivisions, |
units
of local government, legal representatives, trustees in |
bankruptcy
or receivers.
|
(L-5) Pregnancy. "Pregnancy" means pregnancy, childbirth, |
or medical or common conditions related to pregnancy or |
childbirth. |
(M) Public contract. "Public contract" includes every |
contract to which the
State, any of its political |
subdivisions, or any municipal corporation is a
party.
|
(M-5) Race. "Race" includes traits associated with race, |
including, but not limited to, hair texture and protective |
hairstyles such as braids, locks, and twists. |
(N) Religion. "Religion" includes all aspects of religious |
observance
and practice, as well as belief, except that with |
respect to employers, for
the purposes of Article 2, |
"religion" has the meaning ascribed to it in
paragraph (F) of |
Section 2-101.
|
(O) Sex. "Sex" means the status of being male or female.
|
(O-1) Sexual orientation. "Sexual orientation" means |
actual or
perceived heterosexuality, homosexuality, |
bisexuality, or gender-related identity,
whether or not |
traditionally associated with the person's designated sex at
|
birth. "Sexual orientation" does not include a physical or |
sexual attraction to a minor by an adult.
|
(O-5) Source of income. "Source of income" means the |
|
lawful manner by which an individual supports himself or |
herself and his or her dependents. |
(P) Unfavorable military discharge. "Unfavorable military |
discharge"
includes discharges from the Armed Forces of the |
United States, their
Reserve components, or any National Guard |
or Naval Militia which are
classified as RE-3 or the |
equivalent thereof, but does not include those
characterized |
as RE-4 or "Dishonorable".
|
(Q) Unlawful discrimination. "Unlawful discrimination" |
means discrimination
against a person because of his or her |
actual or perceived: race, color, religion, national origin,
|
ancestry, age, sex, marital status, order of protection |
status, disability, military status, sexual
orientation, |
pregnancy,
or unfavorable
discharge from military service as |
those terms are defined in this Section.
|
(Source: P.A. 101-81, eff. 7-12-19; 101-221, eff. 1-1-20; |
101-565, eff. 1-1-20; 101-656, eff. 3-23-21; 102-362, eff. |
1-1-22; 102-419, eff. 1-1-22; 102-558, eff. 8-20-21; 102-813, |
eff. 5-13-22; 102-896, eff. 1-1-23; 102-1102, eff. 1-1-23; |
revised 12-14-22.)
|
Section 750. The Illinois Integrity, Notification, and |
Fairness in Online Retail Marketplaces for Consumers (INFORM |
Consumers) Act is amended by changing Section 1-10 as follows:
|
(815 ILCS 356/1-10)
|
|
Sec. 1-10. Online marketplace verification.
|
(a) Online marketplaces shall require that any high-volume |
third-party seller on the online marketplace's platform |
provide the online marketplace with the following information |
no later than 10 days after qualifying as a high-volume |
third-party seller on the platform: |
(1) A bank account number, or, if the high-volume |
third-party seller does not have a bank account, the name |
of the payee for payments issued by the online marketplace |
to the high-volume third-party seller. The bank account or |
payee information required may be provided by the seller |
to the online marketplace or other third parties |
contracted by the online marketplace to maintain the |
information, so long as the online marketplace ensures |
that it can obtain the information on demand from the |
other third parties. |
(2) The contact information for the high-volume |
third-party seller.
If the high-volume third-party seller |
is an individual, the individual's name shall be provided.
|
If the high-volume third-party seller is not an |
individual, a copy of a valid government-issued |
identification for an individual acting on behalf of the |
seller that includes the individual's name or a copy of a |
valid government-issued record or tax document that |
includes the business name and physical address of the |
seller shall be provided.
|
|
(3) A business tax identification number or, if the |
high-volume third-party seller does not have a business |
tax identification number, a taxpayer identification |
number. |
(4) A current working email address and phone number |
for the high-volume third-party seller.
|
(b) An online marketplace shall periodically, but not less |
than annually, notify any high-volume third-party seller on |
the online marketplace's platform of the requirement to keep |
any information collected under subsection (a) current and |
require any high-volume third-party seller on the online |
marketplace's platform to, not later than 10 days after |
receiving the notice, electronically certify that: |
(1) the high-volume third-party seller has provided |
any changes to the information to the online marketplace, |
if such changes have occurred; |
(2) there have been no changes to the high-volume |
third-party seller's information; or |
(3) the high-volume third-party seller has provided |
any changes to such information to the online marketplace. |
(c) If a high-volume third-party seller does not provide |
the information or certification required under this Section, |
the online marketplace, after providing the seller with |
written or electronic notice and an opportunity to provide the |
information or certification not later than 10 days after the |
issuance of the notice, shall suspend any future sales |
|
activity of the seller until the seller provides the |
information or certification.
|
(d) An online marketplace shall verify the information |
collected under subsection (a) no later than 10 days after the |
collection and shall verify any change to the information not |
later than 10 days after being notified of the change by a |
high-volume third-party seller under subsection (b). If a |
high-volume third-party seller provides a copy of a valid |
government-issued tax document, any information contained in |
the document shall be presumed to be verified as of the date of |
issuance of the document.
|
(e) An online marketplace shall require any high-volume |
third-party seller with an aggregate total of $20,000 or more |
in annual gross revenues on the online marketplace, and that |
uses the online marketplace's platform, to provide information |
to the online marketplace that includes the identity of the |
high-volume third-party seller, including: |
(1) the full name of the seller or seller's company |
name, or the name by which the seller or company operates |
on the online marketplace; |
(2) the physical address of the seller; |
(3) the contact information of the seller including a |
current working phone number; a current working email |
address for the seller; or other means of direct |
electronic messaging that may be provided to the |
high-volume third-party seller by the online marketplace |
|
to allow for the direct, unhindered communication with |
high-volume third-party sellers by users of the online |
marketplace; and |
(4) whether the high-volume third-party seller used a |
different seller to supply consumer products to consumers |
upon purchase, and, upon the request of a consumer, the |
information described in paragraph (1) of this subsection |
(e) relating to any such seller that supplied the consumer |
product to the consumer, if the seller is different from |
the high-volume third-party seller listed on the product |
listing prior to purchase.
|
(f) An online marketplace shall provide to consumers the |
information in subsection (e) in a conspicuous manner: (i) in |
the order confirmation message or other document or |
communication made to a consumer after a purchase is |
finalized; and (ii) in the consumer's account transaction |
history.
|
(g) Upon the request of a high-volume third-party seller, |
an online marketplace may provide for partial disclosure of |
the identity information required under subsection (e) as |
follows: |
(1) If the high-volume third-party seller certifies to |
the online marketplace that the seller does not have a |
business address and only has a residential street |
address, or has a combined business and residential |
address, the online marketplace may disclose only the |
|
country and, if applicable, the state in which the |
high-volume third-party seller resides; and inform |
consumers that there is no business address available for |
the seller and that consumer inquiries should be submitted |
to the seller by phone, email, or other means of |
electronic messaging provided to the seller by the online |
marketplace. |
(2) If the high-volume third-party seller certifies to |
the online marketplace that the seller is a business that |
has a physical address for product returns, the online |
marketplace may disclose the seller's physical address for |
product returns. |
(3) If a high-volume third-party seller certifies to |
the online marketplace that the seller does not have a |
phone number other than a personal phone number, the |
online marketplace shall inform consumers that there is no |
phone number available for the seller and that consumer |
inquiries should be submitted to the seller's email |
address or other means of electronic messaging provided to |
the seller by the online marketplace.
