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| | 103RD GENERAL ASSEMBLY
State of Illinois
2023 and 2024
SB1797 Introduced 2/9/2023, by Sen. Cristina H. Pacione-Zayas SYNOPSIS AS INTRODUCED:
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Amends various Acts by replacing the terms "day care", "daycare", and "day-care", in relation to the care of a child, with the term "child care".
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| | A BILL FOR |
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1 | | AN ACT concerning regulation.
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2 | | Be it enacted by the People of the State of Illinois,
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3 | | represented in the General Assembly:
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4 | | Section 5. The Illinois Public Labor Relations Act is |
5 | | amended by changing Sections 3 and 7 as follows:
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6 | | (5 ILCS 315/3) (from Ch. 48, par. 1603)
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7 | | Sec. 3. Definitions. As used in this Act, unless the |
8 | | context
otherwise requires:
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9 | | (a) "Board" means the Illinois
Labor Relations Board or, |
10 | | with respect to a matter over which the
jurisdiction of the |
11 | | Board is assigned to the State Panel or the Local Panel
under |
12 | | Section 5, the panel having jurisdiction over the matter.
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13 | | (b) "Collective bargaining" means bargaining over terms |
14 | | and conditions
of employment, including hours, wages, and |
15 | | other conditions of employment,
as detailed in Section 7 and |
16 | | which are not excluded by Section 4.
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17 | | (c) "Confidential employee" means an employee who, in the |
18 | | regular course
of his or her duties, assists and acts in a |
19 | | confidential capacity to persons
who formulate, determine, and |
20 | | effectuate management policies with regard
to labor relations |
21 | | or who, in the regular course of his or her duties, has
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22 | | authorized access to information relating to the effectuation
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23 | | or review of the employer's collective bargaining policies.
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1 | | Determinations of confidential employee status shall be based |
2 | | on actual employee job duties and not solely on written job |
3 | | descriptions.
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4 | | (d) "Craft employees" means skilled journeymen, crafts |
5 | | persons, and their
apprentices and helpers.
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6 | | (e) "Essential services employees" means those public |
7 | | employees
performing functions so essential that the |
8 | | interruption or termination of
the function will constitute a |
9 | | clear and present danger to the health and
safety of the |
10 | | persons in the affected community.
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11 | | (f) "Exclusive representative", except with respect to |
12 | | non-State fire
fighters and paramedics employed by fire |
13 | | departments and fire protection
districts, non-State peace |
14 | | officers, and peace officers in the
Illinois State Police, |
15 | | means the labor organization that has
been (i) designated by |
16 | | the Board as the representative of a majority of public
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17 | | employees in an appropriate bargaining unit in accordance with |
18 | | the procedures
contained in this Act; (ii) historically
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19 | | recognized by the State of Illinois or
any political |
20 | | subdivision of the State before July 1, 1984
(the effective |
21 | | date of this
Act) as the exclusive representative of the |
22 | | employees in an appropriate
bargaining unit; (iii) after July |
23 | | 1, 1984 (the
effective date of this Act) recognized by an
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24 | | employer upon evidence, acceptable to the Board, that the |
25 | | labor
organization has been designated as the exclusive |
26 | | representative by a
majority of the employees in an |
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1 | | appropriate bargaining unit;
(iv) recognized as the exclusive |
2 | | representative of personal
assistants under Executive Order |
3 | | 2003-8 prior to July 16, 2003 (the effective date of Public Act |
4 | | 93-204), and the organization shall be considered to
be the
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5 | | exclusive representative of the personal assistants
as defined
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6 | | in this Section; or (v) recognized as the exclusive |
7 | | representative of child and day care home providers, including |
8 | | licensed and license exempt providers, pursuant to an election |
9 | | held under Executive Order 2005-1 prior to January 1, 2006 |
10 | | (the effective date of Public Act 94-320), and the |
11 | | organization shall be considered to be the exclusive |
12 | | representative of the child and day care home providers as |
13 | | defined in this Section.
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14 | | With respect to non-State fire fighters and paramedics |
15 | | employed by fire
departments and fire protection districts, |
16 | | non-State peace officers, and
peace officers in the Illinois |
17 | | State Police,
"exclusive representative" means the labor |
18 | | organization that has
been (i) designated by the Board as the |
19 | | representative of a majority of peace
officers or fire |
20 | | fighters in an appropriate bargaining unit in accordance
with |
21 | | the procedures contained in this Act, (ii)
historically |
22 | | recognized
by the State of Illinois or any political |
23 | | subdivision of the State before
January 1, 1986 (the effective |
24 | | date of this amendatory Act of 1985) as the exclusive
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25 | | representative by a majority of the peace officers or fire |
26 | | fighters in an
appropriate bargaining unit, or (iii) after |
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1 | | January 1,
1986 (the effective date of this amendatory
Act of |
2 | | 1985) recognized by an employer upon evidence, acceptable to |
3 | | the
Board, that the labor organization has been designated as |
4 | | the exclusive
representative by a majority of the peace |
5 | | officers or fire fighters in an
appropriate bargaining unit.
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6 | | Where a historical pattern of representation exists for |
7 | | the workers of a water system that was owned by a public |
8 | | utility, as defined in Section 3-105 of the Public Utilities |
9 | | Act, prior to becoming certified employees of a municipality |
10 | | or municipalities once the municipality or municipalities have |
11 | | acquired the water system as authorized in Section 11-124-5 of |
12 | | the Illinois Municipal Code, the Board shall find the labor |
13 | | organization that has historically represented the workers to |
14 | | be the exclusive representative under this Act, and shall find |
15 | | the unit represented by the exclusive representative to be the |
16 | | appropriate unit. |
17 | | (g) "Fair share agreement" means an agreement between the |
18 | | employer and
an employee organization under which all or any |
19 | | of the employees in a
collective bargaining unit are required |
20 | | to pay their proportionate share of
the costs of the |
21 | | collective bargaining process, contract administration, and
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22 | | pursuing matters affecting wages, hours, and other conditions |
23 | | of employment,
but not to exceed the amount of dues uniformly |
24 | | required of members. The
amount certified by the exclusive |
25 | | representative shall not include any fees
for contributions |
26 | | related to the election or support of any candidate for
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1 | | political office. Nothing in this subsection (g) shall
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2 | | preclude an employee from making
voluntary political |
3 | | contributions in conjunction with his or her fair share
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4 | | payment.
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5 | | (g-1) "Fire fighter" means, for the purposes of this Act |
6 | | only, any
person who has been or is hereafter appointed to a |
7 | | fire department or fire
protection district or employed by a |
8 | | state university and sworn or
commissioned to perform fire |
9 | | fighter duties or paramedic duties, including paramedics |
10 | | employed by a unit of local government, except that the
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11 | | following persons are not included: part-time fire fighters,
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12 | | auxiliary, reserve or voluntary fire fighters, including paid |
13 | | on-call fire
fighters, clerks and dispatchers or other |
14 | | civilian employees of a fire
department or fire protection |
15 | | district who are not routinely expected to
perform fire |
16 | | fighter duties, or elected officials.
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17 | | (g-2) "General Assembly of the State of Illinois" means |
18 | | the
legislative branch of the government of the State of |
19 | | Illinois, as provided
for under Article IV of the Constitution |
20 | | of the State of Illinois, and
includes, but is not limited to, |
21 | | the House of Representatives, the Senate,
the Speaker of the |
22 | | House of Representatives, the Minority Leader of the
House of |
23 | | Representatives, the President of the Senate, the Minority |
24 | | Leader
of the Senate, the Joint Committee on Legislative |
25 | | Support Services, and any
legislative support services agency |
26 | | listed in the Legislative Commission
Reorganization Act of |
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1 | | 1984.
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2 | | (h) "Governing body" means, in the case of the State, the |
3 | | State Panel of
the Illinois Labor Relations Board, the |
4 | | Director of the Department of Central
Management Services, and |
5 | | the Director of the Department of Labor; the county
board in |
6 | | the case of a county; the corporate authorities in the case of |
7 | | a
municipality; and the appropriate body authorized to provide |
8 | | for expenditures
of its funds in the case of any other unit of |
9 | | government.
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10 | | (i) "Labor organization" means any organization in which |
11 | | public employees
participate and that exists for the purpose, |
12 | | in whole or in part, of dealing
with a public employer |
13 | | concerning wages, hours, and other terms and conditions
of |
14 | | employment, including the settlement of grievances.
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15 | | (i-5) "Legislative liaison" means a person who is an |
16 | | employee of a State agency, the Attorney General, the |
17 | | Secretary of State, the Comptroller, or the Treasurer, as the |
18 | | case may be, and whose job duties require the person to |
19 | | regularly communicate in the course of his or her employment |
20 | | with any official or staff of the General Assembly of the State |
21 | | of Illinois for the purpose of influencing any legislative |
22 | | action. |
23 | | (j) "Managerial employee" means an individual who is |
24 | | engaged
predominantly in executive and management functions |
25 | | and is charged with the
responsibility of directing the |
26 | | effectuation of management policies
and practices. |
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1 | | Determination of managerial employee status shall be based on |
2 | | actual employee job duties and not solely on written job |
3 | | descriptions. With respect only to State employees in |
4 | | positions under the jurisdiction of the Attorney General, |
5 | | Secretary of State, Comptroller, or Treasurer (i) that were |
6 | | certified in a bargaining unit on or after December 2, 2008, |
7 | | (ii) for which a petition is filed with the Illinois Public |
8 | | Labor Relations Board on or after April 5, 2013 (the effective |
9 | | date of Public Act 97-1172), or (iii) for which a petition is |
10 | | pending before the Illinois Public Labor Relations Board on |
11 | | that date, "managerial employee" means an individual who is |
12 | | engaged in executive and management functions or who is |
13 | | charged with the effectuation of management policies and |
14 | | practices or who represents management interests by taking or |
15 | | recommending discretionary actions that effectively control or |
16 | | implement policy. Nothing in this definition prohibits an |
17 | | individual from also meeting the definition of "supervisor" |
18 | | under subsection (r) of this Section.
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19 | | (k) "Peace officer" means, for the purposes of this Act |
20 | | only, any
persons who have been or are hereafter appointed to a |
21 | | police force,
department, or agency and sworn or commissioned |
22 | | to perform police duties,
except that the following persons |
23 | | are not
included: part-time police
officers, special police |
24 | | officers, auxiliary police as defined by Section
3.1-30-20 of |
25 | | the Illinois Municipal Code, night watchmen, "merchant |
26 | | police",
court security officers as defined by Section |
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1 | | 3-6012.1 of the Counties
Code,
temporary employees, traffic |
2 | | guards or wardens, civilian parking meter and
parking |
3 | | facilities personnel or other individuals specially appointed |
4 | | to
aid or direct traffic at or near schools or public functions |
5 | | or to aid in
civil defense or disaster, parking enforcement |
6 | | employees who are not
commissioned as peace officers and who |
7 | | are not armed and who are not
routinely expected to effect |
8 | | arrests, parking lot attendants, clerks and
dispatchers or |
9 | | other civilian employees of a police department who are not
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10 | | routinely expected to effect arrests, or elected officials.
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11 | | (l) "Person" includes one or more individuals, labor |
12 | | organizations, public
employees, associations, corporations, |
13 | | legal representatives, trustees,
trustees in bankruptcy, |
14 | | receivers, or the State of Illinois or any political
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15 | | subdivision of the State or governing body, but does not |
16 | | include the General
Assembly of the State of Illinois or any |
17 | | individual employed by the General
Assembly of the State of |
18 | | Illinois.
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19 | | (m) "Professional employee" means any employee engaged in |
20 | | work predominantly
intellectual and varied in character rather |
21 | | than routine mental, manual,
mechanical or physical work; |
22 | | involving the consistent exercise of discretion
and adjustment |
23 | | in its performance; of such a character that the output |
24 | | produced
or the result accomplished cannot be standardized in |
25 | | relation to a given
period of time; and requiring advanced |
26 | | knowledge in a field of science or
learning customarily |
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1 | | acquired by a prolonged course of specialized intellectual
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2 | | instruction and study in an institution of higher learning or |
3 | | a hospital,
as distinguished from a general academic education |
4 | | or from apprenticeship
or from training in the performance of |
5 | | routine mental, manual, or physical
processes; or any employee |
6 | | who has completed the courses of specialized
intellectual |
7 | | instruction and study prescribed in this subsection (m) and is
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8 | | performing related
work under the supervision of a |
9 | | professional person to qualify to become
a professional |
10 | | employee as defined in this subsection (m).
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11 | | (n) "Public employee" or "employee", for the purposes of |
12 | | this Act, means
any individual employed by a public employer, |
13 | | including (i) interns and residents
at public hospitals, (ii) |
14 | | as of July 16, 2003 (the effective date of Public Act 93-204), |
15 | | but not
before, personal assistants working under the Home
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16 | | Services
Program under Section 3 of the Rehabilitation of |
17 | | Persons with Disabilities Act, subject to
the
limitations set |
18 | | forth in this Act and in the Rehabilitation of Persons with |
19 | | Disabilities
Act,
(iii) as of January 1, 2006 (the effective |
20 | | date of Public Act 94-320), but not before, child and day care |
21 | | home providers participating in the child care assistance |
22 | | program under Section 9A-11 of the Illinois Public Aid Code, |
23 | | subject to the limitations set forth in this Act and in Section |
24 | | 9A-11 of the Illinois Public Aid Code, (iv) as of January 29, |
25 | | 2013 (the effective date of Public Act 97-1158), but not |
26 | | before except as otherwise provided in this subsection (n), |
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1 | | home care and home health workers who function as personal |
2 | | assistants and individual maintenance home health workers and |
3 | | who also work under the Home Services Program under Section 3 |
4 | | of the Rehabilitation of Persons with Disabilities Act, no |
5 | | matter whether the State provides those services through |
6 | | direct fee-for-service arrangements, with the assistance of a |
7 | | managed care organization or other intermediary, or otherwise, |
8 | | (v) beginning on July 19, 2013 (the effective date of Public |
9 | | Act 98-100) and notwithstanding any other provision of this |
10 | | Act, any person employed by a public employer and who is |
11 | | classified as or who holds the employment title of Chief |
12 | | Stationary Engineer, Assistant Chief Stationary Engineer, |
13 | | Sewage Plant Operator, Water Plant Operator, Stationary |
14 | | Engineer, Plant Operating Engineer, and any other employee who |
15 | | holds the position of: Civil Engineer V, Civil Engineer VI, |
16 | | Civil Engineer VII, Technical Manager I, Technical Manager II, |
17 | | Technical Manager III, Technical Manager IV, Technical Manager |
18 | | V, Technical Manager VI, Realty Specialist III, Realty |
19 | | Specialist IV, Realty Specialist V, Technical Advisor I, |
20 | | Technical Advisor II, Technical Advisor III, Technical Advisor |
21 | | IV, or Technical Advisor V employed by the Department of |
22 | | Transportation who is in a position which is certified in a |
23 | | bargaining unit on or before July 19, 2013 (the effective date |
24 | | of Public Act 98-100), and (vi) beginning on July 19, 2013 (the |
25 | | effective date of Public Act 98-100) and notwithstanding any |
26 | | other provision of this Act, any mental health administrator |
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1 | | in the Department of Corrections who is classified as or who |
2 | | holds the position of Public Service Administrator (Option |
3 | | 8K), any employee of the Office of the Inspector General in the |
4 | | Department of Human Services who is classified as or who holds |
5 | | the position of Public Service Administrator (Option 7), any |
6 | | Deputy of Intelligence in the Department of Corrections who is |
7 | | classified as or who holds the position of Public Service |
8 | | Administrator (Option 7), and any employee of the Illinois |
9 | | State Police who handles issues concerning the Illinois State |
10 | | Police Sex Offender Registry and who is classified as or holds |
11 | | the position of Public Service Administrator (Option 7), but |
12 | | excluding all of the following: employees of the
General |
13 | | Assembly of the State of Illinois; elected officials; |
14 | | executive
heads of a department; members of boards or |
15 | | commissions; the Executive
Inspectors General; any special |
16 | | Executive Inspectors General; employees of each
Office of an |
17 | | Executive Inspector General;
commissioners and employees of |
18 | | the Executive Ethics Commission; the Auditor
General's |
19 | | Inspector General; employees of the Office of the Auditor |
20 | | General's
Inspector General; the Legislative Inspector |
21 | | General; any special Legislative
Inspectors General; employees |
22 | | of the Office
of the Legislative Inspector General;
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23 | | commissioners and employees of the Legislative Ethics |
24 | | Commission;
employees
of any
agency, board or commission |
25 | | created by this Act; employees appointed to
State positions of |
26 | | a temporary or emergency nature; all employees of school
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1 | | districts and higher education institutions except |
2 | | firefighters and peace
officers employed
by a state university |
3 | | and except peace officers employed by a school district in its |
4 | | own police department in existence on July 23, 2010 (the |
5 | | effective date of Public Act 96-1257); managerial employees; |
6 | | short-term employees; legislative liaisons; a person who is a |
7 | | State employee under the jurisdiction of the Office of the |
8 | | Attorney General who is licensed to practice law or whose |
9 | | position authorizes, either directly or indirectly, meaningful |
10 | | input into government decision-making on issues where there is |
11 | | room for principled disagreement on goals or their |
12 | | implementation; a person who is a State employee under the |
13 | | jurisdiction of the Office of the Comptroller who holds the |
14 | | position of Public Service Administrator or whose position is |
15 | | otherwise exempt under the Comptroller Merit Employment Code; |
16 | | a person who is a State employee under the jurisdiction of the |
17 | | Secretary of State who holds the position classification of |
18 | | Executive I or higher, whose position authorizes, either |
19 | | directly or indirectly, meaningful input into government |
20 | | decision-making on issues where there is room for principled |
21 | | disagreement on goals or their implementation, or who is |
22 | | otherwise exempt under the Secretary of State Merit Employment |
23 | | Code; employees in the Office of the Secretary of State who are |
24 | | completely exempt from jurisdiction B of the Secretary of |
25 | | State Merit Employment Code and who are in Rutan-exempt |
26 | | positions on or after April 5, 2013 (the effective date of |
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1 | | Public Act 97-1172); a person who is a State employee under the |
2 | | jurisdiction of the Treasurer who holds a position that is |
3 | | exempt from the State Treasurer Employment Code; any employee |
4 | | of a State agency who (i) holds the title or position of, or |
5 | | exercises substantially similar duties as a legislative |
6 | | liaison, Agency General Counsel, Agency Chief of Staff, Agency |
7 | | Executive Director, Agency Deputy Director, Agency Chief |
8 | | Fiscal Officer, Agency Human Resources Director, Public |
9 | | Information Officer, or Chief Information Officer and (ii) was |
10 | | neither included in a bargaining unit nor subject to an active |
11 | | petition for certification in a bargaining unit; any employee |
12 | | of a State agency who (i) is in a position that is |
13 | | Rutan-exempt, as designated by the employer, and completely |
14 | | exempt from jurisdiction B of the Personnel Code and (ii) was |
15 | | neither included in a bargaining unit nor subject to an active |
16 | | petition for certification in a bargaining unit; any term |
17 | | appointed employee of a State agency pursuant to Section 8b.18 |
18 | | or 8b.19 of the Personnel Code who was neither included in a |
19 | | bargaining unit nor subject to an active petition for |
20 | | certification in a bargaining unit; any employment position |
21 | | properly designated pursuant to Section 6.1 of this Act;
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22 | | confidential employees; independent contractors; and |
23 | | supervisors except as
provided in this Act.
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24 | | Home care
and home health workers who function as personal |
25 | | assistants and individual maintenance home health workers and |
26 | | who also work under the Home Services Program under Section 3 |
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1 | | of the Rehabilitation of Persons with Disabilities Act shall |
2 | | not be considered
public
employees for any purposes not |
3 | | specifically provided for in Public Act 93-204 or Public Act |
4 | | 97-1158, including, but not limited to, purposes of vicarious
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5 | | liability in tort
and purposes of statutory retirement or |
6 | | health insurance benefits. Home care and home health workers |
7 | | who function as personal assistants and individual maintenance |
8 | | home health workers and who also work under the Home Services |
9 | | Program under Section 3 of the Rehabilitation of Persons with |
10 | | Disabilities Act shall not be covered by the State Employees
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11 | | Group
Insurance Act of 1971.
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12 | | Child and day care home providers shall not be considered |
13 | | public employees for any purposes not specifically provided |
14 | | for in Public Act 94-320, including, but not limited to, |
15 | | purposes of vicarious liability in tort and purposes of |
16 | | statutory retirement or health insurance benefits. Child and |
17 | | day care home providers shall not be covered by the State |
18 | | Employees Group Insurance Act of 1971. |
19 | | Notwithstanding Section 9, subsection (c), or any other |
20 | | provisions of
this Act, all peace officers above the rank of |
21 | | captain in
municipalities with more than 1,000,000 inhabitants |
22 | | shall be excluded
from this Act.
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23 | | (o) Except as otherwise in subsection (o-5), "public |
24 | | employer" or "employer" means the State of Illinois; any
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25 | | political subdivision of the State, unit of local government |
26 | | or school
district; authorities including departments, |
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1 | | divisions, bureaus, boards,
commissions, or other agencies of |
2 | | the foregoing entities; and any person
acting within the scope |
3 | | of his or her authority, express or implied, on
behalf of those |
4 | | entities in dealing with its employees.
As of July 16, 2003 |
5 | | (the effective date of Public Act 93-204),
but not
before, the |
6 | | State of Illinois shall be considered the employer of the |
7 | | personal assistants working under the Home Services Program
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8 | | under
Section 3 of the Rehabilitation of Persons with |
9 | | Disabilities Act, subject to the
limitations set forth
in this |
10 | | Act and in the Rehabilitation of Persons with Disabilities |
11 | | Act. As of January 29, 2013 (the effective date of Public Act |
12 | | 97-1158), but not before except as otherwise provided in this |
13 | | subsection (o), the State shall be considered the employer of |
14 | | home care and home health workers who function as personal |
15 | | assistants and individual maintenance home health workers and |
16 | | who also work under the Home Services Program under Section 3 |
17 | | of the Rehabilitation of Persons with Disabilities Act, no |
18 | | matter whether the State provides those services through |
19 | | direct fee-for-service arrangements, with the assistance of a |
20 | | managed care organization or other intermediary, or otherwise, |
21 | | but subject to the limitations set forth in this Act and the |
22 | | Rehabilitation of Persons with Disabilities Act. The State |
23 | | shall not
be
considered to be the employer of home care and |
24 | | home health workers who function as personal
assistants and |
25 | | individual maintenance home health workers and who also work |
26 | | under the Home Services Program under Section 3 of the |
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1 | | Rehabilitation of Persons with Disabilities Act, for any
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2 | | purposes not specifically provided for in Public Act 93-204 or |
3 | | Public Act 97-1158, including but not limited to, purposes of |
4 | | vicarious liability in tort
and
purposes of statutory |
5 | | retirement or health insurance benefits. Home care and home |
6 | | health workers who function as
personal assistants and |
7 | | individual maintenance home health workers and who also work |
8 | | under the Home Services Program under Section 3 of the |
9 | | Rehabilitation of Persons with Disabilities Act shall not be |
10 | | covered by the State Employees Group
Insurance Act of 1971.
As |
11 | | of January 1, 2006 (the effective date of Public Act 94-320) , |
12 | | but not before, the State of Illinois shall be considered the |
13 | | employer of the day and child care home providers |
14 | | participating in the child care assistance program under |
15 | | Section 9A-11 of the Illinois Public Aid Code, subject to the |
16 | | limitations set forth in this Act and in Section 9A-11 of the |
17 | | Illinois Public Aid Code. The State shall not be considered to |
18 | | be the employer of child and day care home providers for any |
19 | | purposes not specifically provided for in Public Act 94-320, |
20 | | including, but not limited to, purposes of vicarious liability |
21 | | in tort and purposes of statutory retirement or health |
22 | | insurance benefits. Child and day care home providers shall |
23 | | not be covered by the State Employees Group Insurance Act of |
24 | | 1971. |
25 | | "Public employer" or
"employer" as used in this Act, |
26 | | however, does not
mean and shall not include the General |
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1 | | Assembly of the State of Illinois,
the Executive Ethics |
2 | | Commission, the Offices of the Executive Inspectors
General, |
3 | | the Legislative Ethics Commission, the Office of the |
4 | | Legislative
Inspector General, the Office of the Auditor |
5 | | General's Inspector General, the Office of the Governor, the |
6 | | Governor's Office of Management and Budget, the Illinois |
7 | | Finance Authority, the Office of the Lieutenant Governor, the |
8 | | State Board of Elections, and educational employers or |
9 | | employers as defined in the Illinois
Educational Labor |
10 | | Relations Act, except with respect to a state university in
|
11 | | its employment of firefighters and peace officers and except |
12 | | with respect to a school district in the employment of peace |
13 | | officers in its own police department in existence on July 23, |
14 | | 2010 (the effective date of Public Act 96-1257). County boards |
15 | | and county
sheriffs shall be
designated as joint or |
16 | | co-employers of county peace officers appointed
under the |
17 | | authority of a county sheriff. Nothing in this subsection
(o) |
18 | | shall be construed
to prevent the State Panel or the Local |
19 | | Panel
from determining that employers are joint or |
20 | | co-employers.
|
21 | | (o-5) With respect to
wages, fringe
benefits, hours, |
22 | | holidays, vacations, proficiency
examinations, sick leave, and |
23 | | other conditions of
employment, the public employer of public |
24 | | employees who are court reporters, as
defined in the Court |
25 | | Reporters Act, shall be determined as
follows:
|
26 | | (1) For court reporters employed by the Cook County |
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1 | | Judicial
Circuit, the chief judge of the Cook County |
2 | | Circuit
Court is the public employer and employer |
3 | | representative.
|
4 | | (2) For court reporters employed by the 12th, 18th, |
5 | | 19th, and, on and after December 4, 2006, the 22nd |
6 | | judicial
circuits, a group consisting of the chief judges |
7 | | of those circuits, acting
jointly by majority vote, is the |
8 | | public employer and employer representative.
|
9 | | (3) For court reporters employed by all other judicial |
10 | | circuits,
a group consisting of the chief judges of those |
11 | | circuits, acting jointly by
majority vote, is the public |
12 | | employer and employer representative.
|
13 | | (p) "Security employee" means an employee who is |
14 | | responsible for the
supervision and control of inmates at |
15 | | correctional facilities. The term
also includes other |
16 | | non-security employees in bargaining units having the
majority |
17 | | of employees being responsible for the supervision and control |
18 | | of
inmates at correctional facilities.
|
19 | | (q) "Short-term employee" means an employee who is |
20 | | employed for less
than 2 consecutive calendar quarters during |
21 | | a calendar year and who does
not have a reasonable assurance |
22 | | that he or she will be rehired by the
same employer for the |
23 | | same service in a subsequent calendar year.
|
24 | | (q-5) "State agency" means an agency directly responsible |
25 | | to the Governor, as defined in Section 3.1 of the Executive |
26 | | Reorganization Implementation Act, and the Illinois Commerce |
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1 | | Commission, the Illinois Workers' Compensation Commission, the |
2 | | Civil Service Commission, the Pollution Control Board, the |
3 | | Illinois Racing Board, and the Illinois State Police Merit |
4 | | Board. |
5 | | (r) "Supervisor" is: |
6 | | (1) An employee whose principal work is substantially
|
7 | | different from that of his or her subordinates and who has |
8 | | authority, in the
interest of the employer, to hire, |
9 | | transfer, suspend, lay off, recall,
promote, discharge, |
10 | | direct, reward, or discipline employees, to adjust
their |
11 | | grievances, or to effectively recommend any of those |
12 | | actions, if the
exercise
of that authority is not of a |
13 | | merely routine or clerical nature, but
requires the |
14 | | consistent use of independent judgment. Except with |
15 | | respect to
police employment, the term "supervisor" |
16 | | includes only those individuals
who devote a preponderance |
17 | | of their employment time to exercising that
authority, |
18 | | State supervisors notwithstanding. Determinations of |
19 | | supervisor status shall be based on actual employee job |
20 | | duties and not solely on written job descriptions. Nothing |
21 | | in this definition prohibits an individual from also |
22 | | meeting the definition of "managerial employee" under |
23 | | subsection (j) of this Section. In addition, in |
24 | | determining
supervisory status in police employment, rank |
25 | | shall not be determinative.
The Board shall consider, as |
26 | | evidence of bargaining unit inclusion or
exclusion, the |
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1 | | common law enforcement policies and relationships between
|
2 | | police officer ranks and certification under applicable |
3 | | civil service law,
ordinances, personnel codes, or |
4 | | Division 2.1 of Article 10 of the Illinois
Municipal Code, |
5 | | but these factors shall not
be the sole or predominant |
6 | | factors considered by the Board in determining
police |
7 | | supervisory status.
|
8 | | Notwithstanding the provisions of the preceding |
9 | | paragraph, in determining
supervisory status in fire |
10 | | fighter employment, no fire fighter shall be
excluded as a |
11 | | supervisor who has established representation rights under
|
12 | | Section 9 of this Act. Further, in fire fighter units, |
13 | | employees shall
consist of fire fighters of the highest |
14 | | rank of company officer and below. A company officer may |
15 | | be responsible for multiple companies or apparatus on a |
16 | | shift, multiple stations, or an entire shift. There may be |
17 | | more than one company officer per shift. If a company |
18 | | officer otherwise qualifies as a supervisor under the |
19 | | preceding paragraph, however, he or she shall
not be |
20 | | included in the fire fighter
unit. If there is no rank |
21 | | between that of chief and the
highest company officer, the |
22 | | employer may designate a position on each
shift as a Shift |
23 | | Commander, and the persons occupying those positions shall
|
24 | | be supervisors. All other ranks above that of the highest |
25 | | company officer shall be
supervisors.
|
26 | | (2) With respect only to State employees in positions |
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1 | | under the jurisdiction of the Attorney General, Secretary |
2 | | of State, Comptroller, or Treasurer (i) that were |
3 | | certified in a bargaining unit on or after December 2, |
4 | | 2008, (ii) for which a petition is filed with the Illinois |
5 | | Public Labor Relations Board on or after April 5, 2013 |
6 | | (the effective date of Public Act 97-1172), or (iii) for |
7 | | which a petition is pending before the Illinois Public |
8 | | Labor Relations Board on that date, an employee who |
9 | | qualifies as a supervisor under (A) Section 152 of the |
10 | | National Labor Relations Act and (B) orders of the |
11 | | National Labor Relations Board interpreting that provision |
12 | | or decisions of courts reviewing decisions of the National |
13 | | Labor Relations Board. |
14 | | (s)(1) "Unit" means a class of jobs or positions that are |
15 | | held by
employees whose collective interests may suitably be |
16 | | represented by a labor
organization for collective bargaining. |
17 | | Except with respect to non-State fire
fighters and paramedics |
18 | | employed by fire departments and fire protection
districts, |
19 | | non-State peace officers, and peace officers in the Illinois |
20 | | State Police, a bargaining unit determined by the Board shall |
21 | | not include both
employees and supervisors, or supervisors |
22 | | only, except as provided in paragraph
(2) of this subsection |
23 | | (s) and except for bargaining units in existence on July
1, |
24 | | 1984 (the effective date of this Act). With respect to |
25 | | non-State fire
fighters and paramedics employed by fire |
26 | | departments and fire protection
districts, non-State peace |
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1 | | officers, and peace officers in the Illinois State Police, a |
2 | | bargaining unit determined by the Board shall not include both
|
3 | | supervisors and nonsupervisors, or supervisors only, except as |
4 | | provided in
paragraph (2) of this subsection (s) and except |
5 | | for bargaining units in
existence on January 1, 1986 (the |
6 | | effective date of this amendatory Act of
1985). A bargaining |
7 | | unit determined by the Board to contain peace officers
shall |
8 | | contain no employees other than peace officers unless |
9 | | otherwise agreed to
by the employer and the labor organization |
10 | | or labor organizations involved.
Notwithstanding any other |
11 | | provision of this Act, a bargaining unit, including a
|
12 | | historical bargaining unit, containing sworn peace officers of |
13 | | the Department
of Natural Resources (formerly designated the |
14 | | Department of Conservation) shall
contain no employees other |
15 | | than such sworn peace officers upon the effective
date of this |
16 | | amendatory Act of 1990 or upon the expiration date of any
|
17 | | collective bargaining agreement in effect upon the effective |
18 | | date of this
amendatory Act of 1990 covering both such sworn |
19 | | peace officers and other
employees.
|
20 | | (2) Notwithstanding the exclusion of supervisors from |
21 | | bargaining units
as provided in paragraph (1) of this |
22 | | subsection (s), a public
employer may agree to permit its |
23 | | supervisory employees to form bargaining units
and may bargain |
24 | | with those units. This Act shall apply if the public employer
|
25 | | chooses to bargain under this subsection.
|
26 | | (3) Public employees who are court reporters, as defined
|
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1 | | in the Court Reporters Act,
shall be divided into 3 units for |
2 | | collective bargaining purposes. One unit
shall be court |
3 | | reporters employed by the Cook County Judicial Circuit; one
|
4 | | unit shall be court reporters employed by the 12th, 18th, |
5 | | 19th, and, on and after December 4, 2006, the 22nd judicial
|
6 | | circuits; and one unit shall be court reporters employed by |
7 | | all other
judicial circuits.
|
8 | | (t) "Active petition for certification in a bargaining |
9 | | unit" means a petition for certification filed with the Board |
10 | | under one of the following case numbers: S-RC-11-110; |
11 | | S-RC-11-098; S-UC-11-080; S-RC-11-086; S-RC-11-074; |
12 | | S-RC-11-076; S-RC-11-078; S-UC-11-052; S-UC-11-054; |
13 | | S-RC-11-062; S-RC-11-060; S-RC-11-042; S-RC-11-014; |
14 | | S-RC-11-016; S-RC-11-020; S-RC-11-030; S-RC-11-004; |
15 | | S-RC-10-244; S-RC-10-228; S-RC-10-222; S-RC-10-220; |
16 | | S-RC-10-214; S-RC-10-196; S-RC-10-194; S-RC-10-178; |
17 | | S-RC-10-176; S-RC-10-162; S-RC-10-156; S-RC-10-088; |
18 | | S-RC-10-074; S-RC-10-076; S-RC-10-078; S-RC-10-060; |
19 | | S-RC-10-070; S-RC-10-044; S-RC-10-038; S-RC-10-040; |
20 | | S-RC-10-042; S-RC-10-018; S-RC-10-024; S-RC-10-004; |
21 | | S-RC-10-006; S-RC-10-008; S-RC-10-010; S-RC-10-012; |
22 | | S-RC-09-202; S-RC-09-182; S-RC-09-180; S-RC-09-156; |
23 | | S-UC-09-196; S-UC-09-182; S-RC-08-130; S-RC-07-110; or |
24 | | S-RC-07-100. |
25 | | (Source: P.A. 102-151, eff. 7-23-21; 102-538, eff. 8-20-21; |
26 | | 102-686, eff. 6-1-22; 102-813, eff. 5-13-22; revised 6-13-22.)
|
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1 | | (5 ILCS 315/7) (from Ch. 48, par. 1607)
|
2 | | Sec. 7. Duty to bargain. A public employer and the |
3 | | exclusive representative
have the authority and the duty to |
4 | | bargain collectively set forth in this
Section.
|
5 | | For the purposes of this Act, "to bargain collectively" |
6 | | means the performance
of the mutual obligation of the public |
7 | | employer or his designated
representative and the |
8 | | representative of the public employees to meet at
reasonable |
9 | | times, including meetings in advance of the budget-making |
10 | | process,
and to negotiate in good faith with respect to wages, |
11 | | hours, and other
conditions
of employment, not excluded by |
12 | | Section 4 of this Act, or the negotiation
of an agreement, or |
13 | | any question arising
thereunder and the execution of a written |
14 | | contract incorporating any agreement
reached if requested by |
15 | | either party, but such obligation does not compel
either party |
16 | | to agree to a proposal or require the making of a concession.
|
17 | | The duty "to bargain collectively" shall also include an |
18 | | obligation to
negotiate over any matter with respect to wages, |
19 | | hours and other conditions
of employment, not specifically |
20 | | provided for in any other law or not specifically
in violation |
21 | | of the provisions
of any law. If any other law pertains, in |
22 | | part, to a matter affecting
the wages, hours and other |
23 | | conditions of employment, such other law shall
not be |
24 | | construed as limiting the duty "to bargain collectively" and |
25 | | to enter
into collective bargaining agreements containing |
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1 | | clauses which either supplement,
implement, or relate to the |
2 | | effect of such provisions in other laws.
|
3 | | The duty "to bargain collectively" shall also include |
4 | | negotiations
as to the terms of a collective bargaining |
5 | | agreement.
The parties may, by mutual agreement, provide for |
6 | | arbitration of impasses
resulting from their inability to |
7 | | agree upon wages, hours and terms and
conditions of employment |
8 | | to be included in a collective bargaining agreement.
Such |
9 | | arbitration provisions shall be subject to the Illinois |
10 | | "Uniform Arbitration
Act" unless agreed by the parties.
|
11 | | The duty "to bargain collectively" shall also mean that no |
12 | | party to a collective
bargaining contract shall terminate or |
13 | | modify such contract, unless the
party desiring such |
14 | | termination or modification:
|
15 | | (1) serves a written notice upon the other party to |
16 | | the contract of the
proposed termination or modification |
17 | | 60 days prior to the expiration date
thereof, or in the |
18 | | event such contract contains no expiration date, 60 days
|
19 | | prior to the time it is proposed to make such termination |
20 | | or modification;
|
21 | | (2) offers to meet and confer with the other party for |
22 | | the purpose of
negotiating a new contract or a contract |
23 | | containing the proposed modifications;
|
24 | | (3) notifies the Board within 30 days after such |
25 | | notice of the existence
of a dispute, provided no |
26 | | agreement has been reached by that time; and
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1 | | (4) continues in full force and effect, without |
2 | | resorting to strike or
lockout, all the terms and |
3 | | conditions of the existing contract for a period
of 60 |
4 | | days after such notice is given to the other party or until |
5 | | the expiration
date of such contract, whichever occurs |
6 | | later.
|
7 | | The duties imposed upon employers, employees and labor |
8 | | organizations by
paragraphs (2), (3) and (4) shall become |
9 | | inapplicable upon an intervening
certification of the Board, |
10 | | under which the labor organization, which is
a party to the |
11 | | contract, has been superseded as or ceased to be the exclusive
|
12 | | representative
of the employees pursuant to the provisions of |
13 | | subsection (a) of Section
9, and the duties so imposed shall |
14 | | not be construed as requiring either
party to discuss or agree |
15 | | to any modification of the terms and conditions
contained in a |
16 | | contract for a fixed period, if such modification is to become
|
17 | | effective before such terms and conditions can be reopened |
18 | | under the provisions
of the contract.
|
19 | | Collective bargaining for home care and home health |
20 | | workers who function as personal assistants and individual |
21 | | maintenance home health workers
under
the Home Services |
22 | | Program shall be limited to the terms and conditions of
|
23 | | employment
under the State's control, as defined in Public Act |
24 | | 93-204 or this amendatory Act of the 97th General Assembly, as |
25 | | applicable.
|
26 | | Collective bargaining for child and day care home |
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1 | | providers under the child care assistance program shall be |
2 | | limited to the terms and conditions of employment under the |
3 | | State's control, as defined in this amendatory Act of the 94th |
4 | | General Assembly.
|
5 | | Notwithstanding any other provision of this Section, |
6 | | whenever collective bargaining is for the purpose of |
7 | | establishing an initial agreement following original |
8 | | certification of units with fewer than 35 employees, with |
9 | | respect to public employees other than peace officers, fire |
10 | | fighters, and security employees, the following apply: |
11 | | (1) Not later than 10 days after receiving a written |
12 | | request for collective bargaining from a labor |
13 | | organization that has been newly certified as a |
14 | | representative as defined in Section 6(c), or within such |
15 | | further period as the parties agree upon, the parties |
16 | | shall meet and commence to bargain collectively and shall |
17 | | make every reasonable effort to conclude and sign a |
18 | | collective bargaining agreement. |
19 | | (2) If anytime after the expiration of the 90-day |
20 | | period beginning on the date on which bargaining is |
21 | | commenced the parties have failed to reach an agreement, |
22 | | either party may notify the Illinois Public Labor |
23 | | Relations Board of the existence of a dispute and request |
24 | | mediation in accordance with the provisions of Section 14 |
25 | | of this Act. |
26 | | (3) If after the expiration of the 30-day period |
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1 | | beginning on the date on which mediation commenced, or |
2 | | such additional period as the parties may agree upon, the |
3 | | mediator is not able to bring the parties to agreement by |
4 | | conciliation, either the exclusive representative of the |
5 | | employees or the employer may request of the other, in |
6 | | writing, arbitration and shall submit a copy of the |
7 | | request to the board. Upon submission of the request for |
8 | | arbitration, the parties shall be required to participate |
9 | | in the impasse arbitration procedures set forth in Section |
10 | | 14 of this Act, except the right to strike shall not be |
11 | | considered waived pursuant to Section 17 of this Act, |
12 | | until the actual convening of the arbitration hearing. |
13 | | (Source: P.A. 97-1158, eff. 1-29-13; 98-1004, eff. 8-18-14.)
|
14 | | Section 10. The Personnel Code is amended by changing |
15 | | Section 9 as follows:
|
16 | | (20 ILCS 415/9) (from Ch. 127, par. 63b109)
|
17 | | Sec. 9. Director, powers and duties. The Director, as |
18 | | executive
head of the Department, shall direct and supervise |
19 | | all its
administrative and technical activities. In addition |
20 | | to the duties
imposed upon him elsewhere in this law, it shall |
21 | | be his duty:
|
22 | | (1) To apply and carry out this law and the rules |
23 | | adopted
thereunder.
|
24 | | (2) To attend meetings of the Commission.
|
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1 | | (3) To establish and maintain a roster of all |
2 | | employees subject to
this Act, in which there shall be set |
3 | | forth, as to each employee, the
class, title, pay, status, |
4 | | and other pertinent data.
|
5 | | (4) To appoint, subject to the provisions of this Act, |
6 | | such
employees of the Department and such experts and |
7 | | special assistants as
may be necessary to carry out |
8 | | effectively this law.
|
9 | | (5) Subject to such exemptions or modifications as may |
10 | | be necessary
to assure the continuity of federal |
11 | | contributions in those agencies
supported in whole or in |
12 | | part by federal funds, to make appointments to
vacancies; |
13 | | to approve all written charges seeking discharge, |
14 | | demotion,
or other disciplinary measures provided in this |
15 | | Act and to approve
transfers of employees from one |
16 | | geographical area to another in the
State, in offices, |
17 | | positions or places of employment covered by this
Act, |
18 | | after consultation with the operating unit.
|
19 | | (6) To formulate and administer service wide policies |
20 | | and programs
for the improvement of employee |
21 | | effectiveness, including training,
safety, health, |
22 | | incentive recognition, counseling, welfare and employee
|
23 | | relations. The Department shall formulate and administer |
24 | | recruitment
plans and testing of potential employees for |
25 | | agencies having direct
contact with significant numbers of |
26 | | non-English speaking or otherwise
culturally distinct |
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1 | | persons. The Department shall require each State agency
to |
2 | | annually assess the need for employees with appropriate |
3 | | bilingual
capabilities to serve the significant numbers of |
4 | | non-English speaking or
culturally distinct persons. The |
5 | | Department shall develop a uniform
procedure for assessing |
6 | | an agency's need for employees with appropriate
bilingual |
7 | | capabilities. Agencies shall establish occupational titles |
8 | | or
designate positions as "bilingual option" for persons |
9 | | having sufficient
linguistic ability or cultural knowledge |
10 | | to be able to render effective
service to such persons. |
11 | | The Department shall ensure that any such option
is |
12 | | exercised according to the agency's needs assessment and |
13 | | the
requirements of this Code. The Department shall make |
14 | | annual reports of the
needs assessment of each agency and |
15 | | the number of positions calling for
non-English linguistic |
16 | | ability to whom vacancy postings were sent, and the
number |
17 | | filled by each agency. Such policies and programs shall be |
18 | | subject
to approval by the Governor, provided that for |
19 | | needs that require a certain linguistic ability that: (i) |
20 | | have not been met for a posted position for a period of at |
21 | | least one year; or (ii) arise when an individual's health |
22 | | or safety would be placed in immediate risk, the |
23 | | Department shall accept certifications of linguistic |
24 | | competence from pre-approved third parties. To facilitate |
25 | | expanding the scope of sources to demonstrate linguistic |
26 | | competence, the Department shall issue standards for |
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1 | | demonstrating linguistic competence. No later than January |
2 | | 2024, the Department shall authorize at least one if not |
3 | | more community colleges in the regions involving the |
4 | | counties of Cook, Lake, McHenry, Kane, DuPage, Kendall, |
5 | | Will, Sangamon, and 5 other geographically distributed |
6 | | counties within the State to pre-test and certify |
7 | | linguistic ability, and such certifications by candidates |
8 | | shall be presumed to satisfy the linguistic ability |
9 | | requirements for the job position. Such policies, program |
10 | | reports and needs
assessment reports, as well as |
11 | | linguistic certification standards, shall be filed with |
12 | | the General Assembly
by January 1 of each year and shall be |
13 | | available to the public.
|
14 | | The Department shall include within the report |
15 | | required above
the number of persons receiving the |
16 | | bilingual pay supplement established by
Section 8a.2 of |
17 | | this Code. The report shall provide the number of persons
|
18 | | receiving the bilingual pay supplement for languages other |
19 | | than English and for
signing. The report shall also |
20 | | indicate the number of persons, by the
categories of |
21 | | Hispanic and non-Hispanic, who are receiving the bilingual |
22 | | pay
supplement for language skills other than signing, in |
23 | | a language other than
English.
|
24 | | (7) To conduct negotiations affecting pay, hours of |
25 | | work, or other
working conditions of employees subject to |
26 | | this Act.
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1 | | (8) To make continuing studies to improve the |
2 | | efficiency of State
services to the residents of Illinois, |
3 | | including but not limited to those
who are non-English |
4 | | speaking or culturally distinct, and to report his
|
5 | | findings and recommendations to the Commission and the |
6 | | Governor.
|
7 | | (9) To investigate from time to time the operation and |
8 | | effect of
this law and the rules made thereunder and to |
9 | | report his findings and
recommendations to the Commission |
10 | | and to the
Governor.
|
11 | | (10) To make an annual report regarding the work of |
12 | | the Department,
and such special reports as he may |
13 | | consider desirable, to the Commission
and to the Governor, |
14 | | or as the Governor or Commission may request.
|
15 | | (11) (Blank).
|
16 | | (12) To prepare and publish a semi-annual statement |
17 | | showing the
number of employees exempt and non-exempt from |
18 | | merit selection in each
department. This report shall be |
19 | | in addition to other information on
merit selection |
20 | | maintained for public information under existing law.
|
21 | | (13) To authorize in every department or agency |
22 | | subject to
Jurisdiction C the use of flexible hours |
23 | | positions. A flexible hours
position is one that does not |
24 | | require an ordinary work schedule as
determined by the |
25 | | Department and includes but is not limited to: 1) a
part |
26 | | time job of 20 hours or more per week, 2) a job which is |
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1 | | shared by
2 employees or a compressed work week consisting |
2 | | of an ordinary number
of working hours performed on fewer |
3 | | than the number of days ordinarily
required to perform |
4 | | that job. The Department may define flexible time
to |
5 | | include other types of jobs that are defined above.
|
6 | | The Director and the director of each department or |
7 | | agency shall
together establish goals for flexible hours |
8 | | positions to be available in
every department or agency.
|
9 | | The Department shall give technical assistance to |
10 | | departments and
agencies in achieving their goals, and |
11 | | shall report to the Governor and
the General Assembly each |
12 | | year on the progress of each department and
agency.
|
13 | | When a goal of 10% of the positions in a department or |
14 | | agency being
available on a flexible hours basis has been |
15 | | reached, the Department
shall evaluate the effectiveness |
16 | | and efficiency of the program and
determine whether to |
17 | | expand the number of positions available for
flexible |
18 | | hours to 20%.
|
19 | | When a goal of 20% of the positions in a department or |
20 | | agency being
available on a flexible hours basis has been |
21 | | reached, the Department
shall evaluate the effectiveness |
22 | | and efficiency of the program and
determine whether to |
23 | | expand the number of positions available for
flexible |
24 | | hours.
|
25 | | Each department shall develop a plan for |
26 | | implementation of flexible
work requirements designed to |
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1 | | reduce the need for child day care of employees'
children |
2 | | outside the home. Each department shall submit a report of |
3 | | its
plan to the Department of Central Management Services |
4 | | and the General
Assembly. This report shall be submitted |
5 | | biennially by March 1, with the
first report due March 1, |
6 | | 1993.
|
7 | | (14) To perform any other lawful acts which he may |
8 | | consider
necessary or desirable to carry out the purposes |
9 | | and provisions of this
law.
|
10 | | The requirement for reporting to the General Assembly |
11 | | shall be satisfied
by filing copies of the report as required |
12 | | by Section 3.1 of the General Assembly Organization Act, and
|
13 | | filing such additional copies with the State Government Report |
14 | | Distribution
Center for the General Assembly as is required |
15 | | under paragraph (t) of
Section 7 of the State Library Act.
|
16 | | (Source: P.A. 102-952, eff. 1-1-23 .)
|
17 | | Section 15. The Children and Family Services Act is |
18 | | amended by changing Sections 5, 5a, 5.15, 21, 22.1, and 22.4 as |
19 | | follows:
|
20 | | (20 ILCS 505/5) (from Ch. 23, par. 5005)
|
21 | | Sec. 5. Direct child welfare services; Department of |
22 | | Children and Family
Services. To provide direct child welfare |
23 | | services when not available
through other public or private |
24 | | child care or program facilities.
|
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1 | | (a) For purposes of this Section:
|
2 | | (1) "Children" means persons found within the State |
3 | | who are under the
age of 18 years. The term also includes |
4 | | persons under age 21 who:
|
5 | | (A) were committed to the Department pursuant to |
6 | | the
Juvenile Court Act or the Juvenile Court Act of |
7 | | 1987 and who continue under the jurisdiction of the |
8 | | court; or
|
9 | | (B) were accepted for care, service and training |
10 | | by
the Department prior to the age of 18 and whose best |
11 | | interest in the
discretion of the Department would be |
12 | | served by continuing that care,
service and training |
13 | | because of severe emotional disturbances, physical
|
14 | | disability, social adjustment or any combination |
15 | | thereof, or because of the
need to complete an |
16 | | educational or vocational training program.
|
17 | | (2) "Homeless youth" means persons found within the
|
18 | | State who are under the age of 19, are not in a safe and |
19 | | stable living
situation and cannot be reunited with their |
20 | | families.
|
21 | | (3) "Child welfare services" means public social |
22 | | services which are
directed toward the accomplishment of |
23 | | the following purposes:
|
24 | | (A) protecting and promoting the health, safety |
25 | | and welfare of
children,
including homeless, |
26 | | dependent, or neglected children;
|
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1 | | (B) remedying, or assisting in the solution
of |
2 | | problems which may result in, the neglect, abuse, |
3 | | exploitation, or
delinquency of children;
|
4 | | (C) preventing the unnecessary separation of |
5 | | children
from their families by identifying family |
6 | | problems, assisting families in
resolving their |
7 | | problems, and preventing the breakup of the family
|
8 | | where the prevention of child removal is desirable and |
9 | | possible when the
child can be cared for at home |
10 | | without endangering the child's health and
safety;
|
11 | | (D) restoring to their families children who have |
12 | | been
removed, by the provision of services to the |
13 | | child and the families when the
child can be cared for |
14 | | at home without endangering the child's health and
|
15 | | safety;
|
16 | | (E) placing children in suitable adoptive homes, |
17 | | in
cases where restoration to the biological family is |
18 | | not safe, possible, or
appropriate;
|
19 | | (F) assuring safe and adequate care of children |
20 | | away from their
homes, in cases where the child cannot |
21 | | be returned home or cannot be placed
for adoption. At |
22 | | the time of placement, the Department shall consider
|
23 | | concurrent planning,
as described in subsection (l-1) |
24 | | of this Section so that permanency may
occur at the |
25 | | earliest opportunity. Consideration should be given so |
26 | | that if
reunification fails or is delayed, the |
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1 | | placement made is the best available
placement to |
2 | | provide permanency for the child;
|
3 | | (G) (blank);
|
4 | | (H) (blank); and
|
5 | | (I) placing and maintaining children in facilities |
6 | | that provide
separate living quarters for children |
7 | | under the age of 18 and for children
18 years of age |
8 | | and older, unless a child 18 years of age is in the |
9 | | last
year of high school education or vocational |
10 | | training, in an approved
individual or group treatment |
11 | | program, in a licensed shelter facility,
or secure |
12 | | child care facility.
The Department is not required to |
13 | | place or maintain children:
|
14 | | (i) who are in a foster home, or
|
15 | | (ii) who are persons with a developmental |
16 | | disability, as defined in
the Mental
Health and |
17 | | Developmental Disabilities Code, or
|
18 | | (iii) who are female children who are |
19 | | pregnant, pregnant and
parenting, or parenting, or
|
20 | | (iv) who are siblings, in facilities that |
21 | | provide separate living quarters for children 18
|
22 | | years of age and older and for children under 18 |
23 | | years of age.
|
24 | | (b) (Blank).
|
25 | | (c) The Department shall establish and maintain |
26 | | tax-supported child
welfare services and extend and seek to |
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1 | | improve voluntary services
throughout the State, to the end |
2 | | that services and care shall be available
on an equal basis |
3 | | throughout the State to children requiring such services.
|
4 | | (d) The Director may authorize advance disbursements for |
5 | | any new program
initiative to any agency contracting with the |
6 | | Department. As a
prerequisite for an advance disbursement, the |
7 | | contractor must post a
surety bond in the amount of the advance |
8 | | disbursement and have a
purchase of service contract approved |
9 | | by the Department. The Department
may pay up to 2 months |
10 | | operational expenses in advance. The amount of the
advance |
11 | | disbursement shall be prorated over the life of the contract
|
12 | | or the remaining months of the fiscal year, whichever is less, |
13 | | and the
installment amount shall then be deducted from future |
14 | | bills. Advance
disbursement authorizations for new initiatives |
15 | | shall not be made to any
agency after that agency has operated |
16 | | during 2 consecutive fiscal years.
The requirements of this |
17 | | Section concerning advance disbursements shall
not apply with |
18 | | respect to the following: payments to local public agencies
|
19 | | for child day care services as authorized by Section 5a of this |
20 | | Act; and
youth service programs receiving grant funds under |
21 | | Section 17a-4.
|
22 | | (e) (Blank).
|
23 | | (f) (Blank).
|
24 | | (g) The Department shall establish rules and regulations |
25 | | concerning
its operation of programs designed to meet the |
26 | | goals of child safety and
protection,
family preservation, |
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1 | | family reunification, and adoption, including, but not
limited |
2 | | to:
|
3 | | (1) adoption;
|
4 | | (2) foster care;
|
5 | | (3) family counseling;
|
6 | | (4) protective services;
|
7 | | (5) (blank);
|
8 | | (6) homemaker service;
|
9 | | (7) return of runaway children;
|
10 | | (8) (blank);
|
11 | | (9) placement under Section 5-7 of the Juvenile Court |
12 | | Act or
Section 2-27, 3-28, 4-25, or 5-740 of the Juvenile |
13 | | Court Act of 1987 in
accordance with the federal Adoption |
14 | | Assistance and Child Welfare Act of
1980; and
|
15 | | (10) interstate services.
|
16 | | Rules and regulations established by the Department shall |
17 | | include
provisions for training Department staff and the staff |
18 | | of Department
grantees, through contracts with other agencies |
19 | | or resources, in screening techniques to identify substance |
20 | | use disorders, as defined in the Substance Use Disorder Act, |
21 | | approved by the Department of Human
Services, as a successor |
22 | | to the Department of Alcoholism and Substance Abuse,
for the |
23 | | purpose of identifying children and adults who
should be |
24 | | referred for an assessment at an organization appropriately |
25 | | licensed by the Department of Human Services for substance use |
26 | | disorder treatment.
|
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1 | | (h) If the Department finds that there is no appropriate |
2 | | program or
facility within or available to the Department for |
3 | | a youth in care and that no
licensed private facility has an |
4 | | adequate and appropriate program or none
agrees to accept the |
5 | | youth in care, the Department shall create an appropriate
|
6 | | individualized, program-oriented plan for such youth in care. |
7 | | The
plan may be developed within the Department or through |
8 | | purchase of services
by the Department to the extent that it is |
9 | | within its statutory authority
to do.
|
10 | | (i) Service programs shall be available throughout the |
11 | | State and shall
include but not be limited to the following |
12 | | services:
|
13 | | (1) case management;
|
14 | | (2) homemakers;
|
15 | | (3) counseling;
|
16 | | (4) parent education;
|
17 | | (5) child day care; and
|
18 | | (6) emergency assistance and advocacy.
|
19 | | In addition, the following services may be made available |
20 | | to assess and
meet the needs of children and families:
|
21 | | (1) comprehensive family-based services;
|
22 | | (2) assessments;
|
23 | | (3) respite care; and
|
24 | | (4) in-home health services.
|
25 | | The Department shall provide transportation for any of the |
26 | | services it
makes available to children or families or for |
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1 | | which it refers children
or families.
|
2 | | (j) The Department may provide categories of financial |
3 | | assistance and
education assistance grants, and shall
|
4 | | establish rules and regulations concerning the assistance and |
5 | | grants, to
persons who
adopt children with physical or mental |
6 | | disabilities, children who are older, or other hard-to-place
|
7 | | children who (i) immediately prior to their adoption were |
8 | | youth in care or (ii) were determined eligible for financial |
9 | | assistance with respect to a
prior adoption and who become |
10 | | available for adoption because the
prior adoption has been |
11 | | dissolved and the parental rights of the adoptive
parents have |
12 | | been
terminated or because the child's adoptive parents have |
13 | | died.
The Department may continue to provide financial |
14 | | assistance and education assistance grants for a child who was |
15 | | determined eligible for financial assistance under this |
16 | | subsection (j) in the interim period beginning when the |
17 | | child's adoptive parents died and ending with the finalization |
18 | | of the new adoption of the child by another adoptive parent or |
19 | | parents. The Department may also provide categories of |
20 | | financial
assistance and education assistance grants, and
|
21 | | shall establish rules and regulations for the assistance and |
22 | | grants, to persons
appointed guardian of the person under |
23 | | Section 5-7 of the Juvenile Court
Act or Section 2-27, 3-28, |
24 | | 4-25, or 5-740 of the Juvenile Court Act of 1987
for children |
25 | | who were youth in care for 12 months immediately
prior to the |
26 | | appointment of the guardian.
|
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1 | | The amount of assistance may vary, depending upon the |
2 | | needs of the child
and the adoptive parents,
as set forth in |
3 | | the annual
assistance agreement. Special purpose grants are |
4 | | allowed where the child
requires special service but such |
5 | | costs may not exceed the amounts
which similar services would |
6 | | cost the Department if it were to provide or
secure them as |
7 | | guardian of the child.
|
8 | | Any financial assistance provided under this subsection is
|
9 | | inalienable by assignment, sale, execution, attachment, |
10 | | garnishment, or any
other remedy for recovery or collection of |
11 | | a judgment or debt.
|
12 | | (j-5) The Department shall not deny or delay the placement |
13 | | of a child for
adoption
if an approved family is available |
14 | | either outside of the Department region
handling the case,
or |
15 | | outside of the State of Illinois.
|
16 | | (k) The Department shall accept for care and training any |
17 | | child who has
been adjudicated neglected or abused, or |
18 | | dependent committed to it pursuant
to the Juvenile Court Act |
19 | | or the Juvenile Court Act of 1987.
|
20 | | (l) The Department shall
offer family preservation |
21 | | services, as defined in Section 8.2 of the Abused
and
|
22 | | Neglected Child
Reporting Act, to help families, including |
23 | | adoptive and extended families.
Family preservation
services |
24 | | shall be offered (i) to prevent the
placement
of children in
|
25 | | substitute care when the children can be cared for at home or |
26 | | in the custody of
the person
responsible for the children's |
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1 | | welfare,
(ii) to
reunite children with their families, or |
2 | | (iii) to
maintain an adoptive placement. Family preservation |
3 | | services shall only be
offered when doing so will not endanger |
4 | | the children's health or safety. With
respect to children who |
5 | | are in substitute care pursuant to the Juvenile Court
Act of |
6 | | 1987, family preservation services shall not be offered if a |
7 | | goal other
than those of subdivisions (A), (B), or (B-1) of |
8 | | subsection (2) of Section 2-28
of
that Act has been set, except |
9 | | that reunification services may be offered as provided in |
10 | | paragraph (F) of subsection (2) of Section 2-28 of that Act.
|
11 | | Nothing in this paragraph shall be construed to create a |
12 | | private right of
action or claim on the part of any individual |
13 | | or child welfare agency, except that when a child is the |
14 | | subject of an action under Article II of the Juvenile Court Act |
15 | | of 1987 and the child's service plan calls for services to |
16 | | facilitate achievement of the permanency goal, the court |
17 | | hearing the action under Article II of the Juvenile Court Act |
18 | | of 1987 may order the Department to provide the services set |
19 | | out in the plan, if those services are not provided with |
20 | | reasonable promptness and if those services are available.
|
21 | | The Department shall notify the child and his family of |
22 | | the
Department's
responsibility to offer and provide family |
23 | | preservation services as
identified in the service plan. The |
24 | | child and his family shall be eligible
for services as soon as |
25 | | the report is determined to be "indicated". The
Department may |
26 | | offer services to any child or family with respect to whom a
|
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1 | | report of suspected child abuse or neglect has been filed, |
2 | | prior to
concluding its investigation under Section 7.12 of |
3 | | the Abused and Neglected
Child Reporting Act. However, the |
4 | | child's or family's willingness to
accept services shall not |
5 | | be considered in the investigation. The
Department may also |
6 | | provide services to any child or family who is the
subject of |
7 | | any report of suspected child abuse or neglect or may refer |
8 | | such
child or family to services available from other agencies |
9 | | in the community,
even if the report is determined to be |
10 | | unfounded, if the conditions in the
child's or family's home |
11 | | are reasonably likely to subject the child or
family to future |
12 | | reports of suspected child abuse or neglect. Acceptance
of |
13 | | such services shall be voluntary. The Department may also |
14 | | provide services to any child or family after completion of a |
15 | | family assessment, as an alternative to an investigation, as |
16 | | provided under the "differential response program" provided |
17 | | for in subsection (a-5) of Section 7.4 of the Abused and |
18 | | Neglected Child Reporting Act.
|
19 | | The Department may, at its discretion except for those |
20 | | children also
adjudicated neglected or dependent, accept for |
21 | | care and training any child
who has been adjudicated addicted, |
22 | | as a truant minor in need of
supervision or as a minor |
23 | | requiring authoritative intervention, under the
Juvenile Court |
24 | | Act or the Juvenile Court Act of 1987, but no such child
shall |
25 | | be committed to the Department by any court without the |
26 | | approval of
the Department. On and after January 1, 2015 (the |
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1 | | effective date of Public Act 98-803) and before January 1, |
2 | | 2017, a minor charged with a criminal offense under the |
3 | | Criminal
Code of 1961 or the Criminal Code of 2012 or |
4 | | adjudicated delinquent shall not be placed in the custody of |
5 | | or
committed to the Department by any court, except (i) a minor |
6 | | less than 16 years
of age committed to the Department under |
7 | | Section 5-710 of the Juvenile Court
Act
of 1987, (ii) a minor |
8 | | for whom an independent basis of abuse, neglect, or dependency |
9 | | exists, which must be defined by departmental rule, or (iii) a |
10 | | minor for whom the court has granted a supplemental petition |
11 | | to reinstate wardship pursuant to subsection (2) of Section |
12 | | 2-33 of the Juvenile Court Act of 1987. On and after January 1, |
13 | | 2017, a minor charged with a criminal offense under the |
14 | | Criminal
Code of 1961 or the Criminal Code of 2012 or |
15 | | adjudicated delinquent shall not be placed in the custody of |
16 | | or
committed to the Department by any court, except (i) a minor |
17 | | less than 15 years
of age committed to the Department under |
18 | | Section 5-710 of the Juvenile Court
Act
of 1987, ii) a minor |
19 | | for whom an independent basis of abuse, neglect, or dependency |
20 | | exists, which must be defined by departmental rule, or (iii) a |
21 | | minor for whom the court has granted a supplemental petition |
22 | | to reinstate wardship pursuant to subsection (2) of Section |
23 | | 2-33 of the Juvenile Court Act of 1987. An independent basis |
24 | | exists when the allegations or adjudication of abuse, neglect, |
25 | | or dependency do not arise from the same facts, incident, or |
26 | | circumstances which give rise to a charge or adjudication of |
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1 | | delinquency. The Department shall
assign a caseworker to |
2 | | attend any hearing involving a youth in
the care and custody of |
3 | | the Department who is placed on aftercare release, including |
4 | | hearings
involving sanctions for violation of aftercare |
5 | | release
conditions and aftercare release revocation hearings.
|
6 | | As soon as is possible after August 7, 2009 (the effective |
7 | | date of Public Act 96-134), the Department shall develop and |
8 | | implement a special program of family preservation services to |
9 | | support intact, foster, and adoptive families who are |
10 | | experiencing extreme hardships due to the difficulty and |
11 | | stress of caring for a child who has been diagnosed with a |
12 | | pervasive developmental disorder if the Department determines |
13 | | that those services are necessary to ensure the health and |
14 | | safety of the child. The Department may offer services to any |
15 | | family whether or not a report has been filed under the Abused |
16 | | and Neglected Child Reporting Act. The Department may refer |
17 | | the child or family to services available from other agencies |
18 | | in the community if the conditions in the child's or family's |
19 | | home are reasonably likely to subject the child or family to |
20 | | future reports of suspected child abuse or neglect. Acceptance |
21 | | of these services shall be voluntary. The Department shall |
22 | | develop and implement a public information campaign to alert |
23 | | health and social service providers and the general public |
24 | | about these special family preservation services. The nature |
25 | | and scope of the services offered and the number of families |
26 | | served under the special program implemented under this |
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1 | | paragraph shall be determined by the level of funding that the |
2 | | Department annually allocates for this purpose. The term |
3 | | "pervasive developmental disorder" under this paragraph means |
4 | | a neurological condition, including, but not limited to, |
5 | | Asperger's Syndrome and autism, as defined in the most recent |
6 | | edition of the Diagnostic and Statistical Manual of Mental |
7 | | Disorders of the American Psychiatric Association. |
8 | | (l-1) The legislature recognizes that the best interests |
9 | | of the child
require that
the child be placed in the most |
10 | | permanent living arrangement as soon as is
practically
|
11 | | possible. To achieve this goal, the legislature directs the |
12 | | Department of
Children and
Family Services to conduct |
13 | | concurrent planning so that permanency may occur at
the
|
14 | | earliest opportunity. Permanent living arrangements may |
15 | | include prevention of
placement of a child outside the home of |
16 | | the family when the child can be cared
for at
home without |
17 | | endangering the child's health or safety; reunification with |
18 | | the
family,
when safe and appropriate, if temporary placement |
19 | | is necessary; or movement of
the child
toward the most |
20 | | permanent living arrangement and permanent legal status.
|
21 | | When determining reasonable efforts to be made with |
22 | | respect to a child, as
described in this
subsection, and in |
23 | | making such reasonable efforts, the child's health and
safety |
24 | | shall be the
paramount concern.
|
25 | | When a child is placed in foster care, the Department |
26 | | shall ensure and
document that reasonable efforts were made to |
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1 | | prevent or eliminate the need to
remove the child from the |
2 | | child's home. The Department must make
reasonable efforts to |
3 | | reunify the family when temporary placement of the child
|
4 | | occurs
unless otherwise required, pursuant to the Juvenile |
5 | | Court Act of 1987.
At any time after the dispositional hearing |
6 | | where the Department believes
that further reunification |
7 | | services would be ineffective, it may request a
finding from |
8 | | the court that reasonable efforts are no longer appropriate. |
9 | | The
Department is not required to provide further |
10 | | reunification services after such
a
finding.
|
11 | | A decision to place a child in substitute care shall be |
12 | | made with
considerations of the child's health, safety, and |
13 | | best interests. At the
time of placement, consideration should |
14 | | also be given so that if reunification
fails or is delayed, the |
15 | | placement made is the best available placement to
provide |
16 | | permanency for the child.
|
17 | | The Department shall adopt rules addressing concurrent |
18 | | planning for
reunification and permanency. The Department |
19 | | shall consider the following
factors when determining |
20 | | appropriateness of concurrent planning:
|
21 | | (1) the likelihood of prompt reunification;
|
22 | | (2) the past history of the family;
|
23 | | (3) the barriers to reunification being addressed by |
24 | | the family;
|
25 | | (4) the level of cooperation of the family;
|
26 | | (5) the foster parents' willingness to work with the |
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1 | | family to reunite;
|
2 | | (6) the willingness and ability of the foster family |
3 | | to provide an
adoptive
home or long-term placement;
|
4 | | (7) the age of the child;
|
5 | | (8) placement of siblings.
|
6 | | (m) The Department may assume temporary custody of any |
7 | | child if:
|
8 | | (1) it has received a written consent to such |
9 | | temporary custody
signed by the parents of the child or by |
10 | | the parent having custody of the
child if the parents are |
11 | | not living together or by the guardian or
custodian of the |
12 | | child if the child is not in the custody of either
parent, |
13 | | or
|
14 | | (2) the child is found in the State and neither a |
15 | | parent,
guardian nor custodian of the child can be |
16 | | located.
|
17 | | If the child is found in his or her residence without a parent, |
18 | | guardian,
custodian, or responsible caretaker, the Department |
19 | | may, instead of removing
the child and assuming temporary |
20 | | custody, place an authorized
representative of the Department |
21 | | in that residence until such time as a
parent, guardian, or |
22 | | custodian enters the home and expresses a willingness
and |
23 | | apparent ability to ensure the child's health and safety and |
24 | | resume
permanent
charge of the child, or until a
relative |
25 | | enters the home and is willing and able to ensure the child's |
26 | | health
and
safety and assume charge of the
child until a |
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1 | | parent, guardian, or custodian enters the home and expresses
|
2 | | such willingness and ability to ensure the child's safety and |
3 | | resume
permanent charge. After a caretaker has remained in the |
4 | | home for a period not
to exceed 12 hours, the Department must |
5 | | follow those procedures outlined in
Section 2-9, 3-11, 4-8, or |
6 | | 5-415 of the Juvenile Court Act
of 1987.
|
7 | | The Department shall have the authority, responsibilities |
8 | | and duties that
a legal custodian of the child would have |
9 | | pursuant to subsection (9) of
Section 1-3 of the Juvenile |
10 | | Court Act of 1987. Whenever a child is taken
into temporary |
11 | | custody pursuant to an investigation under the Abused and
|
12 | | Neglected Child Reporting Act, or pursuant to a referral and |
13 | | acceptance
under the Juvenile Court Act of 1987 of a minor in |
14 | | limited custody, the
Department, during the period of |
15 | | temporary custody and before the child
is brought before a |
16 | | judicial officer as required by Section 2-9, 3-11,
4-8, or |
17 | | 5-415 of the Juvenile Court Act of 1987, shall have
the |
18 | | authority, responsibilities and duties that a legal custodian |
19 | | of the child
would have under subsection (9) of Section 1-3 of |
20 | | the Juvenile Court Act of
1987.
|
21 | | The Department shall ensure that any child taken into |
22 | | custody
is scheduled for an appointment for a medical |
23 | | examination.
|
24 | | A parent, guardian, or custodian of a child in the |
25 | | temporary custody of the
Department who would have custody of |
26 | | the child if he were not in the
temporary custody of the |
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1 | | Department may deliver to the Department a signed
request that |
2 | | the Department surrender the temporary custody of the child.
|
3 | | The Department may retain temporary custody of the child for |
4 | | 10 days after
the receipt of the request, during which period |
5 | | the Department may cause to
be filed a petition pursuant to the |
6 | | Juvenile Court Act of 1987. If a
petition is so filed, the |
7 | | Department shall retain temporary custody of the
child until |
8 | | the court orders otherwise. If a petition is not filed within
|
9 | | the 10-day period, the child shall be surrendered to the |
10 | | custody of the
requesting parent, guardian, or custodian not |
11 | | later than the expiration of
the 10-day period, at which time |
12 | | the authority and duties of the Department
with respect to the |
13 | | temporary custody of the child shall terminate.
|
14 | | (m-1) The Department may place children under 18 years of |
15 | | age in a secure
child care facility licensed by the Department |
16 | | that cares for children who are
in need of secure living |
17 | | arrangements for their health, safety, and well-being
after a |
18 | | determination is made by the facility director and the |
19 | | Director or the
Director's designate prior to admission to the |
20 | | facility subject to Section
2-27.1 of the Juvenile Court Act |
21 | | of 1987. This subsection (m-1) does not apply
to a child who is |
22 | | subject to placement in a correctional facility operated
|
23 | | pursuant to Section 3-15-2 of the Unified Code of Corrections, |
24 | | unless the
child is a youth in care who was placed in the care |
25 | | of the Department before being
subject to placement in a |
26 | | correctional facility and a court of competent
jurisdiction |
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1 | | has ordered placement of the child in a secure care facility.
|
2 | | (n) The Department may place children under 18 years of |
3 | | age in
licensed child care facilities when in the opinion of |
4 | | the Department,
appropriate services aimed at family |
5 | | preservation have been unsuccessful and
cannot ensure the |
6 | | child's health and safety or are unavailable and such
|
7 | | placement would be for their best interest. Payment
for board, |
8 | | clothing, care, training and supervision of any child placed |
9 | | in
a licensed child care facility may be made by the |
10 | | Department, by the
parents or guardians of the estates of |
11 | | those children, or by both the
Department and the parents or |
12 | | guardians, except that no payments shall be
made by the |
13 | | Department for any child placed in a licensed child care
|
14 | | facility for board, clothing, care, training and supervision |
15 | | of such a
child that exceed the average per capita cost of |
16 | | maintaining and of caring
for a child in institutions for |
17 | | dependent or neglected children operated by
the Department. |
18 | | However, such restriction on payments does not apply in
cases |
19 | | where children require specialized care and treatment for |
20 | | problems of
severe emotional disturbance, physical disability, |
21 | | social adjustment, or
any combination thereof and suitable |
22 | | facilities for the placement of such
children are not |
23 | | available at payment rates within the limitations set
forth in |
24 | | this Section. All reimbursements for services delivered shall |
25 | | be
absolutely inalienable by assignment, sale, attachment, or |
26 | | garnishment or
otherwise.
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1 | | (n-1) The Department shall provide or authorize child |
2 | | welfare services, aimed at assisting minors to achieve |
3 | | sustainable self-sufficiency as independent adults, for any |
4 | | minor eligible for the reinstatement of wardship pursuant to |
5 | | subsection (2) of Section 2-33 of the Juvenile Court Act of |
6 | | 1987, whether or not such reinstatement is sought or allowed, |
7 | | provided that the minor consents to such services and has not |
8 | | yet attained the age of 21. The Department shall have |
9 | | responsibility for the development and delivery of services |
10 | | under this Section. An eligible youth may access services |
11 | | under this Section through the Department of Children and |
12 | | Family Services or by referral from the Department of Human |
13 | | Services. Youth participating in services under this Section |
14 | | shall cooperate with the assigned case manager in developing |
15 | | an agreement identifying the services to be provided and how |
16 | | the youth will increase skills to achieve self-sufficiency. A |
17 | | homeless shelter is not considered appropriate housing for any |
18 | | youth receiving child welfare services under this Section. The |
19 | | Department shall continue child welfare services under this |
20 | | Section to any eligible minor until the minor becomes 21 years |
21 | | of age, no longer consents to participate, or achieves |
22 | | self-sufficiency as identified in the minor's service plan. |
23 | | The Department of Children and Family Services shall create |
24 | | clear, readable notice of the rights of former foster youth to |
25 | | child welfare services under this Section and how such |
26 | | services may be obtained. The Department of Children and |
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1 | | Family Services and the Department of Human Services shall |
2 | | disseminate this information statewide. The Department shall |
3 | | adopt regulations describing services intended to assist |
4 | | minors in achieving sustainable self-sufficiency as |
5 | | independent adults. |
6 | | (o) The Department shall establish an administrative |
7 | | review and appeal
process for children and families who |
8 | | request or receive child welfare
services from the Department. |
9 | | Youth in care who are placed by private child welfare |
10 | | agencies, and foster families with whom
those youth are |
11 | | placed, shall be afforded the same procedural and appeal
|
12 | | rights as children and families in the case of placement by the |
13 | | Department,
including the right to an initial review of a |
14 | | private agency decision by
that agency. The Department shall |
15 | | ensure that any private child welfare
agency, which accepts |
16 | | youth in care for placement, affords those
rights to children |
17 | | and foster families. The Department shall accept for
|
18 | | administrative review and an appeal hearing a complaint made |
19 | | by (i) a child
or foster family concerning a decision |
20 | | following an initial review by a
private child welfare agency |
21 | | or (ii) a prospective adoptive parent who alleges
a violation |
22 | | of subsection (j-5) of this Section. An appeal of a decision
|
23 | | concerning a change in the placement of a child shall be |
24 | | conducted in an
expedited manner. A court determination that a |
25 | | current foster home placement is necessary and appropriate |
26 | | under Section 2-28 of the Juvenile Court Act of 1987 does not |
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1 | | constitute a judicial determination on the merits of an |
2 | | administrative appeal, filed by a former foster parent, |
3 | | involving a change of placement decision.
|
4 | | (p) (Blank).
|
5 | | (q) The Department may receive and use, in their entirety, |
6 | | for the
benefit of children any gift, donation, or bequest of |
7 | | money or other
property which is received on behalf of such |
8 | | children, or any financial
benefits to which such children are |
9 | | or may become entitled while under
the jurisdiction or care of |
10 | | the Department, except that the benefits described in Section |
11 | | 5.46 must be used and conserved consistent with the provisions |
12 | | under Section 5.46.
|
13 | | The Department shall set up and administer no-cost, |
14 | | interest-bearing accounts in appropriate financial |
15 | | institutions
for children for whom the Department is legally |
16 | | responsible and who have been
determined eligible for |
17 | | Veterans' Benefits, Social Security benefits,
assistance |
18 | | allotments from the armed forces, court ordered payments, |
19 | | parental
voluntary payments, Supplemental Security Income, |
20 | | Railroad Retirement
payments, Black Lung benefits, or other |
21 | | miscellaneous payments. Interest
earned by each account shall |
22 | | be credited to the account, unless
disbursed in accordance |
23 | | with this subsection.
|
24 | | In disbursing funds from children's accounts, the |
25 | | Department
shall:
|
26 | | (1) Establish standards in accordance with State and |
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1 | | federal laws for
disbursing money from children's |
2 | | accounts. In all
circumstances,
the Department's |
3 | | "Guardianship Administrator" or his or her designee must
|
4 | | approve disbursements from children's accounts. The |
5 | | Department
shall be responsible for keeping complete |
6 | | records of all disbursements for each account for any |
7 | | purpose.
|
8 | | (2) Calculate on a monthly basis the amounts paid from |
9 | | State funds for the
child's board and care, medical care |
10 | | not covered under Medicaid, and social
services; and |
11 | | utilize funds from the child's account, as
covered by |
12 | | regulation, to reimburse those costs. Monthly, |
13 | | disbursements from
all children's accounts, up to 1/12 of |
14 | | $13,000,000, shall be
deposited by the Department into the |
15 | | General Revenue Fund and the balance over
1/12 of |
16 | | $13,000,000 into the DCFS Children's Services Fund.
|
17 | | (3) Maintain any balance remaining after reimbursing |
18 | | for the child's costs
of care, as specified in item (2). |
19 | | The balance shall accumulate in accordance
with relevant |
20 | | State and federal laws and shall be disbursed to the child |
21 | | or his
or her guardian, or to the issuing agency.
|
22 | | (r) The Department shall promulgate regulations |
23 | | encouraging all adoption
agencies to voluntarily forward to |
24 | | the Department or its agent names and
addresses of all persons |
25 | | who have applied for and have been approved for
adoption of a |
26 | | hard-to-place child or child with a disability and the names |
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1 | | of such
children who have not been placed for adoption. A list |
2 | | of such names and
addresses shall be maintained by the |
3 | | Department or its agent, and coded
lists which maintain the |
4 | | confidentiality of the person seeking to adopt the
child and |
5 | | of the child shall be made available, without charge, to every
|
6 | | adoption agency in the State to assist the agencies in placing |
7 | | such
children for adoption. The Department may delegate to an |
8 | | agent its duty to
maintain and make available such lists. The |
9 | | Department shall ensure that
such agent maintains the |
10 | | confidentiality of the person seeking to adopt the
child and |
11 | | of the child.
|
12 | | (s) The Department of Children and Family Services may |
13 | | establish and
implement a program to reimburse Department and |
14 | | private child welfare
agency foster parents licensed by the |
15 | | Department of Children and Family
Services for damages |
16 | | sustained by the foster parents as a result of the
malicious or |
17 | | negligent acts of foster children, as well as providing third
|
18 | | party coverage for such foster parents with regard to actions |
19 | | of foster
children to other individuals. Such coverage will be |
20 | | secondary to the
foster parent liability insurance policy, if |
21 | | applicable. The program shall
be funded through appropriations |
22 | | from the General Revenue Fund,
specifically designated for |
23 | | such purposes.
|
24 | | (t) The Department shall perform home studies and |
25 | | investigations and
shall exercise supervision over visitation |
26 | | as ordered by a court pursuant
to the Illinois Marriage and |
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1 | | Dissolution of Marriage Act or the Adoption
Act only if:
|
2 | | (1) an order entered by an Illinois court specifically
|
3 | | directs the Department to perform such services; and
|
4 | | (2) the court has ordered one or both of the parties to
|
5 | | the proceeding to reimburse the Department for its |
6 | | reasonable costs for
providing such services in accordance |
7 | | with Department rules, or has
determined that neither |
8 | | party is financially able to pay.
|
9 | | The Department shall provide written notification to the |
10 | | court of the
specific arrangements for supervised visitation |
11 | | and projected monthly costs
within 60 days of the court order. |
12 | | The Department shall send to the court
information related to |
13 | | the costs incurred except in cases where the court
has |
14 | | determined the parties are financially unable to pay. The |
15 | | court may
order additional periodic reports as appropriate.
|
16 | | (u) In addition to other information that must be |
17 | | provided, whenever the Department places a child with a |
18 | | prospective adoptive parent or parents, in a licensed foster |
19 | | home,
group home, or child care institution, or in a relative |
20 | | home, the Department
shall provide to the prospective adoptive |
21 | | parent or parents or other caretaker:
|
22 | | (1) available detailed information concerning the |
23 | | child's educational
and health history, copies of |
24 | | immunization records (including insurance
and medical card |
25 | | information), a history of the child's previous |
26 | | placements,
if any, and reasons for placement changes |
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1 | | excluding any information that
identifies or reveals the |
2 | | location of any previous caretaker;
|
3 | | (2) a copy of the child's portion of the client |
4 | | service plan, including
any visitation arrangement, and |
5 | | all amendments or revisions to it as
related to the child; |
6 | | and
|
7 | | (3) information containing details of the child's |
8 | | individualized
educational plan when the child is |
9 | | receiving special education services.
|
10 | | The caretaker shall be informed of any known social or |
11 | | behavioral
information (including, but not limited to, |
12 | | criminal background, fire
setting, perpetuation of
sexual |
13 | | abuse, destructive behavior, and substance abuse) necessary to |
14 | | care
for and safeguard the children to be placed or currently |
15 | | in the home. The Department may prepare a written summary of |
16 | | the information required by this paragraph, which may be |
17 | | provided to the foster or prospective adoptive parent in |
18 | | advance of a placement. The foster or prospective adoptive |
19 | | parent may review the supporting documents in the child's file |
20 | | in the presence of casework staff. In the case of an emergency |
21 | | placement, casework staff shall at least provide known |
22 | | information verbally, if necessary, and must subsequently |
23 | | provide the information in writing as required by this |
24 | | subsection.
|
25 | | The information described in this subsection shall be |
26 | | provided in writing. In the case of emergency placements when |
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1 | | time does not allow prior review, preparation, and collection |
2 | | of written information, the Department shall provide such |
3 | | information as it becomes available. Within 10 business days |
4 | | after placement, the Department shall obtain from the |
5 | | prospective adoptive parent or parents or other caretaker a |
6 | | signed verification of receipt of the information provided. |
7 | | Within 10 business days after placement, the Department shall |
8 | | provide to the child's guardian ad litem a copy of the |
9 | | information provided to the prospective adoptive parent or |
10 | | parents or other caretaker. The information provided to the |
11 | | prospective adoptive parent or parents or other caretaker |
12 | | shall be reviewed and approved regarding accuracy at the |
13 | | supervisory level.
|
14 | | (u-5) Effective July 1, 1995, only foster care placements |
15 | | licensed as
foster family homes pursuant to the Child Care Act |
16 | | of 1969 shall be eligible to
receive foster care payments from |
17 | | the Department.
Relative caregivers who, as of July 1, 1995, |
18 | | were approved pursuant to approved
relative placement rules |
19 | | previously promulgated by the Department at 89 Ill.
Adm. Code |
20 | | 335 and had submitted an application for licensure as a foster |
21 | | family
home may continue to receive foster care payments only |
22 | | until the Department
determines that they may be licensed as a |
23 | | foster family home or that their
application for licensure is |
24 | | denied or until September 30, 1995, whichever
occurs first.
|
25 | | (v) The Department shall access criminal history record |
26 | | information
as defined in the Illinois Uniform Conviction |
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1 | | Information Act and information
maintained in the adjudicatory |
2 | | and dispositional record system as defined in
Section 2605-355 |
3 | | of the
Illinois State Police Law
if the Department determines |
4 | | the information is necessary to perform its duties
under the |
5 | | Abused and Neglected Child Reporting Act, the Child Care Act |
6 | | of 1969,
and the Children and Family Services Act. The |
7 | | Department shall provide for
interactive computerized |
8 | | communication and processing equipment that permits
direct |
9 | | on-line communication with the Illinois State Police's central
|
10 | | criminal history data repository. The Department shall comply |
11 | | with all
certification requirements and provide certified |
12 | | operators who have been
trained by personnel from the Illinois |
13 | | State Police. In addition, one
Office of the Inspector General |
14 | | investigator shall have training in the use of
the criminal |
15 | | history information access system and have
access to the |
16 | | terminal. The Department of Children and Family Services and |
17 | | its
employees shall abide by rules and regulations established |
18 | | by the Illinois State Police relating to the access and |
19 | | dissemination of
this information.
|
20 | | (v-1) Prior to final approval for placement of a child, |
21 | | the Department shall conduct a criminal records background |
22 | | check of the prospective foster or adoptive parent, including |
23 | | fingerprint-based checks of national crime information |
24 | | databases. Final approval for placement shall not be granted |
25 | | if the record check reveals a felony conviction for child |
26 | | abuse or neglect, for spousal abuse, for a crime against |
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1 | | children, or for a crime involving violence, including rape, |
2 | | sexual assault, or homicide, but not including other physical |
3 | | assault or battery, or if there is a felony conviction for |
4 | | physical assault, battery, or a drug-related offense committed |
5 | | within the past 5 years. |
6 | | (v-2) Prior to final approval for placement of a child, |
7 | | the Department shall check its child abuse and neglect |
8 | | registry for information concerning prospective foster and |
9 | | adoptive parents, and any adult living in the home. If any |
10 | | prospective foster or adoptive parent or other adult living in |
11 | | the home has resided in another state in the preceding 5 years, |
12 | | the Department shall request a check of that other state's |
13 | | child abuse and neglect registry.
|
14 | | (w) Within 120 days of August 20, 1995 (the effective date |
15 | | of Public Act
89-392), the Department shall prepare and submit |
16 | | to the Governor and the
General Assembly, a written plan for |
17 | | the development of in-state licensed
secure child care |
18 | | facilities that care for children who are in need of secure
|
19 | | living
arrangements for their health, safety, and well-being. |
20 | | For purposes of this
subsection, secure care facility shall |
21 | | mean a facility that is designed and
operated to ensure that |
22 | | all entrances and exits from the facility, a building
or a |
23 | | distinct part of the building, are under the exclusive control |
24 | | of the
staff of the facility, whether or not the child has the |
25 | | freedom of movement
within the perimeter of the facility, |
26 | | building, or distinct part of the
building. The plan shall |
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1 | | include descriptions of the types of facilities that
are |
2 | | needed in Illinois; the cost of developing these secure care |
3 | | facilities;
the estimated number of placements; the potential |
4 | | cost savings resulting from
the movement of children currently |
5 | | out-of-state who are projected to be
returned to Illinois; the |
6 | | necessary geographic distribution of these
facilities in |
7 | | Illinois; and a proposed timetable for development of such
|
8 | | facilities. |
9 | | (x) The Department shall conduct annual credit history |
10 | | checks to determine the financial history of children placed |
11 | | under its guardianship pursuant to the Juvenile Court Act of |
12 | | 1987. The Department shall conduct such credit checks starting |
13 | | when a youth in care turns 12 years old and each year |
14 | | thereafter for the duration of the guardianship as terminated |
15 | | pursuant to the Juvenile Court Act of 1987. The Department |
16 | | shall determine if financial exploitation of the child's |
17 | | personal information has occurred. If financial exploitation |
18 | | appears to have taken place or is presently ongoing, the |
19 | | Department shall notify the proper law enforcement agency, the |
20 | | proper State's Attorney, or the Attorney General. |
21 | | (y) Beginning on July 22, 2010 (the effective date of |
22 | | Public Act 96-1189), a child with a disability who receives |
23 | | residential and educational services from the Department shall |
24 | | be eligible to receive transition services in accordance with |
25 | | Article 14 of the School Code from the age of 14.5 through age |
26 | | 21, inclusive, notwithstanding the child's residential |
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1 | | services arrangement. For purposes of this subsection, "child |
2 | | with a disability" means a child with a disability as defined |
3 | | by the federal Individuals with Disabilities Education |
4 | | Improvement Act of 2004. |
5 | | (z) The Department shall access criminal history record |
6 | | information as defined as "background information" in this |
7 | | subsection and criminal history record information as defined |
8 | | in the Illinois Uniform Conviction Information Act for each |
9 | | Department employee or Department applicant. Each Department |
10 | | employee or Department applicant shall submit his or her |
11 | | fingerprints to the Illinois State Police in the form and |
12 | | manner prescribed by the Illinois State Police. These |
13 | | fingerprints shall be checked against the fingerprint records |
14 | | now and hereafter filed in the Illinois State Police and the |
15 | | Federal Bureau of Investigation criminal history records |
16 | | databases. The Illinois State Police shall charge a fee for |
17 | | conducting the criminal history record check, which shall be |
18 | | deposited into the State Police Services Fund and shall not |
19 | | exceed the actual cost of the record check. The Illinois State |
20 | | Police shall furnish, pursuant to positive identification, all |
21 | | Illinois conviction information to the Department of Children |
22 | | and Family Services. |
23 | | For purposes of this subsection: |
24 | | "Background information" means all of the following: |
25 | | (i) Upon the request of the Department of Children and |
26 | | Family Services, conviction information obtained from the |
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1 | | Illinois State Police as a result of a fingerprint-based |
2 | | criminal history records check of the Illinois criminal |
3 | | history records database and the Federal Bureau of |
4 | | Investigation criminal history records database concerning |
5 | | a Department employee or Department applicant. |
6 | | (ii) Information obtained by the Department of |
7 | | Children and Family Services after performing a check of |
8 | | the Illinois State Police's Sex Offender Database, as |
9 | | authorized by Section 120 of the Sex Offender Community |
10 | | Notification Law, concerning a Department employee or |
11 | | Department applicant. |
12 | | (iii) Information obtained by the Department of |
13 | | Children and Family Services after performing a check of |
14 | | the Child Abuse and Neglect Tracking System (CANTS) |
15 | | operated and maintained by the Department. |
16 | | "Department employee" means a full-time or temporary |
17 | | employee coded or certified within the State of Illinois |
18 | | Personnel System. |
19 | | "Department applicant" means an individual who has |
20 | | conditional Department full-time or part-time work, a |
21 | | contractor, an individual used to replace or supplement staff, |
22 | | an academic intern, a volunteer in Department offices or on |
23 | | Department contracts, a work-study student, an individual or |
24 | | entity licensed by the Department, or an unlicensed service |
25 | | provider who works as a condition of a contract or an agreement |
26 | | and whose work may bring the unlicensed service provider into |
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1 | | contact with Department clients or client records. |
2 | | (Source: P.A. 101-13, eff. 6-12-19; 101-79, eff. 7-12-19; |
3 | | 101-81, eff. 7-12-19; 102-538, eff. 8-20-21; 102-558, eff. |
4 | | 8-20-21; 102-1014, eff. 5-27-22.)
|
5 | | (20 ILCS 505/5a) (from Ch. 23, par. 5005a)
|
6 | | (Text of Section before amendment by P.A. 102-926 )
|
7 | | Sec. 5a.
Reimbursable services for which the Department of |
8 | | Children and
Family Services shall pay 100% of the reasonable |
9 | | cost pursuant to a written
contract negotiated between the |
10 | | Department and the agency furnishing the
services (which shall |
11 | | include but not be limited to the determination of
reasonable |
12 | | cost, the services being purchased and the duration of the
|
13 | | agreement) include, but are not limited to:
|
14 | | SERVICE ACTIVITIES
|
15 | | Adjunctive Therapy;
|
16 | | Child Care Service , including day care ;
|
17 | | Clinical Therapy;
|
18 | | Custodial Service;
|
19 | | Field Work Students;
|
20 | | Food Service;
|
21 | | Normal Education;
|
22 | | In-Service Training;
|
23 | | Intake or Evaluation, or both;
|
24 | | Medical Services;
|
|
| | SB1797 | - 67 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Recreation;
|
2 | | Social Work or Counselling, or both;
|
3 | | Supportive Staff;
|
4 | | Volunteers.
|
5 | | OBJECT EXPENSES
|
6 | | Professional Fees and Contract Service Payments;
|
7 | | Supplies;
|
8 | | Telephone and Telegram;
|
9 | | Occupancy;
|
10 | | Local Transportation;
|
11 | | Equipment and Other Fixed Assets, including amortization
|
12 | | of same;
|
13 | | Miscellaneous.
|
14 | | ADMINISTRATIVE COSTS
|
15 | | Program Administration;
|
16 | | Supervision and Consultation;
|
17 | | Inspection and Monitoring for purposes of issuing
|
18 | | licenses;
|
19 | | Determination of Children who are eligible
|
20 | | for federal or other reimbursement;
|
21 | | Postage and Shipping;
|
22 | | Outside Printing, Artwork, etc.;
|
23 | | Subscriptions and Reference Publications;
|
24 | | Management and General Expense.
|
|
| | SB1797 | - 68 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Reimbursement of administrative costs other than inspection |
2 | | and monitoring
for purposes of issuing licenses may not exceed |
3 | | 20% of the costs
for other services.
|
4 | | The Department may offer services to any child or family |
5 | | with respect to whom a report of suspected child abuse or |
6 | | neglect has been called in to the hotline after completion of a |
7 | | family assessment as provided under subsection (a-5) of |
8 | | Section 7.4 of the Abused and Neglected Child Reporting Act |
9 | | and the Department has determined that services are needed to |
10 | | address the safety of the child and other family members and |
11 | | the risk of subsequent maltreatment. Acceptance of such |
12 | | services shall be voluntary. |
13 | | All Object Expenses, Service Activities and Administrative
|
14 | | Costs are allowable.
|
15 | | If a survey instrument is used in the rate setting |
16 | | process:
|
17 | | (a) with respect to any child day care centers, it |
18 | | shall be limited to those
agencies which receive |
19 | | reimbursement from the State;
|
20 | | (b) the cost survey instrument shall be promulgated by |
21 | | rule;
|
22 | | (c) any requirements of the respondents shall be |
23 | | promulgated by rule;
|
24 | | (d) all screens, limits or other tests of |
25 | | reasonableness, allowability
and reimbursability shall be |
26 | | promulgated by rule;
|
|
| | SB1797 | - 69 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (e) adjustments may be made by the Department to rates |
2 | | when it determines
that reported wage and salary levels |
3 | | are insufficient to attract capable
caregivers in |
4 | | sufficient numbers.
|
5 | | The Department of Children and Family Services may pay |
6 | | 100% of the
reasonable costs of research and valuation
focused |
7 | | exclusively on services to youth in care. Such research |
8 | | projects must be approved, in advance, by
the Director of the |
9 | | Department.
|
10 | | In addition to reimbursements otherwise provided for in |
11 | | this Section,
the Department of Human Services shall, in |
12 | | accordance with annual written
agreements, make
advance |
13 | | quarterly disbursements to local public agencies for child day |
14 | | care
services with funds appropriated from the Local Effort |
15 | | Day Care Fund.
|
16 | | Neither the Department of Children and Family Services nor |
17 | | the
Department of Human Services shall pay or approve |
18 | | reimbursement for child
day care in a facility which is |
19 | | operating without a valid license or permit,
except in the |
20 | | case of child day care homes or child day care centers which |
21 | | are exempt from
the licensing requirements of the "Child Care |
22 | | Act of 1969".
|
23 | | (Source: P.A. 100-159, eff. 8-18-17.)
|
24 | | (Text of Section after amendment by P.A. 102-926 )
|
25 | | Sec. 5a.
Reimbursable services for which the Department of |
|
| | SB1797 | - 70 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Children and
Family Services shall pay 100% of the reasonable |
2 | | cost pursuant to a written
contract negotiated between the |
3 | | Department and the agency furnishing the
services (which shall |
4 | | include but not be limited to the determination of
reasonable |
5 | | cost, the services being purchased and the duration of the
|
6 | | agreement) include, but are not limited to:
|
7 | | SERVICE ACTIVITIES
|
8 | | Adjunctive Therapy;
|
9 | | Child Care Service , including day care ;
|
10 | | Clinical Therapy;
|
11 | | Custodial Service;
|
12 | | Field Work Students;
|
13 | | Food Service;
|
14 | | Normal Education;
|
15 | | In-Service Training;
|
16 | | Intake or Evaluation, or both;
|
17 | | Medical Services;
|
18 | | Recreation;
|
19 | | Social Work or Counselling, or both;
|
20 | | Supportive Staff;
|
21 | | Volunteers.
|
22 | | OBJECT EXPENSES
|
23 | | Professional Fees and Contract Service Payments;
|
24 | | Supplies;
|
|
| | SB1797 | - 71 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | Telephone and Telegram;
|
2 | | Occupancy;
|
3 | | Local Transportation;
|
4 | | Equipment and Other Fixed Assets, including amortization
|
5 | | of same;
|
6 | | Miscellaneous.
|
7 | | ADMINISTRATIVE COSTS
|
8 | | Program Administration;
|
9 | | Supervision and Consultation;
|
10 | | Inspection and Monitoring for purposes of issuing
|
11 | | licenses;
|
12 | | Determination of Children who are eligible
|
13 | | for federal or other reimbursement;
|
14 | | Postage and Shipping;
|
15 | | Outside Printing, Artwork, etc.;
|
16 | | Subscriptions and Reference Publications;
|
17 | | Management and General Expense.
|
18 | | Reimbursement of administrative costs other than inspection |
19 | | and monitoring
for purposes of issuing licenses may not exceed |
20 | | 20% of the costs
for other services.
|
21 | | The Department may offer services to any child or family |
22 | | with respect to whom a report of suspected child abuse or |
23 | | neglect has been called in to the hotline after completion of a |
24 | | family assessment as provided under subsection (a-5) of |
25 | | Section 7.4 of the Abused and Neglected Child Reporting Act |
|
| | SB1797 | - 72 - | LRB103 03433 AMQ 48439 b |
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|
1 | | and the Department has determined that services are needed to |
2 | | address the safety of the child and other family members and |
3 | | the risk of subsequent maltreatment. Acceptance of such |
4 | | services shall be voluntary. |
5 | | All Object Expenses, Service Activities and Administrative
|
6 | | Costs are allowable.
|
7 | | If a survey instrument is used in the rate setting |
8 | | process:
|
9 | | (a) with respect to any child day care centers, it |
10 | | shall be limited to those
agencies which receive |
11 | | reimbursement from the State;
|
12 | | (b) the cost survey instrument shall be promulgated by |
13 | | rule;
|
14 | | (c) any requirements of the respondents shall be |
15 | | promulgated by rule;
|
16 | | (d) all screens, limits or other tests of |
17 | | reasonableness, allowability
and reimbursability shall be |
18 | | promulgated by rule;
|
19 | | (e) adjustments may be made by the Department to rates |
20 | | when it determines
that reported wage and salary levels |
21 | | are insufficient to attract capable
caregivers in |
22 | | sufficient numbers.
|
23 | | The Department of Children and Family Services may pay |
24 | | 100% of the
reasonable costs of research and valuation
focused |
25 | | exclusively on services to youth in care. Such research |
26 | | projects must be approved, in advance, by
the Director of the |
|
| | SB1797 | - 73 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Department.
|
2 | | In addition to reimbursements otherwise provided for in |
3 | | this Section,
the Department of Human Services shall, in |
4 | | accordance with annual written
agreements, make
advance |
5 | | quarterly disbursements to local public agencies for child day |
6 | | care
services with funds appropriated from the Local Effort |
7 | | Day Care Fund.
|
8 | | Neither the Department of Children and Family Services nor |
9 | | the
Department of Human Services shall pay or approve |
10 | | reimbursement for child
day care in a facility which is |
11 | | operating without a valid license or permit,
except in the |
12 | | case of child day care homes or child day care centers which |
13 | | are exempt from
the licensing requirements of the "Child Care |
14 | | Act of 1969".
|
15 | | The rates paid to child day care providers by the |
16 | | Department of Children and Family Services shall match the |
17 | | rates paid to child care providers by the Department of Human |
18 | | Services under the child care assistance program, including |
19 | | base rates and any relevant rate enhancements. |
20 | | (Source: P.A. 102-926, eff. 7-1-23.)
|
21 | | (20 ILCS 505/5.15)
|
22 | | Sec. 5.15. Child care Daycare ; Department of Human |
23 | | Services.
|
24 | | (a) For the purpose of ensuring effective statewide |
25 | | planning,
development, and utilization of resources for the |
|
| | SB1797 | - 74 - | LRB103 03433 AMQ 48439 b |
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|
1 | | child day care of children,
operated under various auspices, |
2 | | the Department of Human Services is designated
to
coordinate |
3 | | all child day care activities for children of the State and |
4 | | shall
develop or continue, and shall update every year,
a |
5 | | State comprehensive child care day-care plan for submission to |
6 | | the
Governor that identifies high-priority areas and groups, |
7 | | relating them
to available resources and identifying the most |
8 | | effective approaches to
the use of existing child day care |
9 | | services. The State comprehensive child care day-care
plan |
10 | | shall be made available to the General Assembly following the
|
11 | | Governor's approval of the plan.
|
12 | | The plan shall include methods and procedures for the |
13 | | development of
additional child day care resources for |
14 | | children to meet the goal of reducing
short-run and long-run |
15 | | dependency and to provide necessary enrichment and
stimulation |
16 | | to the education of young children. Recommendations shall be
|
17 | | made for State policy on optimum use of private and public, |
18 | | local, State
and federal resources, including an estimate of |
19 | | the resources needed for
the licensing and regulation of child |
20 | | day care facilities.
|
21 | | A written report shall be submitted to the Governor and |
22 | | the General
Assembly annually on April 15. The report shall |
23 | | include an
evaluation of
developments over the preceding |
24 | | fiscal year, including cost-benefit
analyses of various |
25 | | arrangements. Beginning with the report in 1990 submitted
by |
26 | | the Department's predecessor agency and every
2 years |
|
| | SB1797 | - 75 - | LRB103 03433 AMQ 48439 b |
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|
1 | | thereafter, the report shall also include the following:
|
2 | | (1) An assessment of the child care services, needs |
3 | | and
available resources throughout the State and an |
4 | | assessment of the adequacy
of existing child care |
5 | | services, including, but not limited to, services
assisted |
6 | | under this Act and under any other program administered by |
7 | | other
State agencies.
|
8 | | (2) A survey of child day care facilities to determine |
9 | | the
number of qualified caregivers, as defined by rule, |
10 | | attracted to vacant
positions and any problems encountered |
11 | | by facilities in attracting and
retaining capable |
12 | | caregivers. The report shall include an assessment, based
|
13 | | on the
survey, of improvements in employee benefits that |
14 | | may attract capable
caregivers.
|
15 | | (3) The average wages and salaries and fringe benefit
|
16 | | packages paid to caregivers throughout the State,
computed |
17 | | on a regional basis, compared to similarly qualified |
18 | | employees in
other but related fields.
|
19 | | (4) The qualifications of new caregivers hired at
|
20 | | licensed child day care facilities during the previous |
21 | | 2-year period.
|
22 | | (5) Recommendations for increasing caregiver wages and
|
23 | | salaries to ensure quality care for children.
|
24 | | (6) Evaluation of the fee structure and income
|
25 | | eligibility for child care subsidized by the State.
|
26 | | The requirement for reporting to the General Assembly |
|
| | SB1797 | - 76 - | LRB103 03433 AMQ 48439 b |
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|
1 | | shall be satisfied
by filing copies of the report
as required |
2 | | by Section 3.1 of the General Assembly Organization Act,
and |
3 | | filing such additional copies with the
State Government Report |
4 | | Distribution Center for the General Assembly as is
required |
5 | | under paragraph (t) of Section 7 of the State Library Act.
|
6 | | (b) The Department of Human Services shall establish |
7 | | policies and procedures
for
developing and implementing |
8 | | interagency agreements with other
agencies of
the State |
9 | | providing child care services or reimbursement for such |
10 | | services.
The plans shall be annually reviewed and modified |
11 | | for the purpose of
addressing issues of applicability and |
12 | | service system barriers.
|
13 | | (c) In cooperation with other State agencies, the |
14 | | Department of Human
Services shall develop and implement, or |
15 | | shall continue, a
resource and referral system for the
State |
16 | | of Illinois either within the Department or by contract with |
17 | | local or
regional agencies. Funding for implementation of this |
18 | | system may be
provided through Department appropriations or |
19 | | other inter-agency funding
arrangements. The resource and |
20 | | referral system shall provide at least the
following services:
|
21 | | (1) Assembling and maintaining a data base on the |
22 | | supply
of child care services.
|
23 | | (2) Providing information and referrals for parents.
|
24 | | (3) Coordinating the development of new child care |
25 | | resources.
|
26 | | (4) Providing technical assistance and training to |
|
| | SB1797 | - 77 - | LRB103 03433 AMQ 48439 b |
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|
1 | | child
care service providers.
|
2 | | (5) Recording and analyzing the demand for child care |
3 | | services.
|
4 | | (d) The Department of Human Services shall conduct child |
5 | | day care planning
activities with the following priorities:
|
6 | | (1) Development of voluntary child day care resources
|
7 | | wherever possible, with the provision for grants-in-aid |
8 | | only where
demonstrated to be useful and necessary as |
9 | | incentives or supports.
By January 1, 2002, the Department |
10 | | shall design a plan to create more child
care slots as well |
11 | | as goals and timetables to improve quality and |
12 | | accessibility
of child care.
|
13 | | (2) Emphasis on service to children of recipients of
|
14 | | public assistance when such service will allow training or |
15 | | employment of
the parent toward achieving the goal of |
16 | | independence.
|
17 | | (3) (Blank).
|
18 | | (4) Care of children from families in stress and |
19 | | crises
whose members potentially may become, or are in |
20 | | danger of becoming,
non-productive and dependent.
|
21 | | (5) Expansion of family child day care facilities |
22 | | wherever possible.
|
23 | | (6) Location of centers in economically depressed
|
24 | | neighborhoods, preferably in multi-service centers with |
25 | | cooperation of
other agencies.
The Department shall |
26 | | coordinate the provision of grants, but only to the
extent
|
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| | SB1797 | - 78 - | LRB103 03433 AMQ 48439 b |
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|
1 | | funds are specifically appropriated for this purpose,
to |
2 | | encourage the
creation and expansion of child care centers |
3 | | in high need communities to be
issued by the State, |
4 | | business, and local governments.
|
5 | | (7) Use of existing facilities free of charge or for
|
6 | | reasonable rental whenever possible in lieu of |
7 | | construction.
|
8 | | (8) Development of strategies for assuring a more
|
9 | | complete range of child day care options, including |
10 | | provision of child day care
services in homes, in schools, |
11 | | or in centers, which will enable a parent or
parents to |
12 | | complete a course of education or obtain or maintain |
13 | | employment
and the creation of more child care options for |
14 | | swing shift, evening, and
weekend workers and for working |
15 | | women with sick children. The Department shall
encourage |
16 | | companies to provide child care in their own offices or in |
17 | | the
building in which the corporation is located so that |
18 | | employees of all the
building's tenants can benefit from |
19 | | the facility.
|
20 | | (9) Development of strategies for subsidizing students |
21 | | pursuing degrees
in the child care field.
|
22 | | (10) Continuation and expansion of service programs |
23 | | that assist
teen parents to continue and complete their |
24 | | education.
|
25 | | Emphasis shall be given to support services that will help |
26 | | to ensure
such parents' graduation from high school and to |
|
| | SB1797 | - 79 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | services for participants
in any programs of job training |
2 | | conducted
by the
Department.
|
3 | | (e) The Department of Human Services shall actively |
4 | | stimulate the
development of public and private resources at |
5 | | the local level. It shall also
seek the fullest utilization of |
6 | | federal funds directly or indirectly available
to the |
7 | | Department.
|
8 | | Where appropriate, existing non-governmental agencies or
|
9 | | associations shall be involved in planning by the Department.
|
10 | | (f) To better accommodate the child care needs of low |
11 | | income working
families, especially those who receive |
12 | | Temporary Assistance for Needy Families
(TANF) or who are |
13 | | transitioning from TANF to work, or who are at risk of
|
14 | | depending on TANF in the absence of child care, the Department |
15 | | shall complete a
study using outcome-based assessment |
16 | | measurements to analyze the various types
of child care needs, |
17 | | including but not limited to: child care homes; child care
|
18 | | facilities; before and after school care; and evening and |
19 | | weekend care. Based
upon
the findings of the study, the |
20 | | Department shall develop a plan by April 15,
1998, that |
21 | | identifies the various types of child care needs within |
22 | | various
geographic locations. The plan shall include, but not |
23 | | be limited to, the
special needs of parents and guardians in |
24 | | need of non-traditional child care
services such as early |
25 | | mornings, evenings, and weekends; the needs of very low
income |
26 | | families and children and how they might be better served; and
|
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| | SB1797 | - 80 - | LRB103 03433 AMQ 48439 b |
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|
1 | | strategies to assist child care providers to meet the needs |
2 | | and schedules of
low income families.
|
3 | | (Source: P.A. 100-1148, eff. 12-10-18.)
|
4 | | (20 ILCS 505/21) (from Ch. 23, par. 5021)
|
5 | | Sec. 21. Investigative powers; training.
|
6 | | (a) To make such investigations as it may deem necessary |
7 | | to the
performance of its duties.
|
8 | | (b) In the course of any such investigation any
qualified |
9 | | person authorized by the Director may administer oaths and |
10 | | secure
by its subpoena both the attendance and testimony of |
11 | | witnesses and the
production of books and papers relevant to |
12 | | such investigation. Any person
who is served with a subpoena |
13 | | by the Department to appear and testify or to
produce books and |
14 | | papers, in the course of an investigation authorized by
law, |
15 | | and who refuses or neglects to appear, or to testify, or to |
16 | | produce
books and papers relevant to such investigation, as |
17 | | commanded in such
subpoena, shall be guilty of a Class B |
18 | | misdemeanor. The fees of witnesses
for attendance and travel |
19 | | shall be the same as the fees of witnesses before
the circuit |
20 | | courts of this State. Any circuit court of this State, upon
|
21 | | application of the person requesting the hearing or the |
22 | | Department, may
compel the attendance of witnesses, the
|
23 | | production of books and papers, and giving of testimony
before |
24 | | the Department or before any authorized officer or employee |
25 | | thereof,
by an attachment for contempt or otherwise, in the |
|
| | SB1797 | - 81 - | LRB103 03433 AMQ 48439 b |
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|
1 | | same manner as
production of evidence may be compelled before |
2 | | such court. Every person
who, having taken an oath or made |
3 | | affirmation before the Department or any
authorized officer or |
4 | | employee thereof, shall willfully swear or affirm
falsely, |
5 | | shall be guilty of perjury and upon conviction shall be |
6 | | punished
accordingly.
|
7 | | (c) Investigations initiated under this Section shall |
8 | | provide
individuals due process of law, including the right to |
9 | | a hearing, to
cross-examine witnesses, to obtain relevant |
10 | | documents, and to present
evidence. Administrative findings |
11 | | shall be subject to the provisions of the
Administrative |
12 | | Review Law.
|
13 | | (d) Beginning July 1, 1988, any child protective |
14 | | investigator or
supervisor or child welfare specialist or |
15 | | supervisor employed by the
Department on the
effective date of |
16 | | this amendatory Act of 1987
shall have completed a training |
17 | | program which shall be instituted by the
Department. The
|
18 | | training program shall include, but not be limited to, the |
19 | | following: (1)
training in the detection of symptoms of child |
20 | | neglect and drug abuse; (2)
specialized training for dealing |
21 | | with families and children of drug
abusers; and (3) specific |
22 | | training in child development, family dynamics
and interview |
23 | | techniques. Such program shall conform to the criteria and
|
24 | | curriculum developed under Section 4 of the Child Protective |
25 | | Investigator
and Child Welfare Specialist Certification
Act of |
26 | | 1987. Failure to complete such training due to lack of
|
|
| | SB1797 | - 82 - | LRB103 03433 AMQ 48439 b |
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|
1 | | opportunity provided by the Department shall in no way be |
2 | | grounds for any
disciplinary or other action against an |
3 | | investigator or a specialist.
|
4 | | The Department shall develop a continuous inservice staff |
5 | | development
program and evaluation system. Each child |
6 | | protective investigator and
supervisor and child welfare |
7 | | specialist and supervisor shall participate in
such program |
8 | | and evaluation and shall complete a minimum of 20 hours of
|
9 | | inservice education and training every 2 years in order to |
10 | | maintain certification.
|
11 | | Any child protective investigator or child protective |
12 | | supervisor,
or child welfare specialist or child welfare |
13 | | specialist supervisor
hired by
the Department who begins his
|
14 | | actual
employment after the effective date of this amendatory |
15 | | Act of 1987, shall
be certified
pursuant
to the Child |
16 | | Protective Investigator and Child Welfare Specialist
|
17 | | Certification Act of 1987 before he
begins such employment. |
18 | | Nothing in this Act shall replace or diminish the
rights of |
19 | | employees under the Illinois Public Labor Relations Act, as
|
20 | | amended, or the National Labor Relations Act. In the event of |
21 | | any conflict
between either of those Acts, or any collective
|
22 | | bargaining agreement negotiated thereunder, and the provisions |
23 | | of subsections
(d) and (e), the former shall prevail and |
24 | | control.
|
25 | | (e) The Department shall develop and implement the |
26 | | following:
|
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| | SB1797 | - 83 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | (1) A
standardized child endangerment risk assessment |
2 | | protocol.
|
3 | | (2) Related training
procedures.
|
4 | | (3) A standardized method for demonstration of
|
5 | | proficiency in
application of the protocol.
|
6 | | (4) An evaluation of the reliability and
validity of |
7 | | the protocol.
|
8 | | All child protective investigators and supervisors
and child |
9 | | welfare specialists and supervisors employed by the Department |
10 | | or its
contractors shall be required, subsequent to the |
11 | | availability of training under
this Act, to demonstrate |
12 | | proficiency in application of the protocol previous to
being |
13 | | permitted to make decisions about the degree of risk posed to |
14 | | children
for whom they are responsible. The Department shall |
15 | | establish a
multi-disciplinary advisory committee
appointed by |
16 | | the Director, including but not limited to representatives |
17 | | from
the fields of child development, domestic violence, |
18 | | family systems, juvenile
justice, law enforcement, health |
19 | | care, mental health, substance abuse, and
social service to |
20 | | advise the Department and its related contractors in the
|
21 | | development and implementation of the child
endangerment risk |
22 | | assessment protocol, related training, method for
|
23 | | demonstration of proficiency in application of the protocol, |
24 | | and evaluation of
the reliability and validity of the |
25 | | protocol. The Department shall develop the
protocol, training |
26 | | curriculum, method for demonstration of proficiency in
|
|
| | SB1797 | - 84 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | application of the protocol and method for evaluation of the |
2 | | reliability and
validity of the protocol by July 1, 1995. |
3 | | Training and demonstration of
proficiency in application of |
4 | | the child endangerment risk assessment protocol
for all child |
5 | | protective investigators and supervisors and child welfare
|
6 | | specialists and
supervisors
shall be completed
as soon as |
7 | | practicable, but no later than January 1, 1996. The Department
|
8 | | shall submit
to
the General Assembly on or before May 1, 1996, |
9 | | and every year thereafter, an
annual report on the evaluation |
10 | | of the reliability and validity of the child
endangerment risk |
11 | | assessment protocol. The Department shall contract with a
not |
12 | | for profit organization with demonstrated expertise in the |
13 | | field of child
endangerment risk assessment to assist in the |
14 | | development and implementation of
the child endangerment risk |
15 | | assessment protocol, related training, method for
|
16 | | demonstration of proficiency in application of the protocol, |
17 | | and evaluation of
the reliability and validity of the |
18 | | protocol.
|
19 | | (f) The Department shall provide each parent or guardian |
20 | | and responsible adult caregiver participating in a safety plan |
21 | | a copy of the written safety plan as signed by each parent or |
22 | | guardian and responsible adult caregiver and by a |
23 | | representative of the Department. The Department shall also |
24 | | provide each parent or guardian and responsible adult |
25 | | caregiver safety plan information on their rights and |
26 | | responsibilities that shall include, but need not be limited |
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1 | | to, information on how to obtain medical care, emergency phone |
2 | | numbers, and information on how to notify schools or child day |
3 | | care providers as appropriate. The Department's representative |
4 | | shall ensure that the safety plan is reviewed and approved by |
5 | | the child protection supervisor. |
6 | | (Source: P.A. 98-830, eff. 1-1-15 .)
|
7 | | (20 ILCS 505/22.1) (from Ch. 23, par. 5022.1)
|
8 | | Sec. 22.1. Grants-in-aid for child care services; |
9 | | Department of Human
Services. |
10 | | (a) Blank.
|
11 | | (b) Blank.
|
12 | | (c) The Department of Human Services shall
establish and
|
13 | | operate child day care facilities for the children of migrant |
14 | | workers in areas of
the State where they are needed. The |
15 | | Department may provide these child day care
services by |
16 | | contracting with private centers if practicable. "Migrant
|
17 | | worker"
means any person who moves seasonally from one place |
18 | | to another, within or
without the State, for the purpose of |
19 | | employment in agricultural
activities.
|
20 | | (Source: P.A. 97-516, eff. 8-23-11.)
|
21 | | (20 ILCS 505/22.4) (from Ch. 23, par. 5022.4)
|
22 | | Sec. 22.4.
Low-interest loans for child care facilities; |
23 | | Department of
Human Services. The Department of Human Services |
24 | | may establish, with
financing to be provided
through the |
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1 | | issuance of bonds by the Illinois Finance Authority
pursuant |
2 | | to the Illinois Finance Authority Act, a low-interest loan |
3 | | program to help child care centers
and family child day care |
4 | | homes accomplish the following:
|
5 | | (a) establish a child care program;
|
6 | | (b) meet federal, State and local child care standards |
7 | | as well as any
applicable health and safety standards; or
|
8 | | (c) build facilities or renovate or expand existing |
9 | | facilities.
|
10 | | Such loans shall be available only to child care centers |
11 | | and family child day
care homes serving children of low income |
12 | | families.
|
13 | | (Source: P.A. 93-205, eff. 1-1-04.)
|
14 | | Section 20. The Department of Commerce and Economic |
15 | | Opportunity Law of the
Civil Administrative Code of Illinois |
16 | | is amended by changing Section 605-1050 as follows:
|
17 | | (20 ILCS 605/605-1050) |
18 | | Sec. 605-1050. Coronavirus Back to Business Grant Program |
19 | | (or Back to Business Program). |
20 | | (a) Purpose. The Department may receive State funds and, |
21 | | directly or indirectly, federal funds under the authority of |
22 | | legislation passed in response to the Coronavirus epidemic |
23 | | including, but not limited to, the Coronavirus Aid, Relief, |
24 | | and Economic Security Act, P.L. 116-136 (the "CARES Act") and |
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1 | | the American Rescue Plan Act of 2021, P.L. 117-2 (the "ARPA |
2 | | Act"); such funds shall be used in accordance with the CARES |
3 | | Act and ARPA Act legislation and published guidance. Section |
4 | | 5001 of the CARES Act establishes the Coronavirus Relief Fund, |
5 | | which authorizes the State to expend funds that are necessary |
6 | | to respond to the COVID-19 public health emergency. The |
7 | | financial support of Qualifying Businesses is a necessary |
8 | | expense under federal guidance for implementing Section 5001 |
9 | | of the CARES Act. Upon receipt or availability of such State or |
10 | | federal funds, and subject to appropriations for their use, |
11 | | the Department shall administer a program to provide financial |
12 | | assistance to Qualifying Businesses that have experienced |
13 | | interruption of business or other adverse conditions |
14 | | attributable to the COVID-19 public health emergency. Support |
15 | | may be provided directly by the Department to businesses and |
16 | | organizations or in cooperation with a Qualified Partner. |
17 | | Financial assistance may include, but not be limited to |
18 | | grants, expense reimbursements, or subsidies. |
19 | | (b) From appropriations for the Back to Business Program, |
20 | | up to $60,000,000 may be allotted to the repayment or |
21 | | conversion of Eligible Loans made pursuant to the Department's |
22 | | Emergency Loan Fund Program. An Eligible Loan may be repaid or |
23 | | converted through a grant payment, subsidy, or reimbursement |
24 | | payment to the recipient or, on behalf of the recipient, to the |
25 | | Qualified Partner, or by any other lawful method. |
26 | | (c) From appropriations for the Back to Business Program, |
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1 | | the Department shall provide financial assistance through |
2 | | grants, expense reimbursements, or subsidies to Qualifying |
3 | | Businesses or a Qualified Partner to cover expenses or losses |
4 | | incurred due to the COVID-19 public health emergency or for |
5 | | start-up costs of a new Qualifying Business. All spending |
6 | | related to this program from federal funds must be |
7 | | reimbursable by the Federal Coronavirus Relief Fund in |
8 | | accordance with Section 5001 of the federal CARES Act, the |
9 | | ARPA Act, and any related federal guidance, or the provisions |
10 | | of any other federal source supporting the program. |
11 | | (d) As more fully described in subsection (c), funds will |
12 | | be appropriated to the Back to Business Program for |
13 | | distribution to or on behalf of Qualifying Businesses. Of the |
14 | | funds appropriated, a minimum of 40% shall be allotted for |
15 | | Qualifying Businesses with ZIP codes located in the most |
16 | | disproportionately impacted areas of Illinois, based on |
17 | | positive COVID-19 cases. |
18 | | (e) The Department shall coordinate with the Department of |
19 | | Human Services with respect to making grants, expense |
20 | | reimbursements or subsidies to any child care or day care |
21 | | provider providing services under Section 9A-11 of the |
22 | | Illinois Public Aid Code to determine what resources the |
23 | | Department of Human Services may be providing to a child care |
24 | | or day care provider under Section 9A-11 of the Illinois |
25 | | Public Aid Code. |
26 | | (f) The Department may establish by rule administrative |
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1 | | procedures for the grant program, including any application |
2 | | procedures, grant agreements, certifications, payment |
3 | | methodologies, and other accountability measures that may be |
4 | | imposed upon participants in the program. The emergency |
5 | | rulemaking process may be used to promulgate the initial rules |
6 | | of the grant program and any amendments to the rules following |
7 | | the effective date of this amendatory Act of the 102nd General |
8 | | Assembly. |
9 | | (g) Definitions. As used in this Section: |
10 | | (1) "COVID-19" means the novel coronavirus disease |
11 | | deemed COVID-19 by the World Health Organization on |
12 | | February 11, 2020. |
13 | | (2) "Qualifying Business" means a business or |
14 | | organization that has experienced or is experiencing |
15 | | business interruption or other adverse conditions due to |
16 | | the COVID-19 public health emergency, and includes a new |
17 | | business or organization started after March 1, 2020 in |
18 | | the midst of adverse conditions due to the COVID-19 public |
19 | | health emergency. |
20 | | (3) "Eligible Loan" means a loan of up to $50,000 that |
21 | | was deemed eligible for funding under the Department's |
22 | | Emergency Loan Fund Program and for which repayment will |
23 | | be eligible for reimbursement from Coronavirus Relief Fund |
24 | | monies pursuant to Section 5001 of the federal CARES Act |
25 | | or the ARPA Act and any related federal guidance. |
26 | | (4) "Emergency Loan Fund Program", also referred to as |
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1 | | the "COVID-19 Emergency Relief Program", is a program |
2 | | executed by the Department by which the State Small |
3 | | Business Credit Initiative fund is utilized to guarantee |
4 | | loans released by a financial intermediary or Qualified |
5 | | Partner. |
6 | | (5) "Qualified Partner" means a financial institution |
7 | | or nonprofit with which the Department has entered into an |
8 | | agreement or contract to provide or incentivize assistance |
9 | | to Qualifying Businesses. |
10 | | (h) Powers of the Department. The Department has the power |
11 | | to: |
12 | | (1) provide grants, subsidies and expense |
13 | | reimbursements to Qualifying Businesses or, on behalf of |
14 | | Qualifying Businesses, to Qualifying Partners from |
15 | | appropriations to cover Qualifying Businesses eligible |
16 | | costs or losses incurred due to the COVID-19 public health |
17 | | emergency, including losses caused by business |
18 | | interruption or closure and including start-up costs for |
19 | | new Qualifying Businesses; |
20 | | (2) enter into agreements, accept funds, issue grants, |
21 | | and engage in cooperation with agencies of the federal |
22 | | government, units of local government, financial |
23 | | institutions, and nonprofit organizations to carry out the |
24 | | purposes of this Program, and to use funds appropriated |
25 | | for the Back to Business Program; |
26 | | (3) prepare forms for application, notification, |
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1 | | contract, and other matters, and establish procedures, |
2 | | rules, or regulations deemed necessary and appropriate to |
3 | | carry out the provisions of this Section; |
4 | | (4) provide staff, administration, and related support |
5 | | required to manage the Back to Business Program and pay |
6 | | for the staffing, administration, and related support; |
7 | | (5) using data provided by the Illinois Department of |
8 | | Public Health and other reputable sources, determine which |
9 | | geographic regions in Illinois have been most |
10 | | disproportionately impacted by the COVID-19 public health |
11 | | emergency, considering factors of positive cases, positive |
12 | | case rates, and economic impact; and |
13 | | (6) determine which industries and businesses in |
14 | | Illinois have been most disproportionately impacted by the |
15 | | COVID-19 public health emergency and establish procedures |
16 | | that prioritize greatly impacted industries and |
17 | | businesses, as well as Qualifying Businesses that did not |
18 | | receive paycheck protection program assistance.
|
19 | | (Source: P.A. 101-636, eff. 6-10-20; 102-16, eff. 6-17-21.)
|
20 | | Section 25. The Illinois Enterprise Zone Act is amended by |
21 | | changing Section 8 as follows:
|
22 | | (20 ILCS 655/8) (from Ch. 67 1/2, par. 612)
|
23 | | Sec. 8. Zone Administration. The administration of an |
24 | | Enterprise Zone
shall be under the jurisdiction of the |
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1 | | designating municipality or county.
Each designating |
2 | | municipality or county shall, by ordinance, designate a
Zone |
3 | | Administrator for the certified zones within its jurisdiction. |
4 | | A Zone
Administrator must be an officer or employee of the |
5 | | municipality or county.
The Zone Administrator shall be the |
6 | | liaison between the designating
municipality or county, the |
7 | | Department, and any designated zone organizations
within zones |
8 | | under his jurisdiction.
|
9 | | A designating municipality or county may designate one or |
10 | | more organizations
qualified under paragraph (d) of Section 3 |
11 | | to be designated zone organizations
for purposes
of this Act. |
12 | | The municipality or county, may, by ordinance, delegate |
13 | | functions
within an Enterprise Zone to one or more designated |
14 | | zone organizations in such zones.
|
15 | | Subject to the necessary governmental authorizations, |
16 | | designated zone
organizations
may provide the following |
17 | | services or perform the following functions in
coordination |
18 | | with the municipality or county:
|
19 | | (a) Provide or contract for provision of public services |
20 | | including, but
not limited to:
|
21 | | (1) establishment of crime watch patrols within zone |
22 | | neighborhoods;
|
23 | | (2) establishment of volunteer child day care centers;
|
24 | | (3) organization of recreational activities for zone |
25 | | area youth;
|
26 | | (4) garbage collection;
|
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1 | | (5) street maintenance and improvements;
|
2 | | (6) bridge maintenance and improvements;
|
3 | | (7) maintenance and improvement of water and sewer |
4 | | lines;
|
5 | | (8) energy conservation projects;
|
6 | | (9) health and clinic services;
|
7 | | (10) drug abuse programs;
|
8 | | (11) senior citizen assistance programs;
|
9 | | (12) park maintenance;
|
10 | | (13) rehabilitation, renovation, and operation and |
11 | | maintenance of low and
moderate income housing; and
|
12 | | (14) other types of public services as provided by law |
13 | | or
regulation.
|
14 | | (b) Exercise authority for the enforcement of any code, |
15 | | permit, or licensing
procedure within an Enterprise Zone.
|
16 | | (c) Provide a forum for business, labor and government |
17 | | action on zone
innovations.
|
18 | | (d) Apply for regulatory relief as provided in Section 8 |
19 | | of this
Act.
|
20 | | (e) Receive title to publicly owned land.
|
21 | | (f) Perform such other functions as the responsible |
22 | | government entity
may deem appropriate, including offerings |
23 | | and contracts for insurance with
businesses within the Zone.
|
24 | | (g) Agree with local governments to provide such public |
25 | | services within
the zones by contracting with private firms |
26 | | and organizations, where feasible
and prudent.
|
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1 | | (h) Solicit and receive contributions to improve the |
2 | | quality of life in
the Enterprise Zone.
|
3 | | (Source: P.A. 91-357, eff. 7-29-99.)
|
4 | | Section 30. The Department of Human Services Act is |
5 | | amended by changing Sections 1-75 and 10-22 as follows:
|
6 | | (20 ILCS 1305/1-75) |
7 | | Sec. 1-75. Off-Hours Child Care Program. |
8 | | (a) Legislative intent. The General Assembly finds that: |
9 | | (1) Finding child care can be a challenge for |
10 | | firefighters, paramedics, police officers, nurses, and |
11 | | other third shift workers across the State who often work |
12 | | non-typical work hours. This can impact home life, school, |
13 | | bedtime routines, job safety, and the mental health of |
14 | | some of our most critical front line workers and their |
15 | | families. |
16 | | (2) There is a need for increased options for |
17 | | off-hours child care in the State. A majority of the |
18 | | State's child care facilities do not provide care outside |
19 | | of normal work hours, with just 3,251 child day care homes |
20 | | and 435 group child day care homes that provide night |
21 | | care. |
22 | | (3) Illinois has a vested interest in ensuring that |
23 | | our first responders and working families can provide |
24 | | their children with appropriate care during off hours to |
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1 | | improve the morale of existing first responders and to |
2 | | improve recruitment into the future. |
3 | | (b) As used in this Section, "first responders" means |
4 | | emergency medical services personnel as defined in the |
5 | | Emergency Medical Services (EMS) Systems Act, firefighters, |
6 | | law enforcement officers, and, as determined by the |
7 | | Department, any other workers who, on account of their work |
8 | | schedule, need child care outside of the hours when licensed |
9 | | child care
facilities typically operate. |
10 | | (c) Subject to appropriation, the Department of Human |
11 | | Services shall establish and administer an Off-Hours Child |
12 | | Care Program to help first responders and other workers |
13 | | identify and access off-hours, night, or sleep time child |
14 | | care. Services funded under the program must address the child |
15 | | care needs of first responders. Funding provided under the |
16 | | program may also be used to cover any capital and operating |
17 | | expenses related to the provision of off-hours, night, or |
18 | | sleep time child care for first responders. Funding awarded |
19 | | under this Section shall be funded through appropriations from |
20 | | the Off-Hours Child Care Program Fund created under subsection |
21 | | (d). The Department shall implement the program by July 1, |
22 | | 2023. The Department may adopt any
rules necessary to |
23 | | implement the program. |
24 | | (d) The Off-Hours Child Care Program Fund is created as a |
25 | | special fund in the State treasury. The Fund shall consist of |
26 | | any moneys appropriated to the Department of Human Services |
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1 | | for the Off-Hours Child Care Program. Moneys in the Fund shall |
2 | | be expended for the Off-Hours Child Care Program and for no |
3 | | other purpose. All interest earned on moneys in the Fund shall |
4 | | be deposited into the Fund.
|
5 | | (Source: P.A. 102-912, eff. 5-27-22.)
|
6 | | (20 ILCS 1305/10-22)
|
7 | | Sec. 10-22. Great START program.
|
8 | | (a) The Department of
Human Services shall,
subject to a |
9 | | specific appropriation for
this purpose, operate a Great START |
10 | | (Strategy To Attract and Retain
Teachers) program. The goal of |
11 | | the program is
to improve children's developmental and |
12 | | educational outcomes in child care by
encouraging
increased |
13 | | professional preparation by staff and
staff retention. The |
14 | | Great START program shall coordinate with the TEACH
|
15 | | professional development program.
|
16 | | The program shall provide wage supplements and may include |
17 | | other incentives
to licensed child care center
personnel, |
18 | | including early childhood
teachers, school-age workers, early |
19 | | childhood assistants, school-age
assistants, and directors, as |
20 | | such positions are defined by
administrative rule of the |
21 | | Department of Children and Family Services. The
program shall |
22 | | provide wage supplements and may include other incentives to
|
23 | | licensed family child day care home personnel and licensed |
24 | | group child day care home
personnel,
including caregivers and |
25 | | assistants as such positions are
defined by administrative |
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1 | | rule of the Department of Children and Family
Services. |
2 | | Individuals will receive supplements
commensurate with their |
3 | | qualifications.
|
4 | | (b) (Blank).
|
5 | | (c) The Department shall, by rule, define the scope and |
6 | | operation of the
program, including a wage supplement scale. |
7 | | The
scale shall pay increasing amounts for
higher levels of |
8 | | educational attainment beyond minimum qualifications and shall
|
9 | | recognize longevity of employment.
