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Public Act 103-1039
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SB3740 Enrolled | LRB103 36856 RTM 66968 b |
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AN ACT concerning regulation.
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Be it enacted by the People of the State of Illinois, |
represented in the General Assembly:
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Section 5. The State Finance Act is amended by adding |
Section 5.1015 as follows:
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(30 ILCS 105/5.1015 new) |
Sec. 5.1015. The Real Estate Recovery Fund.
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Section 10. The Real Estate License Act of 2000 is amended |
by changing Sections 1-10, 5-20, 5-25, 5-28, 5-35, 5-45, 5-60, |
5-70, 10-10, 10-20, 15-35, 15-50, 20-20, 20-20.1, 20-50, |
20-82, 25-25, 25-30, 25-35, 30-5, 30-15, and 30-25 and by |
adding Sections 5-60.1 and 5-60.5 as follows:
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(225 ILCS 454/1-10) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 1-10. Definitions. In this Act, unless the context |
otherwise requires: |
"Act" means the Real Estate License Act of 2000. |
"Address of record" means the designated address recorded |
by the Department in the applicant's or licensee's application |
file or license file as maintained by the Department. |
"Agency" means a relationship in which a broker or |
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licensee, whether directly or through an affiliated licensee, |
represents a consumer by the consumer's consent, whether |
express or implied, in a real property transaction. |
"Applicant" means any person, as defined in this Section, |
who applies to the Department for a valid license as a managing |
broker, broker, or residential leasing agent. |
"Blind advertisement" means any real estate advertisement |
that is used by a licensee regarding the sale or lease of real |
estate, licensed activities, or the hiring of any licensee |
under this Act that does not include the sponsoring broker's |
complete business name or, in the case of electronic |
advertisements, does not provide a direct link to a display |
with all the required disclosures. The broker's business name |
in the case of a franchise shall include the franchise |
affiliation as well as the name of the individual firm. |
"Board" means the Real Estate Administration and |
Disciplinary Board of the Department as created by Section |
25-10 of this Act. |
"Broker" means an individual, entity, corporation, foreign |
or domestic partnership, limited liability company, registered |
limited liability partnership, or other business entity other |
than a residential leasing agent who, whether in person or |
through any media or technology, for another and for |
compensation, or with the intention or expectation of |
receiving compensation, either directly or indirectly: |
(1) Sells, exchanges, purchases, rents, or leases real |
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estate. |
(2) Offers to sell, exchange, purchase, rent, or lease |
real estate. |
(3) Negotiates, offers, attempts, or agrees to |
negotiate the sale, exchange, purchase, rental, or leasing |
of real estate. |
(4) Lists, offers, attempts, or agrees to list real |
estate for sale, rent, lease, or exchange. |
(5) Whether for another or themselves, engages in a |
pattern of business of buying, selling, offering to buy or |
sell, marketing for sale, exchanging, or otherwise dealing |
in contracts, including assignable contracts for the |
purchase or sale of, or options on real estate or |
improvements thereon. For purposes of this definition, an |
individual or entity will be found to have engaged in a |
pattern of business if the individual or entity by itself |
or with any combination of other individuals or entities, |
whether as partners or common owners in another entity, |
has engaged in one or more of these practices on 2 or more |
occasions in any 12-month period. |
(6) Supervises the collection, offer, attempt, or |
agreement to collect rent for the use of real estate. |
(7) Advertises or represents oneself as being engaged |
in the business of buying, selling, exchanging, renting, |
or leasing real estate. |
(8) Assists or directs in procuring or referring of |
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leads or prospects, intended to result in the sale, |
exchange, lease, or rental of real estate. |
(9) Assists or directs in the negotiation of any |
transaction intended to result in the sale, exchange, |
lease, or rental of real estate. |
(10) Opens real estate to the public for marketing |
purposes. |
(11) Sells, rents, leases, or offers for sale or lease |
real estate at auction. |
(12) Prepares or provides a broker price opinion or |
comparative market analysis as those terms are defined in |
this Act, pursuant to the provisions of Section 10-45 of |
this Act. |
"Brokerage agreement" means an a written or oral agreement |
between a sponsoring broker and a consumer for licensed |
activities, or the performance of future licensed activities, |
to be provided to a consumer in return for compensation or the |
right to receive compensation from another. Brokerage |
agreements may constitute either a bilateral or a unilateral |
agreement between the broker and the broker's client depending |
upon the content of the brokerage agreement. All exclusive |
brokerage agreements shall be in writing and may be exclusive |
or non-exclusive . |
"Broker price opinion" means an estimate or analysis of |
the probable selling price of a particular interest in real |
estate, which may provide a varying level of detail about the |
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property's condition, market, and neighborhood and information |
on comparable sales. The activities of a real estate broker or |
managing broker engaging in the ordinary course of business as |
a broker, as defined in this Section, shall not be considered a |
broker price opinion if no compensation is paid to the broker |
or managing broker, other than compensation based upon the |
sale or rental of real estate. A broker price opinion shall not |
be considered an appraisal within the meaning of the Real |
Estate Appraiser Licensing Act of 2002, any amendment to that |
Act, or any successor Act. |
"Client" means a person who is being represented by a |
licensee. |
"Comparative market analysis" means an analysis or opinion |
regarding pricing, marketing, or financial aspects relating to |
a specified interest or interests in real estate that may be |
based upon an analysis of comparative market data, the |
expertise of the real estate broker or managing broker, and |
such other factors as the broker or managing broker may deem |
appropriate in developing or preparing such analysis or |
opinion. The activities of a real estate broker or managing |
broker engaging in the ordinary course of business as a |
broker, as defined in this Section, shall not be considered a |
comparative market analysis if no compensation is paid to the |
broker or managing broker, other than compensation based upon |
the sale or rental of real estate. A comparative market |
analysis shall not be considered an appraisal within the |
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meaning of the Real Estate Appraiser Licensing Act of 2002, |
any amendment to that Act, or any successor Act. |
"Compensation" means the valuable consideration given by |
one person or entity to another person or entity in exchange |
for the performance of some activity or service. Compensation |
shall include the transfer of valuable consideration, |
including without limitation the following: |
(1) commissions; |
(2) referral fees; |
(3) bonuses; |
(4) prizes; |
(5) merchandise; |
(6) finder fees; |
(7) performance of services; |
(8) coupons or gift certificates; |
(9) discounts; |
(10) rebates; |
(11) a chance to win a raffle, drawing, lottery, or |
similar game of chance not prohibited by any other law or |
statute; |
(12) retainer fee; or |
(13) salary. |
"Confidential information" means information obtained by a |
licensee from a client during the term of a brokerage |
agreement that (i) was made confidential by the written |
request or written instruction of the client, (ii) deals with |
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the negotiating position of the client, or (iii) is |
information the disclosure of which could materially harm the |
negotiating position of the client, unless at any time: |
(1) the client permits the disclosure of information |
given by that client by word or conduct; |
(2) the disclosure is required by law; or |
(3) the information becomes public from a source other |
than the licensee. |
"Confidential information" shall not be considered to |
include material information about the physical condition of |
the property. |
"Consumer" means a person or entity seeking or receiving |
licensed activities. |
"Coordinator" means the Coordinator of Real Estate created |
in Section 25-15 of this Act. |
"Credit hour" means 50 minutes of instruction in course |
work that meets the requirements set forth in rules adopted by |
the Department. |
"Customer" means a consumer who is not being represented |
by the licensee. |
"Department" means the Department of Financial and |
Professional Regulation. |
"Designated agency" means a contractual relationship |
between a sponsoring broker and a client under Section 15-50 |
of this Act in which one or more licensees associated with or |
employed by the broker are designated as agent of the client. |
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"Designated agent" means a sponsored licensee named by a |
sponsoring broker as the legal agent of a client, as provided |
for in Section 15-50 of this Act. |
"Designated managing broker" means a managing broker who |
has supervisory responsibilities for licensees in one or, in |
the case of a multi-office company, more than one office and |
who has been appointed as such by the sponsoring broker |
registered with the Department. |
"Director" means the Director of Real Estate within the |
Department of Financial and Professional Regulation. |
"Dual agency" means an agency relationship in which a |
licensee is representing both buyer and seller or both |
landlord and tenant in the same transaction. When the agency |
relationship is a designated agency, the question of whether |
there is a dual agency shall be determined by the agency |
relationships of the designated agent of the parties and not |
of the sponsoring broker. |
"Education provider" means a school licensed by the |
Department offering courses in pre-license, post-license, or |
continuing education required by this Act. |
"Employee" or other derivative of the word "employee", |
when used to refer to, describe, or delineate the relationship |
between a sponsoring broker and a managing broker, broker, or |
a residential leasing agent, shall be construed to include an |
independent contractor relationship, provided that a written |
agreement exists that clearly establishes and states the |
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relationship. |
"Escrow moneys" means all moneys, promissory notes, or any |
other type or manner of legal tender or financial |
consideration deposited with any person for the benefit of the |
parties to the transaction. A transaction exists once an |
agreement has been reached and an accepted real estate |
contract signed or lease agreed to by the parties. "Escrow |
moneys" includes, without limitation, earnest moneys and |
security deposits, except those security deposits in which the |
person holding the security deposit is also the sole owner of |
the property being leased and for which the security deposit |
is being held. |
"Electronic means of proctoring" means a methodology |
providing assurance that the person taking a test and |
completing the answers to questions is the person seeking |
licensure or credit for continuing education and is doing so |
without the aid of a third party or other device. |
"Exclusive brokerage agreement" means a written brokerage |
agreement that provides that the sponsoring broker has the |
sole right, through one or more sponsored licensees, to act as |