|
(h) If an online marketplace becomes aware that a |
high-volume third-party seller has made a false representation |
to the online marketplace in order to justify the provision of |
a partial disclosure under subsection (g) or that a |
high-volume third-party seller who has requested and received |
a provision for a partial disclosure under subsection (g) has |
|
not provided responsive answers within a reasonable time to |
consumer inquiries submitted to the seller by phone, email, or |
other means of electronic messaging provided to the seller by |
the online marketplace, the online marketplace shall, after |
providing the seller with written or electronic notice and an |
opportunity to respond not later than 10 days after the |
issuance of the notice, suspend any future sales activity of |
the seller unless the seller consents to the disclosure of the |
identity information required under subsection (e).
|
(i) If a high-volume third-party seller does not comply |
with the requirements to provide and disclose information |
under this Section, the online marketplace, after providing |
the seller with written or electronic notice and an |
opportunity to provide or disclose the information not later |
than 10 days after the issuance of the notice, shall suspend |
any future sales activity of the seller until the seller |
complies with the requirements.
|
(j) An online marketplace shall disclose to consumers in a |
clear and conspicuous manner on the product listing of any |
high-volume third-party seller a reporting mechanism that |
allows for electronic and telephonic reporting of suspicious |
marketplace activity to the online marketplace.
|
(k) Information collected solely to comply with the |
requirements of this Section may not be used for any other |
purpose unless required by law. An online marketplace shall |
implement and maintain reasonable security procedures and |
|
practices, including administrative, physical, and technical |
safeguards, appropriate to the nature of the data and the |
purposes for which the data will be used, to protect the data |
collected under this Section from unauthorized use, |
disclosure, access, destruction, or modification.
|
Notwithstanding anything to the contrary in this subsection, |
the Attorney General may request, by subpoena or otherwise, |
and use any information collected to comply with the |
requirements of this Section to enforce the provisions of this |
Act as set forth in subsection (l). |
(l) If the Attorney General has reason to believe that any |
person has violated this Act, the Attorney General may bring |
an action in the name of the People of the State against the |
person to restrain by preliminary or permanent injunction the |
use of such a method, act, or practice. The court, in its |
discretion, may exercise all powers necessary, including, but |
not limited to: injunction; revocation, forfeiture, or |
suspension of any license, charter, franchise, certificate, or |
other evidence of authority of any person to do business in |
this State; appointment of a receiver; dissolution of domestic |
corporations or associations or suspension or termination of |
the right of foreign corporations or associations to do |
business in this State; and restitution.
In the administration |
of this Section, the Attorney General may accept an Assurance |
of Voluntary Compliance with respect to any method, act, or |
practice deemed to be violative of this Act from any person who |
|
has engaged in, is engaging in, or was about ab to engage in |
such a method, act, or practice. Evidence of a violation of an |
Assurance of Voluntary Compliance shall be prima facie |
evidence of a violation of this Act in any subsequent |
proceeding brought by the Attorney General against the alleged |
violator.
The Attorney General shall be empowered to issue |
subpoenas to or examine under oath any person alleged to have |
participated in or to have knowledge of the alleged method, |
act, or practice in violation of this Act. Nothing in this Act |
creates or is intended to create a private right of action |
against any high-volume third-party seller, online marketplace |
seller, or third-party seller based upon compliance or |
noncompliance with its provisions.
|
(m) To the extent that a substantially similar federal law |
or regulation conflicts with this Act, the federal law or |
regulation controls.
|
(Source: P.A. 102-757, eff. 1-1-23; revised 12-19-22.)
|
Section 755. The Animal Parts and Products Ban Act is |
amended by changing the title of the Act as follows:
|
(815 ILCS 357/Act title) |
An Act concerning animal parts and products ivory .
|
Section 760. The Consumer Fraud and Deceptive Business |
Practices Act is amended by changing Sections 2AA and 2EE as |
|
follows:
|
(815 ILCS 505/2AA)
|
Sec. 2AA. Immigration services.
|
(a) "Immigration matter" means any proceeding, filing, or |
action
affecting the nonimmigrant, immigrant or citizenship |
status of any person
that arises under immigration and |
naturalization law, executive order or
presidential |
proclamation of the United States or any foreign country, or
|
that arises under action of the United States Citizenship and |
Immigration Services, the United States Department of Labor, |
or the
United States Department of State.
|
"Immigration assistance service" means any information
or |
action provided or offered to customers or prospective |
customers related to immigration matters, excluding legal |
advice, recommending a specific course of legal action, or |
providing any other assistance that requires legal analysis, |
legal judgment, or interpretation of the law.
|
"Compensation" means money, property, services, promise of |
payment,
or anything else of value.
|
"Employed by" means that a person is on the payroll of the |
employer
and the employer deducts from the employee's paycheck |
social security and
withholding taxes, or receives |
compensation from the employer on a
commission basis or as an |
independent contractor.
|
"Reasonable costs" means actual costs or, if actual costs |
|
cannot be
calculated, reasonably estimated costs of such |
things as photocopying,
telephone calls, document requests, |
and filing fees for immigration forms,
and other nominal costs |
incidental to assistance
in an immigration matter.
|
(a-1) The General Assembly finds and declares that private |
individuals who
assist persons with immigration matters have a |
significant impact on the
ability of their clients to reside |
and work within the United States and to
establish and |
maintain stable families and business relationships. The |
General
Assembly further finds that that assistance and its |
impact also have a
significant effect on the cultural, social, |
and economic life of the State of
Illinois and thereby |
substantially affect the public interest. It is the
intent of |
the General Assembly to establish rules of practice and |
conduct for
those individuals to promote honesty and fair |
dealing with residents and to
preserve public confidence.
|
(a-5) The following persons are exempt from this Section, |
provided they
prove the exemption by a preponderance of the |
evidence:
|
(1) An attorney licensed to practice law in any state |
or territory of
the United States, or of any foreign |
country when authorized by the
Illinois Supreme Court, to |
the extent the attorney renders immigration
assistance |
service in the course of his or her practice as an |
attorney.
|
(2) A legal intern, as described by the rules of the |
|
Illinois Supreme
Court, employed by and under the direct |
supervision of a licensed attorney
and rendering |
immigration assistance service in the course of the |
intern's
employment.
|
(3) A not-for-profit organization recognized by the |
Board of Immigration
Appeals under 8 CFR 292.2(a) and |
employees of those organizations accredited
under 8 CFR |
292.2(d).
|
(4) Any organization employing or desiring to employ a |
documented or undocumented immigrant or
nonimmigrant, |
where the organization, its employees or its agents
|
provide advice or assistance in immigration matters to |
documented or undocumented immigrant or nonimmigrant
|
employees or potential employees without compensation from |
the
individuals to whom such advice or assistance is |
provided.
