|
include other versions of the Section to be found in Public |
Acts not included in the list of sources. The list of sources |
is not a part of the text of the Section. |
(d) Public Acts 98-1174 through 99-492 were considered in |
the preparation of the combining revisories included in this |
Act. Many of those combining revisories contain no striking or |
underscoring because no additional changes are being made in |
the material that is being combined.
|
Section 5. The Regulatory Sunset Act is amended by changing |
Section 4.36 as follows:
|
(5 ILCS 80/4.36) |
Sec. 4.36. Acts Act repealed on January 1, 2026. The |
following Acts are Act is repealed on January 1, 2026: |
The Barber, Cosmetology, Esthetics, Hair Braiding, and |
Nail Technology Act of 1985. |
The Collection Agency Act. |
The Hearing Instrument Consumer Protection Act. |
The Illinois Athletic Trainers Practice Act. |
The Illinois Dental Practice Act. |
The Illinois Roofing Industry Licensing Act.
|
The Illinois Physical Therapy Act. |
The Professional Geologist Licensing Act. |
The Respiratory Care Practice Act. |
(Source: P.A. 99-26, eff. 7-10-15; 99-204, eff. 7-30-15; |
|
99-227, eff. 8-3-15; 99-229, eff. 8-3-15; 99-230, eff. 8-3-15; |
99-427, eff. 8-21-15; 99-469, eff. 8-26-15; 99-492, eff. |
12-31-15; revised 12-29-15.)
|
(5 ILCS 80/4.26 rep.) |
Section 7. The Regulatory Sunset Act is amended by |
repealing Section 4.26.
|
Section 10. The Illinois Administrative Procedure Act is |
amended by changing Section 5-45 as follows:
|
(5 ILCS 100/5-45) (from Ch. 127, par. 1005-45) |
Sec. 5-45. Emergency rulemaking. |
(a) "Emergency" means the existence of any situation that |
any agency
finds reasonably constitutes a threat to the public |
interest, safety, or
welfare. |
(b) If any agency finds that an
emergency exists that |
requires adoption of a rule upon fewer days than
is required by |
Section 5-40 and states in writing its reasons for that
|
finding, the agency may adopt an emergency rule without prior |
notice or
hearing upon filing a notice of emergency rulemaking |
with the Secretary of
State under Section 5-70. The notice |
shall include the text of the
emergency rule and shall be |
published in the Illinois Register. Consent
orders or other |
court orders adopting settlements negotiated by an agency
may |
be adopted under this Section. Subject to applicable |
|
constitutional or
statutory provisions, an emergency rule |
becomes effective immediately upon
filing under Section 5-65 or |
at a stated date less than 10 days
thereafter. The agency's |
finding and a statement of the specific reasons
for the finding |
shall be filed with the rule. The agency shall take
reasonable |
and appropriate measures to make emergency rules known to the
|
persons who may be affected by them. |
(c) An emergency rule may be effective for a period of not |
longer than
150 days, but the agency's authority to adopt an |
identical rule under Section
5-40 is not precluded. No |
emergency rule may be adopted more
than once in any 24 month |
period, except that this limitation on the number
of emergency |
rules that may be adopted in a 24 month period does not apply
|
to (i) emergency rules that make additions to and deletions |
from the Drug
Manual under Section 5-5.16 of the Illinois |
Public Aid Code or the
generic drug formulary under Section |
3.14 of the Illinois Food, Drug
and Cosmetic Act, (ii) |
emergency rules adopted by the Pollution Control
Board before |
July 1, 1997 to implement portions of the Livestock Management
|
Facilities Act, (iii) emergency rules adopted by the Illinois |
Department of Public Health under subsections (a) through (i) |
of Section 2 of the Department of Public Health Act when |
necessary to protect the public's health, (iv) emergency rules |
adopted pursuant to subsection (n) of this Section, (v) |
emergency rules adopted pursuant to subsection (o) of this |
Section, or (vi) emergency rules adopted pursuant to subsection |
|
(c-5) of this Section. Two or more emergency rules having |
substantially the same
purpose and effect shall be deemed to be |
a single rule for purposes of this
Section. |
(c-5) To facilitate the maintenance of the program of group |
health benefits provided to annuitants, survivors, and retired |
employees under the State Employees Group Insurance Act of |
1971, rules to alter the contributions to be paid by the State, |
annuitants, survivors, retired employees, or any combination |
of those entities, for that program of group health benefits, |
shall be adopted as emergency rules. The adoption of those |
rules shall be considered an emergency and necessary for the |
public interest, safety, and welfare. |
(d) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 1999 budget, |
emergency rules to implement any
provision of Public Act 90-587 |
or 90-588
or any other budget initiative for fiscal year 1999 |
may be adopted in
accordance with this Section by the agency |
charged with administering that
provision or initiative, |
except that the 24-month limitation on the adoption
of |
emergency rules and the provisions of Sections 5-115 and 5-125 |
do not apply
to rules adopted under this subsection (d). The |
adoption of emergency rules
authorized by this subsection (d) |
shall be deemed to be necessary for the
public interest, |
safety, and welfare. |
(e) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 2000 budget, |
|
emergency rules to implement any
provision of Public Act 91-24 |
this amendatory Act of the 91st General Assembly
or any other |
budget initiative for fiscal year 2000 may be adopted in
|
accordance with this Section by the agency charged with |
administering that
provision or initiative, except that the |
24-month limitation on the adoption
of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply
to rules |
adopted under this subsection (e). The adoption of emergency |
rules
authorized by this subsection (e) shall be deemed to be |
necessary for the
public interest, safety, and welfare. |
(f) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 2001 budget, |
emergency rules to implement any
provision of Public Act 91-712 |
this amendatory Act of the 91st General Assembly
or any other |
budget initiative for fiscal year 2001 may be adopted in
|
accordance with this Section by the agency charged with |
administering that
provision or initiative, except that the |
24-month limitation on the adoption
of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply
to rules |
adopted under this subsection (f). The adoption of emergency |
rules
authorized by this subsection (f) shall be deemed to be |
necessary for the
public interest, safety, and welfare. |
(g) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 2002 budget, |
emergency rules to implement any
provision of Public Act 92-10 |
this amendatory Act of the 92nd General Assembly
or any other |
|
budget initiative for fiscal year 2002 may be adopted in
|
accordance with this Section by the agency charged with |
administering that
provision or initiative, except that the |
24-month limitation on the adoption
of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply
to rules |
adopted under this subsection (g). The adoption of emergency |
rules
authorized by this subsection (g) shall be deemed to be |
necessary for the
public interest, safety, and welfare. |
(h) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 2003 budget, |
emergency rules to implement any
provision of Public Act 92-597 |
this amendatory Act of the 92nd General Assembly
or any other |
budget initiative for fiscal year 2003 may be adopted in
|
accordance with this Section by the agency charged with |
administering that
provision or initiative, except that the |
24-month limitation on the adoption
of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply
to rules |
adopted under this subsection (h). The adoption of emergency |
rules
authorized by this subsection (h) shall be deemed to be |
necessary for the
public interest, safety, and welfare. |
(i) In order to provide for the expeditious and timely |
implementation
of the State's fiscal year 2004 budget, |
emergency rules to implement any
provision of Public Act 93-20 |
this amendatory Act of the 93rd General Assembly
or any other |
budget initiative for fiscal year 2004 may be adopted in
|
accordance with this Section by the agency charged with |
|
administering that
provision or initiative, except that the |
24-month limitation on the adoption
of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply
to rules |
adopted under this subsection (i). The adoption of emergency |
rules
authorized by this subsection (i) shall be deemed to be |
necessary for the
public interest, safety, and welfare. |
(j) In order to provide for the expeditious and timely |
implementation of the provisions of the State's fiscal year |
2005 budget as provided under the Fiscal Year 2005 Budget |
Implementation (Human Services) Act, emergency rules to |
implement any provision of the Fiscal Year 2005 Budget |
Implementation (Human Services) Act may be adopted in |
accordance with this Section by the agency charged with |
administering that provision, except that the 24-month |
limitation on the adoption of emergency rules and the |
provisions of Sections 5-115 and 5-125 do not apply to rules |
adopted under this subsection (j). The Department of Public Aid |
may also adopt rules under this subsection (j) necessary to |
administer the Illinois Public Aid Code and the Children's |
Health Insurance Program Act. The adoption of emergency rules |
authorized by this subsection (j) shall be deemed to be |
necessary for the public interest, safety, and welfare.
|
(k) In order to provide for the expeditious and timely |
implementation of the provisions of the State's fiscal year |
2006 budget, emergency rules to implement any provision of |
Public Act 94-48 this amendatory Act of the 94th General |
|
Assembly or any other budget initiative for fiscal year 2006 |
may be adopted in accordance with this Section by the agency |
charged with administering that provision or initiative, |
except that the 24-month limitation on the adoption of |
emergency rules and the provisions of Sections 5-115 and 5-125 |
do not apply to rules adopted under this subsection (k). The |
Department of Healthcare and Family Services may also adopt |
rules under this subsection (k) necessary to administer the |
Illinois Public Aid Code, the Senior Citizens and Persons with |
Disabilities Property Tax Relief Act, the Senior Citizens and |
Disabled Persons Prescription Drug Discount Program Act (now |
the Illinois Prescription Drug Discount Program Act), and the |
Children's Health Insurance Program Act. The adoption of |
emergency rules authorized by this subsection (k) shall be |
deemed to be necessary for the public interest, safety, and |
welfare.
|
(l) In order to provide for the expeditious and timely |
implementation of the provisions of the
State's fiscal year |
2007 budget, the Department of Healthcare and Family Services |
may adopt emergency rules during fiscal year 2007, including |
rules effective July 1, 2007, in
accordance with this |
subsection to the extent necessary to administer the |
Department's responsibilities with respect to amendments to |
the State plans and Illinois waivers approved by the federal |
Centers for Medicare and Medicaid Services necessitated by the |
requirements of Title XIX and Title XXI of the federal Social |
|
Security Act. The adoption of emergency rules
authorized by |
this subsection (l) shall be deemed to be necessary for the |
public interest,
safety, and welfare.
|
(m) In order to provide for the expeditious and timely |
implementation of the provisions of the
State's fiscal year |
2008 budget, the Department of Healthcare and Family Services |
may adopt emergency rules during fiscal year 2008, including |
rules effective July 1, 2008, in
accordance with this |
subsection to the extent necessary to administer the |
Department's responsibilities with respect to amendments to |
the State plans and Illinois waivers approved by the federal |
Centers for Medicare and Medicaid Services necessitated by the |
requirements of Title XIX and Title XXI of the federal Social |
Security Act. The adoption of emergency rules
authorized by |
this subsection (m) shall be deemed to be necessary for the |
public interest,
safety, and welfare.
|
(n) In order to provide for the expeditious and timely |
implementation of the provisions of the State's fiscal year |
2010 budget, emergency rules to implement any provision of |
Public Act 96-45 this amendatory Act of the 96th General |
Assembly or any other budget initiative authorized by the 96th |
General Assembly for fiscal year 2010 may be adopted in |
accordance with this Section by the agency charged with |
administering that provision or initiative. The adoption of |
emergency rules authorized by this subsection (n) shall be |
deemed to be necessary for the public interest, safety, and |
|
welfare. The rulemaking authority granted in this subsection |
(n) shall apply only to rules promulgated during Fiscal Year |
2010. |
(o) In order to provide for the expeditious and timely |
implementation of the provisions of the State's fiscal year |
2011 budget, emergency rules to implement any provision of |
Public Act 96-958 this amendatory Act of the 96th General |
Assembly or any other budget initiative authorized by the 96th |
General Assembly for fiscal year 2011 may be adopted in |
accordance with this Section by the agency charged with |
administering that provision or initiative. The adoption of |
emergency rules authorized by this subsection (o) is deemed to |
be necessary for the public interest, safety, and welfare. The |
rulemaking authority granted in this subsection (o) applies |
only to rules promulgated on or after the effective date of |
Public Act 96-958 this amendatory Act of the 96th General |
Assembly through June 30, 2011. |
(p) In order to provide for the expeditious and timely |
implementation of the provisions of Public Act 97-689, |
emergency rules to implement any provision of Public Act 97-689 |
may be adopted in accordance with this subsection (p) by the |
agency charged with administering that provision or |
initiative. The 150-day limitation of the effective period of |
emergency rules does not apply to rules adopted under this |
subsection (p), and the effective period may continue through |
June 30, 2013. The 24-month limitation on the adoption of |
|
emergency rules does not apply to rules adopted under this |
subsection (p). The adoption of emergency rules authorized by |
this subsection (p) is deemed to be necessary for the public |
interest, safety, and welfare. |
(q) In order to provide for the expeditious and timely |
implementation of the provisions of Articles 7, 8, 9, 11, and |
12 of Public Act 98-104 this amendatory Act of the 98th General |
Assembly , emergency rules to implement any provision of |
Articles 7, 8, 9, 11, and 12 of Public Act 98-104 this |
amendatory Act of the 98th General Assembly may be adopted in |
accordance with this subsection (q) by the agency charged with |
administering that provision or initiative. The 24-month |
limitation on the adoption of emergency rules does not apply to |
rules adopted under this subsection (q). The adoption of |
emergency rules authorized by this subsection (q) is deemed to |
be necessary for the public interest, safety, and welfare. |
(r) In order to provide for the expeditious and timely |
implementation of the provisions of Public Act 98-651 this |
amendatory Act of the 98th General Assembly , emergency rules to |
implement Public Act 98-651 this amendatory Act of the 98th |
General Assembly may be adopted in accordance with this |
subsection (r) by the Department of Healthcare and Family |
Services. The 24-month limitation on the adoption of emergency |
rules does not apply to rules adopted under this subsection |
(r). The adoption of emergency rules authorized by this |
subsection (r) is deemed to be necessary for the public |
|
interest, safety, and welfare. |
(s) In order to provide for the expeditious and timely |
implementation of the provisions of Sections 5-5b.1 and 5A-2 of |
the Illinois Public Aid Code, emergency rules to implement any |
provision of Section 5-5b.1 or Section 5A-2 of the Illinois |
Public Aid Code may be adopted in accordance with this |
subsection (s) by the Department of Healthcare and Family |
Services. The rulemaking authority granted in this subsection |
(s) shall apply only to those rules adopted prior to July 1, |
2015. Notwithstanding any other provision of this Section, any |
emergency rule adopted under this subsection (s) shall only |
apply to payments made for State fiscal year 2015. The adoption |
of emergency rules authorized by this subsection (s) is deemed |
to be necessary for the public interest, safety, and welfare. |
(t) In order to provide for the expeditious and timely |
implementation of the provisions of Article II of Public Act |
99-6 this amendatory Act of the 99th General Assembly , |
emergency rules to implement the changes made by Article II of |
Public Act 99-6 this amendatory Act of the 99th General |
Assembly to the Emergency Telephone System Act may be adopted |
in accordance with this subsection (t) by the Department of |
State Police. The rulemaking authority granted in this |
subsection (t) shall apply only to those rules adopted prior to |
July 1, 2016. The 24-month limitation on the adoption of |
emergency rules does not apply to rules adopted under this |
subsection (t). The adoption of emergency rules authorized by |
|
this subsection (t) is deemed to be necessary for the public |
interest, safety, and welfare. |
(u) (t) In order to provide for the expeditious and timely |
implementation of the provisions of the Burn Victims Relief |
Act, emergency rules to implement any provision of the Act may |
be adopted in accordance with this subsection (u) (t) by the |
Department of Insurance. The rulemaking authority granted in |
this subsection (u) (t) shall apply only to those rules adopted |
prior to December 31, 2015. The adoption of emergency rules |
authorized by this subsection (u) (t) is deemed to be necessary |
for the public interest, safety, and welfare. |
(Source: P.A. 98-104, eff. 7-22-13; 98-463, eff. 8-16-13; |
98-651, eff. 6-16-14; 99-2, eff. 3-26-15; 99-6, eff. 1-1-16; |
99-143, eff. 7-27-15; 99-455, eff. 1-1-16; revised 10-15-15.)
|
Section 15. The Open Meetings Act is amended by changing |
Section 2 as follows:
|
(5 ILCS 120/2) (from Ch. 102, par. 42)
|
Sec. 2. Open meetings.
|
(a) Openness required. All meetings of public
bodies shall |
be open to the public unless excepted in subsection (c)
and |
closed in accordance with Section 2a.
|
(b) Construction of exceptions. The exceptions contained |
in subsection
(c) are in derogation of the requirement that |
public bodies
meet in the open, and therefore, the exceptions |
|
are to be strictly
construed, extending only to subjects |
clearly within their scope.
The exceptions authorize but do not |
require the holding of
a closed meeting to discuss a subject |
included within an enumerated exception.
|
(c) Exceptions. A public body may hold closed meetings to |
consider the
following subjects:
|
(1) The appointment, employment, compensation, |
discipline, performance,
or dismissal of specific |
employees of the public body or legal counsel for
the |
public body, including hearing
testimony on a complaint |
lodged against an employee of the public body or
against |
legal counsel for the public body to determine its |
validity.
|
(2) Collective negotiating matters between the public |
body and its
employees or their representatives, or |
deliberations concerning salary
schedules for one or more |
classes of employees.
|
(3) The selection of a person to fill a public office,
|
as defined in this Act, including a vacancy in a public |
office, when the public
body is given power to appoint |
under law or ordinance, or the discipline,
performance or |
removal of the occupant of a public office, when the public |
body
is given power to remove the occupant under law or |
ordinance.
|
(4) Evidence or testimony presented in open hearing, or |
in closed
hearing where specifically authorized by law, to
|
|
a quasi-adjudicative body, as defined in this Act, provided |
that the body
prepares and makes available for public |
inspection a written decision
setting forth its |
determinative reasoning.
|
(5) The purchase or lease of real property for the use |
of
the public body, including meetings held for the purpose |
of discussing
whether a particular parcel should be |
acquired.
|
(6) The setting of a price for sale or lease of |
property owned
by the public body.
|
(7) The sale or purchase of securities, investments, or |
investment
contracts. This exception shall not apply to the |
investment of assets or income of funds deposited into the |
Illinois Prepaid Tuition Trust Fund.
|
(8) Security procedures, school building safety and |
security, and the use of personnel and
equipment to respond |
to an actual, a threatened, or a reasonably
potential |
danger to the safety of employees, students, staff, the |
public, or
public
property.
|
(9) Student disciplinary cases.
|
(10) The placement of individual students in special |
education
programs and other matters relating to |
individual students.
|
(11) Litigation, when an action against, affecting or |
on behalf of the
particular public body has been filed and |
is pending before a court or
administrative tribunal, or |
|
when the public body finds that an action is
probable or |
imminent, in which case the basis for the finding shall be
|
recorded and entered into the minutes of the closed |
meeting.
|
(12) The establishment of reserves or settlement of |
claims as provided
in the Local Governmental and |
Governmental Employees Tort Immunity Act, if
otherwise the |
disposition of a claim or potential claim might be
|
prejudiced, or the review or discussion of claims, loss or |
risk management
information, records, data, advice or |
communications from or with respect
to any insurer of the |
public body or any intergovernmental risk management
|
association or self insurance pool of which the public body |
is a member.
|
(13) Conciliation of complaints of discrimination in |
the sale or rental
of housing, when closed meetings are |
authorized by the law or ordinance
prescribing fair housing |
practices and creating a commission or
administrative |
agency for their enforcement.
|
(14) Informant sources, the hiring or assignment of |
undercover personnel
or equipment, or ongoing, prior or |
future criminal investigations, when
discussed by a public |
body with criminal investigatory responsibilities.
|
(15) Professional ethics or performance when |
considered by an advisory
body appointed to advise a |
licensing or regulatory agency on matters
germane to the |
|
advisory body's field of competence.
|
(16) Self evaluation, practices and procedures or |
professional ethics,
when meeting with a representative of |
a statewide association of which the
public body is a |
member.
|
(17) The recruitment, credentialing, discipline or |
formal peer review
of physicians or other
health care |
professionals for a hospital, or
other institution |
providing medical care, that is operated by the public |
body.
|
(18) Deliberations for decisions of the Prisoner |
Review Board.
|
(19) Review or discussion of applications received |
under the
Experimental Organ Transplantation Procedures |
Act.
|
(20) The classification and discussion of matters |
classified as
confidential or continued confidential by |
the State Government Suggestion Award
Board.
|
(21) Discussion of minutes of meetings lawfully closed |
under this Act,
whether for purposes of approval by the |
body of the minutes or semi-annual
review of the minutes as |
mandated by Section 2.06.
|
(22) Deliberations for decisions of the State
|
Emergency Medical Services Disciplinary
Review Board.
|
(23) The operation by a municipality of a municipal |
utility or the
operation of a
municipal power agency or |
|
municipal natural gas agency when the
discussion involves |
(i) contracts relating to the
purchase, sale, or delivery |
of electricity or natural gas or (ii) the results
or |
conclusions of load forecast studies.
|
(24) Meetings of a residential health care facility |
resident sexual
assault and death review
team or
the |
Executive
Council under the Abuse Prevention Review
Team |
Act.
|
(25) Meetings of an independent team of experts under |
Brian's Law. |
(26) Meetings of a mortality review team appointed |
under the Department of Juvenile Justice Mortality Review |
Team Act. |
(27) (Blank). |
(28) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Public Aid Code or (ii) |
that pertain to appeals under Section 11-8 of the Public |
Aid Code. |
(29) Meetings between internal or external auditors |
and governmental audit committees, finance committees, and |
their equivalents, when the discussion involves internal |
control weaknesses, identification of potential fraud risk |
areas, known or suspected frauds, and fraud interviews |
conducted in accordance with generally accepted auditing |
standards of the United States of America. |
(30) Those meetings or portions of meetings of a |
|
fatality review team or the Illinois Fatality Review Team |
Advisory Council during which a review of the death of an |
eligible adult in which abuse or neglect is suspected, |
alleged, or substantiated is conducted pursuant to Section |
15 of the Adult Protective Services Act. |
(31) Meetings and deliberations for decisions of the |
Concealed Carry Licensing Review Board under the Firearm |
Concealed Carry Act. |
(32) Meetings between the Regional Transportation |
Authority Board and its Service Boards when the discussion |
involves review by the Regional Transportation Authority |
Board of employment contracts under Section 28d of the |
Metropolitan Transit Authority Act and Sections 3A.18 and |
3B.26 of the Regional Transportation Authority Act. |
(33) Those meetings meeting or portions of meetings of |
the advisory committee and peer review subcommittee |
created under Section 320 of the Illinois Controlled |
Substances Act during which specific controlled substance |
prescriber, dispenser, or patient information is |
discussed. |
(d) Definitions. For purposes of this Section:
|
"Employee" means a person employed by a public body whose |
relationship
with the public body constitutes an |
employer-employee relationship under
the usual common law |
rules, and who is not an independent contractor.
|
"Public office" means a position created by or under the
|
|
Constitution or laws of this State, the occupant of which is |
charged with
the exercise of some portion of the sovereign |
power of this State. The term
"public office" shall include |
members of the public body, but it shall not
include |
organizational positions filled by members thereof, whether
|
established by law or by a public body itself, that exist to |
assist the
body in the conduct of its business.
|
"Quasi-adjudicative body" means an administrative body |
charged by law or
ordinance with the responsibility to conduct |
hearings, receive evidence or
testimony and make |
determinations based
thereon, but does not include
local |
electoral boards when such bodies are considering petition |
challenges.
|
(e) Final action. No final action may be taken at a closed |
meeting.
Final action shall be preceded by a public recital of |
the nature of the
matter being considered and other information |
that will inform the
public of the business being conducted.
|
(Source: P.A. 98-49, eff. 7-1-13; 98-63, eff. 7-9-13; 98-756, |
eff. 7-16-14; 98-1027, eff. 1-1-15; 98-1039, eff. 8-25-14; |
99-78, eff. 7-20-15; 99-235, eff. 1-1-16; 99-480, eff. 9-9-15; |
revised 10-14-15.)
|
Section 20. The Freedom of Information Act is amended by |
changing Sections 7, 7.5, and 11 as follows:
|
(5 ILCS 140/7) (from Ch. 116, par. 207) |
|
Sec. 7. Exemptions.
|
(1) When a request is made to inspect or copy a public |
record that contains information that is exempt from disclosure |
under this Section, but also contains information that is not |
exempt from disclosure, the public body may elect to redact the |
information that is exempt. The public body shall make the |
remaining information available for inspection and copying. |
Subject to this requirement, the following shall be exempt from |
inspection and copying:
|
(a) Information specifically prohibited from |
disclosure by federal or
State law or rules and regulations |
implementing federal or State law.
|
(b) Private information, unless disclosure is required |
by another provision of this Act, a State or federal law or |
a court order. |
(b-5) Files, documents, and other data or databases |
maintained by one or more law enforcement agencies and |
specifically designed to provide information to one or more |
law enforcement agencies regarding the physical or mental |
status of one or more individual subjects. |
(c) Personal information contained within public |
records, the disclosure of which would constitute a clearly
|
unwarranted invasion of personal privacy, unless the |
disclosure is
consented to in writing by the individual |
subjects of the information. "Unwarranted invasion of |
personal privacy" means the disclosure of information that |
|
is highly personal or objectionable to a reasonable person |
and in which the subject's right to privacy outweighs any |
legitimate public interest in obtaining the information. |
The
disclosure of information that bears on the public |
duties of public
employees and officials shall not be |
considered an invasion of personal
privacy.
|
(d) Records in the possession of any public body |
created in the course of administrative enforcement
|
proceedings, and any law enforcement or correctional |
agency for
law enforcement purposes,
but only to the extent |
that disclosure would:
|
(i) interfere with pending or actually and |
reasonably contemplated
law enforcement proceedings |
conducted by any law enforcement or correctional
|
agency that is the recipient of the request;
|
(ii) interfere with active administrative |
enforcement proceedings
conducted by the public body |
that is the recipient of the request;
|
(iii) create a substantial likelihood that a |
person will be deprived of a fair trial or an impartial |
hearing;
|
(iv) unavoidably disclose the identity of a |
confidential source, confidential information |
furnished only by the confidential source, or persons |
who file complaints with or provide information to |
administrative, investigative, law enforcement, or |
|
penal agencies; except that the identities of |
witnesses to traffic accidents, traffic accident |
reports, and rescue reports shall be provided by |
agencies of local government, except when disclosure |
would interfere with an active criminal investigation |
conducted by the agency that is the recipient of the |
request;
|
(v) disclose unique or specialized investigative |
techniques other than
those generally used and known or |
disclose internal documents of
correctional agencies |
related to detection, observation or investigation of
|
incidents of crime or misconduct, and disclosure would |
result in demonstrable harm to the agency or public |
body that is the recipient of the request;
|
(vi) endanger the life or physical safety of law |
enforcement personnel
or any other person; or
|
(vii) obstruct an ongoing criminal investigation |
by the agency that is the recipient of the request.
|
(d-5) A law enforcement record created for law |
enforcement purposes and contained in a shared electronic |
record management system if the law enforcement agency that |
is the recipient of the request did not create the record, |
did not participate in or have a role in any of the events |
which are the subject of the record, and only has access to |
the record through the shared electronic record management |
system. |
|
(e) Records that relate to or affect the security of |
correctional
institutions and detention facilities.
|
(e-5) Records requested by persons committed to the |
Department of Corrections if those materials are available |
in the library of the correctional facility where the |
inmate is confined. |
(e-6) Records requested by persons committed to the |
Department of Corrections if those materials include |
records from staff members' personnel files, staff |
rosters, or other staffing assignment information. |
(e-7) Records requested by persons committed to the |
Department of Corrections if those materials are available |
through an administrative request to the Department of |
Corrections. |
(f) Preliminary drafts, notes, recommendations, |
memoranda and other
records in which opinions are |
expressed, or policies or actions are
formulated, except |
that a specific record or relevant portion of a
record |
shall not be exempt when the record is publicly cited
and |
identified by the head of the public body. The exemption |
provided in
this paragraph (f) extends to all those records |
of officers and agencies
of the General Assembly that |
pertain to the preparation of legislative
documents.
|
(g) Trade secrets and commercial or financial |
information obtained from
a person or business where the |
trade secrets or commercial or financial information are |
|
furnished under a claim that they are
proprietary, |
privileged or confidential, and that disclosure of the |
trade
secrets or commercial or financial information would |
cause competitive harm to the person or business, and only |
insofar as the claim directly applies to the records |
requested. |
The information included under this exemption includes |
all trade secrets and commercial or financial information |
obtained by a public body, including a public pension fund, |
from a private equity fund or a privately held company |
within the investment portfolio of a private equity fund as |
a result of either investing or evaluating a potential |
investment of public funds in a private equity fund. The |
exemption contained in this item does not apply to the |
aggregate financial performance information of a private |
equity fund, nor to the identity of the fund's managers or |
general partners. The exemption contained in this item does |
not apply to the identity of a privately held company |
within the investment portfolio of a private equity fund, |
unless the disclosure of the identity of a privately held |
company may cause competitive harm. |
Nothing contained in this
paragraph (g) shall be |
construed to prevent a person or business from
consenting |
to disclosure.
|
(h) Proposals and bids for any contract, grant, or |
agreement, including
information which if it were |
|
disclosed would frustrate procurement or give
an advantage |
to any person proposing to enter into a contractor |
agreement
with the body, until an award or final selection |
is made. Information
prepared by or for the body in |
preparation of a bid solicitation shall be
exempt until an |
award or final selection is made.
|
(i) Valuable formulae,
computer geographic systems,
|
designs, drawings and research data obtained or
produced by |
any public body when disclosure could reasonably be |
expected to
produce private gain or public loss.
The |
exemption for "computer geographic systems" provided in |
this paragraph
(i) does not extend to requests made by news |
media as defined in Section 2 of
this Act when the |
requested information is not otherwise exempt and the only
|
purpose of the request is to access and disseminate |
information regarding the
health, safety, welfare, or |
legal rights of the general public.
|
(j) The following information pertaining to |
educational matters: |
(i) test questions, scoring keys and other |
examination data used to
administer an academic |
examination;
|
(ii) information received by a primary or |
secondary school, college, or university under its |
procedures for the evaluation of faculty members by |
their academic peers; |
|
(iii) information concerning a school or |
university's adjudication of student disciplinary |
cases, but only to the extent that disclosure would |
unavoidably reveal the identity of the student; and |
(iv) course materials or research materials used |
by faculty members. |
(k) Architects' plans, engineers' technical |
submissions, and
other
construction related technical |
documents for
projects not constructed or developed in |
whole or in part with public funds
and the same for |
projects constructed or developed with public funds, |
including but not limited to power generating and |
distribution stations and other transmission and |
distribution facilities, water treatment facilities, |
airport facilities, sport stadiums, convention centers, |
and all government owned, operated, or occupied buildings, |
but
only to the extent
that disclosure would compromise |
security.
|
(l) Minutes of meetings of public bodies closed to the
|
public as provided in the Open Meetings Act until the |
public body
makes the minutes available to the public under |
Section 2.06 of the Open
Meetings Act.
|
(m) Communications between a public body and an |
attorney or auditor
representing the public body that would |
not be subject to discovery in
litigation, and materials |
prepared or compiled by or for a public body in
|
|
anticipation of a criminal, civil or administrative |
proceeding upon the
request of an attorney advising the |
public body, and materials prepared or
compiled with |
respect to internal audits of public bodies.
|
(n) Records relating to a public body's adjudication of |
employee grievances or disciplinary cases; however, this |
exemption shall not extend to the final outcome of cases in |
which discipline is imposed.
|
(o) Administrative or technical information associated |
with automated
data processing operations, including but |
not limited to software,
operating protocols, computer |
program abstracts, file layouts, source
listings, object |
modules, load modules, user guides, documentation
|
pertaining to all logical and physical design of |
computerized systems,
employee manuals, and any other |
information that, if disclosed, would
jeopardize the |
security of the system or its data or the security of
|
materials exempt under this Section.
|
(p) Records relating to collective negotiating matters
|
between public bodies and their employees or |
representatives, except that
any final contract or |
agreement shall be subject to inspection and copying.
|
(q) Test questions, scoring keys, and other |
examination data used to determine the qualifications of an |
applicant for a license or employment.
|
(r) The records, documents, and information relating |
|
to real estate
purchase negotiations until those |
negotiations have been completed or
otherwise terminated. |
With regard to a parcel involved in a pending or
actually |
and reasonably contemplated eminent domain proceeding |
under the Eminent Domain Act, records, documents and
|
information relating to that parcel shall be exempt except |
as may be
allowed under discovery rules adopted by the |
Illinois Supreme Court. The
records, documents and |
information relating to a real estate sale shall be
exempt |
until a sale is consummated.
|
(s) Any and all proprietary information and records |
related to the
operation of an intergovernmental risk |
management association or
self-insurance pool or jointly |
self-administered health and accident
cooperative or pool.
|
Insurance or self insurance (including any |
intergovernmental risk management association or self |
insurance pool) claims, loss or risk management |
information, records, data, advice or communications.
|
(t) Information contained in or related to |
examination, operating, or
condition reports prepared by, |
on behalf of, or for the use of a public
body responsible |
for the regulation or supervision of financial
|
institutions or insurance companies, unless disclosure is |
otherwise
required by State law.
|
(u) Information that would disclose
or might lead to |
the disclosure of
secret or confidential information, |
|
codes, algorithms, programs, or private
keys intended to be |
used to create electronic or digital signatures under the
|
Electronic Commerce Security Act.
|
(v) Vulnerability assessments, security measures, and |
response policies
or plans that are designed to identify, |
prevent, or respond to potential
attacks upon a community's |
population or systems, facilities, or installations,
the |
destruction or contamination of which would constitute a |
clear and present
danger to the health or safety of the |
community, but only to the extent that
disclosure could |
reasonably be expected to jeopardize the effectiveness of |
the
measures or the safety of the personnel who implement |
them or the public.
Information exempt under this item may |
include such things as details
pertaining to the |
mobilization or deployment of personnel or equipment, to |
the
operation of communication systems or protocols, or to |
tactical operations.
|
(w) (Blank). |
(x) Maps and other records regarding the location or |
security of generation, transmission, distribution, |
storage, gathering,
treatment, or switching facilities |
owned by a utility, by a power generator, or by the |
Illinois Power Agency.
|
(y) Information contained in or related to proposals, |
bids, or negotiations related to electric power |
procurement under Section 1-75 of the Illinois Power Agency |
|
Act and Section 16-111.5 of the Public Utilities Act that |
is determined to be confidential and proprietary by the |
Illinois Power Agency or by the Illinois Commerce |
Commission.
|
(z) Information about students exempted from |
disclosure under Sections 10-20.38 or 34-18.29 of the |
School Code, and information about undergraduate students |
enrolled at an institution of higher education exempted |
from disclosure under Section 25 of the Illinois Credit |
Card Marketing Act of 2009. |
(aa) Information the disclosure of which is
exempted |
under the Viatical Settlements Act of 2009.
|
(bb) Records and information provided to a mortality |
review team and records maintained by a mortality review |
team appointed under the Department of Juvenile Justice |
Mortality Review Team Act. |
(cc) Information regarding interments, entombments, or |
inurnments of human remains that are submitted to the |
Cemetery Oversight Database under the Cemetery Care Act or |
the Cemetery Oversight Act, whichever is applicable. |
(dd) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Public Aid Code or (ii) |
that pertain to appeals under Section 11-8 of the Public |
Aid Code. |
(ee) The names, addresses, or other personal |
information of persons who are minors and are also |
|
participants and registrants in programs of park |
districts, forest preserve districts, conservation |
districts, recreation agencies, and special recreation |
associations. |
(ff) The names, addresses, or other personal |
information of participants and registrants in programs of |
park districts, forest preserve districts, conservation |
districts, recreation agencies, and special recreation |
associations where such programs are targeted primarily to |
minors. |
(gg) Confidential information described in Section |
1-100 of the Illinois Independent Tax Tribunal Act of 2012. |
(hh) The report submitted to the State Board of |
Education by the School Security and Standards Task Force |
under item (8) of subsection (d) of Section 2-3.160 of the |
School Code and any information contained in that report. |
(ii) Records requested by persons committed to or |
detained by the Department of Human Services under the |
Sexually Violent Persons Commitment Act or committed to the |
Department of Corrections under the Sexually Dangerous |
Persons Act if those materials: (i) are available in the |
library of the facility where the individual is confined; |
(ii) include records from staff members' personnel files, |
staff rosters, or other staffing assignment information; |
or (iii) are available through an administrative request to |
the Department of Human Services or the Department of |
|
Corrections. |
(jj) (ii) Confidential information described in |
Section 5-535 of the Civil Administrative Code of Illinois. |
(1.5) Any information exempt from disclosure under the |
Judicial Privacy Act shall be redacted from public records |
prior to disclosure under this Act. |
(2) A public record that is not in the possession of a |
public body but is in the possession of a party with whom the |
agency has contracted to perform a governmental function on |
behalf of the public body, and that directly relates to the |
governmental function and is not otherwise exempt under this |
Act, shall be considered a public record of the public body, |
for purposes of this Act. |
(3) This Section does not authorize withholding of |
information or limit the
availability of records to the public, |
except as stated in this Section or
otherwise provided in this |
Act.
|
(Source: P.A. 98-463, eff. 8-16-13; 98-578, eff. 8-27-13; |
98-695, eff. 7-3-14; 99-298, eff. 8-6-15; 99-346, eff. 1-1-16; |
revised 1-11-16.)
|
(5 ILCS 140/7.5) |
Sec. 7.5. Statutory exemptions. To the extent provided for |
by the statutes referenced below, the following shall be exempt |
from inspection and copying: |
(a) All information determined to be confidential |
|
under Section 4002 of the Technology Advancement and |
Development Act. |
(b) Library circulation and order records identifying |
library users with specific materials under the Library |
Records Confidentiality Act. |
(c) Applications, related documents, and medical |
records received by the Experimental Organ Transplantation |
Procedures Board and any and all documents or other records |
prepared by the Experimental Organ Transplantation |
Procedures Board or its staff relating to applications it |
has received. |
(d) Information and records held by the Department of |
Public Health and its authorized representatives relating |
to known or suspected cases of sexually transmissible |
disease or any information the disclosure of which is |
restricted under the Illinois Sexually Transmissible |
Disease Control Act. |
(e) Information the disclosure of which is exempted |
under Section 30 of the Radon Industry Licensing Act. |
(f) Firm performance evaluations under Section 55 of |
the Architectural, Engineering, and Land Surveying |
Qualifications Based Selection Act. |
(g) Information the disclosure of which is restricted |
and exempted under Section 50 of the Illinois Prepaid |
Tuition Act. |
(h) Information the disclosure of which is exempted |
|
under the State Officials and Employees Ethics Act, and |
records of any lawfully created State or local inspector |
general's office that would be exempt if created or |
obtained by an Executive Inspector General's office under |
that Act. |
(i) Information contained in a local emergency energy |
plan submitted to a municipality in accordance with a local |
emergency energy plan ordinance that is adopted under |
Section 11-21.5-5 of the Illinois Municipal Code. |
(j) Information and data concerning the distribution |
of surcharge moneys collected and remitted by wireless |
carriers under the Wireless Emergency Telephone Safety |
Act. |
(k) Law enforcement officer identification information |
or driver identification information compiled by a law |
enforcement agency or the Department of Transportation |
under Section 11-212 of the Illinois Vehicle Code. |
(l) Records and information provided to a residential |
health care facility resident sexual assault and death |
review team or the Executive Council under the Abuse |
Prevention Review Team Act. |
(m) Information provided to the predatory lending |
database created pursuant to Article 3 of the Residential |
Real Property Disclosure Act, except to the extent |
authorized under that Article. |
(n) Defense budgets and petitions for certification of |
|
compensation and expenses for court appointed trial |
counsel as provided under Sections 10 and 15 of the Capital |
Crimes Litigation Act. This subsection (n) shall apply |
until the conclusion of the trial of the case, even if the |
prosecution chooses not to pursue the death penalty prior |
to trial or sentencing. |
(o) Information that is prohibited from being |
disclosed under Section 4 of the Illinois Health and |
Hazardous Substances Registry Act. |
(p) Security portions of system safety program plans, |
investigation reports, surveys, schedules, lists, data, or |
information compiled, collected, or prepared by or for the |
Regional Transportation Authority under Section 2.11 of |
the Regional Transportation Authority Act or the St. Clair |
County Transit District under the Bi-State Transit Safety |
Act. |
(q) Information prohibited from being disclosed by the |
Personnel Records Review Act. |
(r) Information prohibited from being disclosed by the |
Illinois School Student Records Act. |
(s) Information the disclosure of which is restricted |
under Section 5-108 of the Public Utilities Act.
|
(t) All identified or deidentified health information |
in the form of health data or medical records contained in, |
stored in, submitted to, transferred by, or released from |
the Illinois Health Information Exchange, and identified |
|
or deidentified health information in the form of health |
data and medical records of the Illinois Health Information |
Exchange in the possession of the Illinois Health |
Information Exchange Authority due to its administration |
of the Illinois Health Information Exchange. The terms |
"identified" and "deidentified" shall be given the same |
meaning as in the Health Insurance Portability and |
Accountability and Portability Act of 1996, Public Law |
104-191, or any subsequent amendments thereto, and any |
regulations promulgated thereunder. |
(u) Records and information provided to an independent |
team of experts under Brian's Law. |
(v) Names and information of people who have applied |
for or received Firearm Owner's Identification Cards under |
the Firearm Owners Identification Card Act or applied for |
or received a concealed carry license under the Firearm |
Concealed Carry Act, unless otherwise authorized by the |
Firearm Concealed Carry Act; and databases under the |
Firearm Concealed Carry Act, records of the Concealed Carry |
Licensing Review Board under the Firearm Concealed Carry |
Act, and law enforcement agency objections under the |
Firearm Concealed Carry Act. |
(w) Personally identifiable information which is |
exempted from disclosure under subsection (g) of Section |
19.1 of the Toll Highway Act. |
(x) Information which is exempted from disclosure |
|
under Section 5-1014.3 of the Counties Code or Section |
8-11-21 of the Illinois Municipal Code. |
(y) Confidential information under the Adult |
Protective Services Act and its predecessor enabling |
statute, the Elder Abuse and Neglect Act, including |
information about the identity and administrative finding |
against any caregiver of a verified and substantiated |
decision of abuse, neglect, or financial exploitation of an |
eligible adult maintained in the Registry established |
under Section 7.5 of the Adult Protective Services Act. |
(z) Records and information provided to a fatality |
review team or the Illinois Fatality Review Team Advisory |
Council under Section 15 of the Adult Protective Services |
Act. |
(aa) Information which is exempted from disclosure |
under Section 2.37 of the Wildlife Code. |
(bb) Information which is or was prohibited from |
disclosure by the Juvenile Court Act of 1987. |
(cc) (bb) Recordings made under the Law Enforcement |
Officer-Worn Body Camera Act, except to the extent |
authorized under that Act. |
(Source: P.A. 98-49, eff. 7-1-13; 98-63, eff. 7-9-13; 98-756, |
eff. 7-16-14; 98-1039, eff. 8-25-14; 98-1045, eff. 8-25-14; |
99-78, eff. 7-20-15; 99-298, eff. 8-6-15; 99-352, eff. 1-1-16; |
revised 10-14-15.)
|
|
(5 ILCS 140/11) (from Ch. 116, par. 211)
|
Sec. 11.
(a) Any person denied access to inspect or copy |
any public
record by a public body
may file suit for injunctive |
or
declaratory relief.
|
(b) Where the denial is from a public body of the State, |
suit
may be filed in the circuit court for the county where the |
public body has
its principal office or where the person denied |
access resides.
|
(c) Where the denial is from a municipality or other public
|
body, except as provided in subsection (b) of this Section, |
suit may be filed
in the circuit court for the county where the |
public body is located.
|
(d) The circuit court shall have the jurisdiction to enjoin |
the public
body from withholding public records and to order |
the production of any
public records improperly withheld from |
the person seeking access. If the
public body can show that |
exceptional circumstances exist, and that the
body is |
exercising due diligence in responding to the request, the |
court
may retain jurisdiction and allow the agency additional |
time to complete
its review of the records.
|
(e) On motion of the plaintiff, prior to or after in camera
|
inspection, the court shall order the public body
to provide an |
index of the records to which access has been denied. The
index |
shall include the following:
|
(i) A description of the nature or contents of each |
document
withheld, or each deletion from a released |
|
document, provided, however,
that the public body shall not |
be required to disclose the information
which it asserts is |
exempt; and
|
(ii) A statement of the exemption or exemptions claimed |
for each such
deletion or withheld document.
|
(f) In any action considered by the court, the court shall |
consider the
matter de novo, and shall conduct such in camera |
examination of the requested
records as it finds appropriate to |
determine if such records or any part
thereof may be withheld |
under any provision of this Act. The burden shall
be on the |
public body to establish that its refusal to permit public |
inspection
or copying is in accordance with the provisions of |
this Act. Any public body that asserts that a record is exempt |
from disclosure has the burden of proving that it is exempt by |
clear and convincing evidence.
|
(g) In the event of noncompliance with an order of the |
court to disclose,
the court may enforce its order against any |
public official or employee
so ordered or primarily responsible |
for such noncompliance through the court's
contempt powers.
|
(h) Except as to causes the court considers to be of |
greater importance,
proceedings arising under this Section |
shall take precedence on the docket
over all other causes and |
be assigned for hearing and trial at the earliest
practicable |
date and expedited in every way.
|
(i) If a person seeking the right to inspect or receive a |
copy of a public
record prevails in a
proceeding under this |
|
Section, the court shall award such
person reasonable |
attorney's attorneys' fees and costs. In determining what |
amount of attorney's fees is reasonable, the court shall |
consider the degree to which the relief obtained relates to the |
relief sought. The changes contained in this subsection apply |
to an action filed on or after January 1, 2010 ( the effective |
date of Public Act 96-542) this amendatory Act of the 96th |
General Assembly .
|
(j) If the court determines that a public body willfully |
and intentionally failed to comply with this Act, or otherwise |
acted in bad faith, the court shall also impose upon the public |
body a civil penalty of not less than $2,500 nor more than |
$5,000 for each occurrence. In assessing the civil penalty, the |
court shall consider in aggravation or mitigation the budget of |
the public body and whether the public body has previously been |
assessed penalties for violations of this Act. The changes |
contained in this subsection apply to an action filed on or |
after January 1, 2010 ( the effective date of Public Act 96-542) |
this amendatory Act of the 96th General Assembly . |
(Source: P.A. 96-542, eff. 1-1-10; 97-813, eff. 7-13-12; |
revised 10-14-15.)
|
Section 25. The State Records Act is amended by changing |
Section 9 as follows:
|
(5 ILCS 160/9) (from Ch. 116, par. 43.12)
|
|
Sec. 9.
The head of each agency shall establish , and |
maintain an active,
continuing program for the economical and |
efficient management of the
records of the agency.
|
Such program:
|
(1) shall provide for effective controls over the |
creation, maintenance,
and use of records in the conduct of |
current business and shall ensure that
agency electronic |
records, as specified in Section 5-135 of the Electronic
|
Commerce Security Act, are retained in a trustworthy manner |
so that the
records, and the information contained in the |
records, are accessible and
usable for reference
for the |
duration of the retention period; all computer tape or disk |
maintenance
and preservation procedures
must be fully |
applied and, if equipment or programs providing access to |
the
records are updated or replaced, the existing data must |
remain accessible in
the successor format for the duration |
of the approved retention period;
|
(2) shall provide for cooperation with the Secretary in |
appointing a
records officer and in applying
standards, |
procedures, and techniques to improve the management of |
records,
promote the maintenance and security of records |
deemed appropriate for
preservation, and facilitate the |
segregation and disposal of records of
temporary value; and
|
(3) shall provide for compliance with the provisions of |
this Act and the
rules and regulations issued thereunder. |
If an agency has delegated its authority to retain records |
|
to another agency, then the delegate agency shall maintain the |
same, or a more diligent, record retention methodology and |
record retention period as the original agency's program. If |
the delegate is from the legislative or judicial branch, then |
the delegate may use the same record retention methodology and |
record retention period that the delegate uses for similar |
records.
|
(Source: P.A. 97-932, eff. 8-10-12; revised 10-13-15.)
|
Section 30. The Filing of Copies Act is amended by changing |
Section 2 as follows:
|
(5 ILCS 165/2) (from Ch. 116, par. 102)
|
Sec. 2.
In order to be acceptable for filing , reproduced |
copies shall
conform to the following standards:
|
(a) be Be facsimiles of the official form, produced by |
photo-offset,
photoengraving, photocopying, or other |
similar reproduction process;
|
(b) be Be on paper of substantially the same weight and |
texture and of a
quality at least as good as that used in |
the official form;
|
(c) substantially Substantially duplicate the colors |
of the official form;
|
(d) have Have a high degree of legibility, both as to |
the original form and
as to matter filled in ; the . The |
agency with which a report is required to be
filed may |
|
reject any illegible reproduction and reject any process |
which
fails to meet this standard;
|
(e) be Be on paper perforated in the same manner as the |
official form; and
|
(f) be Be of the same size as the official form, both |
as to the dimensions
of the paper and the image produced.
|
(Source: Laws 1961, p. 2551; revised 10-13-15.)
|
Section 35. The Intergovernmental Cooperation Act is |
amended by changing Section 3.5 as follows:
|
(5 ILCS 220/3.5) (from Ch. 127, par. 743.5)
|
Sec. 3.5.
Any expenditure of funds by a public agency |
organized pursuant
to an intergovernmental agreement in |
accordance with the provisions of this
Act and consisting of 5 |
public agencies or less, except for an
intergovernmental risk |
management association, self-insurance pool or
|
self-administered health and accident cooperative or pool, |
shall be in
accordance with the Illinois Purchasing Act if the |
State is a party to the
agreement, and shall be in accordance |
with any law or ordinance applicable
to the public agency with |
the largest population which is a party to the
agreement if the |
State is not a party to the agreement. If the State is
not a |
party to the agreement and there is no such applicable law or
|
ordinance, all purchases shall be subject to the provisions of |
the Governmental Joint Purchasing Act "An Act
authorizing |
|
certain governmental units to purchase personal property,
|
supplies and services jointly", approved August 15, 1961, as |
amended .
Such self-insurance or insurance pools may enter into |
reinsurance
agreements for the protection of their members.
|
(Source: P.A. 84-1431; revised 10-13-15.)
|
Section 40. The Election Code is amended by changing |
Sections 10-10, 11-6, and 19-12.1 as follows:
|
(10 ILCS 5/10-10) (from Ch. 46, par. 10-10)
|
Sec. 10-10. Within 24 hours after the receipt of the |
certificate of
nomination or nomination papers or proposed |
question of public
policy, as the case may be, and the |
objector's petition, the chairman
of the electoral board other |
than the State Board of Elections shall
send a call by |
registered or certified mail to each of the members of the
|
electoral board, and to the objector who filed the objector's |
petition, and
either to the candidate whose certificate of |
nomination or nomination
papers are objected to or to the |
principal proponent or attorney for
proponents of a question of |
public policy, as the case may be, whose
petitions are objected |
to, and shall also cause the sheriff of the county
or counties |
in which such officers and persons reside to serve a copy of
|
such call upon each of such officers and persons, which call |
shall set out
the fact that the electoral board is required to |
meet to hear and pass upon
the objections to nominations made |
|
for the office, designating it, and
shall state the day, hour |
and place at which the electoral board shall meet
for the |
purpose, which place shall be in the
county court house in the |
county in the case of the County Officers
Electoral Board, the |
Municipal Officers Electoral Board, the Township
Officers |
Electoral Board or the Education Officers Electoral Board, |
except that the Municipal Officers Electoral Board, the |
Township Officers Electoral Board, and the Education Officers |
Electoral Board may meet at the location where the governing |
body of the municipality, township, or community college |
district, respectively, holds its regularly scheduled |
meetings, if that location is available; provided that voter |
records may be removed from the offices of an election |
authority only at the discretion and under the supervision of |
the election authority.
In
those cases where the State Board of |
Elections is the electoral board
designated under Section 10-9, |
the chairman of the State Board of Elections
shall, within 24 |
hours after the receipt of the certificate of nomination
or |
nomination papers or petitions for a proposed amendment to |
Article IV of
the Constitution or proposed statewide question |
of public policy, send a
call by registered or certified mail |
to the objector who files the
objector's petition, and either |
to the candidate whose certificate of
nomination or nomination |
papers are objected to or to the principal
proponent or |
attorney for proponents of the proposed Constitutional
|
amendment or statewide question of public policy and shall |
|
state the day,
hour , and place at which the electoral board |
shall meet for the purpose,
which place may be in the Capitol |
Building or in the principal or permanent
branch office of the |
State Board. The day of the meeting shall not be less
than 3 |
nor more than 5 days after the receipt of the certificate of
|
nomination or nomination papers and the objector's petition by |
the chairman
of the electoral board.
|
The electoral board shall have the power to administer |
oaths and to
subpoena and examine witnesses and, at the request |
of either party and only upon a vote by a majority of its |
members, may authorize the
chairman to issue subpoenas |
requiring the attendance of witnesses and
subpoenas duces tecum |
requiring the production of such books, papers,
records and |
documents as may be evidence of any matter under inquiry
before |
the electoral board, in the same manner as witnesses are
|
subpoenaed in the Circuit Court.
|
Service of such subpoenas shall be made by any sheriff or |
other
person in the same manner as in cases in such court and |
the fees of such
sheriff shall be the same as is provided by |
law, and shall be paid by
the objector or candidate who causes |
the issuance of the subpoena. In
case any person so served |
shall knowingly neglect or refuse to obey any
such subpoena, or |
to testify, the electoral board shall at once file a
petition |
in the circuit court of the county in which such hearing is to
|
be heard, or has been attempted to be heard, setting forth the |
facts, of
such knowing refusal or neglect, and accompanying the |
|
petition with a
copy of the citation and the answer, if one has |
been filed, together
with a copy of the subpoena and the return |
of service thereon, and shall
apply for an order of court |
requiring such person to attend and testify,
and forthwith |
produce books and papers, before the electoral board. Any
|
circuit court of the state, excluding the judge who is sitting |
on the electoral
board, upon such showing shall order such |
person to appear and testify,
and to forthwith produce such |
books and papers, before the electoral board
at a place to be |
fixed by the court. If such person shall knowingly fail
or |
refuse to obey such order of the court without lawful excuse, |
the court
shall punish him or her by fine and imprisonment, as |
the nature of the case
may require and may be lawful in cases |
of contempt of court.
|
The electoral board on the first day of its meeting shall |
adopt rules
of procedure for the introduction of evidence and |
the presentation of
arguments and may, in its discretion, |
provide for the filing of briefs
by the parties to the |
objection or by other interested persons.
|
In the event of a State Electoral Board hearing on |
objections to a
petition for an amendment to Article IV of the |
Constitution
pursuant to Section 3 of Article XIV of the |
Constitution, or to a
petition for a question of public policy |
to be submitted to the
voters of the entire State, the |
certificates of the county clerks and boards
of election |
commissioners showing the results of the random sample of
|
|
signatures on the petition shall be prima facie valid and |
accurate, and
shall be presumed to establish the number of |
valid and invalid
signatures on the petition sheets reviewed in |
the random sample, as prescribed
in Section 28-11 and 28-12 of |
this Code. Either party, however, may introduce
evidence at |
such hearing to dispute the findings as to particular |
signatures.
In addition to the foregoing, in the absence of |
competent evidence presented
at such hearing by a party |
substantially challenging the results of a random
sample, or |
showing a different result obtained by an additional sample,
|
this certificate of a county clerk or board of election |
commissioners shall
be presumed to establish the ratio of valid |
to invalid signatures within
the particular election |
jurisdiction.
|
The electoral board shall take up the question as to |
whether or not
the certificate of nomination or nomination |
papers or petitions are in
proper form, and whether or not they |
were filed within the time and
under the conditions required by |
law, and whether or not they are the
genuine certificate of |
nomination or nomination papers or petitions
which they purport |
to be, and whether or not in the case of the
certificate of |
nomination in question it represents accurately the
decision of |
the caucus or convention issuing it, and in general shall
|
decide whether or not the certificate of nomination or |
nominating papers
or petitions on file are valid or whether the |
objections thereto should
be sustained and the decision of a |
|
majority of the electoral board shall
be final subject to |
judicial review as provided in Section 10-10.1. The
electoral |
board must state its findings in writing and must state in
|
writing which objections, if any, it has sustained. A copy of |
the decision shall be served upon the parties to the |
proceedings in open proceedings before the electoral board. If |
a party does not appear for receipt of the decision, the |
decision shall be deemed to have been served on the absent |
party on the date when a copy of the decision is personally |
delivered or on the date when a copy of the decision is |
deposited in the United Unites States mail, in a sealed |
envelope or package, with postage prepaid, addressed to each |
party affected by the decision or to such party's attorney of |
record, if any, at the address on record for such person in the |
files of the electoral board.
|
Upon the expiration of the period within which a proceeding |
for
judicial review must be commenced under Section 10-10.1, |
the electoral
board shall, unless a proceeding for judicial |
review has been commenced
within such period, transmit, by |
registered or certified mail, a
certified copy of its ruling, |
together with the original certificate of
nomination or |
nomination papers or petitions and the original objector's
|
petition, to the officer or board with whom the certificate of
|
nomination or nomination papers or petitions, as objected to, |
were on
file, and such officer or board shall abide by and |
comply with the
ruling so made to all intents and purposes.
|
|
(Source: P.A. 98-115, eff. 7-29-13; 98-691, eff. 7-1-14; 99-78, |
eff. 7-20-15; revised 10-14-15.)
|
(10 ILCS 5/11-6) (from Ch. 46, par. 11-6)
|
Sec. 11-6.
Within 60 days after July 1, 2014 ( the effective |
date of Public Act 98-691) this amendatory Act of the 98th |
General Assembly , each election authority shall transmit to the |
principal office of the State Board of
Elections and publish on |
any website maintained by the election authority maps in |
electronic portable document format (PDF) (.PDF) showing the |
current boundaries of all the precincts within its |
jurisdiction. Whenever election precincts in an election |
jurisdiction have been redivided or readjusted, the county |
board or board of election commissioners shall prepare maps in |
electronic portable document format (PDF) (.PDF) showing such |
election precinct boundaries no later than 90 days before the |
next scheduled election. The maps shall show the boundaries of |
all political subdivisions and districts. The county board or |
board of election commissioners shall immediately forward |
copies thereof to the chairman of each county central committee |
in the county, to each township, ward, or precinct |
committeeman, and each local election official whose political |
subdivision is wholly or partly in the county and, upon |
request, shall furnish copies thereof to each candidate for |
political or public office in the county and shall transmit |
copies thereof to the principal office of the State Board of |
|
Elections and publish copies thereof on any website maintained |
by the election authority.
|
(Source: P.A. 98-691, eff. 7-1-14; revised 10-14-15.)
|
(10 ILCS 5/19-12.1) (from Ch. 46, par. 19-12.1)
|
Sec. 19-12.1.
Any qualified elector who has secured an |
Illinois
Person with a Disability Identification Card in |
accordance with the Illinois
Identification Card Act, |
indicating that the person named thereon has a Class
1A or |
Class 2 disability or any qualified voter who has a permanent |
physical
incapacity of such a nature as to make it improbable |
that he will be
able to be present at the polls at any future |
election, or any
voter who is a resident of (i) a federally |
operated veterans' home, hospital, or facility located in |
Illinois or (ii) a facility licensed or certified pursuant to
|
the Nursing Home Care Act, the Specialized Mental Health |
Rehabilitation Act of 2013, the ID/DD Community Care Act, or |
the MC/DD Act and has a condition or disability of
such a |
nature as to make it improbable that he will be able to be |
present
at the polls at any future election, may secure a |
voter's identification card for persons with disabilities or a
|
nursing home resident's identification card, which will enable |
him to vote
under this Article as a physically incapacitated or |
nursing home voter. For the purposes of this Section, |
"federally operated veterans' home, hospital, or facility" |
means the long-term care facilities at the Jesse Brown VA |
|
Medical Center, Illiana Health Care System, Edward Hines, Jr. |
VA Hospital, Marion VA Medical Center, and Captain James A. |
Lovell Federal Health Care Center.
|
Application for a voter's identification card for persons |
with disabilities or a nursing home resident's
identification |
card shall be made either: (a) in writing, with voter's
sworn |
affidavit, to the county clerk or board of election |
commissioners, as
the case may be, and shall be accompanied
by |
the affidavit of the attending physician specifically |
describing the
nature of the physical incapacity or the fact |
that the voter is a nursing
home resident and is physically |
unable to be present at the polls on election
days; or (b) by |
presenting, in writing or otherwise, to the county clerk
or |
board of election commissioners, as the case may be, proof that |
the
applicant has secured an Illinois Person with a Disability |
Identification Card
indicating that the person named thereon |
has a Class 1A or Class 2 disability.
Upon the receipt of |
either the sworn-to
application and the physician's affidavit |
or proof that the applicant has
secured an Illinois Person with |
a Disability Identification Card indicating that the
person |
named thereon has a Class 1A or Class 2 disability, the county |
clerk
or board of election commissioners shall issue a voter's |
identification card for persons with disabilities or a
nursing |
home resident's identification
card. Such identification cards |
shall be issued for a
period of 5 years, upon the expiration of |
which time the voter may
secure a new card by making |
|
application in the same manner as is
prescribed for the |
issuance of an original card, accompanied by a new
affidavit of |
the attending physician. The date of expiration of such
|
five-year period shall be made known to any interested person |
by the
election authority upon the request of such person. |
Applications for the
renewal of the identification cards shall |
be mailed to the voters holding
such cards not less than 3 |
months prior to the date of expiration of the cards.
|
Each voter's identification card for persons with |
disabilities or nursing home resident's identification card
|
shall bear an identification number, which shall be clearly |
noted on the voter's
original and duplicate registration record |
cards. In the event the
holder becomes physically capable of |
resuming normal voting, he must
surrender his voter's |
identification card for persons with disabilities or nursing |
home resident's identification
card to the county clerk or |
board of election commissioners before the next election.
|
The holder of a voter's identification card for persons |
with disabilities or a nursing home resident's
identification |
card may make application by mail for an official ballot
within |
the time prescribed by Section 19-2. Such application shall |
contain
the same information as is
included in the form of |
application for ballot by a physically
incapacitated elector |
prescribed in Section 19-3 except that it shall
also include |
the applicant's voter's identification card for persons with |
disabilities card number
and except that it need not be sworn |
|
to. If an examination of the records
discloses that the |
applicant is lawfully entitled to vote, he shall be
mailed a |
ballot as provided in Section 19-4. The ballot envelope shall
|
be the same as that prescribed in Section 19-5 for voters with |
physical disabilities, and the manner of voting and returning |
the ballot shall be the
same as that provided in this Article |
for other vote by mail ballots, except
that a statement to be |
subscribed to by the voter but which need not be
sworn to shall |
be placed on the ballot envelope in lieu of the affidavit
|
prescribed by Section 19-5.
|
Any person who knowingly subscribes to a false statement in
|
connection with voting under this Section shall be guilty of a |
Class A
misdemeanor.
|
For the purposes of this Section, "nursing home resident" |
includes a resident of (i) a federally operated veterans' home, |
hospital, or facility located in Illinois or (ii) a facility |
licensed under the ID/DD Community Care Act, the MC/DD Act, or |
the Specialized Mental Health Rehabilitation Act of 2013. For |
the purposes of this Section, "federally operated veterans' |
home, hospital, or facility" means the long-term care |
facilities at the Jesse Brown VA Medical Center, Illiana Health |
Care System, Edward Hines, Jr. VA Hospital, Marion VA Medical |
Center, and Captain James A. Lovell Federal Health Care Center. |
(Source: P.A. 98-104, eff. 7-22-13; 98-1171, eff. 6-1-15; |
99-143, eff. 7-27-15; 99-180, eff. 7-29-15; revised 10-14-15.)
|
|
Section 45. The Secretary of State Merit Employment Code is |
amended by changing Section 10a as follows:
|
(15 ILCS 310/10a) (from Ch. 124, par. 110a)
|
Sec. 10a. Jurisdiction A - classification and pay. For |
positions in the
Office of the Secretary of State with respect |
to the classification and pay:
|
(1) For the preparation, maintenance , and revision by |
the Director, subject
to approval by the Commission, of a |
position classification plan for all
positions subject to |
this Act, based upon similarity of duties performed,
|
responsibilities assigned, and conditions of employment so |
that the same
schedule of pay may be equitably applied to |
all positions in the same class.
Unless the Commission |
disapproves such classification plan or any revision
|
thereof within 30 calendar days, the Director shall |
allocate every such
position to one of the classes in the |
plan. Any employee affected by the
allocation of a position |
to a class shall after filing with the Director
of |
Personnel within 30 calendar days of the allocation a |
request for reconsideration
thereof in such manner and form |
as the Director may prescribe, be given
a reasonable |
opportunity to be heard by the Director. If the employee |
does
not accept the decision of the Director he may, within |
15 calendar days
after receipt of the reconsidered |
decision, appeal to the Merit Commission.
|
|
(2) For a pay plan to be prepared by the Director for |
all employees subject
to this Act. Such pay plan may |
include provisions for uniformity of starting
pay, an |
increment plan, area differentials, a delay not to exceed |
one year
in the reduction of the pay of employees whose |
positions are reduced in
rank or grade by reallocation |
because of a loss of duties or responsibilities
after their |
appointments to such positions, prevailing rates of wages |
in
those classifications in which employers are now paying |
or may hereafter
pay such rates of wage and other |
provisions. Such pay plan shall become
effective only after |
it has been approved by the Secretary of State. Amendments
|
to the pay plan will be made in the same manner. Such pay |
plan shall provide
that each employee shall be paid at one |
of the rates set forth in the pay
plan for the class of |
position in which he is employed. Such pay plan shall
|
provide for a fair and reasonable compensation for far |
services rendered.
|
(Source: P.A. 80-13; revised 10-13-15.)
|
Section 50. The Illinois Identification Card Act is amended |
by changing Sections 2, 4, and 14C as follows:
|
(15 ILCS 335/2) (from Ch. 124, par. 22)
|
Sec. 2. Administration and powers and duties of the |
Administrator. |
|
(a) The Secretary of State is the Administrator of this |
Act, and he is
charged with the duty of observing, |
administering and enforcing the
provisions of this Act.
|
(b) The Secretary is vested with the powers and duties for |
the
proper administration of this Act as follows:
|
1. He shall organize the administration of this Act as |
he may deem
necessary and appoint such subordinate |
officers, clerks and other
employees as may be necessary.
|
2. From time to time, he may make, amend or rescind |
rules and
regulations as may be in the public interest to |
implement the Act.
|
3. He may prescribe or provide suitable forms as |
necessary, including
such forms as are necessary to |
establish that an applicant for an Illinois
Person with a |
Disability Identification Card is a "person with a |
disability" as defined in
Section 4A of this Act, and |
establish that an applicant for a State identification card |
is a "homeless person" as defined in Section 1A of this |
Act.
|
4. He may prepare under the seal of the Secretary of |
State certified
copies of any records utilized under this |
Act and any such certified
copy shall be admissible in any |
proceeding in any court in like manner
as the original |
thereof.
|
5. Records compiled under this Act shall be maintained |
for 6 years,
but the Secretary may destroy such records |
|
with the prior approval of
the State Records Commission.
|
6. He shall examine and determine the genuineness, |
regularity and
legality of every application filed with him |
under this Act, and he may
in all cases investigate the |
same, require additional information or
proof or |
documentation from any applicant.
|
7. He shall require the payment of all fees prescribed |
in this Act,
and all such fees received by him shall be |
placed in the Road Fund of the
State treasury except as |
otherwise provided in Section 12 of this Act. Whenever any |
application to the Secretary for an identification card |
under this Act is accompanied by any fee, as required by |
law, and the application is denied after a review of |
eligibility, which may include facial recognition |
comparison, the applicant shall not be entitled to a refund |
of any fees paid.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-305, eff. 1-1-16; |
revised 10-14-15.)
|
(15 ILCS 335/4) (from Ch. 124, par. 24)
|
Sec. 4. Identification Card.
|
(a) The Secretary of State shall issue a
standard Illinois |
Identification Card to any natural person who is a resident
of |
the State of Illinois who applies for such card, or renewal |
thereof,
or who applies for a standard Illinois Identification |
Card upon release as a
committed person on parole, mandatory |
|
supervised release, aftercare release, final discharge, or
|
pardon from the Department of Corrections or Department of |
Juvenile Justice by submitting an identification card
issued by |
the Department of Corrections or Department of Juvenile Justice |
under Section 3-14-1 or Section 3-2.5-70 of the Unified
Code of |
Corrections,
together with the prescribed fees. No |
identification card shall be issued to any person who holds a |
valid
foreign state
identification card, license, or permit |
unless the person first surrenders to
the Secretary of
State |
the valid foreign state identification card, license, or |
permit. The card shall be prepared and
supplied by the |
Secretary of State and shall include a photograph and signature |
or mark of the
applicant. However, the Secretary of State may |
provide by rule for the issuance of Illinois Identification |
Cards without photographs if the applicant has a bona fide |
religious objection to being photographed or to the display of |
his or her photograph. The Illinois Identification Card may be |
used for
identification purposes in any lawful situation only |
by the person to
whom it was issued.