the exclusive agent or representative of the client and that |
meets the requirements of Section 15-75 of this Act. |
"Inactive" means a status of licensure where the licensee |
holds a current license under this Act, but the licensee is |
prohibited from engaging in licensed activities because the |
licensee is unsponsored or the license of the sponsoring |
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broker with whom the licensee is associated or by whom the |
licensee is employed is currently expired, revoked, suspended, |
or otherwise rendered invalid under this Act. The license of |
any business entity that is not in good standing with the |
Illinois Secretary of State, or is not authorized to conduct |
business in Illinois, shall immediately become inactive and |
that entity shall be prohibited from engaging in any licensed |
activities. |
"Leads" means the name or names of a potential buyer, |
seller, lessor, lessee, or client of a licensee. |
"License" means the privilege conferred by the Department |
to a person that has fulfilled all requirements prerequisite |
to any type of licensure under this Act. |
"Licensed activities" means those activities listed in the |
definition of "broker" under this Section. |
"Licensee" means any person licensed under this Act. |
"Listing presentation" means any communication, written or |
oral and by any means or media, between a managing broker or |
broker and a consumer in which the licensee is attempting to |
secure a brokerage agreement with the consumer to market the |
consumer's real estate for sale or lease. |
"Managing broker" means a licensee who may be authorized |
to assume responsibilities as a designated managing broker for |
licensees in one or, in the case of a multi-office company, |
more than one office, upon appointment by the sponsoring |
broker and registration with the Department. A managing broker |
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may act as one's own sponsor. |
"Medium of advertising" means any method of communication |
intended to influence the general public to use or purchase a |
particular good or service or real estate, including, but not |
limited to, print, electronic, social media, and digital |
forums. |
"Non-exclusive brokerage agreement" means a written |
brokerage agreement that provides that the sponsoring broker |
has the non-exclusive right, through one or more sponsored |
licensees, to act as an agent or representative of the client |
for the performance of licensed activities and meets the |
requirements of Section 15-50 of this Act. |
"Office" means a broker's place of business where the |
general public is invited to transact business and where |
records may be maintained and licenses readily available, |
whether or not it is the broker's principal place of business. |
"Person" means and includes individuals, entities, |
corporations, limited liability companies, registered limited |
liability partnerships, foreign and domestic partnerships, and |
other business entities, except that when the context |
otherwise requires, the term may refer to a single individual |
or other described entity. |
"Proctor" means any person, including, but not limited to, |
an instructor, who has a written agreement to administer |
examinations fairly and impartially with a licensed education |
provider. |
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"Real estate" means and includes leaseholds as well as any |
other interest or estate in land, whether corporeal, |
incorporeal, freehold, or non-freehold and whether the real |
estate is situated in this State or elsewhere. "Real estate" |
does not include property sold, exchanged, or leased as a |
timeshare or similar vacation item or interest, vacation club |
membership, or other activity formerly regulated under the |
Real Estate Timeshare Act of 1999 (repealed). |
"Regular employee" means a person working an average of 20 |
hours per week for a person or entity who would be considered |
as an employee under the Internal Revenue Service rules for |
classifying workers. |
"Renewal period" means the period beginning 90 days prior |
to the expiration date of a license. |
"Residential leasing agent" means a person who is employed |
by a broker to engage in licensed activities limited to |
leasing residential real estate who has obtained a license as |
provided for in Section 5-5 of this Act. |
"Secretary" means the Secretary of the Department of |
Financial and Professional Regulation, or a person authorized |
by the Secretary to act in the Secretary's stead. |
"Sponsoring broker" means the broker who certifies to the |
Department the broker's sponsorship of a licensed managing |
broker, broker, or a residential leasing agent. |
"Sponsorship" means that a sponsoring broker has certified |
to the Department that a managing broker, broker, or |
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residential leasing agent is employed by or associated by |
written agreement with the sponsoring broker and the |
Department has registered the sponsorship, as provided for in |
Section 5-40 of this Act. |
"Team" means any 2 or more licensees who work together to |
provide real estate brokerage services, represent themselves |
to the public as being part of a team or group, are identified |
by a team name that is different than their sponsoring |
broker's name, and together are supervised by the same |
managing broker and sponsored by the same sponsoring broker. |
"Team" does not mean a separately organized, incorporated, or |
legal entity. |
(Source: P.A. 102-970, eff. 5-27-22; 103-236, eff. 1-1-24 .)
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(225 ILCS 454/5-20) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-20. Exemptions from managing broker, broker, or |
residential leasing agent license requirement; Department |
exemption from education provider and related licenses. The |
requirement for holding a license under this Article 5 shall |
not apply to: |
(1) Any person, as defined in Section 1-10, who: (A) |
is the that as owner or lessor of real property who |
performs any of the acts described in the definition of |
"broker" under Section 1-10 of this Act only as it relates |
to the owned or leased property; or (B) is with reference |
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to property owned or leased by it, or to the regular |
employee who, in the course of the employee's duties and |
incidental to employees thereof with respect to the |
property so owned or leased, where such acts are performed |
in the regular course of or as an incident to the |
management, sale, or other disposition of such property |
and the investment of the owned or leased property |
performs therein, if such regular employees do not perform |
any of the acts described in the definition of "broker" |
under Section 1-10 of this Act in connection with a |
vocation of selling or leasing any real estate or the |
improvements thereon not so owned or leased . The exemption |
in this item (1) does not apply to the person, the person's |
employees, or the person's agents performing licensed |
activity for property not owned or leased by that person. |
(2) An attorney in fact acting under a duly executed |
and recorded power of attorney to convey real estate from |
the owner or lessor or the services rendered by an |
attorney at law in the performance of the attorney's duty |
as an attorney at law. |
(3) Any person acting as receiver, trustee in |
bankruptcy, administrator, executor, or guardian or while |
acting under a court order or under the authority of a will |
or testamentary trust. |
(4) Any person acting as a resident manager for the |
owner or any employee acting as the resident manager for a |
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broker managing an apartment building, duplex, or |
apartment complex, when the resident manager resides on |
the premises, the premises is the primary residence of the |
resident manager, and the resident manager is engaged in |
the leasing of that property. |
(5) Any officer or employee of a federal agency in the |
conduct of official duties. |
(6) Any officer or employee of the State government or |
any political subdivision thereof performing official |
duties. |
(7) Any multiple listing service or other similar |
information exchange that is engaged in the collection and |
dissemination of information concerning real estate |
available for sale, purchase, lease, or exchange for the |
purpose of providing licensees with a system by which |
licensees may cooperatively share information along with |
which no other licensed activities, as defined in Section |
1-10 of this Act, are provided. |
(8) Railroads and other public utilities regulated by |
the State of Illinois, or the officers or full-time |
employees thereof, unless the performance of any licensed |
activities is in connection with the sale, purchase, |
lease, or other disposition of real estate or investment |
therein that does not require the approval of the |
appropriate State regulatory authority. |
(9) Any medium of advertising in the routine course of |
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selling or publishing advertising along with which no |
other licensed activities, as defined in Section 1-10 of |
this Act, are provided. |
(10) Any resident lessee of a residential dwelling |
unit who refers for compensation to the owner of the |
dwelling unit, or to the owner's agent, prospective |
lessees of dwelling units in the same building or complex |
as the resident lessee's unit, but only if the resident |
lessee (i) refers no more than 3 prospective lessees in |
any 12-month period, (ii) receives compensation of no more |
than $5,000 or the equivalent of 2 months' rent, whichever |
is less, in any 12-month period, and (iii) limits |
activities to referring prospective lessees to the owner, |
or the owner's agent, and does not show a residential |
dwelling unit to a prospective lessee, discuss terms or |
conditions of leasing a dwelling unit with a prospective |
lessee, or otherwise participate in the negotiation of the |
leasing of a dwelling unit. |
(11) The purchase, sale, or transfer of a timeshare or |
similar vacation item or interest, vacation club |
membership, or other activity formerly regulated under the |
Real Estate Timeshare Act of 1999 (repealed). |
(12) (Blank). |
(13) Any person who is licensed without examination |
under Section 10-25 (now repealed) of the Auction License |
Act is exempt from holding a managing broker's or broker's |
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license under this Act for the limited purpose of selling |
or leasing real estate at auction, so long as: |
(A) that person has made application for said |
exemption by July 1, 2000; |
(B) that person verifies to the Department that |
the person has sold real estate at auction for a period |
of 5 years prior to licensure as an auctioneer; |
(C) the person has had no lapse in the licensure as |
an auctioneer; and |
(D) the license issued under the Auction License |
Act has not been disciplined for violation of those |
provisions of Article 20 of the Auction License Act |
dealing with or related to the sale or lease of real |
estate at auction. |
(14) A person who holds a valid license under the |
Auction License Act and a valid real estate auction |
certification and conducts auctions for the sale of real |
estate under Section 5-32 of this Act. |
(15) A hotel operator who is registered with the |
Illinois Department of Revenue and pays taxes under the |
Hotel Operators' Occupation Tax Act and rents a room or |
rooms in a hotel as defined in the Hotel Operators' |
Occupation Tax Act for a period of not more than 30 |
consecutive days and not more than 60 days in a calendar |
year or a person who participates in an online marketplace |
enabling persons to rent out all or part of the person's |
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owned residence. |
(16) Notwithstanding any provisions to the contrary, |
the Department and its employees shall be exempt from |
education, course provider, instructor, and course license |
requirements and fees while acting in an official capacity |
on behalf of the Department. Courses offered by the |
Department shall be eligible for continuing education |
credit. |
(Source: P.A. 103-236, eff. 1-1-24 .)