|
Nothing in this Section shall regulate any business to the |
extent
that such regulation is prohibited or preempted by |
State or federal law.
|
All other persons providing or offering to provide |
immigration
assistance service shall be subject to this |
Section.
|
(b) Any person who provides or offers to provide |
immigration assistance
service may perform only the following |
services:
|
(1) Completing a government agency
form, requested by |
|
the customer and appropriate to the customer's
needs,
only |
if the completion of that form does not involve a legal
|
judgment
for that particular matter.
|
(2) Transcribing responses to a government agency form |
which is
related to an immigration matter, but not |
advising a customer as to his or
her answers on those |
forms.
|
(3) Translating information on forms to a customer and |
translating the
customer's answers to questions posed on |
those forms.
|
(4) Securing for the customer supporting documents |
currently in
existence, such as birth and marriage |
certificates, which may be needed to
be submitted with |
government agency forms.
|
(5) Translating documents from a foreign language into |
English.
|
(6) Notarizing signatures on government agency forms, |
if the person
performing the service is a notary public of |
the State of Illinois.
|
(7) Making referrals, without fee, to attorneys who |
could undertake
legal representation for a person in an |
immigration matter.
|
(8) Preparing or arranging for the preparation of |
photographs and
fingerprints.
|
(9) Arranging for the performance of medical testing
|
(including X-rays and AIDS tests) and the obtaining of |
|
reports of such test
results.
|
(10) Conducting English language and civics courses.
|
(11) Other services that the Attorney General |
determines by rule may be
appropriately performed by such |
persons in light of the purposes of this
Section.
|
Fees for a notary public, agency, or any other person who |
is not an attorney or an accredited representative filling out |
immigration forms shall be limited to the maximum fees set |
forth in subsections (a) and (b) of Section 3-104 of the |
Illinois Notary Public Act (5 ILCS 312/3-104) . The maximum fee |
schedule set forth in subsections (a) and (b) of Section 3-104 |
of the Illinois Notary Public Act shall apply to any person |
that provides or offers to provide immigration assistance |
service performing the services described therein. The |
Attorney General may promulgate rules establishing maximum |
fees that may be charged for any services not described in that |
subsection. The maximum fees must be reasonable in light of |
the costs of providing those services and the degree of |
professional skill required to provide the services.
|
No person subject to this Act shall charge fees directly |
or
indirectly for referring an individual to an attorney or |
for any
immigration matter not authorized by this Article, |
provided that a person may
charge a fee for notarizing |
documents as permitted by the Illinois Notary
Public Act.
|
(c) Any person performing such services shall register |
with the Illinois
Attorney General and submit verification of |
|
malpractice insurance or of a
surety bond.
|
(d) Except as provided otherwise in this subsection, |
before providing
any
assistance in an immigration matter a |
person shall provide the customer with
a written contract that |
includes the following:
|
(1) An explanation of the services to be performed.
|
(2) Identification of all compensation and costs to be |
charged to the
customer for the services to be performed.
|
(3) A statement that documents submitted in support of |
an application
for nonimmigrant, immigrant, or |
naturalization status may not be retained
by the person |
for any purpose, including payment of compensation or |
costs.
|
This subsection does not apply to a not-for-profit |
organization that
provides advice or assistance in immigration |
matters to clients without charge
beyond a reasonable fee to |
reimburse the organization's or clinic's reasonable
costs |
relating to providing immigration services to that client.
|
(e) Any person who provides or offers immigration |
assistance service and
is not exempted from this Section, |
shall post signs at his or her place of
business, setting forth |
information in English and in every other language in
which |
the
person provides or offers to provide immigration |
assistance service. Each
language shall be on a separate sign. |
Signs shall be posted in a location
where the signs will be |
visible to customers. Each sign shall be at least
11 inches by |
|
17 inches, and shall contain the following:
|
(1) The statement "I AM NOT AN ATTORNEY LICENSED TO |
PRACTICE LAW AND
MAY NOT GIVE LEGAL ADVICE OR ACCEPT FEES |
FOR LEGAL ADVICE.".
|
(2) The statement "I AM NOT ACCREDITED TO REPRESENT |
YOU BEFORE THE
UNITED STATES IMMIGRATION AND |
NATURALIZATION SERVICE AND THE IMMIGRATION
BOARD OF |
APPEALS.".
|
(3) The fee schedule.
|
(4) The statement that "You may cancel any contract
|
within 3 working days and get your money back for services |
not performed.".
|
(5) Additional information the Attorney General may |
require by rule.
|
Every person engaged in immigration assistance service who |
is not an
attorney who advertises immigration assistance |
service in a language other
than English, whether by radio, |
television, signs, pamphlets, newspapers,
or other written |
communication, with the exception of a single desk plaque,
|
shall include in the document, advertisement, stationery, |
letterhead, business card, or other comparable written |
material the following notice in English and the language in |
which the written communication appears. This notice shall be
|
of a conspicuous size, if in writing, and shall state: "I AM |
NOT AN
ATTORNEY LICENSED TO PRACTICE LAW IN ILLINOIS AND MAY |
NOT GIVE LEGAL ADVICE OR ACCEPT
FEES FOR LEGAL ADVICE.". If |
|
such advertisement is by radio or television,
the statement |
may be modified but must include substantially the same |
message.
|
Any person who provides or offers immigration assistance |
service and is not exempted from this Section shall not, in any |
document, advertisement, stationery, letterhead, business |
card, or other comparable written material, literally |
translate from English into another language terms or titles |
including, but not limited to, notary public, notary, |
licensed, attorney, lawyer, or any other term that implies the |
person is an attorney. To illustrate, the words "notario" and |
"poder notarial" are prohibited under this provision.
|
If not subject to penalties under subsection (a) of |
Section 3-103 of the Illinois Notary Public Act (5 ILCS |
312/3-103) , violations of this subsection shall result in a |
fine of $1,000. Violations shall not preempt or preclude |
additional appropriate civil or criminal penalties.
|
(f) The written contract shall be in both English and in |
the language
of the customer.
|
(g) A copy of the contract shall be provided to the |
customer upon the
customer's execution of the contract.
|
(h) A customer has the right to rescind a contract within |
72 hours after
his or her signing of the contract.
|
(i) Any documents identified in paragraph (3) of |
subsection (c) shall be
returned upon demand of the customer.
|
(j) No person engaged in providing immigration services |
|
who is not exempted under this Section shall do any
of the |
following:
|
(1) Make any statement that the person can or will |
obtain special favors
from or has special influence with |
the United States Immigration and
Naturalization Service |
or any other government agency.
|
(2) Retain any compensation for service not performed.
|
(2.5) Accept payment in exchange for providing legal |
advice or any other assistance that requires legal |
analysis, legal judgment, or interpretation of the law.
|
(3) Refuse to return documents supplied by, prepared |
on behalf of, or paid
for by the customer upon the request |
of the customer. These documents must be
returned upon |
request even if there is a fee dispute between the |
immigration
assistant and the customer.