As used in this Act, |
"photograph" means any color photograph or digitally
produced |
and captured image of an applicant for an identification card. |
As
used in this Act, "signature" means the name of a person as |
written by that
person and captured in a manner acceptable to |
the Secretary of State. |
(a-5) If an applicant for an identification card has a |
current driver's license or instruction permit issued by the |
|
Secretary of State, the Secretary may require the applicant to |
utilize the same residence address and name on the |
identification card, driver's license, and instruction permit |
records maintained by the Secretary. The Secretary may |
promulgate rules to implement this provision.
|
(a-10) If the applicant is a judicial officer as defined in |
Section 1-10 of the Judicial Privacy Act or a peace officer, |
the applicant may elect to have his or her office or work |
address listed on the card instead of the applicant's residence |
or mailing address. The Secretary may promulgate rules to |
implement this provision. For the purposes of this subsection |
(a-10), "peace officer" means any person who by virtue of his |
or her office or public employment is vested by law with a duty |
to maintain public order or to make arrests for a violation of |
any penal statute of this State, whether that duty extends to |
all violations or is limited to specific violations. |
(a-15) The Secretary of State may provide for an expedited |
process for the issuance of an Illinois Identification Card. |
The Secretary shall charge an additional fee for the expedited |
issuance of an Illinois Identification Card, to be set by rule, |
not to exceed $75. All fees collected by the Secretary for |
expedited Illinois Identification Card service shall be |
deposited into the Secretary of State Special Services Fund. |
The Secretary may adopt rules regarding the eligibility, |
process, and fee for an expedited Illinois Identification Card. |
If the Secretary of State determines that the volume of |
|
expedited identification card requests received on a given day |
exceeds the ability of the Secretary to process those requests |
in an expedited manner, the Secretary may decline to provide |
expedited services, and the additional fee for the expedited |
service shall be refunded to the applicant. |
(b) The Secretary of State shall issue a special Illinois
|
Identification Card, which shall be known as an Illinois Person |
with a Disability
Identification Card, to any natural person |
who is a resident of the State
of Illinois, who is a person |
with a disability as defined in Section 4A of this Act,
who |
applies for such card, or renewal thereof. No Illinois Person |
with a Disability Identification Card shall be issued to any |
person who
holds a valid
foreign state identification card, |
license, or permit unless the person first
surrenders to the
|
Secretary of State the valid foreign state identification card, |
license, or
permit. The Secretary of State
shall charge no fee |
to issue such card. The card shall be prepared and
supplied by |
the Secretary of State, and shall include a photograph and |
signature or mark of the
applicant, a designation indicating |
that the card is an Illinois
Person with a Disability |
Identification Card, and shall include a comprehensible |
designation
of the type and classification of the applicant's |
disability as set out in
Section 4A of this Act. However, the |
Secretary of State may provide by rule for the issuance of |
Illinois Person with a Disability Identification Cards without |
photographs if the applicant has a bona fide religious |
|
objection to being photographed or to the display of his or her |
photograph. If the applicant so requests, the card shall
|
include a description of the applicant's disability and any |
information
about the applicant's disability or medical |
history which the Secretary
determines would be helpful to the |
applicant in securing emergency medical
care. If a mark is used |
in lieu of a signature, such mark
shall be affixed to the card |
in the presence of two witnesses who attest to
the authenticity |
of the mark. The Illinois
Person with a Disability |
Identification Card may be used for identification purposes
in |
any lawful situation by the person to whom it was issued.
|
The Illinois Person with a Disability Identification Card |
may be used as adequate
documentation of disability in lieu of |
a physician's determination of
disability, a determination of |
disability from a physician assistant, a determination of |
disability from an advanced practice
nurse , or any
other |
documentation
of disability whenever
any
State law
requires |
that a person with a disability provide such documentation of |
disability,
however an Illinois Person with a Disability |
Identification Card shall not qualify
the cardholder to |
participate in any program or to receive any benefit
which is |
not available to all persons with like disabilities.
|
Notwithstanding any other provisions of law, an Illinois Person |
with a Disability
Identification Card, or evidence that the |
Secretary of State has issued an
Illinois Person with a |
Disability Identification Card, shall not be used by any
person |
|
other than the person named on such card to prove that the |
person
named on such card is a person with a disability or for |
any other purpose unless the
card is used for the benefit of |
the person named on such card, and the
person named on such |
card consents to such use at the time the card is so used.
|
An optometrist's determination of a visual disability |
under Section 4A of this Act is acceptable as documentation for |
the purpose of issuing an Illinois Person with a Disability |
Identification Card. |
When medical information is contained on an Illinois Person |
with a Disability
Identification Card, the Office of the |
Secretary of State shall not be
liable for any actions taken |
based upon that medical information.
|
(c) The Secretary of State shall provide
that each original |
or renewal Illinois Identification Card or Illinois
Person with |
a Disability Identification Card issued to a person under the |
age of 21
shall be of a distinct nature from those Illinois |
Identification Cards or
Illinois Person with a Disability |
Identification Cards issued to individuals 21
years of age or |
older. The color designated for Illinois Identification
Cards |
or Illinois Person with a Disability Identification Cards for |
persons under
the age of 21 shall be at the discretion of the |
Secretary of State.
|
(c-1) Each original or renewal Illinois
Identification |
Card or Illinois Person with a Disability Identification Card |
issued to
a person under the age of 21 shall display the date |
|
upon which the person
becomes 18 years of age and the date upon |
which the person becomes 21 years of
age.
|
(c-3) The General Assembly recognizes the need to identify |
military veterans living in this State for the purpose of |
ensuring that they receive all of the services and benefits to |
which they are legally entitled, including healthcare, |
education assistance, and job placement. To assist the State in |
identifying these veterans and delivering these vital services |
and benefits, the Secretary of State is authorized to issue |
Illinois Identification Cards and Illinois Person with a |
Disability Identification Cards with the word "veteran" |
appearing on the face of the cards. This authorization is |
predicated on the unique status of veterans. The Secretary may |
not issue any other identification card which identifies an |
occupation, status, affiliation, hobby, or other unique |
characteristics of the identification card holder which is |
unrelated to the purpose of the identification card.
|
(c-5) Beginning on or before July 1, 2015, the Secretary of |
State shall designate a space on each original or renewal |
identification card where, at the request of the applicant, the |
word "veteran" shall be placed. The veteran designation shall |
be available to a person identified as a veteran under |
subsection (b) of Section 5 of this Act who was discharged or |
separated under honorable conditions. |
(d) The Secretary of State may issue a Senior Citizen
|
discount card, to any natural person who is a resident of the |
|
State of
Illinois who is 60 years of age or older and who |
applies for such a card or
renewal thereof. The Secretary of |
State shall charge no fee to issue such
card. The card shall be |
issued in every county and applications shall be
made available |
at, but not limited to, nutrition sites, senior citizen
centers |
and Area Agencies on Aging. The applicant, upon receipt of such
|
card and prior to its use for any purpose, shall have affixed |
thereon in
the space provided therefor his signature or mark.
|
(e) The Secretary of State, in his or her discretion, may |
designate on each Illinois
Identification Card or Illinois |
Person with a Disability Identification Card a space where the |
card holder may place a sticker or decal, issued by the |
Secretary of State, of uniform size as the Secretary may |
specify, that shall indicate in appropriate language that the |
card holder has renewed his or her Illinois
Identification Card |
or Illinois Person with a Disability Identification Card. |
(Source: P.A. 98-323, eff. 1-1-14; 98-463, eff. 8-16-13; |
98-558, eff. 1-1-14; 98-756, eff. 7-16-14; 99-143, eff. |
7-27-15; 99-173, eff. 7-29-15; 99-305, eff. 1-1-16; revised |
10-14-15.)
|
(15 ILCS 335/14C) (from Ch. 124, par. 34C)
|
Sec. 14C. Making false application or affidavit.
|
(a) It is a violation of this Section for any person:
|
1. To display or present any document for the purpose |
of making
application for an Illinois Identification Card |
|
or Illinois Person with a Disability
Identification Card |
knowing that such document contains false information
|
concerning the identity of the applicant;
|
2. To accept or allow to be accepted any document |
displayed or
presented for the purpose of making |
application for an Illinois
Identification Card or |
Illinois Person with a Disability Identification Card |
knowing
that such document contains false information |
concerning the identity identify of
the applicant;
|
3. To knowingly make any false affidavit or swear or |
affirm falsely to any
matter or thing required by the terms |
of this Act to be sworn to or affirmed.
|
(b) Sentence.
|
1. Any person convicted of a violation of this Section |
shall be guilty
of a Class 4 felony.
|
2. A person convicted of a second or subsequent |
violation of this
Section shall be guilty of a Class 3 |
felony.
|
(c) This Section does not prohibit any lawfully authorized
|
investigative, protective, law enforcement or other activity |
of any agency
of the United States, State of Illinois or any |
other state or political
subdivision thereof.
|
(d) The Secretary of State may confiscate any suspected |
fraudulent,
fictitious, or altered documents submitted by an |
applicant
in support of an application for an Illinois |
Identification Card or
Illinois Person with a Disability |
|
Identification Card.
|
(Source: P.A. 97-1064, eff. 1-1-13; revised 10-13-15.)
|
Section 55. The Alcoholism and Other Drug Abuse and |
Dependency Act is amended by changing Section 5-23 as follows:
|
(20 ILCS 301/5-23) |
Sec. 5-23. Drug Overdose Prevention Program. |
(a) Reports of drug overdose. |
(1) The Director of the Division of Alcoholism and |
Substance Abuse shall publish annually a report on drug |
overdose trends statewide that reviews State death rates |
from available data to ascertain changes in the causes or |
rates of fatal and nonfatal drug overdose. The report shall |
also provide information on interventions that would be |
effective in reducing the rate of fatal or nonfatal drug |
overdose and shall include an analysis of drug overdose |
information reported to the Department of Public Health |
pursuant to subsection (e) of Section 3-3013 of the |
Counties Code, Section 6.14g of the Hospital Licensing Act, |
and subsection (j) of Section 22-30 of the School Code. |
(2) The report may include: |
(A) Trends in drug overdose death rates. |
(B) Trends in emergency room utilization related |
to drug overdose and the cost impact of emergency room |
utilization. |
|
(C) Trends in utilization of pre-hospital and |
emergency services and the cost impact of emergency |
services utilization. |
(D) Suggested improvements in data collection. |
(E) A description of other interventions effective |
in reducing the rate of fatal or nonfatal drug |
overdose. |
(F) A description of efforts undertaken to educate |
the public about unused medication and about how to |
properly dispose of unused medication, including the |
number of registered collection receptacles in this |
State, mail-back programs, and drug take-back events. |
(b) Programs; drug overdose prevention. |
(1) The Director may establish a program to provide for |
the production and publication, in electronic and other |
formats, of drug overdose prevention, recognition, and |
response literature. The Director may develop and |
disseminate curricula for use by professionals, |
organizations, individuals, or committees interested in |
the prevention of fatal and nonfatal drug overdose, |
including, but not limited to, drug users, jail and prison |
personnel, jail and prison inmates, drug treatment |
professionals, emergency medical personnel, hospital |
staff, families and associates of drug users, peace |
officers, firefighters, public safety officers, needle |
exchange program staff, and other persons. In addition to |
|
information regarding drug overdose prevention, |
recognition, and response, literature produced by the |
Department shall stress that drug use remains illegal and |
highly dangerous and that complete abstinence from illegal |
drug use is the healthiest choice. The literature shall |
provide information and resources for substance abuse |
treatment. |
The Director may establish or authorize programs for |
prescribing, dispensing, or distributing opioid |
antagonists for the treatment of drug overdose. Such |
programs may include the prescribing of opioid antagonists |
for the treatment of drug overdose to a person who is not |
at risk of opioid overdose but who, in the judgment of the |
health care professional, may be in a position to assist |
another individual during an opioid-related drug overdose |
and who has received basic instruction on how to administer |
an opioid antagonist. |
(2) The Director may provide advice to State and local |
officials on the growing drug overdose crisis, including |
the prevalence of drug overdose incidents, programs |
promoting the disposal of unused prescription drugs, |
trends in drug overdose incidents, and solutions to the |
drug overdose crisis. |
(c) Grants. |
(1) The Director may award grants, in accordance with |
this subsection, to create or support local drug overdose |
|
prevention, recognition, and response projects. Local |
health departments, correctional institutions, hospitals, |
universities, community-based organizations, and |
faith-based organizations may apply to the Department for a |
grant under this subsection at the time and in the manner |
the Director prescribes. |
(2) In awarding grants, the Director shall consider the |
necessity for overdose prevention projects in various |
settings and shall encourage all grant applicants to |
develop interventions that will be effective and viable in |
their local areas. |
(3) The Director shall give preference for grants to |
proposals that, in addition to providing life-saving |
interventions and responses, provide information to drug |
users on how to access drug treatment or other strategies |
for abstaining from illegal drugs. The Director shall give |
preference to proposals that include one or more of the |
following elements: |
(A) Policies and projects to encourage persons, |
including drug users, to call 911 when they witness a |
potentially fatal drug overdose. |
(B) Drug overdose prevention, recognition, and |
response education projects in drug treatment centers, |
outreach programs, and other organizations that work |
with, or have access to, drug users and their families |
and communities. |
|
(C) Drug overdose recognition and response |
training, including rescue breathing, in drug |
treatment centers and for other organizations that |
work with, or have access to, drug users and their |
families and communities. |
(D) The production and distribution of targeted or |
mass media materials on drug overdose prevention and |
response, the potential dangers of keeping unused |
prescription drugs in the home, and methods to properly |
dispose of unused prescription drugs. |
(E) Prescription and distribution of opioid |
antagonists. |
(F) The institution of education and training |
projects on drug overdose response and treatment for |
emergency services and law enforcement personnel. |
(G) A system of parent, family, and survivor |
education and mutual support groups. |
(4) In addition to moneys appropriated by the General |
Assembly, the Director may seek grants from private |
foundations, the federal government, and other sources to |
fund the grants under this Section and to fund an |
evaluation of the programs supported by the grants. |
(d) Health care professional prescription of opioid |
antagonists. |
(1) A health care professional who, acting in good |
faith, directly or by standing order, prescribes or |
|
dispenses an opioid antagonist to: (a) a patient who, in |
the judgment of the health care professional, is capable of |
administering the drug in an emergency, or (b) a person who |
is not at risk of opioid overdose but who, in the judgment |
of the health care professional, may be in a position to |
assist another individual during an opioid-related drug |
overdose and who has received basic instruction on how to |
administer an opioid antagonist shall not, as a result of |
his or her acts or omissions, be subject to: (i) any |
disciplinary or other adverse action under the Medical |
Practice Act of 1987, the Physician Assistant Practice Act |
of 1987, the Nurse Practice Act, the Pharmacy Practice Act, |
or any other professional licensing statute or (ii) any |
criminal liability, except for willful and wanton |
misconduct. |
(2) A person who is not otherwise licensed to |
administer an opioid antagonist may in an emergency |
administer without fee an opioid antagonist if the person |
has received the patient information specified in |
paragraph (4) of this subsection and believes in good faith |
that another person is experiencing a drug overdose. The |
person shall not, as a result of his or her acts or |
omissions, be (i) liable for any violation of the Medical |
Practice Act of 1987, the Physician Assistant Practice Act |
of 1987, the Nurse Practice Act, the Pharmacy Practice Act, |
or any other professional licensing statute, or (ii) |
|
subject to any criminal prosecution or civil liability, |
except for willful and wanton misconduct. |
(3) A health care professional prescribing an opioid |
antagonist to a patient shall ensure that the patient |
receives the patient information specified in paragraph |
(4) of this subsection. Patient information may be provided |
by the health care professional or a community-based |
organization, substance abuse program, or other |
organization with which the health care professional |
establishes a written agreement that includes a |
description of how the organization will provide patient |
information, how employees or volunteers providing |
information will be trained, and standards for documenting |
the provision of patient information to patients. |
Provision of patient information shall be documented in the |
patient's medical record or through similar means as |
determined by agreement between the health care |
professional and the organization. The Director of the |
Division of Alcoholism and Substance Abuse, in |
consultation with statewide organizations representing |
physicians, pharmacists, advanced practice nurses, |
physician assistants, substance abuse programs, and other |
interested groups, shall develop and disseminate to health |
care professionals, community-based organizations, |
substance abuse programs, and other organizations training |
materials in video, electronic, or other formats to |
|
facilitate the provision of such patient information. |
(4) For the purposes of this subsection: |
"Opioid antagonist" means a drug that binds to opioid |
receptors and blocks or inhibits the effect of opioids |
acting on those receptors, including, but not limited to , |
naloxone hydrochloride or any other similarly acting drug |
approved by the U.S. Food and Drug Administration. |
"Health care professional" means a physician licensed |
to practice medicine in all its branches, a licensed |
physician assistant prescriptive authority , a licensed |
advanced practice nurse prescriptive authority , or an |
advanced practice nurse or physician assistant who |
practices in a hospital, hospital affiliate, or ambulatory |
surgical treatment center and possesses appropriate |
clinical privileges in accordance with the Nurse Practice |
Act , or a pharmacist licensed to practice pharmacy under |
the Pharmacy Practice Act. |
"Patient" includes a person who is not at risk of |
opioid overdose but who, in the judgment of the physician, |
may be in a position to assist another individual during an |
overdose and who has received patient information as |
required in paragraph (2) of this subsection on the |
indications for and administration of an opioid |
antagonist. |
"Patient information" includes information provided to |
the patient on drug overdose prevention and recognition; |
|
how to perform rescue breathing and resuscitation; opioid |
antagonist dosage and administration; the importance of |
calling 911; care for the overdose victim after |
administration of the overdose antagonist; and other |
issues as necessary.
|
(e) Drug overdose response policy. |
(1) Every State and local government agency that |
employs a law enforcement officer or fireman as those terms |
are defined in the Line of Duty Compensation Act must |
possess opioid antagonists and must establish a policy to |
control the acquisition, storage, transportation, and |
administration of such opioid antagonists and to provide |
training in the administration of opioid antagonists. A |
State or local government agency that employs a fireman as |
defined in the Line of Duty Compensation Act but does not |
respond to emergency medical calls or provide medical |
services shall be exempt from this subsection. |
(2) Every publicly or privately owned ambulance, |
special emergency medical services vehicle, non-transport |
vehicle, or ambulance assist vehicle, as described in the |
Emergency Medical Services (EMS) Systems Act, which |
responds to requests for emergency services or transports |
patients between hospitals in emergency situations must |
possess opioid antagonists. |
(3) Entities that are required under paragraphs (1) and |
(2) to possess opioid antagonists may also apply to the |
|
Department for a grant to fund the acquisition of opioid |
antagonists and training programs on the administration of |
opioid antagonists. |
(Source: P.A. 99-173, eff. 7-29-15; 99-480, eff. 9-9-15; |
revised 10-19-15.)
|
Section 60. The Children and Family Services Act is amended |
by changing Section 7 as follows:
|
(20 ILCS 505/7) (from Ch. 23, par. 5007)
|
Sec. 7. Placement of children; considerations.
|
(a) In placing any child under this Act, the Department |
shall place the
child, as far as possible, in the care and |
custody of some individual
holding the same religious belief as |
the parents of the child, or with some
child care facility |
which is operated by persons of like religious faith as
the |
parents of such child.
|
(a-5) In placing a child under this Act, the Department |
shall place the child with the child's
sibling or siblings |
under Section 7.4 of this Act unless the placement is not in |
each child's best
interest, or is otherwise not possible under |
the Department's rules. If the child is not
placed with a |
sibling under the Department's rules, the Department shall |
consider
placements that are likely to develop, preserve, |
nurture, and support sibling relationships, where
doing so is |
in each child's best interest. |
|
(b) In placing a child under this Act, the Department may |
place a child
with a relative if the Department determines that |
the relative
will be able to adequately provide for the child's |
safety and welfare based on the factors set forth in the |
Department's rules governing relative placements, and that the |
placement is consistent with the child's best interests, taking |
into consideration the factors set out in subsection (4.05) of |
Section 1-3 of the Juvenile Court Act of 1987. |
When the Department first assumes custody of a child, in |
placing that child under this Act, the Department shall make |
reasonable efforts to identify, locate, and provide notice to |
all adult grandparents and other adult relatives of the child |
who are ready, willing, and able to care for the child. At a |
minimum, these efforts shall be renewed each time the child |
requires a placement change and it is appropriate for the child |
to be cared for in a home environment. The Department must |
document its efforts to identify, locate, and provide notice to |
such potential relative placements and maintain the |
documentation in the child's case file. |
If the Department determines that a placement with any |
identified relative is not in the child's best interests or |
that the relative does not meet the requirements to be a |
relative caregiver, as set forth in Department rules or by |
statute, the Department must document the basis for that |
decision and maintain the documentation in the child's case |
file.
|
|
If, pursuant to the Department's rules, any person files an |
administrative appeal of the Department's decision not to place |
a child with a relative, it is the Department's burden to prove |
that the decision is consistent with the child's best |
interests. |
When the Department determines that the child requires |
placement in an environment, other than a home environment, the |
Department shall continue to make reasonable efforts to |
identify and locate relatives to serve as visitation resources |
for the child and potential future placement resources, except |
when the Department determines that those efforts would be |
futile or inconsistent with the child's best interests. |
If the Department determines that efforts to identify and |
locate relatives would be futile or inconsistent with the |
child's best interests, the Department shall document the basis |
of its determination and maintain the documentation in the |
child's case file. |
If the Department determines that an individual or a group |
of relatives are inappropriate to serve as visitation resources |
or possible placement resources, the Department shall document |
the basis of its determination and maintain the documentation |
in the child's case file. |
When the Department determines that an individual or a |
group of relatives are appropriate to serve as visitation |
resources or possible future placement resources, the |
Department shall document the basis of its determination, |
|
maintain the documentation in the child's case file, create a |
visitation or transition plan, or both, and incorporate the |
visitation or transition plan, or both, into the child's case |
plan. For the purpose of this subsection, any determination as |
to the child's best interests shall include consideration of |
the factors set out in subsection (4.05) of Section 1-3 of the |
Juvenile Court Act of 1987.
|
The Department may not place a child with a relative, with |
the exception of
certain circumstances which may be waived as |
defined by the Department in
rules, if the results of a check |
of the Law Enforcement Agencies
Data System (LEADS) identifies |
a prior criminal conviction of the relative or
any adult member |
of the relative's household for any of the following offenses
|
under the Criminal Code of 1961 or the Criminal Code of 2012:
|
(1) murder;
|
(1.1) solicitation of murder;
|
(1.2) solicitation of murder for hire;
|
(1.3) intentional homicide of an unborn child;
|
(1.4) voluntary manslaughter of an unborn child;
|
(1.5) involuntary manslaughter;
|
(1.6) reckless homicide;
|
(1.7) concealment of a homicidal death;
|
(1.8) involuntary manslaughter of an unborn child;
|
(1.9) reckless homicide of an unborn child;
|
(1.10) drug-induced homicide;
|
(2) a sex offense under Article 11, except offenses |
|
described in Sections
11-7, 11-8, 11-12, 11-13, 11-35, |
11-40, and 11-45;
|
(3) kidnapping;
|
(3.1) aggravated unlawful restraint;
|
(3.2) forcible detention;
|
(3.3) aiding and abetting child abduction;
|
(4) aggravated kidnapping;
|
(5) child abduction;
|
(6) aggravated battery of a child as described in |
Section 12-4.3 or subdivision (b)(1) of Section 12-3.05;
|
(7) criminal sexual assault;
|
(8) aggravated criminal sexual assault;
|
(8.1) predatory criminal sexual assault of a child;
|
(9) criminal sexual abuse;
|
(10) aggravated sexual abuse;
|
(11) heinous battery as described in Section 12-4.1 or |
subdivision (a)(2) of Section 12-3.05;
|
(12) aggravated battery with a firearm as described in |
Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3), or |
(e)(4) of Section 12-3.05;
|
(13) tampering with food, drugs, or cosmetics;
|
(14) drug-induced infliction of great bodily harm as |
described in Section 12-4.7 or subdivision (g)(1) of |
Section 12-3.05;
|
(15) aggravated stalking;
|
(16) home invasion;
|
|
(17) vehicular invasion;
|
(18) criminal transmission of HIV;
|
(19) criminal abuse or neglect of an elderly person or |
person with a disability as described in Section 12-21 or |
subsection (b) of Section 12-4.4a;
|
(20) child abandonment;
|
(21) endangering the life or health of a child;
|
(22) ritual mutilation;
|
(23) ritualized abuse of a child;
|
(24) an offense in any other state the elements of |
which are similar and
bear a substantial relationship to |
any of the foregoing offenses.
|
For the purpose of this subsection, "relative" shall |
include
any person, 21 years of age or over, other than the |
parent, who (i) is
currently related to the child in any of the |
following ways by blood or
adoption: grandparent, sibling, |
great-grandparent, uncle, aunt, nephew, niece,
first cousin, |
second cousin, godparent, great-uncle, or great-aunt; or (ii) |
is
the spouse of such a
relative; or (iii) is the child's |
step-father, step-mother, or adult
step-brother or |
step-sister; or (iv) is a fictive kin; "relative" also includes |
a person related in any
of the foregoing ways to a sibling of a |
child, even though the person is not
related to the child, when |
the
child and its sibling are placed together with that person. |
For children who have been in the guardianship of the |
Department, have been adopted, and are subsequently returned to |
|
the temporary custody or guardianship of the Department, a |
"relative" may also include any person who would have qualified |
as a relative under this paragraph prior to the adoption, but |
only if the Department determines, and documents, that it would |
be in the child's best interests to consider this person a |
relative, based upon the factors for determining best interests |
set forth in subsection (4.05) of Section 1-3 of the Juvenile |
Court Act of 1987. A relative with
whom a child is placed |
pursuant to this subsection may, but is not required to,
apply |
for licensure as a foster family home pursuant to the Child |
Care Act of
1969; provided, however, that as of July 1, 1995, |
foster care payments shall be
made only to licensed foster |
family homes pursuant to the terms of Section 5 of
this Act.
|
Notwithstanding any other provision under this subsection |
to the contrary, a fictive kin with whom a child is placed |
pursuant to this subsection shall apply for licensure as a |
foster family home pursuant to the Child Care Act of 1969 |
within 6 months of the child's placement with the fictive kin. |
The Department shall not remove a child from the home of a |
fictive kin on the basis that the fictive kin fails to apply |
for licensure within 6 months of the child's placement with the |
fictive kin, or fails to meet the standard for licensure. All |
other requirements established under the rules and procedures |
of the Department concerning the placement of a child, for whom |
the Department is legally responsible, with a relative shall |
apply. By June 1, 2015, the Department shall promulgate rules |
|
establishing criteria and standards for placement, |
identification, and licensure of fictive kin. |
For purposes of this subsection, "fictive kin" means any |
individual, unrelated by birth or marriage, who is shown to |
have close personal or emotional ties with the child or the |
child's family prior to the child's placement with the |
individual. |
The provisions added to this subsection (b) by Public Act |
98-846 this amendatory Act of the 98th General Assembly shall |
become operative on and after June 1, 2015. |
(c) In placing a child under this Act, the Department shall |
ensure that
the child's health, safety, and best interests are |
met.
In rejecting placement of a child with an identified |
relative, the Department shall ensure that the child's health, |
safety, and best interests are met. In evaluating the best |
interests of the child, the Department shall take into |
consideration the factors set forth in subsection (4.05) of |
Section 1-3 of the Juvenile Court Act of 1987.
|
The Department shall consider the individual needs of the
|
child and the capacity of the prospective foster or adoptive
|
parents to meet the needs of the child. When a child must be |
placed
outside his or her home and cannot be immediately |
returned to his or her
parents or guardian, a comprehensive, |
individualized assessment shall be
performed of that child at |
which time the needs of the child shall be
determined. Only if |
race, color, or national origin is identified as a
legitimate |
|
factor in advancing the child's best interests shall it be
|
considered. Race, color, or national origin shall not be |
routinely
considered in making a placement decision. The |
Department shall make
special
efforts for the diligent |
recruitment of potential foster and adoptive families
that |
reflect the ethnic and racial diversity of the children for |
whom foster
and adoptive homes are needed. "Special efforts" |
shall include contacting and
working with community |
organizations and religious organizations and may
include |
contracting with those organizations, utilizing local media |
and other
local resources, and conducting outreach activities.
|
(c-1) At the time of placement, the Department shall |
consider concurrent
planning, as described in subsection (l-1) |
of Section 5, so that permanency may
occur at the earliest |
opportunity. Consideration should be given so that if
|
reunification fails or is delayed, the placement made is the |
best available
placement to provide permanency for the child.
|
(d) The Department may accept gifts, grants, offers of |
services, and
other contributions to use in making special |
recruitment efforts.
|
(e) The Department in placing children in adoptive or |
foster care homes
may not, in any policy or practice relating |
to the placement of children for
adoption or foster care, |
discriminate against any child or prospective adoptive
or |
foster parent on the basis of race.
|
(Source: P.A. 98-846, eff. 1-1-15; 99-143, eff. 7-27-15; |
|
99-340, eff. 1-1-16; revised 10-19-15.)
|
Section 65. The Department of Commerce and Economic |
Opportunity Law of the
Civil Administrative Code of Illinois is |
amended by changing Section 605-817 as follows:
|
(20 ILCS 605/605-817) (was 20 ILCS 605/46.19k)
|
Sec. 605-817. Family loan program.
|
(a) From amounts appropriated for such purpose, the |
Department in
consultation with the Department of Human |
Services shall solicit proposals to
establish programs to be |
known as family loan programs. Such programs shall
provide |
small, no-interest loans to custodial parents with income below |
200% of
the federal poverty level and an who are working or |
enrolled in a post-secondary
education program, to aid in |
covering the costs of unexpected expenses that
could interfere |
with their ability to maintain employment or continue
|
education. Loans awarded through a family loan program may be |
paid directly
to a third party on behalf of a loan recipient |
and in either case shall not
constitute income or resources for |
the purposes of public assistance and care
so long as the funds |
are used for the intended purpose.
|
(b) The Director shall enter into written agreements with |
not-for-profit
organizations or local government agencies to |
administer loan pools.
Agreements shall be entered into with no |
more than 4 organizations or agencies,
no more than one of |
|
which shall be located in the city of Chicago.
|
(c) Program sites shall be approved based on the |
demonstrated ability of the
organization or governmental |
agency to secure funding from private or public
sources |
sufficient to establish a loan pool to be maintained through |
repayment
agreements entered into by eligible low-income |
families. Funds awarded by the
Department to approved program |
sites shall be used for the express purposes of
covering |
staffing and administration costs associated with |
administering the
loan pool.
|
(Source: P.A. 91-372, eff. 1-1-00; 92-16, eff. 6-28-01; revised |
10-19-15.)
|
Section 70. The Department of Natural Resources |
(Conservation) Law of the
Civil Administrative Code of Illinois |
is amended by changing Section 805-305 as follows:
|
(20 ILCS 805/805-305) (was 20 ILCS 805/63a23)
|
Sec. 805-305. Campsites and housing facilities. The
|
Department has the power to provide facilities for
overnight |
tent and trailer campsites camp sites and to provide suitable |
housing
facilities for student and juvenile overnight camping |
groups. The Department
of Natural Resources may regulate, by |
administrative
order, the fees to be charged for tent and |
trailer camping units at individual
park areas based upon the |
facilities available. However, for campsites with
access to |
|
showers or electricity, any Illinois resident who is age 62 or |
older
or has a Class 2 disability as defined in Section 4A of |
the Illinois
Identification Card Act shall be charged only |
one-half of the camping fee
charged to the general public |
during the period Monday through Thursday of any
week and shall |
be charged the same camping fee as the general public on all
|
other days. For campsites without access to showers or |
electricity, no camping
fee authorized by this Section shall be |
charged to any resident of Illinois who
has a Class 2 |
disability as defined in Section 4A of the Illinois
|
Identification Card Act. For campsites without access to |
showers or
electricity, no camping fee authorized by this |
Section shall be charged to any
resident of Illinois who is age |
62 or older for
the use of a campsite camp site unit during the |
period Monday through Thursday of any
week. No camping fee |
authorized by this Section shall be charged to any
resident of |
Illinois who is a veteran with a disability or a former |
prisoner of
war, as defined in Section 5 of the Department of |
Veterans Affairs Act.
No camping fee authorized by this Section |
shall be charged to any
resident of Illinois after returning |
from service abroad or mobilization by the President of the |
United States as an active duty member of the United States |
Armed Forces, the Illinois National Guard, or the Reserves of |
the United States Armed Forces for the amount of time that the |
active duty member spent in service abroad or mobilized if the |
person (i) applies for a pass at the Department office in |
|
Springfield within 2 years after returning and provides |
acceptable verification of service or mobilization to the |
Department or (ii) applies for a pass at a Regional Office of |
the Department within 2 years after returning and provides |
acceptable verification of service or mobilization to the |
Department; any portion of a year that the active duty member |
spent in service abroad or mobilized shall count as a full |
year. Nonresidents shall be charged the same fees as are |
authorized for the general
public regardless of age. The |
Department shall provide by regulation for
suitable proof of |
age, or either a valid driver's license or a "Golden Age
|
Passport" issued by the federal government shall be acceptable |
as proof of
age. The Department shall further provide by |
regulation that notice of
these
reduced admission fees be |
posted in a conspicuous place and manner.
|
Reduced fees authorized in this Section shall not apply to |
any charge for
utility service.
|
For the purposes of this Section, "acceptable verification |
of service or mobilization" means official documentation from |
the Department of Defense or the appropriate Major Command |
showing mobilization dates or service abroad dates, including: |
(i) a DD-214, (ii) a letter from the Illinois Department of |
Military Affairs for members of the Illinois National Guard, |
(iii) a letter from the Regional Reserve Command for members of |
the Armed Forces Reserve, (iv) a letter from the Major Command |
covering Illinois for active duty members, (v) personnel |
|
records for mobilized State employees, and (vi) any other |
documentation that the Department, by administrative rule, |
deems acceptable to establish dates of mobilization or service |
abroad. |
For the purposes of this Section, the term "service abroad" |
means active duty service outside of the 50 United States and |
the District of Columbia, and includes all active duty service |
in territories and possessions of the United States. |
(Source: P.A. 99-143, eff. 7-27-15; revised 10-14-15.)
|
Section 75. The Recreational Trails of Illinois Act is |
amended by changing Section 34 as follows:
|
(20 ILCS 862/34) |
Sec. 34. Exception from display of Off-Highway Vehicle |
Usage Stamps. The operator of an off-highway vehicle shall not |
be required to display an Off-Highway Vehicle Usage Stamp if |
the off-highway vehicle is: |
(1) owned and used by the United States, the State of |
Illinois, another state, or a political subdivision |
thereof, but these off-highway vehicles shall prominently |
display the name of the owner on the off-highway vehicle; |
(2) operated on lands where the operator, his or her |
immediate family, or both are the sole owners of the land; |
this exception shall not apply to clubs, associations, or |
lands leased for hunting or recreational purposes; |
|
(3) used only on local, national, or international |
competition circuits in events for which written |
permission has been obtained by the sponsoring or |
sanctioning body from the governmental unit having |
jurisdiction over the location of any event held in this |
State; |
(4) (blank); |
(5) used on an off-highway vehicle grant assisted site |
and the off-highway vehicle displays an a Off-Highway |
Vehicle Access decal;
|
(6) used in conjunction with a bona fide commercial |
business, including, but not limited to, agricultural and |
livestock production; |
(7) a golf cart, regardless of whether the golf cart is |
currently being used for golfing purposes; |
(8) displaying a valid motor vehicle registration |
issued by the Secretary of State or any other state; |
(9) operated by an individual who either possesses an |
Illinois Identification Card issued to the operator by the |
Secretary of State that lists a Class P2 (or P2O or any |
successor classification) or P2A disability or an original |
or photocopy of a valid motor vehicle disability placard |
issued to the operator by the Secretary of State, or is |
assisting a person with a disability who has a Class P2 (or |
P2O or any successor classification) or P2A disability |
while using the same off-highway vehicle as the individual |
|
with a disability; or |
(10) used only at commercial riding parks. |
For the purposes of this Section, "golf cart" means a |
machine specifically designed for the purposes of transporting |
one or more persons and their golf clubs. |
For the purposes of this Section, "local, national, or |
international competition circuit" means any competition |
circuit sponsored or sanctioned by an international, national, |
or state organization, including, but not limited to, the |
American Motorcyclist Association, or sponsored, sanctioned, |
or both by an affiliate organization of an international, |
national, or state organization which sanctions competitions, |
including trials or practices leading up to or in connection |
with those competitions. |
For the purposes of this Section, "commercial riding parks" |
mean commercial properties used for the recreational operation |
of off-highway vehicles by the paying members of the park or |
paying guests. |
(Source: P.A. 98-820, eff. 8-1-14; 99-143, eff. 7-27-15; |
revised 10-14-15.)
|
Section 80. The Department of Human Services Act is amended |
by changing Sections 1-17 and 1-42 as follows:
|
(20 ILCS 1305/1-17)
|
Sec. 1-17. Inspector General. |
|
(a) Nature and purpose. It is the express intent of the |
General Assembly to ensure the health, safety, and financial |
condition of individuals receiving services in this State due |
to mental illness, developmental disability, or both by |
protecting those persons from acts of abuse, neglect, or both |
by service providers. To that end, the Office of the Inspector |
General for the Department of Human Services is created to |
investigate and report upon allegations of the abuse, neglect, |
or financial exploitation of individuals receiving services |
within mental health facilities, developmental disabilities |
facilities, and community agencies operated, licensed, funded |
or certified by the Department of Human Services, but not |
licensed or certified by any other State agency. |
(b) Definitions. The following definitions apply to this |
Section: |
"Adult student with a disability" means an adult student, |
age 18 through 21, inclusive, with an Individual Education |
Program, other than a resident of a facility licensed by the |
Department of Children and Family Services in accordance with |
the Child Care Act of 1969. For purposes of this definition, |
"through age 21, inclusive", means through the day before the |
student's 22nd birthday. |
"Agency" or "community agency" means (i) a community agency |
licensed, funded, or certified by the Department, but not |
licensed or certified by any other human services agency of the |
State, to provide mental health service or developmental |
|
disabilities service, or (ii) a program licensed, funded, or |
certified by the Department, but not licensed or certified by |
any other human services agency of the State, to provide mental |
health service or developmental disabilities service. |
"Aggravating circumstance" means a factor that is |
attendant to a finding and that tends to compound or increase |
the culpability of the accused. |
"Allegation" means an assertion, complaint, suspicion, or |
incident involving any of the following conduct by an employee, |
facility, or agency against an individual or individuals: |
mental abuse, physical abuse, sexual abuse, neglect, or |
financial exploitation. |
"Day" means working day, unless otherwise specified. |
"Deflection" means a situation in which an individual is |
presented for admission to a facility or agency, and the |
facility staff or agency staff do not admit the individual. |
"Deflection" includes triage, redirection, and denial of |
admission. |
"Department" means the Department of Human Services. |
"Developmental disability" means "developmental |
disability" as defined in the Mental Health and Developmental |
Disabilities Code. |
"Egregious neglect" means a finding of neglect as |
determined by the Inspector General that (i) represents a gross |
failure to adequately provide for, or a callused indifference |
to, the health, safety, or medical needs of an individual and |
|
(ii) results in an individual's death or other serious |
deterioration of an individual's physical condition or mental |
condition. |
"Employee" means any person who provides services at the |
facility or agency on-site or off-site. The service |
relationship can be with the individual or with the facility or |
agency. Also, "employee" includes any employee or contractual |
agent of the Department of Human Services or the community |
agency involved in providing or monitoring or administering |
mental health or developmental disability services. This |
includes but is not limited to: owners, operators, payroll |
personnel, contractors, subcontractors, and volunteers. |
"Facility" or "State-operated facility" means a mental |
health facility or developmental disabilities facility |
operated by the Department. |
"Financial exploitation" means taking unjust advantage of |
an individual's assets, property, or financial resources |
through deception, intimidation, or conversion for the |
employee's, facility's, or agency's own advantage or benefit. |
"Finding" means the Office of Inspector General's |
determination regarding whether an allegation is |
substantiated, unsubstantiated, or unfounded. |
"Health care worker registry" or "registry" means the |
health care worker registry created by the Nursing Home Care |
Act. |
"Individual" means any person receiving mental health |
|
service, developmental disabilities service, or both from a |
facility or agency, while either on-site or off-site. |
"Mental abuse" means the use of demeaning, intimidating, or |
threatening words, signs, gestures, or other actions by an |
employee about an individual and in the presence of an |
individual or individuals that results in emotional distress or |
maladaptive behavior, or could have resulted in emotional |
distress or maladaptive behavior, for any individual present. |
"Mental illness" means "mental illness" as defined in the |
Mental Health and Developmental Disabilities Code. |
"Mentally ill" means having a mental illness. |
"Mitigating circumstance" means a condition that (i) is |
attendant to a finding, (ii) does not excuse or justify the |
conduct in question, but (iii) may be considered in evaluating |
the severity of the conduct, the culpability of the accused, or |
both the severity of the conduct and the culpability of the |
accused. |
"Neglect" means an employee's, agency's, or facility's |
failure to provide adequate medical care, personal care, or |
maintenance and that, as a consequence, (i) causes an |
individual pain, injury, or emotional distress, (ii) results in |
either an individual's maladaptive behavior or the |
deterioration of an individual's physical condition or mental |
condition, or (iii) places the individual's health or safety at |
substantial risk. |
"Person with a developmental disability" means a person |
|
having a developmental disability. |
"Physical abuse" means an employee's non-accidental and |
inappropriate contact with an individual that causes bodily |
harm. "Physical abuse" includes actions that cause bodily harm |
as a result of an employee directing an individual or person to |
physically abuse another individual. |
"Recommendation" means an admonition, separate from a |
finding, that requires action by the facility, agency, or |
Department to correct a systemic issue, problem, or deficiency |
identified during an investigation. |
"Required reporter" means any employee who suspects, |
witnesses, or is informed of an allegation of any one or more |
of the following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. |
"Secretary" means the Chief Administrative Officer of the |
Department. |
"Sexual abuse" means any sexual contact or intimate |
physical contact between an employee and an individual, |
including an employee's coercion or encouragement of an |
individual to engage in sexual behavior that results in sexual |
contact, intimate physical contact, sexual behavior, or |
intimate physical behavior. Sexual abuse also includes (i) an |
employee's actions that result in the sending or showing of |
sexually explicit images to an individual via computer, |
cellular phone, electronic mail, portable electronic device, |
or other media with or without contact with the individual or |
|
(ii) an employee's posting of sexually explicit images of an |
individual online or elsewhere whether or not there is contact |
with the individual. |
"Sexually explicit images" includes, but is not limited to, |
any material which depicts nudity, sexual conduct, or |
sado-masochistic abuse, or which contains explicit and |
detailed verbal descriptions or narrative accounts of sexual |
excitement, sexual conduct, or sado-masochistic abuse. |
"Substantiated" means there is a preponderance of the |
evidence to support the allegation. |
"Unfounded" means there is no credible evidence to support |
the allegation. |
"Unsubstantiated" means there is credible evidence, but |
less than a preponderance of evidence to support the |
allegation. |
(c) Appointment. The Governor shall appoint, and the Senate |
shall confirm, an Inspector General. The Inspector General |
shall be appointed for a term of 4 years and shall function |
within the Department of Human Services and report to the |
Secretary and the Governor. |
(d) Operation and appropriation. The Inspector General |
shall function independently within the Department with |
respect to the operations of the Office, including the |
performance of investigations and issuance of findings and |
recommendations. The appropriation for the Office of Inspector |
General shall be separate from the overall appropriation for |
|
the Department. |
(e) Powers and duties. The Inspector General shall |
investigate reports of suspected mental abuse, physical abuse, |
sexual abuse, neglect, or financial exploitation of |
individuals in any mental health or developmental disabilities |
facility or agency and shall have authority to take immediate |
action to prevent any one or more of the following from |
happening to individuals under its jurisdiction: mental abuse, |
physical abuse, sexual abuse, neglect, or financial |
exploitation. Upon written request of an agency of this State, |
the Inspector General may assist another agency of the State in |
investigating reports of the abuse, neglect, or abuse and |
neglect of persons with mental illness, persons with |
developmental disabilities, or persons with both. To comply |
with the requirements of subsection (k) of this Section, the |
Inspector General shall also review all reportable deaths for |
which there is no allegation of abuse or neglect. Nothing in |
this Section shall preempt any duties of the Medical Review |
Board set forth in the Mental Health and Developmental |
Disabilities Code. The Inspector General shall have no |
authority to investigate alleged violations of the State |
Officials and Employees Ethics Act. Allegations of misconduct |
under the State Officials and Employees Ethics Act shall be |
referred to the Office of the Governor's Executive Inspector |
General for investigation. |
(f) Limitations. The Inspector General shall not conduct an |
|
investigation within an agency or facility if that |
investigation would be redundant to or interfere with an |
investigation conducted by another State agency. The Inspector |
General shall have no supervision over, or involvement in, the |
routine programmatic, licensing, funding, or certification |
operations of the Department. Nothing in this subsection limits |
investigations by the Department that may otherwise be required |
by law or that may be necessary in the Department's capacity as |
central administrative authority responsible for the operation |
of the State's mental health and developmental disabilities |
facilities. |
(g) Rulemaking authority. The Inspector General shall |
promulgate rules establishing minimum requirements for |
reporting allegations as well as for initiating, conducting, |
and completing investigations based upon the nature of the |
allegation or allegations. The rules shall clearly establish |
that if 2 or more State agencies could investigate an |
allegation, the Inspector General shall not conduct an |
investigation that would be redundant to, or interfere with, an |
investigation conducted by another State agency. The rules |
shall further clarify the method and circumstances under which |
the Office of Inspector General may interact with the |
licensing, funding, or certification units of the Department in |
preventing further occurrences of mental abuse, physical |
abuse, sexual abuse, neglect, egregious neglect, and financial |
exploitation. |
|
(h) Training programs. The Inspector General shall (i) |
establish a comprehensive program to ensure that every person |
authorized to conduct investigations receives ongoing training |
relative to investigation techniques, communication skills, |
and the appropriate means of interacting with persons receiving |
treatment for mental illness, developmental disability, or |
both mental illness and developmental disability, and (ii) |
establish and conduct periodic training programs for facility |
and agency employees concerning the prevention and reporting of |
any one or more of the following: mental abuse, physical abuse, |
sexual abuse, neglect, egregious neglect, or financial |
exploitation. Nothing in this Section shall be deemed to |
prevent the Office of Inspector General from conducting any |
other training as determined by the Inspector General to be |
necessary or helpful. |
(i) Duty to cooperate. |
(1) The Inspector General shall at all times be granted |
access to any facility or agency for the purpose of |
investigating any allegation, conducting unannounced site |
visits, monitoring compliance with a written response, or |
completing any other statutorily assigned duty. The |
Inspector General shall conduct unannounced site visits to |
each facility at least annually for the purpose of |
reviewing and making recommendations on systemic issues |
relative to preventing, reporting, investigating, and |
responding to all of the following: mental abuse, physical |
|
abuse, sexual abuse, neglect, egregious neglect, or |
financial exploitation. |
(2) Any employee who fails to cooperate with an Office |
of the Inspector General investigation is in violation of |
this Act. Failure to cooperate with an investigation |
includes, but is not limited to, any one or more of the |
following: (i) creating and transmitting a false report to |
the Office of the Inspector General hotline, (ii) providing |
false information to an Office of the Inspector General |
Investigator during an investigation, (iii) colluding with |
other employees to cover up evidence, (iv) colluding with |
other employees to provide false information to an Office |
of the Inspector General investigator, (v) destroying |
evidence, (vi) withholding evidence, or (vii) otherwise |
obstructing an Office of the Inspector General |
investigation. Additionally, any employee who, during an |
unannounced site visit or written response compliance |
check, fails to cooperate with requests from the Office of |
the Inspector General is in violation of this Act. |
(j) Subpoena powers. The Inspector General shall have the |
power to subpoena witnesses and compel the production of all |
documents and physical evidence relating to his or her |
investigations and any hearings authorized by this Act. This |
subpoena power shall not extend to persons or documents of a |
labor organization or its representatives insofar as the |
persons are acting in a representative capacity to an employee |
|
whose conduct is the subject of an investigation or the |
documents relate to that representation. Any person who |
otherwise fails to respond to a subpoena or who knowingly |
provides false information to the Office of the Inspector |
General by subpoena during an investigation is guilty of a |
Class A misdemeanor. |
(k) Reporting allegations and deaths. |
(1) Allegations. If an employee witnesses, is told of, |
or has reason to believe an incident of mental abuse, |
physical abuse, sexual abuse, neglect, or financial |
exploitation has occurred, the employee, agency, or |
facility shall report the allegation by phone to the Office |
of the Inspector General hotline according to the agency's |
or facility's procedures, but in no event later than 4 |
hours after the initial discovery of the incident, |
allegation, or suspicion of any one or more of the |
following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. A required reporter as |
defined in subsection (b) of this Section who knowingly or |
intentionally fails to comply with these reporting |
requirements is guilty of a Class A misdemeanor. |
(2) Deaths. Absent an allegation, a required reporter |
shall, within 24 hours after initial discovery, report by |
phone to the Office of the Inspector General hotline each |
of the following: |
(i) Any death of an individual occurring within 14 |
|
calendar days after discharge or transfer of the |
individual from a residential program or facility. |
(ii) Any death of an individual occurring within 24 |
hours after deflection from a residential program or |
facility. |
(iii) Any other death of an individual occurring at |
an agency or facility or at any Department-funded site. |
(3) Retaliation. It is a violation of this Act for any |
employee or administrator of an agency or facility to take |
retaliatory action against an employee who acts in good |
faith in conformance with his or her duties as a required |
reporter. |
(l) Reporting to law enforcement. |
(1) Reporting criminal acts. Within 24 hours after |
determining that there is credible evidence indicating |
that a criminal act may have been committed or that special |
expertise may be required in an investigation, the |
Inspector General shall notify the Department of State |
Police or other appropriate law enforcement authority, or |
ensure that such notification is made. The Department of |
State Police shall investigate any report from a |
State-operated facility indicating a possible murder, |
sexual assault, or other felony by an employee. All |
investigations conducted by the Inspector General shall be |
conducted in a manner designed to ensure the preservation |
of evidence for possible use in a criminal prosecution. |
|
(2) Reporting allegations of adult students with |
disabilities. Upon receipt of a reportable allegation |
regarding an adult student with a disability, the |
Department's Office of the Inspector General shall |
determine whether the allegation meets the criteria for the |
Domestic Abuse Program under the Abuse of Adults with |
Disabilities Intervention Act. If the allegation is |
reportable to that program, the Office of the Inspector |
General shall initiate an investigation. If the allegation |
is not reportable to the Domestic Abuse Program, the Office |
of the Inspector General shall make an expeditious referral |
to the respective law enforcement entity. If the alleged |
victim is already receiving services from the Department, |
the Office of the Inspector General shall also make a |
referral to the respective Department of Human Services' |
Division or Bureau. |
(m) Investigative reports. Upon completion of an |
investigation, the Office of Inspector General shall issue an |
investigative report identifying whether the allegations are |
substantiated, unsubstantiated, or unfounded. Within 10 |
business days after the transmittal of a completed |
investigative report substantiating an allegation, or if a |
recommendation is made, the Inspector General shall provide the |
investigative report on the case to the Secretary and to the |
director of the facility or agency where any one or more of the |
following occurred: mental abuse, physical abuse, sexual |
|
abuse, neglect, egregious neglect, or financial exploitation. |
In a substantiated case, the investigative report shall include |
any mitigating or aggravating circumstances that were |
identified during the investigation. If the case involves |
substantiated neglect, the investigative report shall also |
state whether egregious neglect was found. An investigative |
report may also set forth recommendations. All investigative |
reports prepared by the Office of the Inspector General shall |
be considered confidential and shall not be released except as |
provided by the law of this State or as required under |
applicable federal law. Unsubstantiated and unfounded reports |
shall not be disclosed except as allowed under Section 6 of the |
Abused and Neglected Long Term Care Facility Residents |
Reporting Act. Raw data used to compile the investigative |
report shall not be subject to release unless required by law |
or a court order. "Raw data used to compile the investigative |
report" includes, but is not limited to, any one or more of the |
following: the initial complaint, witness statements, |
photographs, investigator's notes, police reports, or incident |
reports. If the allegations are substantiated, the accused |
shall be provided with a redacted copy of the investigative |
report. Death reports where there was no allegation of abuse or |
neglect shall only be released pursuant to applicable State or |
federal law or a valid court order. |
(n) Written responses and reconsideration requests. |
(1) Written responses. Within 30 calendar days from |
|
receipt of a substantiated investigative report or an |
investigative report which contains recommendations, |
absent a reconsideration request, the facility or agency |
shall file a written response that addresses, in a concise |
and reasoned manner, the actions taken to: (i) protect the |
individual; (ii) prevent recurrences; and (iii) eliminate |
the problems identified. The response shall include the |
implementation and completion dates of such actions. If the |
written response is not filed within the allotted 30 |
calendar day period, the Secretary shall determine the |
appropriate corrective action to be taken. |
(2) Reconsideration requests. The facility, agency, |
victim or guardian, or the subject employee may request |
that the Office of Inspector General reconsider or clarify |
its finding based upon additional information. |
(o) Disclosure of the finding by the Inspector General. The |
Inspector General shall disclose the finding of an |
investigation to the following persons: (i) the Governor, (ii) |
the Secretary, (iii) the director of the facility or agency, |
(iv) the alleged victims and their guardians, (v) the |
complainant, and (vi) the accused. This information shall |
include whether the allegations were deemed substantiated, |
unsubstantiated, or unfounded. |
(p) Secretary review. Upon review of the Inspector |
General's investigative report and any agency's or facility's |
written response, the Secretary shall accept or reject the |
|
written response and notify the Inspector General of that |
determination. The Secretary may further direct that other |
administrative action be taken, including, but not limited to, |
any one or more of the following: (i) additional site visits, |
(ii) training, (iii) provision of technical assistance |
relative to administrative needs, licensure or certification, |
or (iv) the imposition of appropriate sanctions. |
(q) Action by facility or agency. Within 30 days of the |
date the Secretary approves the written response or directs |
that further administrative action be taken, the facility or |
agency shall provide an implementation report to the Inspector |
General that provides the status of the action taken. The |
facility or agency shall be allowed an additional 30 days to |
send notice of completion of the action or to send an updated |
implementation report. If the action has not been completed |
within the additional 30 day period, the facility or agency |
shall send updated implementation reports every 60 days until |
completion. The Inspector General shall conduct a review of any |
implementation plan that takes more than 120 days after |
approval to complete, and shall monitor compliance through a |
random review of approved written responses, which may include, |
but are not limited to: (i) site visits, (ii) telephone |
contact, and (iii) requests for additional documentation |
evidencing compliance. |
(r) Sanctions. Sanctions, if imposed by the Secretary under |
Subdivision (p)(iv) of this Section, shall be designed to |
|
prevent further acts of mental abuse, physical abuse, sexual |
abuse, neglect, egregious neglect, or financial exploitation |
or some combination of one or more of those acts at a facility |
or agency, and may include any one or more of the following: |
(1) Appointment of on-site monitors. |
(2) Transfer or relocation of an individual or |
individuals. |
(3) Closure of units. |
(4) Termination of any one or more of the following: |
(i) Department licensing, (ii) funding, or (iii) |
certification. |
The Inspector General may seek the assistance of the |
Illinois Attorney General or the office of any State's Attorney |
in implementing sanctions. |
(s) Health care worker registry. |
(1) Reporting to the registry. The Inspector General |
shall report to the Department of Public Health's health |
care worker registry, a public registry, the identity and |
finding of each employee of a facility or agency against |
whom there is a final investigative report containing a |
substantiated allegation of physical or sexual abuse, |
financial exploitation, or egregious neglect of an |
individual. |
(2) Notice to employee. Prior to reporting the name of |
an employee, the employee shall be notified of the |
Department's obligation to report and shall be granted an |
|
opportunity to request an administrative hearing, the sole |
purpose of which is to determine if the substantiated |
finding warrants reporting to the registry. Notice to the |
employee shall contain a clear and concise statement of the |
grounds on which the report to the registry is based, offer |
the employee an opportunity for a hearing, and identify the |
process for requesting such a hearing. Notice is sufficient |
if provided by certified mail to the employee's last known |
address. If the employee fails to request a hearing within |
30 days from the date of the notice, the Inspector General |
shall report the name of the employee to the registry. |
Nothing in this subdivision (s)(2) shall diminish or impair |
the rights of a person who is a member of a collective |
bargaining unit under the Illinois Public Labor Relations |
Act or under any other federal labor statute. |
(3) Registry hearings. If the employee requests an |
administrative hearing, the employee shall be granted an |
opportunity to appear before an administrative law judge to |
present reasons why the employee's name should not be |
reported to the registry. The Department shall bear the |
burden of presenting evidence that establishes, by a |
preponderance of the evidence, that the substantiated |
finding warrants reporting to the registry. After |
considering all the evidence presented, the administrative |
law judge shall make a recommendation to the Secretary as |
to whether the substantiated finding warrants reporting |
|
the name of the employee to the registry. The Secretary |
shall render the final decision. The Department and the |
employee shall have the right to request that the |
administrative law judge consider a stipulated disposition |
of these proceedings. |
(4) Testimony at registry hearings. A person who makes |
a report or who investigates a report under this Act shall |
testify fully in any judicial proceeding resulting from |
such a report, as to any evidence of abuse or neglect, or |
the cause thereof. No evidence shall be excluded by reason |
of any common law or statutory privilege relating to |
communications between the alleged perpetrator of abuse or |
neglect, or the individual alleged as the victim in the |
report, and the person making or investigating the report. |
Testimony at hearings is exempt from the confidentiality |
requirements of subsection (f) of Section 10 of the Mental |
Health and Developmental Disabilities Confidentiality Act. |
(5) Employee's rights to collateral action. No |
reporting to the registry shall occur and no hearing shall |
be set or proceed if an employee notifies the Inspector |
General in writing, including any supporting |
documentation, that he or she is formally contesting an |
adverse employment action resulting from a substantiated |
finding by complaint filed with the Illinois Civil Service |
Commission, or which otherwise seeks to enforce the |
employee's rights pursuant to any applicable collective |
|
bargaining agreement. If an action taken by an employer |
against an employee as a result of a finding of physical |
abuse, sexual abuse, or egregious neglect is overturned |
through an action filed with the Illinois Civil Service |
Commission or under any applicable collective bargaining |
agreement and if that employee's name has already been sent |
to the registry, the employee's name shall be removed from |
the registry. |
(6) Removal from registry. At any time after the report |
to the registry, but no more than once in any 12-month |
period, an employee may petition the Department in writing |
to remove his or her name from the registry. Upon receiving |
notice of such request, the Inspector General shall conduct |
an investigation into the petition. Upon receipt of such |
request, an administrative hearing will be set by the |
Department. At the hearing, the employee shall bear the |
burden of presenting evidence that establishes, by a |
preponderance of the evidence, that removal of the name |
from the registry is in the public interest. The parties |
may jointly request that the administrative law judge |
consider a stipulated disposition of these proceedings. |
(t) Review of Administrative Decisions. The Department |
shall preserve a record of all proceedings at any formal |
hearing conducted by the Department involving health care |
worker registry hearings. Final administrative decisions of |
the Department are subject to judicial review pursuant to |
|
provisions of the Administrative Review Law. |
(u) Quality Care Board. There is created, within the Office |
of the Inspector General, a Quality Care Board to be composed |
of 7 members appointed by the Governor with the advice and |
consent of the Senate. One of the members shall be designated |
as chairman by the Governor. Of the initial appointments made |
by the Governor, 4 Board members shall each be appointed for a |
term of 4 years and 3 members shall each be appointed for a |
term of 2 years. Upon the expiration of each member's term, a |
successor shall be appointed for a term of 4 years. In the case |
of a vacancy in the office of any member, the Governor shall |
appoint a successor for the remainder of the unexpired term. |
Members appointed by the Governor shall be qualified by |
professional knowledge or experience in the area of law, |
investigatory techniques, or in the area of care of the |
mentally ill or care of persons with developmental |
disabilities. Two members appointed by the Governor shall be |
persons with a disability or a parent of a person with a |
disability. Members shall serve without compensation, but |
shall be reimbursed for expenses incurred in connection with |
the performance of their duties as members. |
The Board shall meet quarterly, and may hold other meetings |
on the call of the chairman. Four members shall constitute a |
quorum allowing the Board to conduct its business. The Board |
may adopt rules and regulations it deems necessary to govern |
its own procedures. |
|
The Board shall monitor and oversee the operations, |
policies, and procedures of the Inspector General to ensure the |
prompt and thorough investigation of allegations of neglect and |
abuse. In fulfilling these responsibilities, the Board may do |
the following: |
(1) Provide independent, expert consultation to the |
Inspector General on policies and protocols for |
investigations of alleged abuse, neglect, or both abuse and |
neglect. |
(2) Review existing regulations relating to the |
operation of facilities. |
(3) Advise the Inspector General as to the content of |
training activities authorized under this Section. |
(4) Recommend policies concerning methods for |
improving the intergovernmental relationships between the |
Office of the Inspector General and other State or federal |
offices. |
(v) Annual report. The Inspector General shall provide to |
the General Assembly and the Governor, no later than January 1 |
of each year, a summary of reports and investigations made |
under this Act for the prior fiscal year with respect to |
individuals receiving mental health or developmental |
disabilities services. The report shall detail the imposition |
of sanctions, if any, and the final disposition of any |
corrective or administrative action directed by the Secretary. |
The summaries shall not contain any confidential or identifying |
|
information of any individual, but shall include objective data |
identifying any trends in the number of reported allegations, |
the timeliness of the Office of the Inspector General's |
investigations, and their disposition, for each facility and |
Department-wide, for the most recent 3-year time period. The |
report shall also identify, by facility, the staff-to-patient |
ratios taking account of direct care staff only. The report |
shall also include detailed recommended administrative actions |
and matters for consideration by the General Assembly. |
(w) Program audit. The Auditor General shall conduct a |
program audit of the Office of the Inspector General on an |
as-needed basis, as determined by the Auditor General. The |
audit shall specifically include the Inspector General's |
compliance with the Act and effectiveness in investigating |
reports of allegations occurring in any facility or agency. The |
Auditor General shall conduct the program audit according to |
the provisions of the Illinois State Auditing Act and shall |
report its findings to the General Assembly no later than |
January 1 following the audit period.
|
(x) Nothing in this Section shall be construed to mean that |
a patient is a victim of abuse or neglect because of health |
care services appropriately provided or not provided by health |
care professionals. |
(y) Nothing in this Section shall require a facility, |
including its employees, agents, medical staff members, and |
health care professionals, to provide a service to a patient in |
|
contravention of that patient's stated or implied objection to |
the provision of that service on the ground that that service |
conflicts with the patient's religious beliefs or practices, |
nor shall the failure to provide a service to a patient be |
considered abuse under this Section if the patient has objected |
to the provision of that service based on his or her religious |
beliefs or practices.
|
(Source: P.A. 98-49, eff. 7-1-13; 98-711, eff. 7-16-14; 99-143, |
eff. 7-27-15; 99-323, eff. 8-7-15; revised 10-19-15.)
|
(20 ILCS 1305/1-42) |
Sec. 1-42. Department Ambassador. Subject to |
appropriation, as part of a pilot program, the Department shall |
designate one or more officials or employees to serve as |
Department Ambassadors Ambassador . Department Ambassadors |
shall serve as a liaison between the Department and the public |
and shall have the following duties: (i) to inform the public |
about services available through the Department, (ii) to assist |
the public in accessing those services, (iii) to review the |
Department's methods of disseminating information, and (iv) to |
recommend and implement more efficient practices of providing |
services and information to the public where possible.
|
(Source: P.A. 98-1065, eff. 8-26-14; revised 10-19-15.)
|
Section 85. The Burn Victims Relief Act is amended by |
changing Section 15 as follows:
|
|
(20 ILCS 1410/15)
|
Sec. 15. Rulemaking. The Department of Insurance may adopt |
rules to implement the provisions of this Act. In order to |
provide for the expeditious and timely
implementation of the |
provisions of this Act, emergency
rules to implement any |
provision of this Act may be adopted
by the Department in |
accordance with subsection (u) (t) of Section
5-45 of the |
Illinois Administrative Procedure Act.
|
(Source: P.A. 99-455, eff. 1-1-16; revised 10-26-15.)
|
Section 90. The Department of Professional Regulation Law |
of the
Civil Administrative Code of Illinois is amended by |
changing Section 2105-15 as follows:
|
(20 ILCS 2105/2105-15)
|
Sec. 2105-15. General powers and duties.
|
(a) The Department has, subject to the provisions of the |
Civil
Administrative Code of Illinois, the following powers and |
duties:
|
(1) To authorize examinations in English to ascertain |
the qualifications
and fitness of applicants to exercise |
the profession, trade, or occupation for
which the |
examination is held.
|
(2) To prescribe rules and regulations for a fair and |
wholly
impartial method of examination of candidates to |
|
exercise the respective
professions, trades, or |
occupations.
|
(3) To pass upon the qualifications of applicants for |
licenses,
certificates, and authorities, whether by |
examination, by reciprocity, or by
endorsement.
|
(4) To prescribe rules and regulations defining, for |
the
respective
professions, trades, and occupations, what |
shall constitute a school,
college, or university, or |
department of a university, or other
institution, |
reputable and in good standing, and to determine the
|
reputability and good standing of a school, college, or |
university, or
department of a university, or other |
institution, reputable and in good
standing, by reference |
to a compliance with those rules and regulations;
provided, |
that no school, college, or university, or department of a
|
university, or other institution that refuses admittance |
to applicants
solely on account of race, color, creed, sex, |
sexual orientation, or national origin shall be
considered |
reputable and in good standing.
|
(5) To conduct hearings on proceedings to revoke, |
suspend, refuse to
renew, place on probationary status, or |
take other disciplinary action
as authorized in any |
licensing Act administered by the Department
with regard to |
licenses, certificates, or authorities of persons
|
exercising the respective professions, trades, or |
occupations and to
revoke, suspend, refuse to renew, place |
|
on probationary status, or take
other disciplinary action |
as authorized in any licensing Act
administered by the |
Department with regard to those licenses,
certificates, or |
authorities. |
The Department shall issue a monthly
disciplinary |
report. |
The Department shall deny any license or
renewal |
authorized by the Civil Administrative Code of Illinois to |
any person
who has defaulted on an
educational loan or |
scholarship provided by or guaranteed by the Illinois
|
Student Assistance Commission or any governmental agency |
of this State;
however, the Department may issue a license |
or renewal if the
aforementioned persons have established a |
satisfactory repayment record as
determined by the |
Illinois Student Assistance Commission or other |
appropriate
governmental agency of this State. |
Additionally, beginning June 1, 1996,
any license issued by |
the Department may be suspended or revoked if the
|
Department, after the opportunity for a hearing under the |
appropriate licensing
Act, finds that the licensee has |
failed to make satisfactory repayment to the
Illinois |
Student Assistance Commission for a delinquent or |
defaulted loan.