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(225 ILCS 454/5-25) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-25. Good moral character. |
(a) When an applicant has had a license revoked on a prior |
occasion or when an applicant is found to have committed any of |
the practices enumerated in Section 20-20 of this Act or when |
an applicant has been convicted of or enters a plea of guilty |
or nolo contendere to forgery, embezzlement, obtaining money |
under false pretenses, larceny, extortion, conspiracy to |
defraud, or any other similar offense or offenses or has been |
convicted of a felony involving moral turpitude in any court |
of competent jurisdiction in this or any other state, |
district, or territory of the United States or of a foreign |
country, the Department Board may consider the prior |
revocation, conduct, or conviction in its determination of the |
applicant's moral character and whether to grant the applicant |
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a license. |
(b) In its consideration of the prior revocation, conduct, |
or conviction, the Department Board shall take into account |
the nature of the conduct, any aggravating or extenuating |
circumstances, the time elapsed since the revocation, conduct, |
or conviction, the rehabilitation or restitution performed by |
the applicant, mitigating factors, and any other factors that |
the Department Board deems relevant, including, but not |
limited to: |
(1) the lack of direct relation of the offense for |
which the applicant was previously convicted to the |
duties, functions, and responsibilities of the position |
for which a license is sought; |
(2) unless otherwise specified, whether 5 years since |
a felony conviction or 3 years since release from |
confinement for the conviction, whichever is later, have |
passed without a subsequent conviction; |
(3) if the applicant was previously licensed or |
employed in this State or other states or jurisdictions, |
the lack of prior misconduct arising from or related to |
the licensed position or position of employment; |
(4) the age of the person at the time of the criminal |
offense; |
(5) if, due to the applicant's criminal conviction |
history, the applicant would be explicitly prohibited by |
federal rules or regulations from working in the position |
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for which a license is sought; |
(6) successful completion of sentence and, for |
applicants serving a term of parole or probation, a |
progress report provided by the applicant's probation or |
parole officer that documents the applicant's compliance |
with conditions of supervision; |
(7) evidence of the applicant's present fitness and |
professional character; |
(8) evidence of rehabilitation or rehabilitative |
effort during or after incarceration, or during or after a |
term of supervision, including, but not limited to, a |
certificate of good conduct under Section 5-5.5-25 of the |
Unified Code of Corrections or a certificate of relief |
from disabilities under Section 5-5.5-10 of the Unified |
Code of Corrections; and |
(9) any other mitigating factors that contribute to |
the person's potential and current ability to perform the |
job duties. |
(c) The Department shall not require applicants to report |
the following information and shall not consider the following |
criminal history records in connection with an application for |
licensure or registration: |
(1) juvenile adjudications of delinquent minors as |
defined in Section 5-105 of the Juvenile Court Act of 1987 |
subject to the restrictions set forth in Section 5-130 of |
that Act; |
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(2) law enforcement records, court records, and |
conviction records of an individual who was 17 years old |
at the time of the offense and before January 1, 2014, |
unless the nature of the offense required the individual |
to be tried as an adult; |
(3) records of arrests not followed by a charge or |
conviction; |
(4) records of arrests where the charges were |
dismissed unless related to the practice of the |
profession; however, applicants shall not be asked to |
report any arrests, and an arrest not followed by a |
conviction shall not be the basis of a denial and may be |
used only to assess an applicant's rehabilitation; |
(5) convictions overturned by a higher court; or |
(6) convictions or arrests that have been sealed or |
expunged. |
(d) If an applicant makes a false statement of material |
fact on the application, the false statement may in itself be |
sufficient grounds to revoke or refuse to issue a license. |
(e) A licensee shall report to the Department, in a manner |
prescribed by the Department and within 30 days after the |
occurrence of: (1) any conviction of or plea of guilty, or nolo |
contendere to forgery, embezzlement, obtaining money under |
false pretenses, larceny, extortion, conspiracy to defraud, or |
any similar offense or offenses or any conviction of a felony |
involving moral turpitude; (2) the entry of an administrative |
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sanction by a government agency in this State or any other |
jurisdiction that has as an essential element of dishonesty or |
fraud or involves larceny, embezzlement, or obtaining money, |
property, or credit by false pretenses; or (3) any conviction |
of or plea of guilty or nolo contendere to a crime that |
subjects the licensee to compliance with the requirements of |
the Sex Offender Registration Act. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
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(225 ILCS 454/5-28) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-28. Requirements for licensure as a managing |
broker. |
(a) Every applicant for licensure as a managing broker |
must meet the following qualifications: |
(1) be at least 20 years of age; |
(2) be of good moral character; |
(3) have been licensed at least 2 consecutive years |
out of the preceding 3 years as a broker; |
(4) successfully complete a 4-year course of study in |
high school or secondary school approved by the state in |
which the school is located, or a State of Illinois High |
School Diploma, which shall be verified under oath by the |
applicant; |
(5) provide satisfactory evidence of having completed |
at least 165 hours, 120 of which shall be those hours |
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required pre-licensure and post-licensure to obtain a |
broker's license, and 45 additional hours completed within |
the year immediately preceding the filing of an |
application for a managing broker's license, which hours |
shall focus on brokerage administration and management and |
residential leasing agent management and include at least |
15 hours in the classroom or by live, interactive webinar |
or online distance education courses; |
(6) personally take and pass a written examination on |
Illinois specific real estate brokerage laws authorized by |
the Department; and |
(7) submit a valid application for issuance of a |
license accompanied by the fees specified by rule. |
(b) The requirements specified in item (5) of subsection |
(a) of this Section do not apply to applicants who are |
currently admitted to practice law by the Supreme Court of |
Illinois and are currently in active standing. |
(Source: P.A. 101-357, eff. 8-9-19; 102-1100, eff. 1-1-23 .)
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(225 ILCS 454/5-35) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-35. Examination; managing broker, broker, or |
residential leasing agent. |
(a) The Department shall authorize examinations at such |
times and places as it may designate. The examination shall be |
of a character to give a fair test of the qualifications of the |
|
applicant to practice as a managing broker, broker, or |
residential leasing agent. Applicants for examination as a |
managing broker, broker, or residential leasing agent shall be |
required to pay, either to the Department or the designated |
testing service, a fee covering the cost of providing the |
examination. Failure to appear for the examination on the |
scheduled date, at the time and place specified, after the |
applicant's application for examination has been received and |
acknowledged by the Department or its designated testing |
service, shall result in the forfeiture of the examination |
fee. An applicant shall be eligible to take the examination |
only after successfully completing the education requirements |
and attaining the minimum age provided for in Article 5 of this |
Act. Approved pre-license education, as prescribed by this Act |
for licensure as a managing broker, broker, or residential |
leasing agent, shall be valid for 2 years after the date of |
satisfactory completion of all required pre-license education. |
Each applicant shall be required to establish compliance with |
the eligibility requirements in the manner provided by the |
rules promulgated for the administration of this Act. |
(b) If a person who has received a passing score on the |
written examination described in this Section fails to submit |
an application and meet all requirements for a license under |
this Act within one year after receiving a passing score on the |
examination, credit for the examination shall terminate. The |
person thereafter may make a new application for examination. |
|
(c) If an applicant has failed an examination 4 |
consecutive times, the applicant must repeat the pre-license |
education required to sit for that examination. For the |
purposes of this Section, the fifth attempt shall be the same |
as the first , and the applicant must complete a new |
application for examination . Approved education, as prescribed |
by this Act for licensure as a managing broker, broker, or |
residential leasing agent, shall be valid for 2 years after |
the date of satisfactory completion of the education. |
(d) The Department may employ consultants for the purposes |
of preparing and conducting examinations. |
(e) Each applicant shall establish the applicant's |
compliance with the eligibility requirements in the manner |
provided by the rules adopted for the administration of this |
Act. |
(Source: P.A. 101-357, eff. 8-9-19.)
|
(225 ILCS 454/5-45) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-45. Offices. |
(a) If a sponsoring broker maintains more than one office |
within the State, the sponsoring broker shall notify the |
Department in a manner prescribed by the Department for each |
office other than the sponsoring broker's principal place of |
business. The brokerage license shall be displayed |
conspicuously in each office. The name of each branch office |
|
shall be the same as that of the sponsoring broker's principal |
office or shall clearly delineate the office's relationship |
with the principal office. |
(b) The sponsoring broker shall name a designated managing |
broker for each office and the sponsoring broker shall be |
responsible for supervising all designated managing brokers. |
The sponsoring broker shall notify the Department in a manner |
prescribed by the Department of the name of all designated |
managing brokers of the sponsoring broker and the office or |
offices they manage. Any changes in designated managing |
brokers shall be reported to the Department in a manner |
prescribed by the Department within 15 days of the change. |
Failure to do so shall subject the sponsoring broker to |
discipline under Section 20-20 of this Act. |
(c) The sponsoring broker shall, within 24 hours, notify |
the Department in a manner prescribed by the Department of any |
opening, closing, or change in location of any office. |
(d) Except as provided in this Section, each sponsoring |
broker shall maintain an office, or place of business within |
this State for the transaction of real estate business, shall |
conspicuously display an identification sign on the outside of |
the physical office of adequate size and visibility. Any |
record required by this Act to be created or maintained shall |
be, in the case of a physical record, securely stored and |
accessible for inspection by the Department at the sponsoring |
broker's principal office and, in the case of an electronic |
|
record, securely stored in the format in which it was |
originally generated, sent, or received and accessible for |
inspection by the Department by secure electronic access to |
the record. Any record relating to a transaction of a special |
account shall be maintained for a minimum of 5 years, and any |