|
(4) Represent or advertise, in connection with the |
provision of assistance
in immigration matters, other |
titles of credentials, including , but not
limited to |
"notary public" or "immigration consultant , " , that could |
cause a
customer to believe that the person possesses |
special professional skills or
is authorized to provide |
advice on an immigration matter; provided that a
notary |
public appointed by the Illinois Secretary of State may |
use the term
"notary public" if the use is accompanied by |
the statement that the person
is not an attorney; the term |
"notary public" may not be translated to another language; |
|
for example "notario" is prohibited.
|
(5) Provide legal advice, recommend a specific course |
of legal action, or provide any other assistance that |
requires legal analysis, legal judgment, or interpretation |
of the law.
|
(6) Make any misrepresentation or of false statement, |
directly or
indirectly, to influence, persuade, or induce |
patronage.
|
(k) (Blank).
|
(l) (Blank).
|
(m) Any person who violates any provision
of this Section, |
or the rules and regulations issued
under this Section, shall |
be guilty of a Class A misdemeanor for a first
offense and a |
Class 3 felony for a second or subsequent offense committed
|
within 5 years of a previous conviction for the same offense.
|
Upon his own information or upon the complaint of any |
person, the
Attorney General or any State's Attorney, or a |
municipality with a
population of more than 1,000,000, may |
maintain an action for injunctive
relief and also seek a civil |
penalty not exceeding $50,000 in the circuit court
against any |
person who violates any provision of
this Section. These |
remedies are in addition to, and not in substitution
for, |
other available remedies.
|
If the Attorney General or any State's Attorney or a |
municipality
with a population of more than 1,000,000 fails to |
bring an action as
provided under this Section any person may |
|
file a civil action to
enforce the provisions of this Article |
and maintain an action for
injunctive relief, for compensatory |
damages to recover prohibited fees, or for such additional |
relief as may be appropriate to
deter, prevent, or compensate |
for the violation.
In order to deter violations of this |
Section, courts shall not require a
showing of the traditional |
elements for equitable relief. A prevailing
plaintiff may be |
awarded 3 times the prohibited fees or a minimum of $1,000 in
|
punitive damages, attorney's fees, and costs of
bringing an |
action under this Section.
It is the express intention
of the |
General Assembly that remedies for violation of this Section |
be
cumulative.
|
(n) No unit of local government, including any home rule |
unit, shall have
the authority to regulate immigration |
assistance services unless such
regulations are at least as |
stringent as those contained in Public Act 87-1211. It is |
declared to be the law of this State, pursuant to
paragraph (i) |
of Section 6 of Article VII of the Illinois Constitution of
|
1970, that Public Act 87-1211 is a limitation on the authority |
of a
home rule unit to exercise powers concurrently with the |
State. The
limitations of this Section do not apply to a home |
rule unit that has,
prior to January 1, 1993 (the effective |
date of Public Act 87-1211), adopted an ordinance
regulating |
immigration assistance services.
|
(o) This Section is severable under Section 1.31 of the |
Statute on Statutes.
|
|
(p) The Attorney General shall issue rules not |
inconsistent with this
Section for the implementation, |
administration, and enforcement of this
Section. The rules may |
provide for the following:
|
(1) The content, print size, and print style of the |
signs required under
subsection (e). Print sizes and |
styles may vary from language to language.
|
(2) Standard forms for use in the administration of |
this Section.
|
(3) Any additional requirements deemed necessary.
|
(Source: P.A. 102-1030, eff. 5-27-22; revised 8-19-22.)
|
(815 ILCS 505/2EE)
|
Sec. 2EE. Alternative retail electric supplier selection. |
(a) An alternative retail electric supplier shall not |
submit or execute
a change in a consumer's selection of a |
provider of electric
service unless and until: |
(i) the alternative retail electric supplier first |
discloses all material terms and conditions of the offer |
to the consumer; |
(ii) if the consumer is a small commercial retail |
customer as that term is defined in subsection (c) of this |
Section or a residential consumer, the alternative retail |
electric supplier discloses the utility electric supply |
price to compare, which shall be the sum of the electric |
supply charge and the transmission services charge, and |
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shall not include the purchased electricity adjustment, |
applicable at the time the offer is made to the consumer; |
(iii) if the consumer is a small commercial retail |
customer as that term is defined in subsection (c) of this |
Section or a residential consumer, the alternative retail |
electric provider discloses the following statement: |
"(Name of the alternative retail electric |
supplier) is not the same entity as your electric |
delivery company. You are not required to enroll with |
(name of alternative retail electric supplier). As of |
(effective date), the electric supply price to compare |
is currently (price in cents per kilowatt hour). The |
electric utility electric supply price will expire on |
(expiration date). The utility electric supply price |
to compare does not include the purchased electricity |
adjustment factor. For more information go to the |
Illinois Commerce Commission's free website at |
www.pluginillinois.org.". |
If applicable, the statement shall include the |
following statement: |
"The purchased electricity adjustment factor may |
range between +.5 cents and -.5 cents per kilowatt |
hour."; |
(iv) the alternative retail electric supplier has |
obtained the consumer's express agreement to accept the |
offer after the disclosure of all material terms and |
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conditions of the offer; and |
(v) the alternative retail electric supplier has |
confirmed the request for a change in accordance with one |
of the following procedures:
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(A) The new alternative retail electric supplier |
has obtained the consumer's
written or electronically |
signed
authorization in a form that meets the
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following requirements:
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(1) An alternative retail electric supplier |
shall obtain any
necessary written or |
electronically signed authorization from a |
consumer for a
change in electric service by using |
a letter of agency as
specified in this
Section. |
Any letter of agency that does
not conform with |
this
Section is invalid.
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(2) The letter of agency shall be a separate
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document (an easily separable document containing |
only
the authorization language described in |
subparagraph (5)) whose sole purpose is to |
authorize an
electric service provider change. The |
letter of agency
must be signed and dated by the |
consumer requesting the
electric service provider |
change.
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(3) The letter of agency shall not be combined |
with
inducements of any kind on the same document.
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(4) Notwithstanding subparagraphs (1) and (2), |
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the letter of agency may be combined with
checks |
that contain only the required letter of agency
|
language prescribed in subparagraph (5) and
the |
necessary information to make the check a |
negotiable
instrument. The letter of agency check |
shall not contain
any promotional language or |
material. The letter of
agency check shall contain |
in easily readable, bold-face
type on the face of |
the check, a notice that the consumer
is |
authorizing an electric service provider change by
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signing the check. The letter of agency language |
also
shall be placed near the signature line on |
the back of
the check.
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(5) At a minimum, the letter of agency must be
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printed with a print of sufficient size to be |
clearly
legible, and must contain clear and |
unambiguous language
that confirms:
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(i) The consumer's billing name and |
address;
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(ii) The decision to change the electric |
service
provider from the current provider to |
the
prospective provider;
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(iii) The terms, conditions, and nature of |
the
service to be provided to the consumer |
must be
clearly and conspicuously disclosed, |
in writing, and
an alternative retail electric |
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supplier must directly establish
the rates for |
the service contracted for by the consumer; |
and
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(iv) That the consumer understand that any
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alternative retail electric supplier selection |
the consumer
chooses may involve a charge to |
the consumer for
changing the consumer's |
electric service provider.
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(6) Letters of agency shall not suggest or |
require
that a consumer take some action in order |
to retain the consumer's
current electric service |
provider.