Subject to the availability |
10 | | of sufficient appropriation, the wage supplements
shall be |
11 | | paid to child care personnel in the form of
bonuses at 6 month |
12 | | intervals. Six months of
continuous service with a single |
13 | | employer is required to be eligible to receive
a wage |
14 | | supplement bonus. Wage
supplements shall be paid directly to |
15 | | individual child day care personnel, not to
their employers. |
16 | | Eligible individuals must
provide to the Department or its |
17 | | agent all information and documentation,
including but not |
18 | | limited to college transcripts, to
demonstrate their |
19 | | qualifications for a particular
wage supplement level.
|
20 | | If appropriations permit, the Department may include |
21 | | one-time signing bonuses
or other incentives to help providers |
22 | | attract staff,
provided that the signing bonuses are less than |
23 | | the supplement staff would have
received if they had remained |
24 | | employed
with another child day care center or family child |
25 | | day care home.
|
26 | | If appropriations permit, the Department may include |
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1 | | one-time longevity
bonuses or other incentives to recognize |
2 | | staff who have
remained with a single employer.
|
3 | | (d) (Blank).
|
4 | | (Source: P.A. 93-711, eff. 7-12-04.)
|
5 | | Section 35. The Mental Health and Developmental |
6 | | Disabilities Administrative Act is amended by changing Section |
7 | | 57.5 as follows:
|
8 | | (20 ILCS 1705/57.5)
|
9 | | Sec. 57.5. Autism diagnosis education program.
|
10 | | (a) Subject to appropriations, the Department shall |
11 | | contract to establish an
autism
diagnosis
education program |
12 | | for young children. The Department
shall
establish the program |
13 | | at 3 different sites in the State. The program shall have
the
|
14 | | following goals:
|
15 | | (1) Providing, to medical professionals and others |
16 | | statewide, a systems
development initiative that promotes |
17 | | best practice standards for the diagnosis
and
treatment |
18 | | planning for young children who have autism
spectrum |
19 | | disorders, for the purpose of helping existing systems of |
20 | | care to
build
solid circles of expertise within their |
21 | | ranks.
|
22 | | (2) Educating medical practitioners, school personnel, |
23 | | child day care providers,
parents, and community service |
24 | | providers (including, but not limited to, early
|
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1 | | intervention and developmental disabilities providers) |
2 | | throughout the State on
appropriate diagnosis and |
3 | | treatment of autism.
|
4 | | (3) Supporting systems of care for young children with |
5 | | autism spectrum
disorders.
|
6 | | (4) Working together with universities and |
7 | | developmental disabilities
providers to identify unmet |
8 | | needs and resources.
|
9 | | (5) Encouraging and supporting research on optional |
10 | | services for young
children with autism spectrum |
11 | | disorders.
|
12 | | In addition to the aforementioned items, on January 1, |
13 | | 2008, The Autism Program shall expand training and direct |
14 | | services by deploying additional regional centers, outreach |
15 | | centers, and community planning and network development |
16 | | initiatives. The expanded Autism Program Service Network shall |
17 | | consist of a comprehensive program of outreach and center |
18 | | development utilizing model programs developed by The Autism |
19 | | Program. This expansion shall span Illinois and support |
20 | | consensus building, outreach, and service provision for |
21 | | children with autism spectrums disorders and their families. |
22 | | (b) Before January 1, 2006, the Department shall report to |
23 | | the Governor and
the
General Assembly concerning the progress |
24 | | of the autism diagnosis education
program
established under |
25 | | this Section.
|
26 | | (Source: P.A. 95-707, eff. 1-11-08.)
|
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1 | | Section 40. The Illinois Finance Authority Act is amended |
2 | | by changing Section 840-5 as follows:
|
3 | | (20 ILCS 3501/840-5)
|
4 | | Sec. 840-5. The Authority shall have the following powers:
|
5 | | (a) To fix and revise from time to time and charge and |
6 | | collect rates, rents,
fees and charges for the use of and for |
7 | | the services furnished or to be
furnished by a project or other |
8 | | health facilities owned, financed or refinanced
by the |
9 | | Authority or any portion thereof and to contract with any |
10 | | person,
partnership, association or corporation or other body, |
11 | | public or private, in
respect thereto; to coordinate its |
12 | | policies and procedures and cooperate with
recognized health |
13 | | facility rate setting mechanisms which may now or hereafter
be |
14 | | established.
|
15 | | (b) To establish rules and regulations for the use of a |
16 | | project or other
health
facilities owned, financed or |
17 | | refinanced by the Authority or any portion
thereof
and to |
18 | | designate a participating health institution as its agent to |
19 | | establish
rules and regulations for the use of a project or |
20 | | other health facilities owned
by the Authority undertaken for |
21 | | that participating health institution.
|
22 | | (c) To establish or contract with others to carry out on |
23 | | its behalf a health
facility project cost estimating service |
24 | | and to make this service available on
all projects to provide |
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1 | | expert cost estimates and guidance to the participating
health |
2 | | institution and to the Authority. In order to implement this |
3 | | service
and, through it, to contribute to cost containment, |
4 | | the Authority shall have
the power to require such reasonable |
5 | | reports and documents from health facility
projects as may be |
6 | | required for this service and for the development of cost
|
7 | | reports and guidelines. The Authority may appoint a Technical |
8 | | Committee on
Health Facility Project Costs and Cost |
9 | | Containment.
|
10 | | (d) To make mortgage or other secured or unsecured loans |
11 | | to or for the
benefit
of any participating health institution |
12 | | for the cost of a project in accordance
with an agreement |
13 | | between the Authority and the participating health
|
14 | | institution; provided that no such loan shall exceed the total |
15 | | cost of the
project as determined by the participating health |
16 | | institution and approved by
the Authority; provided further |
17 | | that such loans may be made to any entity
affiliated with a |
18 | | participating health institution if the proceeds of such loan
|
19 | | are made available to or applied for the benefit of such |
20 | | participating health
institution.
|
21 | | (e) To make mortgage or other secured or unsecured loans |
22 | | to or for the
benefit of a participating health institution in |
23 | | accordance with an agreement
between
the Authority and the |
24 | | participating health institution to refund outstanding
|
25 | | obligations, loans, indebtedness or advances issued, made, |
26 | | given or incurred by
such participating health institution for |
|
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|
1 | | the cost of a project; including the
function to issue bonds |
2 | | and make loans to or for the benefit of a participating
health |
3 | | institution to refinance indebtedness incurred by such |
4 | | participating
health institution in projects undertaken and |
5 | | completed or for other health
facilities acquired prior to or |
6 | | after the enactment of this Act when the
Authority finds that |
7 | | such refinancing is in the public interest, and either
|
8 | | alleviates a financial hardship of such participating health |
9 | | institution, or is
in connection with other financing by the |
10 | | Authority for such participating
health institution or may be |
11 | | expected to result in a lessened cost of patient
care and a |
12 | | saving to third parties, including government, and to others |
13 | | who
must pay for care, or any combination thereof; provided |
14 | | further that such loans
may
be made to any entity affiliated |
15 | | with a participating health institution if the
proceeds of |
16 | | such loan are made available to or applied for the benefit of |
17 | | such
participating health institution.
|
18 | | (f) To mortgage all or any portion of a project or other |
19 | | health facilities
and the property on which any such project |
20 | | or other health facilities are
located
whether owned or |
21 | | thereafter acquired, and to assign or pledge mortgages, deeds
|
22 | | of trust, indentures of mortgage or trust or similar |
23 | | instruments, notes, and
other securities of participating |
24 | | health institutions to which or for the
benefit of which the |
25 | | Authority has made loans or of entities affiliated with
such |
26 | | institutions and the revenues therefrom, including payments or |
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1 | | income from
any thereof owned or held by the Authority, for the |
2 | | benefit of the holders of
bonds issued to finance such project |
3 | | or health facilities or issued to refund
or refinance |
4 | | outstanding obligations, loans, indebtedness or advances of
|
5 | | participating health institutions as permitted by this Act.
|
6 | | (g) To lease to a participating health institution the |
7 | | project being
financed or refinanced or other health |
8 | | facilities conveyed to the Authority in
connection with such |
9 | | financing or refinancing, upon such terms and conditions
as |
10 | | the
Authority shall deem proper, and to charge and collect |
11 | | rents therefor and to
terminate any such lease upon the |
12 | | failure of the lessee to comply with any of
the obligations |
13 | | thereof; and to include in any such lease, if desired,
|
14 | | provisions that the lessee thereof shall have options to renew |
15 | | the lease for
such period or periods and at such rent as shall |
16 | | be determined by the Authority
or to purchase any or all of the |
17 | | health facilities or that upon payment of all
of the |
18 | | indebtedness incurred by the Authority for the financing of |
19 | | such project
or health facilities or for refunding outstanding |
20 | | obligations, loans,
indebtedness or advances of a |
21 | | participating health institution, then the
Authority may |
22 | | convey any or all of the project or such other health |
23 | | facilities
to the lessee or lessees thereof with or without |
24 | | consideration.
|
25 | | (h) To make studies of needed health facilities that could |
26 | | not sustain a
loan
were it made under this Act and to recommend |
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1 | | remedial action to the General
Assembly; to do the same with |
2 | | regard to any laws or regulations that prevent
health |
3 | | facilities from benefiting from this Act.
|
4 | | (i) To assist the Department of Commerce and Economic |
5 | | Opportunity to
establish and implement a program to assist |
6 | | health facilities to identify and
arrange
financing for energy |
7 | | conservation projects in buildings and facilities owned or
|
8 | | leased by health facilities.
|
9 | | (j) To assist the Department of Human Services in |
10 | | establishing a low
interest
loan program to help child care |
11 | | centers and family child day care homes serving
children of |
12 | | low income families under
Section 22.4 of the Children and |
13 | | Family
Services Act. The Authority, on or after the effective |
14 | | date of this amendatory Act of the 97th General Assembly, is |
15 | | authorized to convert existing agreements for financial aid in |
16 | | accordance with Section 840-5(j) to permanent capital to |
17 | | leverage additional private capital and establish a revolving |
18 | | loan fund for nonprofit corporations providing human services |
19 | | under contract to the State. |
20 | | (k) To assist the Department of Public Health and nursing |
21 | | homes in undertaking nursing home conversion projects in |
22 | | accordance with the Older Adult Services Act.
|
23 | | (Source: P.A. 97-654, eff. 1-13-12.)
|
24 | | Section 45. The Asbestos Abatement Finance Act is amended |
25 | | by changing Section 2 as follows:
|
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|
1 | | (20 ILCS 3510/2) (from Ch. 111 1/2, par. 8102)
|
2 | | Sec. 2. Definitions. The following words and terms,
|
3 | | whether or not capitalized, have the following meanings, |
4 | | unless the context
or use clearly requires otherwise:
|
5 | | "Asbestos" means asbestos as defined and used in the |
6 | | federal Asbestos
Hazard Emergency Response Act of 1986, as now |
7 | | or hereafter amended,
including the regulations promulgated |
8 | | under that Act.
|
9 | | "Asbestos Abatement Project" means asbestos inspection, |
10 | | planning and
response action under and within the meaning of |
11 | | the federal Asbestos Hazard
Emergency Response Act of 1986, as |
12 | | now or hereafter amended, to abate a
health hazard caused |
13 | | directly or indirectly by the existence of asbestos in
any |
14 | | building or other facility owned, operated, maintained or |
15 | | occupied in
whole or in part by a public corporation or a |
16 | | private institution.
|
17 | | "Authority" means the Illinois Finance Authority.
|
18 | | "Board" means the Board of the Authority.
|
19 | | "Bond" means any bond, note or other evidence of |
20 | | indebtedness issued by
the Authority under this Act.
|
21 | | "Chairman" means the Chairman of the Authority.
|
22 | | "Cost" as applied to an asbestos abatement project means |
23 | | the costs
incurred or to be incurred by a public corporation or |
24 | | a private institution
in the removal, encapsulation, |
25 | | enclosure, repair, or maintenance of
asbestos in any building |
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1 | | or other facility owned, operated, maintained or
occupied in |
2 | | whole or in part by a public corporation or a private
|
3 | | institution, including all incidental costs such as |
4 | | engineering,
architectural, consulting and legal expenses |
5 | | incurred in connection with an
asbestos abatement project, |
6 | | plans, specifications, surveys, estimates
of costs and |
7 | | revenues, finance charges, interest before and during |
8 | | construction
of an asbestos abatement project and, for up to |
9 | | 18 months after completion
of construction, other expenses |
10 | | necessary or incident to determining the
need, feasibility or |
11 | | practicability of an asbestos abatement project,
|
12 | | administrative expenses, and such other costs, charges and |
13 | | expenses as may
be necessary or incident to the construction |
14 | | or financing of any asbestos
abatement project. As used in |
15 | | this Act, "cost" means not only costs of an
asbestos abatement |
16 | | project expected to be incurred in the future, but costs
|
17 | | already incurred and paid by a public corporation or a private |
18 | | institution
so that a public corporation or a private |
19 | | institution shall be permitted to
reimburse itself for those |
20 | | costs previously incurred and paid.
|
21 | | "Person" means any individual, firm, partnership, |
22 | | association, or
corporation, separately or in any combination.
|
23 | | "Private institution" means any not-for-profit |
24 | | organization within the
meaning of Section 501(c)(3) of the |
25 | | Internal Revenue Code of 1986, as now
or hereafter amended, |
26 | | including any private or nonpublic pre-school, child day
care |
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1 | | center, day or residential educational institution that |
2 | | provides
elementary or secondary education for grades 12 or |
3 | | under, any private or
nonpublic college or university, or any |
4 | | hospital, health care or long term
care institution.
|
5 | | "Private institution security" means any bond, note, loan |
6 | | agreement, or
other evidence of indebtedness which a private |
7 | | institution is legally
authorized to issue or enter into for |
8 | | the purpose of financing or
refinancing the costs of an |
9 | | asbestos abatement project.
|
10 | | "Public corporation" means any body corporate organized by |
11 | | or under
the laws of this State to carry out a public |
12 | | governmental or proprietary
function, including the State, any |
13 | | State agency, any school district, park
district, city, |
14 | | village, incorporated town, county, township, drainage or
any |
15 | | other type of district, board, commission, authority, |
16 | | university,
public community college or any combination |
17 | | (including any combination
under Section 10 of Article VII of |
18 | | the Illinois Constitution or under the
Intergovernmental |
19 | | Cooperation Act of 1973, as now or hereafter amended),
acting |
20 | | through their corporate authorities, and any other unit of |
21 | | local
government within the meaning of Section 1 of Article |
22 | | VII of the Illinois
Constitution.
|
23 | | "Public corporation security" means any bond, note, loan |
24 | | agreement, or
other evidence of indebtedness which a public |
25 | | corporation is legally
authorized to issue or enter into for |
26 | | the purpose of financing or
refinancing the costs of an |
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1 | | asbestos abatement project.
|
2 | | "Secretary" means the Secretary of the Authority.
|
3 | | "State" means the State of Illinois.
|
4 | | "Treasurer" means the Treasurer of the Authority.
|
5 | | (Source: P.A. 93-205, eff. 1-1-04.)
|
6 | | Section 50. The State Agency Employees Child Care Services |
7 | | Act is amended by changing Sections 2, 3, 4, and 5 as follows:
|
8 | | (30 ILCS 590/2) (from Ch. 127, par. 3002)
|
9 | | Sec. 2.
In this Act, unless the context otherwise |
10 | | requires, the
following terms shall have the meanings ascribed |
11 | | to them:
|
12 | | 1. "Department" means the Department of Central Management |
13 | | Services.
|
14 | | 2. "State agency" means all departments, officers, |
15 | | commissions, boards,
institutions and bodies politic and |
16 | | corporate of the State, including the
offices of Clerk of the |
17 | | Supreme Court and Clerks of the Appellate Courts,
the several |
18 | | courts of the State and the legislature, its committees or |
19 | | commissions.
|
20 | | 3. "Child care services" means child day care home or |
21 | | center services as
defined by the Child Care Act of 1969.
|
22 | | (Source: P.A. 84-652.)
|
23 | | (30 ILCS 590/3) (from Ch. 127, par. 3003)
|
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1 | | Sec. 3.
The Department may authorize a State agency to |
2 | | contract for
the provision of child care services for its |
3 | | employees. The Department
may, in accordance with established |
4 | | rules, allow child day care centers to
operate in State-owned |
5 | | or leased facilities. Such facilities shall be
primarily for |
6 | | use by State employees but use by non-employees may be |
7 | | allowed.
|
8 | | Where a State agency enters into a contract to construct, |
9 | | acquire or
lease all or a substantial portion of a building, in |
10 | | which more than 50
persons shall be employed, other than a |
11 | | renewal of an existing lease, after
July 1, 1990, and where a |
12 | | need has been demonstrated, according to Section
4 of this |
13 | | Act, on-site child care services shall be provided for State
|
14 | | employees.
|
15 | | The Department shall implement this Act and shall |
16 | | promulgate all rules
and regulations necessary for this |
17 | | purpose. By April 1, 1991, the
Department shall propose rules |
18 | | setting forth the standards and criteria,
including need and |
19 | | feasibility, for determining if on-site child care
services |
20 | | shall be provided. The Department shall consult
with the |
21 | | Department of Children and Family Services in defining |
22 | | standards
for child care service centers established pursuant |
23 | | to this Act to ensure
compliance with the Child Care Act of |
24 | | 1969. The
Department shall establish a schedule of fees that |
25 | | shall be charged to
employees of State agencies who may obtain |
26 | | child care services under this
Act. Such schedule shall be |
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|
1 | | established so that charges for service are
based on the |
2 | | actual cost of care. Except as otherwise provided by law for
|
3 | | employees who may qualify for public assistance or social |
4 | | services due to
indigency or family circumstance, each |
5 | | employee obtaining child care
services under this Act shall be |
6 | | responsible for full payment of such
charges. The Department |
7 | | shall report, on or before December 31 of
each year, to the |
8 | | Governor and the members of the General Assembly, on the
|
9 | | feasibility and implementation of a plan for the provision of |
10 | | comprehensive
child care services.
|
11 | | (Source: P.A. 86-1482.)
|
12 | | (30 ILCS 590/4) (from Ch. 127, par. 3004)
|
13 | | Sec. 4.
Prior to receiving authorization from the |
14 | | Department to
contract for child care services, a State agency |
15 | | shall demonstrate a need
for such services. Proof of need |
16 | | submitted to the Department may include a
survey of agency |
17 | | employees as well as a determination of the availability
of |
18 | | child care services under such agency, through other State |
19 | | agencies, or
in the community. The Department may also require |
20 | | submission of a
feasibility, design and implementation plan, |
21 | | which takes into consideration
similar needs and services of |
22 | | other State agencies.
|
23 | | The Department shall assist any State agency authorized to |
24 | | procure child
care services in the preparation of a request |
25 | | for proposals, in order to
assure that the services provided |
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|
1 | | address the specific needs of the agency
personnel.
|
2 | | Any State agency authorized by the Department to contract |
3 | | for child care
services shall have the sole responsibility for |
4 | | choosing the successful
bidder and overseeing the operation of |
5 | | its child care service program within
the guidelines |
6 | | established by the Department. The Department shall
promulgate |
7 | | rules pursuant to the Illinois Administrative Procedure Act
|
8 | | which detail the specific standards to be used by the Director |
9 | | of any State
agency in the selection of a vendor of child care |
10 | | services.
|
11 | | The State agency's contract shall provide for the |
12 | | establishment of or
arrangement for the use of a licensed |
13 | | child day care center or a licensed child day
care agency, as |
14 | | defined in the Child Care Act of 1969.
|
15 | | State agencies with similar needs, or those with small |
16 | | employee
populations may group together to establish need and |
17 | | contract for the
provision of child care services.
|
18 | | (Source: P.A. 85-1337; 86-1482.)
|
19 | | (30 ILCS 590/5) (from Ch. 127, par. 3005)
|
20 | | Sec. 5.
The General Assembly, through the Joint Committee |
21 | | on
Legislative Support Services, may
contract for the |
22 | | establishment of child care
services, which may also serve as |
23 | | a prototype or model of such services
for other state |
24 | | agencies. Such a center shall use a schedule of fees and
|
25 | | charges established by the Department under Section 3 of this |
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1 | | Act. Such a
center may also be used for the conduct
of research |
2 | | on child development, child day care standards, the effect of
|
3 | | employer-assisted child care on employee morale and |
4 | | productivity or other
subjects as determined by the Joint |
5 | | Committee on Legislative Support
Services, in consultation |
6 | | with the Department of Children and Family Services.
|
7 | | (Source: P.A. 84-652.)
|
8 | | Section 55. The Use Tax Act is amended by changing Section |
9 | | 2c as follows:
|
10 | | (35 ILCS 105/2c) (from Ch. 120, par. 439.2c)
|
11 | | Sec. 2c.
For purposes of this Act, a corporation, limited |
12 | | liability
company, society, association,
foundation or |
13 | | institution organized and operated exclusively for educational
|
14 | | purposes shall include: all tax-supported public schools; |
15 | | private schools
which offer systematic instruction in useful |
16 | | branches of learning by methods
common to public schools and |
17 | | which compare favorably in their scope and
intensity
with the |
18 | | course of study presented in tax-supported schools; licensed |
19 | | child day
care centers as defined in Section 2.09 of the Child |
20 | | Care Act of 1969 which
are operated by a not for profit |
21 | | corporation, society, association,
foundation, institution or |
22 | | organization; vocational
or technical schools or institutes |
23 | | organized and operated exclusively to
provide a course of |
24 | | study of not less than 6 weeks duration and designed
to prepare |
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1 | | individuals to follow a trade or to pursue a manual, |
2 | | technical,
mechanical, industrial, business or commercial |
3 | | occupation.
|
4 | | However, a corporation, limited liability company, |
5 | | society, association,
foundation or institution
organized and |
6 | | operated for the purpose of offering professional, trade or
|
7 | | business seminars of short duration, self-improvement or |
8 | | personality
development
courses, courses which are avocational |
9 | | or recreational in nature, courses
pursued entirely by open |
10 | | circuit television or radio, correspondence courses,
or |
11 | | courses which do not provide specialized training within a |
12 | | specific
vocational
or technical
field shall not be considered |
13 | | to be organized and operated exclusively for
educational |
14 | | purposes.
|
15 | | (Source: P.A. 88-480.)
|
16 | | Section 60. The Service Occupation Tax Act is amended by |
17 | | changing Section 2c as follows:
|
18 | | (35 ILCS 115/2c) (from Ch. 120, par. 439.102c)
|
19 | | Sec. 2c.
For purposes of this Act, a corporation, limited |
20 | | liability
company, society, association, foundation or |
21 | | institution organized and operated
exclusively for educational |
22 | | purposes shall include: all tax-supported public
schools; |
23 | | private schools which offer systematic instruction in useful |
24 | | branches
of learning by methods common to public schools and |
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1 | | which compare favorably in
their scope and intensity with the |
2 | | course of study presented in tax-supported
schools; licensed |
3 | | child day care centers as defined in Section 2.09 of the Child |
4 | | Care
Act of 1969 which are operated by a not-for-profit |
5 | | corporation, society,
association, foundation, institution or |
6 | | organization; vocational or technical
schools or institutes |
7 | | organized and operated exclusively to provide a course of
|
8 | | study of not less than 6 weeks duration and designed to prepare |
9 | | individuals to
follow a trade or to pursue a manual, |
10 | | technical, mechanical, industrial,
business or commercial |
11 | | occupation.
|
12 | | However, a corporation, limited liability company, |
13 | | society, association,
foundation or institution organized and |
14 | | operated for the purpose of offering
professional, trade or |
15 | | business seminars of short duration, self-improvement or
|
16 | | personality development courses, courses which are avocational |
17 | | or recreational
in nature, courses pursued entirely by open |
18 | | circuit television or radio,
correspondence courses, or |
19 | | courses which do not provide specialized training
within a |
20 | | specific vocational or technical field shall not be considered |
21 | | to be
organized and operated exclusively for educational |
22 | | purposes.
|
23 | | (Source: P.A. 88-480.)
|
24 | | Section 65. The Retailers' Occupation Tax Act is amended |
25 | | by changing Section 2h as follows:
|
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| | SB1797 | - 115 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (35 ILCS 120/2h) (from Ch. 120, par. 441h)
|
2 | | Sec. 2h.
For purposes of this Act, a corporation, limited |
3 | | liability
company, society, association, foundation or |
4 | | institution organized and operated
exclusively for educational |
5 | | purposes shall include: all tax-supported public
schools; |
6 | | private schools which offer systematic instruction in useful |
7 | | branches
of learning by methods common to public schools and |
8 | | which compare favorably in
their scope and intensity with the |
9 | | course of study presented in tax-supported
schools; licensed |
10 | | child day care centers as defined in Section 2.09 of the Child |
11 | | Care
Act of 1969 which are operated by a not for profit |
12 | | corporation, society,
association, foundation, institution or |
13 | | organization; vocational
or technical schools or institutes |
14 | | organized and operated exclusively to
provide a course of |
15 | | study of not less than 6 weeks duration and designed
to prepare |
16 | | individuals to follow a trade or to pursue a manual, |
17 | | technical,
mechanical, industrial, business or commercial |
18 | | occupation.
|
19 | | However, a corporation, limited liability company, |
20 | | society, association,
foundation or institution organized and |
21 | | operated for the purpose of offering
professional, trade or |
22 | | business seminars of short duration, self-improvement or
|
23 | | personality development courses, courses which are avocational |
24 | | or recreational
in nature, courses pursued entirely by open |
25 | | circuit television or radio,
correspondence courses, or |
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|
1 | | courses which do not provide specialized training
within a |
2 | | specific vocational or technical field shall not be considered |
3 | | to be
organized and operated exclusively for educational |
4 | | purposes.
|
5 | | (Source: P.A. 88-480.)
|
6 | | Section 70. The Community
Self-Revitalization Act is |
7 | | amended by changing Section 15 as follows:
|
8 | | (50 ILCS 350/15)
|
9 | | Sec. 15. Certification; Board of Economic Advisors.
|
10 | | (a) In order to receive the assistance as provided in this |
11 | | Act, a community
shall
first, by
ordinance passed by its |
12 | | corporate authorities, request that the Department
certify |
13 | | that it is
an economically distressed community. The community |
14 | | must submit a certified
copy of
the ordinance to the |
15 | | Department. After review of the ordinance, if the
Department
|
16 | | determines that the community meets the requirements for |
17 | | certification, the
Department
may certify the community as an |
18 | | economically distressed community.
|
19 | | (b) A community that is certified by the Department as
an
|
20 | | economically
distressed community may appoint a Board of |
21 | | Economic Advisors
to create and implement a revitalization |
22 | | plan for the community. The Board
shall
consist of 18 members |
23 | | of the community, appointed by the
mayor or the presiding |
24 | | officer of the county or jointly by the presiding
officers of |
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1 | | each
municipality and county that have joined to form a |
2 | | community for the purposes of this Act. Up to 18 Board members |
3 | | may be appointed from the following vital sectors:
|
4 | | (1) A member representing households and families.
|
5 | | (2) A member representing religious organizations.
|
6 | | (3) A member representing educational institutions.
|
7 | | (4) A member representing child care daycare centers, |
8 | | care centers for persons with disabilities, and care |
9 | | centers for the disadvantaged.
|
10 | | (5) A member representing community based |
11 | | organizations such as
neighborhood improvement |
12 | | associations.
|
13 | | (6) A member representing federal and State employment |
14 | | service
systems, skill training centers, and placement |
15 | | referrals.
|
16 | | (7) A member representing Masonic organizations, |
17 | | fraternities, sororities,
and social clubs.
|
18 | | (8) A member representing hospitals, nursing homes, |
19 | | senior citizens,
public health agencies, and funeral |
20 | | homes.
|
21 | | (9) A member representing organized sports, parks, |
22 | | parties, and games of
chance.
|
23 | | (10) A member representing political parties, clubs, |
24 | | and affiliations, and
election related matters concerning |
25 | | voter education and participation.
|
26 | | (11) A member representing the cultural aspects of the |
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1 | | community,
including cultural events, lifestyles, |
2 | | languages, music, visual and performing
arts,
and |
3 | | literature.
|
4 | | (12) A member representing police and fire protection |
5 | | agencies, prisons,
weapons systems, and the military |
6 | | industrial complex.
|
7 | | (13) A member representing local businesses. |
8 | | (14) A member representing the retail industry.
|
9 | | (15) A member representing the service industry.
|
10 | | (16) A member representing the industrial, production, |
11 | | and manufacturing sectors.
|
12 | | (17) A member representing the advertising and |
13 | | marketing industry.
|
14 | | (18) A member representing the technology services |
15 | | industry. |
16 | | The Board shall meet initially
within 30 days of its |
17 | | appointment, shall select one member as chairperson at
its |
18 | | initial meeting, and
shall
thereafter meet at the call of the |
19 | | chairperson. Members of the Board shall
serve without
|
20 | | compensation.
|
21 | | (c) One third of the initial appointees shall serve for 2 |
22 | | years, one third shall serve for 3 years, and one third shall |
23 | | serve for 4 years, as determined by lot. Subsequent appointees |
24 | | shall serve terms of 5 years. |
25 | | (d) The Board shall create a 3-year to 5-year |
26 | | revitalization plan for the
community.
The plan shall contain |
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1 | | distinct, measurable objectives for revitalization. The
|
2 | | objectives
shall be used to guide ongoing implementation of |
3 | | the plan and to measure
progress
during the 3-year to 5-year |
4 | | period. The Board shall work in a dynamic manner
defining |
5 | | goals
for the community based on the strengths and weaknesses |
6 | | of the individual
sectors of the
community as presented by |
7 | | each member of the Board. The Board shall meet
periodically |
8 | | and revise the plan in light of the input from each member of
|
9 | | the
Board
concerning his or her respective sector of |
10 | | expertise. The process shall be a
community
driven |
11 | | revitalization process, with community-specific data |
12 | | determining the
direction and
scope of the revitalization.
|
13 | | (Source: P.A. 99-143, eff. 7-27-15.)
|
14 | | Section 75. The Counties Code is amended by changing |
15 | | Sections 4-11001 and 5-1097.5 as follows:
|
16 | | (55 ILCS 5/4-11001) (from Ch. 34, par. 4-11001)
|
17 | | (Text of Section WITH the changes made by P.A. 98-1132, |
18 | | which has been held unconstitutional)
|
19 | | Sec. 4-11001. Juror fees. Each county
shall pay to grand |
20 | | and petit jurors for their services
in attending courts the |
21 | | sums of $25 for the first day and thereafter $50 for each day |
22 | | of necessary attendance, or such higher amount as may be fixed |
23 | | by
the county board.
|
24 | | If a judge so orders, a juror
shall also receive |
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1 | | reimbursement for the actual cost of child day care incurred |
2 | | by
the juror during his or her service on a jury.
|
3 | | The juror fees for service and child day care shall be paid |
4 | | out
of the county treasury.
|
5 | | The clerk of the court shall
furnish to each juror without |
6 | | fee whenever he is discharged a certificate
of the number of |
7 | | days' attendance at court, and upon presentation thereof
to |
8 | | the county treasurer, he shall pay to the juror the sum
|
9 | | provided for his service.
|
10 | | Any juror may elect to waive the fee paid for service, |
11 | | transportation, or child day care, or any combination thereof. |
12 | | (Source: P.A. 97-840, eff. 1-1-13; 98-1132, eff. 6-1-15.)
|
13 | | (Text of Section WITHOUT the changes made by P.A. 98-1132, |
14 | | which has been held unconstitutional)
|
15 | | Sec. 4-11001. Juror fees. Each county
shall pay to grand |
16 | | and petit jurors for their services
in attending courts the |
17 | | sum of $4 for each day of necessary attendance at
such courts |
18 | | as jurors in counties of the first class, the sum of $5 for
|
19 | | each day in counties of the second class, and the sum of $10 |
20 | | for each
day in counties of the third class, or such higher |
21 | | amount as may be fixed by
the county board.
|
22 | | In addition, jurors shall receive such travel expense as
|
23 | | may be determined by the county board, provided that jurors in
|
24 | | counties of the first class and second class shall receive at
|
25 | | least 10 cents per mile for their travel expense.
Mileage |
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1 | | shall be allowed for travel during a juror's term as well as |
2 | | for
travel at the opening and closing of his term.
|
3 | | If a judge so orders, a juror
shall also receive |
4 | | reimbursement for the actual cost of child day care incurred |
5 | | by
the juror during his or her service on a jury.
|
6 | | The juror fees for service, transportation, and child day |
7 | | care shall be paid out
of the county treasury.
|
8 | | The clerk of the court shall
furnish to each juror without |
9 | | fee whenever he is discharged a certificate
of the number of |
10 | | days' attendance at court, and upon presentation thereof
to |
11 | | the county treasurer, he shall pay to the juror the sum
|
12 | | provided for his service.
|
13 | | Any juror may elect to waive the fee paid for service, |
14 | | transportation, or child day care, or any combination thereof. |
15 | | (Source: P.A. 97-840, eff. 1-1-13.)
|
16 | | (55 ILCS 5/5-1097.5)
|
17 | | Sec. 5-1097.5. Adult entertainment facility. It is |
18 | | prohibited within an unincorporated area of a county to locate |
19 | | an adult
entertainment facility within 3,000 feet of the |
20 | | property
boundaries of any school, child day care center, |
21 | | cemetery, public park, forest
preserve, public
housing, place |
22 | | of religious
worship, or residence, except that in a county |
23 | | with a population of more than 800,000 and less than 2,000,000 |
24 | | inhabitants, it is prohibited to locate, construct, or operate |
25 | | a new adult entertainment facility within one mile of the |
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1 | | property boundaries of any school, child day care center, |
2 | | cemetery, public park, forest preserve, public housing, or |
3 | | place of religious worship located anywhere within that |
4 | | county. Notwithstanding any other requirements of this |
5 | | Section, it is also prohibited to locate, construct, or |
6 | | operate a new adult entertainment facility within one mile of |
7 | | the property boundaries of any school, child day care center, |
8 | | cemetery, public park, forest preserve, public housing, or |
9 | | place of religious worship located in that area of Cook County |
10 | | outside of the City of Chicago.
|
11 | | For the purposes of this Section, "adult entertainment |
12 | | facility" means
(i) a striptease club or pornographic movie |
13 | | theatre
whose business is the commercial
sale, dissemination, |
14 | | or distribution of sexually explicit material,
shows, or other
|
15 | | exhibitions
or (ii) an adult bookstore or adult video store |
16 | | whose primary
business is the commercial sale, dissemination, |
17 | | or distribution of sexually
explicit material, shows, or other |
18 | | exhibitions. "Unincorporated area of a county" means any area |
19 | | not within the boundaries of a municipality.
|
20 | | The State's Attorney of the county where the adult |
21 | | entertainment facility is located or the Attorney General may |
22 | | institute a civil action for an injunction to restrain |
23 | | violations of this Section. In that proceeding, the court |
24 | | shall determine whether a violation has been committed and |
25 | | shall enter such orders as it considers necessary to remove |
26 | | the effect of any violation and to prevent the violation from |
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1 | | continuing or from being renewed in the future.
|
2 | | (Source: P.A. 94-496, eff. 1-1-06; 95-214, eff. 8-16-07.)
|
3 | | Section 80. The Township Code is amended by changing |
4 | | Section 85-13 as follows:
|
5 | | (60 ILCS 1/85-13)
|
6 | | Sec. 85-13. Township services, generally.
|
7 | | (a) The township board may either expend funds directly or |
8 | | may enter into
any cooperative agreement or contract with any |
9 | | other governmental entity,
not-for-profit corporation, |
10 | | non-profit community service association, or any
for-profit |
11 | | business entity as provided in subsection (b) with respect to |
12 | | the
expenditure of township funds, or funds made available to |
13 | | the township under
the federal State and Local Fiscal |
14 | | Assistance Act of 1972, to provide any of
the following |
15 | | services to the residents of the township:
|
16 | | (1) Ordinary and necessary maintenance and operating |
17 | | expenses for the
following:
|
18 | | (A) Public safety (including law enforcement, fire |
19 | | protection, and
building code enforcement).
|
20 | | (B) Environmental protection (including sewage |
21 | | disposal, sanitation,
and pollution abatement).
|
22 | | (C) Public transportation (including transit |
23 | | systems, paratransit
systems, and streets and roads).
|
24 | | (D) Health.
|
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1 | | (E) Recreation.
|
2 | | (F) Libraries.
|
3 | | (G) Social services for the poor and aged.
|
4 | | (2) Ordinary and necessary capital expenditures |
5 | | authorized by law.
|
6 | | (3) Development and retention of business, industrial, |
7 | | manufacturing,
and tourist facilities within the township.
|
8 | | (b) To be eligible to receive funds from the township |
9 | | under this Section, a
private not-for-profit corporation or |
10 | | community service association shall have
been in existence at |
11 | | least one year before receiving the funds. The township
board |
12 | | may, however, for the purpose of providing child day care |
13 | | services, contract
with child day care facilities licensed |
14 | | under the Child Care Act of 1969, regardless
of whether the |
15 | | facilities are organized on a for-profit or not-for-profit
|
16 | | basis.
|
17 | | (c) Township governments that directly expend or contract |
18 | | for child day care
shall use the standard of need established |
19 | | by the Department of Children and
Family Services in |
20 | | determining recipients of subsidized child day care and shall |
21 | | use
the rate schedule used by the Department of Children and |
22 | | Family Services for
the purchase of subsidized child day care.
|
23 | | (d) Township governments that directly expend or contract |
24 | | for senior
citizen services may contract with for-profit (or |
25 | | not-for-profit) and
non-sectarian organizations as provided in |
26 | | Sections 220-15 and 220-35.
|
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1 | | (e) Those township supervisors or other elected township |
2 | | officials who are
also members of a county board shall not vote |
3 | | on questions before the township
board or the county board |
4 | | that relate to agreements or contracts between the
township |
5 | | and the county under this Section or agreements or contracts |
6 | | between
the township and the county that are otherwise |
7 | | authorized by law.
|
8 | | (f) The township board may enter into direct agreements |
9 | | with for-profit
corporations or other business entities to |
10 | | carry out recycling programs in
unincorporated areas of the |
11 | | township.
|
12 | | The township board may by ordinance administer a recycling |
13 | | program or adopt rules and regulations relating to
recycling |
14 | | programs in unincorporated areas of the township that it from |
15 | | time to
time deems necessary and may provide penalties for |
16 | | violations of those rules
and regulations.
|
17 | | (g) For purposes of alleviating high unemployment, |
18 | | economically depressed
conditions, and lack of moderately |
19 | | priced housing, the trustees of a
township that includes all |
20 | | or a portion of a city that is a "financially
distressed city" |
21 | | under the Financially Distressed City Law may contract with
|
22 | | one or more not-for-profit or for-profit organizations to |
23 | | construct and operate
within the boundaries of the township a |
24 | | factory designed to manufacture housing
or housing components. |
25 | | The contract may provide for the private organization or
|
26 | | organizations to manage some or all operations of the factory |
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1 | | and may provide
for (i) payment of employee compensation and |
2 | | taxes; (ii) discharge of other
legal responsibilities; (iii) |
3 | | sale of products; (iv) disposition of the
factory, equipment, |
4 | | and other property; and (v) any other matters the township
|
5 | | trustees consider reasonable.
|
6 | | (Source: P.A. 95-119, eff. 8-13-07.)
|
7 | | Section 85. The Illinois Municipal Code is amended by |
8 | | changing Sections 8-3-18, 11-5-1.5, 11-21.5-5, 11-74.4-3, and |
9 | | 11-80-15 as follows:
|
10 | | (65 ILCS 5/8-3-18)
|
11 | | Sec. 8-3-18.
A municipality, upon a majority vote of its |
12 | | governing
authority, may abate taxes levied for corporate |
13 | | purposes under Section 8-3-1 in
an
amount not to exceed 50% of |
14 | | the donation by a taxpayer who donates not less
than $10,000 to |
15 | | a qualified program. The abatement shall not exceed the tax
|
16 | | extension on the taxpayer's real property for the levy year in |
17 | | which the
donation is made.
|
18 | | For purposes of this Section, "qualified program" means a |
19 | | facility or a
program in an area designated as a target area by |
20 | | the governing authority
of the municipality for the creation |
21 | | or expansion of job training and
counseling programs, youth |
22 | | child day care centers, congregate housing programs
for senior |
23 | | adults, youth recreation programs, alcohol and drug abuse
|
24 | | prevention, mental health counseling programs, domestic |
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1 | | violence shelters,
and other programs, facilities or services |
2 | | approved by the governing
authority as qualified programs in a |
3 | | target area.
|
4 | | (Source: P.A. 88-389.)
|
5 | | (65 ILCS 5/11-5-1.5)
|
6 | | Sec. 11-5-1.5. Adult entertainment facility. It is |
7 | | prohibited within a municipality to locate an adult |
8 | | entertainment
facility within 1,000 feet of the property
|
9 | | boundaries of any school, child day care center, cemetery, |
10 | | public park, forest
preserve, public
housing, and place of |
11 | | religious
worship, except that in a county with a population |
12 | | of more than 800,000 and less than 2,000,000 inhabitants, it |
13 | | is prohibited to locate, construct, or operate a new adult |
14 | | entertainment facility within one mile of the property |
15 | | boundaries of any school, child day care center, cemetery, |
16 | | public park, forest preserve, public housing, or place of |
17 | | religious worship located anywhere within that county. |
18 | | Notwithstanding any other requirements of this Section, it is |
19 | | also prohibited to locate, construct, or operate a new adult |
20 | | entertainment facility within one mile of the property |
21 | | boundaries of any school, child day care center, cemetery, |
22 | | public park, forest preserve, public housing, or place of |
23 | | religious worship located in that area of Cook County outside |
24 | | of the City of Chicago.
|
25 | | For the purposes of this Section, "adult entertainment |
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1 | | facility" means
(i) a striptease club or pornographic movie |
2 | | theatre
whose business is the commercial
sale, dissemination, |
3 | | or distribution of sexually explicit material,
shows, or other
|
4 | | exhibitions
or (ii) an adult bookstore or adult video store in |
5 | | which 25% or more of its stock-in-trade, books, magazines, and |
6 | | films for sale, exhibition, or viewing on-premises are |
7 | | sexually explicit material.
|
8 | | (Source: P.A. 95-47, eff. 1-1-08; 95-214, eff. 8-16-07; |
9 | | 95-876, eff. 8-21-08.)
|
10 | | (65 ILCS 5/11-21.5-5)
|
11 | | Sec. 11-21.5-5. Local emergency energy plans.
|
12 | | (a) Any municipality, including a home rule municipality, |
13 | | may, by ordinance,
require any electric utility (i) that |
14 | | serves more than 1,000,000 customers in
Illinois and (ii) that |
15 | | is operating within the corporate limits of the
municipality |
16 | | to adopt and to provide the municipality with a local |
17 | | emergency
energy plan. For the purposes of this Section, (i) |
18 | | "local emergency energy
plan" or "plan" means a planned course |
19 | | of action developed by the electric
utility that is |
20 | | implemented when the demand for electricity exceeds, or is at
|
21 | | significant risk of exceeding, the supply of electricity
|
22 | | available to the electric utility and (ii) "local emergency |
23 | | energy plan
ordinance" means an ordinance adopted by the |
24 | | corporate authorities of the
municipality under this Section |
25 | | that requires local emergency energy plans.
|
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1 | | (b) A local emergency energy plan must include the |
2 | | following information:
|
3 | | (1) the circumstances that would require the |
4 | | implementation of the plan;
|
5 | | (2) the levels or stages of the plan;
|
6 | | (3) the approximate geographic limits of each outage |
7 | | area provided for
in the plan;
|
8 | | (4) the approximate number of customers within each |
9 | | outage area
provided for in the plan;
|
10 | | (5) any police facilities, fire stations, hospitals, |
11 | | nursing homes,
schools, child day care centers, senior |
12 | | citizens centers, community health centers,
blood banks,
|
13 | | dialysis centers, community mental health centers, |
14 | | correctional facilities,
stormwater and wastewater |
15 | | treatment or pumping facilities, water-pumping
stations, |
16 | | buildings in excess of 80 feet in height that have been |
17 | | identified
by the municipality, and persons on life |
18 | | support systems that are known to the
electric utility |
19 | | that could be affected by controlled rotating |
20 | | interruptions
of electric service under the plan; and
|
21 | | (6) the anticipated sequence and duration of |
22 | | intentional interruptions
of electric service to each |
23 | | outage area under the plan.
|
24 | | (c) A local emergency energy plan ordinance may require |
25 | | that, when an
electric utility determines it is necessary to |
26 | | implement a controlled rotating
interruption of electric |
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1 | | service because the demand for electricity exceeds,
or is at |
2 | | significant risk of exceeding, the supply of electricity |
3 | | available
to the electric utility, the electric utility notify |
4 | | a designated municipal
officer that the electric utility will |
5 | | be implementing its local emergency
energy plan. The |
6 | | notification shall be made pursuant to a procedure approved
by |
7 | | the municipality after consultation with the electric utility.
|
8 | | (d) After providing the notice required in subsection (c), |
9 | | an electric
utility shall reasonably and separately advise |
10 | | designated municipal officials
before it implements each level |
11 | | or stage of the plan, which shall include (i)
a request for |
12 | | emergency help from neighboring utilities, (ii) a declaration |
13 | | of
a control area emergency, and (iii) a public appeal for |
14 | | voluntary curtailment
of electricity use.
|
15 | | (e) The electric utility must give a separate notice to a |
16 | | designated
municipal official immediately after it determines |
17 | | that there will be a
controlled rotating interruption of |
18 | | electric service under the local emergency
energy plan. The |
19 | | notification must include (i) the areas in which service will
|
20 | | be interrupted, (ii) the sequence and estimated duration of |
21 | | the service outage
for each area, (iii) the affected feeders, |
22 | | and (iv) the number of affected
customers in each area. |
23 | | Whenever practical, the notification shall be made at
least 2 |
24 | | hours before the time of the outages. If the electric utility |
25 | | is aware
that controlled rotating interruptions may be |
26 | | required, the notification may
not be made less than 30 |
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1 | | minutes before the outages.
|
2 | | (f) A local emergency energy plan ordinance may provide |
3 | | civil penalties for
violations of its provisions. The |
4 | | penalties must be permitted under the
Illinois Municipal
Code.
|
5 | | (g) The notifications required by this Section are in |
6 | | addition to the
notification requirements of any applicable |
7 | | franchise agreement or ordinance
and to the notification |
8 | | requirements of any applicable federal or State law,
rule, and |
9 | | regulation.
|
10 | | (h) Except for any penalties or remedies that may be |
11 | | provided in a local
emergency energy plan ordinance, in this |
12 | | Act, or in rules adopted by the
Illinois Commerce Commission, |
13 | | nothing in this Section shall be construed to
impose liability |
14 | | for or prevent a utility from taking any actions that are
|
15 | | necessary at any time, in any order, and with or without notice |
16 | | that are
required to preserve the integrity of the electric |
17 | | utility's electrical system
and interconnected network.
|
18 | | (i) Nothing in this Section, a local emergency energy plan |
19 | | ordinance, or a
local emergency energy plan creates any duty |
20 | | of a municipality to any person or
entity. No municipality may |
21 | | be subject to any claim or cause of action
arising, directly or |
22 | | indirectly, from its decision to adopt or to refrain from
|
23 | | adopting a local emergency energy plan ordinance. No |
24 | | municipality may be
subject to any claim or cause of action |
25 | | arising, directly or indirectly, from
any act or omission |
26 | | under the terms of or information provided in a local
|
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1 | | emergency energy plan filed under a local emergency energy |
2 | | plan ordinance.
|
3 | | (Source: P.A. 92-651, eff. 7-11-02; 93-293, eff. 7-22-03.)
|
4 | | (65 ILCS 5/11-74.4-3) (from Ch. 24, par. 11-74.4-3)
|
5 | | Sec. 11-74.4-3. Definitions. The following terms, wherever |
6 | | used or
referred to in this Division 74.4 shall have the |
7 | | following respective meanings,
unless in any case a different |
8 | | meaning clearly appears from the context.
|
9 | | (a) For any redevelopment project area that has been |
10 | | designated pursuant
to this
Section by an ordinance adopted |
11 | | prior to November 1, 1999 (the effective
date of Public Act
|
12 | | 91-478), "blighted area" shall have the meaning set
forth in |
13 | | this Section
prior to that date.
|
14 | | On and after November 1, 1999,
"blighted area" means any |
15 | | improved or vacant area within the boundaries
of a |
16 | | redevelopment project area located within the territorial |
17 | | limits of
the municipality where:
|
18 | | (1) If improved, industrial, commercial, and |
19 | | residential buildings or
improvements are detrimental to |
20 | | the public safety, health, or welfare
because of a |
21 | | combination of 5 or more of the following factors, each of |
22 | | which
is (i) present, with that presence documented, to a |
23 | | meaningful extent so
that a municipality may reasonably |
24 | | find that the factor is clearly
present within the intent |
25 | | of the Act and (ii) reasonably distributed throughout
the |
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1 | | improved part of the redevelopment project area:
|
2 | | (A) Dilapidation. An advanced state of disrepair |
3 | | or neglect of
necessary
repairs to the primary |
4 | | structural components of buildings or improvements in
|
5 | | such a combination that a documented building |
6 | | condition analysis determines
that major repair is |
7 | | required or the defects are so serious and so |
8 | | extensive
that the buildings must be removed.
|
9 | | (B) Obsolescence. The condition or process of |
10 | | falling into disuse.
Structures have become ill-suited |
11 | | for the original use.
|
12 | | (C) Deterioration. With respect to buildings, |
13 | | defects
including, but not limited to, major defects |
14 | | in
the secondary building components such as doors, |
15 | | windows, porches, gutters and
downspouts, and fascia. |
16 | | With respect to surface improvements, that the
|
17 | | condition of roadways, alleys, curbs, gutters, |
18 | | sidewalks, off-street parking,
and surface storage |
19 | | areas evidence deterioration, including, but not |
20 | | limited
to, surface cracking, crumbling, potholes, |
21 | | depressions, loose paving material,
and weeds |
22 | | protruding through paved surfaces.
|
23 | | (D) Presence of structures below minimum code |
24 | | standards. All structures
that do not meet the |
25 | | standards of zoning, subdivision, building, fire, and
|
26 | | other governmental codes applicable to property, but |
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1 | | not including housing and
property maintenance codes.
|
2 | | (E) Illegal use of individual structures. The use |
3 | | of structures in
violation of applicable federal, |
4 | | State, or local laws, exclusive of those
applicable to |
5 | | the presence of structures below minimum code |
6 | | standards.
|
7 | | (F) Excessive vacancies. The presence of
buildings |
8 | | that are unoccupied or under-utilized and that |
9 | | represent an adverse
influence on the area because of |
10 | | the frequency, extent, or duration of the
vacancies.
|
11 | | (G) Lack of ventilation, light, or sanitary |
12 | | facilities. The absence of
adequate ventilation for |
13 | | light or air circulation in spaces or rooms without
|
14 | | windows, or that require the removal of dust, odor, |
15 | | gas, smoke, or other
noxious airborne materials. |
16 | | Inadequate natural light and ventilation means
the |
17 | | absence of skylights or windows for interior spaces or |
18 | | rooms and improper
window sizes and amounts by room |
19 | | area to window area ratios. Inadequate
sanitary |
20 | | facilities refers to the absence or inadequacy of |
21 | | garbage storage and
enclosure,
bathroom facilities, |
22 | | hot water and kitchens, and structural inadequacies
|
23 | | preventing ingress and egress to and from all rooms |
24 | | and units within a
building.
|
25 | | (H) Inadequate utilities. Underground and overhead |
26 | | utilities
such as storm sewers and storm drainage, |
|
| | SB1797 | - 135 - | LRB103 03433 AMQ 48439 b |
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|
1 | | sanitary sewers, water lines, and
gas, telephone, and
|
2 | | electrical services that are shown to be inadequate. |
3 | | Inadequate utilities are
those that are: (i) of |
4 | | insufficient capacity to serve the uses in the
|
5 | | redevelopment project area, (ii) deteriorated,
|
6 | | antiquated, obsolete, or in disrepair, or (iii) |
7 | | lacking within the
redevelopment project area.
|
8 | | (I) Excessive land coverage and overcrowding of |
9 | | structures and community
facilities. The |
10 | | over-intensive use of property and the crowding of |
11 | | buildings
and accessory facilities onto a site. |
12 | | Examples of problem conditions
warranting the |
13 | | designation of an area as one exhibiting excessive |
14 | | land coverage
are: (i) the presence of buildings |
15 | | either improperly situated on parcels or
located
on |
16 | | parcels of inadequate size and shape in relation to |
17 | | present-day standards of
development for health and |
18 | | safety and (ii) the presence of multiple buildings
on |
19 | | a
single parcel. For there to be a finding of excessive |
20 | | land coverage,
these parcels must exhibit one or more |
21 | | of the following conditions:
insufficient provision |
22 | | for
light and air within or around buildings, |
23 | | increased threat of spread of fire
due to the close |
24 | | proximity of buildings, lack of adequate or proper |
25 | | access to a
public right-of-way, lack of reasonably |
26 | | required off-street parking, or
inadequate provision |
|
| | SB1797 | - 136 - | LRB103 03433 AMQ 48439 b |
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|
1 | | for loading and service.
|
2 | | (J) Deleterious land use or layout. The existence |
3 | | of incompatible
land-use
relationships, buildings |
4 | | occupied by inappropriate mixed-uses, or uses
|
5 | | considered to be noxious, offensive, or unsuitable for |
6 | | the
surrounding area.
|
7 | | (K) Environmental clean-up. The proposed |
8 | | redevelopment project area
has incurred Illinois |
9 | | Environmental Protection Agency or United States
|
10 | | Environmental Protection Agency remediation costs for, |
11 | | or a study conducted by
an independent consultant |
12 | | recognized as having expertise in environmental
|
13 | | remediation has determined a need for, the
clean-up of |
14 | | hazardous
waste, hazardous substances, or underground |
15 | | storage tanks required by State or
federal law, |
16 | | provided that the remediation costs constitute a |
17 | | material
impediment to the development or |
18 | | redevelopment of the redevelopment project
area.
|
19 | | (L) Lack of community planning. The proposed |
20 | | redevelopment project area
was
developed prior to or |
21 | | without the benefit or guidance of a community plan.
|
22 | | This means that the development occurred prior to the |
23 | | adoption by the
municipality of a comprehensive or |
24 | | other community plan or that the plan was
not followed |
25 | | at the time of the area's development. This factor |
26 | | must be
documented by evidence of adverse or |
|
| | SB1797 | - 137 - | LRB103 03433 AMQ 48439 b |
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|
1 | | incompatible land-use relationships,
inadequate street |
2 | | layout, improper subdivision, parcels of inadequate |
3 | | shape and
size to meet contemporary development |
4 | | standards, or other evidence
demonstrating
an absence |
5 | | of effective community planning.
|
6 | | (M) The total equalized assessed value of the |
7 | | proposed redevelopment
project area has declined for 3 |
8 | | of the last 5 calendar years
prior to the year in which |
9 | | the redevelopment project area is designated
or is |
10 | | increasing at an
annual rate that is less
than the |
11 | | balance of the municipality for 3 of the last 5 |
12 | | calendar years
for which
information is available or |
13 | | is increasing at an annual rate that is less than
the |
14 | | Consumer Price Index
for All Urban Consumers published |
15 | | by the United States Department of Labor or
successor |
16 | | agency for 3 of the last 5 calendar years
prior to the |
17 | | year in which the redevelopment project area is |
18 | | designated.
|
19 | | (2) If vacant, the sound growth of the redevelopment |
20 | | project area
is impaired by a
combination of 2 or more of |
21 | | the following factors, each of which
is (i) present, with |
22 | | that presence documented, to a meaningful extent so
that
a |
23 | | municipality may reasonably find that the factor is |
24 | | clearly present
within the intent of the Act and (ii) |
25 | | reasonably distributed throughout the
vacant part of the
|
26 | | redevelopment project area to which it pertains:
|
|
| | SB1797 | - 138 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (A) Obsolete platting of vacant land that results |
2 | | in parcels of
limited or
narrow size or configurations |
3 | | of parcels of irregular size or shape that would
be |
4 | | difficult to develop on
a planned basis and in a manner |
5 | | compatible with contemporary standards and
|
6 | | requirements, or platting that failed to create |
7 | | rights-of-ways for streets or
alleys or that created |
8 | | inadequate right-of-way widths for streets, alleys, or
|
9 | | other public rights-of-way or that omitted easements |
10 | | for public utilities.
|
11 | | (B) Diversity of ownership of parcels of vacant |
12 | | land sufficient in
number to
retard or impede the |
13 | | ability to assemble the land for development.
|
14 | | (C) Tax and special assessment delinquencies exist |
15 | | or the property has
been the subject of tax sales under |
16 | | the Property Tax Code within the last 5
years.
|
17 | | (D) Deterioration of structures or site |
18 | | improvements in neighboring
areas adjacent to the |
19 | | vacant land.
|
20 | | (E) The area has incurred Illinois Environmental |
21 | | Protection Agency or
United States Environmental |
22 | | Protection Agency remediation costs for, or a study
|
23 | | conducted by an independent consultant recognized as |
24 | | having expertise in
environmental remediation has |
25 | | determined a need for, the
clean-up of hazardous
|
26 | | waste, hazardous substances, or underground storage |
|
| | SB1797 | - 139 - | LRB103 03433 AMQ 48439 b |
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|
1 | | tanks required by State or
federal law, provided that |
2 | | the remediation costs
constitute a material impediment |
3 | | to the development or redevelopment of
the
|
4 | | redevelopment project area.
|
5 | | (F) The total equalized assessed value of the |
6 | | proposed redevelopment
project area has declined for 3 |
7 | | of the last 5 calendar years
prior to the year in which |
8 | | the redevelopment project area is designated
or is |
9 | | increasing at an
annual rate that is less
than the |
10 | | balance of the municipality for 3 of the last 5 |
11 | | calendar years for
which information is available or |
12 | | is increasing at an annual rate that is less
than
the |
13 | | Consumer Price Index
for All Urban Consumers published |
14 | | by the United States Department of Labor or
successor |
15 | | agency for 3 of the last 5 calendar years
prior to the |
16 | | year in which the redevelopment project area is |
17 | | designated.
|
18 | | (3) If vacant, the sound growth of the redevelopment |
19 | | project area is
impaired by one of the
following factors |
20 | | that (i) is present, with that presence documented, to a
|
21 | | meaningful extent so that a municipality may reasonably |
22 | | find that the factor is
clearly
present within the intent |
23 | | of the Act and (ii) is reasonably distributed
throughout |
24 | | the vacant part of the
redevelopment project area to which |
25 | | it pertains:
|
26 | | (A) The area consists of one or more unused |
|
| | SB1797 | - 140 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | quarries, mines, or strip
mine ponds.
|
2 | | (B) The area consists of unused rail yards, rail |
3 | | tracks, or railroad
rights-of-way.
|
4 | | (C) The area, prior to its designation, is subject |
5 | | to (i) chronic
flooding
that adversely impacts on real |
6 | | property in the area as certified by a
registered
|
7 | | professional engineer or appropriate regulatory agency |
8 | | or (ii) surface water
that
discharges from all or a |
9 | | part of the area and contributes to flooding within
|
10 | | the
same watershed, but only if the redevelopment |
11 | | project provides for facilities
or
improvements to |
12 | | contribute to the alleviation of all or part of the
|
13 | | flooding.
|
14 | | (D) The area consists of an unused or illegal |
15 | | disposal site containing
earth,
stone, building |
16 | | debris, or similar materials that were removed from
|
17 | | construction, demolition, excavation, or dredge sites.
|
18 | | (E) Prior to November 1, 1999, the area
is not less |
19 | | than 50 nor more than 100 acres and 75%
of which is |
20 | | vacant (notwithstanding that the area has been used
|
21 | | for commercial agricultural purposes within 5 years |
22 | | prior to the designation
of the redevelopment project |
23 | | area), and the area meets at least one of
the factors |
24 | | itemized in paragraph (1) of this subsection, the area
|
25 | | has been designated as a town or village center by |
26 | | ordinance or comprehensive
plan adopted prior to |
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| | SB1797 | - 141 - | LRB103 03433 AMQ 48439 b |
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|
1 | | January 1, 1982, and the area has not been developed
|
2 | | for that designated purpose.
|
3 | | (F) The area qualified as a blighted improved area |
4 | | immediately prior to
becoming vacant, unless there has |
5 | | been substantial private investment in the
immediately |
6 | | surrounding area.
|
7 | | (b) For any redevelopment project area that has been |
8 | | designated pursuant
to this
Section by an ordinance adopted |
9 | | prior to November 1, 1999 (the effective
date of Public Act
|
10 | | 91-478), "conservation area" shall have the meaning
set forth |
11 | | in this
Section prior to that date.
|
12 | | On and after November 1, 1999,
"conservation area" means |
13 | | any improved area within the boundaries
of a redevelopment |
14 | | project area located within the territorial limits of
the |
15 | | municipality in which 50% or more of the structures in the area |
16 | | have
an age of 35 years or more.
Such an area is not yet a |
17 | | blighted area but
because of a combination of 3 or more of the |
18 | | following factors is detrimental
to the public safety, health, |
19 | | morals
or welfare and such an area may become a blighted area:
|
20 | | (1) Dilapidation. An advanced state of disrepair or |
21 | | neglect of
necessary
repairs to the primary structural |
22 | | components of buildings or improvements in
such a |
23 | | combination that a documented building condition analysis |
24 | | determines
that major repair is required or the defects |
25 | | are so serious and so extensive
that the buildings must be |
26 | | removed.
|
|
| | SB1797 | - 142 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (2) Obsolescence. The condition or process of falling |
2 | | into disuse.
Structures have become ill-suited for the |
3 | | original use.
|
4 | | (3) Deterioration. With respect to buildings, defects
|
5 | | including, but not limited to, major defects in
the |
6 | | secondary building components such as doors, windows, |
7 | | porches, gutters and
downspouts, and fascia. With respect |
8 | | to surface improvements, that the
condition of roadways, |
9 | | alleys, curbs, gutters, sidewalks, off-street parking,
and |
10 | | surface storage areas evidence deterioration, including, |
11 | | but not limited
to, surface cracking, crumbling, potholes, |
12 | | depressions, loose paving material,
and weeds protruding |
13 | | through paved surfaces.
|
14 | | (4) Presence of structures below minimum code |
15 | | standards. All structures
that do not meet the standards |
16 | | of zoning, subdivision, building, fire, and
other |
17 | | governmental codes applicable to property, but not |
18 | | including housing and
property maintenance codes.
|
19 | | (5) Illegal use of individual structures. The use of |
20 | | structures in
violation of applicable federal, State, or |
21 | | local laws, exclusive of those
applicable to the presence |
22 | | of structures below minimum code standards.
|
23 | | (6) Excessive vacancies. The presence of
buildings |
24 | | that are unoccupied or under-utilized and that represent |
25 | | an adverse
influence on the area because of the frequency, |
26 | | extent, or duration of the
vacancies.
|
|
| | SB1797 | - 143 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (7) Lack of ventilation, light, or sanitary |
2 | | facilities. The absence of
adequate ventilation for light |
3 | | or air circulation in spaces or rooms without
windows, or |
4 | | that require the removal of dust, odor, gas, smoke, or |
5 | | other
noxious airborne materials. Inadequate natural light |
6 | | and ventilation means
the absence or inadequacy of |
7 | | skylights or windows for interior spaces or rooms
and |
8 | | improper
window sizes and amounts by room area to window |
9 | | area ratios. Inadequate
sanitary facilities refers to the |
10 | | absence or inadequacy of garbage storage and
enclosure,
|
11 | | bathroom facilities, hot water and kitchens, and |
12 | | structural inadequacies
preventing ingress and egress to |
13 | | and from all rooms and units within a
building.
|
14 | | (8) Inadequate utilities. Underground and overhead |
15 | | utilities
such as storm sewers and storm drainage, |
16 | | sanitary sewers, water lines, and gas,
telephone, and
|
17 | | electrical services that are shown to be inadequate. |
18 | | Inadequate utilities are
those that are: (i) of |
19 | | insufficient capacity to serve the uses in the
|
20 | | redevelopment project area, (ii) deteriorated,
antiquated, |
21 | | obsolete, or in disrepair, or (iii) lacking within the
|
22 | | redevelopment project area.
|
23 | | (9) Excessive land coverage and overcrowding of |
24 | | structures and community
facilities. The over-intensive |
25 | | use of property and the crowding of buildings
and |
26 | | accessory facilities onto a site. Examples of problem |
|
| | SB1797 | - 144 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | conditions
warranting the designation of an area as one |
2 | | exhibiting excessive land coverage
are: the presence of |
3 | | buildings either improperly situated on parcels or located
|
4 | | on parcels of inadequate size and shape in relation to |
5 | | present-day standards of
development for health and safety |
6 | | and the presence of multiple buildings on a
single parcel. |
7 | | For there to be a finding of excessive land coverage,
|
8 | | these parcels must exhibit one or more of the following |
9 | | conditions:
insufficient provision for
light and air |
10 | | within or around buildings, increased threat of spread of |
11 | | fire
due to the close proximity of buildings, lack of |
12 | | adequate or proper access to a
public right-of-way, lack |
13 | | of reasonably required off-street parking, or
inadequate |
14 | | provision for loading and service.
|
15 | | (10) Deleterious land use or layout. The existence of |
16 | | incompatible
land-use
relationships, buildings occupied by |
17 | | inappropriate mixed-uses, or uses
considered to be |
18 | | noxious, offensive, or unsuitable for the
surrounding |
19 | | area.
|
20 | | (11) Lack of community planning. The proposed |
21 | | redevelopment project area
was
developed prior to or |
22 | | without the benefit or guidance of a community plan.
This |
23 | | means that the development occurred prior to the adoption |
24 | | by the
municipality of a comprehensive or other community |
25 | | plan or that the plan was
not followed at the time of the |
26 | | area's development. This factor must be
documented by |
|
| | SB1797 | - 145 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | evidence of adverse or incompatible land-use |
2 | | relationships,
inadequate street layout, improper |
3 | | subdivision, parcels of inadequate shape and
size to meet |
4 | | contemporary development standards, or other evidence
|
5 | | demonstrating
an absence of effective community planning.
|
6 | | (12) The area has incurred Illinois Environmental |
7 | | Protection Agency or
United
States Environmental |
8 | | Protection Agency remediation costs for, or a study
|
9 | | conducted by an independent consultant recognized as |
10 | | having expertise in
environmental remediation has |
11 | | determined a need for, the clean-up of hazardous
waste, |
12 | | hazardous substances, or underground storage tanks |
13 | | required by State
or federal law, provided that the |
14 | | remediation costs constitute a material
impediment to the |
15 | | development or redevelopment of the redevelopment project
|
16 | | area.
|
17 | | (13) The total equalized assessed value of the |
18 | | proposed redevelopment
project area has declined for 3 of |
19 | | the last 5 calendar years
for which information is
|
20 | | available or is increasing at an annual rate that is less |
21 | | than the balance of
the municipality for 3 of the last 5 |
22 | | calendar years for which information is
available or is |
23 | | increasing at an annual rate that is less
than the |
24 | | Consumer Price Index for All Urban Consumers published by |
25 | | the United
States Department of Labor or successor agency |
26 | | for 3 of the last 5 calendar
years for which information is |
|
| | SB1797 | - 146 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | available.
|
2 | | (c) "Industrial park" means an area in a blighted or |
3 | | conservation
area suitable for use by any manufacturing, |
4 | | industrial, research or
transportation enterprise, of |
5 | | facilities to include but not be limited to
factories, mills, |
6 | | processing plants, assembly plants, packing plants,
|
7 | | fabricating plants, industrial distribution centers, |
8 | | warehouses, repair
overhaul or service facilities, freight |
9 | | terminals, research facilities,
test facilities or railroad |
10 | | facilities.
|
11 | | (d) "Industrial park conservation area" means an area |
12 | | within the
boundaries of a redevelopment project area located |
13 | | within the territorial
limits of a municipality that is a |
14 | | labor surplus municipality or within 1
1/2 miles of the |
15 | | territorial limits of a municipality that is a labor
surplus |
16 | | municipality if the area is annexed to the municipality; which
|
17 | | area is zoned as industrial no later than at the time the |
18 | | municipality by
ordinance designates the redevelopment project |
19 | | area, and which area
includes both vacant land suitable for |
20 | | use as an industrial park and a
blighted area or conservation |
21 | | area contiguous to such vacant land.
|
22 | | (e) "Labor surplus municipality" means a municipality in |
23 | | which, at any
time during the 6 months before the municipality |
24 | | by ordinance designates
an industrial park conservation area, |
25 | | the unemployment rate was over 6% and was
also 100% or more of |
26 | | the national average unemployment rate for that same
time as |
|
| | SB1797 | - 147 - | LRB103 03433 AMQ 48439 b |
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|
1 | | published in the United States Department of Labor Bureau of |
2 | | Labor
Statistics publication entitled "The Employment |
3 | | Situation" or its successor
publication. For the purpose of |
4 | | this subsection, if unemployment rate
statistics for the |
5 | | municipality are not available, the unemployment rate in
the |
6 | | municipality shall be deemed to be the same as the |
7 | | unemployment rate in
the principal county in which the |
8 | | municipality is located.
|
9 | | (f) "Municipality" shall mean a city, village, |
10 | | incorporated town, or a township that is located in the |
11 | | unincorporated portion of a county with 3 million or more |
12 | | inhabitants, if the county adopted an ordinance that approved |
13 | | the township's redevelopment plan.
|
14 | | (g) "Initial Sales Tax Amounts" means the amount of taxes |
15 | | paid under
the Retailers' Occupation Tax Act, Use Tax Act, |
16 | | Service Use Tax Act, the
Service Occupation Tax Act, the |
17 | | Municipal Retailers' Occupation Tax Act,
and the Municipal |
18 | | Service Occupation Tax Act by
retailers and servicemen on |
19 | | transactions at places located in a
State Sales Tax Boundary |
20 | | during the calendar year 1985.
|
21 | | (g-1) "Revised Initial Sales Tax Amounts" means the amount |
22 | | of taxes paid
under the Retailers' Occupation Tax Act, Use Tax |
23 | | Act, Service Use Tax Act, the
Service Occupation Tax Act, the |
24 | | Municipal Retailers' Occupation Tax Act,
and the Municipal |
25 | | Service Occupation Tax Act by retailers and servicemen on
|
26 | | transactions at places located within the State Sales Tax |
|
| | SB1797 | - 148 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Boundary
revised pursuant to Section 11-74.4-8a(9) of this |
2 | | Act.
|
3 | | (h) "Municipal Sales Tax Increment" means an amount equal |
4 | | to the
increase in the aggregate amount of taxes paid to a |
5 | | municipality from the
Local Government Tax Fund arising from |
6 | | sales by retailers and servicemen
within the redevelopment |
7 | | project area or State Sales Tax Boundary, as
the case may be, |
8 | | for as long as the redevelopment project area or State
Sales |
9 | | Tax Boundary, as the case may be, exist over and above the |
10 | | aggregate
amount of taxes as certified by the Illinois |
11 | | Department of Revenue and paid
under the Municipal Retailers' |
12 | | Occupation Tax Act and the Municipal Service
Occupation Tax |
13 | | Act by retailers and servicemen, on transactions at places
of |
14 | | business located in the redevelopment project area or State |
15 | | Sales Tax
Boundary, as the case may be, during the
base year |
16 | | which shall be the calendar year immediately prior to the year |
17 | | in
which the municipality adopted tax increment allocation |
18 | | financing. For
purposes of computing the aggregate amount of |
19 | | such taxes for base years
occurring prior to 1985, the |
20 | | Department of Revenue shall determine the
Initial Sales Tax |
21 | | Amounts for such taxes and deduct therefrom an amount
equal to |
22 | | 4% of the aggregate amount of taxes per year for each year the
|
23 | | base year is prior to 1985, but not to exceed a total deduction |
24 | | of 12%.
The amount so determined shall be known as the |
25 | | "Adjusted Initial Sales Tax
Amounts". For purposes of |
26 | | determining the Municipal Sales Tax Increment,
the Department |
|
| | SB1797 | - 149 - | LRB103 03433 AMQ 48439 b |
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|
1 | | of Revenue shall for each period subtract from the amount
paid |
2 | | to the municipality from the Local Government Tax Fund arising |
3 | | from
sales by retailers and servicemen on transactions
located |
4 | | in the redevelopment project area or the State Sales Tax |
5 | | Boundary,
as the case may be, the certified Initial Sales Tax
|
6 | | Amounts, the Adjusted Initial Sales Tax Amounts or the Revised |
7 | | Initial
Sales Tax Amounts for the Municipal Retailers'
|
8 | | Occupation Tax Act and the Municipal Service
Occupation Tax |
9 | | Act. For the State Fiscal Year 1989, this calculation shall
be |
10 | | made by utilizing the calendar year 1987 to determine the tax |
11 | | amounts
received. For the State Fiscal Year 1990, this |
12 | | calculation shall be made
by utilizing the period from January |
13 | | 1, 1988, until September 30, 1988, to
determine the tax |
14 | | amounts received from retailers and servicemen pursuant
to the |
15 | | Municipal Retailers' Occupation Tax and the Municipal Service
|
16 | | Occupation Tax Act, which shall have deducted therefrom
|
17 | | nine-twelfths of the certified Initial Sales Tax Amounts, the |
18 | | Adjusted Initial
Sales Tax Amounts or the Revised Initial |
19 | | Sales Tax Amounts as appropriate.
For the State Fiscal Year |
20 | | 1991, this calculation shall be made by utilizing
the period |
21 | | from October 1, 1988, to June 30, 1989, to determine the tax
|
22 | | amounts received from retailers and servicemen pursuant to the |
23 | | Municipal
Retailers' Occupation Tax and the Municipal Service |
24 | | Occupation Tax Act
which shall have deducted therefrom |
25 | | nine-twelfths of the
certified Initial Sales Tax Amounts, |
26 | | Adjusted Initial Sales Tax
Amounts or the Revised Initial |
|
| | SB1797 | - 150 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Sales Tax Amounts as appropriate. For every
State Fiscal Year |
2 | | thereafter, the applicable period shall be the 12 months
|
3 | | beginning July 1 and ending June 30 to determine the tax |
4 | | amounts received
which shall have deducted therefrom the |
5 | | certified Initial Sales Tax
Amounts, the Adjusted Initial |
6 | | Sales Tax Amounts or the Revised Initial
Sales Tax Amounts, as |
7 | | the case may be.
|
8 | | (i) "Net State Sales Tax Increment" means the sum of the |
9 | | following: (a)
80% of the first $100,000 of State Sales Tax |
10 | | Increment annually generated
within a State Sales Tax |
11 | | Boundary; (b) 60% of the amount in excess of
$100,000 but not |
12 | | exceeding $500,000 of State Sales Tax Increment annually
|
13 | | generated within a State Sales Tax Boundary; and (c) 40% of all |
14 | | amounts in
excess of $500,000 of State Sales Tax Increment |
15 | | annually generated within a
State Sales Tax Boundary. If, |
16 | | however, a municipality established a tax
increment financing |
17 | | district in a county with a population in excess of
3,000,000 |
18 | | before January 1, 1986, and the municipality entered into a
|
19 | | contract or issued bonds after January 1, 1986, but before |
20 | | December 31, 1986,
to finance redevelopment project costs |
21 | | within a State Sales Tax
Boundary, then the Net State Sales Tax |
22 | | Increment means, for the fiscal years
beginning July 1, 1990, |
23 | | and July 1, 1991, 100% of the State Sales Tax
Increment |
24 | | annually generated within a State Sales Tax Boundary; and
|
25 | | notwithstanding any other provision of this Act, for those |
26 | | fiscal years the
Department of Revenue shall distribute to |
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1 | | those municipalities 100% of
their Net State Sales Tax |
2 | | Increment before any distribution to any other
municipality |
3 | | and regardless of whether or not those other municipalities
|
4 | | will receive 100% of their Net State Sales Tax Increment. For |
5 | | Fiscal Year
1999, and every year thereafter until the year |
6 | | 2007, for any municipality
that has not entered into a |
7 | | contract or has not issued bonds prior to June
1, 1988 to |
8 | | finance redevelopment project costs within a State Sales Tax
|
9 | | Boundary, the Net State Sales Tax Increment shall be |
10 | | calculated as follows:
By multiplying the Net State Sales Tax |
11 | | Increment by 90% in the State Fiscal
Year 1999; 80% in the |
12 | | State Fiscal Year 2000; 70% in the State Fiscal Year
2001; 60% |
13 | | in the State Fiscal Year 2002; 50% in the State Fiscal Year |
14 | | 2003; 40%
in the State Fiscal Year 2004; 30% in the State |
15 | | Fiscal Year 2005; 20% in
the State Fiscal Year 2006; and 10% in |
16 | | the State Fiscal Year 2007. No
payment shall be made for State |
17 | | Fiscal Year 2008 and thereafter.
|
18 | | Municipalities that issued bonds in connection with a |
19 | | redevelopment project
in a redevelopment project area within |
20 | | the State Sales Tax Boundary prior to
July 29, 1991,
or that |
21 | | entered into contracts in connection with a redevelopment |
22 | | project in
a redevelopment project area before June 1, 1988,
|
23 | | shall continue to receive their proportional share of the
|
24 | | Illinois Tax Increment Fund distribution until the date on |
25 | | which the
redevelopment project is completed or terminated.
|
26 | | If, however, a municipality that issued bonds in connection |
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1 | | with a
redevelopment project in a redevelopment project area |
2 | | within the State Sales
Tax Boundary prior to July 29, 1991 |
3 | | retires the bonds prior to June 30, 2007 or
a municipality that |
4 | | entered into contracts in connection with a redevelopment
|
5 | | project in a redevelopment project area before June 1, 1988 |
6 | | completes the
contracts prior to June 30, 2007, then so long as |
7 | | the redevelopment project is
not
completed or is not |
8 | | terminated, the Net State Sales Tax Increment shall be
|
9 | | calculated, beginning on the date on which the bonds are |
10 | | retired or the
contracts are completed, as follows: By |
11 | | multiplying the Net State Sales Tax
Increment by 60% in the |
12 | | State Fiscal Year
2002; 50% in the State Fiscal Year 2003; 40% |
13 | | in the State Fiscal Year 2004; 30%
in the State Fiscal Year |
14 | | 2005; 20% in the State Fiscal Year 2006; and 10% in
the State |
15 | | Fiscal Year 2007. No payment shall be made for State Fiscal |
16 | | Year
2008 and thereafter.
Refunding of any bonds issued
prior |
17 | | to July 29, 1991, shall not alter the Net State Sales Tax |
18 | | Increment.
|
19 | | (j) "State Utility Tax Increment Amount" means an amount |
20 | | equal to the
aggregate increase in State electric and gas tax |
21 | | charges imposed on owners
and tenants, other than residential |
22 | | customers, of properties located within
the redevelopment |
23 | | project area under Section 9-222 of the Public Utilities
Act, |
24 | | over and above the aggregate of such charges as certified by |
25 | | the
Department of Revenue and paid by owners and tenants, |
26 | | other than
residential customers, of properties within the |
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1 | | redevelopment project area
during the base year, which shall |
2 | | be the calendar year immediately prior to
the year of the |
3 | | adoption of the ordinance authorizing tax increment allocation
|
4 | | financing.
|
5 | | (k) "Net State Utility Tax Increment" means the sum of the |
6 | | following:
(a) 80% of the first $100,000 of State Utility Tax |
7 | | Increment annually
generated by a redevelopment project area; |
8 | | (b) 60% of the amount in excess
of $100,000 but not exceeding |
9 | | $500,000 of the State Utility Tax Increment
annually generated |
10 | | by a redevelopment project area; and (c) 40% of all
amounts in |
11 | | excess of $500,000 of State Utility Tax Increment annually
|
12 | | generated by a redevelopment project area. For the State |
13 | | Fiscal Year 1999,
and every year thereafter until the year |
14 | | 2007, for any municipality that
has not entered into a |
15 | | contract or has not issued bonds prior to June 1,
1988 to |
16 | | finance redevelopment project costs within a redevelopment |
17 | | project
area, the Net State Utility Tax Increment shall be |
18 | | calculated as follows:
By multiplying the Net State Utility |
19 | | Tax Increment by 90% in the State
Fiscal Year 1999; 80% in the |
20 | | State Fiscal Year 2000; 70% in the State
Fiscal Year 2001; 60% |
21 | | in the State Fiscal Year 2002; 50% in the State
Fiscal Year |
22 | | 2003; 40% in the State Fiscal Year 2004; 30% in the State
|
23 | | Fiscal Year 2005; 20% in the State Fiscal Year 2006; and 10% in |
24 | | the State
Fiscal Year 2007. No payment shall be made for the |
25 | | State Fiscal Year 2008
and thereafter.
|
26 | | Municipalities that issue bonds in connection with the |
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1 | | redevelopment project
during the period from June 1, 1988 |
2 | | until 3 years after the effective date
of this Amendatory Act |
3 | | of 1988 shall receive the Net State Utility Tax
Increment, |
4 | | subject to appropriation, for 15 State Fiscal Years after the
|
5 | | issuance of such bonds. For the 16th through the 20th State |
6 | | Fiscal Years
after issuance of the bonds, the Net State |
7 | | Utility Tax Increment shall be
calculated as follows: By |
8 | | multiplying the Net State Utility Tax Increment
by 90% in year |
9 | | 16; 80% in year 17; 70% in year 18; 60% in year 19; and 50%
in |
10 | | year 20. Refunding of any bonds issued prior to June 1, 1988, |
11 | | shall not
alter the revised Net State Utility Tax Increment |
12 | | payments set forth above.
|
13 | | (l) "Obligations" mean bonds, loans, debentures, notes, |
14 | | special certificates
or other evidence of indebtedness issued |
15 | | by the municipality to carry out
a redevelopment project or to |
16 | | refund outstanding obligations.
|
17 | | (m) "Payment in lieu of taxes" means those estimated tax |
18 | | revenues from
real property in a redevelopment project area |
19 | | derived from real property that
has been acquired by a |
20 | | municipality
which according to the redevelopment project or |
21 | | plan is to be used for a
private use which taxing districts |
22 | | would have received had a municipality
not acquired the real |
23 | | property and adopted tax increment allocation
financing and |
24 | | which would result from
levies made after the time of the |
25 | | adoption of tax increment allocation
financing to the time the |
26 | | current equalized value of real property in the
redevelopment |
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1 | | project area exceeds the total initial equalized value of
real |
2 | | property in said area.
|
3 | | (n) "Redevelopment plan" means the comprehensive program |
4 | | of
the municipality for development or redevelopment intended |
5 | | by the payment of
redevelopment project costs to reduce or |
6 | | eliminate those conditions the
existence of which qualified |
7 | | the redevelopment project area as
a "blighted
area" or |
8 | | "conservation area" or combination thereof or "industrial park
|
9 | | conservation area," and thereby to enhance the tax bases of |
10 | | the taxing
districts which extend into the redevelopment |
11 | | project area, provided that, with respect to redevelopment |
12 | | project areas described in subsections (p-1) and (p-2), |
13 | | "redevelopment plan" means the comprehensive program of the |
14 | | affected municipality for the development of qualifying |
15 | | transit facilities.
On and after November 1, 1999 (the |
16 | | effective date of
Public Act 91-478), no
redevelopment plan |
17 | | may be approved or amended that includes the development of
|
18 | | vacant land (i) with a golf course and related clubhouse and |
19 | | other facilities
or (ii) designated by federal, State, county, |
20 | | or municipal government as public
land for outdoor |
21 | | recreational activities or for nature preserves and used for
|
22 | | that purpose within 5
years prior to the adoption of the |
23 | | redevelopment plan. For the purpose of
this subsection, |
24 | | "recreational activities" is limited to mean camping and
|
25 | | hunting.
Each
redevelopment plan shall set forth in writing |
26 | | the program to be undertaken
to accomplish the objectives and |
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1 | | shall include but not be limited to:
|
2 | | (A) an itemized list of estimated redevelopment |
3 | | project costs;
|
4 | | (B) evidence indicating that the redevelopment project |
5 | | area on the whole
has not been subject to growth and |
6 | | development through investment by private
enterprise, |
7 | | provided that such evidence shall not be required for any |
8 | | redevelopment project area located within a transit |
9 | | facility improvement area established pursuant to Section |
10 | | 11-74.4-3.3;
|
11 | | (C) an assessment of any financial impact of the |
12 | | redevelopment project
area on or any increased demand for |
13 | | services from any taxing district affected
by the plan and |
14 | | any program to address such financial impact or increased
|
15 | | demand;
|
16 | | (D) the sources of funds to pay costs;
|
17 | | (E) the nature and term of the obligations to be |
18 | | issued;
|
19 | | (F) the most recent equalized assessed valuation of |
20 | | the redevelopment
project area;
|
21 | | (G) an estimate as to the equalized assessed valuation |
22 | | after redevelopment
and the general land uses to apply in |
23 | | the redevelopment project area;
|
24 | | (H) a commitment to fair employment practices and an |
25 | | affirmative action
plan;
|
26 | | (I) if it concerns an industrial park
conservation |
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1 | | area, the plan shall
also include a general description
of |
2 | | any proposed developer, user and tenant of any property, a |
3 | | description
of the type, structure and general character |
4 | | of the facilities to be
developed, a description of the |
5 | | type, class and number of new employees to
be employed in |
6 | | the operation of the facilities to be developed; and
|
7 | | (J) if property is to be annexed to the municipality, |
8 | | the plan shall
include the terms of the annexation |
9 | | agreement.
|
10 | | The provisions of items (B) and (C) of this subsection (n) |
11 | | shall not apply to
a municipality that before March 14, 1994 |
12 | | (the effective date of Public Act
88-537) had fixed, either by |
13 | | its
corporate authorities or by a commission designated under |
14 | | subsection (k) of
Section 11-74.4-4, a time and place for a |
15 | | public hearing as required by
subsection (a) of Section |
16 | | 11-74.4-5.
No redevelopment plan shall be adopted unless a
|
17 | | municipality complies with all of the following requirements:
|
18 | | (1) The municipality finds that the redevelopment |
19 | | project area on
the whole has not been subject to growth |
20 | | and development through investment
by private enterprise |
21 | | and would not reasonably be anticipated to be
developed |
22 | | without the adoption of the redevelopment plan, provided, |
23 | | however, that such a finding shall not be required with |
24 | | respect to any redevelopment project area located within a |
25 | | transit facility improvement area established pursuant to |
26 | | Section 11-74.4-3.3.
|
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1 | | (2) The municipality finds that the redevelopment plan |
2 | | and project conform
to the comprehensive plan for the |
3 | | development of the municipality as a whole,
or, for |
4 | | municipalities with a population of 100,000 or more, |
5 | | regardless of when
the redevelopment plan and project was |
6 | | adopted, the redevelopment plan and
project either: (i) |
7 | | conforms to the strategic economic development or
|
8 | | redevelopment plan issued by the designated planning |
9 | | authority of the
municipality, or (ii) includes land uses |
10 | | that have been approved by the
planning commission of the |
11 | | municipality.
|
12 | | (3) The redevelopment plan establishes the estimated |
13 | | dates of completion
of the redevelopment project and |
14 | | retirement of obligations issued to finance
redevelopment |
15 | | project costs. Those dates may not be later than the dates |
16 | | set forth under Section 11-74.4-3.5.
|
17 | | A municipality may by municipal ordinance amend an |
18 | | existing redevelopment
plan to conform to this paragraph |
19 | | (3) as amended by Public Act 91-478, which
municipal |
20 | | ordinance may be adopted without
further hearing or
notice |
21 | | and without complying with the procedures provided in this |
22 | | Act
pertaining to an amendment to or the initial approval |
23 | | of a redevelopment plan
and project and
designation of a |
24 | | redevelopment project area.
|
25 | | (3.5) The municipality finds, in the case of an |
26 | | industrial
park
conservation area, also that the |
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1 | | municipality is a labor surplus municipality
and that the |
2 | | implementation of the redevelopment plan will reduce |
3 | | unemployment,
create new jobs and by the provision of new |
4 | | facilities enhance the tax base of
the taxing districts |
5 | | that extend into the redevelopment project area.
|
6 | | (4) If any incremental revenues are being utilized |
7 | | under
Section 8(a)(1)
or 8(a)(2) of this Act in |
8 | | redevelopment project areas approved by ordinance
after |
9 | | January 1, 1986, the municipality finds: (a) that the |
10 | | redevelopment
project area would not reasonably be |
11 | | developed without the use of such
incremental revenues, |
12 | | and (b) that such incremental revenues will be
exclusively |
13 | | utilized for the development of the redevelopment project |
14 | | area.
|
15 | | (5) If: (a)
the redevelopment plan will not result in
|
16 | | displacement of
residents from 10 or more inhabited |
17 | | residential units, and the
municipality certifies in the |
18 | | plan that
such displacement will not result from the plan; |
19 | | or (b) the redevelopment plan is for a redevelopment |
20 | | project area or a qualifying transit facility located |
21 | | within a transit facility improvement area established |
22 | | pursuant to Section 11-74.4-3.3, and the applicable |
23 | | project is subject to the process for evaluation of |
24 | | environmental effects under the National Environmental |
25 | | Policy Act of 1969, 42 U.S.C. 4321 et seq., then a housing |
26 | | impact study
need not be performed.
If, however, the |
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1 | | redevelopment plan would result in the displacement
of
|
2 | | residents from 10 or more inhabited
residential units,
or |
3 | | if the redevelopment project area contains 75 or more |
4 | | inhabited residential
units and no
certification is made,
|
5 | | then the municipality shall prepare, as part of the |
6 | | separate
feasibility report required by subsection (a) of |
7 | | Section 11-74.4-5, a housing
impact study.
|
8 | | Part I of the housing impact study shall include (i) |
9 | | data as to whether
the residential units are single family |
10 | | or multi-family units,
(ii) the number and type of rooms |
11 | | within the units, if that information is
available, (iii) |
12 | | whether
the
units are inhabited or uninhabited, as |
13 | | determined not less than 45
days before the date that the |
14 | | ordinance or resolution required
by subsection (a) of |
15 | | Section 11-74.4-5 is passed, and (iv) data as to the
|
16 | | racial and ethnic composition of the residents in the |
17 | | inhabited residential
units. The data requirement as to |
18 | | the racial and ethnic composition of the
residents in the |
19 | | inhabited residential units shall be deemed to be fully
|
20 | | satisfied by data from the most recent federal census.
|
21 | | Part II of the housing impact study shall identify the |
22 | | inhabited
residential units in the proposed redevelopment |
23 | | project area that are to be or
may be removed. If inhabited |
24 | | residential units are to be removed, then the
housing |
25 | | impact study shall identify (i) the number and location of |
26 | | those units
that will or may be removed, (ii) the |
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1 | | municipality's plans for relocation
assistance for those |
2 | | residents in the proposed redevelopment project area
whose |
3 | | residences are to be removed, (iii) the availability of |
4 | | replacement
housing for those residents whose residences |
5 | | are to be removed, and shall
identify the type, location, |
6 | | and cost of the housing, and (iv) the type and
extent
of |
7 | | relocation assistance to be provided.
|
8 | | (6) On and after November 1, 1999, the
housing impact |
9 | | study required by paragraph (5) shall be
incorporated in |
10 | | the redevelopment plan for the
redevelopment project area.
|
11 | | (7) On and after November 1, 1999, no
redevelopment |
12 | | plan shall be adopted, nor an
existing plan amended, nor |
13 | | shall residential housing that is
occupied by households |
14 | | of low-income and very low-income
persons in currently |
15 | | existing redevelopment project
areas be removed after |
16 | | November 1, 1999 unless the redevelopment plan provides, |
17 | | with
respect to inhabited housing units that are to be |
18 | | removed for
households of low-income and very low-income |
19 | | persons, affordable
housing and relocation assistance not |
20 | | less than that which would
be provided under the federal |
21 | | Uniform Relocation Assistance and
Real Property |
22 | | Acquisition Policies Act of 1970 and the regulations
under |
23 | | that Act, including the eligibility criteria.
Affordable |
24 | | housing may be either existing or newly constructed
|
25 | | housing. For purposes of this paragraph (7), "low-income
|
26 | | households", "very low-income households", and "affordable
|
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1 | | housing" have the meanings set forth in the Illinois |
2 | | Affordable
Housing Act.
The municipality shall make a good |
3 | | faith effort to ensure that this affordable
housing is |
4 | | located in or near the redevelopment project area within |
5 | | the
municipality.
|
6 | | (8) On and after November 1, 1999, if,
after the |
7 | | adoption of the redevelopment plan for the
redevelopment |
8 | | project area, any municipality desires to amend its
|
9 | | redevelopment plan
to remove more inhabited residential |
10 | | units than
specified in its original redevelopment plan, |
11 | | that change shall be made in
accordance with the |
12 | | procedures in subsection (c) of Section 11-74.4-5.
|
13 | | (9) For redevelopment project areas designated prior |
14 | | to November 1,
1999, the redevelopment plan may be amended |
15 | | without further joint review board
meeting or hearing, |
16 | | provided that the municipality shall give notice of any
|
17 | | such changes by mail to each affected taxing district and |
18 | | registrant on the
interested party registry, to authorize |
19 | | the municipality to expend tax
increment revenues for |
20 | | redevelopment project costs defined by paragraphs (5)
and |
21 | | (7.5), subparagraphs (E) and (F) of paragraph (11), and |
22 | | paragraph (11.5) of
subsection (q) of Section 11-74.4-3, |
23 | | so long as the changes do not increase the
total estimated |
24 | | redevelopment project costs set out in the redevelopment |
25 | | plan
by more than 5% after adjustment for inflation from |
26 | | the date the plan was
adopted.
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1 | | (o) "Redevelopment project" means any public and private |
2 | | development project
in furtherance of the objectives of a |
3 | | redevelopment plan.
On and after November 1, 1999 (the |
4 | | effective date of Public Act 91-478), no
redevelopment plan |
5 | | may be approved or amended that includes the development
of |
6 | | vacant land (i) with a golf course and related clubhouse and |
7 | | other
facilities
or (ii) designated by federal, State, county, |
8 | | or municipal government as public
land for outdoor |
9 | | recreational activities or for nature preserves and used for
|
10 | | that purpose within 5
years prior to the adoption of the |
11 | | redevelopment plan. For the purpose of
this subsection, |
12 | | "recreational activities" is limited to mean camping and
|
13 | | hunting.
|
14 | | (p) "Redevelopment project area" means an area designated |
15 | | by
the
municipality, which is not less in the aggregate than 1 |
16 | | 1/2 acres and in
respect to which the municipality has made a |
17 | | finding that there exist
conditions which cause the area to be |
18 | | classified as an industrial park
conservation area or a |
19 | | blighted area or a conservation area, or a
combination of both |
20 | | blighted areas and conservation areas.
|
21 | | (p-1) Notwithstanding any provision of this Act to the |
22 | | contrary, on and after August 25, 2009 (the effective date of |
23 | | Public Act 96-680), a redevelopment project area may include |
24 | | areas within a one-half mile radius of an existing or proposed |
25 | | Regional Transportation Authority Suburban Transit Access |
26 | | Route (STAR Line) station without a finding that the area is |
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1 | | classified as an industrial park conservation area, a blighted |
2 | | area, a conservation area, or a combination thereof, but only |
3 | | if the municipality receives unanimous consent from the joint |
4 | | review board created to review the proposed redevelopment |
5 | | project area. |
6 | | (p-2) Notwithstanding any provision of this Act to the |
7 | | contrary, on and after the effective date of this amendatory |
8 | | Act of the 99th General Assembly, a redevelopment project area |
9 | | may include areas within a transit facility improvement area |
10 | | that has been established pursuant to Section 11-74.4-3.3 |
11 | | without a finding that the area is classified as an industrial |
12 | | park conservation area, a blighted area, a conservation area, |
13 | | or any combination thereof. |
14 | | (q) "Redevelopment project costs", except for |
15 | | redevelopment project areas created pursuant to subsection |
16 | | (p-1) or (p-2), means and includes the sum total of all
|
17 | | reasonable or necessary costs incurred or estimated to be |
18 | | incurred, and
any such costs incidental to a redevelopment |
19 | | plan and a redevelopment
project. Such costs include, without |
20 | | limitation, the following:
|
21 | | (1) Costs of studies, surveys, development of plans, |
22 | | and
specifications, implementation and administration of |
23 | | the redevelopment
plan including but not limited to staff |
24 | | and professional service costs for
architectural, |
25 | | engineering, legal, financial, planning or other
services, |
26 | | provided however that no charges for professional services |
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1 | | may be
based on a percentage of the tax increment |
2 | | collected; except that on and
after November 1, 1999 (the |
3 | | effective date of Public Act 91-478), no
contracts for
|
4 | | professional services, excluding architectural and |
5 | | engineering services, may be
entered into if the terms of |
6 | | the contract extend
beyond a period of 3 years. In |
7 | | addition, "redevelopment project costs" shall
not include |
8 | | lobbying expenses.
After consultation with the |
9 | | municipality, each tax
increment consultant or advisor to |
10 | | a municipality that plans to designate or
has designated a |
11 | | redevelopment project area shall inform the municipality |
12 | | in
writing of any contracts that the consultant or advisor |
13 | | has entered into with
entities or individuals that have |
14 | | received, or are receiving, payments financed
by tax
|
15 | | increment revenues produced by the redevelopment project |
16 | | area with respect to
which the consultant or advisor has |
17 | | performed, or will be performing, service
for the
|
18 | | municipality. This requirement shall be satisfied by the |
19 | | consultant or advisor
before the commencement of services |
20 | | for the municipality and thereafter
whenever any other |
21 | | contracts with those individuals or entities are executed |
22 | | by
the consultant or advisor;
|
23 | | (1.5) After July 1, 1999, annual administrative costs |
24 | | shall
not include general overhead or
administrative costs |
25 | | of the municipality
that would still have been incurred by |
26 | | the municipality if the municipality had
not
designated a |
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1 | | redevelopment project area or approved a redevelopment |
2 | | plan;
|
3 | | (1.6) The cost of
marketing sites within the |
4 | | redevelopment project area to prospective
businesses, |
5 | | developers, and investors;
|
6 | | (2) Property assembly costs, including but not limited |
7 | | to acquisition
of land and other property, real or |
8 | | personal, or rights or interests therein,
demolition of |
9 | | buildings, site preparation, site improvements that serve |
10 | | as an
engineered barrier addressing ground level or below |
11 | | ground environmental
contamination, including, but not |
12 | | limited to parking lots and other concrete
or asphalt |
13 | | barriers, and the clearing and grading of
land;
|
14 | | (3) Costs of rehabilitation, reconstruction or repair |
15 | | or remodeling of
existing public or private buildings, |
16 | | fixtures, and leasehold
improvements; and the cost of |
17 | | replacing
an existing public building if pursuant to the |
18 | | implementation of a
redevelopment project the existing |
19 | | public building is to be demolished to use
the site for |
20 | | private investment or
devoted to a different use requiring |
21 | | private investment; including any direct or indirect costs |
22 | | relating to Green Globes or LEED certified construction |
23 | | elements or construction elements with an equivalent |
24 | | certification;
|
25 | | (4) Costs of the construction of public works or |
26 | | improvements, including any direct or indirect costs |
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1 | | relating to Green Globes or LEED certified construction |
2 | | elements or construction elements with an equivalent |
3 | | certification, except
that on and after November 1, 1999,
|
4 | | redevelopment
project costs shall not include the cost of |
5 | | constructing a
new municipal public building principally |
6 | | used to provide
offices, storage space, or conference |
7 | | facilities or vehicle storage,
maintenance, or repair for |
8 | | administrative,
public safety, or public works personnel
|
9 | | and that is not intended to replace an existing
public |
10 | | building as provided under paragraph (3) of subsection (q) |
11 | | of Section
11-74.4-3
unless either (i) the construction of |
12 | | the new municipal building
implements a redevelopment |
13 | | project that was included in a redevelopment plan
that was |
14 | | adopted by the municipality prior to November 1, 1999, |
15 | | (ii) the
municipality makes a reasonable
determination in |
16 | | the redevelopment plan, supported by information that |
17 | | provides
the basis for that determination, that the new |
18 | | municipal building is required
to meet an increase in the |
19 | | need for public safety purposes anticipated to
result from |
20 | | the implementation of the redevelopment plan, or (iii) the |
21 | | new municipal public building is for the storage, |
22 | | maintenance, or repair of transit vehicles and is located |
23 | | in a transit facility improvement area that has been |
24 | | established pursuant to Section 11-74.4-3.3;
|
25 | | (5) Costs of job training and retraining projects, |
26 | | including the cost of
"welfare to work" programs |
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| | SB1797 | - 168 - | LRB103 03433 AMQ 48439 b |
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1 | | implemented by businesses located within the
redevelopment |
2 | | project area;
|
3 | | (6) Financing costs, including but not limited to all |
4 | | necessary and
incidental expenses related to the issuance |
5 | | of obligations and which may
include payment of interest |
6 | | on any obligations issued hereunder including
interest |
7 | | accruing
during the estimated period of construction of |
8 | | any redevelopment project
for which such obligations are |
9 | | issued and for not exceeding 36 months
thereafter and |
10 | | including reasonable reserves related thereto;
|
11 | | (7) To the extent the municipality by written |
12 | | agreement accepts and
approves
the same, all or a portion |
13 | | of a taxing district's capital costs resulting
from the |
14 | | redevelopment project necessarily incurred or to be |
15 | | incurred within a
taxing district in
furtherance of the |
16 | | objectives of the redevelopment plan and project;
|
17 | | (7.5) For redevelopment project areas designated (or |
18 | | redevelopment
project areas amended to add or increase the |
19 | | number of
tax-increment-financing assisted housing units) |
20 | | on or after November 1,
1999,
an elementary, secondary,
or |
21 | | unit school
district's increased costs attributable to |
22 | | assisted housing units located
within the
redevelopment |
23 | | project area for which the developer or redeveloper |
24 | | receives
financial assistance through an agreement with |
25 | | the municipality or because the
municipality incurs the |
26 | | cost of necessary infrastructure improvements within
the |
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1 | | boundaries of the assisted housing sites necessary for the |
2 | | completion of
that housing
as authorized by this Act, and |
3 | | which costs shall be paid by the municipality
from the |
4 | | Special Tax Allocation Fund when the tax increment revenue |
5 | | is received
as a result of the assisted housing units and |
6 | | shall be calculated annually as
follows:
|
7 | | (A) for foundation districts, excluding any school |
8 | | district in a
municipality with a population in excess |
9 | | of 1,000,000, by multiplying the
district's increase |
10 | | in attendance resulting from the net increase in new
|
11 | | students enrolled in that school district who reside |
12 | | in housing units within
the redevelopment project area |
13 | | that have received financial assistance through
an |
14 | | agreement with the municipality or because the |
15 | | municipality incurs the cost
of necessary |
16 | | infrastructure improvements within the boundaries of |
17 | | the housing
sites necessary for the completion of that |
18 | | housing as authorized by this Act
since the |
19 | | designation of the redevelopment project area by the |
20 | | most recently
available per capita tuition cost as |
21 | | defined in Section 10-20.12a of the School
Code less |
22 | | any increase in general State aid as defined in |
23 | | Section 18-8.05 of
the School Code or evidence-based |
24 | | funding as defined in Section 18-8.15 of the School |
25 | | Code attributable to these added new students subject |
26 | | to the
following annual limitations:
|
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1 | | (i) for unit school districts with a district |
2 | | average 1995-96 Per
Capita
Tuition Charge of less |
3 | | than $5,900, no more than 25% of the total amount |
4 | | of
property tax increment revenue produced by |
5 | | those housing units that have
received tax |
6 | | increment finance assistance under this Act;
|
7 | | (ii) for elementary school districts with a |
8 | | district average 1995-96
Per
Capita Tuition Charge |
9 | | of less than $5,900, no more than 17% of the total |
10 | | amount
of property tax increment revenue produced |
11 | | by those housing units that have
received tax |
12 | | increment finance assistance under this Act; and
|
13 | | (iii) for secondary school districts with a |
14 | | district average 1995-96
Per
Capita Tuition Charge |
15 | | of less than $5,900, no more than 8% of the total |
16 | | amount
of property tax increment revenue produced |
17 | | by those housing units that have
received tax |
18 | | increment finance assistance under this Act.
|
19 | | (B) For alternate method districts, flat grant |
20 | | districts, and foundation
districts with a district |
21 | | average 1995-96 Per Capita Tuition Charge equal to or
|
22 | | more than $5,900, excluding any school district with a |
23 | | population in excess of
1,000,000, by multiplying the |
24 | | district's increase in attendance
resulting
from the |
25 | | net increase in new students enrolled in that school |
26 | | district who
reside in
housing units within the |
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1 | | redevelopment project area that have received
|
2 | | financial assistance through an agreement with the |
3 | | municipality or because the
municipality incurs the |
4 | | cost of necessary infrastructure improvements within
|
5 | | the boundaries of the housing sites necessary for the |
6 | | completion of that
housing as authorized by this Act |
7 | | since the designation of the redevelopment
project |
8 | | area by the most recently available per capita tuition |
9 | | cost as defined
in Section 10-20.12a of the School |
10 | | Code less any increase in general state aid
as defined |
11 | | in Section 18-8.05 of the School Code or |
12 | | evidence-based funding as defined in Section 18-8.15 |
13 | | of the School Code attributable to these added
new |
14 | | students subject to the following annual limitations:
|
15 | | (i) for unit school districts, no more than |
16 | | 40% of the total amount of
property tax increment |
17 | | revenue produced by those housing units that have
|
18 | | received tax increment finance assistance under |
19 | | this Act;
|
20 | | (ii) for elementary school districts, no more |
21 | | than 27% of the total
amount
of property tax |
22 | | increment revenue produced by those housing units |
23 | | that have
received tax increment finance |
24 | | assistance under this Act; and
|
25 | | (iii) for secondary school districts, no more |
26 | | than 13% of the total
amount
of property tax |
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1 | | increment revenue produced by those housing units |
2 | | that have
received tax increment finance |
3 | | assistance under this Act.
|
4 | | (C) For any school district in a municipality with |
5 | | a population in
excess of
1,000,000, the following |
6 | | restrictions shall apply to the
reimbursement of |
7 | | increased costs under this paragraph (7.5):
|
8 | | (i) no increased costs shall be reimbursed |
9 | | unless the school district
certifies that each of |
10 | | the schools affected by the assisted housing |
11 | | project
is at or over its student capacity;
|
12 | | (ii) the amount reimbursable shall be reduced |
13 | | by the value of any
land
donated to the school |
14 | | district by the municipality or developer, and by |
15 | | the
value of any physical improvements made to the |
16 | | schools by the
municipality or developer; and
|
17 | | (iii) the amount reimbursed may not affect |
18 | | amounts otherwise obligated
by
the terms of any |
19 | | bonds, notes, or other funding instruments, or the |
20 | | terms of
any redevelopment agreement.
|
21 | | Any school district seeking payment under this |
22 | | paragraph (7.5) shall,
after July 1 and before |
23 | | September 30 of each year,
provide the municipality |
24 | | with reasonable evidence to support its claim for
|
25 | | reimbursement before the municipality shall be |
26 | | required to approve or make
the payment to the school |
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1 | | district. If the school district fails to provide
the |
2 | | information during this period in any year, it shall |
3 | | forfeit any claim to
reimbursement for that year. |
4 | | School districts may adopt a resolution
waiving the |
5 | | right to all or a portion of the reimbursement |
6 | | otherwise required
by this paragraph
(7.5). By |
7 | | acceptance of this reimbursement the school
district |
8 | | waives the right to directly or indirectly set aside, |
9 | | modify, or
contest in any manner the establishment of |
10 | | the redevelopment project area or
projects;
|
11 | | (7.7) For redevelopment project areas designated (or |
12 | | redevelopment
project areas amended to add or increase the |
13 | | number of
tax-increment-financing assisted housing units) |
14 | | on or after
January 1, 2005 (the effective date of Public |
15 | | Act 93-961),
a public library
district's increased costs |
16 | | attributable to assisted housing units located
within the
|
17 | | redevelopment project area for which the developer or |
18 | | redeveloper receives
financial assistance through an |
19 | | agreement with the municipality or because the
|
20 | | municipality incurs the cost of necessary infrastructure |
21 | | improvements within
the boundaries of the assisted housing |
22 | | sites necessary for the completion of
that housing
as |
23 | | authorized by this Act shall be paid to the library |
24 | | district by the
municipality
from the Special Tax |
25 | | Allocation Fund when the tax increment revenue is received
|
26 | | as a result of the assisted housing units. This paragraph |
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1 | | (7.7) applies only if (i) the library district is located |
2 | | in a county that is subject to the Property Tax Extension |
3 | | Limitation Law or (ii) the library district is not located |
4 | | in a county that is subject to the Property Tax Extension |
5 | | Limitation Law but the district is prohibited by any other |
6 | | law from increasing its tax levy rate without a prior |
7 | | voter referendum.
|
8 | | The amount paid to a library district under this |
9 | | paragraph (7.7) shall be
calculated
by multiplying (i) the |
10 | | net increase in the number of persons eligible to obtain
a
|
11 | | library card
in that district who reside in housing units |
12 | | within
the redevelopment project area that have received |
13 | | financial assistance through
an agreement with the |
14 | | municipality or because the municipality incurs the cost
|
15 | | of necessary infrastructure improvements within the |
16 | | boundaries of the housing
sites necessary for the |
17 | | completion of that housing as authorized by this Act
since |
18 | | the designation of the redevelopment project area by (ii)
|
19 | | the per-patron cost of providing library services so long |
20 | | as it does not exceed $120.
The per-patron cost shall be |
21 | | the Total Operating Expenditures Per Capita for the |
22 | | library in the previous fiscal year.
The municipality may |
23 | | deduct from the amount that it must pay to a library |
24 | | district under this paragraph any amount that it has |
25 | | voluntarily paid to the library district from the tax |
26 | | increment revenue. The amount paid to a library district |
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1 | | under this paragraph (7.7) shall be no
more
than 2% of the |
2 | | amount produced by the assisted housing units and |
3 | | deposited into the Special Tax Allocation Fund.
|
4 | | A library district is not eligible for any payment |
5 | | under this paragraph
(7.7)
unless the library district has |
6 | | experienced an increase in the
number of patrons from the |
7 | | municipality that created the tax-increment-financing |
8 | | district since the designation of the redevelopment |
9 | | project area.
|
10 | | Any library district seeking payment under this |
11 | | paragraph (7.7) shall,
after July 1 and before September |
12 | | 30 of each year,
provide the municipality with convincing |
13 | | evidence to support its claim for
reimbursement before the |
14 | | municipality shall be required to approve or make
the |
15 | | payment to the library district. If the library district |
16 | | fails to provide
the information during this period in any |
17 | | year, it shall forfeit any claim to
reimbursement for that |
18 | | year. Library districts may adopt a resolution
waiving the |
19 | | right to all or a portion of the reimbursement otherwise |
20 | | required by this paragraph (7.7). By acceptance of such |
21 | | reimbursement, the library district shall forfeit any |
22 | | right to directly or indirectly set aside, modify, or |
23 | | contest in any manner whatsoever the establishment of the |
24 | | redevelopment project area or
projects; |
25 | | (8) Relocation costs to the extent that a municipality |
26 | | determines that
relocation costs shall be paid or is |
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1 | | required to make payment of relocation
costs by federal or |
2 | | State law or in order to satisfy subparagraph (7) of
|
3 | | subsection (n);
|
4 | | (9) Payment in lieu of taxes;
|
5 | | (10) Costs of job training, retraining, advanced |
6 | | vocational education
or career
education, including but |
7 | | not limited to courses in occupational,
semi-technical or |
8 | | technical fields leading directly to employment, incurred
|
9 | | by one or more taxing districts, provided that such costs |
10 | | (i) are related
to the establishment and maintenance of |
11 | | additional job training, advanced
vocational education or |
12 | | career education programs for persons employed or
to be |
13 | | employed by employers located in a redevelopment project |
14 | | area; and
(ii) when incurred by a taxing district or |
15 | | taxing districts other than the
municipality, are set |
16 | | forth in a written agreement by or among the
municipality |
17 | | and the taxing district or taxing districts, which |
18 | | agreement
describes the program to be undertaken, |
19 | | including but not limited to the
number of employees to be |
20 | | trained, a description of the training and
services to be |
21 | | provided, the number and type of positions available or to
|
22 | | be available, itemized costs of the program and sources of |
23 | | funds to pay for the
same, and the term of the agreement. |
24 | | Such costs include, specifically, the
payment by community |
25 | | college districts of costs pursuant to Sections 3-37,
|
26 | | 3-38, 3-40 and 3-40.1 of the Public Community College Act |
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1 | | and by school
districts of costs pursuant to Sections |
2 | | 10-22.20a and 10-23.3a of the School
Code;
|
3 | | (11) Interest cost incurred by a redeveloper related |
4 | | to the
construction, renovation or rehabilitation of a |
5 | | redevelopment project
provided that:
|
6 | | (A) such costs are to be paid directly from the |
7 | | special tax
allocation fund established pursuant to |
8 | | this Act;
|
9 | | (B) such payments in any one year may not exceed |
10 | | 30% of the annual
interest costs incurred by the |
11 | | redeveloper with regard to the redevelopment
project |
12 | | during that year;
|
13 | | (C) if there are not sufficient funds available in |
14 | | the special tax
allocation fund to make the payment |
15 | | pursuant to this paragraph (11) then
the amounts so |
16 | | due shall accrue and be payable when sufficient funds |
17 | | are
available in the special tax allocation fund;
|
18 | | (D) the total of such interest payments paid |
19 | | pursuant to this Act
may not exceed 30% of the total |
20 | | (i) cost paid or incurred by the
redeveloper for the |
21 | | redevelopment project plus (ii) redevelopment project
|
22 | | costs excluding any property assembly costs and any |
23 | | relocation costs
incurred by a municipality pursuant |
24 | | to this Act;
|
25 | | (E) the cost limits set forth in subparagraphs (B) |
26 | | and (D) of
paragraph (11) shall be modified for the |
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1 | | financing of rehabilitated or
new housing units for |
2 | | low-income households and very low-income households, |
3 | | as
defined in
Section 3 of the Illinois Affordable |
4 | | Housing Act. The percentage of
75% shall be |
5 | | substituted for 30% in subparagraphs (B) and (D) of
|
6 | | paragraph (11); and
|
7 | | (F) instead of the eligible costs provided by |
8 | | subparagraphs (B) and (D)
of
paragraph (11), as |
9 | | modified by this subparagraph, and notwithstanding
any |
10 | | other provisions of this Act to the contrary, the |
11 | | municipality may
pay from tax increment revenues up to |
12 | | 50% of the cost of construction
of new housing units to |
13 | | be occupied by low-income households and very
|
14 | | low-income
households as defined in Section 3 of the |
15 | | Illinois Affordable Housing
Act. The cost of |
16 | | construction of those units may be derived from the
|
17 | | proceeds of bonds issued by the municipality under |
18 | | this Act or
other constitutional or statutory |
19 | | authority or from other sources of
municipal revenue |
20 | | that may be reimbursed from tax increment
revenues or |
21 | | the proceeds of bonds issued to finance the |
22 | | construction
of that housing.
|
23 | | The eligible costs provided under this |
24 | | subparagraph (F) of paragraph (11)
shall
be
an |
25 | | eligible cost for the construction, renovation, and |
26 | | rehabilitation of all
low and very low-income housing |
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1 | | units, as defined in Section 3 of the Illinois
|
2 | | Affordable Housing Act, within the redevelopment |
3 | | project area. If the low and
very
low-income units are |
4 | | part of a residential redevelopment project that |
5 | | includes
units not affordable to low and very |
6 | | low-income households, only the low and
very |
7 | | low-income units shall be eligible for benefits under |
8 | | this subparagraph (F) of
paragraph (11).
The standards |
9 | | for maintaining the occupancy
by low-income households |
10 | | and very low-income households,
as
defined in Section |
11 | | 3 of the Illinois Affordable Housing Act,
of those |
12 | | units constructed with eligible costs made available |
13 | | under the
provisions of
this subparagraph (F) of |
14 | | paragraph (11)
shall be
established by guidelines |
15 | | adopted by the municipality. The
responsibility for |
16 | | annually documenting the initial occupancy of
the |
17 | | units by low-income households and very low-income |
18 | | households, as defined
in
Section 3
of the Illinois |
19 | | Affordable Housing Act, shall be that of the then |
20 | | current
owner of the property.
For ownership units, |
21 | | the guidelines will provide, at a minimum, for a
|
22 | | reasonable recapture of funds, or other appropriate |
23 | | methods designed to
preserve the original |
24 | | affordability of the ownership units. For rental |
25 | | units,
the guidelines will provide, at a minimum, for |
26 | | the affordability of rent to low
and very low-income |
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1 | | households. As units become available, they shall be
|
2 | | rented to income-eligible tenants.
The municipality |
3 | | may modify these
guidelines from time to time; the |
4 | | guidelines, however, shall be in effect
for as long as |
5 | | tax increment revenue is being used to pay for costs
|
6 | | associated with the units or for the retirement of |
7 | | bonds issued to finance
the units or for the life of |
8 | | the redevelopment project area, whichever is
later;
|
9 | | (11.5) If the redevelopment project area is located |
10 | | within a municipality
with a population of more than |
11 | | 100,000, the cost of child day care services for
children |
12 | | of employees from
low-income
families working for |
13 | | businesses located within the redevelopment project area
|
14 | | and all or a
portion of the cost of operation of child day |
15 | | care centers established by
redevelopment project
area |
16 | | businesses to serve employees from low-income families |
17 | | working in
businesses
located in the redevelopment project |
18 | | area. For the purposes of this paragraph,
"low-income |
19 | | families" means families whose annual income does not |
20 | | exceed 80% of
the
municipal, county, or regional median |
21 | | income, adjusted for family size, as the
annual
income and |
22 | | municipal, county, or regional median income are |
23 | | determined from
time to
time by the United States |
24 | | Department of Housing and Urban Development.
|
25 | | (12) Costs relating to the development of urban |
26 | | agricultural areas under Division 15.2 of the Illinois |
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1 | | Municipal Code. |
2 | | Unless explicitly stated herein the cost of construction |
3 | | of new
privately-owned buildings shall not be an eligible |
4 | | redevelopment project cost.
|
5 | | After November 1, 1999 (the effective date of Public Act
|
6 | | 91-478), none of
the
redevelopment project costs enumerated in |
7 | | this subsection shall be eligible
redevelopment project costs |
8 | | if those costs would provide direct financial
support to a
|
9 | | retail entity initiating operations in the
redevelopment |
10 | | project area while
terminating operations at another Illinois |
11 | | location within 10 miles of the
redevelopment project area but |
12 | | outside the boundaries of the redevelopment
project area |
13 | | municipality. For
purposes of this paragraph, termination |
14 | | means a
closing of a retail operation that is directly related |
15 | | to the opening of the
same operation or like retail entity |
16 | | owned or operated by more than 50% of the
original ownership in |
17 | | a redevelopment project area, but
it does not mean
closing an |
18 | | operation for reasons beyond the control of the
retail entity, |
19 | | as
documented by the retail entity, subject to a reasonable |
20 | | finding by the
municipality that the current location |
21 | | contained inadequate space, had become
economically obsolete, |
22 | | or was no longer a viable location for the retailer or
|
23 | | serviceman.
|
24 | | No cost shall be a redevelopment project cost in a |
25 | | redevelopment project area if used to demolish, remove, or |
26 | | substantially modify a historic resource, after August 26, |
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1 | | 2008 (the effective date of Public Act 95-934), unless no |
2 | | prudent and feasible alternative exists. "Historic resource" |
3 | | for the purpose of this paragraph means (i) a place or |
4 | | structure that is included or eligible for inclusion on the |
5 | | National Register of Historic Places or (ii) a contributing |
6 | | structure in a district on the National Register of Historic |
7 | | Places. This paragraph does not apply to a place or structure |
8 | | for which demolition, removal, or modification is subject to |
9 | | review by the preservation agency of a Certified Local |
10 | | Government designated as such by the National Park Service of |
11 | | the United States Department of the Interior. |
12 | | If a special service area has been established pursuant to
|
13 | | the Special Service Area Tax Act or Special Service Area Tax |
14 | | Law, then any
tax increment revenues derived
from the tax |
15 | | imposed pursuant to the Special Service Area Tax Act or |
16 | | Special
Service Area Tax Law may
be used within the |
17 | | redevelopment project area for the purposes permitted by
that |
18 | | Act or Law as well as the purposes permitted by this Act.
|
19 | | (q-1) For redevelopment project areas created pursuant to |
20 | | subsection (p-1), redevelopment project costs are limited to |
21 | | those costs in paragraph (q) that are related to the existing |
22 | | or proposed Regional Transportation Authority Suburban Transit |
23 | | Access Route (STAR Line) station. |
24 | | (q-2) For a transit facility improvement area established |
25 | | prior to, on, or after the effective date of this amendatory |
26 | | Act of the 102nd General Assembly: (i) "redevelopment project |
|
| | SB1797 | - 183 - | LRB103 03433 AMQ 48439 b |
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1 | | costs" means those costs described in subsection (q) that are |
2 | | related to the construction, reconstruction, rehabilitation, |
3 | | remodeling, or repair of any existing or proposed transit |
4 | | facility, whether that facility is located within or outside |
5 | | the boundaries of a redevelopment project area established |
6 | | within that transit facility improvement area (and, to the |
7 | | extent a redevelopment project cost is described in subsection |
8 | | (q) as incurred or estimated to be incurred with respect to a |
9 | | redevelopment project area, then it shall apply with respect |
10 | | to such transit facility improvement area); and (ii) the |
11 | | provisions of Section 11-74.4-8 regarding tax increment |
12 | | allocation financing for a redevelopment project area located |
13 | | in a transit facility improvement area shall apply only to the |
14 | | lots, blocks, tracts and parcels of real property that are |
15 | | located within the boundaries of that redevelopment project |
16 | | area and not to the lots, blocks, tracts, and parcels of real |
17 | | property that are located outside the boundaries of that |
18 | | redevelopment project area. |
19 | | (r) "State Sales Tax Boundary" means the redevelopment |
20 | | project area or
the amended redevelopment project area |
21 | | boundaries which are determined
pursuant to subsection (9) of |
22 | | Section 11-74.4-8a of this
Act. The Department of Revenue |
23 | | shall certify pursuant to subsection (9) of
Section 11-74.4-8a |
24 | | the appropriate boundaries eligible for the
determination of |
25 | | State Sales Tax Increment.
|
26 | | (s) "State Sales Tax Increment" means an amount equal to |
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1 | | the increase
in the aggregate amount of taxes paid by |
2 | | retailers and servicemen, other
than retailers and servicemen |
3 | | subject to the Public Utilities Act,
on transactions at places |
4 | | of business located within a State Sales Tax
Boundary pursuant |
5 | | to the Retailers' Occupation Tax Act, the Use Tax Act,
the |
6 | | Service Use Tax Act, and the Service Occupation Tax Act, |
7 | | except such
portion of such increase that is paid into the |
8 | | State and Local Sales Tax
Reform Fund, the Local Government |
9 | | Distributive Fund, the Local
Government Tax Fund and the |
10 | | County and Mass Transit District Fund, for as
long as State |
11 | | participation exists, over and above the Initial Sales Tax
|
12 | | Amounts, Adjusted Initial Sales Tax Amounts or the Revised |
13 | | Initial Sales
Tax Amounts for such taxes as certified by the |
14 | | Department of Revenue and
paid under those Acts by retailers |
15 | | and servicemen on transactions at places
of business located |
16 | | within the State Sales Tax Boundary during the base
year which |
17 | | shall be the calendar year immediately prior to the year in
|
18 | | which the municipality adopted tax increment allocation |
19 | | financing, less
3.0% of such amounts generated under the |
20 | | Retailers' Occupation Tax Act, Use
Tax Act and Service Use Tax |
21 | | Act and the Service Occupation Tax Act, which
sum shall be |
22 | | appropriated to the Department of Revenue to cover its costs
|
23 | | of administering and enforcing this Section. For purposes of |
24 | | computing the
aggregate amount of such taxes for base years |
25 | | occurring prior to 1985, the
Department of Revenue shall |
26 | | compute the Initial Sales Tax Amount for such
taxes and deduct |
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1 | | therefrom an amount equal to 4% of the aggregate amount of
|
2 | | taxes per year for each year the base year is prior to 1985, |
3 | | but not to
exceed a total deduction of 12%. The amount so |
4 | | determined shall be known
as the "Adjusted Initial Sales Tax |
5 | | Amount". For purposes of determining the
State Sales Tax |
6 | | Increment the Department of Revenue shall for each period
|
7 | | subtract from the tax amounts received from retailers and |
8 | | servicemen on
transactions located in the State Sales Tax |
9 | | Boundary, the certified Initial
Sales Tax Amounts, Adjusted |
10 | | Initial Sales Tax Amounts or Revised Initial
Sales Tax Amounts |
11 | | for the Retailers' Occupation Tax Act, the Use Tax Act,
the |
12 | | Service Use Tax Act and the Service Occupation Tax Act. For the |
13 | | State
Fiscal Year 1989 this calculation shall be made by |
14 | | utilizing the calendar
year 1987 to determine the tax amounts |
15 | | received. For the State Fiscal Year
1990, this calculation |
16 | | shall be made by utilizing the period from January
1, 1988, |
17 | | until September 30, 1988, to determine the tax amounts |
18 | | received
from retailers and servicemen, which shall have |
19 | | deducted therefrom
nine-twelfths of the certified Initial |
20 | | Sales Tax Amounts, Adjusted Initial
Sales Tax Amounts or the |
21 | | Revised Initial Sales Tax Amounts as appropriate.
For the |
22 | | State Fiscal Year 1991, this calculation shall be made by |
23 | | utilizing
the period from October 1, 1988, until June 30, |
24 | | 1989, to determine the tax
amounts received from retailers and |
25 | | servicemen, which shall have
deducted therefrom nine-twelfths |
26 | | of the certified Initial State Sales Tax
Amounts, Adjusted |
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1 | | Initial Sales Tax Amounts or the Revised Initial Sales
Tax |
2 | | Amounts as appropriate. For every State Fiscal Year |
3 | | thereafter, the
applicable period shall be the 12 months |
4 | | beginning July 1 and ending on
June 30, to determine the tax |
5 | | amounts received which shall have deducted
therefrom the |
6 | | certified Initial Sales Tax Amounts, Adjusted Initial Sales
|
7 | | Tax Amounts or the Revised Initial Sales Tax Amounts. |
8 | | Municipalities
intending to receive a distribution of State |
9 | | Sales Tax Increment must
report a list of retailers to the |
10 | | Department of Revenue by October 31, 1988
and by July 31, of |
11 | | each year thereafter.
|
12 | | (t) "Taxing districts" means counties, townships, cities |
13 | | and incorporated
towns and villages, school, road, park, |
14 | | sanitary, mosquito abatement, forest
preserve, public health, |
15 | | fire protection, river conservancy, tuberculosis
sanitarium |
16 | | and any other municipal corporations or districts with the |
17 | | power
to levy taxes.
|
18 | | (u) "Taxing districts' capital costs" means those costs of |
19 | | taxing districts
for capital improvements that are found by |
20 | | the municipal corporate authorities
to be necessary and |
21 | | directly result from the redevelopment project.
|
22 | | (v) As used in subsection (a) of Section 11-74.4-3 of this
|
23 | | Act, "vacant
land" means any parcel or combination of parcels |
24 | | of real property without
industrial, commercial, and |
25 | | residential buildings which has not been used
for commercial |
26 | | agricultural purposes within 5 years prior to the
designation |
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1 | | of the redevelopment project area, unless the parcel
is |
2 | | included in an industrial park conservation area or the parcel |
3 | | has
been subdivided; provided that if the parcel was part of a |
4 | | larger tract that
has been divided into 3 or more smaller |
5 | | tracts that were accepted for
recording during the period from |
6 | | 1950 to 1990, then the parcel shall be deemed
to have been |
7 | | subdivided, and all proceedings and actions of the |
8 | | municipality
taken in that connection with respect to any |
9 | | previously approved or designated
redevelopment project area |
10 | | or amended redevelopment project area are hereby
validated and |
11 | | hereby declared to be legally sufficient for all purposes of |
12 | | this
Act.