electronic record shall be backed up at least monthly. The |
physical office or place of business shall not be located in |
any retail or financial business establishment unless it is |
clearly separated from the other business and is situated |
within a distinct area within the establishment. |
(e) A nonresident broker who is licensed in this State by |
examination or pursuant to the provisions of Section 5-60 or |
5-60.5 of this Act shall not be required to maintain a definite |
office or place of business in this State so long as the broker |
provided all of the following conditions are met : |
(1) the broker maintains an active broker's license in |
the broker's other state of licensure domicile ; |
(2) the broker maintains an office in the broker's |
other state of licensure domicile ; and |
(3) files the broker has filed with the Department |
written statements appointing the Secretary to act as the |
broker's agent upon whom all judicial and other process or |
legal notices directed to the licensee may be served and |
agreeing to abide by all of the provisions of this Act with |
respect to the broker's real estate activities within the |
State of Illinois and submitting to the jurisdiction of |
|
the Department. |
The statements under subdivision (3) of this Section shall |
be in form and substance the same as those statements required |
under Section 5-60 of this Act and shall operate to the same |
extent. |
(f) The Department may adopt rules to regulate the |
operation of virtual offices that do not have a fixed |
location. A broker who qualifies under subsection (e) of this |
Section may also operate a virtual office in the State subject |
to all requirements of this Act and the rules adopted under |
this Act. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
|
(225 ILCS 454/5-60) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-60. Managing broker licensed in another state; |
broker licensed in another state; reciprocal agreements; agent |
for service of process. |
(a) A managing broker's license may be issued by the |
Department to a managing broker or its equivalent licensed |
under the laws of another state of the United States, under the |
following conditions: |
(1) the managing broker holds a managing broker's |
license in a state that has entered into a reciprocal |
agreement with the Department; |
(2) the standards for that state for licensing as a |
|
managing broker are substantially equal to or greater than |
the minimum standards in the State of Illinois; |
(3) the managing broker has been actively practicing |
as a managing broker in the managing broker's state of |
licensure for a period of not less than 2 years, |
immediately prior to the date of application; |
(4) the managing broker furnishes the Department with |
a statement under seal of the proper licensing authority |
of the state in which the managing broker is licensed |
showing that the managing broker has an active managing |
broker's license, that the managing broker is in good |
standing, and any disciplinary action taken against the |
managing broker in that state; |
(5) the managing broker passes a test on Illinois |
specific real estate brokerage laws; and |
(6) the managing broker was licensed by an examination |
in the state that has entered into a reciprocal agreement |
with the Department. |
(b) A broker's license may be issued by the Department to a |
broker or its equivalent licensed under the laws of another |
state of the United States, under the following conditions: |
(1) the broker holds a broker's license in a state |
that has entered into a reciprocal agreement with the |
Department; |
(2) the standards for that state for licensing as a |
broker are substantially equivalent to or greater than the |
|
minimum standards in the State of Illinois; |
(3) (blank); |
(4) the broker furnishes the Department with a |
statement under seal of the proper licensing authority of |
the state in which the broker is licensed showing that the |
broker has an active broker's license, that the broker is |
in good standing, and any disciplinary action taken |
against the broker in that state; |
(5) the broker passes a test on Illinois specific real |
estate brokerage laws; and |
(6) the broker was licensed by an examination in a |
state that has entered into a reciprocal agreement with |
the Department. |
(c) (Blank). |
(d) As a condition precedent to the issuance of a license |
to a managing broker or broker pursuant to this Section, the |
managing broker or broker shall agree in writing to abide by |
all the provisions of this Act with respect to real estate |
activities within the State of Illinois and submit to the |
jurisdiction of the Department as provided in this Act. The |
agreement shall be filed with the Department and shall remain |
in force for so long as the managing broker or broker is |
licensed by this State and thereafter with respect to acts or |
omissions committed while licensed as a managing broker or |
broker in this State. |
(e) The Prior to the issuance of any license to any |
|
managing broker or broker pursuant to this Section, |
verification of active licensure issued for the conduct of |
such business in any other state must be filed with the |
Department by the managing broker or broker, and the same fees |
must be paid as provided in this Act for the obtaining of a |
managing broker's or broker's license in this State. |
(f) Licenses previously granted under reciprocal |
agreements with other states shall remain in force so long as |
the Department has a reciprocal agreement with the state that |
includes the requirements of this Section, unless that license |
is suspended, revoked, or terminated by the Department for any |
reason provided for suspension, revocation, or termination of |
a resident licensee's license. Licenses granted under |
reciprocal agreements may be renewed in the same manner as a |
resident's license. |
(g) Prior to the issuance of a license to a nonresident |
managing broker or broker, the managing broker or broker shall |
file with the Department, in a manner prescribed by the |
Department, a designation in writing that appoints the |
Secretary to act as agent upon whom all judicial and other |
process or legal notices directed to the managing broker or |
broker may be served. Service upon the agent so designated |
shall be equivalent to personal service upon the licensee. |
Copies of the appointment, certified by the Secretary, shall |
be deemed sufficient evidence thereof and shall be admitted in |
evidence with the same force and effect as the original |
|
thereof might be admitted. In the written designation, the |
managing broker or broker shall agree that any lawful process |
against the licensee that is served upon the agent shall be of |
the same legal force and validity as if served upon the |
licensee and that the authority shall continue in force so |
long as any liability remains outstanding in this State. Upon |
the receipt of any process or notice, the Secretary shall |
forthwith deliver a copy of the same by regular mail or email |
to the last known business address or email address of the |
licensee. |
(h) (Blank). Any person holding a valid license under this |
Section shall be eligible to obtain a managing broker's |
license or a broker's license without examination should that |
person change their state of domicile to Illinois and that |
person otherwise meets the qualifications for licensure under |
this Act. |
(i) This Section is repealed on January 1, 2026. |
(Source: P.A. 103-236, eff. 1-1-24 .)
|
(225 ILCS 454/5-60.1 new) |
Sec. 5-60.1. Applications for licensure based upon |
reciprocal agreements. On and after January 1, 2026 (the |
repeal date of Section 5-60), applications for licensure based |
upon reciprocal agreements shall not be accepted. Licenses |
granted under reciprocal agreements prior to January 1, 2026 |
shall remain in force and may be renewed in the same manner as |
|
provided for a broker or managing broker license under Section |
5-50 of this Act and by rule.
|
(225 ILCS 454/5-60.5 new) |
Sec. 5-60.5. Managing broker licensed in another state; |
broker licensed in another state; endorsement requirements; |
agent for service of process. |
(a) A managing broker's license may be issued by the |
Department to a managing broker or its equivalent licensed |
under the laws of another state or jurisdiction of the United |
States under the following conditions: |
(1) the managing broker holds an active managing |
broker's license or its equivalent in another state or |
jurisdiction; |
(2) the managing broker has been actively practicing |
as a managing broker or its license equivalent in the |
managing broker's state or jurisdiction of licensure for a |
period of not less than 2 years immediately prior to the |
date of application; |
(3) the managing broker furnishes the Department with |
an official statement from the proper licensing authority |
of each state or jurisdiction in which the managing broker |
is licensed certifying (i) that the managing broker has an |
active license, (ii) that the managing broker is in good |
standing, and (iii) any history of discipline against the |
managing broker in that state or jurisdiction of |
|
licensure; |
(4) the managing broker passes a test on Illinois |
specific real estate brokerage laws; and |
(5) the managing broker provides proof of successful |
completion of a pre-license endorsement course approved by |
the Department. |
(b) A broker's license may be issued by the Department to a |
broker or its equivalent licensed under the laws of another |
state or jurisdiction of the United States under the following |
conditions: |
(1) the broker holds an active broker's license or its |
equivalent in another state or jurisdiction; |
(2) the broker furnishes the Department with an |
official statement from the proper licensing authority of |
each state or jurisdiction in which the broker is licensed |
certifying (i) whether the broker has an active license, |
(ii) that the broker is in good standing, and (iii) any |
history of discipline against the broker in that state or |
jurisdiction of licensure; |
(3) the broker passes a test on Illinois specific real |
estate brokerage laws; |
(4) the broker provides proof of successful completion |
of a pre-license endorsement course approved by the |
Department; and |
(5) if the broker has been actively practicing as a |
broker or its license equivalent in any other state or |
|
jurisdiction for less than 2 years immediately prior to |
the date of application, the broker must complete the 45 |
hours of post-license broker education prescribed in this |
Act and by rule. |
(c) As a condition precedent to the issuance of a license |
to a managing broker or broker pursuant to this Section, the |
managing broker or broker shall agree to abide by all the |
provisions of this Act with respect to managing broker's or |
broker's real estate activities within the State of Illinois |
and submit to the jurisdiction of the Department as provided |
in this Act. The agreement shall remain in force for so long as |
the managing broker or broker is licensed by this State and |
thereafter with respect to acts or omissions committed while |
licensed in this State. |
(d) Prior to the issuance of a license to a nonresident |
managing broker or broker, the managing broker or broker shall |
file with the Department a designation in writing that |
appoints the Secretary to act as the managing broker's or |
broker's agent upon whom all judicial and other process or |
legal notices directed to the managing broker or broker may be |
served. Service upon the Secretary shall be equivalent to |
personal service upon the licensee. Copies of the appointment, |
certified by the Secretary, shall be deemed sufficient |
evidence and shall be admitted into evidence with the same |
force and effect as if the original is admitted. |
(e) The same fees must be paid as provided in this Act for |
|
obtaining a managing broker's or broker's license in this |
State. |
(f) In the written designation, the managing broker or |
broker shall agree that any lawful process against the |
licensee that is served upon the agent shall be of the same |
legal force and validity as if served upon the licensee and |
that the authority shall continue in force so long as any |
liability remains outstanding in this State. Upon the receipt |
of any process or notice, the Secretary shall deliver a copy of |
the same by regular mail or email to the mailing address or |
email address of record of the licensee.