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(7) If any portion of a letter of agency is
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translated into another language, then all |
portions of
the letter of agency must be |
translated into that
language.
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(B) An appropriately qualified independent third |
party has obtained, in accordance with the procedures |
set forth in this subsection (b), the consumer's oral |
authorization to change electric suppliers that |
confirms and includes appropriate verification data. |
The independent third party (i) must not be owned, |
managed, controlled, or directed by the supplier or |
the supplier's marketing agent; (ii) must not have any |
financial incentive to confirm supplier change |
requests for the supplier or the supplier's marketing |
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agent; and (iii) must operate in a location physically |
separate from the supplier or the supplier's marketing |
agent.
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Automated third-party verification systems and |
3-way conference calls may be used for verification |
purposes so long as the other requirements of this |
subsection (b) are satisfied. |
A supplier or supplier's sales representative |
initiating a 3-way conference call or a call through |
an automated verification system must drop off the |
call once the 3-way connection has been established. |
All third-party verification methods shall elicit, |
at a minimum, the following information: (i) the |
identity of the consumer; (ii) confirmation that the |
person on the call is the account holder, has been |
specifically and explicitly authorized by the account |
holder, or possesses lawful authority to make the |
supplier change; (iii) confirmation that the person on |
the call wants to make the supplier change; (iv) the |
names of the suppliers affected by the change; (v) the |
service address of the supply to be switched; and (vi) |
the price of the service to be supplied and the |
material terms and conditions of the service being |
offered, including whether any early termination fees |
apply. Third-party verifiers may not market the |
supplier's services by providing additional |
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information, including information regarding |
procedures to block or otherwise freeze an account |
against further changes. |
All third-party verifications shall be conducted |
in the same language that was used in the underlying |
sales transaction and shall be recorded in their |
entirety. Submitting suppliers shall maintain and |
preserve audio records of verification of subscriber |
authorization for a minimum period of 2 years after |
obtaining the verification. Automated systems must |
provide consumers with an option to speak with a live |
person at any time during the call.
Each disclosure |
made during the third-party verification must be made |
individually to obtain clear acknowledgment of each |
disclosure. The alternative retail electric supplier |
must be in a location where he or she cannot hear the |
customer while the third-party verification is |
conducted. The alternative retail electric supplier |
shall not contact the customer after the third-party |
verification for a period of 24 hours unless the |
customer initiates the contact. |
(C) When a consumer initiates the call to the |
prospective alternative retail electric supplier, in |
order to enroll the consumer as a customer, the |
prospective alternative retail electric supplier must, |
with the consent of the customer, make a date-stamped, |
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time-stamped audio recording that elicits, at a |
minimum, the following information: |
(1) the identity of the customer; |
(2) confirmation that the person on the call |
is authorized to make the supplier change; |
(3) confirmation that the person on the call |
wants to make the supplier change; |
(4) the names of the suppliers affected by the |
change; |
(5) the service address of the supply to be |
switched; and |
(6) the price of the service to be supplied |
and the material terms and conditions of the |
service being offered, including whether any early |
termination fees apply.
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Submitting suppliers shall maintain and preserve |
the audio records containing the information set forth |
above for a minimum period of 2 years.
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(b)(1) An alternative retail electric supplier shall not |
utilize the name of a public utility in any manner that is |
deceptive or misleading, including, but not limited to, |
implying or otherwise leading a consumer to believe that an |
alternative retail electric supplier is soliciting on behalf |
of or is an agent of a utility. An alternative retail electric |
supplier shall not utilize the name, or any other identifying |
insignia, graphics, or wording that has been used at any time |
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to represent a public utility company or its services, to |
identify, label, or define any of its electric power and |
energy service offers. An alternative retail electric supplier |
may state the name of a public electric utility in order to |
accurately describe the electric utility service territories |
in which the supplier is currently offering an electric power |
and energy service. An alternative retail electric supplier |
that is the affiliate of an Illinois public utility and that |
was doing business in Illinois providing alternative retail |
electric service on January 1, 2016 may continue to use that |
public utility's name, logo, identifying insignia, graphics, |
or wording in its business operations occurring outside the |
service territory of the public utility with which it is |
affiliated. |
(2) An alternative retail electric supplier shall not |
state or otherwise imply that the alternative retail electric |
supplier is employed by, representing, endorsed by, or acting |
on behalf of a utility or utility program, a consumer group or |
consumer group program, or a governmental body, unless the |
alternative retail electric supplier has entered into a |
contractual arrangement with the governmental body and has |
been authorized by the governmental body to make the |
statements. |
(c) An alternative retail electric supplier shall not |
submit or execute a change in a consumer's selection of a |
provider of electric service unless the alternative retail |
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electric supplier complies with the following requirements of |
this subsection (c). It is a violation of this Section for an |
alternative retail electric supplier to fail to comply with |
this subsection (c). The requirements of this subsection (c) |
shall only apply to residential and small commercial retail |
customers. For purposes of this subsection (c) only, "small |
commercial retail customer" has the meaning given to that term |
in Section 16-102 of the Public Utilities Act. |
(1) During a solicitation an alternative retail |
electric supplier shall state that he or represents an |
independent seller of electric power and energy service |
certified by the Illinois Commerce Commission and that he |
or she is not employed by, representing, endorsed by, or |
acting on behalf of, a utility, or a utility program, a |
consumer group or consumer group program, or a |
governmental body, unless the alternative retail electric |
supplier has entered into a contractual arrangement with |
the governmental body and has been authorized with the |
governmental body to make the statements. |
(2) Alternative retail electric suppliers who engage |
in in-person solicitation for the purpose of selling |
electric power and energy service offered by the |
alternative retail electric supplier shall display |
identification on an outer garment. This identification |
shall be visible at all times and prominently display the |
following: (i) the alternative retail electric supplier |
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agent's full name in reasonable size font; (ii) an agent |
identification number; (iii) a photograph of the |
alternative retail electric supplier agent; and (iv) the |
trade name and logo of the alternative retail electric |
supplier the agent is representing. If the agent is |
selling electric power and energy services from multiple |
alternative retail electric suppliers to the consumer, the |
identification shall display the trade name and logo of |
the agent, broker, or consultant entity as that entity is |
defined in Section 16-115C of the Public Utilities Act. An |
alternative retail electric supplier shall leave the |
premises at the consumer's, owner's, or occupant's |
request. A copy of the Uniform Disclosure Statement |
described in 83 Ill. Adm. Code 412.115 and 412.Appendix A |
is to be left with the consumer, at the conclusion of the |
visit unless the consumer refuses to accept a copy. An |
alternative retail electric supplier may provide the |
Uniform Disclosure Statement electronically instead of in |
paper form to a consumer upon that customer's request. The |
alternative retail electric supplier shall also offer to |
the consumer, at the time of the initiation of the |
solicitation, a business card or other material that lists |
the agent's name, identification number and title, and the |
alternative retail electric supplier's name and contact |
information, including phone number. The alternative |
retail electric supplier shall not conduct any in-person |
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solicitations of consumers at any building or premises |
where any sign, notice, or declaration of any description |
whatsoever is posted that prohibits sales, marketing, or |
solicitations. The alternative retail electric supplier |
shall obtain consent to enter multi-unit residential |
dwellings. Consent obtained to enter a multi-unit dwelling |
from one prospective customer or occupant of the dwelling |
shall not constitute consent to market to any other |
prospective consumers without separate consent. |
(3) An alternative retail electric supplier who |
contacts consumers by telephone for the purpose of selling |
electric power and energy service shall provide the |
agent's name and identification number. Any telemarketing |
solicitations that lead to a telephone enrollment of a |
consumer must be recorded and retained for a minimum of 2 |