For the purposes of this Section, |
"satisfactory repayment record" shall be
defined by rule. |
The Department shall refuse to issue or renew a license |
to,
or shall suspend or revoke a license of, any person |
|
who, after receiving
notice, fails to comply with a |
subpoena or warrant relating to a paternity or
child |
support proceeding. However, the Department may issue a |
license or
renewal upon compliance with the subpoena or |
warrant.
|
The Department, without further process or hearings, |
shall revoke, suspend,
or deny any license or renewal |
authorized by the Civil Administrative Code of
Illinois to |
a person who is certified by the Department of Healthcare |
and Family Services (formerly Illinois Department of |
Public Aid)
as being more than 30 days delinquent in |
complying with a child support order
or who is certified by |
a court as being in violation of the Non-Support
Punishment |
Act for more than 60 days. The Department may, however, |
issue a
license or renewal if the person has established a |
satisfactory repayment
record as determined by the |
Department of Healthcare and Family Services (formerly
|
Illinois Department of Public Aid) or if the person
is |
determined by the court to be in compliance with the |
Non-Support Punishment
Act. The Department may implement |
this paragraph as added by Public Act 89-6
through the use |
of emergency rules in accordance with Section 5-45 of the
|
Illinois Administrative Procedure Act. For purposes of the |
Illinois
Administrative Procedure Act, the adoption of |
rules to implement this
paragraph shall be considered an |
emergency and necessary for the public
interest, safety, |
|
and welfare.
|
(6) To transfer jurisdiction of any realty under the |
control of the
Department to any other department of the |
State Government or to acquire
or accept federal lands when |
the transfer, acquisition, or acceptance is
advantageous |
to the State and is approved in writing by the Governor.
|
(7) To formulate rules and regulations necessary for |
the enforcement of
any Act administered by the Department.
|
(8) To exchange with the Department of Healthcare and |
Family Services information
that may be necessary for the |
enforcement of child support orders entered
pursuant to the |
Illinois Public Aid Code, the Illinois Marriage and |
Dissolution
of Marriage Act, the Non-Support of Spouse and |
Children Act, the Non-Support
Punishment Act, the Revised |
Uniform Reciprocal Enforcement of Support Act, the
Uniform |
Interstate Family Support Act, the Illinois Parentage Act |
of 1984, or the Illinois Parentage Act of 2015.
|
Notwithstanding any provisions in this Code to the |
contrary, the Department of
Professional Regulation shall |
not be liable under any federal or State law to
any person |
for any disclosure of information to the Department of |
Healthcare and Family Services (formerly Illinois |
Department of
Public Aid)
under this paragraph (8) or for |
any other action taken in good faith
to comply with the |
requirements of this paragraph (8).
|
(8.5) To accept continuing education credit for |
|
mandated reporter training on how to recognize and report |
child abuse offered by the Department of Children and |
Family Services and completed by any person who holds a |
professional license issued by the Department and who is a |
mandated reporter under the Abused and Neglected Child |
Reporting Act. The Department shall adopt any rules |
necessary to implement this paragraph. |
(9) To perform other duties prescribed
by law.
|
(a-5) Except in cases involving default on an educational |
loan or scholarship provided by or guaranteed by the Illinois |
Student Assistance Commission or any governmental agency of |
this State or in cases involving delinquency in complying with |
a child support order or violation of the Non-Support |
Punishment Act and notwithstanding anything that may appear in |
any individual licensing Act or administrative rule, no person |
or entity whose license, certificate, or authority has been |
revoked as authorized in any licensing Act administered by the |
Department may apply for restoration of that license, |
certification, or authority until 3 years after the effective |
date of the revocation. |
(b) The Department may, when a fee is payable to the |
Department for a wall
certificate of registration provided by |
the Department of Central Management
Services, require that |
portion of the payment for printing and distribution
costs be |
made directly or through the Department to the Department of |
Central
Management Services for deposit into the Paper and |
|
Printing Revolving Fund.
The remainder shall be deposited into |
the General Revenue Fund.
|
(c) For the purpose of securing and preparing evidence, and |
for the purchase
of controlled substances, professional |
services, and equipment necessary for
enforcement activities, |
recoupment of investigative costs, and other activities
|
directed at suppressing the misuse and abuse of controlled |
substances,
including those activities set forth in Sections |
504 and 508 of the Illinois
Controlled Substances Act, the |
Director and agents appointed and authorized by
the Director |
may expend sums from the Professional Regulation Evidence Fund
|
that the Director deems necessary from the amounts appropriated |
for that
purpose. Those sums may be advanced to the agent when |
the Director deems that
procedure to be in the public interest. |
Sums for the purchase of controlled
substances, professional |
services, and equipment necessary for enforcement
activities |
and other activities as set forth in this Section shall be |
advanced
to the agent who is to make the purchase from the |
Professional Regulation
Evidence Fund on vouchers signed by the |
Director. The Director and those
agents are authorized to |
maintain one or more commercial checking accounts with
any |
State banking corporation or corporations organized under or |
subject to the
Illinois Banking Act for the deposit and |
withdrawal of moneys to be used for
the purposes set forth in |
this Section; provided, that no check may be written
nor any |
withdrawal made from any such account except upon the written
|
|
signatures of 2 persons designated by the Director to write |
those checks and
make those withdrawals. Vouchers for those |
expenditures must be signed by the
Director. All such |
expenditures shall be audited by the Director, and the
audit |
shall be submitted to the Department of Central Management |
Services for
approval.
|
(d) Whenever the Department is authorized or required by |
law to consider
some aspect of criminal history record |
information for the purpose of carrying
out its statutory |
powers and responsibilities, then, upon request and payment
of |
fees in conformance with the requirements of Section 2605-400 |
of the
Department of State Police Law (20 ILCS 2605/2605-400), |
the Department of State
Police is authorized to furnish, |
pursuant to positive identification, the
information contained |
in State files that is necessary to fulfill the request.
|
(e) The provisions of this Section do not apply to private |
business and
vocational schools as defined by Section 15 of the |
Private Business and
Vocational Schools Act of 2012.
|
(f) (Blank).
|
(g) Notwithstanding anything that may appear in any |
individual licensing statute or administrative rule, the |
Department shall deny any license application or renewal |
authorized under any licensing Act administered by the |
Department to any person who has failed to file a return, or to |
pay the tax, penalty, or interest shown in a filed return, or |
to pay any final assessment of tax, penalty, or interest, as |
|
required by any tax Act administered by the Illinois Department |
of Revenue, until such time as the requirement of any such tax |
Act are satisfied; however, the Department may issue a license |
or renewal if the person has established a satisfactory |
repayment record as determined by the Illinois Department of |
Revenue. For the purpose of this Section, "satisfactory |
repayment record" shall be defined by rule.
|
In addition, a complaint filed with the Department by the |
Illinois Department of Revenue that includes a certification, |
signed by its Director or designee, attesting to the amount of |
the unpaid tax liability or the years for which a return was |
not filed, or both, is prima facie evidence of the licensee's |
failure to comply with the tax laws administered by the |
Illinois Department of Revenue. Upon receipt of that |
certification, the Department shall, without a hearing, |
immediately suspend all licenses held by the licensee. |
Enforcement of the Department's order shall be stayed for 60 |
days. The Department shall provide notice of the suspension to |
the licensee by mailing a copy of the Department's order by |
certified and regular mail to the licensee's last known address |
as registered with the Department. The notice shall advise the |
licensee that the suspension shall be effective 60 days after |
the issuance of the Department's order unless the Department |
receives, from the licensee, a request for a hearing before the |
Department to dispute the matters contained in the order.
|
Any suspension imposed under this subsection (g) shall be |
|
terminated by the Department upon notification from the |
Illinois Department of Revenue that the licensee is in |
compliance with all tax laws administered by the Illinois |
Department of Revenue.
|
The Department may promulgate rules for the administration |
of this subsection (g).
|
(h) The Department may grant the title "Retired", to be |
used immediately adjacent to the title of a profession |
regulated by the Department, to eligible retirees. For |
individuals licensed under the Medical Practice Act of 1987, |
the title "Retired" may be used in the profile required by the |
Patients' Right to Know Act. The use of the title "Retired" |
shall not constitute representation of current licensure, |
registration, or certification. Any person without an active |
license, registration, or certificate in a profession that |
requires licensure, registration, or certification shall not |
be permitted to practice that profession. |
(i) Within 180 days after December 23, 2009 (the effective |
date of Public Act 96-852), the Department shall promulgate |
rules which permit a person with a criminal record, who seeks a |
license or certificate in an occupation for which a criminal |
record is not expressly a per se bar, to apply to the |
Department for a non-binding, advisory opinion to be provided |
by the Board or body with the authority to issue the license or |
certificate as to whether his or her criminal record would bar |
the individual from the licensure or certification sought, |
|
should the individual meet all other licensure requirements |
including, but not limited to, the successful completion of the |
relevant examinations. |
(Source: P.A. 98-756, eff. 7-16-14; 98-850, eff. 1-1-15; 99-85, |
eff. 1-1-16; 99-227, eff. 8-3-15; 99-330, eff. 8-10-15; revised |
10-16-15.)
|
Section 95. The Department of Public Health Powers and |
Duties Law of the
Civil Administrative Code of Illinois is |
amended by setting forth, renumbering, and changing multiple |
versions of Section 2310-685 as follows:
|
(20 ILCS 2310/2310-685) |
Sec. 2310-685. Health care facility; policy to encourage |
participation in capital projects. |
(a) A health care facility shall develop a policy to |
encourage the participation of minority-owned, women-owned, |
veteran-owned, and small business enterprises in capital |
projects undertaken by the health care facility. |
(b) A health care system may develop a system-wide policy |
in order to comply with the requirement of subsection (a) of |
this Section. |
(c) The policy required under this Section must be |
developed no later than 6 months after January 1, 2016 ( the |
effective date of Public Act 99-315) this amendatory Act of the |
99th General Assembly . |
|
(d) This Section does not apply to health care facilities |
with 100 or fewer beds, health care facilities located in a |
county with a total census population of less than 3,000,000, |
or health care facilities owned or operated by a unit of local |
government or the State or federal government. |
(e) For the purpose of this Section, "health care facility" |
has the same meaning as set forth in the Illinois Health |
Facilities Planning Act.
|
(Source: P.A. 99-315, eff. 1-1-16; revised 9-28-15.)
|
(20 ILCS 2310/2310-690) |
Sec. 2310-690 2310-685 . Cytomegalovirus public education. |
(a) In this Section: |
"CMV" means cytomegalovirus. |
"Health care provider" means any physician, hospital |
facility, or other
person that is licensed or otherwise |
authorized to deliver health care
services. |
(b) The Department shall develop or approve and publish |
informational materials for women who may become pregnant, |
expectant parents, and parents of infants regarding: |
(1) the incidence of CMV; |
(2) the transmission of CMV to pregnant women and women |
who may become pregnant; |
(3) birth defects caused by congenital CMV; |
(4) methods of diagnosing congenital CMV; and |
(5) available preventive measures to avoid the |
|
infection of women who are pregnant or may become pregnant. |
(c) The Department shall publish the information required |
under subsection (b) on its Internet website. |
(d) The Department shall publish information to: |
(1) educate women who may become pregnant, expectant |
parents, and parents of infants about CMV; and |
(2) raise awareness of CMV among health care providers |
who provide care to expectant mothers or infants. |
(e) The Department may solicit and accept the assistance of |
any relevant medical associations or community resources, |
including faith-based resources, to promote education about |
CMV under this Section. |
(f) If a newborn infant fails the 2 initial hearing |
screenings in the hospital, then the hospital performing that |
screening shall provide to the parents of the newborn infant |
information regarding: (i) birth defects caused by congenital |
CMV; (ii) testing opportunities and options for CMV, including |
the opportunity to test for CMV before leaving the hospital; |
and (iii) early intervention services. Health care providers |
may use the materials developed by the Department for |
distribution to parents of newborn infants.
|
(Source: P.A. 99-424, eff. 1-1-16; revised 9-28-15.)
|
Section 100. The Disabilities Services Act of 2003 is |
amended by changing Section 52 as follows:
|
|
(20 ILCS 2407/52) |
Sec. 52. Applicability; definitions. In accordance with |
Section 6071 of the Deficit Reduction Act of 2005 (P.L. |
109-171), as used in this Article: |
"Departments". The term "Departments" means for the |
purposes of this Act, the Department of Human Services, the |
Department on Aging, Department of Healthcare and Family |
Services and Department of Public Health, unless otherwise |
noted. |
"Home and community-based long-term care services". The |
term "home and community-based long-term care services" means, |
with respect to the State Medicaid program, a service aid, or |
benefit, home and community-based services, including , but not |
limited to , home health and personal care services, that are |
provided to a person with a disability, and are voluntarily |
accepted, as part of his or her long-term care that: (i) is |
provided under the State's qualified home and community-based |
program or that could be provided under such a program but is |
otherwise provided under the Medicaid program; (ii) is |
delivered in a qualified residence; and (iii) is necessary for |
the person with a disability to live in the community. |
"ID/DD community care facility". The term "ID/DD community |
care facility", for the purposes of this Article, means a |
skilled nursing or intermediate long-term care facility |
subject to licensure by the Department of Public Health under |
the ID/DD Community Care Act or the MC/DD Act, an intermediate |
|
care facility for persons with developmental disabilities |
(ICF-DDs), and a State-operated developmental center or mental |
health center, whether publicly or privately owned. |
"Money Follows the Person" Demonstration. Enacted by the |
Deficit Reduction Act of 2005, the Money Follows the Person |
(MFP) Rebalancing Demonstration is part of a comprehensive, |
coordinated strategy to assist states, in collaboration with |
stakeholders, to make widespread changes to their long-term |
care support systems. This initiative will assist states in |
their efforts to reduce their reliance on institutional care |
while developing community-based long-term care opportunities, |
enabling the elderly and people with disabilities to fully |
participate in their communities. |
"Public funds" mean any funds appropriated by the General |
Assembly to the Departments of Human Services, on Aging, of |
Healthcare and Family Services and of Public Health for |
settings and services as defined in this Article. |
"Qualified residence". The term "qualified residence" |
means, with respect to an eligible individual: (i) a home owned |
or leased by the individual or the individual's authorized |
representative (as defined by P.L. 109-171); (ii) an apartment |
with an individual lease, with lockable access and egress, and |
which includes living, sleeping, bathing, and cooking areas |
over which the individual or the individual's family has domain |
and control; or (iii) a residence, in a community-based |
residential setting, in which no more than 4 unrelated |
|
individuals reside. Where qualified residences are not |
sufficient to meet the demand of eligible individuals, |
time-limited exceptions to this definition may be developed |
through administrative rule. |
"Self-directed services". The term "self-directed |
services" means, with respect to home and community-based |
long-term services for an eligible individual, those services |
for the individual that are planned and purchased under the |
direction and control of the individual or the individual's |
authorized representative, including the amount, duration, |
scope, provider, and location of such services, under the State |
Medicaid program consistent with the following requirements: |
(a) Assessment: there is an assessment of the needs, |
capabilities, and preference of the individual with |
respect to such services. |
(b) Individual service care or treatment plan: based on |
the assessment, there is development jointly with such |
individual or individual's authorized representative, a |
plan for such services for the individual that (i) |
specifies those services, if any, that the individual or |
the individual's authorized representative would be |
responsible for directing; (ii) identifies the methods by |
which the individual or the individual's authorized |
representative or an agency designated by an individual or |
representative will select, manage, and dismiss providers |
of such services.
|
|
(Source: P.A. 99-143, eff. 7-27-15; 99-180, eff. 7-29-15; |
revised 11-3-15.)
|
Section 105. The Criminal Identification Act is amended by |
changing Section 5.2 as follows:
|
(20 ILCS 2630/5.2)
|
Sec. 5.2. Expungement and sealing. |
(a) General Provisions. |
(1) Definitions. In this Act, words and phrases have
|
the meanings set forth in this subsection, except when a
|
particular context clearly requires a different meaning. |
(A) The following terms shall have the meanings |
ascribed to them in the Unified Code of Corrections, |
730 ILCS 5/5-1-2 through 5/5-1-22: |
(i) Business Offense (730 ILCS 5/5-1-2), |
(ii) Charge (730 ILCS 5/5-1-3), |
(iii) Court (730 ILCS 5/5-1-6), |
(iv) Defendant (730 ILCS 5/5-1-7), |
(v) Felony (730 ILCS 5/5-1-9), |
(vi) Imprisonment (730 ILCS 5/5-1-10), |
(vii) Judgment (730 ILCS 5/5-1-12), |
(viii) Misdemeanor (730 ILCS 5/5-1-14), |
(ix) Offense (730 ILCS 5/5-1-15), |
(x) Parole (730 ILCS 5/5-1-16), |
(xi) Petty Offense (730 ILCS 5/5-1-17), |
|
(xii) Probation (730 ILCS 5/5-1-18), |
(xiii) Sentence (730 ILCS 5/5-1-19), |
(xiv) Supervision (730 ILCS 5/5-1-21), and |
(xv) Victim (730 ILCS 5/5-1-22). |
(B) As used in this Section, "charge not initiated |
by arrest" means a charge (as defined by 730 ILCS |
5/5-1-3) brought against a defendant where the |
defendant is not arrested prior to or as a direct |
result of the charge. |
(C) "Conviction" means a judgment of conviction or |
sentence entered upon a plea of guilty or upon a |
verdict or finding of guilty of an offense, rendered by |
a legally constituted jury or by a court of competent |
jurisdiction authorized to try the case without a jury. |
An order of supervision successfully completed by the |
petitioner is not a conviction. An order of qualified |
probation (as defined in subsection (a)(1)(J)) |
successfully completed by the petitioner is not a |
conviction. An order of supervision or an order of |
qualified probation that is terminated |
unsatisfactorily is a conviction, unless the |
unsatisfactory termination is reversed, vacated, or |
modified and the judgment of conviction, if any, is |
reversed or vacated. |
(D) "Criminal offense" means a petty offense, |
business offense, misdemeanor, felony, or municipal |
|
ordinance violation (as defined in subsection |
(a)(1)(H)). As used in this Section, a minor traffic |
offense (as defined in subsection (a)(1)(G)) shall not |
be considered a criminal offense. |
(E) "Expunge" means to physically destroy the |
records or return them to the petitioner and to |
obliterate the petitioner's name from any official |
index or public record, or both. Nothing in this Act |
shall require the physical destruction of the circuit |
court file, but such records relating to arrests or |
charges, or both, ordered expunged shall be impounded |
as required by subsections (d)(9)(A)(ii) and |
(d)(9)(B)(ii). |
(F) As used in this Section, "last sentence" means |
the sentence, order of supervision, or order of |
qualified probation (as defined by subsection |
(a)(1)(J)), for a criminal offense (as defined by |
subsection (a)(1)(D)) that terminates last in time in |
any jurisdiction, regardless of whether the petitioner |
has included the criminal offense for which the |
sentence or order of supervision or qualified |
probation was imposed in his or her petition. If |
multiple sentences, orders of supervision, or orders |
of qualified probation terminate on the same day and |
are last in time, they shall be collectively considered |
the "last sentence" regardless of whether they were |
|
ordered to run concurrently. |
(G) "Minor traffic offense" means a petty offense, |
business offense, or Class C misdemeanor under the |
Illinois Vehicle Code or a similar provision of a |
municipal or local ordinance. |
(H) "Municipal ordinance violation" means an |
offense defined by a municipal or local ordinance that |
is criminal in nature and with which the petitioner was |
charged or for which the petitioner was arrested and |
released without charging. |
(I) "Petitioner" means an adult or a minor |
prosecuted as an
adult who has applied for relief under |
this Section. |
(J) "Qualified probation" means an order of |
probation under Section 10 of the Cannabis Control Act, |
Section 410 of the Illinois Controlled Substances Act, |
Section 70 of the Methamphetamine Control and |
Community Protection Act, Section 5-6-3.3 or 5-6-3.4 |
of the Unified Code of Corrections, Section |
12-4.3(b)(1) and (2) of the Criminal Code of 1961 (as |
those provisions existed before their deletion by |
Public Act 89-313), Section 10-102 of the Illinois |
Alcoholism and Other Drug Dependency Act, Section |
40-10 of the Alcoholism and Other Drug Abuse and |
Dependency Act, or Section 10 of the Steroid Control |
Act. For the purpose of this Section, "successful |
|
completion" of an order of qualified probation under |
Section 10-102 of the Illinois Alcoholism and Other |
Drug Dependency Act and Section 40-10 of the Alcoholism |
and Other Drug Abuse and Dependency Act means that the |
probation was terminated satisfactorily and the |
judgment of conviction was vacated. |
(K) "Seal" means to physically and electronically |
maintain the records, unless the records would |
otherwise be destroyed due to age, but to make the |
records unavailable without a court order, subject to |
the exceptions in Sections 12 and 13 of this Act. The |
petitioner's name shall also be obliterated from the |
official index required to be kept by the circuit court |
clerk under Section 16 of the Clerks of Courts Act, but |
any index issued by the circuit court clerk before the |
entry of the order to seal shall not be affected. |
(L) "Sexual offense committed against a minor" |
includes but is
not limited to the offenses of indecent |
solicitation of a child
or criminal sexual abuse when |
the victim of such offense is
under 18 years of age. |
(M) "Terminate" as it relates to a sentence or |
order of supervision or qualified probation includes |
either satisfactory or unsatisfactory termination of |
the sentence, unless otherwise specified in this |
Section. |
(2) Minor Traffic Offenses.
Orders of supervision or |
|
convictions for minor traffic offenses shall not affect a |
petitioner's eligibility to expunge or seal records |
pursuant to this Section. |
(3) Exclusions. Except as otherwise provided in |
subsections (b)(5), (b)(6), (b)(8), (e), (e-5), and (e-6) |
of this Section, the court shall not order: |
(A) the sealing or expungement of the records of |
arrests or charges not initiated by arrest that result |
in an order of supervision for or conviction of:
(i) |
any sexual offense committed against a
minor; (ii) |
Section 11-501 of the Illinois Vehicle Code or a |
similar provision of a local ordinance; or (iii) |
Section 11-503 of the Illinois Vehicle Code or a |
similar provision of a local ordinance, unless the |
arrest or charge is for a misdemeanor violation of |
subsection (a) of Section 11-503 or a similar provision |
of a local ordinance, that occurred prior to the |
offender reaching the age of 25 years and the offender |
has no other conviction for violating Section 11-501 or |
11-503 of the Illinois Vehicle Code or a similar |
provision of a local ordinance. |
(B) the sealing or expungement of records of minor |
traffic offenses (as defined in subsection (a)(1)(G)), |
unless the petitioner was arrested and released |
without charging. |
(C) the sealing of the records of arrests or |
|
charges not initiated by arrest which result in an |
order of supervision or a conviction for the following |
offenses: |
(i) offenses included in Article 11 of the |
Criminal Code of 1961 or the Criminal Code of 2012 |
or a similar provision of a local ordinance, except |
Section 11-14 of the Criminal Code of 1961 or the |
Criminal Code of 2012, or a similar provision of a |
local ordinance; |
(ii) Section 11-1.50, 12-3.4, 12-15, 12-30, |
26-5, or 48-1 of the Criminal Code of 1961 or the |
Criminal Code of 2012, or a similar provision of a |
local ordinance; |
(iii) Sections 12-3.1 or 12-3.2 of the |
Criminal Code of 1961 or the Criminal Code of 2012, |
or Section 125 of the Stalking No Contact Order |
Act, or Section 219 of the Civil No Contact Order |
Act, or a similar provision of a local ordinance; |
(iv) offenses which are Class A misdemeanors |
under the Humane Care for Animals Act; or |
(v) any offense or attempted offense that |
would subject a person to registration under the |
Sex Offender Registration Act. |
(D) the sealing of the records of an arrest which |
results in
the petitioner being charged with a felony |
offense or records of a charge not initiated by arrest |
|
for a felony offense unless: |
(i) the charge is amended to a misdemeanor and |
is otherwise
eligible to be sealed pursuant to |
subsection (c); |
(ii) the charge is brought along with another |
charge as a part of one case and the charge results |
in acquittal, dismissal, or conviction when the |
conviction was reversed or vacated, and another |
charge brought in the same case results in a |
disposition for a misdemeanor offense that is |
eligible to be sealed pursuant to subsection (c) or |
a disposition listed in paragraph (i), (iii), or |
(iv) of this subsection; |
(iii) the charge results in first offender |
probation as set forth in subsection (c)(2)(E); |
(iv) the charge is for a felony offense listed |
in subsection (c)(2)(F) or the charge is amended to |
a felony offense listed in subsection (c)(2)(F); |
(v) the charge results in acquittal, |
dismissal, or the petitioner's release without |
conviction; or |
(vi) the charge results in a conviction, but |
the conviction was reversed or vacated. |
(b) Expungement. |
(1) A petitioner may petition the circuit court to |
expunge the
records of his or her arrests and charges not |
|
initiated by arrest when: |
(A) He or she has never been convicted of a |
criminal offense; and |
(B) Each arrest or charge not initiated by arrest
|
sought to be expunged resulted in:
(i) acquittal, |
dismissal, or the petitioner's release without |
charging, unless excluded by subsection (a)(3)(B);
|
(ii) a conviction which was vacated or reversed, unless |
excluded by subsection (a)(3)(B);
(iii) an order of |
supervision and such supervision was successfully |
completed by the petitioner, unless excluded by |
subsection (a)(3)(A) or (a)(3)(B); or
(iv) an order of |
qualified probation (as defined in subsection |
(a)(1)(J)) and such probation was successfully |
completed by the petitioner. |
(2) Time frame for filing a petition to expunge. |
(A) When the arrest or charge not initiated by |
arrest sought to be expunged resulted in an acquittal, |
dismissal, the petitioner's release without charging, |
or the reversal or vacation of a conviction, there is |
no waiting period to petition for the expungement of |
such records. |
(B) When the arrest or charge not initiated by |
arrest
sought to be expunged resulted in an order of |
supervision, successfully
completed by the petitioner, |
the following time frames will apply: |
|
(i) Those arrests or charges that resulted in |
orders of
supervision under Section 3-707, 3-708, |
3-710, or 5-401.3 of the Illinois Vehicle Code or a |
similar provision of a local ordinance, or under |
Section 11-1.50, 12-3.2, or 12-15 of the Criminal |
Code of 1961 or the Criminal Code of 2012, or a |
similar provision of a local ordinance, shall not |
be eligible for expungement until 5 years have |
passed following the satisfactory termination of |
the supervision. |
(i-5) Those arrests or charges that resulted |
in orders of supervision for a misdemeanor |
violation of subsection (a) of Section 11-503 of |
the Illinois Vehicle Code or a similar provision of |
a local ordinance, that occurred prior to the |
offender reaching the age of 25 years and the |
offender has no other conviction for violating |
Section 11-501 or 11-503 of the Illinois Vehicle |
Code or a similar provision of a local ordinance |
shall not be eligible for expungement until the |
petitioner has reached the age of 25 years. |
(ii) Those arrests or charges that resulted in |
orders
of supervision for any other offenses shall |
not be
eligible for expungement until 2 years have |
passed
following the satisfactory termination of |
the supervision. |
|
(C) When the arrest or charge not initiated by |
arrest sought to
be expunged resulted in an order of |
qualified probation, successfully
completed by the |
petitioner, such records shall not be eligible for
|
expungement until 5 years have passed following the |
satisfactory
termination of the probation. |
(3) Those records maintained by the Department for
|
persons arrested prior to their 17th birthday shall be
|
expunged as provided in Section 5-915 of the Juvenile Court
|
Act of 1987. |
(4) Whenever a person has been arrested for or |
convicted of any
offense, in the name of a person whose |
identity he or she has stolen or otherwise
come into |
possession of, the aggrieved person from whom the identity
|
was stolen or otherwise obtained without authorization,
|
upon learning of the person having been arrested using his
|
or her identity, may, upon verified petition to the chief |
judge of
the circuit wherein the arrest was made, have a |
court order
entered nunc pro tunc by the Chief Judge to |
correct the
arrest record, conviction record, if any, and |
all official
records of the arresting authority, the |
Department, other
criminal justice agencies, the |
prosecutor, and the trial
court concerning such arrest, if |
any, by removing his or her name
from all such records in |
connection with the arrest and
conviction, if any, and by |
inserting in the records the
name of the offender, if known |
|
or ascertainable, in lieu of
the aggrieved's name. The |
records of the circuit court clerk shall be sealed until |
further order of
the court upon good cause shown and the |
name of the
aggrieved person obliterated on the official |
index
required to be kept by the circuit court clerk under
|
Section 16 of the Clerks of Courts Act, but the order shall
|
not affect any index issued by the circuit court clerk
|
before the entry of the order. Nothing in this Section
|
shall limit the Department of State Police or other
|
criminal justice agencies or prosecutors from listing
|
under an offender's name the false names he or she has
|
used. |
(5) Whenever a person has been convicted of criminal
|
sexual assault, aggravated criminal sexual assault,
|
predatory criminal sexual assault of a child, criminal
|
sexual abuse, or aggravated criminal sexual abuse, the
|
victim of that offense may request that the State's
|
Attorney of the county in which the conviction occurred
|
file a verified petition with the presiding trial judge at
|
the petitioner's trial to have a court order entered to |
seal
the records of the circuit court clerk in connection
|
with the proceedings of the trial court concerning that
|
offense. However, the records of the arresting authority
|
and the Department of State Police concerning the offense
|
shall not be sealed. The court, upon good cause shown,
|
shall make the records of the circuit court clerk in
|
|
connection with the proceedings of the trial court
|
concerning the offense available for public inspection. |
(6) If a conviction has been set aside on direct review
|
or on collateral attack and the court determines by clear
|
and convincing evidence that the petitioner was factually
|
innocent of the charge, the court that finds the petitioner |
factually innocent of the charge shall enter an
expungement |
order for the conviction for which the petitioner has been |
determined to be innocent as provided in subsection (b) of |
Section
5-5-4 of the Unified Code of Corrections. |
(7) Nothing in this Section shall prevent the |
Department of
State Police from maintaining all records of |
any person who
is admitted to probation upon terms and |
conditions and who
fulfills those terms and conditions |
pursuant to Section 10
of the Cannabis Control Act, Section |
410 of the Illinois
Controlled Substances Act, Section 70 |
of the
Methamphetamine Control and Community Protection |
Act,
Section 5-6-3.3 or 5-6-3.4 of the Unified Code of |
Corrections, Section 12-4.3 or subdivision (b)(1) of |
Section 12-3.05 of the Criminal Code of 1961 or the |
Criminal Code of 2012, Section 10-102
of the Illinois |
Alcoholism and Other Drug Dependency Act,
Section 40-10 of |
the Alcoholism and Other Drug Abuse and
Dependency Act, or |
Section 10 of the Steroid Control Act. |
(8) If the petitioner has been granted a certificate of |
innocence under Section 2-702 of the Code of Civil |
|
Procedure, the court that grants the certificate of |
innocence shall also enter an order expunging the |
conviction for which the petitioner has been determined to |
be innocent as provided in subsection (h) of Section 2-702 |
of the Code of Civil Procedure. |
(c) Sealing. |
(1) Applicability. Notwithstanding any other provision |
of this Act to the contrary, and cumulative with any rights |
to expungement of criminal records, this subsection |
authorizes the sealing of criminal records of adults and of |
minors prosecuted as adults. |
(2) Eligible Records. The following records may be |
sealed: |
(A) All arrests resulting in release without |
charging; |
(B) Arrests or charges not initiated by arrest |
resulting in acquittal, dismissal, or conviction when |
the conviction was reversed or vacated, except as |
excluded by subsection (a)(3)(B); |
(C) Arrests or charges not initiated by arrest |
resulting in orders of supervision, including orders |
of supervision for municipal ordinance violations, |
successfully completed by the petitioner, unless |
excluded by subsection (a)(3); |
(D) Arrests or charges not initiated by arrest |
resulting in convictions, including convictions on |
|
municipal ordinance violations, unless excluded by |
subsection (a)(3); |
(E) Arrests or charges not initiated by arrest |
resulting in orders of first offender probation under |
Section 10 of the Cannabis Control Act, Section 410 of |
the Illinois Controlled Substances Act, Section 70 of |
the Methamphetamine Control and Community Protection |
Act, or Section 5-6-3.3 of the Unified Code of |
Corrections; and |
(F) Arrests or charges not initiated by arrest |
resulting in felony convictions for the following |
offenses: |
(i) Class 4 felony convictions for: |
Prostitution under Section 11-14 of the |
Criminal Code of 1961 or the Criminal Code of |
2012. |
Possession of cannabis under Section 4 of |
the Cannabis Control Act. |
Possession of a controlled substance under |
Section 402 of the Illinois Controlled |
Substances Act. |
Offenses under the Methamphetamine |
Precursor Control Act. |
Offenses under the Steroid Control Act. |
Theft under Section 16-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
|
Retail theft under Section 16A-3 or |
paragraph (a) of 16-25 of the Criminal Code of |
1961 or the Criminal Code of 2012. |
Deceptive practices under Section 17-1 of |
the Criminal Code of 1961 or the Criminal Code |
of 2012. |
Forgery under Section 17-3 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Possession of burglary tools under Section |
19-2 of the Criminal Code of 1961 or the |
Criminal Code of 2012. |
(ii) Class 3 felony convictions for: |
Theft under Section 16-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Retail theft under Section 16A-3 or |
paragraph (a) of 16-25 of the Criminal Code of |
1961 or the Criminal Code of 2012. |
Deceptive practices under Section 17-1 of |
the Criminal Code of 1961 or the Criminal Code |
of 2012. |
Forgery under Section 17-3 of the Criminal |
Code of 1961 or the Criminal Code of 2012. |
Possession with intent to manufacture or |
deliver a controlled substance under Section |
401 of the Illinois Controlled Substances Act. |
(3) When Records Are Eligible to Be Sealed. Records |
|
identified as eligible under subsection (c)(2) may be |
sealed as follows: |
(A) Records identified as eligible under |
subsection (c)(2)(A) and (c)(2)(B) may be sealed at any |
time. |
(B) Except as otherwise provided in subparagraph |
(E) of this paragraph (3), records identified as |
eligible under subsection (c)(2)(C) may be sealed
2 |
years after the termination of petitioner's last |
sentence (as defined in subsection (a)(1)(F)). |
(C) Except as otherwise provided in subparagraph |
(E) of this paragraph (3), records identified as |
eligible under subsections (c)(2)(D), (c)(2)(E), and |
(c)(2)(F) may be sealed 3 years after the termination |
of the petitioner's last sentence (as defined in |
subsection (a)(1)(F)). |
(D) Records identified in subsection |
(a)(3)(A)(iii) may be sealed after the petitioner has |
reached the age of 25 years. |
(E) Records identified as eligible under |
subsections (c)(2)(C), (c)(2)(D), (c)(2)(E), or |
(c)(2)(F) may be sealed upon termination of the |
petitioner's last sentence if the petitioner earned a |
high school diploma, associate's degree, career |
certificate, vocational technical certification, or |
bachelor's degree, or passed the high school level Test |
|
of General Educational Development, during the period |
of his or her sentence, aftercare release, or mandatory |
supervised release. This subparagraph shall apply only |
to a petitioner who has not completed the same |
educational goal prior to the period of his or her |
sentence, aftercare release, or mandatory supervised |
release. If a petition for sealing eligible records |
filed under this subparagraph is denied by the court, |
the time periods under subparagraph (B) or (C) shall |
apply to any subsequent petition for sealing filed by |
the petitioner. |
(4) Subsequent felony convictions. A person may not |
have
subsequent felony conviction records sealed as |
provided in this subsection
(c) if he or she is convicted |
of any felony offense after the date of the
sealing of |
prior felony convictions as provided in this subsection |
(c). The court may, upon conviction for a subsequent felony |
offense, order the unsealing of prior felony conviction |
records previously ordered sealed by the court. |
(5) Notice of eligibility for sealing. Upon entry of a |
disposition for an eligible record under this subsection |
(c), the petitioner shall be informed by the court of the |
right to have the records sealed and the procedures for the |
sealing of the records. |
(d) Procedure. The following procedures apply to |
expungement under subsections (b), (e), and (e-6) and sealing |
|
under subsections (c) and (e-5): |
(1) Filing the petition. Upon becoming eligible to |
petition for
the expungement or sealing of records under |
this Section, the petitioner shall file a petition |
requesting the expungement
or sealing of records with the |
clerk of the court where the arrests occurred or the |
charges were brought, or both. If arrests occurred or |
charges were brought in multiple jurisdictions, a petition |
must be filed in each such jurisdiction. The petitioner |
shall pay the applicable fee, if not waived. |
(2) Contents of petition. The petition shall be
|
verified and shall contain the petitioner's name, date of
|
birth, current address and, for each arrest or charge not |
initiated by
arrest sought to be sealed or expunged, the |
case number, the date of
arrest (if any), the identity of |
the arresting authority, and such
other information as the |
court may require. During the pendency
of the proceeding, |
the petitioner shall promptly notify the
circuit court |
clerk of any change of his or her address. If the |
petitioner has received a certificate of eligibility for |
sealing from the Prisoner Review Board under paragraph (10) |
of subsection (a) of Section 3-3-2 of the Unified Code of |
Corrections, the certificate shall be attached to the |
petition. |
(3) Drug test. The petitioner must attach to the |
petition proof that the petitioner has passed a test taken |
|
within 30 days before the filing of the petition showing |
the absence within his or her body of all illegal |
substances as defined by the Illinois Controlled |
Substances Act, the Methamphetamine Control and Community |
Protection Act, and the Cannabis Control Act if he or she |
is petitioning to: |
(A) seal felony records under clause (c)(2)(E); |
(B) seal felony records for a violation of the |
Illinois Controlled Substances Act, the |
Methamphetamine Control and Community Protection Act, |
or the Cannabis Control Act under clause (c)(2)(F); |
(C) seal felony records under subsection (e-5); or |
(D) expunge felony records of a qualified |
probation under clause (b)(1)(B)(iv). |
(4) Service of petition. The circuit court clerk shall |
promptly
serve a copy of the petition and documentation to |
support the petition under subsection (e-5) or (e-6) on the |
State's Attorney or
prosecutor charged with the duty of |
prosecuting the
offense, the Department of State Police, |
the arresting
agency and the chief legal officer of the |
unit of local
government effecting the arrest. |
(5) Objections. |
(A) Any party entitled to notice of the petition |
may file an objection to the petition. All objections |
shall be in writing, shall be filed with the circuit |
court clerk, and shall state with specificity the basis |
|
of the objection. Whenever a person who has been |
convicted of an offense is granted
a pardon by the |
Governor which specifically authorizes expungement, an |
objection to the petition may not be filed. |
(B) Objections to a petition to expunge or seal |
must be filed within 60 days of the date of service of |
the petition. |
(6) Entry of order. |
(A) The Chief Judge of the circuit wherein the |
charge was brought, any judge of that circuit |
designated by the Chief Judge, or in counties of less |
than 3,000,000 inhabitants, the presiding trial judge |
at the petitioner's trial, if any, shall rule on the |
petition to expunge or seal as set forth in this |
subsection (d)(6). |
(B) Unless the State's Attorney or prosecutor, the |
Department of
State Police, the arresting agency, or |
the chief legal officer
files an objection to the |
petition to expunge or seal within 60 days from the |
date of service of the petition, the court shall enter |
an order granting or denying the petition. |
(7) Hearings. If an objection is filed, the court shall |
set a date for a hearing and notify the petitioner and all |
parties entitled to notice of the petition of the hearing |
date at least 30 days prior to the hearing. Prior to the |
hearing, the State's Attorney shall consult with the |
|
Department as to the appropriateness of the relief sought |
in the petition to expunge or seal. At the hearing, the |
court shall hear evidence on whether the petition should or |
should not be granted, and shall grant or deny the petition |
to expunge or seal the records based on the evidence |
presented at the hearing. The court may consider the |
following: |
(A) the strength of the evidence supporting the |
defendant's conviction; |
(B) the reasons for retention of the conviction |
records by the State; |
(C) the petitioner's age, criminal record history, |
and employment history; |
(D) the period of time between the petitioner's |
arrest on the charge resulting in the conviction and |
the filing of the petition under this Section; and |
(E) the specific adverse consequences the |
petitioner may be subject to if the petition is denied. |
(8) Service of order. After entering an order to |
expunge or
seal records, the court must provide copies of |
the order to the
Department, in a form and manner |
prescribed by the Department,
to the petitioner, to the |
State's Attorney or prosecutor
charged with the duty of |
prosecuting the offense, to the
arresting agency, to the |
chief legal officer of the unit of
local government |
effecting the arrest, and to such other
criminal justice |
|
agencies as may be ordered by the court. |
(9) Implementation of order. |
(A) Upon entry of an order to expunge records |
pursuant to (b)(2)(A) or (b)(2)(B)(ii), or both: |
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency, |
the Department, and any other agency as ordered by |
the court, within 60 days of the date of service of |
the order, unless a motion to vacate, modify, or |
reconsider the order is filed pursuant to |
paragraph (12) of subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
circuit court clerk before the entry of the order; |
and |
(iii) in response to an inquiry for expunged |
records, the court, the Department, or the agency |
receiving such inquiry, shall reply as it does in |
response to inquiries when no records ever |
existed. |
(B) Upon entry of an order to expunge records |
|
pursuant to (b)(2)(B)(i) or (b)(2)(C), or both: |
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency |
and any other agency as ordered by the court, |
within 60 days of the date of service of the order, |
unless a motion to vacate, modify, or reconsider |
the order is filed pursuant to paragraph (12) of |
subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
circuit court clerk before the entry of the order; |
(iii) the records shall be impounded by the
|
Department within 60 days of the date of service of |
the order as ordered by the court, unless a motion |
to vacate, modify, or reconsider the order is filed |
pursuant to paragraph (12) of subsection (d) of |
this Section; |
(iv) records impounded by the Department may |
be disseminated by the Department only as required |
by law or to the arresting authority, the State's |
Attorney, and the court upon a later arrest for the |
|
same or a similar offense or for the purpose of |
sentencing for any subsequent felony, and to the |
Department of Corrections upon conviction for any |
offense; and |
(v) in response to an inquiry for such records |
from anyone not authorized by law to access such |
records, the court, the Department, or the agency |
receiving such inquiry shall reply as it does in |
response to inquiries when no records ever |
existed. |
(B-5) Upon entry of an order to expunge records |
under subsection (e-6): |
(i) the records shall be expunged (as defined |
in subsection (a)(1)(E)) by the arresting agency |
and any other agency as ordered by the court, |
within 60 days of the date of service of the order, |
unless a motion to vacate, modify, or reconsider |
the order is filed under paragraph (12) of |
subsection (d) of this Section; |
(ii) the records of the circuit court clerk |
shall be impounded until further order of the court |
upon good cause shown and the name of the |
petitioner obliterated on the official index |
required to be kept by the circuit court clerk |
under Section 16 of the Clerks of Courts Act, but |
the order shall not affect any index issued by the |
|
circuit court clerk before the entry of the order; |
(iii) the records shall be impounded by the
|
Department within 60 days of the date of service of |
the order as ordered by the court, unless a motion |
to vacate, modify, or reconsider the order is filed |
under paragraph (12) of subsection (d) of this |
Section; |
(iv) records impounded by the Department may |
be disseminated by the Department only as required |
by law or to the arresting authority, the State's |
Attorney, and the court upon a later arrest for the |
same or a similar offense or for the purpose of |
sentencing for any subsequent felony, and to the |
Department of Corrections upon conviction for any |
offense; and |
(v) in response to an inquiry for these records |
from anyone not authorized by law to access the |
records, the court, the Department, or the agency |
receiving the inquiry shall reply as it does in |
response to inquiries when no records ever |
existed. |
(C) Upon entry of an order to seal records under |
subsection
(c), the arresting agency, any other agency |
as ordered by the court, the Department, and the court |
shall seal the records (as defined in subsection |
(a)(1)(K)). In response to an inquiry for such records, |
|
from anyone not authorized by law to access such |
records, the court, the Department, or the agency |
receiving such inquiry shall reply as it does in |
response to inquiries when no records ever existed. |
(D) The Department shall send written notice to the |
petitioner of its compliance with each order to expunge |
or seal records within 60 days of the date of service |
of that order or, if a motion to vacate, modify, or |
reconsider is filed, within 60 days of service of the |
order resolving the motion, if that order requires the |
Department to expunge or seal records. In the event of |
an appeal from the circuit court order, the Department |
shall send written notice to the petitioner of its |
compliance with an Appellate Court or Supreme Court |
judgment to expunge or seal records within 60 days of |
the issuance of the court's mandate. The notice is not |
required while any motion to vacate, modify, or |
reconsider, or any appeal or petition for |
discretionary appellate review, is pending. |
(10) Fees. The Department may charge the petitioner a |
fee equivalent to the cost of processing any order to |
expunge or seal records. Notwithstanding any provision of |
the Clerks of Courts Act to the contrary, the circuit court |
clerk may charge a fee equivalent to the cost associated |
with the sealing or expungement of records by the circuit |
court clerk. From the total filing fee collected for the |
|
petition to seal or expunge, the circuit court clerk shall |
deposit $10 into the Circuit Court Clerk Operation and |
Administrative Fund, to be used to offset the costs |
incurred by the circuit court clerk in performing the |
additional duties required to serve the petition to seal or |
expunge on all parties. The circuit court clerk shall |
collect and forward the Department of State Police portion |
of the fee to the Department and it shall be deposited in |
the State Police Services Fund. |
(11) Final Order. No court order issued under the |
expungement or sealing provisions of this Section shall |
become final for purposes of appeal until 30 days after |
service of the order on the petitioner and all parties |
entitled to notice of the petition. |
(12) Motion to Vacate, Modify, or Reconsider. Under |
Section 2-1203 of the Code of Civil Procedure, the |
petitioner or any party entitled to notice may file a |
motion to vacate, modify, or reconsider the order granting |
or denying the petition to expunge or seal within 60 days |
of service of the order. If filed more than 60 days after |
service of the order, a petition to vacate, modify, or |
reconsider shall comply with subsection (c) of Section |
2-1401 of the Code of Civil Procedure. Upon filing of a |
motion to vacate, modify, or reconsider, notice of the |
motion shall be served upon the petitioner and all parties |
entitled to notice of the petition. |
|
(13) Effect of Order. An order granting a petition |
under the expungement or sealing provisions of this Section |
shall not be considered void because it fails to comply |
with the provisions of this Section or because of any error |
asserted in a motion to vacate, modify, or reconsider. The |
circuit court retains jurisdiction to determine whether |
the order is voidable and to vacate, modify, or reconsider |
its terms based on a motion filed under paragraph (12) of |
this subsection (d). |
(14) Compliance with Order Granting Petition to Seal |
Records. Unless a court has entered a stay of an order |
granting a petition to seal, all parties entitled to notice |
of the petition must fully comply with the terms of the |
order within 60 days of service of the order even if a |
party is seeking relief from the order through a motion |
filed under paragraph (12) of this subsection (d) or is |
appealing the order. |
(15) Compliance with Order Granting Petition to |
Expunge Records. While a party is seeking relief from the |
order granting the petition to expunge through a motion |
filed under paragraph (12) of this subsection (d) or is |
appealing the order, and unless a court has entered a stay |
of that order, the parties entitled to notice of the |
petition must seal, but need not expunge, the records until |
there is a final order on the motion for relief or, in the |
case of an appeal, the issuance of that court's mandate. |
|
(16) The changes to this subsection (d) made by Public |
Act 98-163 apply to all petitions pending on August 5, 2013 |
(the effective date of Public Act 98-163) and to all orders |
ruling on a petition to expunge or seal on or after August |
5, 2013 (the effective date of Public Act 98-163). |
(e) Whenever a person who has been convicted of an offense |
is granted
a pardon by the Governor which specifically |
authorizes expungement, he or she may,
upon verified petition |
to the Chief Judge of the circuit where the person had
been |
convicted, any judge of the circuit designated by the Chief |
Judge, or in
counties of less than 3,000,000 inhabitants, the |
presiding trial judge at the
defendant's trial, have a court |
order entered expunging the record of
arrest from the official |
records of the arresting authority and order that the
records |
of the circuit court clerk and the Department be sealed until
|
further order of the court upon good cause shown or as |
otherwise provided
herein, and the name of the defendant |
obliterated from the official index
requested to be kept by the |
circuit court clerk under Section 16 of the Clerks
of Courts |
Act in connection with the arrest and conviction for the |
offense for
which he or she had been pardoned but the order |
shall not affect any index issued by
the circuit court clerk |
before the entry of the order. All records sealed by
the |
Department may be disseminated by the Department only to the |
arresting authority, the State's Attorney, and the court upon a |
later
arrest for the same or similar offense or for the purpose |
|
of sentencing for any
subsequent felony. Upon conviction for |
any subsequent offense, the Department
of Corrections shall |
have access to all sealed records of the Department
pertaining |
to that individual. Upon entry of the order of expungement, the
|
circuit court clerk shall promptly mail a copy of the order to |
the
person who was pardoned. |
(e-5) Whenever a person who has been convicted of an |
offense is granted a certificate of eligibility for sealing by |
the Prisoner Review Board which specifically authorizes |
sealing, he or she may, upon verified petition to the Chief |
Judge of the circuit where the person had been convicted, any |
judge of the circuit designated by the Chief Judge, or in |
counties of less than 3,000,000 inhabitants, the presiding |
trial judge at the petitioner's trial, have a court order |
entered sealing the record of arrest from the official records |
of the arresting authority and order that the records of the |
circuit court clerk and the Department be sealed until further |
order of the court upon good cause shown or as otherwise |
provided herein, and the name of the petitioner obliterated |
from the official index requested to be kept by the circuit |
court clerk under Section 16 of the Clerks of Courts Act in |
connection with the arrest and conviction for the offense for |
which he or she had been granted the certificate but the order |
shall not affect any index issued by the circuit court clerk |
before the entry of the order. All records sealed by the |
Department may be disseminated by the Department only as |
|
required by this Act or to the arresting authority, a law |
enforcement agency, the State's Attorney, and the court upon a |
later arrest for the same or similar offense or for the purpose |
of sentencing for any subsequent felony. Upon conviction for |
any subsequent offense, the Department of Corrections shall |
have access to all sealed records of the Department pertaining |
to that individual. Upon entry of the order of sealing, the |
circuit court clerk shall promptly mail a copy of the order to |
the person who was granted the certificate of eligibility for |
sealing. |
(e-6) Whenever a person who has been convicted of an |
offense is granted a certificate of eligibility for expungement |
by the Prisoner Review Board which specifically authorizes |
expungement, he or she may, upon verified petition to the Chief |
Judge of the circuit where the person had been convicted, any |
judge of the circuit designated by the Chief Judge, or in |
counties of less than 3,000,000 inhabitants, the presiding |
trial judge at the petitioner's trial, have a court order |
entered expunging the record of arrest from the official |
records of the arresting authority and order that the records |
of the circuit court clerk and the Department be sealed until |
further order of the court upon good cause shown or as |
otherwise provided herein, and the name of the petitioner |
obliterated from the official index requested to be kept by the |
circuit court clerk under Section 16 of the Clerks of Courts |
Act in connection with the arrest and conviction for the |
|
offense for which he or she had been granted the certificate |
but the order shall not affect any index issued by the circuit |
court clerk before the entry of the order. All records sealed |
by the Department may be disseminated by the Department only as |
required by this Act or to the arresting authority, a law |
enforcement agency, the State's Attorney, and the court upon a |
later arrest for the same or similar offense or for the purpose |
of sentencing for any subsequent felony. Upon conviction for |
any subsequent offense, the Department of Corrections shall |
have access to all expunged records of the Department |
pertaining to that individual. Upon entry of the order of |
expungement, the circuit court clerk shall promptly mail a copy |
of the order to the person who was granted the certificate of |
eligibility for expungement. |
(f) Subject to available funding, the Illinois Department
|
of Corrections shall conduct a study of the impact of sealing,
|
especially on employment and recidivism rates, utilizing a
|
random sample of those who apply for the sealing of their
|
criminal records under Public Act 93-211. At the request of the
|
Illinois Department of Corrections, records of the Illinois
|
Department of Employment Security shall be utilized as
|
appropriate to assist in the study. The study shall not
|
disclose any data in a manner that would allow the
|
identification of any particular individual or employing unit.
|
The study shall be made available to the General Assembly no
|
later than September 1, 2010.
|
|
(Source: P.A. 98-133, eff. 1-1-14; 98-142, eff. 1-1-14; 98-163, |
eff. 8-5-13; 98-164, eff. 1-1-14; 98-399, eff. 8-16-13; 98-635, |
eff. 1-1-15; 98-637, eff. 1-1-15; 98-756, eff. 7-16-14; |
98-1009, eff. 1-1-15; 99-78, eff. 7-20-15; 99-378, eff. 1-1-16; |
99-385, eff. 1-1-16; revised 10-15-15.)
|
Section 110. The Department of Transportation Law of the
|
Civil Administrative Code of Illinois is amended by changing |
Sections 2705-565 and 2705-605 as follows:
|
(20 ILCS 2705/2705-565) |
Sec. 2705-565. North Chicago property; study; conveyance.
|
(a) The Department shall perform a study of property owned |
by the Department consisting of approximately 160 acres located |
in North Chicago, south of IL Route 137, between IL Route 43 |
and US Route 41. The study shall include, but not be limited |
to, a survey of the property for the purpose of delineating |
jurisdictional wetlands in accordance with the Interagency |
Wetland Policy Act of 1989 and identifying threatened and |
endangered species in accordance with the Illinois Endangered |
Species Protection Act, for the purpose of identifying property |
no longer needed for highway purposes. |
(b) Upon completion of the study and for a period ending 3 |
years after the effective date of this amendatory Act of the |
94th General Assembly, the City of North Chicago shall have an |
exclusive option to purchase for public purposes those portions |
|
of the property no longer needed for highway purposes for a |
consideration, which may be de minimis minimus , negotiated by |
the parties. The Department of Transportation is authorized to |
convey the excess property to the City of North Chicago |
pursuant to this Section within 3 years after the effective |
date of this amendatory Act of the 94th General Assembly, but |
may not otherwise convey or transfer the property during that |
period. |
(c) Any conveyance to the City of North Chicago under this |
Section shall provide (i) that title to the property reverts to |
the State of Illinois if the property ceases to be used for |
public purposes and (ii) the City of North Chicago may lease |
the property but may not convey its ownership of the property |
to any party, other than the State of Illinois.
|
(Source: P.A. 94-1045, eff. 7-24-06; revised 10-19-15.)
|
(20 ILCS 2705/2705-605) |
Sec. 2705-605. Construction projects; notification of the |
public. |
(a) The Department shall develop and publish a policy for |
the notification of members of the public prior to the |
commencement of construction projects which impact their |
communities. The policy shall include procedures for ensuring |
that the public is informed of construction projects, excluding |
emergency projects, which are estimated to require the closure |
of a street or lane of traffic for a period longer than 5 |
|
consecutive business days. The policy shall include procedures |
for the notification of local public officials and affected |
businesses of affected communities and shall provide the local |
public officials the opportunity to request a meeting with the |
Department prior to the initiation of the closure. |
(b) The policy shall be completed and published on the |
Department's Internet website by January 1, 2013.
|
(c) The Department shall work with affected stakeholders, |
including residents, businesses, and other community members , |
before and during construction by considering various methods |
to mitigate and reduce project impacts to better serve those |
directly impacted by the improvement. Those methods could |
include, but need not be limited to, detour routing and |
temporary signage. |
(Source: P.A. 97-992, eff. 1-1-13; 98-412, eff. 1-1-14; revised |
10-19-15.)
|
Section 115. The Department of Veterans Affairs Act is |
amended by changing Section 2.01 as follows:
|
(20 ILCS 2805/2.01) (from Ch. 126 1/2, par. 67.01)
|
Sec. 2.01. Veterans Home admissions.
|
(a) Any honorably discharged veteran
is entitled to |
admission to an Illinois
Veterans Home if the applicant meets |
the requirements of this Section.
|
(b)
The veteran must: |
|
(1) have served in the armed forces of the United |
States at least
1 day in World War II, the Korean
Conflict, |
the Viet Nam Campaign, or the Persian Gulf Conflict
between |
the dates recognized by the U.S. Department of Veterans |
Affairs or
between any other present or future dates |
recognized by the U.S. Department of
Veterans Affairs as a |
war period, or have served in a hostile fire
environment |
and has been awarded a campaign or expeditionary medal
|
signifying his or her service,
for purposes of eligibility |
for domiciliary or
nursing home care; |
(2) have served and been honorably discharged or |
retired from the armed forces of the United States for a |
service connected disability or injury, for purposes of |
eligibility for domiciliary or
nursing home care; |
(3) have served as an enlisted person at least 90 days |
on active duty in the armed forces of the United States, |
excluding service on active duty for training purposes |
only, and entered active duty before September 8, 1980, for |
purposes of eligibility for domiciliary or
nursing home |
care; |
(4) have served as an officer at least 90 days on |
active duty in the armed forces of the United States, |
excluding service on active duty for training purposes |
only, and entered active duty before October 17, 1981, for |
purposes of eligibility for domiciliary or
nursing home |
care; |
|
(5) have served on active duty in the armed forces of |
the United States for 24 months of continuous service or |
more, excluding active duty for training purposes only, and |
enlisted after September 7, 1980, for purposes of |
eligibility for domiciliary or
nursing home care; |
(6) have served as a reservist in the armed forces of |
the United States or the National Guard and the service |
included being called to federal active duty, excluding |
service on active duty for training purposes only, and who |
completed the term,
for purposes of eligibility for |
domiciliary or nursing home care;
|
(7) have been discharged for reasons of hardship or |
released from active duty due to a reduction in the United |
States armed forces prior to the completion of the required |
period of service, regardless of the actual time served, |
for purposes of eligibility for domiciliary or nursing home |
care; or
|
(8) have served in the National Guard or Reserve Forces |
of the
United States and completed 20 years of satisfactory |
service, be
otherwise eligible to receive reserve or active |
duty retirement
benefits, and have been an Illinois |
resident for at least one year
before applying for |
admission for purposes of eligibility
for domiciliary care |
only.
|
(c) The veteran must have service accredited to the State |
of Illinois or
have been a resident of this State for one year |
|
immediately
preceding the date of application.
|
(d) For admission to the Illinois Veterans Homes at Anna |
and
Quincy, the veteran must have developed a disability by |
disease, wounds, or otherwise and because
of the disability be |
incapable of earning a living.
|
(e) For admission to the Illinois Veterans Homes at LaSalle |
and Manteno,
the veteran must have developed a disability by |
disease, wounds, or otherwise and, for purposes of eligibility
|
for nursing home care, require nursing care because of the |
disability. |
(f) An individual who served during a time of conflict as |
set forth in paragraph (1) of subsection (b) subsection (a)(1) |
of this Section has preference over all other qualifying |
candidates, for purposes of eligibility for domiciliary or
|
nursing home care at any Illinois Veterans Home.
|
(g) A veteran or spouse, once admitted to an Illinois |
Veterans Home facility, is considered a resident for |
interfacility purposes. |
(Source: P.A. 99-143, eff. 7-27-15; 99-314, eff. 8-7-15; |
revised 10-19-15.)
|
Section 120. The Historic Preservation Agency Act is |
amended by changing Section 16 as follows:
|
(20 ILCS 3405/16) (from Ch. 127, par. 2716)
|
Sec. 16. The Historic Sites and Preservation Division of |
|
the Agency
shall have the following
additional powers:
|
(a) To hire agents and employees necessary to carry out the |
duties and
purposes of the Historic Sites and Preservation |
Division of the Agency.
|
(b) To take all measures necessary to erect, maintain, |
preserve, restore,
and conserve all State Historic Sites and |
State Memorials, except when
supervision and maintenance is |
otherwise provided by law. This
authorization includes the |
power, with the consent of the Board, to enter
into contracts, |
acquire and
dispose of real and personal property, and enter |
into leases of real and
personal property. The Agency has the |
power to acquire, for purposes authorized by law, any real |
property in fee simple subject to a life estate in the seller |
in not more than 3 acres of the real property acquired, subject |
to the restrictions that the life estate shall be used for |
residential purposes only and that it shall be |
non-transferable.
|
(c) To provide recreational facilities , including |
campsites camp sites , lodges and
cabins, trails, picnic areas , |
and related recreational facilities , at all
sites under the |
jurisdiction of the Agency.
|
(d) To lay out, construct , and maintain all needful roads, |
parking areas,
paths or trails, bridges, camp or lodge sites, |
picnic areas, lodges and
cabins, and any other structures and |
improvements necessary and appropriate
in any State historic |
site or easement thereto; and to provide water
supplies, heat |
|
and light, and sanitary facilities for the public and living
|
quarters for the custodians and keepers of State historic |
sites.
|
(e) To grant licenses and rights-of-way within the areas |
controlled
by the Historic Sites and Preservation Division of |
the Agency for the
construction, operation ,
and maintenance |
upon,
under or across the property, of facilities for water, |
sewage, telephone,
telegraph, electric, gas, or other public |
service, subject to the terms and
conditions as may be |
determined by the Agency.
|
(f) To authorize the officers, employees , and agents of the |
Historic Sites
and Preservation
Division of the Agency,
for the |
purposes of investigation and to exercise the rights,
powers, |
and duties vested and that may be vested in it, to enter and |
cross
all lands and waters in this State, doing no damage to |
private property.
|
(g) To transfer jurisdiction of or exchange any realty |
under the
control of the Historic Sites and Preservation |
Division of the Agency to
any other Department of
the State |
Government,
or to any agency of the Federal Government, or to |
acquire or accept Federal
lands, when any transfer, exchange, |
acquisition , or acceptance is
advantageous to the State and is |
approved in writing by the Governor.
|
(h) To erect, supervise, and maintain all public monuments |
and memorials
erected by the State, except when the supervision |
and maintenance of
public monuments and memorials is otherwise |
|
provided by law.
|
(i) To accept, hold, maintain, and administer, as trustee, |
property given
in trust for educational or historic purposes |
for the benefit of the People
of the State of Illinois and to |
dispose, with the consent of the Board, of
any property under |
the terms of the
instrument creating the trust.
|
(j) To lease concessions on any property under the |
jurisdiction of the
Agency for a period not exceeding 25 years |
and to lease a concession
complex at Lincoln's New Salem State |
Historic Site for which a cash
incentive has been authorized |
under Section 5.1 of the Historic
Preservation Agency Act for a |
period not to exceed 40 years. All
leases, for whatever period, |
shall be made subject to the written approval
of the Governor. |
All concession leases extending for a period in excess of
10 |
years, will contain provisions for the Agency to participate, |
on a
percentage basis, in the revenues generated by any |
concession operation.
|
The Agency is authorized to allow for provisions for a |
reserve account and a leasehold account within Agency |
concession lease agreements for the purpose of setting aside |
revenues for the maintenance, rehabilitation, repair, |
improvement, and replacement of the concession facility, |
structure, and equipment of the Agency that are part of the |
leased premises. |
The lessee shall be required to pay into the reserve |
account a percentage of gross receipts, as set forth in the |
|
lease, to be set aside and expended in a manner acceptable to |
the Agency by the concession lessee for the purpose of ensuring |
that an appropriate amount of the lessee's moneys are provided |
by the lessee to satisfy the lessee's incurred responsibilities |
for the operation of the concession facility under the terms |
and conditions of the concession lease. |
The lessee account shall allow for the amortization of |
certain authorized expenses that are incurred by the concession |
lessee but that are not an obligation of the lessee under the |
terms and conditions of the lease agreement. The Agency may |
allow a reduction of up to 50% of the monthly rent due for the |
purpose of enabling the recoupment of the lessee's authorized |
expenditures during the term of the lease.
|
(k) To sell surplus agricultural products grown on land |
owned by or
under the jurisdiction of the Historic Sites and |
Preservation Division of
the Agency, when the
products cannot |
be used
by the Agency.
|
(l) To enforce the laws of the State and the rules and |
regulations of the
Agency in or on any lands owned, leased, or |
managed by the Historic Sites and
Preservation
Division of the |
Agency.
|
(m) To cooperate with private organizations and agencies of |
the
State of Illinois by providing areas and the use of staff |
personnel
where feasible for the sale of publications on the |
historic and cultural
heritage of the State and craft items |
made by Illinois craftsmen. These
sales shall not conflict with |
|
existing concession agreements. The
Historic Sites and |
Preservation Division of the Agency is authorized to
negotiate |
with the
organizations and
agencies for a portion of the monies |
received from sales to be returned
to the Historic Sites and |
Preservation Division of the Agency's Historic
Sites Fund
for |
the
furtherance of interpretive
and restoration programs.
|
(n) To establish local bank or savings and loan association
|
accounts, upon the written authorization of the Director, to |
temporarily
hold income received at any of its properties. The |
local accounts
established under this Section shall be in the |
name of the Historic
Preservation Agency and shall be subject |
to regular audits. The balance in
a local bank or savings and |
loan association account shall be forwarded to
the Agency for |
deposit with the State Treasurer on Monday of each week if
the |
amount to be deposited in a fund exceeds $500.
|
No bank or savings and loan association shall receive |
public funds as
permitted by this Section, unless it has |
complied with the requirements
established under Section 6 of |
the Public Funds Investment Act.
|
(o) To accept, with the consent of the Board, offers of |
gifts,
gratuities, or grants from the federal
government, its |
agencies, or offices, or from any person, firm, or
corporation.
|
(p) To make reasonable rules and regulations as may be |
necessary to
discharge the duties of the Agency.
|
(q) With appropriate cultural organizations, to further |
and advance the
goals of the Agency.
|
|
(r) To make grants for the purposes of planning, survey, |
rehabilitation,
restoration, reconstruction, landscaping, and |
acquisition of Illinois
properties (i) designated individually |
in the National
Register of Historic Places, (ii) designated as |
a landmark under a county or
municipal landmark ordinance, or |
(iii) located within a National Register of
Historic Places |
historic district or a locally designated historic district
|
when the Director determines that the property is of historic |
significance
whenever an
appropriation is made therefor by the |
General Assembly or whenever gifts or
grants are received for |
that purpose and to promulgate
regulations as may be necessary |
or desirable to carry out the purposes
of the grants.
|
Grantees may, as prescribed by rule, be required to provide |
matching funds
for each grant. Grants made under this |
subsection shall be known as Illinois
Heritage Grants.
|
Every owner of a historic property, or the owner's agent, |
is eligible to
apply for a grant under this subsection.
|
(s) To establish and implement a pilot program for charging |
admission to
State historic sites. Fees may be charged for |
special events, admissions, and
parking or any combination; |
fees may be charged at all sites or selected sites.