|
(225 ILCS 454/5-70) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 5-70. Continuing education requirement; managing |
broker or broker. |
(a) The requirements of this Section apply to all managing |
brokers and brokers. |
(b) Except as otherwise provided in this Section, each |
person who applies for renewal of a license as a managing |
broker or broker must successfully complete 12 hours of real |
estate continuing education courses recommended by the Board |
and approved by the Department during the current term of the |
license. In addition, those licensees renewing or obtaining a |
managing broker's license must successfully complete a 12-hour |
broker management continuing education course approved by the |
|
Department during the current term of the license. The broker |
management continuing education course must be completed in |
the classroom , or through a live, interactive webinar , or in |
an online distance education format. No license may be renewed |
except upon the successful completion of the required courses |
or their equivalent or upon a waiver of those requirements for |
good cause shown as determined by the Secretary upon the |
recommendation of the Board. The requirements of this Article |
are applicable to all managing brokers and brokers except |
those managing brokers and brokers who, during the current |
term of licensure: |
(1) serve in the armed services of the United States; |
(2) serve as an elected State or federal official; |
(3) serve as a full-time employee of the Department; |
or |
(4) are admitted to practice law pursuant to Illinois |
Supreme Court rule. |
(c) (Blank). |
(d) A person receiving an initial license during the 90 |
days before the renewal date shall not be required to complete |
the continuing education courses provided for in subsection |
(b) of this Section as a condition of initial license renewal. |
(e) The continuing education requirement for brokers and |
managing brokers shall consist of a single core curriculum , |
which must include at least 2 credit hours of fair housing |
training, and an elective curriculum, to be recommended by the |
|
Board and approved by the Department in accordance with this |
subsection. With the exception of the fair housing training, |
the The core curriculum shall not be further divided into |
subcategories or divisions of instruction. The core curriculum |
shall consist of 6 total 4 hours during the current term of the |
license on subjects that may include, but are not limited to, |
advertising, agency, disclosures, escrow, fair housing, |
residential leasing agent management, and license law , and |
must include at least 2 credit hours of fair housing training . |
The amount of time allotted to each of the remaining these |
subjects shall be recommended by the Board and determined by |
the Department. |
The Department, upon the recommendation of the Board, |
shall review the core curriculum every 4 years, at a minimum, |
and shall revise the curriculum if necessary. However, the |
core curriculum's total hourly requirement shall only be |
subject to change by amendment of this subsection, and any |
change to the core curriculum shall not be effective for a |
period of 6 months after such change is made by the Department. |
The Department shall provide notice to all approved education |
providers of any changes to the core curriculum. When |
determining whether revisions of the core curriculum's |
subjects or specific time requirements are necessary, the |
Board shall consider recent changes in applicable laws, new |
laws, and areas of the license law and the Department policy |
that the Board deems appropriate, and any other subject areas |
|
the Board deems timely and applicable in order to prevent |
violations of this Act and to protect the public. In |
establishing a recommendation to the Department regarding the |
elective curriculum, the Board shall consider subjects that |
cover the various aspects of the practice of real estate that |
are covered under the scope of this Act. |
(f) The subject areas of continuing education courses |
recommended by the Board and approved by the Department shall |
be meant to protect the professionalism of the industry, the |
consumer, and the public and prevent violations of this Act |
and may include , without limitation , the following: |
(1) license law and escrow; |
(2) antitrust; |
(3) fair housing; |
(4) agency; |
(5) appraisal; |
(6) property management; |
(7) residential brokerage; |
(8) farm property management; |
(9) transaction management rights and duties of |
parties in a transaction; |
(10) commercial brokerage and leasing; |
(11) real estate financing; |
(12) disclosures; |
(13) residential leasing agent management; |
(14) advertising; |
|
(15) broker supervision and designated managing broker |
responsibility; |
(16) professional conduct; and |
(17) use of technology ; and . |
(18) diversity, equity, and inclusion. |
(g) In lieu of credit for those courses listed in |
subsection (f) of this Section, credit may be earned for |
serving as a licensed instructor in an approved course of |
continuing education. The amount of credit earned for teaching |
a course shall be the amount of continuing education credit |
for which the course is approved for licensees taking the |
course. |
(h) Credit hours may be earned for self-study programs |
approved by the Department. |
(i) A managing broker or broker may earn credit for a |
specific continuing education course only once during the |
current term of the license. |
(j) No more than 12 hours of continuing education credit |
may be taken in one calendar day. |
(k) To promote the offering of a uniform and consistent |
course content, the Department may provide for the development |
of a single broker management course to be offered by all |
education providers who choose to offer the broker management |
continuing education course. The Department may contract for |
the development of the 12-hour broker management continuing |
education course with an outside vendor or consultant and, if |
|
the course is developed in this manner, the Department or the |
outside consultant shall license the use of that course to all |
approved education providers who wish to provide the course. |
(l) Except as specifically provided in this Act, |
continuing education credit hours may not be earned for |
completion of pre-license or post-license courses. The courses |
comprising the approved 45-hour post-license curriculum for |
broker licensees shall satisfy the continuing education |
requirement for the initial broker license term. The approved |
45-hour managing broker pre-license brokerage administration |
and management course shall satisfy the 12-hour broker |
management continuing education requirement for the initial |
managing broker license term. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
|
(225 ILCS 454/10-10) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 10-10. Disclosure of compensation. |
(a) A licensee must disclose to a client the sponsoring |
broker's compensation and policy , including the terms of |
compensation and any amounts offered with regard to |
cooperating with brokers who represent other parties in a |
transaction. |
(b) A licensee must disclose to a client all sources of |
compensation related to the transaction received by the |
licensee from a third party. |
|
(c) If a licensee refers a client to a third party in which |
the licensee has greater than a 1% ownership interest or from |
which the licensee receives or may receive dividends or other |
profit sharing distributions, other than a publicly held or |
traded company, for the purpose of the client obtaining |
services related to the transaction, then the licensee shall |
disclose that fact to the client at the time of making the |
referral. |
(d) If in any one transaction a sponsoring broker receives |
compensation from both the buyer and seller or lessee and |
lessor of real estate, the sponsoring broker shall disclose in |
writing to a client the fact that the compensation is being |
paid by both buyer and seller or lessee and lessor. |
(e) Nothing in the Act shall prohibit the cooperation with |
or a payment of compensation to an individual domiciled in any |
other state or country who is licensed as a broker in that |
individual's his or her state or country of domicile or to a |
resident of a country that does not require a person to be |
licensed to act as a broker if the person complies with the |
laws of the country in which that person resides and practices |
there as a broker. |
(Source: P.A. 101-357, eff. 8-9-19.)
|
(225 ILCS 454/10-20) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 10-20. Sponsoring broker; employment agreement. |
|
(a) A licensee may perform activities as a licensee only |
for the licensee's his or her sponsoring broker. A licensee |
must have only one sponsoring broker at any one time. |
(b) Every broker who employs licensees or has an |
independent contractor relationship with a licensee shall have |
a written employment or independent contractor agreement with |
each such licensee. The broker having this written employment |
or independent contractor agreement with the licensee must be |
that licensee's sponsoring broker. |
(c) Every sponsoring broker must have a written employment |
or independent contractor agreement with each licensee the |
broker sponsors. The agreement shall address the employment or |
independent contractor relationship terms, including without |
limitation supervision, duties, compensation, and termination |
process. |
(d) (Blank). |
(d-5) If a written agreement provides for an independent |
contractor relationship that clearly states and establishes |
that relationship, the specific provisions of this Act shall |
control for licensee's conduct of brokerage activities. |
(e) Notwithstanding the fact that a sponsoring broker has |
an employment or independent contractor agreement with a |
licensee, a sponsoring broker may pay compensation directly to |
a business entity solely owned by that licensee that has been |
formed for the purpose of receiving compensation earned by the |
licensee. A business entity that receives compensation from a |
|
sponsoring broker as provided for in this subsection (e) shall |
not be required to be licensed under this Act and must either |
be owned solely by the licensee or by the licensee together |
with the licensee's spouse, but only if the spouse and |
licensee are both licensed and sponsored by the same |
sponsoring broker or the spouse is not also licensed. |
(Source: P.A. 100-831, eff. 1-1-19; 101-357, eff. 8-9-19.)
|
(225 ILCS 454/15-35) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 15-35. Agency relationship disclosure. |
(a) A licensee acting as a designated agent shall advise a |
consumer in writing, no later than beginning to work as a |
designated agent on behalf of the consumer, of the following: |
(1) That a designated agency relationship exists, |
unless there is written agreement between the sponsoring |
broker and the consumer providing for a different agency |
relationship; and |
(2) The name or names of the designated agent or |
agents on the written disclosure, which must can be |
included as part of in a brokerage agreement or be a |
separate document, a copy of which is retained by the |
sponsoring broker for the licensee and company records, |
and a copy of which must be provided to the consumer or |
client . |
(b) The licensee representing the consumer shall discuss |
|
with the consumer the sponsoring broker's compensation and |
policy , including the terms of compensation and any amounts |
offered with regard to cooperating with brokers who represent |
other parties in a transaction. |
(c) A licensee shall disclose in writing to a customer |
that the licensee is not acting as the agent of the customer at |
a time intended to prevent disclosure of confidential |
information from a customer to a licensee, but in no event |
later than the preparation of an offer to purchase or lease |
real property. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
|
(225 ILCS 454/15-50) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 15-50. Brokerage agreements; designated Designated |
agency. |
(a) A sponsoring broker entering into a brokerage |
relationship an agreement with any person for the listing of |
property or for the purpose of representing any person in the |
buying, selling, exchanging, renting, or leasing of real |
estate shall set forth the terms of that relationship in a |
written brokerage agreement. The brokerage agreement shall |
specifically designate those licensees employed by or |
affiliated with the sponsoring broker who will be acting as |
legal agents of that person to the exclusion of all other |
licensees employed by or affiliated with the sponsoring |
|
broker. A sponsoring broker entering into an agreement under |
the provisions of this Section shall not be considered to be |
acting for more than one party in a transaction if the |
licensees are specifically designated as legal agents of a |
person and are not representing more than one party in a |
transaction. |
(a-5) Nothing in this Section prevents a client from |
seeking to enforce an oral agreement. The absence of a written |
agreement does not create an affirmative defense (i) to the |
existence, or lack thereof, of an agreement between the |
parties; or (ii) as to whether licensed activity was performed |
under this Act. This Section does not prevent a court from |
imposing legal or equitable remedies. |
(b) A sponsoring broker designating affiliated licensees |
to act as agents of clients shall take ordinary and necessary |
care to protect confidential information disclosed by a client |
to the his or her designated agent. |
(c) A designated agent may disclose to the designated |
agent's his or her sponsoring broker or persons specified by |
the sponsoring broker confidential information of a client for |
the purpose of seeking advice or assistance for the benefit of |
the client in regard to a possible transaction. Confidential |
information shall not be disclosed by the sponsoring broker or |
other specified representative of the sponsoring broker unless |
otherwise required by this Act or requested or permitted by |
the client who originally disclosed the confidential |
|
information. |
(Source: P.A. 101-357, eff. 8-9-19.)