years. All telemarketing calls of consumers that do not |
lead to a telephone enrollment, but last at least 2 |
minutes, shall be recorded and retained for a minimum of 6 |
months. |
(4) During an inbound enrollment call, an alternative |
retail electric supplier shall state that he or she |
represents an independent seller of electric power and |
energy service certified by the Illinois Commerce |
Commission. All inbound enrollment calls that lead to an |
enrollment shall be recorded, and the recordings shall be |
retained for a minimum of 2 years. An inbound enrollment |
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call that does not lead to an enrollment, but lasts at |
least 2 minutes, shall be retained for a minimum of 6 |
months. The alternative retail electric supplier shall |
send the Uniform Disclosure Statement and contract to the |
customer within 3 business days after the electric |
utility's confirmation to the alternative retail electric |
supplier of an accepted enrollment. |
(5) If a direct mail solicitation to a consumer |
includes a written letter of agency, it shall include the |
Uniform Disclosure Statement described in 83 Ill. Adm. |
Code 412.115 and 412.Appendix A. The Uniform Disclosure |
Statement shall be provided on a separate page from the |
other marketing materials included in the direct mail |
solicitation. If a written letter of agency is being used |
to authorize a consumer's enrollment, the written letter |
of agency shall comply with this Section. A copy of the |
contract must be sent to the consumer within 3 business |
days after the electric utility's confirmation to the |
alternative retail electric supplier of an accepted |
enrollment. |
(6) Online Solicitation. |
(A) Each alternative retail electric supplier |
offering electric power and energy service to |
consumers online shall clearly and conspicuously make |
all disclosures for any services offered through |
online enrollment before requiring the consumer to |
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enter any personal information other than zip code, |
electric utility service territory, or type of service |
sought. |
(B) Notwithstanding any requirements in this |
Section to the contrary, an alternative retail |
electric supplier may secure consent from the consumer |
to obtain customer-specific billing and usage |
information for the sole purpose of determining and |
pricing a product through a letter of agency or method |
approved through an Illinois Commerce Commission |
docket before making all disclosure for services |
offered through online enrollment. It is a violation |
of this Act for an alternative retail electric |
supplier to use a consumer's utility account number to |
execute or change a consumer's enrollment unless the |
consumer expressly consents to that enrollment as |
required by law. |
(C) The enrollment website of the alternative |
retail electric supplier shall, at a minimum, include: |
(i) disclosure of all material terms and conditions of |
the offer; (ii) a statement that electronic acceptance |
of the terms and conditions is an agreement to |
initiate service and begin enrollment; (iii) a |
statement that the consumer shall review the contract |
or contact the current supplier to learn if any early |
termination fees are applicable; and (iv) an email |
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address and toll-free phone number of the alternative |
retail electric supplier where the customer can |
express a decision to rescind the contract. |
(7)(A) Beginning January 1, 2020, an alternative |
retail electric supplier shall not sell or offer to sell |
any products or services to a consumer pursuant to a |
contract in which the contract automatically renews, |
unless an alternative retail electric supplier provides to |
the consumer at the outset of the offer, in addition to |
other disclosures required by law, a separate written |
statement titled "Automatic Contract Renewal" that clearly |
and conspicuously discloses in bold lettering in at least |
12-point font the terms and conditions of the automatic |
contract renewal provision, including: (i) the estimated |
bill cycle on which the initial contract term expires and |
a statement that it could be later based on when the |
utility accepts the initial enrollment; (ii) the estimated |
bill cycle on which the new contract term begins and a |
statement that it will immediately follow the last billing |
cycle of the current term; (iii) the procedure to |
terminate the contract before the new contract term |
applies; and (iv) the cancellation procedure. If the |
alternative retail electric supplier sells or offers to |
sell the products or services to a consumer during an |
in-person solicitation or telemarketing solicitation, the |
disclosures described in this subparagraph (A) shall also |
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be made to the consumer verbally during the solicitation. |
Nothing in this subparagraph (A) shall be construed to |
apply to contracts entered into before January 1, 2020. |
(B) At least 30 days before, but not more than 60 |
days prior, to the end of the initial contract term, in |
any and all contracts that automatically renew after |
the initial term, the alternative retail electric |
supplier shall send, in addition to other disclosures |
required by law, a separate written notice of the |
contract renewal to the consumer that clearly and |
conspicuously discloses the following: |
(i) a statement printed or visible from the |
outside of the envelope or in the subject line of |
the email, if the customer has agreed to receive |
official documents by email, that states "Contract |
Renewal Notice"; |
(ii) a statement in bold lettering, in at |
least 12-point font, that the contract will |
automatically renew unless the customer cancels |
it; |
(iii) the billing cycle in which service under |
the current term will expire; |
(iv) the billing cycle in which service under |
the new term will begin; |
(v) the process and options available to the |
consumer to reject the new contract terms; |
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(vi) the cancellation process if the |
consumer's contract automatically renews before |
the consumer rejects the new contract terms; |
(vii) the terms and conditions of the new |
contract term; |
(viii) for a fixed rate contract, a |
side-by-side comparison of the current price and |
the new price; for a variable rate contract or |
time-of-use product in which the first month's |
renewal price can be determined, a side-by-side |
comparison of the current price and the price for |
the first month of the new variable or time-of-use |
price; or for a variable or time-of-use contract |
based on a publicly available index, a |
side-by-side comparison of the current formula and |
the new formula; and |
(ix) the phone number and Internet address to |
submit a consumer inquiry or complaint to the |
Illinois Commerce Commission and the Office of the |
Attorney General. |
(C) An alternative retail electric supplier shall |
not automatically renew a consumer's enrollment after |
the current term of the contract expires when the |
current term of the contract provides that the |
consumer will be charged a fixed rate and the renewed |
contract provides that the consumer will be charged a |
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variable rate, unless: (i) the alternative retail |
electric supplier complies with subparagraphs (A) and |
(B); and (ii) the customer expressly consents to the |
contract renewal in writing or by electronic signature |
at least 30 days, but no more than 60 days, before the |
contract expires. |
(D) This paragraph (7) does not apply to customers |
enrolled in a municipal aggregation program pursuant |
to Section 1-92 of the Illinois Power Agency Act. |
(8) All in-person and telephone solicitations shall be |
conducted in, translated into, and provided in a language |
in which the consumer subject to the marketing or |
solicitation is able to understand and communicate. An |
alternative retail electric supplier shall terminate a |
solicitation if the consumer subject to the marketing or |
communication is unable to understand and communicate in |
the language in which the marketing or solicitation is |
being conducted. An alternative retail electric supplier |
shall comply with Section 2N of this Act. |
(9) Beginning January 1, 2020, consumers shall have |
the right to terminate their contract with the alternative |
retail electric supplier at any time without any |
termination fees or penalties. |
(10) An alternative retail electric supplier shall not |
submit a change to a customer's electric service provider |
in violation of Section 16-115E of the Public Utilities |
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Act. |
(d) Complaints may be filed with the Illinois Commerce |
Commission under this Section by a consumer whose electric |
service has been provided by an alternative retail electric |
supplier in a manner not in compliance with this Section or by |
the Illinois Commerce Commission on its own motion when it |
appears to the Commission that an alternative retail electric |
supplier has provided service in a manner not in compliance |
with this Section. If, after notice and hearing, the |
Commission finds that an alternative retail electric supplier |
has violated this Section, the Commission may in its |
discretion do any one or more of the following: |
(1) Require the violating alternative retail electric |
supplier to refund to the consumer charges collected in |
excess of those that would have been charged by the |
consumer's authorized electric service provider. |
(2) Require the violating alternative retail electric |
supplier to pay to the consumer's authorized electric |
service provider the amount the authorized electric |
service provider would have collected for the electric |
service. The Commission is authorized to reduce this |
payment by any amount already paid by the violating |
alternative retail electric supplier to the consumer's |
authorized provider for electric service. |
(3) Require the violating alternative retail electric |
supplier to pay a fine of up to $10,000 into the Public |
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Utility Fund for each violation of this Section. |
(4) Issue a cease and desist order. |
(5) For a pattern of violation of this Section or for |
violations that continue after a cease and desist order, |
revoke the violating alternative retail electric |
supplier's certificate of service authority.