All fees |
shall be deposited into the Illinois Historic Sites Fund. The
|
Historic Sites and Preservation Division of the Agency
shall |
have the discretion to set and adjust reasonable fees at the |
various
sites, taking into consideration various factors , |
including , but not limited to:
cost of services furnished to |
|
each visitor, impact of fees on attendance and
tourism , and the |
costs expended collecting the fees. The
Agency shall keep
|
careful records of the income and expenses resulting from the |
imposition of
fees, shall keep records as to the attendance at |
each historic site, and shall
report to the Governor and |
General Assembly by January 31 after the close of
each year. |
The report shall include information on costs, expenses,
|
attendance, comments by visitors, and any other information the
|
Agency may
believe pertinent, including:
|
(1) Recommendations as to whether fees should be |
continued at each State
historic site.
|
(2) How the fees should be structured and imposed.
|
(3) Estimates of revenues and expenses associated with |
each site.
|
(t) To provide for overnight tent and trailer campsites and |
to provide
suitable housing facilities for student and juvenile |
overnight camping
groups. The Historic Sites and Preservation |
Division of the Agency shall
charge rates similar to those
|
charged by the Department
of Conservation for the same or |
similar facilities and services.
|
(u) To engage in marketing activities designed to promote |
the sites and
programs administered by the Agency. In
|
undertaking these activities, the
Agency may take all necessary |
steps with respect
to products and services,
including , but not |
limited to , retail sales, wholesale sales, direct marketing,
|
mail order sales, telephone sales, advertising and promotion, |
|
purchase of
product and materials inventory, design, printing |
and manufacturing of new
products, reproductions, and |
adaptations, copyright and trademark licensing and
royalty |
agreements, and payment of applicable taxes. In addition, the |
Agency
shall have the authority to sell advertising in its |
publications and printed
materials. All income from marketing
|
activities shall be deposited into the Illinois Historic Sites |
Fund.
|
(Source: P.A. 95-140, eff. 1-1-08; revised 10-14-15.)
|
Section 125. The Illinois Health Information Exchange and |
Technology Act is amended by changing Section 20 as follows:
|
(20 ILCS 3860/20) |
(Section scheduled to be repealed on January 1, 2021)
|
Sec. 20. Powers and duties of the Illinois Health |
Information Exchange Authority. The Authority has the |
following powers, together with all powers incidental or |
necessary to accomplish the purposes of this Act: |
(1) The Authority shall create and administer the ILHIE |
using information systems and processes that are secure, |
are cost effective, and meet all other relevant privacy and |
security requirements under State and federal law.
|
(2) The Authority shall establish and adopt standards |
and requirements for the use of health information and the |
requirements for participation in the ILHIE by persons or |
|
entities including, but not limited to, health care |
providers, payors, and local health information exchanges.
|
(3) The Authority shall establish minimum standards |
for accessing the ILHIE to ensure that the appropriate |
security and privacy protections apply to health |
information, consistent with applicable federal and State |
standards and laws. The Authority shall have the power to |
suspend, limit, or terminate the right to participate in |
the ILHIE for non-compliance or failure to act, with |
respect to applicable standards and laws, in the best |
interests of patients, users of the ILHIE, or the public. |
The Authority may seek all remedies allowed by law to |
address any violation of the terms of participation in the |
ILHIE.
|
(4) The Authority shall identify barriers to the |
adoption of electronic health records systems, including |
researching the rates and patterns of dissemination and use |
of electronic health record systems throughout the State. |
The Authority shall make the results of the research |
available on its website.
|
(5) The Authority shall prepare educational materials |
and educate the general public on the benefits of |
electronic health records, the ILHIE, and the safeguards |
available to prevent unauthorized disclosure of health |
information.
|
(6) The Authority may appoint or designate an |
|
institutional review board in accordance with federal and |
State law to review and approve requests for research in |
order to ensure compliance with standards and patient |
privacy and security protections as specified in paragraph |
(3) of this Section.
|
(7) The Authority may enter into all contracts and |
agreements necessary or incidental to the performance of |
its powers under this Act. The Authority's expenditures of |
private funds are exempt from the Illinois Procurement |
Code, pursuant to Section 1-10 of that Act. Notwithstanding |
this exception, the Authority shall comply with the |
Business Enterprise for Minorities, Females, and Persons |
with Disabilities Act.
|
(8) The Authority may solicit and accept grants, loans, |
contributions, or appropriations from any public or |
private source and may expend those moneys, through |
contracts, grants, loans, or agreements, on activities it |
considers suitable to the performance of its duties under |
this Act.
|
(9) The Authority may determine, charge, and collect |
any fees, charges, costs, and expenses from any healthcare |
provider or entity in connection with its duties under this |
Act. Moneys collected under this paragraph (9) shall be |
deposited into the Health Information Exchange Fund.
|
(10) The Authority may, under the direction of the |
Executive Director, employ and discharge staff, including |
|
administrative, technical, expert, professional, and legal |
staff, as is necessary or convenient to carry out the |
purposes of this Act. The Authority may establish and |
administer standards of classification regarding |
compensation, benefits, duties, performance, and tenure |
for that staff and may enter into contracts of employment |
with members of that staff for such periods and on such |
terms as the Authority deems desirable. All employees of |
the Authority are exempt from the Personnel Code as |
provided by Section 4 of the Personnel Code. |
(11) The Authority shall consult and coordinate with |
the Department of Public Health to further the Authority's |
collection of health information from health care |
providers for public health purposes. The collection of |
public health information shall include identifiable |
information for use by the Authority or other State |
agencies to comply with State and federal laws. Any |
identifiable information so collected shall be privileged |
and confidential in accordance with Sections 8-2101, |
8-2102, 8-2103, 8-2104, and 8-2105 of the Code of Civil |
Procedure.
|
(12) All identified or deidentified health information |
in the form of health data or medical records contained in, |
stored in, submitted to, transferred by, or released from |
the Illinois Health Information Exchange, and identified |
or deidentified health information in the form of health |
|
data and medical records of the Illinois Health Information |
Exchange in the possession of the Illinois Health |
Information Exchange Authority due to its administration |
of the Illinois Health Information Exchange, shall be |
exempt from inspection and copying under the Freedom of |
Information Act. The terms "identified" and "deidentified" |
shall be given the same meaning as in the Health Insurance |
Portability and Accountability and Portability Act of |
1996, Public Law 104-191, or any subsequent amendments |
thereto, and any regulations promulgated thereunder.
|
(13) To address gaps in the adoption of, workforce |
preparation for, and exchange of electronic health records |
that result in regional and socioeconomic disparities in |
the delivery of care, the Authority may evaluate such gaps |
and provide resources as available, giving priority to |
healthcare providers serving a significant percentage of |
Medicaid or uninsured patients and in medically |
underserved or rural areas.
|
(Source: P.A. 96-1331, eff. 7-27-10; revised 10-13-15.)
|
Section 130. The Illinois Health Facilities Planning Act is |
amended by changing Sections 12 and 14.1 as follows:
|
(20 ILCS 3960/12) (from Ch. 111 1/2, par. 1162)
|
(Section scheduled to be repealed on December 31, 2019) |
Sec. 12. Powers and duties of State Board. For purposes of |
|
this Act,
the State Board
shall
exercise the following powers |
and duties:
|
(1) Prescribe rules,
regulations, standards, criteria, |
procedures or reviews which may vary
according to the purpose |
for which a particular review is being conducted
or the type of |
project reviewed and which are required to carry out the
|
provisions and purposes of this Act. Policies and procedures of |
the State Board shall take into consideration the priorities |
and needs of medically underserved areas and other health care |
services identified through the comprehensive health planning |
process, giving special consideration to the impact of projects |
on access to safety net services.
|
(2) Adopt procedures for public
notice and hearing on all |
proposed rules, regulations, standards,
criteria, and plans |
required to carry out the provisions of this Act.
|
(3) (Blank).
|
(4) Develop criteria and standards for health care |
facilities planning,
conduct statewide inventories of health |
care facilities, maintain an updated
inventory on the Board's |
web site reflecting the
most recent bed and service
changes and |
updated need determinations when new census data become |
available
or new need formulae
are adopted,
and
develop health |
care facility plans which shall be utilized in the review of
|
applications for permit under
this Act. Such health facility |
plans shall be coordinated by the Board
with pertinent State |
Plans. Inventories pursuant to this Section of skilled or |
|
intermediate care facilities licensed under the Nursing Home |
Care Act, skilled or intermediate care facilities licensed |
under the ID/DD Community Care Act, skilled or intermediate |
care facilities licensed under the MC/DD Act, facilities |
licensed under the Specialized Mental Health Rehabilitation |
Act of 2013, or nursing homes licensed under the Hospital |
Licensing Act shall be conducted on an annual basis no later |
than July 1 of each year and shall include among the |
information requested a list of all services provided by a |
facility to its residents and to the community at large and |
differentiate between active and inactive beds.
|
In developing health care facility plans, the State Board |
shall consider,
but shall not be limited to, the following:
|
(a) The size, composition and growth of the population |
of the area
to be served;
|
(b) The number of existing and planned facilities |
offering similar
programs;
|
(c) The extent of utilization of existing facilities;
|
(d) The availability of facilities which may serve as |
alternatives
or substitutes;
|
(e) The availability of personnel necessary to the |
operation of the
facility;
|
(f) Multi-institutional planning and the establishment |
of
multi-institutional systems where feasible;
|
(g) The financial and economic feasibility of proposed |
construction
or modification; and
|
|
(h) In the case of health care facilities established |
by a religious
body or denomination, the needs of the |
members of such religious body or
denomination may be |
considered to be public need.
|
The health care facility plans which are developed and |
adopted in
accordance with this Section shall form the basis |
for the plan of the State
to deal most effectively with |
statewide health needs in regard to health
care facilities.
|
(5) Coordinate with the Center for Comprehensive Health |
Planning and other state agencies having responsibilities
|
affecting health care facilities, including those of licensure |
and cost
reporting. Beginning no later than January 1, 2013, |
the Department of Public Health shall produce a written annual |
report to the Governor and the General Assembly regarding the |
development of the Center for Comprehensive Health Planning. |
The Chairman of the State Board and the State Board |
Administrator shall also receive a copy of the annual report.
|
(6) Solicit, accept, hold and administer on behalf of the |
State
any grants or bequests of money, securities or property |
for
use by the State Board or Center for Comprehensive Health |
Planning in the administration of this Act; and enter into |
contracts
consistent with the appropriations for purposes |
enumerated in this Act.
|
(7) The State Board shall prescribe procedures for review, |
standards,
and criteria which shall be utilized
to make |
periodic reviews and determinations of the appropriateness
of |
|
any existing health services being rendered by health care |
facilities
subject to the Act. The State Board shall consider |
recommendations of the
Board in making its
determinations.
|
(8) Prescribe, in consultation
with the Center for |
Comprehensive Health Planning, rules, regulations,
standards, |
and criteria for the conduct of an expeditious review of
|
applications
for permits for projects of construction or |
modification of a health care
facility, which projects are |
classified as emergency, substantive, or non-substantive in |
nature. |
Six months after June 30, 2009 (the effective date of |
Public Act 96-31), substantive projects shall include no more |
than the following: |
(a) Projects to construct (1) a new or replacement |
facility located on a new site or
(2) a replacement |
facility located on the same site as the original facility |
and the cost of the replacement facility exceeds the |
capital expenditure minimum, which shall be reviewed by the |
Board within 120 days; |
(b) Projects proposing a
(1) new service within an |
existing healthcare facility or
(2) discontinuation of a |
service within an existing healthcare facility, which |
shall be reviewed by the Board within 60 days; or |
(c) Projects proposing a change in the bed capacity of |
a health care facility by an increase in the total number |
of beds or by a redistribution of beds among various |
|
categories of service or by a relocation of beds from one |
physical facility or site to another by more than 20 beds |
or more than 10% of total bed capacity, as defined by the |
State Board, whichever is less, over a 2-year period. |
The Chairman may approve applications for exemption that |
meet the criteria set forth in rules or refer them to the full |
Board. The Chairman may approve any unopposed application that |
meets all of the review criteria or refer them to the full |
Board. |
Such rules shall
not abridge the right of the Center for |
Comprehensive Health Planning to make
recommendations on the |
classification and approval of projects, nor shall
such rules |
prevent the conduct of a public hearing upon the timely request
|
of an interested party. Such reviews shall not exceed 60 days |
from the
date the application is declared to be complete.
|
(9) Prescribe rules, regulations,
standards, and criteria |
pertaining to the granting of permits for
construction
and |
modifications which are emergent in nature and must be |
undertaken
immediately to prevent or correct structural |
deficiencies or hazardous
conditions that may harm or injure |
persons using the facility, as defined
in the rules and |
regulations of the State Board. This procedure is exempt
from |
public hearing requirements of this Act.
|
(10) Prescribe rules,
regulations, standards and criteria |
for the conduct of an expeditious
review, not exceeding 60 |
days, of applications for permits for projects to
construct or |
|
modify health care facilities which are needed for the care
and |
treatment of persons who have acquired immunodeficiency |
syndrome (AIDS)
or related conditions.
|
(10.5) Provide its rationale when voting on an item before |
it at a State Board meeting in order to comply with subsection |
(b) of Section 3-108 of the Code of Civil Procedure. |
(11) Issue written decisions upon request of the applicant |
or an adversely affected party to the Board. Requests for a |
written decision shall be made within 15 days after the Board |
meeting in which a final decision has been made. A "final |
decision" for purposes of this Act is the decision to approve |
or deny an application, or take other actions permitted under |
this Act, at the time and date of the meeting that such action |
is scheduled by the Board. The transcript of the State Board |
meeting shall be incorporated into the Board's final decision. |
The staff of the Board shall prepare a written copy of the |
final decision and the Board shall approve a final copy for |
inclusion in the formal record. The Board shall consider, for |
approval, the written draft of the final decision no later than |
the next scheduled Board meeting. The written decision shall |
identify the applicable criteria and factors listed in this Act |
and the Board's regulations that were taken into consideration |
by the Board when coming to a final decision. If the Board |
denies or fails to approve an application for permit or |
exemption, the Board shall include in the final decision a |
detailed explanation as to why the application was denied and |
|
identify what specific criteria or standards the applicant did |
not fulfill. |
(12) Require at least one of its members to participate in |
any public hearing, after the appointment of a majority of the |
members to the Board. |
(13) Provide a mechanism for the public to comment on, and |
request changes to, draft rules and standards. |
(14) Implement public information campaigns to regularly |
inform the general public about the opportunity for public |
hearings and public hearing procedures. |
(15) Establish a separate set of rules and guidelines for |
long-term care that recognizes that nursing homes are a |
different business line and service model from other regulated |
facilities. An open and transparent process shall be developed |
that considers the following: how skilled nursing fits in the |
continuum of care with other care providers, modernization of |
nursing homes, establishment of more private rooms, |
development of alternative services, and current trends in |
long-term care services.
The Chairman of the Board shall |
appoint a permanent Health Services Review Board Long-term Care |
Facility Advisory Subcommittee that shall develop and |
recommend to the Board the rules to be established by the Board |
under this paragraph (15). The Subcommittee shall also provide |
continuous review and commentary on policies and procedures |
relative to long-term care and the review of related projects. |
The Subcommittee shall make recommendations to the Board no |
|
later than January 1, 2016 and every January thereafter |
pursuant to the Subcommittee's responsibility for the |
continuous review and commentary on policies and procedures |
relative to long-term care. In consultation with other experts |
from the health field of long-term care, the Board and the |
Subcommittee shall study new approaches to the current bed need |
formula and Health Service Area boundaries to encourage |
flexibility and innovation in design models reflective of the |
changing long-term care marketplace and consumer preferences |
and submit its recommendations to the Chairman of the Board no |
later than January 1, 2017. The Subcommittee shall evaluate, |
and make recommendations to the State Board regarding, the |
buying, selling, and exchange of beds between long-term care |
facilities within a specified geographic area or drive time. |
The Board shall file the proposed related administrative rules |
for the separate rules and guidelines for long-term care |
required by this paragraph (15) by no later than September 30, |
2011. The Subcommittee shall be provided a reasonable and |
timely opportunity to review and comment on any review, |
revision, or updating of the criteria, standards, procedures, |
and rules used to evaluate project applications as provided |
under Section 12.3 of this Act. |
The Chairman of the Board shall appoint voting members of |
the Subcommittee, who shall serve for a period of 3 years, with |
one-third of the terms expiring each January, to be determined |
by lot. Appointees shall include, but not be limited to, |
|
recommendations from each of the 3 statewide long-term care |
associations, with an equal number to be appointed from each. |
Compliance with this provision shall be through the appointment |
and reappointment process. All appointees serving as of April |
1, 2015 shall serve to the end of their term as determined by |
lot or until the appointee voluntarily resigns, whichever is |
earlier. |
One representative from the Department of Public Health, |
the Department of Healthcare and Family Services, the |
Department on Aging, and the Department of Human Services may |
each serve as an ex-officio non-voting member of the |
Subcommittee. The Chairman of the Board shall select a |
Subcommittee Chair, who shall serve for a period of 3 years. |
(16) Prescribe the format of the State Board Staff Report. |
A State Board Staff Report shall pertain to applications that |
include, but are not limited to, applications for permit or |
exemption, applications for permit renewal, applications for |
extension of the obligation period, applications requesting a |
declaratory ruling, or applications under the Health Care |
Worker Self-Referral Act. State Board Staff Reports shall |
compare applications to the relevant review criteria under the |
Board's rules. |
(17) Establish a separate set of rules and guidelines for |
facilities licensed under the Specialized Mental Health |
Rehabilitation Act of 2013. An application for the |
re-establishment of a facility in connection with the |
|
relocation of the facility shall not be granted unless the |
applicant has a contractual relationship with at least one |
hospital to provide emergency and inpatient mental health |
services required by facility consumers, and at least one |
community mental health agency to provide oversight and |
assistance to facility consumers while living in the facility, |
and appropriate services, including case management, to assist |
them to prepare for discharge and reside stably in the |
community thereafter. No new facilities licensed under the |
Specialized Mental Health Rehabilitation Act of 2013 shall be |
established after June 16, 2014 (the effective date of Public |
Act 98-651) except in connection with the relocation of an |
existing facility to a new location. An application for a new |
location shall not be approved unless there are adequate |
community services accessible to the consumers within a |
reasonable distance, or by use of public transportation, so as |
to facilitate the goal of achieving maximum individual |
self-care and independence. At no time shall the total number |
of authorized beds under this Act in facilities licensed under |
the Specialized Mental Health Rehabilitation Act of 2013 exceed |
the number of authorized beds on June 16, 2014 (the effective |
date of Public Act 98-651). |
(Source: P.A. 98-414, eff. 1-1-14; 98-463, eff. 8-16-13; |
98-651, eff. 6-16-14; 98-1086, eff. 8-26-14; 99-78, eff. |
7-20-15; 99-114, eff. 7-23-15; 99-180, eff. 7-29-15; 99-277, |
eff. 8-5-15; revised 10-15-15.)
|
|
(20 ILCS 3960/14.1)
|
Sec. 14.1. Denial of permit; other sanctions. |
(a) The State Board may deny an application for a permit or |
may revoke or
take other action as permitted by this Act with |
regard to a permit as the State
Board deems appropriate, |
including the imposition of fines as set forth in this
Section, |
for any one or a combination of the following: |
(1) The acquisition of major medical equipment without |
a permit or in
violation of the terms of a permit. |
(2) The establishment, construction, modification, or |
change of ownership of a health care
facility without a |
permit or exemption or in violation of the terms of a |
permit. |
(3) The violation of any provision of this Act or any |
rule adopted
under this Act. |
(4) The failure, by any person subject to this Act, to |
provide information
requested by the State Board or Agency |
within 30 days after a formal written
request for the |
information. |
(5) The failure to pay any fine imposed under this |
Section within 30 days
of its imposition. |
(a-5) For facilities licensed under the ID/DD Community |
Care Act, no permit shall be denied on the basis of prior |
operator history, other than for actions specified under item |
(2), (4), or (5) of Section 3-117 of the ID/DD Community Care |
|
Act. For facilities licensed under the MC/DD Act, no permit |
shall be denied on the basis of prior operator history, other |
than for actions specified under item (2), (4), or (5) of |
Section 3-117 of the MC/DD Act. For facilities licensed under |
the Specialized Mental Health Rehabilitation Act of 2013, no |
permit shall be denied on the basis of prior operator history, |
other than for actions specified under item (2), (4), or (5) of |
Section 3-117 of the Specialized Mental Health Rehabilitation |
Act of 2013. For facilities licensed under the Nursing Home |
Care Act, no permit shall be denied on the basis of prior |
operator history, other than for: (i) actions specified under |
item (2), (3), (4), (5), or (6) of Section 3-117 of the Nursing |
Home Care Act; (ii) actions specified under item (a)(6) of |
Section 3-119 of the Nursing Home Care Act; or (iii) actions |
within the preceding 5 years constituting a substantial and |
repeated failure to comply with the Nursing Home Care Act or |
the rules and regulations adopted by the Department under that |
Act. The State Board shall not deny a permit on account of any |
action described in this subsection (a-5) without also |
considering all such actions in the light of all relevant |
information available to the State Board, including whether the |
permit is sought to substantially comply with a mandatory or |
voluntary plan of correction associated with any action |
described in this subsection (a-5).
|
(b) Persons shall be subject to fines as follows: |
(1) A permit holder who fails to comply with the |
|
requirements of
maintaining a valid permit shall be fined |
an amount not to exceed 1% of the
approved permit amount |
plus an additional 1% of the approved permit amount for
|
each 30-day period, or fraction thereof, that the violation |
continues. |
(2) A permit holder who alters the scope of an approved |
project or whose
project costs exceed the allowable permit |
amount without first obtaining
approval from the State |
Board shall be fined an amount not to exceed the sum of
(i) |
the lesser of $25,000 or 2% of the approved permit amount |
and (ii) in those
cases where the approved permit amount is |
exceeded by more than $1,000,000, an
additional $20,000 for |
each $1,000,000, or fraction thereof, in excess of the
|
approved permit amount. |
(2.5) A permit holder who fails to comply with the |
post-permit and reporting requirements set forth in |
Section 5 shall be fined an amount not to exceed $10,000 |
plus an additional $10,000 for each 30-day period, or |
fraction thereof, that the violation continues. This fine |
shall continue to accrue until the date that (i) the |
post-permit requirements are met and the post-permit |
reports are received by the State Board or (ii) the matter |
is referred by the State Board to the State Board's legal |
counsel. The accrued fine is not waived by the permit |
holder submitting the required information and reports. |
Prior to any fine beginning to accrue, the Board shall
|
|
notify, in writing, a permit holder of the due date
for the |
post-permit and reporting requirements no later than 30 |
days
before the due date for the requirements. This |
paragraph (2.5) takes
effect 6 months after August 27, 2012 |
(the effective date of Public Act 97-1115). |
(3) A person who acquires major medical equipment or |
who establishes a
category of service without first |
obtaining a permit or exemption, as the case
may be, shall |
be fined an amount not to exceed $10,000 for each such
|
acquisition or category of service established plus an |
additional $10,000 for
each 30-day period, or fraction |
thereof, that the violation continues. |
(4) A person who constructs, modifies, establishes, or |
changes ownership of a health care
facility without first |
obtaining a permit or exemption shall be fined an amount |
not to
exceed $25,000 plus an additional $25,000 for each |
30-day period, or fraction
thereof, that the violation |
continues. |
(5) A person who discontinues a health care facility or |
a category of
service without first obtaining a permit or |
exemption shall be fined an amount not to exceed
$10,000 |
plus an additional $10,000 for each 30-day period, or |
fraction thereof,
that the violation continues. For |
purposes of this subparagraph (5), facilities licensed |
under the Nursing Home Care Act, the ID/DD Community Care |
Act, or the MC/DD Act, with the exceptions of facilities |
|
operated by a county or Illinois Veterans Homes, are exempt |
from this permit requirement. However, facilities licensed |
under the Nursing Home Care Act, the ID/DD Community Care |
Act, or the MC/DD Act must comply with Section 3-423 of the |
Nursing Home Care Act, Section 3-423 of the ID/DD Community |
Care Act, or Section 3-423 of the MC/DD Act and must |
provide the Board and the Department of Human Services with |
30 days' written notice of their intent to close.
|
Facilities licensed under the ID/DD Community Care Act or |
the MC/DD Act also must provide the Board and the |
Department of Human Services with 30 days' written notice |
of their intent to reduce the number of beds for a |
facility. |
(6) A person subject to this Act who fails to provide |
information
requested by the State Board or Agency within |
30 days of a formal written
request shall be fined an |
amount not to exceed $1,000 plus an additional $1,000
for |
each 30-day period, or fraction thereof, that the |
information is not
received by the State Board or Agency. |
(b-5) The State Board may accept in-kind services instead |
of or in combination with the imposition of a fine. This |
authorization is limited to cases where the non-compliant |
individual or entity has waived the right to an administrative |
hearing or opportunity to appear before the Board regarding the |
non-compliant matter. |
(c) Before imposing any fine authorized under this Section, |
|
the State Board
shall afford the person or permit holder, as |
the case may be, an appearance
before the State Board and an |
opportunity for a hearing before a hearing
officer appointed by |
the State Board. The hearing shall be conducted in
accordance |
with Section 10. Requests for an appearance before the State |
Board must be made within 30 days after receiving notice that a |
fine will be imposed. |
(d) All fines collected under this Act shall be transmitted |
to the State
Treasurer, who shall deposit them into the |
Illinois Health Facilities Planning
Fund. |
(e) Fines imposed under this Section shall continue to |
accrue until: (i) the date that the matter is referred by the |
State Board to the Board's legal counsel; or (ii) the date that |
the health care facility becomes compliant with the Act, |
whichever is earlier. |
(Source: P.A. 98-463, eff. 8-16-13; 99-114, eff. 7-23-15; |
99-180, eff. 7-29-15; revised 10-14-15.)
|
Section 135. The Illinois Holocaust and Genocide |
Commission Act is amended by changing Section 10 as follows:
|
(20 ILCS 5010/10) |
(Section scheduled to be repealed on January 1, 2021)
|
Sec. 10. Composition of the Commission. |
(a) The Commission is composed of 22 members as follows:
|
(1) 19 public members appointed by the Governor, one of |
|
whom which shall be a student; and
|
(2) 3 ex officio members as follows:
|
(A) the State Superintendent of Education;
|
(B) the Executive Director of the Board of Higher |
Education; and
|
(C) the Director of Veterans' Affairs.
|
(b) The President and Minority Leader of the Senate shall |
each designate a member or former member of the Senate and the |
Speaker and Minority Leader of the House of Representatives |
shall each designate a member or former member of the House of |
Representatives to advise the Commission.
|
(Source: P.A. 98-793, eff. 7-28-14; revised 10-13-15.)
|
Section 140. The State Finance Act is amended by setting |
forth and renumbering multiple versions of Sections 5.866 and |
5.867 as follows:
|
(30 ILCS 105/5.866) |
Sec. 5.866. The Illinois Telecommunications Access |
Corporation Fund. |
(Source: P.A. 99-6, eff. 6-29-15.)
|
(30 ILCS 105/5.867) |
Sec. 5.867. The Illinois Secure Choice Administrative |
Fund. |
(Source: P.A. 98-1150, eff. 6-1-15; 99-78, eff. 7-20-15.)
|
|
(30 ILCS 105/5.868)
|
Sec. 5.868 5.866 . The Illinois ABLE Accounts |
Administrative Fund. |
(Source: P.A. 99-145, eff. 1-1-16; revised 9-29-15.)
|
(30 ILCS 105/5.869)
|
Sec. 5.869 5.866 . The Women's Business Ownership Fund. |
(Source: P.A. 99-233, eff. 8-3-15; revised 9-29-15.)
|
(30 ILCS 105/5.870)
|
(Section scheduled to be repealed on December 31, 2017) |
Sec. 5.870 5.866 . The U.S.S. Illinois Commissioning Fund. |
This Section is repealed on December 31, 2017. |
(Source: P.A. 99-423, eff. 8-20-15; revised 9-29-15.)
|
(30 ILCS 105/5.871)
|
Sec. 5.871 5.866 . The George Bailey Memorial Fund. |
(Source: P.A. 99-455, eff. 1-1-16; revised 9-29-15.)
|
(30 ILCS 105/5.872)
|
Sec. 5.872 5.866 . The Parity Education Fund. |
(Source: P.A. 99-480, eff. 9-9-15; revised 9-29-15.)
|
(30 ILCS 105/5.873)
|
Sec. 5.873 5.867 . The Autism Care Fund. |
|
(Source: P.A. 99-423, eff. 8-20-15; revised 9-29-15.)
|
Section 145. The Business Enterprise for Minorities, |
Females, and Persons with
Disabilities Act is amended by |
changing Sections 2 and 4f as follows:
|
(30 ILCS 575/2)
|
(Section scheduled to be repealed on June 30, 2016) |
Sec. 2. Definitions.
|
(A) For the purpose of this Act, the following
terms shall |
have the following definitions:
|
(1) "Minority person" shall mean a person who is a |
citizen or lawful
permanent resident of the United States |
and who is any of the following:
|
(a) American Indian or Alaska Native (a person |
having origins in any of the original peoples of North |
and South America, including Central America, and who |
maintains tribal affiliation or community attachment). |
(b) Asian (a person having origins in any of the |
original peoples of the Far East, Southeast Asia, or |
the Indian subcontinent, including, but not limited |
to, Cambodia, China, India, Japan, Korea, Malaysia, |
Pakistan, the Philippine Islands, Thailand, and |
Vietnam). |
(c) Black or African American (a person having |
origins in any of the black racial groups of Africa). |
|
Terms such as "Haitian" or "Negro" can be used in |
addition to "Black or African American". |
(d) Hispanic or Latino (a person of Cuban, Mexican, |
Puerto Rican, South or Central American, or other |
Spanish culture or origin, regardless of race). |
(e) Native Hawaiian or Other Pacific Islander (a |
person having origins in any of the original peoples of |
Hawaii, Guam, Samoa, or other Pacific Islands).
|
(2) "Female" shall mean a person who is a citizen or |
lawful permanent
resident of the United States and who is |
of the female gender.
|
(2.05) "Person with a disability" means a person who is |
a citizen or
lawful resident of the United States and is a |
person qualifying as a person with a disability under |
subdivision (2.1) of this subsection (A).
|
(2.1) "Person with a disability" means a person with a |
severe physical or mental disability that:
|
(a) results from:
|
amputation,
|
arthritis,
|
autism,
|
blindness,
|
burn injury,
|
cancer,
|
cerebral palsy,
|
Crohn's disease, |
|
comparable degree of substantial functional limitation |
similar to
the specific list of disabilities listed in item |
(a) of this
subdivision (2.1).
|
(3) "Minority owned business" means a business which is |
at least
51% owned by one or more minority persons, or in |
the case of a
corporation, at least 51% of the stock in |
which is owned by one or
more minority persons; and the |
management and daily business operations of
which are |
controlled by one or more of the minority individuals who |
own it.
|
(4) "Female owned business" means a business which is |
at least
51% owned by one or more females, or, in the case |
of a corporation, at
least 51% of the stock in which is |
owned by one or more females; and the
management and daily |
business operations of which are controlled by one or
more |
of the females who own it.
|
(4.1) "Business owned by a person with a disability" |
means a business
that is at least 51% owned by one or more |
persons with a disability
and the management and daily |
business operations of which
are controlled by one or more |
of the persons with disabilities who own it. A
|
not-for-profit agency for persons with disabilities that |
is exempt from
taxation under Section 501 of the Internal |
Revenue Code of 1986 is also
considered a "business owned |
by a person with a disability".
|
(4.2) "Council" means the Business Enterprise Council |
|
for Minorities,
Females, and Persons with Disabilities |
created under Section 5 of this Act.
|
(5) "State contracts" means all contracts entered into |
by the State, any agency or department thereof, or any |
public institution of higher education , including |
community college districts, regardless of the source of |
the funds with which the contracts are paid, which are not |
subject to federal reimbursement. "State contracts" does |
not include contracts awarded by a retirement system, |
pension fund, or investment board subject to Section |
1-109.1 of the Illinois Pension Code. This definition shall |
control over any existing definition under this Act or |
applicable administrative rule.
|
"State construction contracts" means all State |
contracts entered
into by a State agency or public |
institution of higher education for the repair, |
remodeling,
renovation or
construction of a building or |
structure, or for the construction or
maintenance of a |
highway defined in Article 2 of the Illinois Highway
Code.
|
(6) "State agencies" shall mean all departments, |
officers, boards,
commissions, institutions and bodies |
politic and corporate of the State,
but does not include |
the Board of Trustees of the University of Illinois,
the |
Board of Trustees of Southern Illinois University,
the |
Board of Trustees
of Chicago State University, the Board of |
Trustees of Eastern Illinois
University, the Board of |
|
Trustees of Governors State University, the Board of
|
Trustees of Illinois State University, the Board of |
Trustees of Northeastern
Illinois
University, the Board of |
Trustees of Northern Illinois University, the Board of
|
Trustees of Western Illinois University,
municipalities or |
other local governmental units, or other State |
constitutional
officers.
|
(7) "Public institutions of higher education" means |
the University of Illinois, Southern Illinois University, |
Chicago State University, Eastern Illinois University, |
Governors State University, Illinois State University, |
Northeastern Illinois University, Northern Illinois |
University, Western Illinois University, the public |
community colleges of the State, and any other public |
universities, colleges , and community colleges now or |
hereafter established or authorized by the General |
Assembly.
|
(8) "Certification" means a determination made by the |
Council
or by one delegated authority from the Council to |
make certifications, or by
a State agency with statutory |
authority to make such a certification, that a
business |
entity is a business owned by a
minority, female, or person |
with a disability for whatever
purpose. A business owned |
and controlled by females shall be certified as a "female |
owned business". A business owned and controlled by females |
who are also minorities shall be certified as both a |
|
"female owned business" and a "minority owned business".
|
(9) "Control" means the exclusive or ultimate and sole |
control of the
business including, but not limited to, |
capital investment and all other
financial matters, |
property, acquisitions, contract negotiations, legal
|
matters, officer-director-employee selection and |
comprehensive hiring,
operating responsibilities, |
cost-control matters, income and dividend
matters, |
financial transactions and rights of other shareholders or |
joint
partners. Control shall be real, substantial and |
continuing, not pro forma.
Control shall include the power |
to direct or cause the direction of the
management and |
policies of the business and to make the day-to-day as well
|
as major decisions in matters of policy, management and |
operations.
Control shall be exemplified by possessing the |
requisite knowledge and
expertise to run the particular |
business and control shall not include
simple majority or |
absentee ownership.
|
(10) "Business" means a business that has annual gross |
sales of less than $75,000,000 as evidenced by the federal |
income tax return of the business. A firm with gross sales |
in excess of this cap may apply to the Council for |
certification for a particular contract if the firm can |
demonstrate that the contract would have significant |
impact on businesses owned by minorities, females, or |
persons with disabilities as suppliers or subcontractors |
|
or in employment of minorities, females, or persons with |
disabilities.
|
(B) When a business is owned at least 51% by any |
combination of
minority persons, females, or persons with |
disabilities,
even though none of the 3 classes alone holds at |
least a 51% interest, the
ownership
requirement for purposes of |
this Act is considered to be met. The
certification category |
for the business is that of the class holding the
largest |
ownership
interest in the business. If 2 or more classes have |
equal ownership interests,
the certification category shall be |
determined by
the business.
|
(Source: P.A. 98-95, eff. 7-17-13; 99-143, eff. 7-27-15; |
99-462, eff. 8-25-15; revised 10-16-15.)
|
(30 ILCS 575/4f) |
(Section scheduled to be repealed on June 30, 2016) |
Sec. 4f. Award of State contracts. |
(1) It is hereby declared to be the public policy of the |
State of Illinois to promote and encourage each State agency |
and public institution of higher education to use businesses |
owned by minorities, females, and persons with disabilities in |
the area of goods and services, including, but not limited to, |
insurance services, investment management services, |
information technology services, accounting services, |
architectural and engineering services, and legal services. |
Furthermore, each State agency and public institution of higher |
|
education shall utilize such firms to the greatest extent |
feasible within the bounds of financial and fiduciary prudence, |
and take affirmative steps to remove any barriers to the full |
participation of such firms in the procurement and contracting |
opportunities afforded. |
(a) When a State agency or public institution of higher |
education, other than a community college, awards a |
contract for insurance services, for each State agency or |
public institution of higher education, it shall be the |
aspirational goal to use insurance brokers owned by |
minorities, females, and persons with disabilities as |
defined by this Act, for not less than 20% of the total |
annual premiums or fees. |
(b) When a State agency or public institution of higher |
education, other than a community college, awards a |
contract for investment services, for each State agency or |
public institution of higher education, it shall be the |
aspirational goal to use emerging investment managers |
owned by minorities, females, and persons with |
disabilities as defined by this Act, for not less than 20% |
of the total funds under management. Furthermore, it is the |
aspirational goal that not less than 20% of the direct |
asset managers of the State funds be minorities, females, |
and persons with disabilities. |
(c) When a State agency or public institution of higher |
education, other than a community college, awards |
|
contracts for information technology services, accounting |
services, architectural and engineering services, and |
legal services, for each State agency and public |
institution of higher education, it shall be the |
aspirational goal to use such firms owned by minorities, |
females, and persons with disabilities as defined by this |
Act and lawyers who are minorities, females, and persons |
with disabilities as defined by this Act, for not less than |
20% of the total dollar amount of State contracts. |
(d) When a community college awards a contract for |
insurance services, investment services, information |
technology services, accounting services, architectural |
and engineering services, and legal services, it shall be |
the aspirational goal of each community college to use |
businesses owned by minorities, females, and persons with |
disabilities as defined in this Act for not less than 20% |
of the total amount spent on contracts for these services |
collectively. When a community college awards contracts |
for investment services, contracts awarded to investment |
managers who are not emerging investment managers as |
defined in this Act shall not be considered businesses |
owned by minorities, females, or persons with disabilities |
for the purposes of this Section. |
(2) As used in this Section: |
"Accounting services" means the measurement, |
processing and communication of financial information |
|
about economic entities including, but is not limited to, |
financial accounting, management accounting, auditing, |
cost containment and auditing services, taxation and |
accounting information systems. |
"Architectural and engineering services" means |
professional services of an architectural or engineering |
nature, or incidental services, that members of the |
architectural and engineering professions, and individuals |
in their employ, may logically or justifiably perform, |
including studies, investigations, surveying and mapping, |
tests, evaluations, consultations, comprehensive planning, |
program management, conceptual designs, plans and |
specifications, value engineering, construction phase |
services, soils engineering, drawing reviews, preparation |
of operating and maintenance manuals, and other related |
services. |
"Emerging investment manager" means an investment |
manager or claims consultant having assets under |
management below $10 billion or otherwise adjudicating |
claims. |
"Information technology services" means, but is not |
limited to, specialized technology-oriented solutions by |
combining the processes and functions of software, |
hardware, networks, telecommunications, web designers, |
cloud developing resellers, and electronics. |
"Insurance broker" means an insurance brokerage firm, |
|
claims administrator, or both, that procures, places all |
lines of insurance, or administers claims with annual |
premiums or fees of at least $5,000,000 but not more than |
$10,000,000. |
"Legal services" means work performed by a lawyer |
including, but not limited to, contracts in anticipation of |
litigation, enforcement actions, or investigations. |
(3) Each State agency and public institution institutions |
of higher education shall adopt policies that identify its plan |
and implementation procedures for increasing the use of service |
firms owned by minorities, females, and persons with |
disabilities. |
(4) Except as provided in subsection (5), the Council shall |
file no later than March 1 of each year an annual report to the |
Governor and the General Assembly. The report filed with the |
General Assembly shall be filed as required in Section 3.1 of |
the General Assembly Organization Act. This report shall: (i) |
identify the service firms used by each State agency and public |
institution of higher education, (ii) identify the actions it |
has undertaken to increase the use of service firms owned by |
minorities, females, and persons with disabilities, including |
encouraging non-minority owned firms to use other service firms |
owned by minorities, females, and persons with disabilities as |
subcontractors when the opportunities arise, (iii) state any |
recommendations made by the Council to each State agency and |
public institution of higher education to increase |
|
participation by the use of service firms owned by minorities, |
females, and persons with disabilities, and (iv) include the |
following: |
(A) For insurance services: the names of the insurance |
brokers or claims consultants used, the total of risk |
managed by each State agency and public institution of |
higher education by insurance brokers, the total |
commissions, fees paid, or both, the lines or insurance |
policies placed, and the amount of premiums placed; and the |
percentage of the risk managed by insurance brokers, the |
percentage of total commission, fees paid, or both, the |
lines or insurance policies placed, and the amount of |
premiums placed with each by the insurance brokers owned by |
minorities, females, and persons with disabilities by each |
State agency and public institution of higher education. |
(B) For investment management services: the names of |
the investment managers used, the total funds under |
management of investment managers; the total commissions, |
fees paid, or both; the total and percentage of funds under |
management of emerging investment managers owned by |
minorities, females, and persons with disabilities, |
including the total and percentage of total commissions, |
fees paid, or both by each State agency and public |
institution of higher education. |
(C) The names of service firms, the percentage and |
total dollar amount paid for professional services by |
|
category by each State agency and public institution of |
higher education. |
(D) The names of service firms, the percentage and |
total dollar amount paid for services by category to firms |
owned by minorities, females, and persons with |
disabilities by each State agency and public institution of |
higher education. |
(E) The total number of contracts awarded for services |
by category and the total number of contracts awarded to |
firms owned by minorities, females, and persons with |
disabilities by each State agency and public institution of |
higher education. |
(5) For community college districts, the Business |
Enterprise Council shall only report the following information |
for each community college district: (i) the name of the |
community colleges in the district, (ii) the name and contact |
information of a person at each community college appointed to |
be the single point of contact for vendors owned by minorities, |
females, or persons with disabilities, (iii) the policy of the |
community college district concerning certified vendors, (iv) |
the certifications recognized by the community college |
district for determining whether a business is owned or |
controlled by a minority, female, or person with a disability, |
(v) outreach efforts conducted by the community college |
district to increase the use of certified vendors, (vi) the |
total expenditures by the community college district in the |
|
prior fiscal year in the divisions of work specified in |
paragraphs (a), (b), and (c) of subsection (1) of this Section |
and the amount paid to certified vendors in those divisions of |
work, and (vii) the total number of contracts entered into for |
the divisions of work specified in paragraphs (a), (b), and (c) |
of subsection (1) of this Section and the total number of |
contracts awarded to certified vendors providing these |
services to the community college district. The Business |
Enterprise Council shall not make any utilization reports under |
this Act for community college districts for Fiscal Year 2015 |
and Fiscal Year 2016, but shall make the report required by |
this subsection for Fiscal Year 2017 and for each fiscal year |
thereafter. The Business Enterprise Council shall report the |
information in items (i), (ii), (iii), and (iv) of this |
subsection beginning in September of 2016. The Business |
Enterprise Council may collect the data needed to make its |
report from the Illinois Community College Board. |
(6) The status of the utilization of services shall be |
discussed at each of the regularly scheduled Business |
Enterprise Council meetings. Time shall be allotted for the |
Council to receive, review, and discuss the progress of the use |
of service firms owned by minorities, females, and persons with |
disabilities by each State agency and public institution |
institutions of higher education; and any evidence regarding |
past or present racial, ethnic, or gender-based discrimination |
which directly impacts a State agency or public institution |
|
institutions of higher education contracting with such firms. |
If after reviewing such evidence the Council finds that there |
is or has been such discrimination against a specific group, |
race or sex, the Council shall establish sheltered markets or |
adjust existing sheltered markets tailored to address the |
Council's specific findings for the divisions of work specified |
in paragraphs (a), (b), and (c) of subsection (1) of this |
Section.
|
(Source: P.A. 99-462, eff. 8-25-15; revised 10-15-15.)
|
Section 150. The State Mandates Act is amended by changing |
Section 8.39 as follows:
|
(30 ILCS 805/8.39) |
Sec. 8.39. Exempt mandate. |
(a) Notwithstanding Sections 6 and 8 of this Act, no |
reimbursement by the State is required for the implementation |
of any mandate created by Public Act 99-176, 99-180, 99-228, or |
99-466 this amendatory Act of the 99th General Assembly .
|
(b) Notwithstanding Sections 6 and 8 of this Act, no |
reimbursement by the State is required for the implementation |
of any mandate created by the Student Transfer Achievement |
Reform Act. |
(Source: P.A. 99-176, eff. 7-29-15; 99-180, eff. 7-29-15; |
99-228, eff. 1-1-16; 99-316, eff. 1-1-16; 99-466, eff. 8-26-15; |
revised 10-9-15.)
|
|
Section 155. The Illinois Income Tax Act is amended by |
changing Sections 304 and 507DDD as follows:
|
(35 ILCS 5/304) (from Ch. 120, par. 3-304)
|
Sec. 304. Business income of persons other than residents.
|
(a) In general. The business income of a person other than |
a
resident shall be allocated to this State if such person's |
business
income is derived solely from this State. If a person |
other than a
resident derives business income from this State |
and one or more other
states, then, for tax years ending on or |
before December 30, 1998, and
except as otherwise provided by |
this Section, such
person's business income shall be |
apportioned to this State by
multiplying the income by a |
fraction, the numerator of which is the sum
of the property |
factor (if any), the payroll factor (if any) and 200% of the
|
sales factor (if any), and the denominator of which is 4 |
reduced by the
number of factors other than the sales factor |
which have a denominator
of zero and by an additional 2 if the |
sales factor has a denominator of zero.
For tax years ending on |
or after December 31, 1998, and except as otherwise
provided by |
this Section, persons other than
residents who derive business |
income from this State and one or more other
states shall |
compute their apportionment factor by weighting their |
property,
payroll, and sales factors as provided in
subsection |
(h) of this Section.
|
|
(1) Property factor.
|
(A) The property factor is a fraction, the numerator of |
which is the
average value of the person's real and |
tangible personal property owned
or rented and used in the |
trade or business in this State during the
taxable year and |
the denominator of which is the average value of all
the |
person's real and tangible personal property owned or |
rented and
used in the trade or business during the taxable |
year.
|
(B) Property owned by the person is valued at its |
original cost.
Property rented by the person is valued at 8 |
times the net annual rental
rate. Net annual rental rate is |
the annual rental rate paid by the
person less any annual |
rental rate received by the person from
sub-rentals.
|
(C) The average value of property shall be determined |
by averaging
the values at the beginning and ending of the |
taxable year but the
Director may require the averaging of |
monthly values during the taxable
year if reasonably |
required to reflect properly the average value of the
|
person's property.
|
(2) Payroll factor.
|
(A) The payroll factor is a fraction, the numerator of |
which is the
total amount paid in this State during the |
taxable year by the person
for compensation, and the |
denominator of which is the total compensation
paid |
everywhere during the taxable year.
|
|
(B) Compensation is paid in this State if:
|
(i) The individual's service is performed entirely |
within this
State;
|
(ii) The individual's service is performed both |
within and without
this State, but the service |
performed without this State is incidental
to the |
individual's service performed within this State; or
|
(iii) Some of the service is performed within this |
State and either
the base of operations, or if there is |
no base of operations, the place
from which the service |
is directed or controlled is within this State,
or the |
base of operations or the place from which the service |
is
directed or controlled is not in any state in which |
some part of the
service is performed, but the |
individual's residence is in this State.
|
(iv) Compensation paid to nonresident professional |
athletes. |
(a) General. The Illinois source income of a |
nonresident individual who is a member of a |
professional athletic team includes the portion of the |
individual's total compensation for services performed |
as a member of a professional athletic team during the |
taxable year which the number of duty days spent within |
this State performing services for the team in any |
manner during the taxable year bears to the total |
number of duty days spent both within and without this |
|
State during the taxable year. |
(b) Travel days. Travel days that do not involve |
either a game, practice, team meeting, or other similar |
team event are not considered duty days spent in this |
State. However, such travel days are considered in the |
total duty days spent both within and without this |
State. |
(c) Definitions. For purposes of this subpart |
(iv): |
(1) The term "professional athletic team" |
includes, but is not limited to, any professional |
baseball, basketball, football, soccer, or hockey |
team. |
(2) The term "member of a professional |
athletic team" includes those employees who are |
active players, players on the disabled list, and |
any other persons required to travel and who travel |
with and perform services on behalf of a |
professional athletic team on a regular basis. |
This includes, but is not limited to, coaches, |
managers, and trainers. |
(3) Except as provided in items (C) and (D) of |
this subpart (3), the term "duty days" means all |
days during the taxable year from the beginning of |
the professional athletic team's official |
pre-season training period through the last game |
|
in which the team competes or is scheduled to |
compete. Duty days shall be counted for the year in |
which they occur, including where a team's |
official pre-season training period through the |
last game in which the team competes or is |
scheduled to compete, occurs during more than one |
tax year. |
(A) Duty days shall also include days on |
which a member of a professional athletic team |
performs service for a team on a date that does |
not fall within the foregoing period (e.g., |
participation in instructional leagues, the |
"All Star Game", or promotional "caravans"). |
Performing a service for a professional |
athletic team includes conducting training and |
rehabilitation activities, when such |
activities are conducted at team facilities. |
(B) Also included in duty days are game |
days, practice days, days spent at team |
meetings, promotional caravans, preseason |
training camps, and days served with the team |
through all post-season games in which the team |
competes or is scheduled to compete. |
(C) Duty days for any person who joins a |
team during the period from the beginning of |
the professional athletic team's official |
|
pre-season training period through the last |
game in which the team competes, or is |
scheduled to compete, shall begin on the day |
that person joins the team. Conversely, duty |
days for any person who leaves a team during |
this period shall end on the day that person |
leaves the team. Where a person switches teams |
during a taxable year, a separate duty-day |
calculation shall be made for the period the |
person was with each team. |
(D) Days for which a member of a |
professional athletic team is not compensated |
and is not performing services for the team in |
any manner, including days when such member of |
a professional athletic team has been |
suspended without pay and prohibited from |
performing any services for the team, shall not |
be treated as duty days. |
(E) Days for which a member of a |
professional athletic team is on the disabled |
list and does not conduct rehabilitation |
activities at facilities of the team, and is |
not otherwise performing services for the team |
in Illinois, shall not be considered duty days |
spent in this State. All days on the disabled |
list, however, are considered to be included in |
|
total duty days spent both within and without |
this State. |
(4) The term "total compensation for services |
performed as a member of a professional athletic |
team" means the total compensation received during |
the taxable year for services performed: |
(A) from the beginning of the official |
pre-season training period through the last |
game in which the team competes or is scheduled |
to compete during that taxable year; and |
(B) during the taxable year on a date which |
does not fall within the foregoing period |
(e.g., participation in instructional leagues, |
the "All Star Game", or promotional caravans). |
This compensation shall include, but is not |
limited to, salaries, wages, bonuses as described |
in this subpart, and any other type of compensation |
paid during the taxable year to a member of a |
professional athletic team for services performed |
in that year. This compensation does not include |
strike benefits, severance pay, termination pay, |
contract or option year buy-out payments, |
expansion or relocation payments, or any other |
payments not related to services performed for the |
team. |
For purposes of this subparagraph, "bonuses" |
|
included in "total compensation for services |
performed as a member of a professional athletic |
team" subject to the allocation described in |
Section 302(c)(1) are: bonuses earned as a result |
of play (i.e., performance bonuses) during the |
season, including bonuses paid for championship, |
playoff or "bowl" games played by a team, or for |
selection to all-star league or other honorary |
positions; and bonuses paid for signing a |
contract, unless the payment of the signing bonus |
is not conditional upon the signee playing any |
games for the team or performing any subsequent |
services for the team or even making the team, the |
signing bonus is payable separately from the |
salary and any other compensation, and the signing |
bonus is nonrefundable.
|
(3) Sales factor.
|
(A) The sales factor is a fraction, the numerator of |
which is the
total sales of the person in this State during |
the taxable year, and the
denominator of which is the total |
sales of the person everywhere during
the taxable year.
|
(B) Sales of tangible personal property are in this |
State if:
|
(i) The property is delivered or shipped to a |
purchaser, other than
the United States government, |
within this State regardless of the f. o.
b. point or |
|
other conditions of the sale; or
|
(ii) The property is shipped from an office, store, |
warehouse,
factory or other place of storage in this |
State and either the purchaser
is the United States |
government or the person is not taxable in the
state of |
the purchaser; provided, however, that premises owned |
or leased
by a person who has independently contracted |
with the seller for the printing
of newspapers, |
periodicals or books shall not be deemed to be an |
office,
store, warehouse, factory or other place of |
storage for purposes of this
Section.
Sales of tangible |
personal property are not in this State if the
seller |
and purchaser would be members of the same unitary |
business group
but for the fact that either the seller |
or purchaser is a person with 80%
or more of total |
business activity outside of the United States and the
|
property is purchased for resale.
|
(B-1) Patents, copyrights, trademarks, and similar |
items of intangible
personal property.
|
(i) Gross receipts from the licensing, sale, or |
other disposition of a
patent, copyright, trademark, |
or similar item of intangible personal property, other |
than gross receipts governed by paragraph (B-7) of this |
item (3),
are in this State to the extent the item is |
utilized in this State during the
year the gross |
receipts are included in gross income.
|
|
(ii) Place of utilization.
|
(I) A patent is utilized in a state to the |
extent that it is employed
in production, |
fabrication, manufacturing, or other processing in |
the state or
to the extent that a patented product |
is produced in the state. If a patent is
utilized |
in
more than one state, the extent to which it is |
utilized in any one state shall
be a fraction equal |
to the gross receipts of the licensee or purchaser |
from
sales or leases of items produced, |
fabricated, manufactured, or processed
within that |
state using the patent and of patented items |
produced within that
state, divided by the total of |
such gross receipts for all states in which the
|
patent is utilized.
|
(II) A copyright is utilized in a state to the |
extent that printing or
other publication |
originates in the state. If a copyright is utilized |
in more
than one state, the extent to which it is |
utilized in any one state shall be a
fraction equal |
to the gross receipts from sales or licenses of |
materials
printed or published in that state |
divided by the total of such gross receipts
for all |
states in which the copyright is utilized.
|
(III) Trademarks and other items of intangible |
personal property
governed by this paragraph (B-1) |
|
are utilized in the state in which the
commercial |
domicile of the licensee or purchaser is located.
|
(iii) If the state of utilization of an item of |
property governed by
this paragraph (B-1) cannot be |
determined from the taxpayer's books and
records or |
from the books and records of any person related to the |
taxpayer
within the meaning of Section 267(b) of the |
Internal Revenue Code, 26 U.S.C.
267, the gross
|
receipts attributable to that item shall be excluded |
from both the numerator
and the denominator of the |
sales factor.
|
(B-2) Gross receipts from the license, sale, or other |
disposition of
patents, copyrights, trademarks, and |
similar items of intangible personal
property, other than |
gross receipts governed by paragraph (B-7) of this item |
(3), may be included in the numerator or denominator of the |
sales factor
only if gross receipts from licenses, sales, |
or other disposition of such items
comprise more than 50% |
of the taxpayer's total gross receipts included in gross
|
income during the tax year and during each of the 2 |
immediately preceding tax
years; provided that, when a |
taxpayer is a member of a unitary business group,
such |
determination shall be made on the basis of the gross |
receipts of the
entire unitary business group.
|
(B-5) For taxable years ending on or after December 31, |
2008, except as provided in subsections (ii) through (vii), |
|
receipts from the sale of telecommunications service or |
mobile telecommunications service are in this State if the |
customer's service address is in this State. |
(i) For purposes of this subparagraph (B-5), the |
following terms have the following meanings: |
"Ancillary services" means services that are |
associated with or incidental to the provision of |
"telecommunications services", including but not |
limited to "detailed telecommunications billing", |
"directory assistance", "vertical service", and "voice |
mail services". |
"Air-to-Ground Radiotelephone service" means a |
radio service, as that term is defined in 47 CFR 22.99, |
in which common carriers are authorized to offer and |
provide radio telecommunications service for hire to |
subscribers in aircraft. |
"Call-by-call Basis" means any method of charging |
for telecommunications services where the price is |
measured by individual calls. |
"Communications Channel" means a physical or |
virtual path of communications over which signals are |
transmitted between or among customer channel |
termination points. |
"Conference bridging service" means an "ancillary |
service" that links two or more participants of an |
audio or video conference call and may include the |
|
provision of a telephone number. "Conference bridging |
service" does not include the "telecommunications |
services" used to reach the conference bridge. |
"Customer Channel Termination Point" means the |
location where the customer either inputs or receives |
the communications. |
"Detailed telecommunications billing service" |
means an "ancillary service" of separately stating |
information pertaining to individual calls on a |
customer's billing statement. |
"Directory assistance" means an "ancillary |
service" of providing telephone number information, |
and/or address information. |
"Home service provider" means the facilities based |
carrier or reseller with which the customer contracts |
for the provision of mobile telecommunications |
services. |
"Mobile telecommunications service" means |
commercial mobile radio service, as defined in Section |
20.3 of Title 47 of the Code of Federal Regulations as |
in effect on June 1, 1999. |
"Place of primary use" means the street address |
representative of where the customer's use of the |
telecommunications service primarily occurs, which |
must be the residential street address or the primary |
business street address of the customer. In the case of |
|
mobile telecommunications services, "place of primary |
use" must be within the licensed service area of the |
home service provider. |
"Post-paid telecommunication service" means the |
telecommunications service obtained by making a |
payment on a call-by-call basis either through the use |
of a credit card or payment mechanism such as a bank |
card, travel card, credit card, or debit card, or by |
charge made to a telephone number which is not |
associated with the origination or termination of the |
telecommunications service. A post-paid calling |
service includes telecommunications service, except a |
prepaid wireless calling service, that would be a |
prepaid calling service except it is not exclusively a |
telecommunication service. |
"Prepaid telecommunication service" means the |
right to access exclusively telecommunications |
services, which must be paid for in advance and which |
enables the origination of calls using an access number |
or authorization code, whether manually or |
electronically dialed, and that is sold in |
predetermined units or dollars of which the number |
declines with use in a known amount. |
"Prepaid Mobile telecommunication service" means a |
telecommunications service that provides the right to |
utilize mobile wireless service as well as other |
|
non-telecommunication services, including but not |
limited to ancillary services, which must be paid for |
in advance that is sold in predetermined units or |
dollars of which the number declines with use in a |
known amount. |
"Private communication service" means a |
telecommunication service that entitles the customer |
to exclusive or priority use of a communications |
channel or group of channels between or among |
termination points, regardless of the manner in which |
such channel or channels are connected, and includes |
switching capacity, extension lines, stations, and any |
other associated services that are provided in |
connection with the use of such channel or channels. |
"Service address" means: |
(a) The location of the telecommunications |
equipment to which a customer's call is charged and |
from which the call originates or terminates, |
regardless of where the call is billed or paid; |
(b) If the location in line (a) is not known, |
service address means the origination point of the |
signal of the telecommunications services first |
identified by either the seller's |
telecommunications system or in information |
received by the seller from its service provider |
where the system used to transport such signals is |
|
not that of the seller; and |
(c) If the locations in line (a) and line (b) |
are not known, the service address means the |
location of the customer's place of primary use. |
"Telecommunications service" means the electronic |
transmission, conveyance, or routing of voice, data, |
audio, video, or any other information or signals to a |
point, or between or among points. The term |
"telecommunications service" includes such |
transmission, conveyance, or routing in which computer |
processing applications are used to act on the form, |
code or protocol of the content for purposes of |
transmission, conveyance or routing without regard to |
whether such service is referred to as voice over |
Internet protocol services or is classified by the |
Federal Communications Commission as enhanced or value |
added. "Telecommunications service" does not include: |
(a) Data processing and information services |
that allow data to be generated, acquired, stored, |
processed, or retrieved and delivered by an |
electronic transmission to a purchaser when such |
purchaser's primary purpose for the underlying |
transaction is the processed data or information; |
(b) Installation or maintenance of wiring or |
equipment on a customer's premises; |
(c) Tangible personal property; |
|
(d) Advertising, including but not limited to |
directory advertising. |
(e) Billing and collection services provided |
to third parties; |
(f) Internet access service; |
(g) Radio and television audio and video |
programming services, regardless of the medium, |
including the furnishing of transmission, |
conveyance and routing of such services by the |
programming service provider. Radio and television |
audio and video programming services shall include |
but not be limited to cable service as defined in |
47 USC 522(6) and audio and video programming |
services delivered by commercial mobile radio |
service providers, as defined in 47 CFR 20.3; |
(h) "Ancillary services"; or |
(i) Digital products "delivered |
electronically", including but not limited to |
software, music, video, reading materials or ring |
tones. |
"Vertical service" means an "ancillary service" |
that is offered in connection with one or more |
"telecommunications services", which offers advanced |
calling features that allow customers to identify |
callers and to manage multiple calls and call |
connections, including "conference bridging services". |
|
"Voice mail service" means an "ancillary service" |
that enables the customer to store, send or receive |
recorded messages. "Voice mail service" does not |
include any "vertical services" that the customer may |
be required to have in order to utilize the "voice mail |
service". |
(ii) Receipts from the sale of telecommunications |
service sold on an individual call-by-call basis are in |
this State if either of the following applies: |
(a) The call both originates and terminates in |
this State. |
(b) The call either originates or terminates |
in this State and the service address is located in |
this State. |
(iii) Receipts from the sale of postpaid |
telecommunications service at retail are in this State |
if the origination point of the telecommunication |
signal, as first identified by the service provider's |
telecommunication system or as identified by |
information received by the seller from its service |
provider if the system used to transport |
telecommunication signals is not the seller's, is |
located in this State. |
(iv) Receipts from the sale of prepaid |
telecommunications service or prepaid mobile |
telecommunications service at retail are in this State |
|
if the purchaser obtains the prepaid card or similar |
means of conveyance at a location in this State. |
Receipts from recharging a prepaid telecommunications |
service or mobile telecommunications service is in |
this State if the purchaser's billing information |
indicates a location in this State. |
(v) Receipts from the sale of private |
communication services are in this State as follows: |
(a) 100% of receipts from charges imposed at |
each channel termination point in this State. |
(b) 100% of receipts from charges for the total |
channel mileage between each channel termination |
point in this State. |
(c) 50% of the total receipts from charges for |
service segments when those segments are between 2 |
customer channel termination points, 1 of which is |
located in this State and the other is located |
outside of this State, which segments are |
separately charged. |
(d) The receipts from charges for service |
segments with a channel termination point located |
in this State and in two or more other states, and |
which segments are not separately billed, are in |
this State based on a percentage determined by |
dividing the number of customer channel |
termination points in this State by the total |
|
number of customer channel termination points. |
(vi) Receipts from charges for ancillary services |
for telecommunications service sold to customers at |
retail are in this State if the customer's primary |
place of use of telecommunications services associated |
with those ancillary services is in this State. If the |
seller of those ancillary services cannot determine |
where the associated telecommunications are located, |
then the ancillary services shall be based on the |
location of the purchaser. |
(vii) Receipts to access a carrier's network or |
from the sale of telecommunication services or |
ancillary services for resale are in this State as |
follows: |
(a) 100% of the receipts from access fees |
attributable to intrastate telecommunications |
service that both originates and terminates in |
this State. |
(b) 50% of the receipts from access fees |
attributable to interstate telecommunications |
service if the interstate call either originates |
or terminates in this State. |
(c) 100% of the receipts from interstate end |
user access line charges, if the customer's |
service address is in this State. As used in this |
subdivision, "interstate end user access line |
|
charges" includes, but is not limited to, the |
surcharge approved by the federal communications |
commission and levied pursuant to 47 CFR 69. |
(d) Gross receipts from sales of |
telecommunication services or from ancillary |
services for telecommunications services sold to |
other telecommunication service providers for |
resale shall be sourced to this State using the |
apportionment concepts used for non-resale |
receipts of telecommunications services if the |
information is readily available to make that |
determination. If the information is not readily |
available, then the taxpayer may use any other |
reasonable and consistent method. |
(B-7) For taxable years ending on or after December 31, |
2008, receipts from the sale of broadcasting services are |
in this State if the broadcasting services are received in |
this State. For purposes of this paragraph (B-7), the |
following terms have the following meanings: |
"Advertising revenue" means consideration received |
by the taxpayer in exchange for broadcasting services |
or allowing the broadcasting of commercials or |
announcements in connection with the broadcasting of |
film or radio programming, from sponsorships of the |
programming, or from product placements in the |
programming. |
|
"Audience factor" means the ratio that the |
audience or subscribers located in this State of a |
station, a network, or a cable system bears to the |
total audience or total subscribers for that station, |
network, or cable system. The audience factor for film |
or radio programming shall be determined by reference |
to the books and records of the taxpayer or by |
reference to published rating statistics provided the |
method used by the taxpayer is consistently used from |
year to year for this purpose and fairly represents the |
taxpayer's activity in this State. |
"Broadcast" or "broadcasting" or "broadcasting |
services" means the transmission or provision of film |
or radio programming, whether through the public |
airwaves, by cable, by direct or indirect satellite |
transmission, or by any other means of communication, |
either through a station, a network, or a cable system. |
"Film" or "film programming" means the broadcast |
on television of any and all performances, events, or |
productions, including but not limited to news, |
sporting events, plays, stories, or other literary, |
commercial, educational, or artistic works, either |
live or through the use of video tape, disc, or any |
other type of format or medium. Each episode of a |
series of films produced for television shall |
constitute separate "film" notwithstanding that the |
|
series relates to the same principal subject and is |
produced during one or more tax periods. |
"Radio" or "radio programming" means the broadcast |
on radio of any and all performances, events, or |
productions, including but not limited to news, |
sporting events, plays, stories, or other literary, |
commercial, educational, or artistic works, either |
live or through the use of an audio tape, disc, or any |
other format or medium. Each episode in a series of |
radio programming produced for radio broadcast shall |
constitute a separate "radio programming" |
notwithstanding that the series relates to the same |
principal subject and is produced during one or more |
tax periods. |
(i) In the case of advertising revenue from |
broadcasting, the customer is the advertiser and |
the service is received in this State if the |
commercial domicile of the advertiser is in this |
State. |
(ii) In the case where film or radio |
programming is broadcast by a station, a network, |
or a cable system for a fee or other remuneration |
received from the recipient of the broadcast, the |
portion of the service that is received in this |
State is measured by the portion of the recipients |
of the broadcast located in this State. |
|
Accordingly, the fee or other remuneration for |
such service that is included in the Illinois |
numerator of the sales factor is the total of those |
fees or other remuneration received from |
recipients in Illinois. For purposes of this |
paragraph, a taxpayer may determine the location |
of the recipients of its broadcast using the |
address of the recipient shown in its contracts |
with the recipient or using the billing address of |
the recipient in the taxpayer's records. |
(iii) In the case where film or radio |
programming is broadcast by a station, a network, |
or a cable system for a fee or other remuneration |
from the person providing the programming, the |
portion of the broadcast service that is received |
by such station, network, or cable system in this |
State is measured by the portion of recipients of |
the broadcast located in this State. Accordingly, |
the amount of revenue related to such an |
arrangement that is included in the Illinois |
numerator of the sales factor is the total fee or |
other total remuneration from the person providing |
the programming related to that broadcast |
multiplied by the Illinois audience factor for |
that broadcast. |
(iv) In the case where film or radio |
|
programming is provided by a taxpayer that is a |
network or station to a customer for broadcast in |
exchange for a fee or other remuneration from that |
customer the broadcasting service is received at |
the location of the office of the customer from |
which the services were ordered in the regular |
course of the customer's trade or business. |
Accordingly, in such a case the revenue derived by |
the taxpayer that is included in the taxpayer's |
Illinois numerator of the sales factor is the |
revenue from such customers who receive the |
broadcasting service in Illinois. |
(v) In the case where film or radio programming |
is provided by a taxpayer that is not a network or |
station to another person for broadcasting in |
exchange for a fee or other remuneration from that |
person, the broadcasting service is received at |
the location of the office of the customer from |
which the services were ordered in the regular |
course of the customer's trade or business. |
Accordingly, in such a case the revenue derived by |
the taxpayer that is included in the taxpayer's |
Illinois numerator of the sales factor is the |
revenue from such customers who receive the |
broadcasting service in Illinois. |
(B-8) Gross receipts from winnings under the Illinois |
|
Lottery Law from the assignment of a prize under Section |
13.1 13-1 of the Illinois Lottery Law are received in this |
State. This paragraph (B-8) applies only to taxable years |
ending on or after December 31, 2013.
|
(C) For taxable years ending before December 31, 2008, |
sales, other than sales governed by paragraphs (B), (B-1), |
(B-2), and (B-8) are in
this State if:
|
(i) The income-producing activity is performed in |
this State; or
|
(ii) The income-producing activity is performed |
both within and
without this State and a greater |
proportion of the income-producing
activity is |
performed within this State than without this State, |
based
on performance costs.
|
(C-5) For taxable years ending on or after December 31, |
2008, sales, other than sales governed by paragraphs (B), |
(B-1), (B-2), (B-5), and (B-7), are in this State if any of |
the following criteria are met: |
(i) Sales from the sale or lease of real property |
are in this State if the property is located in this |
State. |
(ii) Sales from the lease or rental of tangible |
personal property are in this State if the property is |
located in this State during the rental period. Sales |
from the lease or rental of tangible personal property |
that is characteristically moving property, including, |
|
but not limited to, motor vehicles, rolling stock, |
aircraft, vessels, or mobile equipment are in this |
State to the extent that the property is used in this |
State. |
(iii) In the case of interest, net gains (but not |
less than zero) and other items of income from |
intangible personal property, the sale is in this State |
if: |
(a) in the case of a taxpayer who is a dealer |
in the item of intangible personal property within |
the meaning of Section 475 of the Internal Revenue |
Code, the income or gain is received from a |
customer in this State. For purposes of this |
subparagraph, a customer is in this State if the |
customer is an individual, trust or estate who is a |
resident of this State and, for all other |
customers, if the customer's commercial domicile |
is in this State. Unless the dealer has actual |
knowledge of the residence or commercial domicile |
of a customer during a taxable year, the customer |
shall be deemed to be a customer in this State if |
the billing address of the customer, as shown in |
the records of the dealer, is in this State; or |
(b) in all other cases, if the |
income-producing activity of the taxpayer is |
performed in this State or, if the |
|
income-producing activity of the taxpayer is |
performed both within and without this State, if a |
greater proportion of the income-producing |
activity of the taxpayer is performed within this |
State than in any other state, based on performance |
costs. |
(iv) Sales of services are in this State if the |
services are received in this State. For the purposes |
of this section, gross receipts from the performance of |
services provided to a corporation, partnership, or |
trust may only be attributed to a state where that |
corporation, partnership, or trust has a fixed place of |
business. If the state where the services are received |
is not readily determinable or is a state where the |
corporation, partnership, or trust receiving the |
service does not have a fixed place of business, the |
services shall be deemed to be received at the location |
of the office of the customer from which the services |
were ordered in the regular course of the customer's |
trade or business. If the ordering office cannot be |
determined, the services shall be deemed to be received |
at the office of the customer to which the services are |
billed. If the taxpayer is not taxable in the state in |
which the services are received, the sale must be |
excluded from both the numerator and the denominator of |
the sales factor. The Department shall adopt rules |
|
prescribing where specific types of service are |
received, including, but not limited to, publishing, |
and utility service.
|
(D) For taxable years ending on or after December 31, |
1995, the following
items of income shall not be included |
in the numerator or denominator of the
sales factor: |
dividends; amounts included under Section 78 of the |
Internal
Revenue Code; and Subpart F income as defined in |
Section 952 of the Internal
Revenue Code.