For purposes of this Section and only for land |
13 | | subject to
the subdivision requirements of the Plat Act, land |
14 | | is subdivided when the
original plat of
the proposed |
15 | | Redevelopment Project Area or relevant portion thereof has
|
16 | | been
properly certified, acknowledged, approved, and recorded |
17 | | or filed in accordance
with the Plat Act and a preliminary |
18 | | plat, if any, for any subsequent phases of
the
proposed |
19 | | Redevelopment Project Area or relevant portion thereof has |
20 | | been
properly approved and filed in accordance with the |
21 | | applicable ordinance of the
municipality.
|
22 | | (w) "Annual Total Increment" means the sum of each |
23 | | municipality's
annual Net Sales Tax Increment and each |
24 | | municipality's annual Net Utility
Tax Increment. The ratio of |
25 | | the Annual Total Increment of each
municipality to the Annual |
26 | | Total Increment for all municipalities, as most
recently |
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1 | | calculated by the Department, shall determine the proportional
|
2 | | shares of the Illinois Tax Increment Fund to be distributed to |
3 | | each
municipality.
|
4 | | (x) "LEED certified" means any certification level of |
5 | | construction elements by a qualified Leadership in Energy and |
6 | | Environmental Design Accredited Professional as determined by |
7 | | the U.S. Green Building Council. |
8 | | (y) "Green Globes certified" means any certification level |
9 | | of construction elements by a qualified Green Globes |
10 | | Professional as determined by the Green Building Initiative. |
11 | | (Source: P.A. 102-627, eff. 8-27-21.)
|
12 | | (65 ILCS 5/11-80-15) (from Ch. 24, par. 11-80-15)
|
13 | | Sec. 11-80-15. Street advertising; adult entertainment |
14 | | advertising.
|
15 | | (a) The corporate authorities of each municipality may |
16 | | license
street advertising by means of billboards, sign |
17 | | boards, and signs and may
regulate the character and control |
18 | | the location of billboards, sign boards,
and signs upon vacant |
19 | | property and upon buildings.
|
20 | | (b) The corporate authorities of each municipality may |
21 | | further
regulate the character and control the location of |
22 | | adult entertainment
advertising placed on billboards, sign |
23 | | boards, and signs upon vacant property
and upon
buildings that |
24 | | are within 1,000 feet of the property boundaries of schools, |
25 | | child day
care
centers, cemeteries, public parks, and places |
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1 | | of religious worship.
|
2 | | For the purposes of this subsection, "adult entertainment" |
3 | | means
entertainment provided by an adult bookstore, striptease |
4 | | club, or pornographic
movie theater whose business is the
|
5 | | commercial sale, dissemination, or distribution of sexually |
6 | | explicit materials,
shows, or other exhibitions.
|
7 | | (Source: P.A. 89-605, eff. 8-2-96.)
|
8 | | Section 90. The River Edge Redevelopment Zone Act is |
9 | | amended by changing Section 10-8 as follows:
|
10 | | (65 ILCS 115/10-8)
|
11 | | Sec. 10-8. Zone Administration. The administration of a |
12 | | River Edge Redevelopment Zone shall be under the jurisdiction |
13 | | of the designating municipality. Each designating municipality |
14 | | shall, by ordinance, designate a Zone Administrator for the |
15 | | certified zones within its jurisdiction. A Zone Administrator |
16 | | must be an officer or employee of the municipality. The Zone |
17 | | Administrator shall be the liaison between the designating |
18 | | municipality, the Department, and any designated zone |
19 | | organizations within zones under his or her jurisdiction. |
20 | | A designating municipality may designate one or more |
21 | | organizations to be a designated zone organization, as defined |
22 | | under Section 10-3. The municipality, may, by ordinance, |
23 | | delegate functions within a River Edge Redevelopment Zone to |
24 | | one or more designated zone organizations in such zones. |
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1 | | Subject to the necessary governmental authorizations, |
2 | | designated zone organizations may, in coordination with the |
3 | | municipality, provide or contract for provision of public |
4 | | services including, but not limited to: |
5 | | (1) crime-watch patrols within zone
neighborhoods; |
6 | | (2) volunteer child care day-care centers; |
7 | | (3) recreational activities for zone-area youth; |
8 | | (4) garbage collection; |
9 | | (5) street maintenance and improvements; |
10 | | (6) bridge maintenance and improvements; |
11 | | (7) maintenance and improvement of water and sewer
|
12 | | lines; |
13 | | (8) energy conservation projects; |
14 | | (9) health and clinic services; |
15 | | (10) drug abuse programs; |
16 | | (11) senior citizen assistance programs; |
17 | | (12) park maintenance; |
18 | | (13) rehabilitation, renovation, and operation and
|
19 | | maintenance of low and moderate income housing; and |
20 | | (14) other types of public services as provided by
law |
21 | | or regulation.
|
22 | | (Source: P.A. 94-1021, eff. 7-12-06.)
|
23 | | Section 95. The School Code is amended by changing |
24 | | Sections 2-3.66, 10-22.18b, 10-22.18c, and 34-18.4 as follows:
|
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1 | | (105 ILCS 5/2-3.66) (from Ch. 122, par. 2-3.66)
|
2 | | Sec. 2-3.66. Truants' alternative and optional education |
3 | | programs. To
establish projects to offer modified |
4 | | instructional programs or other
services designed to prevent |
5 | | students from dropping out of school,
including programs |
6 | | pursuant to Section 2-3.41, and to serve as a part time
or full |
7 | | time option in lieu of regular school attendance and to award
|
8 | | grants to local school districts, educational service regions |
9 | | or community
college districts from appropriated funds to |
10 | | assist districts in
establishing such projects. The education |
11 | | agency may operate its own
program or enter into a contract |
12 | | with another not-for-profit entity to
implement the program. |
13 | | The projects shall allow dropouts, up to and
including age 21, |
14 | | potential dropouts, including truants, uninvolved,
unmotivated |
15 | | and disaffected students, as defined by State Board of
|
16 | | Education rules and regulations, to enroll, as an alternative |
17 | | to regular
school attendance, in an optional education program |
18 | | which may be
established by school board policy and is in |
19 | | conformance with rules adopted
by the State Board of |
20 | | Education. Truants' Alternative and Optional
Education |
21 | | programs funded pursuant to this Section shall be
planned by a |
22 | | student, the student's parents or legal guardians, unless the
|
23 | | student is 18 years or older, and school officials and shall |
24 | | culminate in
an individualized optional education plan. Such |
25 | | plan shall focus
on academic or vocational skills, or both, |
26 | | and may include, but not be
limited to, evening school, summer |
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1 | | school, community college courses, adult
education, |
2 | | preparation courses for high school equivalency testing, |
3 | | vocational training, work experience, programs to
enhance self |
4 | | concept and parenting courses. School districts which are
|
5 | | awarded grants pursuant to this Section shall be authorized to |
6 | | provide child day
care services to children of students who |
7 | | are eligible and desire to enroll
in programs established and |
8 | | funded under this Section, but only if and to
the extent that |
9 | | such child day care is necessary to enable those eligible
|
10 | | students to attend and participate in the programs and courses |
11 | | which are
conducted pursuant to this Section.
School districts |
12 | | and regional offices of education may claim general State
aid |
13 | | under Section 18-8.05 or evidence-based funding under Section |
14 | | 18-8.15 for students enrolled in truants' alternative and
|
15 | | optional education programs, provided that such students are |
16 | | receiving services
that are supplemental to a program leading |
17 | | to a high school diploma and are
otherwise eligible to be |
18 | | claimed for general State aid under Section 18-8.05 or |
19 | | evidence-based funding under Section 18-8.15, as applicable.
|
20 | | (Source: P.A. 100-465, eff. 8-31-17.)
|
21 | | (105 ILCS 5/10-22.18b) (from Ch. 122, par. 10-22.18b)
|
22 | | Sec. 10-22.18b. Before and after school programs. To |
23 | | develop and maintain
before school and after school programs |
24 | | for students in kindergarten through
the 6th grade. Such |
25 | | programs may include time for homework, physical exercise,
|
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1 | | afternoon nutritional snacks and educational offerings which |
2 | | are
in addition to those offered during the regular school |
3 | | day. The chief administrator
in each district shall be a |
4 | | certified teacher or a person who meets the
requirements for |
5 | | supervising a child day care center under the Child Care Act
of |
6 | | 1969. Individual programs shall be coordinated by certified |
7 | | teachers
or by persons who meet the requirements for |
8 | | supervising a child day care center
under the Child Care Act of |
9 | | 1969. Additional employees who are not so qualified
may also |
10 | | be employed for such programs.
|
11 | | The schedule of these programs may follow the work |
12 | | calendar of the local
community rather than the regular school |
13 | | calendar. Parents or guardians
of the participating
students |
14 | | shall be responsible for providing transportation for the |
15 | | students
to and from the programs. The school board may charge |
16 | | parents of participating
students a fee, not to exceed the |
17 | | actual cost of such before and after school
programs.
|
18 | | (Source: P.A. 83-639.)
|
19 | | (105 ILCS 5/10-22.18c) (from Ch. 122, par. 10-22.18c)
|
20 | | Sec. 10-22.18c. Model child day care services program. |
21 | | Local school districts
may establish, in cooperation with the |
22 | | State Board of Education, a model
program for the provision of |
23 | | child day care services in a school. The program
shall be |
24 | | administered by the local school district and shall be funded
|
25 | | from monies available from private and public sources. Student |
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1 | | parents
shall not be charged a fee for the child day care |
2 | | services; school personnel also
may utilize the services, but |
3 | | shall be charged a fee. The program shall be
supervised by a |
4 | | trained child care professional who is qualified to teach
|
5 | | students parenting skills. As part of the program, the school |
6 | | shall offer
a course in child behavior in which students shall |
7 | | receive course credits
for helping to care for the children in |
8 | | the program while learning
parenting skills. The State Board |
9 | | of Education shall evaluate the programs'
effectiveness in |
10 | | reducing school absenteeism and dropouts among teenage
parents |
11 | | and shall report to the General Assembly concerning its |
12 | | findings
after the program has been in operation for 2 years.
|
13 | | (Source: P.A. 85-769.)
|
14 | | (105 ILCS 5/34-18.4) (from Ch. 122, par. 34-18.4)
|
15 | | Sec. 34-18.4. Before and after school programs. The Board |
16 | | of Education
may develop and maintain
before school and after |
17 | | school programs for students in kindergarten through
the 6th |
18 | | grade. Such programs may include time for homework, physical
|
19 | | exercise, afternoon nutritional snacks and educational |
20 | | offerings which are
in addition to those offered during the |
21 | | regular school day. The chief administrator
in each district |
22 | | shall be a certified teacher or a person who meets the
|
23 | | requirements for supervising a child day care center under the |
24 | | Child Care Act
of 1969. Individual programs shall be |
25 | | coordinated by certified teachers
or by persons who meet the |
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1 | | requirements for supervising a child day care center
under the |
2 | | Child Care Act of 1969. Additional employees who are not so |
3 | | qualified
may also be employed for such programs.
|
4 | | The schedule of these programs may follow the work |
5 | | calendar of the local
community rather than the regular school |
6 | | calendar. Parents or guardians
of the participating
students |
7 | | shall be responsible for providing transportation for the |
8 | | students
to and from the programs. The school board may charge |
9 | | parents of participating
students a fee, not to exceed the |
10 | | actual cost of such before and after school
programs.
|
11 | | (Source: P.A. 83-639.)
|
12 | | Section 100. The Illinois School Student Records Act is |
13 | | amended by changing Section 2 as follows:
|
14 | | (105 ILCS 10/2) (from Ch. 122, par. 50-2)
|
15 | | (Text of Section before amendment by P.A. 102-466 ) |
16 | | Sec. 2.
As used in this Act:
|
17 | | (a) "Student" means any person enrolled or previously |
18 | | enrolled in a school.
|
19 | | (b) "School" means any public preschool, child day care |
20 | | center,
kindergarten, nursery, elementary or secondary |
21 | | educational institution,
vocational school, special |
22 | | educational facility or any other elementary or
secondary |
23 | | educational agency or institution and any person, agency or
|
24 | | institution which maintains school student records from more |
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1 | | than one school,
but does not include a private or non-public |
2 | | school.
|
3 | | (c) "State Board" means the State Board of Education.
|
4 | | (d) "School Student Record" means any writing or
other |
5 | | recorded information concerning a student
and by which a |
6 | | student may be individually identified,
maintained by a school |
7 | | or at its direction or by an employee of a
school, regardless |
8 | | of how or where the information is stored.
The following shall |
9 | | not be deemed school student records under
this Act: writings |
10 | | or other recorded information maintained by an
employee of a |
11 | | school or other person at the direction of a school for his or
|
12 | | her exclusive use; provided that all such writings and other |
13 | | recorded
information are destroyed not later than the |
14 | | student's graduation or permanent
withdrawal from the school; |
15 | | and provided further that no such records or
recorded |
16 | | information may be released or disclosed to any person except |
17 | | a person
designated by the school as
a substitute unless they |
18 | | are first incorporated
in a school student record and made |
19 | | subject to all of the
provisions of this Act.
School student |
20 | | records shall not include information maintained by
law |
21 | | enforcement professionals working in the school.
|
22 | | (e) "Student Permanent Record" means the minimum personal
|
23 | | information necessary to a school in the education of the |
24 | | student
and contained in a school student record. Such |
25 | | information
may include the student's name, birth date, |
26 | | address, grades
and grade level, parents' names and addresses, |
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1 | | attendance
records, and such other entries as the State Board |
2 | | may
require or authorize.
|
3 | | (f) "Student Temporary Record" means all information |
4 | | contained in
a school student record but not contained in
the |
5 | | student permanent record. Such information may include
family |
6 | | background information, intelligence test scores, aptitude
|
7 | | test scores, psychological and personality test results, |
8 | | teacher
evaluations, and other information of clear relevance |
9 | | to the
education of the student, all subject to regulations of |
10 | | the State Board.
The information shall include information |
11 | | provided under Section 8.6 of the
Abused and Neglected Child |
12 | | Reporting Act and information contained in service logs |
13 | | maintained by a local education agency under subsection (d) of |
14 | | Section 14-8.02f of the School Code.
In addition, the student |
15 | | temporary record shall include information regarding
serious |
16 | | disciplinary infractions that resulted in expulsion, |
17 | | suspension, or the
imposition of punishment or sanction. For |
18 | | purposes of this provision, serious
disciplinary infractions |
19 | | means: infractions involving drugs, weapons, or bodily
harm to |
20 | | another.
|
21 | | (g) "Parent" means a person who is the natural parent of |
22 | | the
student or other person who has the primary responsibility |
23 | | for the
care and upbringing of the student. All rights and |
24 | | privileges accorded
to a parent under this Act shall become |
25 | | exclusively those of the student
upon his 18th birthday, |
26 | | graduation from secondary school, marriage
or entry into |
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1 | | military service, whichever occurs first. Such
rights and |
2 | | privileges may also be exercised by the student
at any time |
3 | | with respect to the student's permanent school record.
|
4 | | (h) "Department" means the Department of Children and |
5 | | Family Services. |
6 | | (Source: P.A. 101-515, eff. 8-23-19; 102-199, eff. 7-1-22; |
7 | | 102-558, eff. 8-20-21; 102-813, eff. 5-13-22.)
|
8 | | (Text of Section after amendment by P.A. 102-466 ) |
9 | | Sec. 2.
As used in this Act:
|
10 | | (a) "Student" means any person enrolled or previously |
11 | | enrolled in a school.
|
12 | | (b) "School" means any public preschool, child day care |
13 | | center,
kindergarten, nursery, elementary or secondary |
14 | | educational institution,
vocational school, special |
15 | | educational facility or any other elementary or
secondary |
16 | | educational agency or institution and any person, agency or
|
17 | | institution which maintains school student records from more |
18 | | than one school,
but does not include a private or non-public |
19 | | school.
|
20 | | (c) "State Board" means the State Board of Education.
|
21 | | (d) "School Student Record" means any writing or
other |
22 | | recorded information concerning a student
and by which a |
23 | | student may be individually identified,
maintained by a school |
24 | | or at its direction or by an employee of a
school, regardless |
25 | | of how or where the information is stored.
The following shall |
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1 | | not be deemed school student records under
this Act: writings |
2 | | or other recorded information maintained by an
employee of a |
3 | | school or other person at the direction of a school for his or
|
4 | | her exclusive use; provided that all such writings and other |
5 | | recorded
information are destroyed not later than the |
6 | | student's graduation or permanent
withdrawal from the school; |
7 | | and provided further that no such records or
recorded |
8 | | information may be released or disclosed to any person except |
9 | | a person
designated by the school as
a substitute unless they |
10 | | are first incorporated
in a school student record and made |
11 | | subject to all of the
provisions of this Act.
School student |
12 | | records shall not include information maintained by
law |
13 | | enforcement professionals working in the school.
|
14 | | (e) "Student Permanent Record" means the minimum personal
|
15 | | information necessary to a school in the education of the |
16 | | student
and contained in a school student record. Such |
17 | | information
may include the student's name, birth date, |
18 | | address, grades
and grade level, parents' names and addresses, |
19 | | attendance
records, and such other entries as the State Board |
20 | | may
require or authorize.
|
21 | | (f) "Student Temporary Record" means all information |
22 | | contained in
a school student record but not contained in
the |
23 | | student permanent record. Such information may include
family |
24 | | background information, intelligence test scores, aptitude
|
25 | | test scores, psychological and personality test results, |
26 | | teacher
evaluations, and other information of clear relevance |
|
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1 | | to the
education of the student, all subject to regulations of |
2 | | the State Board.
The information shall include all of the |
3 | | following: |
4 | | (1) Information provided under Section 8.6 of the
|
5 | | Abused and Neglected Child Reporting Act and information |
6 | | contained in service logs maintained by a local education |
7 | | agency under subsection (d) of Section 14-8.02f of the |
8 | | School Code.
|
9 | | (2) Information regarding
serious disciplinary |
10 | | infractions that resulted in expulsion, suspension, or the
|
11 | | imposition of punishment or sanction. For purposes of this |
12 | | provision, serious
disciplinary infractions means: |
13 | | infractions involving drugs, weapons, or bodily
harm to |
14 | | another.
|
15 | | (3) Information concerning a student's status and
|
16 | | related experiences as a parent, expectant parent, or
|
17 | | victim of domestic or sexual violence, as defined in
|
18 | | Article 26A of the School Code, including a statement of
|
19 | | the student or any other documentation, record, or
|
20 | | corroborating evidence and the fact that the student has
|
21 | | requested or obtained assistance, support, or
services |
22 | | related to that status. Enforcement of this
paragraph (3) |
23 | | shall follow the procedures provided in
Section 26A-40 of |
24 | | the School Code. |
25 | | (g) "Parent" means a person who is the natural parent of |
26 | | the
student or other person who has the primary responsibility |
|
| | SB1797 | - 201 - | LRB103 03433 AMQ 48439 b |
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1 | | for the
care and upbringing of the student. All rights and |
2 | | privileges accorded
to a parent under this Act shall become |
3 | | exclusively those of the student
upon his 18th birthday, |
4 | | graduation from secondary school, marriage
or entry into |
5 | | military service, whichever occurs first. Such
rights and |
6 | | privileges may also be exercised by the student
at any time |
7 | | with respect to the student's permanent school record.
|
8 | | (h) "Department" means the Department of Children and |
9 | | Family Services. |
10 | | (Source: P.A. 101-515, eff. 8-23-19; 102-199, eff. 7-1-22; |
11 | | 102-466, eff. 7-1-25; 102-558, eff. 8-20-21; 102-813, eff. |
12 | | 5-13-22.)
|
13 | | Section 105. The University of Illinois Act is amended by |
14 | | changing Section 1d as follows:
|
15 | | (110 ILCS 305/1d) (from Ch. 144, par. 22d)
|
16 | | Sec. 1d. Child care services.
|
17 | | (a) For the purposes of this Section, "child care |
18 | | services" means child day
care home or center services as |
19 | | defined by the Child Care Act of 1969.
|
20 | | (b) The Board may contract for the provision of child care |
21 | | services for its
employees. The Board may, in accordance with |
22 | | established rules, allow child day care
centers to operate in |
23 | | State-owned or leased facilities. Such child day care centers
|
24 | | shall be primarily for use by State employees of the |
|
| | SB1797 | - 202 - | LRB103 03433 AMQ 48439 b |
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|
1 | | university but use by
non-employees may be allowed.
|
2 | | Where the Board enters into a contract to construct, |
3 | | acquire or
lease all or a substantial portion of a building, in |
4 | | which more than 50
persons shall be employed, other than a |
5 | | renewal of an existing lease, after
July 1, 1992, and where a |
6 | | need has been demonstrated, according to
subsection (c), |
7 | | on-site child care services shall be provided for
employees of |
8 | | the university.
|
9 | | The Board shall implement this Section and shall |
10 | | promulgate all rules
and regulations necessary for this |
11 | | purpose. By April 1, 1993, the Board shall
propose rules |
12 | | setting forth the standards and criteria, including need and
|
13 | | feasibility, for determining if on-site child care services |
14 | | shall be provided.
The Board shall consult with the Department |
15 | | of Children and Family Services in
defining standards for |
16 | | child care service centers established pursuant to this
|
17 | | Section to ensure compliance with the Child Care Act of 1969. |
18 | | The Board shall
establish a schedule of fees that shall be |
19 | | charged for child care services
under this Section. The |
20 | | schedule shall be established so that charges for
service are |
21 | | based on the actual cost of care. Except as otherwise provided |
22 | | by
law for employees who may qualify for public assistance or |
23 | | social services due
to indigency or family circumstance, each |
24 | | employee obtaining child care
services under this Section |
25 | | shall be responsible for full payment of all
charges. The |
26 | | Board shall report, on or before December 31, 1993,
to the |
|
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|
1 | | Governor and the members of the General Assembly, on the
|
2 | | feasibility and implementation of a plan for the provision of |
3 | | comprehensive
child care services.
|
4 | | (c) Prior to contracting for child care services, the |
5 | | Board shall determine
a need for child care services. Proof of |
6 | | need may include a survey of
university employees as well as a |
7 | | determination of the availability of child
care services |
8 | | through other State agencies, or in the community. The Board |
9 | | may
also require submission of a feasibility, design and |
10 | | implementation plan, that
takes into consideration similar |
11 | | needs and services of other State
universities.
|
12 | | The Board shall have the sole responsibility for choosing |
13 | | the successful
bidder and overseeing the operation of its |
14 | | child care service program within
the guidelines established |
15 | | by the Board. The Board shall promulgate rules under
the |
16 | | Illinois Administrative Procedure Act that detail the specific |
17 | | standards to
be used in the selection of a vendor of child care |
18 | | services.
|
19 | | The contract shall provide for the establishment of or |
20 | | arrangement for the
use of a licensed child day care center or |
21 | | a licensed child day care agency, as defined in
the Child Care |
22 | | Act of 1969.
|
23 | | (Source: P.A. 87-1019; 88-45.)
|
24 | | Section 110. The Southern Illinois University Management |
25 | | Act is amended by changing Section 8b.1 as follows:
|
|
| | SB1797 | - 204 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (110 ILCS 520/8b.1) (from Ch. 144, par. 658b.1)
|
2 | | Sec. 8b.1. Child care services.
|
3 | | (a) For the purposes of this Section, "child care |
4 | | services" means child day
care home or center services as |
5 | | defined by the Child Care Act of 1969.
|
6 | | (b) The Board may contract for the provision of child care |
7 | | services for its
employees. The Board may, in accordance with |
8 | | established rules, allow child day care
centers to operate in |
9 | | State-owned or leased facilities. Such child day care centers
|
10 | | shall be primarily for use by State employees of the |
11 | | university but use by
non-employees may be allowed.
|
12 | | Where the Board enters into a contract to construct, |
13 | | acquire or
lease all or a substantial portion of a building, in |
14 | | which more than 50
persons shall be employed, other than a |
15 | | renewal of an existing lease, after
July 1, 1992, and where a |
16 | | need has been demonstrated, according to
subsection (c), |
17 | | on-site child care services shall be provided for
employees of |
18 | | the university.
|
19 | | The Board shall implement this Section and shall |
20 | | promulgate all rules
and regulations necessary for this |
21 | | purpose. By April 1, 1993, the
Board shall propose rules |
22 | | setting forth the standards and criteria,
including need and |
23 | | feasibility, for determining if on-site child care
services |
24 | | shall be provided. The Board shall consult with the Department |
25 | | of
Children and Family Services in defining standards for |
|
| | SB1797 | - 205 - | LRB103 03433 AMQ 48439 b |
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|
1 | | child care service
centers established pursuant to this |
2 | | Section to ensure compliance with the
Child Care Act of 1969. |
3 | | The Board shall establish a schedule of fees that
shall be |
4 | | charged for child care services under this Section. The |
5 | | schedule
shall be established so that charges for service are |
6 | | based on the actual cost
of care. Except as otherwise provided |
7 | | by law for employees who may qualify for
public assistance or |
8 | | social services due to indigency or family circumstance,
each |
9 | | employee obtaining child care services under this Section |
10 | | shall be
responsible for full payment of all charges. The |
11 | | Board shall report, on or
before December 31, 1993, to the |
12 | | Governor and the members of the General
Assembly, on the |
13 | | feasibility and implementation of a plan for the provision of
|
14 | | comprehensive child care services.
|
15 | | (c) Prior to contracting for child care services, the |
16 | | Board shall determine
a need for child care services. Proof of |
17 | | need may include a survey of
university employees as well as a |
18 | | determination of the availability of child
care services |
19 | | through other State agencies, or in the community. The Board |
20 | | may
also require submission of a feasibility, design and |
21 | | implementation plan, that
takes into consideration similar |
22 | | needs and services of other State
universities.
|
23 | | The Board shall have the sole responsibility for choosing |
24 | | the successful
bidder and overseeing the operation of its |
25 | | child care service program within
the guidelines established |
26 | | by the Board. The Board shall promulgate rules under
the |
|
| | SB1797 | - 206 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Illinois Administrative Procedure Act that detail the specific |
2 | | standards to
be used in the selection of a vendor of child care |
3 | | services.
|
4 | | The contract shall provide for the establishment of or |
5 | | arrangement for the
use of a licensed child day care center or |
6 | | a licensed child day care agency, as defined in
the Child Care |
7 | | Act of 1969.
|
8 | | (Source: P.A. 87-1019; 88-45.)
|
9 | | Section 115. The Chicago State University Law is amended |
10 | | by changing Section 5-95 as follows:
|
11 | | (110 ILCS 660/5-95)
|
12 | | Sec. 5-95. Child care services.
|
13 | | (a) For the purposes of this Section, "child care |
14 | | services" means child day
care home or center services as |
15 | | defined by the Child Care Act of 1969.
|
16 | | (b) The Board may contract for the provision of child care |
17 | | services for its
employees. The Board may, in accordance with |
18 | | established rules, allow child day care
centers to operate in |
19 | | State-owned or leased facilities. Such child day care centers
|
20 | | shall be primarily for use by State employees of Chicago State |
21 | | University but
use by non-employees may be allowed.
|
22 | | Where the Board enters into a contract to construct, |
23 | | acquire or
lease all or a substantial portion of a building, in |
24 | | which more than 50
persons shall be employed, other than a |
|
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|
1 | | renewal of an existing lease,
and where a need has been |
2 | | demonstrated, according to
subsection (c), on-site child care |
3 | | services shall be provided for
employees of Chicago State |
4 | | University.
|
5 | | The Board shall implement this Section and shall |
6 | | promulgate all rules
and regulations necessary for this |
7 | | purpose. By September 1, 1996, the
Board shall propose rules |
8 | | setting forth the standards and criteria,
including need and |
9 | | feasibility, for determining if September child care
services |
10 | | shall be provided. The Board shall consult with the Department |
11 | | of
Children and Family Services in defining standards for |
12 | | child care service
centers established pursuant to this |
13 | | Section to ensure compliance with the
Child Care Act of 1969. |
14 | | The Board shall establish a schedule of fees that
shall be |
15 | | charged for child care services under this Section. The |
16 | | schedule
shall be established so that charges for service are |
17 | | based on the actual cost
of care. Except as otherwise provided |
18 | | by law for employees who may qualify for
public assistance or |
19 | | social services due to indigency or family circumstance,
each |
20 | | employee obtaining child care services under this Section |
21 | | shall be
responsible for full payment of all charges. The |
22 | | Board shall report, on or
before December 31, 1996, to the |
23 | | Governor and the members of the General
Assembly, on the |
24 | | feasibility and implementation of a plan for the provision of
|
25 | | comprehensive child care services.
|
26 | | (c) Prior to contracting for child care services, the |
|
| | SB1797 | - 208 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Board shall determine
a need for child care services. Proof of |
2 | | need may include a survey of
University employees as well as a |
3 | | determination of the availability of child
care services |
4 | | through other State agencies, or in the community. The Board |
5 | | may
also require submission of a feasibility, design and |
6 | | implementation plan that
takes into consideration similar |
7 | | needs and services of other State
universities.
|
8 | | The Board shall have the sole responsibility for choosing |
9 | | the successful
bidder and overseeing the operation of its |
10 | | child care service program within
the guidelines established |
11 | | by the Board. The Board shall promulgate rules under
the |
12 | | Illinois Administrative Procedure Act that detail the specific |
13 | | standards to
be used in the selection of a vendor of child care |
14 | | services.
|
15 | | The contract shall provide for the establishment of or |
16 | | arrangement for the
use of a licensed child day care center or |
17 | | a licensed child day care agency, as defined in
the Child Care |
18 | | Act of 1969.
|
19 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
20 | | Section 120. The Eastern Illinois University Law is |
21 | | amended by changing Section 10-95 as follows:
|
22 | | (110 ILCS 665/10-95)
|
23 | | Sec. 10-95. Child care services.
|
24 | | (a) For the purposes of this Section, "child care |
|
| | SB1797 | - 209 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | services" means child day
care home or center services as |
2 | | defined by the Child Care Act of 1969.
|
3 | | (b) The Board may contract for the provision of child care |
4 | | services for its
employees. The Board may, in accordance with |
5 | | established rules, allow child day care
centers to operate in |
6 | | State-owned or leased facilities. Such child day care centers
|
7 | | shall be primarily for use by State employees of Eastern |
8 | | Illinois University
but use by non-employees may be allowed.
|
9 | | Where the Board enters into a contract to construct, |
10 | | acquire or
lease all or a substantial portion of a building, in |
11 | | which more than 50
persons shall be employed, other than a |
12 | | renewal of an existing lease,
and where a need has been |
13 | | demonstrated, according to
subsection (c), on-site child care |
14 | | services shall be provided for
employees of Eastern Illinois |
15 | | University.
|
16 | | The Board shall implement this Section and shall |
17 | | promulgate all rules
and regulations necessary for this |
18 | | purpose. By September 1, 1996 the
Board shall propose rules |
19 | | setting forth the standards and criteria,
including need and |
20 | | feasibility, for determining if September child care
services |
21 | | shall be provided. The Board shall consult with the Department |
22 | | of
Children and Family Services in defining standards for |
23 | | child care service
centers established pursuant to this |
24 | | Section to ensure compliance with the
Child Care Act of 1969. |
25 | | The Board shall establish a schedule of fees that
shall be |
26 | | charged for child care services under this Section. The |
|
| | SB1797 | - 210 - | LRB103 03433 AMQ 48439 b |
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|
1 | | schedule
shall be established so that charges for service are |
2 | | based on the actual cost
of care. Except as otherwise provided |
3 | | by law for employees who may qualify for
public assistance or |
4 | | social services due to indigency or family circumstance,
each |
5 | | employee obtaining child care services under this Section |
6 | | shall be
responsible for full payment of all charges. The |
7 | | Board shall report, on or
before December 31, 1996, to the |
8 | | Governor and the members of the General
Assembly, on the |
9 | | feasibility and implementation of a plan for the provision of
|
10 | | comprehensive child care services.
|
11 | | (c) Prior to contracting for child care services, the |
12 | | Board shall determine
a need for child care services. Proof of |
13 | | need may include a survey of
University employees as well as a |
14 | | determination of the availability of child
care services |
15 | | through other State agencies, or in the community. The Board |
16 | | may
also require submission of a feasibility, design and |
17 | | implementation plan that
takes into consideration similar |
18 | | needs and services of other State
universities.
|
19 | | The Board shall have the sole responsibility for choosing |
20 | | the successful
bidder and overseeing the operation of its |
21 | | child care service program within
the guidelines established |
22 | | by the Board. The Board shall promulgate rules under
the |
23 | | Illinois Administrative Procedure Act that detail the specific |
24 | | standards to
be used in the selection of a vendor of child care |
25 | | services.
|
26 | | The contract shall provide for the establishment of or |
|
| | SB1797 | - 211 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | arrangement for the
use of a licensed child day care center or |
2 | | a licensed child day care agency, as defined in
the Child Care |
3 | | Act of 1969.
|
4 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
5 | | Section 125. The Governors State University Law is amended |
6 | | by changing Section 15-95 as follows:
|
7 | | (110 ILCS 670/15-95)
|
8 | | Sec. 15-95. Child care services.
|
9 | | (a) For the purposes of this Section, "child care |
10 | | services" means child day
care home or center services as |
11 | | defined by the Child Care Act of 1969.
|
12 | | (b) The Board may contract for the provision of child care |
13 | | services for its
employees. The Board may, in accordance with |
14 | | established rules, allow child day care
centers to operate in |
15 | | State-owned or leased facilities. Such child day care centers
|
16 | | shall be primarily for use by State employees of Governors |
17 | | State University but
use by non-employees may be allowed.
|
18 | | Where the Board enters into a contract to construct, |
19 | | acquire or
lease all or a substantial portion of a building, in |
20 | | which more than 50
persons shall be employed, other than a |
21 | | renewal of an existing lease,
and where a need has been |
22 | | demonstrated, according to
subsection (c), on-site child care |
23 | | services shall be provided for
employees of Governors State |
24 | | University.
|
|
| | SB1797 | - 212 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | The Board shall implement this Section and shall |
2 | | promulgate all rules
and regulations necessary for this |
3 | | purpose. By September 1, 1996, the
Board shall propose rules |
4 | | setting forth the standards and criteria,
including need and |
5 | | feasibility, for determining if September child care
services |
6 | | shall be provided. The Board shall consult with the Department |
7 | | of
Children and Family Services in defining standards for |
8 | | child care service
centers established pursuant to this |
9 | | Section to ensure compliance with the
Child Care Act of 1969. |
10 | | The Board shall establish a schedule of fees that
shall be |
11 | | charged for child care services under this Section. The |
12 | | schedule
shall be established so that charges for service are |
13 | | based on the actual cost
of care. Except as otherwise provided |
14 | | by law for employees who may qualify for
public assistance or |
15 | | social services due to indigency or family circumstance,
each |
16 | | employee obtaining child care services under this Section |
17 | | shall be
responsible for full payment of all charges. The |
18 | | Board shall report, on or
before December 31, 1996, to the |
19 | | Governor and the members of the General
Assembly, on the |
20 | | feasibility and implementation of a plan for the provision of
|
21 | | comprehensive child care services.
|
22 | | (c) Prior to contracting for child care services, the |
23 | | Board shall determine
a need for child care services. Proof of |
24 | | need may include a survey of
University employees as well as a |
25 | | determination of the availability of child
care services |
26 | | through other State agencies, or in the community. The Board |
|
| | SB1797 | - 213 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | may
also require submission of a feasibility, design and |
2 | | implementation plan that
takes into consideration similar |
3 | | needs and services of other State
universities.
|
4 | | The Board shall have the sole responsibility for choosing |
5 | | the successful
bidder and overseeing the operation of its |
6 | | child care service program within
the guidelines established |
7 | | by the Board. The Board shall promulgate rules under
the |
8 | | Illinois Administrative Procedure Act that detail the specific |
9 | | standards to
be used in the selection of a vendor of child care |
10 | | services.
|
11 | | The contract shall provide for the establishment of or |
12 | | arrangement for the
use of a licensed child day care center or |
13 | | a licensed child day care agency, as defined in
the Child Care |
14 | | Act of 1969.
|
15 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
16 | | Section 130. The Illinois State University Law is amended |
17 | | by changing Section 20-95 as follows:
|
18 | | (110 ILCS 675/20-95)
|
19 | | Sec. 20-95. Child care services.
|
20 | | (a) For the purposes of this Section, "child care |
21 | | services" means child day
care home or center services as |
22 | | defined by the Child Care Act of 1969.
|
23 | | (b) The Board may contract for the provision of child care |
24 | | services for its
employees. The Board may, in accordance with |
|
| | SB1797 | - 214 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | established rules, allow child day care
centers to operate in |
2 | | State-owned or leased facilities. Such child day care centers
|
3 | | shall be primarily for use by State employees of Illinois |
4 | | State University but
use by non-employees may be allowed.
|
5 | | Where the Board enters into a contract to construct, |
6 | | acquire or
lease all or a substantial portion of a building, in |
7 | | which more than 50
persons shall be employed, other than a |
8 | | renewal of an existing lease,
and where a need has been |
9 | | demonstrated, according to
subsection (c), on-site child care |
10 | | services shall be provided for
employees of Illinois State |
11 | | University.
|
12 | | The Board shall implement this Section and shall |
13 | | promulgate all rules
and regulations necessary for this |
14 | | purpose. By September 1, 1996, the
Board shall propose rules |
15 | | setting forth the standards and criteria,
including need and |
16 | | feasibility, for determining if September child care
services |
17 | | shall be provided. The Board shall consult with the Department |
18 | | of
Children and Family Services in defining standards for |
19 | | child care service
centers established pursuant to this |
20 | | Section to ensure compliance with the
Child Care Act of 1969. |
21 | | The Board shall establish a schedule of fees that
shall be |
22 | | charged for child care services under this Section. The |
23 | | schedule
shall be established so that charges for service are |
24 | | based on the actual cost
of care. Except as otherwise provided |
25 | | by law for employees who may qualify for
public assistance or |
26 | | social services due to indigency or family circumstance,
each |
|
| | SB1797 | - 215 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | employee obtaining child care services under this Section |
2 | | shall be
responsible for full payment of all charges. The |
3 | | Board shall report, on or
before December 31, 1996, to the |
4 | | Governor and the members of the General
Assembly, on the |
5 | | feasibility and implementation of a plan for the provision of
|
6 | | comprehensive child care services.
|
7 | | (c) Prior to contracting for child care services, the |
8 | | Board shall determine
a need for child care services. Proof of |
9 | | need may include a survey of
University employees as well as a |
10 | | determination of the availability of child
care services |
11 | | through other State agencies, or in the community. The Board |
12 | | may
also require submission of a feasibility, design and |
13 | | implementation plan that
takes into consideration similar |
14 | | needs and services of other State
universities.
|
15 | | The Board shall have the sole responsibility for choosing |
16 | | the successful
bidder and overseeing the operation of its |
17 | | child care service program within
the guidelines established |
18 | | by the Board. The Board shall promulgate rules under
the |
19 | | Illinois Administrative Procedure Act that detail the specific |
20 | | standards to
be used in the selection of a vendor of child care |
21 | | services.
|
22 | | The contract shall provide for the establishment of or |
23 | | arrangement for the
use of a licensed child day care center or |
24 | | a licensed child day care agency, as defined in
the Child Care |
25 | | Act of 1969.
|
26 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
|
| | SB1797 | - 216 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | Section 135. The Northeastern Illinois University Law is |
2 | | amended by changing Section 25-95 as follows:
|
3 | | (110 ILCS 680/25-95)
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4 | | Sec. 25-95. Child care services.
|
5 | | (a) For the purposes of this Section, "child care |
6 | | services" means child day
care home or center services as |
7 | | defined by the Child Care Act of 1969.
|
8 | | (b) The Board may contract for the provision of child care |
9 | | services for its
employees. The Board may, in accordance with |
10 | | established rules, allow child day care
centers to operate in |
11 | | State-owned or leased facilities. Such child day care centers
|
12 | | shall be primarily for use by State employees of Northeastern |
13 | | Illinois
University but use by non-employees may be allowed.
|
14 | | Where the Board enters into a contract to construct, |
15 | | acquire or
lease all or a substantial portion of a building, in |
16 | | which more than 50
persons shall be employed, other than a |
17 | | renewal of an existing lease,
and where a need has been |
18 | | demonstrated, according to
subsection (c), on-site child care |
19 | | services shall be provided for
employees of Northeastern |
20 | | Illinois University.
|
21 | | The Board shall implement this Section and shall |
22 | | promulgate all rules
and regulations necessary for this |
23 | | purpose. By September 1, 1996, the
Board shall propose rules |
24 | | setting forth the standards and criteria,
including need and |
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1 | | feasibility, for determining if September child care
services |
2 | | shall be provided. The Board shall consult with the Department |
3 | | of
Children and Family Services in defining standards for |
4 | | child care service
centers established pursuant to this |
5 | | Section to ensure compliance with the
Child Care Act of 1969. |
6 | | The Board shall establish a schedule of fees that
shall be |
7 | | charged for child care services under this Section. The |
8 | | schedule
shall be established so that charges for service are |
9 | | based on the actual cost
of care. Except as otherwise provided |
10 | | by law for employees who may qualify for
public assistance or |
11 | | social services due to indigency or family circumstance,
each |
12 | | employee obtaining child care services under this Section |
13 | | shall be
responsible for full payment of all charges. The |
14 | | Board shall report, on or
before December 31, 1996, to the |
15 | | Governor and the members of the General
Assembly, on the |
16 | | feasibility and implementation of a plan for the provision of
|
17 | | comprehensive child care services.
|
18 | | (c) Prior to contracting for child care services, the |
19 | | Board shall determine
a need for child care services. Proof of |
20 | | need may include a survey of
University employees as well as a |
21 | | determination of the availability of child
care services |
22 | | through other State agencies, or in the community. The Board |
23 | | may
also require submission of a feasibility, design and |
24 | | implementation plan that
takes into consideration similar |
25 | | needs and services of other State
universities.
|
26 | | The Board shall have the sole responsibility for choosing |
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1 | | the successful
bidder and overseeing the operation of its |
2 | | child care service program within
the guidelines established |
3 | | by the Board. The Board shall promulgate rules under
the |
4 | | Illinois Administrative Procedure Act that detail the specific |
5 | | standards to
be used in the selection of a vendor of child care |
6 | | services.
|
7 | | The contract shall provide for the establishment of or |
8 | | arrangement for the
use of a licensed child day care center or |
9 | | a licensed child day care agency, as defined in
the Child Care |
10 | | Act of 1969.
|
11 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
12 | | Section 140. The Northern Illinois University Law is |
13 | | amended by changing Section 30-95 as follows:
|
14 | | (110 ILCS 685/30-95)
|
15 | | Sec. 30-95. Child care services.
|
16 | | (a) For the purposes of this Section, "child care |
17 | | services" means child day
care home or center services as |
18 | | defined by the Child Care Act of 1969.
|
19 | | (b) The Board may contract for the provision of child care |
20 | | services for its
employees. The Board may, in accordance with |
21 | | established rules, allow child day care
centers to operate in |
22 | | State-owned or leased facilities. Such child day care centers
|
23 | | shall be primarily for use by State employees of Northern |
24 | | Illinois University
but use by non-employees may be allowed.
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1 | | Where the Board enters into a contract to construct, |
2 | | acquire or
lease all or a substantial portion of a building, in |
3 | | which more than 50
persons shall be employed, other than a |
4 | | renewal of an existing lease,
and where a need has been |
5 | | demonstrated, according to
subsection (c), on-site child care |
6 | | services shall be provided for
employees of Northern Illinois |
7 | | University.
|
8 | | The Board shall implement this Section and shall |
9 | | promulgate all rules
and regulations necessary for this |
10 | | purpose. By September 1, 1996, the
Board shall propose rules |
11 | | setting forth the standards and criteria,
including need and |
12 | | feasibility, for determining if September child care
services |
13 | | shall be provided. The Board shall consult with the Department |
14 | | of
Children and Family Services in defining standards for |
15 | | child care service
centers established pursuant to this |
16 | | Section to ensure compliance with the
Child Care Act of 1969. |
17 | | The Board shall establish a schedule of fees that
shall be |
18 | | charged for child care services under this Section. The |
19 | | schedule
shall be established so that charges for service are |
20 | | based on the actual cost
of care. Except as otherwise provided |
21 | | by law for employees who may qualify for
public assistance or |
22 | | social services due to indigency or family circumstance,
each |
23 | | employee obtaining child care services under this Section |
24 | | shall be
responsible for full payment of all charges. The |
25 | | Board shall report, on or
before December 31, 1996, to the |
26 | | Governor and the members of the General
Assembly, on the |
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1 | | feasibility and implementation of a plan for the provision of
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2 | | comprehensive child care services.
|
3 | | (c) Prior to contracting for child care services, the |
4 | | Board shall determine
a need for child care services. Proof of |
5 | | need may include a survey of
University employees as well as a |
6 | | determination of the availability of child
care services |
7 | | through other State agencies, or in the community. The Board |
8 | | may
also require submission of a feasibility, design and |
9 | | implementation plan that
takes into consideration similar |
10 | | needs and services of other State
universities.
|
11 | | The Board shall have the sole responsibility for choosing |
12 | | the successful
bidder and overseeing the operation of its |
13 | | child care service program within
the guidelines established |
14 | | by the Board. The Board shall promulgate rules under
the |
15 | | Illinois Administrative Procedure Act that detail the specific |
16 | | standards to
be used in the selection of a vendor of child care |
17 | | services.
|
18 | | The contract shall provide for the establishment of or |
19 | | arrangement for the
use of a licensed child day care center or |
20 | | a licensed child day care agency, as defined in
the Child Care |
21 | | Act of 1969.
|
22 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
23 | | Section 145. The Western Illinois University Law is |
24 | | amended by changing Section 35-95 as follows:
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1 | | (110 ILCS 690/35-95)
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2 | | Sec. 35-95. Child care services.
|
3 | | (a) For the purposes of this Section, "child care |
4 | | services" means child day
care home or center services as |
5 | | defined by the Child Care Act of 1969.
|
6 | | (b) The Board may contract for the provision of child care |
7 | | services for its
employees. The Board may, in accordance with |
8 | | established rules, allow child day care
centers to operate in |
9 | | State-owned or leased facilities. Such child day care centers
|
10 | | shall be primarily for use by State employees of Western |
11 | | Illinois University
but use by non-employees may be allowed.
|
12 | | Where the Board enters into a contract to construct, |
13 | | acquire or
lease all or a substantial portion of a building, in |
14 | | which more than 50
persons shall be employed, other than a |
15 | | renewal of an existing lease,
and where a need has been |
16 | | demonstrated, according to
subsection (c), on-site child care |
17 | | services shall be provided for
employees of Western Illinois |
18 | | University.
|
19 | | The Board shall implement this Section and shall |
20 | | promulgate all rules
and regulations necessary for this |
21 | | purpose. By September 1, 1996, the
Board shall propose rules |
22 | | setting forth the standards and criteria,
including need and |
23 | | feasibility, for determining if September child care
services |
24 | | shall be provided. The Board shall consult with the Department |
25 | | of
Children and Family Services in defining standards for |
26 | | child care service
centers established pursuant to this |
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1 | | Section to ensure compliance with the
Child Care Act of 1969. |
2 | | The Board shall establish a schedule of fees that
shall be |
3 | | charged for child care services under this Section. The |
4 | | schedule
shall be established so that charges for service are |
5 | | based on the actual cost
of care. Except as otherwise provided |
6 | | by law for employees who may qualify for
public assistance or |
7 | | social services due to indigency or family circumstance,
each |
8 | | employee obtaining child care services under this Section |
9 | | shall be
responsible for full payment of all charges. The |
10 | | Board shall report, on or
before December 31, 1996, to the |
11 | | Governor and the members of the General
Assembly, on the |
12 | | feasibility and implementation of a plan for the provision of
|
13 | | comprehensive child care services.
|
14 | | (c) Prior to contracting for child care services, the |
15 | | Board shall determine
a need for child care services. Proof of |
16 | | need may include a survey of
University employees as well as a |
17 | | determination of the availability of child
care services |
18 | | through other State agencies, or in the community. The Board |
19 | | may
also require submission of a feasibility, design and |
20 | | implementation plan that
takes into consideration similar |
21 | | needs and services of other State
universities.
|
22 | | The Board shall have the sole responsibility for choosing |
23 | | the successful
bidder and overseeing the operation of its |
24 | | child care service program within
the guidelines established |
25 | | by the Board. The Board shall promulgate rules under
the |
26 | | Illinois Administrative Procedure Act that detail the specific |
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1 | | standards to
be used in the selection of a vendor of child care |
2 | | services.
|
3 | | The contract shall provide for the establishment of or |
4 | | arrangement for the
use of a licensed child day care center or |
5 | | a licensed child day care agency, as defined in
the Child Care |
6 | | Act of 1969.
|
7 | | (Source: P.A. 89-4, eff. 1-1-96.)
|
8 | | Section 150. The Alternative Health Care Delivery Act is |
9 | | amended by changing Section 35 as follows:
|
10 | | (210 ILCS 3/35)
|
11 | | Sec. 35. Alternative health care models authorized. |
12 | | Notwithstanding
any other law to the contrary, alternative |
13 | | health care models
described in this Section may be |
14 | | established on a demonstration basis.
|
15 | | (1) (Blank).
|
16 | | (2) Alternative health care delivery model; |
17 | | postsurgical recovery care
center. A postsurgical recovery |
18 | | care center is a designated site which
provides |
19 | | postsurgical recovery care for generally healthy patients
|
20 | | undergoing surgical procedures that potentially require |
21 | | overnight nursing care, pain
control, or observation that |
22 | | would otherwise be provided in an inpatient
setting. |
23 | | Patients may be discharged from the postsurgical recovery |
24 | | care center in less than 24 hours if the attending |
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1 | | physician or the facility's medical director believes the |
2 | | patient has recovered enough to be discharged. A |
3 | | postsurgical recovery care center is either freestanding |
4 | | or a
defined unit of an ambulatory surgical treatment |
5 | | center or hospital.
No facility, or portion of a facility, |
6 | | may participate in a demonstration
program as a |
7 | | postsurgical recovery care center unless the facility has |
8 | | been
licensed as an ambulatory surgical treatment center |
9 | | or hospital for at least 2
years before August 20, 1993 |
10 | | (the effective date of Public Act 88-441). The
maximum |
11 | | length of stay for patients in a
postsurgical recovery |
12 | | care center is not to exceed 48 hours unless the treating
|
13 | | physician requests an extension of time from the recovery |
14 | | center's medical
director on the basis of medical or |
15 | | clinical documentation that an additional
care period is |
16 | | required for the recovery of a patient and the medical |
17 | | director
approves the extension of time. In no case, |
18 | | however, shall a patient's length
of stay in a |
19 | | postsurgical recovery care center be longer than 72 hours. |
20 | | If a
patient requires an additional care period after the |
21 | | expiration of the 72-hour
limit, the patient shall be |
22 | | transferred to an appropriate facility. Reports on
|
23 | | variances from the 24-hour or 48-hour limit shall be sent |
24 | | to the Department for its
evaluation. The reports shall, |
25 | | before submission to the Department, have
removed from |
26 | | them all patient and physician identifiers. Blood products |
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1 | | may be administered in the postsurgical recovery care |
2 | | center model. In order to handle
cases of complications, |
3 | | emergencies, or exigent circumstances, every
postsurgical |
4 | | recovery care center as defined in this paragraph shall |
5 | | maintain a
contractual relationship, including a transfer |
6 | | agreement, with a general acute
care hospital. A |
7 | | postsurgical recovery care center shall be no larger than |
8 | | 20
beds. A postsurgical recovery care center shall be |
9 | | located within 15 minutes
travel time from the general |
10 | | acute care hospital with which the center
maintains a |
11 | | contractual relationship, including a transfer agreement, |
12 | | as
required under this paragraph.
|
13 | | No postsurgical recovery care center shall |
14 | | discriminate against any patient
requiring treatment |
15 | | because of the source of payment for services, including
|
16 | | Medicare and Medicaid recipients.
|
17 | | The Department shall adopt rules to implement the |
18 | | provisions of Public
Act 88-441 concerning postsurgical |
19 | | recovery care centers within 9 months after
August 20, |
20 | | 1993. Notwithstanding any other law to the contrary, a |
21 | | postsurgical recovery care center model may provide sleep |
22 | | laboratory or similar sleep studies in accordance with |
23 | | applicable State and federal laws and regulations.
|
24 | | (3) Alternative health care delivery model; children's |
25 | | community-based
health care center. A children's |
26 | | community-based health care center model is a
designated |
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1 | | site that provides nursing care, clinical support |
2 | | services, and
therapies for a period of one to 14 days for |
3 | | short-term stays and 120 days to
facilitate transitions to |
4 | | home or other appropriate settings for medically
fragile |
5 | | children, technology
dependent children, and children with |
6 | | special health care needs who are deemed
clinically stable |
7 | | by a physician and are younger than 22 years of age. This
|
8 | | care is to be provided in a home-like environment that |
9 | | serves no more than 12
children at a time, except that a |
10 | | children's community-based health care center in existence |
11 | | on the effective date of this amendatory Act of the 100th |
12 | | General Assembly that is located in Chicago on grade level |
13 | | for Life Safety Code purposes may provide care to no more |
14 | | than 16 children at a time. Children's community-based |
15 | | health care center
services must be available through the |
16 | | model to all families, including those
whose care is paid |
17 | | for through the Department of Healthcare and Family |
18 | | Services, the Department of
Children and Family Services, |
19 | | the Department of Human Services, and insurance
companies |
20 | | who cover home health care services or private duty |
21 | | nursing care in
the home.
|
22 | | Each children's community-based health care center |
23 | | model location shall be
physically separate and
apart from |
24 | | any other facility licensed by the Department of Public |
25 | | Health under
this or any other Act and shall provide the |
26 | | following services: respite care,
registered nursing or |
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1 | | licensed practical nursing care, transitional care to
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2 | | facilitate home placement or other appropriate settings |
3 | | and reunite families,
medical child day care, weekend
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4 | | camps, and diagnostic studies typically done in the home |
5 | | setting.
|
6 | | Coverage for the services provided by the
Department |
7 | | of Healthcare and Family Services
under this paragraph (3) |
8 | | is contingent upon federal waiver approval and is
provided |
9 | | only to Medicaid eligible clients participating in the |
10 | | home and
community based services waiver designated in |
11 | | Section 1915(c) of the Social
Security Act for medically |
12 | | frail and technologically dependent children or
children |
13 | | in Department of Children and Family Services foster care |
14 | | who receive
home health benefits.
|
15 | | (4) Alternative health care delivery model; community |
16 | | based residential
rehabilitation center.
A community-based |
17 | | residential rehabilitation center model is a designated
|
18 | | site that provides rehabilitation or support, or both, for |
19 | | persons who have
experienced severe brain injury, who are |
20 | | medically stable, and who no longer
require acute |
21 | | rehabilitative care or intense medical or nursing |
22 | | services. The
average length of stay in a community-based |
23 | | residential rehabilitation center
shall not exceed 4 |
24 | | months. As an integral part of the services provided,
|
25 | | individuals are housed in a supervised living setting |
26 | | while having immediate
access to the community. The |
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1 | | residential rehabilitation center authorized by
the |
2 | | Department may have more than one residence included under |
3 | | the license.
A residence may be no larger than 12 beds and |
4 | | shall be located as an integral
part of the community. Day |
5 | | treatment or
individualized outpatient services shall be |
6 | | provided for persons who reside in
their own home. |
7 | | Functional outcome goals shall be established for each
|
8 | | individual. Services shall include, but are not limited |
9 | | to, case management,
training and assistance with |
10 | | activities of daily living, nursing
consultation, |
11 | | traditional therapies (physical, occupational, speech),
|
12 | | functional interventions in the residence and community |
13 | | (job placement,
shopping, banking, recreation), |
14 | | counseling, self-management strategies,
productive |
15 | | activities, and multiple opportunities for skill |
16 | | acquisition and
practice throughout the day. The design of |
17 | | individualized program plans shall
be consistent with the |
18 | | outcome goals that are established for each resident.
The |
19 | | programs provided in this setting shall be accredited by |
20 | | the
Commission
on Accreditation of Rehabilitation |
21 | | Facilities (CARF). The program shall have
been accredited |
22 | | by CARF as a Brain Injury Community-Integrative Program |
23 | | for at
least 3 years.
|
24 | | (5) Alternative health care delivery model; |
25 | | Alzheimer's disease
management center. An Alzheimer's |
26 | | disease management center model is a
designated site that |
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1 | | provides a safe and secure setting for care of persons
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2 | | diagnosed with Alzheimer's disease. An Alzheimer's disease |
3 | | management center
model shall be a facility separate from |
4 | | any other facility licensed by the
Department of Public |
5 | | Health under this or any other Act. An Alzheimer's
disease |
6 | | management center shall conduct and document an assessment |
7 | | of each
resident every 6 months. The assessment shall |
8 | | include an evaluation of daily
functioning, cognitive |
9 | | status, other medical conditions, and behavioral
problems. |
10 | | An Alzheimer's disease management center shall develop and |
11 | | implement
an ongoing treatment plan for each resident. The |
12 | | treatment
plan shall have defined goals.
The
Alzheimer's |
13 | | disease management center shall treat behavioral problems |
14 | | and mood
disorders using nonpharmacologic approaches such |
15 | | as environmental modification,
task simplification, and |
16 | | other appropriate activities.
All staff must have |
17 | | necessary
training to care for all stages of Alzheimer's |
18 | | Disease. An
Alzheimer's disease
management center shall |
19 | | provide education and support for residents and
|
20 | | caregivers. The
education and support shall include |
21 | | referrals to support organizations for
educational |
22 | | materials on community resources, support groups, legal |
23 | | and
financial issues, respite care, and future care needs |
24 | | and options. The
education and support shall also include |
25 | | a discussion of the resident's need to
make advance |
26 | | directives and to identify surrogates for medical and |
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1 | | legal
decision-making. The provisions of this paragraph |
2 | | establish the minimum level
of services that must be |
3 | | provided by an Alzheimer's disease management
center. An |
4 | | Alzheimer's disease management center model shall have no |
5 | | more
than 100 residents. Nothing in this paragraph (5) |
6 | | shall be construed as
prohibiting a person or facility |
7 | | from providing services and care to persons
with |
8 | | Alzheimer's disease as otherwise authorized under State |
9 | | law.
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10 | | (6) Alternative health care delivery model; birth |
11 | | center. A birth
center shall be exclusively dedicated to |
12 | | serving the childbirth-related needs of women and their |
13 | | newborns and shall have no more than 10 beds. A birth |
14 | | center is a designated site
that is away from the mother's |
15 | | usual place of residence and in which births are
planned |
16 | | to occur following a normal, uncomplicated, and low-risk |
17 | | pregnancy. A
birth center shall offer prenatal care and |
18 | | community education services and
shall coordinate these |
19 | | services with other health care services available in
the |
20 | | community.
|
21 | | (A) A birth center shall not be separately |
22 | | licensed if it
is one of the following: |
23 | | (1) A part of a hospital; or |
24 | | (2) A freestanding facility that is physically
|
25 | | distinct from a hospital but is operated under a
|
26 | | license issued to a hospital under the Hospital
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1 | | Licensing Act. |
2 | | (B) A separate birth center license shall be |
3 | | required if the birth center is operated as: |
4 | | (1) A part of the operation of a federally
|
5 | | qualified health center as designated by the |
6 | | United
States Department of Health and Human |
7 | | Services; or |
8 | | (2) A facility other than one described in |
9 | | subparagraph (A)(1), (A)(2), or (B)(1) of this |
10 | | paragraph (6) whose costs are
reimbursable under |
11 | | Title XIX of the federal Social
Security Act. |
12 | | In adopting rules for birth centers, the Department |
13 | | shall consider:
the American Association
of Birth Centers' |
14 | | Standards for Freestanding Birth Centers; the American |
15 | | Academy of Pediatrics/American College of Obstetricians |
16 | | and Gynecologists Guidelines for Perinatal Care; and the |
17 | | Regionalized Perinatal Health Care Code. The Department's |
18 | | rules shall stipulate the eligibility criteria for birth |
19 | | center admission. The Department's rules shall
stipulate |
20 | | the necessary equipment for emergency care
according to |
21 | | the American Association of Birth Centers'
standards and |
22 | | any additional equipment deemed necessary by the |
23 | | Department. The Department's rules shall provide for a |
24 | | time
period within which each birth center not part of a
|
25 | | hospital must become accredited by either the Commission |
26 | | for the
Accreditation of Freestanding Birth Centers or The |
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1 | | Joint Commission. |
2 | | A birth center shall be certified to participate in |
3 | | the Medicare and Medicaid
programs under Titles XVIII and |
4 | | XIX, respectively, of the federal Social
Security Act.
To |
5 | | the extent necessary, the Illinois Department of |
6 | | Healthcare and Family Services shall apply for
a waiver |
7 | | from the United States Health Care Financing |
8 | | Administration to allow
birth centers to be reimbursed |
9 | | under Title XIX of the federal Social Security
Act. |
10 | | A birth center that is not operated under a hospital |
11 | | license shall be located within a ground travel time |
12 | | distance from the general acute care hospital with which
|
13 | | the birth center maintains a contractual relationship,
|
14 | | including a transfer agreement, as required under this
|
15 | | paragraph, that allows for an emergency caesarian delivery |
16 | | to be started within 30 minutes of the decision a |
17 | | caesarian delivery is necessary. A birth center operating |
18 | | under a hospital license shall be located within a ground |
19 | | travel time distance from the licensed hospital that |
20 | | allows for an emergency caesarian delivery to be started |
21 | | within 30 minutes of the decision a caesarian delivery is |
22 | | necessary. |
23 | | The services of a
medical director physician, licensed |
24 | | to practice medicine in all its branches, who is certified |
25 | | or eligible for certification by the
American College of |
26 | | Obstetricians and Gynecologists or the
American Board of |
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1 | | Osteopathic Obstetricians and Gynecologists or has |
2 | | hospital
obstetrical privileges are required in birth |
3 | | centers. The medical director in consultation with the |
4 | | Director of Nursing and Midwifery Services shall |
5 | | coordinate the clinical staff and overall provision of |
6 | | patient care.
The medical director or his or her physician |
7 | | designee shall be available on the premises or within a |
8 | | close proximity as defined by rule. The medical director |
9 | | and the Director of Nursing and Midwifery Services shall |
10 | | jointly develop and approve policies defining the criteria |
11 | | to determine which pregnancies are accepted as normal, |
12 | | uncomplicated, and low-risk, and the anesthesia services |
13 | | available at the center. No general anesthesia may be |
14 | | administered at the center. |
15 | | If a birth center employs
certified nurse midwives, a |
16 | | certified nurse midwife shall be the Director of
Nursing |
17 | | and Midwifery
Services who is responsible for the |
18 | | development of policies and procedures for
services as |
19 | | provided by Department rules. |
20 | | An obstetrician, family
practitioner, or certified |
21 | | nurse midwife shall attend each woman in labor from
the |
22 | | time of admission through birth and throughout the |
23 | | immediate postpartum
period. Attendance may be delegated |
24 | | only to another physician or certified
nurse
midwife. |
25 | | Additionally, a second staff person shall also be present |
26 | | at each
birth who is licensed or certified in Illinois in a |
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1 | | health-related field and under the supervision of the |
2 | | physician or certified nurse midwife
in attendance, has |
3 | | specialized training in labor and delivery techniques and
|
4 | | care of newborns, and receives planned and ongoing |
5 | | training as needed to
perform assigned duties effectively. |
6 | | The maximum length of stay in a birth center shall be
|
7 | | consistent with existing State laws allowing a 48-hour |
8 | | stay or appropriate
post-delivery care, if discharged |
9 | | earlier than 48 hours. |
10 | | A birth center shall
participate in the Illinois |
11 | | Perinatal
System under the Developmental Disability |
12 | | Prevention Act. At a minimum, this
participation shall |
13 | | require a birth center to establish a letter of agreement
|
14 | | with a hospital designated under the Perinatal System. A |
15 | | hospital that
operates or has a letter of agreement with a |
16 | | birth center shall include the
birth center under its |
17 | | maternity service plan under the Hospital Licensing Act
|
18 | | and shall include the birth center in the hospital's |
19 | | letter of agreement with
its regional perinatal center. |
20 | | A birth center may not discriminate against any |
21 | | patient requiring treatment
because of the source of |
22 | | payment for services, including Medicare and Medicaid
|
23 | | recipients. |
24 | | No general anesthesia and no surgery may be performed |
25 | | at a birth center.
The Department may by rule add birth |
26 | | center patient eligibility criteria or standards as it |
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1 | | deems necessary.
The Department shall by rule require each |
2 | | birth center to report the information which the |
3 | | Department shall make publicly available, which shall |
4 | | include, but is not limited to, the following: |
5 | | (i) Birth center ownership. |
6 | | (ii) Sources of payment for services. |
7 | | (iii) Utilization data involving patient length of |
8 | | stay. |
9 | | (iv) Admissions and discharges. |
10 | | (v) Complications. |
11 | | (vi) Transfers. |
12 | | (vii) Unusual incidents. |
13 | | (viii) Deaths. |
14 | | (ix) Any other publicly reported data required |
15 | | under the Illinois Consumer Guide. |
16 | | (x) Post-discharge patient status data where |
17 | | patients are followed for 14 days after discharge from |
18 | | the birth center to determine whether the mother or |
19 | | baby developed a complication or infection. |
20 | | Within 9 months after the effective date of this |
21 | | amendatory Act of the 95th
General Assembly, the |
22 | | Department shall adopt rules that are developed with |
23 | | consideration of: the American Association of Birth |
24 | | Centers' Standards for Freestanding Birth Centers; the |
25 | | American Academy of Pediatrics/American College of |
26 | | Obstetricians and Gynecologists Guidelines for Perinatal |
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1 | | Care; and the Regionalized Perinatal Health Care Code. |
2 | | The Department shall adopt other rules as necessary to |
3 | | implement the provisions of this
amendatory Act of the |
4 | | 95th General Assembly within 9 months after the
effective |
5 | | date of this amendatory Act of the 95th General Assembly. |
6 | | (Source: P.A. 100-518, eff. 12-8-17 (see Section 5 of P.A. |
7 | | 100-558 for the effective date of changes made by P.A. |
8 | | 100-518).)
|
9 | | Section 155. The MC/DD Act is amended by changing Section |
10 | | 1-114.001 as follows:
|
11 | | (210 ILCS 46/1-114.001)
|
12 | | Sec. 1-114.001. Habilitation. "Habilitation" means an |
13 | | effort directed toward increasing a person's level of |
14 | | physical, mental, social, or economic functioning. |
15 | | Habilitation may include, but is not limited to, diagnosis, |
16 | | evaluation, medical services, residential care, child day |
17 | | care, special living arrangements, training, education, |
18 | | employment services, protective services, and counseling.
|
19 | | (Source: P.A. 99-180, eff. 7-29-15.)
|
20 | | Section 160. The ID/DD Community Care Act is amended by |
21 | | changing Section 1-114.001 as follows:
|
22 | | (210 ILCS 47/1-114.001) |
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1 | | Sec. 1-114.001. Habilitation. "Habilitation" means an |
2 | | effort directed toward increasing a person's level of |
3 | | physical, mental, social, or economic functioning. |
4 | | Habilitation may include, but is not limited to, diagnosis, |
5 | | evaluation, medical services, residential care, child day |
6 | | care, special living arrangements, training, education, |
7 | | employment services, protective services, and counseling.
|
8 | | (Source: P.A. 97-38, eff. 6-28-11.)
|
9 | | Section 165. The Hospital Licensing Act is amended by |
10 | | changing Section 6.13 as follows:
|
11 | | (210 ILCS 85/6.13) (from Ch. 111 1/2, par. 147.13)
|
12 | | Sec. 6.13.
Any hospital licensed under this Act may |
13 | | provide a program
or service for the temporary custodial care |
14 | | of mildly ill children who,
because of their illness, are |
15 | | unable to attend school or to participate in
their normal |
16 | | child day care program. The Department shall develop minimum
|
17 | | standards, rules and regulations to govern the operation of a |
18 | | sick child
day program which is operated by a hospital and |
19 | | located on the hospital's
licensed premises. Any such |
20 | | standards, rules and regulations shall provide
that:
|
21 | | (a) a sick child day program may be located anywhere on the |
22 | | hospital's
licensed premises, including patient care units, |
23 | | when the following
conditions are met:
|
24 | | (1) Children in the sick child day program shall not |
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1 | | simultaneously
occupy the same room as a hospital patient; |
2 | | and
|
3 | | (2) Children in the sick child day program who are |
4 | | recovering from
non-contagious conditions shall be cared |
5 | | for in a room separate from
children registered in the |
6 | | program who have contagious conditions.
|
7 | | (b) children registered in a sick child day program are |
8 | | not considered
to be hospital patients, and are not required |
9 | | to be under the professional
care of a member of the hospital's |
10 | | medical staff except in those cases
where emergency medical |
11 | | treatment is needed during the time the child is on
the program |
12 | | premises; and
|
13 | | (c) medication may be administered to a child in a sick |
14 | | child program
when the following conditions are met:
|
15 | | (1) Prescription medications shall be labeled with the |
16 | | child's name,
directions for administering the medication, |
17 | | the date, the physician's
name, the prescription number, |
18 | | and the dispensing drug store or pharmacy.
Only current |
19 | | prescription medications will be administered by the |
20 | | program.
Nothing in this paragraph (1) shall be construed |
21 | | to prohibit program staff
from administering medication |
22 | | prescribed by any licensed
professional who is permitted |
23 | | by law to do so, whether or not the
professional is a |
24 | | member of the hospital's medical staff.
|
25 | | (2) Written parental permission shall be obtained |
26 | | before
non-prescription medication is administered. Such |
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1 | | medication shall be
administered in accordance with |
2 | | package instructions.
|
3 | | (Source: P.A. 86-1461; 87-435.)
|
4 | | Section 170. The Illinois Insurance Code is amended by |
5 | | changing Sections 155.31, 1204, and 1630 as follows:
|
6 | | (215 ILCS 5/155.31)
|
7 | | Sec. 155.31. Child Day care and group child day care |
8 | | homes; coverage.
|
9 | | (a) No insurer providing insurance coverage, as defined in |
10 | | subsection (b)
of
Section 143.13 of this Code, shall nonrenew |
11 | | or cancel an insurance policy on a child
day care home or group |
12 | | child day care home, as defined in the Child Care Act of 1969,
|
13 | | solely on the basis that the insured operates a duly licensed |
14 | | child day care home or
group child day care home on the insured |
15 | | premises.
|
16 | | (b) An insurer providing such insurance coverage to a |
17 | | licensed child day care home
or licensed group child day care |
18 | | home may provide such coverage with a separate
policy or |
19 | | endorsement to a policy of fire and extended coverage |
20 | | insurance, as
defined in subsection (b) of Section 143.13.
|
21 | | (c) Notwithstanding subsections (a) and (b) of this |
22 | | Section, the insurer
providing such coverage shall be allowed |
23 | | to cancel or nonrenew an insurance
policy on a child day care |
24 | | home or group child day care home based upon the authority
|
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1 | | provided under Sections 143.21 and 143.21.1 of this Code.
|
2 | | (Source: P.A. 90-401, eff. 1-1-98; 90-655, eff. 7-30-98.)
|
3 | | (215 ILCS 5/1204) (from Ch. 73, par. 1065.904)
|
4 | | (Text of Section WITH the changes made by P.A. 94-677, |
5 | | which has been held
unconstitutional) |
6 | | Sec. 1204. (A) The Secretary shall promulgate rules and |
7 | | regulations
which shall require each insurer licensed to write |
8 | | property or casualty
insurance in the State and each syndicate |
9 | | doing business on the Illinois
Insurance Exchange to record |
10 | | and report its loss and expense experience
and other data as |
11 | | may be necessary to assess the relationship of
insurance |
12 | | premiums and related income as compared to insurance costs and
|
13 | | expenses. The Secretary may designate one or more rate service
|
14 | | organizations or advisory organizations to gather and compile |
15 | | such
experience and data. The Secretary shall require each |
16 | | insurer licensed to
write property or casualty insurance in |
17 | | this State and each syndicate doing
business on the Illinois |
18 | | Insurance Exchange to submit a report, on
a form furnished by |
19 | | the Secretary, showing its direct writings in this
State and |
20 | | companywide.
|
21 | | (B) Such report required by subsection (A) of this Section |
22 | | may include,
but not be limited to, the following specific |
23 | | types of insurance written by
such insurer:
|
24 | | (1) Political subdivision liability insurance reported |
25 | | separately in the
following categories:
|
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1 | | (a) municipalities;
|
2 | | (b) school districts;
|
3 | | (c) other political subdivisions;
|
4 | | (2) Public official liability insurance;
|
5 | | (3) Dram shop liability insurance;
|
6 | | (4) Child Day care center liability insurance;
|
7 | | (5) Labor, fraternal or religious organizations |
8 | | liability insurance;
|
9 | | (6) Errors and omissions liability insurance;
|
10 | | (7) Officers and directors liability insurance |
11 | | reported separately as
follows:
|
12 | | (a) non-profit entities;
|
13 | | (b) for-profit entities;
|
14 | | (8) Products liability insurance;
|
15 | | (9) Medical malpractice insurance;
|
16 | | (10) Attorney malpractice insurance;
|
17 | | (11) Architects and engineers malpractice insurance; |
18 | | and
|
19 | | (12) Motor vehicle insurance reported separately for |
20 | | commercial and
private passenger vehicles as follows:
|
21 | | (a) motor vehicle physical damage insurance;
|
22 | | (b) motor vehicle liability insurance.
|
23 | | (C) Such report may include, but need not be limited to the |
24 | | following data,
both
specific to this State and companywide, |
25 | | in the aggregate or by type of
insurance for the previous year |
26 | | on a calendar year basis:
|
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1 | | (1) Direct premiums written;
|
2 | | (2) Direct premiums earned;
|
3 | | (3) Number of policies;
|
4 | | (4) Net investment income, using appropriate estimates |
5 | | where necessary;
|
6 | | (5) Losses paid;
|
7 | | (6) Losses incurred;
|
8 | | (7) Loss reserves:
|
9 | | (a) Losses unpaid on reported claims;
|
10 | | (b) Losses unpaid on incurred but not reported |
11 | | claims;
|
12 | | (8) Number of claims:
|
13 | | (a) Paid claims;
|
14 | | (b) Arising claims;
|
15 | | (9) Loss adjustment expenses:
|
16 | | (a) Allocated loss adjustment expenses;
|
17 | | (b) Unallocated loss adjustment expenses;
|
18 | | (10) Net underwriting gain or loss;
|
19 | | (11) Net operation gain or loss, including net |
20 | | investment income;
|
21 | | (12) Any other information requested by the Secretary.
|
22 | | (C-3) Additional information by an advisory organization |
23 | | as defined in Section 463 of this Code. |
24 | | (1) An advisory organization as defined in Section 463 |
25 | | of this Code shall report annually the following |
26 | | information in such format as may be prescribed by the |
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1 | | Secretary: |
2 | | (a) paid and incurred losses for each of the past |
3 | | 10 years; |
4 | | (b) medical payments and medical charges, if |
5 | | collected, for each of the past 10 years; |
6 | | (c) the following indemnity payment information:
|
7 | | cumulative payments by accident year by calendar year |
8 | | of
development. This array will show payments made and |
9 | | frequency of claims in the following categories: |
10 | | medical only, permanent partial disability (PPD), |
11 | | permanent total
disability (PTD), temporary total |
12 | | disability (TTD), and fatalities; |
13 | | (d) injuries by frequency and severity; |
14 | | (e) by class of employee. |
15 | | (2) The report filed with the Secretary of Financial |
16 | | and Professional Regulation under paragraph (1) of this
|
17 | | subsection (C-3) shall be made available, on an aggregate |
18 | | basis, to the General
Assembly and to the general public. |
19 | | The identity of the petitioner, the respondent, the |
20 | | attorneys, and the insurers shall not be disclosed.
|
21 | | (3) Reports required under this
subsection (C-3)
shall |
22 | | be filed with the Secretary no later than September 1 in |
23 | | 2006 and no later than September 1 of each year |
24 | | thereafter.
|
25 | | (C-5) Additional information required from medical |
26 | | malpractice insurers. |
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1 | | (1) In addition to the other requirements of this |
2 | | Section, the following information shall be included in |
3 | | the report required by subsection (A) of this Section in |
4 | | such form and under such terms and conditions as may be |
5 | | prescribed by the Secretary: |
6 | | (a) paid and incurred losses by county for each of |
7 | | the past 10 policy years; |
8 | | (b) earned exposures by ISO code, policy type, and |
9 | | policy year by county for each of the past 10 years; |
10 | | and |
11 | | (c) the following actuarial information: |
12 | | (i) Base class and territory equivalent |
13 | | exposures by report year by relative accident |
14 | | year. |
15 | | (ii) Cumulative loss array by accident year by |
16 | | calendar year of development. This array will show |
17 | | frequency of claims in the following categories: |
18 | | open, closed with indemnity (CWI), closed with |
19 | | expense (CWE), and closed no pay (CNP); paid |
20 | | severity in the following categories: indemnity |
21 | | and allocated loss adjustment expenses (ALAE) on |
22 | | closed claims;
and indemnity and expense reserves |
23 | | on pending claims. |
24 | | (iii) Cumulative loss array by report year by |
25 | | calendar year of development. This array will show |
26 | | frequency of claims in the following categories: |
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1 | | open, closed with indemnity (CWI), closed with |
2 | | expense (CWE), and closed no pay (CNP); paid |
3 | | severity in the following categories: indemnity |
4 | | and allocated loss adjustment expenses (ALAE) on |
5 | | closed claims; and indemnity and expense reserves |
6 | | on pending claims. |
7 | | (iv) Maturity year and tail factors. |
8 | | (v) Any expense, contingency ddr (death, |
9 | | disability, and retirement), commission, tax, |
10 | | and/or off-balance factors. |
11 | | (2) The following information must also be annually |
12 | | provided to the Department:
|
13 | | (a) copies of the company's reserve and surplus |
14 | | studies; and |
15 | | (b) consulting actuarial report and data |
16 | | supporting the company's rate
filing. |
17 | | (3) All information collected by the Secretary under |
18 | | paragraphs (1) and (2) shall be made available, on a |
19 | | company-by-company basis, to the General Assembly and the |
20 | | general public. This provision shall supersede any other |
21 | | provision of State law that may otherwise protect such |
22 | | information from public disclosure as confidential.
|
23 | | (D) In addition to the information which may be requested |
24 | | under
subsection (C), the Secretary may also request on a |
25 | | companywide, aggregate
basis, Federal Income Tax recoverable, |
26 | | net realized capital gain or loss,
net unrealized capital gain |
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1 | | or loss, and all other expenses not requested
in subsection |
2 | | (C) above.
|
3 | | (E) Violations - Suspensions - Revocations.
|
4 | | (1) Any company or person
subject to this Article, who |
5 | | willfully or repeatedly fails to observe or who
otherwise |
6 | | violates any of the provisions of this Article or any rule |
7 | | or
regulation promulgated by the Secretary under authority |
8 | | of this Article or any
final order of the Secretary |
9 | | entered under the authority of this Article shall
by civil |
10 | | penalty forfeit to the State of Illinois a sum not to |
11 | | exceed
$2,000. Each day during which a violation occurs |
12 | | constitutes a
separate
offense.
|
13 | | (2) No forfeiture liability under paragraph (1) of |
14 | | this subsection may
attach unless a written notice of |
15 | | apparent liability has been issued by the
Secretary and |
16 | | received by the respondent, or the Secretary sends written
|
17 | | notice of apparent liability by registered or certified |
18 | | mail, return
receipt requested, to the last known address |
19 | | of the respondent. Any
respondent so notified must be |
20 | | granted an opportunity to request a hearing
within 10 days |
21 | | from receipt of notice, or to show in writing, why he |
22 | | should
not be held liable. A notice issued under this |
23 | | Section must set forth the
date, facts and nature of the |
24 | | act or omission with which the respondent is
charged and |
25 | | must specifically identify the particular provision of |
26 | | this
Article, rule, regulation or order of which a |
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1 | | violation is charged.
|
2 | | (3) No forfeiture liability under paragraph (1) of |
3 | | this subsection may
attach for any violation occurring |
4 | | more than 2 years prior to the date of
issuance of the |
5 | | notice of apparent liability and in no event may the total
|
6 | | civil penalty forfeiture imposed for the acts or omissions |
7 | | set forth in any
one notice of apparent liability exceed |
8 | | $100,000.
|
9 | | (4) All administrative hearings conducted pursuant to |
10 | | this Article are
subject to 50 Ill. Adm. Code 2402 and all |
11 | | administrative hearings are
subject to the Administrative |
12 | | Review Law.
|
13 | | (5) The civil penalty forfeitures provided for in this |
14 | | Section are
payable to the General Revenue Fund of the |
15 | | State of Illinois, and may be
recovered in a civil suit in |
16 | | the name of the State of Illinois brought in
the Circuit |
17 | | Court in Sangamon County or in the Circuit Court of the |
18 | | county
where the respondent is domiciled or has its |
19 | | principal operating office.
|
20 | | (6) In any case where the Secretary issues a notice of |
21 | | apparent liability
looking toward the imposition of a |
22 | | civil penalty forfeiture under this
Section that fact may |
23 | | not be used in any other proceeding before the
Secretary |
24 | | to the prejudice of the respondent to whom the notice was |
25 | | issued,
unless (a) the civil penalty forfeiture has been |
26 | | paid, or (b) a court has
ordered payment of the civil |
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1 | | penalty forfeiture and that order has become
final.
|
2 | | (7) When any person or company has a license or |
3 | | certificate of authority
under this Code and knowingly |
4 | | fails or refuses to comply with a lawful
order of the |
5 | | Secretary requiring compliance with this Article, entered |
6 | | after
notice and hearing, within the period of time |
7 | | specified in the order, the
Secretary may, in addition to |
8 | | any other penalty or authority
provided, revoke or refuse |
9 | | to renew the license or certificate of authority
of such |
10 | | person
or company, or may suspend the license or |
11 | | certificate of authority
of such
person or company until |
12 | | compliance with such order has been obtained.
|
13 | | (8) When any person or company has a license or |
14 | | certificate of authority
under this Code and knowingly |
15 | | fails or refuses to comply with any
provisions of this |
16 | | Article, the Secretary may, after notice and hearing, in
|
17 | | addition to any other penalty provided, revoke or refuse |
18 | | to renew the
license or certificate of authority of such |
19 | | person or company, or may
suspend the license or |
20 | | certificate of authority of such person or company,
until |
21 | | compliance with such provision of this Article has been |
22 | | obtained.
|
23 | | (9) No suspension or revocation under this Section may |
24 | | become effective
until 5 days from the date that the |
25 | | notice of suspension or revocation has
been personally |
26 | | delivered or delivered by registered or certified mail to
|
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1 | | the company or person. A suspension or revocation under |
2 | | this Section is
stayed upon the filing, by the company or |
3 | | person, of a petition for
judicial review under the |
4 | | Administrative Review Law.
|
5 | | (Source: P.A. 94-277, eff. 7-20-05; 94-677, eff. 8-25-05 ; |
6 | | 95-331, eff. 8-21-07.)
|
7 | | (Text of Section WITHOUT the changes made by P.A. 94-677, |
8 | | which has been held
unconstitutional) |
9 | | Sec. 1204. (A) The Director shall promulgate rules and |
10 | | regulations
which shall require each insurer licensed to write |
11 | | property or casualty
insurance in the State and each syndicate |
12 | | doing business on the Illinois
Insurance Exchange to record |
13 | | and report its loss and expense experience
and other data as |
14 | | may be necessary to assess the relationship of
insurance |
15 | | premiums and related income as compared to insurance costs and
|
16 | | expenses. The Director may designate one or more rate service
|
17 | | organizations or advisory organizations to gather and compile |
18 | | such
experience and data. The Director shall require each |
19 | | insurer licensed to
write property or casualty insurance in |
20 | | this State and each syndicate doing
business on the Illinois |
21 | | Insurance Exchange to submit a report, on
a form furnished by |
22 | | the Director, showing its direct writings in this
State and |
23 | | companywide.
|
24 | | (B) Such report required by subsection (A) of this Section |
25 | | may include,
but not be limited to, the following specific |
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1 | | types of insurance written by
such insurer:
|
2 | | (1) Political subdivision liability insurance reported |
3 | | separately in the
following categories:
|
4 | | (a) municipalities;
|
5 | | (b) school districts;
|
6 | | (c) other political subdivisions;
|
7 | | (2) Public official liability insurance;
|
8 | | (3) Dram shop liability insurance;
|
9 | | (4) Child Day care center liability insurance;
|
10 | | (5) Labor, fraternal or religious organizations |
11 | | liability insurance;
|
12 | | (6) Errors and omissions liability insurance;
|
13 | | (7) Officers and directors liability insurance |
14 | | reported separately as
follows:
|
15 | | (a) non-profit entities;
|
16 | | (b) for-profit entities;
|
17 | | (8) Products liability insurance;
|
18 | | (9) Medical malpractice insurance;
|
19 | | (10) Attorney malpractice insurance;
|
20 | | (11) Architects and engineers malpractice insurance; |
21 | | and
|
22 | | (12) Motor vehicle insurance reported separately for |
23 | | commercial and
private passenger vehicles as follows:
|
24 | | (a) motor vehicle physical damage insurance;
|
25 | | (b) motor vehicle liability insurance.
|
26 | | (C) Such report may include, but need not be limited to the |
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1 | | following data,
both
specific to this State and companywide, |
2 | | in the aggregate or by type of
insurance for the previous year |
3 | | on a calendar year basis:
|
4 | | (1) Direct premiums written;
|
5 | | (2) Direct premiums earned;
|
6 | | (3) Number of policies;
|
7 | | (4) Net investment income, using appropriate estimates |
8 | | where necessary;
|
9 | | (5) Losses paid;
|
10 | | (6) Losses incurred;
|
11 | | (7) Loss reserves:
|
12 | | (a) Losses unpaid on reported claims;
|
13 | | (b) Losses unpaid on incurred but not reported |
14 | | claims;
|
15 | | (8) Number of claims:
|
16 | | (a) Paid claims;
|
17 | | (b) Arising claims;
|
18 | | (9) Loss adjustment expenses:
|
19 | | (a) Allocated loss adjustment expenses;
|
20 | | (b) Unallocated loss adjustment expenses;
|
21 | | (10) Net underwriting gain or loss;
|
22 | | (11) Net operation gain or loss, including net |
23 | | investment income;
|
24 | | (12) Any other information requested by the Director.
|
25 | | (C-3) Additional information by an advisory organization |
26 | | as defined in Section 463 of this Code. |
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1 | | (1) An advisory organization as defined in Section 463 |
2 | | of this Code shall report annually the following |
3 | | information in such format as may be prescribed by the |
4 | | Secretary: |
5 | | (a) paid and incurred losses for each of the past |
6 | | 10 years; |
7 | | (b) medical payments and medical charges, if |
8 | | collected, for each of the past 10 years; |
9 | | (c) the following indemnity payment information:
|
10 | | cumulative payments by accident year by calendar year |
11 | | of
development. This array will show payments made and |
12 | | frequency of claims in the following categories: |
13 | | medical only, permanent partial disability (PPD), |
14 | | permanent total
disability (PTD), temporary total |
15 | | disability (TTD), and fatalities; |
16 | | (d) injuries by frequency and severity; |
17 | | (e) by class of employee. |
18 | | (2) The report filed with the Secretary of Financial |
19 | | and Professional Regulation under paragraph (1) of this
|
20 | | subsection (C-3) shall be made available, on an aggregate |
21 | | basis, to the General
Assembly and to the general public. |
22 | | The identity of the petitioner, the respondent, the |
23 | | attorneys, and the insurers shall not be disclosed.
|
24 | | (3) Reports required under this
subsection (C-3) shall |
25 | | be filed with the Secretary no later than September 1 in |
26 | | 2006 and no later than September 1 of each year |
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1 | | thereafter.
|
2 | | (D) In addition to the information which may be requested |
3 | | under
subsection (C), the Director may also request on a |
4 | | companywide, aggregate
basis, Federal Income Tax recoverable, |
5 | | net realized capital gain or loss,
net unrealized capital gain |
6 | | or loss, and all other expenses not requested
in subsection |
7 | | (C) above.
|
8 | | (E) Violations - Suspensions - Revocations.
|
9 | | (1) Any company or person
subject to this Article, who |
10 | | willfully or repeatedly fails to observe or who
otherwise |
11 | | violates any of the provisions of this Article or any rule |
12 | | or
regulation promulgated by the Director under authority |
13 | | of this Article or any
final order of the Director entered |
14 | | under the authority of this Article shall
by civil penalty |
15 | | forfeit to the State of Illinois a sum not to exceed
|
16 | | $2,000. Each day during which a violation occurs |
17 | | constitutes a
separate
offense.
|
18 | | (2) No forfeiture liability under paragraph (1) of |
19 | | this subsection may
attach unless a written notice of |
20 | | apparent liability has been issued by the
Director and |
21 | | received by the respondent, or the Director sends written
|
22 | | notice of apparent liability by registered or certified |
23 | | mail, return
receipt requested, to the last known address |
24 | | of the respondent. Any
respondent so notified must be |
25 | | granted an opportunity to request a hearing
within 10 days |
26 | | from receipt of notice, or to show in writing, why he |
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1 | | should
not be held liable. A notice issued under this |
2 | | Section must set forth the
date, facts and nature of the |
3 | | act or omission with which the respondent is
charged and |
4 | | must specifically identify the particular provision of |
5 | | this
Article, rule, regulation or order of which a |
6 | | violation is charged.
|
7 | | (3) No forfeiture liability under paragraph (1) of |
8 | | this subsection may
attach for any violation occurring |
9 | | more than 2 years prior to the date of
issuance of the |
10 | | notice of apparent liability and in no event may the total
|
11 | | civil penalty forfeiture imposed for the acts or omissions |
12 | | set forth in any
one notice of apparent liability exceed |
13 | | $100,000.
|
14 | | (4) All administrative hearings conducted pursuant to |
15 | | this Article are
subject to 50 Ill. Adm. Code 2402 and all |
16 | | administrative hearings are
subject to the Administrative |
17 | | Review Law.
|
18 | | (5) The civil penalty forfeitures provided for in this |
19 | | Section are
payable to the General Revenue Fund of the |
20 | | State of Illinois, and may be
recovered in a civil suit in |
21 | | the name of the State of Illinois brought in
the Circuit |
22 | | Court in Sangamon County or in the Circuit Court of the |
23 | | county
where the respondent is domiciled or has its |
24 | | principal operating office.
|
25 | | (6) In any case where the Director issues a notice of |
26 | | apparent liability
looking toward the imposition of a |
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1 | | civil penalty forfeiture under this
Section that fact may |
2 | | not be used in any other proceeding before the
Director to |
3 | | the prejudice of the respondent to whom the notice was |
4 | | issued,
unless (a) the civil penalty forfeiture has been |
5 | | paid, or (b) a court has
ordered payment of the civil |
6 | | penalty forfeiture and that order has become
final.
|
7 | | (7) When any person or company has a license or |
8 | | certificate of authority
under this Code and knowingly |
9 | | fails or refuses to comply with a lawful
order of the |
10 | | Director requiring compliance with this Article, entered |
11 | | after
notice and hearing, within the period of time |
12 | | specified in the order, the
Director may, in addition to |
13 | | any other penalty or authority
provided, revoke or refuse |
14 | | to renew the license or certificate of authority
of such |
15 | | person
or company, or may suspend the license or |
16 | | certificate of authority
of such
person or company until |
17 | | compliance with such order has been obtained.
|
18 | | (8) When any person or company has a license or |
19 | | certificate of authority
under this Code and knowingly |
20 | | fails or refuses to comply with any
provisions of this |
21 | | Article, the Director may, after notice and hearing, in
|
22 | | addition to any other penalty provided, revoke or refuse |
23 | | to renew the
license or certificate of authority of such |
24 | | person or company, or may
suspend the license or |
25 | | certificate of authority of such person or company,
until |
26 | | compliance with such provision of this Article has been |
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1 | | obtained.
|
2 | | (9) No suspension or revocation under this Section may |
3 | | become effective
until 5 days from the date that the |
4 | | notice of suspension or revocation has
been personally |
5 | | delivered or delivered by registered or certified mail to
|
6 | | the company or person. A suspension or revocation under |
7 | | this Section is
stayed upon the filing, by the company or |
8 | | person, of a petition for
judicial review under the |
9 | | Administrative Review Law.
|
10 | | (Source: P.A. 94-277, eff. 7-20-05; 95-331, eff. 8-21-07.)
|
11 | | (215 ILCS 5/1630) |
12 | | Sec. 1630. Definitions. As used in this Article: |
13 | | "Aggregator site" means a website that provides access to |
14 | | information regarding insurance products from more than one |
15 | | insurer, including product and insurer information, for use in |
16 | | comparison shopping. |
17 | | "Blanket travel insurance" means a policy of travel |
18 | | insurance issued to any eligible group providing coverage for |
19 | | specific classes of persons defined in the policy with |
20 | | coverage provided to all members of the eligible group without |
21 | | a separate charge to individual members of the eligible group. |
22 | | "Cancellation fee waiver" means a contractual agreement |
23 | | between a supplier of travel services and its customer to |
24 | | waive some or all of the nonrefundable cancellation fee |
25 | | provisions of the supplier's underlying travel contract with |
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1 | | or without regard to the reason for the cancellation or form of |
2 | | reimbursement. A "cancellation fee waiver" is not insurance. |
3 | | "Eligible group", solely for the purposes of travel |
4 | | insurance, means 2 or more persons who are engaged in a common |
5 | | enterprise, or have an economic, educational, or social |
6 | | affinity or relationship, including, but not limited to, any |
7 | | of the following: |
8 | | (1) any entity engaged in the business of providing |
9 | | travel or travel services, including, but not limited to: |
10 | | tour operators, lodging providers, vacation property |
11 | | owners, hotels and resorts, travel clubs, travel agencies, |
12 | | property managers, cultural exchange programs, and common |
13 | | carriers or the operator, owner, or lessor of a means of |
14 | | transportation of passengers, including, but not limited |
15 | | to, airlines, cruise lines, railroads, steamship |
16 | | companies, and public bus carriers, wherein with regard to |
17 | | any particular travel or type of travel or travelers, all |
18 | | members or customers of the group must have a common |
19 | | exposure to risk attendant to such travel; |
20 | | (2) any college, school, or other institution of |
21 | | learning covering students, teachers, employees, or |
22 | | volunteers; |
23 | | (3) any employer covering any group of employees, |
24 | | volunteers, contractors, board of directors, dependents, |
25 | | or guests; |
26 | | (4) any sports team, camp, or sponsor of any sports |
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1 | | team or camp covering participants, members, campers, |
2 | | employees, officials, supervisors, or volunteers; |
3 | | (5) any religious, charitable, recreational, |
4 | | educational, or civic organization, or branch of an |
5 | | organization covering any group of members, participants, |
6 | | or volunteers; |
7 | | (6) any financial institution or financial institution |
8 | | vendor, or parent holding company, trustee, or agent of or |
9 | | designated by one or more financial institutions or |
10 | | financial institution vendors, including account holders, |
11 | | credit card holders, debtors, guarantors, or purchasers; |
12 | | (7) any incorporated or unincorporated association, |
13 | | including labor unions, having a common interest, |
14 | | constitution and bylaws, and organized and maintained in |
15 | | good faith for purposes other than obtaining insurance for |
16 | | members or participants of such association covering its |
17 | | members; |
18 | | (8) any trust or the trustees of a fund established, |
19 | | created, or maintained for the benefit of and covering |
20 | | members, employees or customers, subject to the Director's |
21 | | permitting the use of a trust and the State's premium tax |
22 | | provisions, of one or more associations meeting the |
23 | | requirements of paragraph (7) of this definition; |
24 | | (9) any entertainment production company covering any |
25 | | group of participants, volunteers, audience members, |
26 | | contestants, or workers; |
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1 | | (10) any volunteer fire department, ambulance, rescue, |
2 | | police, court, or any first aid, civil defense, or other |
3 | | such volunteer group; |
4 | | (11) preschools, child day care institutions for |
5 | | children or adults, and senior citizen clubs; |
6 | | (12) any automobile or truck rental or leasing company |
7 | | covering a group of individuals who may become renters, |
8 | | lessees, or passengers defined by their travel status on |
9 | | the rented or leased vehicles. The common carrier, the |
10 | | operator, owner or lessor of a means of transportation, or |
11 | | the automobile or truck rental or leasing company, is the |
12 | | policyholder under a policy to which this Section applies; |
13 | | or |
14 | | (13) any other group where the Director has determined |
15 | | that the members are engaged in a common enterprise, or |
16 | | have an economic, educational, or social affinity or |
17 | | relationship, and that issuance of the policy would not be |
18 | | contrary to the public interest. |
19 | | "Fulfillment materials" means documentation sent to the |
20 | | purchaser of a travel protection plan confirming the purchase |
21 | | and providing the travel protection plan's coverage and |
22 | | assistance details. |
23 | | "Group travel insurance" means travel insurance issued to |
24 | | any eligible group. |
25 | | "Limited lines travel insurance producer" means one of the |
26 | | following: |
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1 | | (1) a licensed managing general agent or third-party |
2 | | administrator; |
3 | | (2) a licensed insurance producer, including a limited |
4 | | lines producer; or |
5 | | (3) a travel administrator. |
6 | | "Offering and disseminating" means the following: |
7 | | (1) Providing information to a prospective or current |
8 | | policyholder on behalf of a limited lines travel insurance |
9 | | entity, including brochures, buyer guides, descriptions of |
10 | | coverage, and price. |
11 | | (2) Referring specific questions regarding coverage |
12 | | features and benefits from a prospective or current |
13 | | policyholder to a limited lines travel insurance entity. |
14 | | (3) Disseminating and processing applications for |
15 | | coverage, coverage selection forms, or other similar forms |
16 | | in response to a request from a prospective or current |
17 | | policyholder. |
18 | | (4) Collecting premiums from a prospective or current |
19 | | policyholder on behalf of a limited lines travel insurance |
20 | | entity. |
21 | | (5) Receiving and recording information from a |
22 | | policyholder to share with a limited lines travel |
23 | | insurance entity. |
24 | | "Primary policyholder" means an individual person who |
25 | | elects and purchases individual travel insurance. |
26 | | "Travel administrator" means a person who directly or |
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1 | | indirectly underwrites, collects charges, collateral, or |
2 | | premiums from, or adjusts or settles claims on residents of |
3 | | this State in connection with travel insurance, except that a |
4 | | person shall not be considered a travel administrator if that |
5 | | person's only actions that would otherwise cause the person to |
6 | | be considered a travel administrator are among the following: |
7 | | (1) a person working for a travel administrator to the |
8 | | extent that the person's activities are subject to the |
9 | | supervision and control of the travel administrator; |
10 | | (2) an insurance producer selling insurance or engaged |
11 | | in administrative and claims-related activities within the |
12 | | scope of the producer's license; |
13 | | (3) a travel retailer offering and disseminating |
14 | | travel insurance and registered under the license of a |
15 | | limited lines travel insurance producer in accordance with |
16 | | Section 1635; |
17 | | (4) an individual adjusting or settling claims in the |
18 | | normal course of that individual's practice or employment |
19 | | as an attorney-at-law and who does not collect charges or |
20 | | premiums in connection with insurance coverage; or |
21 | | (5) a business entity that is affiliated with a |
22 | | licensed insurer while acting as a travel administrator |
23 | | for the direct and assumed insurance business of an |
24 | | affiliated insurer. |
25 | | "Travel assistance services" means noninsurance services |
26 | | for which the consumer is not indemnified based on a |
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1 | | fortuitous event, and where providing the service does not |
2 | | result in transfer or shifting of risk that would constitute |
3 | | the business of insurance. "Travel assistance services" |
4 | | include, but are not limited to: security advisories; |
5 | | destination information; vaccination and immunization |
6 | | information services; travel reservation services; |
7 | | entertainment; activity and event planning; translation |
8 | | assistance; emergency messaging; international legal and |
9 | | medical referrals; medical case monitoring; coordination of |
10 | | transportation arrangements; emergency cash transfer |
11 | | assistance; medical prescription replacement assistance; |
12 | | passport and travel document replacement assistance; lost |
13 | | luggage assistance; concierge services; and any other service |
14 | | that is furnished in connection with planned travel. "Travel |
15 | | assistance services" are not insurance and are not related to |
16 | | insurance. |
17 | | "Travel insurance" means insurance coverage for personal |
18 | | risks incident to planned travel, including, but not limited |
19 | | to: |
20 | | (1) the interruption or cancellation of a trip or |
21 | | event; |
22 | | (2) the loss of baggage or personal effects; |
23 | | (3) damages to accommodations or rental vehicles; |
24 | | (4) sickness, accident, disability, or death occurring |
25 | | during travel; |
26 | | (5) emergency evacuation; |
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1 | | (6) repatriation of remains; or |
2 | | (7) any other contractual obligations to indemnify or |
3 | | pay a specified amount to the traveler upon determinable |
4 | | contingencies related to travel as approved by the |
5 | | Director. |
6 | | "Travel insurance" does not include major medical plans |
7 | | that provide comprehensive medical protection for travelers |
8 | | with trips lasting 6 months or longer, including those working |
9 | | overseas as expatriates or as military personnel on |
10 | | deployment. |
11 | | "Travel insurance business entity" means a licensed |
12 | | insurance producer designated by an insurer as set forth in |
13 | | subsection (h) of Section 1635. |
14 | | "Travel protection plans" means plans that provide one or |
15 | | more of the following: travel insurance, travel assistance |
16 | | services, and cancellation fee waivers. |
17 | | "Travel retailer" means a business organization that |
18 | | makes, arranges, or offers travel services and, with respect |
19 | | to travel insurance, is limited to offering and disseminating |
20 | | as defined in this Section, unless otherwise licensed under |
21 | | subsection (b) of Section 1635.
|
22 | | (Source: P.A. 102-212, eff. 10-28-21 .)