|
(225 ILCS 454/20-20) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 20-20. Nature of and grounds for discipline. |
(a) The Department may refuse to issue or renew a license, |
may place on probation, suspend, or revoke any license, |
reprimand, or take any other disciplinary or non-disciplinary |
action as the Department may deem proper and impose a fine not |
to exceed $25,000 for each violation upon any licensee or |
applicant under this Act or any person who holds oneself out as |
an applicant or licensee or against a licensee in handling |
one's own property, whether held by deed, option, or |
otherwise, for any one or any combination of the following |
causes: |
(1) Fraud or misrepresentation in applying for, or |
procuring, a license under this Act or in connection with |
applying for renewal of a license under this Act. |
(2) The licensee's conviction of or plea of guilty or |
plea of nolo contendere, as set forth in subsection (e) of |
Section 5-25, to: (A) a felony or misdemeanor in this |
State or any other jurisdiction; (B) the entry of an |
administrative sanction by a government agency in this |
State or any other jurisdiction; or (C) any conviction of |
or plea of guilty or plea of nolo contendere to a any crime |
|
that subjects the licensee to compliance with the |
requirements of the Sex Offender Registration Act. |
(3) Inability to practice the profession with |
reasonable judgment, skill, or safety as a result of a |
physical illness, mental illness, or disability. |
(4) Practice under this Act as a licensee in a retail |
sales establishment from an office, desk, or space that is |
not separated from the main retail business and located |
within a separate and distinct area within the |
establishment. |
(5) Having been disciplined by another state, the |
District of Columbia, a territory, a foreign nation, or a |
governmental agency authorized to impose discipline if at |
least one of the grounds for that discipline is the same as |
or the equivalent of one of the grounds for which a |
licensee may be disciplined under this Act. A certified |
copy of the record of the action by the other state or |
jurisdiction shall be prima facie evidence thereof. |
(6) Engaging in the practice of real estate brokerage |
without a license or after the licensee's license or |
temporary permit was expired or while the license was |
inactive, revoked, or suspended. |
(7) Cheating on or attempting to subvert the Real |
Estate License Exam or a continuing education course or |
examination. |
(8) Aiding or abetting an applicant to subvert or |
|
cheat on the Real Estate License Exam or continuing |
education exam administered pursuant to this Act. |
(9) Advertising that is inaccurate, misleading, or |
contrary to the provisions of the Act. |
(10) Making any substantial misrepresentation or |
untruthful advertising. |
(11) Making any false promises of a character likely |
to influence, persuade, or induce. |
(12) Pursuing a continued and flagrant course of |
misrepresentation or the making of false promises through |
licensees, employees, agents, advertising, or otherwise. |
(13) Any misleading or untruthful advertising, or |
using any trade name or insignia of membership in any real |
estate organization of which the licensee is not a member. |
(14) Acting for more than one party in a transaction |
without providing written notice to all parties for whom |
the licensee acts. |
(15) Representing or attempting to represent, or |
performing licensed activities for, a broker other than |
the sponsoring broker. |
(16) Failure to account for or to remit any moneys or |
documents coming into the licensee's possession that |
belong to others. |
(17) Failure to maintain and deposit in a special |
account, separate and apart from personal and other |
business accounts, all escrow moneys belonging to others |
|
entrusted to a licensee while acting as a broker, escrow |
agent, or temporary custodian of the funds of others or |
failure to maintain all escrow moneys on deposit in the |
account until the transactions are consummated or |
terminated, except to the extent that the moneys, or any |
part thereof, shall be: |
(A) disbursed prior to the consummation or |
termination (i) in accordance with the written |
direction of the principals to the transaction or |
their duly authorized agents, (ii) in accordance with |
directions providing for the release, payment, or |
distribution of escrow moneys contained in any written |
contract signed by the principals to the transaction |
or their duly authorized agents, or (iii) pursuant to |
an order of a court of competent jurisdiction; or |
(B) deemed abandoned and transferred to the Office |
of the State Treasurer to be handled as unclaimed |
property pursuant to the Revised Uniform Unclaimed |
Property Act. Escrow moneys may be deemed abandoned |
under this subparagraph (B) only: (i) in the absence |
of disbursement under subparagraph (A); (ii) in the |
absence of notice of the filing of any claim in a court |
of competent jurisdiction; and (iii) if 6 months have |
elapsed after the receipt of a written demand for the |
escrow moneys from one of the principals to the |
transaction or the principal's duly authorized agent. |
|
The account shall be noninterest bearing, unless the |
character of the deposit is such that payment of interest |
thereon is otherwise required by law or unless the |
principals to the transaction specifically require, in |
writing, that the deposit be placed in an interest-bearing |
account. |
(18) Failure to make available to the Department all |
escrow records and related documents maintained in |
connection with the practice of real estate within 24 |
hours of a request for those documents by Department |
personnel. |
(19) Failing to furnish copies upon request of |
documents relating to a real estate transaction to a party |
who has executed that document. |
(20) Failure of a sponsoring broker or licensee to |
timely provide sponsorship or termination of sponsorship |
information to the Department. |
(21) Engaging in dishonorable, unethical, or |
unprofessional conduct of a character likely to deceive, |
defraud, or harm the public, including, but not limited |
to, conduct set forth in rules adopted by the Department. |
(22) Commingling the money or property of others with |
the licensee's own money or property. |
(23) Employing any person on a purely temporary or |
single deal basis as a means of evading the law regarding |
payment of commission to nonlicensees on some contemplated |
|
transactions. |
(24) Permitting the use of one's license as a broker |
to enable a residential leasing agent or unlicensed person |
to operate a real estate business without actual |
participation therein and control thereof by the broker. |
(25) Any other conduct, whether of the same or a |
different character from that specified in this Section, |
that constitutes dishonest dealing. |
(25.5) Failing to have a written brokerage agreement |
between the sponsoring broker and a client for whom the |
designated agent is working. |
(26) Displaying a "for rent" or "for sale" sign on any |
property without the written consent of an owner or the |
owner's duly authorized agent or advertising by any means |
that any property is for sale or for rent without the |
written consent of the owner or the owner's authorized |
agent. |
(27) Failing to provide information requested by the |
Department, or otherwise respond to that request, within |
30 days of the request. |
(28) Advertising by means of a blind advertisement, |
except as otherwise permitted in Section 10-30 of this |
Act. |
(29) A licensee under this Act or an unlicensed |
individual offering guaranteed sales plans, as defined in |
Section 10-50, except to the extent set forth in Section |
|
10-50. |
(30) Influencing or attempting to influence, by any |
words or acts, a prospective seller, purchaser, occupant, |
landlord, or tenant of real estate, in connection with |
viewing, buying, or leasing real estate, so as to promote |
or tend to promote the continuance or maintenance of |
racially and religiously segregated housing or so as to |
retard, obstruct, or discourage racially integrated |
housing on or in any street, block, neighborhood, or |
community. |
(31) Engaging in any act that constitutes a violation |
of any provision of Article 3 of the Illinois Human Rights |
Act, whether or not a complaint has been filed with or |
adjudicated by the Human Rights Commission. |
(32) Inducing any party to a contract of sale or lease |
or brokerage agreement to break the contract of sale or |
lease or brokerage agreement for the purpose of |
substituting, in lieu thereof, a new contract for sale or |
lease or brokerage agreement with a third party. |
(33) Negotiating a sale, exchange, or lease of real |
estate directly with any person if the licensee knows that |
the person has an exclusive brokerage agreement with |
another broker, unless specifically authorized by that |
broker. |
(34) When a licensee is also an attorney, acting as |
the attorney for either the buyer or the seller in the same |
|
transaction in which the licensee is acting or has acted |
as a managing broker or broker. |
(35) Advertising or offering merchandise or services |
as free if any conditions or obligations necessary for |
receiving the merchandise or services are not disclosed in |
the same advertisement or offer. These conditions or |
obligations include without limitation the requirement |
that the recipient attend a promotional activity or visit |
a real estate site. As used in this subdivision (35), |
"free" includes terms such as "award", "prize", "no |
charge", "free of charge", "without charge", and similar |
words or phrases that reasonably lead a person to believe |
that one may receive or has been selected to receive |
something of value, without any conditions or obligations |
on the part of the recipient. |
(36) (Blank). |
(37) Violating the terms of any order issued by the |
Department. |
(38) Paying or failing to disclose compensation in |
violation of Article 10 of this Act. |
(39) Requiring a party to a transaction who is not a |
client of the licensee to allow the licensee to retain a |
portion of the escrow moneys for payment of the licensee's |
commission or expenses as a condition for release of the |
escrow moneys to that party. |
(40) Disregarding or violating any provision of this |
|
Act or the published rules adopted by the Department to |
enforce this Act or aiding or abetting any individual, |
foreign or domestic partnership, registered limited |
liability partnership, limited liability company, |
corporation, or other business entity in disregarding any |
provision of this Act or the published rules adopted by |
the Department to enforce this Act. |
(41) Failing to provide the minimum services required |
by Section 15-75 of this Act when acting under an |
exclusive brokerage agreement. |
(42) Habitual or excessive use of or addiction to |
alcohol, narcotics, stimulants, or any other chemical |
agent or drug that results in a licensee's managing |
broker, broker, or residential leasing agent's inability |
to practice with reasonable skill or safety , which may |
result in significant harm to the public . |
(43) Enabling, aiding, or abetting an auctioneer, as |
defined in the Auction License Act, to conduct a real |
estate auction in a manner that is in violation of this |
Act. |
(44) Permitting any residential leasing agent or |
temporary residential leasing agent permit holder to |
engage in activities that require a broker's or managing |
broker's license. |
(45) Failing to notify the Department, within 30 days |
after the occurrence, of the information required in |
|
subsection (e) of Section 5-25. |
(46) A designated managing broker's failure to provide |
an appropriate written company policy or failure to |
perform any of the duties set forth in Section 10-55. |
(47) Filing liens or recording written instruments in |
any county in the State on noncommercial, residential real |
property that relate to a broker's compensation for |
licensed activity under the Act. |
(b) The Department may refuse to issue or renew or may |
suspend the license of any person who fails to file a return, |
pay the tax, penalty or interest shown in a filed return, or |
pay any final assessment of tax, penalty, or interest, as |
required by any tax Act administered by the Department of |
Revenue, until such time as the requirements of that tax Act |
are satisfied in accordance with subsection (g) of Section |
2105-15 of the Department of Professional Regulation Law of |
the Civil Administrative Code of Illinois. |
(c) (Blank). |
(d) In cases where the Department of Healthcare and Family |
Services (formerly Department of Public Aid) has previously |
determined that a licensee or a potential licensee is more |
than 30 days delinquent in the payment of child support and has |
subsequently certified the delinquency to the Department may |
refuse to issue or renew or may revoke or suspend that person's |
license or may take other disciplinary action against that |
person based solely upon the certification of delinquency made |
|
by the Department of Healthcare and Family Services in |
accordance with item (5) of subsection (a) of Section 2105-15 |
of the Department of Professional Regulation Law of the Civil |
Administrative Code of Illinois. |
(e) (Blank). |
(Source: P.A. 102-970, eff. 5-27-22; 103-236, eff. 1-1-24 .)