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(e) For purposes of this
Section: |
"Electric service provider"
shall have the meaning given |
that phrase in
Section 6.5 of the
Attorney General Act.
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"Alternative retail electric supplier" has the meaning |
given to that term in Section 16-102 of the Public Utilities |
Act. |
(Source: P.A. 101-590, eff. 1-1-20; 102-958, eff. 1-1-23; |
revised 12-13-22.)
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Section 765. The Employee Arbitration Act is amended by |
changing Sections 2, 3, 5, 5a, 5b, 6, and 6a as follows:
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(820 ILCS 35/2) (from Ch. 10, par. 20)
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Sec. 2.
When any controversy or difference not involving |
questions which
may be the subject of a civil action, exists |
between an employer, whether
an individual, copartnership or |
corporation, employing not less than 25
persons, and his |
employees employes in this State, the Department of Labor |
shall upon
application as herein provided, and as soon as |
practicable thereafter,
visit the locality of the dispute and |
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make a careful inquiry into the cause
thereof, hear all |
persons interested therein who may come before it, advise
the |
respective parties what, if anything ought to be done or |
submitted to
by both to adjust the dispute, and make a written |
decision thereof. This
decision shall at once be made public, |
shall be recorded upon proper books
of record kept by the |
Department of Labor, and a short statement thereof
published |
in the annual report hereinafter provided for, and the |
Department
shall cause a copy thereof to be filed with the |
clerk of the city, town or
village where said business is |
carried on.
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(Source: P.A. 76-1403; revised 8-19-22.)
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(820 ILCS 35/3) (from Ch. 10, par. 21)
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Sec. 3.
The application shall be signed by the employer or |
by a majority of
his or her employees employes in the |
department of the business in which the controversy
or |
difference exists, or by both parties, and shall contain a |
concise
statement of the grievances complained of, and a |
promise to continue on in
business or at work without any |
lockout or strike until the decision of
said Department, if it |
shall be made within 3 weeks of the date of filing
said |
application. As soon as may be after the receipt of the |
application
the Department shall cause public notice to be |
given of the time and place
of the hearing thereon; but public |
notice need not be given when both
parties to the controversy |
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join in the application and present therewith a
written |
request that no public notice be given. When such request is |
made,
notice shall be given to the parties interested in such |
manner as the
Department may order, and the Department may, at |
any stage of the
proceedings, cause public notice to be given, |
notwithstanding such request.
The Department may in all cases |
summon as witnesses any operative or expert
in the department |
of business affected, and any person who keeps the
records of |
wages earned in those departments, or any other person, and
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examine them under oath, and require the production of books |
containing the
records of wages paid, and such other books and |
papers as may be deemed
necessary to a full and fair |
investigation of the matter in controversy.
The Department may |
issue subpoenas, and oath may be administered by the
Director |
of the Department or by any authorized officer or employee
|
thereof. If any person, having been served with a subpoena or |
other process
issued by the Department, shall willfully fail |
or refuse to obey the same,
or to answer such questions as may |
be propounded touching the
subject-matter of the inquiry or |
investigation, the circuit court of the
county in which the |
hearing is being conducted, upon
application by the |
Department, duly attested by the Director thereof, shall
issue |
an attachment for such witness and compel him to appear before |
the
Department and give his or her testimony, or to produce |
such books and
papers as may be lawfully required by the |
Department; and the court may
punish for contempt, as in other |
|
cases of refusal to obey the
process and order of such court.
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(Source: P.A. 83-334; revised 8-19-22.)
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(820 ILCS 35/5) (from Ch. 10, par. 23)
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Sec. 5.
Said decision shall be binding upon the parties |
who join in said
application for six months or until either |
party has given the other notice
in writing of his or their |
intention not to be bound by the same at the
expiration of |
sixty days therefrom. Said notice may be given to said |
employees
employes by posting in three conspicuous places in |
the shop or factory
where they work.
|
(Source: Laws 1895, p. 5; revised 8-19-22.)
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(820 ILCS 35/5a) (from Ch. 10, par. 24)
|
Sec. 5a.
In the event of a failure to abide by the |
decisions of the
Department of Labor in any case in which both |
employer and employees employes shall
have joined in the |
application, any person or persons aggrieved thereby may
file |
with the clerk of the circuit court of the county in which the
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offending party resides, or in the case of an employer in the |
county in
which the place of employment is located, a duly |
authenticated copy of such
decision, accompanied by a verified |
petition reciting the fact that such
decision has not been |
complied with and stating by whom and in what
respects it has |
been disregarded. Thereupon the circuit court shall grant
a |
rule against the party or parties so charged to show
cause |
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within 10 days why such decision has not been complied with, |
which
shall be served by the sheriff as other process. Upon |
return made to the
rule, the court shall hear and determine the
|
questions presented, and to secure a compliance with such |
decision, may
punish the offending party or parties for |
contempt, but such punishment
shall in no case extend to |
imprisonment.
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(Source: P.A. 83-334; revised 8-19-22.)
|
(820 ILCS 35/5b) (from Ch. 10, par. 25)
|
Sec. 5b.
Whenever two or more employers engaged in the |
same general line of
business, employing in the aggregate not |
less than twenty-five persons, and
having a common difference |
with their employees employes , shall, co-operating
together, |
make application for arbitration, or whenever such application
|
shall be made by the employees employes of two or more |
employers engaged in the same
general line of business, such |
employees employes being not less than twenty-five in
number, |
and having a common difference with their employers, or |
whenever
the application shall be made jointly by the |
employers and employees employes in such
case, the Department |
of Labor shall have the same powers and proceed in the
same |
manner as if the application had been made by one employer, or |
by the employees
employes of one employer, or by both.
|
(Source: Laws 1943, vol. 1, p. 207; revised 8-19-22.)
|
|
(820 ILCS 35/6) (from Ch. 10, par. 26)
|
Sec. 6.