|
23 | | Section 175. The Public Utilities Act is amended by |
24 | | changing Section 8-103B as follows:
|
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1 | | (220 ILCS 5/8-103B) |
2 | | Sec. 8-103B. Energy efficiency and demand-response |
3 | | measures. |
4 | | (a) It is the policy of the State that electric utilities |
5 | | are required to use cost-effective energy efficiency and |
6 | | demand-response measures to reduce delivery load. Requiring |
7 | | investment in cost-effective energy efficiency and |
8 | | demand-response measures will reduce direct and indirect costs |
9 | | to consumers by decreasing environmental impacts and by |
10 | | avoiding or delaying the need for new generation, |
11 | | transmission, and distribution infrastructure. It serves the |
12 | | public interest to allow electric utilities to recover costs |
13 | | for reasonably and prudently incurred expenditures for energy |
14 | | efficiency and demand-response measures. As used in this |
15 | | Section, "cost-effective" means that the measures satisfy the |
16 | | total resource cost test. The low-income measures described in |
17 | | subsection (c) of this Section shall not be required to meet |
18 | | the total resource cost test. For purposes of this Section, |
19 | | the terms "energy-efficiency", "demand-response", "electric |
20 | | utility", and "total resource cost test" have the meanings set |
21 | | forth in the Illinois Power Agency Act. "Black, indigenous, |
22 | | and people of color" and "BIPOC" means people who are members |
23 | | of the groups described in subparagraphs (a) through (e) of |
24 | | paragraph (A) of subsection (1) of Section 2 of the Business |
25 | | Enterprise for Minorities, Women, and Persons with |
26 | | Disabilities Act. |
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1 | | (a-5) This Section applies to electric utilities serving |
2 | | more than 500,000 retail customers in the State for those |
3 | | multi-year plans commencing after December 31, 2017. |
4 | | (b) For purposes of this Section, electric utilities |
5 | | subject to this Section that serve more than 3,000,000 retail |
6 | | customers in the State shall be deemed to have achieved a |
7 | | cumulative persisting annual savings of 6.6% from energy |
8 | | efficiency measures and programs implemented during the period |
9 | | beginning January 1, 2012 and ending December 31, 2017, which |
10 | | percent is based on the deemed average weather normalized |
11 | | sales of electric power and energy during calendar years 2014, |
12 | | 2015, and 2016 of 88,000,000 MWhs. For the purposes of this |
13 | | subsection (b) and subsection (b-5), the 88,000,000 MWhs of |
14 | | deemed electric power and energy sales shall be reduced by the |
15 | | number of MWhs equal to the sum of the annual consumption of |
16 | | customers that have opted out of subsections (a) through (j) |
17 | | of this Section under paragraph (1) of subsection (l) of this |
18 | | Section, as averaged across the calendar years 2014, 2015, and |
19 | | 2016. After 2017, the deemed value of cumulative persisting |
20 | | annual savings from energy efficiency measures and programs |
21 | | implemented during the period beginning January 1, 2012 and |
22 | | ending December 31, 2017, shall be reduced each year, as |
23 | | follows, and the applicable value shall be applied to and |
24 | | count toward the utility's achievement of the cumulative |
25 | | persisting annual savings goals set forth in subsection (b-5): |
26 | | (1) 5.8% deemed cumulative persisting annual savings |
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1 | | for the year ending December 31, 2018; |
2 | | (2) 5.2% deemed cumulative persisting annual savings |
3 | | for the year ending December 31, 2019; |
4 | | (3) 4.5% deemed cumulative persisting annual savings |
5 | | for the year ending December 31, 2020; |
6 | | (4) 4.0% deemed cumulative persisting annual savings |
7 | | for the year ending December 31, 2021; |
8 | | (5) 3.5% deemed cumulative persisting annual savings |
9 | | for the year ending December 31, 2022; |
10 | | (6) 3.1% deemed cumulative persisting annual savings |
11 | | for the year ending December 31, 2023; |
12 | | (7) 2.8% deemed cumulative persisting annual savings |
13 | | for the year ending December 31, 2024; |
14 | | (8) 2.5% deemed cumulative persisting annual savings |
15 | | for the year ending December 31, 2025; |
16 | | (9) 2.3% deemed cumulative persisting annual savings |
17 | | for the year ending December 31, 2026; |
18 | | (10) 2.1% deemed cumulative persisting annual savings |
19 | | for the year ending December 31, 2027; |
20 | | (11) 1.8% deemed cumulative persisting annual savings |
21 | | for the year ending December 31, 2028; |
22 | | (12) 1.7% deemed cumulative persisting annual savings |
23 | | for the year ending December 31, 2029; |
24 | | (13) 1.5% deemed cumulative persisting annual savings |
25 | | for the year ending December 31, 2030; |
26 | | (14) 1.3% deemed cumulative persisting annual savings |
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1 | | for the year ending December 31, 2031; |
2 | | (15) 1.1% deemed cumulative persisting annual savings |
3 | | for the year ending December 31, 2032; |
4 | | (16) 0.9% deemed cumulative persisting annual savings |
5 | | for the year ending December 31, 2033; |
6 | | (17) 0.7% deemed cumulative persisting annual savings |
7 | | for the year ending December 31, 2034; |
8 | | (18) 0.5% deemed cumulative persisting annual savings |
9 | | for the year ending December 31, 2035; |
10 | | (19) 0.4% deemed cumulative persisting annual savings |
11 | | for the year ending December 31, 2036; |
12 | | (20) 0.3% deemed cumulative persisting annual savings |
13 | | for the year ending December 31, 2037; |
14 | | (21) 0.2% deemed cumulative persisting annual savings |
15 | | for the year ending December 31, 2038; |
16 | | (22) 0.1% deemed cumulative persisting annual savings |
17 | | for the year ending December 31, 2039; and |
18 | | (23) 0.0% deemed cumulative persisting annual savings |
19 | | for the year ending December 31, 2040 and all subsequent |
20 | | years. |
21 | | For purposes of this Section, "cumulative persisting |
22 | | annual savings" means the total electric energy savings in a |
23 | | given year from measures installed in that year or in previous |
24 | | years, but no earlier than January 1, 2012, that are still |
25 | | operational and providing savings in that year because the |
26 | | measures have not yet reached the end of their useful lives. |
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1 | | (b-5) Beginning in 2018, electric utilities subject to |
2 | | this Section that serve more than 3,000,000 retail customers |
3 | | in the State shall achieve the following cumulative persisting |
4 | | annual savings goals, as modified by subsection (f) of this |
5 | | Section and as compared to the deemed baseline of 88,000,000 |
6 | | MWhs of electric power and energy sales set forth in |
7 | | subsection (b), as reduced by the number of MWhs equal to the |
8 | | sum of the annual consumption of customers that have opted out |
9 | | of subsections (a) through (j) of this Section under paragraph |
10 | | (1) of subsection (l) of this Section as averaged across the |
11 | | calendar years 2014, 2015, and 2016, through the |
12 | | implementation of energy efficiency measures during the |
13 | | applicable year and in prior years, but no earlier than |
14 | | January 1, 2012: |
15 | | (1) 7.8% cumulative persisting annual savings for the |
16 | | year ending December 31, 2018; |
17 | | (2) 9.1% cumulative persisting annual savings for the |
18 | | year ending December 31, 2019; |
19 | | (3) 10.4% cumulative persisting annual savings for the |
20 | | year ending December 31, 2020; |
21 | | (4) 11.8% cumulative persisting annual savings for the |
22 | | year ending December 31, 2021; |
23 | | (5) 13.1% cumulative persisting annual savings for the |
24 | | year ending December 31, 2022; |
25 | | (6) 14.4% cumulative persisting annual savings for the |
26 | | year ending December 31, 2023; |
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1 | | (7) 15.7% cumulative persisting annual savings for the |
2 | | year ending December 31, 2024; |
3 | | (8) 17% cumulative persisting annual savings for the |
4 | | year ending December 31, 2025; |
5 | | (9) 17.9% cumulative persisting annual savings for the |
6 | | year ending December 31, 2026; |
7 | | (10) 18.8% cumulative persisting annual savings for |
8 | | the year ending December 31, 2027; |
9 | | (11) 19.7% cumulative persisting annual savings for |
10 | | the year ending December 31, 2028; |
11 | | (12) 20.6% cumulative persisting annual savings for |
12 | | the year ending December 31, 2029; and |
13 | | (13) 21.5% cumulative persisting annual savings for |
14 | | the year ending December 31, 2030. |
15 | | No later than December 31, 2021, the Illinois Commerce |
16 | | Commission shall establish additional cumulative persisting |
17 | | annual savings goals for the years 2031 through 2035. No later |
18 | | than December 31, 2024, the Illinois Commerce Commission shall |
19 | | establish additional cumulative persisting annual savings |
20 | | goals for the years 2036 through 2040. The Commission shall |
21 | | also establish additional cumulative persisting annual savings |
22 | | goals every 5 years thereafter to ensure that utilities always |
23 | | have goals that extend at least 11 years into the future. The |
24 | | cumulative persisting annual savings goals beyond the year |
25 | | 2030 shall increase by 0.9 percentage points per year, absent |
26 | | a Commission decision to initiate a proceeding to consider |
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1 | | establishing goals that increase by more or less than that |
2 | | amount. Such a proceeding must be conducted in accordance with |
3 | | the procedures described in subsection (f) of this Section. If |
4 | | such a proceeding is initiated, the cumulative persisting |
5 | | annual savings goals established by the Commission through |
6 | | that proceeding shall reflect the Commission's best estimate |
7 | | of the maximum amount of additional savings that are forecast |
8 | | to be cost-effectively achievable unless such best estimates |
9 | | would result in goals that represent less than 0.5 percentage |
10 | | point annual increases in total cumulative persisting annual |
11 | | savings. The Commission may only establish goals that |
12 | | represent less than 0.5 percentage point annual increases in |
13 | | cumulative persisting annual savings if it can demonstrate, |
14 | | based on clear and convincing evidence and through independent |
15 | | analysis, that 0.5 percentage point increases are not |
16 | | cost-effectively achievable. The Commission shall inform its |
17 | | decision based on an energy efficiency potential study that |
18 | | conforms to the requirements of this Section. |
19 | | (b-10) For purposes of this Section, electric utilities |
20 | | subject to this Section that serve less than 3,000,000 retail |
21 | | customers but more than 500,000 retail customers in the State |
22 | | shall be deemed to have achieved a cumulative persisting |
23 | | annual savings of 6.6% from energy efficiency measures and |
24 | | programs implemented during the period beginning January 1, |
25 | | 2012 and ending December 31, 2017, which is based on the deemed |
26 | | average weather normalized sales of electric power and energy |
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1 | | during calendar years 2014, 2015, and 2016 of 36,900,000 MWhs. |
2 | | For the purposes of this subsection (b-10) and subsection |
3 | | (b-15), the 36,900,000 MWhs of deemed electric power and |
4 | | energy sales shall be reduced by the number of MWhs equal to |
5 | | the sum of the annual consumption of customers that have opted |
6 | | out of subsections (a) through (j) of this Section under |
7 | | paragraph (1) of subsection (l) of this Section, as averaged |
8 | | across the calendar years 2014, 2015, and 2016. After 2017, |
9 | | the deemed value of cumulative persisting annual savings from |
10 | | energy efficiency measures and programs implemented during the |
11 | | period beginning January 1, 2012 and ending December 31, 2017, |
12 | | shall be reduced each year, as follows, and the applicable |
13 | | value shall be applied to and count toward the utility's |
14 | | achievement of the cumulative persisting annual savings goals |
15 | | set forth in subsection (b-15): |
16 | | (1) 5.8% deemed cumulative persisting annual savings |
17 | | for the year ending December 31, 2018; |
18 | | (2) 5.2% deemed cumulative persisting annual savings |
19 | | for the year ending December 31, 2019; |
20 | | (3) 4.5% deemed cumulative persisting annual savings |
21 | | for the year ending December 31, 2020; |
22 | | (4) 4.0% deemed cumulative persisting annual savings |
23 | | for the year ending December 31, 2021; |
24 | | (5) 3.5% deemed cumulative persisting annual savings |
25 | | for the year ending December 31, 2022; |
26 | | (6) 3.1% deemed cumulative persisting annual savings |
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1 | | for the year ending December 31, 2023; |
2 | | (7) 2.8% deemed cumulative persisting annual savings |
3 | | for the year ending December 31, 2024; |
4 | | (8) 2.5% deemed cumulative persisting annual savings |
5 | | for the year ending December 31, 2025; |
6 | | (9) 2.3% deemed cumulative persisting annual savings |
7 | | for the year ending December 31, 2026; |
8 | | (10) 2.1% deemed cumulative persisting annual savings |
9 | | for the year ending December 31, 2027; |
10 | | (11) 1.8% deemed cumulative persisting annual savings |
11 | | for the year ending December 31, 2028; |
12 | | (12) 1.7% deemed cumulative persisting annual savings |
13 | | for the year ending December 31, 2029; |
14 | | (13) 1.5% deemed cumulative persisting annual savings |
15 | | for the year ending December 31, 2030; |
16 | | (14) 1.3% deemed cumulative persisting annual savings |
17 | | for the year ending December 31, 2031; |
18 | | (15) 1.1% deemed cumulative persisting annual savings |
19 | | for the year ending December 31, 2032; |
20 | | (16) 0.9% deemed cumulative persisting annual savings |
21 | | for the year ending December 31, 2033; |
22 | | (17) 0.7% deemed cumulative persisting annual savings |
23 | | for the year ending December 31, 2034; |
24 | | (18) 0.5% deemed cumulative persisting annual savings |
25 | | for the year ending December 31, 2035; |
26 | | (19) 0.4% deemed cumulative persisting annual savings |
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1 | | for the year ending December 31, 2036; |
2 | | (20) 0.3% deemed cumulative persisting annual savings |
3 | | for the year ending December 31, 2037; |
4 | | (21) 0.2% deemed cumulative persisting annual savings |
5 | | for the year ending December 31, 2038; |
6 | | (22) 0.1% deemed cumulative persisting annual savings |
7 | | for the year ending December 31, 2039; and |
8 | | (23) 0.0% deemed cumulative persisting annual savings |
9 | | for the year ending December 31, 2040 and all subsequent |
10 | | years. |
11 | | (b-15) Beginning in 2018, electric utilities subject to |
12 | | this Section that serve less than 3,000,000 retail customers |
13 | | but more than 500,000 retail customers in the State shall |
14 | | achieve the following cumulative persisting annual savings |
15 | | goals, as modified by subsection (b-20) and subsection (f) of |
16 | | this Section and as compared to the deemed baseline as reduced |
17 | | by the number of MWhs equal to the sum of the annual |
18 | | consumption of customers that have opted out of subsections |
19 | | (a) through (j) of this Section under paragraph (1) of |
20 | | subsection (l) of this Section as averaged across the calendar |
21 | | years 2014, 2015, and 2016, through the implementation of |
22 | | energy efficiency measures during the applicable year and in |
23 | | prior years, but no earlier than January 1, 2012: |
24 | | (1) 7.4% cumulative persisting annual savings for the |
25 | | year ending December 31, 2018; |
26 | | (2) 8.2% cumulative persisting annual savings for the |
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1 | | year ending December 31, 2019; |
2 | | (3) 9.0% cumulative persisting annual savings for the |
3 | | year ending December 31, 2020; |
4 | | (4) 9.8% cumulative persisting annual savings for the |
5 | | year ending December 31, 2021; |
6 | | (5) 10.6% cumulative persisting annual savings for the |
7 | | year ending December 31, 2022; |
8 | | (6) 11.4% cumulative persisting annual savings for the |
9 | | year ending December 31, 2023; |
10 | | (7) 12.2% cumulative persisting annual savings for the |
11 | | year ending December 31, 2024; |
12 | | (8) 13% cumulative persisting annual savings for the |
13 | | year ending December 31, 2025; |
14 | | (9) 13.6% cumulative persisting annual savings for the |
15 | | year ending December 31, 2026; |
16 | | (10) 14.2% cumulative persisting annual savings for |
17 | | the year ending December 31, 2027; |
18 | | (11) 14.8% cumulative persisting annual savings for |
19 | | the year ending December 31, 2028; |
20 | | (12) 15.4% cumulative persisting annual savings for |
21 | | the year ending December 31, 2029; and |
22 | | (13) 16% cumulative persisting annual savings for the |
23 | | year ending December 31, 2030. |
24 | | No later than December 31, 2021, the Illinois Commerce |
25 | | Commission shall establish additional cumulative persisting |
26 | | annual savings goals for the years 2031 through 2035. No later |
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1 | | than December 31, 2024, the Illinois Commerce Commission shall |
2 | | establish additional cumulative persisting annual savings |
3 | | goals for the years 2036 through 2040. The Commission shall |
4 | | also establish additional cumulative persisting annual savings |
5 | | goals every 5 years thereafter to ensure that utilities always |
6 | | have goals that extend at least 11 years into the future. The |
7 | | cumulative persisting annual savings goals beyond the year |
8 | | 2030 shall increase by 0.6 percentage points per year, absent |
9 | | a Commission decision to initiate a proceeding to consider |
10 | | establishing goals that increase by more or less than that |
11 | | amount. Such a proceeding must be conducted in accordance with |
12 | | the procedures described in subsection (f) of this Section. If |
13 | | such a proceeding is initiated, the cumulative persisting |
14 | | annual savings goals established by the Commission through |
15 | | that proceeding shall reflect the Commission's best estimate |
16 | | of the maximum amount of additional savings that are forecast |
17 | | to be cost-effectively achievable unless such best estimates |
18 | | would result in goals that represent less than 0.4 percentage |
19 | | point annual increases in total cumulative persisting annual |
20 | | savings. The Commission may only establish goals that |
21 | | represent less than 0.4 percentage point annual increases in |
22 | | cumulative persisting annual savings if it can demonstrate, |
23 | | based on clear and convincing evidence and through independent |
24 | | analysis, that 0.4 percentage point increases are not |
25 | | cost-effectively achievable. The Commission shall inform its |
26 | | decision based on an energy efficiency potential study that |
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1 | | conforms to the requirements of this Section. |
2 | | (b-20) Each electric utility subject to this Section may |
3 | | include cost-effective voltage optimization measures in its |
4 | | plans submitted under subsections (f) and (g) of this Section, |
5 | | and the costs incurred by a utility to implement the measures |
6 | | under a Commission-approved plan shall be recovered under the |
7 | | provisions of Article IX or Section 16-108.5 of this Act. For |
8 | | purposes of this Section, the measure life of voltage |
9 | | optimization measures shall be 15 years. The measure life |
10 | | period is independent of the depreciation rate of the voltage |
11 | | optimization assets deployed. Utilities may claim savings from |
12 | | voltage optimization on circuits for more than 15 years if |
13 | | they can demonstrate that they have made additional |
14 | | investments necessary to enable voltage optimization savings |
15 | | to continue beyond 15 years. Such demonstrations must be |
16 | | subject to the review of independent evaluation. |
17 | | Within 270 days after June 1, 2017 (the effective date of |
18 | | Public Act 99-906), an electric utility that serves less than |
19 | | 3,000,000 retail customers but more than 500,000 retail |
20 | | customers in the State shall file a plan with the Commission |
21 | | that identifies the cost-effective voltage optimization |
22 | | investment the electric utility plans to undertake through |
23 | | December 31, 2024. The Commission, after notice and hearing, |
24 | | shall approve or approve with modification the plan within 120 |
25 | | days after the plan's filing and, in the order approving or |
26 | | approving with modification the plan, the Commission shall |
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1 | | adjust the applicable cumulative persisting annual savings |
2 | | goals set forth in subsection (b-15) to reflect any amount of |
3 | | cost-effective energy savings approved by the Commission that |
4 | | is greater than or less than the following cumulative |
5 | | persisting annual savings values attributable to voltage |
6 | | optimization for the applicable year: |
7 | | (1) 0.0% of cumulative persisting annual savings for |
8 | | the year ending December 31, 2018; |
9 | | (2) 0.17% of cumulative persisting annual savings for |
10 | | the year ending December 31, 2019; |
11 | | (3) 0.17% of cumulative persisting annual savings for |
12 | | the year ending December 31, 2020; |
13 | | (4) 0.33% of cumulative persisting annual savings for |
14 | | the year ending December 31, 2021; |
15 | | (5) 0.5% of cumulative persisting annual savings for |
16 | | the year ending December 31, 2022; |
17 | | (6) 0.67% of cumulative persisting annual savings for |
18 | | the year ending December 31, 2023; |
19 | | (7) 0.83% of cumulative persisting annual savings for |
20 | | the year ending December 31, 2024; and |
21 | | (8) 1.0% of cumulative persisting annual savings for |
22 | | the year ending December 31, 2025 and all subsequent |
23 | | years. |
24 | | (b-25) In the event an electric utility jointly offers an |
25 | | energy efficiency measure or program with a gas utility under |
26 | | plans approved under this Section and Section 8-104 of this |
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1 | | Act, the electric utility may continue offering the program, |
2 | | including the gas energy efficiency measures, in the event the |
3 | | gas utility discontinues funding the program. In that event, |
4 | | the energy savings value associated with such other fuels |
5 | | shall be converted to electric energy savings on an equivalent |
6 | | Btu basis for the premises. However, the electric utility |
7 | | shall prioritize programs for low-income residential customers |
8 | | to the extent practicable. An electric utility may recover the |
9 | | costs of offering the gas energy efficiency measures under |
10 | | this subsection (b-25). |
11 | | For those energy efficiency measures or programs that save |
12 | | both electricity and other fuels but are not jointly offered |
13 | | with a gas utility under plans approved under this Section and |
14 | | Section 8-104 or not offered with an affiliated gas utility |
15 | | under paragraph (6) of subsection (f) of Section 8-104 of this |
16 | | Act, the electric utility may count savings of fuels other |
17 | | than electricity toward the achievement of its annual savings |
18 | | goal, and the energy savings value associated with such other |
19 | | fuels shall be converted to electric energy savings on an |
20 | | equivalent Btu basis at the premises. |
21 | | In no event shall more than 10% of each year's applicable |
22 | | annual total savings requirement as defined in paragraph (7.5) |
23 | | of subsection (g) of this Section be met through savings of |
24 | | fuels other than electricity. |
25 | | (b-27) Beginning in 2022, an electric utility may offer |
26 | | and promote measures that electrify space heating, water |
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1 | | heating, cooling, drying, cooking, industrial processes, and |
2 | | other building and industrial end uses that would otherwise be |
3 | | served by combustion of fossil fuel at the premises, provided |
4 | | that the electrification measures reduce total energy |
5 | | consumption at the premises. The electric utility may count |
6 | | the reduction in energy consumption at the premises toward |
7 | | achievement of its annual savings goals. The reduction in |
8 | | energy consumption at the premises shall be calculated as the |
9 | | difference between: (A) the reduction in Btu consumption of |
10 | | fossil fuels as a result of electrification, converted to |
11 | | kilowatt-hour equivalents by dividing by 3,412 Btus Btu's per |
12 | | kilowatt hour; and (B) the increase in kilowatt hours of |
13 | | electricity consumption resulting from the displacement of |
14 | | fossil fuel consumption as a result of electrification. An |
15 | | electric utility may recover the costs of offering and |
16 | | promoting electrification measures under this subsection |
17 | | (b-27). |
18 | | In no event shall electrification savings counted toward |
19 | | each year's applicable annual total savings requirement, as |
20 | | defined in paragraph (7.5) of subsection (g) of this Section, |
21 | | be greater than: |
22 | | (1) 5% per year for each year from 2022 through 2025; |
23 | | (2) 10% per year for each year from 2026 through 2029; |
24 | | and |
25 | | (3) 15% per year for 2030 and all subsequent years. |
26 | | In addition, a minimum of 25% of all electrification savings |
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1 | | counted toward a utility's applicable annual total savings |
2 | | requirement must be from electrification of end uses in |
3 | | low-income housing. The limitations on electrification savings |
4 | | that may be counted toward a utility's annual savings goals |
5 | | are separate from and in addition to the subsection (b-25) |
6 | | limitations governing the counting of the other fuel savings |
7 | | resulting from efficiency measures and programs. |
8 | | As part of the annual informational filing to the |
9 | | Commission that is required under paragraph (9) of subsection |
10 | | (g) of this Section, each utility shall identify the specific |
11 | | electrification measures offered under this subsection |
12 | | subjection (b-27); the quantity of each electrification |
13 | | measure that was installed by its customers; the average total |
14 | | cost, average utility cost, average reduction in fossil fuel |
15 | | consumption, and average increase in electricity consumption |
16 | | associated with each electrification measure; the portion of |
17 | | installations of each electrification measure that were in |
18 | | low-income single-family housing, low-income multifamily |
19 | | housing, non-low-income single-family housing, non-low-income |
20 | | multifamily housing, commercial buildings, and industrial |
21 | | facilities; and the quantity of savings associated with each |
22 | | measure category in each customer category that are being |
23 | | counted toward the utility's applicable annual total savings |
24 | | requirement. Prior to installing an electrification measure, |
25 | | the utility shall provide a customer with an estimate of the |
26 | | impact of the new measure on the customer's average monthly |
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1 | | electric bill and total annual energy expenses. |
2 | | (c) Electric utilities shall be responsible for overseeing |
3 | | the design, development, and filing of energy efficiency plans |
4 | | with the Commission and may, as part of that implementation, |
5 | | outsource various aspects of program development and |
6 | | implementation. A minimum of 10%, for electric utilities that |
7 | | serve more than 3,000,000 retail customers in the State, and a |
8 | | minimum of 7%, for electric utilities that serve less than |
9 | | 3,000,000 retail customers but more than 500,000 retail |
10 | | customers in the State, of the utility's entire portfolio |
11 | | funding level for a given year shall be used to procure |
12 | | cost-effective energy efficiency measures from units of local |
13 | | government, municipal corporations, school districts, public |
14 | | housing, and community college districts, provided that a |
15 | | minimum percentage of available funds shall be used to procure |
16 | | energy efficiency from public housing, which percentage shall |
17 | | be equal to public housing's share of public building energy |
18 | | consumption. |
19 | | The utilities shall also implement energy efficiency |
20 | | measures targeted at low-income households, which, for |
21 | | purposes of this Section, shall be defined as households at or |
22 | | below 80% of area median income, and expenditures to implement |
23 | | the measures shall be no less than $40,000,000 per year for |
24 | | electric utilities that serve more than 3,000,000 retail |
25 | | customers in the State and no less than $13,000,000 per year |
26 | | for electric utilities that serve less than 3,000,000 retail |
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1 | | customers but more than 500,000 retail customers in the State. |
2 | | The ratio of spending on efficiency programs targeted at |
3 | | low-income multifamily buildings to spending on efficiency |
4 | | programs targeted at low-income single-family buildings shall |
5 | | be designed to achieve levels of savings from each building |
6 | | type that are approximately proportional to the magnitude of |
7 | | cost-effective lifetime savings potential in each building |
8 | | type. Investment in low-income whole-building weatherization |
9 | | programs shall constitute a minimum of 80% of a utility's |
10 | | total budget specifically dedicated to serving low-income |
11 | | customers. |
12 | | The utilities shall work to bundle low-income energy |
13 | | efficiency offerings with other programs that serve low-income |
14 | | households to maximize the benefits going to these households. |
15 | | The utilities shall market and implement low-income energy |
16 | | efficiency programs in coordination with low-income assistance |
17 | | programs, the Illinois Solar for All Program, and |
18 | | weatherization whenever practicable. The program implementer |
19 | | shall walk the customer through the enrollment process for any |
20 | | programs for which the customer is eligible. The utilities |
21 | | shall also pilot targeting customers with high arrearages, |
22 | | high energy intensity (ratio of energy usage divided by home |
23 | | or unit square footage), or energy assistance programs with |
24 | | energy efficiency offerings, and then track reduction in |
25 | | arrearages as a result of the targeting. This targeting and |
26 | | bundling of low-income energy programs shall be offered to |
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1 | | both low-income single-family and multifamily customers |
2 | | (owners and residents). |
3 | | The utilities shall invest in health and safety measures |
4 | | appropriate and necessary for comprehensively weatherizing a |
5 | | home or multifamily building, and shall implement a health and |
6 | | safety fund of at least 15% of the total income-qualified |
7 | | weatherization budget that shall be used for the purpose of |
8 | | making grants for technical assistance, construction, |
9 | | reconstruction, improvement, or repair of buildings to |
10 | | facilitate their participation in the energy efficiency |
11 | | programs targeted at low-income single-family and multifamily |
12 | | households. These funds may also be used for the purpose of |
13 | | making grants for technical assistance, construction, |
14 | | reconstruction, improvement, or repair of the following |
15 | | buildings to facilitate their participation in the energy |
16 | | efficiency programs created by this Section: (1) buildings |
17 | | that are owned or operated by registered 501(c)(3) public |
18 | | charities; and (2) child day care centers, child day care |
19 | | homes, or group child day care homes, as defined under 89 Ill. |
20 | | Adm. Code Part 406, 407, or 408, respectively. |
21 | | Each electric utility shall assess opportunities to |
22 | | implement cost-effective energy efficiency measures and |
23 | | programs through a public housing authority or authorities |
24 | | located in its service territory. If such opportunities are |
25 | | identified, the utility shall propose such measures and |
26 | | programs to address the opportunities. Expenditures to address |
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1 | | such opportunities shall be credited toward the minimum |
2 | | procurement and expenditure requirements set forth in this |
3 | | subsection (c). |
4 | | Implementation of energy efficiency measures and programs |
5 | | targeted at low-income households should be contracted, when |
6 | | it is practicable, to independent third parties that have |
7 | | demonstrated capabilities to serve such households, with a |
8 | | preference for not-for-profit entities and government agencies |
9 | | that have existing relationships with or experience serving |
10 | | low-income communities in the State. |
11 | | Each electric utility shall develop and implement |
12 | | reporting procedures that address and assist in determining |
13 | | the amount of energy savings that can be applied to the |
14 | | low-income procurement and expenditure requirements set forth |
15 | | in this subsection (c). Each electric utility shall also track |
16 | | the types and quantities or volumes of insulation and air |
17 | | sealing materials, and their associated energy saving |
18 | | benefits, installed in energy efficiency programs targeted at |
19 | | low-income single-family and multifamily households. |
20 | | The electric utilities shall participate in a low-income |
21 | | energy efficiency accountability committee ("the committee"), |
22 | | which will directly inform the design, implementation, and |
23 | | evaluation of the low-income and public-housing energy |
24 | | efficiency programs. The committee shall be comprised of the |
25 | | electric utilities subject to the requirements of this |
26 | | Section, the gas utilities subject to the requirements of |
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1 | | Section 8-104 of this Act, the utilities' low-income energy |
2 | | efficiency implementation contractors, nonprofit |
3 | | organizations, community action agencies, advocacy groups, |
4 | | State and local governmental agencies, public-housing |
5 | | organizations, and representatives of community-based |
6 | | organizations, especially those living in or working with |
7 | | environmental justice communities and BIPOC communities. The |
8 | | committee shall be composed of 2 geographically differentiated |
9 | | subcommittees: one for stakeholders in northern Illinois and |
10 | | one for stakeholders in central and southern Illinois. The |
11 | | subcommittees shall meet together at least twice per year. |
12 | | There shall be one statewide leadership committee led by |
13 | | and composed of community-based organizations that are |
14 | | representative of BIPOC and environmental justice communities |
15 | | and that includes equitable representation from BIPOC |
16 | | communities. The leadership committee shall be composed of an |
17 | | equal number of representatives from the 2 subcommittees. The |
18 | | subcommittees shall address specific programs and issues, with |
19 | | the leadership committee convening targeted workgroups as |
20 | | needed. The leadership committee may elect to work with an |
21 | | independent facilitator to solicit and organize feedback, |
22 | | recommendations and meeting participation from a wide variety |
23 | | of community-based stakeholders. If a facilitator is used, |
24 | | they shall be fair and responsive to the needs of all |
25 | | stakeholders involved in the committee. |
26 | | All committee meetings must be accessible, with rotating |
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1 | | locations if meetings are held in-person, virtual |
2 | | participation options, and materials and agendas circulated in |
3 | | advance. |
4 | | There shall also be opportunities for direct input by |
5 | | committee members outside of committee meetings, such as via |
6 | | individual meetings, surveys, emails and calls, to ensure |
7 | | robust participation by stakeholders with limited capacity and |
8 | | ability to attend committee meetings. Committee meetings shall |
9 | | emphasize opportunities to bundle and coordinate delivery of |
10 | | low-income energy efficiency with other programs that serve |
11 | | low-income communities, such as the Illinois Solar for All |
12 | | Program and bill payment assistance programs. Meetings shall |
13 | | include educational opportunities for stakeholders to learn |
14 | | more about these additional offerings, and the committee shall |
15 | | assist in figuring out the best methods for coordinated |
16 | | delivery and implementation of offerings when serving |
17 | | low-income communities. The committee shall directly and |
18 | | equitably influence and inform utility low-income and |
19 | | public-housing energy efficiency programs and priorities. |
20 | | Participating utilities shall implement recommendations from |
21 | | the committee whenever possible. |
22 | | Participating utilities shall track and report how input |
23 | | from the committee has led to new approaches and changes in |
24 | | their energy efficiency portfolios. This reporting shall occur |
25 | | at committee meetings and in quarterly energy efficiency |
26 | | reports to the Stakeholder Advisory Group and Illinois |
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1 | | Commerce Commission, and other relevant reporting mechanisms. |
2 | | Participating utilities shall also report on relevant equity |
3 | | data and metrics requested by the committee, such as energy |
4 | | burden data, geographic, racial, and other relevant |
5 | | demographic data on where programs are being delivered and |
6 | | what populations programs are serving. |
7 | | The Illinois Commerce Commission shall oversee and have |
8 | | relevant staff participate in the committee. The committee |
9 | | shall have a budget of 0.25% of each utility's entire |
10 | | efficiency portfolio funding for a given year. The budget |
11 | | shall be overseen by the Commission. The budget shall be used |
12 | | to provide grants for community-based organizations serving on |
13 | | the leadership committee, stipends for community-based |
14 | | organizations participating in the committee, grants for |
15 | | community-based organizations to do energy efficiency outreach |
16 | | and education, and relevant meeting needs as determined by the |
17 | | leadership committee. The education and outreach shall |
18 | | include, but is not limited to, basic energy efficiency |
19 | | education, information about low-income energy efficiency |
20 | | programs, and information on the committee's purpose, |
21 | | structure, and activities. |
22 | | (d) Notwithstanding any other provision of law to the |
23 | | contrary, a utility providing approved energy efficiency |
24 | | measures and, if applicable, demand-response measures in the |
25 | | State shall be permitted to recover all reasonable and |
26 | | prudently incurred costs of those measures from all retail |
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1 | | customers, except as provided in subsection (l) of this |
2 | | Section, as follows, provided that nothing in this subsection |
3 | | (d) permits the double recovery of such costs from customers: |
4 | | (1) The utility may recover its costs through an |
5 | | automatic adjustment clause tariff filed with and approved |
6 | | by the Commission. The tariff shall be established outside |
7 | | the context of a general rate case. Each year the |
8 | | Commission shall initiate a review to reconcile any |
9 | | amounts collected with the actual costs and to determine |
10 | | the required adjustment to the annual tariff factor to |
11 | | match annual expenditures. To enable the financing of the |
12 | | incremental capital expenditures, including regulatory |
13 | | assets, for electric utilities that serve less than |
14 | | 3,000,000 retail customers but more than 500,000 retail |
15 | | customers in the State, the utility's actual year-end |
16 | | capital structure that includes a common equity ratio, |
17 | | excluding goodwill, of up to and including 50% of the |
18 | | total capital structure shall be deemed reasonable and |
19 | | used to set rates. |
20 | | (2) A utility may recover its costs through an energy |
21 | | efficiency formula rate approved by the Commission under a |
22 | | filing under subsections (f) and (g) of this Section, |
23 | | which shall specify the cost components that form the |
24 | | basis of the rate charged to customers with sufficient |
25 | | specificity to operate in a standardized manner and be |
26 | | updated annually with transparent information that |
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1 | | reflects the utility's actual costs to be recovered during |
2 | | the applicable rate year, which is the period beginning |
3 | | with the first billing day of January and extending |
4 | | through the last billing day of the following December. |
5 | | The energy efficiency formula rate shall be implemented |
6 | | through a tariff filed with the Commission under |
7 | | subsections (f) and (g) of this Section that is consistent |
8 | | with the provisions of this paragraph (2) and that shall |
9 | | be applicable to all delivery services customers. The |
10 | | Commission shall conduct an investigation of the tariff in |
11 | | a manner consistent with the provisions of this paragraph |
12 | | (2), subsections (f) and (g) of this Section, and the |
13 | | provisions of Article IX of this Act to the extent they do |
14 | | not conflict with this paragraph (2). The energy |
15 | | efficiency formula rate approved by the Commission shall |
16 | | remain in effect at the discretion of the utility and |
17 | | shall do the following: |
18 | | (A) Provide for the recovery of the utility's |
19 | | actual costs incurred under this Section that are |
20 | | prudently incurred and reasonable in amount consistent |
21 | | with Commission practice and law. The sole fact that a |
22 | | cost differs from that incurred in a prior calendar |
23 | | year or that an investment is different from that made |
24 | | in a prior calendar year shall not imply the |
25 | | imprudence or unreasonableness of that cost or |
26 | | investment. |
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1 | | (B) Reflect the utility's actual year-end capital |
2 | | structure for the applicable calendar year, excluding |
3 | | goodwill, subject to a determination of prudence and |
4 | | reasonableness consistent with Commission practice and |
5 | | law. To enable the financing of the incremental |
6 | | capital expenditures, including regulatory assets, for |
7 | | electric utilities that serve less than 3,000,000 |
8 | | retail customers but more than 500,000 retail |
9 | | customers in the State, a participating electric |
10 | | utility's actual year-end capital structure that |
11 | | includes a common equity ratio, excluding goodwill, of |
12 | | up to and including 50% of the total capital structure |
13 | | shall be deemed reasonable and used to set rates. |
14 | | (C) Include a cost of equity, which shall be |
15 | | calculated as the sum of the following: |
16 | | (i) the average for the applicable calendar |
17 | | year of the monthly average yields of 30-year U.S. |
18 | | Treasury bonds published by the Board of Governors |
19 | | of the Federal Reserve System in its weekly H.15 |
20 | | Statistical Release or successor publication; and |
21 | | (ii) 580 basis points. |
22 | | At such time as the Board of Governors of the |
23 | | Federal Reserve System ceases to include the monthly |
24 | | average yields of 30-year U.S. Treasury bonds in its |
25 | | weekly H.15 Statistical Release or successor |
26 | | publication, the monthly average yields of the U.S. |
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1 | | Treasury bonds then having the longest duration |
2 | | published by the Board of Governors in its weekly H.15 |
3 | | Statistical Release or successor publication shall |
4 | | instead be used for purposes of this paragraph (2). |
5 | | (D) Permit and set forth protocols, subject to a |
6 | | determination of prudence and reasonableness |
7 | | consistent with Commission practice and law, for the |
8 | | following: |
9 | | (i) recovery of incentive compensation expense |
10 | | that is based on the achievement of operational |
11 | | metrics, including metrics related to budget |
12 | | controls, outage duration and frequency, safety, |
13 | | customer service, efficiency and productivity, and |
14 | | environmental compliance; however, this protocol |
15 | | shall not apply if such expense related to costs |
16 | | incurred under this Section is recovered under |
17 | | Article IX or Section 16-108.5 of this Act; |
18 | | incentive compensation expense that is based on |
19 | | net income or an affiliate's earnings per share |
20 | | shall not be recoverable under the
energy |
21 | | efficiency formula rate; |
22 | | (ii) recovery of pension and other |
23 | | post-employment benefits expense, provided that |
24 | | such costs are supported by an actuarial study; |
25 | | however, this protocol shall not apply if such |
26 | | expense related to costs incurred under this |
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1 | | Section is recovered under Article IX or Section |
2 | | 16-108.5 of this Act; |
3 | | (iii) recovery of existing regulatory assets |
4 | | over the periods previously authorized by the |
5 | | Commission; |
6 | | (iv) as described in subsection (e), |
7 | | amortization of costs incurred under this Section; |
8 | | and |
9 | | (v) projected, weather normalized billing |
10 | | determinants for the applicable rate year. |
11 | | (E) Provide for an annual reconciliation, as |
12 | | described in paragraph (3) of this subsection (d), |
13 | | less any deferred taxes related to the reconciliation, |
14 | | with interest at an annual rate of return equal to the |
15 | | utility's weighted average cost of capital, including |
16 | | a revenue conversion factor calculated to recover or |
17 | | refund all additional income taxes that may be payable |
18 | | or receivable as a result of that return, of the energy |
19 | | efficiency revenue requirement reflected in rates for |
20 | | each calendar year, beginning with the calendar year |
21 | | in which the utility files its energy efficiency |
22 | | formula rate tariff under this paragraph (2), with |
23 | | what the revenue requirement would have been had the |
24 | | actual cost information for the applicable calendar |
25 | | year been available at the filing date. |
26 | | The utility shall file, together with its tariff, the |
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1 | | projected costs to be incurred by the utility during the |
2 | | rate year under the utility's multi-year plan approved |
3 | | under subsections (f) and (g) of this Section, including, |
4 | | but not limited to, the projected capital investment costs |
5 | | and projected regulatory asset balances with |
6 | | correspondingly updated depreciation and amortization |
7 | | reserves and expense, that shall populate the energy |
8 | | efficiency formula rate and set the initial rates under |
9 | | the formula. |
10 | | The Commission shall review the proposed tariff in |
11 | | conjunction with its review of a proposed multi-year plan, |
12 | | as specified in paragraph (5) of subsection (g) of this |
13 | | Section. The review shall be based on the same evidentiary |
14 | | standards, including, but not limited to, those concerning |
15 | | the prudence and reasonableness of the costs incurred by |
16 | | the utility, the Commission applies in a hearing to review |
17 | | a filing for a general increase in rates under Article IX |
18 | | of this Act. The initial rates shall take effect beginning |
19 | | with the January monthly billing period following the |
20 | | Commission's approval. |
21 | | The tariff's rate design and cost allocation across |
22 | | customer classes shall be consistent with the utility's |
23 | | automatic adjustment clause tariff in effect on June 1, |
24 | | 2017 (the effective date of Public Act 99-906); however, |
25 | | the Commission may revise the tariff's rate design and |
26 | | cost allocation in subsequent proceedings under paragraph |
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1 | | (3) of this subsection (d). |
2 | | If the energy efficiency formula rate is terminated, |
3 | | the then current rates shall remain in effect until such |
4 | | time as the energy efficiency costs are incorporated into |
5 | | new rates that are set under this subsection (d) or |
6 | | Article IX of this Act, subject to retroactive rate |
7 | | adjustment, with interest, to reconcile rates charged with |
8 | | actual costs. |
9 | | (3) The provisions of this paragraph (3) shall only |
10 | | apply to an electric utility that has elected to file an |
11 | | energy efficiency formula rate under paragraph (2) of this |
12 | | subsection (d). Subsequent to the Commission's issuance of |
13 | | an order approving the utility's energy efficiency formula |
14 | | rate structure and protocols, and initial rates under |
15 | | paragraph (2) of this subsection (d), the utility shall |
16 | | file, on or before June 1 of each year, with the Chief |
17 | | Clerk of the Commission its updated cost inputs to the |
18 | | energy efficiency formula rate for the applicable rate |
19 | | year and the corresponding new charges, as well as the |
20 | | information described in paragraph (9) of subsection (g) |
21 | | of this Section. Each such filing shall conform to the |
22 | | following requirements and include the following |
23 | | information: |
24 | | (A) The inputs to the energy efficiency formula |
25 | | rate for the applicable rate year shall be based on the |
26 | | projected costs to be incurred by the utility during |
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1 | | the rate year under the utility's multi-year plan |
2 | | approved under subsections (f) and (g) of this |
3 | | Section, including, but not limited to, projected |
4 | | capital investment costs and projected regulatory |
5 | | asset balances with correspondingly updated |
6 | | depreciation and amortization reserves and expense. |
7 | | The filing shall also include a reconciliation of the |
8 | | energy efficiency revenue requirement that was in |
9 | | effect for the prior rate year (as set by the cost |
10 | | inputs for the prior rate year) with the actual |
11 | | revenue requirement for the prior rate year |
12 | | (determined using a year-end rate base) that uses |
13 | | amounts reflected in the applicable FERC Form 1 that |
14 | | reports the actual costs for the prior rate year. Any |
15 | | over-collection or under-collection indicated by such |
16 | | reconciliation shall be reflected as a credit against, |
17 | | or recovered as an additional charge to, respectively, |
18 | | with interest calculated at a rate equal to the |
19 | | utility's weighted average cost of capital approved by |
20 | | the Commission for the prior rate year, the charges |
21 | | for the applicable rate year. Such over-collection or |
22 | | under-collection shall be adjusted to remove any |
23 | | deferred taxes related to the reconciliation, for |
24 | | purposes of calculating interest at an annual rate of |
25 | | return equal to the utility's weighted average cost of |
26 | | capital approved by the Commission for the prior rate |
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1 | | year, including a revenue conversion factor calculated |
2 | | to recover or refund all additional income taxes that |
3 | | may be payable or receivable as a result of that |
4 | | return. Each reconciliation shall be certified by the |
5 | | participating utility in the same manner that FERC |
6 | | Form 1 is certified. The filing shall also include the |
7 | | charge or credit, if any, resulting from the |
8 | | calculation required by subparagraph (E) of paragraph |
9 | | (2) of this subsection (d). |
10 | | Notwithstanding any other provision of law to the |
11 | | contrary, the intent of the reconciliation is to |
12 | | ultimately reconcile both the revenue requirement |
13 | | reflected in rates for each calendar year, beginning |
14 | | with the calendar year in which the utility files its |
15 | | energy efficiency formula rate tariff under paragraph |
16 | | (2) of this subsection (d), with what the revenue |
17 | | requirement determined using a year-end rate base for |
18 | | the applicable calendar year would have been had the |
19 | | actual cost information for the applicable calendar |
20 | | year been available at the filing date. |
21 | | For purposes of this Section, "FERC Form 1" means |
22 | | the Annual Report of Major Electric Utilities, |
23 | | Licensees and Others that electric utilities are |
24 | | required to file with the Federal Energy Regulatory |
25 | | Commission under the Federal Power Act, Sections 3, |
26 | | 4(a), 304 and 209, modified as necessary to be |
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1 | | consistent with 83 Ill. Adm. Admin. Code Part 415 as of |
2 | | May 1, 2011. Nothing in this Section is intended to |
3 | | allow costs that are not otherwise recoverable to be |
4 | | recoverable by virtue of inclusion in FERC Form 1. |
5 | | (B) The new charges shall take effect beginning on |
6 | | the first billing day of the following January billing |
7 | | period and remain in effect through the last billing |
8 | | day of the next December billing period regardless of |
9 | | whether the Commission enters upon a hearing under |
10 | | this paragraph (3). |
11 | | (C) The filing shall include relevant and |
12 | | necessary data and documentation for the applicable |
13 | | rate year. Normalization adjustments shall not be |
14 | | required. |
15 | | Within 45 days after the utility files its annual |
16 | | update of cost inputs to the energy efficiency formula |
17 | | rate, the Commission shall with reasonable notice, |
18 | | initiate a proceeding concerning whether the projected |
19 | | costs to be incurred by the utility and recovered during |
20 | | the applicable rate year, and that are reflected in the |
21 | | inputs to the energy efficiency formula rate, are |
22 | | consistent with the utility's approved multi-year plan |
23 | | under subsections (f) and (g) of this Section and whether |
24 | | the costs incurred by the utility during the prior rate |
25 | | year were prudent and reasonable. The Commission shall |
26 | | also have the authority to investigate the information and |
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1 | | data described in paragraph (9) of subsection (g) of this |
2 | | Section, including the proposed adjustment to the |
3 | | utility's return on equity component of its weighted |
4 | | average cost of capital. During the course of the |
5 | | proceeding, each objection shall be stated with |
6 | | particularity and evidence provided in support thereof, |
7 | | after which the utility shall have the opportunity to |
8 | | rebut the evidence. Discovery shall be allowed consistent |
9 | | with the Commission's Rules of Practice, which Rules of |
10 | | Practice shall be enforced by the Commission or the |
11 | | assigned administrative law judge. The Commission shall |
12 | | apply the same evidentiary standards, including, but not |
13 | | limited to, those concerning the prudence and |
14 | | reasonableness of the costs incurred by the utility, |
15 | | during the proceeding as it would apply in a proceeding to |
16 | | review a filing for a general increase in rates under |
17 | | Article IX of this Act. The Commission shall not, however, |
18 | | have the authority in a proceeding under this paragraph |
19 | | (3) to consider or order any changes to the structure or |
20 | | protocols of the energy efficiency formula rate approved |
21 | | under paragraph (2) of this subsection (d). In a |
22 | | proceeding under this paragraph (3), the Commission shall |
23 | | enter its order no later than the earlier of 195 days after |
24 | | the utility's filing of its annual update of cost inputs |
25 | | to the energy efficiency formula rate or December 15. The |
26 | | utility's proposed return on equity calculation, as |
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1 | | described in paragraphs (7) through (9) of subsection (g) |
2 | | of this Section, shall be deemed the final, approved |
3 | | calculation on December 15 of the year in which it is filed |
4 | | unless the Commission enters an order on or before |
5 | | December 15, after notice and hearing, that modifies such |
6 | | calculation consistent with this Section. The Commission's |
7 | | determinations of the prudence and reasonableness of the |
8 | | costs incurred, and determination of such return on equity |
9 | | calculation, for the applicable calendar year shall be |
10 | | final upon entry of the Commission's order and shall not |
11 | | be subject to reopening, reexamination, or collateral |
12 | | attack in any other Commission proceeding, case, docket, |
13 | | order, rule, or regulation; however, nothing in this |
14 | | paragraph (3) shall prohibit a party from petitioning the |
15 | | Commission to rehear or appeal to the courts the order |
16 | | under the provisions of this Act. |
17 | | (e)
Beginning on June 1, 2017 (the effective date of |
18 | | Public Act 99-906), a utility subject to the requirements of |
19 | | this Section may elect to defer, as a regulatory asset, up to |
20 | | the full amount of its expenditures incurred under this |
21 | | Section for each annual period, including, but not limited to, |
22 | | any expenditures incurred above the funding level set by |
23 | | subsection (f) of this Section for a given year. The total |
24 | | expenditures deferred as a regulatory asset in a given year |
25 | | shall be amortized and recovered over a period that is equal to |
26 | | the weighted average of the energy efficiency measure lives |
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1 | | implemented for that year that are reflected in the regulatory |
2 | | asset. The unamortized balance shall be recognized as of |
3 | | December 31 for a given year. The utility shall also earn a |
4 | | return on the total of the unamortized balances of all of the |
5 | | energy efficiency regulatory assets, less any deferred taxes |
6 | | related to those unamortized balances, at an annual rate equal |
7 | | to the utility's weighted average cost of capital that |
8 | | includes, based on a year-end capital structure, the utility's |
9 | | actual cost of debt for the applicable calendar year and a cost |
10 | | of equity, which shall be calculated as the sum of the (i) the |
11 | | average for the applicable calendar year of the monthly |
12 | | average yields of 30-year U.S. Treasury bonds published by the |
13 | | Board of Governors of the Federal Reserve System in its weekly |
14 | | H.15 Statistical Release or successor publication; and (ii) |
15 | | 580 basis points, including a revenue conversion factor |
16 | | calculated to recover or refund all additional income taxes |
17 | | that may be payable or receivable as a result of that return. |
18 | | Capital investment costs shall be depreciated and recovered |
19 | | over their useful lives consistent with generally accepted |
20 | | accounting principles. The weighted average cost of capital |
21 | | shall be applied to the capital investment cost balance, less |
22 | | any accumulated depreciation and accumulated deferred income |
23 | | taxes, as of December 31 for a given year. |
24 | | When an electric utility creates a regulatory asset under |
25 | | the provisions of this Section, the costs are recovered over a |
26 | | period during which customers also receive a benefit which is |
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1 | | in the public interest. Accordingly, it is the intent of the |
2 | | General Assembly that an electric utility that elects to |
3 | | create a regulatory asset under the provisions of this Section |
4 | | shall recover all of the associated costs as set forth in this |
5 | | Section. After the Commission has approved the prudence and |
6 | | reasonableness of the costs that comprise the regulatory |
7 | | asset, the electric utility shall be permitted to recover all |
8 | | such costs, and the value and recoverability through rates of |
9 | | the associated regulatory asset shall not be limited, altered, |
10 | | impaired, or reduced. |
11 | | (f) Beginning in 2017, each electric utility shall file an |
12 | | energy efficiency plan with the Commission to meet the energy |
13 | | efficiency standards for the next applicable multi-year period |
14 | | beginning January 1 of the year following the filing, |
15 | | according to the schedule set forth in paragraphs (1) through |
16 | | (3) of this subsection (f). If a utility does not file such a |
17 | | plan on or before the applicable filing deadline for the plan, |
18 | | it shall face a penalty of $100,000 per day until the plan is |
19 | | filed. |
20 | | (1) No later than 30 days after June 1, 2017 (the |
21 | | effective date of Public Act 99-906), each electric |
22 | | utility shall file a 4-year energy efficiency plan |
23 | | commencing on January 1, 2018 that is designed to achieve |
24 | | the cumulative persisting annual savings goals specified |
25 | | in paragraphs (1) through (4) of subsection (b-5) of this |
26 | | Section or in paragraphs (1) through (4) of subsection |
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1 | | (b-15) of this Section, as applicable, through |
2 | | implementation of energy efficiency measures; however, the |
3 | | goals may be reduced if the utility's expenditures are |
4 | | limited pursuant to subsection (m) of this Section or, for |
5 | | a utility that serves less than 3,000,000 retail |
6 | | customers, if each of the following conditions are met: |
7 | | (A) the plan's analysis and forecasts of the utility's |
8 | | ability to acquire energy savings demonstrate that |
9 | | achievement of such goals is not cost effective; and (B) |
10 | | the amount of energy savings achieved by the utility as |
11 | | determined by the independent evaluator for the most |
12 | | recent year for which savings have been evaluated |
13 | | preceding the plan filing was less than the average annual |
14 | | amount of savings required to achieve the goals for the |
15 | | applicable 4-year plan period. Except as provided in |
16 | | subsection (m) of this Section, annual increases in |
17 | | cumulative persisting annual savings goals during the |
18 | | applicable 4-year plan period shall not be reduced to |
19 | | amounts that are less than the maximum amount of |
20 | | cumulative persisting annual savings that is forecast to |
21 | | be cost-effectively achievable during the 4-year plan |
22 | | period. The Commission shall review any proposed goal |
23 | | reduction as part of its review and approval of the |
24 | | utility's proposed plan. |
25 | | (2) No later than March 1, 2021, each electric utility |
26 | | shall file a 4-year energy efficiency plan commencing on |
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1 | | January 1, 2022 that is designed to achieve the cumulative |
2 | | persisting annual savings goals specified in paragraphs |
3 | | (5) through (8) of subsection (b-5) of this Section or in |
4 | | paragraphs (5) through (8) of subsection (b-15) of this |
5 | | Section, as applicable, through implementation of energy |
6 | | efficiency measures; however, the goals may be reduced if |
7 | | either (1) clear and convincing evidence demonstrates, |
8 | | through independent analysis, that the expenditure limits
|
9 | | in subsection (m) of this Section preclude full |
10 | | achievement of the goals or (2) each of the following |
11 | | conditions are met: (A) the plan's analysis and forecasts |
12 | | of the utility's ability to acquire energy savings |
13 | | demonstrate by clear and convincing evidence and through |
14 | | independent analysis that achievement of such goals is not |
15 | | cost effective; and (B) the amount of energy savings |
16 | | achieved by the utility as determined by the independent |
17 | | evaluator for the most recent year for which savings have |
18 | | been evaluated preceding the plan filing was less than the |
19 | | average annual amount of savings required to achieve the |
20 | | goals for the applicable 4-year plan period. If there is |
21 | | not clear and convincing evidence that achieving the |
22 | | savings goals specified in paragraph (b-5) or (b-15) of |
23 | | this Section is possible both cost-effectively and within |
24 | | the expenditure limits in subsection (m), such savings |
25 | | goals shall not be reduced. Except as provided in |
26 | | subsection (m) of this Section, annual increases in |
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1 | | cumulative persisting annual savings goals during the |
2 | | applicable 4-year plan period shall not be reduced to |
3 | | amounts that are less than the maximum amount of |
4 | | cumulative persisting annual savings that is forecast to |
5 | | be cost-effectively achievable during the 4-year plan |
6 | | period. The Commission shall review any proposed goal |
7 | | reduction as part of its review and approval of the |
8 | | utility's proposed plan. |
9 | | (3) No later than March 1, 2025, each electric utility |
10 | | shall file a 4-year energy efficiency plan commencing on |
11 | | January 1, 2026 that is designed to achieve the cumulative |
12 | | persisting annual savings goals specified in paragraphs |
13 | | (9) through (12) of subsection (b-5) of this Section or in |
14 | | paragraphs (9) through (12) of subsection (b-15) of this |
15 | | Section, as applicable, through implementation of energy |
16 | | efficiency measures; however, the goals may be reduced if |
17 | | either (1) clear and convincing evidence demonstrates, |
18 | | through independent analysis, that the expenditure limits |
19 | | in subsection (m) of this Section preclude full |
20 | | achievement of the goals or (2) each of the following |
21 | | conditions are met: (A) the plan's analysis and forecasts |
22 | | of the utility's ability to acquire energy savings |
23 | | demonstrate by clear and convincing evidence and through |
24 | | independent analysis that achievement of such goals is not |
25 | | cost effective; and (B) the amount of energy savings |
26 | | achieved by the utility as determined by the independent |
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1 | | evaluator for the most recent year for which savings have |
2 | | been evaluated preceding the plan filing was less than the |
3 | | average annual amount of savings required to achieve the |
4 | | goals for the applicable 4-year plan period. If there is |
5 | | not clear and convincing evidence that achieving the |
6 | | savings goals specified in paragraphs (b-5) or (b-15) of |
7 | | this Section is possible both cost-effectively and within |
8 | | the expenditure limits in subsection (m), such savings |
9 | | goals shall not be reduced. Except as provided in |
10 | | subsection (m) of this Section, annual increases in |
11 | | cumulative persisting annual savings goals during the |
12 | | applicable 4-year plan period shall not be reduced to |
13 | | amounts that are less than the maximum amount of |
14 | | cumulative persisting annual savings that is forecast to |
15 | | be cost-effectively achievable during the 4-year plan |
16 | | period. The Commission shall review any proposed goal |
17 | | reduction as part of its review and approval of the |
18 | | utility's proposed plan. |
19 | | (4) No later than March 1, 2029, and every 4 years |
20 | | thereafter, each electric utility shall file a 4-year |
21 | | energy efficiency plan commencing on January 1, 2030, and |
22 | | every 4 years thereafter, respectively, that is designed |
23 | | to achieve the cumulative persisting annual savings goals |
24 | | established by the Illinois Commerce Commission pursuant |
25 | | to direction of subsections (b-5) and (b-15) of this |
26 | | Section, as applicable, through implementation of energy |
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1 | | efficiency measures; however, the goals may be reduced if |
2 | | either (1) clear and convincing evidence and independent |
3 | | analysis demonstrates that the expenditure limits in |
4 | | subsection (m) of this Section preclude full achievement |
5 | | of the goals or (2) each of the following conditions are |
6 | | met: (A) the plan's analysis and forecasts of the |
7 | | utility's ability to acquire energy savings demonstrate by |
8 | | clear and convincing evidence and through independent |
9 | | analysis that achievement of such goals is not |
10 | | cost-effective; and (B) the amount of energy savings |
11 | | achieved by the utility as determined by the independent |
12 | | evaluator for the most recent year for which savings have |
13 | | been evaluated preceding the plan filing was less than the |
14 | | average annual amount of savings required to achieve the |
15 | | goals for the applicable 4-year plan period. If there is |
16 | | not clear and convincing evidence that achieving the |
17 | | savings goals specified in paragraphs (b-5) or (b-15) of |
18 | | this Section is possible both cost-effectively and within |
19 | | the expenditure limits in subsection (m), such savings |
20 | | goals shall not be reduced. Except as provided in |
21 | | subsection (m) of this Section, annual increases in |
22 | | cumulative persisting annual savings goals during the |
23 | | applicable 4-year plan period shall not be reduced to |
24 | | amounts that are less than the maximum amount of |
25 | | cumulative persisting annual savings that is forecast to |
26 | | be cost-effectively achievable during the 4-year plan |
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1 | | period. The Commission shall review any proposed goal |
2 | | reduction as part of its review and approval of the |
3 | | utility's proposed plan. |
4 | | Each utility's plan shall set forth the utility's |
5 | | proposals to meet the energy efficiency standards identified |
6 | | in subsection (b-5) or (b-15), as applicable and as such |
7 | | standards may have been modified under this subsection (f), |
8 | | taking into account the unique circumstances of the utility's |
9 | | service territory. For those plans commencing on January 1, |
10 | | 2018, the Commission shall seek public comment on the |
11 | | utility's plan and shall issue an order approving or |
12 | | disapproving each plan no later than 105 days after June 1, |
13 | | 2017 (the effective date of Public Act 99-906). For those |
14 | | plans commencing after December 31, 2021, the Commission shall |
15 | | seek public comment on the utility's plan and shall issue an |
16 | | order approving or disapproving each plan within 6 months |
17 | | after its submission. If the Commission disapproves a plan, |
18 | | the Commission shall, within 30 days, describe in detail the |
19 | | reasons for the disapproval and describe a path by which the |
20 | | utility may file a revised draft of the plan to address the |
21 | | Commission's concerns satisfactorily. If the utility does not |
22 | | refile with the Commission within 60 days, the utility shall |
23 | | be subject to penalties at a rate of $100,000 per day until the |
24 | | plan is filed. This process shall continue, and penalties |
25 | | shall accrue, until the utility has successfully filed a |
26 | | portfolio of energy efficiency and demand-response measures. |
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1 | | Penalties shall be deposited into the Energy Efficiency Trust |
2 | | Fund. |
3 | | (g) In submitting proposed plans and funding levels under |
4 | | subsection (f) of this Section to meet the savings goals |
5 | | identified in subsection (b-5) or (b-15) of this Section, as |
6 | | applicable, the utility shall: |
7 | | (1) Demonstrate that its proposed energy efficiency |
8 | | measures will achieve the applicable requirements that are |
9 | | identified in subsection (b-5) or (b-15) of this Section, |
10 | | as modified by subsection (f) of this Section. |
11 | | (2) (Blank). |
12 | | (2.5) Demonstrate consideration of program options for |
13 | | (A) advancing new building codes, appliance standards, and |
14 | | municipal regulations governing existing and new building |
15 | | efficiency improvements and (B) supporting efforts to |
16 | | improve compliance with new building codes, appliance |
17 | | standards and municipal regulations, as potentially |
18 | | cost-effective means of acquiring energy savings to count |
19 | | toward savings goals. |
20 | | (3) Demonstrate that its overall portfolio of |
21 | | measures, not including low-income programs described in |
22 | | subsection (c) of this Section, is cost-effective using |
23 | | the total resource cost test or complies with paragraphs |
24 | | (1) through (3) of subsection (f) of this Section and |
25 | | represents a diverse cross-section of opportunities for |
26 | | customers of all rate classes, other than those customers |
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1 | | described in subsection (l) of this Section, to |
2 | | participate in the programs. Individual measures need not |
3 | | be cost effective. |
4 | | (3.5) Demonstrate that the utility's plan integrates |
5 | | the delivery of energy efficiency programs with natural |
6 | | gas efficiency programs, programs promoting distributed |
7 | | solar, programs promoting demand response and other |
8 | | efforts to address bill payment issues, including, but not |
9 | | limited to, LIHEAP and the Percentage of Income Payment |
10 | | Plan, to the extent such integration is practical and has |
11 | | the potential to enhance customer engagement, minimize |
12 | | market confusion, or reduce administrative costs. |
13 | | (4) Present a third-party energy efficiency |
14 | | implementation program subject to the following |
15 | | requirements: |
16 | | (A) beginning with the year commencing January 1, |
17 | | 2019, electric utilities that serve more than |
18 | | 3,000,000 retail customers in the State shall fund |
19 | | third-party energy efficiency programs in an amount |
20 | | that is no less than $25,000,000 per year, and |
21 | | electric utilities that serve less than 3,000,000 |
22 | | retail customers but more than 500,000 retail |
23 | | customers in the State shall fund third-party energy |
24 | | efficiency programs in an amount that is no less than |
25 | | $8,350,000 per year; |
26 | | (B) during 2018, the utility shall conduct a |
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1 | | solicitation process for purposes of requesting |
2 | | proposals from third-party vendors for those |
3 | | third-party energy efficiency programs to be offered |
4 | | during one or more of the years commencing January 1, |
5 | | 2019, January 1, 2020, and January 1, 2021; for those |
6 | | multi-year plans commencing on January 1, 2022 and |
7 | | January 1, 2026, the utility shall conduct a |
8 | | solicitation process during 2021 and 2025, |
9 | | respectively, for purposes of requesting proposals |
10 | | from third-party vendors for those third-party energy |
11 | | efficiency programs to be offered during one or more |
12 | | years of the respective multi-year plan period; for |
13 | | each solicitation process, the utility shall identify |
14 | | the sector, technology, or geographical area for which |
15 | | it is seeking requests for proposals; the solicitation |
16 | | process must be either for programs that fill gaps in |
17 | | the utility's program portfolio and for programs that |
18 | | target low-income customers, business sectors, |
19 | | building types, geographies, or other specific parts |
20 | | of its customer base with initiatives that would be |
21 | | more effective at reaching these customer segments |
22 | | than the utilities' programs filed in its energy |
23 | | efficiency plans; |
24 | | (C) the utility shall propose the bidder |
25 | | qualifications, performance measurement process, and |
26 | | contract structure, which must include a performance |
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1 | | payment mechanism and general terms and conditions; |
2 | | the proposed qualifications, process, and structure |
3 | | shall be subject to Commission approval; and |
4 | | (D) the utility shall retain an independent third |
5 | | party to score the proposals received through the |
6 | | solicitation process described in this paragraph (4), |
7 | | rank them according to their cost per lifetime |
8 | | kilowatt-hours saved, and assemble the portfolio of |
9 | | third-party programs. |
10 | | The electric utility shall recover all costs |
11 | | associated with Commission-approved, third-party |
12 | | administered programs regardless of the success of those |
13 | | programs. |
14 | | (4.5) Implement cost-effective demand-response |
15 | | measures to reduce peak demand by 0.1% over the prior year |
16 | | for eligible retail customers, as defined in Section |
17 | | 16-111.5 of this Act, and for customers that elect hourly |
18 | | service from the utility pursuant to Section 16-107 of |
19 | | this Act, provided those customers have not been declared |
20 | | competitive. This requirement continues until December 31, |
21 | | 2026. |
22 | | (5) Include a proposed or revised cost-recovery tariff |
23 | | mechanism, as provided for under subsection (d) of this |
24 | | Section, to fund the proposed energy efficiency and |
25 | | demand-response measures and to ensure the recovery of the |
26 | | prudently and reasonably incurred costs of |
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1 | | Commission-approved programs. |
2 | | (6) Provide for an annual independent evaluation of |
3 | | the performance of the cost-effectiveness of the utility's |
4 | | portfolio of measures, as well as a full review of the |
5 | | multi-year plan results of the broader net program impacts |
6 | | and, to the extent practical, for adjustment of the |
7 | | measures on a going-forward basis as a result of the |
8 | | evaluations. The resources dedicated to evaluation shall |
9 | | not exceed 3% of portfolio resources in any given year. |
10 | | (7) For electric utilities that serve more than |
11 | | 3,000,000 retail customers in the State: |
12 | | (A) Through December 31, 2025, provide for an |
13 | | adjustment to the return on equity component of the |
14 | | utility's weighted average cost of capital calculated |
15 | | under subsection (d) of this Section: |
16 | | (i) If the independent evaluator determines |
17 | | that the utility achieved a cumulative persisting |
18 | | annual savings that is less than the applicable |
19 | | annual incremental goal, then the return on equity |
20 | | component shall be reduced by a maximum of 200 |
21 | | basis points in the event that the utility |
22 | | achieved no more than 75% of such goal. If the |
23 | | utility achieved more than 75% of the applicable |
24 | | annual incremental goal but less than 100% of such |
25 | | goal, then the return on equity component shall be |
26 | | reduced by 8 basis points for each percent by |
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1 | | which the utility failed to achieve the goal. |
2 | | (ii) If the independent evaluator determines |
3 | | that the utility achieved a cumulative persisting |
4 | | annual savings that is more than the applicable |
5 | | annual incremental goal, then the return on equity |
6 | | component shall be increased by a maximum of 200 |
7 | | basis points in the event that the utility |
8 | | achieved at least 125% of such goal. If the |
9 | | utility achieved more than 100% of the applicable |
10 | | annual incremental goal but less than 125% of such |
11 | | goal, then the return on equity component shall be |
12 | | increased by 8 basis points for each percent by |
13 | | which the utility achieved above the goal. If the |
14 | | applicable annual incremental goal was reduced |
15 | | under paragraph paragraphs (1) or (2) of |
16 | | subsection (f) of this Section, then the following |
17 | | adjustments shall be made to the calculations |
18 | | described in this item (ii): |
19 | | (aa) the calculation for determining |
20 | | achievement that is at least 125% of the |
21 | | applicable annual incremental goal shall use |
22 | | the unreduced applicable annual incremental |
23 | | goal to set the value; and |
24 | | (bb) the calculation for determining |
25 | | achievement that is less than 125% but more |
26 | | than 100% of the applicable annual incremental |
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1 | | goal shall use the reduced applicable annual |
2 | | incremental goal to set the value for 100% |
3 | | achievement of the goal and shall use the |
4 | | unreduced goal to set the value for 125% |
5 | | achievement. The 8 basis point value shall |
6 | | also be modified, as necessary, so that the |
7 | | 200 basis points are evenly apportioned among |
8 | | each percentage point value between 100% and |
9 | | 125% achievement. |
10 | | (B) For the period January 1, 2026 through |
11 | | December 31, 2029 and in all subsequent 4-year |
12 | | periods, provide for an adjustment to the return on |
13 | | equity component of the utility's weighted average |
14 | | cost of capital calculated under subsection (d) of |
15 | | this Section: |
16 | | (i) If the independent evaluator determines |
17 | | that the utility achieved a cumulative persisting |
18 | | annual savings that is less than the applicable |
19 | | annual incremental goal, then the return on equity |
20 | | component shall be reduced by a maximum of 200 |
21 | | basis points in the event that the utility |
22 | | achieved no more than 66% of such goal. If the |
23 | | utility achieved more than 66% of the applicable |
24 | | annual incremental goal but less than 100% of such |
25 | | goal, then the return on equity component shall be |
26 | | reduced by 6 basis points for each percent by |
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1 | | which the utility failed to achieve the goal. |
2 | | (ii) If the independent evaluator determines |
3 | | that the utility achieved a cumulative persisting |
4 | | annual savings that is more than the applicable |
5 | | annual incremental goal, then the return on equity |
6 | | component shall be increased by a maximum of 200 |
7 | | basis points in the event that the utility |
8 | | achieved at least 134% of such goal. If the |
9 | | utility achieved more than 100% of the applicable |
10 | | annual incremental goal but less than 134% of such |
11 | | goal, then the return on equity component shall be |
12 | | increased by 6 basis points for each percent by |
13 | | which the utility achieved above the goal. If the |
14 | | applicable annual incremental goal was reduced |
15 | | under paragraph (3) of subsection (f) of this |
16 | | Section, then the following adjustments shall be |
17 | | made to the calculations described in this item |
18 | | (ii): |
19 | | (aa) the calculation for determining |
20 | | achievement that is at least 134% of the |
21 | | applicable annual incremental goal shall use |
22 | | the unreduced applicable annual incremental |
23 | | goal to set the value; and |
24 | | (bb) the calculation for determining |
25 | | achievement that is less than 134% but more |
26 | | than 100% of the applicable annual incremental |
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1 | | goal shall use the reduced applicable annual |
2 | | incremental goal to set the value for 100% |
3 | | achievement of the goal and shall use the |
4 | | unreduced goal to set the value for 134% |
5 | | achievement. The 6 basis point value shall |
6 | | also be modified, as necessary, so that the |
7 | | 200 basis points are evenly apportioned among |
8 | | each percentage point value between 100% and |
9 | | 134% achievement. |
10 | | (C) Notwithstanding the provisions of |
11 | | subparagraphs (A) and (B) of this paragraph (7), if |
12 | | the applicable annual incremental goal for an electric |
13 | | utility is ever less than 0.6% of deemed average |
14 | | weather normalized sales of electric power and energy |
15 | | during calendar years 2014, 2015, and 2016, an |
16 | | adjustment to the return on equity component of the |
17 | | utility's weighted average cost of capital calculated |
18 | | under subsection (d) of this Section shall be made as |
19 | | follows: |
20 | | (i) If the independent evaluator determines |
21 | | that the utility achieved a cumulative persisting |
22 | | annual savings that is less than would have been |
23 | | achieved had the applicable annual incremental |
24 | | goal been achieved, then the return on equity |
25 | | component shall be reduced by a maximum of 200 |
26 | | basis points if the utility achieved no more than |
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1 | | 75% of its applicable annual total savings |
2 | | requirement as defined in paragraph (7.5) of this |
3 | | subsection. If the utility achieved more than 75% |
4 | | of the applicable annual total savings requirement |
5 | | but less than 100% of such goal, then the return on |
6 | | equity component shall be reduced by 8 basis |
7 | | points for each percent by which the utility |
8 | | failed to achieve the goal. |
9 | | (ii) If the independent evaluator determines |
10 | | that the utility achieved a cumulative persisting |
11 | | annual savings that is more than would have been |
12 | | achieved had the applicable annual incremental |
13 | | goal been achieved, then the return on equity |
14 | | component shall be increased by a maximum of 200 |
15 | | basis points if the utility achieved at least 125% |
16 | | of its applicable annual total savings |
17 | | requirement. If the utility achieved more than |
18 | | 100% of the applicable annual total savings |
19 | | requirement but less than 125% of such goal, then |
20 | | the return on equity component shall be increased |
21 | | by 8 basis points for each percent by which the |
22 | | utility achieved above the applicable annual total |
23 | | savings requirement. If the applicable annual |
24 | | incremental goal was reduced under paragraph (1) |
25 | | or (2) of subsection (f) of this Section, then the |
26 | | following adjustments shall be made to the |
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1 | | calculations described in this item (ii): |
2 | | (aa) the calculation for determining |
3 | | achievement that is at least 125% of the |
4 | | applicable annual total savings requirement |
5 | | shall use the unreduced applicable annual |
6 | | incremental goal to set the value; and |
7 | | (bb) the calculation for determining |
8 | | achievement that is less than 125% but more |
9 | | than 100% of the applicable annual total |
10 | | savings requirement shall use the reduced |
11 | | applicable annual incremental goal to set the |
12 | | value for 100% achievement of the goal and |
13 | | shall use the unreduced goal to set the value |
14 | | for 125% achievement. The 8 basis point value |
15 | | shall also be modified, as necessary, so that |
16 | | the 200 basis points are evenly apportioned |
17 | | among each percentage point value between 100% |
18 | | and 125% achievement. |
19 | | (7.5) For purposes of this Section, the term |
20 | | "applicable
annual incremental goal" means the difference |
21 | | between the
cumulative persisting annual savings goal for |
22 | | the calendar
year that is the subject of the independent |
23 | | evaluator's
determination and the cumulative persisting |
24 | | annual savings
goal for the immediately preceding calendar |
25 | | year, as such
goals are defined in subsections (b-5) and |
26 | | (b-15) of this
Section and as these goals may have been |
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1 | | modified as
provided for under subsection (b-20) and |
2 | | paragraphs (1)
through (3) of subsection (f) of this |
3 | | Section. Under
subsections (b), (b-5), (b-10), and (b-15) |
4 | | of this Section,
a utility must first replace energy |
5 | | savings from measures
that have expired before any |
6 | | progress towards achievement of its
applicable annual |
7 | | incremental goal may be counted. Savings may expire |
8 | | because measures installed in previous years have reached |
9 | | the end of their lives, because measures installed in |
10 | | previous years are producing lower savings in the current |
11 | | year than in the previous year, or for other reasons |
12 | | identified by independent evaluators.
Notwithstanding |
13 | | anything else set forth in this Section,
the difference |
14 | | between the actual annual incremental
savings achieved in |
15 | | any given year, including the
replacement of energy |
16 | | savings that have
expired, and the applicable annual |
17 | | incremental goal shall
not affect adjustments to the |
18 | | return on equity for
subsequent calendar years under this |
19 | | subsection (g). |
20 | | In this Section, "applicable annual total savings |
21 | | requirement" means the total amount of new annual savings |
22 | | that the utility must achieve in any given year to achieve |
23 | | the applicable annual incremental goal. This is equal to |
24 | | the applicable annual incremental goal plus the total new |
25 | | annual savings that are required to replace savings that |
26 | | expired in or at the end of the previous year. |
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1 | | (8) For electric utilities that serve less than |
2 | | 3,000,000 retail customers but more than 500,000 retail |
3 | | customers in the State: |
4 | | (A) Through December 31, 2025, the applicable |
5 | | annual incremental goal shall be compared to the |
6 | | annual incremental savings as determined by the |
7 | | independent evaluator. |
8 | | (i) The return on equity component shall be |
9 | | reduced by 8 basis points for each percent by |
10 | | which the utility did not achieve 84.4% of the |
11 | | applicable annual incremental goal. |
12 | | (ii) The return on equity component shall be |
13 | | increased by 8 basis points for each percent by |
14 | | which the utility exceeded 100% of the applicable |
15 | | annual incremental goal. |
16 | | (iii) The return on equity component shall not |
17 | | be increased or decreased if the annual |
18 | | incremental savings as determined by the |
19 | | independent evaluator is greater than 84.4% of the |
20 | | applicable annual incremental goal and less than |
21 | | 100% of the applicable annual incremental goal. |
22 | | (iv) The return on equity component shall not |
23 | | be increased or decreased by an amount greater |
24 | | than 200 basis points pursuant to this |
25 | | subparagraph (A). |
26 | | (B) For the period of January 1, 2026 through |
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1 | | December 31, 2029 and in all subsequent 4-year |
2 | | periods, the applicable annual incremental goal shall |
3 | | be compared to the annual incremental savings as |
4 | | determined by the independent evaluator. |
5 | | (i) The return on equity component shall be |
6 | | reduced by 6 basis points for each percent by |
7 | | which the utility did not achieve 100% of the |
8 | | applicable annual incremental goal. |
9 | | (ii) The return on equity component shall be |
10 | | increased by 6 basis points for each percent by |
11 | | which the utility exceeded 100% of the applicable |
12 | | annual incremental goal. |
13 | | (iii) The return on equity component shall not |
14 | | be increased or decreased by an amount greater |
15 | | than 200 basis points pursuant to this |
16 | | subparagraph (B). |
17 | | (C) Notwithstanding provisions in subparagraphs |
18 | | (A) and (B) of paragraph (7) of this subsection, if the |
19 | | applicable annual incremental goal for an electric |
20 | | utility is ever less than 0.6% of deemed average |
21 | | weather normalized sales of electric power and energy |
22 | | during calendar years 2014, 2015 and 2016, an |
23 | | adjustment to the return on equity component of the |
24 | | utility's weighted average cost of capital calculated |
25 | | under subsection (d) of this Section shall be made as |
26 | | follows: |
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1 | | (i) The return on equity component shall be |
2 | | reduced by 8 basis points for each percent by |
3 | | which the utility did not achieve 100% of the |
4 | | applicable annual total savings requirement. |
5 | | (ii) The return on equity component shall be |
6 | | increased by 8 basis points for each percent by |
7 | | which the utility exceeded 100% of the applicable |
8 | | annual total savings requirement. |
9 | | (iii) The return on equity component shall not |
10 | | be increased or decreased by an amount greater |
11 | | than 200 basis points pursuant to this |
12 | | subparagraph (C). |
13 | | (D) If the applicable annual incremental goal was |
14 | | reduced under paragraph (1), (2), (3), or (4) of |
15 | | subsection (f) of this Section, then the following |
16 | | adjustments shall be made to the calculations |
17 | | described in subparagraphs (A), (B), and (C) of this |
18 | | paragraph (8): |
19 | | (i) The calculation for determining |
20 | | achievement that is at least 125% or 134%, as |
21 | | applicable, of the applicable annual incremental |
22 | | goal or the applicable annual total savings |
23 | | requirement, as applicable, shall use the |
24 | | unreduced applicable annual incremental goal to |
25 | | set the value. |
26 | | (ii) For the period through December 31, 2025, |
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1 | | the calculation for determining achievement that |
2 | | is less than 125% but more than 100% of the |
3 | | applicable annual incremental goal or the |
4 | | applicable annual total savings requirement, as |
5 | | applicable, shall use the reduced applicable |
6 | | annual incremental goal to set the value for 100% |
7 | | achievement of the goal and shall use the |
8 | | unreduced goal to set the value for 125% |
9 | | achievement. The 8 basis point value shall also be |
10 | | modified, as necessary, so that the 200 basis |
11 | | points are evenly apportioned among each |
12 | | percentage point value between 100% and 125% |
13 | | achievement. |
14 | | (iii) For the period of January 1, 2026 |
15 | | through December 31, 2029 and all subsequent |
16 | | 4-year periods, the calculation for determining |
17 | | achievement that is less than 125% or 134%, as |
18 | | applicable, but more than 100% of the applicable |
19 | | annual incremental goal or the applicable annual |
20 | | total savings requirement, as applicable, shall |
21 | | use the reduced applicable annual incremental goal |
22 | | to set the value for 100% achievement of the goal |
23 | | and shall use the unreduced goal to set the value |
24 | | for 125% achievement. The 6 basis-point value or 8 |
25 | | basis-point value, as applicable, shall also be |
26 | | modified, as necessary, so that the 200 basis |
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1 | | points are evenly apportioned among each |
2 | | percentage point value between 100% and 125% or |
3 | | between 100% and 134% achievement, as applicable. |
4 | | (9) The utility shall submit the energy savings data |
5 | | to the independent evaluator no later than 30 days after |
6 | | the close of the plan year. The independent evaluator |
7 | | shall determine the cumulative persisting annual savings |
8 | | for a given plan year, as well as an estimate of job |
9 | | impacts and other macroeconomic impacts of the efficiency |
10 | | programs for that year, no later than 120 days after the |
11 | | close of the plan year. The utility shall submit an |
12 | | informational filing to the Commission no later than 160 |
13 | | days after the close of the plan year that attaches the |
14 | | independent evaluator's final report identifying the |
15 | | cumulative persisting annual savings for the year and |
16 | | calculates, under paragraph (7) or (8) of this subsection |
17 | | (g), as applicable, any resulting change to the utility's |
18 | | return on equity component of the weighted average cost of |
19 | | capital applicable to the next plan year beginning with |
20 | | the January monthly billing period and extending through |
21 | | the December monthly billing period. However, if the |
22 | | utility recovers the costs incurred under this Section |
23 | | under paragraphs (2) and (3) of subsection (d) of this |
24 | | Section, then the utility shall not be required to submit |
25 | | such informational filing, and shall instead submit the |
26 | | information that would otherwise be included in the |
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1 | | informational filing as part of its filing under paragraph |
2 | | (3) of such subsection (d) that is due on or before June 1 |
3 | | of each year. |
4 | | For those utilities that must submit the informational |
5 | | filing, the Commission may, on its own motion or by |
6 | | petition, initiate an investigation of such filing, |
7 | | provided, however, that the utility's proposed return on |
8 | | equity calculation shall be deemed the final, approved |
9 | | calculation on December 15 of the year in which it is filed |
10 | | unless the Commission enters an order on or before |
11 | | December 15, after notice and hearing, that modifies such |
12 | | calculation consistent with this Section. |
13 | | The adjustments to the return on equity component |
14 | | described in paragraphs (7) and (8) of this subsection (g) |
15 | | shall be applied as described in such paragraphs through a |
16 | | separate tariff mechanism, which shall be filed by the |
17 | | utility under subsections (f) and (g) of this Section. |
18 | | (9.5) The utility must demonstrate how it will ensure |
19 | | that program implementation contractors and energy |
20 | | efficiency installation vendors will promote workforce |
21 | | equity and quality jobs. |
22 | | (9.6) Utilities shall collect data necessary to ensure |
23 | | compliance with paragraph (9.5) no less than quarterly and |
24 | | shall communicate progress toward compliance with |
25 | | paragraph (9.5) to program implementation contractors and |
26 | | energy efficiency installation vendors no less than |
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1 | | quarterly. Utilities shall work with relevant vendors, |
2 | | providing education, training, and other resources needed |
3 | | to ensure compliance and, where necessary, adjusting or |
4 | | terminating work with vendors that cannot assist with |
5 | | compliance. |
6 | | (10) Utilities required to implement efficiency |
7 | | programs under subsections (b-5) and (b-10) shall report |
8 | | annually to the Illinois Commerce Commission and the |
9 | | General Assembly on how hiring, contracting, job training, |
10 | | and other practices related to its energy efficiency |
11 | | programs enhance the diversity of vendors working on such |
12 | | programs. These reports must include data on vendor and |
13 | | employee diversity, including data on the implementation |
14 | | of paragraphs (9.5) and (9.6). If the utility is not |
15 | | meeting the requirements of paragraphs (9.5) and (9.6), |
16 | | the utility shall submit a plan to adjust their activities |
17 | | so that they meet the requirements of paragraphs (9.5) and |
18 | | (9.6) within the following year. |
19 | | (h) No more than 4% of energy efficiency and |
20 | | demand-response program revenue may be allocated for research, |
21 | | development, or pilot deployment of new equipment or measures. |
22 | | Electric utilities shall work with interested stakeholders to |
23 | | formulate a plan for how these funds should be spent, |
24 | | incorporate statewide approaches for these allocations, and |
25 | | file a 4-year plan that demonstrates that collaboration. If a |
26 | | utility files a request for modified annual energy savings |
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1 | | goals with the Commission, then a utility shall forgo spending |
2 | | portfolio dollars on research and development proposals.
|
3 | | (i) When practicable, electric utilities shall incorporate |
4 | | advanced metering infrastructure data into the planning, |
5 | | implementation, and evaluation of energy efficiency measures |
6 | | and programs, subject to the data privacy and confidentiality |
7 | | protections of applicable law. |
8 | | (j) The independent evaluator shall follow the guidelines |
9 | | and use the savings set forth in Commission-approved energy |
10 | | efficiency policy manuals and technical reference manuals, as |
11 | | each may be updated from time to time. Until such time as |
12 | | measure life values for energy efficiency measures implemented |
13 | | for low-income households under subsection (c) of this Section |
14 | | are incorporated into such Commission-approved manuals, the |
15 | | low-income measures shall have the same measure life values |
16 | | that are established for same measures implemented in |
17 | | households that are not low-income households. |
18 | | (k) Notwithstanding any provision of law to the contrary, |
19 | | an electric utility subject to the requirements of this |
20 | | Section may file a tariff cancelling an automatic adjustment |
21 | | clause tariff in effect under this Section or Section 8-103, |
22 | | which shall take effect no later than one business day after |
23 | | the date such tariff is filed. Thereafter, the utility shall |
24 | | be authorized to defer and recover its expenditures incurred |
25 | | under this Section through a new tariff authorized under |
26 | | subsection (d) of this Section or in the utility's next rate |
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1 | | case under Article IX or Section 16-108.5 of this Act, with |
2 | | interest at an annual rate equal to the utility's weighted |
3 | | average cost of capital as approved by the Commission in such |
4 | | case. If the utility elects to file a new tariff under |
5 | | subsection (d) of this Section, the utility may file the |
6 | | tariff within 10 days after June 1, 2017 (the effective date of |
7 | | Public Act 99-906), and the cost inputs to such tariff shall be |
8 | | based on the projected costs to be incurred by the utility |
9 | | during the calendar year in which the new tariff is filed and |
10 | | that were not recovered under the tariff that was cancelled as |
11 | | provided for in this subsection. Such costs shall include |
12 | | those incurred or to be incurred by the utility under its |
13 | | multi-year plan approved under subsections (f) and (g) of this |
14 | | Section, including, but not limited to, projected capital |
15 | | investment costs and projected regulatory asset balances with |
16 | | correspondingly updated depreciation and amortization reserves |
17 | | and expense. The Commission shall, after notice and hearing, |
18 | | approve, or approve with modification, such tariff and cost |
19 | | inputs no later than 75 days after the utility filed the |
20 | | tariff, provided that such approval, or approval with |
21 | | modification, shall be consistent with the provisions of this |
22 | | Section to the extent they do not conflict with this |
23 | | subsection (k). The tariff approved by the Commission shall |
24 | | take effect no later than 5 days after the Commission enters |
25 | | its order approving the tariff. |
26 | | No later than 60 days after the effective date of the |
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1 | | tariff cancelling the utility's automatic adjustment clause |
2 | | tariff, the utility shall file a reconciliation that |
3 | | reconciles the moneys collected under its automatic adjustment |
4 | | clause tariff with the costs incurred during the period |
5 | | beginning June 1, 2016 and ending on the date that the electric |
6 | | utility's automatic adjustment clause tariff was cancelled. In |
7 | | the event the reconciliation reflects an under-collection, the |
8 | | utility shall recover the costs as specified in this |
9 | | subsection (k). If the reconciliation reflects an |
10 | | over-collection, the utility shall apply the amount of such |
11 | | over-collection as a one-time credit to retail customers' |
12 | | bills. |
13 | | (l) For the calendar years covered by a multi-year plan
|
14 | | commencing after December 31, 2017, subsections (a) through
|
15 | | (j) of this Section do not apply to eligible large private
|
16 | | energy customers that have chosen to opt out of multi-year
|
17 | | plans consistent with this subsection
(1). |
18 | | (1) For purposes of this subsection (l), "eligible
|
19 | | large private energy customer" means any retail
customers, |
20 | | except for federal, State, municipal, and other
public |
21 | | customers, of an electric utility that serves more
than |
22 | | 3,000,000 retail customers, except for federal,
State, |
23 | | municipal and other public customers, in the State
and |
24 | | whose total highest 30 minute demand was more than
10,000 |
25 | | kilowatts, or any retail customers of an electric
utility |
26 | | that serves less than 3,000,000 retail customers
but more |
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1 | | than 500,000 retail customers in the State and
whose total |
2 | | highest 15 minute demand was more than 10,000
kilowatts. |
3 | | For purposes of this subsection (l), "retail
customer" has |
4 | | the meaning set forth in Section 16-102 of
this Act. |
5 | | However, for a business entity with multiple sites located |
6 | | in the State, where at least one of those sites qualifies |
7 | | as an eligible large private energy customer, then any of |
8 | | that business entity's sites, properly identified on a |
9 | | form for notice, shall be considered eligible large |
10 | | private energy customers for the purposes of this |
11 | | subsection (l). A determination of whether this subsection |
12 | | is
applicable to a customer shall be made for each |
13 | | multi-year
plan beginning after December 31, 2017. The |
14 | | criteria for
determining whether this subsection (l) is |
15 | | applicable to a
retail customer shall be based on the 12 |
16 | | consecutive
billing periods prior to the start of the |
17 | | first year of
each such multi-year plan. |
18 | | (2) Within 45 days after September 15, 2021 ( the |
19 | | effective date of Public Act 102-662) this amendatory Act |
20 | | of the 102nd General Assembly , the Commission shall |
21 | | prescribe the form for notice
required for opting out of |
22 | | energy efficiency programs. The
notice must be submitted |
23 | | to the retail electric utility 12 months
before the next |
24 | | energy efficiency planning cycle. However, within 120 days |
25 | | after the Commission's initial issuance of the form for |
26 | | notice, eligible large private energy customers may submit |
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1 | | a form for notice to an electric utility. The form for |
2 | | notice for opting out of energy efficiency programs shall
|
3 | | include all of the following: |
4 | | (A) a statement indicating that the customer has
|
5 | | elected to opt out; |
6 | | (B) the account numbers for the customer accounts |
7 | | to
which the opt out shall apply; |
8 | | (C) the mailing address associated with the
|
9 | | customer accounts identified under subparagraph (B); |
10 | | (D) an American Society of Heating, Refrigerating,
|
11 | | and Air-Conditioning Engineers (ASHRAE) level 2 or
|
12 | | higher audit report conducted by an independent |
13 | | third-party expert identifying cost-effective energy
|
14 | | efficiency project opportunities that could be
|
15 | | invested in over the next 10 years. A retail customer |
16 | | with specialized processes may utilize a self-audit |
17 | | process in lieu of the ASHRAE audit; |
18 | | (E) a description of the customer's plans to
|
19 | | reallocate the funds toward internal energy efficiency
|
20 | | efforts identified in the subparagraph (D) report,
|
21 | | including, but not limited to: (i) strategic energy
|
22 | | management or other programs, including descriptions
|
23 | | of targeted buildings, equipment and operations; (ii)
|
24 | | eligible energy efficiency measures; and (iii)
|
25 | | expected energy savings, itemized by technology. If |
26 | | the subparagraph (D) audit report identifies that the |
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1 | | customer currently utilizes the best available energy |
2 | | efficient technology, equipment, programs, and |
3 | | operations, the customer may provide a statement that |
4 | | more efficient technology, equipment, programs, and |
5 | | operations are not reasonably available as a means of |
6 | | satisfying this subparagraph (E); and |
7 | | (F) the effective date of the opt out, which will
|
8 | | be the next January 1 following notice of the opt out. |
9 | | (3) Upon receipt of a properly and timely noticed
|
10 | | request for opt out submitted by an eligible large private
|
11 | | energy customer, the retail electric utility shall grant |
12 | | the
request, file the request with the Commission and,
|
13 | | beginning January 1 of the following year, the opted out
|
14 | | customer shall no longer be assessed the costs of the plan
|
15 | | and shall be prohibited from participating in that
4-year |
16 | | plan cycle to give the retail utility the
certainty to |
17 | | design program plan proposals. |
18 | | (4) Upon a customer's election to opt out under
|
19 | | paragraphs (1) and (2) of this subsection (l) and
|
20 | | commencing on the effective date of said opt out, the
|
21 | | account properly identified in the customer's notice under
|
22 | | paragraph (2) shall not be subject to any cost recovery
|
23 | | and shall not be eligible to participate in, or directly
|
24 | | benefit from, compliance with energy efficiency cumulative
|
25 | | persisting savings requirements under subsections (a)
|
26 | | through (j). |
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1 | | (5) A utility's cumulative persisting annual savings
|
2 | | targets will exclude any opted out load. |
3 | | (6) The request to opt out is only valid for the
|
4 | | requested plan cycle. An eligible large private energy
|
5 | | customer must also request to opt out for future energy
|
6 | | plan cycles, otherwise the customer will be included in
|
7 | | the future energy plan cycle. |
8 | | (m) Notwithstanding the requirements of this Section, as |
9 | | part of a proceeding to approve a multi-year plan under |
10 | | subsections (f) and (g) of this Section if the multi-year plan |
11 | | has been designed to maximize savings, but does not meet the |
12 | | cost cap limitations of this Section, the Commission shall |
13 | | reduce the amount of energy efficiency measures implemented |
14 | | for any single year, and whose costs are recovered under |
15 | | subsection (d) of this Section, by an amount necessary to |
16 | | limit the estimated average net increase due to the cost of the |
17 | | measures to no more than |
18 | | (1) 3.5% for each of the 4 years beginning January 1, |
19 | | 2018, |
20 | | (2) (blank), |
21 | | (3) 4% for each of the 4 years beginning January 1, |
22 | | 2022, |
23 | | (4) 4.25% for the 4 years beginning January 1, 2026, |
24 | | and |
25 | | (5) 4.25% plus an increase sufficient to account for |
26 | | the rate of inflation between January 1, 2026 and January |
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1 | | 1 of the first year of each subsequent 4-year plan cycle, |
2 | | of the average amount paid per kilowatthour by residential |
3 | | eligible retail customers during calendar year 2015. An |
4 | | electric utility may plan to spend up to 10% more in any year |
5 | | during an applicable multi-year plan period to |
6 | | cost-effectively achieve additional savings so long as the |
7 | | average over the applicable multi-year plan period does not |
8 | | exceed the percentages defined in items (1) through (5). To |
9 | | determine the total amount that may be spent by an electric |
10 | | utility in any single year, the applicable percentage of the |
11 | | average amount paid per kilowatthour shall be multiplied by |
12 | | the total amount of energy delivered by such electric utility |
13 | | in the calendar year 2015, adjusted to reflect the proportion |
14 | | of the utility's load attributable to customers that have |
15 | | opted out of subsections (a) through (j) of this Section under |
16 | | subsection (l) of this Section. For purposes of this |
17 | | subsection (m), the amount paid per kilowatthour includes,
|
18 | | without limitation, estimated amounts paid for supply,
|
19 | | transmission, distribution, surcharges, and add-on taxes. For |
20 | | purposes of this Section, "eligible retail customers" shall |
21 | | have the meaning set forth in Section 16-111.5 of this Act. |
22 | | Once the Commission has approved a plan under subsections (f) |
23 | | and (g) of this Section, no subsequent rate impact |
24 | | determinations shall be made. |
25 | | (n) A utility shall take advantage of the efficiencies |
26 | | available through existing Illinois Home Weatherization |
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1 | | Assistance Program infrastructure and services, such as |
2 | | enrollment, marketing, quality assurance and implementation, |
3 | | which can reduce the need for similar services at a lower cost |
4 | | than utility-only programs, subject to capacity constraints at |
5 | | community action agencies, for both single-family and |
6 | | multifamily weatherization services, to the extent Illinois |
7 | | Home Weatherization Assistance Program community action |
8 | | agencies provide multifamily services. A utility's plan shall |
9 | | demonstrate that in formulating annual weatherization budgets, |
10 | | it has sought input and coordination with community action |
11 | | agencies regarding agencies' capacity to expand and maximize |
12 | | Illinois Home Weatherization Assistance Program delivery using |
13 | | the ratepayer dollars collected under this Section.
|
14 | | (Source: P.A. 101-81, eff. 7-12-19; 102-662, eff. 9-15-21; |
15 | | revised 2-28-22.)
|
16 | | Section 180. The Child Care Act of 1969 is amended by |
17 | | changing Sections 2.09, 2.11, 2.18, 2.20, 3, 4.5, 5, 5.1, 5.3, |
18 | | 5.5, 5.6, 5.8, 5.9, 5.10, 5.11, 6, 7, 7.10, 9.1c, 9.2, and 12 |
19 | | as follows:
|
20 | | (225 ILCS 10/2.09) (from Ch. 23, par. 2212.09)
|
21 | | Sec. 2.09.
" Child Day care center" means any child care |
22 | | facility which regularly
provides child day care for less than |
23 | | 24 hours per day for (1) more than 8 children
in a family home, |
24 | | or (2) more than 3 children in a facility other than a
family |
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1 | | home, including senior citizen buildings. |
2 | | The term does not include:
|
3 | | (a)
programs operated by (i) public or private |
4 | | elementary school systems or
secondary level school units |
5 | | or institutions of higher learning that
serve children who |
6 | | shall have attained the age of 3 years or (ii) private
|
7 | | entities on the grounds of public or private elementary or
|
8 | | secondary schools and that serve children who have |
9 | | attained the age of 3
years, except that this exception |
10 | | applies only to the facility and not to the
private |
11 | | entities' personnel operating the program;
|
12 | | (b)
programs
or that portion of the program which |
13 | | serves children who shall have attained
the age of 3 years |
14 | | and which are recognized by the State Board of Education;
|
15 | | (c) educational program or programs serving children |
16 | | who shall have attained
the age of 3 years and which are |
17 | | operated by a school which is registered
with the State |
18 | | Board of Education and which is recognized or accredited
|
19 | | by a recognized national or multistate
educational |
20 | | organization or association which regularly recognizes or |
21 | | accredits
schools; |
22 | | (d) programs which exclusively serve or that portion |
23 | | of the
program which serves children with disabilities who |
24 | | shall have attained the age
of 3 years but are less than 21 |
25 | | years of age and which are registered and
approved as |
26 | | meeting standards of the State Board of Education and
|
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1 | | applicable fire marshal standards; |
2 | | (e) facilities operated in connection
with a shopping |
3 | | center or service, religious services, or other similar
|
4 | | facility, where transient children are cared for |
5 | | temporarily while parents
or custodians of the children |
6 | | are occupied on the premises and readily
available; |
7 | | (f) any type of child day care center that is
|
8 | | conducted on federal government premises; |
9 | | (g) special activities
programs, including athletics, |
10 | | crafts instruction, and similar activities
conducted on an |
11 | | organized and periodic basis by civic, charitable and
|
12 | | governmental organizations; |
13 | | (h) part day child care facilities, as
defined in |
14 | | Section 2.10 of this Act; |
15 | | (i) programs or that portion of
the program which: |
16 | | (1) serves children who shall have attained the |
17 | | age of
3 years; |
18 | | (2) is operated by churches or religious |
19 | | institutions as described
in Section 501(c)(3) of the |
20 | | federal Internal Revenue Code; |
21 | | (3) receives
no governmental aid; |
22 | | (4) is operated as a component of a religious, |
23 | | nonprofit
elementary school; |
24 | | (5) operates primarily to provide religious |
25 | | education;
and |
26 | | (6) meets appropriate State or local health and |
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1 | | fire safety standards; or |
2 | | (j) programs or portions of programs that: |
3 | | (1) serve only school-age children and youth |
4 | | (defined as full-time kindergarten children, as |
5 | | defined in 89 Ill. Adm. Code 407.45, or older); |
6 | | (2) are organized to promote childhood learning, |
7 | | child and youth development, educational or |
8 | | recreational activities, or character-building; |
9 | | (3) operate primarily during out-of-school time or |
10 | | at times when school is not normally in session; |
11 | | (4) comply with the standards of the Illinois |
12 | | Department of Public Health (77 Ill. Adm. Code 750) or |
13 | | the local health department, the Illinois State Fire |
14 | | Marshal (41 Ill. Adm. Code 100), and the following |
15 | | additional health and safety requirements: procedures |
16 | | for employee and volunteer emergency preparedness and |
17 | | practice drills; procedures to ensure that first aid |
18 | | kits are maintained and ready to use; the placement of |
19 | | a minimum level of liability insurance as determined |
20 | | by the Department; procedures for the availability of |
21 | | a working telephone that is onsite and accessible at |
22 | | all times; procedures to ensure that emergency phone |
23 | | numbers are posted onsite; and a restriction on |
24 | | handgun or weapon possession onsite, except if |
25 | | possessed by a peace officer; |
26 | | (5) perform and maintain authorization and results |
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1 | | of criminal history checks through the Illinois State |
2 | | Police and FBI and checks of the Illinois Sex Offender |
3 | | Registry, the National Sex Offender Registry, and |
4 | | Child Abuse and Neglect Tracking System for employees |
5 | | and volunteers who work directly with children; |
6 | | (6) make hiring decisions in accordance with the |
7 | | prohibitions against barrier crimes as specified in |
8 | | Section 4.2 of this Act or in Section 21B-80 of the |
9 | | School Code; |
10 | | (7) provide parents with written disclosure that |
11 | | the operations of the program are not regulated by |
12 | | licensing requirements; and |
13 | | (8) obtain and maintain records showing the first |
14 | | and last name and date of birth of the child, name, |
15 | | address, and telephone number of each parent, |
16 | | emergency contact information, and written |
17 | | authorization for medical care. |
18 | | Programs or portions of programs requesting Child Care |
19 | | Assistance Program (CCAP) funding and otherwise meeting the |
20 | | requirements under item (j) shall request exemption from the |
21 | | Department and be determined exempt prior to receiving funding |
22 | | and must annually meet the eligibility requirements and be |
23 | | appropriate for payment under the CCAP. |
24 | | Programs or portions of programs under item (j) that do |
25 | | not receive State or federal funds must comply with staff |
26 | | qualification and training standards established by rule by |
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1 | | the Department of Human Services. The Department of Human |
2 | | Services shall set such standards after review of Afterschool |
3 | | for Children and Teens Now (ACT Now) evidence-based quality |
4 | | standards developed for school-age out-of-school time |
5 | | programs, feedback from the school-age out-of-school time |
6 | | program professionals, and review of out-of-school time |
7 | | professional development frameworks and quality tools. |
8 | | Out-of-school time programs for school-age youth that |
9 | | receive State or federal funds must comply with only those |
10 | | staff qualifications and training standards set for the |
11 | | program by the State or federal entity issuing the funds.
|
12 | | For purposes of items (a), (b), (c), (d), and (i) of this |
13 | | Section,
"children who shall have attained the age of 3 years" |
14 | | shall mean children
who are 3 years of age, but less than 4 |
15 | | years of age, at the time of
enrollment in the program.
|
16 | | (Source: P.A. 99-143, eff. 7-27-15; 99-699, eff. 7-29-16; |
17 | | 100-201, eff. 8-18-17.)
|
18 | | (225 ILCS 10/2.11) (from Ch. 23, par. 2212.11)
|
19 | | Sec. 2.11.
" Child Day care agency" means any person, group |
20 | | of persons, public
or private agency, association or |
21 | | organization which undertakes to provide
one or more child day |
22 | | care homes with
administrative
services including, but not |
23 | | limited to, consultation, technical assistance,
training, |
24 | | supervision, evaluation and provision of or referral to health
|
25 | | and social services under contractual arrangement.
|
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1 | | (Source: P.A. 83-126.)
|
2 | | (225 ILCS 10/2.18) (from Ch. 23, par. 2212.18)
|
3 | | Sec. 2.18.
" Child Day care homes" means family homes which |
4 | | receive
more than 3 up to a maximum of 12 children for less |
5 | | than 24 hours per day.
The number counted includes the |
6 | | family's natural or adopted children and
all other persons |
7 | | under the age of 12. The term does not include facilities
which |
8 | | receive only children from a single household.
|
9 | | (Source: P.A. 87-674.)
|
10 | | (225 ILCS 10/2.20) (from Ch. 23, par. 2212.20)
|
11 | | Sec. 2.20.
"Group child day care home" means a family home |
12 | | which receives
more than 3 up to a maximum of 16 children for |
13 | | less than 24 hours per day.
The number counted includes the |
14 | | family's natural or adopted children and
all other persons |
15 | | under the age of 12.
|
16 | | (Source: P.A. 87-675)
|
17 | | (225 ILCS 10/3) (from Ch. 23, par. 2213)
|
18 | | Sec. 3.
(a) No person, group of persons or corporation may |
19 | | operate or
conduct any facility for child care, as defined in |
20 | | this Act, without a
license or permit issued by the Department |
21 | | or without being approved by
the Department as meeting the |
22 | | standards established for such licensing,
with the exception |
23 | | of facilities for whom standards are established by the
|
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1 | | Department of Corrections under Section 3-15-2 of the Unified |
2 | | Code of
Corrections and with the exception of facilities |
3 | | defined in Section 2.10
of this Act, and with the exception of |
4 | | programs or facilities licensed by
the Department of Human |
5 | | Services under the Substance Use Disorder Act.
|
6 | | (b) No part day child care facility as described in |
7 | | Section 2.10 may operate
without written notification to the |
8 | | Department or without complying with
Section 7.1. Notification |
9 | | shall include a notarized statement by the facility
that the |
10 | | facility complies with state or local health standards and |
11 | | state
fire safety standards, and shall be filed with the |
12 | | department every 2 years.
|
13 | | (c) The Director of the Department shall establish |
14 | | policies and coordinate
activities relating to child care |
15 | | licensing, licensing of child day care homes
and child day |
16 | | care centers.
|
17 | | (d) Any facility or agency which is exempt from licensing |
18 | | may apply for
licensing if licensing is required for some |
19 | | government benefit. |
20 | | (e) A provider of child day care described in items (a) |
21 | | through (j) of Section 2.09 of this Act is exempt from |
22 | | licensure. The Department shall provide written verification |
23 | | of exemption and description of compliance with standards for |
24 | | the health, safety, and development of the children who |
25 | | receive the services upon submission by the provider of, in |
26 | | addition to any other documentation required by the |
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1 | | Department, a notarized statement that the facility complies |
2 | | with: (1) the standards of the Department of Public Health or |
3 | | local health department, (2) the fire safety standards of the |
4 | | State Fire Marshal, and (3) if operated in a public school |
5 | | building, the health and safety standards of the State Board |
6 | | of Education.
|
7 | | (Source: P.A. 99-699, eff. 7-29-16; 100-759, eff. 1-1-19 .)
|
8 | | (225 ILCS 10/4.5)
|
9 | | Sec. 4.5. Children with disabilities; training.
|
10 | | (a) An owner or operator of a licensed child day care home |
11 | | or group child day care home
or the onsite executive director |
12 | | of a licensed child day care center must
successfully complete |
13 | | a basic training course in providing care to children
with |
14 | | disabilities. The basic training course will also be made |
15 | | available on a
voluntary basis to those providers who are |
16 | | exempt from the licensure
requirements of this Act.
|
17 | | (b) The Department of Children and Family Services shall |
18 | | promulgate rules
establishing the requirements for basic |
19 | | training in providing care to children
with disabilities.
|
20 | | (Source: P.A. 92-164, eff. 1-1-02.)
|
21 | | (225 ILCS 10/5) (from Ch. 23, par. 2215)
|
22 | | Sec. 5.
(a) In respect to child care institutions, |
23 | | maternity
centers, child welfare agencies, child day care |
24 | | centers, child day care agencies
and group homes, the |
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1 | | Department, upon receiving application filed in
proper order, |
2 | | shall examine the facilities and persons responsible for
care |
3 | | of children therein.
|
4 | | (b) In respect to foster family and child day care homes, |
5 | | applications
may be filed on behalf of such homes by a licensed |
6 | | child welfare agency,
by a State agency authorized to place |
7 | | children in foster care or by
out-of-State agencies approved |
8 | | by the Department to place children in
this State. In respect |
9 | | to child day care homes, applications may be filed on
behalf of |
10 | | such homes by a licensed child day care agency or licensed |
11 | | child welfare
agency. In applying for license in behalf of a |
12 | | home in which
children are placed by and remain under |
13 | | supervision of the applicant
agency, such agency shall certify |
14 | | that the home and persons responsible
for care of unrelated |
15 | | children therein, or the home and relatives, as defined in |
16 | | Section 2.17 of this Act, responsible
for the care of related |
17 | | children therein, were found to be in reasonable
compliance |
18 | | with standards prescribed by the Department for the type of
|
19 | | care indicated.
|
20 | | (c) The Department shall not allow any person to examine |
21 | | facilities
under a provision of this Act who has not passed an |
22 | | examination
demonstrating that such person is familiar with |
23 | | this Act and with the
appropriate standards and regulations of |
24 | | the Department.
|
25 | | (d) With the exception of child day care centers, child |
26 | | day care homes, and group child day
care homes, licenses shall |
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1 | | be issued in such form and manner as prescribed
by the |
2 | | Department and are valid for 4 years from the date issued,
|
3 | | unless
revoked by the Department or voluntarily surrendered by |
4 | | the licensee.
Licenses issued for child day care centers, |
5 | | child day care homes, and group child day care
homes
shall be |
6 | | valid for 3 years from the date issued, unless revoked by the
|
7 | | Department or voluntarily surrendered by the licensee. When
a |
8 | | licensee has made timely and sufficient application for the |
9 | | renewal of
a license or a new license with reference to any |
10 | | activity of a continuing
nature, the existing license shall |
11 | | continue in full force and effect for
up to 30 days until the |
12 | | final agency decision on the application has been
made. The |
13 | | Department may further extend the period in which such |
14 | | decision
must be made in individual cases for up to 30 days, |
15 | | but such extensions
shall be only upon good cause shown.
|
16 | | (e) The Department may issue one 6-month permit to a newly
|
17 | | established facility for child care to allow that facility |
18 | | reasonable
time to become eligible for a full license. If the |
19 | | facility for child care
is a foster family home, or child day |
20 | | care home the Department may issue one
2-month permit only.
|
21 | | (f) The Department may issue an emergency permit to a |
22 | | child care
facility taking in children as a result of the |
23 | | temporary closure for
more than 2 weeks of a licensed child |
24 | | care facility due to a
natural disaster. An emergency permit |
25 | | under this subsection shall be
issued to a facility only if the |
26 | | persons providing child care services at
the facility were |
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1 | | employees of the temporarily closed child day care center at |
2 | | the
time it was closed. No investigation of an employee of a |
3 | | child care facility
receiving an emergency permit under this |
4 | | subsection shall be required if that
employee has previously |
5 | | been investigated at another child care facility. No
emergency |
6 | | permit issued under this subsection shall be valid for more |
7 | | than 90
days after the date of issuance.
|
8 | | (g) During the hours of operation of any licensed child |
9 | | care
facility, authorized representatives of the Department |
10 | | may without
notice visit the facility for the purpose of |
11 | | determining its continuing
compliance with this Act or |
12 | | regulations adopted pursuant thereto.
|
13 | | (h) Child Day care centers, child day care homes, and |
14 | | group child day care homes shall be
monitored at least |
15 | | annually by a licensing representative from the Department
or |
16 | | the agency that recommended licensure.
|
17 | | (Source: P.A. 98-804, eff. 1-1-15 .)
|
18 | | (225 ILCS 10/5.1) (from Ch. 23, par. 2215.1)
|
19 | | (Text of Section before amendment by P.A. 102-982 )
|
20 | | Sec. 5.1. (a) The Department shall ensure that no child |
21 | | day care center, group
home or child care institution as |
22 | | defined in this Act shall on a regular
basis transport a child |
23 | | or children with any motor vehicle unless such
vehicle is |
24 | | operated by a person who complies with the following |
25 | | requirements:
|
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1 | | 1. is 21 years of age or older;
|
2 | | 2. currently holds a valid driver's license, which has |
3 | | not been revoked
or suspended for one or more traffic |
4 | | violations during the 3 years
immediately prior to the |
5 | | date of application;
|
6 | | 3. demonstrates physical fitness to operate vehicles |
7 | | by submitting the
results of a medical examination |
8 | | conducted by a licensed physician;
|
9 | | 4. has not been convicted of more than 2 offenses |
10 | | against traffic
regulations governing the movement of |
11 | | vehicles within a twelve month period;
|
12 | | 5. has not been convicted of reckless driving or |
13 | | driving under the
influence or manslaughter or reckless |
14 | | homicide resulting from the
operation of a motor vehicle |
15 | | within the past 3 years;
|
16 | | 6. has signed and submitted a written statement |
17 | | certifying that he has
not, through the unlawful operation |
18 | | of a motor vehicle, caused an accident
which resulted in |
19 | | the death of any person within the 5 years immediately
|
20 | | prior to the date of application.
|
21 | | However, such child day care centers, group homes and |
22 | | child care institutions
may provide for transportation of a |
23 | | child or children for special outings,
functions or purposes |
24 | | that are not scheduled on a regular basis without
verification |
25 | | that drivers for such purposes meet the requirements of this
|
26 | | Section.
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1 | | (a-5) As a means of ensuring compliance with the |
2 | | requirements set forth in subsection (a), the Department shall |
3 | | implement appropriate measures to verify that every individual |
4 | | who is employed at a group home or child care institution meets |
5 | | those requirements. |
6 | | For every individual employed at a group home or child |
7 | | care institution who regularly transports children in the |
8 | | course of performing his or her duties, the Department must |
9 | | make the verification every 2 years. Upon the Department's |
10 | | request, the Secretary of State shall provide the Department |
11 | | with the information necessary to enable the Department to |
12 | | make the verifications required under subsection (a). |
13 | | In the case of an individual employed at a group home or |
14 | | child care institution who becomes subject to subsection (a) |
15 | | for the first time after the effective date of this amendatory |
16 | | Act of the 94th General Assembly, the Department must make |
17 | | that verification with the Secretary of State before the |
18 | | individual operates a motor vehicle to transport a child or |
19 | | children under the circumstances described in subsection (a). |
20 | | In the case of an individual employed at a group home or |
21 | | child care institution who is subject to subsection (a) on the |
22 | | effective date of this amendatory Act of the 94th General |
23 | | Assembly, the Department must make that verification with the |
24 | | Secretary of State within 30 days after that effective date. |
25 | | If the Department discovers that an individual fails to |
26 | | meet the requirements set forth in subsection (a), the |
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1 | | Department shall promptly notify the appropriate group home or |
2 | | child care institution.
|
3 | | (b) Any individual who holds a valid Illinois school bus |
4 | | driver permit
issued by the Secretary of State
pursuant to The |
5 | | Illinois
Vehicle Code, and who is currently employed by a |
6 | | school district or parochial
school, or by a contractor with a |
7 | | school district or parochial school, to
drive a school bus |
8 | | transporting children to and from school,
shall be deemed in |
9 | | compliance with the requirements of subsection (a).
|
10 | | (c) The Department may, pursuant to Section 8 of this Act, |
11 | | revoke the
license of any child day care center, group home or |
12 | | child care institution that
fails to meet the requirements of |
13 | | this Section.
|
14 | | (d) A group home or child care institution that
fails to |
15 | | meet the requirements of this Section is guilty of a petty |
16 | | offense and is subject to a fine of not more than $1,000. Each |
17 | | day that a group home or child care institution fails to meet |
18 | | the requirements of this Section is a separate offense.
|
19 | | (Source: P.A. 94-943, eff. 1-1-07.)
|
20 | | (Text of Section after amendment by P.A. 102-982 )
|
21 | | Sec. 5.1. (a) The Department shall ensure that no child |
22 | | day care center, group
home or child care institution as |
23 | | defined in this Act shall on a regular
basis transport a child |
24 | | or children with any motor vehicle unless such
vehicle is |
25 | | operated by a person who complies with the following |
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1 | | requirements:
|
2 | | 1. is 21 years of age or older;
|
3 | | 2. currently holds a valid driver's license, which has |
4 | | not been revoked
or suspended for one or more traffic |
5 | | violations during the 3 years
immediately prior to the |
6 | | date of application;
|
7 | | 3. demonstrates physical fitness to operate vehicles |
8 | | by submitting the
results of a medical examination |
9 | | conducted by a licensed physician;
|
10 | | 4. has not been convicted of more than 2 offenses |
11 | | against traffic
regulations governing the movement of |
12 | | vehicles within a twelve month period;
|
13 | | 5. has not been convicted of reckless driving or |
14 | | driving under the
influence or manslaughter or reckless |
15 | | homicide resulting from the
operation of a motor vehicle |
16 | | within the past 3 years;
|
17 | | 6. has signed and submitted a written statement |
18 | | certifying that he has
not, through the unlawful operation |
19 | | of a motor vehicle, caused a crash
which resulted in the |
20 | | death of any person within the 5 years immediately
prior |
21 | | to the date of application.
|
22 | | However, such child day care centers, group homes and |
23 | | child care institutions
may provide for transportation of a |
24 | | child or children for special outings,
functions or purposes |
25 | | that are not scheduled on a regular basis without
verification |
26 | | that drivers for such purposes meet the requirements of this
|
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1 | | Section.
|
2 | | (a-5) As a means of ensuring compliance with the |
3 | | requirements set forth in subsection (a), the Department shall |
4 | | implement appropriate measures to verify that every individual |
5 | | who is employed at a group home or child care institution meets |
6 | | those requirements. |
7 | | For every individual employed at a group home or child |
8 | | care institution who regularly transports children in the |
9 | | course of performing his or her duties, the Department must |
10 | | make the verification every 2 years. Upon the Department's |
11 | | request, the Secretary of State shall provide the Department |
12 | | with the information necessary to enable the Department to |
13 | | make the verifications required under subsection (a). |
14 | | In the case of an individual employed at a group home or |
15 | | child care institution who becomes subject to subsection (a) |
16 | | for the first time after the effective date of this amendatory |
17 | | Act of the 94th General Assembly, the Department must make |
18 | | that verification with the Secretary of State before the |
19 | | individual operates a motor vehicle to transport a child or |
20 | | children under the circumstances described in subsection (a). |
21 | | In the case of an individual employed at a group home or |
22 | | child care institution who is subject to subsection (a) on the |
23 | | effective date of this amendatory Act of the 94th General |
24 | | Assembly, the Department must make that verification with the |
25 | | Secretary of State within 30 days after that effective date. |
26 | | If the Department discovers that an individual fails to |
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1 | | meet the requirements set forth in subsection (a), the |
2 | | Department shall promptly notify the appropriate group home or |
3 | | child care institution.
|
4 | | (b) Any individual who holds a valid Illinois school bus |
5 | | driver permit
issued by the Secretary of State
pursuant to The |
6 | | Illinois
Vehicle Code, and who is currently employed by a |
7 | | school district or parochial
school, or by a contractor with a |
8 | | school district or parochial school, to
drive a school bus |
9 | | transporting children to and from school,
shall be deemed in |
10 | | compliance with the requirements of subsection (a).
|
11 | | (c) The Department may, pursuant to Section 8 of this Act, |
12 | | revoke the
license of any child day care center, group home or |
13 | | child care institution that
fails to meet the requirements of |
14 | | this Section.
|
15 | | (d) A group home or child care institution that
fails to |
16 | | meet the requirements of this Section is guilty of a petty |
17 | | offense and is subject to a fine of not more than $1,000. Each |
18 | | day that a group home or child care institution fails to meet |
19 | | the requirements of this Section is a separate offense.
|
20 | | (Source: P.A. 102-982, eff. 7-1-23.)
|
21 | | (225 ILCS 10/5.3)
|
22 | | Sec. 5.3. Lunches in child day care homes. In order to |
23 | | increase the
affordability and availability of child day care, |
24 | | a child day care home licensed under this
Act may allow any
|
25 | | child it receives to bring his or her lunch for consumption |
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1 | | instead of or in
addition to the lunch provided by the child |
2 | | day care home.
|
3 | | (Source: P.A. 90-242, eff. 1-1-98.)
|
4 | | (225 ILCS 10/5.5)
|
5 | | Sec. 5.5. Smoking in child day care facilities.
|
6 | | (a) The General Assembly finds and declares that:
|
7 | | (1) The U.S. government has determined that secondhand |
8 | | tobacco smoke is a
major threat to public health for which |
9 | | there is no safe level of exposure.
|
10 | | (2) The U.S. Environmental Protection Agency recently |
11 | | classified
secondhand tobacco smoke a Class A carcinogen, |
12 | | ranking it with substances such
as asbestos and benzene.
|
13 | | (3) According to U.S. government figures, secondhand |
14 | | tobacco smoke is
linked to the lung-cancer deaths of an |
15 | | estimated 3,000 nonsmokers per year.
|
16 | | (4) Cigarette smoke is a special risk to children, |
17 | | causing between 150,000
and 300,000 respiratory infections |
18 | | each year in children under 18 months old,
and endangering |
19 | | between 200,000 and one million children with asthma.
|
20 | | (5) The health of the children of this State should |
21 | | not be
compromised by needless exposure to secondhand |
22 | | tobacco smoke.
|
23 | | (b) It is a violation of this Act for any
person to smoke |
24 | | tobacco in any
area of a child day care center.
|
25 | | (c) It is a violation of this Act for any person
to smoke |
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1 | | tobacco in any area of a child day care home or group child day |
2 | | care home.
|
3 | | (d) It is a violation of this Act for any person |
4 | | responsible for the
operation of a child day care center, |
5 | | child day care home, or group child day care home to
knowingly |
6 | | allow or encourage any violation of subsection (b) or (c) of |
7 | | this
Section.
|
8 | | (Source: P.A. 99-343, eff. 8-11-15.)
|
9 | | (225 ILCS 10/5.6)
|
10 | | Sec. 5.6. Pesticide and lawn care product application at |
11 | | child day care centers.
|
12 | | (a) Licensed child day care centers shall abide by the |
13 | | requirements of Sections
10.2
and
10.3 of the Structural Pest |
14 | | Control Act.
|
15 | | (b) Notification required pursuant to Section 10.3 of the |
16 | | Structural Pest
Control
Act may not be given more than 30 days |
17 | | before the application of the pesticide.
|
18 | | (c) Each licensed child day care center, subject to the |
19 | | requirements of Section
10.3 of the Structural Pest Control |
20 | | Act, must ensure that pesticides will
not
be
applied when |
21 | | children are present at the center. Toys and other items |
22 | | mouthed
or
handled by the children must be removed from the |
23 | | area before pesticides are
applied.
Children must not return |
24 | | to the treated area within 2 hours after a pesticide
|
25 | | application or
as specified on the pesticide label, whichever |
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1 | | time is greater. |
2 | | (d) The owners and operators of licensed child day care |
3 | | centers must ensure that lawn care products will not be |
4 | | applied to child day care center grounds when children are |
5 | | present at the center or on its grounds. For the purpose of |
6 | | this Section, "lawn care product" has the same meaning as that |
7 | | term is defined in the Lawn Care Products Application and |
8 | | Notice Act.
|
9 | | (Source: P.A. 96-424, eff. 8-13-09.)
|
10 | | (225 ILCS 10/5.8) |
11 | | Sec. 5.8. Radon testing of licensed child day care |
12 | | centers, licensed child day care homes, and licensed group |
13 | | child day care homes. |
14 | | (a) Effective January 1, 2013, licensed child day care |
15 | | centers, licensed child day care homes, and licensed group |
16 | | child day care homes shall have the facility tested for radon |
17 | | at least once every 3 years pursuant to rules established by |
18 | | the Illinois Emergency Management Agency. |
19 | | (b) Effective January 1, 2014, as part of an initial |
20 | | application or application for renewal of a license for child |
21 | | day care centers, child day care homes, and group child day |
22 | | care homes, the Department shall require proof the facility |
23 | | has been tested within the last 3 years for radon pursuant to |
24 | | rules established by the Illinois Emergency Management Agency. |
25 | | (c) The report of the most current radon measurement shall |
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1 | | be posted in the facility next to the license issued by the |
2 | | Department. Copies of the report shall be provided to parents |
3 | | or guardians upon request. |
4 | | (d) Included with the report referenced in subsection (c) |
5 | | shall be the following statement: |
6 | | "Every parent or guardian is notified that this |
7 | | facility has performed radon measurements to ensure the |
8 | | health and safety of the occupants. The Illinois Emergency |
9 | | Management Agency (IEMA) recommends that all residential |
10 | | homes be tested and that corrective actions be taken at |
11 | | levels equal to or greater than 4.0 pCi/L. Radon is a Class |
12 | | A human carcinogen, the leading cause of lung cancer in |
13 | | non-smokers, and the second leading cause of lung cancer |
14 | | overall. For additional information about this facility |
15 | | contact the licensee and for additional information |
16 | | regarding radon contact the IEMA Radon Program at |
17 | | 800-325-1245 or on the Internet at |
18 | | www.radon.illinois.gov.".
|
19 | | (Source: P.A. 97-981, eff. 1-1-13.)
|
20 | | (225 ILCS 10/5.9) |
21 | | Sec. 5.9. Lead testing of water in licensed child day care |
22 | | centers, child day care homes and group child day care homes. |
23 | | (a) On or before January 1, 2018, the Department, in |
24 | | consultation with the Department of Public Health, shall adopt |
25 | | rules that prescribe the procedures and standards to be used |
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1 | | by the Department in assessing levels of lead in water in |
2 | | licensed child day care centers, child day care homes, and |
3 | | group child day care homes constructed on or before January 1, |
4 | | 2000 that serve children under the age of 6. Such rules shall, |
5 | | at a minimum, include provisions regarding testing parameters, |
6 | | the notification of sampling results, training requirements |
7 | | for lead exposure and mitigation. |
8 | | (b) After adoption of the rules required by subsection |
9 | | (a), and as part of an initial application or application for |
10 | | renewal of a license for child day care centers, child day care |
11 | | homes, and group child day care homes, the Department shall |
12 | | require proof that the applicant has complied with all such |
13 | | rules.
|
14 | | (Source: P.A. 99-922, eff. 1-17-17.)
|
15 | | (225 ILCS 10/5.10) |
16 | | Sec. 5.10. Child care limitation on expulsions. Consistent |
17 | | with the purposes of this amendatory Act of the 100th General |
18 | | Assembly and the requirements therein under paragraph (7) of |
19 | | subsection (a) of Section 2-3.71 of the School Code, the |
20 | | Department, in consultation with the Governor's Office of |
21 | | Early Childhood Development and the State Board of Education, |
22 | | shall adopt rules prohibiting the use of expulsion due to a |
23 | | child's persistent and serious challenging behaviors in |
24 | | licensed child day care centers, child day care homes, and |
25 | | group child day care homes. The rulemaking shall address, at a |
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1 | | minimum, requirements for licensees to establish intervention |
2 | | and transition policies, notify parents of policies, document |
3 | | intervention steps, and collect and report data on children |
4 | | transitioning out of the program.
|
5 | | (Source: P.A. 100-105, eff. 1-1-18 .)
|
6 | | (225 ILCS 10/5.11) |
7 | | Sec. 5.11. Plan for anaphylactic shock. The Department |
8 | | shall require each licensed child day care center, child day |
9 | | care home, and group child day care home to have a plan for |
10 | | anaphylactic shock to be followed for the prevention of |
11 | | anaphylaxis and during a medical emergency resulting from |
12 | | anaphylaxis. The plan should be based on the guidance and |
13 | | recommendations provided by the American Academy of Pediatrics |
14 | | relating to the management of food allergies or other |
15 | | allergies. The plan should be shared with parents or guardians |
16 | | upon enrollment at each licensed child day care center, child |
17 | | day care home, and group child day care home. If a child |
18 | | requires specific specialized treatment during an episode of |
19 | | anaphylaxis, that child's treatment plan should be kept by the |
20 | | staff of the child day care center, child day care home, or |
21 | | group child day care home and followed in the event of an |
22 | | emergency. Each licensed child day care center, child day care |
23 | | home, and group child day care home shall have at least one |
24 | | staff member present at all times who has taken a training |
25 | | course in recognizing and responding to anaphylaxis.
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1 | | (Source: P.A. 102-413, eff. 8-20-21.)
|
2 | | (225 ILCS 10/6) (from Ch. 23, par. 2216)
|
3 | | Sec. 6.
(a) A licensed facility operating as a "child care |
4 | | institution",
"maternity center", "child welfare agency", |
5 | | " child day care agency" or " child day care
center" must apply |
6 | | for renewal of its license held, the application to be
made to |
7 | | the Department on forms prescribed by it.
|
8 | | (b) The Department, a duly licensed child welfare agency |
9 | | or a suitable
agency or person designated by the Department as |
10 | | its agent to do so, must
re-examine every child care facility |
11 | | for renewal of license, including in
that process the |
12 | | examination of the premises and records of the facility as
the |
13 | | Department considers necessary to determine that minimum |
14 | | standards for
licensing continue to be met, and random surveys |
15 | | of parents or legal
guardians who are consumers of such |
16 | | facilities' services to assess the
quality of care at such |
17 | | facilities. In the case of foster family homes,
or child day |
18 | | care homes under the supervision of or otherwise required to
|
19 | | be licensed by the Department, or under supervision of a |
20 | | licensed child
welfare agency or child day care agency, the |
21 | | examination shall be made by the
Department, or agency |
22 | | supervising such homes. If the Department is
satisfied that |
23 | | the facility continues to maintain minimum standards which it
|
24 | | prescribes and publishes, it shall renew the license to |
25 | | operate the facility.
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1 | | (b-5) In the case of a quality of care concerns applicant |
2 | | as defined in Section 2.22a of this Act, in addition to the |
3 | | examination required in subsection (b) of this Section, the |
4 | | Department shall not renew the license of a quality of care |
5 | | concerns applicant unless the Department is satisfied that the |
6 | | foster family home does not pose a risk to children and that |
7 | | the foster family home will be able to meet the physical and |
8 | | emotional needs of children. In making this determination, the |
9 | | Department must obtain and carefully review all relevant |
10 | | documents and shall obtain consultation from its Clinical |
11 | | Division as appropriate and as prescribed by Department rule |
12 | | and procedure. The Department has the authority to deny an |
13 | | application for renewal based on a record of quality of care |
14 | | concerns. In the alternative, the Department may (i) approve |
15 | | the application for renewal subject to obtaining additional |
16 | | information or assessments, (ii) approve the application for |
17 | | renewal for purposes of placing or maintaining only a |
18 | | particular child or children only in the foster home, or (iii) |
19 | | approve the application for renewal. The Department shall |
20 | | notify the quality of care concerns applicant of its decision |
21 | | and the basis for its decision in writing. |
22 | | (c) If a child care facility's license, other than a |
23 | | license for a foster family home, is revoked, or if the
|
24 | | Department refuses to renew a facility's license, the facility |
25 | | may not
reapply for a license before the expiration of 12 |
26 | | months following the
Department's action; provided, however, |
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1 | | that the denial of a reapplication
for a license pursuant to |
2 | | this subsection must be supported by evidence
that the prior |
3 | | revocation renders the applicant unqualified or incapable of
|
4 | | satisfying the standards and rules promulgated by the |
5 | | Department pursuant
to this Act or maintaining a facility |
6 | | which adheres to such standards and
rules.
|
7 | | (d) If a foster family home license (i) is revoked, (ii) is |
8 | | surrendered for cause, or (iii) expires or is surrendered with |
9 | | either certain types of involuntary placement holds in place |
10 | | or while a licensing or child abuse or neglect investigation |
11 | | is pending, or if the Department refuses to renew a foster home |
12 | | license, the foster home may not reapply for a license before |
13 | | the expiration of 5 years following the Department's action or |
14 | | following the expiration or surrender of the license. |
15 | | (Source: P.A. 99-779, eff. 1-1-17 .)
|
16 | | (225 ILCS 10/7) (from Ch. 23, par. 2217)
|
17 | | Sec. 7. (a) The Department must prescribe and publish |
18 | | minimum standards
for licensing that apply to the various |
19 | | types of facilities for child care
defined in this Act and that |
20 | | are equally applicable to like institutions
under the control |
21 | | of the Department and to foster family homes used by and
under |
22 | | the direct supervision of the Department. The Department shall |
23 | | seek
the advice and assistance of persons representative of |
24 | | the various types of
child care facilities in establishing |
25 | | such standards. The standards
prescribed and published under |
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1 | | this Act take effect as provided in the
Illinois |
2 | | Administrative Procedure Act, and are restricted to
|
3 | | regulations pertaining to the following matters and to any |
4 | | rules and regulations required or permitted by any other |
5 | | Section of this Act:
|
6 | | (1) The operation and conduct of the facility and |
7 | | responsibility it
assumes for child care;
|
8 | | (2) The character, suitability and qualifications of |
9 | | the applicant and
other persons directly responsible for |
10 | | the care and welfare of children
served. All child day |
11 | | care center licensees and employees who are required
to
|
12 | | report child abuse or neglect under the Abused and |
13 | | Neglected Child Reporting
Act shall be required to attend |
14 | | training on recognizing child abuse and
neglect, as |
15 | | prescribed by Department rules;
|
16 | | (3) The general financial ability and competence of |
17 | | the applicant to
provide necessary care for children and |
18 | | to maintain prescribed standards;
|
19 | | (4) The number of individuals or staff required to |
20 | | insure adequate
supervision and care of the children |
21 | | received. The standards shall provide
that each child care |
22 | | institution, maternity center, child day care center,
|
23 | | group home, child day care home, and group child day care |
24 | | home shall have on its
premises during its hours of |
25 | | operation at
least one staff member certified in first |
26 | | aid, in the Heimlich maneuver and
in cardiopulmonary |
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1 | | resuscitation by the American Red Cross or other
|
2 | | organization approved by rule of the Department. Child |
3 | | welfare agencies
shall not be subject to such a staffing |
4 | | requirement. The Department may
offer, or arrange for the |
5 | | offering, on a periodic basis in each community
in this |
6 | | State in cooperation with the American Red Cross, the |
7 | | American
Heart Association or other appropriate |
8 | | organization, voluntary programs to
train operators of |
9 | | foster family homes and child day care homes in first aid |
10 | | and
cardiopulmonary resuscitation;
|
11 | | (5) The appropriateness, safety, cleanliness, and |
12 | | general adequacy of the
premises, including maintenance of |
13 | | adequate fire prevention and health
standards conforming |
14 | | to State laws and municipal codes to provide for the
|
15 | | physical comfort, care, and well-being of children |
16 | | received;
|
17 | | (6) Provisions for food, clothing, educational |
18 | | opportunities, program,
equipment and individual supplies |
19 | | to assure the healthy physical, mental,
and spiritual |
20 | | development of children served;
|
21 | | (7) Provisions to safeguard the legal rights of |
22 | | children served;
|
23 | | (8) Maintenance of records pertaining to the |
24 | | admission, progress, health,
and discharge of children, |
25 | | including, for child day care centers and child day care
|
26 | | homes, records indicating each child has been immunized as |
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1 | | required by State
regulations. The Department shall |
2 | | require proof that children enrolled in
a facility have |
3 | | been immunized against Haemophilus Influenzae B (HIB);
|
4 | | (9) Filing of reports with the Department;
|
5 | | (10) Discipline of children;
|
6 | | (11) Protection and fostering of the particular
|
7 | | religious faith of the children served;
|
8 | | (12) Provisions prohibiting firearms on child day care |
9 | | center premises
except in the possession of peace |
10 | | officers;
|
11 | | (13) Provisions prohibiting handguns on child day care |
12 | | home premises except in
the possession of peace officers |
13 | | or other adults who must possess a handgun
as a condition |
14 | | of employment and who reside on the premises of a child day |
15 | | care home;
|
16 | | (14) Provisions requiring that any firearm permitted |
17 | | on child day care home
premises, except handguns in the |
18 | | possession of peace officers, shall be
kept in a |
19 | | disassembled state, without ammunition, in locked storage,
|
20 | | inaccessible to children and that ammunition permitted on |
21 | | child day care home
premises shall be kept in locked |
22 | | storage separate from that of disassembled
firearms, |
23 | | inaccessible to children;
|
24 | | (15) Provisions requiring notification of parents or |
25 | | guardians enrolling
children at a child day care home of |
26 | | the presence in the child day care home of any
firearms and |
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1 | | ammunition and of the arrangements for the separate, |
2 | | locked
storage of such firearms and ammunition;
|
3 | | (16) Provisions requiring all licensed child care |
4 | | facility employees who care for newborns and infants to |
5 | | complete training every 3 years on the nature of sudden |
6 | | unexpected infant death (SUID), sudden infant death |
7 | | syndrome (SIDS), and the safe sleep recommendations of the |
8 | | American Academy of Pediatrics; and |
9 | | (17) With respect to foster family homes, provisions |
10 | | requiring the Department to review quality of care |
11 | | concerns and to consider those concerns in determining |
12 | | whether a foster family home is qualified to care for |
13 | | children. |
14 | | By July 1, 2022, all licensed child day care home |
15 | | providers, licensed group child day care home providers, and |
16 | | licensed child day care center directors and classroom staff |
17 | | shall participate in at least one training that includes the |
18 | | topics of early childhood social emotional learning, infant |
19 | | and early childhood mental health, early childhood trauma, or |
20 | | adverse childhood experiences. Current licensed providers, |
21 | | directors, and classroom staff shall complete training by July |
22 | | 1, 2022 and shall participate in training that includes the |
23 | | above topics at least once every 3 years. |
24 | | (b) If, in a facility for general child care, there are |
25 | | children
diagnosed as mentally ill or children diagnosed as |
26 | | having an intellectual or physical disability, who
are |
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1 | | determined to be in need of special mental treatment or of |
2 | | nursing
care, or both mental treatment and nursing care, the |
3 | | Department shall seek
the advice and recommendation of the |
4 | | Department of Human Services,
the Department of Public Health, |
5 | | or both
Departments regarding the residential treatment and |
6 | | nursing care provided
by the institution.
|
7 | | (c) The Department shall investigate any person applying |
8 | | to be
licensed as a foster parent to determine whether there is |
9 | | any evidence of
current drug or alcohol abuse in the |
10 | | prospective foster family. The
Department shall not license a |
11 | | person as a foster parent if drug or alcohol
abuse has been |
12 | | identified in the foster family or if a reasonable suspicion
|
13 | | of such abuse exists, except that the Department may grant a |
14 | | foster parent
license to an applicant identified with an |
15 | | alcohol or drug problem if the
applicant has successfully |
16 | | participated in an alcohol or drug treatment
program, |
17 | | self-help group, or other suitable activities and if the |
18 | | Department determines that the foster family home can provide |
19 | | a safe, appropriate environment and meet the physical and |
20 | | emotional needs of children.
|
21 | | (d) The Department, in applying standards prescribed and |
22 | | published, as
herein provided, shall offer consultation |
23 | | through employed staff or other
qualified persons to assist |
24 | | applicants and licensees in meeting and
maintaining minimum |
25 | | requirements for a license and to help them otherwise
to |
26 | | achieve programs of excellence related to the care of children |
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1 | | served.
Such consultation shall include providing information |
2 | | concerning education
and training in early childhood |
3 | | development to providers of child day care home
services. The |
4 | | Department may provide or arrange for such education and
|
5 | | training for those providers who request such assistance.
|
6 | | (e) The Department shall distribute copies of licensing
|
7 | | standards to all licensees and applicants for a license. Each |
8 | | licensee or
holder of a permit shall distribute copies of the |
9 | | appropriate licensing
standards and any other information |
10 | | required by the Department to child
care facilities under its |
11 | | supervision. Each licensee or holder of a permit
shall |
12 | | maintain appropriate documentation of the distribution of the
|
13 | | standards. Such documentation shall be part of the records of |
14 | | the facility
and subject to inspection by authorized |
15 | | representatives of the Department.
|
16 | | (f) The Department shall prepare summaries of child day |
17 | | care licensing
standards. Each licensee or holder of a permit |
18 | | for a child day care facility
shall distribute a copy of the |
19 | | appropriate summary and any other
information required by the |
20 | | Department, to the legal guardian of each child
cared for in |
21 | | that facility at the time when the child is enrolled or
|
22 | | initially placed in the facility. The licensee or holder of a |
23 | | permit for a child
day care facility shall secure appropriate |
24 | | documentation of the
distribution of the summary and brochure. |
25 | | Such documentation shall be a
part of the records of the |
26 | | facility and subject to inspection by an
authorized |
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1 | | representative of the Department.
|
2 | | (g) The Department shall distribute to each licensee and
|
3 | | holder of a permit copies of the licensing or permit standards |
4 | | applicable
to such person's facility. Each licensee or holder |
5 | | of a permit shall make
available by posting at all times in a |
6 | | common or otherwise accessible area
a complete and current set |
7 | | of licensing standards in order that all
employees of the |
8 | | facility may have unrestricted access to such standards.
All |
9 | | employees of the facility shall have reviewed the standards |
10 | | and any
subsequent changes. Each licensee or holder of a |
11 | | permit shall maintain
appropriate documentation of the current |
12 | | review of licensing standards by
all employees. Such records |
13 | | shall be part of the records of the facility
and subject to |
14 | | inspection by authorized representatives of the Department.
|
15 | | (h) Any standards involving physical examinations, |
16 | | immunization,
or medical treatment shall include appropriate |
17 | | exemptions for children
whose parents object thereto on the |
18 | | grounds that they conflict with the
tenets and practices of a |
19 | | recognized church or religious organization, of
which the |
20 | | parent is an adherent or member, and for children who should |
21 | | not
be subjected to immunization for clinical reasons.
|
22 | | (i) The Department, in cooperation with the Department of |
23 | | Public Health, shall work to increase immunization awareness |
24 | | and participation among parents of children enrolled in child |
25 | | day care centers and child day care homes by publishing on the |
26 | | Department's website information about the benefits of |
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1 | | immunization against vaccine preventable diseases, including |
2 | | influenza and pertussis. The information for vaccine |
3 | | preventable diseases shall include the incidence and severity |
4 | | of the diseases, the availability of vaccines, and the |
5 | | importance of immunizing children and persons who frequently |
6 | | have close contact with children. The website content shall be |
7 | | reviewed annually in collaboration with the Department of |
8 | | Public Health to reflect the most current recommendations of |
9 | | the Advisory Committee on Immunization Practices (ACIP). The |
10 | | Department shall work with child day care centers and child |
11 | | day care homes licensed under this Act to ensure that the |
12 | | information is annually distributed to parents in August or |
13 | | September. |
14 | | (j) Any standard adopted by the Department that requires |
15 | | an applicant for a license to operate a child day care home to |
16 | | include a copy of a high school diploma or equivalent |
17 | | certificate with his or her application shall be deemed to be |
18 | | satisfied if the applicant includes a copy of a high school |
19 | | diploma or equivalent certificate or a copy of a degree from an |
20 | | accredited institution of higher education or vocational |
21 | | institution or equivalent certificate. |
22 | | (Source: P.A. 102-4, eff. 4-27-21.)
|
23 | | (225 ILCS 10/7.10) |
24 | | Sec. 7.10. Progress report. |
25 | | (a) For the purposes of this Section, "child day care |
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1 | | licensing" or " child day care licensing" means licensing of |
2 | | child day care centers, child day care homes, and group child |
3 | | day care homes. |
4 | | (b) No later than September 30th of each year, the |
5 | | Department shall provide the General Assembly with a |
6 | | comprehensive report on its progress in meeting performance |
7 | | measures and goals related to child day care licensing. |
8 | | (c) The report shall include: |
9 | | (1) details on the funding for child day care |
10 | | licensing, including: |
11 | | (A) the total number of full-time employees |
12 | | working on child day care licensing; |
13 | | (B) the names of all sources of revenue used to |
14 | | support child day care licensing; |
15 | | (C) the amount of expenditures that is claimed |
16 | | against federal funding sources; |
17 | | (D) the identity of federal funding sources; and |
18 | | (E) how funds are appropriated, including |
19 | | appropriations for line staff, support staff, |
20 | | supervisory staff, and training and other expenses and |
21 | | the funding history of such licensing since fiscal |
22 | | year 2010; |
23 | | (2) current staffing qualifications of child day care |
24 | | licensing representatives and child day care licensing |
25 | | supervisors in comparison with staffing qualifications |
26 | | specified in the job description; |
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1 | | (3) data history for fiscal year 2010 to the current |
2 | | fiscal year on child day care licensing representative |
3 | | caseloads and staffing levels in all areas of the State; |
4 | | (4) per the DCFS Child Day Care Licensing Advisory |
5 | | Council's work plan, quarterly data on the following |
6 | | measures: |
7 | | (A) the percentage of new applications disposed of |
8 | | within 90 days; |
9 | | (B) the percentage of licenses renewed on time; |
10 | | (C) the percentage of child day care centers |
11 | | receiving timely annual monitoring visits; |
12 | | (D) the percentage of child day care homes |
13 | | receiving timely annual monitoring visits; |
14 | | (E) the percentage of group child day care homes |
15 | | receiving timely annual monitoring visits; |
16 | | (F) the percentage of provider requests for |
17 | | supervisory review; |
18 | | (G) the progress on adopting a key indicator |
19 | | system; |
20 | | (H) the percentage of complaints disposed of |
21 | | within 30 days; |
22 | | (I) the average number of days a child day care |
23 | | center applicant must wait to attend a licensing |
24 | | orientation; |
25 | | (J) the number of licensing orientation sessions |
26 | | available per region in the past year; and |
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1 | | (K) the number of Department trainings related to |
2 | | licensing and child development available to providers |
3 | | in the past year; and |
4 | | (5) efforts to coordinate with the Department of Human |
5 | | Services and the State Board of Education on professional |
6 | | development, credentialing issues, and child developers, |
7 | | including training registry, child developers, and Quality |
8 | | Rating and Improvement Systems (QRIS). |
9 | | (d) The Department shall work with the Governor's |
10 | | appointed Early Learning Council on issues related to and |
11 | | concerning child day care.
|
12 | | (Source: P.A. 97-1096, eff. 8-24-12; 98-839, eff. 1-1-15 .)
|
13 | | (225 ILCS 10/9.1c) |
14 | | Sec. 9.1c. Public database of child day care homes, group |
15 | | child day care homes, and child day care centers; license |
16 | | status. No later than July 1, 2018, the Department shall |
17 | | establish and maintain on its official website a searchable |
18 | | database, freely accessible to the public, that provides the |
19 | | following information on each child day care home, group child |
20 | | day care home, and child day care center licensed by the |
21 | | Department: whether, within the past 5 years, the child day |
22 | | care home, group child day care home, or child day care center |
23 | | has had its license revoked by or surrendered to the |
24 | | Department during a child abuse or neglect investigation or |
25 | | its application for a renewal of its license was denied by the |
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1 | | Department, and, if so, the dates upon which the license was |
2 | | revoked by or surrendered to the Department or the application |
3 | | for a renewal of the license was denied by the Department. The |
4 | | Department may adopt any rules necessary to implement this |
5 | | Section. Nothing in this Section shall be construed to allow |
6 | | or authorize the Department to release or disclose any |
7 | | information that is prohibited from public disclosure under |
8 | | this Act or under any other State or federal law.
|
9 | | (Source: P.A. 100-52, eff. 1-1-18 .)
|
10 | | (225 ILCS 10/9.2)
|
11 | | Sec. 9.2. Toll free number; child day care information. |
12 | | The Department of
Children and Family Services shall establish |
13 | | and maintain a statewide toll-free
telephone number that all |
14 | | persons may use to inquire about the past history and
record of |
15 | | a child day care facility operating in this State. The past |
16 | | history and
record shall include, but shall not be limited to, |
17 | | Department substantiated
complaints against a child day care |
18 | | facility and Department staff findings of
license violations |
19 | | by a child day care facility. Information disclosed in
|
20 | | accordance with this Section shall be subject to the |
21 | | confidentiality
requirements provided in this Act.
|
22 | | (Source: P.A. 90-671, eff. 1-1-99.)
|
23 | | (225 ILCS 10/12) (from Ch. 23, par. 2222)
|
24 | | Sec. 12. Advertisements.
|
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1 | | (a) In this Section, "advertise" means communication by |
2 | | any public medium originating or distributed in this State, |
3 | | including, but not limited to, newspapers, periodicals, |
4 | | telephone book listings, outdoor advertising signs, radio, or |
5 | | television. |
6 | | (b) A child care facility or child welfare agency licensed |
7 | | or operating under a permit issued by the Department may |
8 | | publish advertisements for the services that the facility is |
9 | | specifically licensed or issued a permit under this Act to |
10 | | provide. A person, group of persons, agency, association, |
11 | | organization, corporation, institution, center, or group who |
12 | | advertises or causes to be published any advertisement |
13 | | offering, soliciting, or promising to perform adoption |
14 | | services as defined in Section 2.24 of this Act is guilty of a |
15 | | Class A misdemeanor and shall be subject to a fine not to |
16 | | exceed $10,000 or 9 months imprisonment for each |
17 | | advertisement, unless that person, group of persons, agency, |
18 | | association, organization, corporation, institution, center, |
19 | | or group is (i) licensed or operating under a permit issued by |
20 | | the Department as a child care facility or child welfare |
21 | | agency, (ii) a biological parent or a prospective adoptive |
22 | | parent acting on his or her own behalf, or (iii) a licensed |
23 | | attorney advertising his or her availability to provide legal |
24 | | services relating to adoption, as permitted by law. |
25 | | (c) Every advertisement published after the effective date |
26 | | of this amendatory Act of the 94th General Assembly shall |
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1 | | include the Department-issued license number of the facility |
2 | | or agency. |
3 | | (d) Any licensed child welfare agency providing adoption |
4 | | services that, after the effective date of this amendatory Act |
5 | | of the 94th General Assembly, causes to be published an |
6 | | advertisement containing reckless or intentional |
7 | | misrepresentations concerning adoption services or |
8 | | circumstances material to the placement of a child for |
9 | | adoption is guilty of a Class A misdemeanor and is subject to a |
10 | | fine not to exceed $10,000 or 9 months imprisonment for each |
11 | | advertisement.
|
12 | | (e) An out-of-state agency that is not licensed in |
13 | | Illinois and that has a written interagency agreement with one |
14 | | or more Illinois licensed child welfare agencies may advertise |
15 | | under this Section, provided that (i) the out-of-state agency |
16 | | must be officially recognized by the United States Internal |
17 | | Revenue Service as a tax-exempt organization under 501(c)(3) |
18 | | of the Internal Revenue Code of 1986 (or any successor |
19 | | provision of federal tax law), (ii) the out-of-state agency |
20 | | provides only international adoption services and is covered |
21 | | by the Intercountry Adoption Act of 2000, (iii) the |
22 | | out-of-state agency displays, in the
advertisement, the |
23 | | license number of at least one of the Illinois licensed child |
24 | | welfare agencies with which it has a written agreement, and |
25 | | (iv) the advertisements pertain only to international adoption |
26 | | services. Subsection (d) of this Section shall apply to any |
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1 | | out-of-state agencies described in this subsection (e).
|
2 | | (f) An advertiser, publisher, or broadcaster, including, |
3 | | but not limited to, newspapers, periodicals, telephone book |
4 | | publishers, outdoor advertising signs, radio stations, or |
5 | | television stations, who knowingly or recklessly advertises or |
6 | | publishes any advertisement offering, soliciting, or promising |
7 | | to perform adoption services, as defined in Section 2.24 of |
8 | | this Act, on behalf of a person, group of persons, agency, |
9 | | association, organization, corporation, institution, center, |
10 | | or group, not authorized to advertise under subsection (b) or |
11 | | subsection (e) of this Section, is guilty of a Class A |
12 | | misdemeanor and is subject to a fine not to exceed $10,000 or 9 |
13 | | months imprisonment for each advertisement. |
14 | | (g) The Department shall maintain a website listing child |
15 | | welfare agencies licensed by the Department that provide |
16 | | adoption services and other general information for biological |
17 | | parents and adoptive parents. The website shall include, but |
18 | | not be limited to, agency addresses, phone numbers, e-mail |
19 | | addresses, website addresses, annual reports as referenced in |
20 | | Section 7.6 of this Act, agency license numbers, the Birth |
21 | | Parent Bill of Rights, the Adoptive Parents Bill of Rights, |
22 | | and the Department's complaint registry established under |
23 | | Section 9.1a of this Act. The Department shall adopt any rules |
24 | | necessary to implement this Section.
|
25 | | (h) Nothing in this Act shall prohibit a child day care |
26 | | agency, child day care center, child day care home, or group |
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1 | | child day care home that does not provide or perform adoption |
2 | | services, as defined in Section 2.24 of this Act, from |
3 | | advertising or marketing the child day care agency, child day |
4 | | care center, child day care home, or group child day care home. |
5 | | (Source: P.A. 100-406, eff. 1-1-18 .)
|
6 | | Section 185. The Structural Pest Control Act is amended by |
7 | | changing Sections 2, 3.03, 3.27, 10.2, 10.3, and 21.1 as |
8 | | follows:
|
9 | | (225 ILCS 235/2) (from Ch. 111 1/2, par. 2202)
|
10 | | (Section scheduled to be repealed on December 31, 2029)
|
11 | | Sec. 2. Legislative intent. It is declared that there |
12 | | exists and
may in the future exist within the State of Illinois
|
13 | | locations where pesticides are received, stored,
formulated or |
14 | | prepared and subsequently used for the control
of structural |
15 | | pests, and improper selection, formulation and
application of |
16 | | pesticides may
adversely affect the public health and general |
17 | | welfare.
|
18 | | It is further established that the use of certain |
19 | | pesticides is
restricted or may in the future be restricted to |
20 | | use only by or
under the supervision of persons certified in |
21 | | accordance with this Act.
|
22 | | It is recognized that pests can best be controlled through |
23 | | an integrated
pest management program that combines preventive |
24 | | techniques, nonchemical
pest control methods, and the |
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1 | | appropriate use of pesticides with preference
for products |
2 | | that are the least harmful to human health and the
|
3 | | environment. Integrated pest management is a good practice in |
4 | | the
management of pest populations,
and it is prudent to |
5 | | employ pest control strategies that are the least
hazardous to |
6 | | human health and the environment.
|
7 | | Therefore, the purpose of this Act is to protect, promote |
8 | | and
preserve the public health and general welfare by |
9 | | providing for the
establishment of minimum standards for |
10 | | selection, formulation and
application of restricted |
11 | | pesticides and to provide for the
licensure of commercial |
12 | | structural pest control businesses,
the registration of |
13 | | persons who own or operate non-commercial
structural pest |
14 | | control locations where restricted pesticides
are used, and |
15 | | the certification of pest control technicians.
|
16 | | It is also the purpose of this Act to reduce economic, |
17 | | health, and
environmental risks by promoting the use of |
18 | | integrated
pest management for structural pest control in |
19 | | schools and child day care centers,
by making
guidelines on |
20 | | integrated pest management available to schools and child day |
21 | | care
centers.
|
22 | | (Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786, |
23 | | eff. 8-7-08 .)
|
24 | | (225 ILCS 235/3.03) (from Ch. 111 1/2, par. 2203.03)
|
25 | | (Section scheduled to be repealed on December 31, 2029)
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1 | | Sec. 3.03. "Person" means any individual, group of |
2 | | individuals,
association, trust, partnership, corporation, |
3 | | person doing business
under an assumed name, the State of |
4 | | Illinois, or department thereof,
any other state-owned and |
5 | | operated institution, public school, licensed child day care |
6 | | center, or any other entity.
|
7 | | (Source: P.A. 82-725; reenacted by P.A. 95-786, eff. 8-7-08; |
8 | | 96-1362, eff. 7-28-10 .)
|
9 | | (225 ILCS 235/3.27)
|
10 | | (Section scheduled to be repealed on December 31, 2029)
|
11 | | Sec. 3.27. " Child Day care center" means any structure |
12 | | used as a licensed child day care
center in this State.
|
13 | | (Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786, |
14 | | eff. 8-7-08 .)
|
15 | | (225 ILCS 235/10.2) (from Ch. 111 1/2, par. 2210.2)
|
16 | | (Section scheduled to be repealed on December 31, 2029)
|
17 | | Sec. 10.2. Integrated pest management guidelines; |
18 | | notification; training of designated persons; request for |
19 | | copies.
|
20 | | (a) The Department shall prepare guidelines for an |
21 | | integrated pest
management program for structural pest control |
22 | | practices at school
buildings and other school facilities and |
23 | | child day care centers. Such guidelines
shall be made
|
24 | | available to schools, child day care centers and the public |
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1 | | upon request.
|
2 | | (b) When economically feasible, each school and child day |
3 | | care center is
required to develop and implement an
integrated |
4 | | pest
management
program that incorporates the guidelines |
5 | | developed by the Department.
Each school and child day care |
6 | | center must notify the Department, within one year after the |
7 | | effective date of this amendatory Act of the 95th General |
8 | | Assembly and every 5 years thereafter, on forms provided by |
9 | | the Department that the school or child day care center has |
10 | | developed and is implementing an integrated pest management |
11 | | program. In
implementing an integrated pest management |
12 | | program, a school or child day care
center must assign a
|
13 | | designated person to assume
responsibility for the oversight |
14 | | of pest management practices in that
school or child day care |
15 | | center and for recordkeeping requirements.
|
16 | | (b-1) If adopting an
integrated pest management program is |
17 | | not economically feasible because such adoption would result
|
18 | | in an increase in the pest control costs of the school or child |
19 | | day care center, the school or child day care center
must |
20 | | provide, within one year after the effective date of this |
21 | | amendatory Act of the 95th General Assembly and every 5 years |
22 | | thereafter, written notification to the Department, on forms |
23 | | provided by the
Department, that the development and |
24 | | implementation of an integrated pest
management program is not |
25 | | economically feasible. The notification must include projected |
26 | | pest
control costs for the term of the pest control program and |
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1 | | projected costs for implementing
an integrated pest management |
2 | | program for that same time period. |
3 | | (b-2) Each school or child
day care center that provides |
4 | | written notification to the Department that the adoption of an |
5 | | integrated pest management program is not economically |
6 | | feasible pursuant to subsection (b-1) of this Section must |
7 | | have its designated person attend a training
course on |
8 | | integrated pest management within one year after the effective |
9 | | date of this amendatory Act of the 95th General Assembly, and
|
10 | | every 5 years thereafter until an integrated pest management |
11 | | program is developed and implemented in
the school or child |
12 | | day care center. The training course shall be approved by the |
13 | | Department in
accordance with the minimum standards |
14 | | established by the Department under this Act.
|
15 | | (b-3) Each school and child day care center shall ensure |
16 | | that all parents, guardians, and employees are
notified at |
17 | | least once each school year that the notification requirements |
18 | | established by this Section
have been met. The school and |
19 | | child day care center shall keep copies of all notifications |
20 | | required by
this Section and any written integrated pest |
21 | | management program plan developed in accordance with this
|
22 | | Section and make these copies available for public inspection |
23 | | at the school or child day care center.
|
24 | | (c) The Structural Pest Control Advisory Council shall |
25 | | assist the
Department in developing the guidelines for |
26 | | integrated pest management
programs. In developing the |
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1 | | guidelines, the Council shall consult with
individuals |
2 | | knowledgeable in the area of integrated pest management.
|
3 | | (d) The Department, with the assistance of the Cooperative |
4 | | Extension
Service and other relevant agencies, may prepare a |
5 | | training program for
school or child day care center pest |
6 | | control specialists.
|
7 | | (e) The Department
may request copies of a school's or |
8 | | child day care center's integrated pest
management program |
9 | | plan and notification required by this Act and offer |
10 | | assistance and training to
schools and child day care centers |
11 | | on integrated pest management programs. |
12 | | (f) The requirements of this Section are subject to |
13 | | appropriation to the Department for the implementation of |
14 | | integrated pest management programs.
|
15 | | (Source: P.A. 95-58, eff. 8-10-07; reenacted by P.A. 95-786, |
16 | | eff. 8-7-08 .)
|
17 | | (225 ILCS 235/10.3)
|
18 | | (Section scheduled to be repealed on December 31, 2029)
|
19 | | Sec. 10.3. Notification. School districts and child day |
20 | | care centers must
maintain a registry of
parents and guardians |
21 | | of students and employees who have registered to receive
|
22 | | written or telephonic
notification prior to application of |
23 | | pesticides to school property or child day
care centers or |
24 | | provide
written or telephonic notification to all parents and |
25 | | guardians of students before such
pesticide application. |
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1 | | Written notification may be included in newsletters,
|
2 | | bulletins, calendars, or other correspondence currently |
3 | | published by the school
district or child day care center. The |
4 | | written or telephonic notification must be given at
least 2 |
5 | | business days
before application of the pesticide application |
6 | | and should identify the
intended date of the application of |
7 | | the pesticide and the name and telephone
contact number for |
8 | | the school or child day care center personnel
responsible for
|
9 | | the pesticide
application program. Prior notice shall not be |
10 | | required if there is an
imminent threat to health or property. |
11 | | If such a situation arises, the
appropriate school or child |
12 | | day care center personnel must sign a statement
describing the |
13 | | circumstances
that gave rise to the health threat and ensure |
14 | | that written or telephonic notice is provided
as soon as |
15 | | practicable. For purposes of this Section, pesticides subject |
16 | | to
notification requirements shall not include (i) an |
17 | | antimicrobial agent, such as
disinfectant, sanitizer, or |
18 | | deodorizer, or (ii) insecticide baits and
rodenticide
baits.
|
19 | | (Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786, |
20 | | eff. 8-7-08; 96-1362, eff. 7-28-10 .)
|
21 | | (225 ILCS 235/21.1) (from Ch. 111 1/2, par. 2221.1)
|
22 | | (Section scheduled to be repealed on December 31, 2029)
|
23 | | Sec. 21.1. Administrative civil fines. The Department is |
24 | | empowered to
assess administrative civil fines in accordance |
25 | | with Section 15 of this Act against a licensee, registrant,
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1 | | certified technician, person, public school, licensed child |
2 | | day care center, or other entity for violations of this Act or |
3 | | its rules and
regulations. These fines shall be established by |
4 | | the Department by rule and
may be assessed in addition to, or |
5 | | in lieu of, license, registration, or
certification |
6 | | suspensions and revocations.
|
7 | | Any fine assessed and not paid within 60 days after |
8 | | receiving notice from the
Department may be submitted to the |
9 | | Attorney General's Office, or any other public or private |
10 | | agency, for
collection of the amounts owed plus any fees and |
11 | | costs incurred during the collection process. Failure to pay a |
12 | | fine shall also be grounds for immediate
suspension or |
13 | | revocation of a license, registration, or certification
issued |
14 | | under this Act.
|
15 | | (Source: P.A. 87-703; reenacted by P.A. 95-786, eff. 8-7-08; |
16 | | 96-1362, eff. 7-28-10 .)
|
17 | | Section 190. The Liquor Control Act of 1934 is amended by |
18 | | changing Section 6-15 as follows:
|
19 | | (235 ILCS 5/6-15) (from Ch. 43, par. 130)
|
20 | | Sec. 6-15. No alcoholic liquors shall be sold or delivered |
21 | | in any
building belonging to or under the control of the State |
22 | | or any political
subdivision thereof except as provided in |
23 | | this Act. The corporate
authorities of any city, village, |
24 | | incorporated town, township, or county may provide by
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1 | | ordinance, however, that alcoholic liquor may be sold or |
2 | | delivered in any
specifically designated building belonging to |
3 | | or under the control of the
municipality, township, or county, |
4 | | or in any building located on land under the
control of the |
5 | | municipality, township, or county; provided that such township |
6 | | or county complies with all
applicable local ordinances in any |
7 | | incorporated area of the township or county.