No inference |
shall be drawn from the enactment of this paragraph (D) in
|
construing this Section for taxable years ending before |
December 31, 1995.
|
(E) Paragraphs (B-1) and (B-2) shall apply to tax years |
ending on or
after December 31, 1999, provided that a |
taxpayer may elect to apply the
provisions of these |
paragraphs to prior tax years. Such election shall be made
|
in the form and manner prescribed by the Department, shall |
be irrevocable, and
shall apply to all tax years; provided |
that, if a taxpayer's Illinois income
tax liability for any |
tax year, as assessed under Section 903 prior to January
1, |
1999, was computed in a manner contrary to the provisions |
of paragraphs
(B-1) or (B-2), no refund shall be payable to |
the taxpayer for that tax year to
the extent such refund is |
the result of applying the provisions of paragraph
(B-1) or |
(B-2) retroactively. In the case of a unitary business |
group, such
election shall apply to all members of such |
|
group for every tax year such group
is in existence, but |
shall not apply to any taxpayer for any period during
which |
that taxpayer is not a member of such group.
|
(b) Insurance companies.
|
(1) In general. Except as otherwise
provided by |
paragraph (2), business income of an insurance company for |
a
taxable year shall be apportioned to this State by |
multiplying such
income by a fraction, the numerator of |
which is the direct premiums
written for insurance upon |
property or risk in this State, and the
denominator of |
which is the direct premiums written for insurance upon
|
property or risk everywhere. For purposes of this |
subsection, the term
"direct premiums written" means the |
total amount of direct premiums
written, assessments and |
annuity considerations as reported for the
taxable year on |
the annual statement filed by the company with the
Illinois |
Director of Insurance in the form approved by the National
|
Convention of Insurance Commissioners
or such other form as |
may be
prescribed in lieu thereof.
|
(2) Reinsurance. If the principal source of premiums |
written by an
insurance company consists of premiums for |
reinsurance accepted by it,
the business income of such |
company shall be apportioned to this State
by multiplying |
such income by a fraction, the numerator of which is the
|
sum of (i) direct premiums written for insurance upon |
property or risk
in this State, plus (ii) premiums written |
|
for reinsurance accepted in
respect of property or risk in |
this State, and the denominator of which
is the sum of |
(iii) direct premiums written for insurance upon property
|
or risk everywhere, plus (iv) premiums written for |
reinsurance accepted
in respect of property or risk |
everywhere. For purposes of this
paragraph, premiums |
written for reinsurance accepted in respect of
property or |
risk in this State, whether or not otherwise determinable,
|
may, at the election of the company, be determined on the |
basis of the
proportion which premiums written for |
reinsurance accepted from
companies commercially domiciled |
in Illinois bears to premiums written
for reinsurance |
accepted from all sources, or, alternatively, in the
|
proportion which the sum of the direct premiums written for |
insurance
upon property or risk in this State by each |
ceding company from which
reinsurance is accepted bears to |
the sum of the total direct premiums
written by each such |
ceding company for the taxable year. The election made by a |
company under this paragraph for its first taxable year |
ending on or after December 31, 2011, shall be binding for |
that company for that taxable year and for all subsequent |
taxable years, and may be altered only with the written |
permission of the Department, which shall not be |
unreasonably withheld.
|
(c) Financial organizations.
|
(1) In general. For taxable years ending before |
|
December 31, 2008, business income of a financial
|
organization shall be apportioned to this State by |
multiplying such
income by a fraction, the numerator of |
which is its business income from
sources within this |
State, and the denominator of which is its business
income |
from all sources. For the purposes of this subsection, the
|
business income of a financial organization from sources |
within this
State is the sum of the amounts referred to in |
subparagraphs (A) through
(E) following, but excluding the |
adjusted income of an international banking
facility as |
determined in paragraph (2):
|
(A) Fees, commissions or other compensation for |
financial services
rendered within this State;
|
(B) Gross profits from trading in stocks, bonds or |
other securities
managed within this State;
|
(C) Dividends, and interest from Illinois |
customers, which are received
within this State;
|
(D) Interest charged to customers at places of |
business maintained
within this State for carrying |
debit balances of margin accounts,
without deduction |
of any costs incurred in carrying such accounts; and
|
(E) Any other gross income resulting from the |
operation as a
financial organization within this |
State. In computing the amounts
referred to in |
paragraphs (A) through (E) of this subsection, any |
amount
received by a member of an affiliated group |
|
(determined under Section
1504(a) of the Internal |
Revenue Code but without reference to whether
any such |
corporation is an "includible corporation" under |
Section
1504(b) of the Internal Revenue Code) from |
another member of such group
shall be included only to |
the extent such amount exceeds expenses of the
|
recipient directly related thereto.
|
(2) International Banking Facility. For taxable years |
ending before December 31, 2008:
|
(A) Adjusted Income. The adjusted income of an |
international banking
facility is its income reduced |
by the amount of the floor amount.
|
(B) Floor Amount. The floor amount shall be the |
amount, if any,
determined
by multiplying the income of |
the international banking facility by a fraction,
not |
greater than one, which is determined as follows:
|
(i) The numerator shall be:
|
The average aggregate, determined on a |
quarterly basis, of the
financial
organization's |
loans to banks in foreign countries, to foreign |
domiciled
borrowers (except where secured |
primarily by real estate) and to foreign
|
governments and other foreign official |
institutions, as reported for its
branches, |
agencies and offices within the state on its |
"Consolidated Report
of Condition", Schedule A, |
|
Lines 2.c., 5.b., and 7.a., which was filed with
|
the Federal Deposit Insurance Corporation and |
other regulatory authorities,
for the year 1980, |
minus
|
The average aggregate, determined on a |
quarterly basis, of such loans
(other
than loans of |
an international banking facility), as reported by |
the financial
institution for its branches, |
agencies and offices within the state, on
the |
corresponding Schedule and lines of the |
Consolidated Report of Condition
for the current |
taxable year, provided, however, that in no case |
shall the
amount determined in this clause (the |
subtrahend) exceed the amount determined
in the |
preceding clause (the minuend); and
|
(ii) the denominator shall be the average |
aggregate, determined on a
quarterly basis, of the |
international banking facility's loans to banks in
|
foreign countries, to foreign domiciled borrowers |
(except where secured
primarily by real estate) |
and to foreign governments and other foreign
|
official institutions, which were recorded in its |
financial accounts for
the current taxable year.
|
(C) Change to Consolidated Report of Condition and |
in Qualification.
In the event the Consolidated Report |
of Condition which is filed with the
Federal Deposit |
|
Insurance Corporation and other regulatory authorities |
is
altered so that the information required for |
determining the floor amount
is not found on Schedule |
A, lines 2.c., 5.b. and 7.a., the financial
institution |
shall notify the Department and the Department may, by
|
regulations or otherwise, prescribe or authorize the |
use of an alternative
source for such information. The |
financial institution shall also notify
the Department |
should its international banking facility fail to |
qualify as
such, in whole or in part, or should there |
be any amendment or change to
the Consolidated Report |
of Condition, as originally filed, to the extent
such |
amendment or change alters the information used in |
determining the floor
amount.
|
(3) For taxable years ending on or after December 31, |
2008, the business income of a financial organization shall |
be apportioned to this State by multiplying such income by |
a fraction, the numerator of which is its gross receipts |
from sources in this State or otherwise attributable to |
this State's marketplace and the denominator of which is |
its gross receipts everywhere during the taxable year. |
"Gross receipts" for purposes of this subparagraph (3) |
means gross income, including net taxable gain on |
disposition of assets, including securities and money |
market instruments, when derived from transactions and |
activities in the regular course of the financial |
|
organization's trade or business. The following examples |
are illustrative:
|
(i) Receipts from the lease or rental of real or |
tangible personal property are in this State if the |
property is located in this State during the rental |
period. Receipts from the lease or rental of tangible |
personal property that is characteristically moving |
property, including, but not limited to, motor |
vehicles, rolling stock, aircraft, vessels, or mobile |
equipment are from sources in this State to the extent |
that the property is used in this State. |
(ii) Interest income, commissions, fees, gains on |
disposition, and other receipts from assets in the |
nature of loans that are secured primarily by real |
estate or tangible personal property are from sources |
in this State if the security is located in this State. |
(iii) Interest income, commissions, fees, gains on |
disposition, and other receipts from consumer loans |
that are not secured by real or tangible personal |
property are from sources in this State if the debtor |
is a resident of this State. |
(iv) Interest income, commissions, fees, gains on |
disposition, and other receipts from commercial loans |
and installment obligations that are not secured by |
real or tangible personal property are from sources in |
this State if the proceeds of the loan are to be |
|
applied in this State. If it cannot be determined where |
the funds are to be applied, the income and receipts |
are from sources in this State if the office of the |
borrower from which the loan was negotiated in the |
regular course of business is located in this State. If |
the location of this office cannot be determined, the |
income and receipts shall be excluded from the |
numerator and denominator of the sales factor.
|
(v) Interest income, fees, gains on disposition, |
service charges, merchant discount income, and other |
receipts from credit card receivables are from sources |
in this State if the card charges are regularly billed |
to a customer in this State. |
(vi) Receipts from the performance of services, |
including, but not limited to, fiduciary, advisory, |
and brokerage services, are in this State if the |
services are received in this State within the meaning |
of subparagraph (a)(3)(C-5)(iv) of this Section. |
(vii) Receipts from the issuance of travelers |
checks and money orders are from sources in this State |
if the checks and money orders are issued from a |
location within this State. |
(viii) Receipts from investment assets and |
activities and trading assets and activities are |
included in the receipts factor as follows: |
(1) Interest, dividends, net gains (but not |
|
less than zero) and other income from investment |
assets and activities from trading assets and |
activities shall be included in the receipts |
factor. Investment assets and activities and |
trading assets and activities include but are not |
limited to: investment securities; trading account |
assets; federal funds; securities purchased and |
sold under agreements to resell or repurchase; |
options; futures contracts; forward contracts; |
notional principal contracts such as swaps; |
equities; and foreign currency transactions. With |
respect to the investment and trading assets and |
activities described in subparagraphs (A) and (B) |
of this paragraph, the receipts factor shall |
include the amounts described in such |
subparagraphs. |
(A) The receipts factor shall include the |
amount by which interest from federal funds |
sold and securities purchased under resale |
agreements exceeds interest expense on federal |
funds purchased and securities sold under |
repurchase agreements. |
(B) The receipts factor shall include the |
amount by which interest, dividends, gains and |
other income from trading assets and |
activities, including but not limited to |
|
assets and activities in the matched book, in |
the arbitrage book, and foreign currency |
transactions, exceed amounts paid in lieu of |
interest, amounts paid in lieu of dividends, |
and losses from such assets and activities. |
(2) The numerator of the receipts factor |
includes interest, dividends, net gains (but not |
less than zero), and other income from investment |
assets and activities and from trading assets and |
activities described in paragraph (1) of this |
subsection that are attributable to this State. |
(A) The amount of interest, dividends, net |
gains (but not less than zero), and other |
income from investment assets and activities |
in the investment account to be attributed to |
this State and included in the numerator is |
determined by multiplying all such income from |
such assets and activities by a fraction, the |
numerator of which is the gross income from |
such assets and activities which are properly |
assigned to a fixed place of business of the |
taxpayer within this State and the denominator |
of which is the gross income from all such |
assets and activities. |
(B) The amount of interest from federal |
funds sold and purchased and from securities |
|
purchased under resale agreements and |
securities sold under repurchase agreements |
attributable to this State and included in the |
numerator is determined by multiplying the |
amount described in subparagraph (A) of |
paragraph (1) of this subsection from such |
funds and such securities by a fraction, the |
numerator of which is the gross income from |
such funds and such securities which are |
properly assigned to a fixed place of business |
of the taxpayer within this State and the |
denominator of which is the gross income from |
all such funds and such securities. |
(C) The amount of interest, dividends, |
gains, and other income from trading assets and |
activities, including but not limited to |
assets and activities in the matched book, in |
the arbitrage book and foreign currency |
transactions (but excluding amounts described |
in subparagraphs (A) or (B) of this paragraph), |
attributable to this State and included in the |
numerator is determined by multiplying the |
amount described in subparagraph (B) of |
paragraph (1) of this subsection by a fraction, |
the numerator of which is the gross income from |
such trading assets and activities which are |
|
properly assigned to a fixed place of business |
of the taxpayer within this State and the |
denominator of which is the gross income from |
all such assets and activities. |
(D) Properly assigned, for purposes of |
this paragraph (2) of this subsection, means |
the investment or trading asset or activity is |
assigned to the fixed place of business with |
which it has a preponderance of substantive |
contacts. An investment or trading asset or |
activity assigned by the taxpayer to a fixed |
place of business without the State shall be |
presumed to have been properly assigned if: |
(i) the taxpayer has assigned, in the |
regular course of its business, such asset |
or activity on its records to a fixed place |
of business consistent with federal or |
state regulatory requirements; |
(ii) such assignment on its records is |
based upon substantive contacts of the |
asset or activity to such fixed place of |
business; and |
(iii) the taxpayer uses such records |
reflecting assignment of such assets or |
activities for the filing of all state and |
local tax returns for which an assignment |
|
of such assets or activities to a fixed |
place of business is required. |
(E) The presumption of proper assignment |
of an investment or trading asset or activity |
provided in subparagraph (D) of paragraph (2) |
of this subsection may be rebutted upon a |
showing by the Department, supported by a |
preponderance of the evidence, that the |
preponderance of substantive contacts |
regarding such asset or activity did not occur |
at the fixed place of business to which it was |
assigned on the taxpayer's records. If the |
fixed place of business that has a |
preponderance of substantive contacts cannot |
be determined for an investment or trading |
asset or activity to which the presumption in |
subparagraph (D) of paragraph (2) of this |
subsection does not apply or with respect to |
which that presumption has been rebutted, that |
asset or activity is properly assigned to the |
state in which the taxpayer's commercial |
domicile is located. For purposes of this |
subparagraph (E), it shall be presumed, |
subject to rebuttal, that taxpayer's |
commercial domicile is in the state of the |
United States or the District of Columbia to |
|
which the greatest number of employees are |
regularly connected with the management of the |
investment or trading income or out of which |
they are working, irrespective of where the |
services of such employees are performed, as of |
the last day of the taxable year.
|
(4) (Blank). |
(5) (Blank). |
(c-1) Federally regulated exchanges. For taxable years |
ending on or after December 31, 2012, business income of a |
federally regulated exchange shall, at the option of the |
federally regulated exchange, be apportioned to this State by |
multiplying such income by a fraction, the numerator of which |
is its business income from sources within this State, and the |
denominator of which is its business income from all sources. |
For purposes of this subsection, the business income within |
this State of a federally regulated exchange is the sum of the |
following: |
(1) Receipts attributable to transactions executed on |
a physical trading floor if that physical trading floor is |
located in this State. |
(2) Receipts attributable to all other matching, |
execution, or clearing transactions, including without |
limitation receipts from the provision of matching, |
execution, or clearing services to another entity, |
multiplied by (i) for taxable years ending on or after |
|
December 31, 2012 but before December 31, 2013, 63.77%; and |
(ii) for taxable years ending on or after December 31, |
2013, 27.54%. |
(3) All other receipts not governed by subparagraphs |
(1) or (2) of this subsection (c-1), to the extent the |
receipts would be characterized as "sales in this State" |
under item (3) of subsection (a) of this Section. |
"Federally regulated exchange" means (i) a "registered |
entity" within the meaning of 7 U.S.C. Section 1a(40)(A), (B), |
or (C), (ii) an "exchange" or "clearing agency" within the |
meaning of 15 U.S.C. Section 78c (a)(1) or (23), (iii) any such |
entities regulated under any successor regulatory structure to |
the foregoing, and (iv) all taxpayers who are members of the |
same unitary business group as a federally regulated exchange, |
determined without regard to the prohibition in Section |
1501(a)(27) of this Act against including in a unitary business |
group taxpayers who are ordinarily required to apportion |
business income under different subsections of this Section; |
provided that this subparagraph (iv) shall apply only if 50% or |
more of the business receipts of the unitary business group |
determined by application of this subparagraph (iv) for the |
taxable year are attributable to the matching, execution, or |
clearing of transactions conducted by an entity described in |
subparagraph (i), (ii), or (iii) of this paragraph. |
In no event shall the Illinois apportionment percentage |
computed in accordance with this subsection (c-1) for any |
|
taxpayer for any tax year be less than the Illinois |
apportionment percentage computed under this subsection (c-1) |
for that taxpayer for the first full tax year ending on or |
after December 31, 2013 for which this subsection (c-1) applied |
to the taxpayer. |
(d) Transportation services. For taxable years ending |
before December 31, 2008, business income derived from |
furnishing
transportation services shall be apportioned to |
this State in accordance
with paragraphs (1) and (2):
|
(1) Such business income (other than that derived from
|
transportation by pipeline) shall be apportioned to this |
State by
multiplying such income by a fraction, the |
numerator of which is the
revenue miles of the person in |
this State, and the denominator of which
is the revenue |
miles of the person everywhere. For purposes of this
|
paragraph, a revenue mile is the transportation of 1 |
passenger or 1 net
ton of freight the distance of 1 mile |
for a consideration. Where a
person is engaged in the |
transportation of both passengers and freight,
the |
fraction above referred to shall be determined by means of |
an
average of the passenger revenue mile fraction and the |
freight revenue
mile fraction, weighted to reflect the |
person's
|
(A) relative railway operating income from total |
passenger and total
freight service, as reported to the |
Interstate Commerce Commission, in
the case of |
|
transportation by railroad, and
|
(B) relative gross receipts from passenger and |
freight
transportation, in case of transportation |
other than by railroad.
|
(2) Such business income derived from transportation |
by pipeline
shall be apportioned to this State by |
multiplying such income by a
fraction, the numerator of |
which is the revenue miles of the person in
this State, and |
the denominator of which is the revenue miles of the
person |
everywhere. For the purposes of this paragraph, a revenue |
mile is
the transportation by pipeline of 1 barrel of oil, |
1,000 cubic feet of
gas, or of any specified quantity of |
any other substance, the distance
of 1 mile for a |
consideration.
|
(3) For taxable years ending on or after December 31, |
2008, business income derived from providing |
transportation services other than airline services shall |
be apportioned to this State by using a fraction, (a) the |
numerator of which shall be (i) all receipts from any |
movement or shipment of people, goods, mail, oil, gas, or |
any other substance (other than by airline) that both |
originates and terminates in this State, plus (ii) that |
portion of the person's gross receipts from movements or |
shipments of people, goods, mail, oil, gas, or any other |
substance (other than by airline) that originates in one |
state or jurisdiction and terminates in another state or |
|
jurisdiction, that is determined by the ratio that the |
miles traveled in this State bears to total miles |
everywhere and (b) the denominator of which shall be all |
revenue derived from the movement or shipment of people, |
goods, mail, oil, gas, or any other substance (other than |
by airline). Where a taxpayer is engaged in the |
transportation of both passengers and freight, the |
fraction above referred to shall first be determined |
separately for passenger miles and freight miles. Then an |
average of the passenger miles fraction and the freight |
miles fraction shall be weighted to reflect the taxpayer's: |
(A) relative railway operating income from total |
passenger and total freight service, as reported to the |
Surface Transportation Board, in the case of |
transportation by railroad; and
|
(B) relative gross receipts from passenger and |
freight transportation, in case of transportation |
other than by railroad.
|
(4) For taxable years ending on or after December 31, |
2008, business income derived from furnishing airline
|
transportation services shall be apportioned to this State |
by
multiplying such income by a fraction, the numerator of |
which is the
revenue miles of the person in this State, and |
the denominator of which
is the revenue miles of the person |
everywhere. For purposes of this
paragraph, a revenue mile |
is the transportation of one passenger or one net
ton of |
|
freight the distance of one mile for a consideration. If a
|
person is engaged in the transportation of both passengers |
and freight,
the fraction above referred to shall be |
determined by means of an
average of the passenger revenue |
mile fraction and the freight revenue
mile fraction, |
weighted to reflect the person's relative gross receipts |
from passenger and freight
airline transportation.
|
(e) Combined apportionment. Where 2 or more persons are |
engaged in
a unitary business as described in subsection |
(a)(27) of
Section 1501,
a part of which is conducted in this |
State by one or more members of the
group, the business income |
attributable to this State by any such member
or members shall |
be apportioned by means of the combined apportionment method.
|
(f) Alternative allocation. If the allocation and |
apportionment
provisions of subsections (a) through (e) and of |
subsection (h) do not, for taxable years ending before December |
31, 2008, fairly represent the
extent of a person's business |
activity in this State, or, for taxable years ending on or |
after December 31, 2008, fairly represent the market for the |
person's goods, services, or other sources of business income, |
the person may
petition for, or the Director may, without a |
petition, permit or require, in respect of all or any part
of |
the person's business activity, if reasonable:
|
(1) Separate accounting;
|
(2) The exclusion of any one or more factors;
|
(3) The inclusion of one or more additional factors |
|
which will
fairly represent the person's business |
activities or market in this State; or
|
(4) The employment of any other method to effectuate an |
equitable
allocation and apportionment of the person's |
business income.
|
(g) Cross reference. For allocation of business income by |
residents,
see Section 301(a).
|
(h) For tax years ending on or after December 31, 1998, the |
apportionment
factor of persons who apportion their business |
income to this State under
subsection (a) shall be equal to:
|
(1) for tax years ending on or after December 31, 1998 |
and before December
31, 1999, 16 2/3% of the property |
factor plus 16 2/3% of the payroll factor
plus
66 2/3% of |
the sales factor;
|
(2) for tax years ending on or after December 31, 1999 |
and before December
31,
2000, 8 1/3% of the property factor |
plus 8 1/3% of the payroll factor plus 83
1/3%
of the sales |
factor;
|
(3) for tax years ending on or after December 31, 2000, |
the sales factor.
|
If, in any tax year ending on or after December 31, 1998 and |
before December
31, 2000, the denominator of the payroll, |
property, or sales factor is zero,
the apportionment
factor |
computed in paragraph (1) or (2) of this subsection for that |
year shall
be divided by an amount equal to 100% minus the |
percentage weight given to each
factor whose denominator is |
|
equal to zero.
|
(Source: P.A. 97-507, eff. 8-23-11; 97-636, eff. 6-1-12; |
98-478, eff. 1-1-14; 98-496, eff. 1-1-14; 98-756, eff. 7-16-14; |
revised 10-19-15.)
|
(35 ILCS 5/507DDD) |
Sec. 507DDD. Special Olympics Illinois and Special |
Children's Checkoff. For taxable years beginning on or after |
January 1, 2015, the Department shall print on its standard |
individual income tax form a provision indicating that if the |
taxpayer wishes to contribute to the Special Olympics Illinois |
and Special Children's Charities Checkoff Fund as authorized by |
Public Act 99-423 this amendatory Act of the 99th General |
Assembly , he or she may do so by stating the amount of the |
contribution (not less than $1) on the return and that the |
contribution will reduce the taxpayer's refund or increase the |
amount of payment to accompany the return. Failure to remit any |
amount of increased payment shall reduce the contribution |
accordingly. This Section shall not apply to an amended return. |
For the purpose of this Section, the Department of Revenue must |
distribute the moneys as provided in subsection 21.9(b) of the |
Illinois Lottery Law: (i) 75% of the moneys to Special Olympics |
Illinois to support the statewide training, competitions, and |
programs for future Special Olympics athletes; and (ii) 25% of |
the moneys to Special Children's Charities to support the City |
of Chicago-wide training, competitions, and programs for |
|
future Special Olympics athletes.
|
(Source: P.A. 99-423, eff. 8-20-15; revised 10-20-15.)
|
Section 160. The Service Use Tax Act is amended by changing |
Section 3-10 as follows:
|
(35 ILCS 110/3-10) (from Ch. 120, par. 439.33-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the selling
price of tangible personal property transferred as |
an incident to the sale
of service, but, for the purpose of |
computing this tax, in no event shall
the selling price be less |
than the cost price of the property to the
serviceman.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act applies to (i) 70% of the selling price |
of property transferred
as an incident to the sale of service |
on or after January 1, 1990,
and before July 1, 2003, (ii) 80% |
of the selling price of
property transferred as an incident to |
the sale of service on or after July
1, 2003 and on or before |
December 31, 2018, and (iii)
100% of the selling price |
thereafter.
If, at any time, however, the tax under this Act on |
sales of gasohol, as
defined in
the Use Tax Act, is imposed at |
|
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
With respect to biodiesel blends, as defined in the Use Tax |
Act, with no less
than 1% and no
more than 10% biodiesel, the |
tax imposed by this Act
applies to (i) 80% of the selling price |
of property transferred as an incident
to the sale of service |
on or after July 1, 2003 and on or before December 31, 2018
and |
(ii) 100% of the proceeds of the selling price
thereafter.
If, |
at any time, however, the tax under this Act on sales of |
biodiesel blends,
as
defined in the Use Tax Act, with no less |
than 1% and no more than 10% biodiesel
is imposed at the rate |
of 1.25%, then the
tax imposed by this Act applies to 100% of |
the proceeds of sales of biodiesel
blends with no less than 1% |
and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
more than 10% but no more than 99% biodiesel, the tax imposed |
by this Act
does not apply to the proceeds of the selling price |
of property transferred
as an incident to the sale of service |
on or after July 1, 2003 and on or before
December 31, 2018 but |
|
applies to 100% of the selling price thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
servicemen engaged in graphic arts production, of the aggregate
|
annual total gross receipts from all sales of service, the tax |
imposed by
this Act shall be based on the serviceman's cost |
price of the tangible
personal property transferred as an |
incident to the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale of |
service subject
to this Act or the Service Occupation Tax Act |
by an entity licensed under
the Hospital Licensing Act, the |
Nursing Home Care Act, the ID/DD Community Care Act, the MC/DD |
Act, the Specialized Mental Health Rehabilitation Act of 2013, |
or the
Child Care
Act of 1969. The tax shall
also be imposed at |
the rate of 1% on food for human consumption that is to be
|
consumed off the premises where it is sold (other than |
alcoholic beverages,
soft drinks, and food that has been |
prepared for immediate consumption and is
not otherwise |
included in this paragraph) and prescription and |
nonprescription
medicines, drugs, medical appliances, |
modifications to a motor vehicle for the
purpose of rendering |
it usable by a person with a disability, and insulin, urine |
|
testing
materials,
syringes, and needles used by diabetics, for
|
human use. For the purposes of this Section, until September 1, |
2009: the term "soft drinks" means any
complete, finished, |
ready-to-use, non-alcoholic drink, whether carbonated or
not, |
including but not limited to soda water, cola, fruit juice, |
vegetable
juice, carbonated water, and all other preparations |
commonly known as soft
drinks of whatever kind or description |
that are contained in any closed or
sealed bottle, can, carton, |
or container, regardless of size; but "soft drinks"
does not |
include coffee, tea, non-carbonated water, infant formula, |
milk or
milk products as defined in the Grade A Pasteurized |
Milk and Milk Products Act,
or drinks containing 50% or more |
natural fruit or vegetable juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human
consumption that is to |
be consumed off the premises where it is sold" includes
all |
food sold through a vending machine, except soft drinks and |
food products
that are dispensed hot from a vending machine, |
regardless of the location of
the vending machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
|
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or other |
ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
|
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 (the effective date of Public |
Act 98-122), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Pilot Program Act. |
If the property that is acquired from a serviceman is |
acquired outside
Illinois and used outside Illinois before |
being brought to Illinois for use
here and is taxable under |
this Act, the "selling price" on which the tax
is computed |
shall be reduced by an amount that represents a reasonable
|
allowance for depreciation for the period of prior out-of-state |
use.
|
(Source: P.A. 98-104, eff. 7-22-13; 98-122, eff. 1-1-14; |
98-756, eff. 7-16-14; 99-143, eff. 7-27-15; 99-180, eff. |
7-29-15; revised 10-16-15.)
|
Section 165. The Service Occupation Tax Act is amended by |
changing Section 3-10 as follows:
|
(35 ILCS 115/3-10) (from Ch. 120, par. 439.103-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
|
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the "selling price",
as defined in Section 2 of the Service Use |
Tax Act, of the tangible
personal property. For the purpose of |
computing this tax, in no event
shall the "selling price" be |
less than the cost price to the serviceman of
the tangible |
personal property transferred. The selling price of each item
|
of tangible personal property transferred as an incident of a |
sale of
service may be shown as a distinct and separate item on |
the serviceman's
billing to the service customer. If the |
selling price is not so shown, the
selling price of the |
tangible personal property is deemed to be 50% of the
|
serviceman's entire billing to the service customer. When, |
however, a
serviceman contracts to design, develop, and produce |
special order machinery or
equipment, the tax imposed by this |
Act shall be based on the serviceman's
cost price of the |
tangible personal property transferred incident to the
|
completion of the contract.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act shall apply to (i) 70% of the cost |
price of property
transferred as
an incident to the sale of |
service on or after January 1, 1990, and before
July 1, 2003, |
(ii) 80% of the selling price of property transferred as an
|
|
incident to the sale of service on or after July
1, 2003 and on |
or before December 31, 2018, and (iii) 100%
of
the cost price
|
thereafter.
If, at any time, however, the tax under this Act on |
sales of gasohol, as
defined in
the Use Tax Act, is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
With respect to biodiesel blends, as defined in the Use Tax |
Act, with no less
than 1% and no
more than 10% biodiesel, the |
tax imposed by this Act
applies to (i) 80% of the selling price |
of property transferred as an incident
to the sale of service |
on or after July 1, 2003 and on or before December 31, 2018
and |
(ii) 100% of the proceeds of the selling price
thereafter.
If, |
at any time, however, the tax under this Act on sales of |
biodiesel blends,
as
defined in the Use Tax Act, with no less |
than 1% and no more than 10% biodiesel
is imposed at the rate |
of 1.25%, then the
tax imposed by this Act applies to 100% of |
the proceeds of sales of biodiesel
blends with no less than 1% |
and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
|
more than 10% but no more than 99% biodiesel material, the tax |
imposed by this
Act
does not apply to the proceeds of the |
selling price of property transferred
as an incident to the |
sale of service on or after July 1, 2003 and on or before
|
December 31, 2018 but applies to 100% of the selling price |
thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
servicemen engaged in graphic arts production, of the aggregate
|
annual total gross receipts from all sales of service, the tax |
imposed by
this Act shall be based on the serviceman's cost |
price of the tangible
personal property transferred incident to |
the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale of |
service subject
to this Act or the Service Occupation Tax Act |
by an entity licensed under
the Hospital Licensing Act, the |
Nursing Home Care Act, the ID/DD Community Care Act, the MC/DD |
Act, the Specialized Mental Health Rehabilitation Act of 2013, |
or the
Child Care Act of 1969. The tax shall
also be imposed at |
the rate of 1% on food for human consumption that is
to be |
consumed off the
premises where it is sold (other than |
alcoholic beverages, soft drinks, and
food that has been |
|
prepared for immediate consumption and is not
otherwise |
included in this paragraph) and prescription and
|
nonprescription medicines, drugs, medical appliances, |
modifications to a motor
vehicle for the purpose of rendering |
it usable by a person with a disability, and
insulin, urine |
testing materials, syringes, and needles used by diabetics, for
|
human use. For the purposes of this Section, until September 1, |
2009: the term "soft drinks" means any
complete, finished, |
ready-to-use, non-alcoholic drink, whether carbonated or
not, |
including but not limited to soda water, cola, fruit juice, |
vegetable
juice, carbonated water, and all other preparations |
commonly known as soft
drinks of whatever kind or description |
that are contained in any closed or
sealed can, carton, or |
container, regardless of size; but "soft drinks" does not
|
include coffee, tea, non-carbonated water, infant formula, |
milk or milk
products as defined in the Grade A Pasteurized |
Milk and Milk Products Act, or
drinks containing 50% or more |
natural fruit or vegetable juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human consumption
that is to |
|
be consumed off the premises where it is sold" includes all |
food
sold through a vending machine, except soft drinks and |
food products that are
dispensed hot from a vending machine, |
regardless of the location of the vending
machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or other |
ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
|
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 (the effective date of Public |
Act 98-122), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Pilot Program Act. |
(Source: P.A. 98-104, eff. 7-22-13; 98-122, eff. 1-1-14; |
98-756, eff. 7-16-14; 99-143, eff. 7-27-15; 99-180, eff. |
7-29-15; revised 10-16-15.)
|
Section 170. The Property Tax Code is amended by changing |
Sections 9-195, 15-168, 15-169, 15-172, and 15-175 as follows:
|
(35 ILCS 200/9-195)
|
Sec. 9-195. Leasing of exempt property.
|
(a) Except as provided in Sections 15-35, 15-55, 15-60, |
15-100,
15-103, 15-160, and 15-185,
when property which is |
|
exempt from taxation is leased to another whose property
is not |
exempt, and the leasing of which does not make the property |
taxable,
the leasehold estate and the appurtenances shall be |
listed as the property of
the lessee thereof, or his or her |
assignee. Taxes on that property shall be
collected in the same |
manner as on property that is not exempt, and the lessee
shall |
be liable for those taxes. However, no tax lien shall attach to |
the
exempt real estate. The changes made by Public Act 90-562 |
this amendatory Act of 1997 and by Public Act 91-513 this
|
amendatory Act of the 91st General Assembly are declaratory of |
existing law
and shall not be construed as a new enactment. The |
changes made by Public Acts
88-221 and 88-420 that are |
incorporated into this Section by Public Act 88-670 this |
amendatory
Act of 1993 are declarative of existing law and are |
not a new enactment.
|
(b) The provisions of this Section regarding taxation of |
leasehold interests
in exempt property do not apply to any |
leasehold interest created pursuant to
any transaction |
described in subsection (e) of Section 15-35, subsection (c-5)
|
of Section 15-60, subsection (b) of Section 15-100, Section |
15-103, Section 15-160, or
Section 15-185 of this Code , or |
Section 6c of the Downstate Forest Preserve District Act.
|
(Source: P.A. 99-219, eff. 7-31-15; revised 10-20-15.)
|
(35 ILCS 200/15-168) |
Sec. 15-168. Homestead exemption for persons with |
|
disabilities. |
(a) Beginning with taxable year 2007, an
annual homestead |
exemption is granted to persons with disabilities in
the amount |
of $2,000, except as provided in subsection (c), to
be deducted |
from the property's value as equalized or assessed
by the |
Department of Revenue. The person with a disability shall |
receive
the homestead exemption upon meeting the following
|
requirements: |
(1) The property must be occupied as the primary |
residence by the person with a disability. |
(2) The person with a disability must be liable for |
paying the
real estate taxes on the property. |
(3) The person with a disability must be an owner of |
record of
the property or have a legal or equitable |
interest in the
property as evidenced by a written |
instrument. In the case
of a leasehold interest in |
property, the lease must be for
a single family residence. |
A person who has a disability during the taxable year
is |
eligible to apply for this homestead exemption during that
|
taxable year. Application must be made during the
application |
period in effect for the county of residence. If a
homestead |
exemption has been granted under this Section and the
person |
awarded the exemption subsequently becomes a resident of
a |
facility licensed under the Nursing Home Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the ID/DD |
Community Care Act, or the MC/DD Act, then the
exemption shall |
|
continue (i) so long as the residence continues
to be occupied |
by the qualifying person's spouse or (ii) if the
residence |
remains unoccupied but is still owned by the person
qualified |
for the homestead exemption. |
(b) For the purposes of this Section, "person with a |
disability"
means a person unable to engage in any substantial |
gainful activity by reason of a medically determinable physical |
or mental impairment which can be expected to result in death |
or has lasted or can be expected to last for a continuous |
period of not less than 12 months. Persons with disabilities |
filing claims under this Act shall submit proof of disability |
in such form and manner as the Department shall by rule and |
regulation prescribe. Proof that a claimant is eligible to |
receive disability benefits under the Federal Social Security |
Act shall constitute proof of disability for purposes of this |
Act. Issuance of an Illinois Person with a Disability |
Identification Card stating that the claimant is under a Class |
2 disability, as defined in Section 4A of the Illinois |
Identification Card Act, shall constitute proof that the person |
named thereon is a person with a disability for purposes of |
this Act. A person with a disability not covered under the |
Federal Social Security Act and not presenting an Illinois |
Person with a Disability Identification Card stating that the |
claimant is under a Class 2 disability shall be examined by a |
physician designated by the Department, and his status as a |
person with a disability determined using the same standards as |
|
used by the Social Security Administration. The costs of any |
required examination shall be borne by the claimant. |
(c) For land improved with (i) an apartment building owned
|
and operated as a cooperative or (ii) a life care facility as
|
defined under Section 2 of the Life Care Facilities Act that is
|
considered to be a cooperative, the maximum reduction from the
|
value of the property, as equalized or assessed by the
|
Department, shall be multiplied by the number of apartments or
|
units occupied by a person with a disability. The person with a |
disability shall
receive the homestead exemption upon meeting |
the following
requirements: |
(1) The property must be occupied as the primary |
residence by the
person with a disability. |
(2) The person with a disability must be liable by |
contract with
the owner or owners of record for paying the |
apportioned
property taxes on the property of the |
cooperative or life
care facility. In the case of a life |
care facility, the
person with a disability must be liable |
for paying the apportioned
property taxes under a life care |
contract as defined in Section 2 of the Life Care |
Facilities Act. |
(3) The person with a disability must be an owner of |
record of a
legal or equitable interest in the cooperative |
apartment
building. A leasehold interest does not meet this
|
requirement.
|
If a homestead exemption is granted under this subsection, the
|
|
cooperative association or management firm shall credit the
|
savings resulting from the exemption to the apportioned tax
|
liability of the qualifying person with a disability. The chief |
county
assessment officer may request reasonable proof that the
|
association or firm has properly credited the exemption. A
|
person who willfully refuses to credit an exemption to the
|
qualified person with a disability is guilty of a Class B |
misdemeanor.
|
(d) The chief county assessment officer shall determine the
|
eligibility of property to receive the homestead exemption
|
according to guidelines established by the Department. After a
|
person has received an exemption under this Section, an annual
|
verification of eligibility for the exemption shall be mailed
|
to the taxpayer. |
In counties with fewer than 3,000,000 inhabitants, the |
chief county assessment officer shall provide to each
person |
granted a homestead exemption under this Section a form
to |
designate any other person to receive a duplicate of any
notice |
of delinquency in the payment of taxes assessed and
levied |
under this Code on the person's qualifying property. The
|
duplicate notice shall be in addition to the notice required to
|
be provided to the person receiving the exemption and shall be |
given in the manner required by this Code. The person filing
|
the request for the duplicate notice shall pay an
|
administrative fee of $5 to the chief county assessment
|
officer. The assessment officer shall then file the executed
|
|
designation with the county collector, who shall issue the
|
duplicate notices as indicated by the designation. A
|
designation may be rescinded by the person with a disability in |
the
manner required by the chief county assessment officer. |
(e) A taxpayer who claims an exemption under Section 15-165 |
or 15-169 may not claim an exemption under this Section.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-20-15.)
|
(35 ILCS 200/15-169) |
Sec. 15-169. Homestead exemption for veterans with |
disabilities. |
(a) Beginning with taxable year 2007, an annual homestead |
exemption, limited to the amounts set forth in subsections (b) |
and (b-3), is granted for property that is used as a qualified |
residence by a veteran with a disability. |
(b) For taxable years prior to 2015, the amount of the |
exemption under this Section is as follows: |
(1) for veterans with a service-connected disability |
of at least (i) 75% for exemptions granted in taxable years |
2007 through 2009 and (ii) 70% for exemptions granted in |
taxable year 2010 and each taxable year thereafter, as |
certified by the United States Department of Veterans |
Affairs, the annual exemption is $5,000; and |
(2) for veterans with a service-connected disability |
of at least 50%, but less than (i) 75% for exemptions |
|
granted in taxable years 2007 through 2009 and (ii) 70% for |
exemptions granted in taxable year 2010 and each taxable |
year thereafter, as certified by the United States |
Department of Veterans Affairs, the annual exemption is |
$2,500. |
(b-3) For taxable years 2015 and thereafter: |
(1) if the veteran has a service connected disability |
of 30% or more but less than 50%, as certified by the |
United States Department of Veterans Affairs, then the |
annual exemption is $2,500; |
(2) if the veteran has a service connected disability |
of 50% or more but less than 70%, as certified by the |
United States Department of Veterans Affairs, then the |
annual exemption is $5,000; and |
(3) if the veteran has a service connected disability |
of 70% or more, as certified by the United States |
Department of Veterans Affairs, then the property is exempt |
from taxation under this Code. |
(b-5) If a homestead exemption is granted under this |
Section and the person awarded the exemption subsequently |
becomes a resident of a facility licensed under the Nursing |
Home Care Act or a facility operated by the United States |
Department of Veterans Affairs, then the exemption shall |
continue (i) so long as the residence continues to be occupied |
by the qualifying person's spouse or (ii) if the residence |
remains unoccupied but is still owned by the person who |
|
qualified for the homestead exemption. |
(c) The tax exemption under this Section carries over to |
the benefit of the veteran's
surviving spouse as long as the |
spouse holds the legal or
beneficial title to the homestead, |
permanently resides
thereon, and does not remarry. If the |
surviving spouse sells
the property, an exemption not to exceed |
the amount granted
from the most recent ad valorem tax roll may |
be transferred to
his or her new residence as long as it is |
used as his or her
primary residence and he or she does not |
remarry. |
(c-1) Beginning with taxable year 2015, nothing in this |
Section shall require the veteran to have qualified for or |
obtained the exemption before death if the veteran was killed |
in the line of duty. |
(d) The exemption under this Section applies for taxable |
year 2007 and thereafter. A taxpayer who claims an exemption |
under Section 15-165 or 15-168 may not claim an exemption under |
this Section. |
(e) Each taxpayer who has been granted an exemption under |
this Section must reapply on an annual basis. Application must |
be made during the application period
in effect for the county |
of his or her residence. The assessor
or chief county |
assessment officer may determine the
eligibility of |
residential property to receive the homestead
exemption |
provided by this Section by application, visual
inspection, |
questionnaire, or other reasonable methods. The
determination |
|
must be made in accordance with guidelines
established by the |
Department. |
(f) For the purposes of this Section: |
"Qualified residence" means real
property, but less any |
portion of that property that is used for
commercial purposes, |
with an equalized assessed value of less than $250,000 that is |
the primary residence of a veteran with a disability. Property |
rented for more than 6 months is
presumed to be used for |
commercial purposes. |
"Veteran" means an Illinois resident who has served as a
|
member of the United States Armed Forces on active duty or
|
State active duty, a member of the Illinois National Guard, or
|
a member of the United States Reserve Forces and who has |
received an honorable discharge. |
(Source: P.A. 98-1145, eff. 12-30-14; 99-143, eff. 7-27-15; |
99-375, eff. 8-17-15; revised 10-9-15.)
|
(35 ILCS 200/15-172)
|
Sec. 15-172. Senior Citizens Assessment Freeze Homestead |
Exemption.
|
(a) This Section may be cited as the Senior Citizens |
Assessment
Freeze Homestead Exemption.
|
(b) As used in this Section:
|
"Applicant" means an individual who has filed an |
application under this
Section.
|
"Base amount" means the base year equalized assessed value |
|
of the residence
plus the first year's equalized assessed value |
of any added improvements which
increased the assessed value of |
the residence after the base year.
|
"Base year" means the taxable year prior to the taxable |
year for which the
applicant first qualifies and applies for |
the exemption provided that in the
prior taxable year the |
property was improved with a permanent structure that
was |
occupied as a residence by the applicant who was liable for |
paying real
property taxes on the property and who was either |
(i) an owner of record of the
property or had legal or |
equitable interest in the property as evidenced by a
written |
instrument or (ii) had a legal or equitable interest as a |
lessee in the
parcel of property that was single family |
residence.
If in any subsequent taxable year for which the |
applicant applies and
qualifies for the exemption the equalized |
assessed value of the residence is
less than the equalized |
assessed value in the existing base year
(provided that such |
equalized assessed value is not
based
on an
assessed value that |
results from a temporary irregularity in the property that
|
reduces the
assessed value for one or more taxable years), then |
that
subsequent taxable year shall become the base year until a |
new base year is
established under the terms of this paragraph. |
For taxable year 1999 only, the
Chief County Assessment Officer |
shall review (i) all taxable years for which
the
applicant |
applied and qualified for the exemption and (ii) the existing |
base
year.
The assessment officer shall select as the new base |
|
year the year with the
lowest equalized assessed value.
An |
equalized assessed value that is based on an assessed value |
that results
from a
temporary irregularity in the property that |
reduces the assessed value for one
or more
taxable years shall |
not be considered the lowest equalized assessed value.
The |
selected year shall be the base year for
taxable year 1999 and |
thereafter until a new base year is established under the
terms |
of this paragraph.
|
"Chief County Assessment Officer" means the County |
Assessor or Supervisor of
Assessments of the county in which |
the property is located.
|
"Equalized assessed value" means the assessed value as |
equalized by the
Illinois Department of Revenue.
|
"Household" means the applicant, the spouse of the |
applicant, and all persons
using the residence of the applicant |
as their principal place of residence.
|
"Household income" means the combined income of the members |
of a household
for the calendar year preceding the taxable |
year.
|
"Income" has the same meaning as provided in Section 3.07 |
of the Senior
Citizens and Persons with Disabilities Property |
Tax Relief
Act, except that, beginning in assessment year 2001, |
"income" does not
include veteran's benefits.
|
"Internal Revenue Code of 1986" means the United States |
Internal Revenue Code
of 1986 or any successor law or laws |
relating to federal income taxes in effect
for the year |
|
preceding the taxable year.
|
"Life care facility that qualifies as a cooperative" means |
a facility as
defined in Section 2 of the Life Care Facilities |
Act.
|
"Maximum income limitation" means: |
(1) $35,000 prior
to taxable year 1999; |
(2) $40,000 in taxable years 1999 through 2003; |
(3) $45,000 in taxable years 2004 through 2005; |
(4) $50,000 in taxable years 2006 and 2007; and |
(5) $55,000 in taxable year 2008 and thereafter.
|
"Residence" means the principal dwelling place and |
appurtenant structures
used for residential purposes in this |
State occupied on January 1 of the
taxable year by a household |
and so much of the surrounding land, constituting
the parcel |
upon which the dwelling place is situated, as is used for
|
residential purposes. If the Chief County Assessment Officer |
has established a
specific legal description for a portion of |
property constituting the
residence, then that portion of |
property shall be deemed the residence for the
purposes of this |
Section.
|
"Taxable year" means the calendar year during which ad |
valorem property taxes
payable in the next succeeding year are |
levied.
|
(c) Beginning in taxable year 1994, a senior citizens |
assessment freeze
homestead exemption is granted for real |
property that is improved with a
permanent structure that is |
|
occupied as a residence by an applicant who (i) is
65 years of |
age or older during the taxable year, (ii) has a household |
income that does not exceed the maximum income limitation, |
(iii) is liable for paying real property taxes on
the
property, |
and (iv) is an owner of record of the property or has a legal or
|
equitable interest in the property as evidenced by a written |
instrument. This
homestead exemption shall also apply to a |
leasehold interest in a parcel of
property improved with a |
permanent structure that is a single family residence
that is |
occupied as a residence by a person who (i) is 65 years of age |
or older
during the taxable year, (ii) has a household income |
that does not exceed the maximum income limitation,
(iii)
has a |
legal or equitable ownership interest in the property as |
lessee, and (iv)
is liable for the payment of real property |
taxes on that property.
|
In counties of 3,000,000 or more inhabitants, the amount of |
the exemption for all taxable years is the equalized assessed |
value of the
residence in the taxable year for which |
application is made minus the base
amount. In all other |
counties, the amount of the exemption is as follows: (i) |
through taxable year 2005 and for taxable year 2007 and |
thereafter, the amount of this exemption shall be the equalized |
assessed value of the
residence in the taxable year for which |
application is made minus the base
amount; and (ii) for
taxable |
year 2006, the amount of the exemption is as follows:
|
(1) For an applicant who has a household income of |
|
$45,000 or less, the amount of the exemption is the |
equalized assessed value of the
residence in the taxable |
year for which application is made minus the base
amount. |
(2) For an applicant who has a household income |
exceeding $45,000 but not exceeding $46,250, the amount of |
the exemption is (i) the equalized assessed value of the
|
residence in the taxable year for which application is made |
minus the base
amount (ii) multiplied by 0.8. |
(3) For an applicant who has a household income |
exceeding $46,250 but not exceeding $47,500, the amount of |
the exemption is (i) the equalized assessed value of the
|
residence in the taxable year for which application is made |
minus the base
amount (ii) multiplied by 0.6. |
(4) For an applicant who has a household income |
exceeding $47,500 but not exceeding $48,750, the amount of |
the exemption is (i) the equalized assessed value of the
|
residence in the taxable year for which application is made |
minus the base
amount (ii) multiplied by 0.4. |
(5) For an applicant who has a household income |
exceeding $48,750 but not exceeding $50,000, the amount of |
the exemption is (i) the equalized assessed value of the
|
residence in the taxable year for which application is made |
minus the base
amount (ii) multiplied by 0.2.
|
When the applicant is a surviving spouse of an applicant |
for a prior year for
the same residence for which an exemption |
under this Section has been granted,
the base year and base |
|
amount for that residence are the same as for the
applicant for |
the prior year.
|
Each year at the time the assessment books are certified to |
the County Clerk,
the Board of Review or Board of Appeals shall |
give to the County Clerk a list
of the assessed values of |
improvements on each parcel qualifying for this
exemption that |
were added after the base year for this parcel and that
|
increased the assessed value of the property.
|
In the case of land improved with an apartment building |
owned and operated as
a cooperative or a building that is a |
life care facility that qualifies as a
cooperative, the maximum |
reduction from the equalized assessed value of the
property is |
limited to the sum of the reductions calculated for each unit
|
occupied as a residence by a person or persons (i) 65 years of |
age or older, (ii) with a
household income that does not exceed |
the maximum income limitation, (iii) who is liable, by contract |
with the
owner
or owners of record, for paying real property |
taxes on the property, and (iv) who is
an owner of record of a |
legal or equitable interest in the cooperative
apartment |
building, other than a leasehold interest. In the instance of a
|
cooperative where a homestead exemption has been granted under |
this Section,
the cooperative association or its management |
firm shall credit the savings
resulting from that exemption |
only to the apportioned tax liability of the
owner who |
qualified for the exemption. Any person who willfully refuses |
to
credit that savings to an owner who qualifies for the |
|
exemption is guilty of a
Class B misdemeanor.
|
When a homestead exemption has been granted under this |
Section and an
applicant then becomes a resident of a facility |
licensed under the Assisted Living and Shared Housing Act, the |
Nursing Home
Care Act, the Specialized Mental Health |
Rehabilitation Act of 2013, the ID/DD Community Care Act, or |
the MC/DD Act, the exemption shall be granted in subsequent |
years so long as the
residence (i) continues to be occupied by |
the qualified applicant's spouse or
(ii) if remaining |
unoccupied, is still owned by the qualified applicant for the
|
homestead exemption.
|
Beginning January 1, 1997, when an individual dies who |
would have qualified
for an exemption under this Section, and |
the surviving spouse does not
independently qualify for this |
exemption because of age, the exemption under
this Section |
shall be granted to the surviving spouse for the taxable year
|
preceding and the taxable
year of the death, provided that, |
except for age, the surviving spouse meets
all
other |
qualifications for the granting of this exemption for those |
years.
|
When married persons maintain separate residences, the |
exemption provided for
in this Section may be claimed by only |
one of such persons and for only one
residence.
|
For taxable year 1994 only, in counties having less than |
3,000,000
inhabitants, to receive the exemption, a person shall |
submit an application by
February 15, 1995 to the Chief County |
|
Assessment Officer
of the county in which the property is |
located. In counties having 3,000,000
or more inhabitants, for |
taxable year 1994 and all subsequent taxable years, to
receive |
the exemption, a person
may submit an application to the Chief |
County
Assessment Officer of the county in which the property |
is located during such
period as may be specified by the Chief |
County Assessment Officer. The Chief
County Assessment Officer |
in counties of 3,000,000 or more inhabitants shall
annually |
give notice of the application period by mail or by |
publication. In
counties having less than 3,000,000 |
inhabitants, beginning with taxable year
1995 and thereafter, |
to receive the exemption, a person
shall
submit an
application |
by July 1 of each taxable year to the Chief County Assessment
|
Officer of the county in which the property is located. A |
county may, by
ordinance, establish a date for submission of |
applications that is
different than
July 1.
The applicant shall |
submit with the
application an affidavit of the applicant's |
total household income, age,
marital status (and if married the |
name and address of the applicant's spouse,
if known), and |
principal dwelling place of members of the household on January
|
1 of the taxable year. The Department shall establish, by rule, |
a method for
verifying the accuracy of affidavits filed by |
applicants under this Section, and the Chief County Assessment |
Officer may conduct audits of any taxpayer claiming an |
exemption under this Section to verify that the taxpayer is |
eligible to receive the exemption. Each application shall |
|
contain or be verified by a written declaration that it is made |
under the penalties of perjury. A taxpayer's signing a |
fraudulent application under this Act is perjury, as defined in |
Section 32-2 of the Criminal Code of 2012.