|
(225 ILCS 454/20-20.1) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 20-20.1. Citations. |
(a) The Department may adopt rules to permit the issuance |
of citations to any licensee for failure to comply with the |
continuing education and post-license education requirements |
set forth in this Act or as adopted by rule. The citation shall |
be issued to the licensee , and a copy shall be sent to the |
licensee's designated managing broker and sponsoring broker . |
The citation shall contain the licensee's name and address, |
the licensee's license number, the number of required hours of |
continuing education or post-license education that have not |
been successfully completed by the licensee's renewal |
deadline, and the penalty imposed, which shall not exceed |
$2,000. The issuance of any such citation shall not excuse the |
licensee from completing all continuing education or |
post-license education required for that term of licensure. |
(b) Service of a citation shall be made by in person, |
electronically, or by mail to the licensee at the licensee's |
|
address of record or email address of record, and must clearly |
state that if the cited licensee wishes to dispute the |
citation, the cited licensee may make a written request, |
within 30 days after the citation is served, for a hearing |
before the Department. If the cited licensee does not request |
a hearing within 30 days after the citation is served, then the |
citation shall become a final, non-disciplinary order shall be |
entered , and any fine imposed is due and payable within 30 60 |
days after the entry of that final order. If the cited licensee |
requests a hearing within 30 days after the citation is |
served, the Department shall afford the cited licensee a |
hearing conducted in the same manner as a hearing provided for |
in this Act for any violation of this Act and shall determine |
whether the cited licensee committed the violation as charged |
and whether the fine as levied is warranted. If the violation |
is found, any fine shall constitute non-public discipline and |
be due and payable within 30 days after the order of the |
Secretary, which shall constitute a final order of the |
Department. No change in license status may be made by the |
Department until such time as a final order of the Department |
has been issued. |
(c) Payment of a fine that has been assessed pursuant to |
this Section shall not constitute disciplinary action |
reportable on the Department's website or elsewhere unless a |
licensee has previously received 2 or more citations and has |
been assessed 2 or more fines. |
|
(d) Nothing in this Section shall prohibit or limit the |
Department from taking further action pursuant to this Act and |
rules for additional, repeated, or continuing violations. |
(Source: P.A. 102-970, eff. 5-27-22; 103-236, eff. 1-1-24 .)
|
(225 ILCS 454/20-50) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 20-50. Illegal discrimination. When there has been |
an adjudication in a civil or criminal proceeding that a |
licensee has illegally discriminated while engaged in any |
activity for which a license is required under this Act, the |
Department, following notice to the licensee and a hearing in |
accordance with the provisions of Section 20-60, and upon the |
recommendation of the Board as to the nature and extent of the |
suspension or revocation, shall , in accordance with the |
provisions of Section 20-64, suspend or revoke the license of |
that licensee in a timely manner, unless the adjudication is |
in the appeal process. The finding or judgment of the civil or |
criminal proceeding is a matter of record; the merits of which |
shall not be challenged in a request for a hearing by the |
licensee. When there has been an order in an administrative |
proceeding finding that a licensee has illegally discriminated |
while engaged in any activity for which a license is required |
under this Act, the Department, following notice to the |
licensee and a hearing in accordance with the provisions of |
Section 20-60, and upon the recommendation of the Board as to |
|
the nature and extent of the discipline, shall , in accordance |
with the provisions of Section 20-64, take one or more of the |
disciplinary actions provided for in Section 20-20 of this Act |
in a timely manner, unless the administrative order is in the |
appeal process. The finding of the administrative order is a |
matter of record; the merits of which shall not be challenged |
in a request for a hearing by the licensee. |
(Source: P.A. 96-856, eff. 12-31-09 .)
|
(225 ILCS 454/20-82) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 20-82. Fines and penalties; Real Estate License |
Administration Recovery Fund ; Real Estate Recovery Fund . All |
fines and penalties collected under Section 20-20, Section |
20-20.1, and otherwise under this Act by the Department shall |
be deposited in the Real Estate License Administration |
Recovery Fund and may be transferred to the Real Estate |
Recovery Fund in accordance with the authority set forth in |
Section 25-35 of this Act . |
(Source: P.A. 96-856, eff. 12-31-09 .)
|
(225 ILCS 454/25-25) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 25-25. Real Estate Research and Education Fund. A |
special fund to be known as the Real Estate Research and |
Education Fund is created and shall be held in trust in the |
|
State treasury. Annually, on September 15th, the State |
Treasurer shall cause a transfer of $125,000 to the Real |
Estate Research and Education Fund from the Real Estate |
License Administration Fund. The Real Estate Research and |
Education Fund shall be administered by the Department. Money |
deposited in the Real Estate Research and Education Fund may |
be used for research and for education at state institutions |
of higher education or other organizations for research and |
for education to further the advancement of education in the |
real estate industry or can be used by the Department for |
expenses related to the education of licensees. Of the |
$125,000 annually transferred into the Real Estate Research |
and Education Fund, $15,000 shall be used to fund a |
scholarship program for persons of historically marginalized |
classes and minority racial origin who wish to pursue a course |
of study in the field of real estate. For the purposes of this |
Section : , |
" Course course of study" means a course or courses that |
are part of a program of courses in the field of real estate |
designed to further an individual's knowledge or expertise in |
the field of real estate. These courses shall include, without |
limitation, courses that a broker licensed under this Act must |
complete to qualify for a managing broker's license, courses |
required to obtain the Graduate Realtors Institute |
designation, and any other courses or programs offered by |
accredited colleges, universities, or other institutions of |
|
higher education in Illinois. |
"Historically marginalized classes" means a person of a |
race or national origin that is Native American or Alaska |
Native, Asian, Black or African American, Hispanic or Latino, |
or Native Hawaiian or Pacific Islander, or is a member of a |
protected class under the Illinois Human Rights Act within the |
context of affirmative action. |
The scholarship program shall be administered by the |
Department or its designee. Moneys in the Real Estate Research |
and Education Fund may be invested and reinvested in the same |
manner as funds in the Real Estate Recovery Fund and all |
earnings, interest, and dividends received from such |
investments shall be deposited in the Real Estate Research and |
Education Fund and may be used for the same purposes as moneys |
transferred to the Real Estate Research and Education Fund. |
Moneys in the Real Estate Research and Education Fund may be |
transferred to the Professions Indirect Cost Fund as |
authorized under Section 2105-300 of the Department of |
Professional Regulation Law of the Civil Administrative Code |
of Illinois. |
(Source: P.A. 103-236, eff. 1-1-24 .)
|
(225 ILCS 454/25-30) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 25-30. Real Estate License Administration Fund; |
audit. A special fund to be known as the Real Estate License |
|
Administration Fund is created in the State Treasury. All |
fines, penalties, and fees received by the Department under |
this Act shall be deposited in the Real Estate License |
Administration Fund. The moneys deposited in the Real Estate |
License Administration Fund shall be appropriated to the |
Department for expenses of the Department and the Board in the |
administration of this Act , including, but not limited to, the |
maintenance and operation of the Real Estate Recovery Fund, |
and for the administration of any Act administered by the |
Department providing revenue to this Fund. Moneys in the Real |
Estate License Administration Fund may be invested and |
reinvested in the same manner as funds in the Real Estate |
Recovery Fund. All earnings received from such investment |
shall be deposited in the Real Estate License Administration |
Fund and may be used for the same purposes as fines, penalties, |
and fees deposited in the Real Estate License Administration |
Fund. Moneys in the Real Estate License Administration Fund |
may be transferred to the Professions Indirect Cost Fund as |
authorized under Section 2105-300 of the Department of |
Professional Regulation Law of the Civil Administrative Code |
of Illinois and to the Real Estate Recovery Fund as authorized |
by Section 25-35 of this Act . Upon the completion of any audit |
of the Department, as prescribed by the Illinois State |
Auditing Act, which includes an audit of the Real Estate |
License Administration Fund, the Department shall make the |
audit open to inspection by any interested person. |
|
(Source: P.A. 96-856, eff. 12-31-09 .)
|
(225 ILCS 454/25-35) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 25-35. Real Estate Recovery Fund. A special fund to |
be known as the Real Estate Recovery Fund is created in the |
State Treasury. All fines and penalties received by the |
Department pursuant to Article 20 of this Act shall be |
deposited into the State Treasury and held in the Real Estate |
Recovery Fund. The money in the Real Estate Recovery Fund |
shall be used by the Department exclusively for carrying out |
the purposes established by this Act. If, at any time, the |
balance remaining in the Real Estate Recovery Fund is less |
than $900,000 $750,000 , the State Treasurer shall cause a |
transfer of moneys to the Real Estate Recovery Fund from the |
Real Estate License Administration Fund in an amount necessary |
to establish a balance of $1,000,000 $800,000 in the Real |
Estate Recovery Fund. If the balance in the Real Estate |
Recovery Fund exceeds $1,000,000, any excess funds over |
$1,000,000 shall be transferred to the Real Estate License |
Administration Fund. These funds may be invested and |
reinvested in the same manner as authorized for pension funds |
in Article 1 of the Illinois Pension Code. All earnings, |
interest, and dividends received from investment of funds in |
the Real Estate Recovery Fund shall be deposited into the Real |
Estate License Administration Fund and shall be used for the |
|
same purposes as other moneys deposited in the Real Estate |
License Administration Fund. |
(Source: P.A. 96-856, eff. 12-31-09 .)