Alcoholic liquor |
8 | | may be delivered to and sold under the authority of a special |
9 | | use permit on any property owned by a conservation district |
10 | | organized under the Conservation District Act, provided that |
11 | | (i) the alcoholic liquor is sold only at an event authorized by |
12 | | the governing board of the conservation district, (ii) the |
13 | | issuance of the special use permit is authorized by the local |
14 | | liquor control commissioner of the territory in which the |
15 | | property is located, and (iii) the special use permit |
16 | | authorizes the sale of alcoholic liquor for one day or less. |
17 | | Alcoholic liquors may be delivered to and sold at any airport |
18 | | belonging to
or under the control of a municipality of more |
19 | | than 25,000 inhabitants, or
in any building or on any golf |
20 | | course owned by a park district organized under
the Park |
21 | | District
Code, subject to the approval of the governing board |
22 | | of the district, or
in any building or on any golf course owned |
23 | | by a forest preserve district
organized under the Downstate |
24 | | Forest Preserve District Act, subject to the
approval of the |
25 | | governing board of the district, or on the grounds
within 500 |
26 | | feet of any building owned by a forest preserve district
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1 | | organized under the Downstate Forest Preserve District Act |
2 | | during
times when food is dispensed for consumption within
500 |
3 | | feet of the building from which the food is dispensed,
subject |
4 | | to the
approval of the
governing board of the district, or in a |
5 | | building owned by a Local Mass
Transit District organized |
6 | | under the Local Mass Transit District Act, subject
to the |
7 | | approval of the governing Board of the District, or in |
8 | | Bicentennial
Park, or
on the premises of the City of Mendota |
9 | | Lake Park
located adjacent to Route 51 in Mendota, Illinois, |
10 | | or on the premises of
Camden Park in Milan, Illinois, or in the |
11 | | community center owned by the
City of Loves Park that is |
12 | | located at 1000 River Park Drive in Loves Park,
Illinois, or, |
13 | | in connection with the operation of an established food
|
14 | | serving facility during times when food is dispensed for |
15 | | consumption on the
premises, and at the following aquarium and |
16 | | museums located in public
parks: Art Institute of Chicago, |
17 | | Chicago Academy of Sciences, Chicago
Historical Society, Field |
18 | | Museum of Natural History, Museum of Science and
Industry, |
19 | | DuSable Museum of African American History, John G. Shedd
|
20 | | Aquarium and Adler Planetarium, or at Lakeview Museum of Arts |
21 | | and Sciences
in Peoria, or in connection with the operation of |
22 | | the facilities of the
Chicago Zoological Society or the |
23 | | Chicago Horticultural Society on land
owned by the Forest |
24 | | Preserve District of Cook County,
or on any land used for a |
25 | | golf course or for recreational purposes
owned by the Forest |
26 | | Preserve District of Cook County, subject to the control
of |
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1 | | the Forest Preserve District Board of Commissioners and |
2 | | applicable local
law, provided that dram shop liability |
3 | | insurance is provided at
maximum coverage limits so as to hold |
4 | | the
District harmless from all financial loss, damage, and |
5 | | harm,
or in any building
located on land owned by the Chicago |
6 | | Park District if approved by the Park
District Commissioners, |
7 | | or on any land used for a golf course or for
recreational |
8 | | purposes and owned by the Illinois International Port District |
9 | | if
approved by the District's governing board, or at any |
10 | | airport, golf course,
faculty center, or
facility in which |
11 | | conference and convention type activities take place
belonging |
12 | | to or under control of any State university or public |
13 | | community
college district, provided that with respect to a |
14 | | facility for conference
and convention type activities |
15 | | alcoholic liquors shall be limited to the
use of the |
16 | | convention or conference participants or participants
in |
17 | | cultural, political or educational activities held in such |
18 | | facilities,
and provided further that the faculty or staff of |
19 | | the State university or
a public community college district, |
20 | | or members of an organization of
students, alumni, faculty or |
21 | | staff of the State university or a public
community college |
22 | | district are active participants in the conference
or |
23 | | convention, or in Memorial Stadium on the campus of the |
24 | | University of
Illinois at Urbana-Champaign during games in |
25 | | which the
Chicago Bears professional football team is playing |
26 | | in that stadium during the
renovation of Soldier Field, not |
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1 | | more than one and a half hours before the
start of the game and |
2 | | not after the end of the third quarter of the game,
or in the |
3 | | Pavilion Facility on the campus of the University of Illinois |
4 | | at Chicago during games in which the Chicago Storm |
5 | | professional soccer team is playing in that facility, not more |
6 | | than one and a half hours before the start of the game and not |
7 | | after the end of the third quarter of the game, or in the |
8 | | Pavilion Facility on the campus of the University of Illinois |
9 | | at Chicago during games in which the WNBA professional women's |
10 | | basketball team is playing in that facility, not more than one |
11 | | and a half hours before the start of the game and not after the |
12 | | 10-minute mark of the second half of the game, or by a catering |
13 | | establishment which has rented facilities
from a board of |
14 | | trustees of a public community college district, or in a |
15 | | restaurant that is operated by a commercial tenant in the |
16 | | North Campus Parking Deck building that (1) is located at 1201 |
17 | | West University Avenue, Urbana, Illinois and (2) is owned by |
18 | | the Board of Trustees of the University of Illinois, or, if
|
19 | | approved by the District board, on land owned by the |
20 | | Metropolitan Sanitary
District of Greater Chicago and leased |
21 | | to others for a term of at least
20 years. Nothing in this |
22 | | Section precludes the sale or delivery of
alcoholic liquor in |
23 | | the form of original packaged goods in premises located
at 500 |
24 | | S. Racine in Chicago belonging to the University of Illinois |
25 | | and
used primarily as a grocery store by a commercial tenant |
26 | | during the term of
a lease that predates the University's |
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1 | | acquisition of the premises; but the
University shall have no |
2 | | power or authority to renew, transfer, or extend
the lease |
3 | | with terms allowing the sale of alcoholic liquor; and the sale |
4 | | of
alcoholic liquor shall be subject to all local laws and |
5 | | regulations.
After the acquisition by Winnebago County of the |
6 | | property located at 404
Elm Street in Rockford, a commercial |
7 | | tenant who sold alcoholic liquor at
retail on a portion of the |
8 | | property under a valid license at the time of
the acquisition |
9 | | may continue to do so for so long as the tenant and the
County |
10 | | may agree under existing or future leases, subject to all |
11 | | local laws
and regulations regarding the sale of alcoholic |
12 | | liquor. Alcoholic liquors may be delivered to and sold at |
13 | | Memorial Hall, located at 211 North Main Street, Rockford, |
14 | | under conditions approved by Winnebago County and subject to |
15 | | all local laws and regulations regarding the sale of alcoholic |
16 | | liquor. Each
facility shall provide dram shop liability in |
17 | | maximum insurance coverage
limits so as to save harmless the |
18 | | State, municipality, State university,
airport, golf course, |
19 | | faculty center, facility in which conference and
convention |
20 | | type activities take place, park district, Forest Preserve
|
21 | | District, public community college district, aquarium, museum, |
22 | | or sanitary
district from all financial loss, damage or harm. |
23 | | Alcoholic liquors may be
sold at retail in buildings of golf |
24 | | courses owned by municipalities or Illinois State University |
25 | | in
connection with the operation of an established food |
26 | | serving facility
during times when food is dispensed for |
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1 | | consumption upon the premises.
Alcoholic liquors may be |
2 | | delivered to and sold at retail in any building
owned by a fire |
3 | | protection district organized under the Fire Protection
|
4 | | District Act, provided that such delivery and sale is approved |
5 | | by the board
of trustees of the district, and provided further |
6 | | that such delivery and
sale is limited to fundraising events |
7 | | and to a maximum of 6 events per year. However, the limitation |
8 | | to fundraising events and to a maximum of 6 events per year |
9 | | does not apply to the delivery, sale, or manufacture of |
10 | | alcoholic liquors at the building located at 59 Main Street in |
11 | | Oswego, Illinois, owned by the Oswego Fire Protection District |
12 | | if the alcoholic liquor is sold or dispensed as approved by the |
13 | | Oswego Fire Protection District and the property is no longer |
14 | | being utilized for fire protection purposes.
|
15 | | Alcoholic liquors may be served or sold in buildings under |
16 | | the control of the Board of Trustees of the University of |
17 | | Illinois for events that the Board may determine are public |
18 | | events and not related student activities. The Board of |
19 | | Trustees shall issue a written policy within 6 months of |
20 | | August 15, 2008 (the effective date of Public Act 95-847) |
21 | | concerning the types of events that would be eligible for an |
22 | | exemption. Thereafter, the Board of Trustees may issue |
23 | | revised, updated, new, or amended policies as it deems |
24 | | necessary and appropriate. In preparing its written policy, |
25 | | the Board of Trustees shall, among other factors it considers |
26 | | relevant and important, give consideration to the following: |
|
| | SB1797 | - 391 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (i) whether the event is a student activity or student related |
2 | | activity; (ii) whether the physical setting of the event is |
3 | | conducive to control of liquor sales and distribution; (iii) |
4 | | the ability of the event operator to ensure that the sale or |
5 | | serving of alcoholic liquors and the demeanor of the |
6 | | participants are in accordance with State law and University |
7 | | policies; (iv) regarding the anticipated attendees at the |
8 | | event, the relative proportion of individuals under the age of |
9 | | 21 to individuals age 21 or older; (v) the ability of the venue |
10 | | operator to prevent the sale or distribution of alcoholic |
11 | | liquors to individuals under the age of 21; (vi) whether the |
12 | | event prohibits participants from removing alcoholic beverages |
13 | | from the venue; and (vii) whether the event prohibits |
14 | | participants from providing their own alcoholic liquors to the |
15 | | venue. In addition, any policy submitted by the Board of |
16 | | Trustees to the Illinois Liquor Control Commission must |
17 | | require that any event at which alcoholic liquors are served |
18 | | or sold in buildings under the control of the Board of Trustees |
19 | | shall require the prior written approval of the Office of the |
20 | | Chancellor for the University campus where the event is |
21 | | located. The Board of Trustees shall submit its policy, and |
22 | | any subsequently revised, updated, new, or amended policies, |
23 | | to the Illinois Liquor Control Commission, and any University |
24 | | event, or location for an event, exempted under such policies |
25 | | shall apply for a license under the applicable Sections of |
26 | | this Act. |
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| | SB1797 | - 392 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Alcoholic liquors may be served or sold in buildings under
|
2 | | the control of the Board of Trustees of Northern Illinois |
3 | | University
for events that the Board may determine are public
|
4 | | events and not student-related activities. The Board of
|
5 | | Trustees shall issue a written policy within 6 months after |
6 | | June 28, 2011 (the
effective date of Public Act 97-45) |
7 | | concerning the types of events that would be eligible
for an |
8 | | exemption. Thereafter, the Board of Trustees may issue
|
9 | | revised, updated, new, or amended policies as it deems
|
10 | | necessary and appropriate. In preparing its written policy, |
11 | | the
Board of Trustees shall, in addition to other factors it |
12 | | considers
relevant and important, give consideration to the |
13 | | following:
(i) whether the event is a student activity or |
14 | | student-related
activity; (ii) whether the physical setting of |
15 | | the event is
conducive to control of liquor sales and |
16 | | distribution; (iii)
the ability of the event operator to |
17 | | ensure that the sale or
serving of alcoholic liquors and the |
18 | | demeanor of the
participants are in accordance with State law |
19 | | and University
policies; (iv) the anticipated attendees at the
|
20 | | event and the relative proportion of individuals under the age |
21 | | of
21 to individuals age 21 or older; (v) the ability of the |
22 | | venue
operator to prevent the sale or distribution of |
23 | | alcoholic
liquors to individuals under the age of 21; (vi) |
24 | | whether the
event prohibits participants from removing |
25 | | alcoholic beverages
from the venue; and (vii) whether the |
26 | | event prohibits
participants from providing their own |
|
| | SB1797 | - 393 - | LRB103 03433 AMQ 48439 b |
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|
1 | | alcoholic liquors to the
venue. |
2 | | Alcoholic liquors may be served or sold in buildings under |
3 | | the control of the Board of Trustees of Chicago State |
4 | | University for events that the Board may determine are public |
5 | | events and not student-related activities. The Board of |
6 | | Trustees shall issue a written policy within 6 months after |
7 | | August 2, 2013 (the effective date of Public Act 98-132) |
8 | | concerning the types of events that would be eligible for an |
9 | | exemption. Thereafter, the Board of Trustees may issue |
10 | | revised, updated, new, or amended policies as it deems |
11 | | necessary and appropriate. In preparing its written policy, |
12 | | the Board of Trustees shall, in addition to other factors it |
13 | | considers relevant and important, give consideration to the |
14 | | following: (i) whether the event is a student activity or |
15 | | student-related activity; (ii) whether the physical setting of |
16 | | the event is conducive to control of liquor sales and |
17 | | distribution; (iii) the ability of the event operator to |
18 | | ensure that the sale or serving of alcoholic liquors and the |
19 | | demeanor of the participants are in accordance with State law |
20 | | and University policies; (iv) the anticipated attendees at the |
21 | | event and the relative proportion of individuals under the age |
22 | | of 21 to individuals age 21 or older; (v) the ability of the |
23 | | venue operator to prevent the sale or distribution of |
24 | | alcoholic liquors to individuals under the age of 21; (vi) |
25 | | whether the event prohibits participants from removing |
26 | | alcoholic beverages from the venue; and (vii) whether the |
|
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|
1 | | event prohibits participants from providing their own |
2 | | alcoholic liquors to the venue. |
3 | | Alcoholic liquors may be served or sold in buildings under
|
4 | | the control of the Board of Trustees of Illinois State |
5 | | University
for events that the Board may determine are public
|
6 | | events and not student-related activities. The Board of
|
7 | | Trustees shall issue a written policy within 6 months after |
8 | | March 1, 2013 (the effective date of Public Act 97-1166) |
9 | | concerning the types of events that would be eligible
for an |
10 | | exemption. Thereafter, the Board of Trustees may issue
|
11 | | revised, updated, new, or amended policies as it deems
|
12 | | necessary and appropriate. In preparing its written policy, |
13 | | the
Board of Trustees shall, in addition to other factors it |
14 | | considers
relevant and important, give consideration to the |
15 | | following:
(i) whether the event is a student activity or |
16 | | student-related
activity; (ii) whether the physical setting of |
17 | | the event is
conducive to control of liquor sales and |
18 | | distribution; (iii)
the ability of the event operator to |
19 | | ensure that the sale or
serving of alcoholic liquors and the |
20 | | demeanor of the
participants are in accordance with State law |
21 | | and University
policies; (iv) the anticipated attendees at the
|
22 | | event and the relative proportion of individuals under the age |
23 | | of
21 to individuals age 21 or older; (v) the ability of the |
24 | | venue
operator to prevent the sale or distribution of |
25 | | alcoholic
liquors to individuals under the age of 21; (vi) |
26 | | whether the
event prohibits participants from removing |
|
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1 | | alcoholic beverages
from the venue; and (vii) whether the |
2 | | event prohibits
participants from providing their own |
3 | | alcoholic liquors to the
venue. |
4 | | Alcoholic liquors may be served or sold in buildings under |
5 | | the control of the Board of Trustees of Southern Illinois |
6 | | University for events that the Board may determine are public |
7 | | events and not student-related activities. The Board of |
8 | | Trustees shall issue a written policy within 6 months after |
9 | | August 12, 2016 (the effective date of Public Act 99-795) |
10 | | concerning the types of events that would be eligible for an |
11 | | exemption. Thereafter, the Board of Trustees may issue |
12 | | revised, updated, new, or amended policies as it deems |
13 | | necessary and appropriate. In preparing its written policy, |
14 | | the Board of Trustees shall, in addition to other factors it |
15 | | considers relevant and important, give consideration to the |
16 | | following: (i) whether the event is a student activity or |
17 | | student-related activity; (ii) whether the physical setting of |
18 | | the event is conducive to control of liquor sales and |
19 | | distribution; (iii) the ability of the event operator to |
20 | | ensure that the sale or serving of alcoholic liquors and the |
21 | | demeanor of the participants are in accordance with State law |
22 | | and University policies; (iv) the anticipated attendees at the |
23 | | event and the relative proportion of individuals under the age |
24 | | of 21 to individuals age 21 or older; (v) the ability of the |
25 | | venue operator to prevent the sale or distribution of |
26 | | alcoholic liquors to individuals under the age of 21; (vi) |
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| | SB1797 | - 396 - | LRB103 03433 AMQ 48439 b |
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1 | | whether the event prohibits participants from removing |
2 | | alcoholic beverages from the venue; and (vii) whether the |
3 | | event prohibits participants from providing their own |
4 | | alcoholic liquors to the venue. |
5 | | Alcoholic liquors may be served or sold in buildings under |
6 | | the control of the Board of Trustees of a public university for |
7 | | events that the Board of Trustees of that public university |
8 | | may determine are public events and not student-related |
9 | | activities. If the Board of Trustees of a public university |
10 | | has not issued a written policy pursuant to an exemption under |
11 | | this Section on or before July 15, 2016 (the effective date of |
12 | | Public Act 99-550), then that Board of Trustees shall issue a |
13 | | written policy within 6 months after July 15, 2016 (the |
14 | | effective date of Public Act 99-550) concerning the types of |
15 | | events that would be eligible for an exemption. Thereafter, |
16 | | the Board of Trustees may issue revised, updated, new, or |
17 | | amended policies as it deems necessary and appropriate. In |
18 | | preparing its written policy, the Board of Trustees shall, in |
19 | | addition to other factors it considers relevant and important, |
20 | | give consideration to the following: (i) whether the event is |
21 | | a student activity or student-related activity; (ii) whether |
22 | | the physical setting of the event is conducive to control of |
23 | | liquor sales and distribution; (iii) the ability of the event |
24 | | operator to ensure that the sale or serving of alcoholic |
25 | | liquors and the demeanor of the participants are in accordance |
26 | | with State law and University policies; (iv) the anticipated |
|
| | SB1797 | - 397 - | LRB103 03433 AMQ 48439 b |
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|
1 | | attendees at the event and the relative proportion of |
2 | | individuals under the age of 21 to individuals age 21 or older; |
3 | | (v) the ability of the venue operator to prevent the sale or |
4 | | distribution of alcoholic liquors to individuals under the age |
5 | | of 21; (vi) whether the event prohibits participants from |
6 | | removing alcoholic beverages from the venue; and (vii) whether |
7 | | the event prohibits participants from providing their own |
8 | | alcoholic liquors to the venue. As used in this paragraph, |
9 | | "public university" means the University of Illinois, Illinois |
10 | | State University, Chicago State University, Governors State |
11 | | University, Southern Illinois University, Northern Illinois |
12 | | University, Eastern Illinois University, Western Illinois |
13 | | University, and Northeastern Illinois University. |
14 | | Alcoholic liquors may be served or sold in buildings under |
15 | | the control of the Board of Trustees of a community college |
16 | | district for events that the Board of Trustees of that |
17 | | community college district may determine are public events and |
18 | | not student-related activities. The Board of Trustees shall |
19 | | issue a written policy within 6 months after July 15, 2016 (the |
20 | | effective date of Public Act 99-550) concerning the types of |
21 | | events that would be eligible for an exemption. Thereafter, |
22 | | the Board of Trustees may issue revised, updated, new, or |
23 | | amended policies as it deems necessary and appropriate. In |
24 | | preparing its written policy, the Board of Trustees shall, in |
25 | | addition to other factors it considers relevant and important, |
26 | | give consideration to the following: (i) whether the event is |
|
| | SB1797 | - 398 - | LRB103 03433 AMQ 48439 b |
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|
1 | | a student activity or student-related activity; (ii) whether |
2 | | the physical setting of the event is conducive to control of |
3 | | liquor sales and distribution; (iii) the ability of the event |
4 | | operator to ensure that the sale or serving of alcoholic |
5 | | liquors and the demeanor of the participants are in accordance |
6 | | with State law and community college district policies; (iv) |
7 | | the anticipated attendees at the event and the relative |
8 | | proportion of individuals under the age of 21 to individuals |
9 | | age 21 or older; (v) the ability of the venue operator to |
10 | | prevent the sale or distribution of alcoholic liquors to |
11 | | individuals under the age of 21; (vi) whether the event |
12 | | prohibits participants from removing alcoholic beverages from |
13 | | the venue; and (vii) whether the event prohibits participants |
14 | | from providing their own alcoholic liquors to the venue. This |
15 | | paragraph does not apply to any community college district |
16 | | authorized to sell or serve alcoholic liquor under any other |
17 | | provision of this Section. |
18 | | Alcoholic liquor may be delivered to and sold at retail in |
19 | | the
Dorchester Senior Business Center owned by the Village of |
20 | | Dolton if the
alcoholic liquor is sold or dispensed only in |
21 | | connection with organized
functions for which the planned |
22 | | attendance is 20 or more persons, and if
the person or facility |
23 | | selling or dispensing the alcoholic liquor has
provided dram |
24 | | shop liability insurance in maximum limits so as to hold
|
25 | | harmless the Village of Dolton and the State from all |
26 | | financial loss,
damage and harm.
|
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| | SB1797 | - 399 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Alcoholic liquors may be delivered to and sold at retail |
2 | | in any
building used as an Illinois State Armory provided:
|
3 | | (i) the Adjutant General's written consent to the |
4 | | issuance of a
license to sell alcoholic liquor in such |
5 | | building is filed with the
Commission;
|
6 | | (ii) the alcoholic liquor is sold or dispensed only in |
7 | | connection
with organized functions held on special |
8 | | occasions;
|
9 | | (iii) the organized function is one for which the |
10 | | planned attendance
is 25 or more persons; and
|
11 | | (iv) the facility selling or dispensing the alcoholic |
12 | | liquors has
provided dram shop liability insurance in |
13 | | maximum limits so as to save
harmless the facility and the |
14 | | State from all financial loss, damage or harm.
|
15 | | Alcoholic liquors may be delivered to and sold at retail |
16 | | in the Chicago
Civic Center, provided that:
|
17 | | (i) the written consent of the Public Building |
18 | | Commission which
administers the Chicago Civic Center is |
19 | | filed with the Commission;
|
20 | | (ii) the alcoholic liquor is sold or dispensed only in |
21 | | connection with
organized functions held on special |
22 | | occasions;
|
23 | | (iii) the organized function is one for which the |
24 | | planned attendance is
25 or more persons;
|
25 | | (iv) the facility selling or dispensing the alcoholic |
26 | | liquors has
provided dram shop liability insurance in |
|
| | SB1797 | - 400 - | LRB103 03433 AMQ 48439 b |
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|
1 | | maximum limits so as to hold
harmless the Civic Center, |
2 | | the City of Chicago and the State from all
financial loss, |
3 | | damage or harm; and
|
4 | | (v) all applicable local ordinances are complied with.
|
5 | | Alcoholic liquors may be delivered or sold in any building |
6 | | belonging to
or under the control of any city, village or |
7 | | incorporated town where more
than 75% of the physical |
8 | | properties of the building is used for commercial
or |
9 | | recreational purposes, and the building is located upon a pier |
10 | | extending
into or over the waters of a navigable lake or stream |
11 | | or on the shore of a
navigable lake or stream.
In accordance |
12 | | with a license issued under this Act, alcoholic liquor may be |
13 | | sold, served, or delivered in buildings and facilities under
|
14 | | the control
of the Department of Natural Resources during |
15 | | events or activities lasting no more than 7 continuous days |
16 | | upon the written approval of the
Director of
Natural Resources |
17 | | acting as the controlling government authority. The Director
|
18 | | of
Natural Resources may specify conditions on that approval, |
19 | | including but not
limited to
requirements for insurance and |
20 | | hours of operation.
Notwithstanding any other provision of |
21 | | this Act, alcoholic liquor sold by a
United States Army Corps |
22 | | of Engineers or Department of Natural
Resources
concessionaire |
23 | | who was operating on June 1, 1991 for on-premises consumption
|
24 | | only is not subject to the provisions of Articles IV and IX. |
25 | | Beer and wine
may be sold on the premises of the Joliet Park |
26 | | District Stadium owned by
the Joliet Park District when |
|
| | SB1797 | - 401 - | LRB103 03433 AMQ 48439 b |
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|
1 | | written consent to the issuance of a license
to sell beer and |
2 | | wine in such premises is filed with the local liquor
|
3 | | commissioner by the Joliet Park District. Beer and wine may be |
4 | | sold in
buildings on the grounds of State veterans' homes when |
5 | | written consent to
the issuance of a license to sell beer and |
6 | | wine in such buildings is filed
with the Commission by the |
7 | | Department of Veterans' Affairs, and the
facility shall |
8 | | provide dram shop liability in maximum insurance coverage
|
9 | | limits so as to save the facility harmless from all financial |
10 | | loss, damage
or harm. Such liquors may be delivered to and sold |
11 | | at any property owned or
held under lease by a Metropolitan |
12 | | Pier and Exposition Authority or
Metropolitan Exposition and |
13 | | Auditorium Authority.
|
14 | | Beer and wine may be sold and dispensed at professional |
15 | | sporting events
and at professional concerts and other |
16 | | entertainment events conducted on
premises owned by the Forest |
17 | | Preserve District of Kane County, subject to
the control of |
18 | | the District Commissioners and applicable local law,
provided |
19 | | that dram shop liability insurance is provided at maximum |
20 | | coverage
limits so as to hold the District harmless from all |
21 | | financial loss, damage
and harm.
|
22 | | Nothing in this Section shall preclude the sale or |
23 | | delivery of beer and
wine at a State or county fair or the sale |
24 | | or delivery of beer or wine at a
city fair in any otherwise |
25 | | lawful manner.
|
26 | | Alcoholic liquors may be sold at retail in buildings in |
|
| | SB1797 | - 402 - | LRB103 03433 AMQ 48439 b |
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|
1 | | State parks
under the control of the Department of Natural |
2 | | Resources,
provided:
|
3 | | a. the State park has overnight lodging facilities |
4 | | with some
restaurant facilities or, not having overnight |
5 | | lodging facilities, has
restaurant facilities which serve |
6 | | complete luncheon and dinner or
supper meals,
|
7 | | b. (blank), and
|
8 | | c. the alcoholic liquors are sold by the State park |
9 | | lodge or
restaurant concessionaire only during the hours |
10 | | from 11 o'clock a.m. until
12 o'clock midnight. |
11 | | Notwithstanding any other provision of this Act,
alcoholic |
12 | | liquor sold by the State park or restaurant concessionaire |
13 | | is not
subject to the provisions of Articles IV and IX.
|
14 | | Alcoholic liquors may be sold at retail in buildings on |
15 | | properties
under the control of the Division of Historic |
16 | | Preservation of the Department of Natural Resources
or the |
17 | | Abraham Lincoln Presidential Library and Museum provided:
|
18 | | a. the property has overnight lodging facilities with |
19 | | some restaurant
facilities or, not having overnight |
20 | | lodging facilities, has restaurant
facilities which serve |
21 | | complete luncheon and dinner or supper meals,
|
22 | | b. consent to the issuance of a license to sell |
23 | | alcoholic liquors in
the buildings has been filed with the |
24 | | commission by the Division of Historic
Preservation
of the |
25 | | Department of Natural Resources or the Abraham Lincoln |
26 | | Presidential Library and Museum,
and
|
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| | SB1797 | - 403 - | LRB103 03433 AMQ 48439 b |
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|
1 | | c. the alcoholic liquors are sold by the lodge or |
2 | | restaurant
concessionaire only during the hours from 11 |
3 | | o'clock a.m. until 12 o'clock
midnight.
|
4 | | The sale of alcoholic liquors pursuant to this Section |
5 | | does not
authorize the establishment and operation of |
6 | | facilities commonly called
taverns, saloons, bars, cocktail |
7 | | lounges, and the like except as a part
of lodge and restaurant |
8 | | facilities in State parks or golf courses owned
by Forest |
9 | | Preserve Districts with a population of less than 3,000,000 or
|
10 | | municipalities or park districts.
|
11 | | Alcoholic liquors may be sold at retail in the Springfield
|
12 | | Administration Building of the Department of Transportation |
13 | | and the
Illinois State Armory in Springfield; provided, that |
14 | | the controlling
government authority may consent to such sales |
15 | | only if
|
16 | | a. the request is from a not-for-profit organization;
|
17 | | b. such sales would not impede normal operations of |
18 | | the departments
involved;
|
19 | | c. the not-for-profit organization provides dram shop |
20 | | liability in
maximum insurance coverage limits and agrees |
21 | | to defend, save harmless
and indemnify the State of |
22 | | Illinois from all financial loss, damage or harm;
|
23 | | d. no such sale shall be made during normal working |
24 | | hours of the
State of Illinois; and
|
25 | | e. the consent is in writing.
|
26 | | Alcoholic liquors may be sold at retail in buildings in |
|
| | SB1797 | - 404 - | LRB103 03433 AMQ 48439 b |
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|
1 | | recreational
areas of river conservancy districts under the |
2 | | control of, or leased
from, the river conservancy districts. |
3 | | Such sales are subject to
reasonable local regulations as |
4 | | provided in Article IV; however, no such
regulations may |
5 | | prohibit or substantially impair the sale of alcoholic
liquors |
6 | | on Sundays or Holidays.
|
7 | | Alcoholic liquors may be provided in long term care |
8 | | facilities owned or
operated by a county under Division 5-21 |
9 | | or 5-22 of the Counties Code,
when approved by the facility |
10 | | operator and not in conflict
with the regulations of the |
11 | | Illinois Department of Public Health, to
residents of the |
12 | | facility who have had their consumption of the alcoholic
|
13 | | liquors provided approved in writing by a physician licensed |
14 | | to practice
medicine in all its branches.
|
15 | | Alcoholic liquors may be delivered to and dispensed in |
16 | | State housing
assigned to employees of the Department of |
17 | | Corrections.
No person shall furnish or allow to be furnished |
18 | | any alcoholic
liquors to any prisoner confined in any jail, |
19 | | reformatory, prison or house
of correction except upon a |
20 | | physician's prescription for medicinal purposes.
|
21 | | Alcoholic liquors may be sold at retail or dispensed at |
22 | | the Willard Ice
Building in Springfield, at the State Library |
23 | | in Springfield, and at
Illinois State Museum facilities by (1) |
24 | | an
agency of the State, whether legislative, judicial or |
25 | | executive, provided
that such agency first obtains written |
26 | | permission to sell or dispense
alcoholic liquors from the |
|
| | SB1797 | - 405 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | controlling government authority, or by (2) a
not-for-profit |
2 | | organization, provided that such organization:
|
3 | | a. Obtains written consent from the controlling |
4 | | government authority;
|
5 | | b. Sells or dispenses the alcoholic liquors in a |
6 | | manner that does not
impair normal operations of State |
7 | | offices located in the building;
|
8 | | c. Sells or dispenses alcoholic liquors only in |
9 | | connection with an
official activity in the building;
|
10 | | d. Provides, or its catering service provides, dram |
11 | | shop liability
insurance in maximum coverage limits and in |
12 | | which the carrier agrees to
defend, save harmless and |
13 | | indemnify the State of Illinois from all
financial loss, |
14 | | damage or harm arising out of the selling or dispensing of
|
15 | | alcoholic liquors.
|
16 | | Nothing in this Act shall prevent a not-for-profit |
17 | | organization or agency
of the State from employing the |
18 | | services of a catering establishment for
the selling or |
19 | | dispensing of alcoholic liquors at authorized functions.
|
20 | | The controlling government authority for the Willard Ice |
21 | | Building in
Springfield shall be the Director of the |
22 | | Department of Revenue. The
controlling government authority |
23 | | for Illinois State Museum facilities shall
be the Director of |
24 | | the Illinois State Museum. The controlling government
|
25 | | authority for the State Library in Springfield shall be the |
26 | | Secretary of State.
|
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| | SB1797 | - 406 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Alcoholic liquors may be delivered to and sold at retail |
2 | | or dispensed
at any facility, property or building under the |
3 | | jurisdiction of the Division of
Historic Preservation of the |
4 | | Department of Natural Resources
or the Abraham
Lincoln |
5 | | Presidential Library and Museum
where the delivery, sale or
|
6 | | dispensing is by (1)
an agency of the State, whether |
7 | | legislative, judicial or executive,
provided that such agency |
8 | | first obtains written permission to sell or
dispense alcoholic |
9 | | liquors from a controlling government authority, or by (2) an |
10 | | individual or organization provided that such individual or |
11 | | organization:
|
12 | | a. Obtains written consent from the controlling |
13 | | government authority;
|
14 | | b. Sells or dispenses the alcoholic liquors in a |
15 | | manner that does not
impair normal workings of State |
16 | | offices or operations located at the
facility, property or |
17 | | building;
|
18 | | c. Sells or dispenses alcoholic liquors only in |
19 | | connection with an
official activity of the individual or |
20 | | organization in the facility,
property or building;
|
21 | | d. Provides, or its catering service provides, dram |
22 | | shop liability
insurance in maximum coverage limits and in |
23 | | which the carrier agrees to
defend, save harmless and |
24 | | indemnify the State of Illinois from all
financial loss, |
25 | | damage or harm arising out of the selling or dispensing of
|
26 | | alcoholic liquors.
|
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|
1 | | The controlling government authority for the Division of
|
2 | | Historic Preservation of the Department of Natural Resources
|
3 | | shall be the Director of Natural Resources, and the
|
4 | | controlling
government authority for the Abraham Lincoln |
5 | | Presidential Library and Museum
shall be the Executive |
6 | | Director of the Abraham Lincoln Presidential Library and |
7 | | Museum.
|
8 | | Alcoholic liquors may be delivered to and sold at retail |
9 | | or dispensed for
consumption at the Michael Bilandic Building |
10 | | at 160 North LaSalle Street,
Chicago IL 60601, after the |
11 | | normal business hours of any child day care or child care
|
12 | | facility located in the building, by (1) a commercial tenant |
13 | | or subtenant
conducting business on the premises under a lease |
14 | | made pursuant to Section
405-315 of the Department of Central |
15 | | Management Services Law (20 ILCS
405/405-315), provided that |
16 | | such tenant or subtenant who accepts delivery of,
sells, or |
17 | | dispenses alcoholic liquors shall procure and maintain dram |
18 | | shop
liability insurance in maximum coverage limits and in |
19 | | which the carrier
agrees to defend, indemnify, and save |
20 | | harmless the State of Illinois from
all financial loss, |
21 | | damage, or harm arising out of the delivery, sale, or
|
22 | | dispensing of alcoholic liquors, or by (2) an agency of the |
23 | | State, whether
legislative, judicial, or executive, provided |
24 | | that such agency first obtains
written permission to accept |
25 | | delivery of and sell or dispense alcoholic liquors
from the |
26 | | Director of Central Management Services, or by (3) a |
|
| | SB1797 | - 408 - | LRB103 03433 AMQ 48439 b |
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|
1 | | not-for-profit
organization, provided that such organization:
|
2 | | a. obtains written consent from the Department of |
3 | | Central Management
Services;
|
4 | | b. accepts delivery of and sells or dispenses the |
5 | | alcoholic liquors in a
manner that does not impair normal |
6 | | operations of State offices located in the
building;
|
7 | | c. accepts delivery of and sells or dispenses |
8 | | alcoholic liquors only in
connection with an official |
9 | | activity in the building; and
|
10 | | d. provides, or its catering service provides, dram |
11 | | shop liability
insurance in maximum coverage limits and in |
12 | | which the carrier agrees to
defend, save harmless, and |
13 | | indemnify the State of Illinois from all
financial loss, |
14 | | damage, or harm arising out of the selling or dispensing |
15 | | of
alcoholic liquors.
|
16 | | Nothing in this Act shall prevent a not-for-profit |
17 | | organization or agency
of the State from employing the |
18 | | services of a catering establishment for
the selling or |
19 | | dispensing of alcoholic liquors at functions authorized by
the |
20 | | Director of Central Management Services.
|
21 | | Alcoholic liquors may be sold at retail or dispensed at |
22 | | the James R.
Thompson Center in Chicago, subject to the |
23 | | provisions of Section 7.4 of the
State Property Control Act, |
24 | | and 222 South College Street in Springfield,
Illinois by (1) a |
25 | | commercial tenant or subtenant conducting business on the
|
26 | | premises under a lease or sublease made pursuant to Section |
|
| | SB1797 | - 409 - | LRB103 03433 AMQ 48439 b |
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|
1 | | 405-315 of the
Department of Central Management Services Law |
2 | | (20 ILCS 405/405-315), provided
that such tenant or subtenant |
3 | | who
sells or dispenses alcoholic liquors shall procure and |
4 | | maintain dram shop
liability insurance in maximum coverage |
5 | | limits and in which the carrier
agrees to defend, indemnify |
6 | | and save harmless the State of Illinois from
all financial |
7 | | loss, damage or harm arising out of the sale or dispensing of
|
8 | | alcoholic liquors, or by (2) an agency of the State, whether |
9 | | legislative,
judicial or executive, provided that such agency |
10 | | first obtains written
permission to sell or dispense alcoholic |
11 | | liquors from the Director of
Central Management Services, or |
12 | | by (3) a not-for-profit organization,
provided that such |
13 | | organization:
|
14 | | a. Obtains written consent from the Department of |
15 | | Central Management
Services;
|
16 | | b. Sells or dispenses the alcoholic liquors in a |
17 | | manner that does not
impair normal operations of State |
18 | | offices located in the building;
|
19 | | c. Sells or dispenses alcoholic liquors only in |
20 | | connection with an
official activity in the building;
|
21 | | d. Provides, or its catering service provides, dram |
22 | | shop liability
insurance in maximum coverage limits and in |
23 | | which the carrier agrees to
defend, save harmless and |
24 | | indemnify the State of Illinois from all
financial loss, |
25 | | damage or harm arising out of the selling or dispensing of
|
26 | | alcoholic liquors.
|
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1 | | Nothing in this Act shall prevent a not-for-profit |
2 | | organization or agency
of the State from employing the |
3 | | services of a catering establishment for
the selling or |
4 | | dispensing of alcoholic liquors at functions authorized by
the |
5 | | Director of Central Management Services.
|
6 | | Alcoholic liquors may be sold or delivered at any facility |
7 | | owned by the
Illinois Sports Facilities Authority provided |
8 | | that dram shop liability
insurance has been made available in |
9 | | a form, with such coverage and in such
amounts as the Authority |
10 | | reasonably determines is necessary.
|
11 | | Alcoholic liquors may be sold at retail or dispensed at |
12 | | the Rockford
State Office Building by (1) an agency of the |
13 | | State, whether legislative,
judicial or executive, provided |
14 | | that such agency first obtains written
permission to sell or |
15 | | dispense alcoholic liquors from the Department of
Central |
16 | | Management Services, or by (2) a not-for-profit organization,
|
17 | | provided that such organization:
|
18 | | a. Obtains written consent from the Department of |
19 | | Central Management
Services;
|
20 | | b. Sells or dispenses the alcoholic liquors in a |
21 | | manner that does not
impair normal operations of State |
22 | | offices located in the building;
|
23 | | c. Sells or dispenses alcoholic liquors only in |
24 | | connection with an
official activity in the building;
|
25 | | d. Provides, or its catering service provides, dram |
26 | | shop liability
insurance in maximum coverage limits and in |
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| | SB1797 | - 411 - | LRB103 03433 AMQ 48439 b |
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|
1 | | which the carrier agrees to defend,
save harmless and |
2 | | indemnify the State of Illinois from all financial loss,
|
3 | | damage or harm arising out of the selling or dispensing of |
4 | | alcoholic liquors.
|
5 | | Nothing in this Act shall prevent a not-for-profit |
6 | | organization or agency
of the State from employing the |
7 | | services of a catering establishment for
the selling or |
8 | | dispensing of alcoholic liquors at functions authorized by
the |
9 | | Department of Central Management Services.
|
10 | | Alcoholic liquors may be sold or delivered in a building |
11 | | that is owned
by McLean County, situated on land owned by the |
12 | | county in the City of
Bloomington, and used by the McLean |
13 | | County Historical Society if the sale
or delivery is approved |
14 | | by an ordinance adopted by the county board, and
the |
15 | | municipality in which the building is located may not prohibit |
16 | | that
sale or delivery, notwithstanding any other provision of |
17 | | this Section. The
regulation of the sale and delivery of |
18 | | alcoholic liquor in a building that
is owned by McLean County, |
19 | | situated on land owned by the county, and used
by the McLean |
20 | | County Historical Society as provided in this paragraph is an
|
21 | | exclusive power and function of the State and is a denial and |
22 | | limitation
under Article VII, Section 6, subsection (h) of the |
23 | | Illinois Constitution
of the power of a home rule municipality |
24 | | to regulate that sale and delivery.
|
25 | | Alcoholic liquors may be sold or delivered in any building |
26 | | situated on
land held in trust for any school district |
|
| | SB1797 | - 412 - | LRB103 03433 AMQ 48439 b |
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|
1 | | organized under Article 34 of
the School Code, if the building |
2 | | is not used for school purposes and if the
sale or delivery is |
3 | | approved by the board of education.
|
4 | | Alcoholic liquors may be delivered to and sold at retail |
5 | | in any building owned by a public library district, provided |
6 | | that the delivery and sale is approved by the board of trustees |
7 | | of that public library district and is limited to library |
8 | | fundraising events or programs of a cultural or educational |
9 | | nature. Before the board of trustees of a public library |
10 | | district may approve the delivery and sale of alcoholic |
11 | | liquors, the board of trustees of the public library district |
12 | | must have a written policy that has been approved by the board |
13 | | of trustees of the public library district governing when and |
14 | | under what circumstances alcoholic liquors may be delivered to |
15 | | and sold at retail on property owned by that public library |
16 | | district. The written policy must (i) provide that no |
17 | | alcoholic liquor may be sold, distributed, or consumed in any |
18 | | area of the library accessible to the general public during |
19 | | the event or program, (ii) prohibit the removal of alcoholic |
20 | | liquor from the venue during the event, and (iii) require that |
21 | | steps be taken to prevent the sale or distribution of |
22 | | alcoholic liquor to persons under the age of 21. Any public |
23 | | library district that has alcoholic liquor delivered to or |
24 | | sold at retail on property owned by the public library |
25 | | district shall provide dram shop liability insurance in |
26 | | maximum insurance coverage limits so as to save harmless the |
|
| | SB1797 | - 413 - | LRB103 03433 AMQ 48439 b |
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|
1 | | public library districts from all financial loss, damage, or |
2 | | harm. |
3 | | Alcoholic liquors may be sold or delivered in buildings |
4 | | owned
by the Community Building Complex Committee of Boone |
5 | | County,
Illinois if the person or facility selling or |
6 | | dispensing the
alcoholic liquor has provided dram shop |
7 | | liability insurance with coverage and
in amounts that the |
8 | | Committee reasonably determines are necessary.
|
9 | | Alcoholic liquors may be sold or delivered in the building |
10 | | located at
1200 Centerville Avenue in Belleville, Illinois and |
11 | | occupied by either the
Belleville Area Special Education |
12 | | District or the Belleville Area Special
Services
Cooperative. |
13 | | Alcoholic liquors may be delivered to and sold at the |
14 | | Louis Joliet
Renaissance Center, City Center Campus, located |
15 | | at 214 N. Ottawa Street,
Joliet, and
the Food |
16 | | Services/Culinary Arts Department facilities, Main Campus, |
17 | | located at
1215 Houbolt Road, Joliet, owned by or under the |
18 | | control of Joliet Junior
College,
Illinois Community College |
19 | | District No. 525.
|
20 | | Alcoholic liquors may be delivered to and sold at Triton |
21 | | College, Illinois Community College District No. 504. |
22 | | Alcoholic liquors may be delivered to and sold at the |
23 | | College of DuPage, Illinois Community College District No. |
24 | | 502. |
25 | | Alcoholic liquors may be delivered to and sold on any |
26 | | property owned, operated, or controlled by Lewis and Clark |
|
| | SB1797 | - 414 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Community College, Illinois Community College District No. |
2 | | 536. |
3 | | Alcoholic liquors may be delivered to and sold at the |
4 | | building located at 446 East Hickory Avenue in Apple River, |
5 | | Illinois, owned by the Apple River Fire Protection District, |
6 | | and occupied by the Apple River Community Association if the |
7 | | alcoholic liquor is sold or dispensed only in connection with |
8 | | organized functions approved by the Apple River Community |
9 | | Association for which the planned attendance is 20 or more |
10 | | persons and if the person or facility selling or dispensing |
11 | | the alcoholic liquor has provided dram shop liability |
12 | | insurance in maximum limits so as to hold harmless the Apple |
13 | | River Fire Protection District, the Village of Apple River, |
14 | | and the Apple River Community Association from all financial |
15 | | loss, damage, and harm. |
16 | | Alcoholic liquors may be delivered to and sold at the |
17 | | Sikia Restaurant, Kennedy King College Campus, located at 740 |
18 | | West 63rd Street, Chicago, and at the Food Services in the |
19 | | Great Hall/Washburne Culinary Institute Department facility, |
20 | | Kennedy King College Campus, located at 740 West 63rd Street, |
21 | | Chicago, owned by or under the control of City Colleges of |
22 | | Chicago, Illinois Community College District No. 508.
|
23 | | (Source: P.A. 99-78, eff. 7-20-15; 99-484, eff. 10-30-15; |
24 | | 99-550, eff. 7-15-16; 99-559, eff. 7-15-16; 99-795, eff. |
25 | | 8-12-16; 100-120, eff. 8-18-17; 100-201, eff. 8-18-17; |
26 | | 100-695, eff. 8-3-18.)
|
|
| | SB1797 | - 415 - | LRB103 03433 AMQ 48439 b |
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1 | | Section 195. The Illinois Public Aid Code is amended by |
2 | | changing Sections 5-19, 9-6, 9A-7, and 9A-11 as follows:
|
3 | | (305 ILCS 5/5-19) (from Ch. 23, par. 5-19)
|
4 | | Sec. 5-19. Healthy Kids Program.
|
5 | | (a) Any child under the age of 21 eligible to receive |
6 | | Medical Assistance
from the Illinois Department under Article |
7 | | V of this Code shall be eligible
for Early and Periodic |
8 | | Screening, Diagnosis and Treatment services provided
by the |
9 | | Healthy Kids Program of the Illinois Department under the |
10 | | Social
Security Act, 42 U.S.C. 1396d(r).
|
11 | | (b) Enrollment of Children in Medicaid. The Illinois |
12 | | Department shall
provide for receipt and initial processing of |
13 | | applications for Medical
Assistance for all pregnant women and |
14 | | children under the age of 21 at
locations in addition to those |
15 | | used for processing applications for cash
assistance, |
16 | | including disproportionate share hospitals, federally |
17 | | qualified
health centers and other sites as selected by the |
18 | | Illinois Department.
|
19 | | (c) Healthy Kids Examinations. The Illinois Department |
20 | | shall consider
any examination of a child eligible for the |
21 | | Healthy Kids services provided
by a medical provider meeting |
22 | | the requirements and complying with the rules
and regulations |
23 | | of the Illinois Department to be reimbursed as a Healthy
Kids |
24 | | examination.
|
|
| | SB1797 | - 416 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (d) Medical Screening Examinations.
|
2 | | (1) The Illinois Department shall insure Medicaid |
3 | | coverage for
periodic health, vision, hearing, and dental |
4 | | screenings for children
eligible for Healthy Kids services |
5 | | scheduled from a child's birth up until
the child turns 21 |
6 | | years. The Illinois Department shall pay for vision,
|
7 | | hearing, dental and health screening examinations for any |
8 | | child eligible
for Healthy Kids services by qualified |
9 | | providers at intervals established
by Department rules.
|
10 | | (2) The Illinois Department shall pay for an |
11 | | interperiodic health,
vision, hearing, or dental screening |
12 | | examination for any child eligible
for Healthy Kids |
13 | | services whenever an examination is:
|
14 | | (A) requested by a child's parent, guardian, or
|
15 | | custodian, or is determined to be necessary or |
16 | | appropriate by social
services, developmental, health, |
17 | | or educational personnel; or
|
18 | | (B) necessary for enrollment in school; or
|
19 | | (C) necessary for enrollment in a licensed child |
20 | | day care program,
including Head Start; or
|
21 | | (D) necessary for placement in a licensed child |
22 | | welfare facility,
including a foster home, group home |
23 | | or child care institution; or
|
24 | | (E) necessary for attendance at a camping program; |
25 | | or
|
26 | | (F) necessary for participation in an organized |
|
| | SB1797 | - 417 - | LRB103 03433 AMQ 48439 b |
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|
1 | | athletic program; or
|
2 | | (G) necessary for enrollment in an early childhood |
3 | | education program
recognized by the Illinois State |
4 | | Board of Education; or
|
5 | | (H) necessary for participation in a Women, |
6 | | Infant, and Children
(WIC) program; or
|
7 | | (I) deemed appropriate by the Illinois Department.
|
8 | | (e) Minimum Screening Protocols For Periodic Health |
9 | | Screening
Examinations. Health Screening Examinations must |
10 | | include the following
services:
|
11 | | (1) Comprehensive Health and Development Assessment |
12 | | including:
|
13 | | (A) Development/Mental Health/Psychosocial |
14 | | Assessment; and
|
15 | | (B) Assessment of nutritional status including |
16 | | tests for iron
deficiency and anemia for children at |
17 | | the following ages: 9 months, 2
years, 8 years, and 18 |
18 | | years;
|
19 | | (2) Comprehensive unclothed physical exam;
|
20 | | (3) Appropriate immunizations at a minimum, as |
21 | | required by the
Secretary of the U.S. Department of Health |
22 | | and Human Services under
42 U.S.C. 1396d(r).
|
23 | | (4) Appropriate laboratory tests including blood lead |
24 | | levels
appropriate for age and risk factors.
|
25 | | (A) Anemia test.
|
26 | | (B) Sickle cell test.
|
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| | SB1797 | - 418 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (C) Tuberculin test at 12 months of age and every |
2 | | 1-2 years
thereafter unless the treating health care |
3 | | professional determines that
testing is medically |
4 | | contraindicated.
|
5 | | (D) Other -- The Illinois Department shall insure |
6 | | that testing for
HIV, drug exposure, and sexually |
7 | | transmitted diseases is provided for as
clinically |
8 | | indicated.
|
9 | | (5) Health Education. The Illinois Department shall |
10 | | require providers
to provide anticipatory guidance as |
11 | | recommended by the American Academy of
Pediatrics.
|
12 | | (6) Vision Screening. The Illinois Department shall |
13 | | require providers
to provide vision screenings consistent |
14 | | with those set forth in the
Department of Public Health's |
15 | | Administrative Rules.
|
16 | | (7) Hearing Screening. The Illinois Department shall |
17 | | require providers
to provide hearing screenings consistent |
18 | | with those set forth in the
Department of Public Health's |
19 | | Administrative Rules.
|
20 | | (8) Dental Screening. The Illinois Department shall |
21 | | require
providers to provide dental screenings consistent |
22 | | with those set forth in the
Department of Public Health's |
23 | | Administrative Rules.
|
24 | | (f) Covered Medical Services. The Illinois Department |
25 | | shall provide
coverage for all necessary health care, |
26 | | diagnostic services, treatment and
other measures to correct |
|
| | SB1797 | - 419 - | LRB103 03433 AMQ 48439 b |
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|
1 | | or ameliorate defects, physical and mental
illnesses, and |
2 | | conditions whether discovered by the screening services or
not |
3 | | for all children eligible for Medical Assistance under Article |
4 | | V of
this Code.
|
5 | | (g) Notice of Healthy Kids Services.
|
6 | | (1) The Illinois Department shall inform any child |
7 | | eligible for Healthy
Kids services and the child's family |
8 | | about the benefits provided under the
Healthy Kids |
9 | | Program, including, but not limited to, the following: |
10 | | what
services are available under Healthy Kids, including |
11 | | discussion of the
periodicity schedules and immunization |
12 | | schedules, that services are
provided at no cost to |
13 | | eligible children, the benefits of preventive health
care, |
14 | | where the services are available, how to obtain them, and |
15 | | that
necessary transportation and scheduling assistance is |
16 | | available.
|
17 | | (2) The Illinois Department shall widely disseminate |
18 | | information
regarding the availability of the Healthy Kids |
19 | | Program throughout the State
by outreach activities which |
20 | | shall include, but not be limited to, (i) the
development |
21 | | of cooperation agreements with local school districts, |
22 | | public
health agencies, clinics, hospitals and other |
23 | | health care providers,
including developmental disability |
24 | | and mental health providers, and with
charities, to notify |
25 | | the constituents of each of the Program and assist
|
26 | | individuals, as feasible, with applying for the Program, |
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| | SB1797 | - 420 - | LRB103 03433 AMQ 48439 b |
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|
1 | | (ii) using the
media for public service announcements and |
2 | | advertisements of the Program,
and (iii) developing |
3 | | posters advertising the Program for display in
hospital |
4 | | and clinic waiting rooms.
|
5 | | (3) The Illinois Department shall utilize accepted |
6 | | methods for
informing persons who are illiterate, blind, |
7 | | deaf, or cannot understand the
English language, including |
8 | | but not limited to public services announcements
and |
9 | | advertisements in the foreign language media of radio, |
10 | | television and
newspapers.
|
11 | | (4) The Illinois Department shall provide notice of |
12 | | the Healthy Kids
Program to every child eligible for |
13 | | Healthy Kids services and his or her
family at the |
14 | | following times:
|
15 | | (A) orally by the intake worker and in writing at |
16 | | the time of
application for Medical Assistance;
|
17 | | (B) at the time the applicant is informed that he |
18 | | or she is eligible
for Medical Assistance benefits; |
19 | | and
|
20 | | (C) at least 20 days before the date of any |
21 | | periodic health, vision,
hearing, and dental |
22 | | examination for any child eligible for Healthy Kids
|
23 | | services. Notice given under this subparagraph (C) |
24 | | must state that a
screening examination is due under |
25 | | the periodicity schedules and must
advise the eligible |
26 | | child and his or her family that the Illinois
|
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| | SB1797 | - 421 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Department will provide assistance in scheduling an |
2 | | appointment and
arranging medical transportation.
|
3 | | (h) Data Collection. The Illinois Department shall collect |
4 | | data in a
usable form to track utilization of Healthy Kids |
5 | | screening examinations by
children eligible for Healthy Kids |
6 | | services, including but not limited to
data showing screening |
7 | | examinations and immunizations received, a summary
of |
8 | | follow-up treatment received by children eligible for Healthy |
9 | | Kids
services and the number of children receiving dental, |
10 | | hearing and vision
services.
|
11 | | (i) On and after July 1, 2012, the Department shall reduce |
12 | | any rate of reimbursement for services or other payments or |
13 | | alter any methodologies authorized by this Code to reduce any |
14 | | rate of reimbursement for services or other payments in |
15 | | accordance with Section 5-5e. |
16 | | (j) To ensure full access to the benefits set forth in this
|
17 | | Section, on and after January 1, 2022, the Illinois Department
|
18 | | shall ensure that provider and hospital reimbursements for
|
19 | | immunization as required under this Section are no lower than
|
20 | | 70% of the median regional maximum administration fee for the |
21 | | State of Illinois as established
by the U.S. Department of |
22 | | Health and Human Services' Centers
for Medicare and Medicaid |
23 | | Services. |
24 | | (Source: P.A. 102-43, eff. 7-6-21.)
|
25 | | (305 ILCS 5/9-6) (from Ch. 23, par. 9-6)
|
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| | SB1797 | - 422 - | LRB103 03433 AMQ 48439 b |
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|
1 | | Sec. 9-6. Job Search, Training and Work Programs. The |
2 | | Illinois Department
and local governmental units shall |
3 | | initiate, promote and develop job search,
training and work |
4 | | programs which will provide employment for and contribute
to |
5 | | the training and experience of persons receiving aid under |
6 | | Articles III,
V, and VI.
|
7 | | The job search, training and work programs shall be |
8 | | designed to preserve and
improve the work habits and skills of |
9 | | recipients for whom jobs are not
otherwise immediately |
10 | | available and to provide training and experience for
|
11 | | recipients who lack the skills required for such employment |
12 | | opportunities as
are or may become available. The Illinois |
13 | | Department and local governmental
unit shall determine by rule |
14 | | those classes of recipients who shall be subject
to |
15 | | participation in such programs. If made subject to |
16 | | participation, every
applicant for or recipient of public aid |
17 | | who is determined to be "able to
engage in employment", as |
18 | | defined by the Department or local governmental unit
pursuant |
19 | | to rules and regulations, for whom unsubsidized jobs are not |
20 | | otherwise
immediately available shall be required to |
21 | | participate in any program
established under this Section.
|
22 | | The Illinois Department shall establish with the Director |
23 | | of Central
Management Services an outreach and training
|
24 | | program designed to encourage and assist recipients |
25 | | participating in job
search, training and work programs to |
26 | | participate in open competitive
examinations for trainee and |
|
| | SB1797 | - 423 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | other entry level positions to maximize
opportunities for |
2 | | placement on open competitive eligible listings and
referral |
3 | | to State agencies for employment consideration.
|
4 | | The Department shall provide payment for transportation, |
5 | | child care day-care and
Workers' Compensation costs which |
6 | | occur for recipients as a result of
participating in job |
7 | | search, training and work programs as described in
this |
8 | | Section. The Department may decline to initiate such programs |
9 | | in
areas where eligible recipients would be so few in number as |
10 | | to not
economically justify such programs; and in this event |
11 | | the Department shall
not require persons in such areas to |
12 | | participate in any job search,
training, or work programs |
13 | | whatsoever as a condition of their continued
receipt of, or |
14 | | application for, aid.
|
15 | | The programs may include, but shall not be limited to, |
16 | | service in child
care centers, in preschool programs as |
17 | | teacher aides and in public health
programs as home visitors |
18 | | and health aides; the
maintenance of or services required in |
19 | | connection with public offices,
buildings and grounds; state, |
20 | | county and municipal hospitals, forest
preserves, parks, |
21 | | playgrounds, streets and highways, and other
governmental |
22 | | maintenance or construction directed toward environmental
|
23 | | improvement; and similar facilities.
|
24 | | The Illinois Department or local governmental units may |
25 | | enter into agreements
with local taxing bodies and private |
26 | | not-for-profit organizations, agencies
and institutions to |
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1 | | provide for the supervision and administration of job
search, |
2 | | work and training projects authorized by this Section. Such |
3 | | agreements
shall stipulate the requirements for utilization of |
4 | | recipients in such
projects. In addition to any other |
5 | | requirements dealing with the
administration of these |
6 | | programs, the Department shall assure, pursuant to
rules and |
7 | | regulations, that:
|
8 | | (a) Recipients may not displace regular employees.
|
9 | | (b) The maximum number of hours of mandatory work is 8 |
10 | | hours per day and
40 hours per week, not to exceed 120 |
11 | | hours per month.
|
12 | | (c) The maximum number of hours per month shall be |
13 | | determined by
dividing the recipient's benefits by the |
14 | | federal minimum wage, rounded to
the lowest full hour. |
15 | | "Recipient's benefits" in this subsection
includes: (i) |
16 | | both cash assistance and food stamps provided to the
|
17 | | entire assistance unit or household by the Illinois |
18 | | Department where the
job search, work and training program |
19 | | is administered by the Illinois
Department and, where |
20 | | federal programs are involved, includes all such cash
|
21 | | assistance and food stamps provided to the greatest extent |
22 | | allowed by
federal law; or (ii) includes only cash |
23 | | assistance provided to the entire
assistance unit by the |
24 | | local governmental unit where the job search, work
and |
25 | | training program is administered by the local governmental |
26 | | unit.
|
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1 | | (d) The recipient shall be provided or compensated for |
2 | | transportation
to and from the work location.
|
3 | | (e) Appropriate terms regarding recipient compensation |
4 | | are met.
|
5 | | Local taxing bodies and private not-for-profit |
6 | | organizations, agencies
and institutions which utilize |
7 | | recipients in job search, work and training
projects |
8 | | authorized by this Section are urged to include such |
9 | | recipients in the
formulation of their employment policies.
|
10 | | Unless directly paid by an employing local taxing body or |
11 | | not-for-profit
agency, a recipient participating in a work |
12 | | project who meets all requirements
set forth by the Illinois |
13 | | Department shall receive credit towards his or
her monthly |
14 | | assistance benefits for work performed based upon the |
15 | | applicable
minimum wage rate. Where a recipient is paid |
16 | | directly by an employing agency,
the Illinois Department or |
17 | | local governmental unit shall provide for payment
to such |
18 | | employing entity the appropriate amount of assistance benefits |
19 | | to
which the recipient would otherwise be entitled under this |
20 | | Code.
|
21 | | The Illinois Department or its designee, including local |
22 | | governmental units,
may enter into agreements with the |
23 | | agencies or institutions providing work
under programs |
24 | | established hereunder for payment to each such employer
|
25 | | (hereinafter called "public service employer") of all or a |
26 | | portion of the
wages to be paid to persons for the work |
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1 | | performed and other appropriate costs.
|
2 | | If the number of persons receiving aid under Article VI is |
3 | | insufficient
to justify the establishment of job search, |
4 | | training and work programs
on a local basis by a local |
5 | | governmental unit, or if for other good cause the
|
6 | | establishment of a local program is impractical or |
7 | | unwarranted, the local
governmental unit shall cooperate with |
8 | | other local governmental units, with
civic and non-profit |
9 | | community agencies, and with the Illinois Department in
|
10 | | developing a program or programs which will jointly serve the |
11 | | participating
governmental units and agencies.
|
12 | | A local governmental unit receiving State funds shall |
13 | | refer all
recipients able to engage in employment to such job |
14 | | search, training and work
programs as are established, whether |
15 | | within or without the governmental
unit, and as are accessible |
16 | | to persons receiving aid from the governmental
unit. The |
17 | | Illinois Department shall withhold allocation of state funds |
18 | | to
any governmental unit which fails or refuses to make such |
19 | | referrals.
|
20 | | Participants in job search, training and work programs |
21 | | shall be required
to maintain current registration for regular |
22 | | employment under Section 11-10
and to accept any bona fide |
23 | | offer of regular employment. They shall
likewise be required |
24 | | to accept education, work and training opportunities
available |
25 | | to them under other provisions of this Code or Federal law. The
|
26 | | Illinois Department or local governmental unit shall provide |
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1 | | by rule for
periodic review of the circumstances of each |
2 | | participant to determine the
feasibility of his placement in |
3 | | regular employment or other work, education
and training |
4 | | opportunities.
|
5 | | Moneys made available for public aid purposes under |
6 | | Articles IV
and VI may be expended to pay public service |
7 | | employers all or a
portion of the wages of public service |
8 | | employees and other appropriate
costs, to provide necessary |
9 | | supervisory personnel and equipment, to
purchase Workers' |
10 | | Compensation Insurance or to pay Workers' Compensation
claims, |
11 | | and to provide transportation to and from work sites.
|
12 | | The Department shall provide through rules and regulations |
13 | | for sanctions
against applicants and recipients of aid under |
14 | | this Code who fail to cooperate
with the regulations and |
15 | | requirements established pursuant to this Section.
Such |
16 | | sanctions may include the loss of eligibility to receive aid |
17 | | under
Article VI of this Code for up to 3 months.
|
18 | | The Department, in cooperation with a local governmental |
19 | | unit, may maintain
a roster of persons who are required to |
20 | | participate in a local job search,
training and work program. |
21 | | In such cases, the roster shall be available
for inspection by |
22 | | employers for the selection of possible workers.
|
23 | | In addition to the programs authorized by this Section, |
24 | | the Illinois
Department is authorized to administer any job |
25 | | search, training or work
projects in conjunction with the |
26 | | Federal Food Stamp Program, either under
this Section or under |
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1 | | other regulations required by the Federal government.
|
2 | | The Illinois Department may also administer pilot programs |
3 | | to provide job
search, training and work programs to |
4 | | unemployed parents of children
receiving child support |
5 | | enforcement services under Article X of this
Code.
|
6 | | (Source: P.A. 92-111, eff. 1-1-02; 92-590, eff. 7-1-02.)
|
7 | | (305 ILCS 5/9A-7) (from Ch. 23, par. 9A-7)
|
8 | | Sec. 9A-7. Good cause and pre-sanction process.
|
9 | | (a) The Department shall establish by rule what |
10 | | constitutes good cause
for failure to participate in |
11 | | education, training and employment programs,
failure to accept |
12 | | suitable employment or terminating employment or reducing
|
13 | | earnings.
|
14 | | The Department shall establish, by rule, a pre-sanction |
15 | | process to assist
in resolving disputes over proposed |
16 | | sanctions and in determining if good cause
exists.
Good cause |
17 | | shall include, but not be limited to:
|
18 | | (1) temporary illness for its duration;
|
19 | | (2) court required appearance or temporary |
20 | | incarceration;
|
21 | | (3) (blank);
|
22 | | (4) death in the family;
|
23 | | (5) (blank);
|
24 | | (6) (blank);
|
25 | | (7) (blank);
|
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1 | | (8) (blank);
|
2 | | (9) extreme inclement weather;
|
3 | | (10) (blank);
|
4 | | (11) lack of any support service even though the |
5 | | necessary service
is not specifically provided under the |
6 | | Department program, to the extent
the lack of the needed |
7 | | service presents a significant barrier to participation;
|
8 | | (12) if an individual is engaged in employment or |
9 | | training or both
that is consistent with the employment |
10 | | related goals of the program, if
such employment and |
11 | | training is later approved by Department staff;
|
12 | | (13) (blank);
|
13 | | (14) failure of Department staff to correctly forward |
14 | | the information
to other Department staff;
|
15 | | (15) failure of the participant to cooperate because |
16 | | of attendance at
a test or a mandatory class or function at |
17 | | an educational program
(including college), when an |
18 | | education or training program is officially
approved by |
19 | | the Department;
|
20 | | (16) failure of the participant due to his or her |
21 | | illiteracy;
|
22 | | (17) failure of the participant because it is |
23 | | determined that he or she
should be in a different |
24 | | activity;
|
25 | | (18) non-receipt by the participant of a notice |
26 | | advising him or her of a
participation requirement. If
the |
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1 | | non-receipt of mail occurs frequently, the Department |
2 | | shall
explore an alternative means of providing notices of |
3 | | participation requests
to participants;
|
4 | | (19) (blank);
|
5 | | (20) non-comprehension of English, either written or |
6 | | oral or both;
|
7 | | (21) (blank);
|
8 | | (22) (blank);
|
9 | | (23) child care (or adult day care for an |
10 | | incapacitated individual living in
the same home as a |
11 | | dependent child) is necessary for the participation or
|
12 | | employment and such care is not available for a child |
13 | | under age 13;
|
14 | | (24) failure to participate in an activity due to a |
15 | | scheduled job
interview, medical appointment for the |
16 | | participant or a household member, or
school appointment;
|
17 | | (25) if an individual or family is experiencing |
18 | | homelessness; an individual or family is experiencing |
19 | | homelessness if the individual or family: (i) lacks a |
20 | | fixed, regular, and adequate nighttime residence, or |
21 | | shares the housing of other persons due to the loss of |
22 | | housing, economic hardship, or a similar reason; (ii) is |
23 | | living in a motel, hotel, trailer park, or camping ground |
24 | | due to the lack of alternative accommodations; (iii) is |
25 | | living in an emergency or transitional shelter; (iv) |
26 | | resides in a primary nighttime residence that is a public |
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1 | | or private place not designed for or ordinarily used as a |
2 | | regular sleeping accommodation for human beings; or (v) is |
3 | | living in a car, park, public space, abandoned building, |
4 | | substandard housing, bus, train station, or similar |
5 | | settings;
|
6 | | (26) circumstances beyond the control of the |
7 | | participant which prevent
the participant from completing |
8 | | program requirements;
|
9 | | (27) (blank);
|
10 | | (28) if an individual or family receives an eviction |
11 | | notice; |
12 | | (29) if an individual's or family's utilities are |
13 | | disconnected; |
14 | | (30) if an individual or family receives an utility |
15 | | disconnection notice; or |
16 | | (31) if an individual is exiting a publicly funded |
17 | | institution or system of care (such as a health-care |
18 | | facility, a mental health facility, foster care or other |
19 | | youth facility, or correction program or institution) |
20 | | without an option to move to a fixed, adequate night time |
21 | | residence. |
22 | | (b) (Blank).
|
23 | | (c)(1) The Department shall establish a reconciliation |
24 | | procedure to
assist in resolving disputes related to any |
25 | | aspect of participation,
including exemptions, good cause, |
26 | | sanctions or proposed sanctions,
supportive services, |
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1 | | assessments, responsibility and service
plans,
assignment to |
2 | | activities, suitability of employment, or
refusals of offers
|
3 | | of employment.
Through the reconciliation process the |
4 | | Department shall have a mechanism to
identify good cause, |
5 | | ensure that the client is aware of the issue, and enable
the |
6 | | client to perform required activities without facing sanction.
|
7 | | (2) A participant may request reconciliation and
receive |
8 | | notice in
writing of a meeting. At least one face-to-face
|
9 | | meeting may be scheduled to
resolve misunderstandings or |
10 | | disagreements related to program participation
and situations |
11 | | which may lead to a potential sanction. The meeting will
|
12 | | address the underlying reason for the dispute and plan a |
13 | | resolution to
enable the individual to participate in TANF |
14 | | employment and work activity
requirements.
|
15 | | (2.5) If the individual fails to appear at the |
16 | | reconciliation meeting
without good cause, the reconciliation |
17 | | is unsuccessful and a sanction shall be
imposed.
|
18 | | (3) The reconciliation process shall continue after
it is |
19 | | determined that
the individual did not have good cause for |
20 | | non-cooperation. Any necessary
demonstration of cooperation on |
21 | | the part of the participant will be part of
the reconciliation |
22 | | process. Failure to demonstrate cooperation will result in |
23 | | immediate
sanction.
|
24 | | (4) For the first instance of non-cooperation, if the |
25 | | client reaches
agreement to cooperate, the client shall be |
26 | | allowed 30 days to demonstrate
cooperation before any sanction |
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1 | | activity may be imposed. In any subsequent
instances of |
2 | | non-cooperation, the client shall be provided the opportunity |
3 | | to
show good cause or remedy the situation by immediately |
4 | | complying with the
requirement.
|
5 | | (5) The Department shall document in the case record the |
6 | | proceedings
of the reconciliation and provide the client in |
7 | | writing
with a reconciliation
agreement.
|
8 | | (6) If reconciliation resolves the dispute, no
sanction |
9 | | shall be imposed.
If the client fails to comply with the |
10 | | reconciliation agreement, the
Department shall then |
11 | | immediately impose the original sanction.
If the dispute |
12 | | cannot be resolved
during reconciliation, a sanction shall not |
13 | | be imposed
until the reconciliation process is complete.
|
14 | | (Source: P.A. 101-103, eff. 7-19-19.)
|
15 | | (305 ILCS 5/9A-11) (from Ch. 23, par. 9A-11)
|
16 | | Sec. 9A-11. Child care.
|
17 | | (a) The General Assembly recognizes that families with |
18 | | children need child
care in order to work. Child care is |
19 | | expensive and families with low incomes,
including those who |
20 | | are transitioning from welfare to work, often struggle to
pay |
21 | | the costs of child day care. The
General Assembly understands |
22 | | the importance of helping low-income working
families become |
23 | | and remain self-sufficient. The General Assembly also believes
|
24 | | that it is the responsibility of families to share in the costs |
25 | | of child care.
It is also the preference of the General |
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1 | | Assembly that all working poor
families should be treated |
2 | | equally, regardless of their welfare status.
|
3 | | (b) To the extent resources permit, the Illinois |
4 | | Department shall provide
child care services to parents or |
5 | | other relatives as defined by rule who are
working or |
6 | | participating in employment or Department approved
education |
7 | | or training programs. At a minimum, the Illinois Department |
8 | | shall
cover the following categories of families:
|
9 | | (1) recipients of TANF under Article IV participating |
10 | | in work and training
activities as specified in the |
11 | | personal plan for employment and
self-sufficiency;
|
12 | | (2) families transitioning from TANF to work;
|
13 | | (3) families at risk of becoming recipients of TANF;
|
14 | | (4) families with special needs as defined by rule;
|
15 | | (5) working families with very low incomes as defined |
16 | | by rule;
|
17 | | (6) families that are not recipients of TANF and that |
18 | | need child care assistance to participate in education and |
19 | | training activities; |
20 | | (7) youth in care, as defined in Section 4d of the |
21 | | Children and Family Services Act, who are parents, |
22 | | regardless of income or whether they are working or |
23 | | participating in Department-approved employment or |
24 | | education or training programs. Any family that receives |
25 | | child care assistance in accordance with this paragraph |
26 | | shall receive one additional 12-month child care |
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1 | | eligibility period after the parenting youth in care's |
2 | | case with the Department of Children and Family Services |
3 | | is closed, regardless of income or whether the parenting |
4 | | youth in care is working or participating in |
5 | | Department-approved employment or education or training |
6 | | programs; |
7 | | (8) families receiving Extended Family Support Program |
8 | | services from the Department of Children and Family |
9 | | Services, regardless of income or whether they are working |
10 | | or participating in Department-approved employment or |
11 | | education or training programs; and |
12 | | (9) families with children under the age of 5 who have |
13 | | an open intact family services case with the Department of |
14 | | Children and Family Services. Any family that receives |
15 | | child care assistance in accordance with this paragraph |
16 | | shall remain eligible for child care assistance 6 months |
17 | | after the child's intact family services case is closed, |
18 | | regardless of whether the child's parents or other |
19 | | relatives as defined by rule are working or participating |
20 | | in Department approved employment or education or training |
21 | | programs. The Department of Human Services, in |
22 | | consultation with the Department of Children and Family |
23 | | Services, shall adopt rules to protect the privacy of |
24 | | families who are the subject of an open intact family |
25 | | services case when such families enroll in child care |
26 | | services. Additional rules shall be adopted to offer |
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1 | | children who have an open intact family services case the |
2 | | opportunity to receive an Early Intervention screening and |
3 | | other services that their families may be eligible for as |
4 | | provided by the Department of Human Services. |
5 | | Beginning October 1, 2023, and every October 1 thereafter, |
6 | | the Department of Children and Family Services shall report to |
7 | | the General Assembly on the number of children who received |
8 | | child care via vouchers paid for by the Department of Children |
9 | | and Family Services during the preceding fiscal year. The |
10 | | report shall include the ages of children who received child |
11 | | care, the type of child care they received, and the number of |
12 | | months they received child care. |
13 | | The Department shall specify by rule the conditions of |
14 | | eligibility, the
application process, and the types, amounts, |
15 | | and duration of services.
Eligibility for
child care benefits |
16 | | and the amount of child care provided may vary based on
family |
17 | | size, income,
and other factors as specified by rule.
|
18 | | The Department shall update the Child Care Assistance |
19 | | Program Eligibility Calculator posted on its website to |
20 | | include a question on whether a family is applying for child |
21 | | care assistance for the first time or is applying for a |
22 | | redetermination of eligibility. |
23 | | A family's eligibility for child care services shall be |
24 | | redetermined no sooner than 12 months following the initial |
25 | | determination or most recent redetermination. During the |
26 | | 12-month periods, the family shall remain eligible for child |
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1 | | care services regardless of (i) a change in family income, |
2 | | unless family income exceeds 85% of State median income, or |
3 | | (ii) a temporary change in the ongoing status of the parents or |
4 | | other relatives, as defined by rule, as working or attending a |
5 | | job training or educational program. |
6 | | In determining income eligibility for child care benefits, |
7 | | the Department
annually, at the beginning of each fiscal year, |
8 | | shall
establish, by rule, one income threshold for each family |
9 | | size, in relation to
percentage of State median income for a |
10 | | family of that size, that makes
families with incomes below |
11 | | the specified threshold eligible for assistance
and families |
12 | | with incomes above the specified threshold ineligible for
|
13 | | assistance. Through and including fiscal year 2007, the |
14 | | specified threshold must be no less than 50% of the
|
15 | | then-current State median income for each family size. |
16 | | Beginning in fiscal year 2008, the specified threshold must be |
17 | | no less than 185% of the then-current federal poverty level |
18 | | for each family size. Notwithstanding any other provision of |
19 | | law or administrative rule to the contrary, beginning in |
20 | | fiscal year 2019, the specified threshold for working families |
21 | | with very low incomes as defined by rule must be no less than |
22 | | 185% of the then-current federal poverty level for each family |
23 | | size. Notwithstanding any other provision of law or |
24 | | administrative rule to the contrary, beginning in State fiscal |
25 | | year 2022, the specified
income threshold shall be no less |
26 | | than 200% of the
then-current federal poverty level for each |
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1 | | family size.
|
2 | | In determining eligibility for
assistance, the Department |
3 | | shall not give preference to any category of
recipients
or |
4 | | give preference to individuals based on their receipt of |
5 | | benefits under this
Code.
|
6 | | Nothing in this Section shall be
construed as conferring |
7 | | entitlement status to eligible families.
|
8 | | The Illinois
Department is authorized to lower income |
9 | | eligibility ceilings, raise parent
co-payments, create waiting |
10 | | lists, or take such other actions during a fiscal
year as are |
11 | | necessary to ensure that child care benefits paid under this
|
12 | | Article do not exceed the amounts appropriated for those child |
13 | | care benefits.
These changes may be accomplished by emergency |
14 | | rule under Section 5-45 of the
Illinois Administrative |
15 | | Procedure Act, except that the limitation on the number
of |
16 | | emergency rules that may be adopted in a 24-month period shall |
17 | | not apply.
|
18 | | The Illinois Department may contract with other State |
19 | | agencies or child care
organizations for the administration of |
20 | | child care services.
|
21 | | (c) Payment shall be made for child care that otherwise |
22 | | meets the
requirements of this Section and applicable |
23 | | standards of State and local
law and regulation, including any |
24 | | requirements the Illinois Department
promulgates by rule in |
25 | | addition to the licensure
requirements
promulgated by the |
26 | | Department of Children and Family Services and Fire
Prevention |
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1 | | and Safety requirements promulgated by the Office of the State
|
2 | | Fire Marshal, and is provided in any of the following:
|
3 | | (1) a child care center which is licensed or exempt |
4 | | from licensure
pursuant to Section 2.09 of the Child Care |
5 | | Act of 1969;
|
6 | | (2) a licensed child care home or home exempt from |
7 | | licensing;
|
8 | | (3) a licensed group child care home;
|
9 | | (4) other types of child care, including child care |
10 | | provided
by relatives or persons living in the same home |
11 | | as the child, as determined by
the Illinois Department by |
12 | | rule.
|
13 | | (c-5)
Solely for the purposes of coverage under the |
14 | | Illinois Public Labor Relations Act, child and day care home |
15 | | providers, including licensed and license exempt, |
16 | | participating in the Department's child care assistance |
17 | | program shall be considered to be public employees and the |
18 | | State of Illinois shall be considered to be their employer as |
19 | | of January 1, 2006 (the effective date of Public Act 94-320), |
20 | | but not before. The State shall engage in collective |
21 | | bargaining with an exclusive representative of child and day |
22 | | care home providers participating in the child care assistance |
23 | | program concerning their terms and conditions of employment |
24 | | that are within the State's control. Nothing in this |
25 | | subsection shall be understood to limit the right of families |
26 | | receiving services defined in this Section to select child and |
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1 | | day care home providers or supervise them within the limits of |
2 | | this Section. The State shall not be considered to be the |
3 | | employer of child and day care home providers for any purposes |
4 | | not specifically provided in Public Act 94-320, including, but |
5 | | not limited to, purposes of vicarious liability in tort and |
6 | | purposes of statutory retirement or health insurance benefits. |
7 | | Child and day care home providers shall not be covered by the |
8 | | State Employees Group Insurance Act of 1971. |
9 | | In according child and day care home providers and their |
10 | | selected representative rights under the Illinois Public Labor |
11 | | Relations Act, the State intends that the State action |
12 | | exemption to application of federal and State antitrust laws |
13 | | be fully available to the extent that their activities are |
14 | | authorized by Public Act 94-320.
|
15 | | (d) The Illinois Department shall establish, by rule, a |
16 | | co-payment scale that provides for cost sharing by families |
17 | | that receive
child care services, including parents whose only |
18 | | income is from
assistance under this Code. The co-payment |
19 | | shall be based on family income and family size and may be |
20 | | based on other factors as appropriate. Co-payments may be |
21 | | waived for families whose incomes are at or below the federal |
22 | | poverty level.
|
23 | | (d-5) The Illinois Department, in consultation with its |
24 | | Child Care and Development Advisory Council, shall develop a |
25 | | plan to revise the child care assistance program's co-payment |
26 | | scale. The plan shall be completed no later than February 1, |
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1 | | 2008, and shall include: |
2 | | (1) findings as to the percentage of income that the |
3 | | average American family spends on child care and the |
4 | | relative amounts that low-income families and the average |
5 | | American family spend on other necessities of life;
|
6 | | (2) recommendations for revising the child care |
7 | | co-payment scale to assure that families receiving child |
8 | | care services from the Department are paying no more than |
9 | | they can reasonably afford; |
10 | | (3) recommendations for revising the child care |
11 | | co-payment scale to provide at-risk children with complete |
12 | | access to Preschool for All and Head Start; and |
13 | | (4) recommendations for changes in child care program |
14 | | policies that affect the affordability of child care.
|
15 | | (e) (Blank).
|
16 | | (f) The Illinois Department shall, by rule, set rates to |
17 | | be paid for the
various types of child care. Child care may be |
18 | | provided through one of the
following methods:
|
19 | | (1) arranging the child care through eligible |
20 | | providers by use of
purchase of service contracts or |
21 | | vouchers;
|
22 | | (2) arranging with other agencies and community |
23 | | volunteer groups for
non-reimbursed child care;
|
24 | | (3) (blank); or
|
25 | | (4) adopting such other arrangements as the Department |
26 | | determines
appropriate.
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1 | | (f-1) Within 30 days after June 4, 2018 (the effective |
2 | | date of Public Act 100-587), the Department of Human Services |
3 | | shall establish rates for child care providers that are no |
4 | | less than the rates in effect on January 1, 2018 increased by |
5 | | 4.26%. |
6 | | (f-5) (Blank). |
7 | | (g) Families eligible for assistance under this Section |
8 | | shall be given the
following options:
|
9 | | (1) receiving a child care certificate issued by the |
10 | | Department or a
subcontractor of the Department that may |
11 | | be used by the parents as payment for
child care and |
12 | | development services only; or
|
13 | | (2) if space is available, enrolling the child with a |
14 | | child care provider
that has a purchase of service |
15 | | contract with the Department or a subcontractor
of the |
16 | | Department for the provision of child care and development |
17 | | services.
The Department may identify particular priority |
18 | | populations for whom they may
request special |
19 | | consideration by a provider with purchase of service
|
20 | | contracts, provided that the providers shall be permitted |
21 | | to maintain a balance
of clients in terms of household |
22 | | incomes and families and children with special
needs, as |
23 | | defined by rule.
|
24 | | (Source: P.A. 101-81, eff. 7-12-19; 101-657, eff. 3-23-21; |
25 | | 102-491, eff. 8-20-21; 102-813, eff. 5-13-22; 102-926, eff. |
26 | | 5-27-22.)
|
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1 | | Section 200. The Abused and Neglected Child Reporting Act |
2 | | is amended by changing Sections 2, 4, and 8.2 as follows:
|
3 | | (325 ILCS 5/2) (from Ch. 23, par. 2052)
|
4 | | Sec. 2.
(a) The Illinois Department of Children and Family |
5 | | Services
shall, upon receiving reports made under this Act, |
6 | | protect the health,
safety, and best
interests of the child in |
7 | | all situations in which the child is vulnerable to
child abuse |
8 | | or neglect, offer protective services in order to prevent
any |
9 | | further harm to the child and to other children in the same
|
10 | | environment or family, stabilize the home environment,
and |
11 | | preserve family life whenever possible. Recognizing that |
12 | | children also can
be abused and neglected
while living in |
13 | | public or private residential agencies or institutions
meant |
14 | | to serve them, while attending child day care centers, |
15 | | schools, or
religious activities, or
when in contact with |
16 | | adults who are responsible for the welfare of the
child at that |
17 | | time,
this Act also provides for the reporting and |
18 | | investigation
of child abuse and neglect in such instances. In |
19 | | performing any of these
duties, the Department may utilize |
20 | | such protective services of voluntary
agencies as are |
21 | | available.
|
22 | | (b) The Department shall be responsible for receiving and |
23 | | investigating reports of adult resident abuse or neglect under |
24 | | the provisions of this Act. |
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1 | | (Source: P.A. 96-1446, eff. 8-20-10.)
|
2 | | (325 ILCS 5/4)
|
3 | | Sec. 4. Persons required to report; privileged |
4 | | communications;
transmitting false report. |
5 | | (a) The following persons are required to immediately |
6 | | report to the Department when they have reasonable cause to |
7 | | believe that a child known to them in their professional or |
8 | | official capacities may be an abused child or a neglected |
9 | | child: |
10 | | (1) Medical personnel, including any: physician |
11 | | licensed to practice medicine in any of its branches |
12 | | (medical doctor or doctor of osteopathy); resident; |
13 | | intern; medical administrator or personnel engaged in the |
14 | | examination, care, and treatment of persons; psychiatrist; |
15 | | surgeon; dentist; dental hygienist; chiropractic |
16 | | physician; podiatric physician; physician assistant; |
17 | | emergency medical technician; physical therapist; physical |
18 | | therapy assistant; occupational therapist; occupational |
19 | | therapy assistant; acupuncturist; registered nurse; |
20 | | licensed practical nurse; advanced practice registered |
21 | | nurse; genetic counselor; respiratory care practitioner; |
22 | | home health aide; or certified nursing assistant. |
23 | | (2) Social services and mental health personnel, |
24 | | including any: licensed professional counselor; licensed |
25 | | clinical professional counselor; licensed social worker; |
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1 | | licensed clinical social worker; licensed psychologist or |
2 | | assistant working under the direct supervision of a |
3 | | psychologist; associate licensed marriage and family |
4 | | therapist; licensed marriage and family therapist; field |
5 | | personnel of the Departments of Healthcare and Family |
6 | | Services, Public Health, Human Services, Human Rights, or |
7 | | Children and Family Services; supervisor or administrator |
8 | | of the General Assistance program established under |
9 | | Article VI of the Illinois Public Aid Code; social |
10 | | services administrator; or substance abuse treatment |
11 | | personnel. |
12 | | (3) Crisis intervention personnel, including any: |
13 | | crisis line or hotline personnel; or domestic violence |
14 | | program personnel. |
15 | | (4)
Education personnel, including any: school |
16 | | personnel (including administrators and certified and |
17 | | non-certified school employees); personnel of institutions |
18 | | of higher education; educational advocate assigned to a |
19 | | child in accordance with the School Code; member of a |
20 | | school board or the Chicago Board of Education or the |
21 | | governing body of a private school (but only to the extent |
22 | | required under subsection (d)); or truant officer. |
23 | | (5)
Recreation or athletic program or facility |
24 | | personnel; or an athletic trainer. |
25 | | (6)
Child care personnel, including any: early |
26 | | intervention provider as defined in the Early Intervention |
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1 | | Services System Act; director or staff assistant of a |
2 | | nursery school or a child day care center; or foster |
3 | | parent, homemaker, or child care worker. |
4 | | (7)
Law enforcement personnel, including any: law |
5 | | enforcement officer; field personnel of the Department of |
6 | | Juvenile Justice; field personnel of the Department of |
7 | | Corrections; probation officer; or animal control officer |
8 | | or field investigator of the Department of Agriculture's |
9 | | Bureau of Animal Health and Welfare. |
10 | | (8)
Any funeral home director; funeral home director |
11 | | and embalmer; funeral home employee; coroner; or medical |
12 | | examiner. |
13 | | (9)
Any member of the clergy. |
14 | | (10) Any physician, physician assistant, registered |
15 | | nurse, licensed practical nurse, medical technician, |
16 | | certified nursing assistant, licensed social worker, |
17 | | licensed clinical social worker, or licensed professional |
18 | | counselor of any office, clinic, licensed behavior |
19 | | analyst, licensed assistant behavior analyst, or any other |
20 | | physical location that provides abortions, abortion |
21 | | referrals, or contraceptives. |
22 | | (b) When 2 or more persons who work within the same |
23 | | workplace and are required to report under this Act share a |
24 | | reasonable cause to believe that a child may be an abused or |
25 | | neglected child, one of those reporters may be designated to |
26 | | make a single report. The report shall include the names and |
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1 | | contact information for the other mandated reporters sharing |
2 | | the reasonable cause to believe that a child may be an abused |
3 | | or neglected child. The designated reporter must provide |
4 | | written confirmation of the report to those mandated reporters |
5 | | within 48 hours. If confirmation is not provided, those |
6 | | mandated reporters are individually responsible for |
7 | | immediately ensuring a report is made. Nothing in this Section |
8 | | precludes or may be used to preclude any person from reporting |
9 | | child abuse or child neglect. |
10 | | (c)(1) As used in this Section, "a child known to them in |
11 | | their professional or official capacities" means: |
12 | | (A) the mandated reporter comes into contact with the |
13 | | child in the course of the reporter's employment or |
14 | | practice of a profession, or through a regularly scheduled |
15 | | program, activity, or service; |
16 | | (B) the mandated reporter is affiliated with an |
17 | | agency, institution, organization, school, school |
18 | | district, regularly established church or religious |
19 | | organization, or other entity that is directly responsible |
20 | | for the care, supervision, guidance, or training of the |
21 | | child; or |
22 | | (C) a person makes a specific disclosure to the |
23 | | mandated reporter that an identifiable child is the victim |
24 | | of child abuse or child neglect, and the disclosure |
25 | | happens while the mandated reporter is engaged in his or |
26 | | her employment or practice of a profession, or in a |
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1 | | regularly scheduled program, activity, or service. |
2 | | (2) Nothing in this Section requires a child to come |
3 | | before the mandated reporter in order for the reporter to make |
4 | | a report of suspected child abuse or child neglect.
|
5 | | (d) If an allegation is raised to a school board member |
6 | | during the course of an open or closed school board meeting |
7 | | that a child who is enrolled in the school district of which he |
8 | | or she is a board member is an abused child as defined in |
9 | | Section 3 of this Act, the member shall direct or cause the |
10 | | school board to direct the superintendent of the school |
11 | | district or other equivalent school administrator to comply |
12 | | with the requirements of this Act concerning the reporting of |
13 | | child abuse. For purposes of this paragraph, a school board |
14 | | member is granted the authority in his or her individual |
15 | | capacity to direct the superintendent of the school district |
16 | | or other equivalent school administrator to comply with the |
17 | | requirements of this Act concerning the reporting of child |
18 | | abuse.
|
19 | | Notwithstanding any other provision of this Act, if an |
20 | | employee of a school district has made a report or caused a |
21 | | report to be made to the Department under this Act involving |
22 | | the conduct of a current or former employee of the school |
23 | | district and a request is made by another school district for |
24 | | the provision of information concerning the job performance or |
25 | | qualifications of the current or former employee because he or |
26 | | she is an applicant for employment with the requesting school |
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1 | | district, the general superintendent of the school district to |
2 | | which the request is being made must disclose to the |
3 | | requesting school district the fact that an employee of the |
4 | | school district has made a report involving the conduct of the |
5 | | applicant or caused a report to be made to the Department, as |
6 | | required under this Act. Only the fact that an employee of the |
7 | | school district has made a report involving the conduct of the |
8 | | applicant or caused a report to be made to the Department may |
9 | | be disclosed by the general superintendent of the school |
10 | | district to which the request for information concerning the |
11 | | applicant is made, and this fact may be disclosed only in cases |
12 | | where the employee and the general superintendent have not |
13 | | been informed by the Department that the allegations were |
14 | | unfounded. An employee of a school district who is or has been |
15 | | the subject of a report made pursuant to this Act during his or |
16 | | her employment with the school district must be informed by |
17 | | that school district that if he or she applies for employment |
18 | | with another school district, the general superintendent of |
19 | | the former school district, upon the request of the school |
20 | | district to which the employee applies, shall notify that |
21 | | requesting school district that the employee is or was the |
22 | | subject of such a report.
|
23 | | (e) Whenever
such person is required to report under this |
24 | | Act in his capacity as a member of
the staff of a medical or |
25 | | other public or private institution, school, facility
or |
26 | | agency, or as a member of the clergy, he shall
make report |
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1 | | immediately to the Department in accordance
with the |
2 | | provisions of this Act and may also notify the person in charge |
3 | | of
such institution, school, facility or agency, or church, |
4 | | synagogue, temple,
mosque, or other religious institution, or |
5 | | his
designated agent that such
report has been made. Under no |
6 | | circumstances shall any person in charge of
such institution, |
7 | | school, facility or agency, or church, synagogue, temple,
|
8 | | mosque, or other religious institution, or his
designated |
9 | | agent to whom
such notification has been made, exercise any |
10 | | control, restraint, modification
or other change in the report |
11 | | or the forwarding of such report to the
Department.
|
12 | | (f) In addition to the persons required to report |
13 | | suspected cases of child abuse or child neglect under this |
14 | | Section, any other person may make a report if such person has |
15 | | reasonable cause to believe a child may be an abused child or a |
16 | | neglected child. |
17 | | (g) The privileged quality of communication between any |
18 | | professional
person required to report
and his patient or |
19 | | client shall not apply to situations involving abused or
|
20 | | neglected children and shall not constitute grounds for |
21 | | failure to report
as required by this Act or constitute |
22 | | grounds for failure to share information or documents with the |
23 | | Department during the course of a child abuse or neglect |
24 | | investigation. If requested by the professional, the |
25 | | Department shall confirm in writing that the information or |
26 | | documents disclosed by the professional were gathered in the |
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1 | | course of a child abuse or neglect investigation.
|
2 | | The reporting requirements of this Act shall not apply to |
3 | | the contents of a privileged communication between an attorney |
4 | | and his or her client or to confidential information within |
5 | | the meaning of Rule 1.6 of the Illinois Rules of Professional |
6 | | Conduct relating to the legal representation of an individual |
7 | | client. |
8 | | A member of the clergy may claim the privilege under |
9 | | Section 8-803 of the
Code of Civil Procedure.
|
10 | | (h) Any office, clinic, or any other physical location |
11 | | that provides abortions, abortion referrals, or contraceptives |
12 | | shall provide to all office personnel copies of written |
13 | | information and training materials about abuse and neglect and |
14 | | the requirements of this Act that are provided to employees of |
15 | | the office, clinic, or physical location who are required to |
16 | | make reports to the Department under this Act, and instruct |
17 | | such office personnel to bring to the attention of an employee |
18 | | of the office, clinic, or physical location who is required to |
19 | | make reports to the Department under this Act any reasonable |
20 | | suspicion that a child known to him or her in his or her |
21 | | professional or official capacity may be an abused child or a |
22 | | neglected child.
|
23 | | (i) Any person who enters into
employment on and after |
24 | | July 1, 1986 and is mandated by virtue of that
employment to |
25 | | report under this Act, shall sign a statement on a form
|
26 | | prescribed by the Department, to the effect that the employee |
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1 | | has knowledge
and understanding of the reporting requirements |
2 | | of this Act. On and after January 1, 2019, the statement
shall |
3 | | also include information about available mandated reporter |
4 | | training provided by the Department. The statement
shall be |
5 | | signed prior to commencement of the employment. The signed
|
6 | | statement shall be retained by the employer. The cost of |
7 | | printing,
distribution, and filing of the statement shall be |
8 | | borne by the employer.
|
9 | | (j) Persons required to report child abuse or child |
10 | | neglect as provided under this Section must complete an |
11 | | initial mandated reporter training, including a section on |
12 | | implicit bias, within 3 months of their date of engagement in a |
13 | | professional or official capacity as a mandated reporter, or |
14 | | within the time frame of any other applicable State law that |
15 | | governs training requirements for a specific profession, and |
16 | | at least every 3 years thereafter. The initial requirement |
17 | | only applies to the first time they engage in their |
18 | | professional or official capacity. In lieu of training every 3 |
19 | | years, medical personnel, as listed in paragraph (1) of |
20 | | subsection (a), must meet the requirements described in |
21 | | subsection (k). |
22 | | The mandated reporter trainings shall be in-person or |
23 | | web-based, and shall include, at a minimum, information on the |
24 | | following topics: (i) indicators for recognizing child abuse |
25 | | and child neglect, as defined under this Act; (ii) the process |
26 | | for reporting suspected child abuse and child neglect in |
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1 | | Illinois as required by this Act and the required |
2 | | documentation; (iii) responding to a child in a |
3 | | trauma-informed manner; and (iv) understanding the response of |
4 | | child protective services and the role of the reporter after a |
5 | | call has been made. Child-serving organizations are encouraged |
6 | | to provide in-person annual trainings. |
7 | | The implicit bias section shall be in-person or web-based, |
8 | | and shall include, at a minimum, information on the following |
9 | | topics: (i) implicit bias and (ii) racial and ethnic |
10 | | sensitivity. As used in this subsection, "implicit bias" means |
11 | | the attitudes or internalized stereotypes that affect people's |
12 | | perceptions, actions, and decisions in an unconscious manner |
13 | | and that exist and often contribute to unequal treatment of |
14 | | people based on race, ethnicity, gender identity, sexual |
15 | | orientation, age, disability, and other characteristics. The |
16 | | implicit bias section shall provide tools to adjust automatic |
17 | | patterns of thinking and ultimately eliminate discriminatory |
18 | | behaviors. During these trainings mandated reporters shall |
19 | | complete the following: (1) a pretest to assess baseline |
20 | | implicit bias levels; (2) an implicit bias training task; and |
21 | | (3) a posttest to reevaluate bias levels after training. The |
22 | | implicit bias curriculum for mandated reporters shall be |
23 | | developed within one year after January 1, 2022 ( the effective |
24 | | date of Public Act 102-604) this amendatory Act of the 102nd |
25 | | General Assembly and shall be created in consultation with |
26 | | organizations demonstrating expertise and or experience in the |
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1 | | areas of implicit bias, youth and adolescent developmental |
2 | | issues, prevention of child abuse, exploitation, and neglect, |
3 | | culturally diverse family systems, and the child welfare |
4 | | system. |
5 | | The mandated reporter training, including a section on |
6 | | implicit bias, shall be provided through the Department, |
7 | | through an entity authorized to provide continuing education |
8 | | for professionals licensed through the Department of Financial |
9 | | and Professional Regulation, the State Board of Education, the |
10 | | Illinois Law Enforcement Training Standards Board, or the |
11 | | Illinois Department of State Police, or through an |
12 | | organization approved by the Department to provide mandated |
13 | | reporter training, including a section on implicit bias. The |
14 | | Department must make available a free web-based training for |
15 | | reporters. |
16 | | Each mandated reporter shall report to his or her employer |
17 | | and, when applicable, to his or her licensing or certification |
18 | | board that he or she received the mandated reporter training. |
19 | | The mandated reporter shall maintain records of completion. |
20 | | Beginning January 1, 2021, if a mandated reporter receives |
21 | | licensure from the Department of Financial and Professional |
22 | | Regulation or the State Board of Education, and his or her |
23 | | profession has continuing education requirements, the training |
24 | | mandated under this Section shall count toward meeting the |
25 | | licensee's required continuing education hours. |
26 | | (k)(1) Medical personnel, as listed in paragraph (1) of |
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1 | | subsection (a), who work with children in their professional |
2 | | or official capacity, must complete mandated reporter training |
3 | | at least every 6 years. Such medical personnel, if licensed, |
4 | | must attest at each time of licensure renewal on their renewal |
5 | | form that they understand they are a mandated reporter of |
6 | | child abuse and neglect, that they are aware of the process for |
7 | | making a report, that they know how to respond to a child in a |
8 | | trauma-informed manner, and that they are aware of the role of |
9 | | child protective services and the role of a reporter after a |
10 | | call has been made. |
11 | | (2) In lieu of repeated training, medical personnel, as |
12 | | listed in paragraph (1) of subsection (a), who do not work with |
13 | | children in their professional or official capacity, may |
14 | | instead attest each time at licensure renewal on their renewal |
15 | | form that they understand they are a mandated reporter of |
16 | | child abuse and neglect, that they are aware of the process for |
17 | | making a report, that they know how to respond to a child in a |
18 | | trauma-informed manner, and that they are aware of the role of |
19 | | child protective services and the role of a reporter after a |
20 | | call has been made. Nothing in this paragraph precludes |
21 | | medical personnel from completing mandated reporter training |
22 | | and receiving continuing education credits for that training. |
23 | | (l) The Department shall provide copies of this Act, upon |
24 | | request, to all
employers employing persons who shall be |
25 | | required under the provisions of
this Section to report under |
26 | | this Act.
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1 | | (m) Any person who knowingly transmits a false report to |
2 | | the Department
commits the offense of disorderly conduct under |
3 | | subsection (a)(7) of
Section 26-1 of the Criminal Code of |
4 | | 2012. A violation of this provision is a Class 4 felony.
|
5 | | Any person who knowingly and willfully violates any |
6 | | provision of this
Section other than a second or subsequent |
7 | | violation of transmitting a
false report as described in the
|
8 | | preceding paragraph, is guilty of a
Class A misdemeanor for
a |
9 | | first violation and a Class
4 felony for a
second or subsequent |
10 | | violation; except that if the person acted as part
of a plan or |
11 | | scheme having as its object the
prevention of discovery of an |
12 | | abused or neglected child by lawful authorities
for the
|
13 | | purpose of protecting or insulating any person or entity from |
14 | | arrest or
prosecution, the
person is guilty of a Class 4 felony |
15 | | for a first offense and a Class 3 felony
for a second or
|
16 | | subsequent offense (regardless of whether the second or |
17 | | subsequent offense
involves any
of the same facts or persons |
18 | | as the first or other prior offense).
|
19 | | (n) A child whose parent, guardian or custodian in good |
20 | | faith selects and depends
upon spiritual means through prayer |
21 | | alone for the treatment or cure of
disease or remedial care may |
22 | | be considered neglected or abused, but not for
the sole reason |
23 | | that his parent, guardian or custodian accepts and
practices |
24 | | such beliefs.
|
25 | | (o) A child shall not be considered neglected or abused |
26 | | solely because the
child is not attending school in accordance |
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1 | | with the requirements of
Article 26 of the School Code, as |
2 | | amended.
|
3 | | (p) Nothing in this Act prohibits a mandated reporter who |
4 | | reasonably believes that an animal is being abused or |
5 | | neglected in violation of the Humane Care for Animals Act from |
6 | | reporting animal abuse or neglect to the Department of |
7 | | Agriculture's Bureau of Animal Health and Welfare. |
8 | | (q) A home rule unit may not regulate the reporting of |
9 | | child abuse or neglect in a manner inconsistent with the |
10 | | provisions of this Section. This Section is a limitation under |
11 | | subsection (i) of Section 6 of Article VII of the Illinois |
12 | | Constitution on the concurrent exercise by home rule units of |
13 | | powers and functions exercised by the State. |
14 | | (r) For purposes of this Section "child abuse or neglect" |
15 | | includes abuse or neglect of an adult resident as defined in |
16 | | this Act. |
17 | | (Source: P.A. 101-564, eff. 1-1-20; 102-604, eff. 1-1-22; |
18 | | 102-861, eff. 1-1-23; 102-953, eff. 5-27-22; revised |
19 | | 12-14-22.)
|
20 | | (325 ILCS 5/8.2) (from Ch. 23, par. 2058.2)
|
21 | | Sec. 8.2. If the Child Protective Service Unit determines, |
22 | | following
an investigation made pursuant to Section 7.4 of |
23 | | this Act, that there is
credible evidence that the child is |
24 | | abused or neglected, the Department
shall assess the family's |
25 | | need for services, and, as necessary, develop,
with the |
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1 | | family, an appropriate service plan for the family's voluntary
|
2 | | acceptance or refusal. In any case where there is evidence |
3 | | that the
perpetrator of the abuse or neglect has a substance |
4 | | use disorder as defined in the Substance Use Disorder Act, the |
5 | | Department, when
making referrals for drug or alcohol abuse |
6 | | services, shall make such referrals
to facilities licensed by |
7 | | the Department of Human Services or the Department
of Public |
8 | | Health. The Department shall comply with Section 8.1 by |
9 | | explaining
its lack of legal authority to compel the |
10 | | acceptance of services and may
explain its concomitant |
11 | | authority to petition the Circuit court
under the Juvenile |
12 | | Court Act of 1987 or refer the case to the local law
|
13 | | enforcement authority or State's attorney for criminal |
14 | | prosecution.
|
15 | | For purposes of this Act, the term "family preservation |
16 | | services"
refers to all services
to help families, including |
17 | | adoptive and extended families. Family
preservation services |
18 | | shall be
offered, where safe and appropriate,
to prevent the |
19 | | placement of children in substitute
care when the children can |
20 | | be cared for at home or in the custody of the
person |
21 | | responsible for the children's welfare without endangering the
|
22 | | children's health or safety, to reunite them with their
|
23 | | families if so placed when reunification
is an appropriate |
24 | | goal, or to maintain an adoptive placement. The term
|
25 | | "homemaker" includes emergency caretakers, homemakers, |
26 | | caretakers,
housekeepers and chore services. The term |
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1 | | "counseling" includes individual
therapy, infant stimulation |
2 | | therapy, family therapy, group therapy,
self-help groups, drug |
3 | | and alcohol abuse counseling, vocational counseling
and |
4 | | post-adoptive services. The term " child day care" includes |
5 | | protective child day
care and child day care to meet |
6 | | educational, prevocational or vocational needs.
The term |
7 | | "emergency assistance and advocacy" includes coordinated |
8 | | services
to secure emergency cash, food, housing and medical |
9 | | assistance or advocacy
for other subsistence and family |
10 | | protective needs.
|
11 | | Before July 1, 2000, appropriate family preservation |
12 | | services shall, subject
to appropriation, be included in the |
13 | | service plan if the Department has
determined that those |
14 | | services will ensure the child's health and safety, are
in the |
15 | | child's best interests, and will not place the child in |
16 | | imminent risk of
harm. Beginning July 1, 2000, appropriate |
17 | | family preservation services shall
be uniformly available |
18 | | throughout the State. The Department shall promptly
notify |
19 | | children and families of the Department's responsibility to |
20 | | offer and
provide family preservation services as identified |
21 | | in the service plan. Such
plans may include but are not limited |
22 | | to: case management services; homemakers;
counseling; parent |
23 | | education; child day care; emergency assistance and advocacy
|
24 | | assessments; respite care; in-home health care; transportation |
25 | | to obtain any of
the above services; and medical assistance. |
26 | | Nothing in this paragraph shall be
construed to create a |
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1 | | private right of action or claim on the part of any
individual |
2 | | or child welfare agency, except that when a child is the |
3 | | subject of an action under Article II of the Juvenile Court Act |
4 | | of 1987 and the child's service plan calls for services to |
5 | | facilitate achievement of the permanency goal, the court |
6 | | hearing the action under Article II of the Juvenile Court Act |
7 | | of 1987 may order the Department to provide the services set |
8 | | out in the plan, if those services are not provided with |
9 | | reasonable promptness and if those services are available.
|
10 | | Each Department field office shall maintain on a local |
11 | | basis
directories of services available to children and |
12 | | families in the local
area where the Department office is |
13 | | located.
|
14 | | The Department shall refer children and families served
|
15 | | pursuant to this Section to private agencies and governmental |
16 | | agencies,
where available.
|
17 | | Incentives that discourage or reward a decision to provide |
18 | | family preservation services after a report is indicated or a |
19 | | decision to refer a child for the filing of a petition under |
20 | | Article II of the Juvenile Court Act of 1987 are strictly |
21 | | prohibited and shall not be included in any contract, quality |
22 | | assurance, or performance review process. Incentives include, |
23 | | but are not limited to, monetary benefits, contingencies, and |
24 | | enhanced or diminished performance reviews for individuals or |
25 | | agencies. |
26 | | Any decision regarding whether to provide family |
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1 | | preservation services after an indicated report or to refer a |
2 | | child for the filing of a petition under Article II of the |
3 | | Juvenile Court Act of 1987 shall be based solely on the child's |
4 | | health, safety, and best interests and on any applicable law. |
5 | | If a difference of opinion exists between a private agency and |
6 | | the Department regarding whether to refer for the filing of a |
7 | | petition under Article II of the Juvenile Court Act of 1987, |
8 | | the case shall be referred to the Deputy Director of Child |
9 | | Protection for review and determination. |
10 | | Any Department employee responsible for reviewing |
11 | | contracts or program plans who is aware of a violation of this |
12 | | Section shall immediately refer the matter to the Inspector |
13 | | General of the Department. |
14 | | Where there are 2 equal proposals from both a |
15 | | not-for-profit and a
for-profit agency to provide services, |
16 | | the Department shall give preference
to the proposal from the |
17 | | not-for-profit agency.
|
18 | | No service plan shall compel any child or parent to engage |
19 | | in any
activity or refrain from any activity which is not |
20 | | reasonably related to
remedying a condition or conditions that |
21 | | gave rise or which could give rise
to any finding of child |
22 | | abuse or neglect.
|
23 | | (Source: P.A. 100-759, eff. 1-1-19; 101-528, eff. 8-23-19.)
|
24 | | Section 205. The Missing Children Records Act is amended |
25 | | by changing Section 5 as follows:
|
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1 | | (325 ILCS 50/5) (from Ch. 23, par. 2285)
|
2 | | Sec. 5. Duties of school or other entity. |
3 | | (a) Upon notification by the Illinois State Police of a
|
4 | | person's disappearance, a school, preschool educational |
5 | | program, child care facility, or child day care home or group |
6 | | child day care home in which the person is currently or was
|
7 | | previously enrolled shall flag the record of that person in |
8 | | such a manner
that whenever a copy of or information regarding |
9 | | the record is requested,
the school or other entity shall be |
10 | | alerted to the fact that the record is that of a
missing |
11 | | person. The school or other entity shall immediately report to |
12 | | the Illinois State Police
any request concerning flagged |
13 | | records or knowledge
as to the whereabouts of any missing |
14 | | person. Upon notification by the Illinois State Police
that |
15 | | the missing person has been recovered, the school or other |
16 | | entity
shall
remove the flag from the person's record.
|
17 | | (b) (1) For every child enrolled in a particular
|
18 | | elementary or secondary school, public or private preschool |
19 | | educational program, public or private child care facility |
20 | | licensed under the Child Care Act of 1969, or child day care |
21 | | home or group child day care home licensed under the Child Care |
22 | | Act of 1969, that school or other entity shall notify in |
23 | | writing the
person enrolling the child that within 30 days he |
24 | | must provide either (i)
a certified copy of the child's birth |
25 | | certificate or (ii) other reliable
proof, as determined by the |
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1 | | Illinois State Police, of the child's identity and age
and an |
2 | | affidavit explaining the inability to produce a copy of the |
3 | | birth
certificate. Other reliable proof of the child's |
4 | | identity and age shall
include a passport, visa or other |
5 | | governmental documentation of the child's
identity. When the |
6 | | person enrolling the child provides the school or other entity |
7 | | with a certified copy of the child's birth certificate, the |
8 | | school or other entity shall promptly make a copy of the |
9 | | certified copy for its records and return the original |
10 | | certified copy to the person enrolling the child. Once a |
11 | | school or other entity has been provided with a certified copy |
12 | | of a child's birth certificate as required under item (i) of |
13 | | this subdivision (b)(1), the school or other entity need not |
14 | | request another such certified copy with respect to that child |
15 | | for any other year in which the child is enrolled in that |
16 | | school or other entity.
|
17 | | (2) Upon the failure of a person enrolling a child
to
|
18 | | comply with subsection (b) (1), the school or other entity
|
19 | | shall immediately notify the Illinois State Police
or local |
20 | | law enforcement agency of such failure, and shall
notify the |
21 | | person enrolling the child in writing that he has 10
|
22 | | additional days to comply.
|
23 | | (3) The school or other entity shall immediately report to |
24 | | the Illinois State Police any affidavit
received pursuant to |
25 | | this subsection which appears inaccurate or suspicious
in form |
26 | | or content.
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1 | | (c) Within 14 days after enrolling a transfer student, the |
2 | | elementary or
secondary school shall request directly from the |
3 | | student's previous school
a certified copy of his record. The |
4 | | requesting school shall exercise due
diligence in obtaining |
5 | | the copy of the record requested. Any elementary
or secondary |
6 | | school requested to forward a copy of a transferring student's
|
7 | | record to the new school shall comply within 10 days of receipt |
8 | | of the
request unless the record has been flagged pursuant to |
9 | | subsection (a), in
which case the copy shall not be forwarded |
10 | | and the requested school shall
notify the Illinois State |
11 | | Police or local law enforcement authority of the request.
|
12 | | (Source: P.A. 102-538, eff. 8-20-21.)
|
13 | | Section 210. The Mental Health and Developmental |
14 | | Disabilities Code is amended by changing Section 1-111 as |
15 | | follows:
|
16 | | (405 ILCS 5/1-111) (from Ch. 91 1/2, par. 1-111)
|
17 | | Sec. 1-111.
"Habilitation" means an effort directed toward |
18 | | the alleviation
of a developmental disability or toward |
19 | | increasing a person with a
developmental disability's level of |
20 | | physical, mental, social or economic
functioning. Habilitation |
21 | | may include, but is not limited to, diagnosis,
evaluation, |
22 | | medical services, residential care, child care and adult day |
23 | | care, special living
arrangements, training, education, |
24 | | sheltered employment, protective services,
counseling and |
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1 | | other services provided to persons with a developmental
|
2 | | disability by developmental disabilities facilities.
|
3 | | (Source: P.A. 88-380.)
|
4 | | Section 215. The Epinephrine Injector Act is amended by |
5 | | changing Section 5 as follows:
|
6 | | (410 ILCS 27/5) |
7 | | Sec. 5. Definitions. As used in this Act: |
8 | | "Administer" means to directly apply an epinephrine |
9 | | injector to the body of an individual. |
10 | | "Authorized entity" means any entity or organization, |
11 | | other than a school covered under Section 22-30 of the School |
12 | | Code, in connection with or at which allergens capable of |
13 | | causing anaphylaxis may be present, including, but not limited |
14 | | to, independent contractors who provide student transportation |
15 | | to schools, recreation camps, colleges and universities, child |
16 | | day care facilities, youth sports leagues, amusement parks, |
17 | | restaurants, sports arenas, and places of employment. The |
18 | | Department shall, by rule, determine what constitutes a child |
19 | | day care facility under this definition. |
20 | | "Department" means the Department of Public Health. |
21 | | "Epinephrine injector" includes an auto-injector approved |
22 | | by the United States Food and Drug Administration for the |
23 | | administration of epinephrine and a pre-filled syringe |
24 | | approved by the United States Food and Drug Administration and |
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1 | | used for the administration of epinephrine that contains a |
2 | | pre-measured dose of epinephrine that is equivalent to the |
3 | | dosages used in an auto-injector. |
4 | | "Health care practitioner" means a physician licensed to |
5 | | practice medicine in all its branches under the Medical |
6 | | Practice Act of 1987, a physician assistant under the |
7 | | Physician Assistant Practice Act of 1987 with prescriptive |
8 | | authority, or an advanced practice registered nurse with |
9 | | prescribing authority under Article 65 of the Nurse Practice |
10 | | Act. |
11 | | "Pharmacist" has the meaning given to that term under |
12 | | subsection (k-5) of Section 3 of the Pharmacy Practice Act. |
13 | | "Undesignated epinephrine injector" means an epinephrine |
14 | | injector prescribed in the name of an authorized entity.
|
15 | | (Source: P.A. 99-711, eff. 1-1-17; 100-513, eff. 1-1-18; |
16 | | 100-799, eff. 1-1-19 .)
|
17 | | Section 220. The Lead Poisoning Prevention Act is amended |
18 | | by changing Section 7.1 as follows:
|
19 | | (410 ILCS 45/7.1) (from Ch. 111 1/2, par. 1307.1)
|
20 | | Sec. 7.1. Requirements for child care facilities. Each |
21 | | child day care center, child day
care home, preschool, nursery |
22 | | school, kindergarten, or other child care
facility, licensed |
23 | | or approved by the State, including such programs
operated by |
24 | | a public school district, shall include a requirement that |
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1 | | each
parent or legal guardian of a child between one and 7
|
2 | | years of age provide a statement from a physician or health |
3 | | care provider that the
child has been assessed for risk of lead |
4 | | poisoning or tested or both, as provided in Section 6.2. This |
5 | | statement shall be
provided prior to admission and |
6 | | subsequently in conjunction with required
physical |
7 | | examinations.
|
8 | | Child care facilities that participate in the Illinois |
9 | | Child Care Assistance Program (CCAP) shall annually send or |
10 | | deliver to the parents or guardians of children enrolled in |
11 | | the facility's care an informational pamphlet regarding |
12 | | awareness of lead poisoning. Pamphlets shall be produced and |
13 | | made available by the Department and shall be downloadable |
14 | | from the Department's Internet website. The Department of |
15 | | Human Services and the Department of Public Health shall |
16 | | assist in the distribution of the pamphlet.
|
17 | | (Source: P.A. 98-690, eff. 1-1-15 .)
|
18 | | Section 225. The Medical Patient Rights Act is amended by |
19 | | changing Section 3.4 as follows:
|
20 | | (410 ILCS 50/3.4) |
21 | | Sec. 3.4. Rights of women; pregnancy and childbirth. |
22 | | (a) In addition to any other right provided under this |
23 | | Act, every woman has the following rights with regard to |
24 | | pregnancy and childbirth: |
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1 | | (1) The right to receive health care before, during, |
2 | | and after pregnancy and childbirth. |
3 | | (2) The right to receive care for her and her infant |
4 | | that is consistent with generally accepted medical |
5 | | standards. |
6 | | (3) The right to choose a certified nurse midwife or |
7 | | physician as her maternity care professional. |
8 | | (4) The right to choose her birth setting from the |
9 | | full range of birthing options available in her community. |
10 | | (5) The right to leave her maternity care professional |
11 | | and select another if she becomes dissatisfied with her |
12 | | care, except as otherwise provided by law. |
13 | | (6) The right to receive information about the names |
14 | | of those health care professionals involved in her care. |
15 | | (7) The right to privacy and confidentiality of |
16 | | records, except as provided by law. |
17 | | (8) The right to receive information concerning her |
18 | | condition and proposed treatment, including methods of |
19 | | relieving pain. |
20 | | (9) The right to accept or refuse any treatment, to |
21 | | the extent medically possible. |
22 | | (10) The right to be informed if her caregivers wish |
23 | | to enroll her or her infant in a research study in |
24 | | accordance with Section 3.1 of this Act. |
25 | | (11) The right to access her medical records in |
26 | | accordance with Section 8-2001 of the Code of Civil |
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1 | | Procedure. |
2 | | (12) The right to receive information in a language in |
3 | | which she can communicate in accordance with federal law. |
4 | | (13) The right to receive emotional and physical |
5 | | support during labor and birth. |
6 | | (14) The right to freedom of movement during labor and |
7 | | to give birth in the position of her choice, within |
8 | | generally accepted medical standards. |
9 | | (15) The right to contact with her newborn, except |
10 | | where necessary care must be provided to the mother or |
11 | | infant. |
12 | | (16) The right to receive information about |
13 | | breastfeeding. |
14 | | (17) The right to decide collaboratively with |
15 | | caregivers when she and her baby will leave the birth site |
16 | | for home, based on their conditions and circumstances. |
17 | | (18) The right to be treated with respect at all times |
18 | | before, during, and after pregnancy by her health care |
19 | | professionals. |
20 | | (19) The right of each patient, regardless of source |
21 | | of payment, to examine and receive a reasonable |
22 | | explanation of her total bill for services rendered by her |
23 | | maternity care professional or health care provider, |
24 | | including itemized charges for specific services received. |
25 | | Each maternity care professional or health care provider |
26 | | shall be responsible only for a reasonable explanation of |
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1 | | those specific services provided by the maternity care |
2 | | professional or health care provider. |
3 | | (b) The Department of Public Health, Department of |
4 | | Healthcare and Family Services, Department of Children and |
5 | | Family Services, and Department of Human Services shall post, |
6 | | either by physical or electronic means, information about |
7 | | these rights on their publicly available websites. Every |
8 | | health care provider, child day care center licensed under the |
9 | | Child Care Act of 1969, Head Start, and community center shall |
10 | | post information about these rights in a prominent place and |
11 | | on their websites, if applicable. |
12 | | (c) The Department of Public Health shall adopt rules to |
13 | | implement this Section. |
14 | | (d) Nothing in this Section or any rules adopted under |
15 | | subsection (c) shall be construed to require a physician, |
16 | | health care professional, hospital, hospital affiliate, or |
17 | | health care provider to provide care inconsistent with |
18 | | generally accepted medical standards or available capabilities |
19 | | or resources.
|
20 | | (Source: P.A. 101-445, eff. 1-1-20; 102-4, eff. 4-27-21.)
|
21 | | Section 230. The Compassionate Use of Medical Cannabis |
22 | | Program Act is amended by changing Sections 105 and 130 as |
23 | | follows:
|
24 | | (410 ILCS 130/105)
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1 | | Sec. 105. Requirements; prohibitions; penalties for |
2 | | cultivation centers. |
3 | | (a) The operating documents of a registered cultivation |
4 | | center shall include procedures for the oversight of the |
5 | | cultivation center, a cannabis plant monitoring system |
6 | | including a physical inventory recorded weekly, a cannabis |
7 | | container system including a physical inventory recorded |
8 | | weekly, accurate record keeping, and a staffing plan.
|
9 | | (b) A registered cultivation center shall implement a |
10 | | security plan reviewed by the Illinois State Police and |
11 | | including but not limited to: facility access controls, |
12 | | perimeter intrusion detection systems, personnel |
13 | | identification systems, 24-hour surveillance system to monitor |
14 | | the interior and exterior of the registered cultivation center |
15 | | facility and accessible to authorized law enforcement and the |
16 | | Department of Agriculture in real-time.
|
17 | | (c) A registered cultivation center may not be located |
18 | | within 2,500 feet of the property line of a pre-existing |
19 | | public or private preschool or elementary or secondary school |
20 | | or child day care center, child day care home, group child day |
21 | | care home, part day child care facility, or an area zoned for |
22 | | residential use. |
23 | | (d) All cultivation of cannabis for distribution to a |
24 | | registered dispensing organization must take place in an |
25 | | enclosed, locked facility as it applies to cultivation centers |
26 | | at the physical address provided to the Department of |
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1 | | Agriculture during the registration process. The cultivation |
2 | | center location shall only be accessed by the cultivation |
3 | | center agents working for the registered cultivation center, |
4 | | Department of Agriculture staff performing inspections, |
5 | | Department of Public Health staff performing inspections, law |
6 | | enforcement or other emergency personnel, and contractors |
7 | | working on jobs unrelated to medical cannabis, such as |
8 | | installing or maintaining security devices or performing |
9 | | electrical wiring.
|
10 | | (e) A cultivation center may not sell or distribute any |
11 | | cannabis to any individual or entity other than another |
12 | | cultivation center, a dispensing organization registered under |
13 | | this Act, or a laboratory licensed by the Department of |
14 | | Agriculture.
|
15 | | (f) All harvested cannabis intended for distribution to a |
16 | | dispensing organization must be packaged in a labeled medical |
17 | | cannabis container and entered into a data collection system.
|
18 | | (g) No person who has been convicted of an excluded |
19 | | offense may be a cultivation center agent.
|
20 | | (h) Registered cultivation centers are subject to random |
21 | | inspection by the Illinois State Police.
|
22 | | (i) Registered cultivation centers are subject to random |
23 | | inspections by the Department of Agriculture and the |
24 | | Department of Public Health.
|
25 | | (j) A cultivation center agent shall notify local law |
26 | | enforcement, the Illinois State Police, and the Department of |
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1 | | Agriculture within 24 hours of the discovery of any loss or |
2 | | theft. Notification shall be made by phone or in-person, or by |
3 | | written or electronic communication.
|
4 | | (k) A cultivation center shall comply with all State and |
5 | | federal rules and regulations regarding the use of pesticides.
|
6 | | (Source: P.A. 101-363, eff. 8-9-19; 102-538, eff. 8-20-21.)
|
7 | | (410 ILCS 130/130)
|
8 | | Sec. 130. Requirements; prohibitions; penalties; |
9 | | dispensing organizations. |
10 | | (a) The Department of Financial and Professional |
11 | | Regulation shall implement the provisions of this Section by |
12 | | rule.
|
13 | | (b) A dispensing organization shall maintain operating |
14 | | documents which shall include procedures for the oversight of |
15 | | the registered dispensing organization and procedures to |
16 | | ensure accurate recordkeeping.
|
17 | | (c) A dispensing organization shall implement appropriate |
18 | | security measures, as provided by rule, to deter and prevent |
19 | | the theft of cannabis and unauthorized entrance into areas |
20 | | containing cannabis.
|
21 | | (d) A dispensing organization may not be located within |
22 | | 1,000 feet of the property line of a pre-existing public or |
23 | | private preschool or elementary or secondary school or child |
24 | | day care center, child day care home, group child day care |
25 | | home, or part day child care facility. A registered dispensing |
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1 | | organization may not be located in a house, apartment, |
2 | | condominium, or an area zoned for residential use.
This |
3 | | subsection shall not apply to any dispensing organizations |
4 | | registered on or after July 1, 2019. |
5 | | (e) A dispensing organization is prohibited from acquiring |
6 | | cannabis from anyone other than a cultivation center, craft |
7 | | grower, processing organization, another dispensing |
8 | | organization, or transporting organization licensed or |
9 | | registered under this Act or the Cannabis Regulation and Tax |
10 | | Act. A dispensing organization is prohibited from obtaining |
11 | | cannabis from outside the State of Illinois.
|
12 | | (f) A registered dispensing organization is prohibited |
13 | | from dispensing cannabis for any purpose except to assist |
14 | | registered qualifying patients with the medical use of |
15 | | cannabis directly or through the qualifying patients' |
16 | | designated caregivers.
|
17 | | (g) The area in a dispensing organization where medical |
18 | | cannabis is stored can only be accessed by dispensing |
19 | | organization agents working for the dispensing organization, |
20 | | Department of Financial and Professional Regulation staff |
21 | | performing inspections, law enforcement or other emergency |
22 | | personnel, and contractors working on jobs unrelated to |
23 | | medical cannabis, such as installing or maintaining security |
24 | | devices or performing electrical wiring.
|
25 | | (h) A dispensing organization may not dispense more than |
26 | | 2.5 ounces of cannabis to a registered qualifying patient, |
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1 | | directly or via a designated caregiver, in any 14-day period |
2 | | unless the qualifying patient has a Department of Public |
3 | | Health-approved quantity waiver.
Any Department of Public |
4 | | Health-approved quantity waiver process must be made available |
5 | | to qualified veterans. |
6 | | (i) Except as provided in subsection (i-5), before medical |
7 | | cannabis may be dispensed to a designated caregiver or a |
8 | | registered qualifying patient, a dispensing organization agent |
9 | | must determine that the individual is a current cardholder in |
10 | | the verification system and must verify each of the following:
|
11 | | (1) that the registry identification card presented to |
12 | | the registered dispensing organization is valid;
|
13 | | (2) that the person presenting the card is the person |
14 | | identified on the registry identification card presented |
15 | | to the dispensing organization agent;
|
16 | | (3) (blank); and
|
17 | | (4) that the registered qualifying patient has not |
18 | | exceeded his or her adequate supply.
|
19 | | (i-5) A dispensing organization may dispense medical
|
20 | | cannabis to an Opioid Alternative Pilot Program participant |
21 | | under Section 62 and to a person presenting proof of |
22 | | provisional registration under Section 55. Before dispensing |
23 | | medical cannabis, the dispensing organization shall comply |
24 | | with the requirements of Section 62 or Section 55, whichever |
25 | | is applicable, and verify the following: |
26 | | (1) that the written certification presented to the |
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1 | | registered dispensing organization is valid and an |
2 | | original document; |
3 | | (2) that the person presenting the written |
4 | | certification is the person identified on the written |
5 | | certification; and |
6 | | (3) that the participant has not exceeded his or her |
7 | | adequate supply. |
8 | | (j) Dispensing organizations shall ensure compliance with |
9 | | this limitation by maintaining internal, confidential records |
10 | | that include records specifying how much medical cannabis is |
11 | | dispensed to the registered qualifying patient and whether it |
12 | | was dispensed directly to the registered qualifying patient or |
13 | | to the designated caregiver. Each entry must include the date |
14 | | and time the cannabis was dispensed. Additional recordkeeping |
15 | | requirements may be set by rule.
|
16 | | (k) The health care professional-patient privilege as set |
17 | | forth by Section 8-802 of the Code of Civil Procedure shall |
18 | | apply between a qualifying patient and a registered dispensing |
19 | | organization and its agents with respect to communications and |
20 | | records concerning qualifying patients' debilitating |
21 | | conditions.
|
22 | | (l) A dispensing organization may not permit any person to |
23 | | consume cannabis on the property of a medical cannabis |
24 | | organization.
|
25 | | (m) A dispensing organization may not share office space |
26 | | with or refer patients to a certifying health care |
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1 | | professional.
|
2 | | (n) Notwithstanding any other criminal penalties related |
3 | | to the unlawful possession of cannabis, the Department of |
4 | | Financial and Professional Regulation may revoke, suspend, |
5 | | place on probation, reprimand, refuse to issue or renew, or |
6 | | take any other disciplinary or non-disciplinary action as the |
7 | | Department of Financial and Professional Regulation may deem |
8 | | proper with regard to the registration of any person issued |
9 | | under this Act to operate a dispensing organization or act as a |
10 | | dispensing organization agent, including imposing fines not to |
11 | | exceed $10,000 for each violation, for any violations of this |
12 | | Act and rules adopted in accordance with this Act. The |
13 | | procedures for disciplining a registered dispensing |
14 | | organization shall be determined by rule. All final |
15 | | administrative decisions of the Department of Financial and |
16 | | Professional Regulation are subject to judicial review under |
17 | | the Administrative Review Law and its rules. The term |
18 | | "administrative decision" is defined as in Section 3-101 of |
19 | | the Code of Civil Procedure.
|
20 | | (o) Dispensing organizations are subject to random |
21 | | inspection and cannabis testing by the Department of Financial |
22 | | and Professional Regulation, the Illinois State Police, the |
23 | | Department of Revenue, the Department of Public Health, the |
24 | | Department of Agriculture, or as provided by rule.
|
25 | | (p) The Department of Financial and Professional |
26 | | Regulation shall adopt rules permitting returns, and potential |
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1 | | refunds, for damaged or inadequate products.
|
2 | | (q) The Department of Financial and Professional |
3 | | Regulation may issue nondisciplinary citations for minor |
4 | | violations which may be accompanied by a civil penalty not to |
5 | | exceed $10,000 per violation. The penalty shall be a civil |
6 | | penalty or other condition as established by rule. The |
7 | | citation shall be issued to the licensee and shall contain the |
8 | | licensee's name, address, and license number, a brief factual |
9 | | statement, the Sections of the law or rule allegedly violated, |
10 | | and the civil penalty, if any, imposed. The citation must |
11 | | clearly state that the licensee may choose, in lieu of |
12 | | accepting the citation, to request a hearing. If the licensee |
13 | | does not dispute the matter in the citation with the |
14 | | Department of Financial and Professional Regulation within 30 |
15 | | days after the citation is served, then the citation shall |
16 | | become final and shall not be subject to appeal. |
17 | | (Source: P.A. 101-363, eff. 8-9-19; 102-98, eff. 7-15-21.)
|
18 | | Section 235. The Coal Tar Sealant Disclosure Act is |
19 | | amended by changing Section 10 as follows:
|
20 | | (410 ILCS 170/10) |
21 | | (This Section may contain text from a Public Act with a |
22 | | delayed effective date )
|
23 | | Sec. 10. Coal tar sealant disclosure; public schools. |
24 | | (a) A public school, public school district, or child day |
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1 | | care shall provide written or telephonic notification to |
2 | | parents and guardians of students and employees prior to any |
3 | | application of a coal-tar based sealant product or a high |
4 | | polycyclic aromatic hydrocarbon sealant product. The written |
5 | | notification: |
6 | | (1) may be included in newsletters, bulletins, |
7 | | calendars, or other correspondence currently published by |
8 | | the school district or child day care center; |
9 | | (2) must be given at least 10 business days before the |
10 | | application and should identify the intended date and |
11 | | location of the application of the coal-tar based sealant |
12 | | product or high polycyclic aromatic hydrocarbon sealant; |
13 | | (3) must include the name and telephone contact number |
14 | | for the school or child day care center personnel |
15 | | responsible for the application; and |
16 | | (4) must include any health hazards associated with |
17 | | coal tar-based sealant product or high polycyclic aromatic |
18 | | hydrocarbon sealant product, as provided by a |
19 | | corresponding safety data sheet. |
20 | | (b) Notwithstanding any provision of this Act or any other |
21 | | law to the contrary, a public school or public school district |
22 | | that bids a pavement engineering project using a coal |
23 | | tar-based sealant product or high polycyclic aromatic |
24 | | hydrocarbon sealant product for pavement engineering-related |
25 | | use shall request a bid with an alternative for asphalt-based |
26 | | or latex-based sealant product as a part of the engineering |
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1 | | project. The public school or public school district shall |
2 | | consider whether asphalt-based or latex-based sealant product |
3 | | should be used for the project based upon costs and life cycle |
4 | | costs that regard preserving pavements, product warranties, |
5 | | and the benefits to public health and safety. |
6 | | (c) The Department, in consultation with the State Board |
7 | | of Education, shall conduct outreach to public schools and |
8 | | public school districts to provide guidance for compliance |
9 | | with the provisions of this Act. |
10 | | (d) On or before May 1, 2023, the Department and the State |
11 | | Board of Education shall post on their websites guidance on |
12 | | screening for coal tar-based sealant product or high |
13 | | polycyclic aromatic hydrocarbon sealant product, requirements |
14 | | for a request for proposals, and requirements for disclosure.
|
15 | | (Source: P.A. 102-242, eff. 1-1-23.)
|
16 | | Section 240. The Child Vision and Hearing Test Act is |
17 | | amended by changing Section 3 as follows:
|
18 | | (410 ILCS 205/3) (from Ch. 23, par. 2333)
|
19 | | Sec. 3.