The applications |
shall be clearly marked as applications for the Senior
Citizens |
Assessment Freeze Homestead Exemption and must contain a notice |
that any taxpayer who receives the exemption is subject to an |
audit by the Chief County Assessment Officer.
|
Notwithstanding any other provision to the contrary, in |
counties having fewer
than 3,000,000 inhabitants, if an |
applicant fails
to file the application required by this |
Section in a timely manner and this
failure to file is due to a |
mental or physical condition sufficiently severe so
as to |
render the applicant incapable of filing the application in a |
timely
manner, the Chief County Assessment Officer may extend |
the filing deadline for
a period of 30 days after the applicant |
regains the capability to file the
application, but in no case |
may the filing deadline be extended beyond 3
months of the |
original filing deadline. In order to receive the extension
|
provided in this paragraph, the applicant shall provide the |
Chief County
Assessment Officer with a signed statement from |
the applicant's physician
stating the nature and extent of the |
condition, that, in the
physician's opinion, the condition was |
so severe that it rendered the applicant
incapable of filing |
the application in a timely manner, and the date on which
the |
applicant regained the capability to file the application.
|
|
Beginning January 1, 1998, notwithstanding any other |
provision to the
contrary, in counties having fewer than |
3,000,000 inhabitants, if an applicant
fails to file the |
application required by this Section in a timely manner and
|
this failure to file is due to a mental or physical condition |
sufficiently
severe so as to render the applicant incapable of |
filing the application in a
timely manner, the Chief County |
Assessment Officer may extend the filing
deadline for a period |
of 3 months. In order to receive the extension provided
in this |
paragraph, the applicant shall provide the Chief County |
Assessment
Officer with a signed statement from the applicant's |
physician stating the
nature and extent of the condition, and |
that, in the physician's opinion, the
condition was so severe |
that it rendered the applicant incapable of filing the
|
application in a timely manner.
|
In counties having less than 3,000,000 inhabitants, if an |
applicant was
denied an exemption in taxable year 1994 and the |
denial occurred due to an
error on the part of an assessment
|
official, or his or her agent or employee, then beginning in |
taxable year 1997
the
applicant's base year, for purposes of |
determining the amount of the exemption,
shall be 1993 rather |
than 1994. In addition, in taxable year 1997, the
applicant's |
exemption shall also include an amount equal to (i) the amount |
of
any exemption denied to the applicant in taxable year 1995 |
as a result of using
1994, rather than 1993, as the base year, |
(ii) the amount of any exemption
denied to the applicant in |
|
taxable year 1996 as a result of using 1994, rather
than 1993, |
as the base year, and (iii) the amount of the exemption |
erroneously
denied for taxable year 1994.
|
For purposes of this Section, a person who will be 65 years |
of age during the
current taxable year shall be eligible to |
apply for the homestead exemption
during that taxable year. |
Application shall be made during the application
period in |
effect for the county of his or her residence.
|
The Chief County Assessment Officer may determine the |
eligibility of a life
care facility that qualifies as a |
cooperative to receive the benefits
provided by this Section by |
use of an affidavit, application, visual
inspection, |
questionnaire, or other reasonable method in order to insure |
that
the tax savings resulting from the exemption are credited |
by the management
firm to the apportioned tax liability of each |
qualifying resident. The Chief
County Assessment Officer may |
request reasonable proof that the management firm
has so |
credited that exemption.
|
Except as provided in this Section, all information |
received by the chief
county assessment officer or the |
Department from applications filed under this
Section, or from |
any investigation conducted under the provisions of this
|
Section, shall be confidential, except for official purposes or
|
pursuant to official procedures for collection of any State or |
local tax or
enforcement of any civil or criminal penalty or |
sanction imposed by this Act or
by any statute or ordinance |
|
imposing a State or local tax. Any person who
divulges any such |
information in any manner, except in accordance with a proper
|
judicial order, is guilty of a Class A misdemeanor.
|
Nothing contained in this Section shall prevent the |
Director or chief county
assessment officer from publishing or |
making available reasonable statistics
concerning the |
operation of the exemption contained in this Section in which
|
the contents of claims are grouped into aggregates in such a |
way that
information contained in any individual claim shall |
not be disclosed.
|
(d) Each Chief County Assessment Officer shall annually |
publish a notice
of availability of the exemption provided |
under this Section. The notice
shall be published at least 60 |
days but no more than 75 days prior to the date
on which the |
application must be submitted to the Chief County Assessment
|
Officer of the county in which the property is located. The |
notice shall
appear in a newspaper of general circulation in |
the county.
|
Notwithstanding Sections 6 and 8 of the State Mandates Act, |
no reimbursement by the State is required for the |
implementation of any mandate created by this Section.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-21-15.)
|
(35 ILCS 200/15-175)
|
Sec. 15-175. General homestead exemption. |
|
(a) Except as provided in Sections 15-176 and 15-177, |
homestead
property is
entitled to an annual homestead exemption |
limited, except as described here
with relation to |
cooperatives, to a reduction in the equalized assessed value
of |
homestead property equal to the increase in equalized assessed |
value for the
current assessment year above the equalized |
assessed value of the property for
1977, up to the maximum |
reduction set forth below. If however, the 1977
equalized |
assessed value upon which taxes were paid is subsequently |
determined
by local assessing officials, the Property Tax |
Appeal Board, or a court to have
been excessive, the equalized |
assessed value which should have been placed on
the property |
for 1977 shall be used to determine the amount of the |
exemption.
|
(b) Except as provided in Section 15-176, the maximum |
reduction before taxable year 2004 shall be
$4,500 in counties |
with 3,000,000 or more
inhabitants
and $3,500 in all other |
counties. Except as provided in Sections 15-176 and 15-177, for |
taxable years 2004 through 2007, the maximum reduction shall be |
$5,000, for taxable year 2008, the maximum reduction is $5,500, |
and, for taxable years 2009 through 2011, the maximum reduction |
is $6,000 in all counties. For taxable years 2012 and |
thereafter, the maximum reduction is $7,000 in counties with |
3,000,000 or more
inhabitants
and $6,000 in all other counties. |
If a county has elected to subject itself to the provisions of |
Section 15-176 as provided in subsection (k) of that Section, |
|
then, for the first taxable year only after the provisions of |
Section 15-176 no longer apply, for owners who, for the taxable |
year, have not been granted a senior citizens assessment freeze |
homestead exemption under Section 15-172 or a long-time |
occupant homestead exemption under Section 15-177, there shall |
be an additional exemption of $5,000 for owners with a |
household income of $30,000 or less.
|
(c) In counties with fewer than 3,000,000 inhabitants, if, |
based on the most
recent assessment, the equalized assessed |
value of
the homestead property for the current assessment year |
is greater than the
equalized assessed value of the property |
for 1977, the owner of the property
shall automatically receive |
the exemption granted under this Section in an
amount equal to |
the increase over the 1977 assessment up to the maximum
|
reduction set forth in this Section.
|
(d) If in any assessment year beginning with the 2000 |
assessment year,
homestead property has a pro-rata valuation |
under
Section 9-180 resulting in an increase in the assessed |
valuation, a reduction
in equalized assessed valuation equal to |
the increase in equalized assessed
value of the property for |
the year of the pro-rata valuation above the
equalized assessed |
value of the property for 1977 shall be applied to the
property |
on a proportionate basis for the period the property qualified |
as
homestead property during the assessment year. The maximum |
proportionate
homestead exemption shall not exceed the maximum |
homestead exemption allowed in
the county under this Section |
|
divided by 365 and multiplied by the number of
days the |
property qualified as homestead property.
|
(e) The chief county assessment officer may, when |
considering whether to grant a leasehold exemption under this |
Section, require the following conditions to be met: |
(1) that a notarized application for the exemption, |
signed by both the owner and the lessee of the property, |
must be submitted each year during the application period |
in effect for the county in which the property is located; |
(2) that a copy of the lease must be filed with the |
chief county assessment officer by the owner of the |
property at the time the notarized application is |
submitted; |
(3) that the lease must expressly state that the lessee |
is liable for the payment of property taxes; and |
(4) that the lease must include the following language |
in substantially the following form: |
"Lessee shall be liable for the payment of real |
estate taxes with respect to the residence in |
accordance with the terms and conditions of Section |
15-175 of the Property Tax Code (35 ILCS 200/15-175). |
The permanent real estate index number for the premises |
is (insert number), and, according to the most recent |
property tax bill, the current amount of real estate |
taxes associated with the premises is (insert amount) |
per year. The parties agree that the monthly rent set |
|
forth above shall be increased or decreased pro rata |
(effective January 1 of each calendar year) to reflect |
any increase or decrease in real estate taxes. Lessee |
shall be deemed to be satisfying Lessee's liability for |
the above mentioned real estate taxes with the monthly |
rent payments as set forth above (or increased or |
decreased as set forth herein).". |
In addition, if there is a change in lessee, or if the |
lessee vacates the property, then the chief county assessment |
officer may require the owner of the property to notify the |
chief county assessment officer of that change. |
This subsection (e) does not apply to leasehold interests |
in property owned by a municipality. |
(f) "Homestead property" under this Section includes |
residential property that is
occupied by its owner or owners as |
his or their principal dwelling place, or
that is a leasehold |
interest on which a single family residence is situated,
which |
is occupied as a residence by a person who has an ownership |
interest
therein, legal or equitable or as a lessee, and on |
which the person is
liable for the payment of property taxes. |
For land improved with
an apartment building owned and operated |
as a cooperative or a building which
is a life care facility as |
defined in Section 15-170 and considered to
be a cooperative |
under Section 15-170, the maximum reduction from the equalized
|
assessed value shall be limited to the increase in the value |
above the
equalized assessed value of the property for 1977, up |
|
to
the maximum reduction set forth above, multiplied by the |
number of apartments
or units occupied by a person or persons |
who is liable, by contract with the
owner or owners of record, |
for paying property taxes on the property and is an
owner of |
record of a legal or equitable interest in the cooperative
|
apartment building, other than a leasehold interest. For |
purposes of this
Section, the term "life care facility" has the |
meaning stated in Section
15-170.
|
"Household", as used in this Section,
means the owner, the |
spouse of the owner, and all persons using
the
residence of the |
owner as their principal place of residence.
|
"Household income", as used in this Section,
means the |
combined income of the members of a household
for the calendar |
year preceding the taxable year.
|
"Income", as used in this Section,
has the same meaning as |
provided in Section 3.07 of the Senior
Citizens
and Persons |
with Disabilities Property Tax Relief Act,
except that
"income" |
does not include veteran's benefits.
|
(g) In a cooperative where a homestead exemption has been |
granted, the
cooperative association or its management firm |
shall credit the savings
resulting from that exemption only to |
the apportioned tax liability of the
owner who qualified for |
the exemption. Any person who willfully refuses to so
credit |
the savings shall be guilty of a Class B misdemeanor.
|
(h) Where married persons maintain and reside in separate |
residences qualifying
as homestead property, each residence |
|
shall receive 50% of the total reduction
in equalized assessed |
valuation provided by this Section.
|
(i) In all counties, the assessor
or chief county |
assessment officer may determine the
eligibility of |
residential property to receive the homestead exemption and the |
amount of the exemption by
application, visual inspection, |
questionnaire or other reasonable methods. The
determination |
shall be made in accordance with guidelines established by the
|
Department, provided that the taxpayer applying for an |
additional general exemption under this Section shall submit to |
the chief county assessment officer an application with an |
affidavit of the applicant's total household income, age, |
marital status (and, if married, the name and address of the |
applicant's spouse, if known), and principal dwelling place of |
members of the household on January 1 of the taxable year. The |
Department shall issue guidelines establishing a method for |
verifying the accuracy of the affidavits filed by applicants |
under this paragraph. The applications shall be clearly marked |
as applications for the Additional General Homestead |
Exemption.
|
(i-5) This subsection (i-5) applies to counties with |
3,000,000 or more inhabitants. In the event of a sale of
|
homestead property, the homestead exemption shall remain in |
effect for the remainder of the assessment year of the sale. |
Upon receipt of a transfer declaration transmitted by the |
recorder pursuant to Section 31-30 of the Real Estate Transfer |
|
Tax Law for property receiving an exemption under this Section, |
the assessor shall mail a notice and forms to the new owner of |
the property providing information pertaining to the rules and |
applicable filing periods for applying or reapplying for |
homestead exemptions under this Code for which the property may |
be eligible. If the new owner fails to apply or reapply for a |
homestead exemption during the applicable filing period or the |
property no longer qualifies for an existing homestead |
exemption, the assessor shall cancel such exemption for any |
ensuing assessment year. |
(j) In counties with fewer than 3,000,000 inhabitants, in |
the event of a sale
of
homestead property the homestead |
exemption shall remain in effect for the
remainder of the |
assessment year of the sale. The assessor or chief county
|
assessment officer may require the new
owner of the property to |
apply for the homestead exemption for the following
assessment |
year.
|
(k) Notwithstanding Sections 6 and 8 of the State Mandates |
Act, no reimbursement by the State is required for the |
implementation of any mandate created by this Section.
|
(Source: P.A. 98-7, eff. 4-23-13; 98-463, eff. 8-16-13; 99-143, |
eff. 7-27-15; 99-164, eff. 7-28-15; revised 8-25-15.)
|
Section 175. The Electricity Excise Tax Law is amended by |
changing Section 2-10 as follows:
|
|
(35 ILCS 640/2-10)
|
Sec. 2-10. Election and registration to be self-assessing |
purchaser. Any purchaser for non-residential electric
use
may |
elect to register with the
Department as a self-assessing |
purchaser and to pay the tax
imposed by Section 2-4 directly to |
the Department, at the rate
stated in that Section for |
self-assessing purchasers, rather
than paying the tax to such |
purchaser's delivering supplier.
The election by a purchaser to |
register as a self-assessing
purchaser may not be revoked by |
the purchaser for at least 2 years thereafter.
A purchaser who |
revokes his or her
registration as a self-assessing purchaser |
shall not
thereafter be permitted to register as a |
self-assessing
purchaser within the succeeding 2 years. A |
self-assessing
purchaser shall renew his or her registration |
every 2 years,
or the registration shall be deemed to be |
revoked.
|
Application for a certificate of registration as a |
self-assessing
purchaser shall be made to the Department upon |
forms furnished by the
Department and shall contain any |
reasonable information the Department
may require. The |
self-assessing purchaser shall be required to disclose the
name |
of the delivering supplier or suppliers and each account |
numbers for
which the self-assessing purchaser elects to pay |
the tax imposed by Section
2-4 directly to the Department. Upon |
receipt of the application for a
certificate of registration in |
proper form and payment of a an non-refundable
biennial fee of |
|
$200, the Department shall issue to the applicant a
certificate |
of registration that permits the person to whom it was issued |
to
pay the tax incurred under this Law directly to the |
Department for a period
of 2 years. The Department shall notify |
the delivering supplier or suppliers
that the applicant has |
been registered as a self-assessing purchaser for the
accounts |
listed by the self-assessing purchaser. A certificate of
|
registration under this Section shall be renewed upon |
application and
payment of a non-refundable biennial $200 fee, |
subject to revocation as
provided by this Law, for additional |
2-year periods from the date of its
expiration unless otherwise |
notified by the Department.
|
Upon notification by the Department that an applicant has |
been
registered as a self-assessing purchaser, the delivering |
supplier is no longer
required to collect the tax imposed by |
this Act for the accounts specifically
listed by the |
self-assessing purchaser, until the delivering supplier is
|
notified by the Department as set forth below that the |
self-assessing
purchaser's certificate of registration has |
been expired, revoked, or
denied.
|
The Department may deny a certificate of registration to |
any
applicant if the owner, any partner, any manager or member |
of a limited
liability company, or a corporate officer of the |
applicant, is or has been the
owner, a partner, a manager or |
member of a limited liability company, or a
corporate officer, |
of another self-assessing purchaser that is in default for
|
|
moneys due under this Law.
|
Any person aggrieved by any decision of the Department |
under this
Section may, within 20 days after notice of such |
decision, protest and
request a hearing, whereupon the |
Department shall give notice to such
person of the time and |
place fixed for such hearing and shall hold a hearing
in |
conformity with the provisions of this Law and then issue its |
final
administrative decision in the matter to such person. In |
the absence of
such a protest within 20 days, the Department's |
decision shall become final
without any further determination |
being made or notice given. Upon the
expiration, revocation, or |
denial of a certificate of registration as a
self-assessing |
purchaser, the Department of Revenue shall provide written
|
notice
of the expiration, revocation, or denial of the |
certificate to the
self-assessing purchaser's delivering |
supplier or suppliers.
|
(Source: P.A. 90-561, eff. 8-1-98; 90-624, eff. 7-10-98; |
revised 10-13-15.)
|
Section 180. The Illinois Pension Code is amended by |
changing Sections 7-172.1 and 16-152 as follows:
|
(40 ILCS 5/7-172.1) (from Ch. 108 1/2, par. 7-172.1)
|
Sec. 7-172.1. Actions to enforce payments by |
municipalities and
instrumentalities. |
(a) If any participating municipality or participating
|
|
instrumentality fails to transmit to the Fund contributions |
required of it
under this Article or contributions collected by |
it from its participating
employees for the purposes of this |
Article for more than
60 days after the payment of such |
contributions is due, the Fund, after
giving notice to such |
municipality or instrumentality, may certify to
the State |
Comptroller the amounts of such delinquent payments in |
accordance with any applicable rules of the Comptroller, and |
the
Comptroller shall deduct the amounts so certified or any |
part thereof
from any payments of State funds to the |
municipality or instrumentality
involved and shall remit the |
amount so deducted to the Fund. If State
funds from which such |
deductions may be made are not available, the Fund
may proceed |
against the municipality or instrumentality to recover the
|
amounts of such delinquent payments in the appropriate circuit |
court.
|
(b) If any participating municipality fails to transmit to |
the Fund
contributions required of it under this Article or |
contributions collected
by it from its participating employees |
for the purposes of this Article for
more than 60 days after |
the payment of such contributions is due, the Fund,
after |
giving notice to such municipality, may certify the fact of |
such
delinquent payment to the county treasurer of the county |
in which such
municipality is located, who shall thereafter |
remit the amounts collected
from the tax levied by the |
municipality under Section 7-171 directly to
the Fund.
|
|
(c) If reports furnished to the Fund by the municipality or
|
instrumentality involved are inadequate for the computation of |
the
amounts of such delinquent payments, the Fund may provide |
for such audit
of the records of the municipality or |
instrumentality as may be required
to establish the amounts of |
such delinquent payments. The municipality
or instrumentality |
shall make its records available to the Fund for the
purpose of |
such audit. The cost of such audit shall be added to the
amount |
of the delinquent payments and shall be recovered by the Fund
|
from the municipality or instrumentality at the same time and |
in the
same manner as the delinquent payments are recovered.
|
(Source: P.A. 99-8, eff. 7-9-15; 99-239, eff. 8-3-15; revised |
10-8-15.)
|
(40 ILCS 5/16-152) (from Ch. 108 1/2, par. 16-152)
|
(Text of Section WITH the changes made by P.A. 98-599, |
which has been held unconstitutional)
|
Sec. 16-152. Contributions by members.
|
(a) Except as provided in subsection (a-5), each member |
shall make contributions for membership service to this
System |
as follows:
|
(1) Effective July 1, 1998, contributions of 7.50% of |
salary towards the
cost of the retirement annuity. Such |
contributions shall be deemed "normal
contributions".
|
(2) Effective July 1, 1969 and, in the case of Tier 1 |
members, ending on June 30, 2014, contributions of 1/2 of |
|
1% of salary toward
the cost of the automatic annual |
increase in retirement annuity provided
under Section |
16-133.1.
|
(3) Effective July 24, 1959, contributions of 1% of |
salary towards the
cost of survivor benefits. Such |
contributions shall not be credited to
the individual |
account of the member and shall not be subject to refund
|
except as provided under Section 16-143.2.
|
(4) Effective July 1, 2005, contributions of 0.40% of |
salary toward the cost of the early retirement without |
discount option provided under Section 16-133.2. This |
contribution shall cease upon termination of the early |
retirement without discount option as provided in Section |
16-133.2.
|
(a-5) Beginning July 1, 2014, in lieu of the contribution |
otherwise required under paragraph (1) of subsection (a), each |
Tier 1 member shall contribute 7% of salary towards the cost of |
the retirement annuity. Contributions made pursuant to this |
subsection (a-5) shall be deemed "normal contributions". |
(b) The minimum required contribution for any year of |
full-time
teaching service shall be $192.
|
(c) Contributions shall not be required of any annuitant |
receiving
a retirement annuity who is given employment as |
permitted under Section 16-118 or 16-150.1.
|
(d) A person who (i) was a member before July 1, 1998, (ii) |
retires with
more than 34 years of creditable service, and |
|
(iii) does not elect to qualify
for the augmented rate under |
Section 16-129.1 shall be entitled, at the time
of retirement, |
to receive a partial refund of contributions made under this
|
Section for service occurring after the later of June 30, 1998 |
or attainment
of 34 years of creditable service, in an amount |
equal to 1.00% of the salary
upon which those contributions |
were based.
|
(e) A member's contributions toward the cost of early |
retirement without discount made under item (a)(4) of this |
Section shall not be refunded if the member has elected early |
retirement without discount under Section 16-133.2 and has |
begun to receive a retirement annuity under this Article |
calculated in accordance with that election. Otherwise, a |
member's contributions toward the cost of early retirement |
without discount made under item (a)(4) of this Section shall |
be refunded according to whichever one of the following |
circumstances occurs first: |
(1) The contributions shall be refunded to the member, |
without interest, within 120 days after the member's |
retirement annuity commences, if the member does not elect |
early retirement without discount under Section 16-133.2. |
(2) The contributions shall be included, without |
interest, in any refund claimed by the member under Section |
16-151. |
(3) The contributions shall be refunded to the member's |
designated beneficiary (or if there is no beneficiary, to |
|
the member's estate), without interest, if the member dies |
without having begun to receive a retirement annuity under |
this Article. |
(4) The contributions shall be refunded to the member, |
without interest, if the early retirement without discount |
option provided under subsection (d) of Section 16-133.2 is |
terminated. In that event, the System shall provide to the |
member, within 120 days after the option is terminated, an |
application for a refund of those contributions. |
(Source: P.A. 98-42, eff. 6-28-13; 98-92, eff. 7-16-13; 98-599, |
eff. 6-1-14 .)
|
(Text of Section WITHOUT the changes made by P.A. 98-599, |
which has been held unconstitutional)
|
Sec. 16-152. Contributions by members.
|
(a) Each member shall make contributions for membership |
service to this
System as follows:
|
(1) Effective July 1, 1998, contributions of 7.50% of |
salary towards the
cost of the retirement annuity. Such |
contributions shall be deemed "normal
contributions".
|
(2) Effective July 1, 1969, contributions of 1/2 of 1% |
of salary toward
the cost of the automatic annual increase |
in retirement annuity provided
under Section 16-133.1.
|
(3) Effective July 24, 1959, contributions of 1% of |
salary towards the
cost of survivor benefits. Such |
contributions shall not be credited to
the individual |
|
account of the member and shall not be subject to refund
|
except as provided under Section 16-143.2.
|
(4) Effective July 1, 2005, contributions of 0.40% of |
salary toward the cost of the early retirement without |
discount option provided under Section 16-133.2. This |
contribution shall cease upon termination of the early |
retirement without discount option as provided in Section |
16-133.2.
|
(b) The minimum required contribution for any year of |
full-time
teaching service shall be $192.
|
(c) Contributions shall not be required of any annuitant |
receiving
a retirement annuity who is given employment as |
permitted under Section 16-118 or 16-150.1.
|
(d) A person who (i) was a member before July 1, 1998, (ii) |
retires with
more than 34 years of creditable service, and |
(iii) does not elect to qualify
for the augmented rate under |
Section 16-129.1 shall be entitled, at the time
of retirement, |
to receive a partial refund of contributions made under this
|
Section for service occurring after the later of June 30, 1998 |
or attainment
of 34 years of creditable service, in an amount |
equal to 1.00% of the salary
upon which those contributions |
were based.
|
(e) A member's contributions toward the cost of early |
retirement without discount made under item (a)(4) of this |
Section shall not be refunded if the member has elected early |
retirement without discount under Section 16-133.2 and has |
|
begun to receive a retirement annuity under this Article |
calculated in accordance with that election. Otherwise, a |
member's contributions toward the cost of early retirement |
without discount made under item (a)(4) of this Section shall |
be refunded according to whichever one of the following |
circumstances occurs first: |
(1) The contributions shall be refunded to the member, |
without interest, within 120 days after the member's |
retirement annuity commences, if the member does not elect |
early retirement without discount under Section 16-133.2. |
(2) The contributions shall be included, without |
interest, in any refund claimed by the member under Section |
16-151. |
(3) The contributions shall be refunded to the member's |
designated beneficiary (or if there is no beneficiary, to |
the member's estate), without interest, if the member dies |
without having begun to receive a retirement annuity under |
this Article. |
(4) The contributions shall be refunded to the member, |
without interest, if the early retirement without discount |
option provided under subsection (d) of Section 16-133.2 is |
terminated. In that event, the System shall provide to the |
member, within 120 days after the option is terminated, an |
application for a refund of those contributions. |
(Source: P.A. 98-42, eff. 6-28-13; 98-92, eff. 7-16-13; revised |
7-23-13.)
|
|
Section 185. The Innovation Development and Economy Act is |
amended by changing Sections 10 and 40 as follows:
|
(50 ILCS 470/10)
|
Sec. 10. Definitions. As used in this Act, the following |
words and phrases shall have the following meanings unless a |
different meaning clearly appears from the context: |
"Base year" means the calendar year immediately prior to |
the calendar year in which the STAR bond district is |
established.
|
"Commence work" means the manifest commencement of actual |
operations on the development site, such as, erecting a |
building, general on-site and off-site grading and utility |
installations, commencing design and construction |
documentation, ordering lead-time materials, excavating the |
ground to lay a foundation or a basement, or work of like |
description which a reasonable person would recognize as being |
done with the intention and purpose to continue work until the |
project is completed.
|
"County" means the county in which a proposed STAR bond |
district is located.
|
"De minimis minimus " means an amount less than 15% of the |
land area within a STAR bond district.
|
"Department of Revenue" means the Department of Revenue of |
the State of Illinois.
|
|
"Destination user" means an owner, operator, licensee, |
co-developer, subdeveloper, or tenant (i) that operates a |
business within a STAR bond district that is a retail store |
having at least 150,000 square feet of sales floor area; (ii) |
that at the time of opening does not have another Illinois |
location within a 70 mile radius; (iii) that has an annual |
average of not less than 30% of customers who travel from at |
least 75 miles away or from out-of-state, as demonstrated by |
data from a comparable existing store or stores, or, if there |
is no comparable existing store, as demonstrated by an economic |
analysis that shows that the proposed retailer will have an |
annual average of not less than 30% of customers who travel |
from at least 75 miles away or from out-of-state; and (iv) that |
makes an initial capital investment, including project costs |
and other direct costs, of not less than $30,000,000 for such |
retail store. |
"Destination hotel" means a hotel (as that term is defined |
in Section 2 of the Hotel Operators' Occupation Tax Act) |
complex having at least 150 guest rooms and which also includes |
a venue for entertainment attractions, rides, or other |
activities oriented toward the entertainment and amusement of |
its guests and other patrons. |
"Developer" means any individual, corporation, trust, |
estate, partnership, limited liability partnership, limited |
liability company, or other entity. The term does not include a |
not-for-profit entity, political subdivision, or other agency |
|
or instrumentality of the State.
|
"Director" means the Director of Revenue, who shall consult |
with the Director of Commerce and Economic Opportunity in any |
approvals or decisions required by the Director under this Act.
|
"Economic impact study" means a study conducted by an |
independent economist to project the financial benefit of the |
proposed STAR bond project to the local, regional, and State |
economies, consider the proposed adverse impacts on similar |
projects and businesses, as well as municipalities within the |
projected market area, and draw conclusions about the net |
effect of the proposed STAR bond project on the local, |
regional, and State economies. A copy of the economic impact |
study shall be provided to the Director for review. |
"Eligible area" means any improved or vacant area that (i) |
is contiguous and is not, in the aggregate, less than 250 acres |
nor more than 500 acres which must include only parcels of real |
property directly and substantially benefited by the proposed |
STAR bond district plan, (ii) is adjacent to a federal |
interstate highway, (iii) is within one mile of 2 State |
highways, (iv) is within one mile of an entertainment user, or |
a major or minor league sports stadium or other similar |
entertainment venue that had an initial capital investment of |
at least $20,000,000, and (v) includes land that was previously |
surface or strip mined. The area may be bisected by streets, |
highways, roads, alleys, railways, bike paths, streams, |
rivers, and other waterways and still be deemed contiguous. In |
|
addition, in order to constitute an eligible area one of the |
following requirements must be satisfied and all of which are |
subject to the review and approval of the Director as provided |
in subsection (d) of Section 15:
|
(a) the governing body of the political subdivision |
shall have determined that the area meets the requirements |
of a "blighted area" as defined under the Tax Increment |
Allocation Redevelopment Act;
or |
(b) the governing body of the political subdivision |
shall have determined that the area is a blighted area as |
determined under the provisions of Section 11-74.3-5 of the |
Illinois Municipal Code;
or |
(c) the governing body of the political subdivision |
shall make the following findings:
|
(i) that the vacant portions of the area have |
remained vacant for at least one year, or that any |
building located on a vacant portion of the property |
was demolished within the last year and that the |
building would have qualified under item (ii) of this |
subsection;
|
(ii) if portions of the area are currently |
developed, that the use, condition, and character of |
the buildings on the property are not consistent with |
the purposes set forth in Section 5;
|
(iii) that the STAR bond district is expected to |
create or retain job opportunities within the |
|
political subdivision;
|
(iv) that the STAR bond district will serve to |
further the development of adjacent areas;
|
(v) that without the availability of STAR bonds, |
the projects described in the STAR bond district plan |
would not be possible;
|
(vi) that the master developer meets high |
standards of creditworthiness and financial strength |
as demonstrated by one or more of the following: (i) |
corporate debenture ratings of BBB or higher by |
Standard & Poor's Corporation or Baa or higher by |
Moody's Investors Service, Inc.; (ii) a letter from a |
financial institution with assets of $10,000,000 or |
more attesting to the financial strength of the master |
developer; or (iii) specific evidence of equity |
financing for not less than 10% of the estimated total |
STAR bond project costs;
|
(vii) that the STAR bond district will strengthen |
the commercial sector of the political subdivision;
|
(viii) that the STAR bond district will enhance the |
tax base of the political subdivision; and
|
(ix) that the formation of a STAR bond district is |
in the best interest of the political subdivision.
|
"Entertainment user" means an owner, operator, licensee, |
co-developer, subdeveloper, or tenant that operates a business |
within a STAR bond district that has a primary use of providing |
|
a venue for entertainment attractions, rides, or other |
activities oriented toward the entertainment and amusement of |
its patrons, occupies at least 20 acres of land in the STAR |
bond district, and makes an initial capital investment, |
including project costs and other direct and indirect costs, of |
not less than $25,000,000 for that venue. |
"Feasibility study" means a feasibility study as defined in |
subsection (b) of Section 20.
|
"Infrastructure" means the public improvements and private |
improvements that serve the public purposes set forth in |
Section 5 of this Act and that benefit the STAR bond district |
or any STAR bond projects, including, but not limited to, |
streets, drives and driveways, traffic and directional signs |
and signals, parking lots and parking facilities, |
interchanges, highways, sidewalks, bridges, underpasses and |
overpasses, bike and walking trails, sanitary storm sewers and |
lift stations, drainage conduits, channels, levees, canals, |
storm water detention and retention facilities, utilities and |
utility connections, water mains and extensions, and street and |
parking lot lighting and connections. |
"Local sales taxes" means any locally imposed taxes |
received by a municipality, county, or other local governmental |
entity arising from sales by retailers and servicemen within a |
STAR bond district, including business district sales taxes and |
STAR bond occupation taxes, and that portion of the net revenue |
realized under the Retailers' Occupation Tax Act, the Use Tax |
|
Act, the Service Use Tax Act, and the Service Occupation Tax |
Act from transactions at places of business located within a |
STAR bond district that is deposited into the Local Government |
Tax Fund and the County and Mass Transit District Fund. For the |
purpose of this Act, "local sales taxes" does not include (i) |
any taxes authorized pursuant to the Local Mass Transit |
District Act or the Metro-East Park and Recreation District Act |
for so long as the applicable taxing district does not impose a |
tax on real property, (ii) county school facility occupation |
taxes imposed pursuant to Section 5-1006.7 of the Counties |
Code, or (iii) any taxes authorized under the Flood Prevention |
District Act. |
"Local sales tax increment" means, with respect to local |
sales taxes administered by the Illinois Department of Revenue, |
(i) all of the local sales tax paid by destination users, |
destination hotels, and entertainment users that is in excess |
of the local sales tax paid by destination users, destination |
hotels, and entertainment users for the same month in the base |
year, as determined by the Illinois Department of Revenue, (ii) |
in the case of a municipality forming a STAR bond district that |
is wholly within the corporate boundaries of the municipality |
and in the case of a municipality and county forming a STAR |
bond district that is only partially within such municipality, |
that portion of the local sales tax paid by taxpayers that are |
not destination users, destination hotels, or entertainment |
users that is in excess of the local sales tax paid by |
|
taxpayers that are not destination users, destination hotels, |
or entertainment users for the same month in the base year, as |
determined by the Illinois Department of Revenue, and (iii) in |
the case of a county in which a STAR bond district is formed |
that is wholly within a municipality, that portion of the local |
sales tax paid by taxpayers that are not destination users, |
destination hotels, or entertainment users that is in excess of |
the local sales tax paid by taxpayers that are not destination |
users, destination hotels, or entertainment users for the same |
month in the base year, as determined by the Illinois |
Department of Revenue, but only if the corporate authorities of |
the county adopts an ordinance, and files a copy with the |
Department within the same time frames as required for STAR |
bond occupation taxes under Section 31, that designates the |
taxes referenced in this clause (iii) as part of the local |
sales tax increment under this Act. "Local sales tax increment" |
means, with respect to local sales taxes administered by a |
municipality, county, or other unit of local government, that |
portion of the local sales tax that is in excess of the local |
sales tax for the same month in the base year, as determined by |
the respective municipality, county, or other unit of local |
government. If any portion of local sales taxes are, at the |
time of formation of a STAR bond district, already subject to |
tax increment financing under the Tax Increment Allocation |
Redevelopment Act, then the local sales tax increment for such |
portion shall be frozen at the base year established in |
|
accordance with this Act, and all future incremental increases |
shall be included in the "local sales tax increment" under this |
Act. Any party otherwise entitled to receipt of incremental |
local sales tax revenues through an existing tax increment |
financing district shall be entitled to continue to receive |
such revenues up to the amount frozen in the base year. Nothing |
in this Act shall affect the prior qualification of existing |
redevelopment project costs incurred that are eligible for |
reimbursement under the Tax Increment Allocation Redevelopment |
Act. In such event, prior to approving a STAR bond district, |
the political subdivision forming the STAR bond district shall |
take such action as is necessary, including amending the |
existing tax increment financing district redevelopment plan, |
to carry out the provisions of this Act. The Illinois |
Department of Revenue shall allocate the local sales tax |
increment only if the local sales tax is administered by the |
Department. |
"Market study" means a study to determine the ability of |
the proposed STAR bond project to gain market share locally and |
regionally and to remain profitable past the term of repayment |
of STAR bonds.
|
"Master developer" means a developer cooperating with a |
political subdivision to plan, develop, and implement a STAR |
bond project plan for a STAR bond district. Subject to the |
limitations of Section 25, the master developer may work with |
and transfer certain development rights to other developers for |
|
the purpose of implementing STAR bond project plans and |
achieving the purposes of this Act. A master developer for a |
STAR bond district shall be appointed by a political |
subdivision in the resolution establishing the STAR bond |
district, and the master developer must, at the time of |
appointment, own or have control of, through purchase |
agreements, option contracts, or other means, not less than 50% |
of the acreage within the STAR bond district and the master |
developer or its affiliate must have ownership or control on |
June 1, 2010. |
"Master development agreement" means an agreement between |
the master developer and the political subdivision to govern a |
STAR bond district and any STAR bond projects.
|
"Municipality" means the city, village, or incorporated |
town in which a proposed STAR bond district is located.
|
"Pledged STAR revenues" means those sales tax and revenues |
and other sources of funds pledged to pay debt service on STAR |
bonds or to pay project costs pursuant to Section 30. |
Notwithstanding any provision to the contrary, the following |
revenues shall not constitute pledged STAR revenues or be |
available to pay principal and interest on STAR bonds: any |
State sales tax increment or local sales tax increment from a |
retail entity initiating operations in a STAR bond district |
while terminating operations at another Illinois location |
within 25 miles of the STAR bond district. For purposes of this |
paragraph, "terminating operations" means a closing of a retail |
|
operation that is directly related to the opening of the same |
operation or like retail entity owned or operated by more than |
50% of the original ownership in a STAR bond district within |
one year before or after initiating operations in the STAR bond |
district, but it does not mean closing an operation for reasons |
beyond the control of the retail entity, as documented by the |
retail entity, subject to a reasonable finding by the |
municipality (or county if such retail operation is not located |
within a municipality) in which the terminated operations were |
located that the closed location contained inadequate space, |
had become economically obsolete, or was no longer a viable |
location for the retailer or serviceman. |
"Political subdivision" means a municipality or county |
which undertakes to establish a STAR bond district pursuant to |
the provisions of this Act. |
"Project costs" means and includes the sum total of all |
costs incurred or estimated to be incurred on or following the |
date of establishment of a STAR bond district that are |
reasonable or necessary to implement a STAR bond district plan |
or any STAR bond project plans, or both, including costs |
incurred for public improvements and private improvements that |
serve the public purposes set forth in Section 5 of this Act. |
Such costs include without limitation the following: |
(a) costs of studies, surveys, development of plans and |
specifications, formation, implementation, and |
administration of a STAR bond district, STAR bond district |
|
plan, any STAR bond projects, or any STAR bond project |
plans, including, but not limited to, staff and |
professional service costs for architectural, engineering, |
legal, financial, planning, or other services, provided |
however that no charges for professional services may be |
based on a percentage of the tax increment collected and no |
contracts for professional services, excluding |
architectural and engineering services, may be entered |
into if the terms of the contract extend beyond a period of |
3 years; |
(b) property assembly costs, including, but not |
limited to, acquisition of land and other real property or |
rights or interests therein, located within the boundaries |
of a STAR bond district, demolition of buildings, site |
preparation, site improvements that serve as an engineered |
barrier addressing ground level or below ground |
environmental contamination, including, but not limited |
to, parking lots and other concrete or asphalt barriers, |
the clearing and grading of land, and importing additional |
soil and fill materials, or removal of soil and fill |
materials from the site; |
(c) subject to paragraph (d), costs of buildings and |
other vertical improvements that are located within the |
boundaries of a STAR bond district and owned by a political |
subdivision or other public entity, including without |
limitation police and fire stations, educational |
|
facilities, and public restrooms and rest areas; |
(c-1) costs of buildings and other vertical |
improvements that are located within the boundaries of a |
STAR bond district and owned by a destination user or |
destination hotel; except that only 2 destination users in |
a STAR bond district and one destination hotel are eligible |
to include the cost of those vertical improvements as |
project costs; |
(c-5) costs of buildings; rides and attractions, which |
include carousels, slides, roller coasters, displays, |
models, towers, works of art, and similar theme and |
amusement park improvements; and other vertical |
improvements that are located within the boundaries of a |
STAR bond district and owned by an entertainment user; |
except that only one entertainment user in a STAR bond |
district is eligible to include the cost of those vertical |
improvements as project costs; |
(d) costs of the design and construction of |
infrastructure and public works located within the |
boundaries of a STAR bond district that are reasonable or |
necessary to implement a STAR bond district plan or any |
STAR bond project plans, or both, except that project costs |
shall not include the cost of constructing a new municipal |
public building principally used to provide offices, |
storage space, or conference facilities or vehicle |
storage, maintenance, or repair for administrative, public |
|
safety, or public works personnel and that is not intended |
to replace an existing public building unless the political |
subdivision makes a reasonable determination in a STAR bond |
district plan or any STAR bond project plans, supported by |
information that provides the basis for that |
determination, that the new municipal building is required |
to meet an increase in the need for public safety purposes |
anticipated to result from the implementation of the STAR |
bond district plan or any STAR bond project plans; |
(e) costs of the design and construction of the |
following improvements located outside the boundaries of a |
STAR bond district, provided that the costs are essential |
to further the purpose and development of a STAR bond |
district plan and either (i) part of and connected to |
sewer, water, or utility service lines that physically |
connect to the STAR bond district or (ii) significant |
improvements for adjacent offsite highways, streets, |
roadways, and interchanges that are approved by the |
Illinois Department of Transportation. No other cost of |
infrastructure and public works improvements located |
outside the boundaries of a STAR bond district may be |
deemed project costs; |
(f) costs of job training and retraining projects, |
including the cost of "welfare to work" programs |
implemented by businesses located within a STAR bond |
district; |
|
(g) financing costs, including, but not limited to, all |
necessary and incidental expenses related to the issuance |
of obligations and which may include payment of interest on |
any obligations issued hereunder including interest |
accruing during the estimated period of construction of any |
improvements in a STAR bond district or any STAR bond |
projects for which such obligations are issued and for not |
exceeding 36 months thereafter and including reasonable |
reserves related thereto; |
(h) to the extent the political subdivision by written |
agreement accepts and approves the same, all or a portion |
of a taxing district's capital costs resulting from a STAR |
bond district or STAR bond projects necessarily incurred or |
to be incurred within a taxing district in furtherance of |
the objectives of a STAR bond district plan or STAR bond |
project plans; |
(i) interest cost incurred by a developer for project |
costs related to the acquisition, formation, |
implementation, development, construction, and |
administration of a STAR bond district, STAR bond district |
plan, STAR bond projects, or any STAR bond project plans |
provided that: |
(i) payment of such costs in any one year may not |
exceed 30% of the annual interest costs incurred by the |
developer with regard to the STAR bond district or any |
STAR bond projects during that year; and |
|
(ii) the total of such interest payments paid |
pursuant to this Act may not exceed 30% of the total |
cost paid or incurred by the developer for a STAR bond |
district or STAR bond projects, plus project costs, |
excluding any property assembly costs incurred by a |
political subdivision pursuant to this Act; |
(j) costs of common areas located within the boundaries |
of a STAR bond district; |
(k) costs of landscaping and plantings, retaining |
walls and fences, man-made lakes and ponds, shelters, |
benches, lighting, and similar amenities located within |
the boundaries of a STAR bond district; |
(l) costs of mounted building signs, site monument, and |
pylon signs located within the boundaries of a STAR bond |
district; or |
(m) if included in the STAR bond district plan and |
approved in writing by the Director, salaries or a portion |
of salaries for local government employees to the extent |
the same are directly attributable to the work of such |
employees on the establishment and management of a STAR |
bond district or any STAR bond projects. |
Except as specified in items (a) through (m), "project |
costs" shall not include: |
(i) the cost of construction of buildings that are |
privately owned or owned by a municipality and leased to a |
developer or retail user for non-entertainment retail |
|
uses; |
(ii) moving expenses for employees of the businesses |
locating within the STAR bond district; |
(iii) property taxes for property located in the STAR |
bond district; |
(iv) lobbying costs; and |
(v) general overhead or administrative costs of the |
political subdivision that would still have been incurred |
by the political subdivision if the political subdivision |
had not established a STAR bond district. |
"Project development agreement" means any one or more |
agreements, including any amendments thereto, between a master |
developer and any co-developer or subdeveloper in connection |
with a STAR bond project, which project development agreement |
may include the political subdivision as a party.
|
"Projected market area" means any area within the State in |
which a STAR bond district or STAR bond project is projected to |
have a significant fiscal or market impact as determined by the |
Director.
|
"Resolution" means a resolution, order, ordinance, or |
other appropriate form of legislative action of a political |
subdivision or other applicable public entity approved by a |
vote of a majority of a quorum at a meeting of the governing |
body of the political subdivision or applicable public entity.
|
"STAR bond" means a sales tax and revenue bond, note, or |
other obligation payable from pledged STAR revenues and issued |
|
by a political subdivision, the proceeds of which shall be used |
only to pay project costs as defined in this Act.
|
"STAR bond district" means the specific area declared to be |
an eligible area as determined by the political subdivision, |
and approved by the Director, in which the political |
subdivision may develop one or more STAR bond projects.
|
"STAR bond district plan" means the preliminary or |
conceptual plan that generally identifies the proposed STAR |
bond project areas and identifies in a general manner the |
buildings, facilities, and improvements to be constructed or |
improved in each STAR bond project area.
|
"STAR bond project" means a project within a STAR bond |
district which is approved pursuant to Section 20.
|
"STAR bond project area" means the geographic area within a |
STAR bond district in which there may be one or more STAR bond |
projects.
|
"STAR bond project plan" means the written plan adopted by |
a political subdivision for the development of a STAR bond |
project in a STAR bond district; the plan may include, but is |
not limited to, (i) project costs incurred prior to the date of |
the STAR bond project plan and estimated future STAR bond |
project costs, (ii) proposed sources of funds to pay those |
costs, (iii) the nature and estimated term of any obligations |
to be issued by the political subdivision to pay those costs, |
(iv) the most recent equalized assessed valuation of the STAR |
bond project area, (v) an estimate of the equalized assessed |
|
valuation of the STAR bond district or applicable project area |
after completion of a STAR bond project, (vi) a general |
description of the types of any known or proposed developers, |
users, or tenants of the STAR bond project or projects included |
in the plan, (vii) a general description of the type, |
structure, and character of the property or facilities to be |
developed or improved, (viii) a description of the general land |
uses to apply to the STAR bond project, and (ix) a general |
description or an estimate of the type, class, and number of |
employees to be employed in the operation of the STAR bond |
project.
|
"State sales tax" means all of the net revenue realized |
under the Retailers' Occupation Tax Act, the Use Tax Act, the |
Service Use Tax Act, and the Service Occupation Tax Act from |
transactions at places of business located within a STAR bond |
district, excluding that portion of the net revenue realized |
under the Retailers' Occupation Tax Act, the Use Tax Act, the |
Service Use Tax Act, and the Service Occupation Tax Act from |
transactions at places of business located within a STAR bond |
district that is deposited into the Local Government Tax Fund |
and the County and Mass Transit District Fund. |
"State sales tax increment" means (i) 100% of that portion |
of the State sales tax that is in excess of the State sales tax |
for the same month in the base year, as determined by the |
Department of Revenue, from transactions at up to 2 destination |
users, one destination hotel, and one entertainment user |
|
located within a STAR bond district, which destination users, |
destination hotel, and entertainment user shall be designated |
by the master developer and approved by the political |
subdivision and the Director in conjunction with the applicable |
STAR bond project approval, and (ii) 25% of that portion of the |
State sales tax that is in excess of the State sales tax for |
the same month in the base year, as determined by the |
Department of Revenue, from all other transactions within a |
STAR bond district. If any portion of State sales taxes are, at |
the time of formation of a STAR bond district, already subject |
to tax increment financing under the Tax Increment Allocation |
Redevelopment Act, then the State sales tax increment for such |
portion shall be frozen at the base year established in |
accordance with this Act, and all future incremental increases |
shall be included in the State sales tax increment under this |
Act. Any party otherwise entitled to receipt of incremental |
State sales tax revenues through an existing tax increment |
financing district shall be entitled to continue to receive |
such revenues up to the amount frozen in the base year. Nothing |
in this Act shall affect the prior qualification of existing |
redevelopment project costs incurred that are eligible for |
reimbursement under the Tax Increment Allocation Redevelopment |
Act. In such event, prior to approving a STAR bond district, |
the political subdivision forming the STAR bond district shall |
take such action as is necessary, including amending the |
existing tax increment financing district redevelopment plan, |
|
to carry out the provisions of this Act. |
"Substantial change" means a change wherein the proposed |
STAR bond project plan differs substantially in size, scope, or |
use from the approved STAR bond district plan or STAR bond |
project plan.
|
"Taxpayer" means an individual, partnership, corporation, |
limited liability company, trust, estate, or other entity that |
is subject to the Illinois Income Tax Act.
|
"Total development costs" means the aggregate public and |
private investment in a STAR bond district, including project |
costs and other direct and indirect costs related to the |
development of the STAR bond district. |
"Traditional retail use" means the operation of a business |
that derives at least 90% of its annual gross revenue from |
sales at retail, as that phrase is defined by Section 1 of the |
Retailers' Occupation Tax Act, but does not include the |
operations of destination users, entertainment users, |
restaurants, hotels, retail uses within hotels, or any other |
non-retail uses. |
"Vacant" means that portion of the land in a proposed STAR |
bond district that is not occupied by a building, facility, or |
other vertical improvement.
|
(Source: P.A. 96-939, eff. 6-24-10; 97-188, eff. 7-22-11; |
revised 10-16-15.)
|
(50 ILCS 470/40)
|
|
Sec. 40. Amendments to STAR bond district. Any addition of |
real property to a STAR bond district or any substantial change |
to a STAR bond district plan shall be subject to the same |
procedure for public notice, hearing, and approval as is |
required for the establishment of the STAR bond district |
pursuant to this Act. |
(a) The addition or removal of land to or from a STAR bond |
district shall require the consent of the master developer of |
the STAR bond district. |
(b) Any land that is outside of, but is contiguous to an |
established STAR bond district and is subsequently owned, |
leased, or controlled by the master developer shall be added to |
a STAR bond district at the request of the master developer and |
by approval of the political subdivision, provided that the |
land becomes a part of a STAR bond project area.
|
(c) If a political subdivision has undertaken a STAR bond |
project within a STAR bond district, and the political |
subdivision desires to subsequently remove more than a de |
minimis minimus amount of real property from the STAR bond |
district, then prior to any removal of property the political |
subdivision must provide a revised feasibility study showing |
that the pledged STAR revenues from the resulting STAR bond |
district within which the STAR bond project is located are |
estimated to be sufficient to pay the project costs. If the |
revenue from the resulting STAR bond district is insufficient |
to pay the project costs, then the property may not be removed |
|
from the STAR bond district. Any removal of real property from |
a STAR bond district shall be approved by a resolution of the |
governing body of the political subdivision.
|
(Source: P.A. 96-939, eff. 6-24-10; revised 10-16-15.)
|
Section 190. The Illinois Police Training Act is amended by |
changing Section 7 and by setting forth and renumbering |
multiple versions of Section 10.17 as follows:
|
(50 ILCS 705/7) (from Ch. 85, par. 507)
|
Sec. 7. Rules and standards for schools. The Board shall |
adopt rules and
minimum standards for such schools which shall |
include but not be limited to
the following:
|
a. The curriculum for probationary police officers which |
shall be
offered by all certified schools shall include but not |
be limited to
courses of procedural justice, arrest and use and |
control tactics, search and seizure, including temporary |
questioning, civil rights, human rights, human relations,
|
cultural competency, including implicit bias and racial and |
ethnic sensitivity,
criminal law, law of criminal procedure, |
constitutional and proper use of law enforcement authority, |
vehicle and traffic law including
uniform and |
non-discriminatory enforcement of the Illinois Vehicle Code,
|
traffic control and accident investigation, techniques of |
obtaining
physical evidence, court testimonies, statements, |
reports, firearms
training, training in the use of electronic |
|
control devices, including the psychological and physiological |
effects of the use of those devices on humans, first-aid |
(including cardiopulmonary resuscitation), training in the |
administration of opioid antagonists as defined in paragraph |
(1) of subsection (e) of Section 5-23 of the Alcoholism and |
Other Drug Abuse and Dependency Act, handling of
juvenile |
offenders, recognition of
mental conditions, including, but |
not limited to, the disease of addiction, which require |
immediate assistance and methods to
safeguard and provide |
assistance to a person in need of mental
treatment, recognition |
of abuse, neglect, financial exploitation, and self-neglect of |
adults with disabilities and older adults, as defined in |
Section 2 of the Adult Protective Services Act, crimes against |
the elderly, law of evidence, the hazards of high-speed police |
vehicle
chases with an emphasis on alternatives to the |
high-speed chase, and
physical training. The curriculum shall |
include specific training in
techniques for immediate response |
to and investigation of cases of domestic
violence and of |
sexual assault of adults and children, including cultural |
perceptions and common myths of rape as well as interview |
techniques that are trauma informed, victim centered, and |
victim sensitive. The curriculum shall include
training in |
techniques designed to promote effective
communication at the |
initial contact with crime victims and ways to comprehensively
|
explain to victims and witnesses their rights under the Rights
|
of Crime Victims and Witnesses Act and the Crime
Victims |
|
Compensation Act. The curriculum shall also include a block of |
instruction aimed at identifying and interacting with persons |
with autism and other developmental or physical disabilities, |
reducing barriers to reporting crimes against persons with |
autism, and addressing the unique challenges presented by cases |
involving victims or witnesses with autism and other |
developmental disabilities. The curriculum for
permanent |
police officers shall include but not be limited to (1) |
refresher
and in-service training in any of the courses listed |
above in this
subparagraph, (2) advanced courses in any of the |
subjects listed above in
this subparagraph, (3) training for |
supervisory personnel, and (4)
specialized training in |
subjects and fields to be selected by the board. The training |
in the use of electronic control devices shall be conducted for |
probationary police officers, including University police |
officers.
|
b. Minimum courses of study, attendance requirements and |
equipment
requirements.
|
c. Minimum requirements for instructors.
|
d. Minimum basic training requirements, which a |
probationary police
officer must satisfactorily complete |
before being eligible for permanent
employment as a local law |
enforcement officer for a participating local
governmental |
agency. Those requirements shall include training in first aid
|
(including cardiopulmonary resuscitation).
|
e. Minimum basic training requirements, which a |
|
probationary county
corrections officer must satisfactorily |
complete before being eligible for
permanent employment as a |
county corrections officer for a participating
local |
governmental agency.
|
f. Minimum basic training requirements which a |
probationary court
security officer must satisfactorily |
complete before being eligible for
permanent employment as a |
court security officer for a participating local
governmental |
agency. The Board shall
establish those training requirements |
which it considers appropriate for court
security officers and |
shall certify schools to conduct that training.
|
A person hired to serve as a court security officer must |
obtain from the
Board a certificate (i) attesting to his or her |
successful completion of the
training course; (ii) attesting to |
his or her satisfactory
completion of a training program of |
similar content and number of hours that
has been found |
acceptable by the Board under the provisions of this Act; or
|
(iii) attesting to the Board's determination that the training
|
course is unnecessary because of the person's extensive prior |
law enforcement
experience.
|
Individuals who currently serve as court security officers |
shall be deemed
qualified to continue to serve in that capacity |
so long as they are certified
as provided by this Act within 24 |
months of June 1, 1997 ( the effective date of Public Act |
89-685) this
amendatory Act of 1996 . Failure to be so |
certified, absent a waiver from the
Board, shall cause the |
|
officer to forfeit his or her position.
|
All individuals hired as court security officers on or |
after the effective
date of this amendatory Act of 1996 shall |
be certified within 12 months of the
date of their hire, unless |
a waiver has been obtained by the Board, or they
shall forfeit |
their positions.
|
The Sheriff's Merit Commission, if one exists, or the |
Sheriff's Office if
there is no Sheriff's Merit Commission, |
shall maintain a list of all
individuals who have filed |
applications to become court security officers and
who meet the |
eligibility requirements established under this Act. Either
|
the Sheriff's Merit Commission, or the Sheriff's Office if no |
Sheriff's Merit
Commission exists, shall establish a schedule |
of reasonable intervals for
verification of the applicants' |
qualifications under
this Act and as established by the Board.
|
g. Minimum in-service training requirements, which a |
police officer must satisfactorily complete every 3 years. |
Those requirements shall include constitutional and proper use |
of law enforcement authority, procedural justice, civil |
rights, human rights, and cultural competency. |
h. Minimum in-service training requirements, which a |
police officer must satisfactorily complete at least annually. |
Those requirements shall include law updates and use of force |
training which shall include scenario based training, or |
similar training approved by the Board. |
(Source: P.A. 98-49, eff. 7-1-13; 98-358, eff. 1-1-14; 98-463, |
|
eff. 8-16-13; 98-756, eff. 7-16-14; 99-352, eff. 1-1-16; |
99-480, eff. 9-9-15; revised 10-20-15.)
|
(50 ILCS 705/10.17) |
Sec. 10.17. Crisis intervention team training. The |
Illinois Law Enforcement Training and Standards Board shall |
develop and approve a standard curriculum for a certified |
training program in crisis intervention addressing specialized |
policing responses to people with mental illnesses. The Board |
shall conduct Crisis Intervention Team (CIT) training programs |
that train officers to identify signs and symptoms of mental |
illness, to de-escalate situations involving individuals who |
appear to have a mental illness, and connect that person in |
crisis to treatment. Officers who have successfully completed |
this program shall be issued a certificate attesting to their |
attendance of a Crisis Intervention Team (CIT) training |
program.
|
(Source: P.A. 99-261, eff. 1-1-16.)
|
(50 ILCS 705/10.18) |
Sec. 10.18 10.17 . Training; administration of opioid |
antagonists. The Board shall conduct or approve an in-service |
training program for police officers in the administration of |
opioid antagonists as defined in paragraph (1) of subsection |
(e) of Section 5-23 of the Alcoholism and Other Drug Abuse and |
Dependency Act that is in accordance with that Section. As used |
|
in this Section 10.17 , the term "police officers" includes |
full-time or part-time probationary police officers, permanent |
or part-time police officers, law enforcement officers, |
recruits, permanent or probationary county corrections |
officers, permanent or probationary county security officers, |
and court security officers. The term does not include |
auxiliary police officers as defined in Section 3.1-30-20 of |
the Illinois Municipal Code.
|
(Source: P.A. 99-480, eff. 9-9-15; revised 10-19-15.)
|
Section 195. The Law Enforcement Officer-Worn Body Camera |
Act is amended by changing Sections 10-10 and 10-20 as follows:
|
(50 ILCS 706/10-10)
|
Sec. 10-10. Definitions. As used in is this Act: |
"Badge" means an officer's department issued |
identification number associated with his or her position as a |
police officer with that department. |
"Board" means the Illinois Law Enforcement Training |
Standards Board created by the Illinois Police Training Act. |
"Business offense" means a petty offense for which the fine |
is in excess of $1,000. |
"Community caretaking function" means a task undertaken by |
a law enforcement officer in which the officer is performing an |
articulable act unrelated to the investigation of a crime. |
"Community caretaking function" includes, but is not limited |
|
to, participating in town halls or other community outreach, |
helping a child find his or her parents, providing death |
notifications, and performing in-home or hospital well-being |
checks on the sick, elderly, or persons presumed missing. |
"Fund" means the Law Enforcement Camera Grant Fund.
|
"In uniform" means a law enforcement officer who is wearing |
any officially authorized uniform designated by a law |
enforcement agency, or a law enforcement officer who is visibly |
wearing articles of clothing, a badge, tactical gear, gun belt, |
a patch, or other insignia that he or she is a law enforcement |
officer acting in the course of his or her duties. |
"Law enforcement officer" or "officer" means any person |
employed by a State, county, municipality, special district, |
college, unit of government, or any other entity authorized by |
law to employ peace officers or exercise police authority and |
who is primarily responsible for the prevention or detection of |
crime and the enforcement of the laws of this State. |
"Law enforcement agency" means all State agencies with law |
enforcement officers, county sheriff's offices, municipal, |
special district, college, or unit of local government police |
departments. |
"Law enforcement-related encounters or activities" |
include, but are not limited to, traffic stops, pedestrian |
stops, arrests, searches, interrogations, investigations, |
pursuits, crowd control, traffic control, non-community |
caretaking interactions with an individual while on patrol, or |
|
any other instance in which the officer is enforcing the laws |
of the municipality, county, or State. "Law |
enforcement-related encounter or activities" does not include |
when the officer is completing paperwork alone or only in the |
presence of another law enforcement officer. |
"Minor traffic offense" means a petty offense, business |
offense, or Class C misdemeanor under the Illinois Vehicle Code |
or a similar provision of a municipal or local ordinance. |
"Officer-worn body camera" means an electronic camera |
system for creating, generating, sending, receiving, storing, |
displaying, and processing audiovisual recordings that may be |
worn about the person of a law enforcement officer. |
"Peace officer" has the meaning provided in Section 2-13 of |
the Criminal Code of 2012. |
"Petty offense" means any offense for which a sentence of |
imprisonment is not an authorized disposition. |
"Recording" means the process of capturing data or |
information stored on a recording medium as required under this |
Act.
|
"Recording medium" means any recording medium authorized |
by the Board for the retention and playback of recorded audio |
and video including, but not limited to, VHS, DVD, hard drive, |
cloud storage, solid state, digital, flash memory technology, |
or any other electronic medium.
|
(Source: P.A. 99-352, eff. 1-1-16; revised 10-20-15.)
|
|
(50 ILCS 706/10-20)
|
Sec. 10-20. Requirements. |
(a) The Board shall develop basic guidelines for the use of |
officer-worn body cameras by law enforcement agencies. The |
guidelines developed by the Board shall be the basis for the |
written policy which must be adopted by each law enforcement |
agency which employs the use of officer-worn body cameras. The |
written policy adopted by the law enforcement agency must |
include, at a minimum, all of the following: |
(1) Cameras must be equipped with pre-event recording, |
capable of recording at least the 30 seconds prior to |
camera activation, unless the officer-worn body camera was |
purchased and acquired by the law enforcement agency prior |
to July 1, 2015. |
(2) Cameras must be capable of recording for a period |
of 10 hours or more, unless the officer-worn body camera |
was purchased and acquired by the law enforcement agency |
prior to July 1, 2015. |
(3) Cameras must be turned on at all times when the |
officer is in uniform and is responding to calls for |
service or engaged in any law enforcement-related |
encounter or activity, that occurs while the officer is on |
duty on-duty . |
(A) If exigent circumstances exist which prevent |
the camera from being turned on, the camera must be |
turned on as soon as practicable. |
|
(B) Officer-worn body cameras may be turned off |
when the officer is inside of a patrol car which is |
equipped with a functioning in-car camera; however, |
the officer must turn on the camera upon exiting the |
patrol vehicle for law enforcement-related encounters. |
(4) Cameras must be turned off when:
|
(A) the victim of a crime requests that the camera |
be turned off, and unless impractical or impossible, |
that request is made on the recording; |
(B) a witness of a crime or a community member who |
wishes to report a crime requests that the camera be |
turned off, and unless impractical or impossible that |
request is made on the recording; or
|
(C) the officer is interacting with a confidential |
informant used by the law enforcement agency. |
However, an officer may continue to record or resume |
recording a victim or a witness, if exigent circumstances |
exist, or if the officer has reasonable articulable |
suspicion that a victim or witness, or confidential |
informant has committed or is in the process of committing |
a crime. Under these circumstances, and unless impractical |
or impossible, the officer must indicate on the recording |
the reason for continuing to record despite the request of |
the victim or witness. |
(4.5) Cameras may be turned off when the officer is |
engaged in community caretaking functions. However, the |
|
camera must be turned on when the officer has reason to |
believe that the person on whose behalf the officer is |
performing a community caretaking function has committed |
or is in the process of committing a crime. If exigent |
circumstances exist which prevent the camera from being |
turned on, the camera must be turned on as soon as |
practicable. |
(5) The officer must provide notice of recording to any |
person if the person has a reasonable expectation of |
privacy and proof of notice must be evident in the |
recording.
If exigent circumstances exist which prevent |
the officer from providing notice, notice must be provided |
as soon as practicable. |
(6) For the purposes of redaction, labeling, or |
duplicating recordings, access to camera recordings shall |
be restricted to only those personnel responsible for those |
purposes. The recording officer and his or her supervisor |
may access and review recordings prior to completing |
incident reports or other documentation, provided that the |
officer or his or her supervisor discloses that fact in the |
report or documentation. |
(7) Recordings made on officer-worn cameras must be |
retained by the law enforcement agency or by the camera |
vendor used by the agency, on a recording medium for a |
period of 90 days. |
(A) Under no circumstances shall any recording |
|
made with an officer-worn body camera be altered, |
erased, or destroyed prior to the expiration of the |
90-day storage period.
|
(B) Following the 90-day storage period, any and |
all recordings made with an officer-worn body camera |
must be destroyed, unless any encounter captured on the |
recording has been flagged. An encounter is deemed to |
be flagged when:
|
(i) a formal or informal complaint has been |
filed; |
(ii) the officer discharged his or her firearm |
or used force during the encounter;
|
(iii) death or great bodily harm occurred to |
any person in the recording;
|
(iv) the encounter resulted in a detention or |
an arrest, excluding traffic stops which resulted |
in only a minor traffic offense or business |
offense; |
(v) the officer is the subject of an internal |
investigation or otherwise being investigated for |
possible misconduct;
|
(vi) the supervisor of the officer, |
prosecutor, defendant, or court determines that |
the encounter has evidentiary value in a criminal |
prosecution; or |
(vii) the recording officer requests that the |
|
video be flagged for official purposes related to |
his or her official duties. |
(C) Under no circumstances shall any recording |
made with an officer-worn body camera relating to a |
flagged encounter be altered or destroyed prior to 2 |
years after the recording was flagged. If the flagged |
recording was used in a criminal, civil, or |
administrative proceeding, the recording shall not be |
destroyed except upon a final disposition and order |
from the court. |
(8) Following the 90-day storage period, recordings |
may be retained if a supervisor at the law enforcement |
agency designates the recording for training purposes. If |
the recording is designated for training purposes, the |
recordings may be viewed by officers, in the presence of a |
supervisor or training instructor, for the purposes of |
instruction, training, or ensuring compliance with agency |
policies.
|
(9) Recordings shall not be used to discipline law |
enforcement officers unless: |
(A) a formal or informal complaint of misconduct |
has been made; |
(B) a use of force incident has occurred; |
(C) the encounter on the recording could result in |
a formal investigation under the Uniform Peace |
Officers' Disciplinary Act; or |
|
(D) as corroboration of other evidence of |
misconduct. |
Nothing in this paragraph (9) shall be construed to |
limit or prohibit a law enforcement officer from being |
subject to an action that does not amount to discipline. |
(10) The law enforcement agency shall ensure proper |
care and maintenance of officer-worn body cameras. Upon |
becoming aware, officers must as soon as practical document |
and notify the appropriate supervisor of any technical |
difficulties, failures, or problems with the officer-worn |
body camera or associated equipment. Upon receiving |
notice, the appropriate supervisor shall make every |
reasonable effort to correct and repair any of the |
officer-worn body camera equipment. |
(11) No officer may hinder or prohibit any person, not |
a law enforcement officer, from recording a law enforcement |
officer in the performance of his or her duties in a public |
place or when the officer has no reasonable expectation of |
privacy.
The law enforcement agency's written policy shall |
indicate the potential criminal penalties, as well as any |
departmental discipline, which may result from unlawful |
confiscation or destruction of the recording medium of a |
person who is not a law enforcement officer. However, an |
officer may take reasonable action to maintain safety and |
control, secure crime scenes and accident sites, protect |
the integrity and confidentiality of investigations, and |
|
protect the public safety and order. |
(b) Recordings made with the use of an officer-worn body |
camera are not subject to disclosure under the Freedom of |
Information Act, except that: |
(1) if the subject of the encounter has a reasonable |
expectation of privacy, at the time of the recording, any |
recording which is flagged, due to the filing of a |
complaint, discharge of a firearm, use of force, arrest or |
detention, or resulting death or bodily harm, shall be |
disclosed in accordance with the Freedom of Information Act |
if: |
(A) the subject of the encounter captured on the |
recording is a victim or witness; and |
(B) the law enforcement agency obtains written |
permission of the subject or the subject's legal |
representative; |
(2) except as provided in paragraph (1) of this |
subsection (b), any recording which is flagged due to the |
filing of a complaint, discharge of a firearm, use of |
force, arrest or detention, or resulting death or bodily |
harm shall be disclosed in accordance with the Freedom of |
Information Act; and |
(3) upon request, the law enforcement agency shall |
disclose, in accordance with the Freedom of Information |
Act, the recording to the subject of the encounter captured |
on the recording or to the subject's attorney, or the |
|
officer or his or her legal representative. |
For the purposes of paragraph (1) of this subsection (b), |
the subject of the encounter does not have a reasonable |
expectation of privacy if the subject was arrested as a result |
of the encounter. For purposes of subparagraph (A) of paragraph |
(1) of this subsection (b), "witness" does not include a person |
who is a victim or who was arrested as a result of the |
encounter.
|
Only recordings or portions of recordings responsive to the |
request shall be available for inspection or reproduction. Any |
recording disclosed under the Freedom of Information Act shall |
be redacted to remove identification of any person that appears |
on the recording and is not the officer, a subject of the |
encounter, or directly involved in the encounter. Nothing in |
this subsection (b) shall require the disclosure of any |
recording or portion of any recording which would be exempt |
from disclosure under the Freedom of Information Act. |
(c) Nothing in this Section shall limit access to a camera |
recording for the purposes of complying with Supreme Court |
rules or the rules of evidence.
|
(Source: P.A. 99-352, eff. 1-1-16; revised 10-20-15.)
|
Section 200. The Emergency Telephone System Act is amended |
by changing Section 75 as follows:
|
(50 ILCS 750/75) |
|
(Section scheduled to be repealed on July 1, 2017) |
Sec. 75. Transfer of rights, functions, powers, duties, and |
property to Department of State Police; rules and standards; |
savings provisions. |
(a) On January 1, 2016, the rights, functions, powers, and |
duties of the Illinois Commerce Commission as set forth in this |
Act and the Wireless Emergency Telephone Safety Act existing |
prior to January 1, 2016, are transferred to and shall be |
exercised by the Department of State Police. On or before |
January 1, 2016, the Commission shall transfer and deliver to |
the Department all books, records, documents, property (real |
and personal), unexpended appropriations, and pending business |
pertaining to the rights, powers, duties, and functions |
transferred to the Department under Public Act 99-6 this |
amendatory Act of the 99th General Assembly . |
(b) The rules and standards of the Commission that are in |
effect on January 1, 2016 and that pertain to the rights, |
powers, duties, and functions transferred to the Department |
under Public Act 99-6 this amendatory Act of the 99th General |
Assembly shall become the rules and standards of the Department |
on January 1, 2016, and shall continue in effect until amended |
or repealed by the Department. |
Any rules pertaining to the rights, powers, duties, and |
functions transferred to the Department under Public Act 99-6 |
this amendatory Act of the 99th General Assembly that have been |
proposed by the Commission but have not taken effect or been |
|
finally adopted by January 1, 2016, shall become proposed rules |
of the Department on January 1, 2016, and any rulemaking |
procedures that have already been completed by the Commission |
for those proposed rules need not be repealed. |
As soon as it is practical after January 1, 2016, the |
Department shall revise and clarify the rules transferred to it |
under Public Act 99-6 this amendatory Act of the 99th General |
Assembly to reflect the transfer of rights, powers, duties, and |
functions effected by Public Act 99-6 this amendatory Act of |
the 99th General Assembly using the procedures for |
recodification of rules available under the Illinois |
Administrative Procedure Act, except that existing title, |
part, and section numbering for the affected rules may be |
retained. The Department may propose and adopt under the |
Illinois Administrative Procedure Act any other rules |
necessary to consolidate and clarify those rules. |
(c) The rights, powers, duties, and functions transferred |
to the Department by Public Act 99-6 this amendatory Act of the |
99th General Assembly shall be vested in and exercised by the |
Department subject to the provisions of this Act and the |
Wireless Emergency Telephone Safety Act. An act done by the |
Department or an officer, employee, or agent of the Department |
in the exercise of the transferred rights, powers, duties, and |
functions shall have the same legal effect as if done by the |
Commission or an officer, employee, or agent of the Commission. |
The transfer of rights, powers, duties, and functions to |
|
the Department under Public Act 99-6 this amendatory Act of the |
99th General Assembly does not invalidate any previous action |
taken by or in respect to the Commission, its officers, |
employees, or agents. References to the Commission or its |
officers, employees, or agents in any document, contract, |
agreement, or law shall, in appropriate contexts, be deemed to |
refer to the Department or its officers, employees, or agents. |
The transfer of rights, powers, duties, and functions to |
the Department under Public Act 99-6 this amendatory Act of the |
99th General Assembly does not affect any person's rights, |
obligations, or duties, including any civil or criminal |
penalties applicable thereto, arising out of those transferred |
rights, powers, duties, and functions. |
Public Act 99-6 This amendatory Act of the 99th General |
Assembly does not affect any act done, ratified, or cancelled, |
any right occurring or established, or any action or proceeding |
commenced in an administrative, civil, or criminal case before |
January 1, 2016. Any such action or proceeding that pertains to |
a right, power, duty, or function transferred to the Department |
under Public Act 99-6 this amendatory Act of the 99th General |
Assembly that is pending on that date may be prosecuted, |
defended, or continued by the Commission. |
For the purposes of Section 9b of the State Finance Act, |
the Department is the successor to the Commission with respect |
to the rights, duties, powers, and functions transferred by |
Public Act 99-6 this amendatory Act of the 99th General |
|
Assembly . |
(d) (c) The Department is authorized to enter into an |
intergovernmental agreement with the Commission for the |
purpose of having the Commission assist the Department and the |
Statewide 9-1-1 Administrator in carrying out their duties and |
functions under this Act. The agreement may provide for funding |
for the Commission for its assistance to the Department and the |
Statewide 9-1-1 Administrator.
|
(Source: P.A. 99-6, eff. 6-29-15; revised 11-9-15.)
|
Section 205. The Counties Code is amended by changing |
Sections 3-3013, 3-8007, 3-9005, 5-1006.5, 5-1006.7, 5-12020, |
and 6-1003 as follows:
|
(55 ILCS 5/3-3013) (from Ch. 34, par. 3-3013)
|
Sec. 3-3013. Preliminary investigations; blood and urine |
analysis;
summoning jury; reports. Every coroner, whenever, as |
soon as he knows or is
informed that the dead body of any |
person is found, or lying within his
county, whose death is |
suspected of being:
|
(a) A sudden or violent death, whether apparently |
suicidal,
homicidal or accidental, including but not |
limited to deaths apparently
caused or contributed to by |
thermal, traumatic, chemical, electrical or
radiational |
injury, or a complication of any of them, or by drowning or
|
suffocation, or as a result of domestic violence as defined |
|
in the Illinois
Domestic
Violence Act of 1986;
|
(b) A maternal or fetal death due to abortion, or any |
death due to a
sex crime or a crime against nature;
|
(c) A death where the circumstances are suspicious, |
obscure,
mysterious or otherwise unexplained or where, in |
the written opinion of
the attending physician, the cause |
of death is not determined;
|
(d) A death where addiction to alcohol or to any drug |
may have been
a contributory cause; or
|
(e) A death where the decedent was not attended by a |
licensed
physician;
|
shall go to the place where the dead body is, and take charge |
of the
same and shall make a preliminary investigation into the |
circumstances
of the death. In the case of death without |
attendance by a licensed
physician the body may be moved with |
the coroner's consent from the
place of death to a mortuary in |
the same county. Coroners in their
discretion shall notify such |
physician as is designated in accordance
with Section 3-3014 to |
attempt to ascertain the cause of death, either by
autopsy or |
otherwise.
|
In cases of accidental death involving a motor vehicle in |
which the
decedent was (1) the operator or a suspected operator |
of a motor
vehicle, or (2) a pedestrian 16 years of age or |
older, the coroner shall
require that a blood specimen of at |
least 30 cc., and if medically
possible a urine specimen of at |
least 30 cc. or as much as possible up
to 30 cc., be withdrawn |
|
from the body of the decedent in a timely fashion after
the |
accident causing his death, by such physician as has been |
designated
in accordance with Section 3-3014, or by the coroner |
or deputy coroner or
a qualified person designated by such |
physician, coroner, or deputy coroner. If the county
does not |
maintain laboratory facilities for making such analysis, the
|
blood and urine so drawn shall be sent to the Department of |
State Police or any other accredited or State-certified |
laboratory
for analysis of the alcohol, carbon monoxide, and |
dangerous or
narcotic drug content of such blood and urine |
specimens. Each specimen
submitted shall be accompanied by |
pertinent information concerning the
decedent upon a form |
prescribed by such laboratory. Any
person drawing blood and |
urine and any person making any examination of
the blood and |
urine under the terms of this Division shall be immune from all
|
liability, civil or criminal, that might otherwise be incurred |
or
imposed.
|
In all other cases coming within the jurisdiction of the |
coroner and
referred to in subparagraphs (a) through (e) above, |
blood, and whenever
possible, urine samples shall be analyzed |
for the presence of alcohol
and other drugs. When the coroner |
suspects that drugs may have been
involved in the death, either |
directly or indirectly, a toxicological
examination shall be |
performed which may include analyses of blood, urine,
bile, |
gastric contents and other tissues. When the coroner suspects
a |
death is due to toxic substances, other than drugs, the coroner |
|
shall
consult with the toxicologist prior to collection of |
samples. Information
submitted to the toxicologist shall |
include information as to height,
weight, age, sex and race of |
the decedent as well as medical history,
medications used by |
and the manner of death of decedent.
|
When the coroner or medical examiner finds that the cause |
of death is due to homicidal means, the coroner or medical |
examiner shall cause blood and buccal specimens (tissue may be |
submitted if no uncontaminated blood or buccal specimen can be |
obtained), whenever possible, to be withdrawn from the body of |
the decedent in a timely fashion. For proper preservation of |
the specimens, collected blood and buccal specimens shall be |
dried and tissue specimens shall be frozen if available |
equipment exists. As soon as possible, but no later than 30 |
days after the collection of the specimens, the coroner or |
medical examiner shall release those specimens to the police |
agency responsible for investigating the death. As soon as |
possible , but no later than 30 days after the receipt from the |
coroner or medical examiner, the police agency shall submit the |
specimens using the agency case number to a National DNA Index |
System (NDIS) participating laboratory within this State, such |
as the Illinois Department of State Police, Division of |
Forensic Services, for analysis and categorizing into genetic |
marker groupings. The results of the analysis and categorizing |
into genetic marker groupings shall be provided to the Illinois |
Department of State Police and shall be maintained by the |
|
Illinois Department of State Police in the State central |
repository in the same manner, and subject to the same |
conditions, as provided in Section 5-4-3 of the Unified Code of |
Corrections. The requirements of this paragraph are in addition |
to any other findings, specimens, or information that the |
coroner or medical examiner is required to provide during the |
conduct of a criminal investigation.
|
In all counties, in cases of apparent
suicide, homicide, or |
accidental death or in other cases, within the
discretion of |
the coroner, the coroner may summon 8 persons of lawful age
|
from those persons drawn for petit jurors in the county. The |
summons shall
command these persons to present themselves |
personally at such a place and
time as the coroner shall |
determine, and may be in any form which the
coroner shall |
determine and may incorporate any reasonable form of request
|
for acknowledgement which the coroner deems practical and |
provides a
reliable proof of service. The summons may be served |
by first class mail.