Whenever it shall come to the knowledge of the |
Department of Labor
that a strike or lockout is seriously |
threatened in the State involving an
employer and his |
employees employes , if he is employing not less than |
twenty-five
persons, the Department shall communicate as soon |
as may be with such
employer or employees employes , and |
endeavor by mediation to effect an amicable
settlement, or |
persuade them to submit the matters in dispute to the
|
Department.
|
(Source: Laws 1943, vol. 1, p. 207; revised 8-19-22.)
|
(820 ILCS 35/6a) (from Ch. 10, par. 27)
|
Sec. 6a.
The Mayor of every City, and the President of |
every incorporated
town or village, whenever a strike or |
lockout involving more than
twenty-five employees employes |
shall be threatened or has actually occurred within or
near |
such City, incorporated town or village shall immediately |
communicate
the fact to the Department of Labor, stating the |
name or names of the
employer or employers and of one or more |
employees employes , with their post-office
addresses, the |
nature of the controversy or difference existing, the number
|
of employees employes involved and such other information as |
may be required by the
Department. The president or chief |
executive officer of every labor
organization, in case of a |
strike or lockout, actual or threatened,
involving the members |
|
of the organization of which he is an officer, shall
|
immediately communicate the fact of such strike or lockout to |
the
Department, with such information as he may possess, |
touching the
difference or controversy, and the number of |
employees employes involved.
|
(Source: Laws 1943, vol. 1, p. 207; revised 8-19-22.)
|
Section 770. The Equal Pay Act of 2003 is amended by |
changing Section 90 as follows:
|
(820 ILCS 112/90)
|
Sec. 90. Severability. The provisions of this Act are |
severable under
Section 1.31 of the of the Statute on |
Statutes.
|
(Source: P.A. 93-6, eff. 1-1-04; revised 2-28-22.)
|
Section 775. The One Day Rest In Seven Act is amended by |
changing Section 2 as follows:
|
(820 ILCS 140/2) (from Ch. 48, par. 8b)
|
Sec. 2. Hours and days of rest in every consecutive |
seven-day period calendar week . |
(a) Every employer shall allow every employee except those |
specified
in this
Section at least twenty-four consecutive |
hours of rest in every consecutive seven-day period in |
addition to the regular period of rest allowed at the close of |
|
each
working day.
|
A person employed as a domestic worker, as defined in |
Section 10 of the Domestic Workers' Bill of Rights Act, shall |
be allowed at least 24 consecutive hours of rest in every |
consecutive seven-day period. This subsection (a) does not |
prohibit a domestic worker from voluntarily agreeing to work |
on such day of rest required by this subsection (a) if the |
worker is compensated at the overtime rate for all hours |
worked on such day of rest. The day of rest authorized under |
this subsection (a) should, whenever possible, coincide with |
the traditional day reserved by the domestic worker for |
religious worship. |
(b) Subsection (a) does not apply to the following:
|
(1) Part-time employees whose total work hours for one |
employer during a
calendar week do not exceed 20; and
|
(2) Employees needed in case of breakdown of machinery |
or equipment or
other emergency requiring the immediate |
services of experienced and
competent labor to prevent |
injury to person, damage to property, or
suspension of |
necessary operation; and
|
(3) Employees employed in agriculture or coal mining; |
and
|
(4) Employees engaged in the occupation of canning and |
processing
perishable agricultural products, if such |
employees are employed by an
employer in such occupation |
on a seasonal basis and for not more than 20
weeks during |
|
any calendar year or 12 month period; and
|
(5) Employees employed as watchmen or security guards; |
and
|
(6) Employees who are employed in a bonafide |
executive, administrative,
or professional capacity or in |
the capacity of an outside salesman, as
defined in Section |
12(a)(1) of the federal Fair Labor Standards Act, as
|
amended, and those employed as supervisors as defined in |
Section 2(11) of
the National Labor Relations Act, as |
amended; and
|
(7) Employees who are employed as crew members of any |
uninspected towing
vessel, as defined by Section 2101(40) |
of Title 46 of the United States Code,
operating in any |
navigable waters in or along the boundaries of the State |
of
Illinois; and
|
(8) Employees for whom work hours, days of work, and |
rest periods are established through the collective |
bargaining process. |
(Source: P.A. 102-828, eff. 1-1-23; 102-1012, eff. 1-1-23; |
revised 12-14-22.)
|
Section 780. The Occupational Safety and Health Act is |
amended by changing Section 100 as follows:
|
(820 ILCS 219/100) |
Sec. 100. Hearing. |
|
(a) If a public employer or the employer's representative |
notifies the Director that the employer intends to contest a |
citation and notice of penalty or if, within 15 business days |
after the issuance of the citation, an employee or |
representative of employees files a notice with the Director |
alleging that the period of time fixed in the citation for the |
abatement of the violation is unreasonable, the Director shall |
afford an opportunity for a hearing before an Administrative |
Law Judge designated by the Director. |
(b) At the hearing, the employer or employee shall state |
his or her objections to the citation and provide evidence why |
the citation should not stand as issued. The Director or his or |
her representative shall be given the opportunity to state his |
or her reasons for issuing the citation. Affected employees |
shall be provided an opportunity to participate as parties to |
hearings under the rules of procedure prescribed by the |
Director (56 Ill. Adm. Admin. Code , Part 120).
|
(c) The Director, or the Administrative Law Judge on |
behalf of the Director, has the power to do the following:
|
(1) Issue subpoenas for and compel the attendance of |
witnesses.
|
(2) Hear testimony and receive evidence.
|
(3) Order testimony of a witness residing within or |
without this State to be taken by deposition in the manner |
prescribed by law for depositions in civil cases in the |
circuit court in any proceeding pending before him or her |
|
at any stage of such proceeding.
|
(d) Subpoenas and commissions to take testimony shall be |
issued by the Director. Service of subpoenas may be made by a |
sheriff or any other person.
|
(e) The circuit court for the county where any hearing is |
pending may compel the attendance of witnesses, the production |
of pertinent books, papers, records, or documents, and the |
giving of testimony before the Director or an Administrative |
Law Judge by an attachment proceeding, as for contempt, in the |
same manner as the production of evidence may be compelled |
before the court.
|
(f) The Administrative Law Judge on behalf of the |
Director, after considering the evidence presented at the |
formal hearing, in accordance with the Director's rules, shall |
enter a final decision and order within a reasonable time |
affirming, modifying, or vacating the citation or proposed |
assessment of a civil penalty, or directing other appropriate |
relief.
|
(Source: P.A. 102-705, eff. 1-1-23; revised 12-13-22.)
|
Section 785. The Employee Washroom Act is amended by |
changing the title of the Act as follows:
|
(820 ILCS 230/Act title)
|
An Act to provide for washrooms with toilet facilities in |
certain
employments to protect the health of employees |