Vision and hearing screening services shall be |
20 | | administered to all
children as early as possible, but no |
21 | | later than their first year in any
public or private education |
22 | | program, licensed child day care center or
residential |
23 | | facility for children with disabilities; and periodically
|
24 | | thereafter, to identify those children with vision or hearing |
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1 | | impairments
or both so that
such conditions can be managed or |
2 | | treated.
|
3 | | (Source: P.A. 99-143, eff. 7-27-15.)
|
4 | | Section 245. The Food Handling Regulation Enforcement Act |
5 | | is amended by changing Section 3.06 as follows:
|
6 | | (410 ILCS 625/3.06) |
7 | | Sec. 3.06. Food handler training; restaurants. |
8 | | (a) For the purpose of this Section, "restaurant" means |
9 | | any business that is primarily engaged in the sale of |
10 | | ready-to-eat food for immediate consumption. "Primarily |
11 | | engaged" means having sales of ready-to-eat food for immediate |
12 | | consumption comprising at least 51% of the total sales, |
13 | | excluding the sale of liquor. |
14 | | (b) Unless otherwise provided, all food handlers employed |
15 | | by a restaurant, other than someone holding a food service |
16 | | sanitation manager certificate, must receive or obtain |
17 | | American National Standards Institute-accredited training in |
18 | | basic safe food handling principles within 30 days after |
19 | | employment and every 3 years thereafter. Notwithstanding the |
20 | | provisions of Section 3.05 of this Act, food handlers employed |
21 | | in nursing homes, licensed child day care homes and |
22 | | facilities, hospitals, schools, and long-term care facilities |
23 | | must renew their training every 3 years. There is no limit to |
24 | | how many times an employee may take the training. The training |
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1 | | indicated in subsections (e) and (f) of this Section is |
2 | | transferable between employers, but not individuals. The |
3 | | training indicated in subsections (c) and (d) of this Section |
4 | | is not transferable between individuals or employers. Proof |
5 | | that a food handler has been trained must be available upon |
6 | | reasonable request by a State or local health department |
7 | | inspector and may be provided electronically. |
8 | | (c) If a business with an internal training program is |
9 | | approved in another state prior to the effective date of this |
10 | | amendatory Act of the 98th General Assembly, then the |
11 | | business's training program and assessment shall be |
12 | | automatically approved by the Department upon the business |
13 | | providing proof that the program is approved in said state. |
14 | | (d) The Department shall approve the training program of |
15 | | any multi-state business or a franchisee, as defined in the |
16 | | Franchise Disclosure Act of 1987, of any multi-state business |
17 | | with a plan that follows the guidelines in subsection (b) of |
18 | | Section 3.05 of this Act and is on file with the Department by |
19 | | August 1, 2017. |
20 | | (e) If an entity uses an American National Standards |
21 | | Institute food handler training accredited program, that |
22 | | training program shall be automatically approved by the |
23 | | Department. |
24 | | (f) Certified local health departments in counties serving |
25 | | jurisdictions with a population of 100,000 or less, as |
26 | | reported by the U.S. Census Bureau in the 2010 Census of |
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| | SB1797 | - 483 - | LRB103 03433 AMQ 48439 b |
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1 | | Population, may have a training program. The training program |
2 | | must meet the requirements of Section 3.05(b) and be approved |
3 | | by the Department. This Section notwithstanding, certified |
4 | | local health departments in the following counties may have a |
5 | | training program: |
6 | | (1) a county with a population of 677,560 as reported |
7 | | by the U.S. Census Bureau in the 2010 Census of |
8 | | Population; |
9 | | (2) a county with a population of 308,760 as reported |
10 | | by the U.S. Census Bureau in the 2010 Census of |
11 | | Population; |
12 | | (3) a county with a population of 515,269 as reported |
13 | | by the U.S. Census Bureau in the 2010 Census of |
14 | | Population; |
15 | | (4) a county with a population of 114,736 as reported |
16 | | by the U.S. Census Bureau in the 2010 Census of |
17 | | Population; |
18 | | (5) a county with a population of 110,768 as reported |
19 | | by the U.S. Census Bureau in the 2010 Census of |
20 | | Population; |
21 | | (6) a county with a population of 135,394 as reported |
22 | | by the U.S. Census Bureau in the 2010 Census of |
23 | | Population. |
24 | | The certified local health departments in paragraphs (1) |
25 | | through (6) of this subsection (f) must have their training |
26 | | programs on file with the Department no later than 90 days |
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| | SB1797 | - 484 - | LRB103 03433 AMQ 48439 b |
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1 | | after the effective date of this Act. Any modules that meet the |
2 | | requirements of subsection (b) of Section 3.05 of this Act and |
3 | | are not approved within 180 days after the Department's |
4 | | receipt of the application of the entity seeking to conduct |
5 | | the training shall automatically be considered approved by the |
6 | | Department. |
7 | | (g) Any and all documents, materials, or information |
8 | | related to a restaurant or business food handler training |
9 | | module submitted to the Department is confidential and shall |
10 | | not be open to public inspection or dissemination and is |
11 | | exempt from disclosure under Section 7 of the Freedom of |
12 | | Information Act. Training may be conducted by any means |
13 | | available, including, but not limited to, on-line, computer, |
14 | | classroom, live trainers, remote trainers, and certified food |
15 | | service sanitation managers. There must be at least one |
16 | | commercially available, approved food handler training module |
17 | | at a cost of no more than $15 per employee; if an approved food |
18 | | handler training module is not available at that cost, then |
19 | | the provisions of this Section 3.06 shall not apply. |
20 | | (h) The regulation of food handler training is considered |
21 | | to be an exclusive function of the State, and local regulation |
22 | | is prohibited. This subsection (h) is a denial and limitation |
23 | | of home rule powers and functions under subsection (h) of |
24 | | Section 6 of Article VII of the Illinois Constitution. |
25 | | (i) The provisions of this Section apply beginning July 1, |
26 | | 2014. From July 1, 2014 through December 31, 2014, enforcement |
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| | SB1797 | - 485 - | LRB103 03433 AMQ 48439 b |
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1 | | of the provisions of this Section shall be limited to |
2 | | education and notification of requirements to encourage |
3 | | compliance.
|
4 | | (Source: P.A. 99-62, eff. 7-16-15; 99-78, eff. 7-20-15; |
5 | | 100-367, eff. 8-25-17.)
|
6 | | Section 250. The Environmental Protection Act is amended |
7 | | by changing Section 17.12 as follows:
|
8 | | (415 ILCS 5/17.12) |
9 | | Sec. 17.12. Lead service line replacement and |
10 | | notification. |
11 | | (a) The purpose of this Act is to: (1) require the owners |
12 | | and operators of community water supplies to develop, |
13 | | implement, and maintain a comprehensive water service line |
14 | | material inventory and a comprehensive lead service line |
15 | | replacement plan, provide notice to occupants of potentially |
16 | | affected buildings before any construction or repair work on |
17 | | water mains or lead service lines, and request access to |
18 | | potentially affected buildings before replacing lead service |
19 | | lines; and (2) prohibit partial lead service line |
20 | | replacements, except as authorized within this Section. |
21 | | (b) The General Assembly finds and declares that: |
22 | | (1) There is no safe level of exposure to heavy metal |
23 | | lead, as found by the United States Environmental |
24 | | Protection Agency and the Centers for Disease Control and |
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| | SB1797 | - 486 - | LRB103 03433 AMQ 48439 b |
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1 | | Prevention. |
2 | | (2) Lead service lines can convey this harmful |
3 | | substance to the drinking water supply. |
4 | | (3) According to the Illinois Environmental Protection |
5 | | Agency's 2018 Service Line Material Inventory, the State |
6 | | of Illinois is estimated to have over 680,000 lead-based |
7 | | service lines still in operation. |
8 | | (4) The true number of lead service lines is not fully |
9 | | known because Illinois lacks an adequate inventory of lead |
10 | | service lines. |
11 | | (5) For the general health, safety and welfare of its |
12 | | residents, all lead service lines in Illinois should be |
13 | | disconnected from the drinking water supply, and the |
14 | | State's drinking water supply. |
15 | | (c) In this Section: |
16 | | "Advisory Board" means the Lead Service Line Replacement |
17 | | Advisory Board created under subsection (x). |
18 | | "Community water supply" has the meaning ascribed to it in |
19 | | Section 3.145 of this Act. |
20 | | "Department" means the Department of Public Health. |
21 | | "Emergency repair" means any unscheduled water main, water |
22 | | service, or water valve repair or replacement that results |
23 | | from failure or accident. |
24 | | "Fund" means the Lead Service Line Replacement Fund |
25 | | created under subsection (bb). |
26 | | "Lead service line" means a service line made of lead or |
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1 | | service line connected to a lead pigtail, lead gooseneck, or |
2 | | other lead fitting. |
3 | | "Material inventory" means a water service line material |
4 | | inventory developed by a community water supply under this |
5 | | Act. |
6 | | "Non-community water supply" has the meaning ascribed to |
7 | | it in Section 3.145 of the Environmental Protection Act. |
8 | | "NSF/ANSI Standard" means a water treatment standard |
9 | | developed by NSF International. |
10 | | "Partial lead service line replacement" means replacement |
11 | | of only a portion of a lead service line. |
12 | | "Potentially affected building" means any building that is |
13 | | provided water service through a service line that is either a |
14 | | lead service line or a suspected lead service line. |
15 | | "Public water supply" has the meaning ascribed to it in |
16 | | Section 3.365 of this Act. |
17 | | "Service line" means the piping, tubing, and necessary |
18 | | appurtenances acting as a conduit from the water main or |
19 | | source of potable water supply to the building plumbing at the |
20 | | first shut-off valve or 18 inches inside the building, |
21 | | whichever is shorter. |
22 | | "Suspected lead service line" means a service line that a |
23 | | community water supply finds more likely than not to be made of |
24 | | lead after completing the requirements under paragraphs (2) |
25 | | through (5) of subsection (h). |
26 | | "Small system" means a community water supply that |
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| | SB1797 | - 488 - | LRB103 03433 AMQ 48439 b |
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1 | | regularly serves water to 3,300 or fewer persons. |
2 | | (d) An owner or operator of a community water supply |
3 | | shall: |
4 | | (1) develop an initial material inventory by April 15, |
5 | | 2022 and electronically submit by April 15, 2023 an |
6 | | updated material inventory electronically to the Agency; |
7 | | and |
8 | | (2) deliver a complete material inventory to the |
9 | | Agency no later than April 15, 2024, or such time as |
10 | | required by federal law, whichever is sooner. The complete |
11 | | inventory shall report the composition of all service |
12 | | lines in the community water supply's distribution system. |
13 | | (e) The Agency shall review and approve the final material |
14 | | inventory submitted to it under subsection (d). |
15 | | (f) If a community water supply does not submit a complete |
16 | | inventory to the Agency by April 15, 2024 under paragraph (2) |
17 | | of subsection (d), the community water supply may apply for an |
18 | | extension to the Agency no less than 3 months prior to the due |
19 | | date. The Agency shall develop criteria for granting material |
20 | | inventory extensions. When considering requests for extension, |
21 | | the Agency shall, at a minimum, consider: |
22 | | (1) the number of service connections in a water |
23 | | supply; and |
24 | | (2) the number of service lines of an unknown material |
25 | | composition. |
26 | | (g) A material inventory prepared for a community water |
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1 | | supply under subsection (d) shall identify: |
2 | | (1) the total number of service lines connected to the |
3 | | community water supply's distribution system; |
4 | | (2) the materials of construction of each service line |
5 | | connected to the community water supply's distribution |
6 | | system; |
7 | | (3) the number of suspected lead service lines that |
8 | | were newly identified in the material inventory for the |
9 | | community water supply after the community water supply |
10 | | last submitted a service line inventory to the Agency; and |
11 | | (4) the number of suspected or known lead service |
12 | | lines that were replaced after the community water supply |
13 | | last submitted a service line inventory to the Agency, and |
14 | | the material of the service line that replaced each lead |
15 | | service line. |
16 | | When identifying the materials of construction under |
17 | | paragraph (2) of this subsection, the owner or operator of the |
18 | | community water supply shall to the best of the owner's or |
19 | | operator's ability identify the type of construction material |
20 | | used on the customer's side of the curb box, meter, or other |
21 | | line of demarcation and the community water supply's side of |
22 | | the curb box, meter, or other line of demarcation. |
23 | | (h) In completing a material inventory under subsection |
24 | | (d), the owner or operator of a community water supply shall: |
25 | | (1) prioritize inspections of high-risk areas |
26 | | identified by the community water supply and inspections |
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1 | | of high-risk facilities, such as preschools, child day |
2 | | care centers, child day care homes, group child day care |
3 | | homes, parks, playgrounds, hospitals, and clinics, and |
4 | | confirm service line materials in those areas and at those |
5 | | facilities; |
6 | | (2) review historical documentation, such as |
7 | | construction logs or cards, as-built drawings, purchase |
8 | | orders, and subdivision plans, to determine service line |
9 | | material construction; |
10 | | (3) when conducting distribution system maintenance, |
11 | | visually inspect service lines and document materials of |
12 | | construction; |
13 | | (4) identify any time period when the service lines |
14 | | being connected to its distribution system were primarily |
15 | | lead service lines, if such a time period is known or |
16 | | suspected; and |
17 | | (5) discuss service line repair and installation with |
18 | | its employees, contractors, plumbers, other workers who |
19 | | worked on service lines connected to its distribution |
20 | | system, or all of the above. |
21 | | (i) The owner or operator of each community water supply |
22 | | shall maintain records of persons who refuse to grant access |
23 | | to the interior of a building for purposes of identifying the |
24 | | materials of construction of a service line. If a community |
25 | | water supply has been denied access on the property or to the |
26 | | interior of a building for that reason, then the community |
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1 | | water supply shall attempt to identify the service line as a |
2 | | suspected lead service line, unless documentation is provided |
3 | | showing otherwise. |
4 | | (j) If a community water supply identifies a lead service |
5 | | line connected to a building, the owner or operator of the |
6 | | community water supply shall attempt to notify the owner of |
7 | | the building and all occupants of the building of the |
8 | | existence of the lead service line within 15 days after |
9 | | identifying the lead service line, or as soon as is reasonably |
10 | | possible thereafter. Individual written notice shall be given |
11 | | according to the provisions of subsection (jj). |
12 | | (k) An owner or operator of a community water supply has no |
13 | | duty to include in the material inventory required under |
14 | | subsection (d) information about service lines that are |
15 | | physically disconnected from a water main in its distribution |
16 | | system. |
17 | | (l) The owner or operator of each community water supply |
18 | | shall post on its website a copy of the most recently submitted |
19 | | material inventory or alternatively may request that the |
20 | | Agency post a copy of that material inventory on the Agency's |
21 | | website. |
22 | | (m) Nothing in this Section shall be construed to require |
23 | | service lines to be unearthed for the sole purpose of |
24 | | inventorying. |
25 | | (n) When an owner or operator of a community water supply |
26 | | awards a contract under this Section, the owner or operator |
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1 | | shall make a good faith effort to use contractors and vendors |
2 | | owned by minority persons, women, and persons with a |
3 | | disability, as those terms are defined in Section 2 of the |
4 | | Business Enterprise for Minorities, Women, and Persons with |
5 | | Disabilities Act, for not less than 20% of the total |
6 | | contracts, provided that: |
7 | | (1) contracts representing at least 11% of the total |
8 | | projects shall be awarded to minority-owned businesses, as |
9 | | defined in Section 2 of the Business Enterprise for |
10 | | Minorities, Women, and Persons with Disabilities Act; |
11 | | (2) contracts representing at least 7% of the total |
12 | | projects shall be awarded to women-owned businesses, as |
13 | | defined in Section 2 of the Business Enterprise for |
14 | | Minorities, Women, and Persons with Disabilities Act; and |
15 | | (3) contracts representing at least 2% of the total |
16 | | projects shall be awarded to businesses owned by persons |
17 | | with a disability. |
18 | | Owners or operators of a community water supply are |
19 | | encouraged to divide projects, whenever economically feasible, |
20 | | into contracts of smaller size that ensure small business |
21 | | contractors or vendors shall have the ability to qualify in |
22 | | the applicable bidding process, when determining the ability |
23 | | to deliver on a given contract based on scope and size, as a |
24 | | responsible and responsive bidder. |
25 | | When a contractor or vendor submits a bid or letter of |
26 | | intent in response to a request for proposal or other bid |
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1 | | submission, the contractor or vendor shall include with its |
2 | | responsive documents a utilization plan that shall address how |
3 | | compliance with applicable good faith requirements set forth |
4 | | in this subsection shall be addressed. |
5 | | Under this subsection, "good faith effort" means
a |
6 | | community water supply has taken all necessary steps to comply |
7 | | with the goals of this subsection by complying with the |
8 | | following: |
9 | | (1) Soliciting through reasonable and available means |
10 | | the interest of a business, as defined in Section 2 of the |
11 | | Business Enterprise for Minorities, Women, and Persons |
12 | | with Disabilities Act, that have the capability to perform |
13 | | the work of the contract. The community water supply must |
14 | | solicit this interest within sufficient time to allow |
15 | | certified businesses to respond. |
16 | | (2) Providing interested certified businesses with |
17 | | adequate information about the plans, specifications, and |
18 | | requirements of the contract, including addenda, in a |
19 | | timely manner to assist them in responding to the |
20 | | solicitation. |
21 | | (3) Meeting in good faith with interested certified |
22 | | businesses that have submitted bids. |
23 | | (4) Effectively using the services of the State, |
24 | | minority or women community organizations, minority or |
25 | | women contractor groups, local, State, and federal |
26 | | minority or women business assistance offices, and other |
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1 | | organizations to provide assistance in the recruitment and |
2 | | placement of certified businesses. |
3 | | (5) Making efforts to use appropriate forums for |
4 | | purposes of advertising subcontracting opportunities |
5 | | suitable for certified businesses. |
6 | | The diversity goals defined in this subsection can be met |
7 | | through direct award to diverse contractors and through the |
8 | | use of diverse subcontractors and diverse vendors to |
9 | | contracts. |
10 | | (o) An owner or operator of a community water supply shall |
11 | | collect data necessary to ensure compliance with subsection |
12 | | (n) no less than semi-annually and shall include progress |
13 | | toward compliance of subsection (n) in the owner or operator's |
14 | | report required under subsection (t-5). The report must |
15 | | include data on vendor and employee diversity, including data |
16 | | on the owner's or operator's implementation of subsection (n). |
17 | | (p) Every owner or operator of a community water supply |
18 | | that has known or suspected lead service lines shall: |
19 | | (1) create a plan to: |
20 | | (A) replace each lead service line connected to |
21 | | its distribution system; and |
22 | | (B) replace each galvanized service line connected |
23 | | to its distribution system, if the galvanized service |
24 | | line is or was connected downstream to lead piping; |
25 | | and |
26 | | (2) electronically submit, by April 15, 2024 its |
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1 | | initial lead service line replacement plan to the Agency; |
2 | | (3) electronically submit by April 15 of each year |
3 | | after 2024 until April 15, 2027 an updated lead service |
4 | | line replacement plan to the Agency for review; the |
5 | | updated replacement plan shall account for changes in the |
6 | | number of lead service lines or unknown service lines in |
7 | | the material inventory described in subsection (d); |
8 | | (4) electronically submit by April 15, 2027 a complete |
9 | | and final replacement plan to the Agency for approval; the |
10 | | complete and final replacement plan shall account for all |
11 | | known and suspected lead service lines documented in the |
12 | | final material inventory described under paragraph (3) of |
13 | | subsection (d); and |
14 | | (5) post on its website a copy of the plan most |
15 | | recently submitted to the Agency or may request that the |
16 | | Agency post a copy of that plan on the Agency's website. |
17 | | (q) Each plan required under paragraph (1) of subsection |
18 | | (p) shall include the following: |
19 | | (1) the name and identification number of the |
20 | | community water supply; |
21 | | (2) the total number of service lines connected to the |
22 | | distribution system of the community water supply; |
23 | | (3) the total number of suspected lead service lines |
24 | | connected to the distribution system of the community |
25 | | water supply; |
26 | | (4) the total number of known lead service lines |
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1 | | connected to the distribution system of the community |
2 | | water supply; |
3 | | (5) the total number of lead service lines connected |
4 | | to the distribution system of the community water supply |
5 | | that have been replaced each year beginning in 2020; |
6 | | (6) a proposed lead service line replacement schedule |
7 | | that includes one-year, 5-year, 10-year, 15-year, 20-year, |
8 | | 25-year, and 30-year goals; |
9 | | (7) an analysis of costs and financing options for |
10 | | replacing the lead service lines connected to the |
11 | | community water supply's distribution system, which shall |
12 | | include, but shall not be limited to: |
13 | | (A) a detailed accounting of costs associated with |
14 | | replacing lead service lines and galvanized lines that |
15 | | are or were connected downstream to lead piping; |
16 | | (B) measures to address affordability and prevent |
17 | | service shut-offs for customers or ratepayers; and |
18 | | (C) consideration of different scenarios for |
19 | | structuring payments between the utility and its |
20 | | customers over time; and |
21 | | (8) a plan for prioritizing high-risk facilities, such |
22 | | as preschools, child day care centers, child day care |
23 | | homes, group child day care homes, parks, playgrounds, |
24 | | hospitals, and clinics, as well as high-risk areas |
25 | | identified by the community water supply; |
26 | | (9) a map of the areas where lead service lines are |
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1 | | expected to be found and the sequence with which those |
2 | | areas will be inventoried and lead service lines replaced; |
3 | | (10) measures for how the community water supply will |
4 | | inform the public of the plan and provide opportunity for |
5 | | public comment; and |
6 | | (11) measures to encourage diversity in hiring in the |
7 | | workforce required to implement the plan as identified |
8 | | under subsection (n). |
9 | | (r) The Agency shall review final plans submitted to it |
10 | | under subsection (p). The Agency shall approve a final plan if |
11 | | the final plan includes all of the elements set forth under |
12 | | subsection (q) and the Agency determines that: |
13 | | (1) the proposed lead service line replacement |
14 | | schedule set forth in the plan aligns with the timeline |
15 | | requirements set forth under subsection (v); |
16 | | (2) the plan prioritizes the replacement of lead |
17 | | service lines that provide water service to high-risk |
18 | | facilities, such as preschools, child day care centers, |
19 | | child day care homes, group child day care homes, parks, |
20 | | playgrounds, hospitals, and clinics, and high-risk areas |
21 | | identified by the community water supply; |
22 | | (3) the plan includes analysis of cost and financing |
23 | | options; and |
24 | | (4) the plan provides documentation of public review. |
25 | | (s) An owner or operator of a community water supply has no |
26 | | duty to include in the plans required under subsection (p) |
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1 | | information about service lines that are physically |
2 | | disconnected from a water main in its distribution system. |
3 | | (t) If a community water supply does not deliver a |
4 | | complete plan to the Agency by April 15, 2027, the community |
5 | | water supply may apply to the Agency for an extension no less |
6 | | than 3 months prior to the due date. The Agency shall develop |
7 | | criteria for granting plan extensions. When considering |
8 | | requests for extension, the Agency shall, at a minimum, |
9 | | consider: |
10 | | (1) the number of service connections in a water |
11 | | supply; and |
12 | | (2) the number of service lines of an unknown material |
13 | | composition. |
14 | | (t-5) After the Agency has approved the final replacement |
15 | | plan described in subsection (p), the owner or operator of a |
16 | | community water supply shall submit a report detailing |
17 | | progress toward plan goals to the Agency for its review. The |
18 | | report shall be submitted annually for the first 10 years, and |
19 | | every 3 years thereafter until all lead service lines have |
20 | | been replaced. Reports under this subsection shall be |
21 | | published in the same manner described in subsection (l). The |
22 | | report shall include at least the following information as it |
23 | | pertains to the preceding reporting period: |
24 | | (1) The number of lead service lines replaced and the |
25 | | average cost of lead service line replacement. |
26 | | (2) Progress toward meeting hiring requirements as |
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1 | | described in subsection (n) and subsection (o). |
2 | | (3) The percent of customers electing a waiver |
3 | | offered, as described in subsections (ii) and (jj), among |
4 | | those customers receiving a request or notification to |
5 | | perform a lead service line replacement. |
6 | | (4) The method or methods used by the community water |
7 | | supply to finance lead service line replacement. |
8 | | (u) Notwithstanding any other provision of law, in order |
9 | | to provide for costs associated with lead service line |
10 | | remediation and replacement, the corporate authorities of a |
11 | | municipality may, by ordinance or resolution by the corporate |
12 | | authorities, exercise authority provided in Section 27-5 et |
13 | | seq. of the Property Tax Code and Sections 8-3-1, 8-11-1, |
14 | | 8-11-5, 8-11-6, 9-1-1 et seq., 9-3-1 et seq., 9-4-1 et seq., |
15 | | 11-131-1, and 11-150-1 of the Illinois Municipal Code. Taxes |
16 | | levied for this purpose shall be in addition to taxes for |
17 | | general purposes authorized under Section 8-3-1 of the |
18 | | Illinois Municipal Code and shall be included in the taxing |
19 | | district's aggregate extension for the purposes of Division 5 |
20 | | of Article 18 of the Property Tax Code. |
21 | | (v) Every owner or operator of a community water supply |
22 | | shall replace all known lead service lines, subject to the |
23 | | requirements of subsection (ff), according to the following |
24 | | replacement rates and timelines to be calculated from the date |
25 | | of submission of the final replacement plan to the Agency: |
26 | | (1) A community water supply reporting 1,200 or fewer |
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1 | | lead service lines in its final inventory and replacement |
2 | | plan shall replace all lead service lines, at an annual |
3 | | rate of no less than 7% of the amount described in the |
4 | | final inventory, with a timeline of up to 15 years for |
5 | | completion. |
6 | | (2) A community water supply reporting more than 1,200 |
7 | | but fewer than 5,000 lead service lines in its final |
8 | | inventory and replacement plan shall replace all lead |
9 | | service lines, at an annual rate of no less than 6% of the |
10 | | amount described in the final inventory, with a timeline |
11 | | of up to 17 years for completion. |
12 | | (3) A community water supply reporting more than 4,999 |
13 | | but fewer than 10,000 lead service lines in its final |
14 | | inventory and replacement plan shall replace all lead |
15 | | service lines, at an annual rate of no less than 5% of the |
16 | | amount described in the final inventory, with a timeline |
17 | | of up to 20 years for completion. |
18 | | (4) A community water supply reporting more than 9,999 |
19 | | but fewer than 99,999 lead service lines in its final |
20 | | inventory and replacement plan shall replace all lead |
21 | | service lines, at an annual rate of no less than 3% of the |
22 | | amount described in the final inventory, with a timeline |
23 | | of up to 34 years for completion. |
24 | | (5) A community water supply reporting more than |
25 | | 99,999 lead service lines in its final inventory and |
26 | | replacement plan shall replace all lead service lines, at |
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1 | | an annual rate of no less than 2% of the amount described |
2 | | in the final inventory, with a timeline of up to 50 years |
3 | | for completion. |
4 | | (w) A community water supply may apply to the Agency for an |
5 | | extension to the replacement timelines described in paragraphs |
6 | | (1) through (5) of subsection (v). The Agency shall develop |
7 | | criteria for granting replacement timeline extensions. When |
8 | | considering requests for timeline extensions, the Agency |
9 | | shall, at a minimum, consider: |
10 | | (1) the number of service connections in a water |
11 | | supply; and |
12 | | (2) unusual circumstances creating hardship for a |
13 | | community. |
14 | | The Agency may grant one extension of additional time |
15 | | equal to not more than 20% of the original replacement |
16 | | timeline, except in situations of extreme hardship in which |
17 | | the Agency may consider a second additional extension equal to |
18 | | not more than 10% of the original replacement timeline. |
19 | | Replacement rates and timelines shall be calculated from |
20 | | the date of submission of the final plan to the Agency. |
21 | | (x) The Lead Service Line Replacement Advisory Board is |
22 | | created within the Agency. The Advisory Board shall convene |
23 | | within 120 days after January 1, 2022 (the effective date of |
24 | | Public Act 102-613). |
25 | | The Advisory Board shall consist of at least 28 voting |
26 | | members, as follows: |
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1 | | (1) the Director of the Agency, or his or her |
2 | | designee, who shall serve as chairperson; |
3 | | (2) the Director of Revenue, or his or her designee; |
4 | | (3) the Director of Public Health, or his or her |
5 | | designee; |
6 | | (4) fifteen members appointed by the Agency as |
7 | | follows: |
8 | | (A) one member representing a statewide |
9 | | organization of municipalities as authorized by |
10 | | Section 1-8-1 of the Illinois Municipal Code; |
11 | | (B) two members who are mayors representing |
12 | | municipalities located in any county south of the |
13 | | southernmost county represented by one of the 10 |
14 | | largest municipalities in Illinois by population, or |
15 | | their respective designees; |
16 | | (C) two members who are representatives from |
17 | | public health advocacy groups; |
18 | | (D) two members who are representatives from |
19 | | publicly-owned water utilities; |
20 | | (E) one member who is a representative from a |
21 | | public utility as defined under Section 3-105 of the |
22 | | Public Utilities Act that provides water service in |
23 | | the State of Illinois; |
24 | | (F) one member who is a research professional |
25 | | employed at an Illinois academic institution and |
26 | | specializing in water infrastructure research; |
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1 | | (G) two members who are representatives from |
2 | | nonprofit civic organizations; |
3 | | (H) one member who is a representative from a |
4 | | statewide organization representing environmental |
5 | | organizations; |
6 | | (I) two members who are representatives from |
7 | | organized labor; and |
8 | | (J) one member representing an environmental |
9 | | justice organization; and |
10 | | (5) ten members who are the mayors of the 10 largest |
11 | | municipalities in Illinois by population, or their |
12 | | respective designees. |
13 | | No less than 10 of the 28 voting members shall be persons |
14 | | of color, and no less than 3 shall represent communities |
15 | | defined or self-identified as environmental justice |
16 | | communities. |
17 | | Advisory Board members shall serve without compensation, |
18 | | but may be reimbursed for necessary expenses incurred in the |
19 | | performance of their duties from funds appropriated for that |
20 | | purpose. The Agency shall provide administrative support to |
21 | | the Advisory Board. |
22 | | The Advisory Board shall meet no less than once every 6 |
23 | | months. |
24 | | (y) The Advisory Board shall have, at a minimum, the |
25 | | following duties: |
26 | | (1) advising the Agency on best practices in lead |
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1 | | service line replacement; |
2 | | (2) reviewing the progress of community water supplies |
3 | | toward lead service line replacement goals; |
4 | | (3) advising the Agency on other matters related to |
5 | | the administration of the provisions of this Section; |
6 | | (4) advising the Agency on the integration of existing |
7 | | lead service line replacement plans with any statewide |
8 | | plan; and |
9 | | (5) providing technical support and practical |
10 | | expertise in general. |
11 | | (z) Within 18 months after January 1, 2022 (the effective |
12 | | date of Public Act 102-613), the Advisory Board shall deliver |
13 | | a report of its recommendations to the Governor and the |
14 | | General Assembly concerning opportunities for dedicated, |
15 | | long-term revenue options for funding lead service line |
16 | | replacement. In submitting recommendations, the Advisory Board |
17 | | shall consider, at a minimum, the following: |
18 | | (1) the sufficiency of various revenue sources to |
19 | | adequately fund replacement of all lead service lines in |
20 | | Illinois; |
21 | | (2) the financial burden, if any, on households |
22 | | falling below 150% of the federal poverty limit; |
23 | | (3) revenue options that guarantee low-income |
24 | | households are protected from rate increases; |
25 | | (4) an assessment of the ability of community water |
26 | | supplies to assess and collect revenue; |
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1 | | (5) variations in financial resources among individual |
2 | | households within a service area; and |
3 | | (6) the protection of low-income households from rate |
4 | | increases. |
5 | | (aa) Within 10 years after January 1, 2022 (the effective |
6 | | date of Public Act 102-613), the Advisory Board shall prepare |
7 | | and deliver a report to the Governor and General Assembly |
8 | | concerning the status of all lead service line replacement |
9 | | within the State. |
10 | | (bb) The Lead Service Line Replacement Fund is created as |
11 | | a special fund in the State treasury to be used by the Agency |
12 | | for the purposes provided under this Section. The Fund shall |
13 | | be used exclusively to finance and administer programs and |
14 | | activities specified under this Section and listed under this |
15 | | subsection. |
16 | | The objective of the Fund is to finance activities |
17 | | associated with identifying and replacing lead service lines, |
18 | | build Agency capacity to oversee the provisions of this |
19 | | Section, and provide related assistance for the activities |
20 | | listed under this subsection. |
21 | | The Agency shall be responsible for the administration of |
22 | | the Fund and shall allocate moneys on the basis of priorities |
23 | | established by the Agency through administrative rule. On July |
24 | | 1, 2022 and on July 1 of each year thereafter, the Agency shall |
25 | | determine the available amount of resources in the Fund that |
26 | | can be allocated to the activities identified under this |
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1 | | Section and shall allocate the moneys accordingly. |
2 | | Notwithstanding any other law to the contrary, the Lead |
3 | | Service Line Replacement Fund is not subject to sweeps, |
4 | | administrative charge-backs, or any other fiscal maneuver that |
5 | | would in any way transfer any amounts from the Lead Service |
6 | | Line Replacement Fund into any other fund of the State. |
7 | | (cc) Within one year after January 1, 2022 (the effective |
8 | | date of Public Act 102-613), the Agency shall design rules for |
9 | | a program for the purpose of administering lead service line |
10 | | replacement funds. The rules must, at minimum, contain: |
11 | | (1) the process by which community water supplies may |
12 | | apply for funding; and |
13 | | (2) the criteria for determining unit of local |
14 | | government eligibility and prioritization for funding, |
15 | | including the prevalence of low-income households, as |
16 | | measured by median household income, the prevalence of |
17 | | lead service lines, and the prevalence of water samples |
18 | | that demonstrate elevated levels of lead. |
19 | | (dd) Funding under subsection (cc) shall be available for |
20 | | costs directly attributable to the planning, design, or |
21 | | construction directly related to the replacement of lead |
22 | | service lines and restoration of property. |
23 | | Funding shall not be used for the general operating |
24 | | expenses of a municipality or community water supply. |
25 | | (ee) An owner or operator of any community water supply |
26 | | receiving grant funding under subsection (cc) shall bear the |
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1 | | entire expense of full lead service line replacement for all |
2 | | lead service lines in the scope of the grant. |
3 | | (ff) When replacing a lead service line, the owner or |
4 | | operator of the community water supply shall replace the |
5 | | service line in its entirety, including, but not limited to, |
6 | | any portion of the service line (i) running on private |
7 | | property and (ii) within the building's plumbing at the first |
8 | | shut-off valve. Partial lead service line replacements are |
9 | | expressly prohibited. Exceptions shall be made under the |
10 | | following circumstances: |
11 | | (1) In the event of an emergency repair that affects a |
12 | | lead service line or a suspected lead service line, a |
13 | | community water supply must contact the building owner to |
14 | | begin the process of replacing the entire service line. If |
15 | | the building owner is not able to be contacted or the |
16 | | building owner or occupant refuses to grant access and |
17 | | permission to replace the entire service line at the time |
18 | | of the emergency repair, then the community water supply |
19 | | may perform a partial lead service line replacement. Where |
20 | | an emergency repair on a service line constructed of lead |
21 | | or galvanized steel pipe results in a partial service line |
22 | | replacement, the water supply responsible for commencing |
23 | | the repair shall perform the following: |
24 | | (A) Notify the building's owner or operator and |
25 | | the resident or residents served by the lead service |
26 | | line in writing that a repair has been completed. The |
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1 | | notification shall include, at a minimum: |
2 | | (i) a warning that the work may result in |
3 | | sediment, possibly containing lead, in the |
4 | | buildings water supply system; |
5 | | (ii) information concerning practices for |
6 | | preventing the consumption of any lead in drinking |
7 | | water, including a recommendation to flush water |
8 | | distribution pipe during and after the completion |
9 | | of the repair or replacement work and to clean |
10 | | faucet aerator screens; and |
11 | | (iii) information regarding the dangers of |
12 | | lead to young children and pregnant women. |
13 | | (B) Provide filters for at least one fixture |
14 | | supplying potable water for consumption. The filter |
15 | | must be certified by an accredited third-party |
16 | | certification body to NSF/ANSI 53 and NSF/ANSI 42 for |
17 | | the reduction of lead and particulate. The filter must |
18 | | be provided until such time that the remaining |
19 | | portions of the service line have been replaced with a |
20 | | material approved by the Department or a waiver has |
21 | | been issued under subsection (ii). |
22 | | (C) Replace the remaining portion of the lead |
23 | | service line within 30 days of the repair, or 120 days |
24 | | in the event of weather or other circumstances beyond |
25 | | reasonable control that prohibits construction. If a |
26 | | complete lead service line replacement cannot be made |
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1 | | within the required period, the community water supply |
2 | | responsible for commencing the repair shall notify the |
3 | | Department in writing, at a minimum, of the following |
4 | | within 24 hours of the repair: |
5 | | (i) an explanation of why it is not feasible |
6 | | to replace the remaining portion of the lead |
7 | | service line within the allotted time; and |
8 | | (ii) a timeline for when the remaining portion |
9 | | of the lead service line will be replaced. |
10 | | (D) If complete repair of a lead service line |
11 | | cannot be completed due to denial by the property |
12 | | owner, the community water supply commencing the |
13 | | repair shall request the affected property owner to |
14 | | sign a waiver developed by the Department. If a |
15 | | property owner of a nonresidential building or |
16 | | residence operating as rental properties denies a |
17 | | complete lead service line replacement, the property |
18 | | owner shall be responsible for installing and |
19 | | maintaining point-of-use filters certified by an |
20 | | accredited third-party certification body to NSF/ANSI |
21 | | 53 and NSF/ANSI 42 for the reduction of lead and |
22 | | particulate at all fixtures intended to supply water |
23 | | for the purposes of drinking, food preparation, or |
24 | | making baby formula. The filters shall continue to be |
25 | | supplied by the property owner until such time that |
26 | | the property owner has affected the remaining portions |
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1 | | of the lead service line to be replaced. |
2 | | (E) Document any remaining lead service line, |
3 | | including a portion on the private side of the |
4 | | property, in the community water supply's distribution |
5 | | system materials inventory required under subsection |
6 | | (d). |
7 | | For the purposes of this paragraph (1), written notice |
8 | | shall be provided in the method and according to the |
9 | | provisions of subsection (jj). |
10 | | (2) Lead service lines that are physically |
11 | | disconnected from the distribution system are exempt from |
12 | | this subsection. |
13 | | (gg) Except as provided in subsection (hh), on and after |
14 | | January 1, 2022, when the owner or operator of a community |
15 | | water supply replaces a water main, the community water supply |
16 | | shall identify all lead service lines connected to the water |
17 | | main and shall replace the lead service lines by: |
18 | | (1) identifying the material or materials of each lead |
19 | | service line connected to the water main, including, but |
20 | | not limited to, any portion of the service line (i) |
21 | | running on private property and (ii) within the building |
22 | | plumbing at the first shut-off valve or 18 inches inside |
23 | | the building, whichever is shorter; |
24 | | (2) in conjunction with replacement of the water main, |
25 | | replacing any and all portions of each lead service line |
26 | | connected to the water main that are composed of lead; and |
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1 | | (3) if a property owner or customer refuses to grant |
2 | | access to the property, following prescribed notice |
3 | | provisions as outlined in subsection (ff). |
4 | | If an owner of a potentially affected building intends to |
5 | | replace a portion of a lead service line or a galvanized |
6 | | service line and the galvanized service line is or was |
7 | | connected downstream to lead piping, then the owner of the |
8 | | potentially affected building shall provide the owner or |
9 | | operator of the community water supply with notice at least 45 |
10 | | days before commencing the work. In the case of an emergency |
11 | | repair, the owner of the potentially affected building must |
12 | | provide filters for each kitchen area that are certified by an |
13 | | accredited third-party certification body to NSF/ANSI 53 and |
14 | | NSF/ANSI 42 for the reduction of lead and particulate. If the |
15 | | owner of the potentially affected building notifies the owner |
16 | | or operator of the community water supply that replacement of |
17 | | a portion of the lead service line after the emergency repair |
18 | | is completed, then the owner or operator of the community |
19 | | water supply shall replace the remainder of the lead service |
20 | | line within 30 days after completion of the emergency repair. |
21 | | A community water supply may take up to 120 days if necessary |
22 | | due to weather conditions. If a replacement takes longer than |
23 | | 30 days, filters provided by the owner of the potentially |
24 | | affected building must be replaced in accordance with the |
25 | | manufacturer's recommendations. Partial lead service line |
26 | | replacements by the owners of potentially affected buildings |
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1 | | are otherwise prohibited. |
2 | | (hh) For municipalities with a population in excess of |
3 | | 1,000,000 inhabitants, the requirements of subsection (gg) |
4 | | shall commence on January 1, 2023. |
5 | | (ii) At least 45 days before conducting planned lead |
6 | | service line replacement, the owner or operator of a community |
7 | | water supply shall, by mail, attempt to contact the owner of |
8 | | the potentially affected building serviced by the lead service |
9 | | line to request access to the building and permission to |
10 | | replace the lead service line in accordance with the lead |
11 | | service line replacement plan. If the owner of the potentially |
12 | | affected building does not respond to the request within 15 |
13 | | days after the request is sent, the owner or operator of the |
14 | | community water supply shall attempt to post the request on |
15 | | the entrance of the potentially affected building. |
16 | | If the owner or operator of a community water supply is |
17 | | unable to obtain approval to access and replace a lead service |
18 | | line, the owner or operator of the community water supply |
19 | | shall request that the owner of the potentially affected |
20 | | building sign a waiver. The waiver shall be developed by the |
21 | | Department and should be made available in the owner's |
22 | | language. If the owner of the potentially affected building |
23 | | refuses to sign the waiver or fails to respond to the community |
24 | | water supply after the community water supply has complied |
25 | | with this subsection, then the community water supply shall |
26 | | notify the Department in writing within 15 working days. |
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1 | | (jj) When replacing a lead service line or repairing or |
2 | | replacing water mains with lead service lines or partial lead |
3 | | service lines attached to them, the owner or operator of a |
4 | | community water supply shall provide the owner of each |
5 | | potentially affected building that is serviced by the affected |
6 | | lead service lines or partial lead service lines, as well as |
7 | | the occupants of those buildings, with an individual written |
8 | | notice. The notice shall be delivered by mail or posted at the |
9 | | primary entranceway of the building. The notice may, in |
10 | | addition, be electronically mailed. Written notice shall |
11 | | include, at a minimum, the following: |
12 | | (1) a warning that the work may result in sediment, |
13 | | possibly containing lead from the service line, in the |
14 | | building's water; |
15 | | (2) information concerning the best practices for |
16 | | preventing exposure to or risk of consumption of lead in |
17 | | drinking water, including a recommendation to flush water |
18 | | lines during and after the completion of the repair or |
19 | | replacement work and to clean faucet aerator screens; and |
20 | | (3) information regarding the dangers of lead exposure |
21 | | to young children and pregnant women. |
22 | | When the individual written notice described in the first |
23 | | paragraph of this subsection is required as a result of |
24 | | planned work other than the repair or replacement of a water |
25 | | meter, the owner or operator of the community water supply |
26 | | shall provide the notice not less than 14 days before work |
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1 | | begins. When the individual written notice described in the |
2 | | first paragraph of this subsection is required as a result of |
3 | | emergency repairs other than the repair or replacement of a |
4 | | water meter, the owner or operator of the community water |
5 | | supply shall provide the notice at the time the work is |
6 | | initiated. When the individual written notice described in the |
7 | | first paragraph of this subsection is required as a result of |
8 | | the repair or replacement of a water meter, the owner or |
9 | | operator of the community water supply shall provide the |
10 | | notice at the time the work is initiated. |
11 | | The notifications required under this subsection must |
12 | | contain the following
statement in Spanish, Polish, Chinese, |
13 | | Tagalog, Arabic, Korean, German, Urdu, and
Gujarati:
"This |
14 | | notice contains important information about your water service |
15 | | and may affect your
rights. We encourage you to have this |
16 | | notice translated in full into a language you
understand and |
17 | | before you make any decisions that may be required under this |
18 | | notice." |
19 | | An owner or operator of a community water supply that is |
20 | | required under this subsection to provide an individual |
21 | | written notice to the owner and occupant of a potentially |
22 | | affected building that is a multi-dwelling building may |
23 | | satisfy that requirement and the requirements of this |
24 | | subsection regarding notification to non-English speaking |
25 | | customers by posting the required notice on the primary |
26 | | entranceway of the building and at the location where the |
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1 | | occupant's mail is delivered as reasonably as possible. |
2 | | When this subsection would require the owner or operator |
3 | | of a community water supply to provide an individual written |
4 | | notice to the entire community served by the community water |
5 | | supply or would require the owner or operator of a community |
6 | | water supply to provide individual written notices as a result |
7 | | of emergency repairs or when the community water supply that |
8 | | is required to comply with this subsection is a small system, |
9 | | the owner or operator of the community water supply may |
10 | | provide the required notice through local media outlets, |
11 | | social media, or other similar means in lieu of providing the |
12 | | individual written notices otherwise required under this |
13 | | subsection. |
14 | | No notifications are required under this subsection for |
15 | | work performed on water mains that are used to transmit |
16 | | treated water between community water supplies and properties |
17 | | that have no service connections. |
18 | | (kk) No community water supply that sells water to any |
19 | | wholesale or retail consecutive community water supply may |
20 | | pass on any costs associated with compliance with this Section |
21 | | to consecutive systems. |
22 | | (ll) To the extent allowed by law, when a community water |
23 | | supply replaces or installs a lead service line in a public |
24 | | right-of-way or enters into an agreement with a private |
25 | | contractor for replacement or installation of a lead service |
26 | | line, the community water supply shall be held harmless for |
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1 | | all damage to property when replacing or installing the lead |
2 | | service line. If dangers are encountered that prevent the |
3 | | replacement of the lead service line, the community water |
4 | | supply shall notify the Department within 15 working days of |
5 | | why the replacement of the lead service line could not be |
6 | | accomplished. |
7 | | (mm) The Agency may propose to the Board, and the Board may |
8 | | adopt, any rules necessary to implement and administer this |
9 | | Section. The Department may adopt rules necessary to address |
10 | | lead service lines attached to non-community water supplies. |
11 | | (nn) Notwithstanding any other provision in this Section, |
12 | | no requirement in this Section shall be construed as being |
13 | | less stringent than existing applicable federal requirements. |
14 | | (oo) All lead service line replacements financed in whole |
15 | | or in part with funds obtained under this Section shall be |
16 | | considered public works for purposes of the Prevailing Wage |
17 | | Act.
|
18 | | (Source: P.A. 102-613, eff. 1-1-22; 102-813, eff. 5-13-22.)
|
19 | | Section 255. The Lawn Care Products Application and Notice |
20 | | Act is amended by changing Sections 2, 3, and 6 as follows:
|
21 | | (415 ILCS 65/2) (from Ch. 5, par. 852)
|
22 | | Sec. 2. Definitions.
|
23 | | For purposes of this Act:
|
24 | | "Application" means the spreading of lawn care products
on |
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| | SB1797 | - 517 - | LRB103 03433 AMQ 48439 b |
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1 | | a lawn.
|
2 | | "Applicator for hire" means any person who makes an |
3 | | application of lawn
care products to a lawn or lawns for |
4 | | compensation, including applications made
by an employee to |
5 | | lawns owned, occupied or managed by his employer and
includes |
6 | | those licensed by the Department as licensed commercial
|
7 | | applicators, commercial not-for-hire applicators, licensed |
8 | | public
applicators, certified applicators and licensed |
9 | | operators and those
otherwise subject to the licensure |
10 | | provisions of the Illinois Pesticide
Act, as now or hereafter |
11 | | amended.
|
12 | | "Buffer" means an area adjacent to a body of water that is |
13 | | left untreated with any fertilizer. |
14 | | " Child Day care center" means any facility that qualifies |
15 | | as a " child day care center" under the Child Care Act of 1969. |
16 | | "Department" means the Illinois Department of Agriculture.
|
17 | | "Department of Public Health" means the Illinois |
18 | | Department of Public Health. |
19 | | "Facility" means a building or structure and appurtenances |
20 | | thereto used
by an applicator for hire for storage and |
21 | | handling of pesticides or the
storage or maintenance of |
22 | | pesticide application equipment or vehicles.
|
23 | | "Fertilizer" means any substance containing nitrogen, |
24 | | phosphorus or
potassium or other recognized plant nutrient or |
25 | | compound, which is used for
its plant nutrient content.
|
26 | | "Golf course" means an area designated for the play or |
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| | SB1797 | - 518 - | LRB103 03433 AMQ 48439 b |
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1 | | practice of the
game of golf, including surrounding grounds, |
2 | | trees, ornamental beds and the like.
|
3 | | "Golf course superintendent" means any person entrusted |
4 | | with and employed
for the care and maintenance of a golf |
5 | | course.
|
6 | | "Impervious surface" means any structure, surface, or |
7 | | improvement that reduces or prevents absorption of stormwater |
8 | | into land, and includes pavement, porous paving, paver blocks, |
9 | | gravel, crushed stone, decks, patios, elevated structures, and |
10 | | other similar structures, surfaces, or improvements. |
11 | | "Lawn" means land area covered with turf kept closely mown |
12 | | or land area
covered with turf and trees or shrubs. The term |
13 | | does not include (1) land
area used for research for |
14 | | agricultural production or for the commercial
production of |
15 | | turf, (2) land area situated within a public or private
|
16 | | right-of-way, or (3) land area which is devoted to the |
17 | | production of any
agricultural commodity, including, but not |
18 | | limited to plants and plant
parts, livestock and poultry and |
19 | | livestock or poultry products,
seeds, sod, shrubs and other |
20 | | products of agricultural origin raised for
sale or for human |
21 | | or livestock consumption.
|
22 | | "Lawn care products" means fertilizers or pesticides |
23 | | applied or
intended for application to lawns.
|
24 | | "Lawn repair products" means seeds, including seeding |
25 | | soils, that contain or are coated with or encased in |
26 | | fertilizer material. |
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1 | | "Person" means any individual, partnership, association, |
2 | | corporation or
State governmental agency, school district, |
3 | | unit of local government and
any agency thereof.
|
4 | | "Pesticide" means any substance or mixture of substances |
5 | | defined as a
pesticide under the Illinois Pesticide Act, as |
6 | | now or hereafter amended.
|
7 | | "Plant protectants" means any substance or material used |
8 | | to protect
plants from infestation of insects, fungi, weeds |
9 | | and rodents, or any other
substance that would benefit the |
10 | | overall health of plants.
|
11 | | "Soil test" means a chemical and mechanical analysis of |
12 | | soil nutrient values and pH level as it relates to the soil and |
13 | | development of a lawn. |
14 | | "Spreader" means any commercially available fertilizing |
15 | | device used to evenly distribute fertilizer material. |
16 | | "Turf" means the upper stratum of soils bound by grass and |
17 | | plant roots into a thick mat.
|
18 | | "0% phosphate fertilizer" means a fertilizer that contains |
19 | | no more than 0.67% available phosphoric acid (P 2 O 5 ). |
20 | | (Source: P.A. 96-424, eff. 8-13-09; 96-1005, eff. 7-6-10.)
|
21 | | (415 ILCS 65/3) (from Ch. 5, par. 853)
|
22 | | Sec. 3. Notification requirements for application of lawn |
23 | | care products.
|
24 | | (a) Lawn Markers.
|
25 | | (1) Immediately following application of lawn care |
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1 | | products to a lawn,
other than a golf course, an |
2 | | applicator for hire shall place a lawn marker
at the usual |
3 | | point or points of entry.
|
4 | | (2) The lawn marker shall consist of a 4 inch by 5 inch |
5 | | sign,
vertical or horizontal, attached to the upper |
6 | | portion of a dowel or other
supporting device with the |
7 | | bottom of the marker extending no less than 12
inches |
8 | | above the turf.
|
9 | | (3) The lawn marker shall be white and lettering on |
10 | | the lawn marker
shall be in a contrasting color. The |
11 | | marker shall state on one side, in
letters of not less than |
12 | | 3/8 inch, the following:
"LAWN CARE APPLICATION - STAY OFF |
13 | | GRASS UNTIL DRY - FOR MORE INFORMATION
CONTACT: (here |
14 | | shall be inserted the name and business telephone number |
15 | | of
the applicator for hire)."
|
16 | | (4) The lawn marker shall be removed and discarded by |
17 | | the property
owner or resident, or such other person |
18 | | authorized by the property owner or
resident, on the day |
19 | | following the application. The lawn marker shall not be
|
20 | | removed by any person other than the property owner or |
21 | | resident or person
designated by such property owner or |
22 | | resident.
|
23 | | (5) For applications to residential properties of 2 |
24 | | families or
less, the applicator for hire shall be |
25 | | required to place
lawn markers at the usual point or |
26 | | points of entry.
|
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1 | | (6) For applications to residential properties
of 2 |
2 | | families or more, or for application to other commercial |
3 | | properties,
the applicator for hire shall place lawn |
4 | | markers at the usual point or points
of entry to the |
5 | | property to provide notice that lawn care products have |
6 | | been
applied to the lawn.
|
7 | | (b) Notification requirement for application of plant |
8 | | protectants on golf
courses.
|
9 | | (1) Blanket posting procedure. Each golf course shall |
10 | | post in a
conspicuous place or places an all-weather |
11 | | poster or placard stating to
users of or visitors to the |
12 | | golf course that from time to time plant
protectants are |
13 | | in use and additionally stating that if any questions or
|
14 | | concerns arise in relation thereto, the golf course |
15 | | superintendent or his
designee should be contacted to |
16 | | supply the information contained in
subsection (c) of this |
17 | | Section.
|
18 | | (2) The poster or placard shall be prominently |
19 | | displayed in the pro
shop, locker rooms and first tee at |
20 | | each golf course.
|
21 | | (3) The poster or placard shall be a minimum size of 8 |
22 | | 1/2 by 11 inches
and the lettering shall not be less than |
23 | | 1/2 inch.
|
24 | | (4) The poster or placard shall read: "PLANT |
25 | | PROTECTANTS ARE
PERIODICALLY APPLIED TO THIS GOLF COURSE. |
26 | | IF DESIRED, YOU MAY CONTACT YOUR
GOLF COURSE |
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1 | | SUPERINTENDENT FOR FURTHER INFORMATION."
|
2 | | (c) Information to Customers of Applicators for Hire. At |
3 | | the time of
application of lawn care products to a lawn, an |
4 | | applicator for hire shall
provide the following information to |
5 | | the customer:
|
6 | | (1) The brand name, common name, and scientific name |
7 | | of each lawn care product applied;
|
8 | | (2) The type of fertilizer or pesticide contained in |
9 | | the lawn care
product applied;
|
10 | | (3) The reason for use of each lawn care product |
11 | | applied;
|
12 | | (4) The range of concentration of end use product |
13 | | applied to the
lawn and amount of material applied;
|
14 | | (5) Any special instruction appearing on the label of |
15 | | the lawn care
product applicable to the customer's use of |
16 | | the lawn following application;
|
17 | | (6) The business name and telephone number of the |
18 | | applicator for hire
as well as the name of the person |
19 | | actually applying lawn care products to the
lawn; and |
20 | | (7) Upon the request of a customer or any person whose |
21 | | property abuts or is adjacent to the property of a |
22 | | customer of an applicator for hire, a copy of the material |
23 | | safety data sheet and approved pesticide registration |
24 | | label for each applied lawn care product.
|
25 | | (d) Prior notification of application to lawn. In the case |
26 | | of all lawns
other than golf courses:
|
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| | SB1797 | - 523 - | LRB103 03433 AMQ 48439 b |
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1 | | (1) Any neighbor whose property abuts or is adjacent |
2 | | to the property
of a customer of an applicator for hire may |
3 | | receive prior notification of
an application by contacting |
4 | | the applicator for hire and providing his
name, address |
5 | | and telephone number.
|
6 | | (2) At least the day before a scheduled application, |
7 | | an applicator
for hire shall provide notification to a |
8 | | person who has requested
notification pursuant to |
9 | | paragraph (1) of this subsection (d), such
notification to |
10 | | be made in writing, in person or by telephone, disclosing
|
11 | | the date and approximate time of day of application.
|
12 | | (3) In the event that an applicator for hire is unable |
13 | | to provide
prior notification to a neighbor whose property |
14 | | abuts or is adjacent to the
property because of the |
15 | | absence or inaccessibility of the individual, at
the time |
16 | | of application to a customer's lawn, the applicator for |
17 | | hire shall
leave a written notice at the residence of the |
18 | | person requesting
notification, which shall provide the |
19 | | information specified in paragraph
(2) of this subsection |
20 | | (d).
|
21 | | (e) Prior notification of application to golf courses.
|
22 | | (1) Any landlord or resident with property that abuts |
23 | | or is adjacent
to a golf course may receive prior |
24 | | notification of an application of lawn
care products or |
25 | | plant protectants, or both, by contacting the golf course
|
26 | | superintendent and providing his name, address and |
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1 | | telephone number.
|
2 | | (2) At least the day before a scheduled application of |
3 | | lawn care
products or plant protectants, or both, the golf |
4 | | course superintendent
shall provide notification to any |
5 | | person who has requested notification
pursuant to |
6 | | paragraph (1) of this subsection (e), such notification to |
7 | | be
made in writing, in person or by telephone, disclosing |
8 | | the date and
approximate time of day of application.
|
9 | | (3) In the event that the golf course superintendent |
10 | | is unable to
provide prior notification to a landlord or |
11 | | resident because of the absence
or inaccessibility, at the |
12 | | time of application, of the landlord or
resident, the golf |
13 | | course superintendent shall leave a written notice with
|
14 | | the landlord or at the residence which shall provide the |
15 | | information
specified in paragraph (2) of this subsection |
16 | | (e).
|
17 | | (f) Notification for applications of pesticides to child |
18 | | day care center grounds other than child day care center |
19 | | structures and school grounds other
than school structures. |
20 | | (1) The owner or operator of a child day care center |
21 | | must either (i) maintain a registry of parents and |
22 | | guardians of children in his or her care who have |
23 | | registered to receive written notification before the |
24 | | application of pesticide to child day care center grounds |
25 | | and notify persons on that registry before applying |
26 | | pesticides or having pesticide applied to child day care |
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1 | | center grounds or (ii) provide written or telephonic |
2 | | notice to all parents and guardians of children in his or |
3 | | her care before applying pesticide or having pesticide |
4 | | applied to child day care center grounds. |
5 | | (2) School districts must either (i) maintain a |
6 | | registry of parents
and guardians of students who have |
7 | | registered to receive written or telephonic notification
|
8 | | before the application of pesticide to school grounds and |
9 | | notify persons on that list before applying pesticide or |
10 | | having pesticide applied to school grounds or (ii) provide |
11 | | written or telephonic
notification to all parents and |
12 | | guardians of students before applying pesticide or having |
13 | | pesticide applied to school grounds. |
14 | | (3) Written notification required under item (1) or |
15 | | (2) of subsection (f) of this Section may be included in |
16 | | newsletters,
calendars, or other correspondence currently |
17 | | published by the school district, but posting on a |
18 | | bulletin board is not sufficient.
The written or |
19 | | telephonic notification must be given at least 4 business |
20 | | days before
application of the pesticide and should |
21 | | identify the intended date of the
application of the |
22 | | pesticide and the name and telephone contact number for |
23 | | the
school personnel responsible for the pesticide |
24 | | application program or, in the case of a child day care |
25 | | center, the owner or operator of the child day care |
26 | | center. Prior
notice shall not be required if there is |
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|
1 | | imminent threat to health or
property. If such a situation |
2 | | arises, the appropriate school personnel or, in the case |
3 | | of a child day care center, the owner or operator of the |
4 | | child day care center must
sign a statement describing the |
5 | | circumstances that gave rise to the health
threat and |
6 | | ensure that written or telephonic notice is provided as |
7 | | soon as practicable.
|
8 | | (Source: P.A. 96-424, eff. 8-13-09.)
|
9 | | (415 ILCS 65/6) (from Ch. 5, par. 856)
|
10 | | Sec. 6. This Act shall be administered and enforced by the |
11 | | Department. The Department may promulgate rules and |
12 | | regulations as necessary for the
enforcement of this Act. The |
13 | | Department of Public Health must inform school boards and the |
14 | | owners and operators of child day care centers about the |
15 | | provisions of this Act that are applicable to school districts |
16 | | and child day care centers, and it must inform school boards |
17 | | about the requirements contained in Sections 10-20.49 and |
18 | | 34-18.40 of the School Code. The Department of Public Health |
19 | | must recommend that child day care centers and schools use a |
20 | | pesticide-free turf care program to maintain their turf. The |
21 | | Department of Public Health must also report violations of |
22 | | this Act of which it becomes aware to the Department for |
23 | | enforcement.
|
24 | | (Source: P.A. 96-424, eff. 8-13-09; 96-1000, eff. 7-2-10.)
|
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1 | | Section 260. The Furniture Fire Safety Act is amended by |
2 | | changing Section 1002 as follows:
|
3 | | (425 ILCS 45/1002) (from Ch. 127 1/2, par. 951-2)
|
4 | | Sec. 1002. As used in this Act:
|
5 | | (a) "Sell" or any of its variants means and includes any of |
6 | | or any
combination of the following: to sell, offer or expose |
7 | | for sale, barter,
trade, deliver, give away, rent, consign, |
8 | | lease, or possess with an intent to
sell or dispose of in any |
9 | | other commercial manner.
|
10 | | (b) "Seating furniture" means any furniture, including |
11 | | children's
furniture, movable or stationery, which (1) is made |
12 | | of or with cushions
or pillows, loose or attached, (2) is |
13 | | itself stuffed or filled in whole or in
part with any filling |
14 | | material, (3) is or can be
stuffed or filled in whole or in |
15 | | part with any substance or material,
hidden or concealed by |
16 | | fabric or any other covering, including cushions or
pillows |
17 | | belonging to or forming a part thereof, together with the
|
18 | | structural units, the filling material and its container and |
19 | | covering
which can be used as a support for the body of a human |
20 | | being, or the limbs
and feet when sitting or resting in an |
21 | | upright or reclining position.
|
22 | | (c) "Filling material" means cotton, wool, kapok, |
23 | | feathers, down,
hair, liquid, or any other material or |
24 | | substance, natural or man-made, or any
other prefabricated |
25 | | form, concealed or not concealed, to be used or that
could be |
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1 | | used in articles of seating furniture.
|
2 | | (d) "Manufacturer" means a person who, either by himself |
3 | | or
through employees or agents, makes any article of seating |
4 | | furniture
in whole or in part.
|
5 | | (e) "Public occupancies" means:
|
6 | | (1) Jails, prisons, and penal institutions;
|
7 | | (2) Hospitals, mental health facilities, and similar |
8 | | health care facilities;
|
9 | | (3) Nursing care and convalescent homes;
|
10 | | (4) Child day care centers;
|
11 | | (5) Public auditoriums and stadiums; and
|
12 | | (6) Public assembly areas of hotels and motels containing |
13 | | more than 10
articles of seating furniture.
|
14 | | (Source: P.A. 86-631.)
|
15 | | Section 265. The Space Heating Safety Act is amended by |
16 | | changing Section 9 as follows:
|
17 | | (425 ILCS 65/9) (from Ch. 127 1/2, par. 709)
|
18 | | Sec. 9. Prohibited use of kerosene heaters. The use of |
19 | | kerosene
fueled heaters will be prohibited under any |
20 | | circumstances in the following
types of structures:
|
21 | | (i) nursing homes or convalescent centers;
|
22 | | (ii) child care day-care centers having children |
23 | | present;
|
24 | | (iii) any type of center for persons with |
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|
1 | | disabilities;
|
2 | | (iv) common areas of multifamily dwellings;
|
3 | | (v) hospitals;
|
4 | | (vi) structures more than 3 stories in height; and
|
5 | | (vii) structures open to the public which have a |
6 | | capacity for 50 or more persons.
|
7 | | (Source: P.A. 99-143, eff. 7-27-15.)
|
8 | | Section 270. The Firearm Dealer License Certification Act |
9 | | is amended by changing Section 5-20 as follows:
|
10 | | (430 ILCS 68/5-20)
|
11 | | Sec. 5-20. Additional licensee requirements. |
12 | | (a) A certified licensee shall make a photo copy of a |
13 | | buyer's or transferee's valid photo identification card |
14 | | whenever a firearm sale transaction takes place. The photo |
15 | | copy shall be attached to the documentation detailing the |
16 | | record of sale. |
17 | | (b) A certified licensee shall post in a conspicuous |
18 | | position on the premises where the licensee conducts business |
19 | | a sign that contains the following warning in block letters |
20 | | not less than one inch in height: |
21 | | "With few exceptions enumerated in the Firearm Owners |
22 | | Identification Card Act, it is unlawful for you to: |
23 | | (A) store or leave an unsecured firearm in a place |
24 | | where a child can obtain access to it;
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1 | | (B) sell or transfer your firearm to someone else |
2 | | without receiving approval for the transfer from the |
3 | | Illinois State Police, or |
4 | | (C) fail to report the loss or theft of your |
5 | | firearm to local law enforcement within 72 hours.". |
6 | | This sign shall be created by the Illinois State Police and |
7 | | made available for printing or downloading from the Illinois |
8 | | State Police's website. |
9 | | (c) No retail location established after the effective |
10 | | date of this Act shall be located within 500 feet of any |
11 | | school, pre-school, or child day care facility in existence at |
12 | | its location before the retail location is established as |
13 | | measured from the nearest corner of the building holding the |
14 | | retail location to the corner of the school, pre-school, or |
15 | | child day care facility building nearest the retail location |
16 | | at the time the retail location seeks licensure.
|
17 | | (Source: P.A. 102-538, eff. 8-20-21.)
|
18 | | Section 275. The Illinois Vehicle Code is amended by |
19 | | changing Sections 6-205, 6-206, and 12-707.01 as follows:
|
20 | | (625 ILCS 5/6-205)
|
21 | | (Text of Section before amendment by P.A. 102-982 )
|
22 | | Sec. 6-205. Mandatory revocation of license or permit; |
23 | | hardship cases.
|
24 | | (a) Except as provided in this Section, the Secretary of |
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1 | | State shall
immediately revoke the license, permit, or driving |
2 | | privileges of
any driver upon receiving a
report of the |
3 | | driver's conviction of any of the following offenses:
|
4 | | 1. Reckless homicide resulting from the operation of a |
5 | | motor vehicle;
|
6 | | 2. Violation of Section 11-501 of this Code or a |
7 | | similar provision of
a local ordinance relating to the |
8 | | offense of operating or being in physical
control of a |
9 | | vehicle while under the influence of alcohol, other drug |
10 | | or
drugs, intoxicating compound or compounds, or any |
11 | | combination thereof;
|
12 | | 3. Any felony under the laws of any State or the |
13 | | federal government
in the commission of which a motor |
14 | | vehicle was used;
|
15 | | 4. Violation of Section 11-401 of this Code relating |
16 | | to the offense of
leaving the scene of a traffic accident |
17 | | involving death or personal injury;
|
18 | | 5. Perjury or the making of a false affidavit or |
19 | | statement under
oath to the Secretary of State under this |
20 | | Code or under any
other law relating to the ownership or |
21 | | operation of motor vehicles;
|
22 | | 6. Conviction upon 3 charges of violation of Section |
23 | | 11-503 of this
Code relating to the offense of reckless |
24 | | driving committed within a
period of 12 months;
|
25 | | 7. Conviction of any offense
defined in
Section 4-102 |
26 | | of this Code if the person exercised actual physical |
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1 | | control over the vehicle during the commission of the |
2 | | offense;
|
3 | | 8. Violation of Section 11-504 of this Code relating |
4 | | to the offense
of drag racing;
|
5 | | 9. Violation of Chapters 8 and 9 of this Code;
|
6 | | 10. Violation of Section 12-5 of the Criminal Code of |
7 | | 1961 or the Criminal Code of 2012 arising from
the use of a |
8 | | motor vehicle;
|
9 | | 11. Violation of Section 11-204.1 of this Code |
10 | | relating to aggravated
fleeing or attempting to elude a |
11 | | peace officer;
|
12 | | 12. Violation of paragraph (1) of subsection (b) of |
13 | | Section 6-507,
or a similar law of any other state, |
14 | | relating to the
unlawful operation of a commercial motor |
15 | | vehicle;
|
16 | | 13. Violation of paragraph (a) of Section 11-502 of |
17 | | this Code or a
similar provision of a local ordinance if |
18 | | the driver has been previously
convicted of a violation of |
19 | | that Section or a similar provision of a local
ordinance |
20 | | and the driver was less than 21 years of age at the time of |
21 | | the
offense;
|
22 | | 14. Violation of paragraph (a) of Section 11-506 of |
23 | | this Code or a similar provision of a local ordinance |
24 | | relating to the offense of street racing;
|
25 | | 15. A second or subsequent conviction of driving while |
26 | | the person's driver's license, permit or privileges was |
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1 | | revoked for reckless homicide or a similar out-of-state |
2 | | offense; |
3 | | 16. Any offense against any provision in this Code, or |
4 | | any local ordinance, regulating the
movement of traffic |
5 | | when that offense was the proximate cause of the death of |
6 | | any person. Any person whose driving privileges have been |
7 | | revoked pursuant to this paragraph may seek to have the |
8 | | revocation terminated or to have the length of revocation |
9 | | reduced by requesting an administrative hearing with the |
10 | | Secretary of State prior to the projected driver's license |
11 | | application eligibility date; |
12 | | 17. Violation of subsection (a-2) of Section 11-1301.3 |
13 | | of this Code or a similar provision of a local ordinance; |
14 | | 18. A second or subsequent conviction of illegal |
15 | | possession, while operating or in actual physical control, |
16 | | as a driver, of a motor vehicle, of any controlled |
17 | | substance prohibited under the Illinois Controlled |
18 | | Substances Act, any cannabis prohibited under the Cannabis |
19 | | Control Act, or any methamphetamine prohibited under the |
20 | | Methamphetamine Control and Community Protection Act. A |
21 | | defendant found guilty of this offense while operating a |
22 | | motor vehicle
shall have an entry made in the court record |
23 | | by the presiding judge that
this offense did occur while |
24 | | the defendant was operating a motor vehicle
and order the |
25 | | clerk of the court to report the violation to the |
26 | | Secretary
of State; |
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1 | | 19. Violation of subsection (a) of Section 11-1414 of |
2 | | this Code, or a similar provision of a local ordinance, |
3 | | relating to the offense of overtaking or passing of a |
4 | | school bus when the driver, in committing the violation, |
5 | | is involved in a motor vehicle accident that results in |
6 | | death to another and the violation is a proximate cause of |
7 | | the death. |
8 | | (b) The Secretary of State shall also immediately revoke |
9 | | the license
or permit of any driver in the following |
10 | | situations:
|
11 | | 1. Of any minor upon receiving the notice provided for |
12 | | in Section
5-901 of the Juvenile Court Act of 1987 that the |
13 | | minor has been
adjudicated under that Act as having |
14 | | committed an offense relating to
motor vehicles prescribed |
15 | | in Section 4-103 of this Code;
|
16 | | 2. Of any person when any other law of this State |
17 | | requires either the
revocation or suspension of a license |
18 | | or permit;
|
19 | | 3. Of any person adjudicated under the Juvenile Court |
20 | | Act of 1987 based on an offense determined to have been |
21 | | committed in furtherance of the criminal activities of an |
22 | | organized gang as provided in Section 5-710 of that Act, |
23 | | and that involved the operation or use of a motor vehicle |
24 | | or the use of a driver's license or permit. The revocation |
25 | | shall remain in effect for the period determined by the |
26 | | court. |
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1 | | (c)(1) Whenever a person is convicted of any of the |
2 | | offenses enumerated in
this Section, the court may recommend |
3 | | and the Secretary of State in his
discretion, without regard |
4 | | to whether the recommendation is made by the
court may, upon |
5 | | application,
issue to the person a
restricted driving permit |
6 | | granting the privilege of driving a motor
vehicle between the |
7 | | petitioner's residence and petitioner's place
of employment or |
8 | | within the scope of the petitioner's employment related
|
9 | | duties, or to allow the petitioner to transport himself or |
10 | | herself or a family member
of the petitioner's household to a |
11 | | medical facility for the receipt of necessary medical care or |
12 | | to allow the
petitioner to transport himself or herself to and |
13 | | from alcohol or drug remedial or rehabilitative activity |
14 | | recommended by a licensed service provider, or to allow the
|
15 | | petitioner to transport himself or herself or a family member |
16 | | of the petitioner's household to classes, as a student, at an |
17 | | accredited educational
institution, or to allow the petitioner |
18 | | to transport children, elderly persons, or persons with |
19 | | disabilities who do not hold driving privileges and are living |
20 | | in the petitioner's household to and from child care daycare ; |
21 | | if the petitioner is able to demonstrate that no alternative |
22 | | means
of transportation is reasonably available and that the |
23 | | petitioner will not endanger
the public safety or welfare; |
24 | | provided that the Secretary's discretion shall be
limited to |
25 | | cases where undue hardship, as defined by the rules of the |
26 | | Secretary of State, would result from a failure to issue the
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1 | | restricted driving permit.
|
2 | | (1.5) A person subject to the provisions of paragraph 4 of |
3 | | subsection (b) of Section 6-208 of this Code may make |
4 | | application for a restricted driving permit at a hearing |
5 | | conducted under Section 2-118 of this Code after the |
6 | | expiration of 5 years from the effective date of the most |
7 | | recent revocation, or after 5 years from the date of release |
8 | | from a period of imprisonment resulting from a conviction of |
9 | | the most recent offense, whichever is later, provided the |
10 | | person, in addition to all other requirements of the |
11 | | Secretary, shows by clear and convincing evidence: |
12 | | (A) a minimum of 3 years of uninterrupted abstinence |
13 | | from alcohol and the unlawful use or consumption of |
14 | | cannabis under the Cannabis Control Act, a controlled |
15 | | substance under the Illinois Controlled Substances Act, an |
16 | | intoxicating compound under the Use of Intoxicating |
17 | | Compounds Act, or methamphetamine under the |
18 | | Methamphetamine Control and Community Protection Act; and |
19 | | (B) the successful completion of any rehabilitative |
20 | | treatment and involvement in any ongoing rehabilitative |
21 | | activity that may be recommended by a properly licensed |
22 | | service provider according to an assessment of the |
23 | | person's alcohol or drug use under Section 11-501.01 of |
24 | | this Code. |
25 | | In determining whether an applicant is eligible for a |
26 | | restricted driving permit under this paragraph (1.5), the |
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1 | | Secretary may consider any relevant evidence, including, but |
2 | | not limited to, testimony, affidavits, records, and the |
3 | | results of regular alcohol or drug tests. Persons subject to |
4 | | the provisions of paragraph 4 of subsection (b) of Section |
5 | | 6-208 of this Code and who have been convicted of more than one |
6 | | violation of paragraph (3), paragraph (4), or paragraph (5) of |
7 | | subsection (a) of Section 11-501 of this Code shall not be |
8 | | eligible to apply for a restricted driving permit. |
9 | | A restricted driving permit issued under this paragraph |
10 | | (1.5) shall provide that the holder may only operate motor |
11 | | vehicles equipped with an ignition interlock device as |
12 | | required under paragraph (2) of subsection (c) of this Section |
13 | | and subparagraph (A) of paragraph 3 of subsection (c) of |
14 | | Section 6-206 of this Code. The Secretary may revoke a |
15 | | restricted driving permit or amend the conditions of a |
16 | | restricted driving permit issued under this paragraph (1.5) if |
17 | | the holder operates a vehicle that is not equipped with an |
18 | | ignition interlock device, or for any other reason authorized |
19 | | under this Code. |
20 | | A restricted driving permit issued under this paragraph |
21 | | (1.5) shall be revoked, and the holder barred from applying |
22 | | for or being issued a restricted driving permit in the future, |
23 | | if the holder is subsequently convicted of a violation of |
24 | | Section 11-501 of this Code, a similar provision of a local |
25 | | ordinance, or a similar offense in another state. |
26 | | (2) If a person's license or permit is revoked or |
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1 | | suspended due to 2 or
more convictions of violating Section |
2 | | 11-501 of this Code or a similar
provision of a local ordinance |
3 | | or a similar out-of-state offense, or Section 9-3 of the |
4 | | Criminal Code of 1961 or the Criminal Code of 2012, where the |
5 | | use of alcohol or other drugs is recited as an element of the |
6 | | offense, or a similar out-of-state offense, or a combination |
7 | | of these offenses, arising out
of separate occurrences, that |
8 | | person, if issued a restricted driving permit,
may not operate |
9 | | a vehicle unless it has been equipped with an ignition
|
10 | | interlock device as defined in Section 1-129.1.
|
11 | | (3) If:
|
12 | | (A) a person's license or permit is revoked or |
13 | | suspended 2 or more
times due to any combination of: |
14 | | (i)
a single conviction of violating Section
|
15 | | 11-501 of this Code or a similar provision of a local |
16 | | ordinance or a similar
out-of-state offense, or |
17 | | Section 9-3 of the Criminal Code of 1961 or the |
18 | | Criminal Code of 2012, where the use of alcohol or |
19 | | other drugs is recited as an element of the offense, or |
20 | | a similar out-of-state offense; or |
21 | | (ii)
a statutory summary suspension or revocation |
22 | | under Section
11-501.1; or |
23 | | (iii)
a suspension pursuant to Section 6-203.1;
|
24 | | arising out of
separate occurrences; or |
25 | | (B)
a person has been convicted of one violation of |
26 | | subparagraph (C) or (F) of paragraph (1) of subsection (d) |
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1 | | of Section 11-501 of this Code, Section 9-3 of the |
2 | | Criminal Code of 1961 or the Criminal Code of 2012, |
3 | | relating to the offense of reckless homicide where the use |
4 | | of alcohol or other drugs was recited as an element of the |
5 | | offense, or a similar provision of a law of another state;
|
6 | | that person, if issued a restricted
driving permit, may not |
7 | | operate a vehicle unless it has been equipped with an
ignition |
8 | | interlock device as defined in Section 1-129.1. |
9 | | (4)
The person issued a permit conditioned on the use of an |
10 | | ignition interlock device must pay to the Secretary of State |
11 | | DUI Administration Fund an amount
not to exceed $30 per month. |
12 | | The Secretary shall establish by rule the amount
and the |
13 | | procedures, terms, and conditions relating to these fees. |
14 | | (5)
If the restricted driving permit is issued for |
15 | | employment purposes, then
the prohibition against operating a |
16 | | motor vehicle that is not equipped with an ignition interlock |
17 | | device does not apply to the operation of an occupational |
18 | | vehicle
owned or leased by that person's employer when used |
19 | | solely for employment purposes. For any person who, within a |
20 | | 5-year period, is convicted of a second or subsequent offense |
21 | | under Section 11-501 of this Code, or a similar provision of a |
22 | | local ordinance or similar out-of-state offense, this |
23 | | employment exemption does not apply until either a one-year |
24 | | period has elapsed during which that person had his or her |
25 | | driving privileges revoked or a one-year period has elapsed |
26 | | during which that person had a restricted driving permit which |
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1 | | required the use of an ignition interlock device on every |
2 | | motor vehicle owned or operated by that person. |
3 | | (6)
In each case the Secretary of State may issue a
|
4 | | restricted driving permit for a period he deems appropriate, |
5 | | except that the
permit shall expire no later than 2 years from |
6 | | the date of issuance. A restricted
driving permit issued under |
7 | | this Section shall be
subject to cancellation, revocation, and |
8 | | suspension by the Secretary of
State in like manner and for |
9 | | like cause as a driver's license issued
under this Code may be |
10 | | cancelled, revoked, or
suspended; except that a conviction |
11 | | upon one or more offenses against laws or
ordinances |
12 | | regulating the movement of traffic shall be deemed sufficient |
13 | | cause
for the revocation, suspension, or cancellation of a |
14 | | restricted driving permit.
The Secretary of State may, as a |
15 | | condition to the issuance of a restricted
driving permit, |
16 | | require the petitioner to participate in a designated driver
|
17 | | remedial or rehabilitative program. The Secretary of State is |
18 | | authorized to
cancel a restricted driving permit if the permit |
19 | | holder does not successfully
complete the program. However, if |
20 | | an individual's driving privileges have been
revoked in |
21 | | accordance with paragraph 13 of subsection (a) of this |
22 | | Section, no
restricted driving permit shall be issued until |
23 | | the individual has served 6
months of the revocation period.
|
24 | | (c-5) (Blank).
|
25 | | (c-6) If a person is convicted of a second violation of |
26 | | operating a motor vehicle while the person's driver's license, |
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1 | | permit or privilege was revoked, where the revocation was for |
2 | | a violation of Section 9-3 of the Criminal Code of 1961 or the |
3 | | Criminal Code of 2012 relating to the offense of reckless |
4 | | homicide or a similar out-of-state offense, the person's |
5 | | driving privileges shall be revoked pursuant to subdivision |
6 | | (a)(15) of this Section. The person may not make application |
7 | | for a license or permit until the expiration of five years from |
8 | | the effective date of the revocation or the expiration of five |
9 | | years from the date of release from a term of imprisonment, |
10 | | whichever is later. |
11 | | (c-7) If a person is convicted of a third or subsequent |
12 | | violation of operating a motor vehicle while the person's |
13 | | driver's license, permit or privilege was revoked, where the |
14 | | revocation was for a violation of Section 9-3 of the Criminal |
15 | | Code of 1961 or the Criminal Code of 2012 relating to the |
16 | | offense of reckless homicide or a similar out-of-state |
17 | | offense, the person may never apply for a license or permit. |
18 | | (d)(1) Whenever a person under the age of 21 is convicted |
19 | | under Section
11-501 of this Code or a similar provision of a |
20 | | local ordinance or a similar out-of-state offense, the
|
21 | | Secretary of State shall revoke the driving privileges of that |
22 | | person. One
year after the date of revocation, and upon |
23 | | application, the Secretary of
State may, if satisfied that the |
24 | | person applying will not endanger the
public safety or |
25 | | welfare, issue a restricted driving permit granting the
|
26 | | privilege of driving a motor vehicle only between the hours of |
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1 | | 5 a.m. and 9
p.m. or as otherwise provided by this Section for |
2 | | a period of one year.
After this one-year period, and upon |
3 | | reapplication for a license as
provided in Section 6-106, upon |
4 | | payment of the appropriate reinstatement
fee provided under |
5 | | paragraph (b) of Section 6-118, the Secretary of State,
in his |
6 | | discretion, may
reinstate the petitioner's driver's license |
7 | | and driving privileges, or extend the restricted driving |
8 | | permit as many times as the
Secretary of State deems |
9 | | appropriate, by additional periods of not more than
24 months |
10 | | each.
|
11 | | (2) If a person's license or permit is revoked or |
12 | | suspended due to 2 or
more convictions of violating Section |
13 | | 11-501 of this Code or a similar
provision of a local ordinance |
14 | | or a similar out-of-state offense, or Section 9-3 of the |
15 | | Criminal Code of 1961 or the Criminal Code of 2012, where the |
16 | | use of alcohol or other drugs is recited as an element of the |
17 | | offense, or a similar out-of-state offense, or a combination |
18 | | of these offenses, arising out
of separate occurrences, that |
19 | | person, if issued a restricted driving permit,
may not operate |
20 | | a vehicle unless it has been equipped with an ignition
|
21 | | interlock device as defined in Section 1-129.1.
|
22 | | (3) If a person's license or permit is revoked or |
23 | | suspended 2 or more times
due to any combination of: |
24 | | (A) a single conviction of violating Section 11-501
of |
25 | | this
Code or a similar provision of a local ordinance or a |
26 | | similar out-of-state
offense, or Section 9-3 of the |
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1 | | Criminal Code of 1961 or the Criminal Code of 2012, where |
2 | | the use of alcohol or other drugs is recited as an element |
3 | | of the offense, or a similar out-of-state offense; or |
4 | | (B)
a statutory summary suspension or revocation under |
5 | | Section 11-501.1; or |
6 | | (C) a suspension pursuant to Section 6-203.1; |
7 | | arising out of separate occurrences, that person, if issued a
|
8 | | restricted
driving permit, may not operate a vehicle unless it |
9 | | has been equipped with an
ignition interlock device as defined |
10 | | in Section 1-129.1. |
11 | | (3.5) If a person's license or permit is revoked or |
12 | | suspended due to a conviction for a violation of subparagraph |
13 | | (C) or (F) of paragraph (1) of subsection (d) of Section 11-501 |
14 | | of this Code, or a similar provision of a local ordinance or |
15 | | similar out-of-state offense, that person, if issued a |
16 | | restricted driving permit, may not operate a vehicle unless it |
17 | | has been equipped with an ignition interlock device as defined |
18 | | in Section 1-129.1. |
19 | | (4)
The person issued a permit conditioned upon the use of |
20 | | an interlock device must pay to the Secretary of State DUI |
21 | | Administration Fund an amount
not to exceed $30 per month. The |
22 | | Secretary shall establish by rule the amount
and the |
23 | | procedures, terms, and conditions relating to these fees. |
24 | | (5)
If the restricted driving permit is issued for |
25 | | employment purposes, then
the prohibition against driving a |
26 | | vehicle that is not equipped with an ignition interlock device |
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1 | | does not apply to the operation of an occupational vehicle
|
2 | | owned or leased by that person's employer when used solely for |
3 | | employment purposes. For any person who, within a 5-year |
4 | | period, is convicted of a second or subsequent offense under |
5 | | Section 11-501 of this Code, or a similar provision of a local |
6 | | ordinance or similar out-of-state offense, this employment |
7 | | exemption does not apply until either a one-year period has |
8 | | elapsed during which that person had his or her driving |
9 | | privileges revoked or a one-year period has elapsed during |
10 | | which that person had a restricted driving permit which |
11 | | required the use of an ignition interlock device on every |
12 | | motor vehicle owned or operated by that person. |
13 | | (6) A
restricted driving permit issued under this Section |
14 | | shall be subject to
cancellation, revocation, and suspension |
15 | | by the Secretary of State in like
manner and for like cause as |
16 | | a driver's license issued under this Code may be
cancelled, |
17 | | revoked, or suspended; except that a conviction upon one or |
18 | | more
offenses against laws or ordinances regulating the |
19 | | movement of traffic
shall be deemed sufficient cause for the |
20 | | revocation, suspension, or
cancellation of a restricted |
21 | | driving permit.
|
22 | | (d-5) The revocation of the license, permit, or driving |
23 | | privileges of a person convicted of a third or subsequent |
24 | | violation of Section 6-303 of this Code committed while his or |
25 | | her driver's license, permit, or privilege was revoked because |
26 | | of a violation of Section 9-3 of the Criminal Code of 1961 or |
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1 | | the Criminal Code of 2012, relating to the offense of reckless |
2 | | homicide, or a similar provision of a law of another state, is |
3 | | permanent. The Secretary may not, at any time, issue a license |
4 | | or permit to that person.
|
5 | | (e) This Section is subject to the provisions of the |
6 | | Driver License
Compact.
|
7 | | (f) Any revocation imposed upon any person under |
8 | | subsections 2
and 3 of paragraph (b) that is in effect on |
9 | | December 31, 1988 shall be
converted to a suspension for a like |
10 | | period of time.
|
11 | | (g) The Secretary of State shall not issue a restricted |
12 | | driving permit to
a person under the age of 16 years whose |
13 | | driving privileges have been revoked
under any provisions of |
14 | | this Code.
|
15 | | (h) The Secretary of State shall require the use of |
16 | | ignition interlock
devices for a period not less than 5 years |
17 | | on all vehicles owned by a person who has been convicted of a
|
18 | | second or subsequent offense under Section 11-501 of this Code |
19 | | or a similar
provision of a local ordinance. The person must |
20 | | pay to the Secretary of State DUI Administration Fund an |
21 | | amount not to exceed $30 for each month that he or she uses the |
22 | | device. The Secretary shall establish by rule and
regulation |
23 | | the procedures for certification and use of the interlock
|
24 | | system, the amount of the fee, and the procedures, terms, and |
25 | | conditions relating to these fees. During the time period in |
26 | | which a person is required to install an ignition interlock |
|
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1 | | device under this subsection (h), that person shall only |
2 | | operate vehicles in which ignition interlock devices have been |
3 | | installed, except as allowed by subdivision (c)(5) or (d)(5) |
4 | | of this Section. Regardless of whether an exemption under |
5 | | subdivision (c) (5) or (d) (5) applies, every person subject |
6 | | to this subsection shall not be eligible for reinstatement |
7 | | until the person installs an ignition interlock device and |
8 | | maintains the ignition interlock device for 5 years.
|
9 | | (i) (Blank).
|
10 | | (j) In accordance with 49 C.F.R. 384, the Secretary of |
11 | | State may not issue a restricted driving permit for the |
12 | | operation of a commercial motor vehicle to a person holding a |
13 | | CDL whose driving privileges have been revoked, suspended, |
14 | | cancelled, or disqualified under any provisions of this Code.
|
15 | | (k) The Secretary of State shall notify by mail any person |
16 | | whose driving privileges have been revoked under paragraph 16 |
17 | | of subsection (a) of this Section that his or her driving |
18 | | privileges and driver's license will be revoked 90 days from |
19 | | the date of the mailing of the notice. |
20 | | (Source: P.A. 101-623, eff. 7-1-20; 102-299, eff. 8-6-21.)
|
21 | | (Text of Section after amendment by P.A. 102-982 ) |
22 | | Sec. 6-205. Mandatory revocation of license or permit; |
23 | | hardship cases.
|
24 | | (a) Except as provided in this Section, the Secretary of |
25 | | State shall
immediately revoke the license, permit, or driving |
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1 | | privileges of
any driver upon receiving a
report of the |
2 | | driver's conviction of any of the following offenses:
|
3 | | 1. Reckless homicide resulting from the operation of a |
4 | | motor vehicle;
|
5 | | 2. Violation of Section 11-501 of this Code or a |
6 | | similar provision of
a local ordinance relating to the |
7 | | offense of operating or being in physical
control of a |
8 | | vehicle while under the influence of alcohol, other drug |
9 | | or
drugs, intoxicating compound or compounds, or any |
10 | | combination thereof;
|
11 | | 3. Any felony under the laws of any State or the |
12 | | federal government
in the commission of which a motor |
13 | | vehicle was used;
|
14 | | 4. Violation of Section 11-401 of this Code relating |
15 | | to the offense of
leaving the scene of a traffic crash |
16 | | involving death or personal injury;
|
17 | | 5. Perjury or the making of a false affidavit or |
18 | | statement under
oath to the Secretary of State under this |
19 | | Code or under any
other law relating to the ownership or |
20 | | operation of motor vehicles;
|
21 | | 6. Conviction upon 3 charges of violation of Section |
22 | | 11-503 of this
Code relating to the offense of reckless |
23 | | driving committed within a
period of 12 months;
|
24 | | 7. Conviction of any offense
defined in
Section 4-102 |
25 | | of this Code if the person exercised actual physical |
26 | | control over the vehicle during the commission of the |
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1 | | offense;
|
2 | | 8. Violation of Section 11-504 of this Code relating |
3 | | to the offense
of drag racing;
|
4 | | 9. Violation of Chapters 8 and 9 of this Code;
|
5 | | 10. Violation of Section 12-5 of the Criminal Code of |
6 | | 1961 or the Criminal Code of 2012 arising from
the use of a |
7 | | motor vehicle;
|
8 | | 11. Violation of Section 11-204.1 of this Code |
9 | | relating to aggravated
fleeing or attempting to elude a |
10 | | peace officer;
|
11 | | 12. Violation of paragraph (1) of subsection (b) of |
12 | | Section 6-507,
or a similar law of any other state, |
13 | | relating to the
unlawful operation of a commercial motor |
14 | | vehicle;
|
15 | | 13. Violation of paragraph (a) of Section 11-502 of |
16 | | this Code or a
similar provision of a local ordinance if |
17 | | the driver has been previously
convicted of a violation of |
18 | | that Section or a similar provision of a local
ordinance |
19 | | and the driver was less than 21 years of age at the time of |
20 | | the
offense;
|
21 | | 14. Violation of paragraph (a) of Section 11-506 of |
22 | | this Code or a similar provision of a local ordinance |
23 | | relating to the offense of street racing;
|
24 | | 15. A second or subsequent conviction of driving while |
25 | | the person's driver's license, permit or privileges was |
26 | | revoked for reckless homicide or a similar out-of-state |
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1 | | offense; |
2 | | 16. Any offense against any provision in this Code, or |
3 | | any local ordinance, regulating the
movement of traffic |
4 | | when that offense was the proximate cause of the death of |
5 | | any person. Any person whose driving privileges have been |
6 | | revoked pursuant to this paragraph may seek to have the |
7 | | revocation terminated or to have the length of revocation |
8 | | reduced by requesting an administrative hearing with the |
9 | | Secretary of State prior to the projected driver's license |
10 | | application eligibility date; |
11 | | 17. Violation of subsection (a-2) of Section 11-1301.3 |
12 | | of this Code or a similar provision of a local ordinance; |
13 | | 18. A second or subsequent conviction of illegal |
14 | | possession, while operating or in actual physical control, |
15 | | as a driver, of a motor vehicle, of any controlled |
16 | | substance prohibited under the Illinois Controlled |
17 | | Substances Act, any cannabis prohibited under the Cannabis |
18 | | Control Act, or any methamphetamine prohibited under the |
19 | | Methamphetamine Control and Community Protection Act. A |
20 | | defendant found guilty of this offense while operating a |
21 | | motor vehicle
shall have an entry made in the court record |
22 | | by the presiding judge that
this offense did occur while |
23 | | the defendant was operating a motor vehicle
and order the |
24 | | clerk of the court to report the violation to the |
25 | | Secretary
of State; |
26 | | 19. Violation of subsection (a) of Section 11-1414 of |
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1 | | this Code, or a similar provision of a local ordinance, |
2 | | relating to the offense of overtaking or passing of a |
3 | | school bus when the driver, in committing the violation, |
4 | | is involved in a motor vehicle crash that results in death |
5 | | to another and the violation is a proximate cause of the |
6 | | death. |
7 | | (b) The Secretary of State shall also immediately revoke |
8 | | the license
or permit of any driver in the following |
9 | | situations:
|
10 | | 1. Of any minor upon receiving the notice provided for |
11 | | in Section
5-901 of the Juvenile Court Act of 1987 that the |
12 | | minor has been
adjudicated under that Act as having |
13 | | committed an offense relating to
motor vehicles prescribed |
14 | | in Section 4-103 of this Code;
|
15 | | 2. Of any person when any other law of this State |
16 | | requires either the
revocation or suspension of a license |
17 | | or permit;
|
18 | | 3. Of any person adjudicated under the Juvenile Court |
19 | | Act of 1987 based on an offense determined to have been |
20 | | committed in furtherance of the criminal activities of an |
21 | | organized gang as provided in Section 5-710 of that Act, |
22 | | and that involved the operation or use of a motor vehicle |
23 | | or the use of a driver's license or permit. The revocation |
24 | | shall remain in effect for the period determined by the |
25 | | court. |
26 | | (c)(1) Whenever a person is convicted of any of the |
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1 | | offenses enumerated in
this Section, the court may recommend |
2 | | and the Secretary of State in his
discretion, without regard |
3 | | to whether the recommendation is made by the
court may, upon |
4 | | application,
issue to the person a
restricted driving permit |
5 | | granting the privilege of driving a motor
vehicle between the |
6 | | petitioner's residence and petitioner's place
of employment or |
7 | | within the scope of the petitioner's employment related
|
8 | | duties, or to allow the petitioner to transport himself or |
9 | | herself or a family member
of the petitioner's household to a |
10 | | medical facility for the receipt of necessary medical care or |
11 | | to allow the
petitioner to transport himself or herself to and |
12 | | from alcohol or drug remedial or rehabilitative activity |
13 | | recommended by a licensed service provider, or to allow the
|
14 | | petitioner to transport himself or herself or a family member |
15 | | of the petitioner's household to classes, as a student, at an |
16 | | accredited educational
institution, or to allow the petitioner |
17 | | to transport children, elderly persons, or persons with |
18 | | disabilities who do not hold driving privileges and are living |
19 | | in the petitioner's household to and from child care daycare ; |
20 | | if the petitioner is able to demonstrate that no alternative |
21 | | means
of transportation is reasonably available and that the |
22 | | petitioner will not endanger
the public safety or welfare; |
23 | | provided that the Secretary's discretion shall be
limited to |
24 | | cases where undue hardship, as defined by the rules of the |
25 | | Secretary of State, would result from a failure to issue the
|
26 | | restricted driving permit.
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1 | | (1.5) A person subject to the provisions of paragraph 4 of |
2 | | subsection (b) of Section 6-208 of this Code may make |
3 | | application for a restricted driving permit at a hearing |
4 | | conducted under Section 2-118 of this Code after the |
5 | | expiration of 5 years from the effective date of the most |
6 | | recent revocation, or after 5 years from the date of release |
7 | | from a period of imprisonment resulting from a conviction of |
8 | | the most recent offense, whichever is later, provided the |
9 | | person, in addition to all other requirements of the |
10 | | Secretary, shows by clear and convincing evidence: |
11 | | (A) a minimum of 3 years of uninterrupted abstinence |
12 | | from alcohol and the unlawful use or consumption of |
13 | | cannabis under the Cannabis Control Act, a controlled |
14 | | substance under the Illinois Controlled Substances Act, an |
15 | | intoxicating compound under the Use of Intoxicating |
16 | | Compounds Act, or methamphetamine under the |
17 | | Methamphetamine Control and Community Protection Act; and |
18 | | (B) the successful completion of any rehabilitative |
19 | | treatment and involvement in any ongoing rehabilitative |
20 | | activity that may be recommended by a properly licensed |
21 | | service provider according to an assessment of the |
22 | | person's alcohol or drug use under Section 11-501.01 of |
23 | | this Code. |
24 | | In determining whether an applicant is eligible for a |
25 | | restricted driving permit under this paragraph (1.5), the |
26 | | Secretary may consider any relevant evidence, including, but |
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1 | | not limited to, testimony, affidavits, records, and the |
2 | | results of regular alcohol or drug tests. Persons subject to |
3 | | the provisions of paragraph 4 of subsection (b) of Section |
4 | | 6-208 of this Code and who have been convicted of more than one |
5 | | violation of paragraph (3), paragraph (4), or paragraph (5) of |
6 | | subsection (a) of Section 11-501 of this Code shall not be |
7 | | eligible to apply for a restricted driving permit. |
8 | | A restricted driving permit issued under this paragraph |
9 | | (1.5) shall provide that the holder may only operate motor |
10 | | vehicles equipped with an ignition interlock device as |
11 | | required under paragraph (2) of subsection (c) of this Section |
12 | | and subparagraph (A) of paragraph 3 of subsection (c) of |
13 | | Section 6-206 of this Code. The Secretary may revoke a |
14 | | restricted driving permit or amend the conditions of a |
15 | | restricted driving permit issued under this paragraph (1.5) if |
16 | | the holder operates a vehicle that is not equipped with an |
17 | | ignition interlock device, or for any other reason authorized |
18 | | under this Code. |
19 | | A restricted driving permit issued under this paragraph |
20 | | (1.5) shall be revoked, and the holder barred from applying |
21 | | for or being issued a restricted driving permit in the future, |
22 | | if the holder is subsequently convicted of a violation of |
23 | | Section 11-501 of this Code, a similar provision of a local |
24 | | ordinance, or a similar offense in another state. |
25 | | (2) If a person's license or permit is revoked or |
26 | | suspended due to 2 or
more convictions of violating Section |
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1 | | 11-501 of this Code or a similar
provision of a local ordinance |
2 | | or a similar out-of-state offense, or Section 9-3 of the |
3 | | Criminal Code of 1961 or the Criminal Code of 2012, where the |
4 | | use of alcohol or other drugs is recited as an element of the |
5 | | offense, or a similar out-of-state offense, or a combination |
6 | | of these offenses, arising out
of separate occurrences, that |
7 | | person, if issued a restricted driving permit,
may not operate |
8 | | a vehicle unless it has been equipped with an ignition
|
9 | | interlock device as defined in Section 1-129.1.
|
10 | | (3) If:
|
11 | | (A) a person's license or permit is revoked or |
12 | | suspended 2 or more
times due to any combination of: |
13 | | (i)
a single conviction of violating Section
|
14 | | 11-501 of this Code or a similar provision of a local |
15 | | ordinance or a similar
out-of-state offense, or |
16 | | Section 9-3 of the Criminal Code of 1961 or the |
17 | | Criminal Code of 2012, where the use of alcohol or |
18 | | other drugs is recited as an element of the offense, or |
19 | | a similar out-of-state offense; or |
20 | | (ii)
a statutory summary suspension or revocation |
21 | | under Section
11-501.1; or |
22 | | (iii)
a suspension pursuant to Section 6-203.1;
|
23 | | arising out of
separate occurrences; or |
24 | | (B)
a person has been convicted of one violation of |
25 | | subparagraph (C) or (F) of paragraph (1) of subsection (d) |
26 | | of Section 11-501 of this Code, Section 9-3 of the |
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1 | | Criminal Code of 1961 or the Criminal Code of 2012, |
2 | | relating to the offense of reckless homicide where the use |
3 | | of alcohol or other drugs was recited as an element of the |
4 | | offense, or a similar provision of a law of another state;
|
5 | | that person, if issued a restricted
driving permit, may not |
6 | | operate a vehicle unless it has been equipped with an
ignition |
7 | | interlock device as defined in Section 1-129.1. |
8 | | (4)
The person issued a permit conditioned on the use of an |
9 | | ignition interlock device must pay to the Secretary of State |
10 | | DUI Administration Fund an amount
not to exceed $30 per month. |
11 | | The Secretary shall establish by rule the amount
and the |
12 | | procedures, terms, and conditions relating to these fees. |
13 | | (5)
If the restricted driving permit is issued for |
14 | | employment purposes, then
the prohibition against operating a |
15 | | motor vehicle that is not equipped with an ignition interlock |
16 | | device does not apply to the operation of an occupational |
17 | | vehicle
owned or leased by that person's employer when used |
18 | | solely for employment purposes. For any person who, within a |
19 | | 5-year period, is convicted of a second or subsequent offense |
20 | | under Section 11-501 of this Code, or a similar provision of a |
21 | | local ordinance or similar out-of-state offense, this |
22 | | employment exemption does not apply until either a one-year |
23 | | period has elapsed during which that person had his or her |
24 | | driving privileges revoked or a one-year period has elapsed |
25 | | during which that person had a restricted driving permit which |
26 | | required the use of an ignition interlock device on every |
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1 | | motor vehicle owned or operated by that person. |
2 | | (6)
In each case the Secretary of State may issue a
|
3 | | restricted driving permit for a period he deems appropriate, |
4 | | except that the
permit shall expire no later than 2 years from |
5 | | the date of issuance. A restricted
driving permit issued under |
6 | | this Section shall be
subject to cancellation, revocation, and |
7 | | suspension by the Secretary of
State in like manner and for |
8 | | like cause as a driver's license issued
under this Code may be |
9 | | cancelled, revoked, or
suspended; except that a conviction |
10 | | upon one or more offenses against laws or
ordinances |
11 | | regulating the movement of traffic shall be deemed sufficient |
12 | | cause
for the revocation, suspension, or cancellation of a |
13 | | restricted driving permit.
The Secretary of State may, as a |
14 | | condition to the issuance of a restricted
driving permit, |
15 | | require the petitioner to participate in a designated driver
|
16 | | remedial or rehabilitative program. The Secretary of State is |
17 | | authorized to
cancel a restricted driving permit if the permit |
18 | | holder does not successfully
complete the program. However, if |
19 | | an individual's driving privileges have been
revoked in |
20 | | accordance with paragraph 13 of subsection (a) of this |
21 | | Section, no
restricted driving permit shall be issued until |
22 | | the individual has served 6
months of the revocation period.
|
23 | | (c-5) (Blank).
|
24 | | (c-6) If a person is convicted of a second violation of |
25 | | operating a motor vehicle while the person's driver's license, |
26 | | permit or privilege was revoked, where the revocation was for |
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1 | | a violation of Section 9-3 of the Criminal Code of 1961 or the |
2 | | Criminal Code of 2012 relating to the offense of reckless |
3 | | homicide or a similar out-of-state offense, the person's |
4 | | driving privileges shall be revoked pursuant to subdivision |
5 | | (a)(15) of this Section. The person may not make application |
6 | | for a license or permit until the expiration of five years from |
7 | | the effective date of the revocation or the expiration of five |
8 | | years from the date of release from a term of imprisonment, |
9 | | whichever is later. |
10 | | (c-7) If a person is convicted of a third or subsequent |
11 | | violation of operating a motor vehicle while the person's |
12 | | driver's license, permit or privilege was revoked, where the |
13 | | revocation was for a violation of Section 9-3 of the Criminal |
14 | | Code of 1961 or the Criminal Code of 2012 relating to the |
15 | | offense of reckless homicide or a similar out-of-state |
16 | | offense, the person may never apply for a license or permit. |
17 | | (d)(1) Whenever a person under the age of 21 is convicted |
18 | | under Section
11-501 of this Code or a similar provision of a |
19 | | local ordinance or a similar out-of-state offense, the
|
20 | | Secretary of State shall revoke the driving privileges of that |
21 | | person. One
year after the date of revocation, and upon |
22 | | application, the Secretary of
State may, if satisfied that the |
23 | | person applying will not endanger the
public safety or |
24 | | welfare, issue a restricted driving permit granting the
|
25 | | privilege of driving a motor vehicle only between the hours of |
26 | | 5 a.m. and 9
p.m. or as otherwise provided by this Section for |
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1 | | a period of one year.
After this one-year period, and upon |
2 | | reapplication for a license as
provided in Section 6-106, upon |
3 | | payment of the appropriate reinstatement
fee provided under |
4 | | paragraph (b) of Section 6-118, the Secretary of State,
in his |
5 | | discretion, may
reinstate the petitioner's driver's license |
6 | | and driving privileges, or extend the restricted driving |
7 | | permit as many times as the
Secretary of State deems |
8 | | appropriate, by additional periods of not more than
24 months |
9 | | each.
|
10 | | (2) If a person's license or permit is revoked or |
11 | | suspended due to 2 or
more convictions of violating Section |
12 | | 11-501 of this Code or a similar
provision of a local ordinance |
13 | | or a similar out-of-state offense, or Section 9-3 of the |
14 | | Criminal Code of 1961 or the Criminal Code of 2012, where the |
15 | | use of alcohol or other drugs is recited as an element of the |
16 | | offense, or a similar out-of-state offense, or a combination |
17 | | of these offenses, arising out
of separate occurrences, that |
18 | | person, if issued a restricted driving permit,
may not operate |
19 | | a vehicle unless it has been equipped with an ignition
|
20 | | interlock device as defined in Section 1-129.1.
|
21 | | (3) If a person's license or permit is revoked or |
22 | | suspended 2 or more times
due to any combination of: |
23 | | (A) a single conviction of violating Section 11-501
of |
24 | | this
Code or a similar provision of a local ordinance or a |
25 | | similar out-of-state
offense, or Section 9-3 of the |
26 | | Criminal Code of 1961 or the Criminal Code of 2012, where |
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1 | | the use of alcohol or other drugs is recited as an element |
2 | | of the offense, or a similar out-of-state offense; or |
3 | | (B)
a statutory summary suspension or revocation under |
4 | | Section 11-501.1; or |
5 | | (C) a suspension pursuant to Section 6-203.1; |
6 | | arising out of separate occurrences, that person, if issued a
|
7 | | restricted
driving permit, may not operate a vehicle unless it |
8 | | has been equipped with an
ignition interlock device as defined |
9 | | in Section 1-129.1. |
10 | | (3.5) If a person's license or permit is revoked or |
11 | | suspended due to a conviction for a violation of subparagraph |
12 | | (C) or (F) of paragraph (1) of subsection (d) of Section 11-501 |
13 | | of this Code, or a similar provision of a local ordinance or |
14 | | similar out-of-state offense, that person, if issued a |
15 | | restricted driving permit, may not operate a vehicle unless it |
16 | | has been equipped with an ignition interlock device as defined |
17 | | in Section 1-129.1. |
18 | | (4)
The person issued a permit conditioned upon the use of |
19 | | an interlock device must pay to the Secretary of State DUI |
20 | | Administration Fund an amount
not to exceed $30 per month. The |
21 | | Secretary shall establish by rule the amount
and the |
22 | | procedures, terms, and conditions relating to these fees. |
23 | | (5)
If the restricted driving permit is issued for |
24 | | employment purposes, then
the prohibition against driving a |
25 | | vehicle that is not equipped with an ignition interlock device |
26 | | does not apply to the operation of an occupational vehicle
|
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1 | | owned or leased by that person's employer when used solely for |
2 | | employment purposes. For any person who, within a 5-year |
3 | | period, is convicted of a second or subsequent offense under |
4 | | Section 11-501 of this Code, or a similar provision of a local |
5 | | ordinance or similar out-of-state offense, this employment |
6 | | exemption does not apply until either a one-year period has |
7 | | elapsed during which that person had his or her driving |
8 | | privileges revoked or a one-year period has elapsed during |
9 | | which that person had a restricted driving permit which |
10 | | required the use of an ignition interlock device on every |
11 | | motor vehicle owned or operated by that person. |
12 | | (6) A
restricted driving permit issued under this Section |
13 | | shall be subject to
cancellation, revocation, and suspension |
14 | | by the Secretary of State in like
manner and for like cause as |
15 | | a driver's license issued under this Code may be
cancelled, |
16 | | revoked, or suspended; except that a conviction upon one or |
17 | | more
offenses against laws or ordinances regulating the |
18 | | movement of traffic
shall be deemed sufficient cause for the |
19 | | revocation, suspension, or
cancellation of a restricted |
20 | | driving permit.
|
21 | | (d-5) The revocation of the license, permit, or driving |
22 | | privileges of a person convicted of a third or subsequent |
23 | | violation of Section 6-303 of this Code committed while his or |
24 | | her driver's license, permit, or privilege was revoked because |
25 | | of a violation of Section 9-3 of the Criminal Code of 1961 or |
26 | | the Criminal Code of 2012, relating to the offense of reckless |
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1 | | homicide, or a similar provision of a law of another state, is |
2 | | permanent. The Secretary may not, at any time, issue a license |
3 | | or permit to that person.
|
4 | | (e) This Section is subject to the provisions of the |
5 | | Driver License
Compact.
|
6 | | (f) Any revocation imposed upon any person under |
7 | | subsections 2
and 3 of paragraph (b) that is in effect on |
8 | | December 31, 1988 shall be
converted to a suspension for a like |
9 | | period of time.
|
10 | | (g) The Secretary of State shall not issue a restricted |
11 | | driving permit to
a person under the age of 16 years whose |
12 | | driving privileges have been revoked
under any provisions of |
13 | | this Code.
|
14 | | (h) The Secretary of State shall require the use of |
15 | | ignition interlock
devices for a period not less than 5 years |
16 | | on all vehicles owned by a person who has been convicted of a
|
17 | | second or subsequent offense under Section 11-501 of this Code |
18 | | or a similar
provision of a local ordinance. The person must |
19 | | pay to the Secretary of State DUI Administration Fund an |
20 | | amount not to exceed $30 for each month that he or she uses the |
21 | | device. The Secretary shall establish by rule and
regulation |
22 | | the procedures for certification and use of the interlock
|
23 | | system, the amount of the fee, and the procedures, terms, and |
24 | | conditions relating to these fees. During the time period in |
25 | | which a person is required to install an ignition interlock |
26 | | device under this subsection (h), that person shall only |
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1 | | operate vehicles in which ignition interlock devices have been |
2 | | installed, except as allowed by subdivision (c)(5) or (d)(5) |
3 | | of this Section. Regardless of whether an exemption under |
4 | | subdivision (c) (5) or (d) (5) applies, every person subject |
5 | | to this subsection shall not be eligible for reinstatement |
6 | | until the person installs an ignition interlock device and |
7 | | maintains the ignition interlock device for 5 years.
|
8 | | (i) (Blank).
|
9 | | (j) In accordance with 49 C.F.R. 384, the Secretary of |
10 | | State may not issue a restricted driving permit for the |
11 | | operation of a commercial motor vehicle to a person holding a |
12 | | CDL whose driving privileges have been revoked, suspended, |
13 | | cancelled, or disqualified under any provisions of this Code.
|
14 | | (k) The Secretary of State shall notify by mail any person |
15 | | whose driving privileges have been revoked under paragraph 16 |
16 | | of subsection (a) of this Section that his or her driving |
17 | | privileges and driver's license will be revoked 90 days from |
18 | | the date of the mailing of the notice. |
19 | | (Source: P.A. 101-623, eff. 7-1-20; 102-299, eff. 8-6-21; |
20 | | 102-982, eff. 7-1-23.)
|
21 | | (625 ILCS 5/6-206)
|
22 | | (Text of Section before amendment by P.A. 102-982 )
|
23 | | Sec. 6-206. Discretionary authority to suspend or revoke |
24 | | license or
permit; right to a hearing.
|
25 | | (a) The Secretary of State is authorized to suspend or |
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1 | | revoke the
driving privileges of any person without |
2 | | preliminary hearing upon a showing
of the person's records or |
3 | | other sufficient evidence that
the person:
|
4 | | 1. Has committed an offense for which mandatory |
5 | | revocation of
a driver's license or permit is required |
6 | | upon conviction;
|
7 | | 2. Has been convicted of not less than 3 offenses |
8 | | against traffic
regulations governing the movement of |
9 | | vehicles committed within any 12-month period. No |
10 | | revocation or suspension shall be entered more than
6 |
11 | | months after the date of last conviction;
|
12 | | 3. Has been repeatedly involved as a driver in motor |
13 | | vehicle
collisions or has been repeatedly convicted of |
14 | | offenses against laws and
ordinances regulating the |
15 | | movement of traffic, to a degree that
indicates lack of |
16 | | ability to exercise ordinary and reasonable care in
the |
17 | | safe operation of a motor vehicle or disrespect for the |
18 | | traffic laws
and the safety of other persons upon the |
19 | | highway;
|
20 | | 4. Has by the unlawful operation of a motor vehicle |
21 | | caused or
contributed to an accident resulting in injury |
22 | | requiring
immediate professional treatment in a medical |
23 | | facility or doctor's office
to any person, except that any |
24 | | suspension or revocation imposed by the
Secretary of State |
25 | | under the provisions of this subsection shall start no
|
26 | | later than 6 months after being convicted of violating a |
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1 | | law or
ordinance regulating the movement of traffic, which |
2 | | violation is related
to the accident, or shall start not |
3 | | more than one year
after
the date of the accident, |
4 | | whichever date occurs later;
|
5 | | 5. Has permitted an unlawful or fraudulent use of a |
6 | | driver's
license, identification card, or permit;
|
7 | | 6. Has been lawfully convicted of an offense or |
8 | | offenses in another
state, including the authorization |
9 | | contained in Section 6-203.1, which
if committed within |
10 | | this State would be grounds for suspension or revocation;
|
11 | | 7. Has refused or failed to submit to an examination |
12 | | provided for by
Section 6-207 or has failed to pass the |
13 | | examination;
|
14 | | 8. Is ineligible for a driver's license or permit |
15 | | under the provisions
of Section 6-103;
|
16 | | 9. Has made a false statement or knowingly concealed a |
17 | | material fact
or has used false information or |
18 | | identification in any application for a
license, |
19 | | identification card, or permit;
|
20 | | 10. Has possessed, displayed, or attempted to |
21 | | fraudulently use any
license, identification card, or |
22 | | permit not issued to the person;
|
23 | | 11. Has operated a motor vehicle upon a highway of |
24 | | this State when
the person's driving privilege or |
25 | | privilege to obtain a driver's license
or permit was |
26 | | revoked or suspended unless the operation was authorized |
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1 | | by
a monitoring device driving permit, judicial driving |
2 | | permit issued prior to January 1, 2009, probationary |
3 | | license to drive, or restricted
driving permit issued |
4 | | under this Code;
|
5 | | 12. Has submitted to any portion of the application |
6 | | process for
another person or has obtained the services of |
7 | | another person to submit to
any portion of the application |
8 | | process for the purpose of obtaining a
license, |
9 | | identification card, or permit for some other person;
|
10 | | 13. Has operated a motor vehicle upon a highway of |
11 | | this State when
the person's driver's license or permit |
12 | | was invalid under the provisions of
Sections 6-107.1 and
|
13 | | 6-110;
|
14 | | 14. Has committed a violation of Section 6-301, |
15 | | 6-301.1, or 6-301.2
of this Code, or Section 14, 14A, or |
16 | | 14B of the Illinois Identification Card
Act or a similar |
17 | | offense in another state if, at the time of the offense, |
18 | | the person held an Illinois driver's license or |
19 | | identification card;
|
20 | | 15. Has been convicted of violating Section 21-2 of |
21 | | the Criminal Code
of 1961 or the Criminal Code of 2012 |
22 | | relating to criminal trespass to vehicles if the person |
23 | | exercised actual physical control over the vehicle during |
24 | | the commission of the offense, in which case the |
25 | | suspension
shall be for one year;
|
26 | | 16. Has been convicted of violating Section 11-204 of |
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1 | | this Code relating
to fleeing from a peace officer;
|
2 | | 17. Has refused to submit to a test, or tests, as |
3 | | required under Section
11-501.1 of this Code and the |
4 | | person has not sought a hearing as
provided for in Section |
5 | | 11-501.1;
|
6 | | 18. (Blank);
|
7 | | 19. Has committed a violation of paragraph (a) or (b) |
8 | | of Section 6-101
relating to driving without a driver's |
9 | | license;
|
10 | | 20. Has been convicted of violating Section 6-104 |
11 | | relating to
classification of driver's license;
|
12 | | 21. Has been convicted of violating Section 11-402 of
|
13 | | this Code relating to leaving the scene of an accident |
14 | | resulting in damage
to a vehicle in excess of $1,000, in |
15 | | which case the suspension shall be
for one year;
|
16 | | 22. Has used a motor vehicle in violating paragraph |
17 | | (3), (4), (7), or
(9) of subsection (a) of Section 24-1 of |
18 | | the Criminal Code of 1961 or the Criminal Code of 2012 |
19 | | relating
to unlawful use of weapons, in which case the |
20 | | suspension shall be for one
year;
|
21 | | 23. Has, as a driver, been convicted of committing a |
22 | | violation of
paragraph (a) of Section 11-502 of this Code |
23 | | for a second or subsequent
time within one year of a |
24 | | similar violation;
|
25 | | 24. Has been convicted by a court-martial or punished |
26 | | by non-judicial
punishment by military authorities of the |
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1 | | United States at a military
installation in Illinois or in |
2 | | another state of or for a traffic-related offense that is |
3 | | the
same as or similar to an offense specified under |
4 | | Section 6-205 or 6-206 of
this Code;
|
5 | | 25. Has permitted any form of identification to be |
6 | | used by another in
the application process in order to |
7 | | obtain or attempt to obtain a license,
identification |
8 | | card, or permit;
|
9 | | 26. Has altered or attempted to alter a license or has |
10 | | possessed an
altered license, identification card, or |
11 | | permit;
|
12 | | 27. (Blank);
|
13 | | 28. Has been convicted for a first time of the illegal |
14 | | possession, while operating or
in actual physical control, |
15 | | as a driver, of a motor vehicle, of any
controlled |
16 | | substance prohibited under the Illinois Controlled |
17 | | Substances
Act, any cannabis prohibited under the Cannabis |
18 | | Control
Act, or any methamphetamine prohibited under the |
19 | | Methamphetamine Control and Community Protection Act, in |
20 | | which case the person's driving privileges shall be |
21 | | suspended for
one year.
Any defendant found guilty of this |
22 | | offense while operating a motor vehicle
shall have an |
23 | | entry made in the court record by the presiding judge that
|
24 | | this offense did occur while the defendant was operating a |
25 | | motor vehicle
and order the clerk of the court to report |
26 | | the violation to the Secretary
of State;
|
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1 | | 29. Has been convicted of the following offenses that |
2 | | were committed
while the person was operating or in actual |
3 | | physical control, as a driver,
of a motor vehicle: |
4 | | criminal sexual assault,
predatory criminal sexual assault |
5 | | of a child,
aggravated criminal sexual
assault, criminal |
6 | | sexual abuse, aggravated criminal sexual abuse, juvenile
|
7 | | pimping, soliciting for a juvenile prostitute, promoting |
8 | | juvenile prostitution as described in subdivision (a)(1), |
9 | | (a)(2), or (a)(3) of Section 11-14.4 of the Criminal Code |
10 | | of 1961 or the Criminal Code of 2012, and the manufacture, |
11 | | sale or
delivery of controlled substances or instruments |
12 | | used for illegal drug use
or abuse in which case the |
13 | | driver's driving privileges shall be suspended
for one |
14 | | year;
|
15 | | 30. Has been convicted a second or subsequent time for |
16 | | any
combination of the offenses named in paragraph 29 of |
17 | | this subsection,
in which case the person's driving |
18 | | privileges shall be suspended for 5
years;
|
19 | | 31. Has refused to submit to a test as
required by |
20 | | Section 11-501.6 of this Code or Section 5-16c of the Boat |
21 | | Registration and Safety Act or has submitted to a test |
22 | | resulting in
an alcohol concentration of 0.08 or more or |
23 | | any amount of a drug, substance, or
compound resulting |
24 | | from the unlawful use or consumption of cannabis as listed
|
25 | | in the Cannabis Control Act, a controlled substance as |
26 | | listed in the Illinois
Controlled Substances Act, an |
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1 | | intoxicating compound as listed in the Use of
Intoxicating |
2 | | Compounds Act, or methamphetamine as listed in the |
3 | | Methamphetamine Control and Community Protection Act, in |
4 | | which case the penalty shall be
as prescribed in Section |
5 | | 6-208.1;
|
6 | | 32. Has been convicted of Section 24-1.2 of the |
7 | | Criminal Code of
1961 or the Criminal Code of 2012 |
8 | | relating to the aggravated discharge of a firearm if the |
9 | | offender was
located in a motor vehicle at the time the |
10 | | firearm was discharged, in which
case the suspension shall |
11 | | be for 3 years;
|
12 | | 33. Has as a driver, who was less than 21 years of age |
13 | | on the date of
the offense, been convicted a first time of |
14 | | a violation of paragraph (a) of
Section 11-502 of this |
15 | | Code or a similar provision of a local ordinance;
|
16 | | 34. Has committed a violation of Section 11-1301.5 of |
17 | | this Code or a similar provision of a local ordinance;
|
18 | | 35. Has committed a violation of Section 11-1301.6 of |
19 | | this Code or a similar provision of a local ordinance;
|
20 | | 36. Is under the age of 21 years at the time of arrest |
21 | | and has been
convicted of not less than 2 offenses against |
22 | | traffic regulations governing
the movement of vehicles |
23 | | committed within any 24-month period. No revocation
or |
24 | | suspension shall be entered more than 6 months after the |
25 | | date of last
conviction;
|
26 | | 37. Has committed a violation of subsection (c) of |
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1 | | Section 11-907 of this
Code that resulted in damage to the |
2 | | property of another or the death or injury of another;
|
3 | | 38. Has been convicted of a violation of Section 6-20 |
4 | | of the Liquor
Control Act of 1934 or a similar provision of |
5 | | a local ordinance and the person was an occupant of a motor |
6 | | vehicle at the time of the violation;
|
7 | | 39. Has committed a second or subsequent violation of |
8 | | Section
11-1201 of this Code;
|
9 | | 40. Has committed a violation of subsection (a-1) of |
10 | | Section 11-908 of
this Code; |
11 | | 41. Has committed a second or subsequent violation of |
12 | | Section 11-605.1 of this Code, a similar provision of a |
13 | | local ordinance, or a similar violation in any other state |
14 | | within 2 years of the date of the previous violation, in |
15 | | which case the suspension shall be for 90 days; |
16 | | 42. Has committed a violation of subsection (a-1) of |
17 | | Section 11-1301.3 of this Code or a similar provision of a |
18 | | local ordinance;
|
19 | | 43. Has received a disposition of court supervision |
20 | | for a violation of subsection (a), (d), or (e) of Section |
21 | | 6-20 of the Liquor
Control Act of 1934 or a similar |
22 | | provision of a local ordinance and the person was an |
23 | | occupant of a motor vehicle at the time of the violation, |
24 | | in which case the suspension shall be for a period of 3 |
25 | | months;
|
26 | | 44.
Is under the age of 21 years at the time of arrest |
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1 | | and has been convicted of an offense against traffic |
2 | | regulations governing the movement of vehicles after |
3 | | having previously had his or her driving privileges
|
4 | | suspended or revoked pursuant to subparagraph 36 of this |
5 | | Section; |
6 | | 45.
Has, in connection with or during the course of a |
7 | | formal hearing conducted under Section 2-118 of this Code: |
8 | | (i) committed perjury; (ii) submitted fraudulent or |
9 | | falsified documents; (iii) submitted documents that have |
10 | | been materially altered; or (iv) submitted, as his or her |
11 | | own, documents that were in fact prepared or composed for |
12 | | another person; |
13 | | 46. Has committed a violation of subsection (j) of |
14 | | Section 3-413 of this Code;
|
15 | | 47. Has committed a violation of subsection (a) of |
16 | | Section 11-502.1 of this Code; |
17 | | 48. Has submitted a falsified or altered medical |
18 | | examiner's certificate to the Secretary of State or |
19 | | provided false information to obtain a medical examiner's |
20 | | certificate; |
21 | | 49. Has been convicted of a violation of Section |
22 | | 11-1002 or 11-1002.5 that resulted in a Type A injury to |
23 | | another, in which case the driving privileges of the |
24 | | person shall be suspended for 12 months; |
25 | | 50. Has committed a violation of subsection (b-5) of |
26 | | Section 12-610.2 that resulted in great bodily harm, |
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1 | | permanent disability, or disfigurement, in which case the |
2 | | driving privileges of the person shall be suspended for 12 |
3 | | months; |
4 | | 51. Has committed a violation of Section 10-15 Of the |
5 | | Cannabis Regulation and Tax Act or a similar provision of |
6 | | a local ordinance while in a motor vehicle; or |
7 | | 52. Has committed a violation of subsection (b) of |
8 | | Section 10-20 of the Cannabis Regulation and Tax Act or a |
9 | | similar provision of a local ordinance. |
10 | | For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26, |
11 | | and 27 of this
subsection, license means any driver's license, |
12 | | any traffic ticket issued when
the person's driver's license |
13 | | is deposited in lieu of bail, a suspension
notice issued by the |
14 | | Secretary of State, a duplicate or corrected driver's
license, |
15 | | a probationary driver's license, or a temporary driver's |
16 | | license. |
17 | | (b) If any conviction forming the basis of a suspension or
|
18 | | revocation authorized under this Section is appealed, the
|
19 | | Secretary of State may rescind or withhold the entry of the |
20 | | order of suspension
or revocation, as the case may be, |
21 | | provided that a certified copy of a stay
order of a court is |
22 | | filed with the Secretary of State. If the conviction is
|
23 | | affirmed on appeal, the date of the conviction shall relate |
24 | | back to the time
the original judgment of conviction was |
25 | | entered and the 6-month limitation
prescribed shall not apply.
|
26 | | (c) 1. Upon suspending or revoking the driver's license or |
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1 | | permit of
any person as authorized in this Section, the |
2 | | Secretary of State shall
immediately notify the person in |
3 | | writing of the revocation or suspension.
The notice to be |
4 | | deposited in the United States mail, postage prepaid,
to the |
5 | | last known address of the person.
|
6 | | 2. If the Secretary of State suspends the driver's license
|
7 | | of a person under subsection 2 of paragraph (a) of this |
8 | | Section, a
person's privilege to operate a vehicle as an |
9 | | occupation shall not be
suspended, provided an affidavit is |
10 | | properly completed, the appropriate fee
received, and a permit |
11 | | issued prior to the effective date of the
suspension, unless 5 |
12 | | offenses were committed, at least 2 of which occurred
while |
13 | | operating a commercial vehicle in connection with the driver's
|
14 | | regular occupation. All other driving privileges shall be |
15 | | suspended by the
Secretary of State. Any driver prior to |
16 | | operating a vehicle for
occupational purposes only must submit |
17 | | the affidavit on forms to be
provided by the Secretary of State |
18 | | setting forth the facts of the person's
occupation. The |
19 | | affidavit shall also state the number of offenses
committed |
20 | | while operating a vehicle in connection with the driver's |
21 | | regular
occupation. The affidavit shall be accompanied by the |
22 | | driver's license.