From the 8 persons so summoned, the |
coroner shall select 6 to serve as the
jury for the inquest. |
Inquests may be continued from time
to time, as the coroner may |
deem necessary. The 6 jurors selected in
a given case may view |
the body of the deceased.
If at any continuation of an inquest |
one or more of the original jurors
shall be unable to continue |
to serve, the coroner shall fill the vacancy or
vacancies. A |
juror serving pursuant to this paragraph shall receive
|
compensation from the county at the same rate as the rate of |
|
compensation
that is paid to petit or grand jurors in the |
county. The coroner shall
furnish to each juror without fee at |
the time of his discharge a
certificate of the number of days |
in attendance at an inquest, and, upon
being presented with |
such certificate, the county treasurer shall pay to
the juror |
the sum provided for his services.
|
In counties which have a jury commission, in cases of |
apparent suicide or
homicide or of accidental death, the |
coroner may conduct an inquest. The jury commission shall |
provide
at least 8 jurors to the coroner, from whom the coroner |
shall select any 6
to serve as the jury for the inquest. |
Inquests may be continued from time
to time as the coroner may |
deem necessary. The 6 jurors originally chosen
in a given case |
may view the body of the deceased. If at any continuation
of an |
inquest one or more of the 6 jurors originally chosen shall be |
unable
to continue to serve, the coroner shall fill the vacancy |
or vacancies. At
the coroner's discretion, additional jurors to |
fill such vacancies shall be
supplied by the jury commission. A |
juror serving pursuant to this
paragraph in such county shall |
receive compensation from the county at the
same rate as the |
rate of compensation that is paid to petit or grand jurors
in |
the county.
|
In every case in which a fire is determined to be
a
|
contributing factor in a death, the coroner shall report the |
death to the
Office of the State Fire Marshal. The coroner |
shall provide a copy of the death certificate (i) within 30 |
|
days after filing the permanent death certificate and (ii) in a |
manner that is agreed upon by the coroner and the State Fire |
Marshal. |
In every case in which a drug overdose is determined to be |
the cause or a contributing factor in the death, the coroner or |
medical examiner shall report the death to the Department of |
Public Health. The Department of Public Health shall adopt |
rules regarding specific information that must be reported in |
the event of such a death. If possible, the coroner shall |
report the cause of the overdose. As used in this Section, |
"overdose" has the same meaning as it does in Section 414 of |
the Illinois Controlled Substances Act. The Department of |
Public Health shall issue a semiannual report to the General |
Assembly summarizing the reports received. The Department |
shall also provide on its website a monthly report of overdose |
death figures organized by location, age, and any other |
factors, the Department deems appropriate. |
In addition, in every case in which domestic violence is |
determined to be
a
contributing factor in a death, the coroner |
shall report the death to the
Department of State Police.
|
All deaths in State institutions and all deaths of wards of |
the State in
private care facilities or in programs funded by |
the Department of Human
Services under its powers relating to |
mental health and developmental
disabilities or alcoholism and |
substance
abuse or funded by the Department of Children and |
Family Services shall
be reported to the coroner of the county |
|
in which the facility is
located. If the coroner has reason to |
believe that an investigation is
needed to determine whether |
the death was caused by maltreatment or
negligent care of the |
ward of the State, the coroner may conduct a
preliminary |
investigation of the circumstances of such death as in cases of
|
death under circumstances set forth in paragraphs (a) through |
(e) of this
Section.
|
(Source: P.A. 99-354, eff. 1-1-16; 99-480, eff. 9-9-15; revised |
10-20-15.)
|
(55 ILCS 5/3-8007) (from Ch. 34, par. 3-8007)
|
Sec. 3-8007. Duties and jurisdiction of commission. The |
Merit
Commission shall have the duties, pursuant to recognized |
merit principles
of public employment, of certification for |
employment and promotion, and,
upon complaint of the sheriff or |
State's Attorney states attorney as limited in this
Division, |
to discipline or discharge as the circumstances may warrant. |
All
full time deputy sheriffs shall be under the jurisdiction |
of this Act and
the county board may provide that other |
positions, including jail officers,
as defined in "An Act to |
revise the law in relation to jails and jailers",
approved |
March 3, 1874, as now or hereafter amended (repealed), shall be
|
under the jurisdiction of the Commission. There may be exempted |
from
coverage by resolution of the county board a "chief |
deputy" or "chief
deputies" who shall be vested with all |
authorities granted to deputy
sheriffs pursuant to Section |
|
3-6015. "Chief Deputy" or "Chief Deputies" as
used in this |
Section include the personal assistant or assistants of the
|
sheriff whether titled "chief deputy", "undersheriff" "under |
sheriff" , or "administrative
assistant".
|
(Source: P.A. 86-962; revised 11-9-15.)
|
(55 ILCS 5/3-9005) (from Ch. 34, par. 3-9005)
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Sec. 3-9005. Powers and duties of State's attorney.
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(a) The duty of each State's attorney shall be:
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(1) To commence and prosecute all actions, suits, |
indictments and
prosecutions, civil and criminal, in the |
circuit court for his county,
in which the people of the |
State or county may be concerned.
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(2) To prosecute all forfeited bonds and |
recognizances, and all
actions and proceedings for the |
recovery of debts, revenues, moneys,
fines, penalties and |
forfeitures accruing to the State or his county, or
to any |
school district or road district in his county; also, to
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prosecute all suits in his county against railroad or |
transportation
companies, which may be prosecuted in the |
name of the People of the
State of Illinois.
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(3) To commence and prosecute all actions and |
proceedings brought by
any county officer in his official |
capacity.
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(4) To defend all actions and proceedings brought |
against his
county, or against any county or State officer, |
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in his official
capacity, within his county.
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(5) To attend the examination of all persons brought |
before any judge
on habeas corpus, when the prosecution is |
in his county.
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(6) To attend before judges and prosecute charges of |
felony or
misdemeanor, for which the offender is required |
to be recognized to appear
before the circuit court, when |
in his power so to do.
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(7) To give his opinion, without fee or reward, to any |
county officer
in his county, upon any question or law |
relating to any criminal or other
matter, in which the |
people or the county may be concerned.
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(8) To assist the attorney general whenever it may be |
necessary, and in
cases of appeal from his county to the |
Supreme Court, to which it is the
duty of the attorney |
general to attend, he shall furnish the attorney general
at |
least 10 days before such is due to be filed, a manuscript |
of a proposed
statement, brief and argument to be printed |
and filed on behalf of the people,
prepared in accordance |
with the rules of the Supreme Court. However, if
such |
brief, argument or other document is due to be filed by law |
or order
of court within this 10-day 10 day period, then |
the State's attorney shall furnish
such as soon as may be |
reasonable.
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(9) To pay all moneys received by him in trust, without |
delay, to the
officer who by law is entitled to the custody |
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thereof.
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(10) To notify, by first class mail, complaining |
witnesses of the ultimate
disposition of the cases arising |
from an indictment or an information.
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(11) To perform such other and further duties as may, |
from time to time,
be enjoined on him by law.
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(12) To appear in all proceedings by collectors of |
taxes against
delinquent taxpayers for judgments to sell |
real estate, and see that all the
necessary preliminary |
steps have been legally taken to make the judgment legal
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and binding.
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(13) To notify, by first-class mail, the State |
Superintendent of Education, the applicable regional |
superintendent of schools, and the superintendent of the |
employing school district or the chief school |
administrator of the employing nonpublic school, if any, |
upon the conviction of any individual known to possess a |
certificate or license issued pursuant to Article 21 or |
21B, respectively, of the School Code of any offense set |
forth in Section 21B-80 of the School Code or any other |
felony conviction, providing the name of the certificate |
holder, the fact of the conviction, and the name and |
location of the court where the conviction occurred. The |
certificate holder must also be contemporaneously sent a |
copy of the notice. |
(b) The State's Attorney of each county shall have |
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authority to
appoint one or more special investigators to serve |
subpoenas and , summonses, make return
of process, and conduct |
investigations which assist the State's Attorney in
the |
performance of his duties. In counties of the first and second |
class, the fees for service of subpoenas and summonses are |
allowed by this Section and shall be consistent with those set |
forth in Section 4-5001 of this Act, except when increased by |
county ordinance as provided for in Section 4-5001. In counties |
of the third class, the fees for service of subpoenas and |
summonses are allowed by this Section and shall be consistent |
with those set forth in Section 4-12001 of this Act. A special |
investigator shall not carry
firearms except with permission of |
the State's Attorney and only while
carrying appropriate |
identification indicating his employment and in the
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performance of his assigned duties.
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Subject to the qualifications set forth in this subsection, |
special
investigators shall be peace officers and shall have |
all the powers possessed
by investigators under the State's |
Attorneys Appellate Prosecutor's Act.
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No special investigator employed by the State's Attorney |
shall have peace
officer status or exercise police powers |
unless he or she successfully
completes the basic police |
training course mandated and approved by the
Illinois Law |
Enforcement Training Standards Board or such
board waives the |
training requirement by reason of the special
investigator's |
prior law enforcement experience or training or both. Any
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State's Attorney appointing a special investigator shall |
consult with all
affected local police agencies, to the extent |
consistent with the public
interest, if the special |
investigator is assigned to areas within that
agency's |
jurisdiction.
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Before a person is appointed as a special investigator, his
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fingerprints shall be taken and transmitted to the Department |
of State
Police. The Department shall examine its records and |
submit to the State's
Attorney of the county in which the |
investigator seeks appointment any
conviction information |
concerning the person on file with the Department.
No person |
shall be appointed as a special investigator if he has been
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convicted of a felony or other offense involving moral |
turpitude. A
special investigator shall be paid a salary and be |
reimbursed for actual
expenses incurred in performing his |
assigned duties. The county board
shall approve the salary and |
actual expenses and appropriate the salary
and expenses in the |
manner prescribed by law or ordinance.
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(c) The State's
Attorney may request and receive from |
employers, labor unions, telephone
companies, and utility |
companies
location information concerning putative fathers and |
noncustodial parents for
the purpose of establishing a child's |
paternity or establishing, enforcing, or
modifying a child |
support obligation. In this subsection, "location
information"
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means information about (i) the physical whereabouts of a |
putative father or
noncustodial parent, (ii) the putative |
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father or noncustodial parent's
employer, or
(iii) the salary, |
wages, and other
compensation paid and the health insurance |
coverage provided to the putative
father or noncustodial parent |
by the employer of the putative father or
noncustodial parent
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or by a labor union of which the putative father or |
noncustodial parent is a
member.
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(d) For each State fiscal year, the
State's Attorney of |
Cook County shall appear before the General Assembly and
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request appropriations to be made from the Capital Litigation |
Trust Fund to the
State Treasurer for the purpose of providing |
assistance in the prosecution of
capital cases in Cook County |
and for the purpose of providing assistance to the State in |
post-conviction proceedings in capital cases under Article 122 |
of the Code of Criminal Procedure of 1963 and in relation to |
petitions filed under Section 2-1401 of the Code of Civil |
Procedure in relation to capital cases. The State's Attorney |
may appear before the
General Assembly at other times during |
the State's fiscal year to request
supplemental appropriations |
from the Trust Fund to the State Treasurer.
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(e) The State's Attorney shall have the authority to enter |
into a written
agreement with the Department of Revenue for |
pursuit of civil
liability under subsection (E) of Section 17-1 |
of the Criminal Code of 2012 against persons who
have issued to |
the Department checks or other orders in violation of the
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provisions of paragraph (1) of subsection (B) of Section 17-1 |
of the Criminal
Code of 2012, with the Department to retain the |
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amount owing upon the
dishonored check or order along with the |
dishonored check fee imposed under the
Uniform Penalty and |
Interest Act, with the balance of damages, fees, and costs
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collected under subsection (E) of Section 17-1 of the Criminal |
Code of 2012 or under Section 17-1a of that Code to be retained |
by
the State's Attorney. The agreement shall not affect the |
allocation of fines
and costs imposed in any criminal |
prosecution.
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(Source: P.A. 99-169, eff. 7-28-15; revised 11-9-15.)
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(55 ILCS 5/5-1006.5)
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Sec. 5-1006.5. Special County Retailers' Occupation Tax
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For Public Safety, Public Facilities, or Transportation. |
(a) The county board of any county may impose a
tax upon |
all persons engaged in the business of selling tangible |
personal
property, other than personal property titled or |
registered with an agency of
this State's government, at retail |
in the county on the gross receipts from the
sales made in the |
course of business to provide revenue to be used exclusively
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for public safety, public facility, or transportation purposes |
in that county, if a
proposition for the
tax has been submitted |
to the electors of that county and
approved by a majority of |
those voting on the question. If imposed, this tax
shall be |
imposed only in one-quarter percent increments. By resolution, |
the
county board may order the proposition to be submitted at |
any election.
If the tax is imposed for
transportation purposes |
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for expenditures for public highways or as
authorized
under the |
Illinois Highway Code, the county board must publish notice
of |
the existence of its long-range highway transportation
plan as |
required or described in Section 5-301 of the Illinois
Highway |
Code and must make the plan publicly available prior to
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approval of the ordinance or resolution
imposing the tax. If |
the tax is imposed for transportation purposes for
expenditures |
for passenger rail transportation, the county board must |
publish
notice of the existence of its long-range passenger |
rail transportation plan
and
must make the plan publicly |
available prior to approval of the ordinance or
resolution |
imposing the tax. |
If a tax is imposed for public facilities purposes, then |
the name of the project may be included in the proposition at |
the discretion of the county board as determined in the |
enabling resolution. For example, the "XXX Nursing Home" or the |
"YYY Museum". |
The county clerk shall certify the
question to the proper |
election authority, who
shall submit the proposition at an |
election in accordance with the general
election law.
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(1) The proposition for public safety purposes shall be |
in
substantially the following form: |
"To pay for public safety purposes, shall (name of |
county) be authorized to impose an increase on its share of |
local sales taxes by (insert rate)?" |
As additional information on the ballot below the |
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question shall appear the following: |
"This would mean that a consumer would pay an |
additional (insert amount) in sales tax for every $100 of |
tangible personal property bought at retail."
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The county board may also opt to establish a sunset |
provision at which time the additional sales tax would |
cease being collected, if not terminated earlier by a vote |
of the county board. If the county board votes to include a |
sunset provision, the proposition for public safety |
purposes shall be in substantially the following form: |
"To pay for public safety purposes, shall (name of |
county) be authorized to impose an increase on its share of |
local sales taxes by (insert rate) for a period not to |
exceed (insert number of years)?" |
As additional information on the ballot below the |
question shall appear the following: |
"This would mean that a consumer would pay an |
additional (insert amount) in sales tax for every $100 of |
tangible personal property bought at retail. If imposed, |
the additional tax would cease being collected at the end |
of (insert number of years), if not terminated earlier by a |
vote of the county board."
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For the purposes of the
paragraph, "public safety |
purposes" means
crime prevention, detention, fire |
fighting, police, medical, ambulance, or
other emergency |
services.
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Votes shall be recorded as "Yes" or "No".
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Beginning on the January 1 or July 1, whichever is first, |
that occurs not less than 30 days after May 31, 2015 ( the |
effective date of Public Act 99-4) this amendatory Act of the |
99th General Assembly , Adams County may impose a public safety |
retailers' occupation tax and service occupation tax at the |
rate of 0.25%, as provided in the referendum approved by the |
voters on April 7, 2015, notwithstanding the omission of the |
additional information that is otherwise required to be printed |
on the ballot below the question pursuant to this item (1). |
(2) The proposition for transportation purposes shall |
be in
substantially
the following form: |
"To pay for improvements to roads and other |
transportation purposes, shall (name of county) be |
authorized to impose an increase on its share of local |
sales taxes by (insert rate)?" |
As additional information on the ballot below the |
question shall appear the following: |
"This would mean that a consumer would pay an |
additional (insert amount) in sales tax for every $100 of |
tangible personal property bought at retail."
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The county board may also opt to establish a sunset |
provision at which time the additional sales tax would |
cease being collected, if not terminated earlier by a vote |
of the county board. If the county board votes to include a |
sunset provision, the proposition for transportation |
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purposes shall be in substantially the following form: |
"To pay for road improvements and other transportation |
purposes, shall (name of county) be authorized to impose an |
increase on its share of local sales taxes by (insert rate) |
for a period not to exceed (insert number of years)?" |
As additional information on the ballot below the |
question shall appear the following: |
"This would mean that a consumer would pay an |
additional (insert amount) in sales tax for every $100 of |
tangible personal property bought at retail. If imposed, |
the additional tax would cease being collected at the end |
of (insert number of years), if not terminated earlier by a |
vote of the county board."
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For the purposes of this paragraph, transportation |
purposes means
construction, maintenance, operation, and |
improvement of
public highways, any other purpose for which |
a county may expend funds under
the Illinois Highway Code, |
and passenger rail transportation.
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The votes shall be recorded as "Yes" or "No".
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(3) The proposition for public facilities purposes |
shall be in substantially the following form: |
"To pay for public facilities purposes, shall (name of
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county) be authorized to impose an increase on its share of
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local sales taxes by (insert rate)?" |
As additional information on the ballot below the
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question shall appear the following: |
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"This would mean that a consumer would pay an
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additional (insert amount) in sales tax for every $100 of
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tangible personal property bought at retail." |
The county board may also opt to establish a sunset
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provision at which time the additional sales tax would
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cease being collected, if not terminated earlier by a vote
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of the county board. If the county board votes to include a
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sunset provision, the proposition for public facilities
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purposes shall be in substantially the following form: |
"To pay for public facilities purposes, shall (name of
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county) be authorized to impose an increase on its share of
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local sales taxes by (insert rate) for a period not to
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exceed (insert number of years)?" |
As additional information on the ballot below the
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question shall appear the following: |
"This would mean that a consumer would pay an
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additional (insert amount) in sales tax for every $100 of
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tangible personal property bought at retail. If imposed,
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the additional tax would cease being collected at the end
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of (insert number of years), if not terminated earlier by a
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vote of the county board." |
For purposes of this Section, "public facilities |
purposes" means the acquisition, development, |
construction, reconstruction, rehabilitation, improvement, |
financing, architectural planning, and installation of |
capital facilities consisting of buildings, structures, |
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and durable equipment and for the acquisition and |
improvement of real property and interest in real property |
required, or expected to be required, in connection with |
the public facilities, for use by the county for the |
furnishing of governmental services to its citizens, |
including but not limited to museums and nursing homes. |
The votes shall be recorded as "Yes" or "No". |
If a majority of the electors voting on
the proposition |
vote in favor of it, the county may impose the tax.
A county |
may not submit more than one proposition authorized by this |
Section
to the electors at any one time.
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This additional tax may not be imposed on the sales of food |
for human
consumption that is to be consumed off the premises |
where it is sold (other
than alcoholic beverages, soft drinks, |
and food which has been prepared for
immediate consumption) and |
prescription and non-prescription medicines, drugs,
medical |
appliances and insulin, urine testing materials, syringes, and |
needles
used by diabetics. The tax imposed by a county under |
this Section and
all civil penalties that may be assessed as an |
incident of the tax shall be
collected and enforced by the |
Illinois Department of Revenue and deposited
into a special |
fund created for that purpose. The certificate
of registration |
that is issued by the Department to a retailer under the
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Retailers' Occupation Tax Act shall permit the retailer to |
engage in a business
that is taxable without registering |
separately with the Department under an
ordinance or resolution |
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under this Section. The Department has full
power to administer |
and enforce this Section, to collect all taxes and
penalties |
due under this Section, to dispose of taxes and penalties so
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collected in the manner provided in this Section, and to |
determine
all rights to credit memoranda arising on account of |
the erroneous payment of
a tax or penalty under this Section. |
In the administration of and compliance
with this Section, the |
Department and persons who are subject to this Section
shall |
(i) have the same rights, remedies, privileges, immunities, |
powers, and
duties, (ii) be subject to the same conditions, |
restrictions, limitations,
penalties, and definitions of |
terms, and (iii) employ the same modes of
procedure as are |
prescribed in Sections 1, 1a, 1a-1, 1d, 1e, 1f,
1i, 1j,
1k, 1m, |
1n,
2 through 2-70 (in respect to all provisions contained in |
those Sections
other than the
State rate of tax), 2a, 2b, 2c, 3 |
(except provisions
relating to
transaction returns and quarter |
monthly payments), 4, 5, 5a, 5b, 5c, 5d, 5e,
5f,
5g, 5h, 5i, |
5j, 5k, 5l, 6, 6a, 6b, 6c, 6d, 7, 8, 9, 10, 11, 11a, 12, and 13 |
of the
Retailers' Occupation Tax Act and Section 3-7 of the |
Uniform Penalty and
Interest Act as if those provisions were |
set forth in this Section.
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Persons subject to any tax imposed under the authority |
granted in this
Section may reimburse themselves for their |
sellers' tax liability by
separately stating the tax as an |
additional charge, which charge may be stated
in combination, |
in a single amount, with State tax which sellers are required
|
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to collect under the Use Tax Act, pursuant to such bracketed |
schedules as the
Department may prescribe.
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Whenever the Department determines that a refund should be |
made under this
Section to a claimant instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the order to be drawn for
the |
amount specified and to the person named in the notification |
from the
Department. The refund shall be paid by the State |
Treasurer out of the County
Public Safety or Transportation |
Retailers' Occupation Tax Fund.
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(b) If a tax has been imposed under subsection (a), a
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service occupation tax shall
also be imposed at the same rate |
upon all persons engaged, in the county, in
the business
of |
making sales of service, who, as an incident to making those |
sales of
service, transfer tangible personal property within |
the county
as an
incident to a sale of service.
This tax may |
not be imposed on sales of food for human consumption that is |
to
be consumed off the premises where it is sold (other than |
alcoholic beverages,
soft drinks, and food prepared for |
immediate consumption) and prescription and
non-prescription |
medicines, drugs, medical appliances and insulin, urine
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testing materials, syringes, and needles used by diabetics.
The |
tax imposed under this subsection and all civil penalties that |
may be
assessed as an incident thereof shall be collected and |
enforced by the
Department of Revenue. The Department has
full |
power to
administer and enforce this subsection; to collect all |
|
taxes and penalties
due hereunder; to dispose of taxes and |
penalties so collected in the manner
hereinafter provided; and |
to determine all rights to credit memoranda
arising on account |
of the erroneous payment of tax or penalty hereunder.
In the |
administration of, and compliance with this subsection, the
|
Department and persons who are subject to this paragraph shall |
(i) have the
same rights, remedies, privileges, immunities, |
powers, and duties, (ii) be
subject to the same conditions, |
restrictions, limitations, penalties,
exclusions, exemptions, |
and definitions of terms, and (iii) employ the same
modes
of |
procedure as are prescribed in Sections 2 (except that the
|
reference to State in the definition of supplier maintaining a |
place of
business in this State shall mean the county), 2a, 2b, |
2c, 3 through
3-50 (in respect to all provisions therein other |
than the State rate of
tax), 4 (except that the reference to |
the State shall be to the county),
5, 7, 8 (except that the |
jurisdiction to which the tax shall be a debt to
the extent |
indicated in that Section 8 shall be the county), 9 (except as
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to the disposition of taxes and penalties collected), 10, 11, |
12 (except the reference therein to Section 2b of the
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Retailers' Occupation Tax Act), 13 (except that any reference |
to the State
shall mean the county), Section 15, 16,
17, 18, 19 |
and 20 of the Service Occupation Tax Act and Section 3-7 of
the |
Uniform Penalty and Interest Act, as fully as if those |
provisions were
set forth herein.
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Persons subject to any tax imposed under the authority |
|
granted in
this subsection may reimburse themselves for their |
serviceman's tax liability
by separately stating the tax as an |
additional charge, which
charge may be stated in combination, |
in a single amount, with State tax
that servicemen are |
authorized to collect under the Service Use Tax Act, in
|
accordance with such bracket schedules as the Department may |
prescribe.
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Whenever the Department determines that a refund should be |
made under this
subsection to a claimant instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the warrant to be drawn
for the |
amount specified, and to the person named, in the notification
|
from the Department. The refund shall be paid by the State |
Treasurer out
of the County Public Safety or Transportation |
Retailers' Occupation Fund.
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Nothing in this subsection shall be construed to authorize |
the county
to impose a tax upon the privilege of engaging in |
any business which under
the Constitution of the United States |
may not be made the subject of taxation
by the State.
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(c) The Department shall immediately pay over to the State |
Treasurer, ex
officio,
as trustee, all taxes and penalties |
collected under this Section to be
deposited into the County |
Public Safety or Transportation Retailers'
Occupation Tax |
Fund, which
shall be an unappropriated trust fund held outside |
of the State treasury. |
As soon as possible after the first day of each month, |
|
beginning January 1, 2011, upon certification of the Department |
of Revenue, the Comptroller shall order transferred, and the |
Treasurer shall transfer, to the STAR Bonds Revenue Fund the |
local sales tax increment, as defined in the Innovation |
Development and Economy Act, collected under this Section |
during the second preceding calendar month for sales within a |
STAR bond district. |
After the monthly transfer to the STAR Bonds Revenue Fund, |
on
or before the 25th
day of each calendar month, the |
Department shall prepare and certify to the
Comptroller the |
disbursement of stated sums of money
to the counties from which |
retailers have paid
taxes or penalties to the Department during |
the second preceding
calendar month. The amount to be paid to |
each county, and deposited by the
county into its special fund |
created for the purposes of this Section, shall
be the amount |
(not
including credit memoranda) collected under this Section |
during the second
preceding
calendar month by the Department |
plus an amount the Department determines is
necessary to offset |
any amounts that were erroneously paid to a different
taxing |
body, and not including (i) an amount equal to the amount of |
refunds
made
during the second preceding calendar month by the |
Department on behalf of
the county, (ii) any amount that the |
Department determines is
necessary to offset any amounts that |
were payable to a different taxing body
but were erroneously |
paid to the county, and (iii) any amounts that are transferred |
to the STAR Bonds Revenue Fund. Within 10 days after receipt by |
|
the
Comptroller of the disbursement certification to the |
counties provided for in
this Section to be given to the |
Comptroller by the Department, the Comptroller
shall cause the |
orders to be drawn for the respective amounts in accordance
|
with directions contained in the certification.
|
In addition to the disbursement required by the preceding |
paragraph, an
allocation shall be made in March of each year to |
each county that received
more than $500,000 in disbursements |
under the preceding paragraph in the
preceding calendar year. |
The allocation shall be in an amount equal to the
average |
monthly distribution made to each such county under the |
preceding
paragraph during the preceding calendar year |
(excluding the 2 months of
highest receipts). The distribution |
made in March of each year subsequent to
the year in which an |
allocation was made pursuant to this paragraph and the
|
preceding paragraph shall be reduced by the amount allocated |
and disbursed
under this paragraph in the preceding calendar |
year. The Department shall
prepare and certify to the |
Comptroller for disbursement the allocations made in
|
accordance with this paragraph.
|
A county may direct, by ordinance, that all or a portion of |
the taxes and penalties collected under the Special County |
Retailers' Occupation Tax For Public Safety or Transportation |
be deposited into the Transportation Development Partnership |
Trust Fund. |
(d) For the purpose of determining the local governmental |
|
unit whose tax is
applicable, a retail sale by a producer of |
coal or another mineral mined in
Illinois is a sale at retail |
at the place where the coal or other mineral mined
in Illinois |
is extracted from the earth. This paragraph does not apply to |
coal
or another mineral when it is delivered or shipped by the |
seller to the
purchaser
at a point outside Illinois so that the |
sale is exempt under the United States
Constitution as a sale |
in interstate or foreign commerce.
|
(e) Nothing in this Section shall be construed to authorize |
a county to
impose a
tax upon the privilege of engaging in any |
business that under the Constitution
of the United States may |
not be made the subject of taxation by this State.
|
(e-5) If a county imposes a tax under this Section, the |
county board may,
by ordinance, discontinue or lower the rate |
of the tax. If the county board
lowers the tax rate or |
discontinues the tax, a referendum must be
held in accordance |
with subsection (a) of this Section in order to increase the
|
rate of the tax or to reimpose the discontinued tax.
|
(f) Beginning April 1, 1998 and through December 31, 2013, |
the results of any election authorizing a
proposition to impose |
a tax
under this Section or effecting a change in the rate of |
tax, or any ordinance
lowering the rate or discontinuing the |
tax,
shall be certified
by the
county clerk and filed with the |
Illinois Department of Revenue
either (i) on or
before the |
first day of April, whereupon the Department shall proceed to
|
administer and enforce the tax as of the first day of July next |
|
following
the filing; or (ii)
on or before the first day of |
October, whereupon the
Department shall proceed to administer |
and enforce the tax as of the first
day of January next |
following the filing.
|
Beginning January 1, 2014, the results of any election |
authorizing a proposition to impose a tax under this Section or |
effecting an increase in the rate of tax, along with the |
ordinance adopted to impose the tax or increase the rate of the |
tax, or any ordinance adopted to lower the rate or discontinue |
the tax, shall be certified by the county clerk and filed with |
the Illinois Department of Revenue either (i) on or before the |
first day of May, whereupon the Department shall proceed to |
administer and enforce the tax as of the first day of July next |
following the adoption and filing; or (ii) on or before the |
first day of October, whereupon the Department shall proceed to |
administer and enforce the tax as of the first day of January |
next following the adoption and filing. |
(g) When certifying the amount of a monthly disbursement to |
a county under
this
Section, the Department shall increase or |
decrease the amounts by an amount
necessary to offset any |
miscalculation of previous disbursements. The offset
amount |
shall be the amount erroneously disbursed within the previous 6 |
months
from the time a miscalculation is discovered.
|
(h) This Section may be cited as the "Special County |
Occupation Tax
For Public Safety, Public Facilities, or |
Transportation Law".
|
|
(i) For purposes of this Section, "public safety" includes, |
but is not
limited to, crime prevention, detention, fire |
fighting, police, medical,
ambulance, or other emergency
|
services. The county may share tax proceeds received under this |
Section for public safety purposes, including proceeds |
received before August 4, 2009 (the effective date of Public |
Act 96-124), with any fire protection district located in the |
county. For the purposes of this Section, "transportation" |
includes, but
is not limited to, the construction,
maintenance, |
operation, and improvement of public highways, any other
|
purpose for which a county may expend funds under the Illinois |
Highway Code,
and passenger rail transportation. For the |
purposes of this Section, "public facilities purposes" |
includes, but is not limited to, the acquisition, development, |
construction, reconstruction, rehabilitation, improvement, |
financing, architectural planning, and installation of capital |
facilities consisting of buildings, structures, and durable |
equipment and for the acquisition and improvement of real |
property and interest in real property required, or expected to |
be required, in connection with the public facilities, for use |
by the county for the furnishing of governmental services to |
its citizens, including but not limited to museums and nursing |
homes. |
(j) The Department may promulgate rules to implement Public |
Act 95-1002 only to the extent necessary to apply the existing |
rules for the Special County Retailers' Occupation Tax for |
|
Public Safety to this new purpose for public facilities.
|
(Source: P.A. 98-584, eff. 8-27-13; 99-4, eff. 5-31-15; 99-217, |
eff. 7-31-15; revised 11-6-15.)
|
(55 ILCS 5/5-1006.7) |
Sec. 5-1006.7. School facility occupation taxes. |
(a) In any county, a tax shall be imposed upon all persons |
engaged in the business of selling tangible personal property, |
other than personal property titled or registered with an |
agency of this State's government, at retail in the county on |
the gross receipts from the sales made in the course of |
business to provide revenue to be used exclusively for school |
facility purposes if a proposition for the tax has been |
submitted to the electors of that county and approved by a |
majority of those voting on the question as provided in |
subsection (c). The tax under this Section shall be imposed |
only in one-quarter percent increments and may not exceed 1%. |
This additional tax may not be imposed on the sale of food |
for human consumption that is to be consumed off the premises |
where it is sold (other than alcoholic beverages, soft drinks, |
and food that has been prepared for immediate consumption) and |
prescription and non-prescription medicines, drugs, medical |
appliances and insulin, urine testing materials, syringes and |
needles used by diabetics.
The Department of Revenue has full |
power to administer and enforce this subsection, to collect all |
taxes and penalties due under this subsection, to dispose of |
|
taxes and penalties so collected in the manner provided in this |
subsection, and to determine all rights to credit memoranda |
arising on account of the erroneous payment of a tax or penalty |
under this subsection. The Department shall deposit all taxes |
and penalties collected under this subsection into a special |
fund created for that purpose. |
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection (i) have the same rights, remedies, privileges, |
immunities, powers, and duties, (ii) are subject to the same |
conditions, restrictions, limitations, penalties, and |
definitions of terms, and (iii) shall employ the same modes of |
procedure as are set forth in Sections 1 through 1o, 2 through |
2-70 (in respect to all provisions contained in those Sections |
other than the State rate of tax), 2a through 2h, 3 (except as |
to the disposition of taxes and penalties collected), 4, 5, 5a, |
5b, 5c, 5d, 5e, 5f, 5g, 5h, 5i, 5j, 5k, 5l, 6, 6a, 6b, 6c, 6d, |
7, 8, 9, 10, 11, 11a, 12, and 13 of the Retailers' Occupation |
Tax Act and all provisions of the Uniform Penalty and Interest |
Act as if those provisions were set forth in this subsection. |
The certificate of registration that is issued by the |
Department to a retailer under the Retailers' Occupation Tax |
Act permits the retailer to engage in a business that is |
taxable without registering separately with the Department |
under an ordinance or resolution under this subsection. |
Persons subject to any tax imposed under the authority |
|
granted in this subsection may reimburse themselves for their |
seller's tax liability by separately stating that tax as an |
additional charge, which may be stated in combination, in a |
single amount, with State tax that sellers are required to |
collect under the Use Tax Act, pursuant to any bracketed |
schedules set forth by the Department. |
(b) If a tax has been imposed under subsection (a), then a |
service occupation tax must also be imposed at the same rate |
upon all persons engaged, in the county, in the business of |
making sales of service, who, as an incident to making those |
sales of service, transfer tangible personal property within |
the county as an incident to a sale of service. |
This tax may not be imposed on sales of food for human |
consumption that is to be consumed off the premises where it is |
sold (other than alcoholic beverages, soft drinks, and food |
prepared for immediate consumption) and prescription and |
non-prescription medicines, drugs, medical appliances and |
insulin, urine testing materials, syringes, and needles used by |
diabetics. |
The tax imposed under this subsection and all civil |
penalties that may be assessed as an incident thereof shall be |
collected and enforced by the Department and deposited into a |
special fund created for that purpose. The Department has full |
power to administer and enforce this subsection, to collect all |
taxes and penalties due under this subsection, to dispose of |
taxes and penalties so collected in the manner provided in this |
|
subsection, and to determine all rights to credit memoranda |
arising on account of the erroneous payment of a tax or penalty |
under this subsection. |
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection shall (i) have the same rights, remedies, |
privileges, immunities, powers and duties, (ii) be subject to |
the same conditions, restrictions, limitations, penalties and |
definition of terms, and (iii) employ the same modes of |
procedure as are set forth in Sections 2 (except that that |
reference to State in the definition of supplier maintaining a |
place of business in this State means the county), 2a through |
2d, 3 through 3-50 (in respect to all provisions contained in |
those Sections other than the State rate of tax), 4 (except |
that the reference to the State shall be to the county), 5, 7, |
8 (except that the jurisdiction to which the tax is a debt to |
the extent indicated in that Section 8 is the county), 9 |
(except as to the disposition of taxes and penalties |
collected), 10, 11, 12 (except the reference therein to Section |
2b of the Retailers' Occupation Tax Act), 13 (except that any |
reference to the State means the county), Section 15, 16, 17, |
18, 19, and 20 of the Service Occupation Tax Act and all |
provisions of the Uniform Penalty and Interest Act, as fully as |
if those provisions were set forth herein. |
Persons subject to any tax imposed under the authority |
granted in this subsection may reimburse themselves for their |
|
serviceman's tax liability by separately stating the tax as an |
additional charge, which may be stated in combination, in a |
single amount, with State tax that servicemen are authorized to |
collect under the Service Use Tax Act, pursuant to any |
bracketed schedules set forth by the Department. |
(c) The tax under this Section may not be imposed until the |
question of imposing the tax has been submitted to the electors |
of the county at a regular election and approved by a majority |
of the electors voting on the question. For all regular |
elections held prior to August 23, 2011 ( the effective date of |
Public Act 97-542) this amendatory Act of the 97th General |
Assembly , upon a resolution by the county board or a resolution |
by school district boards that represent at least 51% of the |
student enrollment within the county, the county board must |
certify the question to the proper election authority in |
accordance with the Election Code. |
For all regular elections held prior to August 23, 2011 |
( the effective date of Public Act 97-542) this amendatory Act |
of the 97th General Assembly , the election authority must |
submit the question in substantially the following form: |
Shall (name of county) be authorized to impose a |
retailers' occupation tax and a service occupation tax |
(commonly referred to as a "sales tax") at a rate of |
(insert rate) to be used exclusively for school facility |
purposes? |
The election authority must record the votes as "Yes" or "No". |
|
If a majority of the electors voting on the question vote |
in the affirmative, then the county may, thereafter, impose the |
tax. |
For all regular elections held on or after August 23, 2011 |
( the effective date of Public Act 97-542) this amendatory Act |
of the 97th General Assembly , the regional superintendent of |
schools for the county must, upon receipt of a resolution or |
resolutions of school district boards that represent more than |
50% of the student enrollment within the county, certify the |
question to the proper election authority for submission to the |
electors of the county at the next regular election at which |
the question lawfully may be submitted to the electors, all in |
accordance with the Election Code. |
For all regular elections held on or after August 23, 2011 |
( the effective date of Public Act 97-542) this amendatory Act |
of the 97th General Assembly , the election authority must |
submit the question in substantially the following form: |
Shall a retailers' occupation tax and a service |
occupation tax (commonly referred to as a "sales tax") be |
imposed in (name of county) at a rate of (insert rate) to |
be used exclusively for school facility purposes? |
The election authority must record the votes as "Yes" or "No". |
If a majority of the electors voting on the question vote |
in the affirmative, then the tax shall be imposed at the rate |
set forth in the question. |
For the purposes of this subsection (c), "enrollment" means |
|
the head count of the students residing in the county on the |
last school day of September of each year, which must be |
reported on the Illinois State Board of Education Public School |
Fall Enrollment/Housing Report.
|
(d) The Department shall immediately pay over to the State |
Treasurer, ex officio, as trustee, all taxes and penalties |
collected under this Section to be deposited into the School |
Facility Occupation Tax Fund, which shall be an unappropriated |
trust fund held outside the State treasury. |
On or before the 25th day of each calendar month, the |
Department shall prepare and certify to the Comptroller the |
disbursement of stated sums of money to the regional |
superintendents of schools in counties from which retailers or |
servicemen have paid taxes or penalties to the Department |
during the second preceding calendar month. The amount to be |
paid to each regional superintendent of schools and disbursed |
to him or her in accordance with Section 3-14.31 of the School |
Code, is equal to the amount (not including credit memoranda) |
collected from the county under this Section during the second |
preceding calendar month by the Department, (i) less 2% of that |
amount, which shall be deposited into the Tax Compliance and |
Administration Fund and shall be used by the Department, |
subject to appropriation, to cover the costs of the Department |
in administering and enforcing the provisions of this Section, |
on behalf of the county, (ii) plus an amount that the |
Department determines is necessary to offset any amounts that |
|
were erroneously paid to a different taxing body; (iii) less an |
amount equal to the amount of refunds made during the second |
preceding calendar month by the Department on behalf of the |
county; and (iv) less any amount that the Department determines |
is necessary to offset any amounts that were payable to a |
different taxing body but were erroneously paid to the county. |
When certifying the amount of a monthly disbursement to a |
regional superintendent of schools under this Section, the |
Department shall increase or decrease the amounts by an amount |
necessary to offset any miscalculation of previous |
disbursements within the previous 6 months from the time a |
miscalculation is discovered. |
Within 10 days after receipt by the Comptroller from the |
Department of the disbursement certification to the regional |
superintendents of the schools provided for in this Section, |
the Comptroller shall cause the orders to be drawn for the |
respective amounts in accordance with directions contained in |
the certification. |
If the Department determines that a refund should be made |
under this Section to a claimant instead of issuing a credit |
memorandum, then the Department shall notify the Comptroller, |
who shall cause the order to be drawn for the amount specified |
and to the person named in the notification from the |
Department. The refund shall be paid by the Treasurer out of |
the School Facility Occupation Tax Fund.
|
(e) For the purposes of determining the local governmental |
|
unit whose tax is applicable, a retail sale by a producer of |
coal or another mineral mined in Illinois is a sale at retail |
at the place where the coal or other mineral mined in Illinois |
is extracted from the earth. This subsection does not apply to |
coal or another mineral when it is delivered or shipped by the |
seller to the purchaser at a point outside Illinois so that the |
sale is exempt under the United States Constitution as a sale |
in interstate or foreign commerce. |
(f) Nothing in this Section may be construed to authorize a |
tax to be imposed upon the privilege of engaging in any |
business that under the Constitution of the United States may |
not be made the subject of taxation by this State. |
(g) If a county board imposes a tax under this Section |
pursuant to a referendum held before August 23, 2011 ( the |
effective date of Public Act 97-542) this amendatory Act of the |
97th General Assembly at a rate below the rate set forth in the |
question approved by a majority of electors of that county |
voting on the question as provided in subsection (c), then the |
county board may, by ordinance, increase the rate of the tax up |
to the rate set forth in the question approved by a majority of |
electors of that county voting on the question as provided in |
subsection (c). If a county board imposes a tax under this |
Section pursuant to a referendum held before August 23, 2011 |
( the effective date of Public Act 97-542) this amendatory Act |
of the 97th General Assembly , then the board may, by ordinance, |
discontinue or reduce the rate of the tax. If a tax is imposed |
|
under this Section pursuant to a referendum held on or after |
August 23, 2011 ( the effective date of Public Act 97-542) this |
amendatory Act of the 97th General Assembly , then the county |
board may reduce or discontinue the tax, but only in accordance |
with subsection (h-5) of this Section. If, however, a school |
board issues bonds that are secured by the proceeds of the tax |
under this Section, then the county board may not reduce the |
tax rate or discontinue the tax if that rate reduction or |
discontinuance would adversely affect the school board's |
ability to pay the principal and interest on those bonds as |
they become due or necessitate the extension of additional |
property taxes to pay the principal and interest on those |
bonds. If the county board reduces the tax rate or discontinues |
the tax, then a referendum must be held in accordance with |
subsection (c) of this Section in order to increase the rate of |
the tax or to reimpose the discontinued tax. |
Until January 1, 2014, the results of any election that |
imposes, reduces, or discontinues a tax under this Section must |
be certified by the election authority, and any ordinance that |
increases or lowers the rate or discontinues the tax must be |
certified by the county clerk and, in each case, filed with the |
Illinois Department of Revenue either (i) on or before the |
first day of April, whereupon the Department shall proceed to |
administer and enforce the tax or change in the rate as of the |
first day of July next following the filing; or (ii) on or |
before the first day of October, whereupon the Department shall |
|
proceed to administer and enforce the tax or change in the rate |
as of the first day of January next following the filing. |
Beginning January 1, 2014, the results of any election that |
imposes, reduces, or discontinues a tax under this Section must |
be certified by the election authority, and any ordinance that |
increases or lowers the rate or discontinues the tax must be |
certified by the county clerk and, in each case, filed with the |
Illinois Department of Revenue either (i) on or before the |
first day of May, whereupon the Department shall proceed to |
administer and enforce the tax or change in the rate as of the |
first day of July next following the filing; or (ii) on or |
before the first day of October, whereupon the Department shall |
proceed to administer and enforce the tax or change in the rate |
as of the first day of January next following the filing. |
(h) For purposes of this Section, "school facility |
purposes" means (i) the acquisition, development, |
construction, reconstruction, rehabilitation, improvement, |
financing, architectural planning, and installation of capital |
facilities consisting of buildings, structures, and durable |
equipment and for the acquisition and improvement of real |
property and interest in real property required, or expected to |
be required, in connection with the capital facilities and (ii) |
the payment of bonds or other obligations heretofore or |
hereafter issued, including bonds or other obligations |
heretofore or hereafter issued to refund or to continue to |
refund bonds or other obligations issued, for school facility |
|
purposes, provided that the taxes levied to pay those bonds are |
abated by the amount of the taxes imposed under this Section |
that are used to pay those bonds. "School-facility purposes" |
also includes fire prevention, safety, energy conservation, |
accessibility, school security, and specified repair purposes |
set forth under Section 17-2.11 of the School Code. |
(h-5) A county board in a county where a tax has been |
imposed under this Section pursuant to a referendum held on or |
after August 23, 2011 ( the effective date of Public Act 97-542) |
this amendatory Act of the 97th General Assembly may, by |
ordinance or resolution, submit to the voters of the county the |
question of reducing or discontinuing the tax. In the ordinance |
or resolution, the county board shall certify the question to |
the proper election authority in accordance with the Election |
Code. The election authority must submit the question in |
substantially the following form: |
Shall the school facility retailers' occupation tax |
and service occupation tax (commonly referred to as the |
"school facility sales tax") currently imposed in (name of |
county) at a rate of (insert rate) be (reduced to (insert |
rate))(discontinued)? |
If a majority of the electors voting on the question vote in |
the affirmative, then, subject to the provisions of subsection |
(g) of this Section, the tax shall be reduced or discontinued |
as set forth in the question. |
(i) This Section does not apply to Cook County. |
|
(j) This Section may be cited as the County School Facility |
Occupation Tax Law.
|
(Source: P.A. 98-584, eff. 8-27-13; 99-143, eff. 7-27-15; |
99-217, eff. 7-31-15; revised 11-6-15.)
|
(55 ILCS 5/5-12020) |
Sec. 5-12020. Wind farms. Notwithstanding any other |
provision of law, a county may establish standards for wind |
farms and electric-generating wind devices. The standards may |
include, without limitation, the height of the devices and the |
number of devices that may be located within a geographic area. |
A county may also regulate the siting of wind farms and |
electric-generating wind devices in unincorporated areas of |
the county outside of the zoning jurisdiction of a municipality |
and the 1.5 mile radius surrounding the zoning jurisdiction of |
a municipality. There shall be at least one public hearing not |
more than 30 days prior to a siting decision by the county |
board. Notice of the hearing shall be published in a newspaper |
of general circulation in the county. A commercial wind energy |
facility owner, as defined in the Wind Energy Facilities |
Agricultural Impact Mitigation Act, must enter into an |
agricultural impact mitigation agreement with the Department |
of Agriculture prior to the date of the required public |
hearing. A commercial wind energy facility owner seeking an |
extension of a permit granted by a county prior to July 24, |
2015 ( the effective date of Public Act 99-132) this amendatory |
|
Act of the 99th General Assembly must enter into an |
agricultural impact mitigation agreement with the Department |
of Agriculture prior to a decision by the county to grant the |
permit extension. Counties may allow test wind towers to be |
sited without formal approval by the county board. Any |
provision of a county zoning ordinance pertaining to wind farms |
that is in effect before August 16, 2007 ( the effective date of |
Public Act 95-203) this amendatory Act of the 95th General |
Assembly may continue in effect notwithstanding any |
requirements of this Section. |
A county may not require a wind tower or other renewable |
energy system that is used exclusively by an end user to be |
setback more than 1.1 times the height of the renewable energy |
system from the end user's property line.
|
(Source: P.A. 99-123, eff. 1-1-16; 99-132, eff. 7-24-15; |
revised 11-6-15.)
|
(55 ILCS 5/6-1003) (from Ch. 34, par. 6-1003)
|
Sec. 6-1003. Further appropriations barred; transfers. |
After
the adoption of the county budget, no further |
appropriations shall be made
at any other time during such |
fiscal year, except as provided in this
Division. |
Appropriations in excess of those authorized by the budget in |
order to meet an immediate emergency may be made at any meeting |
of the board by a two-thirds vote of all the members |
constituting such board, the vote to be taken by ayes and nays |
|
and entered on the record of the meeting. After the adoption of |
the county budget, transfers of appropriations may be made |
without a vote of the board; however , transfers of |
appropriations affecting personnel and capital may be made at
|
any meeting of the board by a two-thirds vote of all the |
members
constituting such board, the vote to be taken by ayes |
and nays and entered
on the record of the meeting, provided for |
any type of transfer that the total amount appropriated for the |
fund is not affected.
|
(Source: P.A. 99-356, eff. 8-13-15; revised 11-9-15.)
|
Section 210. The County Economic Development Project Area |
Property
Tax Allocation Act is amended by changing Section 10 |
as follows:
|
(55 ILCS 85/10) (from Ch. 34, par. 7010)
|
Sec. 10. Conflicts of interests, disclosure. If any member |
of the
corporate authorities of a county, or any employee or |
consultant of the
county involved in the planning, analysis, |
preparation or administration of
an economic development plan |
or an economic development project, or any
proposed economic |
development plan or any proposed economic development
project, |
owns or controls any interest, direct or indirect, in any |
property
included in any economic development project area or |
proposed economic
development project area, he or she shall |
disclose the same in writing to
the county clerk, which |
|
disclosure shall include the dates, terms and
conditions of any |
disposition of any such interest. The disclosures shall
be |
acknowledged by the corporate authorities of the county and |
entered upon
the official records and files of the corporate |
authorities. Any such
individual holding any such interest |
shall refrain from any further
official involvement regarding |
such established or proposed economic
development project |
area, economic development plan or economic development
|
project, and shall also refrain from form voting on any matter |
pertaining to
that project, plan or area and from communicating |
with any members of the
corporate authorities of the county and |
no employee of the county shall
acquire any interest, direct or |
indirect, in any real or personal property
or rights or |
interest therein within an economic development project area or
|
a proposed economic development project area after that person |
obtains
knowledge of the project, plan or area or after the |
first public notice of
the project, plan or area is given by |
the county, whichever shall first occur.
|
(Source: P.A. 86-1388; revised 11-9-15.)
|
Section 215. The Illinois Municipal Code is amended by |
changing Sections 8-11-1.6 and 11-13-26 as follows:
|
(65 ILCS 5/8-11-1.6)
|
Sec. 8-11-1.6. Non-home rule municipal retailers |
occupation tax;
municipalities between 20,000 and 25,000. The
|
|
corporate
authorities of a non-home rule municipality with a |
population of more than
20,000 but less than 25,000 that has, |
prior to January 1, 1987, established a
Redevelopment Project |
Area that has been certified as a State Sales Tax
Boundary and |
has issued bonds or otherwise incurred indebtedness to pay for
|
costs in excess of $5,000,000, which is secured in part by a |
tax increment
allocation fund, in accordance with the |
provisions of Division 11-74.4 of this
Code may, by passage of |
an ordinance, impose a tax upon all persons engaged in
the |
business of selling tangible personal property, other than on |
an item of
tangible personal property that is titled and |
registered by an agency of this
State's Government, at retail |
in the municipality. This tax may not be
imposed on the sales |
of food for human consumption that is to be consumed off
the |
premises where it is sold (other than alcoholic beverages, soft |
drinks, and
food that has been prepared for immediate |
consumption) and prescription and
nonprescription medicines, |
drugs, medical appliances and insulin, urine testing
|
materials, syringes, and needles used by diabetics.
If imposed, |
the tax shall
only be imposed in .25% increments of the gross |
receipts from such sales made
in the course of business. Any |
tax imposed by a municipality under this Section Sec.
and all |
civil penalties that may be assessed as an incident thereof |
shall be
collected and enforced by the State Department of |
Revenue. An ordinance
imposing a tax hereunder or effecting a |
change in the rate
thereof shall be adopted and a certified |
|
copy thereof filed with the Department
on or before the first |
day of October, whereupon the Department shall proceed
to |
administer and enforce this Section as of the first day of |
January next
following such adoption and filing. The |
certificate of registration that is
issued by the Department to |
a retailer under the Retailers' Occupation Tax Act
shall permit |
the retailer to engage in a business that is taxable under any
|
ordinance or resolution enacted under this Section without |
registering
separately with the Department under the ordinance |
or resolution or under this
Section. The Department shall have |
full power to administer and enforce this
Section, to collect |
all taxes and penalties due hereunder, to dispose of taxes
and |
penalties so collected in the manner hereinafter provided, and |
to determine
all rights to credit memoranda, arising on account |
of the erroneous payment of
tax or penalty hereunder. In the |
administration of, and compliance with
this Section, the |
Department and persons who are subject to this Section shall
|
have the same rights, remedies, privileges, immunities, |
powers, and duties, and
be subject to the same conditions, |
restrictions, limitations, penalties, and
definitions of |
terms, and employ the same modes of procedure, as are |
prescribed
in Sections 1, 1a, 1a-1, 1d, 1e, 1f, 1i, 1j, 2 |
through 2-65 (in respect to all
provisions therein other than |
the State rate of tax), 2c, 3 (except as to the
disposition of |
taxes and penalties collected), 4, 5, 5a, 5b, 5c, 5d, 5e, 5f,
|
5g, 5h, 5i, 5j, 5k, 5l, 6, 6a, 6b, 6c, 6d, 7, 8, 9, 10, 11, 12 |
|
and 13 of the
Retailers' Occupation Tax Act and Section 3-7 of |
the Uniform Penalty and
Interest Act as fully as if those |
provisions were set forth herein.
|
A tax may not be imposed by a municipality under this |
Section unless the
municipality also imposes a tax at the same |
rate under Section 8-11-1.7 of this
Act.
|
Persons subject to any tax imposed under the authority |
granted in this
Section, may reimburse themselves for their |
seller's tax liability hereunder by
separately stating the tax |
as an additional charge, which charge may be stated
in |
combination, in a single amount, with State tax which sellers |
are required
to collect under the Use Tax Act, pursuant to such |
bracket schedules as the
Department may prescribe.
|
Whenever the Department determines that a refund should be |
made under this
Section to a claimant, instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the order to be drawn for
the |
amount specified, and to the person named in the notification |
from the
Department. The refund shall be paid by the State |
Treasurer out of the
Non-Home Rule Municipal Retailers' |
Occupation Tax Fund, which is hereby
created.
|
The Department shall forthwith pay over to the State |
Treasurer, ex officio,
as trustee, all taxes and penalties |
collected hereunder. |
As soon as possible after the first day of each month, |
beginning January 1, 2011, upon certification of the Department |
|
of Revenue, the Comptroller shall order transferred, and the |
Treasurer shall transfer, to the STAR Bonds Revenue Fund the |
local sales tax increment, as defined in the Innovation |
Development and Economy Act, collected under this Section |
during the second preceding calendar month for sales within a |
STAR bond district. |
After the monthly transfer to the STAR Bonds Revenue Fund, |
on or before the 25th
day of each calendar month, the |
Department shall prepare and certify to the
Comptroller the |
disbursement of stated sums of money to named municipalities,
|
the municipalities to be those from which retailers have paid |
taxes or
penalties hereunder to the Department during the |
second preceding calendar
month. The amount to be paid to each |
municipality shall be the amount (not
including credit |
memoranda) collected hereunder during the second preceding
|
calendar month by the Department plus an amount the Department |
determines is
necessary to offset any amounts that were |
erroneously paid to a different
taxing body, and not including |
an amount equal to the amount of refunds made
during the second |
preceding calendar month by the Department on behalf of the
|
municipality, and not including any amount that the Department |
determines is
necessary to offset any amounts that were payable |
to a different taxing body
but were erroneously paid to the |
municipality, and not including any amounts that are |
transferred to the STAR Bonds Revenue Fund. Within 10 days |
after receipt
by the Comptroller of the disbursement |
|
certification to the municipalities
provided for in this |
Section to be given to the Comptroller by the Department,
the |
Comptroller shall cause the orders to be drawn for the |
respective amounts
in accordance with the directions contained |
in the certification.
|
For the purpose of determining the local governmental unit |
whose tax is
applicable, a retail sale by a producer of coal or |
other mineral mined in
Illinois is a sale at retail at the |
place where the coal or other mineral
mined in Illinois is |
extracted from the earth. This paragraph does not apply
to coal |
or other mineral when it is delivered or shipped by the seller |
to the
purchaser at a point outside Illinois so that the sale |
is exempt under the
federal Constitution as a sale in |
interstate or foreign commerce.
|
Nothing in this Section shall be construed to authorize a |
municipality to
impose a tax upon the privilege of engaging in |
any business which under the
constitution of the United States |
may not be made the subject of taxation by
this State.
|
When certifying the amount of a monthly disbursement to a |
municipality under
this Section, the Department shall increase |
or decrease the amount by an
amount necessary to offset any |
misallocation of previous disbursements. The
offset amount |
shall be the amount erroneously disbursed within the previous 6
|
months from the time a misallocation is discovered.
|
As used in this Section, "municipal" and "municipality" |
means a city,
village, or incorporated town, including an |
|
incorporated town that has
superseded a civil township.
|
(Source: P.A. 99-217, eff. 7-31-15; revised 11-9-15.)
|
(65 ILCS 5/11-13-26) |
Sec. 11-13-26. Wind farms. Notwithstanding any other |
provision of law: |
(a) A municipality may regulate wind farms and |
electric-generating wind devices within its zoning |
jurisdiction and within the 1.5 mile radius surrounding its |
zoning jurisdiction. There shall be at least one public hearing |
not more than 30 days prior to a siting decision by the |
corporate authorities of a municipality. Notice of the hearing |
shall be published in a newspaper of general circulation in the |
municipality. A commercial wind energy facility owner, as |
defined in the Wind Energy Facilities Agricultural Impact |
Mitigation Act, must enter into an agricultural impact |
mitigation agreement with the Department of Agriculture prior |
to the date of the required public hearing. A commercial wind |
energy facility owner seeking an extension of a permit granted |
by a municipality prior to July 24, 2015 ( the effective date of |
Public Act 99-132) this amendatory Act of the 99th General |
Assembly must enter into an agricultural impact mitigation |
agreement with the Department of Agriculture prior to a |
decision by the municipality to grant the permit extension. A |
municipality may allow test wind towers to be sited without |
formal approval by the corporate authorities of the |
|
municipality. Test wind towers must be dismantled within 3 |
years of installation. For the purposes of this Section, "test |
wind towers" are wind towers that are designed solely to |
collect wind generation data.
|
(b) A municipality may not require a wind tower or other |
renewable energy system that is used exclusively by an end user |
to be setback more than 1.1 times the height of the renewable |
energy system from the end user's property line. A setback |
requirement imposed by a municipality on a renewable energy |
system may not be more restrictive than as provided under this |
subsection. This subsection is a limitation of home rule powers |
and functions under subsection (i) of Section 6 of Article VII |
of the Illinois Constitution on the concurrent exercise by home |
rule units of powers and functions exercised by the State. |
(Source: P.A. 99-123, eff. 1-1-16; 99-132, eff. 7-24-15; |
revised 11-6-15.)
|
Section 220. The Civic Center Code is amended by changing |
Sections 170-50 and 240-50 as follows:
|
(70 ILCS 200/170-50)
|
Sec. 170-50. Contracts. All contracts for sale of
property |
of the value of more than $10,000 or
for a an concession in or |
lease of property, including air rights, of the
Authority for a |
term of more than one year shall be awarded to the highest
|
responsible bidder, after advertising for bids. All |
|
construction contracts and
contracts for supplies, materials, |
equipment and services, when the expense
thereof will exceed |
$10,000, shall be let to the lowest responsible bidder,
after |
advertising for bids, excepting (1) when repair parts, |
accessories,
equipment or services are required for equipment |
or services previously
furnished or contracted for; (2) when |
the nature of the services required
is such that competitive |
bidding is not in the best interest of the public,
including, |
without limiting the generality of the foregoing, the services
|
of accountants, architects, attorneys, engineers, physicians,
|
superintendents of construction, and others possessing a high |
degree of
skill; and (3) when services such as water, light, |
heat, power, telephone
or
telegraph are required.
|
All contracts involving less than $10,000 shall be let by |
competitive
bidding to the lowest responsible bidder whenever |
possible, and in any
event in a manner calculated to ensure the |
best interests of the
public.
|
In determining the responsibility of any bidder, the Board |
may take into
account the past record of dealings with the |
bidder, the bidder's
experience, adequacy
of equipment, and |
ability to complete performance within the time set, and
other |
factors besides financial responsibility, but in no case shall |
any
such contracts be awarded to any other than the highest |
bidder (in case of
sale, concession or lease) or the lowest |
bidder (in case of purchase or
expenditure) unless authorized |
or approved by a vote of at least
three-fourths of the members |
|
of the Board, and unless such action is
accompanied by a |
statement in writing setting forth the reasons for not
awarding |
the contract to the highest or lowest bidder, as the case may |
be,
which statement shall be kept on file in the principal |
office of the
Authority and open to public inspection.
|
From the group of responsible bidders the lowest bidder |
shall be
selected in the following manner: to all bids for |
sales the gross receipts
of which are not taxable under the |
Retailers' Occupation Tax
Act, there shall be added an amount |
equal to the tax
which would be payable under said Act, if |
applicable, and the lowest in
amount of said adjusted bids and |
bids for sales the gross receipts of which
are taxable under |
said Act shall be considered the lowest bid; provided,
that, if |
said lowest bid relates to a sale not taxable under said Act, |
any
contract entered into thereon shall be in the amount of the |
original bid
not adjusted as aforesaid.
|
Contracts shall not be split into parts involving |
expenditures of less
than $10,000 for the purposes of avoiding |
the provisions of this Section, and
all such split contracts |
shall be void. If any collusion occurs among
bidders or |
prospective bidders in restraint of freedom of competition, by
|
agreement to bid a fixed amount or to refrain from bidding or |
otherwise,
the bids of such bidders shall be void. Each bidder |
shall accompany his bid
with a sworn statement that he has not |
been a party to any such agreement.
|
Members of the Board, officers and employees of the |
|
Authority, and their
relatives within the fourth degree of |
consanguinity by the terms of the
civil law, are forbidden to |
be interested directly or indirectly in any
contract for |
construction or maintenance work or for the delivery of
|
materials, supplies or equipment.
|
The Board shall have the right to reject all bids and to |
readvertise for
bids. If after any such advertisement no |
responsible and satisfactory bid,
within the terms of the |
advertisement, shall be received, the Board may
award such |
contract, without competitive bidding, provided that it shall
|
not be less advantageous to the Authority than any valid bid |
received
pursuant to advertisement.
|
The Board shall adopt rules and regulations to carry into |
effect the
provisions of this Section.
|
(Source: P.A. 93-491, eff. 1-1-04; revised 10-13-15.)
|
(70 ILCS 200/240-50)
|
Sec. 240-50. Contracts. All contracts for sale of
property |
of the value of more than
$10,000 or for a an concession in or |
lease of property including air rights, of the
Authority for a |
term of more than one year shall be awarded to the highest
|
responsible bidder, after advertising for bids. All |
construction contracts
and contracts for supplies, materials, |
equipment and services, when the
expense thereof will exceed |
$10,000, shall be let to the lowest responsible
bidder, after |
advertising for bids, excepting (1) when repair parts,
|
|
accessories, equipment or services are required for equipment |
or services
previously furnished or contracted for; (2) when |
the nature of the services
required is such that competitive |
bidding is not in the best interest of
the public, including, |
without limiting the generality of the foregoing,
the services |
of accountants, architects, attorneys, engineers, physicians,
|
superintendents of construction, and others possessing a high |
degree of
skill; and (3) when services such as water, light, |
heat, power, telephone
or
telegraph are required.
|
All contracts involving less than $10,000 shall be let by |
competitive
bidding to the lowest responsible bidder whenever |
possible, and in any
event in a manner calculated to ensure the |
best interests of the
public.
|
In determining the responsibility of any bidder, the Board |
may take in
account the past record of dealings with the |
bidder, experience, adequacy
of equipment, ability to complete |
performance within the time set, and
other factors besides |
financial responsibility, but in no case shall any
such |
contracts be awarded to any other than the highest bidder (in |
case of
sale, concession or lease) or the lowest bidder (in |
case of purchase or
expenditure) unless authorized or approved |
by the affirmative vote of at least
6 of the members of the |
Board present at a meeting
at which a quorum is present, and |
unless such action is
accompanied by a statement in writing |
setting forth the reasons for not
awarding the contract to the |
highest or lowest bidder, as the case may be,
which statement |
|
shall be kept on file in the principal office of the
Authority |
and open to public inspection.
|
From the group of responsible bidders the lowest bidder |
shall be
selected in the following manner: to all bids for |
sales the gross receipts
of which are not taxable under the |
Retailers' Occupation Tax
Act, there shall be added an amount |
equal to the tax
which would be payable under said Act, if |
applicable, and the lowest in
amount of said adjusted bids and |
bids for sales the gross receipts of which
are taxable under |
said Act shall be considered the lowest bid; provided,
that, if |
said lowest bid relates to a sale not taxable under said Act, |
any
contract entered into thereon shall be in the amount of the |
original bid
not adjusted as aforesaid.
|
Contracts shall not be split into parts involving |
expenditures of less
than $10,000 for the purposes of avoiding |
the provisions of this Section, and
all such split contracts |
shall be void. If any collusion occurs among
bidders or |
prospective bidders in restraint of freedom of competition, by
|
agreement to bid a fixed amount or to refrain from bidding or |
otherwise,
the bids of such bidders shall be void. Each bidder |
shall accompany his bid
with a sworn statement that he has not |
been a party to any such agreement.
|
Members of the Board, officers and employees of the |
Authority, and their
relatives within the fourth degree of |
consanguinity by the terms of the
civil law, are forbidden to |
be interested directly or indirectly in any
contract for |
|
construction or maintenance work or for the delivery of
|
materials, supplies or equipment.
|
The Board shall have the right to reject all bids and to |
readvertise for
bids. If after any such advertisement no |
responsible and satisfactory bid,
within the terms of the |
advertisement, shall be received, the Board may
award such |
contract, without competitive bidding, provided that it shall
|
not be less advantageous to the Authority than any valid bid |
received
pursuant to advertisement.
|
The Board shall adopt rules and regulations to carry into |
effect the
provisions of this Section.
|
(Source: P.A. 93-491, eff. 1-1-04; revised 10-13-15.)
|
Section 225. The Flood Prevention District Act is amended |
by changing Section 25 as follows:
|
(70 ILCS 750/25)
|
Sec. 25. Flood prevention retailers' and service |
occupation taxes. |
(a) If the Board of Commissioners of a flood prevention |
district determines that an emergency situation exists |
regarding levee repair or flood prevention, and upon an |
ordinance confirming the determination adopted by the |
affirmative vote of a majority of the members of the county |
board of the county in which the district is situated, the |
county may impose a flood prevention
retailers' occupation tax |
|
upon all persons engaged in the business of
selling tangible |
personal property at retail within the territory of the |
district to provide revenue to pay the costs of providing |
emergency levee repair and flood prevention and to secure the |
payment of bonds, notes, and other evidences of indebtedness |
issued under this Act for a period not to exceed 25 years or as |
required to repay the bonds, notes, and other evidences of |
indebtedness issued under this Act.