|
(225 ILCS 454/30-5) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 30-5. Licensing of real estate education providers |
and instructors. |
(a) No person shall operate an education provider entity |
without possessing a valid and active license issued by the |
Department. Only education providers in possession of a valid |
education provider license may provide real estate |
pre-license, post-license, or continuing education courses |
that satisfy the requirements of this Act. Every person that |
desires to obtain an education provider license shall make |
application to the Department in a manner prescribed by the |
Department and pay the fee prescribed by rule. In addition to |
any other information required to be contained in the |
application as prescribed by rule, every application for an |
original or renewed license shall include the applicant's |
Social Security number or tax identification number. |
(b) (Blank). |
(c) (Blank). |
(d) (Blank). |
(e) (Blank). |
(f) To qualify for an education provider license, an |
|
applicant must demonstrate the following: |
(1) a sound financial base for establishing, |
promoting, and delivering the necessary courses; budget |
planning for the school's courses should be clearly |
projected; |
(2) a sufficient number of qualified, licensed |
instructors as provided by rule; |
(3) adequate support personnel to assist with |
administrative matters and technical assistance; |
(4) maintenance and availability of records of |
participation for licensees; |
(5) the ability to provide each participant who |
successfully completes an approved program with a |
certificate of completion signed by the administrator of a |
licensed education provider in a manner prescribed by the |
Department; the certificate of completion shall include |
the program that was completed, the completion date, the |
course number, and the student's and education provider's |
license numbers; |
(6) a written policy dealing with procedures for the |
management of grievances and fee refunds; |
(7) lesson plans and examinations, if applicable, for |
each course; |
(8) a 75% passing grade for successful completion of |
any continuing education course or pre-license or |
post-license examination, if required; |
|
(9) the ability to identify and use instructors who |
will teach in a planned program; instructor selections |
must demonstrate: |
(A) appropriate credentials; |
(B) competence as a teacher; |
(C) knowledge of content area; and |
(D) qualification by experience. |
Unless otherwise provided for in this Section, the |
education provider shall provide a proctor or an electronic |
means of proctoring if a proctored examination is required for |
each examination ; the education provider shall be responsible |
for the conduct of the proctor; the duties and |
responsibilities of a proctor shall be established by rule. |
Unless otherwise provided for in this Section, the |
education provider shall must provide for closed book |
examinations for each course when required unless the |
Department, upon the recommendation of the Board, excuses this |
requirement based on the complexity of the course material. |
(g) Advertising and promotion of education activities must |
be carried out in a responsible fashion clearly showing the |
educational objectives of the activity, the nature of the |
audience that may benefit from the activity, the cost of the |
activity to the participant and the items covered by the cost, |
the amount of credit that can be earned, and the credentials of |
the faculty. |
(h) (Blank). The Department may, or upon request of the |
|
Board shall, after notice, cause an education provider to |
attend an informal conference before the Board for failure to |
comply with any requirement for licensure or for failure to |
comply with any provision of this Act or the rules for the |
administration of this Act. The Board shall make a |
recommendation to the Department as a result of its findings |
at the conclusion of any such informal conference. |
(i) All education providers shall maintain these minimum |
criteria and pay the required fee in order to retain their |
education provider license. |
(j) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
necessary for the implementation and enforcement of this |
Section and to regulate the establishment and operation of |
virtual offices that do not have a fixed location . |
(Source: P.A. 100-188, eff. 1-1-18; 100-831, eff. 1-1-19; |
101-357, eff. 8-9-19.)
|
(225 ILCS 454/30-15) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 30-15. Licensing of education providers; approval of |
courses. |
(a) (Blank). |
(b) (Blank). |
(c) (Blank). |
(d) (Blank). |
|
(e) (Blank). |
(f) All education providers shall submit, at the time of |
initial application and with each license renewal, a list of |
courses with course materials that comply with the course |
requirements in this Act to be offered by the education |
provider. The Department may establish an online mechanism by |
which education providers may submit for approval by the |
Department upon the recommendation of the Board or its |
designee pre-license, post-license, or continuing education |
courses that are submitted after the time of the education |
provider's initial license application or renewal. The |
Department shall provide to each education provider a |
certificate for each approved pre-license, post-license, or |
continuing education course. All pre-license, post-license, or |
continuing education courses shall be valid for the period |
coinciding with the term of license of the education provider. |
However, in no case shall a course continue to be valid if it |
does not, at all times, meet all of the requirements of the |
core curriculum established by this Act and the Board, as |
modified from time to time in accordance with this Act. All |
education providers shall provide a copy of the certificate of |
the pre-license, post-license, or continuing education course |
within the course materials given to each student or shall |
display a copy of the certificate of the pre-license, |
post-license, or continuing education course in a conspicuous |
place at the location of the class. |
|
(g) Each education provider shall provide to the |
Department a report in a frequency and format determined by |
the Department, with information concerning students who |
successfully completed all approved pre-license, post-license, |
or continuing education courses offered by the education |
provider. |
(h) The Department, upon the recommendation of the Board, |
may temporarily suspend a licensed education provider's |
approved courses without hearing and refuse to accept |
successful completion of or participation in any of these |
pre-license, post-license, or continuing education courses for |
education credit from that education provider upon the failure |
of that education provider to comply with the provisions of |
this Act or the rules for the administration of this Act, until |
such time as the Department receives satisfactory assurance of |
compliance. The Department shall notify the education provider |
of the noncompliance and may initiate disciplinary proceedings |
pursuant to this Act. The Department may refuse to issue, |
suspend, revoke, or otherwise discipline the license of an |
education provider or may withdraw approval of a pre-license, |
post-license, or continuing education course for good cause. |
Failure to comply with the requirements of this Section or any |
other requirements established by rule shall be deemed to be |
good cause. Disciplinary proceedings shall be conducted by the |
Department Board in the same manner as other disciplinary |
proceedings under this Act. |
|
(i) Pre-license, post-license, and continuing education |
courses, whether submitted for approval at the time of an |
education provider's initial application for licensure or |
otherwise, must meet the following minimum course |
requirements: |
(1) Continuing education courses shall be required to |
be at least one hour in duration. For each one hour of |
course time, there shall be a minimum of 50 minutes of |
instruction. |
(2) All core curriculum courses shall be provided only |
in the classroom or through a live, interactive webinar , |
or in an online distance education format. |
(3) Courses provided through a live, interactive |
webinar shall require all participants to demonstrate |
their attendance in and attention to the course by |
answering or responding to at least one polling question |
per 50 minutes of course instruction. |
(4) All participants in courses provided in an online |
distance education format shall demonstrate proficiency |
with the subject matter of the course through verifiable |
responses to questions included in the course content. |
(5) Credit for courses completed in a classroom or |
through a live, interactive webinar , or in an online |
distance education format shall not require an |
examination. |
(6) Credit for courses provided through |
|
correspondence, or by home study, shall require the |
passage of an in-person, proctored examination. |
(j) The Department is authorized to engage a third party |
as the Board's designee to perform the functions specifically |
provided for in subsection (f) of this Section, namely that of |
administering the online system for receipt, review, and |
approval or denial of new courses. |
(k) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
necessary for the implementation and enforcement of this |
Section. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
|
(225 ILCS 454/30-25) |
(Section scheduled to be repealed on January 1, 2030) |
Sec. 30-25. Licensing of education provider instructors. |
(a) No person shall act as either a pre-license or |
continuing education instructor without possessing a valid |
pre-license or continuing education instructor license and |
satisfying any other qualification criteria adopted by the |
Department by rule. |
(a-5) Each person with a valid pre-license instructor |
license may teach pre-license, post-license, continuing |
education core curriculum, continuing education elective |
curriculum, or broker management education courses if they |
meet specific criteria adopted by the Department by rule. |
|
Those persons who have not met the criteria or who only possess |
a valid continuing education instructor license shall only |
teach continuing education elective curriculum courses. Any |
person with a valid continuing education instructor license |
who wishes to teach continuing education core curriculum or |
broker management continuing education courses must obtain a |
valid pre-license instructor license. |
(b) Every person who desires to obtain an education |
provider instructor's license shall attend and successfully |
complete a one-day instructor development workshop, as |
approved by the Department. However, pre-license instructors |
who have complied with subsection (b) of this Section 30-25 |
shall not be required to complete the instructor workshop in |
order to teach continuing education elective curriculum |
courses. |
(b-5) The term of licensure for a pre-license or |
continuing education instructor shall be 2 years, with renewal |
dates adopted by rule. Every person who desires to obtain a |
pre-license or continuing education instructor license shall |
make application to the Department in a manner prescribed by |
the Department, accompanied by the fee adopted by rule. In |
addition to any other information required to be contained in |
the application, every application for an original license |
shall include the applicant's Social Security number or |
federal individual taxpayer identification number , which shall |
be retained in the agency's records pertaining to the license. |
|
As soon as practical, the Department shall assign a customer's |
identification number to each applicant for a license. |
Every application for a renewal or restored license shall |
require the applicant's customer identification number. |
The Department shall issue a pre-license or continuing |
education instructor license to applicants who meet |
qualification criteria established by this Act or rule. |
(c) The Department may refuse to issue, suspend, revoke, |
or otherwise discipline a pre-license or continuing education |
instructor for good cause. Disciplinary proceedings shall be |
conducted by the Department Board in the same manner as other |
disciplinary proceedings under this Act. All pre-license |
instructors must teach at least one pre-license or continuing |
education core curriculum course within the period of |
licensure as a requirement for renewal of the instructor's |
license. All continuing education instructors must teach at |
least one course within the period of licensure or take an |
instructor training program approved by the Department in lieu |
thereof as a requirement for renewal of the instructor's |
license. |
(d) Each course transcript submitted by an education |
provider to the Department shall include the name and license |
number of the pre-license or continuing education instructor |
for the course. |
(e) Licensed education provider instructors may teach for |
more than one licensed education provider. |
|
(f) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
necessary for the implementation and enforcement of this |
Section. |
(Source: P.A. 101-357, eff. 8-9-19; 102-970, eff. 5-27-22.)
|
Section 99. Effective date. This Act takes effect January |
1, 2025, except that this Section, Section 5, and the changes |
to Sections 20-82, 25-30, and 25-35 of the Real Estate License |
Act of 2000 take effect upon becoming law. |
|
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INDEX
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Statutes amended in order of appearance
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