Upon receipt of a properly completed |
23 | | affidavit, the Secretary of State
shall issue the driver a |
24 | | permit to operate a vehicle in connection with the
driver's |
25 | | regular occupation only. Unless the permit is issued by the
|
26 | | Secretary of State prior to the date of suspension, the |
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1 | | privilege to drive
any motor vehicle shall be suspended as set |
2 | | forth in the notice that was
mailed under this Section. If an |
3 | | affidavit is received subsequent to the
effective date of this |
4 | | suspension, a permit may be issued for the remainder
of the |
5 | | suspension period.
|
6 | | The provisions of this subparagraph shall not apply to any |
7 | | driver
required to possess a CDL for the purpose of operating a |
8 | | commercial motor vehicle.
|
9 | | Any person who falsely states any fact in the affidavit |
10 | | required
herein shall be guilty of perjury under Section 6-302 |
11 | | and upon conviction
thereof shall have all driving privileges |
12 | | revoked without further rights.
|
13 | | 3. At the conclusion of a hearing under Section 2-118 of |
14 | | this Code,
the Secretary of State shall either rescind or |
15 | | continue an order of
revocation or shall substitute an order |
16 | | of suspension; or, good
cause appearing therefor, rescind, |
17 | | continue, change, or extend the
order of suspension. If the |
18 | | Secretary of State does not rescind the order,
the Secretary |
19 | | may upon application,
to relieve undue hardship (as defined by |
20 | | the rules of the Secretary of State), issue
a restricted |
21 | | driving permit granting the privilege of driving a motor
|
22 | | vehicle between the petitioner's residence and petitioner's |
23 | | place of
employment or within the scope of the petitioner's |
24 | | employment-related duties, or to
allow the petitioner to |
25 | | transport himself or herself, or a family member of the
|
26 | | petitioner's household to a medical facility, to receive |
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1 | | necessary medical care, to allow the petitioner to transport |
2 | | himself or herself to and from alcohol or drug
remedial or |
3 | | rehabilitative activity recommended by a licensed service |
4 | | provider, or to allow the petitioner to transport himself or |
5 | | herself or a family member of the petitioner's household to |
6 | | classes, as a student, at an accredited educational |
7 | | institution, or to allow the petitioner to transport children, |
8 | | elderly persons, or persons with disabilities who do not hold |
9 | | driving privileges and are living in the petitioner's |
10 | | household to and from child care or adult day care daycare . The
|
11 | | petitioner must demonstrate that no alternative means of
|
12 | | transportation is reasonably available and that the petitioner |
13 | | will not endanger
the public safety or welfare.
|
14 | | (A) If a person's license or permit is revoked or |
15 | | suspended due to 2
or more convictions of violating |
16 | | Section 11-501 of this Code or a similar
provision of a |
17 | | local ordinance or a similar out-of-state offense, or |
18 | | Section 9-3 of the Criminal Code of 1961 or the Criminal |
19 | | Code of 2012, where the use of alcohol or other drugs is |
20 | | recited as an element of the offense, or a similar |
21 | | out-of-state offense, or a combination of these offenses, |
22 | | arising out
of separate occurrences, that person, if |
23 | | issued a restricted driving permit,
may not operate a |
24 | | vehicle unless it has been equipped with an ignition
|
25 | | interlock device as defined in Section 1-129.1.
|
26 | | (B) If a person's license or permit is revoked or |
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1 | | suspended 2 or more
times due to any combination of: |
2 | | (i) a single conviction of violating Section
|
3 | | 11-501 of this Code or a similar provision of a local |
4 | | ordinance or a similar
out-of-state offense or Section |
5 | | 9-3 of the Criminal Code of 1961 or the Criminal Code |
6 | | of 2012, where the use of alcohol or other drugs is |
7 | | recited as an element of the offense, or a similar |
8 | | out-of-state offense; or |
9 | | (ii) a statutory summary suspension or revocation |
10 | | under Section
11-501.1; or |
11 | | (iii) a suspension under Section 6-203.1; |
12 | | arising out of
separate occurrences; that person, if |
13 | | issued a restricted driving permit, may
not operate a |
14 | | vehicle unless it has been
equipped with an ignition |
15 | | interlock device as defined in Section 1-129.1. |
16 | | (B-5) If a person's license or permit is revoked or |
17 | | suspended due to a conviction for a violation of |
18 | | subparagraph (C) or (F) of paragraph (1) of subsection (d) |
19 | | of Section 11-501 of this Code, or a similar provision of a |
20 | | local ordinance or similar out-of-state offense, that |
21 | | person, if issued a restricted driving permit, may not |
22 | | operate a vehicle unless it has been equipped with an |
23 | | ignition interlock device as defined in Section 1-129.1. |
24 | | (C)
The person issued a permit conditioned upon the |
25 | | use of an ignition interlock device must pay to the |
26 | | Secretary of State DUI Administration Fund an amount
not |
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1 | | to exceed $30 per month. The Secretary shall establish by |
2 | | rule the amount
and the procedures, terms, and conditions |
3 | | relating to these fees. |
4 | | (D) If the
restricted driving permit is issued for |
5 | | employment purposes, then the prohibition against |
6 | | operating a motor vehicle that is not equipped with an |
7 | | ignition interlock device does not apply to the operation |
8 | | of an occupational vehicle owned or
leased by that |
9 | | person's employer when used solely for employment |
10 | | purposes. For any person who, within a 5-year period, is |
11 | | convicted of a second or subsequent offense under Section |
12 | | 11-501 of this Code, or a similar provision of a local |
13 | | ordinance or similar out-of-state offense, this employment |
14 | | exemption does not apply until either a one-year period |
15 | | has elapsed during which that person had his or her |
16 | | driving privileges revoked or a one-year period has |
17 | | elapsed during which that person had a restricted driving |
18 | | permit which required the use of an ignition interlock |
19 | | device on every motor vehicle owned or operated by that |
20 | | person. |
21 | | (E) In each case the Secretary may issue a
restricted |
22 | | driving permit for a period deemed appropriate, except |
23 | | that all
permits shall expire no later than 2 years from |
24 | | the date of issuance. A
restricted driving permit issued |
25 | | under this Section shall be subject to
cancellation, |
26 | | revocation, and suspension by the Secretary of State in |
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1 | | like
manner and for like cause as a driver's license |
2 | | issued under this Code may be
cancelled, revoked, or |
3 | | suspended; except that a conviction upon one or more
|
4 | | offenses against laws or ordinances regulating the |
5 | | movement of traffic
shall be deemed sufficient cause for |
6 | | the revocation, suspension, or
cancellation of a |
7 | | restricted driving permit. The Secretary of State may, as
|
8 | | a condition to the issuance of a restricted driving |
9 | | permit, require the
applicant to participate in a |
10 | | designated driver remedial or rehabilitative
program. The |
11 | | Secretary of State is authorized to cancel a restricted
|
12 | | driving permit if the permit holder does not successfully |
13 | | complete the program.
|
14 | | (F) A person subject to the provisions of paragraph 4 |
15 | | of subsection (b) of Section 6-208 of this Code may make |
16 | | application for a restricted driving permit at a hearing |
17 | | conducted under Section 2-118 of this Code after the |
18 | | expiration of 5 years from the effective date of the most |
19 | | recent revocation or after 5 years from the date of |
20 | | release from a period of imprisonment resulting from a |
21 | | conviction of the most recent offense, whichever is later, |
22 | | provided the person, in addition to all other requirements |
23 | | of the Secretary, shows by clear and convincing evidence: |
24 | | (i) a minimum of 3 years of uninterrupted |
25 | | abstinence from alcohol and the unlawful use or |
26 | | consumption of cannabis under the Cannabis Control |
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1 | | Act, a controlled substance under the Illinois |
2 | | Controlled Substances Act, an intoxicating compound |
3 | | under the Use of Intoxicating Compounds Act, or |
4 | | methamphetamine under the Methamphetamine Control and |
5 | | Community Protection Act; and |
6 | | (ii) the successful completion of any |
7 | | rehabilitative treatment and involvement in any |
8 | | ongoing rehabilitative activity that may be |
9 | | recommended by a properly licensed service provider |
10 | | according to an assessment of the person's alcohol or |
11 | | drug use under Section 11-501.01 of this Code. |
12 | | In determining whether an applicant is eligible for a |
13 | | restricted driving permit under this subparagraph (F), the |
14 | | Secretary may consider any relevant evidence, including, |
15 | | but not limited to, testimony, affidavits, records, and |
16 | | the results of regular alcohol or drug tests. Persons |
17 | | subject to the provisions of paragraph 4 of subsection (b) |
18 | | of Section 6-208 of this Code and who have been convicted |
19 | | of more than one violation of paragraph (3), paragraph |
20 | | (4), or paragraph (5) of subsection (a) of Section 11-501 |
21 | | of this Code shall not be eligible to apply for a |
22 | | restricted driving permit under this subparagraph (F). |
23 | | A restricted driving permit issued under this |
24 | | subparagraph (F) shall provide that the holder may only |
25 | | operate motor vehicles equipped with an ignition interlock |
26 | | device as required under paragraph (2) of subsection (c) |
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1 | | of Section 6-205 of this Code and subparagraph (A) of |
2 | | paragraph 3 of subsection (c) of this Section. The |
3 | | Secretary may revoke a restricted driving permit or amend |
4 | | the conditions of a restricted driving permit issued under |
5 | | this subparagraph (F) if the holder operates a vehicle |
6 | | that is not equipped with an ignition interlock device, or |
7 | | for any other reason authorized under this Code. |
8 | | A restricted driving permit issued under this |
9 | | subparagraph (F) shall be revoked, and the holder barred |
10 | | from applying for or being issued a restricted driving |
11 | | permit in the future, if the holder is convicted of a |
12 | | violation of Section 11-501 of this Code, a similar |
13 | | provision of a local ordinance, or a similar offense in |
14 | | another state. |
15 | | (c-3) In the case of a suspension under paragraph 43 of |
16 | | subsection (a), reports received by the Secretary of State |
17 | | under this Section shall, except during the actual time the |
18 | | suspension is in effect, be privileged information and for use |
19 | | only by the courts, police officers, prosecuting authorities, |
20 | | the driver licensing administrator of any other state, the |
21 | | Secretary of State, or the parent or legal guardian of a driver |
22 | | under the age of 18. However, beginning January 1, 2008, if the |
23 | | person is a CDL holder, the suspension shall also be made |
24 | | available to the driver licensing administrator of any other |
25 | | state, the U.S. Department of Transportation, and the affected |
26 | | driver or motor
carrier or prospective motor carrier upon |
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1 | | request.
|
2 | | (c-4) In the case of a suspension under paragraph 43 of |
3 | | subsection (a), the Secretary of State shall notify the person |
4 | | by mail that his or her driving privileges and driver's |
5 | | license will be suspended one month after the date of the |
6 | | mailing of the notice.
|
7 | | (c-5) The Secretary of State may, as a condition of the |
8 | | reissuance of a
driver's license or permit to an applicant |
9 | | whose driver's license or permit has
been suspended before he |
10 | | or she reached the age of 21 years pursuant to any of
the |
11 | | provisions of this Section, require the applicant to |
12 | | participate in a
driver remedial education course and be |
13 | | retested under Section 6-109 of this
Code.
|
14 | | (d) This Section is subject to the provisions of the |
15 | | Driver License
Compact.
|
16 | | (e) The Secretary of State shall not issue a restricted |
17 | | driving permit to
a person under the age of 16 years whose |
18 | | driving privileges have been suspended
or revoked under any |
19 | | provisions of this Code.
|
20 | | (f) In accordance with 49 CFR 384, the Secretary of State |
21 | | may not issue a restricted driving permit for the operation of |
22 | | a commercial motor vehicle to a person holding a CDL whose |
23 | | driving privileges have been suspended, revoked, cancelled, or |
24 | | disqualified under any provisions of this Code. |
25 | | (Source: P.A. 101-90, eff. 7-1-20; 101-470, eff. 7-1-20; |
26 | | 101-623, eff. 7-1-20; 101-652, eff. 1-1-23; 102-299, eff. |
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1 | | 8-6-21; 102-558, eff. 8-20-21; 102-749, eff. 1-1-23; 102-813, |
2 | | eff. 5-13-22; revised 12-14-22.)
|
3 | | (Text of Section after amendment by P.A. 102-982 ) |
4 | | Sec. 6-206. Discretionary authority to suspend or revoke |
5 | | license or
permit; right to a hearing.
|
6 | | (a) The Secretary of State is authorized to suspend or |
7 | | revoke the
driving privileges of any person without |
8 | | preliminary hearing upon a showing
of the person's records or |
9 | | other sufficient evidence that
the person:
|
10 | | 1. Has committed an offense for which mandatory |
11 | | revocation of
a driver's license or permit is required |
12 | | upon conviction;
|
13 | | 2. Has been convicted of not less than 3 offenses |
14 | | against traffic
regulations governing the movement of |
15 | | vehicles committed within any 12-month period. No |
16 | | revocation or suspension shall be entered more than
6 |
17 | | months after the date of last conviction;
|
18 | | 3. Has been repeatedly involved as a driver in motor |
19 | | vehicle
collisions or has been repeatedly convicted of |
20 | | offenses against laws and
ordinances regulating the |
21 | | movement of traffic, to a degree that
indicates lack of |
22 | | ability to exercise ordinary and reasonable care in
the |
23 | | safe operation of a motor vehicle or disrespect for the |
24 | | traffic laws
and the safety of other persons upon the |
25 | | highway;
|
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1 | | 4. Has by the unlawful operation of a motor vehicle |
2 | | caused or
contributed to a crash resulting in injury |
3 | | requiring
immediate professional treatment in a medical |
4 | | facility or doctor's office
to any person, except that any |
5 | | suspension or revocation imposed by the
Secretary of State |
6 | | under the provisions of this subsection shall start no
|
7 | | later than 6 months after being convicted of violating a |
8 | | law or
ordinance regulating the movement of traffic, which |
9 | | violation is related
to the crash, or shall start not more |
10 | | than one year
after
the date of the crash, whichever date |
11 | | occurs later;
|
12 | | 5. Has permitted an unlawful or fraudulent use of a |
13 | | driver's
license, identification card, or permit;
|
14 | | 6. Has been lawfully convicted of an offense or |
15 | | offenses in another
state, including the authorization |
16 | | contained in Section 6-203.1, which
if committed within |
17 | | this State would be grounds for suspension or revocation;
|
18 | | 7. Has refused or failed to submit to an examination |
19 | | provided for by
Section 6-207 or has failed to pass the |
20 | | examination;
|
21 | | 8. Is ineligible for a driver's license or permit |
22 | | under the provisions
of Section 6-103;
|
23 | | 9. Has made a false statement or knowingly concealed a |
24 | | material fact
or has used false information or |
25 | | identification in any application for a
license, |
26 | | identification card, or permit;
|
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1 | | 10. Has possessed, displayed, or attempted to |
2 | | fraudulently use any
license, identification card, or |
3 | | permit not issued to the person;
|
4 | | 11. Has operated a motor vehicle upon a highway of |
5 | | this State when
the person's driving privilege or |
6 | | privilege to obtain a driver's license
or permit was |
7 | | revoked or suspended unless the operation was authorized |
8 | | by
a monitoring device driving permit, judicial driving |
9 | | permit issued prior to January 1, 2009, probationary |
10 | | license to drive, or restricted
driving permit issued |
11 | | under this Code;
|
12 | | 12. Has submitted to any portion of the application |
13 | | process for
another person or has obtained the services of |
14 | | another person to submit to
any portion of the application |
15 | | process for the purpose of obtaining a
license, |
16 | | identification card, or permit for some other person;
|
17 | | 13. Has operated a motor vehicle upon a highway of |
18 | | this State when
the person's driver's license or permit |
19 | | was invalid under the provisions of
Sections 6-107.1 and
|
20 | | 6-110;
|
21 | | 14. Has committed a violation of Section 6-301, |
22 | | 6-301.1, or 6-301.2
of this Code, or Section 14, 14A, or |
23 | | 14B of the Illinois Identification Card
Act or a similar |
24 | | offense in another state if, at the time of the offense, |
25 | | the person held an Illinois driver's license or |
26 | | identification card;
|
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1 | | 15. Has been convicted of violating Section 21-2 of |
2 | | the Criminal Code
of 1961 or the Criminal Code of 2012 |
3 | | relating to criminal trespass to vehicles if the person |
4 | | exercised actual physical control over the vehicle during |
5 | | the commission of the offense, in which case the |
6 | | suspension
shall be for one year;
|
7 | | 16. Has been convicted of violating Section 11-204 of |
8 | | this Code relating
to fleeing from a peace officer;
|
9 | | 17. Has refused to submit to a test, or tests, as |
10 | | required under Section
11-501.1 of this Code and the |
11 | | person has not sought a hearing as
provided for in Section |
12 | | 11-501.1;
|
13 | | 18. (Blank);
|
14 | | 19. Has committed a violation of paragraph (a) or (b) |
15 | | of Section 6-101
relating to driving without a driver's |
16 | | license;
|
17 | | 20. Has been convicted of violating Section 6-104 |
18 | | relating to
classification of driver's license;
|
19 | | 21. Has been convicted of violating Section 11-402 of
|
20 | | this Code relating to leaving the scene of a crash |
21 | | resulting in damage
to a vehicle in excess of $1,000, in |
22 | | which case the suspension shall be
for one year;
|
23 | | 22. Has used a motor vehicle in violating paragraph |
24 | | (3), (4), (7), or
(9) of subsection (a) of Section 24-1 of |
25 | | the Criminal Code of 1961 or the Criminal Code of 2012 |
26 | | relating
to unlawful use of weapons, in which case the |
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1 | | suspension shall be for one
year;
|
2 | | 23. Has, as a driver, been convicted of committing a |
3 | | violation of
paragraph (a) of Section 11-502 of this Code |
4 | | for a second or subsequent
time within one year of a |
5 | | similar violation;
|
6 | | 24. Has been convicted by a court-martial or punished |
7 | | by non-judicial
punishment by military authorities of the |
8 | | United States at a military
installation in Illinois or in |
9 | | another state of or for a traffic-related offense that is |
10 | | the
same as or similar to an offense specified under |
11 | | Section 6-205 or 6-206 of
this Code;
|
12 | | 25. Has permitted any form of identification to be |
13 | | used by another in
the application process in order to |
14 | | obtain or attempt to obtain a license,
identification |
15 | | card, or permit;
|
16 | | 26. Has altered or attempted to alter a license or has |
17 | | possessed an
altered license, identification card, or |
18 | | permit;
|
19 | | 27. (Blank);
|
20 | | 28. Has been convicted for a first time of the illegal |
21 | | possession, while operating or
in actual physical control, |
22 | | as a driver, of a motor vehicle, of any
controlled |
23 | | substance prohibited under the Illinois Controlled |
24 | | Substances
Act, any cannabis prohibited under the Cannabis |
25 | | Control
Act, or any methamphetamine prohibited under the |
26 | | Methamphetamine Control and Community Protection Act, in |
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1 | | which case the person's driving privileges shall be |
2 | | suspended for
one year.
Any defendant found guilty of this |
3 | | offense while operating a motor vehicle
shall have an |
4 | | entry made in the court record by the presiding judge that
|
5 | | this offense did occur while the defendant was operating a |
6 | | motor vehicle
and order the clerk of the court to report |
7 | | the violation to the Secretary
of State;
|
8 | | 29. Has been convicted of the following offenses that |
9 | | were committed
while the person was operating or in actual |
10 | | physical control, as a driver,
of a motor vehicle: |
11 | | criminal sexual assault,
predatory criminal sexual assault |
12 | | of a child,
aggravated criminal sexual
assault, criminal |
13 | | sexual abuse, aggravated criminal sexual abuse, juvenile
|
14 | | pimping, soliciting for a juvenile prostitute, promoting |
15 | | juvenile prostitution as described in subdivision (a)(1), |
16 | | (a)(2), or (a)(3) of Section 11-14.4 of the Criminal Code |
17 | | of 1961 or the Criminal Code of 2012, and the manufacture, |
18 | | sale or
delivery of controlled substances or instruments |
19 | | used for illegal drug use
or abuse in which case the |
20 | | driver's driving privileges shall be suspended
for one |
21 | | year;
|
22 | | 30. Has been convicted a second or subsequent time for |
23 | | any
combination of the offenses named in paragraph 29 of |
24 | | this subsection,
in which case the person's driving |
25 | | privileges shall be suspended for 5
years;
|
26 | | 31. Has refused to submit to a test as
required by |
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1 | | Section 11-501.6 of this Code or Section 5-16c of the Boat |
2 | | Registration and Safety Act or has submitted to a test |
3 | | resulting in
an alcohol concentration of 0.08 or more or |
4 | | any amount of a drug, substance, or
compound resulting |
5 | | from the unlawful use or consumption of cannabis as listed
|
6 | | in the Cannabis Control Act, a controlled substance as |
7 | | listed in the Illinois
Controlled Substances Act, an |
8 | | intoxicating compound as listed in the Use of
Intoxicating |
9 | | Compounds Act, or methamphetamine as listed in the |
10 | | Methamphetamine Control and Community Protection Act, in |
11 | | which case the penalty shall be
as prescribed in Section |
12 | | 6-208.1;
|
13 | | 32. Has been convicted of Section 24-1.2 of the |
14 | | Criminal Code of
1961 or the Criminal Code of 2012 |
15 | | relating to the aggravated discharge of a firearm if the |
16 | | offender was
located in a motor vehicle at the time the |
17 | | firearm was discharged, in which
case the suspension shall |
18 | | be for 3 years;
|
19 | | 33. Has as a driver, who was less than 21 years of age |
20 | | on the date of
the offense, been convicted a first time of |
21 | | a violation of paragraph (a) of
Section 11-502 of this |
22 | | Code or a similar provision of a local ordinance;
|
23 | | 34. Has committed a violation of Section 11-1301.5 of |
24 | | this Code or a similar provision of a local ordinance;
|
25 | | 35. Has committed a violation of Section 11-1301.6 of |
26 | | this Code or a similar provision of a local ordinance;
|
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1 | | 36. Is under the age of 21 years at the time of arrest |
2 | | and has been
convicted of not less than 2 offenses against |
3 | | traffic regulations governing
the movement of vehicles |
4 | | committed within any 24-month period. No revocation
or |
5 | | suspension shall be entered more than 6 months after the |
6 | | date of last
conviction;
|
7 | | 37. Has committed a violation of subsection (c) of |
8 | | Section 11-907 of this
Code that resulted in damage to the |
9 | | property of another or the death or injury of another;
|
10 | | 38. Has been convicted of a violation of Section 6-20 |
11 | | of the Liquor
Control Act of 1934 or a similar provision of |
12 | | a local ordinance and the person was an occupant of a motor |
13 | | vehicle at the time of the violation;
|
14 | | 39. Has committed a second or subsequent violation of |
15 | | Section
11-1201 of this Code;
|
16 | | 40. Has committed a violation of subsection (a-1) of |
17 | | Section 11-908 of
this Code; |
18 | | 41. Has committed a second or subsequent violation of |
19 | | Section 11-605.1 of this Code, a similar provision of a |
20 | | local ordinance, or a similar violation in any other state |
21 | | within 2 years of the date of the previous violation, in |
22 | | which case the suspension shall be for 90 days; |
23 | | 42. Has committed a violation of subsection (a-1) of |
24 | | Section 11-1301.3 of this Code or a similar provision of a |
25 | | local ordinance;
|
26 | | 43. Has received a disposition of court supervision |
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1 | | for a violation of subsection (a), (d), or (e) of Section |
2 | | 6-20 of the Liquor
Control Act of 1934 or a similar |
3 | | provision of a local ordinance and the person was an |
4 | | occupant of a motor vehicle at the time of the violation, |
5 | | in which case the suspension shall be for a period of 3 |
6 | | months;
|
7 | | 44.
Is under the age of 21 years at the time of arrest |
8 | | and has been convicted of an offense against traffic |
9 | | regulations governing the movement of vehicles after |
10 | | having previously had his or her driving privileges
|
11 | | suspended or revoked pursuant to subparagraph 36 of this |
12 | | Section; |
13 | | 45.
Has, in connection with or during the course of a |
14 | | formal hearing conducted under Section 2-118 of this Code: |
15 | | (i) committed perjury; (ii) submitted fraudulent or |
16 | | falsified documents; (iii) submitted documents that have |
17 | | been materially altered; or (iv) submitted, as his or her |
18 | | own, documents that were in fact prepared or composed for |
19 | | another person; |
20 | | 46. Has committed a violation of subsection (j) of |
21 | | Section 3-413 of this Code;
|
22 | | 47. Has committed a violation of subsection (a) of |
23 | | Section 11-502.1 of this Code; |
24 | | 48. Has submitted a falsified or altered medical |
25 | | examiner's certificate to the Secretary of State or |
26 | | provided false information to obtain a medical examiner's |
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1 | | certificate; |
2 | | 49. Has been convicted of a violation of Section |
3 | | 11-1002 or 11-1002.5 that resulted in a Type A injury to |
4 | | another, in which case the driving privileges of the |
5 | | person shall be suspended for 12 months; |
6 | | 50. Has committed a violation of subsection (b-5) of |
7 | | Section 12-610.2 that resulted in great bodily harm, |
8 | | permanent disability, or disfigurement, in which case the |
9 | | driving privileges of the person shall be suspended for 12 |
10 | | months; |
11 | | 51. Has committed a violation of Section 10-15 Of the |
12 | | Cannabis Regulation and Tax Act or a similar provision of |
13 | | a local ordinance while in a motor vehicle; or |
14 | | 52. Has committed a violation of subsection (b) of |
15 | | Section 10-20 of the Cannabis Regulation and Tax Act or a |
16 | | similar provision of a local ordinance. |
17 | | For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26, |
18 | | and 27 of this
subsection, license means any driver's license, |
19 | | any traffic ticket issued when
the person's driver's license |
20 | | is deposited in lieu of bail, a suspension
notice issued by the |
21 | | Secretary of State, a duplicate or corrected driver's
license, |
22 | | a probationary driver's license, or a temporary driver's |
23 | | license. |
24 | | (b) If any conviction forming the basis of a suspension or
|
25 | | revocation authorized under this Section is appealed, the
|
26 | | Secretary of State may rescind or withhold the entry of the |
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1 | | order of suspension
or revocation, as the case may be, |
2 | | provided that a certified copy of a stay
order of a court is |
3 | | filed with the Secretary of State. If the conviction is
|
4 | | affirmed on appeal, the date of the conviction shall relate |
5 | | back to the time
the original judgment of conviction was |
6 | | entered and the 6-month limitation
prescribed shall not apply.
|
7 | | (c) 1. Upon suspending or revoking the driver's license or |
8 | | permit of
any person as authorized in this Section, the |
9 | | Secretary of State shall
immediately notify the person in |
10 | | writing of the revocation or suspension.
The notice to be |
11 | | deposited in the United States mail, postage prepaid,
to the |
12 | | last known address of the person.
|
13 | | 2. If the Secretary of State suspends the driver's license
|
14 | | of a person under subsection 2 of paragraph (a) of this |
15 | | Section, a
person's privilege to operate a vehicle as an |
16 | | occupation shall not be
suspended, provided an affidavit is |
17 | | properly completed, the appropriate fee
received, and a permit |
18 | | issued prior to the effective date of the
suspension, unless 5 |
19 | | offenses were committed, at least 2 of which occurred
while |
20 | | operating a commercial vehicle in connection with the driver's
|
21 | | regular occupation. All other driving privileges shall be |
22 | | suspended by the
Secretary of State. Any driver prior to |
23 | | operating a vehicle for
occupational purposes only must submit |
24 | | the affidavit on forms to be
provided by the Secretary of State |
25 | | setting forth the facts of the person's
occupation. The |
26 | | affidavit shall also state the number of offenses
committed |
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1 | | while operating a vehicle in connection with the driver's |
2 | | regular
occupation. The affidavit shall be accompanied by the |
3 | | driver's license.
Upon receipt of a properly completed |
4 | | affidavit, the Secretary of State
shall issue the driver a |
5 | | permit to operate a vehicle in connection with the
driver's |
6 | | regular occupation only. Unless the permit is issued by the
|
7 | | Secretary of State prior to the date of suspension, the |
8 | | privilege to drive
any motor vehicle shall be suspended as set |
9 | | forth in the notice that was
mailed under this Section. If an |
10 | | affidavit is received subsequent to the
effective date of this |
11 | | suspension, a permit may be issued for the remainder
of the |
12 | | suspension period.
|
13 | | The provisions of this subparagraph shall not apply to any |
14 | | driver
required to possess a CDL for the purpose of operating a |
15 | | commercial motor vehicle.
|
16 | | Any person who falsely states any fact in the affidavit |
17 | | required
herein shall be guilty of perjury under Section 6-302 |
18 | | and upon conviction
thereof shall have all driving privileges |
19 | | revoked without further rights.
|
20 | | 3. At the conclusion of a hearing under Section 2-118 of |
21 | | this Code,
the Secretary of State shall either rescind or |
22 | | continue an order of
revocation or shall substitute an order |
23 | | of suspension; or, good
cause appearing therefor, rescind, |
24 | | continue, change, or extend the
order of suspension. If the |
25 | | Secretary of State does not rescind the order,
the Secretary |
26 | | may upon application,
to relieve undue hardship (as defined by |
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1 | | the rules of the Secretary of State), issue
a restricted |
2 | | driving permit granting the privilege of driving a motor
|
3 | | vehicle between the petitioner's residence and petitioner's |
4 | | place of
employment or within the scope of the petitioner's |
5 | | employment-related duties, or to
allow the petitioner to |
6 | | transport himself or herself, or a family member of the
|
7 | | petitioner's household to a medical facility, to receive |
8 | | necessary medical care, to allow the petitioner to transport |
9 | | himself or herself to and from alcohol or drug
remedial or |
10 | | rehabilitative activity recommended by a licensed service |
11 | | provider, or to allow the petitioner to transport himself or |
12 | | herself or a family member of the petitioner's household to |
13 | | classes, as a student, at an accredited educational |
14 | | institution, or to allow the petitioner to transport children, |
15 | | elderly persons, or persons with disabilities who do not hold |
16 | | driving privileges and are living in the petitioner's |
17 | | household to and from child care or adult day care daycare . The
|
18 | | petitioner must demonstrate that no alternative means of
|
19 | | transportation is reasonably available and that the petitioner |
20 | | will not endanger
the public safety or welfare.
|
21 | | (A) If a person's license or permit is revoked or |
22 | | suspended due to 2
or more convictions of violating |
23 | | Section 11-501 of this Code or a similar
provision of a |
24 | | local ordinance or a similar out-of-state offense, or |
25 | | Section 9-3 of the Criminal Code of 1961 or the Criminal |
26 | | Code of 2012, where the use of alcohol or other drugs is |
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1 | | recited as an element of the offense, or a similar |
2 | | out-of-state offense, or a combination of these offenses, |
3 | | arising out
of separate occurrences, that person, if |
4 | | issued a restricted driving permit,
may not operate a |
5 | | vehicle unless it has been equipped with an ignition
|
6 | | interlock device as defined in Section 1-129.1.
|
7 | | (B) If a person's license or permit is revoked or |
8 | | suspended 2 or more
times due to any combination of: |
9 | | (i) a single conviction of violating Section
|
10 | | 11-501 of this Code or a similar provision of a local |
11 | | ordinance or a similar
out-of-state offense or Section |
12 | | 9-3 of the Criminal Code of 1961 or the Criminal Code |
13 | | of 2012, where the use of alcohol or other drugs is |
14 | | recited as an element of the offense, or a similar |
15 | | out-of-state offense; or |
16 | | (ii) a statutory summary suspension or revocation |
17 | | under Section
11-501.1; or |
18 | | (iii) a suspension under Section 6-203.1; |
19 | | arising out of
separate occurrences; that person, if |
20 | | issued a restricted driving permit, may
not operate a |
21 | | vehicle unless it has been
equipped with an ignition |
22 | | interlock device as defined in Section 1-129.1. |
23 | | (B-5) If a person's license or permit is revoked or |
24 | | suspended due to a conviction for a violation of |
25 | | subparagraph (C) or (F) of paragraph (1) of subsection (d) |
26 | | of Section 11-501 of this Code, or a similar provision of a |
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1 | | local ordinance or similar out-of-state offense, that |
2 | | person, if issued a restricted driving permit, may not |
3 | | operate a vehicle unless it has been equipped with an |
4 | | ignition interlock device as defined in Section 1-129.1. |
5 | | (C)
The person issued a permit conditioned upon the |
6 | | use of an ignition interlock device must pay to the |
7 | | Secretary of State DUI Administration Fund an amount
not |
8 | | to exceed $30 per month. The Secretary shall establish by |
9 | | rule the amount
and the procedures, terms, and conditions |
10 | | relating to these fees. |
11 | | (D) If the
restricted driving permit is issued for |
12 | | employment purposes, then the prohibition against |
13 | | operating a motor vehicle that is not equipped with an |
14 | | ignition interlock device does not apply to the operation |
15 | | of an occupational vehicle owned or
leased by that |
16 | | person's employer when used solely for employment |
17 | | purposes. For any person who, within a 5-year period, is |
18 | | convicted of a second or subsequent offense under Section |
19 | | 11-501 of this Code, or a similar provision of a local |
20 | | ordinance or similar out-of-state offense, this employment |
21 | | exemption does not apply until either a one-year period |
22 | | has elapsed during which that person had his or her |
23 | | driving privileges revoked or a one-year period has |
24 | | elapsed during which that person had a restricted driving |
25 | | permit which required the use of an ignition interlock |
26 | | device on every motor vehicle owned or operated by that |
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1 | | person. |
2 | | (E) In each case the Secretary may issue a
restricted |
3 | | driving permit for a period deemed appropriate, except |
4 | | that all
permits shall expire no later than 2 years from |
5 | | the date of issuance. A
restricted driving permit issued |
6 | | under this Section shall be subject to
cancellation, |
7 | | revocation, and suspension by the Secretary of State in |
8 | | like
manner and for like cause as a driver's license |
9 | | issued under this Code may be
cancelled, revoked, or |
10 | | suspended; except that a conviction upon one or more
|
11 | | offenses against laws or ordinances regulating the |
12 | | movement of traffic
shall be deemed sufficient cause for |
13 | | the revocation, suspension, or
cancellation of a |
14 | | restricted driving permit. The Secretary of State may, as
|
15 | | a condition to the issuance of a restricted driving |
16 | | permit, require the
applicant to participate in a |
17 | | designated driver remedial or rehabilitative
program. The |
18 | | Secretary of State is authorized to cancel a restricted
|
19 | | driving permit if the permit holder does not successfully |
20 | | complete the program.
|
21 | | (F) A person subject to the provisions of paragraph 4 |
22 | | of subsection (b) of Section 6-208 of this Code may make |
23 | | application for a restricted driving permit at a hearing |
24 | | conducted under Section 2-118 of this Code after the |
25 | | expiration of 5 years from the effective date of the most |
26 | | recent revocation or after 5 years from the date of |
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1 | | release from a period of imprisonment resulting from a |
2 | | conviction of the most recent offense, whichever is later, |
3 | | provided the person, in addition to all other requirements |
4 | | of the Secretary, shows by clear and convincing evidence: |
5 | | (i) a minimum of 3 years of uninterrupted |
6 | | abstinence from alcohol and the unlawful use or |
7 | | consumption of cannabis under the Cannabis Control |
8 | | Act, a controlled substance under the Illinois |
9 | | Controlled Substances Act, an intoxicating compound |
10 | | under the Use of Intoxicating Compounds Act, or |
11 | | methamphetamine under the Methamphetamine Control and |
12 | | Community Protection Act; and |
13 | | (ii) the successful completion of any |
14 | | rehabilitative treatment and involvement in any |
15 | | ongoing rehabilitative activity that may be |
16 | | recommended by a properly licensed service provider |
17 | | according to an assessment of the person's alcohol or |
18 | | drug use under Section 11-501.01 of this Code. |
19 | | In determining whether an applicant is eligible for a |
20 | | restricted driving permit under this subparagraph (F), the |
21 | | Secretary may consider any relevant evidence, including, |
22 | | but not limited to, testimony, affidavits, records, and |
23 | | the results of regular alcohol or drug tests. Persons |
24 | | subject to the provisions of paragraph 4 of subsection (b) |
25 | | of Section 6-208 of this Code and who have been convicted |
26 | | of more than one violation of paragraph (3), paragraph |
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1 | | (4), or paragraph (5) of subsection (a) of Section 11-501 |
2 | | of this Code shall not be eligible to apply for a |
3 | | restricted driving permit under this subparagraph (F). |
4 | | A restricted driving permit issued under this |
5 | | subparagraph (F) shall provide that the holder may only |
6 | | operate motor vehicles equipped with an ignition interlock |
7 | | device as required under paragraph (2) of subsection (c) |
8 | | of Section 6-205 of this Code and subparagraph (A) of |
9 | | paragraph 3 of subsection (c) of this Section. The |
10 | | Secretary may revoke a restricted driving permit or amend |
11 | | the conditions of a restricted driving permit issued under |
12 | | this subparagraph (F) if the holder operates a vehicle |
13 | | that is not equipped with an ignition interlock device, or |
14 | | for any other reason authorized under this Code. |
15 | | A restricted driving permit issued under this |
16 | | subparagraph (F) shall be revoked, and the holder barred |
17 | | from applying for or being issued a restricted driving |
18 | | permit in the future, if the holder is convicted of a |
19 | | violation of Section 11-501 of this Code, a similar |
20 | | provision of a local ordinance, or a similar offense in |
21 | | another state. |
22 | | (c-3) In the case of a suspension under paragraph 43 of |
23 | | subsection (a), reports received by the Secretary of State |
24 | | under this Section shall, except during the actual time the |
25 | | suspension is in effect, be privileged information and for use |
26 | | only by the courts, police officers, prosecuting authorities, |
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1 | | the driver licensing administrator of any other state, the |
2 | | Secretary of State, or the parent or legal guardian of a driver |
3 | | under the age of 18. However, beginning January 1, 2008, if the |
4 | | person is a CDL holder, the suspension shall also be made |
5 | | available to the driver licensing administrator of any other |
6 | | state, the U.S. Department of Transportation, and the affected |
7 | | driver or motor
carrier or prospective motor carrier upon |
8 | | request.
|
9 | | (c-4) In the case of a suspension under paragraph 43 of |
10 | | subsection (a), the Secretary of State shall notify the person |
11 | | by mail that his or her driving privileges and driver's |
12 | | license will be suspended one month after the date of the |
13 | | mailing of the notice.
|
14 | | (c-5) The Secretary of State may, as a condition of the |
15 | | reissuance of a
driver's license or permit to an applicant |
16 | | whose driver's license or permit has
been suspended before he |
17 | | or she reached the age of 21 years pursuant to any of
the |
18 | | provisions of this Section, require the applicant to |
19 | | participate in a
driver remedial education course and be |
20 | | retested under Section 6-109 of this
Code.
|
21 | | (d) This Section is subject to the provisions of the |
22 | | Driver License
Compact.
|
23 | | (e) The Secretary of State shall not issue a restricted |
24 | | driving permit to
a person under the age of 16 years whose |
25 | | driving privileges have been suspended
or revoked under any |
26 | | provisions of this Code.
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1 | | (f) In accordance with 49 CFR 384, the Secretary of State |
2 | | may not issue a restricted driving permit for the operation of |
3 | | a commercial motor vehicle to a person holding a CDL whose |
4 | | driving privileges have been suspended, revoked, cancelled, or |
5 | | disqualified under any provisions of this Code. |
6 | | (Source: P.A. 101-90, eff. 7-1-20; 101-470, eff. 7-1-20; |
7 | | 101-623, eff. 7-1-20; 101-652, eff. 1-1-23; 102-299, eff. |
8 | | 8-6-21; 102-558, eff. 8-20-21; 102-749, eff. 1-1-23; 102-813, |
9 | | eff. 5-13-22; 102-982, eff. 7-1-23; revised 12-14-22.)
|
10 | | (625 ILCS 5/12-707.01) (from Ch. 95 1/2, par. 12-707.01)
|
11 | | (Text of Section before amendment by P.A. 102-982 )
|
12 | | Sec. 12-707.01. Liability insurance. |
13 | | (a) No school bus, first division vehicle including a taxi |
14 | | which is used for a purpose that requires a school bus driver |
15 | | permit, commuter van or
motor vehicle owned by or used for hire |
16 | | by and in connection with the
operation of private or public |
17 | | schools, day camps, summer camps or
nursery schools, and no |
18 | | commuter van or passenger car used for a for-profit
|
19 | | ridesharing arrangement, shall be operated for such purposes |
20 | | unless the owner
thereof shall carry a minimum of personal |
21 | | injury liability insurance in
the amount of $25,000 for any |
22 | | one person in any one accident, and
subject to the limit for |
23 | | one person, $100,000 for two or more persons
injured by reason |
24 | | of the operation of the vehicle in any one accident. This |
25 | | subsection (a) applies only to personal injury liability |
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1 | | policies issued or renewed before January 1, 2013.
|
2 | | (b) Liability insurance policies issued or renewed on and |
3 | | after January 1, 2013 shall comply with the following: |
4 | | (1) except as provided in subparagraph (2) of this |
5 | | subsection (b), any vehicle that is used for a purpose |
6 | | that requires a school bus driver permit under Section |
7 | | 6-104 of this Code shall carry a minimum of liability |
8 | | insurance in
the amount of $2,000,000. This minimum |
9 | | insurance requirement may be satisfied by either (i) a |
10 | | $2,000,000 combined single limit primary commercial |
11 | | automobile policy; or (ii) a $1 million primary commercial |
12 | | automobile policy and a minimum $5,000,000 excess or |
13 | | umbrella liability policy; |
14 | | (2) any vehicle that is used for a purpose that |
15 | | requires a school bus driver permit under Section 6-104 of |
16 | | this Code and is used in connection with the operation of |
17 | | private child day care facilities, day camps, summer |
18 | | camps, or nursery schools shall carry a minimum of |
19 | | liability insurance in
the amount of $1,000,000 combined |
20 | | single limit per accident; |
21 | | (3) any commuter van or passenger car used for a |
22 | | for-profit
ridesharing arrangement shall carry a minimum |
23 | | of liability insurance in
the amount of $500,000 combined |
24 | | single limit per accident. |
25 | | (c) Primary insurance coverage under the provisions of |
26 | | this Section must be provided by a licensed and admitted |
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1 | | insurance carrier or an intergovernmental cooperative formed |
2 | | under Section 10 of Article VII of the Illinois Constitution, |
3 | | or Section 6 or 9 of the Intergovernmental Cooperation Act, or |
4 | | provided by a certified self-insurer under Section 7-502 of |
5 | | this Code. The excess or umbrella liability coverage |
6 | | requirement may be met by securing surplus line insurance as |
7 | | defined under Section 445 of the Illinois Insurance Code. If |
8 | | the excess or umbrella liability coverage requirement is met |
9 | | by securing surplus line insurance, that coverage must be |
10 | | effected through a licensed surplus line producer acting under |
11 | | the surplus line insurance laws and regulations of this State. |
12 | | Nothing in this subsection (c) shall be construed as |
13 | | prohibiting a licensed and admitted insurance carrier or an |
14 | | intergovernmental cooperative formed under Section 10 of |
15 | | Article VII of the Illinois Constitution, or Section 6 or 9 of |
16 | | the Intergovernmental Cooperation Act, or a certified |
17 | | self-insurer under Section 7-502 of this Code, from retaining |
18 | | the risk required under paragraphs (1) and (2) of subsection |
19 | | (b) of this Section or issuing a single primary policy meeting |
20 | | the requirements of paragraphs (1) and (2) of subsection (b). |
21 | | (d) Each owner of a vehicle required to obtain the minimum |
22 | | liability requirements under subsection (b) of this Section |
23 | | shall attest that the vehicle meets the minimum insurance |
24 | | requirements under this Section. The Secretary of State shall |
25 | | create a form for each owner of a vehicle to attest that the |
26 | | owner meets the minimum insurance requirements and the owner |
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1 | | of the vehicle shall submit the form with each registration |
2 | | application. The form shall be valid for the full registration |
3 | | period; however, if at any time the Secretary has reason to |
4 | | believe that the owner does not have the minimum required |
5 | | amount of insurance for a vehicle, then the Secretary may |
6 | | require a certificate of insurance, or its equivalent, to |
7 | | ensure the vehicle is insured. If the owner fails to produce a |
8 | | certificate of insurance, or its equivalent, within 2 calendar |
9 | | days after the request was made, then the Secretary may revoke |
10 | | the vehicle owner's registration until the Secretary is |
11 | | assured the vehicle meets the minimum insurance requirements. |
12 | | If the owner of a vehicle participates in an intergovernmental |
13 | | cooperative or is self-insured, then the owner shall attest |
14 | | that the insurance required under this Section is equivalent |
15 | | to or greater than the insurance required under paragraph (1) |
16 | | of subsection (b) of this Section. The Secretary may adopt any |
17 | | rules necessary to enforce the provisions of this subsection |
18 | | (d). |
19 | | (Source: P.A. 99-595, eff. 1-1-17 .)
|
20 | | (Text of Section after amendment by P.A. 102-982 )
|
21 | | Sec. 12-707.01. Liability insurance. |
22 | | (a) No school bus, first division vehicle including a taxi |
23 | | which is used for a purpose that requires a school bus driver |
24 | | permit, commuter van or
motor vehicle owned by or used for hire |
25 | | by and in connection with the
operation of private or public |
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1 | | schools, day camps, summer camps or
nursery schools, and no |
2 | | commuter van or passenger car used for a for-profit
|
3 | | ridesharing arrangement, shall be operated for such purposes |
4 | | unless the owner
thereof shall carry a minimum of personal |
5 | | injury liability insurance in
the amount of $25,000 for any |
6 | | one person in any one crash, and
subject to the limit for one |
7 | | person, $100,000 for two or more persons
injured by reason of |
8 | | the operation of the vehicle in any one crash. This subsection |
9 | | (a) applies only to personal injury liability policies issued |
10 | | or renewed before January 1, 2013.
|
11 | | (b) Liability insurance policies issued or renewed on and |
12 | | after January 1, 2013 shall comply with the following: |
13 | | (1) except as provided in subparagraph (2) of this |
14 | | subsection (b), any vehicle that is used for a purpose |
15 | | that requires a school bus driver permit under Section |
16 | | 6-104 of this Code shall carry a minimum of liability |
17 | | insurance in
the amount of $2,000,000. This minimum |
18 | | insurance requirement may be satisfied by either (i) a |
19 | | $2,000,000 combined single limit primary commercial |
20 | | automobile policy; or (ii) a $1 million primary commercial |
21 | | automobile policy and a minimum $5,000,000 excess or |
22 | | umbrella liability policy; |
23 | | (2) any vehicle that is used for a purpose that |
24 | | requires a school bus driver permit under Section 6-104 of |
25 | | this Code and is used in connection with the operation of |
26 | | private child day care facilities, day camps, summer |
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1 | | camps, or nursery schools shall carry a minimum of |
2 | | liability insurance in
the amount of $1,000,000 combined |
3 | | single limit per crash; |
4 | | (3) any commuter van or passenger car used for a |
5 | | for-profit
ridesharing arrangement shall carry a minimum |
6 | | of liability insurance in
the amount of $500,000 combined |
7 | | single limit per crash. |
8 | | (c) Primary insurance coverage under the provisions of |
9 | | this Section must be provided by a licensed and admitted |
10 | | insurance carrier or an intergovernmental cooperative formed |
11 | | under Section 10 of Article VII of the Illinois Constitution, |
12 | | or Section 6 or 9 of the Intergovernmental Cooperation Act, or |
13 | | provided by a certified self-insurer under Section 7-502 of |
14 | | this Code. The excess or umbrella liability coverage |
15 | | requirement may be met by securing surplus line insurance as |
16 | | defined under Section 445 of the Illinois Insurance Code. If |
17 | | the excess or umbrella liability coverage requirement is met |
18 | | by securing surplus line insurance, that coverage must be |
19 | | effected through a licensed surplus line producer acting under |
20 | | the surplus line insurance laws and regulations of this State. |
21 | | Nothing in this subsection (c) shall be construed as |
22 | | prohibiting a licensed and admitted insurance carrier or an |
23 | | intergovernmental cooperative formed under Section 10 of |
24 | | Article VII of the Illinois Constitution, or Section 6 or 9 of |
25 | | the Intergovernmental Cooperation Act, or a certified |
26 | | self-insurer under Section 7-502 of this Code, from retaining |
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1 | | the risk required under paragraphs (1) and (2) of subsection |
2 | | (b) of this Section or issuing a single primary policy meeting |
3 | | the requirements of paragraphs (1) and (2) of subsection (b). |
4 | | (d) Each owner of a vehicle required to obtain the minimum |
5 | | liability requirements under subsection (b) of this Section |
6 | | shall attest that the vehicle meets the minimum insurance |
7 | | requirements under this Section. The Secretary of State shall |
8 | | create a form for each owner of a vehicle to attest that the |
9 | | owner meets the minimum insurance requirements and the owner |
10 | | of the vehicle shall submit the form with each registration |
11 | | application. The form shall be valid for the full registration |
12 | | period; however, if at any time the Secretary has reason to |
13 | | believe that the owner does not have the minimum required |
14 | | amount of insurance for a vehicle, then the Secretary may |
15 | | require a certificate of insurance, or its equivalent, to |
16 | | ensure the vehicle is insured. If the owner fails to produce a |
17 | | certificate of insurance, or its equivalent, within 2 calendar |
18 | | days after the request was made, then the Secretary may revoke |
19 | | the vehicle owner's registration until the Secretary is |
20 | | assured the vehicle meets the minimum insurance requirements. |
21 | | If the owner of a vehicle participates in an intergovernmental |
22 | | cooperative or is self-insured, then the owner shall attest |
23 | | that the insurance required under this Section is equivalent |
24 | | to or greater than the insurance required under paragraph (1) |
25 | | of subsection (b) of this Section. The Secretary may adopt any |
26 | | rules necessary to enforce the provisions of this subsection |
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1 | | (d). |
2 | | (Source: P.A. 102-982, eff. 7-1-23.)
|
3 | | Section 280. The Criminal Code of 2012 is amended by |
4 | | changing Sections 2-5.1, 2-5.2, 2-8.1, 11-0.1, 11-9.3, 11-24, |
5 | | 18-1, 19-1, and 48-1 as follows:
|
6 | | (720 ILCS 5/2-5.1)
|
7 | | Sec. 2-5.1. Child Day care center. " Child Day care center" |
8 | | has the meaning ascribed to it in Section 2.09 of the Child |
9 | | Care Act of 1969.
|
10 | | (Source: P.A. 96-556, eff. 1-1-10.)
|
11 | | (720 ILCS 5/2-5.2)
|
12 | | Sec. 2-5.2. Child Day care home. " Child Day care home" has |
13 | | the meaning ascribed to it in Section 2.18 of the Child Care |
14 | | Act of 1969.
|
15 | | (Source: P.A. 96-556, eff. 1-1-10.)
|
16 | | (720 ILCS 5/2-8.1)
|
17 | | Sec. 2-8.1. Group child day care home. "Group child day |
18 | | care home" has the meaning ascribed to it in Section 2.20 of |
19 | | the Child Care Act of 1969.
|
20 | | (Source: P.A. 96-556, eff. 1-1-10.)
|
21 | | (720 ILCS 5/11-0.1) |
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1 | | Sec. 11-0.1. Definitions. In this Article, unless the |
2 | | context clearly requires otherwise, the following terms are |
3 | | defined as indicated: |
4 | | "Accused" means a person accused of an offense prohibited |
5 | | by Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, or 11-1.60 of |
6 | | this Code or a person for whose conduct the accused is legally |
7 | | responsible under Article 5 of this Code. |
8 | | "Adult obscenity or child pornography Internet site". See |
9 | | Section 11-23. |
10 | | "Advance prostitution" means: |
11 | | (1) Soliciting for a prostitute by performing any of |
12 | | the following acts when acting other than as a prostitute |
13 | | or a patron of a prostitute: |
14 | | (A) Soliciting another for the purpose of |
15 | | prostitution. |
16 | | (B) Arranging or offering to arrange a meeting of |
17 | | persons for the purpose of prostitution. |
18 | | (C) Directing another to a place knowing the |
19 | | direction is for the purpose of prostitution. |
20 | | (2) Keeping a place of prostitution by controlling or |
21 | | exercising control over the use of any place that could |
22 | | offer seclusion or shelter for the practice of |
23 | | prostitution and performing any of the following acts when |
24 | | acting other than as a prostitute or a patron of a |
25 | | prostitute: |
26 | | (A) Knowingly granting or permitting the use of |
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1 | | the place for the purpose of prostitution. |
2 | | (B) Granting or permitting the use of the place |
3 | | under circumstances from which he or she could |
4 | | reasonably know that the place is used or is to be used |
5 | | for purposes of prostitution. |
6 | | (C) Permitting the continued use of the place |
7 | | after becoming aware of facts or circumstances from |
8 | | which he or she should reasonably know that the place |
9 | | is being used for purposes of prostitution. |
10 | | "Agency". See Section 11-9.5. |
11 | | "Arranges". See Section 11-6.5. |
12 | | "Bodily harm" means physical harm, and includes, but is |
13 | | not limited to, sexually transmitted disease, pregnancy, and |
14 | | impotence. |
15 | | "Care and custody". See Section 11-9.5. |
16 | | "Child care institution". See Section 11-9.3. |
17 | | "Child pornography". See Section 11-20.1. |
18 | | "Child sex offender". See Section 11-9.3. |
19 | | "Community agency". See Section 11-9.5. |
20 | | "Conditional release". See Section 11-9.2. |
21 | | "Consent" means a freely given agreement to the act of |
22 | | sexual penetration or sexual conduct in question. Lack of |
23 | | verbal or physical resistance or submission by the victim |
24 | | resulting from the use of force or threat of force by the |
25 | | accused shall not constitute consent. The manner of dress of |
26 | | the victim at the time of the offense shall not constitute |
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1 | | consent. |
2 | | "Custody". See Section 11-9.2. |
3 | | " Child Day care center". See Section 11-9.3. |
4 | | "Depict by computer". See Section 11-20.1. |
5 | | "Depiction by computer". See Section 11-20.1. |
6 | | "Disseminate". See Section 11-20.1. |
7 | | "Distribute". See Section 11-21. |
8 | | "Family member" means a parent, grandparent, child, aunt, |
9 | | uncle, great-aunt, or great-uncle, whether by whole blood, |
10 | | half-blood, or adoption, and includes a step-grandparent, |
11 | | step-parent, or step-child. "Family member" also means, if the |
12 | | victim is a child under 18 years of age, an accused who has |
13 | | resided in the household with the child continuously for at |
14 | | least 6 months. |
15 | | "Force or threat of force" means the use of force or |
16 | | violence or the threat of force or violence, including, but |
17 | | not limited to, the following situations: |
18 | | (1) when the accused threatens to use force or |
19 | | violence on the victim or on any other person, and the |
20 | | victim under the circumstances reasonably believes that |
21 | | the accused has the ability to execute that threat; or |
22 | | (2) when the accused overcomes the victim by use of |
23 | | superior strength or size, physical restraint, or physical |
24 | | confinement. |
25 | | "Harmful to minors". See Section 11-21. |
26 | | "Loiter". See Section 9.3. |
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|
1 | | "Material". See Section 11-21. |
2 | | "Minor". See Section 11-21. |
3 | | "Nudity". See Section 11-21. |
4 | | "Obscene". See Section 11-20. |
5 | | "Part day child care facility". See Section 11-9.3. |
6 | | "Penal system". See Section 11-9.2. |
7 | | "Person responsible for the child's welfare". See Section |
8 | | 11-9.1A. |
9 | | "Person with a disability". See Section 11-9.5. |
10 | | "Playground". See Section 11-9.3. |
11 | | "Probation officer". See Section 11-9.2. |
12 | | "Produce". See Section 11-20.1. |
13 | | "Profit from prostitution" means, when acting other than |
14 | | as a prostitute, to receive anything of value for personally |
15 | | rendered prostitution services or to receive anything of value |
16 | | from a prostitute, if the thing received is not for lawful |
17 | | consideration and the person knows it was earned in whole or in |
18 | | part from the practice of prostitution. |
19 | | "Public park". See Section 11-9.3. |
20 | | "Public place". See Section 11-30. |
21 | | "Reproduce". See Section 11-20.1. |
22 | | "Sado-masochistic abuse". See Section 11-21. |
23 | | "School". See Section 11-9.3. |
24 | | "School official". See Section 11-9.3. |
25 | | "Sexual abuse". See Section 11-9.1A. |
26 | | "Sexual act". See Section 11-9.1. |
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1 | | "Sexual conduct" means any knowing touching or fondling by |
2 | | the victim or the accused, either directly or through |
3 | | clothing, of the sex organs, anus, or breast of the victim or |
4 | | the accused, or any part of the body of a child under 13 years |
5 | | of age, or any transfer or transmission of semen by the accused |
6 | | upon any part of the clothed or unclothed body of the victim, |
7 | | for the purpose of sexual gratification or arousal of the |
8 | | victim or the accused. |
9 | | "Sexual excitement". See Section 11-21. |
10 | | "Sexual penetration" means any contact, however slight, |
11 | | between the sex organ or anus of one person and an object or |
12 | | the sex organ, mouth, or anus of another person, or any |
13 | | intrusion, however slight, of any part of the body of one |
14 | | person or of any animal or object into the sex organ or anus of |
15 | | another person, including, but not limited to, cunnilingus, |
16 | | fellatio, or anal penetration. Evidence of emission of semen |
17 | | is not required to prove sexual penetration. |
18 | | "Solicit". See Section 11-6. |
19 | | "State-operated facility". See Section 11-9.5. |
20 | | "Supervising officer". See Section 11-9.2. |
21 | | "Surveillance agent". See Section 11-9.2. |
22 | | "Treatment and detention facility". See Section 11-9.2. |
23 | | "Unable to give knowing consent" includes when the accused |
24 | | administers any intoxicating or anesthetic substance, or any |
25 | | controlled substance causing the victim to become unconscious |
26 | | of the nature of the act and this condition was known, or |
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1 | | reasonably should have been known by the accused. "Unable to |
2 | | give knowing consent" also includes when the victim has taken |
3 | | an intoxicating substance or any controlled substance causing |
4 | | the victim to become unconscious of the nature of the act, and |
5 | | this condition was known or reasonably should have been known |
6 | | by the accused, but the accused did not provide or administer |
7 | | the intoxicating substance. As used in this paragraph, |
8 | | "unconscious of the nature of the act" means incapable of |
9 | | resisting because the victim meets any one of the following |
10 | | conditions: |
11 | | (1) was unconscious or asleep; |
12 | | (2) was not aware, knowing, perceiving, or cognizant |
13 | | that the act occurred; |
14 | | (3) was not aware, knowing, perceiving, or cognizant |
15 | | of the essential characteristics of the act due to the |
16 | | perpetrator's fraud in fact; or |
17 | | (4) was not aware, knowing, perceiving, or cognizant |
18 | | of the essential characteristics of the act due to the |
19 | | perpetrator's fraudulent representation that the sexual |
20 | | penetration served a professional purpose when it served |
21 | | no professional purpose. |
22 | | A victim is presumed "unable to give knowing consent" when |
23 | | the victim: |
24 | | (1) is committed to the care and custody or |
25 | | supervision of the Illinois Department of Corrections |
26 | | (IDOC) and the accused is an employee or volunteer who is |
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1 | | not married to the victim who knows or reasonably should |
2 | | know that the victim is committed to the care and custody |
3 | | or supervision of such department; |
4 | | (2) is committed to or placed with the Department of |
5 | | Children and Family Services (DCFS) and in residential |
6 | | care, and the accused employee is not married to the |
7 | | victim, and knows or reasonably should know that the |
8 | | victim is committed to or placed with DCFS and in |
9 | | residential care; |
10 | | (3) is a client or patient and the accused is a health |
11 | | care provider or mental health care provider and the |
12 | | sexual conduct or sexual penetration occurs during a |
13 | | treatment session, consultation, interview, or |
14 | | examination; |
15 | | (4) is a resident or inpatient of a residential |
16 | | facility and the accused is an employee of the facility |
17 | | who is not married to such resident or inpatient who |
18 | | provides direct care services, case management services, |
19 | | medical or other clinical services, habilitative services |
20 | | or direct supervision of the residents in the facility in |
21 | | which the resident resides; or an officer or other |
22 | | employee, consultant, contractor or volunteer of the |
23 | | residential facility, who knows or reasonably should know |
24 | | that the person is a resident of such facility; or |
25 | | (5) is detained or otherwise in the custody of a |
26 | | police officer, peace officer, or other law enforcement |
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1 | | official who: (i) is detaining or maintaining custody of |
2 | | such person; or (ii) knows, or reasonably should know, |
3 | | that at the time of the offense, such person was detained |
4 | | or in custody and the police officer, peace officer, or |
5 | | other law enforcement official is not married to such |
6 | | detainee. |
7 | | "Victim" means a person alleging to have been subjected to |
8 | | an offense prohibited by Section 11-1.20, 11-1.30, 11-1.40, |
9 | | 11-1.50, or 11-1.60 of this Code.
|
10 | | (Source: P.A. 102-567, eff. 1-1-22; 102-1096, eff. 1-1-23 .)
|
11 | | (720 ILCS 5/11-9.3)
|
12 | | Sec. 11-9.3. Presence within school zone by child sex
|
13 | | offenders prohibited; approaching, contacting, residing with, |
14 | | or communicating with a child within certain places by child |
15 | | sex offenders prohibited.
|
16 | | (a) It is unlawful for a child sex offender to knowingly be |
17 | | present in any
school building, on real property comprising |
18 | | any school, or in any conveyance
owned, leased, or contracted |
19 | | by a school to transport students to or from
school or a school |
20 | | related activity when persons under the age of 18 are
present |
21 | | in the building, on the grounds or in
the conveyance, unless |
22 | | the offender is a parent or guardian of a student attending the |
23 | | school and the parent or guardian is: (i) attending a |
24 | | conference at the school with school personnel to discuss the |
25 | | progress of his or her child academically or socially, (ii) |
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1 | | participating in child review conferences in which evaluation |
2 | | and placement decisions may be made with respect to his or her |
3 | | child regarding special education services, or (iii) attending |
4 | | conferences to discuss other student issues concerning his or |
5 | | her child such as retention and promotion and notifies the |
6 | | principal of the school of his or her presence at the school or |
7 | | unless the
offender has permission to be present from the
|
8 | | superintendent or the school board or in the case of a private |
9 | | school from the
principal. In the case of a public school, if |
10 | | permission is granted, the
superintendent or school board |
11 | | president must inform the principal of the
school where the |
12 | | sex offender will be present. Notification includes the
nature |
13 | | of the sex offender's visit and the hours in which the sex |
14 | | offender will
be present in the school. The sex offender is |
15 | | responsible for notifying the
principal's office when he or |
16 | | she arrives on school property and when he or she
departs from |
17 | | school property. If the sex offender is to be present in the
|
18 | | vicinity of children, the sex offender has the duty to remain |
19 | | under the direct
supervision of a school official.
|
20 | | (a-5) It is unlawful for a child sex offender to knowingly |
21 | | be present within 100 feet of a site posted as a pick-up or |
22 | | discharge stop for a conveyance owned, leased, or contracted |
23 | | by a school to transport students to or from school or a school |
24 | | related activity when one or more persons under the age of 18 |
25 | | are present at the site.
|
26 | | (a-10) It is unlawful for a child sex offender to |
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1 | | knowingly be present in any
public park building, a playground |
2 | | or recreation area within any publicly accessible privately |
3 | | owned building, or on real property comprising any public park
|
4 | | when persons under the age of
18 are
present in the building or |
5 | | on the grounds
and to approach, contact, or communicate with a |
6 | | child under 18 years of
age,
unless the
offender
is a parent or |
7 | | guardian of a person under 18 years of age present in the
|
8 | | building or on the
grounds. |
9 | | (b) It is unlawful for a child sex offender to knowingly |
10 | | loiter within 500 feet of a school building or real property |
11 | | comprising any school
while persons under the age of 18 are |
12 | | present in the building or on the
grounds,
unless the offender |
13 | | is a parent or guardian of a student attending the school and |
14 | | the parent or guardian is: (i) attending a conference at the |
15 | | school with school personnel to discuss the progress of his or |
16 | | her child academically or socially, (ii) participating in |
17 | | child review conferences in which evaluation and placement |
18 | | decisions may be made with respect to his or her child |
19 | | regarding special education services, or (iii) attending |
20 | | conferences to discuss other student issues concerning his or |
21 | | her child such as retention and promotion and notifies the |
22 | | principal of the school of his or her presence at the school or |
23 | | has permission to be present from the
superintendent or the |
24 | | school board or in the case of a private school from the
|
25 | | principal. In the case of a public school, if permission is |
26 | | granted, the
superintendent or school board president must |
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1 | | inform the principal of the
school where the sex offender will |
2 | | be present. Notification includes the
nature of the sex |
3 | | offender's visit and the hours in which the sex offender will
|
4 | | be present in the school. The sex offender is responsible for |
5 | | notifying the
principal's office when he or she arrives on |
6 | | school property and when he or she
departs from school |
7 | | property. If the sex offender is to be present in the
vicinity |
8 | | of children, the sex offender has the duty to remain under the |
9 | | direct
supervision of a school official.
|
10 | | (b-2) It is unlawful for a child sex offender to knowingly |
11 | | loiter on a public
way within 500 feet of a public park |
12 | | building or real property comprising any
public park while |
13 | | persons under the age of 18 are present in the building or on |
14 | | the
grounds
and to approach, contact, or communicate with a |
15 | | child under 18 years of
age,
unless the offender
is a parent or |
16 | | guardian of a person under 18 years of age present in the
|
17 | | building or on the grounds. |
18 | | (b-5) It is unlawful for a child sex offender to knowingly |
19 | | reside within
500 feet of a school building or the real |
20 | | property comprising any school that
persons under the age of |
21 | | 18 attend. Nothing in this subsection (b-5) prohibits
a child |
22 | | sex offender from residing within 500 feet of a school |
23 | | building or the
real property comprising any school that |
24 | | persons under 18 attend if the
property is owned by the child |
25 | | sex offender and was purchased before July 7, 2000 (the
|
26 | | effective date of Public Act 91-911).
|
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1 | | (b-10) It is unlawful for a child sex offender to |
2 | | knowingly reside within
500 feet of a playground, child care |
3 | | institution, child day care center, part day child care |
4 | | facility, child day care home, group child day care home, or a |
5 | | facility providing programs or services
exclusively directed |
6 | | toward persons under 18 years of age. Nothing in this
|
7 | | subsection (b-10) prohibits a child sex offender from residing |
8 | | within 500 feet
of a playground or a facility providing |
9 | | programs or services exclusively
directed toward persons under |
10 | | 18 years of age if the property is owned by the
child sex |
11 | | offender and was purchased before July 7, 2000. Nothing in |
12 | | this
subsection (b-10) prohibits a child sex offender from |
13 | | residing within 500 feet
of a child care institution, child |
14 | | day care center, or part day child care facility if the |
15 | | property is owned by the
child sex offender and was purchased |
16 | | before June 26, 2006. Nothing in this subsection (b-10) |
17 | | prohibits a child sex offender from residing within 500 feet |
18 | | of a child day care home or group child day care home if the |
19 | | property is owned by the child sex offender and was purchased |
20 | | before August 14, 2008 (the effective date of Public Act |
21 | | 95-821). |
22 | | (b-15) It is unlawful for a child sex offender to |
23 | | knowingly reside within
500 feet of the victim of the sex |
24 | | offense. Nothing in this
subsection (b-15) prohibits a child |
25 | | sex offender from residing within 500 feet
of the victim if the |
26 | | property in which the child sex offender resides is owned by |
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1 | | the
child sex offender and was purchased before August 22, |
2 | | 2002. |
3 | | This subsection (b-15) does not apply if the victim of the |
4 | | sex offense
is 21 years of age or older. |
5 | | (b-20) It is unlawful for a child sex offender to |
6 | | knowingly communicate, other than for a lawful purpose under |
7 | | Illinois law, using the Internet or any other digital media, |
8 | | with a person under 18 years of age or with a person whom he or |
9 | | she believes to be a person under 18 years of age,
unless the |
10 | | offender
is a parent or guardian of the person under 18 years |
11 | | of age. |
12 | | (c) It is unlawful for a child sex offender to knowingly |
13 | | operate, manage,
be employed by, volunteer at, be associated |
14 | | with, or knowingly be present at
any: (i) facility providing
|
15 | | programs or services exclusively directed toward persons under |
16 | | the age of 18; (ii) child day care center; (iii) part day child |
17 | | care facility; (iv) child care institution; (v) school |
18 | | providing before and after school programs for children under |
19 | | 18 years of age; (vi) child day care home; or (vii) group child |
20 | | day care home.
This does not prohibit a child sex offender from |
21 | | owning the real property upon
which the programs or services |
22 | | are offered or upon which the child day care center, part day |
23 | | child care facility, child care institution, or school |
24 | | providing before and after school programs for children under |
25 | | 18 years of age is located, provided the child sex offender
|
26 | | refrains from being present on the premises for the hours |
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1 | | during which: (1) the
programs or services are being offered |
2 | | or (2) the child day care center, part day child care facility, |
3 | | child care institution, or school providing before and after |
4 | | school programs for children under 18 years of age, child day |
5 | | care home, or group child day care home is operated. |
6 | | (c-2) It is unlawful for a child sex offender to |
7 | | participate in a holiday event involving children under 18 |
8 | | years of age, including but not limited to distributing candy |
9 | | or other items to children on Halloween, wearing a Santa Claus |
10 | | costume on or preceding Christmas, being employed as a |
11 | | department store Santa Claus, or wearing an Easter Bunny |
12 | | costume on or preceding Easter. For the purposes of this |
13 | | subsection, child sex offender has the meaning as defined in |
14 | | this Section, but does not include as a sex offense under |
15 | | paragraph (2) of subsection (d) of this Section, the offense |
16 | | under subsection (c) of Section 11-1.50 of this Code. This |
17 | | subsection does not apply to a child sex offender who is a |
18 | | parent or guardian of children under 18 years of age that are |
19 | | present in the home and other non-familial minors are not |
20 | | present. |
21 | | (c-5) It is unlawful for a child sex offender to knowingly |
22 | | operate, manage, be employed by, or be associated with any |
23 | | carnival, amusement enterprise, or county or State fair when |
24 | | persons under the age of 18 are present. |
25 | | (c-6) It is unlawful for a child sex offender who owns and |
26 | | resides at residential real estate to knowingly rent any |
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1 | | residential unit within the same building in which he or she |
2 | | resides to a person who is the parent or guardian of a child or |
3 | | children under 18 years of age. This subsection shall apply |
4 | | only to leases or other rental arrangements entered into after |
5 | | January 1, 2009 (the effective date of Public Act 95-820). |
6 | | (c-7) It is unlawful for a child sex offender to knowingly |
7 | | offer or provide any programs or services to persons under 18 |
8 | | years of age in his or her residence or the residence of |
9 | | another or in any facility for the purpose of offering or |
10 | | providing such programs or services, whether such programs or |
11 | | services are offered or provided by contract, agreement, |
12 | | arrangement, or on a volunteer basis. |
13 | | (c-8) It is unlawful for a child sex offender to knowingly |
14 | | operate, whether authorized to do so or not, any of the |
15 | | following vehicles: (1) a vehicle which is specifically |
16 | | designed, constructed or modified and equipped to be used for |
17 | | the retail sale of food or beverages, including but not |
18 | | limited to an ice cream truck; (2) an authorized emergency |
19 | | vehicle; or (3) a rescue vehicle. |
20 | | (d) Definitions. In this Section:
|
21 | | (1) "Child sex offender" means any person who:
|
22 | | (i) has been charged under Illinois law, or any |
23 | | substantially similar
federal law
or law of another |
24 | | state, with a sex offense set forth in
paragraph (2) of |
25 | | this subsection (d) or the attempt to commit an |
26 | | included sex
offense, and the victim is a person under |
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1 | | 18 years of age at the time of the offense; and:
|
2 | | (A) is convicted of such offense or an attempt |
3 | | to commit such offense;
or
|
4 | | (B) is found not guilty by reason of insanity |
5 | | of such offense or an
attempt to commit such |
6 | | offense; or
|
7 | | (C) is found not guilty by reason of insanity |
8 | | pursuant to subsection
(c) of Section 104-25 of |
9 | | the Code of Criminal Procedure of 1963 of such |
10 | | offense
or an attempt to commit such offense; or
|
11 | | (D) is the subject of a finding not resulting |
12 | | in an acquittal at a
hearing conducted pursuant to |
13 | | subsection (a) of Section 104-25 of the Code of
|
14 | | Criminal Procedure of 1963 for the alleged |
15 | | commission or attempted commission
of such |
16 | | offense; or
|
17 | | (E) is found not guilty by reason of insanity |
18 | | following a hearing
conducted pursuant to a |
19 | | federal law or the law of another state |
20 | | substantially
similar to subsection (c) of Section |
21 | | 104-25 of the Code of Criminal Procedure
of 1963 |
22 | | of such offense or of the attempted commission of |
23 | | such offense; or
|
24 | | (F) is the subject of a finding not resulting |
25 | | in an acquittal at a
hearing
conducted pursuant to |
26 | | a federal law or the law of another state |
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1 | | substantially
similar to subsection (a) of Section |
2 | | 104-25 of the Code of Criminal Procedure
of 1963 |
3 | | for the alleged violation or attempted commission |
4 | | of such offense; or
|
5 | | (ii) is certified as a sexually dangerous person |
6 | | pursuant to the
Illinois
Sexually Dangerous Persons |
7 | | Act, or any substantially similar federal
law or the |
8 | | law of another state, when any conduct giving rise to |
9 | | such
certification is committed or attempted against a |
10 | | person less than 18 years of
age; or
|
11 | | (iii) is subject to the provisions of Section 2 of |
12 | | the Interstate
Agreements on Sexually Dangerous |
13 | | Persons Act.
|
14 | | Convictions that result from or are connected with the |
15 | | same act, or result
from offenses committed at the same |
16 | | time, shall be counted for the purpose of
this Section as |
17 | | one conviction. Any conviction set aside pursuant to law |
18 | | is
not a conviction for purposes of this Section.
|
19 | | (2) Except as otherwise provided in paragraph (2.5), |
20 | | "sex offense"
means:
|
21 | | (i) A violation of any of the following Sections |
22 | | of the Criminal Code of
1961 or the Criminal Code of |
23 | | 2012: 10-4 (forcible detention), 10-7 (aiding or |
24 | | abetting child abduction under Section 10-5(b)(10)),
|
25 | | 10-5(b)(10) (child luring), 11-1.40 (predatory |
26 | | criminal sexual assault of a child), 11-6 (indecent |
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1 | | solicitation of a child), 11-6.5
(indecent |
2 | | solicitation of an adult),
11-9.1 (sexual exploitation |
3 | | of a child), 11-9.2 (custodial sexual misconduct), |
4 | | 11-9.5 (sexual misconduct with a person with a |
5 | | disability), 11-11 (sexual relations within families), |
6 | | 11-14.3(a)(1) (promoting prostitution by advancing |
7 | | prostitution), 11-14.3(a)(2)(A) (promoting |
8 | | prostitution by profiting from prostitution by |
9 | | compelling a person to be a prostitute), |
10 | | 11-14.3(a)(2)(C) (promoting prostitution by profiting |
11 | | from prostitution by means other than as described in |
12 | | subparagraphs (A) and (B) of paragraph (2) of |
13 | | subsection (a) of Section 11-14.3), 11-14.4 (promoting |
14 | | juvenile prostitution), 11-18.1
(patronizing a |
15 | | juvenile prostitute), 11-20.1 (child pornography), |
16 | | 11-20.1B (aggravated child pornography), 11-21 |
17 | | (harmful
material), 11-25 (grooming), 11-26 (traveling |
18 | | to meet a minor or traveling to meet a child), 12-33 |
19 | | (ritualized abuse of a
child), 11-20 (obscenity) (when |
20 | | that offense was committed in any school, on
real |
21 | | property comprising any school, in any conveyance |
22 | | owned,
leased, or contracted by a school to transport |
23 | | students to or from school or a
school related |
24 | | activity, or in a public park), 11-30 (public |
25 | | indecency) (when committed in a school, on real |
26 | | property
comprising a school, in any conveyance owned, |
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1 | | leased, or contracted by a
school to transport |
2 | | students to or from school or a school related |
3 | | activity, or in a public park). An attempt to commit |
4 | | any of these offenses.
|
5 | | (ii) A violation of any of the following Sections |
6 | | of the Criminal Code
of 1961 or the Criminal Code of |
7 | | 2012, when the victim is a person under 18 years of |
8 | | age: 11-1.20 (criminal
sexual assault), 11-1.30 |
9 | | (aggravated criminal sexual assault), 11-1.50 |
10 | | (criminal
sexual abuse), 11-1.60 (aggravated criminal |
11 | | sexual abuse). An attempt to commit
any of these |
12 | | offenses.
|
13 | | (iii) A violation of any of the following Sections |
14 | | of the Criminal Code
of 1961 or the Criminal Code of |
15 | | 2012, when the victim is a person under 18 years of age |
16 | | and the defendant is
not a parent of the victim:
|
17 | | 10-1 (kidnapping),
|
18 | | 10-2 (aggravated kidnapping),
|
19 | | 10-3 (unlawful restraint),
|
20 | | 10-3.1 (aggravated unlawful restraint),
|
21 | | 11-9.1(A) (permitting sexual abuse of a child). |
22 | | An attempt to commit any of these offenses.
|
23 | | (iv) A violation of any former law of this State |
24 | | substantially
equivalent to any offense listed in |
25 | | clause (2)(i) or (2)(ii) of subsection (d) of this
|
26 | | Section.
|
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1 | | (2.5) For the purposes of subsections (b-5) and (b-10) |
2 | | only, a sex offense means:
|
3 | | (i) A violation of any of the following Sections |
4 | | of the Criminal Code of
1961 or the Criminal Code of |
5 | | 2012:
|
6 | | 10-5(b)(10) (child luring), 10-7 (aiding or |
7 | | abetting child abduction
under Section 10-5(b)(10)), |
8 | | 11-1.40 (predatory criminal sexual assault of a |
9 | | child), 11-6 (indecent solicitation of
a
child), |
10 | | 11-6.5 (indecent solicitation of an adult), 11-9.2 |
11 | | (custodial sexual misconduct), 11-9.5 (sexual |
12 | | misconduct with a person with a disability), 11-11 |
13 | | (sexual relations within families), 11-14.3(a)(1) |
14 | | (promoting prostitution by advancing prostitution), |
15 | | 11-14.3(a)(2)(A) (promoting prostitution by profiting |
16 | | from prostitution by compelling a person to be a |
17 | | prostitute), 11-14.3(a)(2)(C) (promoting prostitution |
18 | | by profiting from prostitution by means other than as |
19 | | described in subparagraphs (A) and (B) of paragraph |
20 | | (2) of subsection (a) of Section 11-14.3), 11-14.4 |
21 | | (promoting juvenile prostitution), 11-18.1
|
22 | | (patronizing a juvenile prostitute), 11-20.1 (child |
23 | | pornography), 11-20.1B (aggravated child pornography), |
24 | | 11-25 (grooming), 11-26 (traveling to meet a minor or |
25 | | traveling to meet a child), or 12-33 (ritualized abuse |
26 | | of a
child). An attempt
to commit any of
these |
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1 | | offenses.
|
2 | | (ii) A violation of any of the following Sections |
3 | | of the Criminal Code
of 1961 or the Criminal Code of |
4 | | 2012, when the victim is a person under 18 years of |
5 | | age: 11-1.20 (criminal
sexual assault), 11-1.30 |
6 | | (aggravated criminal sexual assault), 11-1.60
|
7 | | (aggravated criminal sexual abuse), and subsection (a) |
8 | | of Section 11-1.50
(criminal sexual abuse). An attempt |
9 | | to commit
any of these offenses.
|
10 | | (iii) A violation of any of the following Sections |
11 | | of the Criminal Code
of 1961 or the Criminal Code of |
12 | | 2012, when the victim is a person under 18 years of age |
13 | | and the defendant is
not a parent of the victim:
|
14 | | 10-1 (kidnapping),
|
15 | | 10-2 (aggravated kidnapping),
|
16 | | 10-3 (unlawful restraint),
|
17 | | 10-3.1 (aggravated unlawful restraint),
|
18 | | 11-9.1(A) (permitting sexual abuse of a child). |
19 | | An attempt to commit any of these offenses.
|
20 | | (iv) A violation of any former law of this State |
21 | | substantially
equivalent to any offense listed in this |
22 | | paragraph (2.5) of
this subsection.
|
23 | | (3) A conviction for an offense of federal law or the |
24 | | law of another state
that is substantially equivalent to |
25 | | any offense listed in paragraph (2) of
subsection (d) of |
26 | | this Section shall constitute a conviction for the purpose |
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1 | | of
this Section. A finding or adjudication as a sexually |
2 | | dangerous person under
any federal law or law of another |
3 | | state that is substantially equivalent to the
Sexually |
4 | | Dangerous Persons Act shall constitute an adjudication for |
5 | | the
purposes of this Section.
|
6 | | (4) "Authorized emergency vehicle", "rescue vehicle", |
7 | | and "vehicle" have the meanings ascribed to them in |
8 | | Sections 1-105, 1-171.8 and 1-217, respectively, of the |
9 | | Illinois Vehicle Code. |
10 | | (5) "Child care institution" has the meaning ascribed |
11 | | to it in Section 2.06 of the Child Care Act of 1969. |
12 | | (6) " Child Day care center" has the meaning ascribed |
13 | | to it in Section 2.09 of the Child Care Act of 1969. |
14 | | (7) " Child Day care home" has the meaning ascribed to |
15 | | it in Section 2.18 of the Child Care Act of 1969. |
16 | | (8) "Facility providing programs or services directed |
17 | | towards persons under the age of 18" means any facility |
18 | | providing programs or services exclusively directed |
19 | | towards persons under the age of 18. |
20 | | (9) "Group child day care home" has the meaning |
21 | | ascribed to it in Section 2.20 of the Child Care Act of |
22 | | 1969. |
23 | | (10) "Internet" has the meaning set forth in Section |
24 | | 16-0.1 of this Code.
|
25 | | (11) "Loiter" means:
|
26 | | (i) Standing, sitting idly, whether or not the |
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|
1 | | person is in a vehicle, or
remaining in or around |
2 | | school or public park property.
|
3 | | (ii) Standing, sitting idly, whether or not the |
4 | | person is in a vehicle,
or remaining in or around |
5 | | school or public park property, for the purpose of |
6 | | committing or
attempting to commit a sex offense.
|
7 | | (iii) Entering or remaining in a building in or |
8 | | around school property, other than the offender's |
9 | | residence. |
10 | | (12) "Part day child care facility" has the meaning |
11 | | ascribed to it in Section 2.10 of the Child Care Act of |
12 | | 1969. |
13 | | (13) "Playground" means a piece of land owned or |
14 | | controlled by a unit
of
local government that is |
15 | | designated by the unit of local government for use
solely |
16 | | or primarily for children's recreation. |
17 | | (14) "Public park" includes a park, forest preserve, |
18 | | bikeway, trail, or
conservation
area
under the |
19 | | jurisdiction of the State or a unit of local government. |
20 | | (15) "School" means a public or private preschool or |
21 | | elementary or secondary school. |
22 | | (16) "School official"
means the principal, a teacher, |
23 | | or any other certified employee of the
school, the |
24 | | superintendent of schools or a member of the school board.
|
25 | | (e) For the purposes of this Section, the 500 feet |
26 | | distance shall be measured from: (1) the edge of the property |
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1 | | of the school building or the real property comprising the |
2 | | school that is closest to the edge of the property of the child |
3 | | sex offender's residence or where he or she is loitering, and |
4 | | (2) the edge of the property comprising the public park |
5 | | building or the real property comprising the public park, |
6 | | playground, child care institution, child day care center, |
7 | | part day child care facility, or facility providing programs |
8 | | or services exclusively directed toward persons under 18 years |
9 | | of age, or a victim of the sex offense who is under 21 years of |
10 | | age, to the edge of the child sex offender's place of residence |
11 | | or place where he or she is loitering.
|
12 | | (f) Sentence. A person who violates this Section is guilty |
13 | | of a Class 4
felony.
|
14 | | (Source: P.A. 102-997, eff. 1-1-23 .)
|
15 | | (720 ILCS 5/11-24) |
16 | | Sec. 11-24. Child photography by sex offender. |
17 | | (a) In this Section: |
18 | | "Child" means a person under 18 years of age. |
19 | | "Child sex offender" has the meaning ascribed to it in
|
20 | | Section 11-0.1 of this Code. |
21 | | (b) It is unlawful for a child sex offender to
knowingly: |
22 | | (1) conduct or operate any type of business in
which |
23 | | he or she photographs, videotapes, or takes a
digital |
24 | | image of a child; or |
25 | | (2) conduct or operate any type of business in
which |
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1 | | he or she instructs or directs another person to
|
2 | | photograph, videotape, or take a digital image of a
child; |
3 | | or |
4 | | (3) photograph, videotape, or take a digital image of |
5 | | a child, or instruct or direct another person to |
6 | | photograph, videotape, or take a digital image of a child |
7 | | without the consent of the parent or guardian. |
8 | | (c) Sentence. A violation of this Section is a Class 2
|
9 | | felony. A person who violates this Section at a playground, |
10 | | park facility, school, forest preserve, child day care |
11 | | facility, or at a facility providing programs or services |
12 | | directed to persons under 17 years of age is guilty of a Class |
13 | | 1 felony.
|
14 | | (Source: P.A. 95-983, eff. 6-1-09; 96-1551, eff. 7-1-11 .)
|
15 | | (720 ILCS 5/18-1) (from Ch. 38, par. 18-1)
|
16 | | Sec. 18-1. Robbery; aggravated robbery.
|
17 | | (a) Robbery. A person commits robbery when he or she |
18 | | knowingly takes property, except a
motor vehicle covered by |
19 | | Section 18-3 or 18-4,
from the person or presence of another by |
20 | | the use of force or by
threatening the imminent use of force.
|
21 | | (b) Aggravated robbery. |
22 | | (1) A person commits aggravated robbery when he or she |
23 | | violates subsection (a) while indicating verbally or by |
24 | | his or her actions to the
victim that he or she is |
25 | | presently armed with a firearm or other dangerous
weapon, |
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1 | | including a knife, club, ax, or bludgeon. This offense |
2 | | shall be
applicable even though it is later determined |
3 | | that he or she had no firearm or
other dangerous weapon, |
4 | | including a knife, club, ax, or bludgeon, in
his or her |
5 | | possession when he or she committed the robbery. |
6 | | (2) A person commits aggravated robbery when he or she |
7 | | knowingly takes property
from the person or presence of |
8 | | another by delivering (by injection, inhalation,
|
9 | | ingestion, transfer of possession, or any other means) to |
10 | | the victim without
his or her consent, or by threat or |
11 | | deception,
and for other than medical
purposes, any
|
12 | | controlled substance. |
13 | | (c) Sentence.
|
14 | | Robbery is a Class 2 felony, unless the victim is 60 years |
15 | | of age
or over or is a person with a physical disability, or |
16 | | the robbery is
committed
in a school, child day care center, |
17 | | child day care home, group child day care home, or part day |
18 | | child care facility, or place of worship, in which case |
19 | | robbery is a Class 1 felony. Aggravated robbery is a Class 1 |
20 | | felony.
|
21 | | (d) Regarding penalties prescribed in subsection
(c) for |
22 | | violations committed in a child day care center, child day |
23 | | care home, group child day care home, or part day child care |
24 | | facility, the time of day, time of year, and whether
children |
25 | | under 18 years of age were present in the child day care |
26 | | center, child day care home, group child day care home, or part |
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1 | | day child care facility are irrelevant. |
2 | | (Source: P.A. 99-143, eff. 7-27-15.)
|
3 | | (720 ILCS 5/19-1) (from Ch. 38, par. 19-1)
|
4 | | Sec. 19-1. Burglary.
|
5 | | (a) A person commits burglary when without authority he or |
6 | | she knowingly enters
or without authority remains within a |
7 | | building, housetrailer, watercraft,
aircraft, motor vehicle, |
8 | | railroad
car, freight container, or any part thereof, with |
9 | | intent to commit therein a felony or theft.
This offense shall |
10 | | not include the offenses set out in Section 4-102 of the
|
11 | | Illinois Vehicle Code.
|
12 | | (b) Sentence.
|
13 | | Burglary committed in, and without causing damage to, a |
14 | | watercraft, aircraft, motor vehicle, railroad car, freight |
15 | | container, or any part thereof is a Class 3 felony. Burglary |
16 | | committed in a building, housetrailer, or any part thereof or |
17 | | while causing damage to a watercraft, aircraft, motor vehicle, |
18 | | railroad car, freight container, or any part thereof is a |
19 | | Class 2 felony. A burglary committed in a school, child day |
20 | | care center, child day care home, group child day care home, or |
21 | | part day child care facility, or place of
worship is a
Class 1 |
22 | | felony, except that this provision does not apply to a child |
23 | | day care center, child day care home, group child day care |
24 | | home, or part day child care facility operated in a private |
25 | | residence used as a dwelling.
|
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1 | | (c) Regarding penalties prescribed in subsection
(b) for |
2 | | violations committed in a child day care center, child day |
3 | | care home, group child day care home, or part day child care |
4 | | facility, the time of day, time of year, and whether children |
5 | | under 18 years of age were present in the child day care |
6 | | center, child day care home, group child day care home, or part |
7 | | day child care facility are irrelevant. |
8 | | (Source: P.A. 102-546, eff. 1-1-22 .)
|
9 | | (720 ILCS 5/48-1)
(was 720 ILCS 5/26-5)
|
10 | | Sec. 48-1. Dog fighting. (For other provisions that may |
11 | | apply to dog
fighting, see the Humane Care for Animals Act. For |
12 | | provisions similar to this
Section that apply to animals other |
13 | | than dogs, see in particular Section 4.01
of the Humane Care |
14 | | for Animals Act.)
|
15 | | (a) No person may own, capture, breed, train, or lease any
|
16 | | dog which he or she knows is intended for use in any
show, |
17 | | exhibition, program, or other activity featuring or otherwise
|
18 | | involving a fight between the dog and any other animal or |
19 | | human, or the
intentional killing of any dog for the purpose of |
20 | | sport, wagering, or
entertainment.
|
21 | | (b) No person may promote, conduct, carry on, advertise,
|
22 | | collect money for or in any other manner assist or aid in the
|
23 | | presentation for purposes of sport, wagering, or entertainment |
24 | | of
any show, exhibition, program, or other activity involving
|
25 | | a fight between 2 or more dogs or any dog and human,
or the |
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1 | | intentional killing of any dog.
|
2 | | (c) No person may sell or offer for sale, ship, transport,
|
3 | | or otherwise move, or deliver or receive any dog which he or |
4 | | she
knows has been captured, bred, or trained, or will be used,
|
5 | | to fight another dog or human or be intentionally killed for
|
6 | | purposes of sport, wagering, or entertainment.
|
7 | | (c-5) No person may solicit a minor to violate this |
8 | | Section.
|
9 | | (d) No person may manufacture for sale, shipment, |
10 | | transportation,
or delivery any device or equipment which he |
11 | | or she knows or should know
is intended for use in any show, |
12 | | exhibition, program, or other activity
featuring or otherwise |
13 | | involving a fight between 2 or more dogs, or any
human and dog, |
14 | | or the intentional killing of any dog for purposes of
sport, |
15 | | wagering, or entertainment.
|
16 | | (e) No person may own, possess, sell or offer for sale, |
17 | | ship,
transport, or otherwise move any equipment or device |
18 | | which he or she
knows or should know is intended for use in |
19 | | connection with any show,
exhibition, program, or activity |
20 | | featuring or otherwise involving a fight
between 2 or more |
21 | | dogs, or any dog and human, or the intentional
killing of any |
22 | | dog for purposes of sport, wagering or entertainment.
|
23 | | (f) No person may knowingly make available any site, |
24 | | structure, or
facility, whether enclosed or not, that he or |
25 | | she knows is intended to be
used for the purpose of conducting |
26 | | any show, exhibition, program, or other
activity involving a |
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1 | | fight between 2 or more dogs, or any dog and human, or the
|
2 | | intentional killing of any dog or knowingly manufacture, |
3 | | distribute, or
deliver fittings to be used in a fight between 2 |
4 | | or more dogs or a dog and
human.
|
5 | | (g) No person may knowingly attend or otherwise patronize |
6 | | any show, exhibition,
program, or other activity featuring or |
7 | | otherwise involving a fight between
2 or more dogs, or any dog |
8 | | and human, or the intentional killing of
any dog for purposes |
9 | | of sport, wagering, or entertainment.
|
10 | | (h) No person may tie or attach or fasten any live animal |
11 | | to any
machine or device propelled by any power for the purpose |
12 | | of causing the
animal to be pursued by a dog or dogs. This |
13 | | subsection (h) applies only
when the dog is intended to be used |
14 | | in a dog fight.
|
15 | | (i) Sentence.
|
16 | | (1) Any person convicted of violating subsection (a), |
17 | | (b), (c), or (h)
of this Section is guilty of a Class
4 |
18 | | felony for a first violation and a
Class
3 felony for a |
19 | | second or subsequent violation, and may be fined an
amount |
20 | | not to exceed $50,000.
|
21 | | (1.5) A person who knowingly owns a dog for fighting |
22 | | purposes or for
producing a fight between 2 or more dogs or |
23 | | a dog and human or who knowingly
offers for sale or sells a |
24 | | dog bred for fighting is guilty of a Class
3 felony
and may |
25 | | be fined an amount not to exceed $50,000, if the dog |
26 | | participates
in a dogfight and any of the following |
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1 | | factors is present:
|
2 | | (i) the dogfight is performed in the presence of a |
3 | | person under 18
years of age;
|
4 | | (ii) the dogfight is performed for the purpose of |
5 | | or in the presence
of illegal wagering activity; or
|
6 | | (iii) the dogfight is performed in furtherance of |
7 | | streetgang related
activity as defined in Section 10 |
8 | | of the Illinois Streetgang Terrorism Omnibus
|
9 | | Prevention Act.
|
10 | | (1.7) A person convicted of violating subsection (c-5) |
11 | | of this Section
is guilty of a Class 4 felony.
|
12 | | (2) Any person convicted of violating subsection (d) |
13 | | or (e) of this
Section is guilty of a
Class 4 felony for a |
14 | | first violation.
A second or subsequent violation of |
15 | | subsection (d) or (e) of this Section
is a Class
3 felony.
|
16 | | (2.5) Any person convicted of violating subsection (f) |
17 | | of this Section
is guilty of a Class
4 felony. Any person |
18 | | convicted of violating subsection (f) of this Section in |
19 | | which the site, structure, or facility made available to |
20 | | violate subsection (f) is located within 1,000 feet of a |
21 | | school, public park, playground, child care institution, |
22 | | child day care center, part day child care facility, child |
23 | | day care home, group child day care home, or a facility |
24 | | providing programs or services
exclusively directed toward |
25 | | persons under 18 years of age is guilty of a Class 3 felony |
26 | | for a first violation and a Class 2 felony for a second or |
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1 | | subsequent violation.
|
2 | | (3) Any person convicted of violating subsection (g) |
3 | | of this Section
is guilty of a Class 4 felony for a first |
4 | | violation. A second or
subsequent violation of subsection |
5 | | (g) of this Section is a Class 3 felony. If a person under |
6 | | 13 years of age is present at any show, exhibition,
|
7 | | program, or other activity prohibited in subsection (g), |
8 | | the parent, legal guardian, or other person who is 18 |
9 | | years of age or older who brings that person under 13 years |
10 | | of age to that show, exhibition, program, or other |
11 | | activity is guilty of a Class 3 felony for a first |
12 | | violation and a Class 2 felony for a second or subsequent |
13 | | violation.
|
14 | | (i-5) A person who commits a felony violation of this |
15 | | Section is subject to the property forfeiture provisions set |
16 | | forth in Article 124B of the Code of Criminal Procedure of |
17 | | 1963. |
18 | | (j) Any dog or equipment involved in a violation of this |
19 | | Section shall
be immediately seized and impounded under |
20 | | Section 12 of the Humane Care for
Animals Act when located at |
21 | | any show, exhibition, program, or other activity
featuring or |
22 | | otherwise involving a dog fight for the purposes of sport,
|
23 | | wagering, or entertainment.
|
24 | | (k) Any vehicle or conveyance other than a common carrier |
25 | | that is used
in violation of this Section shall be seized, |
26 | | held, and offered for sale at
public auction by the sheriff's |
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1 | | department of the proper jurisdiction, and
the proceeds from |
2 | | the sale shall be remitted to the general fund of the
county |
3 | | where the violation took place.
|
4 | | (l) Any veterinarian in this State who is presented with a |
5 | | dog for treatment
of injuries or wounds resulting from |
6 | | fighting where there is a reasonable
possibility that the dog |
7 | | was engaged in or utilized for a fighting event for
the |
8 | | purposes of sport, wagering, or entertainment shall file a |
9 | | report with the
Department of Agriculture and cooperate by |
10 | | furnishing the owners' names, dates,
and descriptions of the |
11 | | dog or dogs involved. Any veterinarian who in good
faith |
12 | | complies with the requirements of this subsection has immunity |
13 | | from any
liability, civil, criminal, or otherwise, that may |
14 | | result from his or her
actions. For the purposes of any |
15 | | proceedings, civil or criminal, the good
faith of the |
16 | | veterinarian shall be rebuttably presumed.
|
17 | | (m) In addition to any other penalty provided by law, upon |
18 | | conviction for
violating this Section, the court may order |
19 | | that the convicted person and
persons dwelling in the same |
20 | | household as the convicted person who conspired,
aided, or |
21 | | abetted in the unlawful act that was the basis of the |
22 | | conviction,
or who knew or should have known of the unlawful |
23 | | act, may not own, harbor, or
have custody or control of any dog |
24 | | or other animal for a period of time that
the court deems |
25 | | reasonable.
|
26 | | (n) A violation of subsection (a) of this Section may be |
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1 | | inferred from evidence that the accused possessed any device |
2 | | or equipment described in subsection (d), (e), or (h) of this |
3 | | Section, and also possessed any dog.
|
4 | | (o) When no longer required for investigations or court |
5 | | proceedings relating to the events described or depicted |
6 | | therein, evidence relating to convictions for violations of |
7 | | this Section shall be retained and made available for use in |
8 | | training peace officers in detecting and identifying |
9 | | violations of this Section. Such evidence shall be made |
10 | | available upon request to other law enforcement agencies and |
11 | | to schools certified under the Illinois Police Training Act.
|
12 | | (p) For the purposes of this Section, "school" has the |
13 | | meaning ascribed to it in Section 11-9.3 of this Code; and |
14 | | "public park", "playground", "child care institution", " child |
15 | | day care center", "part day child care facility", " child day |
16 | | care home", "group child day care home", and "facility |
17 | | providing programs or services
exclusively directed toward |
18 | | persons under 18 years of age" have the meanings ascribed to |
19 | | them in Section 11-9.4 of this Code. |
20 | | (Source: P.A. 96-226, eff. 8-11-09; 96-712, eff. 1-1-10; |
21 | | 96-1000, eff. 7-2-10; 96-1091, eff. 1-1-11; 97-1108, eff. |
22 | | 1-1-13.)
|
23 | | Section 285. The Code of Criminal Procedure of 1963 is |
24 | | amended by changing Sections 112A-14.5, 112A-14.7, and 112A-22 |
25 | | as follows:
|
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1 | | (725 ILCS 5/112A-14.5) |
2 | | Sec. 112A-14.5. Civil no contact order; remedies. |
3 | | (a) The court may order any of the remedies listed in this |
4 | | Section. The remedies listed in this Section shall be in |
5 | | addition to other civil or criminal remedies available to |
6 | | petitioner: |
7 | | (1) prohibit the respondent from knowingly coming
|
8 | | within, or knowingly remaining within, a specified |
9 | | distance from the petitioner; |
10 | | (2) restrain the respondent from having any contact,
|
11 | | including nonphysical contact, with the petitioner |
12 | | directly, indirectly, or through third parties, regardless |
13 | | of whether those third parties know of the order; |
14 | | (3) prohibit the respondent from knowingly coming
|
15 | | within, or knowingly remaining within, a specified |
16 | | distance from the petitioner's residence, school, child |
17 | | day care or other specified location; |
18 | | (4) order the respondent to stay away from any
|
19 | | property or animal owned, possessed, leased, kept, or held |
20 | | by the petitioner and forbid the respondent from taking, |
21 | | transferring, encumbering, concealing, harming, or |
22 | | otherwise disposing of the property or animal; and |
23 | | (5) order any other injunctive relief as necessary or
|
24 | | appropriate for the protection of the petitioner. |
25 | | (b) When the petitioner and the respondent attend the same |
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|
1 | | public or private elementary, middle, or high school, the |
2 | | court when issuing a civil no contact order and providing |
3 | | relief shall consider the severity of the act, any continuing |
4 | | physical danger or emotional distress to the petitioner, the |
5 | | educational rights guaranteed to the petitioner and respondent |
6 | | under federal and State law, the availability of a transfer of |
7 | | the respondent to another school, a change of placement or a |
8 | | change of program of the respondent, the expense, difficulty, |
9 | | and educational disruption that would be caused by a transfer |
10 | | of the respondent to another school, and any other relevant |
11 | | facts of the case. The court may order that the respondent not |
12 | | attend the public, private, or non-public elementary, middle, |
13 | | or high school attended by the petitioner, order that the |
14 | | respondent accept a change of placement or program, as |
15 | | determined by the school district or private or non-public |
16 | | school, or place restrictions on the respondent's movements |
17 | | within the school attended by the petitioner. The respondent |
18 | | bears the burden of proving by a preponderance of the evidence |
19 | | that a transfer, change of placement, or change of program of |
20 | | the respondent is not available. The respondent also bears the |
21 | | burden of production with respect to the expense, difficulty, |
22 | | and educational disruption that would be caused by a transfer |
23 | | of the respondent to another school. A transfer, change of |
24 | | placement, or change of program is not unavailable to the |
25 | | respondent solely on the ground that the respondent does not |
26 | | agree with the school district's or private or non-public |
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1 | | school's transfer, change of placement, or change of program |
2 | | or solely on the ground that the respondent fails or refuses to |
3 | | consent to or otherwise does not take an action required to |
4 | | effectuate a transfer, change of placement, or change of |
5 | | program. When a court orders a respondent to stay away from the |
6 | | public, private, or non-public school attended by the |
7 | | petitioner and the respondent requests a transfer to another |
8 | | attendance center within the respondent's school district or |
9 | | private or non-public school, the school district or private |
10 | | or non-public school shall have sole discretion to determine |
11 | | the attendance center to which the respondent is transferred. |
12 | | If the court order results in a transfer of the minor |
13 | | respondent to another attendance center, a change in the |
14 | | respondent's placement, or a change of the respondent's |
15 | | program, the parents, guardian, or legal custodian of the |
16 | | respondent is responsible for transportation and other costs |
17 | | associated with the transfer or change. |
18 | | (c) The court may order the parents, guardian, or legal |
19 | | custodian of a minor respondent to take certain actions or to |
20 | | refrain from taking certain actions to ensure that the |
21 | | respondent complies with the order. If the court orders a |
22 | | transfer of the respondent to another school, the parents or |
23 | | legal guardians of the respondent are responsible for |
24 | | transportation and other costs associated with the change of |
25 | | school by the respondent. |
26 | | (d) Denial of a remedy may not be based, in whole or in |
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1 | | part, on evidence that: |
2 | | (1) the respondent has cause for any use of force,
|
3 | | unless that cause satisfies the standards for justifiable |
4 | | use of force provided by Article 7 of the Criminal Code of |
5 | | 2012; |
6 | | (2) the respondent was voluntarily intoxicated; |
7 | | (3) the petitioner acted in self-defense or defense
of |
8 | | another, provided that, if the petitioner utilized force, |
9 | | such force was justifiable under Article 7 of the Criminal |
10 | | Code of 2012; |
11 | | (4) the petitioner did not act in self-defense or
|
12 | | defense of another; |
13 | | (5) the petitioner left the residence or household to
|
14 | | avoid further non-consensual sexual conduct or |
15 | | non-consensual sexual penetration by the respondent; or |
16 | | (6) the petitioner did not leave the residence or
|
17 | | household to avoid further non-consensual sexual conduct |
18 | | or non-consensual sexual penetration by the respondent. |
19 | | (e) Monetary damages are not recoverable as a remedy.
|
20 | | (Source: P.A. 100-199, eff. 1-1-18 .)
|
21 | | (725 ILCS 5/112A-14.7) |
22 | | Sec. 112A-14.7. Stalking no contact order; remedies. |
23 | | (a) The court may order any of the remedies listed in this |
24 | | Section. The remedies listed in this Section shall be in |
25 | | addition to other civil or criminal remedies available to |
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1 | | petitioner.
A stalking no contact order shall order one or |
2 | | more of the following: |
3 | | (1) prohibit the respondent from threatening to
commit |
4 | | or committing stalking; |
5 | | (2) order the respondent not to have any contact with
|
6 | | the petitioner or a third person specifically named by the |
7 | | court; |
8 | | (3) prohibit the respondent from knowingly coming
|
9 | | within, or knowingly remaining within a specified distance |
10 | | of the petitioner or the petitioner's residence, school, |
11 | | child care daycare , or place of employment, or any |
12 | | specified place frequented by the petitioner; however, the |
13 | | court may order the respondent to stay away from the |
14 | | respondent's own residence, school, or place of employment |
15 | | only if the respondent has been provided actual notice of |
16 | | the opportunity to appear and be heard on the petition; |
17 | | (4) prohibit the respondent from possessing a
Firearm |
18 | | Owners Identification Card, or possessing or buying |
19 | | firearms; and |
20 | | (5) order other injunctive relief the court
determines |
21 | | to be necessary to protect the petitioner or third party |
22 | | specifically named by the court. |
23 | | (b) When the petitioner and the respondent attend the same |
24 | | public, private, or non-public elementary, middle, or high |
25 | | school, the court when issuing a stalking no contact order and |
26 | | providing relief shall consider the severity of the act, any |
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1 | | continuing physical danger or emotional distress to the |
2 | | petitioner, the educational rights guaranteed to the |
3 | | petitioner and respondent under federal and State law, the |
4 | | availability of a transfer of the respondent to another |
5 | | school, a change of placement or a change of program of the |
6 | | respondent, the expense, difficulty, and educational |
7 | | disruption that would be caused by a transfer of the |
8 | | respondent to another school, and any other relevant facts of |
9 | | the case. The court may order that the respondent not attend |
10 | | the public, private, or non-public elementary, middle, or high |
11 | | school attended by the petitioner, order that the respondent |
12 | | accept a change of placement or program, as determined by the |
13 | | school district or private or non-public school, or place |
14 | | restrictions on the respondent's movements within the school |
15 | | attended by the petitioner. The respondent bears the burden of |
16 | | proving by a preponderance of the evidence that a transfer, |
17 | | change of placement, or change of program of the respondent is |
18 | | not available. The respondent also bears the burden of |
19 | | production with respect to the expense, difficulty, and |
20 | | educational disruption that would be caused by a transfer of |
21 | | the respondent to another school. A transfer, change of |
22 | | placement, or change of program is not unavailable to the |
23 | | respondent solely on the ground that the respondent does not |
24 | | agree with the school district's or private or non-public |
25 | | school's transfer, change of placement, or change of program |
26 | | or solely on the ground that the respondent fails or refuses to |
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1 | | consent to or otherwise does not take an action required to |
2 | | effectuate a transfer, change of placement, or change of |
3 | | program. When a court orders a respondent to stay away from the |
4 | | public, private, or non-public school attended by the |
5 | | petitioner and the respondent requests a transfer to another |
6 | | attendance center within the respondent's school district or |
7 | | private or non-public school, the school district or private |
8 | | or non-public school shall have sole discretion to determine |
9 | | the attendance center to which the respondent is transferred. |
10 | | If the court order results in a transfer of the minor |
11 | | respondent to another attendance center, a change in the |
12 | | respondent's placement, or a change of the respondent's |
13 | | program, the parents, guardian, or legal custodian of the |
14 | | respondent is responsible for transportation and other costs |
15 | | associated with the transfer or change. |
16 | | (c) The court may order the parents, guardian, or legal |
17 | | custodian of a minor respondent to take certain actions or to |
18 | | refrain from taking certain actions to ensure that the |
19 | | respondent complies with the order. If the court orders a |
20 | | transfer of the respondent to another school, the parents, |
21 | | guardian, or legal custodian of the respondent are responsible |
22 | | for transportation and other costs associated with the change |
23 | | of school by the respondent. |
24 | | (d) The court shall not hold a school district or private |
25 | | or non-public school or any of its employees in civil or |
26 | | criminal contempt unless the school district or private or |
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1 | | non-public school has been allowed to intervene. |
2 | | (e) The court may hold the parents, guardian, or legal |
3 | | custodian of a minor respondent in civil or criminal contempt |
4 | | for a violation of any provision of any order entered under |
5 | | this Article for conduct of the minor respondent in violation |
6 | | of this Article if the parents, guardian, or legal custodian |
7 | | directed, encouraged, or assisted the respondent minor in the |
8 | | conduct. |
9 | | (f) Monetary damages are not recoverable as a remedy. |
10 | | (g) If the stalking no contact order prohibits the |
11 | | respondent from possessing a Firearm Owner's Identification |
12 | | Card, or possessing or buying firearms; the court shall |
13 | | confiscate the respondent's Firearm Owner's Identification |
14 | | Card and immediately return the card to the Illinois State |
15 | | Police Firearm Owner's Identification Card Office.
|
16 | | (Source: P.A. 102-538, eff. 8-20-21.)
|
17 | | (725 ILCS 5/112A-22) (from Ch. 38, par. 112A-22)
|
18 | | Sec. 112A-22. Notice of orders.
|
19 | | (a) Entry and issuance. Upon issuance
of any protective |
20 | | order, the clerk shall
immediately, or on the next court day if |
21 | | an ex parte order is issued under subsection (e) of Section |
22 | | 112A-17.5 of this Code,
(i) enter the order on the record and |
23 | | file it
in accordance with the circuit court
procedures and |
24 | | (ii) provide a file stamped copy of the order to
respondent and |
25 | | to petitioner, if present, and to the State's Attorney. If the |
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1 | | victim is not present the State's Attorney shall (i) as soon as |
2 | | practicable notify the petitioner the order has been entered |
3 | | and (ii) provide a file stamped copy of the order to the |
4 | | petitioner within 3 days.
|
5 | | (b) Filing with sheriff. The clerk of the issuing judge |
6 | | shall, on the same day that a protective order is
issued, file |
7 | | a copy of that order with the sheriff or other law enforcement
|
8 | | officials charged with maintaining Illinois State Police |
9 | | records or charged with serving the order upon respondent. If |
10 | | the order was issued under subsection (e) of Section 112A-17.5 |
11 | | of this Code, the clerk on the next court day shall file a |
12 | | certified copy of the order with the sheriff or other law |
13 | | enforcement officials charged with maintaining Illinois State |
14 | | Police records.
|
15 | | (c) (Blank).
|
16 | | (c-2) Service by sheriff. Unless respondent was present in |
17 | | court when the order was issued, the sheriff, other law |
18 | | enforcement official, or special process server shall promptly |
19 | | serve that order upon respondent and file proof of the |
20 | | service, in the manner provided for service of process in |
21 | | civil proceedings. Instead of serving the order upon the |
22 | | respondent; however, the sheriff, other law enforcement |
23 | | official, special process server, or other persons defined in |
24 | | Section 112A-22.1 of this Code may serve the respondent with a |
25 | | short form notification as provided in Section 112A-22.1 of |
26 | | this Code. If process has not yet been served upon the |
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1 | | respondent, process shall be served with the order or short |
2 | | form notification if the service is made by the sheriff, other |
3 | | law enforcement official, or special process server. |
4 | | (c-3) If the person against whom the protective order is |
5 | | issued is arrested and the written order is issued under |
6 | | subsection (e) of Section 112A-17.5 of this Code and received |
7 | | by the custodial law enforcement agency before the respondent |
8 | | or arrestee is released from custody, the custodial law |
9 | | enforcement agency shall promptly serve the order upon the |
10 | | respondent or arrestee before the respondent or arrestee is |
11 | | released from custody. In no event shall detention of the |
12 | | respondent or arrestee be extended for a hearing on the |
13 | | petition for protective order or receipt of the order issued |
14 | | under Section 112A-17 of this Code. |
15 | | (c-4) Extensions, modifications, and revocations. Any |
16 | | order extending, modifying, or revoking any protective order |
17 | | shall be promptly recorded, issued, and served as provided in |
18 | | this Section. |
19 | | (c-5) (Blank).
|
20 | | (d) (Blank).
|
21 | | (e) Notice to health care facilities and health care |
22 | | practitioners. Upon the request of the petitioner, the clerk |
23 | | of the circuit court shall send a certified copy of the |
24 | | protective order to any specified health care facility or |
25 | | health care practitioner requested by the petitioner at the |
26 | | mailing address provided by the petitioner. |
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1 | | (f) Disclosure by health care facilities and health care |
2 | | practitioners. After receiving a certified copy of a |
3 | | protective order that prohibits a respondent's access to |
4 | | records, no health care facility or health care practitioner |
5 | | shall allow a respondent access to the records of any child who |
6 | | is a protected person under the protective order, or release |
7 | | information in those records to the respondent, unless the |
8 | | order has expired or the respondent shows a certified copy of |
9 | | the court order vacating the corresponding protective order |
10 | | that was sent to the health care facility or practitioner. |
11 | | Nothing in this Section shall be construed to require health
|
12 | | care facilities or health care practitioners to alter |
13 | | procedures related to billing and payment. The health care |
14 | | facility or health care practitioner may file the copy of the |
15 | | protective order in the records of a child who is a protected |
16 | | person under the protective order, or may employ any other |
17 | | method to identify the records to which a respondent is |
18 | | prohibited access. No health care facility or health care |
19 | | practitioner shall be civilly or professionally liable for
|
20 | | reliance on a copy of a protective order, except for willful |
21 | | and wanton misconduct. |
22 | | (g) Notice to schools. Upon the request of the petitioner, |
23 | | within 24
hours of the issuance of a protective order, the |
24 | | clerk of the issuing judge shall
send a certified copy of
the |
25 | | protective order to the child care day-care facility,
|
26 | | pre-school or pre-kindergarten, or private school or the |
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1 | | principal
office of the public school district or any college |
2 | | or university in which any child who
is a protected person |
3 | | under the protective order or any child
of
the
petitioner is |
4 | | enrolled as requested by the petitioner at the mailing address |
5 | | provided by the petitioner.
If the child transfers enrollment |
6 | | to another child care day-care facility, pre-school,
|
7 | | pre-kindergarten,
private school, public school, college, or |
8 | | university, the petitioner may,
within 24 hours
of the |
9 | | transfer, send to the clerk written notice of the transfer, |
10 | | including
the name and
address of the institution to which the |
11 | | child is transferring.
Within 24 hours of receipt of notice
|
12 | | from the petitioner that a child is transferring to another |
13 | | child care day-care facility,
pre-school, pre-kindergarten, |
14 | | private school, public school, college, or
university, the |
15 | | clerk shall send a certified copy of the order to the |
16 | | institution to which the child
is
transferring. |
17 | | (h) Disclosure by schools. After receiving a certified |
18 | | copy of a protective order that prohibits a respondent's |
19 | | access to records, neither a child care
day-care facility, |
20 | | pre-school, pre-kindergarten, public
or private school, |
21 | | college, or university nor its employees shall allow a
|
22 | | respondent access to a
protected child's records or release |
23 | | information in those records to the
respondent. The school |
24 | | shall file
the copy of the protective order in the records of a |
25 | | child who
is a protected person under the order. When a child |
26 | | who is a
protected person under the protective order transfers |
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1 | | to another child care day-care
facility, pre-school, |
2 | | pre-kindergarten, public or private school, college, or
|
3 | | university, the institution from which the child is |
4 | | transferring may, at the
request of the petitioner, provide,
|
5 | | within 24 hours of the transfer, written notice of the |
6 | | protective order,
along with a certified copy of the order, to |
7 | | the institution to which the child
is
transferring. |
8 | | (Source: P.A. 102-538, eff. 8-20-21.)
|
9 | | Section 290. The Sexually Violent Persons Commitment Act |
10 | | is amended by changing Section 40 as follows:
|
11 | | (725 ILCS 207/40)
|
12 | | Sec. 40. Commitment.
|
13 | | (a) If a court or jury determines that the person who is |
14 | | the
subject of a petition under Section 15 of this Act is a |
15 | | sexually
violent person, the court shall order the person to |
16 | | be committed
to the custody of the Department for control, |
17 | | care and treatment
until such time as the person is no longer a |
18 | | sexually violent
person.
|
19 | | (b)(1) The court shall enter an initial commitment order |
20 | | under
this Section pursuant to a hearing held as soon as |
21 | | practicable
after the judgment is entered that the person who |
22 | | is the subject of a
petition under Section 15 is a sexually |
23 | | violent person.
If the court lacks sufficient information to |
24 | | make the
determination required by paragraph (b)(2) of this |
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1 | | Section
immediately after trial, it may adjourn the hearing |
2 | | and order the
Department to conduct a predisposition |
3 | | investigation or a
supplementary mental examination, or both, |
4 | | to assist the court in
framing the commitment order. If the |
5 | | Department's examining evaluator previously rendered an |
6 | | opinion that the person who is the subject of a petition under |
7 | | Section 15 does not meet the criteria to be found a sexually |
8 | | violent person, then another evaluator shall conduct the |
9 | | predisposition investigation and/or supplementary mental |
10 | | examination. A supplementary mental examination
under this |
11 | | Section shall be conducted in accordance with Section
3-804 of |
12 | | the Mental Health and Developmental Disabilities Code.
The |
13 | | State has the right to have the person evaluated by experts |
14 | | chosen by the State.
|
15 | | (2) An order for commitment under this Section shall |
16 | | specify
either institutional care in a secure facility, as |
17 | | provided under
Section 50 of this Act, or conditional release. |
18 | | In determining
whether commitment shall be for institutional |
19 | | care in a secure
facility or for conditional release, the |
20 | | court shall consider the
nature and circumstances of the |
21 | | behavior that was the basis of the
allegation in the petition |
22 | | under paragraph (b)(1) of Section 15, the person's
mental |
23 | | history and present mental condition, and what
arrangements |
24 | | are available to ensure that the person has access to
and will |
25 | | participate in necessary treatment.
All treatment, whether in |
26 | | institutional care, in a secure facility, or while
on
|
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1 | | conditional release, shall be conducted in conformance
with |
2 | | the standards developed under the Sex Offender Management |
3 | | Board
Act and conducted by a treatment provider licensed under |
4 | | the Sex Offender Evaluation and Treatment Provider Act.
The |
5 | | Department shall
arrange for control, care and treatment of |
6 | | the person in the least
restrictive manner consistent with the |
7 | | requirements of the person
and in accordance with the court's |
8 | | commitment order.
|
9 | | (3) If the court finds that the person is appropriate for
|
10 | | conditional release, the court shall notify the Department. |
11 | | The
Department shall prepare a plan that identifies the |
12 | | treatment and
services, if any, that the person will receive |
13 | | in the community.
The plan shall address the person's need, if |
14 | | any, for
supervision, counseling, medication, community |
15 | | support services,
residential services, vocational services, |
16 | | and alcohol or other
drug abuse treatment. The Department may |
17 | | contract with a county
health department, with another public |
18 | | agency or with a private
agency to provide the treatment and |
19 | | services identified in the
plan. The plan shall specify who |
20 | | will be responsible for
providing the treatment and services |
21 | | identified in the plan. The
plan shall be presented to the |
22 | | court for its approval within 60
days after the court finding |
23 | | that the person is appropriate for
conditional release, unless |
24 | | the Department and the person to be
released request |
25 | | additional time to develop the plan.
The conditional release |
26 | | program operated under this Section is not
subject to the |
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1 | | provisions of the Mental Health and Developmental Disabilities
|
2 | | Confidentiality Act.
|
3 | | (4) An order for conditional release places the person in
|
4 | | the custody and control of the Department. A person on
|
5 | | conditional release is subject to the conditions set by the |
6 | | court
and to the rules of the Department. Before a person is |
7 | | placed on
conditional release by the court under this Section, |
8 | | the court
shall so notify the municipal police department and |
9 | | county sheriff
for the municipality and county in which the |
10 | | person will be
residing. The notification requirement under |
11 | | this Section does
not apply if a municipal police department |
12 | | or county sheriff
submits to the court a written statement |
13 | | waiving the right to be
notified. Notwithstanding any other |
14 | | provision in the Act, the person being supervised on |
15 | | conditional release shall not reside at the same street |
16 | | address as another sex offender being supervised on |
17 | | conditional release under this Act, mandatory supervised |
18 | | release, parole, aftercare release, probation, or any other |
19 | | manner of supervision. If the Department alleges that a |
20 | | released person has
violated any condition or rule, or that |
21 | | the safety of others
requires that conditional release be |
22 | | revoked, he or she may be
taken into custody under the rules of |
23 | | the Department.
|
24 | | At any time during which the person is on conditional |
25 | | release, if the
Department determines that the person has |
26 | | violated any condition or rule, or
that the safety of others |
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|
1 | | requires that conditional release be revoked, the
Department |
2 | | may request the Attorney General or State's Attorney to |
3 | | request the
court to issue an emergency ex parte order |
4 | | directing any law enforcement
officer
to take the person into |
5 | | custody and transport the person to the county jail.
The |
6 | | Department may request, or the Attorney General or State's |
7 | | Attorney may
request independently of the Department, that a |
8 | | petition to revoke conditional
release be filed. When a |
9 | | petition is filed, the court may order the Department
to issue |
10 | | a notice to the person to be present at the Department or other
|
11 | | agency designated by the court, order a summons to the person |
12 | | to be present, or
order a body attachment for all law |
13 | | enforcement officers to take the person
into custody and |
14 | | transport him or her to the county jail, hospital, or
|
15 | | treatment
facility.
The
Department shall submit a statement |
16 | | showing probable cause of the
detention and a petition to |
17 | | revoke the order for conditional
release to the committing |
18 | | court within 48 hours after the
detention. The court shall |
19 | | hear the petition within 30 days,
unless the hearing or time |
20 | | deadline is waived by the detained
person. Pending the |
21 | | revocation hearing, the Department may detain
the person in a |
22 | | jail, in a hospital or treatment facility. The
State has the |
23 | | burden of proving by clear and convincing evidence
that any |
24 | | rule or condition of release has been violated, or that
the |
25 | | safety of others requires that the conditional release be
|
26 | | revoked. If the court determines after hearing that any rule |
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|
1 | | or
condition of release has been violated, or that the safety |
2 | | of
others requires that conditional release be revoked, it may |
3 | | revoke
the order for conditional release and order that the |
4 | | released
person be placed in an appropriate institution until |
5 | | the person is
discharged from the commitment under Section 65 |
6 | | of this Act or
until again placed on conditional release under |
7 | | Section 60 of this
Act.
|
8 | | (5) An order for conditional release places the person in |
9 | | the custody,
care, and control of the Department. The court |
10 | | shall order the person be
subject to the following rules of |
11 | | conditional release, in addition to any other
conditions |
12 | | ordered, and the person shall be given a certificate setting |
13 | | forth
the
conditions of conditional release. These conditions |
14 | | shall be that the person:
|
15 | | (A) not violate any criminal statute of any |
16 | | jurisdiction;
|
17 | | (B) report to or appear in person before such person |
18 | | or agency as
directed by the court and the Department;
|
19 | | (C) refrain from possession of a firearm or other |
20 | | dangerous weapon;
|
21 | | (D) not leave the State without the consent of the |
22 | | court or, in
circumstances in which the reason for the |
23 | | absence is of such an emergency
nature, that prior consent |
24 | | by the court is not possible without the prior
|
25 | | notification and approval of the Department;
|
26 | | (E) at the direction of the Department, notify third |
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1 | | parties of the
risks that may be occasioned by his or her |
2 | | criminal record or sexual offending
history or |
3 | | characteristics, and permit the supervising officer or |
4 | | agent to make
the
notification requirement;
|
5 | | (F) attend and fully participate in assessment, |
6 | | treatment, and behavior
monitoring including, but not |
7 | | limited to, medical, psychological or psychiatric
|
8 | | treatment specific to sexual offending, drug addiction, or |
9 | | alcoholism, to the
extent appropriate to the person based |
10 | | upon the recommendation and findings
made in the |
11 | | Department evaluation or based upon any subsequent |
12 | | recommendations
by the Department;
|
13 | | (G) waive confidentiality allowing the court and |
14 | | Department access to
assessment or treatment results or |
15 | | both;
|
16 | | (H) work regularly at a Department approved occupation |
17 | | or pursue a
course of study or vocational training and |
18 | | notify the Department within
72 hours of any change in |
19 | | employment, study, or training;
|
20 | | (I) not be employed or participate in any volunteer |
21 | | activity that
involves contact with children, except under |
22 | | circumstances approved in advance
and in writing by the |
23 | | Department officer;
|
24 | | (J) submit to the search of his or her person, |
25 | | residence, vehicle, or
any personal or
real property under |
26 | | his or her control at any time by the Department;
|
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1 | | (K) financially support his or her dependents and |
2 | | provide the Department
access
to any requested financial |
3 | | information;
|
4 | | (L) serve a term of home confinement, the conditions |
5 | | of which shall be
that the person:
|
6 | | (i) remain within the interior premises of the |
7 | | place designated for
his or her confinement during the |
8 | | hours designated by the Department;
|
9 | | (ii) admit any person or agent designated by the |
10 | | Department into the
offender's place of confinement at |
11 | | any time for purposes of verifying the
person's |
12 | | compliance with the condition of his or her |
13 | | confinement;
|
14 | | (iii) if deemed necessary by the Department, be |
15 | | placed on an
electronic monitoring device;
|
16 | | (M) comply with the terms and conditions of an order |
17 | | of protection
issued by the court pursuant to the Illinois |
18 | | Domestic Violence Act of 1986. A
copy of the order of |
19 | | protection shall be
transmitted to the Department by the |
20 | | clerk of the court;
|
21 | | (N) refrain from entering into a designated geographic |
22 | | area except upon
terms the Department finds appropriate. |
23 | | The terms may include
consideration of the purpose of the |
24 | | entry, the time of day, others accompanying
the person, |
25 | | and advance approval by the Department;
|
26 | | (O) refrain from having any contact, including written |
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| | SB1797 | - 663 - | LRB103 03433 AMQ 48439 b |
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1 | | or oral
communications, directly or indirectly, with |
2 | | certain specified persons
including, but not limited to, |
3 | | the victim or the victim's family, and
report any |
4 | | incidental contact with the victim or the victim's family |
5 | | to
the Department within 72 hours; refrain from entering |
6 | | onto the premises of,
traveling
past,
or loitering near |
7 | | the victim's residence, place of employment, or other |
8 | | places
frequented by the victim;
|
9 | | (P) refrain from having any contact, including written |
10 | | or oral
communications, directly or indirectly, with |
11 | | particular types of persons,
including but not limited to |
12 | | members of street gangs, drug users, drug dealers,
or |
13 | | prostitutes;
|
14 | | (Q) refrain from all contact, direct or indirect, |
15 | | personally, by
telephone, letter, or through another |
16 | | person, with minor children without prior
identification |
17 | | and approval of the Department;
|
18 | | (R) refrain from having in his or her body the |
19 | | presence of alcohol
or any illicit drug prohibited by the |
20 | | Cannabis Control Act, the
Illinois
Controlled Substances |
21 | | Act, or the Methamphetamine Control and Community |
22 | | Protection Act, unless prescribed by a physician, and |
23 | | submit samples
of his or her breath, saliva, blood, or |
24 | | urine
for tests to determine the
presence of alcohol or |
25 | | any illicit drug;
|
26 | | (S) not establish a dating, intimate, or sexual |
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1 | | relationship with a
person without prior written |
2 | | notification to the Department;
|
3 | | (T) neither possess or have under his or her control |
4 | | any material that
is
pornographic, sexually oriented, or |
5 | | sexually stimulating, or that depicts or
alludes to sexual |
6 | | activity or depicts minors under the age of 18, including |
7 | | but
not limited to visual, auditory, telephonic, |
8 | | electronic media, or any matter
obtained through access to |
9 | | any computer or material linked to computer access
use;
|
10 | | (U) not patronize any business providing sexually |
11 | | stimulating or
sexually oriented entertainment nor utilize |
12 | | "900" or
adult telephone numbers or any other sex-related |
13 | | telephone numbers;
|
14 | | (V) not reside near, visit, or be in or about parks, |
15 | | schools, child day care
centers, swimming pools, beaches, |
16 | | theaters, or any other places where minor
children |
17 | | congregate without advance approval of the Department and |
18 | | report any
incidental contact with minor children to the |
19 | | Department within 72 hours;
|
20 | | (W) not establish any living arrangement or residence |
21 | | without prior
approval of the Department;
|
22 | | (X) not publish any materials or print any |
23 | | advertisements without
providing a copy of the proposed |
24 | | publications to the Department officer and
obtaining
|
25 | | permission prior to publication;
|
26 | | (Y) not leave the county except with prior permission |
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1 | | of the Department
and provide the Department officer or |
2 | | agent with written travel routes to and
from work and any |
3 | | other designated destinations;
|
4 | | (Z) not possess or have under his or her control |
5 | | certain specified items
of
contraband related to the |
6 | | incidence of sexually offending items including video
or
|
7 | | still camera items or children's toys;
|
8 | | (AA) provide a written daily log of activities as |
9 | | directed by the
Department;
|
10 | | (BB) comply with all other special conditions that the |
11 | | Department may
impose that restrict the person from |
12 | | high-risk situations and limit access or
potential |
13 | | victims.
|
14 | | (6) A person placed on conditional release and who during |
15 | | the term
undergoes mandatory drug or alcohol testing or is |
16 | | assigned to be
placed on an approved electronic monitoring |
17 | | device may be ordered to pay all
costs incidental to the |
18 | | mandatory drug or alcohol testing and all
costs incidental to |
19 | | the approved electronic monitoring in accordance with the
|
20 | | person's ability to pay those costs. The Department may |
21 | | establish reasonable
fees for the cost of maintenance, |
22 | | testing, and incidental expenses related to
the mandatory drug |
23 | | or alcohol testing and all costs incidental to
approved |
24 | | electronic monitoring.
|
25 | | (Source: P.A. 97-1098, eff. 7-1-14 (see Section 5 of P.A. |
26 | | 98-612 for the effective date of P.A. 97-1098); 98-558, eff. |
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| | SB1797 | - 666 - | LRB103 03433 AMQ 48439 b |
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1 | | 1-1-14 .)
|
2 | | Section 295. The Unified Code of Corrections is amended by |
3 | | changing Sections 3-2.5-95, 3-3-7, and 5-5-3.2 as follows:
|
4 | | (730 ILCS 5/3-2.5-95) |
5 | | Sec. 3-2.5-95. Conditions of aftercare release. |
6 | | (a) The conditions of aftercare release for all youth |
7 | | committed to the Department under the Juvenile Court Act of |
8 | | 1987 shall be such as the Department of Juvenile Justice deems |
9 | | necessary to assist the youth in leading a law-abiding life. |
10 | | The conditions of every aftercare release are that the youth: |
11 | | (1) not violate any criminal statute of any |
12 | | jurisdiction during the aftercare release term; |
13 | | (2) refrain from possessing a firearm or other |
14 | | dangerous weapon; |
15 | | (3) report to an agent of the Department; |
16 | | (4) permit the agent or aftercare specialist to visit |
17 | | the youth at his or her home, employment, or elsewhere to |
18 | | the extent necessary for the agent or aftercare specialist |
19 | | to discharge his or her duties; |
20 | | (5) reside at a Department-approved host site; |
21 | | (6) secure permission before visiting or writing a |
22 | | committed person in an Illinois Department of Corrections |
23 | | or Illinois Department of Juvenile Justice facility; |
24 | | (7) report all arrests to an agent of the Department |
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| | SB1797 | - 667 - | LRB103 03433 AMQ 48439 b |
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1 | | as soon as permitted by the arresting authority but in no |
2 | | event later than 24 hours after release from custody and |
3 | | immediately report service or notification of an order of |
4 | | protection, a civil no contact order, or a stalking no |
5 | | contact order to an agent of the Department; |
6 | | (8) obtain permission of an agent of the Department |
7 | | before leaving the State of Illinois; |
8 | | (9) obtain permission of an agent of the Department |
9 | | before changing his or her residence or employment; |
10 | | (10) consent to a search of his or her person, |
11 | | property, or residence under his or her control; |
12 | | (11) refrain from the use or possession of narcotics |
13 | | or other controlled substances in any form, or both, or |
14 | | any paraphernalia related to those substances and submit |
15 | | to a urinalysis test as instructed by an agent of the |
16 | | Department; |
17 | | (12) not frequent places where controlled substances |
18 | | are illegally sold, used, distributed, or administered; |
19 | | (13) not knowingly associate with other persons on |
20 | | parole, aftercare release, or mandatory supervised release |
21 | | without prior written permission of his or her aftercare |
22 | | specialist and not associate with persons who are members |
23 | | of an organized gang as that term is defined in the |
24 | | Illinois Streetgang Terrorism Omnibus Prevention Act; |
25 | | (14) provide true and accurate information, as it |
26 | | relates to his or her adjustment in the community while on |
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| | SB1797 | - 668 - | LRB103 03433 AMQ 48439 b |
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1 | | aftercare release or to his or her conduct while |
2 | | incarcerated, in response to inquiries by an agent of the |
3 | | Department; |
4 | | (15) follow any specific instructions provided by the |
5 | | agent that are consistent with furthering conditions set |
6 | | and approved by the Department or by law to achieve the |
7 | | goals and objectives of his or her aftercare release or to |
8 | | protect the public; these instructions by the agent may be |
9 | | modified at any time, as the agent deems appropriate; |
10 | | (16) comply with the terms and conditions of an order |
11 | | of protection issued under the Illinois Domestic Violence |
12 | | Act of 1986; an order of protection issued by the court of |
13 | | another state, tribe, or United States territory; a no |
14 | | contact order issued under the Civil No Contact Order Act; |
15 | | or a no contact order issued under the Stalking No Contact |
16 | | Order Act; |
17 | | (17) if convicted of a sex offense as defined in the |
18 | | Sex Offender Management Board Act, and a sex offender |
19 | | treatment provider has evaluated and recommended further |
20 | | sex offender treatment while on aftercare release, the |
21 | | youth shall undergo treatment by a sex offender treatment |
22 | | provider or associate sex offender provider as defined in |
23 | | the Sex Offender Management Board Act at his or her |
24 | | expense based on his or her ability to pay for the |
25 | | treatment; |
26 | | (18) if convicted of a sex offense as defined in the |
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| | SB1797 | - 669 - | LRB103 03433 AMQ 48439 b |
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1 | | Sex Offender Management Board Act, refrain from residing |
2 | | at the same address or in the same condominium unit or |
3 | | apartment unit or in the same condominium complex or |
4 | | apartment complex with another person he or she knows or |
5 | | reasonably should know is a convicted sex offender or has |
6 | | been placed on supervision for a sex offense; the |
7 | | provisions of this paragraph do not apply to a person |
8 | | convicted of a sex offense who is placed in a Department of |
9 | | Corrections licensed transitional housing facility for sex |
10 | | offenders, or is in any facility operated or licensed by |
11 | | the Department of Children and Family Services or by the |
12 | | Department of Human Services, or is in any licensed |
13 | | medical facility; |
14 | | (19) if convicted for an offense that would qualify |
15 | | the offender as a sexual predator under the Sex Offender |
16 | | Registration Act wear an approved electronic monitoring |
17 | | device as defined in Section 5-8A-2 for the duration of |
18 | | the youth's aftercare release term and if convicted for an |
19 | | offense of criminal sexual assault, aggravated criminal |
20 | | sexual assault, predatory criminal sexual assault of a |
21 | | child, criminal sexual abuse, aggravated criminal sexual |
22 | | abuse, or ritualized abuse of a child when the victim was |
23 | | under 18 years of age at the time of the commission of the |
24 | | offense and the offender used force or the threat of force |
25 | | in the commission of the offense wear an approved |
26 | | electronic monitoring device as defined in Section 5-8A-2 |
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| | SB1797 | - 670 - | LRB103 03433 AMQ 48439 b |
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1 | | that has Global Positioning System (GPS) capability for |
2 | | the duration of the youth's aftercare release term; |
3 | | (20) if convicted for an offense that would qualify |
4 | | the offender as a child sex offender as defined in Section |
5 | | 11-9.3 or 11-9.4 of the Criminal Code of 1961 or the |
6 | | Criminal Code of 2012, refrain from communicating with or |
7 | | contacting, by means of the Internet, a person who is not |
8 | | related to the offender and whom the offender reasonably |
9 | | believes to be under 18 years of age; for purposes of this |
10 | | paragraph (20), "Internet" has the meaning ascribed to it |
11 | | in Section 16-0.1 of the Criminal Code of 2012; and a |
12 | | person is not related to the offender if the person is not: |
13 | | (A) the spouse, brother, or sister of the offender; (B) a |
14 | | descendant of the offender; (C) a first or second cousin |
15 | | of the offender; or (D) a step-child or adopted child of |
16 | | the offender; |
17 | | (21) if convicted under Section 11-6, 11-20.1, |
18 | | 11-20.1B, 11-20.3, or 11-21 of the Criminal Code of 1961 |
19 | | or the Criminal Code of 2012, consent to search of |
20 | | computers, PDAs, cellular phones, and other devices under |
21 | | his or her control that are capable of accessing the |
22 | | Internet or storing electronic files, in order to confirm |
23 | | Internet protocol addresses reported in accordance with |
24 | | the Sex Offender Registration Act and compliance with |
25 | | conditions in this Act; |
26 | | (22) if convicted for an offense that would qualify |
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| | SB1797 | - 671 - | LRB103 03433 AMQ 48439 b |
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1 | | the offender as a sex offender or sexual predator under |
2 | | the Sex Offender Registration Act, not possess |
3 | | prescription drugs for erectile dysfunction; |
4 | | (23) if convicted for an offense under Section 11-6, |
5 | | 11-9.1, 11-14.4 that involves soliciting for a juvenile |
6 | | prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21 |
7 | | of the Criminal Code of 1961 or the Criminal Code of 2012, |
8 | | or any attempt to commit any of these offenses: |
9 | | (A) not access or use a computer or any other |
10 | | device with Internet capability without the prior |
11 | | written approval of the Department; |
12 | | (B) submit to periodic unannounced examinations of |
13 | | the youth's computer or any other device with Internet |
14 | | capability by the youth's aftercare specialist, a law |
15 | | enforcement officer, or assigned computer or |
16 | | information technology specialist, including the |
17 | | retrieval and copying of all data from the computer or |
18 | | device and any internal or external peripherals and |
19 | | removal of the information, equipment, or device to |
20 | | conduct a more thorough inspection; |
21 | | (C) submit to the installation on the youth's |
22 | | computer or device with Internet capability, at the |
23 | | youth's expense, of one or more hardware or software |
24 | | systems to monitor the Internet use; and |
25 | | (D) submit to any other appropriate restrictions |
26 | | concerning the youth's use of or access to a computer |
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| | SB1797 | - 672 - | LRB103 03433 AMQ 48439 b |
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1 | | or any other device with Internet capability imposed |
2 | | by the Department or the youth's aftercare specialist; |
3 | | (24) if convicted of a sex offense as defined in the |
4 | | Sex Offender Registration Act, refrain from accessing or |
5 | | using a social networking website as defined in Section |
6 | | 17-0.5 of the Criminal Code of 2012; |
7 | | (25) if convicted of a sex offense as defined in |
8 | | Section 2 of the Sex Offender Registration Act that |
9 | | requires the youth to register as a sex offender under |
10 | | that Act, not knowingly use any computer scrub software on |
11 | | any computer that the youth uses; |
12 | | (26) if convicted of a sex offense as defined in |
13 | | subsection (a-5) of Section 3-1-2 of this Code, unless the |
14 | | youth is a parent or guardian of a person under 18 years of |
15 | | age present in the home and no non-familial minors are |
16 | | present, not participate in a holiday event involving |
17 | | children under 18 years of age, such as distributing candy |
18 | | or other items to children on Halloween, wearing a Santa |
19 | | Claus costume on or preceding Christmas, being employed as |
20 | | a department store Santa Claus, or wearing an Easter Bunny |
21 | | costume on or preceding Easter; |
22 | | (27) if convicted of a violation of an order of |
23 | | protection under Section 12-3.4 or Section 12-30 of the |
24 | | Criminal Code of 1961 or the Criminal Code of 2012, be |
25 | | placed under electronic surveillance as provided in |
26 | | Section 5-8A-7 of this Code; and |
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| | SB1797 | - 673 - | LRB103 03433 AMQ 48439 b |
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1 | | (28) if convicted of a violation of the |
2 | | Methamphetamine Control and Community Protection Act, the |
3 | | Methamphetamine Precursor Control Act, or a |
4 | | methamphetamine related offense, be: |
5 | | (A) prohibited from purchasing, possessing, or |
6 | | having under his or her control any product containing |
7 | | pseudoephedrine unless prescribed by a physician; and |
8 | | (B) prohibited from purchasing, possessing, or |
9 | | having under his or her control any product containing |
10 | | ammonium nitrate. |
11 | | (b) The Department may in addition to other conditions |
12 | | require that the youth: |
13 | | (1) work or pursue a course of study or vocational |
14 | | training; |
15 | | (2) undergo medical or psychiatric treatment, or |
16 | | treatment for drug addiction or alcoholism; |
17 | | (3) attend or reside in a facility established for the |
18 | | instruction or residence of persons on probation or |
19 | | aftercare release; |
20 | | (4) support his or her dependents; |
21 | | (5) if convicted for an offense that would qualify the |
22 | | youth as a child sex offender as defined in Section 11-9.3 |
23 | | or 11-9.4 of the Criminal Code of 1961 or the Criminal Code |
24 | | of 2012, refrain from communicating with or contacting, by |
25 | | means of the Internet, a person who is related to the youth |
26 | | and whom the youth reasonably believes to be under 18 |
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| | SB1797 | - 674 - | LRB103 03433 AMQ 48439 b |
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1 | | years of age; for purposes of this paragraph (5), |
2 | | "Internet" has the meaning ascribed to it in Section |
3 | | 16-0.1 of the Criminal Code of 2012; and a person is |
4 | | related to the youth if the person is: (A) the spouse, |
5 | | brother, or sister of the youth; (B) a descendant of the |
6 | | youth; (C) a first or second cousin of the youth; or (D) a |
7 | | step-child or adopted child of the youth; |
8 | | (6) if convicted for an offense that would qualify as |
9 | | a sex offense as defined in the Sex Offender Registration |
10 | | Act: |
11 | | (A) not access or use a computer or any other |
12 | | device with Internet capability without the prior |
13 | | written approval of the Department; |
14 | | (B) submit to periodic unannounced examinations of |
15 | | the youth's computer or any other device with Internet |
16 | | capability by the youth's aftercare specialist, a law |
17 | | enforcement officer, or assigned computer or |
18 | | information technology specialist, including the |
19 | | retrieval and copying of all data from the computer or |
20 | | device and any internal or external peripherals and |
21 | | removal of the information, equipment, or device to |
22 | | conduct a more thorough inspection; |
23 | | (C) submit to the installation on the youth's |
24 | | computer or device with Internet capability, at the |
25 | | youth's offender's expense, of one or more hardware or |
26 | | software systems to monitor the Internet use; and |
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| | SB1797 | - 675 - | LRB103 03433 AMQ 48439 b |
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1 | | (D) submit to any other appropriate restrictions |
2 | | concerning the youth's use of or access to a computer |
3 | | or any other device with Internet capability imposed |
4 | | by the Department or the youth's aftercare specialist; |
5 | | and |
6 | | (7) in addition to other conditions: |
7 | | (A) reside with his or her parents or in a foster |
8 | | home; |
9 | | (B) attend school; |
10 | | (C) attend a non-residential program for youth; or |
11 | | (D) contribute to his or her own support at home or |
12 | | in a foster home. |
13 | | (c) In addition to the conditions under subsections (a) |
14 | | and (b) of this Section, youths required to register as sex |
15 | | offenders under the Sex Offender Registration Act, upon |
16 | | release from the custody of the Department of Juvenile |
17 | | Justice, may be required by the Department to comply with the |
18 | | following specific conditions of release: |
19 | | (1) reside only at a Department approved location; |
20 | | (2) comply with all requirements of the Sex Offender |
21 | | Registration Act; |
22 | | (3) notify third parties of the risks that may be |
23 | | occasioned by his or her criminal record; |
24 | | (4) obtain the approval of an agent of the Department |
25 | | prior to accepting employment or pursuing a course of |
26 | | study or vocational training and notify the Department |
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| | SB1797 | - 676 - | LRB103 03433 AMQ 48439 b |
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1 | | prior to any change in employment, study, or training; |
2 | | (5) not be employed or participate in any volunteer |
3 | | activity that involves contact with children, except under |
4 | | circumstances approved in advance and in writing by an |
5 | | agent of the Department; |
6 | | (6) be electronically monitored for a specified period |
7 | | of time from the date of release as determined by the |
8 | | Department; |
9 | | (7) refrain from entering into a designated geographic |
10 | | area except upon terms approved in advance by an agent of |
11 | | the Department; these terms may include consideration of |
12 | | the purpose of the entry, the time of day, and others |
13 | | accompanying the youth; |
14 | | (8) refrain from having any contact, including written |
15 | | or oral communications, directly or indirectly, personally |
16 | | or by telephone, letter, or through a third party with |
17 | | certain specified persons including, but not limited to, |
18 | | the victim or the victim's family without the prior |
19 | | written approval of an agent of the Department; |
20 | | (9) refrain from all contact, directly or indirectly, |
21 | | personally, by telephone, letter, or through a third |
22 | | party, with minor children without prior identification |
23 | | and approval of an agent of the Department; |
24 | | (10) neither possess or have under his or her control |
25 | | any material that is sexually oriented, sexually |
26 | | stimulating, or that shows male or female sex organs or |
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| | SB1797 | - 677 - | LRB103 03433 AMQ 48439 b |
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1 | | any pictures depicting children under 18 years of age nude |
2 | | or any written or audio material describing sexual |
3 | | intercourse or that depicts or alludes to sexual activity, |
4 | | including, but not limited to, visual, auditory, |
5 | | telephonic, or electronic media, or any matter obtained |
6 | | through access to any computer or material linked to |
7 | | computer access use; |
8 | | (11) not patronize any business providing sexually |
9 | | stimulating or sexually oriented entertainment nor utilize |
10 | | "900" or adult telephone numbers; |
11 | | (12) not reside near, visit, or be in or about parks, |
12 | | schools, child day care centers, swimming pools, beaches, |
13 | | theaters, or any other places where minor children |
14 | | congregate without advance approval of an agent of the |
15 | | Department and immediately report any incidental contact |
16 | | with minor children to the Department; |
17 | | (13) not possess or have under his or her control |
18 | | certain specified items of contraband related to the |
19 | | incidence of sexually offending as determined by an agent |
20 | | of the Department; |
21 | | (14) may be required to provide a written daily log of |
22 | | activities if directed by an agent of the Department; |
23 | | (15) comply with all other special conditions that the |
24 | | Department may impose that restrict the youth from |
25 | | high-risk situations and limit access to potential |
26 | | victims; |
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| | SB1797 | - 678 - | LRB103 03433 AMQ 48439 b |
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1 | | (16) take an annual polygraph exam; |
2 | | (17) maintain a log of his or her travel; or |
3 | | (18) obtain prior approval of an agent of the |
4 | | Department before driving alone in a motor vehicle. |
5 | | (d) The conditions under which the aftercare release is to |
6 | | be served shall be communicated to the youth in writing prior |
7 | | to his or her release, and he or she shall sign the same before |
8 | | release. A signed copy of these conditions, including a copy |
9 | | of an order of protection if one had been issued by the |
10 | | criminal court, shall be retained by the youth and another |
11 | | copy forwarded to the officer or aftercare specialist in |
12 | | charge of his or her supervision. |
13 | | (e) After a revocation hearing under Section 3-3-9.5, the |
14 | | Department of Juvenile Justice may modify or enlarge the |
15 | | conditions of aftercare release. |
16 | | (f) The Department shall inform all youth of the optional |
17 | | services available to them upon release and shall assist youth |
18 | | in availing themselves of the optional services upon their |
19 | | release on a voluntary basis.
|
20 | | (Source: P.A. 99-628, eff. 1-1-17 .)
|
21 | | (730 ILCS 5/3-3-7) (from Ch. 38, par. 1003-3-7) |
22 | | Sec. 3-3-7. Conditions of parole or mandatory supervised |
23 | | release.
|
24 | | (a) The conditions of parole or mandatory
supervised |
25 | | release shall be such as the Prisoner Review
Board deems |
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1 | | necessary to assist the subject in leading a
law-abiding life. |
2 | | The conditions of every parole and mandatory
supervised |
3 | | release are that the subject:
|
4 | | (1) not violate any criminal statute of any |
5 | | jurisdiction
during the parole or release term;
|
6 | | (2) refrain from possessing a firearm or other |
7 | | dangerous
weapon;
|
8 | | (3) report to an agent of the Department of |
9 | | Corrections;
|
10 | | (4) permit the agent to visit him or her at his or her |
11 | | home, employment,
or
elsewhere to the
extent necessary for |
12 | | the agent to discharge his or her duties;
|
13 | | (5) attend or reside in a facility established for the |
14 | | instruction or
residence
of persons on
parole or mandatory |
15 | | supervised release;
|
16 | | (6) secure permission before visiting or writing a |
17 | | committed person in an
Illinois Department
of Corrections |
18 | | facility;
|
19 | | (7) report all arrests to an agent of the Department |
20 | | of Corrections as
soon as
permitted by the
arresting |
21 | | authority but in no event later than 24 hours after |
22 | | release from
custody and immediately report service or |
23 | | notification of an order of protection, a civil no contact |
24 | | order, or a stalking no contact order to an agent of the |
25 | | Department of Corrections;
|
26 | | (7.5) if convicted of a sex offense as defined in the |
|
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1 | | Sex Offender
Management Board Act, the individual shall |
2 | | undergo and successfully complete
sex offender treatment |
3 | | conducted in conformance with the standards developed by
|
4 | | the Sex
Offender Management Board Act by a treatment |
5 | | provider approved by the Board;
|
6 | | (7.6) if convicted of a sex offense as defined in the |
7 | | Sex Offender
Management Board Act, refrain from residing |
8 | | at the same address or in the same condominium unit or |
9 | | apartment unit or in the same condominium complex or |
10 | | apartment complex with another person he or she knows or |
11 | | reasonably should know is a convicted sex offender or has |
12 | | been placed on supervision for a sex offense; the |
13 | | provisions of this paragraph do not apply to a person |
14 | | convicted of a sex offense who is placed in a Department of |
15 | | Corrections licensed transitional housing facility for sex |
16 | | offenders, or is in any facility operated or licensed by |
17 | | the Department of Children and Family Services or by the |
18 | | Department of Human Services, or is in any licensed |
19 | | medical facility;
|
20 | | (7.7) if convicted for an offense that would qualify |
21 | | the accused as a sexual predator under the Sex Offender |
22 | | Registration Act on or after January 1, 2007 (the |
23 | | effective date of Public Act 94-988), wear an approved |
24 | | electronic monitoring device as defined in Section 5-8A-2 |
25 | | for the duration of the person's parole, mandatory |
26 | | supervised release term, or extended mandatory supervised |
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1 | | release term and if convicted for an offense of criminal |
2 | | sexual assault, aggravated criminal sexual assault, |
3 | | predatory criminal sexual assault of a child, criminal |
4 | | sexual abuse, aggravated criminal sexual abuse, or |
5 | | ritualized abuse of a child committed on or after August |
6 | | 11, 2009 (the effective date of Public Act 96-236) when |
7 | | the victim was under 18 years of age at the time of the |
8 | | commission of the offense and the defendant used force or |
9 | | the threat of force in the commission of the offense wear |
10 | | an approved electronic monitoring device as defined in |
11 | | Section 5-8A-2 that has Global Positioning System (GPS) |
12 | | capability for the duration of the person's parole, |
13 | | mandatory supervised release term, or extended mandatory |
14 | | supervised release term;
|
15 | | (7.8) if convicted for an offense committed on or |
16 | | after June 1, 2008 (the effective date of Public Act |
17 | | 95-464) that would qualify the accused as a child sex |
18 | | offender as defined in Section 11-9.3 or 11-9.4 of the |
19 | | Criminal Code of 1961 or the Criminal Code of 2012, |
20 | | refrain from communicating with or contacting, by means of |
21 | | the Internet, a person who is not related to the accused |
22 | | and whom the accused reasonably believes to be under 18 |
23 | | years of age; for purposes of this paragraph (7.8), |
24 | | "Internet" has the meaning ascribed to it in Section |
25 | | 16-0.1 of the Criminal Code of 2012; and a person is not |
26 | | related to the accused if the person is not: (i) the |
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1 | | spouse, brother, or sister of the accused; (ii) a |
2 | | descendant of the accused; (iii) a first or second cousin |
3 | | of the accused; or (iv) a step-child or adopted child of |
4 | | the accused;
|
5 | | (7.9)
if convicted under Section 11-6, 11-20.1, |
6 | | 11-20.1B, 11-20.3, or 11-21 of the Criminal Code of 1961 |
7 | | or the Criminal Code of 2012, consent to search of |
8 | | computers, PDAs, cellular phones, and other devices under |
9 | | his or her control that are capable of accessing the |
10 | | Internet or storing electronic files, in order to confirm |
11 | | Internet protocol addresses reported in accordance with |
12 | | the Sex Offender Registration Act and compliance with |
13 | | conditions in this Act;
|
14 | | (7.10)
if convicted for an offense that would qualify |
15 | | the accused as a sex offender or sexual predator under the |
16 | | Sex Offender Registration Act on or after June 1, 2008 |
17 | | (the effective date of Public Act 95-640), not possess |
18 | | prescription drugs for erectile dysfunction;
|
19 | | (7.11) if convicted for an offense under Section 11-6, |
20 | | 11-9.1, 11-14.4 that involves soliciting for a juvenile |
21 | | prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21 |
22 | | of the Criminal Code of 1961 or the Criminal Code of 2012, |
23 | | or any attempt to commit any of these offenses, committed |
24 | | on or after June 1, 2009 (the effective date of Public Act |
25 | | 95-983): |
26 | | (i) not access or use a computer or any other |
|
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|
1 | | device with Internet capability without the prior |
2 | | written approval of the Department; |
3 | | (ii) submit to periodic unannounced examinations |
4 | | of the offender's computer or any other device with |
5 | | Internet capability by the offender's supervising |
6 | | agent, a law enforcement officer, or assigned computer |
7 | | or information technology specialist, including the |
8 | | retrieval and copying of all data from the computer or |
9 | | device and any internal or external peripherals and |
10 | | removal of such information, equipment, or device to |
11 | | conduct a more thorough inspection; |
12 | | (iii) submit to the installation on the offender's |
13 | | computer or device with Internet capability, at the |
14 | | offender's expense, of one or more hardware or |
15 | | software systems to monitor the Internet use; and |
16 | | (iv) submit to any other appropriate restrictions |
17 | | concerning the offender's use of or access to a |
18 | | computer or any other device with Internet capability |
19 | | imposed by the Board, the Department or the offender's |
20 | | supervising agent; |
21 | | (7.12) if convicted of a sex offense as defined in the |
22 | | Sex Offender
Registration Act committed on or after |
23 | | January 1, 2010 (the effective date of Public Act 96-262), |
24 | | refrain from accessing or using a social networking |
25 | | website as defined in Section 17-0.5 of the Criminal Code |
26 | | of 2012;
|
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1 | | (7.13) if convicted of a sex offense as defined in |
2 | | Section 2 of the Sex Offender Registration Act committed |
3 | | on or after January 1, 2010 (the effective date of Public |
4 | | Act 96-362) that requires the person to register as a sex |
5 | | offender under that Act, may not knowingly use any |
6 | | computer scrub software on any computer that the sex |
7 | | offender uses; |
8 | | (8) obtain permission of an agent of the Department of |
9 | | Corrections before
leaving the
State of Illinois;
|
10 | | (9) obtain permission of an agent of the Department of |
11 | | Corrections before
changing
his or her residence or |
12 | | employment;
|
13 | | (10) consent to a search of his or her person, |
14 | | property, or residence
under his or her
control;
|
15 | | (11) refrain from the use or possession of narcotics |
16 | | or other controlled
substances in
any form, or both, or |
17 | | any paraphernalia related to those substances and submit
|
18 | | to a
urinalysis test as instructed by a parole agent of the |
19 | | Department of
Corrections;
|
20 | | (12) not knowingly frequent places where controlled |
21 | | substances are illegally sold,
used,
distributed, or |
22 | | administered;
|
23 | | (13) except when the association described in either |
24 | | subparagraph (A) or (B) of this paragraph (13) involves |
25 | | activities related to community programs, worship |
26 | | services, volunteering, engaging families, or some other |
|
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1 | | pro-social activity in which there is no evidence of |
2 | | criminal intent: |
3 | | (A) not knowingly associate with other persons on |
4 | | parole or mandatory
supervised
release without prior |
5 | | written permission of his or her parole agent; or |
6 | | (B) not knowingly
associate with
persons who are |
7 | | members of an organized gang as that term is defined in |
8 | | the
Illinois
Streetgang Terrorism Omnibus Prevention |
9 | | Act;
|
10 | | (14) provide true and accurate information, as it |
11 | | relates to his or her
adjustment in the
community while on |
12 | | parole or mandatory supervised release or to his or her
|
13 | | conduct
while incarcerated, in response to inquiries by |
14 | | his or her parole agent or of
the
Department of |
15 | | Corrections;
|
16 | | (15) follow any specific instructions provided by the |
17 | | parole agent that
are consistent
with furthering |
18 | | conditions set and approved by the Prisoner Review Board |
19 | | or by
law,
exclusive of placement on electronic detention, |
20 | | to achieve the goals and
objectives of his
or her parole or |
21 | | mandatory supervised release or to protect the public. |
22 | | These
instructions by the parole agent may be modified at |
23 | | any time, as the agent
deems
appropriate;
|
24 | | (16) if convicted of a sex offense as defined in |
25 | | subsection (a-5) of Section 3-1-2 of this Code, unless the |
26 | | offender is a parent or guardian of the person under 18 |
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1 | | years of age present in the home and no non-familial |
2 | | minors are present, not participate in a holiday event |
3 | | involving children under 18 years of age, such as |
4 | | distributing candy or other items to children on |
5 | | Halloween, wearing a Santa Claus costume on or preceding |
6 | | Christmas, being employed as a department store Santa |
7 | | Claus, or wearing an Easter Bunny costume on or preceding |
8 | | Easter; |
9 | | (17) if convicted of a violation of an order of |
10 | | protection under Section 12-3.4 or Section 12-30 of the |
11 | | Criminal Code of 1961 or the Criminal Code of 2012, be |
12 | | placed under electronic surveillance as provided in |
13 | | Section 5-8A-7 of this Code; |
14 | | (18) comply with the terms and conditions of an order |
15 | | of protection issued pursuant to the Illinois Domestic |
16 | | Violence Act of 1986; an order of protection issued by the |
17 | | court of another state, tribe, or United States territory; |
18 | | a no contact order issued pursuant to the Civil No Contact |
19 | | Order Act; or a no contact order issued pursuant to the |
20 | | Stalking No Contact Order Act; |
21 | | (19) if convicted of a violation of the |
22 | | Methamphetamine Control and Community Protection Act, the |
23 | | Methamphetamine
Precursor Control Act, or a |
24 | | methamphetamine related offense, be: |
25 | | (A) prohibited from purchasing, possessing, or |
26 | | having under his or her control any product containing |
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1 | | pseudoephedrine unless prescribed by a physician; and |
2 | | (B) prohibited from purchasing, possessing, or |
3 | | having under his or her control any product containing |
4 | | ammonium nitrate; |
5 | | (20) if convicted of a hate crime under Section 12-7.1 |
6 | | of the Criminal Code of 2012, perform public or community |
7 | | service of no less than 200 hours and enroll in an
|
8 | | educational program discouraging hate crimes involving the |
9 | | protected class
identified in subsection (a) of Section |
10 | | 12-7.1 of the Criminal Code of 2012 that gave rise to the |
11 | | offense the offender committed ordered by the court; and |
12 | | (21) be evaluated by the Department of Corrections |
13 | | prior to release using a validated risk assessment and be |
14 | | subject to a corresponding level of supervision. In |
15 | | accordance with the findings of that evaluation: |
16 | | (A) All subjects found to be at a moderate or high |
17 | | risk to recidivate, or on parole or mandatory |
18 | | supervised release for first degree murder, a forcible |
19 | | felony as defined in Section 2-8 of the Criminal Code |
20 | | of 2012, any felony that requires registration as a |
21 | | sex offender under the Sex Offender Registration Act, |
22 | | or a Class X felony or Class 1 felony that is not a |
23 | | violation of the Cannabis Control Act, the Illinois |
24 | | Controlled Substances Act, or the Methamphetamine |
25 | | Control and Community Protection Act, shall be subject |
26 | | to high level supervision. The Department shall define |
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|
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1 | | high level supervision based upon evidence-based and |
2 | | research-based practices. Notwithstanding this |
3 | | placement on high level supervision, placement of the |
4 | | subject on electronic monitoring or detention shall |
5 | | not occur unless it is required by law or expressly |
6 | | ordered or approved by the Prisoner Review Board. |
7 | | (B) All subjects found to be at a low risk to |
8 | | recidivate shall be subject to low-level supervision, |
9 | | except for those subjects on parole or mandatory |
10 | | supervised release for first degree murder, a forcible |
11 | | felony as defined in Section 2-8 of the Criminal Code |
12 | | of 2012, any felony that requires registration as a |
13 | | sex offender under the Sex Offender Registration Act, |
14 | | or a Class X felony or Class 1 felony that is not a |
15 | | violation of the Cannabis Control Act, the Illinois |
16 | | Controlled Substances Act, or the Methamphetamine |
17 | | Control and Community Protection Act. Low level |
18 | | supervision shall require the subject to check in with |
19 | | the supervising officer via phone or other electronic |
20 | | means. Notwithstanding this placement on low level |
21 | | supervision, placement of the subject on electronic |
22 | | monitoring or detention shall not occur unless it is |
23 | | required by law or expressly ordered or approved by |
24 | | the Prisoner Review Board. |
25 | | (b) The Board may in addition to other conditions
require |
26 | | that the subject:
|
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1 | | (1) work or pursue a course of study or vocational |
2 | | training;
|
3 | | (2) undergo medical or psychiatric treatment, or |
4 | | treatment
for drug addiction or alcoholism;
|
5 | | (3) attend or reside in a facility established for the
|
6 | | instruction or residence of persons on probation or |
7 | | parole;
|
8 | | (4) support his or her dependents;
|
9 | | (5) (blank);
|
10 | | (6) (blank);
|
11 | | (7) (blank);
|
12 | | (7.5) if convicted for an offense committed on or |
13 | | after the effective date of this amendatory Act of the |
14 | | 95th General Assembly that would qualify the accused as a |
15 | | child sex offender as defined in Section 11-9.3 or 11-9.4 |
16 | | of the Criminal Code of 1961 or the Criminal Code of 2012, |
17 | | refrain from communicating with or contacting, by means of |
18 | | the Internet, a person who is related to the accused and |
19 | | whom the accused reasonably believes to be under 18 years |
20 | | of age; for purposes of this paragraph (7.5), "Internet" |
21 | | has the meaning ascribed to it in Section 16-0.1 of the |
22 | | Criminal Code of 2012; and a person is related to the |
23 | | accused if the person is: (i) the spouse, brother, or |
24 | | sister of the accused; (ii) a descendant of the accused; |
25 | | (iii) a first or second cousin of the accused; or (iv) a |
26 | | step-child or adopted child of the accused; |
|
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1 | | (7.6) if convicted for an offense committed on or |
2 | | after June 1, 2009 (the effective date of Public Act |
3 | | 95-983) that would qualify as a sex offense as defined in |
4 | | the Sex Offender Registration Act: |
5 | | (i) not access or use a computer or any other |
6 | | device with Internet capability without the prior |
7 | | written approval of the Department; |
8 | | (ii) submit to periodic unannounced examinations |
9 | | of the offender's computer or any other device with |
10 | | Internet capability by the offender's supervising |
11 | | agent, a law enforcement officer, or assigned computer |
12 | | or information technology specialist, including the |
13 | | retrieval and copying of all data from the computer or |
14 | | device and any internal or external peripherals and |
15 | | removal of such information, equipment, or device to |
16 | | conduct a more thorough inspection; |
17 | | (iii) submit to the installation on the offender's |
18 | | computer or device with Internet capability, at the |
19 | | offender's expense, of one or more hardware or |
20 | | software systems to monitor the Internet use; and |
21 | | (iv) submit to any other appropriate restrictions |
22 | | concerning the offender's use of or access to a |
23 | | computer or any other device with Internet capability |
24 | | imposed by the Board, the Department or the offender's |
25 | | supervising agent; and
|
26 | | (8) in addition, if a minor:
|
|
| | SB1797 | - 691 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | (i) reside with his or her parents or in a foster |
2 | | home;
|
3 | | (ii) attend school;
|
4 | | (iii) attend a non-residential program for youth; |
5 | | or
|
6 | | (iv) contribute to his or her own support at home |
7 | | or in a foster
home.
|
8 | | (b-1) In addition to the conditions set forth in |
9 | | subsections (a) and (b), persons required to register as sex |
10 | | offenders pursuant to the Sex Offender Registration Act, upon |
11 | | release from the custody of the Illinois Department of |
12 | | Corrections, may be required by the Board to comply with the |
13 | | following specific conditions of release: |
14 | | (1) reside only at a Department approved location; |
15 | | (2) comply with all requirements of the Sex Offender |
16 | | Registration Act;
|
17 | | (3) notify
third parties of the risks that may be |
18 | | occasioned by his or her criminal record; |
19 | | (4) obtain the approval of an agent of the Department |
20 | | of Corrections prior to accepting employment or pursuing a |
21 | | course of study or vocational training and notify the |
22 | | Department prior to any change in employment, study, or |
23 | | training; |
24 | | (5) not be employed or participate in any
volunteer |
25 | | activity that involves contact with children, except under |
26 | | circumstances approved in advance and in writing by an |
|
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|
1 | | agent of the Department of Corrections; |
2 | | (6) be electronically monitored for a minimum of 12 |
3 | | months from the date of release as determined by the |
4 | | Board;
|
5 | | (7) refrain from entering into a designated
geographic |
6 | | area except upon terms approved in advance by an agent of |
7 | | the Department of Corrections. The terms may include |
8 | | consideration of the purpose of the entry, the time of |
9 | | day, and others accompanying the person; |
10 | | (8) refrain from having any contact, including
written |
11 | | or oral communications, directly or indirectly, personally |
12 | | or by telephone, letter, or through a third party with |
13 | | certain specified persons including, but not limited to, |
14 | | the victim or the victim's family without the prior |
15 | | written approval of an agent of the Department of |
16 | | Corrections; |
17 | | (9) refrain from all contact, directly or
indirectly, |
18 | | personally, by telephone, letter, or through a third |
19 | | party, with minor children without prior identification |
20 | | and approval of an agent of the Department of Corrections; |
21 | | (10) neither possess or have under his or her
control |
22 | | any material that is sexually oriented, sexually |
23 | | stimulating, or that shows male or female sex organs or |
24 | | any pictures depicting children under 18 years of age nude |
25 | | or any written or audio material describing sexual |
26 | | intercourse or that depicts or alludes to sexual activity, |
|
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1 | | including but not limited to visual, auditory, telephonic, |
2 | | or electronic media, or any matter obtained through access |
3 | | to any computer or material linked to computer access use; |
4 | | (11) not patronize any business providing
sexually |
5 | | stimulating or sexually oriented entertainment nor utilize |
6 | | "900" or adult telephone numbers; |
7 | | (12) not reside near, visit, or be in or about
parks, |
8 | | schools, child day care centers, swimming pools, beaches, |
9 | | theaters, or any other places where minor children |
10 | | congregate without advance approval of an agent of the |
11 | | Department of Corrections and immediately report any |
12 | | incidental contact with minor children to the Department; |
13 | | (13) not possess or have under his or her control
|
14 | | certain specified items of contraband related to the |
15 | | incidence of sexually offending as determined by an agent |
16 | | of the Department of Corrections; |
17 | | (14) may be required to provide a written daily log of |
18 | | activities
if directed by an agent of the Department of |
19 | | Corrections; |
20 | | (15) comply with all other special conditions
that the |
21 | | Department may impose that restrict the person from |
22 | | high-risk situations and limit access to potential |
23 | | victims; |
24 | | (16) take an annual polygraph exam; |
25 | | (17) maintain a log of his or her travel; or |
26 | | (18) obtain prior approval of his or her parole |
|
| | SB1797 | - 694 - | LRB103 03433 AMQ 48439 b |
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|
1 | | officer before driving alone in a motor vehicle.
|
2 | | (c) The conditions under which the parole or mandatory
|
3 | | supervised release is to be served shall be communicated to
|
4 | | the person in writing prior to his or her release, and he or |
5 | | she shall
sign the same before release. A signed copy of these |
6 | | conditions,
including a copy of an order of protection where |
7 | | one had been issued by the
criminal court, shall be retained by |
8 | | the person and another copy forwarded to
the officer in charge |
9 | | of his or her supervision.
|
10 | | (d) After a hearing under Section 3-3-9, the Prisoner
|
11 | | Review Board may modify or enlarge the conditions of parole
or |
12 | | mandatory supervised release.
|
13 | | (e) The Department shall inform all offenders committed to
|
14 | | the Department of the optional services available to them
upon |
15 | | release and shall assist inmates in availing themselves
of |
16 | | such optional services upon their release on a voluntary
|
17 | | basis. |
18 | | (f) (Blank).
|
19 | | (Source: P.A. 100-201, eff. 8-18-17; 100-260, eff. 1-1-18; |
20 | | 100-575, eff. 1-8-18; 101-382, eff. 8-16-19.)
|
21 | | (730 ILCS 5/5-5-3.2)
|
22 | | (Text of Section before amendment by P.A. 102-982 ) |
23 | | Sec. 5-5-3.2. Factors in aggravation and extended-term |
24 | | sentencing.
|
25 | | (a) The following factors shall be accorded weight in |
|
| | SB1797 | - 695 - | LRB103 03433 AMQ 48439 b |
|
|
1 | | favor of
imposing a term of imprisonment or may be considered |
2 | | by the court as reasons
to impose a more severe sentence under |
3 | | Section 5-8-1 or Article 4.5 of Chapter V:
|
4 | | (1) the defendant's conduct caused or threatened |
5 | | serious harm;
|
6 | | (2) the defendant received compensation for committing |
7 | | the offense;
|
8 | | (3) the defendant has a history of prior delinquency |
9 | | or criminal activity;
|
10 | | (4) the defendant, by the duties of his office or by |
11 | | his position,
was obliged to prevent the particular |
12 | | offense committed or to bring
the offenders committing it |
13 | | to justice;
|
14 | | (5) the defendant held public office at the time of |
15 | | the offense,
and the offense related to the conduct of |
16 | | that office;
|
17 | | (6) the defendant utilized his professional reputation |
18 | | or
position in the community to commit the offense, or to |
19 | | afford
him an easier means of committing it;
|
20 | | (7) the sentence is necessary to deter others from |
21 | | committing
the same crime;
|
22 | | (8) the defendant committed the offense against a |
23 | | person 60 years of age
or older or such person's property;
|
24 | | (9) the defendant committed the offense against a |
25 | | person who has a physical disability or such person's |
26 | | property;
|
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1 | | (10) by reason of another individual's actual or |
2 | | perceived race, color,
creed, religion, ancestry, gender, |
3 | | sexual orientation, physical or mental
disability, or |
4 | | national origin, the defendant committed the offense |
5 | | against (i)
the person or property
of that individual; |
6 | | (ii) the person or property of a person who has an
|
7 | | association with, is married to, or has a friendship with |
8 | | the other individual;
or (iii) the person or property of a |
9 | | relative (by blood or marriage) of a
person described in |
10 | | clause (i) or (ii). For the purposes of this Section,
|
11 | | "sexual orientation" has the meaning ascribed to it in |
12 | | paragraph (O-1) of Section 1-103 of the Illinois Human |
13 | | Rights Act;
|
14 | | (11) the offense took place in a place of worship or on |
15 | | the
grounds of a place of worship, immediately prior to, |
16 | | during or immediately
following worship services. For |
17 | | purposes of this subparagraph, "place of
worship" shall |
18 | | mean any church, synagogue or other building, structure or
|
19 | | place used primarily for religious worship;
|
20 | | (12) the defendant was convicted of a felony committed |
21 | | while he was
on pretrial release or his own recognizance |
22 | | pending trial for a prior felony
and was convicted of such |
23 | | prior felony, or the defendant was convicted of a
felony |
24 | | committed while he was serving a period of probation,
|
25 | | conditional discharge, or mandatory supervised release |
26 | | under subsection (d)
of Section 5-8-1
for a prior felony;
|
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1 | | (13) the defendant committed or attempted to commit a |
2 | | felony while he
was wearing a bulletproof vest. For the |
3 | | purposes of this paragraph (13), a
bulletproof vest is any |
4 | | device which is designed for the purpose of
protecting the |
5 | | wearer from bullets, shot or other lethal projectiles;
|
6 | | (14) the defendant held a position of trust or |
7 | | supervision such as, but
not limited to, family member as |
8 | | defined in Section 11-0.1 of the Criminal Code
of 2012, |
9 | | teacher, scout leader, baby sitter, or day care worker, in
|
10 | | relation to a victim under 18 years of age, and the |
11 | | defendant committed an
offense in violation of Section |
12 | | 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11, |
13 | | 11-14.4 except for an offense that involves keeping a |
14 | | place of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
|
15 | | 11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15 |
16 | | or 12-16 of the Criminal Code of 1961 or the Criminal Code |
17 | | of 2012
against
that victim;
|
18 | | (15) the defendant committed an offense related to the |
19 | | activities of an
organized gang. For the purposes of this |
20 | | factor, "organized gang" has the
meaning ascribed to it in |
21 | | Section 10 of the Streetgang Terrorism Omnibus
Prevention |
22 | | Act;
|
23 | | (16) the defendant committed an offense in violation |
24 | | of one of the
following Sections while in a school, |
25 | | regardless of the time of day or time of
year; on any |
26 | | conveyance owned, leased, or contracted by a school to |
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1 | | transport
students to or from school or a school related |
2 | | activity; on the real property
of a school; or on a public |
3 | | way within 1,000 feet of the real property
comprising any |
4 | | school: Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, |
5 | | 11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, |
6 | | 11-18.1,
11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, |
7 | | 12-4.3, 12-6, 12-6.1, 12-6.5, 12-13,
12-14, 12-14.1, |
8 | | 12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except |
9 | | for subdivision (a)(4) or (g)(1), of the Criminal Code of
|
10 | | 1961 or the Criminal Code of 2012;
|
11 | | (16.5) the defendant committed an offense in violation |
12 | | of one of the
following Sections while in a day care |
13 | | center, regardless of the time of day or
time of year; on |
14 | | the real property of a day care center, regardless of the |
15 | | time
of day or time of year; or on a public
way within |
16 | | 1,000 feet of the real property comprising any day care |
17 | | center,
regardless of the time of day or time of year:
|
18 | | Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40, |
19 | | 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1, |
20 | | 11-19.1, 11-19.2, 12-2,
12-4, 12-4.1, 12-4.2, 12-4.3, |
21 | | 12-6,
12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16, |
22 | | 18-2, or 33A-2, or Section 12-3.05 except for subdivision |
23 | | (a)(4) or (g)(1), of the Criminal
Code of 1961 or the |
24 | | Criminal Code of 2012;
|
25 | | (17) the defendant committed the offense by reason of |
26 | | any person's
activity as a community policing volunteer or |
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1 | | to prevent any person from
engaging in activity as a |
2 | | community policing volunteer. For the purpose of
this |
3 | | Section, "community policing volunteer" has the meaning |
4 | | ascribed to it in
Section 2-3.5 of the Criminal Code of |
5 | | 2012;
|
6 | | (18) the defendant committed the offense in a nursing |
7 | | home or on the
real
property comprising a nursing home. |
8 | | For the purposes of this paragraph (18),
"nursing home" |
9 | | means a skilled nursing
or intermediate long term care |
10 | | facility that is subject to license by the
Illinois |
11 | | Department of Public Health under the Nursing Home Care
|
12 | | Act, the Specialized Mental Health Rehabilitation Act of |
13 | | 2013, the ID/DD Community Care Act, or the MC/DD Act;
|
14 | | (19) the defendant was a federally licensed firearm |
15 | | dealer
and
was
previously convicted of a violation of |
16 | | subsection (a) of Section 3 of the
Firearm Owners |
17 | | Identification Card Act and has now committed either a |
18 | | felony
violation
of the Firearm Owners Identification Card |
19 | | Act or an act of armed violence while
armed
with a firearm; |
20 | | (20) the defendant (i) committed the offense of |
21 | | reckless homicide under Section 9-3 of the Criminal Code |
22 | | of 1961 or the Criminal Code of 2012 or the offense of |
23 | | driving under the influence of alcohol, other drug or
|
24 | | drugs, intoxicating compound or compounds or any |
25 | | combination thereof under Section 11-501 of the Illinois |
26 | | Vehicle Code or a similar provision of a local ordinance |
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1 | | and (ii) was operating a motor vehicle in excess of 20 |
2 | | miles per hour over the posted speed limit as provided in |
3 | | Article VI of Chapter 11 of the Illinois Vehicle Code;
|
4 | | (21) the defendant (i) committed the offense of |
5 | | reckless driving or aggravated reckless driving under |
6 | | Section 11-503 of the Illinois Vehicle Code and (ii) was |
7 | | operating a motor vehicle in excess of 20 miles per hour |
8 | | over the posted speed limit as provided in Article VI of |
9 | | Chapter 11 of the Illinois Vehicle Code; |
10 | | (22) the defendant committed the offense against a |
11 | | person that the defendant knew, or reasonably should have |
12 | | known, was a member of the Armed Forces of the United |
13 | | States serving on active duty. For purposes of this clause |
14 | | (22), the term "Armed Forces" means any of the Armed |
15 | | Forces of the United States, including a member of any |
16 | | reserve component thereof or National Guard unit called to |
17 | | active duty;
|
18 | | (23)
the defendant committed the offense against a |
19 | | person who was elderly or infirm or who was a person with a |
20 | | disability by taking advantage of a family or fiduciary |
21 | | relationship with the elderly or infirm person or person |
22 | | with a disability;
|
23 | | (24)
the defendant committed any offense under Section |
24 | | 11-20.1 of the Criminal Code of 1961 or the Criminal Code |
25 | | of 2012 and possessed 100 or more images;
|
26 | | (25) the defendant committed the offense while the |
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1 | | defendant or the victim was in a train, bus, or other |
2 | | vehicle used for public transportation; |
3 | | (26) the defendant committed the offense of child |
4 | | pornography or aggravated child pornography, specifically |
5 | | including paragraph (1), (2), (3), (4), (5), or (7) of |
6 | | subsection (a) of Section 11-20.1 of the Criminal Code of |
7 | | 1961 or the Criminal Code of 2012 where a child engaged in, |
8 | | solicited for, depicted in, or posed in any act of sexual |
9 | | penetration or bound, fettered, or subject to sadistic, |
10 | | masochistic, or sadomasochistic abuse in a sexual context |
11 | | and specifically including paragraph (1), (2), (3), (4), |
12 | | (5), or (7) of subsection (a) of Section 11-20.1B or |
13 | | Section 11-20.3 of the Criminal Code of 1961 where a child |
14 | | engaged in, solicited for, depicted in, or posed in any |
15 | | act of sexual penetration or bound, fettered, or subject |
16 | | to sadistic, masochistic, or sadomasochistic abuse in a |
17 | | sexual context; |
18 | | (27) the defendant committed the offense of first |
19 | | degree murder, assault, aggravated assault, battery, |
20 | | aggravated battery, robbery, armed robbery, or aggravated |
21 | | robbery against a person who was a veteran and the |
22 | | defendant knew, or reasonably should have known, that the |
23 | | person was a veteran performing duties as a representative |
24 | | of a veterans' organization. For the purposes of this |
25 | | paragraph (27), "veteran" means an Illinois resident who |
26 | | has served as a member of the United States Armed Forces, a |
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1 | | member of the Illinois National Guard, or a member of the |
2 | | United States Reserve Forces; and "veterans' organization" |
3 | | means an organization comprised of members of
which |
4 | | substantially all are individuals who are veterans or |
5 | | spouses,
widows, or widowers of veterans, the primary |
6 | | purpose of which is to
promote the welfare of its members |
7 | | and to provide assistance to the general
public in such a |
8 | | way as to confer a public benefit; |
9 | | (28) the defendant committed the offense of assault, |
10 | | aggravated assault, battery, aggravated battery, robbery, |
11 | | armed robbery, or aggravated robbery against a person that |
12 | | the defendant knew or reasonably should have known was a |
13 | | letter carrier or postal worker while that person was |
14 | | performing his or her duties delivering mail for the |
15 | | United States Postal Service; |
16 | | (29) the defendant committed the offense of criminal |
17 | | sexual assault, aggravated criminal sexual assault, |
18 | | criminal sexual abuse, or aggravated criminal sexual abuse |
19 | | against a victim with an intellectual disability, and the |
20 | | defendant holds a position of trust, authority, or |
21 | | supervision in relation to the victim; |
22 | | (30) the defendant committed the offense of promoting |
23 | | juvenile prostitution, patronizing a prostitute, or |
24 | | patronizing a minor engaged in prostitution and at the |
25 | | time of the commission of the offense knew that the |
26 | | prostitute or minor engaged in prostitution was in the |
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1 | | custody or guardianship of the Department of Children and |
2 | | Family Services; |
3 | | (31) the defendant (i) committed the offense of |
4 | | driving while under the influence of alcohol, other drug |
5 | | or drugs, intoxicating compound or compounds or any |
6 | | combination thereof in violation of Section 11-501 of the |
7 | | Illinois Vehicle Code or a similar provision of a local |
8 | | ordinance and (ii) the defendant during the commission of |
9 | | the offense was driving his or her vehicle upon a roadway |
10 | | designated for one-way traffic in the opposite direction |
11 | | of the direction indicated by official traffic control |
12 | | devices; |
13 | | (32) the defendant committed the offense of reckless |
14 | | homicide while committing a violation of Section 11-907 of |
15 | | the Illinois Vehicle Code; |
16 | | (33) the defendant was found guilty of an |
17 | | administrative infraction related to an act or acts of |
18 | | public indecency or sexual misconduct in the penal |
19 | | institution. In this paragraph (33), "penal institution" |
20 | | has the same meaning as in Section 2-14 of the Criminal |
21 | | Code of 2012; or |
22 | | (34) the defendant committed the offense of leaving |
23 | | the scene of an accident in violation of subsection (b) of |
24 | | Section 11-401 of the Illinois Vehicle Code and the |
25 | | accident resulted in the death of a person and at the time |
26 | | of the offense, the defendant was: (i) driving under the |
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1 | | influence of alcohol, other drug or drugs, intoxicating |
2 | | compound or compounds or any combination thereof as |
3 | | defined by Section 11-501 of the Illinois Vehicle Code; or |
4 | | (ii) operating the motor vehicle while using an electronic |
5 | | communication device as defined in Section 12-610.2 of the |
6 | | Illinois Vehicle Code. |
7 | | For the purposes of this Section:
|
8 | | "School" is defined as a public or private
elementary or |
9 | | secondary school, community college, college, or university.
|
10 | | "Day care center" means a public or private State |
11 | | certified and
licensed day care center as defined in Section |
12 | | 2.09 of the Child Care Act of
1969 that displays a sign in |
13 | | plain view stating that the
property is a day care center.
|
14 | | "Intellectual disability" means significantly subaverage |
15 | | intellectual functioning which exists concurrently
with |
16 | | impairment in adaptive behavior. |
17 | | "Public transportation" means the transportation
or |
18 | | conveyance of persons by means available to the general |
19 | | public, and includes paratransit services. |
20 | | "Traffic control devices" means all signs, signals, |
21 | | markings, and devices that conform to the Illinois Manual on |
22 | | Uniform Traffic Control Devices, placed or erected by |
23 | | authority of a public body or official having jurisdiction, |
24 | | for the purpose of regulating, warning, or guiding traffic. |
25 | | (b) The following factors, related to all felonies, may be |
26 | | considered by the court as
reasons to impose an extended term |
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1 | | sentence under Section 5-8-2
upon any offender:
|
2 | | (1) When a defendant is convicted of any felony, after |
3 | | having
been previously convicted in Illinois or any other |
4 | | jurisdiction of the
same or similar class felony or |
5 | | greater class felony, when such conviction
has occurred |
6 | | within 10 years after the
previous conviction, excluding |
7 | | time spent in custody, and such charges are
separately |
8 | | brought and tried and arise out of different series of |
9 | | acts; or
|
10 | | (2) When a defendant is convicted of any felony and |
11 | | the court
finds that the offense was accompanied by |
12 | | exceptionally brutal
or heinous behavior indicative of |
13 | | wanton cruelty; or
|
14 | | (3) When a defendant is convicted of any felony |
15 | | committed against:
|
16 | | (i) a person under 12 years of age at the time of |
17 | | the offense or such
person's property;
|
18 | | (ii) a person 60 years of age or older at the time |
19 | | of the offense or
such person's property; or
|
20 | | (iii) a person who had a physical disability at |
21 | | the time of the offense or
such person's property; or
|
22 | | (4) When a defendant is convicted of any felony and |
23 | | the offense
involved any of the following types of |
24 | | specific misconduct committed as
part of a ceremony, rite, |
25 | | initiation, observance, performance, practice or
activity |
26 | | of any actual or ostensible religious, fraternal, or |
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1 | | social group:
|
2 | | (i) the brutalizing or torturing of humans or |
3 | | animals;
|
4 | | (ii) the theft of human corpses;
|
5 | | (iii) the kidnapping of humans;
|
6 | | (iv) the desecration of any cemetery, religious, |
7 | | fraternal, business,
governmental, educational, or |
8 | | other building or property; or
|
9 | | (v) ritualized abuse of a child; or
|
10 | | (5) When a defendant is convicted of a felony other |
11 | | than conspiracy and
the court finds that
the felony was |
12 | | committed under an agreement with 2 or more other persons
|
13 | | to commit that offense and the defendant, with respect to |
14 | | the other
individuals, occupied a position of organizer, |
15 | | supervisor, financier, or any
other position of management |
16 | | or leadership, and the court further finds that
the felony |
17 | | committed was related to or in furtherance of the criminal
|
18 | | activities of an organized gang or was motivated by the |
19 | | defendant's leadership
in an organized gang; or
|
20 | | (6) When a defendant is convicted of an offense |
21 | | committed while using a firearm with a
laser sight |
22 | | attached to it. For purposes of this paragraph, "laser |
23 | | sight"
has the meaning ascribed to it in Section 26-7 of |
24 | | the Criminal Code of
2012; or
|
25 | | (7) When a defendant who was at least 17 years of age |
26 | | at the
time of
the commission of the offense is convicted |
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1 | | of a felony and has been previously
adjudicated a |
2 | | delinquent minor under the Juvenile Court Act of 1987 for |
3 | | an act
that if committed by an adult would be a Class X or |
4 | | Class 1 felony when the
conviction has occurred within 10 |
5 | | years after the previous adjudication,
excluding time |
6 | | spent in custody; or
|
7 | | (8) When a defendant commits any felony and the |
8 | | defendant used, possessed, exercised control over, or |
9 | | otherwise directed an animal to assault a law enforcement |
10 | | officer engaged in the execution of his or her official |
11 | | duties or in furtherance of the criminal activities of an |
12 | | organized gang in which the defendant is engaged; or
|
13 | | (9) When a defendant commits any felony and the |
14 | | defendant knowingly video or audio records the offense |
15 | | with the intent to disseminate the recording. |
16 | | (c) The following factors may be considered by the court |
17 | | as reasons to impose an extended term sentence under Section |
18 | | 5-8-2 (730 ILCS 5/5-8-2) upon any offender for the listed |
19 | | offenses: |
20 | | (1) When a defendant is convicted of first degree |
21 | | murder, after having been previously convicted in Illinois |
22 | | of any offense listed under paragraph (c)(2) of Section |
23 | | 5-5-3 (730 ILCS 5/5-5-3), when that conviction has |
24 | | occurred within 10 years after the previous conviction, |
25 | | excluding time spent in custody, and the charges are |
26 | | separately brought and tried and arise out of different |
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1 | | series of acts. |
2 | | (1.5) When a defendant is convicted of first degree |
3 | | murder, after having been previously convicted of domestic |
4 | | battery (720 ILCS 5/12-3.2) or aggravated domestic battery |
5 | | (720 ILCS 5/12-3.3) committed on the same victim or after |
6 | | having been previously convicted of violation of an order |
7 | | of protection (720 ILCS 5/12-30) in which the same victim |
8 | | was the protected person. |
9 | | (2) When a defendant is convicted of voluntary |
10 | | manslaughter, second degree murder, involuntary |
11 | | manslaughter, or reckless homicide in which the defendant |
12 | | has been convicted of causing the death of more than one |
13 | | individual. |
14 | | (3) When a defendant is convicted of aggravated |
15 | | criminal sexual assault or criminal sexual assault, when |
16 | | there is a finding that aggravated criminal sexual assault |
17 | | or criminal sexual assault was also committed on the same |
18 | | victim by one or more other individuals, and the defendant |
19 | | voluntarily participated in the crime with the knowledge |
20 | | of the participation of the others in the crime, and the |
21 | | commission of the crime was part of a single course of |
22 | | conduct during which there was no substantial change in |
23 | | the nature of the criminal objective. |
24 | | (4) If the victim was under 18 years of age at the time |
25 | | of the commission of the offense, when a defendant is |
26 | | convicted of aggravated criminal sexual assault or |
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1 | | predatory criminal sexual assault of a child under |
2 | | subsection (a)(1) of Section 11-1.40 or subsection (a)(1) |
3 | | of Section 12-14.1 of the Criminal Code of 1961 or the |
4 | | Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1). |
5 | | (5) When a defendant is convicted of a felony |
6 | | violation of Section 24-1 of the Criminal Code of 1961 or |
7 | | the Criminal Code of 2012 (720 ILCS 5/24-1) and there is a |
8 | | finding that the defendant is a member of an organized |
9 | | gang. |
10 | | (6) When a defendant was convicted of unlawful use of |
11 | | weapons under Section 24-1 of the Criminal Code of 1961 or |
12 | | the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing |
13 | | a weapon that is not readily distinguishable as one of the |
14 | | weapons enumerated in Section 24-1 of the Criminal Code of |
15 | | 1961 or the Criminal Code of 2012 (720 ILCS 5/24-1). |
16 | | (7) When a defendant is convicted of an offense |
17 | | involving the illegal manufacture of a controlled |
18 | | substance under Section 401 of the Illinois Controlled |
19 | | Substances Act (720 ILCS 570/401), the illegal manufacture |
20 | | of methamphetamine under Section 25 of the Methamphetamine |
21 | | Control and Community Protection Act (720 ILCS 646/25), or |
22 | | the illegal possession of explosives and an emergency |
23 | | response officer in the performance of his or her duties |
24 | | is killed or injured at the scene of the offense while |
25 | | responding to the emergency caused by the commission of |
26 | | the offense. In this paragraph, "emergency" means a |
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1 | | situation in which a person's life, health, or safety is |
2 | | in jeopardy; and "emergency response officer" means a |
3 | | peace officer, community policing volunteer, fireman, |
4 | | emergency medical technician-ambulance, emergency medical |
5 | | technician-intermediate, emergency medical |
6 | | technician-paramedic, ambulance driver, other medical |
7 | | assistance or first aid personnel, or hospital emergency |
8 | | room personnel.
|
9 | | (8) When the defendant is convicted of attempted mob |
10 | | action, solicitation to commit mob action, or conspiracy |
11 | | to commit mob action under Section 8-1, 8-2, or 8-4 of the |
12 | | Criminal Code of 2012, where the criminal object is a |
13 | | violation of Section 25-1 of the Criminal Code of 2012, |
14 | | and an electronic communication is used in the commission |
15 | | of the offense. For the purposes of this paragraph (8), |
16 | | "electronic communication" shall have the meaning provided |
17 | | in Section 26.5-0.1 of the Criminal Code of 2012. |
18 | | (d) For the purposes of this Section, "organized gang" has |
19 | | the meaning
ascribed to it in Section 10 of the Illinois |
20 | | Streetgang Terrorism Omnibus
Prevention Act.
|
21 | | (e) The court may impose an extended term sentence under |
22 | | Article 4.5 of Chapter V upon an offender who has been |
23 | | convicted of a felony violation of Section 11-1.20, 11-1.30, |
24 | | 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or |
25 | | 12-16 of the Criminal Code of 1961 or the Criminal Code of 2012 |
26 | | when the victim of the offense is under 18 years of age at the |
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1 | | time of the commission of the offense and, during the |
2 | | commission of the offense, the victim was under the influence |
3 | | of alcohol, regardless of whether or not the alcohol was |
4 | | supplied by the offender; and the offender, at the time of the |
5 | | commission of the offense, knew or should have known that the |
6 | | victim had consumed alcohol. |
7 | | (Source: P.A. 101-173, eff. 1-1-20; 101-401, eff. 1-1-20; |
8 | | 101-417, eff. 1-1-20; 101-652, eff. 1-1-23; 102-558, eff. |
9 | | 8-20-21 .)
|
10 | | (Text of Section after amendment by P.A. 102-982 ) |
11 | | Sec. 5-5-3.2. Factors in aggravation and extended-term |
12 | | sentencing.
|
13 | | (a) The following factors shall be accorded weight in |
14 | | favor of
imposing a term of imprisonment or may be considered |
15 | | by the court as reasons
to impose a more severe sentence under |
16 | | Section 5-8-1 or Article 4.5 of Chapter V:
|
17 | | (1) the defendant's conduct caused or threatened |
18 | | serious harm;
|
19 | | (2) the defendant received compensation for committing |
20 | | the offense;
|
21 | | (3) the defendant has a history of prior delinquency |
22 | | or criminal activity;
|
23 | | (4) the defendant, by the duties of his office or by |
24 | | his position,
was obliged to prevent the particular |
25 | | offense committed or to bring
the offenders committing it |
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1 | | to justice;
|
2 | | (5) the defendant held public office at the time of |
3 | | the offense,
and the offense related to the conduct of |
4 | | that office;
|
5 | | (6) the defendant utilized his professional reputation |
6 | | or
position in the community to commit the offense, or to |
7 | | afford
him an easier means of committing it;
|
8 | | (7) the sentence is necessary to deter others from |
9 | | committing
the same crime;
|
10 | | (8) the defendant committed the offense against a |
11 | | person 60 years of age
or older or such person's property;
|
12 | | (9) the defendant committed the offense against a |
13 | | person who has a physical disability or such person's |
14 | | property;
|
15 | | (10) by reason of another individual's actual or |
16 | | perceived race, color,
creed, religion, ancestry, gender, |
17 | | sexual orientation, physical or mental
disability, or |
18 | | national origin, the defendant committed the offense |
19 | | against (i)
the person or property
of that individual; |
20 | | (ii) the person or property of a person who has an
|
21 | | association with, is married to, or has a friendship with |
22 | | the other individual;
or (iii) the person or property of a |
23 | | relative (by blood or marriage) of a
person described in |
24 | | clause (i) or (ii). For the purposes of this Section,
|
25 | | "sexual orientation" has the meaning ascribed to it in |
26 | | paragraph (O-1) of Section 1-103 of the Illinois Human |
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1 | | Rights Act;
|
2 | | (11) the offense took place in a place of worship or on |
3 | | the
grounds of a place of worship, immediately prior to, |
4 | | during or immediately
following worship services. For |
5 | | purposes of this subparagraph, "place of
worship" shall |
6 | | mean any church, synagogue or other building, structure or
|
7 | | place used primarily for religious worship;
|
8 | | (12) the defendant was convicted of a felony committed |
9 | | while he was
on pretrial release or his own recognizance |
10 | | pending trial for a prior felony
and was convicted of such |
11 | | prior felony, or the defendant was convicted of a
felony |
12 | | committed while he was serving a period of probation,
|
13 | | conditional discharge, or mandatory supervised release |
14 | | under subsection (d)
of Section 5-8-1
for a prior felony;
|
15 | | (13) the defendant committed or attempted to commit a |
16 | | felony while he
was wearing a bulletproof vest. For the |
17 | | purposes of this paragraph (13), a
bulletproof vest is any |
18 | | device which is designed for the purpose of
protecting the |
19 | | wearer from bullets, shot or other lethal projectiles;
|
20 | | (14) the defendant held a position of trust or |
21 | | supervision such as, but
not limited to, family member as |
22 | | defined in Section 11-0.1 of the Criminal Code
of 2012, |
23 | | teacher, scout leader, baby sitter, or child day care |
24 | | worker, in
relation to a victim under 18 years of age, and |
25 | | the defendant committed an
offense in violation of Section |
26 | | 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11, |
|
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1 | | 11-14.4 except for an offense that involves keeping a |
2 | | place of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
|
3 | | 11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15 |
4 | | or 12-16 of the Criminal Code of 1961 or the Criminal Code |
5 | | of 2012
against
that victim;
|
6 | | (15) the defendant committed an offense related to the |
7 | | activities of an
organized gang. For the purposes of this |
8 | | factor, "organized gang" has the
meaning ascribed to it in |
9 | | Section 10 of the Streetgang Terrorism Omnibus
Prevention |
10 | | Act;
|
11 | | (16) the defendant committed an offense in violation |
12 | | of one of the
following Sections while in a school, |
13 | | regardless of the time of day or time of
year; on any |
14 | | conveyance owned, leased, or contracted by a school to |
15 | | transport
students to or from school or a school related |
16 | | activity; on the real property
of a school; or on a public |
17 | | way within 1,000 feet of the real property
comprising any |
18 | | school: Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, |
19 | | 11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, |
20 | | 11-18.1,
11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, |
21 | | 12-4.3, 12-6, 12-6.1, 12-6.5, 12-13,
12-14, 12-14.1, |
22 | | 12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except |
23 | | for subdivision (a)(4) or (g)(1), of the Criminal Code of
|
24 | | 1961 or the Criminal Code of 2012;
|
25 | | (16.5) the defendant committed an offense in violation |
26 | | of one of the
following Sections while in a child day care |
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1 | | center, regardless of the time of day or
time of year; on |
2 | | the real property of a child day care center, regardless |
3 | | of the time
of day or time of year; or on a public
way |
4 | | within 1,000 feet of the real property comprising any |
5 | | child day care center,
regardless of the time of day or |
6 | | time of year:
Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, |
7 | | 11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, |
8 | | 11-18.1, 11-19.1, 11-19.2, 12-2,
12-4, 12-4.1, 12-4.2, |
9 | | 12-4.3, 12-6,
12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, |
10 | | 12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except |
11 | | for subdivision (a)(4) or (g)(1), of the Criminal
Code of |
12 | | 1961 or the Criminal Code of 2012;
|
13 | | (17) the defendant committed the offense by reason of |
14 | | any person's
activity as a community policing volunteer or |
15 | | to prevent any person from
engaging in activity as a |
16 | | community policing volunteer. For the purpose of
this |
17 | | Section, "community policing volunteer" has the meaning |
18 | | ascribed to it in
Section 2-3.5 of the Criminal Code of |
19 | | 2012;
|
20 | | (18) the defendant committed the offense in a nursing |
21 | | home or on the
real
property comprising a nursing home. |
22 | | For the purposes of this paragraph (18),
"nursing home" |
23 | | means a skilled nursing
or intermediate long term care |
24 | | facility that is subject to license by the
Illinois |
25 | | Department of Public Health under the Nursing Home Care
|
26 | | Act, the Specialized Mental Health Rehabilitation Act of |
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1 | | 2013, the ID/DD Community Care Act, or the MC/DD Act;
|
2 | | (19) the defendant was a federally licensed firearm |
3 | | dealer
and
was
previously convicted of a violation of |
4 | | subsection (a) of Section 3 of the
Firearm Owners |
5 | | Identification Card Act and has now committed either a |
6 | | felony
violation
of the Firearm Owners Identification Card |
7 | | Act or an act of armed violence while
armed
with a firearm; |
8 | | (20) the defendant (i) committed the offense of |
9 | | reckless homicide under Section 9-3 of the Criminal Code |
10 | | of 1961 or the Criminal Code of 2012 or the offense of |
11 | | driving under the influence of alcohol, other drug or
|
12 | | drugs, intoxicating compound or compounds or any |
13 | | combination thereof under Section 11-501 of the Illinois |
14 | | Vehicle Code or a similar provision of a local ordinance |
15 | | and (ii) was operating a motor vehicle in excess of 20 |
16 | | miles per hour over the posted speed limit as provided in |
17 | | Article VI of Chapter 11 of the Illinois Vehicle Code;
|
18 | | (21) the defendant (i) committed the offense of |
19 | | reckless driving or aggravated reckless driving under |
20 | | Section 11-503 of the Illinois Vehicle Code and (ii) was |
21 | | operating a motor vehicle in excess of 20 miles per hour |
22 | | over the posted speed limit as provided in Article VI of |
23 | | Chapter 11 of the Illinois Vehicle Code; |
24 | | (22) the defendant committed the offense against a |
25 | | person that the defendant knew, or reasonably should have |
26 | | known, was a member of the Armed Forces of the United |
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1 | | States serving on active duty. For purposes of this clause |
2 | | (22), the term "Armed Forces" means any of the Armed |
3 | | Forces of the United States, including a member of any |
4 | | reserve component thereof or National Guard unit called to |
5 | | active duty;
|
6 | | (23)
the defendant committed the offense against a |
7 | | person who was elderly or infirm or who was a person with a |
8 | | disability by taking advantage of a family or fiduciary |
9 | | relationship with the elderly or infirm person or person |
10 | | with a disability;
|
11 | | (24)
the defendant committed any offense under Section |
12 | | 11-20.1 of the Criminal Code of 1961 or the Criminal Code |
13 | | of 2012 and possessed 100 or more images;
|
14 | | (25) the defendant committed the offense while the |
15 | | defendant or the victim was in a train, bus, or other |
16 | | vehicle used for public transportation; |
17 | | (26) the defendant committed the offense of child |
18 | | pornography or aggravated child pornography, specifically |
19 | | including paragraph (1), (2), (3), (4), (5), or (7) of |
20 | | subsection (a) of Section 11-20.1 of the Criminal Code of |
21 | | 1961 or the Criminal Code of 2012 where a child engaged in, |
22 | | solicited for, depicted in, or posed in any act of sexual |
23 | | penetration or bound, fettered, or subject to sadistic, |
24 | | masochistic, or sadomasochistic abuse in a sexual context |
25 | | and specifically including paragraph (1), (2), (3), (4), |
26 | | (5), or (7) of subsection (a) of Section 11-20.1B or |
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1 | | Section 11-20.3 of the Criminal Code of 1961 where a child |
2 | | engaged in, solicited for, depicted in, or posed in any |
3 | | act of sexual penetration or bound, fettered, or subject |
4 | | to sadistic, masochistic, or sadomasochistic abuse in a |
5 | | sexual context; |
6 | | (27) the defendant committed the offense of first |
7 | | degree murder, assault, aggravated assault, battery, |
8 | | aggravated battery, robbery, armed robbery, or aggravated |
9 | | robbery against a person who was a veteran and the |
10 | | defendant knew, or reasonably should have known, that the |
11 | | person was a veteran performing duties as a representative |
12 | | of a veterans' organization. For the purposes of this |
13 | | paragraph (27), "veteran" means an Illinois resident who |
14 | | has served as a member of the United States Armed Forces, a |
15 | | member of the Illinois National Guard, or a member of the |
16 | | United States Reserve Forces; and "veterans' organization" |
17 | | means an organization comprised of members of
which |
18 | | substantially all are individuals who are veterans or |
19 | | spouses,
widows, or widowers of veterans, the primary |
20 | | purpose of which is to
promote the welfare of its members |
21 | | and to provide assistance to the general
public in such a |
22 | | way as to confer a public benefit; |
23 | | (28) the defendant committed the offense of assault, |
24 | | aggravated assault, battery, aggravated battery, robbery, |
25 | | armed robbery, or aggravated robbery against a person that |
26 | | the defendant knew or reasonably should have known was a |
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1 | | letter carrier or postal worker while that person was |
2 | | performing his or her duties delivering mail for the |
3 | | United States Postal Service; |
4 | | (29) the defendant committed the offense of criminal |
5 | | sexual assault, aggravated criminal sexual assault, |
6 | | criminal sexual abuse, or aggravated criminal sexual abuse |
7 | | against a victim with an intellectual disability, and the |
8 | | defendant holds a position of trust, authority, or |
9 | | supervision in relation to the victim; |
10 | | (30) the defendant committed the offense of promoting |
11 | | juvenile prostitution, patronizing a prostitute, or |
12 | | patronizing a minor engaged in prostitution and at the |
13 | | time of the commission of the offense knew that the |
14 | | prostitute or minor engaged in prostitution was in the |
15 | | custody or guardianship of the Department of Children and |
16 | | Family Services; |
17 | | (31) the defendant (i) committed the offense of |
18 | | driving while under the influence of alcohol, other drug |
19 | | or drugs, intoxicating compound or compounds or any |
20 | | combination thereof in violation of Section 11-501 of the |
21 | | Illinois Vehicle Code or a similar provision of a local |
22 | | ordinance and (ii) the defendant during the commission of |
23 | | the offense was driving his or her vehicle upon a roadway |
24 | | designated for one-way traffic in the opposite direction |
25 | | of the direction indicated by official traffic control |
26 | | devices; |
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1 | | (32) the defendant committed the offense of reckless |
2 | | homicide while committing a violation of Section 11-907 of |
3 | | the Illinois Vehicle Code; |
4 | | (33) the defendant was found guilty of an |
5 | | administrative infraction related to an act or acts of |
6 | | public indecency or sexual misconduct in the penal |
7 | | institution. In this paragraph (33), "penal institution" |
8 | | has the same meaning as in Section 2-14 of the Criminal |
9 | | Code of 2012; or |
10 | | (34) the defendant committed the offense of leaving |
11 | | the scene of a crash in violation of subsection (b) of |
12 | | Section 11-401 of the Illinois Vehicle Code and the crash |
13 | | resulted in the death of a person and at the time of the |
14 | | offense, the defendant was: (i) driving under the |
15 | | influence of alcohol, other drug or drugs, intoxicating |
16 | | compound or compounds or any combination thereof as |
17 | | defined by Section 11-501 of the Illinois Vehicle Code; or |
18 | | (ii) operating the motor vehicle while using an electronic |
19 | | communication device as defined in Section 12-610.2 of the |
20 | | Illinois Vehicle Code. |
21 | | For the purposes of this Section:
|
22 | | "School" is defined as a public or private
elementary or |
23 | | secondary school, community college, college, or university.
|
24 | | " Child Day care center" means a public or private State |
25 | | certified and
licensed child day care center as defined in |
26 | | Section 2.09 of the Child Care Act of
1969 that displays a sign |
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1 | | in plain view stating that the
property is a child day care |
2 | | center.
|
3 | | "Intellectual disability" means significantly subaverage |
4 | | intellectual functioning which exists concurrently
with |
5 | | impairment in adaptive behavior. |
6 | | "Public transportation" means the transportation
or |
7 | | conveyance of persons by means available to the general |
8 | | public, and includes paratransit services. |
9 | | "Traffic control devices" means all signs, signals, |
10 | | markings, and devices that conform to the Illinois Manual on |
11 | | Uniform Traffic Control Devices, placed or erected by |
12 | | authority of a public body or official having jurisdiction, |
13 | | for the purpose of regulating, warning, or guiding traffic. |
14 | | (b) The following factors, related to all felonies, may be |
15 | | considered by the court as
reasons to impose an extended term |
16 | | sentence under Section 5-8-2
upon any offender:
|
17 | | (1) When a defendant is convicted of any felony, after |
18 | | having
been previously convicted in Illinois or any other |
19 | | jurisdiction of the
same or similar class felony or |
20 | | greater class felony, when such conviction
has occurred |
21 | | within 10 years after the
previous conviction, excluding |
22 | | time spent in custody, and such charges are
separately |
23 | | brought and tried and arise out of different series of |
24 | | acts; or
|
25 | | (2) When a defendant is convicted of any felony and |
26 | | the court
finds that the offense was accompanied by |
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1 | | exceptionally brutal
or heinous behavior indicative of |
2 | | wanton cruelty; or
|
3 | | (3) When a defendant is convicted of any felony |
4 | | committed against:
|
5 | | (i) a person under 12 years of age at the time of |
6 | | the offense or such
person's property;
|
7 | | (ii) a person 60 years of age or older at the time |
8 | | of the offense or
such person's property; or
|
9 | | (iii) a person who had a physical disability at |
10 | | the time of the offense or
such person's property; or
|
11 | | (4) When a defendant is convicted of any felony and |
12 | | the offense
involved any of the following types of |
13 | | specific misconduct committed as
part of a ceremony, rite, |
14 | | initiation, observance, performance, practice or
activity |
15 | | of any actual or ostensible religious, fraternal, or |
16 | | social group:
|
17 | | (i) the brutalizing or torturing of humans or |
18 | | animals;
|
19 | | (ii) the theft of human corpses;
|
20 | | (iii) the kidnapping of humans;
|
21 | | (iv) the desecration of any cemetery, religious, |
22 | | fraternal, business,
governmental, educational, or |
23 | | other building or property; or
|
24 | | (v) ritualized abuse of a child; or
|
25 | | (5) When a defendant is convicted of a felony other |
26 | | than conspiracy and
the court finds that
the felony was |
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1 | | committed under an agreement with 2 or more other persons
|
2 | | to commit that offense and the defendant, with respect to |
3 | | the other
individuals, occupied a position of organizer, |
4 | | supervisor, financier, or any
other position of management |
5 | | or leadership, and the court further finds that
the felony |
6 | | committed was related to or in furtherance of the criminal
|
7 | | activities of an organized gang or was motivated by the |
8 | | defendant's leadership
in an organized gang; or
|
9 | | (6) When a defendant is convicted of an offense |
10 | | committed while using a firearm with a
laser sight |
11 | | attached to it. For purposes of this paragraph, "laser |
12 | | sight"
has the meaning ascribed to it in Section 26-7 of |
13 | | the Criminal Code of
2012; or
|
14 | | (7) When a defendant who was at least 17 years of age |
15 | | at the
time of
the commission of the offense is convicted |
16 | | of a felony and has been previously
adjudicated a |
17 | | delinquent minor under the Juvenile Court Act of 1987 for |
18 | | an act
that if committed by an adult would be a Class X or |
19 | | Class 1 felony when the
conviction has occurred within 10 |
20 | | years after the previous adjudication,
excluding time |
21 | | spent in custody; or
|
22 | | (8) When a defendant commits any felony and the |
23 | | defendant used, possessed, exercised control over, or |
24 | | otherwise directed an animal to assault a law enforcement |
25 | | officer engaged in the execution of his or her official |
26 | | duties or in furtherance of the criminal activities of an |
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1 | | organized gang in which the defendant is engaged; or
|
2 | | (9) When a defendant commits any felony and the |
3 | | defendant knowingly video or audio records the offense |
4 | | with the intent to disseminate the recording. |
5 | | (c) The following factors may be considered by the court |
6 | | as reasons to impose an extended term sentence under Section |
7 | | 5-8-2 (730 ILCS 5/5-8-2) upon any offender for the listed |
8 | | offenses: |
9 | | (1) When a defendant is convicted of first degree |
10 | | murder, after having been previously convicted in Illinois |
11 | | of any offense listed under paragraph (c)(2) of Section |
12 | | 5-5-3 (730 ILCS 5/5-5-3), when that conviction has |
13 | | occurred within 10 years after the previous conviction, |
14 | | excluding time spent in custody, and the charges are |
15 | | separately brought and tried and arise out of different |
16 | | series of acts. |
17 | | (1.5) When a defendant is convicted of first degree |
18 | | murder, after having been previously convicted of domestic |
19 | | battery (720 ILCS 5/12-3.2) or aggravated domestic battery |
20 | | (720 ILCS 5/12-3.3) committed on the same victim or after |
21 | | having been previously convicted of violation of an order |
22 | | of protection (720 ILCS 5/12-30) in which the same victim |
23 | | was the protected person. |
24 | | (2) When a defendant is convicted of voluntary |
25 | | manslaughter, second degree murder, involuntary |
26 | | manslaughter, or reckless homicide in which the defendant |
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1 | | has been convicted of causing the death of more than one |
2 | | individual. |
3 | | (3) When a defendant is convicted of aggravated |
4 | | criminal sexual assault or criminal sexual assault, when |
5 | | there is a finding that aggravated criminal sexual assault |
6 | | or criminal sexual assault was also committed on the same |
7 | | victim by one or more other individuals, and the defendant |
8 | | voluntarily participated in the crime with the knowledge |
9 | | of the participation of the others in the crime, and the |
10 | | commission of the crime was part of a single course of |
11 | | conduct during which there was no substantial change in |
12 | | the nature of the criminal objective. |
13 | | (4) If the victim was under 18 years of age at the time |
14 | | of the commission of the offense, when a defendant is |
15 | | convicted of aggravated criminal sexual assault or |
16 | | predatory criminal sexual assault of a child under |
17 | | subsection (a)(1) of Section 11-1.40 or subsection (a)(1) |
18 | | of Section 12-14.1 of the Criminal Code of 1961 or the |
19 | | Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1). |
20 | | (5) When a defendant is convicted of a felony |
21 | | violation of Section 24-1 of the Criminal Code of 1961 or |
22 | | the Criminal Code of 2012 (720 ILCS 5/24-1) and there is a |
23 | | finding that the defendant is a member of an organized |
24 | | gang. |
25 | | (6) When a defendant was convicted of unlawful use of |
26 | | weapons under Section 24-1 of the Criminal Code of 1961 or |
|
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1 | | the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing |
2 | | a weapon that is not readily distinguishable as one of the |
3 | | weapons enumerated in Section 24-1 of the Criminal Code of |
4 | | 1961 or the Criminal Code of 2012 (720 ILCS 5/24-1). |
5 | | (7) When a defendant is convicted of an offense |
6 | | involving the illegal manufacture of a controlled |
7 | | substance under Section 401 of the Illinois Controlled |
8 | | Substances Act (720 ILCS 570/401), the illegal manufacture |
9 | | of methamphetamine under Section 25 of the Methamphetamine |
10 | | Control and Community Protection Act (720 ILCS 646/25), or |
11 | | the illegal possession of explosives and an emergency |
12 | | response officer in the performance of his or her duties |
13 | | is killed or injured at the scene of the offense while |
14 | | responding to the emergency caused by the commission of |
15 | | the offense. In this paragraph, "emergency" means a |
16 | | situation in which a person's life, health, or safety is |
17 | | in jeopardy; and "emergency response officer" means a |
18 | | peace officer, community policing volunteer, fireman, |
19 | | emergency medical technician-ambulance, emergency medical |
20 | | technician-intermediate, emergency medical |
21 | | technician-paramedic, ambulance driver, other medical |
22 | | assistance or first aid personnel, or hospital emergency |
23 | | room personnel.
|
24 | | (8) When the defendant is convicted of attempted mob |
25 | | action, solicitation to commit mob action, or conspiracy |
26 | | to commit mob action under Section 8-1, 8-2, or 8-4 of the |
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1 | | Criminal Code of 2012, where the criminal object is a |
2 | | violation of Section 25-1 of the Criminal Code of 2012, |
3 | | and an electronic communication is used in the commission |
4 | | of the offense. For the purposes of this paragraph (8), |
5 | | "electronic communication" shall have the meaning provided |
6 | | in Section 26.5-0.1 of the Criminal Code of 2012. |
7 | | (d) For the purposes of this Section, "organized gang" has |
8 | | the meaning
ascribed to it in Section 10 of the Illinois |
9 | | Streetgang Terrorism Omnibus
Prevention Act.
|
10 | | (e) The court may impose an extended term sentence under |
11 | | Article 4.5 of Chapter V upon an offender who has been |
12 | | convicted of a felony violation of Section 11-1.20, 11-1.30, |
13 | | 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or |
14 | | 12-16 of the Criminal Code of 1961 or the Criminal Code of 2012 |
15 | | when the victim of the offense is under 18 years of age at the |
16 | | time of the commission of the offense and, during the |
17 | | commission of the offense, the victim was under the influence |
18 | | of alcohol, regardless of whether or not the alcohol was |
19 | | supplied by the offender; and the offender, at the time of the |
20 | | commission of the offense, knew or should have known that the |
21 | | victim had consumed alcohol. |
22 | | (Source: P.A. 101-173, eff. 1-1-20; 101-401, eff. 1-1-20; |
23 | | 101-417, eff. 1-1-20; 101-652, eff. 1-1-23; 102-558, eff. |
24 | | 8-20-21; 102-982, eff. 7-1-23 .)
|
25 | | Section 300. The Stalking No Contact Order Act is amended |
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| | SB1797 | - 728 - | LRB103 03433 AMQ 48439 b |
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1 | | by changing Sections 80 and 115 as follows:
|
2 | | (740 ILCS 21/80)
|
3 | | Sec. 80. Stalking no contact orders; remedies. |
4 | | (a) If the court finds that the petitioner has been a |
5 | | victim of stalking, a stalking no contact order shall issue; |
6 | | provided that the petitioner must also satisfy the |
7 | | requirements of Section 95 on emergency orders or Section 100 |
8 | | on plenary orders. The petitioner shall not be denied a |
9 | | stalking no contact order because the petitioner or the |
10 | | respondent is a minor. The court, when determining whether or |
11 | | not to issue a stalking no contact order, may not require |
12 | | physical injury on the person of the petitioner. Modification |
13 | | and extension of prior stalking no contact orders shall be in |
14 | | accordance with this Act. |
15 | | (b) A stalking no contact order shall order one or more of |
16 | | the following: |
17 | | (1) prohibit the respondent from threatening to commit |
18 | | or committing stalking; |
19 | | (2) order the respondent not to have any contact with |
20 | | the petitioner or a third person specifically named by the |
21 | | court; |
22 | | (3) prohibit the respondent from knowingly coming |
23 | | within, or knowingly remaining within a specified distance |
24 | | of the petitioner or the petitioner's residence, school, |
25 | | child care daycare , or place of employment, or any |
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1 | | specified place frequented by the petitioner; however, the |
2 | | court may order the respondent to stay away from the |
3 | | respondent's own residence, school, or place of employment |
4 | | only if the respondent has been provided actual notice of |
5 | | the opportunity to appear and be heard on the petition; |
6 | | (4) prohibit the respondent from possessing a Firearm |
7 | | Owners Identification Card, or possessing or buying |
8 | | firearms; and |
9 | | (5) order other injunctive relief the court determines |
10 | | to be necessary to protect the petitioner or third party |
11 | | specifically named by the court. |
12 | | (b-5) When the petitioner and the respondent attend the |
13 | | same public, private, or non-public elementary, middle, or |
14 | | high school, the court when issuing a stalking no contact |
15 | | order and providing relief shall consider the severity of the |
16 | | act, any continuing physical danger or emotional distress to |
17 | | the petitioner, the educational rights guaranteed to the |
18 | | petitioner and respondent under federal and State law, the |
19 | | availability of a transfer of the respondent to another |
20 | | school, a change of placement or a change of program of the |
21 | | respondent, the expense, difficulty, and educational |
22 | | disruption that would be caused by a transfer of the |
23 | | respondent to another school, and any other relevant facts of |
24 | | the case. The court may order that the respondent not attend |
25 | | the public, private, or non-public elementary, middle, or high |
26 | | school attended by the petitioner, order that the respondent |
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1 | | accept a change of placement or program, as determined by the |
2 | | school district or private or non-public school, or place |
3 | | restrictions on the respondent's movements within the school |
4 | | attended by the petitioner.
The respondent bears the burden of |
5 | | proving by a preponderance of the evidence that a transfer, |
6 | | change of placement, or change of program of the respondent is |
7 | | not available. The respondent also bears the burden of |
8 | | production with respect to the expense, difficulty, and |
9 | | educational disruption that would be caused by a transfer of |
10 | | the respondent to another school. A transfer, change of |
11 | | placement, or change of program is not unavailable to the |
12 | | respondent solely on the ground that the respondent does not |
13 | | agree with the school district's or private or non-public |
14 | | school's transfer, change of placement, or change of program |
15 | | or solely on the ground that the respondent fails or refuses to |
16 | | consent to or otherwise does not take an action required to |
17 | | effectuate a transfer, change of placement, or change of |
18 | | program.
When a court orders a respondent to stay away from the |
19 | | public, private, or non-public school attended by the |
20 | | petitioner and the respondent requests a transfer to another |
21 | | attendance center within the respondent's school district or |
22 | | private or non-public school, the school district or private |
23 | | or non-public school shall have sole discretion to determine |
24 | | the attendance center to which the respondent is transferred.
|
25 | | In the event the court order results in a transfer of the minor |
26 | | respondent to another attendance center, a change in the |
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1 | | respondent's placement, or a change of the respondent's |
2 | | program, the parents, guardian, or legal custodian of the |
3 | | respondent is responsible for transportation and other costs |
4 | | associated with the transfer or change. |
5 | | (b-6) The court may order the parents, guardian, or legal |
6 | | custodian of a minor respondent to take certain actions or to |
7 | | refrain from taking certain actions to ensure that the |
8 | | respondent complies with the order. In the event the court |
9 | | orders a transfer of the respondent to another school, the |
10 | | parents, guardian, or legal custodian of the respondent are |
11 | | responsible for transportation and other costs associated with |
12 | | the change of school by the respondent. |
13 | | (b-7) The court shall not hold a school district or |
14 | | private or non-public school or any of its employees in civil |
15 | | or criminal contempt unless the school district or private or |
16 | | non-public school has been allowed to intervene. |
17 | | (b-8) The court may hold the parents, guardian, or legal |
18 | | custodian of a minor respondent in civil or criminal contempt |
19 | | for a violation of any provision of any order entered under |
20 | | this Act for conduct of the minor respondent in violation of |
21 | | this Act if the
parents, guardian, or legal custodian |
22 | | directed, encouraged, or assisted the respondent minor in such |
23 | | conduct. |
24 | | (c) The court may award the petitioner costs and attorneys |
25 | | fees if a stalking no contact order is granted. |
26 | | (d) Monetary damages are not recoverable as a remedy. |
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1 | | (e) If the stalking no contact order prohibits the |
2 | | respondent from possessing a Firearm Owner's Identification |
3 | | Card, or possessing or buying firearms; the court shall |
4 | | confiscate the respondent's Firearm Owner's Identification |
5 | | Card and immediately return the card to the Illinois State |
6 | | Police Firearm Owner's Identification Card Office.
|
7 | | (Source: P.A. 102-538, eff. 8-20-21.)
|
8 | | (740 ILCS 21/115)
|
9 | | Sec. 115. Notice of orders. |
10 | | (a) Upon issuance of any stalking no contact order, the |
11 | | clerk shall immediately: |
12 | | (1) enter the order on the record and file it in |
13 | | accordance with the circuit court procedures; and |
14 | | (2) provide a file stamped copy of the order to the |
15 | | respondent, if present, and to the petitioner. |
16 | | (b) The clerk of the issuing judge shall, or the |
17 | | petitioner may, on the same day that a stalking no contact |
18 | | order is issued, file a certified copy of that order with the |
19 | | sheriff or other law enforcement officials charged with |
20 | | maintaining Illinois State Police records or charged with |
21 | | serving the order upon the respondent. If the respondent, at |
22 | | the time of the issuance of the order, is committed to the |
23 | | custody of the Illinois Department of Corrections or Illinois |
24 | | Department of Juvenile Justice or is on parole, aftercare |
25 | | release, or mandatory supervised release, the sheriff or other |
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1 | | law enforcement officials charged with maintaining Illinois |
2 | | State Police records shall notify the Department of |
3 | | Corrections or Department of Juvenile Justice within 48 hours |
4 | | of receipt of a copy of the stalking no contact order from the |
5 | | clerk of the issuing judge or the petitioner. Such notice |
6 | | shall include the name of the respondent, the respondent's |
7 | | IDOC inmate number or IDJJ youth identification number, the |
8 | | respondent's date of birth, and the LEADS Record Index Number. |
9 | | (c) Unless the respondent was present in court when the |
10 | | order was issued, the sheriff, other law enforcement official, |
11 | | or special process server shall promptly serve that order upon |
12 | | the respondent and file proof of such service in the manner |
13 | | provided for service of process in civil proceedings. Instead |
14 | | of serving the order upon the respondent, however, the |
15 | | sheriff, other law enforcement official, special process |
16 | | server, or other persons defined in Section 117 may serve the |
17 | | respondent with a short form notification as provided in |
18 | | Section 117. If process has not yet been served upon the |
19 | | respondent, it shall be served with the order or short form |
20 | | notification if such service is made by the sheriff, other law |
21 | | enforcement official, or special process server. |
22 | | (d) If the person against whom the stalking no contact |
23 | | order is issued is arrested and the written order is issued in |
24 | | accordance with subsection (c) of Section 95 and received by |
25 | | the custodial law enforcement agency before the respondent or |
26 | | arrestee is released from custody, the custodial law |
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1 | | enforcement agent shall promptly serve the order upon the |
2 | | respondent or arrestee before the respondent or arrestee is |
3 | | released from custody. In no event shall detention of the |
4 | | respondent or arrestee be extended for hearing on the petition |
5 | | for stalking no contact order or receipt of the order issued |
6 | | under Section 95 of this Act. |
7 | | (e) Any order extending, modifying, or revoking any |
8 | | stalking no contact order shall be promptly recorded, issued, |
9 | | and served as provided in this Section. |
10 | | (f) Upon the request of the petitioner, within 24 hours of |
11 | | the issuance of a stalking no contact order, the clerk of the |
12 | | issuing judge shall send written notice of the order along |
13 | | with a certified copy of the order to any school, child care |
14 | | daycare , college, or university at which the petitioner is |
15 | | enrolled.
|
16 | | (Source: P.A. 101-508, eff. 1-1-20; 102-538, eff. 8-20-21.)
|
17 | | Section 305. The Civil No Contact Order Act is amended by |
18 | | changing Section 213 as follows:
|
19 | | (740 ILCS 22/213)
|
20 | | Sec. 213. Civil no contact order; remedies.
|
21 | | (a) If the court finds that the petitioner has been a |
22 | | victim of
non-consensual sexual conduct or non-consensual |
23 | | sexual penetration, a civil no
contact order shall issue; |
24 | | provided that the petitioner must also satisfy the
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1 | | requirements of Section
214 on emergency orders or Section 215 |
2 | | on plenary orders. The petitioner
shall not be denied a civil |
3 | | no contact order because the petitioner or the
respondent is a |
4 | | minor. The court, when
determining whether or not to issue a |
5 | | civil no contact order, may not
require physical injury on the |
6 | | person of the victim.
Modification and extension of prior |
7 | | civil no contact orders shall be in
accordance with this Act.
|
8 | | (a-5) (Blank). |
9 | | (b) (Blank).
|
10 | | (b-5) The court may provide relief as follows: |
11 | | (1) prohibit the respondent from knowingly coming |
12 | | within, or knowingly remaining within, a specified |
13 | | distance from the petitioner; |
14 | | (2) restrain the respondent from having any contact, |
15 | | including nonphysical contact and electronic communication |
16 | | as defined in Section 26.5-0.1 of the Criminal Code of |
17 | | 2012, with the petitioner directly, indirectly, or through |
18 | | third parties, regardless of whether those third parties |
19 | | know of the order; |
20 | | (3) prohibit the respondent from knowingly coming |
21 | | within, or knowingly remaining within, a specified |
22 | | distance from the petitioner's residence, school, child |
23 | | day care or other specified location; |
24 | | (4) order the respondent to stay away from any |
25 | | property or animal owned, possessed, leased, kept, or held |
26 | | by the petitioner and forbid the respondent from taking, |
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1 | | transferring, encumbering, concealing, harming, or |
2 | | otherwise disposing of the property or animal; and |
3 | | (5) order any other injunctive relief as necessary or |
4 | | appropriate for the protection of the petitioner. |
5 | | (b-6) When the petitioner and the respondent attend the |
6 | | same public or private elementary, middle, or high school, the |
7 | | court when issuing a civil no contact order and providing |
8 | | relief shall consider the severity of the act, any continuing |
9 | | physical danger or emotional distress to the petitioner, the |
10 | | educational rights guaranteed to the petitioner and respondent |
11 | | under federal and State law, the availability of a transfer of |
12 | | the respondent to another school, a change of placement or a |
13 | | change of program of the respondent, the expense, difficulty, |
14 | | and educational disruption that would be caused by a transfer |
15 | | of the respondent to another school, and any other relevant |
16 | | facts of the case. The court may order that the respondent not |
17 | | attend the public, private, or non-public elementary, middle, |
18 | | or high school attended by the petitioner, order that the |
19 | | respondent accept a change of placement or program, as |
20 | | determined by the school district or private or non-public |
21 | | school, or place restrictions on the respondent's movements |
22 | | within the school attended by the petitioner.
The respondent |
23 | | bears the burden of proving by a preponderance of the evidence |
24 | | that a transfer, change of placement, or change of program of |
25 | | the respondent is not available. The respondent also bears the |
26 | | burden of production with respect to the expense, difficulty, |
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1 | | and educational disruption that would be caused by a transfer |
2 | | of the respondent to another school. A transfer, change of |
3 | | placement, or change of program is not unavailable to the |
4 | | respondent solely on the ground that the respondent does not |
5 | | agree with the school district's or private or non-public |
6 | | school's transfer, change of placement, or change of program |
7 | | or solely on the ground that the respondent fails or refuses to |
8 | | consent to or otherwise does not take an action required to |
9 | | effectuate a transfer, change of placement, or change of |
10 | | program.
When a court orders a respondent to stay away from the |
11 | | public, private, or non-public school attended by the |
12 | | petitioner and the respondent requests a transfer to another |
13 | | attendance center within the respondent's school district or |
14 | | private or non-public school, the school district or private |
15 | | or non-public school shall have sole discretion to determine |
16 | | the attendance center to which the respondent is transferred.
|
17 | | In the event the court order results in a transfer of the minor |
18 | | respondent to another attendance center, a change in the |
19 | | respondent's placement, or a change of the respondent's |
20 | | program, the parents, guardian, or legal custodian of the |
21 | | respondent is responsible for transportation and other costs |
22 | | associated with the transfer or change. |
23 | | (b-7) The court may order the parents, guardian, or legal |
24 | | custodian of a minor respondent to take certain actions or to |
25 | | refrain from taking certain actions to ensure that the |
26 | | respondent complies with the order. In the event the court |
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1 | | orders a transfer of the respondent to another school, the |
2 | | parents or legal guardians of the respondent are responsible |
3 | | for transportation and other costs associated with the change |
4 | | of school by the respondent. |
5 | | (c) Denial of a remedy may not be based, in whole or in |
6 | | part, on
evidence that:
|
7 | | (1) the respondent has cause for any use of force, |
8 | | unless that
cause satisfies the standards for justifiable |
9 | | use of force provided
by Article 7 of the Criminal Code of |
10 | | 2012;
|
11 | | (2) the respondent was voluntarily intoxicated;
|
12 | | (3) the petitioner acted in self-defense or defense of |
13 | | another,
provided that, if the petitioner utilized force, |
14 | | such force was
justifiable under Article 7 of the Criminal |
15 | | Code of 2012;
|
16 | | (4) the petitioner did not act in self-defense or |
17 | | defense of
another;
|
18 | | (5) the petitioner left the residence or household to |
19 | | avoid
further non-consensual sexual conduct or |
20 | | non-consensual sexual penetration
by the respondent; or
|
21 | | (6) the petitioner did not leave the residence or |
22 | | household to
avoid further non-consensual sexual conduct |
23 | | or non-consensual sexual
penetration by the respondent.
|
24 | | (d) Monetary damages are not recoverable as a remedy.
|
25 | | (Source: P.A. 101-255, eff. 1-1-20; 102-220, eff. 1-1-22; |
26 | | 102-831, eff. 5-13-22.)
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1 | | Section 310. The Illinois Parentage Act of 2015 is amended |
2 | | by changing Section 106 as follows:
|
3 | | (750 ILCS 46/106)
|
4 | | Sec. 106. Protection of participants. Proceedings under |
5 | | this Act are subject to other law of this State governing the |
6 | | health, safety, privacy, and liberty of a child or other |
7 | | individual who could be jeopardized by disclosure of |
8 | | identifying information, including address, telephone number, |
9 | | place of employment, social security number, and the child's |
10 | | child care day-care facility and school.
|
11 | | (Source: P.A. 99-85, eff. 1-1-16 .)
|
12 | | Section 315. The Illinois Domestic Violence Act of 1986 is |
13 | | amended by changing Sections 203 and 222 as follows:
|
14 | | (750 ILCS 60/203) (from Ch. 40, par. 2312-3)
|
15 | | Sec. 203.
Pleading; non-disclosure of address; |
16 | | non-disclosure of
schools.
|
17 | | (a) A petition for an
order of protection shall be in |
18 | | writing and verified or accompanied by
affidavit
and shall |
19 | | allege that petitioner has been abused by respondent, who is a
|
20 | | family or household member.
The petition shall further set |
21 | | forth whether there is any other pending
action between the |
22 | | parties. During the pendency of this proceeding, each
party |
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1 | | has a continuing duty to inform the court of any subsequent
|
2 | | proceeding for an order of protection in this or any other |
3 | | state.
|
4 | | (b) If the petition states that disclosure of petitioner's
|
5 | | address would risk abuse of petitioner or any member of |
6 | | petitioner's
family or household
or reveal the confidential |
7 | | address of a shelter for domestic violence victims,
that |
8 | | address may be omitted from all documents filed with the |
9 | | court. If
disclosure is necessary to determine jurisdiction or |
10 | | consider any venue issue,
it shall be made orally and in |
11 | | camera.
If petitioner has not disclosed an address under this |
12 | | subsection,
petitioner shall designate an alternative address |
13 | | at which respondent may
serve notice of any motions.
|
14 | | (c) If the petitioner is seeking to have a child protected |
15 | | by the order of
protection,
and if that child is enrolled in |
16 | | any child care day-care facility, pre-school,
|
17 | | pre-kindergarten, private
school, public school district, |
18 | | college, or university, the petitioner may
provide the name
|
19 | | and address of the child care day-care facility, pre-school, |
20 | | pre-kindergarten, private
school, public
school district, |
21 | | college, or university to the court. However, if the petition
|
22 | | states that
disclosure of this information would risk abuse to |
23 | | petitioner or to the child
protected
under the order, this |
24 | | information may be omitted from all documents filed with
the |
25 | | court.
|
26 | | (Source: P.A. 92-90, eff. 7-18-01.)
|
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1 | | (750 ILCS 60/222) (from Ch. 40, par. 2312-22)
|
2 | | Sec. 222. Notice of orders.
|
3 | | (a) Entry and issuance. Upon issuance of any order of |
4 | | protection, the
clerk shall immediately
(i) enter the order on |
5 | | the record and file it
in accordance with the circuit court |
6 | | procedures and (ii) provide a file stamped
copy of the order to |
7 | | respondent, if
present, and to petitioner.
|
8 | | (b) Filing with sheriff. The clerk of the issuing judge |
9 | | shall, or
the petitioner may, on the same day that an order of |
10 | | protection is
issued, file a certified copy of that order with |
11 | | the sheriff or other law
enforcement officials charged with |
12 | | maintaining Illinois State Police
records or charged with |
13 | | serving the order upon respondent.
If the respondent, at the |
14 | | time of the issuance of the order, is committed to the custody |
15 | | of the Illinois Department of Corrections or Illinois |
16 | | Department of Juvenile Justice or is on parole, aftercare |
17 | | release, or mandatory supervised release, the sheriff or other |
18 | | law enforcement officials charged with maintaining Illinois |
19 | | State Police records shall notify the Department of |
20 | | Corrections or Department of Juvenile Justice within 48 hours |
21 | | of receipt of a copy of the order of protection from the clerk |
22 | | of the issuing judge or the petitioner. Such notice shall |
23 | | include the name of the respondent, the respondent's IDOC |
24 | | inmate number or IDJJ youth identification number, the |
25 | | respondent's date of birth, and the LEADS Record Index Number.
|
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1 | | (c) Service by sheriff. Unless respondent was present in |
2 | | court when the
order was issued, the sheriff, other law |
3 | | enforcement official or special
process server shall
promptly |
4 | | serve that order upon respondent and file proof of such |
5 | | service,
in the manner provided for service of process in |
6 | | civil proceedings.
Instead of serving the order upon the |
7 | | respondent, however, the sheriff, other
law enforcement |
8 | | official, special process server, or other persons defined in |
9 | | Section 222.10 may serve the respondent
with a short form |
10 | | notification as provided in Section 222.10.
If
process has not |
11 | | yet been served upon the respondent, it shall be served
with |
12 | | the order or short form notification if such service is made by |
13 | | the sheriff, other law enforcement official, or special |
14 | | process server. A single fee may be charged for
service of an |
15 | | order
obtained in civil court, or for service of such an order |
16 | | together with
process, unless waived or deferred under Section |
17 | | 210.
|
18 | | (c-5) If the person against whom the order of protection |
19 | | is issued is
arrested and the written order is issued in |
20 | | accordance with subsection (c) of
Section 217
and received by |
21 | | the custodial law enforcement agency before the respondent or
|
22 | | arrestee is released from custody, the custodial law |
23 | | enforcement agent shall
promptly serve the order upon the |
24 | | respondent or arrestee before the
respondent or arrestee is |
25 | | released from custody. In no event shall detention
of the |
26 | | respondent or arrestee be extended for hearing on the petition |
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1 | | for order
of protection or receipt of the order issued under |
2 | | Section 217 of this Act.
|
3 | | (d) Extensions, modifications and revocations. Any order |
4 | | extending,
modifying or revoking any order of protection shall |
5 | | be promptly recorded,
issued and served as provided in this |
6 | | Section.
|
7 | | (e) Notice to schools. Upon the request of the petitioner, |
8 | | within 24
hours of the issuance of an order of
protection, the |
9 | | clerk of the issuing judge shall
send a certified copy of
the |
10 | | order of protection to the child care day-care facility,
|
11 | | pre-school or pre-kindergarten, or private school or the |
12 | | principal
office of the public school district or any college |
13 | | or university in which any child who
is a protected person |
14 | | under the order of protection or any child
of
the
petitioner is |
15 | | enrolled as requested by the petitioner at the mailing address |
16 | | provided by the petitioner.
If the child transfers enrollment |
17 | | to another child care day-care facility, pre-school,
|
18 | | pre-kindergarten,
private school, public school, college, or |
19 | | university, the petitioner may,
within 24 hours
of the |
20 | | transfer, send to the clerk written notice of the transfer, |
21 | | including
the name and
address of the institution to which the |
22 | | child is transferring.
Within 24 hours of receipt of notice
|
23 | | from the petitioner that a child is transferring to another |
24 | | child care day-care facility,
pre-school, pre-kindergarten, |
25 | | private school, public school, college, or
university, the |
26 | | clerk shall send a certified copy of the order to the |
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| | SB1797 | - 744 - | LRB103 03433 AMQ 48439 b |
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|
1 | | institution to which the child
is
transferring.
|
2 | | (f) Disclosure by schools. After receiving a certified |
3 | | copy of an order
of protection that prohibits a respondent's |
4 | | access to records, neither a
child care day-care facility, |
5 | | pre-school, pre-kindergarten, public
or private school, |
6 | | college, or university nor its employees shall allow a
|
7 | | respondent access to a
protected child's records or release |
8 | | information in those records to the
respondent. The school |
9 | | shall file
the copy of the order of protection in the records |
10 | | of a child who
is a protected person under the order of |
11 | | protection. When a child who is a
protected person under the |
12 | | order of protection transfers to another child care day-care
|
13 | | facility, pre-school, pre-kindergarten, public or private |
14 | | school, college, or
university, the institution from which the |
15 | | child is transferring may, at the
request of the petitioner, |
16 | | provide,
within 24 hours of the transfer, written notice of |
17 | | the order of protection,
along with a certified copy of the |
18 | | order, to the institution to which the child
is
transferring.
|
19 | | (g) Notice to health care facilities and health care |
20 | | practitioners. Upon the request of the petitioner, the clerk |
21 | | of the circuit court shall send a certified copy of the order |
22 | | of protection to any specified health care facility or health |
23 | | care practitioner requested by the petitioner at the mailing |
24 | | address provided by the petitioner. |
25 | | (h) Disclosure by health care facilities and health care |
26 | | practitioners. After receiving a certified copy of an order of |
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1 | | protection that prohibits a respondent's access to records, no |
2 | | health care facility or health care practitioner shall allow a |
3 | | respondent access to the records of any child who is a |
4 | | protected person under the order of protection, or release |
5 | | information in those records to the respondent, unless the |
6 | | order has expired or the respondent shows a certified copy of |
7 | | the court order vacating the corresponding order of protection |
8 | | that was sent to the health care facility or practitioner. |
9 | | Nothing in this Section shall be construed to require health |
10 | | care facilities or health care practitioners to alter |
11 | | procedures related to billing and payment. The health care |
12 | | facility or health care practitioner may file the copy of the |
13 | | order of protection in the records of a child who is a |
14 | | protected person under the order of protection, or may employ |
15 | | any other method to identify the records to which a respondent |
16 | | is prohibited access. No health care facility or health care |
17 | | practitioner shall be civilly or professionally liable for |
18 | | reliance on a copy of an order of protection, except for |
19 | | willful and wanton misconduct. |
20 | | (Source: P.A. 101-508, eff. 1-1-20; 102-538, eff. 8-20-21.)
|
21 | | Section 320. The Illinois Human Rights Act is amended by |
22 | | changing Section 5-101 as follows:
|
23 | | (775 ILCS 5/5-101) (from Ch. 68, par. 5-101)
|
24 | | Sec. 5-101. Definitions. The following definitions are |
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1 | | applicable
strictly in the context of this Article:
|
2 | | (A) Place of Public Accommodation. "Place of public
|
3 | | accommodation" includes, but is not limited to:
|
4 | | (1) an inn, hotel, motel, or other place of lodging, |
5 | | except
for an establishment located within a building that |
6 | | contains
not more than 5 units for rent or hire and that is |
7 | | actually
occupied by the proprietor of such establishment |
8 | | as the
residence of such proprietor; |
9 | | (2) a restaurant, bar, or other establishment serving |
10 | | food or
drink; |
11 | | (3) a motion picture house, theater, concert hall, |
12 | | stadium,
or other place of exhibition or entertainment; |
13 | | (4) an auditorium, convention center, lecture hall, or |
14 | | other
place of public gathering; |
15 | | (5) a bakery, grocery store, clothing store, hardware |
16 | | store,
shopping center, or other sales or rental |
17 | | establishment; |
18 | | (6) a laundromat, dry-cleaner, bank, barber shop, |
19 | | beauty
shop, travel service, shoe repair service, funeral |
20 | | parlor, gas
station, office of an accountant or lawyer, |
21 | | pharmacy, insurance
office, professional office of a |
22 | | health care provider,
hospital, or other service |
23 | | establishment; |
24 | | (7) public conveyances on air, water, or land;
|
25 | | (8) a terminal, depot, or other station used for |
26 | | specified
public transportation; |
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1 | | (9) a museum, library, gallery, or other place of |
2 | | public
display or collection; |
3 | | (10) a park, zoo, amusement park, or other place of
|
4 | | recreation; |
5 | | (11) a non-sectarian nursery, child day care center, |
6 | | elementary, secondary, undergraduate, or postgraduate |
7 | | school, or other place of education; |
8 | | (12) a senior citizen center, homeless
shelter, food |
9 | | bank, non-sectarian adoption agency, or other social |
10 | | service
center establishment; and |
11 | | (13) a gymnasium, health spa, bowling alley, golf |
12 | | course, or
other place of exercise or recreation.
|
13 | | (B) Operator. "Operator" means any owner, lessee, |
14 | | proprietor,
manager, superintendent, agent, or occupant of a |
15 | | place of public
accommodation or an employee of any such |
16 | | person or persons.
|
17 | | (C) Public Official. "Public official" means any officer |
18 | | or employee
of the state or any agency thereof, including |
19 | | state political subdivisions,
municipal corporations, park |
20 | | districts, forest preserve districts, educational
|
21 | | institutions, and schools.
|
22 | | (Source: P.A. 100-863, eff. 8-14-18.)
|
23 | | Section 325. The Minimum Wage Law is amended by changing |
24 | | Section 3 as follows:
|
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1 | | (820 ILCS 105/3) (from Ch. 48, par. 1003)
|
2 | | Sec. 3. As used in this Act:
|
3 | | (a) "Director" means the Director of the Department of |
4 | | Labor, and
"Department" means the Department of Labor.
|
5 | | (b) "Wages" means compensation due to an employee by |
6 | | reason of his
employment, including allowances determined by |
7 | | the Director in
accordance with the provisions of this Act for |
8 | | gratuities and, when
furnished by the employer, for meals and |
9 | | lodging actually used by the
employee.
|
10 | | (c) "Employer" includes any individual, partnership, |
11 | | association,
corporation, limited liability company, business |
12 | | trust, governmental or quasi-governmental body, or
any person |
13 | | or group of persons acting directly or indirectly in the
|
14 | | interest of an employer in relation to an employee, for which |
15 | | one or
more persons are gainfully employed on some day within a |
16 | | calendar year.
An employer is subject to this Act in a calendar |
17 | | year on and after the
first day in such calendar year in which |
18 | | he employs one or more persons,
and for the following calendar |
19 | | year.
|
20 | | (d) "Employee" includes any individual permitted to work |
21 | | by an
employer in an occupation, and includes, notwithstanding |
22 | | subdivision (1) of this subsection (d), one or more domestic |
23 | | workers as defined in Section 10 of the Domestic Workers' Bill |
24 | | of Rights Act, but does not include any individual permitted
|
25 | | to work:
|
26 | | (1) For an employer employing fewer than 4 employees |
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1 | | exclusive of
the employer's parent, spouse or child or |
2 | | other members of his immediate
family.
|
3 | | (2) As an employee employed in agriculture or |
4 | | aquaculture (A) if such
employee is
employed by an |
5 | | employer who did not, during any calendar quarter during
|
6 | | the preceding calendar year, use more than 500 man-days of |
7 | | agricultural
or aquacultural
labor, (B) if such employee |
8 | | is the parent, spouse or child, or other
member of the |
9 | | employer's immediate family, (C) if such employee (i) is
|
10 | | employed as a hand harvest laborer and is paid on a piece |
11 | | rate basis in
an operation which has been, and is |
12 | | customarily and generally recognized
as having been, paid |
13 | | on a piece rate basis in the region of employment,
(ii) |
14 | | commutes daily from his permanent residence to the farm on |
15 | | which he
is so employed, and (iii) has been employed in |
16 | | agriculture less than 13
weeks during the preceding |
17 | | calendar year, (D) if such employee (other
than an |
18 | | employee described in clause (C) of this subparagraph): |
19 | | (i) is
16 years of age or under and is employed as a hand |
20 | | harvest laborer, is paid
on a piece rate basis in an |
21 | | operation which has been, and is customarily
and generally |
22 | | recognized as having been, paid on a piece rate basis in
|
23 | | the region of employment, (ii) is employed on the same |
24 | | farm as his
parent or person standing in the place of his |
25 | | parent, and (iii) is paid
at the same piece rate as |
26 | | employees over 16 are paid on the same farm.
|
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1 | | (3) (Blank).
|
2 | | (4) As an outside salesman.
|
3 | | (5) As a member of a religious corporation or |
4 | | organization.
|
5 | | (6) At an accredited Illinois college or university |
6 | | employed by the
college
or university at which he is a |
7 | | student who is covered under the provisions
of the Fair |
8 | | Labor Standards Act of 1938, as heretofore or hereafter
|
9 | | amended.
|
10 | | (7) For a motor carrier and with respect to whom the |
11 | | U.S. Secretary of
Transportation has the power to |
12 | | establish qualifications and maximum hours of
service |
13 | | under the provisions of Title 49 U.S.C. or the State of |
14 | | Illinois under
Section 18b-105 (Title 92 of the Illinois |
15 | | Administrative Code, Part 395 -
Hours of Service of |
16 | | Drivers) of the Illinois Vehicle
Code.
|
17 | | (8) As an employee employed as a player who is 28 years |
18 | | old or younger, a manager, a coach, or an athletic trainer |
19 | | by a minor league professional baseball team not |
20 | | affiliated with a major league baseball club, if (A) the |
21 | | minor league professional baseball team does not operate |
22 | | for more than 7 months in any calendar year or (B) during |
23 | | the preceding calendar year, the minor league professional |
24 | | baseball team's average receipts for any 6-month period of |
25 | | the year were not more than 33 1/3% of its average receipts |
26 | | for the other 6 months of the year. |
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1 | | The above exclusions from the term "employee" may be |
2 | | further defined
by regulations of the Director.
|
3 | | (e) "Occupation" means an industry, trade, business or |
4 | | class of work
in which employees are gainfully employed.
|
5 | | (f) "Gratuities" means voluntary monetary contributions to |
6 | | an
employee from a guest, patron or customer in connection |
7 | | with services
rendered.
|
8 | | (g) "Outside salesman" means an employee regularly engaged |
9 | | in making
sales or obtaining orders or contracts for services |
10 | | where a major
portion of such duties are performed away from |
11 | | his employer's place of
business.
|
12 | | (h) "Day camp" means a seasonal recreation program in |
13 | | operation for no more than 16 weeks intermittently throughout |
14 | | the calendar year, accommodating for profit or under |
15 | | philanthropic or charitable auspices, 5 or more children under |
16 | | 18 years of age, not including overnight programs. The term |
17 | | "day camp" does not include a " child day care agency", "child |
18 | | care facility" or "foster family home" as licensed by the |
19 | | Illinois Department of Children and Family Services. |
20 | | (Source: P.A. 99-758, eff. 1-1-17; 100-192, eff. 8-18-17.)
|
21 | | Section 330. The Domestic Workers' Bill of Rights Act is |
22 | | amended by changing Section 10 as follows:
|
23 | | (820 ILCS 182/10)
|
24 | | Sec. 10. Definitions. As used in this Act: |
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1 | | "Domestic work" means: |
2 | | (1) housekeeping; |
3 | | (2) house cleaning; |
4 | | (3) home management; |
5 | | (4) nanny services including child care childcare and |
6 | | child monitoring; |
7 | | (5) caregiving, personal care or home health services |
8 | | for elderly persons or persons with an illness, injury, or |
9 | | disability who require assistance in caring for |
10 | | themselves; |
11 | | (6) laundering; |
12 | | (7) cooking; |
13 | | (8) companion services; |
14 | | (9) chauffeuring; or |
15 | | (10) other household services for members of |
16 | | households or their guests in or about a private home or |
17 | | residence or any other location where the domestic work is |
18 | | performed. |
19 | | "Domestic worker" means a person employed to perform |
20 | | domestic work. "Domestic worker" does not include: (i) a |
21 | | person performing domestic work who is the employer's parent, |
22 | | spouse, child, or other member of his or her immediate family, |
23 | | exclusive of individuals whose primary work duties are |
24 | | caregiving, companion services, personal care or home health |
25 | | services for elderly persons or persons with an illness, |
26 | | injury, or disability who require assistance in caring for |
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1 | | themselves; (ii) child and day care home providers |
2 | | participating in the child care assistance program under |
3 | | Section 9A-11 of the Illinois Public Aid Code; (iii) a person |
4 | | who is employed by one or more employers in or about a private |
5 | | home or residence or any other location where the domestic |
6 | | work is performed for 8 hours or less in the aggregate in any |
7 | | workweek on a regular basis, exclusive of individuals whose |
8 | | primary work duties are caregiving, companion services, |
9 | | personal care or home health services for elderly persons or |
10 | | persons with an illness, injury, or disability who require |
11 | | assistance in caring for themselves; or (iv) a person who the |
12 | | employer establishes: (A) has been and will continue to be |
13 | | free from control and direction over the performance of his or |
14 | | her work, both under a contract of service and in fact; (B) is |
15 | | engaged in an independently established trade, occupation, |
16 | | profession or business; or (C) is deemed a legitimate sole |
17 | | proprietor or partnership. A sole proprietor or partnership |
18 | | shall be deemed to be legitimate if the employer establishes |
19 | | that: |
20 | | (1) the sole proprietor or partnership is performing |
21 | | the service free from the direction or control over the |
22 | | means and manner of providing the service, subject only to |
23 | | the right of the employer for whom the service is provided |
24 | | to specify the desired result; |
25 | | (2) the sole proprietor or partnership is not subject |
26 | | to cancellation or destruction upon severance of the |
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1 | | relationship with the employer; |
2 | | (3) the sole proprietor or partnership has a |
3 | | substantial investment of capital in the sole |
4 | | proprietorship or partnership beyond ordinary tools and |
5 | | equipment and a personal vehicle; |
6 | | (4) the sole proprietor or partnership owns the |
7 | | capital goods and gains the profits and bears the losses |
8 | | of the sole proprietorship or partnership; |
9 | | (5) the sole proprietor or partnership makes its |
10 | | services available to the general public on a continuing |
11 | | basis; |
12 | | (6) the sole proprietor or partnership includes |
13 | | services rendered on a Federal Income Tax Schedule as an |
14 | | independent business or profession; |
15 | | (7) the sole proprietor or partnership performs |
16 | | services for the contractor under the sole |
17 | | proprietorship's or partnership's name; |
18 | | (8) when the services being provided require a license |
19 | | or permit, the sole proprietor or partnership obtains and |
20 | | pays for the license or permit in the sole |
21 | | proprietorship's or partnership's name; |
22 | | (9) the sole proprietor or partnership furnishes the |
23 | | tools and equipment necessary to provide the service; |
24 | | (10) if necessary, the sole proprietor or partnership |
25 | | hires its own employees without approval of the employer, |
26 | | pays the employees without reimbursement from the employer |
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1 | | and reports the employees' income to the Internal Revenue |
2 | | Service; |
3 | | (11) the employer does not represent the sole |
4 | | proprietorship or partnership as an employee of the |
5 | | employer to the public; and |
6 | | (12) the sole proprietor or partnership has the right |
7 | | to perform similar services for others on whatever basis |
8 | | and whenever it chooses. |
9 | | "Employ" includes to suffer or permit to work. |
10 | | "Employee" means a domestic worker. |
11 | | "Employer" means: any individual; partnership; |
12 | | association; corporation; limited liability company; business |
13 | | trust; employment and labor placement agency where wages are |
14 | | made directly or indirectly by the agency or business for work |
15 | | undertaken by employees under hire to a third party pursuant |
16 | | to a contract between the business or agency with the third |
17 | | party; the State of Illinois and local governments, or any |
18 | | political subdivision of the State or local government, or |
19 | | State or local government agency; for which one or more |
20 | | persons is gainfully employed, express or implied, whether |
21 | | lawfully or unlawfully employed, who employs a domestic worker |
22 | | or who exercises control over the domestic worker's wage, |
23 | | remuneration, or other compensation, hours of employment, |
24 | | place of employment, or working conditions, or whose agent or |
25 | | any other person or group of persons acting directly or |
26 | | indirectly in the interest of an employer in relation to the |
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1 | | employee exercises control over the domestic worker's wage, |
2 | | remuneration or other compensation, hours of employment, place |
3 | | of employment, or working conditions.
|
4 | | (Source: P.A. 99-758, eff. 1-1-17 .)
|
5 | | Section 995. No acceleration or delay. Where this Act |
6 | | makes changes in a statute that is represented in this Act by |
7 | | text that is not yet or no longer in effect (for example, a |
8 | | Section represented by multiple versions), the use of that |
9 | | text does not accelerate or delay the taking effect of (i) the |
10 | | changes made by this Act or (ii) provisions derived from any |
11 | | other Public Act.
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| | | SB1797 | - 757 - | LRB103 03433 AMQ 48439 b |
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| 1 | |
INDEX
| 2 | |
Statutes amended in order of appearance
| | 3 | | 5 ILCS 315/3 | from Ch. 48, par. 1603 | | 4 | | 5 ILCS 315/7 | from Ch. 48, par. 1607 | | 5 | | 20 ILCS 415/9 | from Ch. 127, par. 63b109 | | 6 | | 20 ILCS 505/5 | from Ch. 23, par. 5005 | | 7 | | 20 ILCS 505/5a | from Ch. 23, par. 5005a | | 8 | | 20 ILCS 505/5.15 | | | 9 | | 20 ILCS 505/21 | from Ch. 23, par. 5021 | | 10 | | 20 ILCS 505/22.1 | from Ch. 23, par. 5022.1 | | 11 | | 20 ILCS 505/22.4 | from Ch. 23, par. 5022.4 | | 12 | | 20 ILCS 605/605-1050 | | | 13 | | 20 ILCS 655/8 | from Ch. 67 1/2, par. 612 | | 14 | | 20 ILCS 1305/1-75 | | | 15 | | 20 ILCS 1305/10-22 | | | 16 | | 20 ILCS 1705/57.5 | | | 17 | | 20 ILCS 3501/840-5 | | | 18 | | 20 ILCS 3510/2 | from Ch. 111 1/2, par. 8102 | | 19 | | 30 ILCS 590/2 | from Ch. 127, par. 3002 | | 20 | | 30 ILCS 590/3 | from Ch. 127, par. 3003 | | 21 | | 30 ILCS 590/4 | from Ch. 127, par. 3004 | | 22 | | 30 ILCS 590/5 | from Ch. 127, par. 3005 | | 23 | | 35 ILCS 105/2c | from Ch. 120, par. 439.2c | | 24 | | 35 ILCS 115/2c | from Ch. 120, par. 439.102c | | 25 | | 35 ILCS 120/2h | from Ch. 120, par. 441h | |
| | | SB1797 | - 758 - | LRB103 03433 AMQ 48439 b |
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| 1 | | 50 ILCS 350/15 | | | 2 | | 55 ILCS 5/4-11001 | from Ch. 34, par. 4-11001 | | 3 | | 55 ILCS 5/5-1097.5 | | | 4 | | 60 ILCS 1/85-13 | | | 5 | | 65 ILCS 5/8-3-18 | | | 6 | | 65 ILCS 5/11-5-1.5 | | | 7 | | 65 ILCS 5/11-21.5-5 | | | 8 | | 65 ILCS 5/11-74.4-3 | from Ch. 24, par. 11-74.4-3 | | 9 | | 65 ILCS 5/11-80-15 | from Ch. 24, par. 11-80-15 | | 10 | | 65 ILCS 115/10-8 | | | 11 | | 105 ILCS 5/2-3.66 | from Ch. 122, par. 2-3.66 | | 12 | | 105 ILCS 5/10-22.18b | from Ch. 122, par. 10-22.18b | | 13 | | 105 ILCS 5/10-22.18c | from Ch. 122, par. 10-22.18c | | 14 | | 105 ILCS 5/34-18.4 | from Ch. 122, par. 34-18.4 | | 15 | | 105 ILCS 10/2 | from Ch. 122, par. 50-2 | | 16 | | 110 ILCS 305/1d | from Ch. 144, par. 22d | | 17 | | 110 ILCS 520/8b.1 | from Ch. 144, par. 658b.1 | | 18 | | 110 ILCS 660/5-95 | | | 19 | | 110 ILCS 665/10-95 | | | 20 | | 110 ILCS 670/15-95 | | | 21 | | 110 ILCS 675/20-95 | | | 22 | | 110 ILCS 680/25-95 | | | 23 | | 110 ILCS 685/30-95 | | | 24 | | 110 ILCS 690/35-95 | | | 25 | | 210 ILCS 3/35 | | | 26 | | 210 ILCS 46/1-114.001 | | |
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| 1 | | 210 ILCS 47/1-114.001 | | | 2 | | 210 ILCS 85/6.13 | from Ch. 111 1/2, par. 147.13 | | 3 | | 215 ILCS 5/155.31 | | | 4 | | 215 ILCS 5/1204 | from Ch. 73, par. 1065.904 | | 5 | | 215 ILCS 5/1630 | | | 6 | | 220 ILCS 5/8-103B | | | 7 | | 225 ILCS 10/2.09 | from Ch. 23, par. 2212.09 | | 8 | | 225 ILCS 10/2.11 | from Ch. 23, par. 2212.11 | | 9 | | 225 ILCS 10/2.18 | from Ch. 23, par. 2212.18 | | 10 | | 225 ILCS 10/2.20 | from Ch. 23, par. 2212.20 | | 11 | | 225 ILCS 10/3 | from Ch. 23, par. 2213 | | 12 | | 225 ILCS 10/4.5 | | | 13 | | 225 ILCS 10/5 | from Ch. 23, par. 2215 | | 14 | | 225 ILCS 10/5.1 | from Ch. 23, par. 2215.1 | | 15 | | 225 ILCS 10/5.3 | | | 16 | | 225 ILCS 10/5.5 | | | 17 | | 225 ILCS 10/5.6 | | | 18 | | 225 ILCS 10/5.8 | | | 19 | | 225 ILCS 10/5.9 | | | 20 | | 225 ILCS 10/5.10 | | | 21 | | 225 ILCS 10/5.11 | | | 22 | | 225 ILCS 10/6 | from Ch. 23, par. 2216 | | 23 | | 225 ILCS 10/7 | from Ch. 23, par. 2217 | | 24 | | 225 ILCS 10/7.10 | | | 25 | | 225 ILCS 10/9.1c | | | 26 | | 225 ILCS 10/9.2 | | |
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| 1 | | 225 ILCS 10/12 | from Ch. 23, par. 2222 | | 2 | | 225 ILCS 235/2 | from Ch. 111 1/2, par. 2202 | | 3 | | 225 ILCS 235/3.03 | from Ch. 111 1/2, par. 2203.03 | | 4 | | 225 ILCS 235/3.27 | | | 5 | | 225 ILCS 235/10.2 | from Ch. 111 1/2, par. 2210.2 | | 6 | | 225 ILCS 235/10.3 | | | 7 | | 225 ILCS 235/21.1 | from Ch. 111 1/2, par. 2221.1 | | 8 | | 235 ILCS 5/6-15 | from Ch. 43, par. 130 | | 9 | | 305 ILCS 5/5-19 | from Ch. 23, par. 5-19 | | 10 | | 305 ILCS 5/9-6 | from Ch. 23, par. 9-6 | | 11 | | 305 ILCS 5/9A-7 | from Ch. 23, par. 9A-7 | | 12 | | 305 ILCS 5/9A-11 | from Ch. 23, par. 9A-11 | | 13 | | 325 ILCS 5/2 | from Ch. 23, par. 2052 | | 14 | | 325 ILCS 5/4 | | | 15 | | 325 ILCS 5/8.2 | from Ch. 23, par. 2058.2 | | 16 | | 325 ILCS 50/5 | from Ch. 23, par. 2285 | | 17 | | 405 ILCS 5/1-111 | from Ch. 91 1/2, par. 1-111 | | 18 | | 410 ILCS 27/5 | | | 19 | | 410 ILCS 45/7.1 | from Ch. 111 1/2, par. 1307.1 | | 20 | | 410 ILCS 50/3.4 | | | 21 | | 410 ILCS 130/105 | | | 22 | | 410 ILCS 130/130 | | | 23 | | 410 ILCS 170/10 | | | 24 | | 410 ILCS 205/3 | from Ch. 23, par. 2333 | | 25 | | 410 ILCS 625/3.06 | | | 26 | | 415 ILCS 5/17.12 | | |
| | | SB1797 | - 761 - | LRB103 03433 AMQ 48439 b |
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| 1 | | 415 ILCS 65/2 | from Ch. 5, par. 852 | | 2 | | 415 ILCS 65/3 | from Ch. 5, par. 853 | | 3 | | 415 ILCS 65/6 | from Ch. 5, par. 856 | | 4 | | 425 ILCS 45/1002 | from Ch. 127 1/2, par. 951-2 | | 5 | | 425 ILCS 65/9 | from Ch. 127 1/2, par. 709 | | 6 | | 430 ILCS 68/5-20 | | | 7 | | 625 ILCS 5/6-205 | | | 8 | | 625 ILCS 5/6-206 | | | 9 | | 625 ILCS 5/12-707.01 | from Ch. 95 1/2, par. 12-707.01 | | 10 | | 720 ILCS 5/2-5.1 | | | 11 | | 720 ILCS 5/2-5.2 | | | 12 | | 720 ILCS 5/2-8.1 | | | 13 | | 720 ILCS 5/11-0.1 | | | 14 | | 720 ILCS 5/11-9.3 | | | 15 | | 720 ILCS 5/11-24 | | | 16 | | 720 ILCS 5/18-1 | from Ch. 38, par. 18-1 | | 17 | | 720 ILCS 5/19-1 | from Ch. 38, par. 19-1 | | 18 | | 720 ILCS 5/48-1 | was 720 ILCS 5/26-5 | | 19 | | 725 ILCS 5/112A-14.5 | | | 20 | | 725 ILCS 5/112A-14.7 | | | 21 | | 725 ILCS 5/112A-22 | from Ch. 38, par. 112A-22 | | 22 | | 725 ILCS 207/40 | | | 23 | | 730 ILCS 5/3-2.5-95 | | | 24 | | 730 ILCS 5/3-3-7 | from Ch. 38, par. 1003-3-7 | | 25 | | 730 ILCS 5/5-5-3.2 | | | 26 | | 740 ILCS 21/80 | | |
| | | SB1797 | - 762 - | LRB103 03433 AMQ 48439 b |
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