The tax rate shall be 0.25%
|
of the gross receipts from all taxable sales made in the course |
of that
business. The tax
imposed under this Section and all |
civil penalties that may be
assessed as an incident thereof |
shall be collected and enforced by the
State Department of |
Revenue. The Department shall have full power to
administer and |
enforce this Section; to collect all taxes and penalties
so |
collected in the manner hereinafter provided; and to determine |
all
rights to credit memoranda arising on account of the |
erroneous payment
of tax or penalty hereunder. |
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection (i) have the same rights, remedies, privileges, |
immunities, powers, and duties, (ii) are subject to the same |
conditions, restrictions, limitations, penalties, and |
definitions of terms, and (iii) shall employ the same modes of |
procedure as are set forth in Sections 1 through 1o, 2 through |
2-70 (in respect to all provisions contained in those Sections |
other than the State rate of tax), 2a through 2h, 3 (except as |
|
to the disposition of taxes and penalties collected), 4, 5, 5a, |
5b, 5c, 5d, 5e, 5f, 5g, 5h, 5i, 5l, 6, 6a, 6b, 6c, 6d, 7, 8, 9, |
10, 11, 11a, 12, and 13 of the Retailers' Occupation Tax Act |
and all provisions of the Uniform Penalty and Interest Act as |
if those provisions were set forth in this subsection. |
Persons subject to any tax imposed under this Section may |
reimburse themselves for their seller's tax
liability |
hereunder by separately stating the tax as an additional
|
charge, which charge may be stated in combination in a single |
amount
with State taxes that sellers are required to collect |
under the Use
Tax Act, under any bracket schedules the
|
Department may prescribe. |
If a tax is imposed under this subsection (a), a tax shall |
also
be imposed under subsection (b) of this Section. |
(b) If a tax has been imposed under subsection (a), a flood |
prevention service occupation
tax shall
also be imposed upon |
all persons engaged within the territory of the district in
the |
business of making sales of service, who, as an incident to |
making the sales
of service, transfer tangible personal |
property,
either in the form of tangible personal property or |
in the form of real estate
as an incident to a sale of service |
to provide revenue to pay the costs of providing emergency |
levee repair and flood prevention and to secure the payment of |
bonds, notes, and other evidences of indebtedness issued under |
this Act for a period not to exceed 25 years or as required to |
repay the bonds, notes, and other evidences of indebtedness. |
|
The tax rate shall be 0.25% of the selling price
of all |
tangible personal property transferred. |
The tax imposed under this subsection and all civil
|
penalties that may be assessed as an incident thereof shall be |
collected
and enforced by the State Department of Revenue. The |
Department shall
have full power to administer and enforce this |
subsection; to collect all
taxes and penalties due hereunder; |
to dispose of taxes and penalties
collected in the manner |
hereinafter provided; and to determine all
rights to credit |
memoranda arising on account of the erroneous payment
of tax or |
penalty hereunder. |
In the administration of and compliance with this |
subsection, the Department and persons who are subject to this |
subsection shall (i) have the same rights, remedies, |
privileges, immunities, powers, and duties, (ii) be subject to |
the same conditions, restrictions, limitations, penalties, and |
definitions of terms, and (iii) employ the same modes of |
procedure as are set forth in Sections 2 (except that the |
reference to State in the definition of supplier maintaining a |
place of business in this State means the district), 2a through |
2d, 3 through 3-50 (in respect to all provisions contained in |
those Sections other than the State rate of tax), 4 (except |
that the reference to the State shall be to the district), 5, |
7, 8 (except that the jurisdiction to which the tax is a debt |
to the extent indicated in that Section 8 is the district), 9 |
(except as to the disposition of taxes and penalties |
|
collected), 10, 11, 12 (except the reference therein to Section |
2b of the Retailers' Occupation Tax Act), 13 (except that any |
reference to the State means the district), Section 15, 16, 17, |
18, 19, and 20 of the Service Occupation Tax Act and all |
provisions of the Uniform Penalty and Interest Act, as fully as |
if those provisions were set forth herein. |
Persons subject to any tax imposed under the authority |
granted
in this subsection may reimburse themselves for their |
serviceman's tax
liability hereunder by separately stating the |
tax as an additional
charge, that charge may be stated in |
combination in a single amount
with State tax that servicemen |
are authorized to collect under the
Service Use Tax Act, under |
any bracket schedules the
Department may prescribe. |
(c) The taxes imposed in subsections (a) and (b) may not be |
imposed on personal property titled or registered with an |
agency of the State; food for human consumption that is to be |
consumed off the premises where it is sold (other than |
alcoholic beverages, soft drinks, and food that has been |
prepared for immediate consumption); prescription and |
non-prescription medicines, drugs, and medical appliances; |
modifications to a motor vehicle for the purpose of rendering |
it usable by a person with a disability; or insulin, urine |
testing materials, and syringes and needles used by diabetics. |
(d) Nothing in this Section shall be construed to authorize |
the
district to impose a tax upon the privilege of engaging in |
any business
that under the Constitution of the United States |
|
may not be made the
subject of taxation by the State. |
(e) The certificate of registration that is issued by the |
Department to a retailer under the Retailers' Occupation Tax |
Act or a serviceman under the Service Occupation Tax Act |
permits the retailer or serviceman to engage in a business that |
is taxable without registering separately with the Department |
under an ordinance or resolution under this Section. |
(f) The Department shall immediately pay over to the State |
Treasurer, ex officio, as trustee, all taxes and penalties |
collected under this Section to be deposited into the Flood |
Prevention Occupation Tax Fund, which shall be an |
unappropriated trust fund held outside the State treasury. |
On or before the 25th day of each calendar month, the |
Department shall prepare and certify to the Comptroller the |
disbursement of stated sums of money to the counties from which |
retailers or servicemen have paid taxes or penalties to the |
Department during the second preceding calendar month. The |
amount to be paid to each county is equal to the amount (not |
including credit memoranda) collected from the county under |
this Section during the second preceding calendar month by the |
Department, (i) less 2% of that amount, which shall be |
deposited into the Tax Compliance and Administration Fund and |
shall be used by the Department in administering and enforcing |
the provisions of this Section on behalf of the county, (ii) |
plus an amount that the Department determines is necessary to |
offset any amounts that were erroneously paid to a different |
|
taxing body; (iii) less an amount equal to the amount of |
refunds made during the second preceding calendar month by the |
Department on behalf of the county; and (iv) less any amount |
that the Department determines is necessary to offset any |
amounts that were payable to a different taxing body but were |
erroneously paid to the county. When certifying the amount of a |
monthly disbursement to a county under this Section, the |
Department shall increase or decrease the amounts by an amount |
necessary to offset any miscalculation of previous |
disbursements within the previous 6 months from the time a |
miscalculation is discovered. |
Within 10 days after receipt by the Comptroller from the |
Department of the disbursement certification to the counties |
provided for in this Section, the Comptroller shall cause the |
orders to be drawn for the respective amounts in accordance |
with directions contained in the certification. |
If the Department determines that a refund should be made |
under this Section to a claimant instead of issuing a credit |
memorandum, then the Department shall notify the Comptroller, |
who shall cause the order to be drawn for the amount specified |
and to the person named in the notification from the |
Department. The refund shall be paid by the Treasurer out of |
the Flood Prevention Occupation Tax Fund. |
(g) If a county imposes a tax under this Section, then the |
county board shall, by ordinance, discontinue the tax upon the |
payment of all indebtedness of the flood prevention district. |
|
The tax shall not be discontinued until all indebtedness of the |
District has been paid. |
(h) Any ordinance imposing the tax under this Section, or |
any ordinance that discontinues the tax, must be certified by |
the county clerk and filed with the Illinois Department of |
Revenue either (i) on or before the first day of April, |
whereupon the Department shall proceed to administer and |
enforce the tax or change in the rate as of the first day of |
July next following the filing; or (ii) on or before the first |
day of October, whereupon the Department shall proceed to |
administer and enforce the tax or change in the rate as of the |
first day of January next following the filing. |
(j) County Flood Prevention Occupation Tax Fund. All |
proceeds received by a county from a tax distribution under |
this Section must be maintained in a special fund known as the |
[name of county] flood prevention occupation tax fund. The |
county shall, at the direction of the flood prevention |
district, use moneys in the fund to pay the costs of providing |
emergency levee repair and flood prevention and to pay bonds, |
notes, and other evidences of indebtedness issued under this |
Act. |
(k) This Section may be cited as the Flood Prevention |
Occupation Tax Law.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-217, eff. 7-31-15; |
revised 11-6-15.)
|
|
Section 230. The Mt. Carmel Regional Port District Act is |
amended by changing Section 22 as follows:
|
(70 ILCS 1835/22) (from Ch. 19, par. 722)
|
Sec. 22.
Members of the Board shall hold office until their |
respective successors
have been appointed and qualified. Any |
member may resign from his office to
take effect when his |
successor has been appointed and qualified. The
Governor may |
remove any member of the Board in case of incompetency,
neglect |
of duty or malfeasance in office. He shall give such member a |
copy
of the charges against him and an opportunity to be |
publicly heard in
person or by counsel in his own defense upon |
not less than 10 days' day's notice.
In case of failure to |
qualify within the time required, or of abandonment
of his |
office, or in case of death, conviction of a felony or removal |
from
office, the office of such member shall become vacant. |
Each vacancy shall
be filled for the unexpired term by |
appointment in like manner as in case
of expiration of the term |
of a member of the Board.
|
(Source: P.A. 76-1788; revised 10-9-15.)
|
Section 235. The Local Mass Transit District Act is amended |
by changing Section 5 as follows:
|
(70 ILCS 3610/5) (from Ch. 111 2/3, par. 355)
|
Sec. 5.
(a) The Board of Trustees of every District may |
|
establish or
acquire any or all manner of mass transit |
facility. The Board may engage
in the business of |
transportation of passengers on scheduled routes and
by |
contract on nonscheduled routes within the territorial limits |
of the
counties or municipalities creating the District, by |
whatever means it
may decide. Its routes may be extended beyond |
such territorial limits
with the consent of the governing |
bodies of the municipalities or
counties into which such |
operation is extended.
|
(b) The Board of Trustees of every District may for the |
purposes of
the District, acquire by gift, purchase, lease, |
legacy, condemnation, or
otherwise and hold, use, improve, |
maintain, operate, own, manage or
lease, as lessor or lessee, |
such cars, buses, equipment, buildings,
structures, real and |
personal property, and interests therein, and services,
lands |
for
terminal and other related facilities, improvements and |
services, or
any interest therein, including all or
any part of |
the plant, land, buildings, equipment, vehicles, licenses,
|
franchises,
patents, property, service contracts and |
agreements of every kind and
nature.
Real property may be so |
acquired if it is situated within or partially
within the area |
served by the District or if it is outside the area
if it is |
desirable or necessary for the purposes of the District.
|
(c) The Board of Trustees of every District which |
establishes, provides,
or
acquires mass transit facilities or |
services may contract with any person
or
corporation or public |
|
or private entity for the operation or provision
thereof upon |
such terms and conditions as
the District shall determine.
|
(d) The Board of Trustees of every District shall have the |
authority
to contract for any and all purposes of the District, |
including with an
interstate
transportation authority, or with |
another local
Mass Transit District or any other municipal, |
public, or private
corporation
entity in
the transportation |
business including the authority to contract to lease
its or |
otherwise provide land, buildings, and equipment, and other
|
related facilities, improvements, and services, for the |
carriage of
passengers beyond the territorial
limits of the |
District or to subsidize transit operations by a public or
|
private
or municipal corporation operating entity providing |
mass transit
facilities.
|
(e) The Board of Trustees of every District shall have the |
authority
to establish, alter and discontinue transportation |
routes and services and
any or all
ancillary or supporting |
facilities and services, and to establish and amend
rate
|
schedules for the transportation of persons thereon or for the |
public or
private use thereof which rate schedules shall, |
together with any
grants, receipts or income from other |
sources, be sufficient to pay the
expenses of the District, the |
repair, maintenance and the safe and
adequate operation of its |
mass transit facilities and public mass
transportation
system |
and to fulfill the terms of its debts, undertakings, and
|
obligations.
|
|
(f) The Board of Trustees of every District shall have |
perpetual
succession and shall have the following powers in |
addition to any others
in this Act granted:
|
(1) to sue and be sued;
|
(2) to adopt and use a seal;
|
(3) to make and execute contracts loans, leases, |
subleases, installment
purchase agreements, contracts, |
notes and other instruments evidencing
financial |
obligations, and other instruments necessary or
convenient |
in the exercise of its powers;
|
(4) to make, amend and repeal bylaws, rules and |
regulations not
inconsistent with this Act;
|
(5) to sell, lease, sublease, license, transfer, |
convey or
otherwise dispose of any of its real or personal |
property, or
interests
therein, in whole or in part, at any |
time upon such terms and conditions as
it may determine,
|
with public bidding if the value exceeds $1,000 at |
negotiated, competitive,
public, or private sale;
|
(6) to invest funds, not required for immediate |
disbursement, in
property, agreements, or securities legal |
for investment of public
funds
controlled by
savings banks |
under applicable law;
|
(7) to mortgage, pledge, hypothecate or otherwise |
encumber all or
any part of its real or personal property |
or other assets, or
interests therein;
|
(8) to apply for, accept and use grants, loans or other |
|
financial
assistance from any private entity or municipal, |
county, State or Federal
governmental
agency or other |
public entity;
|
(9) to borrow money from the United States Government |
or any agency
thereof, or from any other public or private |
source, for the purposes of
the District and,
as evidence |
thereof, to issue its revenue bonds, payable solely from |
the
revenue derived from the operation of the District. |
These bonds may be
issued with maturities not exceeding 40 |
years from the date of the
bonds, and in such amounts as |
may be necessary to provide sufficient
funds, together with |
interest, for the purposes of the District. These
bonds |
shall bear interest at a rate of not more than the maximum |
rate
authorized by the Bond Authorization Act, as amended |
at the time of the
making of the contract of sale, payable |
semi-annually, may be made
registerable as to
principal, |
and may be made payable and callable as provided on any
|
interest payment date at a price of
par and accrued |
interest under such terms and conditions as may be fixed by |
the
ordinance authorizing the issuance of the bonds. Bonds |
issued under this
Section are negotiable instruments. They |
shall be executed by the chairman and
members of the Board |
of Trustees, attested by the secretary, and shall be
sealed |
with the corporate seal of
the District. In case any |
Trustee or officer whose signature appears on the
bonds or
|
coupons ceases to hold that office before the bonds are |
|
delivered, such
officer's
signature, shall nevertheless be |
valid and sufficient for all purposes, the
same as though |
such officer had remained in office until the bonds
were |
delivered. The
bonds shall be sold in such manner and upon |
such terms as the Board of Trustees
shall determine, except |
that the selling price shall be such that the interest
cost |
to the District of the proceeds of the bonds shall not |
exceed the maximum
rate authorized by the Bond |
Authorization Act, as amended at the time of the
making of |
the contract of sale, payable semi-annually, computed to |
maturity
according
to the standard table of bond values.
|
The ordinance shall fix the amount of revenue bonds |
proposed to be
issued, the maturity or maturities, the |
interest rate, which shall not
exceed the maximum rate |
authorized by the Bond Authorization Act, as amended
at the |
time of the making of the contract of sale, and all the |
details in
connection
with the bonds. The ordinance may |
contain such covenants and restrictions upon
the issuance |
of additional revenue bonds thereafter, which will share |
equally
in the revenue of the District, as may be deemed |
necessary or advisable for
the
assurance of the payment of |
the bonds first issued. Any District may also
provide in |
the ordinance authorizing the issuance of bonds under this |
Section
that the bonds, or such ones thereof as may be |
specified, shall, to the extent
and in the manner |
prescribed, be subordinated and be junior in standing, with
|
|
respect to the payment of principal and interest and the |
security thereof, to
such other bonds as are designated in |
the ordinance.
|
The ordinance shall pledge the revenue derived from the |
operations of
the District for the purpose of paying the |
cost of operation and
maintenance of the District, and, as |
applicable, providing adequate
depreciation funds,
and |
paying the principal of and interest on the bonds of the |
District
issued under this Section ; .
|
(10) subject to Section 5.1, to levy a tax on property |
within the
District at the rate of not to exceed .25% on |
the assessed value of such
property in the manner provided |
in the "The Illinois Municipal Budget Law ",
approved July |
12, 1937, as amended ;
|
(11) to issue tax anticipation warrants;
|
(12) to contract with any school district in this State |
to provide
for the transportation of pupils to and from |
school within such district
pursuant to the provisions of |
Section 29-15 of the School Code;
|
(13) to provide for the insurance of any property, |
directors,
officers, employees or operations of the |
District against any risk or
hazard, and to self-insure or |
participate in joint self-insurance pools or
entities to |
insure against such risk or hazard;
|
(14) to use its established funds, personnel, and other |
resources to
acquire, construct, operate, and maintain |
|
bikeways and trails. Districts
may cooperate with other |
governmental and private agencies in bikeway and
trail |
programs; and
|
(15) to acquire, own, maintain, construct, |
reconstruct, improve, repair,
operate or lease any |
light-rail public transportation system, terminal,
|
terminal facility, public airport, or bridge or toll bridge |
across waters with
any city, state, or both.
|
With respect to instruments for the payment of money issued |
under this
Section either before, on, or after June 6, 1989 |
( the effective date of Public Act 86-4) this amendatory
Act of |
1989 , it is and always has been the intention of the General
|
Assembly (i) that the Omnibus Bond Acts are and always have |
been
supplementary grants of power to issue instruments in |
accordance with the
Omnibus Bond Acts, regardless of any |
provision of this Act that may appear
to be or to have been |
more restrictive than those Acts, (ii) that the
provisions of |
this Section are not a limitation on the supplementary
|
authority granted by the Omnibus Bond Acts, and (iii) that |
instruments
issued under this Section within the supplementary |
authority granted
by the Omnibus Bond Acts are not invalid |
because of any provision of
this Act that may appear to be or |
to have been more restrictive than
those Acts.
|
This Section shall be liberally construed to give effect to |
its purposes.
|
(Source: P.A. 93-590, eff. 1-1-04; revised 10-13-15.)
|
|
Section 240. The Regional Transportation Authority Act is |
amended by changing Section 4.03 as follows:
|
(70 ILCS 3615/4.03) (from Ch. 111 2/3, par. 704.03)
|
Sec. 4.03. Taxes.
|
(a) In order to carry out any of the powers or
purposes of |
the Authority, the Board may by ordinance adopted with the
|
concurrence of 12
of the then Directors, impose throughout the
|
metropolitan region any or all of the taxes provided in this |
Section.
Except as otherwise provided in this Act, taxes |
imposed under this
Section and civil penalties imposed incident |
thereto shall be collected
and enforced by the State Department |
of Revenue. The Department shall
have the power to administer |
and enforce the taxes and to determine all
rights for refunds |
for erroneous payments of the taxes. Nothing in Public Act |
95-708 this amendatory Act of the 95th General Assembly is |
intended to invalidate any taxes currently imposed by the |
Authority. The increased vote requirements to impose a tax |
shall only apply to actions taken after January 1, 2008 ( the |
effective date of Public Act 95-708) this amendatory Act of the |
95th General Assembly .
|
(b) The Board may impose a public transportation tax upon |
all
persons engaged in the metropolitan region in the business |
of selling at
retail motor fuel for operation of motor vehicles |
upon public highways. The
tax shall be at a rate not to exceed |
|
5% of the gross receipts from the sales
of motor fuel in the |
course of the business. As used in this Act, the term
"motor |
fuel" shall have the same meaning as in the Motor Fuel Tax Law. |
The Board may provide for details of the tax. The provisions of
|
any tax shall conform, as closely as may be practicable, to the |
provisions
of the Municipal Retailers Occupation Tax Act, |
including without limitation,
conformity to penalties with |
respect to the tax imposed and as to the powers of
the State |
Department of Revenue to promulgate and enforce rules and |
regulations
relating to the administration and enforcement of |
the provisions of the tax
imposed, except that reference in the |
Act to any municipality shall refer to
the Authority and the |
tax shall be imposed only with regard to receipts from
sales of |
motor fuel in the metropolitan region, at rates as limited by |
this
Section.
|
(c) In connection with the tax imposed under paragraph (b) |
of
this Section the Board may impose a tax upon the privilege |
of using in
the metropolitan region motor fuel for the |
operation of a motor vehicle
upon public highways, the tax to |
be at a rate not in excess of the rate
of tax imposed under |
paragraph (b) of this Section. The Board may
provide for |
details of the tax.
|
(d) The Board may impose a motor vehicle parking tax upon |
the
privilege of parking motor vehicles at off-street parking |
facilities in
the metropolitan region at which a fee is |
charged, and may provide for
reasonable classifications in and |
|
exemptions to the tax, for
administration and enforcement |
thereof and for civil penalties and
refunds thereunder and may |
provide criminal penalties thereunder, the
maximum penalties |
not to exceed the maximum criminal penalties provided
in the |
Retailers' Occupation Tax Act. The
Authority may collect and |
enforce the tax itself or by contract with
any unit of local |
government. The State Department of Revenue shall have
no |
responsibility for the collection and enforcement unless the
|
Department agrees with the Authority to undertake the |
collection and
enforcement. As used in this paragraph, the term |
"parking facility"
means a parking area or structure having |
parking spaces for more than 2
vehicles at which motor vehicles |
are permitted to park in return for an
hourly, daily, or other |
periodic fee, whether publicly or privately
owned, but does not |
include parking spaces on a public street, the use
of which is |
regulated by parking meters.
|
(e) The Board may impose a Regional Transportation |
Authority
Retailers' Occupation Tax upon all persons engaged in |
the business of
selling tangible personal property at retail in |
the metropolitan region.
In Cook County the tax rate shall be |
1.25%
of the gross receipts from sales
of food for human |
consumption that is to be consumed off the premises
where it is |
sold (other than alcoholic beverages, soft drinks and food
that |
has been prepared for immediate consumption) and prescription |
and
nonprescription medicines, drugs, medical appliances and |
insulin, urine
testing materials, syringes and needles used by |
|
diabetics, and 1%
of the
gross receipts from other taxable |
sales made in the course of that business.
In DuPage, Kane, |
Lake, McHenry, and Will Counties, the tax rate shall be 0.75%
|
of the gross receipts from all taxable sales made in the course |
of that
business. The tax
imposed under this Section and all |
civil penalties that may be
assessed as an incident thereof |
shall be collected and enforced by the
State Department of |
Revenue. The Department shall have full power to
administer and |
enforce this Section; to collect all taxes and penalties
so |
collected in the manner hereinafter provided; and to determine |
all
rights to credit memoranda arising on account of the |
erroneous payment
of tax or penalty hereunder. In the |
administration of, and compliance
with this Section, the |
Department and persons who are subject to this
Section shall |
have the same rights, remedies, privileges, immunities,
powers |
and duties, and be subject to the same conditions, |
restrictions,
limitations, penalties, exclusions, exemptions |
and definitions of terms,
and employ the same modes of |
procedure, as are prescribed in Sections 1,
1a, 1a-1, 1c, 1d, |
1e, 1f, 1i, 1j, 2 through 2-65 (in respect to all
provisions |
therein other than the State rate of tax), 2c, 3 (except as to
|
the disposition of taxes and penalties collected), 4, 5, 5a, |
5b, 5c, 5d,
5e, 5f, 5g, 5h, 5i, 5j, 5k, 5l, 6, 6a, 6b, 6c, 6d, |
7, 8, 9, 10, 11, 12 and
13 of the Retailers' Occupation Tax Act |
and Section 3-7 of the
Uniform Penalty and Interest Act, as |
fully as if those
provisions were set forth herein.
|
|
Persons subject to any tax imposed under the authority |
granted
in this Section may reimburse themselves for their |
seller's tax
liability hereunder by separately stating the tax |
as an additional
charge, which charge may be stated in |
combination in a single amount
with State taxes that sellers |
are required to collect under the Use
Tax Act, under any |
bracket schedules the
Department may prescribe.
|
Whenever the Department determines that a refund should be |
made under
this Section to a claimant instead of issuing a |
credit memorandum, the
Department shall notify the State |
Comptroller, who shall cause the
warrant to be drawn for the |
amount specified, and to the person named,
in the notification |
from the Department. The refund shall be paid by
the State |
Treasurer out of the Regional Transportation Authority tax
fund |
established under paragraph (n) of this Section.
|
If a tax is imposed under this subsection (e), a tax shall |
also
be imposed under subsections (f) and (g) of this Section.
|
For the purpose of determining whether a tax authorized |
under this
Section is applicable, a retail sale by a producer |
of coal or other
mineral mined in Illinois, is a sale at retail |
at the place where the
coal or other mineral mined in Illinois |
is extracted from the earth.
This paragraph does not apply to |
coal or other mineral when it is
delivered or shipped by the |
seller to the purchaser at a point outside
Illinois so that the |
sale is exempt under the Federal Constitution as a
sale in |
interstate or foreign commerce.
|
|
No tax shall be imposed or collected under this subsection |
on the sale of a motor vehicle in this State to a resident of |
another state if that motor vehicle will not be titled in this |
State.
|
Nothing in this Section shall be construed to authorize the |
Regional
Transportation Authority to impose a tax upon the |
privilege of engaging
in any business that under the |
Constitution of the United States may
not be made the subject |
of taxation by this State.
|
(f) If a tax has been imposed under paragraph (e), a
|
Regional Transportation Authority Service Occupation
Tax shall
|
also be imposed upon all persons engaged, in the metropolitan |
region in
the business of making sales of service, who as an |
incident to making the sales
of service, transfer tangible |
personal property within the metropolitan region,
either in the |
form of tangible personal property or in the form of real |
estate
as an incident to a sale of service. In Cook County, the |
tax rate
shall be: (1) 1.25%
of the serviceman's cost price of |
food prepared for
immediate consumption and transferred |
incident to a sale of service subject
to the service occupation |
tax by an entity licensed under the Hospital
Licensing Act, the |
Nursing Home Care Act, the Specialized Mental Health |
Rehabilitation Act of 2013, the ID/DD Community Care Act, or |
the MC/DD Act that is located in the metropolitan
region; (2) |
1.25%
of the selling price of food for human consumption that |
is to
be consumed off the premises where it is sold (other than |
|
alcoholic
beverages, soft drinks and food that has been |
prepared for immediate
consumption) and prescription and |
nonprescription medicines, drugs, medical
appliances and |
insulin, urine testing materials, syringes and needles used
by |
diabetics; and (3) 1%
of the selling price from other taxable |
sales of
tangible personal property transferred. In DuPage, |
Kane, Lake,
McHenry and Will Counties the rate shall be 0.75%
|
of the selling price
of all tangible personal property |
transferred.
|
The tax imposed under this paragraph and all civil
|
penalties that may be assessed as an incident thereof shall be |
collected
and enforced by the State Department of Revenue. The |
Department shall
have full power to administer and enforce this |
paragraph; to collect all
taxes and penalties due hereunder; to |
dispose of taxes and penalties
collected in the manner |
hereinafter provided; and to determine all
rights to credit |
memoranda arising on account of the erroneous payment
of tax or |
penalty hereunder. In the administration of and compliance
with |
this paragraph, the Department and persons who are subject to |
this
paragraph shall have the same rights, remedies, |
privileges, immunities,
powers and duties, and be subject to |
the same conditions, restrictions,
limitations, penalties, |
exclusions, exemptions and definitions of terms,
and employ the |
same modes of procedure, as are prescribed in Sections 1a-1, 2,
|
2a, 3 through 3-50 (in respect to all provisions therein other |
than the
State rate of tax), 4 (except that the reference to |
|
the State shall be to
the Authority), 5, 7, 8 (except that the |
jurisdiction to which the tax
shall be a debt to the extent |
indicated in that Section 8 shall be the
Authority), 9 (except |
as to the disposition of taxes and penalties
collected, and |
except that the returned merchandise credit for this tax may
|
not be taken against any State tax), 10, 11, 12 (except the |
reference
therein to Section 2b of the Retailers' Occupation |
Tax Act), 13 (except
that any reference to the State shall mean |
the Authority), the first
paragraph of Section 15, 16, 17, 18, |
19 and 20 of the Service
Occupation Tax Act and Section 3-7 of |
the Uniform Penalty and Interest
Act, as fully as if those |
provisions were set forth herein.
|
Persons subject to any tax imposed under the authority |
granted
in this paragraph may reimburse themselves for their |
serviceman's tax
liability hereunder by separately stating the |
tax as an additional
charge, that charge may be stated in |
combination in a single amount
with State tax that servicemen |
are authorized to collect under the
Service Use Tax Act, under |
any bracket schedules the
Department may prescribe.
|
Whenever the Department determines that a refund should be |
made under
this paragraph to a claimant instead of issuing a |
credit memorandum, the
Department shall notify the State |
Comptroller, who shall cause the
warrant to be drawn for the |
amount specified, and to the person named
in the notification |
from the Department. The refund shall be paid by
the State |
Treasurer out of the Regional Transportation Authority tax
fund |
|
established under paragraph (n) of this Section.
|
Nothing in this paragraph shall be construed to authorize |
the
Authority to impose a tax upon the privilege of engaging in |
any business
that under the Constitution of the United States |
may not be made the
subject of taxation by the State.
|
(g) If a tax has been imposed under paragraph (e), a tax |
shall
also be imposed upon the privilege of using in the |
metropolitan region,
any item of tangible personal property |
that is purchased outside the
metropolitan region at retail |
from a retailer, and that is titled or
registered with an |
agency of this State's government. In Cook County the
tax rate |
shall be 1%
of the selling price of the tangible personal |
property,
as "selling price" is defined in the Use Tax Act. In |
DuPage, Kane, Lake,
McHenry and Will counties the tax rate |
shall be 0.75%
of the selling price of
the tangible personal |
property, as "selling price" is defined in the
Use Tax Act. The |
tax shall be collected from persons whose Illinois
address for |
titling or registration purposes is given as being in the
|
metropolitan region. The tax shall be collected by the |
Department of
Revenue for the Regional Transportation |
Authority. The tax must be paid
to the State, or an exemption |
determination must be obtained from the
Department of Revenue, |
before the title or certificate of registration for
the |
property may be issued. The tax or proof of exemption may be
|
transmitted to the Department by way of the State agency with |
which, or the
State officer with whom, the tangible personal |
|
property must be titled or
registered if the Department and the |
State agency or State officer
determine that this procedure |
will expedite the processing of applications
for title or |
registration.
|
The Department shall have full power to administer and |
enforce this
paragraph; to collect all taxes, penalties and |
interest due hereunder;
to dispose of taxes, penalties and |
interest collected in the manner
hereinafter provided; and to |
determine all rights to credit memoranda or
refunds arising on |
account of the erroneous payment of tax, penalty or
interest |
hereunder. In the administration of and compliance with this
|
paragraph, the Department and persons who are subject to this |
paragraph
shall have the same rights, remedies, privileges, |
immunities, powers and
duties, and be subject to the same |
conditions, restrictions,
limitations, penalties, exclusions, |
exemptions and definitions of terms
and employ the same modes |
of procedure, as are prescribed in Sections 2
(except the |
definition of "retailer maintaining a place of business in this
|
State"), 3 through 3-80 (except provisions pertaining to the |
State rate
of tax, and except provisions concerning collection |
or refunding of the tax
by retailers), 4, 11, 12, 12a, 14, 15, |
19 (except the portions pertaining
to claims by retailers and |
except the last paragraph concerning refunds),
20, 21 and 22 of |
the Use Tax Act, and are not inconsistent with this
paragraph, |
as fully as if those provisions were set forth herein.
|
Whenever the Department determines that a refund should be |
|
made under
this paragraph to a claimant instead of issuing a |
credit memorandum, the
Department shall notify the State |
Comptroller, who shall cause the order
to be drawn for the |
amount specified, and to the person named in the
notification |
from the Department. The refund shall be paid by the State
|
Treasurer out of the Regional Transportation Authority tax fund
|
established under paragraph (n) of this Section.
|
(h) The Authority may impose a replacement vehicle tax of |
$50 on any
passenger car as defined in Section 1-157 of the |
Illinois Vehicle Code
purchased within the metropolitan region |
by or on behalf of an
insurance company to replace a passenger |
car of
an insured person in settlement of a total loss claim. |
The tax imposed
may not become effective before the first day |
of the month following the
passage of the ordinance imposing |
the tax and receipt of a certified copy
of the ordinance by the |
Department of Revenue. The Department of Revenue
shall collect |
the tax for the Authority in accordance with Sections 3-2002
|
and 3-2003 of the Illinois Vehicle Code.
|
The Department shall immediately pay over to the State |
Treasurer,
ex officio, as trustee, all taxes collected |
hereunder. |
As soon as possible after the first day of each month, |
beginning January 1, 2011, upon certification of the Department |
of Revenue, the Comptroller shall order transferred, and the |
Treasurer shall transfer, to the STAR Bonds Revenue Fund the |
local sales tax increment, as defined in the Innovation |
|
Development and Economy Act, collected under this Section |
during the second preceding calendar month for sales within a |
STAR bond district. |
After the monthly transfer to the STAR Bonds Revenue Fund, |
on
or before the 25th day of each calendar month, the |
Department shall
prepare and certify to the Comptroller the |
disbursement of stated sums
of money to the Authority. The |
amount to be paid to the Authority shall be
the amount |
collected hereunder during the second preceding calendar month
|
by the Department, less any amount determined by the Department |
to be
necessary for the payment of refunds, and less any |
amounts that are transferred to the STAR Bonds Revenue Fund. |
Within 10 days after receipt by the
Comptroller of the |
disbursement certification to the Authority provided
for in |
this Section to be given to the Comptroller by the Department, |
the
Comptroller shall cause the orders to be drawn for that |
amount in
accordance with the directions contained in the |
certification.
|
(i) The Board may not impose any other taxes except as it |
may from
time to time be authorized by law to impose.
|
(j) A certificate of registration issued by the State |
Department of
Revenue to a retailer under the Retailers' |
Occupation Tax Act or under the
Service Occupation Tax Act |
shall permit the registrant to engage in a
business that is |
taxed under the tax imposed under paragraphs
(b), (e), (f) or |
(g) of this Section and no additional registration
shall be |
|
required under the tax. A certificate issued under the
Use Tax |
Act or the Service Use Tax Act shall be applicable with regard |
to
any tax imposed under paragraph (c) of this Section.
|
(k) The provisions of any tax imposed under paragraph (c) |
of
this Section shall conform as closely as may be practicable |
to the
provisions of the Use Tax Act, including
without |
limitation conformity as to penalties with respect to the tax
|
imposed and as to the powers of the State Department of Revenue |
to
promulgate and enforce rules and regulations relating to the
|
administration and enforcement of the provisions of the tax |
imposed.
The taxes shall be imposed only on use within the |
metropolitan region
and at rates as provided in the paragraph.
|
(l) The Board in imposing any tax as provided in paragraphs |
(b)
and (c) of this Section, shall, after seeking the advice of |
the State
Department of Revenue, provide means for retailers, |
users or purchasers
of motor fuel for purposes other than those |
with regard to which the
taxes may be imposed as provided in |
those paragraphs to receive refunds
of taxes improperly paid, |
which provisions may be at variance with the
refund provisions |
as applicable under the Municipal Retailers
Occupation Tax Act. |
The State Department of Revenue may provide for
certificates of |
registration for users or purchasers of motor fuel for purposes
|
other than those with regard to which taxes may be imposed as |
provided in
paragraphs (b) and (c) of this Section to |
facilitate the reporting and
nontaxability of the exempt sales |
or uses.
|
|
(m) Any ordinance imposing or discontinuing any tax under |
this Section shall
be adopted and a certified copy thereof |
filed with the Department on or before
June 1, whereupon the |
Department of Revenue shall proceed to administer and
enforce |
this Section on behalf of the Regional Transportation Authority |
as of
September 1 next following such adoption and filing.
|
Beginning January 1, 1992, an ordinance or resolution imposing |
or
discontinuing the tax hereunder shall be adopted and a |
certified copy
thereof filed with the Department on or before |
the first day of July,
whereupon the Department shall proceed |
to administer and enforce this
Section as of the first day of |
October next following such adoption and
filing. Beginning |
January 1, 1993, an ordinance or resolution imposing, |
increasing, decreasing, or
discontinuing the tax hereunder |
shall be adopted and a certified copy
thereof filed with the |
Department,
whereupon the Department shall proceed to |
administer and enforce this
Section as of the first day of the |
first month to occur not less than 60 days
following such |
adoption and filing. Any ordinance or resolution of the |
Authority imposing a tax under this Section and in effect on |
August 1, 2007 shall remain in full force and effect and shall |
be administered by the Department of Revenue under the terms |
and conditions and rates of tax established by such ordinance |
or resolution until the Department begins administering and |
enforcing an increased tax under this Section as authorized by |
Public Act 95-708 this amendatory Act of the 95th General |
|
Assembly . The tax rates authorized by Public Act 95-708 this |
amendatory Act of the 95th General Assembly are effective only |
if imposed by ordinance of the Authority.
|
(n) The State Department of Revenue shall, upon collecting |
any taxes
as provided in this Section, pay the taxes over to |
the State Treasurer
as trustee for the Authority. The taxes |
shall be held in a trust fund
outside the State Treasury. On or |
before the 25th day of each calendar
month, the State |
Department of Revenue shall prepare and certify to the
|
Comptroller of the State of Illinois and
to the Authority (i) |
the
amount of taxes collected in each County other than Cook |
County in the
metropolitan region, (ii)
the amount of taxes |
collected within the City
of Chicago,
and (iii) the amount |
collected in that portion
of Cook County outside of Chicago, |
each amount less the amount necessary for the payment
of |
refunds to taxpayers located in those areas described in items |
(i), (ii), and (iii).
Within 10 days after receipt by the |
Comptroller of the certification of
the amounts, the |
Comptroller shall cause an
order to be drawn for the payment of |
two-thirds of the amounts certified in item (i) of this |
subsection to the Authority and one-third of the amounts |
certified in item (i) of this subsection to the respective |
counties other than Cook County and the amount certified in |
items (ii) and (iii) of this subsection to the Authority.
|
In addition to the disbursement required by the preceding |
paragraph, an
allocation shall be made in July 1991 and each |
|
year thereafter to the
Regional Transportation Authority. The |
allocation shall be made in an
amount equal to the average |
monthly distribution during the preceding
calendar year |
(excluding the 2 months of lowest receipts) and the
allocation |
shall include the amount of average monthly distribution from
|
the Regional Transportation Authority Occupation and Use Tax |
Replacement
Fund. The distribution made in July 1992 and each |
year thereafter under
this paragraph and the preceding |
paragraph shall be reduced by the amount
allocated and |
disbursed under this paragraph in the preceding calendar
year. |
The Department of Revenue shall prepare and certify to the
|
Comptroller for disbursement the allocations made in |
accordance with this
paragraph.
|
(o) Failure to adopt a budget ordinance or otherwise to |
comply with
Section 4.01 of this Act or to adopt a Five-year |
Capital Program or otherwise to
comply with paragraph (b) of |
Section 2.01 of this Act shall not affect
the validity of any |
tax imposed by the Authority otherwise in conformity
with law.
|
(p) At no time shall a public transportation tax or motor |
vehicle
parking tax authorized under paragraphs (b), (c) and |
(d) of this Section
be in effect at the same time as any |
retailers' occupation, use or
service occupation tax |
authorized under paragraphs (e), (f) and (g) of
this Section is |
in effect.
|
Any taxes imposed under the authority provided in |
paragraphs (b), (c)
and (d) shall remain in effect only until |
|
the time as any tax
authorized by paragraphs (e), (f) or (g) of |
this Section are imposed and
becomes effective. Once any tax |
authorized by paragraphs (e), (f) or (g)
is imposed the Board |
may not reimpose taxes as authorized in paragraphs
(b), (c) and |
(d) of the Section unless any tax authorized by
paragraphs (e), |
(f) or (g) of this Section becomes ineffective by means
other |
than an ordinance of the Board.
|
(q) Any existing rights, remedies and obligations |
(including
enforcement by the Regional Transportation |
Authority) arising under any
tax imposed under paragraphs (b), |
(c) or (d) of this Section shall not
be affected by the |
imposition of a tax under paragraphs (e), (f) or (g)
of this |
Section.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-180, eff. 7-29-15; |
99-217, eff. 7-31-15; revised 10-9-15.)
|
Section 245. The Water Commission Act of 1985 is amended by |
changing Section 4 as follows:
|
(70 ILCS 3720/4) (from Ch. 111 2/3, par. 254)
|
Sec. 4. Taxes. |
(a) The board of commissioners of any county water |
commission
may, by ordinance, impose throughout the territory |
of the commission any or
all of the taxes provided in this |
Section for its corporate purposes.
However, no county water |
commission may impose any such tax unless the
commission |
|
certifies the proposition of imposing the tax to the proper
|
election officials, who shall submit the proposition to the |
voters residing
in the territory at an election in accordance |
with the general election
law, and the proposition has been |
approved by a majority of those voting on
the proposition.
|
The proposition shall be in the form provided in Section 5 |
or shall be
substantially in the following form:
|
-------------------------------------------------------------
|
Shall the (insert corporate
|
name of county water commission) YES
|
impose (state type of tax or ------------------------
|
taxes to be imposed) at the NO
|
rate of 1/4%?
|
-------------------------------------------------------------
|
Taxes imposed under this Section and civil penalties |
imposed
incident thereto shall be collected and enforced by the |
State Department of
Revenue. The Department shall have the |
power to administer and enforce the
taxes and to determine all |
rights for refunds for erroneous payments of
the taxes.
|
(b) The board of commissioners may impose a County Water |
Commission
Retailers' Occupation Tax upon all persons engaged |
in the business of
selling tangible personal property at retail |
in the territory of the
commission at a rate of 1/4% of the |
gross receipts from the sales made in
the course of such |
business within the territory. The tax imposed under
this |
paragraph and all civil penalties that may be assessed as an |
|
incident
thereof shall be collected and enforced by the State |
Department of Revenue.
The Department shall have full power to |
administer and enforce this
paragraph; to collect all taxes and |
penalties due hereunder; to dispose of
taxes and penalties so |
collected in the manner hereinafter provided; and to
determine |
all rights to credit memoranda arising on account of the
|
erroneous payment of tax or penalty hereunder. In the |
administration of,
and compliance with, this paragraph, the |
Department and persons who are
subject to this paragraph shall |
have the same rights, remedies, privileges,
immunities, powers |
and duties, and be subject to the same conditions,
|
restrictions, limitations, penalties, exclusions, exemptions |
and
definitions of terms, and employ the same modes of |
procedure, as are
prescribed in Sections 1, 1a, 1a-1, 1c, 1d, |
1e, 1f, 1i, 1j, 2 through 2-65
(in respect to all provisions |
therein other than the State rate of tax
except that food for |
human consumption that is to be consumed off the
premises where |
it is sold (other than alcoholic beverages, soft drinks, and
|
food that has been prepared for immediate consumption) and |
prescription
and nonprescription medicine, drugs, medical |
appliances and insulin, urine
testing materials, syringes, and |
needles used by diabetics, for human use,
shall not be subject |
to tax hereunder), 2c, 3 (except as to the disposition
of taxes |
and penalties collected), 4, 5, 5a, 5b, 5c, 5d, 5e, 5f, 5g, 5h,
|
5i, 5j, 5k, 5l, 6, 6a, 6b, 6c, 6d, 7, 8, 9, 10, 11, 12 and 13 of
|
the Retailers' Occupation Tax Act and Section 3-7 of the |
|
Uniform Penalty
and Interest Act, as fully as if those |
provisions were set forth herein.
|
Persons subject to any tax imposed under the authority |
granted in this
paragraph may reimburse themselves for their |
seller's tax liability
hereunder by separately stating the tax |
as an additional charge, which
charge may be stated in |
combination, in a single amount, with State taxes
that sellers |
are required to collect under the Use Tax Act and under
|
subsection (e) of Section 4.03 of the Regional Transportation |
Authority
Act, in accordance with such bracket schedules as the |
Department may prescribe.
|
Whenever the Department determines that a refund should be |
made under this
paragraph to a claimant instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the warrant to be drawn
for the |
amount specified, and to the person named, in the notification
|
from the Department. The refund shall be paid by the State |
Treasurer out
of a county water commission tax fund established |
under paragraph (g) of
this Section.
|
For the purpose of determining whether a tax authorized |
under this paragraph
is applicable, a retail sale by a producer |
of coal or other mineral mined
in Illinois is a sale at retail |
at the place where the coal or other mineral
mined in Illinois |
is extracted from the earth. This paragraph does not
apply to |
coal or other mineral when it is delivered or shipped by the |
seller
to the purchaser at a point outside Illinois so that the |
|
sale is exempt
under the Federal Constitution as a sale in |
interstate or foreign commerce.
|
If a tax is imposed under this subsection (b) a tax shall |
also be
imposed under subsections (c) and (d) of this Section.
|
No tax shall be imposed or collected under this subsection |
on the sale of a motor vehicle in this State to a resident of |
another state if that motor vehicle will not be titled in this |
State.
|
Nothing in this paragraph shall be construed to authorize a |
county water
commission to impose a tax upon the privilege of |
engaging in any
business which under the Constitution of the |
United States may not be made
the subject of taxation by this |
State.
|
(c) If a tax has been imposed under subsection (b), a
|
County Water Commission Service Occupation
Tax shall
also be |
imposed upon all persons engaged, in the territory of the
|
commission, in the business of making sales of service, who, as |
an
incident to making the sales of service, transfer tangible |
personal
property within the territory. The tax rate shall be |
1/4% of the selling
price of tangible personal property so |
transferred within the territory.
The tax imposed under this |
paragraph and all civil penalties that may be
assessed as an |
incident thereof shall be collected and enforced by the
State |
Department of Revenue. The Department shall have full power to
|
administer and enforce this paragraph; to collect all taxes and |
penalties
due hereunder; to dispose of taxes and penalties so |
|
collected in the manner
hereinafter provided; and to determine |
all rights to credit memoranda
arising on account of the |
erroneous payment of tax or penalty hereunder.
In the |
administration of, and compliance with, this paragraph, the
|
Department and persons who are subject to this paragraph shall |
have the
same rights, remedies, privileges, immunities, powers |
and duties, and be
subject to the same conditions, |
restrictions, limitations, penalties,
exclusions, exemptions |
and definitions of terms, and employ the same modes
of |
procedure, as are prescribed in Sections 1a-1, 2 (except that |
the
reference to State in the definition of supplier |
maintaining a place of
business in this State shall mean the |
territory of the commission), 2a, 3
through 3-50 (in respect to |
all provisions therein other than the State
rate of tax except |
that food for human consumption that is to be consumed
off the |
premises where it is sold (other than alcoholic beverages, soft
|
drinks, and food that has been prepared for immediate |
consumption) and
prescription and nonprescription medicines, |
drugs, medical appliances and
insulin, urine testing |
materials, syringes, and needles used by diabetics,
for human |
use, shall not be subject to tax hereunder), 4 (except that the
|
reference to the State shall be to the territory of the |
commission), 5, 7,
8 (except that the jurisdiction to which the |
tax shall be a debt to the
extent indicated in that Section 8 |
shall be the commission), 9 (except as
to the disposition of |
taxes and penalties collected and except that the
returned |
|
merchandise credit for this tax may not be taken against any |
State
tax), 10, 11, 12 (except the reference therein to Section |
2b of the
Retailers' Occupation Tax Act), 13 (except that any |
reference to the State
shall mean the territory of the |
commission), the first paragraph of Section
15, 15.5, 16, 17, |
18, 19 and 20 of the Service Occupation Tax Act as fully
as if |
those provisions were set forth herein.
|
Persons subject to any tax imposed under the authority |
granted in
this paragraph may reimburse themselves for their |
serviceman's tax liability
hereunder by separately stating the |
tax as an additional charge, which
charge may be stated in |
combination, in a single amount, with State tax
that servicemen |
are authorized to collect under the Service Use Tax Act,
and |
any tax for which servicemen may be liable under subsection (f) |
of Section
Sec. 4.03 of the Regional Transportation Authority |
Act, in accordance
with such bracket schedules as the |
Department may prescribe.
|
Whenever the Department determines that a refund should be |
made under this
paragraph to a claimant instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the warrant to be drawn
for the |
amount specified, and to the person named, in the notification |
from
the Department. The refund shall be paid by the State |
Treasurer out of a
county water commission tax fund established |
under paragraph (g) of this
Section.
|
Nothing in this paragraph shall be construed to authorize a |
|
county water
commission to impose a tax upon the privilege of |
engaging in any business
which under the Constitution of the |
United States may not be made the
subject of taxation by the |
State.
|
(d) If a tax has been imposed under subsection (b), a tax |
shall
also imposed upon the privilege of using, in the |
territory of the
commission, any item of tangible personal |
property that is purchased
outside the territory at retail from |
a retailer, and that is titled or
registered with an agency of |
this State's government, at a rate of 1/4% of
the selling price |
of the tangible personal property within the territory,
as |
"selling price" is defined in the Use Tax Act. The tax shall be |
collected
from persons whose Illinois address for titling or |
registration purposes
is given as being in the territory. The |
tax shall be collected by the
Department of Revenue for a |
county water commission. The tax must be paid
to the State, or |
an exemption determination must be obtained from the
Department |
of Revenue, before the title or certificate of registration for
|
the property may be issued. The tax or proof of exemption may |
be
transmitted to the Department by way of the State agency |
with which, or the
State officer with whom, the tangible |
personal property must be titled or
registered if the |
Department and the State agency or State officer
determine that |
this procedure will expedite the processing of applications
for |
title or registration.
|
The Department shall have full power to administer and |
|
enforce this
paragraph; to collect all taxes, penalties and |
interest due hereunder; to
dispose of taxes, penalties and |
interest so collected in the manner
hereinafter provided; and |
to determine all rights to credit memoranda or
refunds arising |
on account of the erroneous payment of tax, penalty or
interest |
hereunder. In the administration of, and compliance with this
|
paragraph, the Department and persons who are subject to this |
paragraph
shall have the same rights, remedies, privileges, |
immunities, powers and
duties, and be subject to the same |
conditions, restrictions, limitations,
penalties, exclusions, |
exemptions and definitions of terms and employ the
same modes |
of procedure, as are prescribed in Sections 2 (except the
|
definition of "retailer maintaining a place of business in this |
State"), 3
through 3-80 (except provisions pertaining to the |
State rate of tax,
and except provisions concerning collection |
or refunding of the tax by
retailers, and except that food for |
human consumption that is to be
consumed off the premises where |
it is sold (other than alcoholic beverages,
soft drinks, and |
food that has been prepared for immediate consumption)
and |
prescription and nonprescription medicines, drugs, medical |
appliances
and insulin, urine testing materials, syringes, and |
needles used by
diabetics, for human use, shall not be subject |
to tax hereunder), 4, 11,
12, 12a, 14, 15, 19 (except the |
portions pertaining to claims by retailers
and except the last |
paragraph concerning refunds), 20, 21 and 22 of the Use
Tax Act |
and Section 3-7 of the Uniform Penalty and Interest Act that |
|
are
not inconsistent with this paragraph, as fully as if those |
provisions were
set forth herein.
|
Whenever the Department determines that a refund should be |
made under this
paragraph to a claimant instead of issuing a |
credit memorandum, the Department
shall notify the State |
Comptroller, who shall cause the order
to be drawn for the |
amount specified, and to the person named, in the
notification |
from the Department. The refund shall be paid by the State
|
Treasurer out of a county water commission tax fund established
|
under paragraph (g) of this Section.
|
(e) A certificate of registration issued by the State |
Department of
Revenue to a retailer under the Retailers' |
Occupation Tax Act or under the
Service Occupation Tax Act |
shall permit the registrant to engage in a
business that is |
taxed under the tax imposed under paragraphs (b), (c)
or (d) of |
this Section and no additional registration shall be required |
under
the tax. A certificate issued under the Use Tax Act or |
the Service Use Tax
Act shall be applicable with regard to any |
tax imposed under paragraph (c)
of this Section.
|
(f) Any ordinance imposing or discontinuing any tax under |
this Section
shall be adopted and a certified copy thereof |
filed with the Department on
or before June 1, whereupon the |
Department of Revenue shall proceed to
administer and enforce |
this Section on behalf of the county water
commission as of |
September 1 next following the adoption and filing.
Beginning |
January 1, 1992, an ordinance or resolution imposing or
|
|
discontinuing the tax hereunder shall be adopted and a |
certified copy
thereof filed with the Department on or before |
the first day of July,
whereupon the Department shall proceed |
to administer and enforce this
Section as of the first day of |
October next following such adoption and
filing. Beginning |
January 1, 1993, an ordinance or resolution imposing or
|
discontinuing the tax hereunder shall be adopted and a |
certified copy
thereof filed with the Department on or before |
the first day of October,
whereupon the Department shall |
proceed to administer and enforce this
Section as of the first |
day of January next following such adoption and filing.
|
(g) The State Department of Revenue shall, upon collecting |
any taxes as
provided in this Section, pay the taxes over to |
the State Treasurer as
trustee for the commission. The taxes |
shall be held in a trust fund outside
the State Treasury. |
As soon as possible after the first day of each month, |
beginning January 1, 2011, upon certification of the Department |
of Revenue, the Comptroller shall order transferred, and the |
Treasurer shall transfer, to the STAR Bonds Revenue Fund the |
local sales tax increment, as defined in the Innovation |
Development and Economy Act, collected under this Section |
during the second preceding calendar month for sales within a |
STAR bond district. |
After the monthly transfer to the STAR Bonds Revenue Fund, |
on or before the 25th day of each calendar month, the
State |
Department of Revenue shall prepare and certify to the |
|
Comptroller of
the State of Illinois the amount to be paid to |
the commission, which shall be
the amount (not including credit |
memoranda) collected under this Section during the second |
preceding calendar month by the Department plus an amount the |
Department determines is necessary to offset any amounts that |
were erroneously paid to a different taxing body, and not |
including any amount equal to the amount of refunds made during |
the second preceding calendar month by the Department on behalf |
of the commission, and not including any amount that the |
Department determines is necessary to offset any amounts that |
were payable to a different taxing body but were erroneously |
paid to the commission, and less any amounts that are |
transferred to the STAR Bonds Revenue Fund. Within 10 days |
after receipt by
the Comptroller of the certification of the |
amount to be paid to the
commission, the Comptroller shall |
cause an order to be drawn for the payment
for the amount in |
accordance with the direction in the certification.
|
(h) Beginning June 1, 2016, any tax imposed pursuant to |
this Section may no longer be imposed or collected, unless a |
continuation of the tax is approved by the voters at a |
referendum as set forth in this Section. |
(Source: P.A. 98-298, eff. 8-9-13; 99-217, eff. 7-31-15; |
revised 11-9-15.)
|
Section 250. The School Code is amended by changing |
Sections 2-3.25a, 2-3.25f, 2-3.64a-5, 5-2.2, 10-17a, 10-29, |
|
14-8.02, 19-1, 21B-20, 21B-45, 22-30, 27-8.1, 27-24.2, 27A-5, |
32-5, 34-2.4, and 34-8.1, by setting forth and renumbering |
multiple versions of Sections 2-3.163 and 22-80, and by setting |
forth, renumbering, and changing multiple versions of Section |
10-20.56 as follows:
|
(105 ILCS 5/2-3.25a) (from Ch. 122, par. 2-3.25a)
|
Sec. 2-3.25a. "School district" defined; additional |
standards.
|
(a) For the purposes of this Section and Sections 3.25b, |
3.25c,
3.25d, 3.25e, and 3.25f of this Code, "school district" |
includes other
public entities responsible for administering |
public schools, such as
cooperatives, joint agreements, |
charter schools, special charter districts,
regional offices |
of
education, local agencies, and the Department of Human |
Services.
|
(b) In addition to the standards
established pursuant to |
Section 2-3.25, the State Board of Education shall
develop |
recognition standards for student performance and school
|
improvement for all
school districts and their individual |
schools, which must be an outcomes-based, balanced |
accountability measure. The State Board of Education is |
prohibited from having separate performance standards for |
students based on race or ethnicity.
|
Subject to the availability of federal, State, public, or |
private funds, the balanced accountability measure must be |
|
designed to focus on 2 components, student performance and |
professional practice. The student performance component shall |
count for 30% of the total balanced accountability measure, and |
the professional practice component shall count for 70% of the |
total balanced accountability measure. The student performance |
component shall focus on student outcomes and closing the |
achievement gaps within each school district and its individual |
schools using a Multiple Measure Index and Annual Measurable |
Objectives, as set forth in Section 2-3.25d of this Code. The |
professional practice component shall focus on the degree to |
which a school district, as well as its individual schools, is |
implementing evidence-based, best professional practices and |
exhibiting continued improvement. Beginning with the 2015-2016 |
school year, the balanced accountability measure shall consist |
of only the student performance component, which shall account |
for 100% of the total balanced accountability measure. From the |
2016-2017 school year through the 2021-2022 school year, the |
State Board of Education and a Balanced Accountability Measure |
Committee shall identify a number of school districts per the |
designated school years to begin implementing the balanced |
accountability measure, which includes both the student |
performance and professional practice components. By the |
2021-2022 school year, all school districts must be |
implementing the balanced accountability measure, which |
includes both components. The Balanced Accountability Measure |
Committee shall consist of the following individuals: a |
|
representative of a statewide association representing |
regional superintendents of schools, a representative of a |
statewide association representing principals, a |
representative of an association representing principals in a |
city having a population exceeding 500,000, a representative of |
a statewide association representing school administrators, a |
representative of a statewide professional teachers' |
organization, a representative of a different statewide |
professional teachers' organization, an additional |
representative from either statewide professional teachers' |
organization, a representative of a professional teachers' |
organization in a city having a population exceeding 500,000, a |
representative of a statewide association representing school |
boards, and a representative of a school district organized |
under Article 34 of this Code. The head of each association or |
entity listed in this paragraph shall appoint its respective |
representative. The State Superintendent of Education, in |
consultation with the Committee, may appoint no more than 2 |
additional individuals to the Committee, which individuals |
shall serve in an advisory role and must not have voting or |
other decision-making rights. The Committee is abolished on |
June 1, 2022. |
Using a Multiple Measure Index consistent with subsection |
(a) of Section 2-3.25d of this Code, the student performance |
component shall consist of the following subcategories, each of |
which must be valued at 10%: |
|
(1) achievement status; |
(2) achievement growth; and |
(3) Annual Measurable Objectives, as set forth in |
subsection (b) of Section 2-3.25d of this Code. |
Achievement status shall measure and assess college and career |
readiness, as well as the graduation rate. Achievement growth |
shall measure the school district's and its individual schools' |
student growth via this State's growth value tables. Annual |
Measurable Objectives shall measure the degree to which school |
districts, as well as their individual schools, are closing |
their achievement gaps among their student population and |
subgroups. |
The professional practice component shall consist of the |
following subcategories: |
(A) compliance; |
(B) evidence-based best practices; and |
(C) contextual improvement. |
Compliance, which shall count for 10%, shall measure the degree |
to which a school district and its individual schools meet the |
current State compliance requirements. Evidence-based best |
practices, which shall count for 30%, shall measure the degree |
to which school districts and their individual schools are |
adhering to a set of evidence-based quality standards and best |
practice for effective schools that include (i) continuous |
improvement, (ii) culture and climate, (iii) shared |
leadership, (iv) governance, (v) education and employee |
|
quality, (vi) family and community connections, and (vii) |
student and learning development and are further developed in |
consultation with the State Board of Education and the Balanced |
Accountability Measure Committee set forth in this subsection |
(b). Contextual improvement, which shall count for 30%, shall |
provide school districts and their individual schools the |
opportunity to demonstrate improved outcomes through local |
data, including without limitation school climate, unique |
characteristics, and barriers that impact the educational |
environment and hinder the development and implementation of |
action plans to address areas of school district and individual |
school improvement. Each school district, in good faith |
cooperation with its teachers or, where applicable, the |
exclusive bargaining representatives of its teachers, shall |
develop 2 measurable objectives to demonstrate contextual |
improvement, each of which must be equally weighted. Each |
school district shall begin such good faith cooperative |
development of these objectives no later than 6 months prior to |
the beginning of the school year in which the school district |
is to implement the professional practice component of the |
balanced accountability measure. The professional practice |
component must be scored using trained peer review teams that |
observe and verify school district practices using an |
evidence-based framework. |
The balanced accountability measure shall combine the |
student performance and professional practice components into |
|
one summative score based on 100 points at the school district |
and individual-school level. A school district shall be |
designated as "Exceeds Standards - Exemplar" if the overall |
score is 100 to 90, "Meets Standards - Proficient" if the |
overall score is 89 to 75, "Approaching Standards - Needs |
Improvement" if the overall score is 74 to 60, and "Below |
Standards - Unsatisfactory" if the overall score is 59 to 0. |
The balanced accountability measure shall also detail both |
incentives that reward school districts for continued improved |
performance, as provided in Section 2-3.25c of this Code, and |
consequences for school districts that fail to provide evidence |
of continued improved performance, which may include |
presentation of a barrier analysis, additional school board and |
administrator training, or additional State assistance. Based |
on its summative score, a school district may be exempt from |
the balanced accountability measure for one or more school |
years. The State Board of Education, in collaboration with the |
Balanced Accountability Measure Committee set forth in this |
subsection (b), shall adopt rules that further implementation |
in accordance with the requirements of this Section. |
(Source: P.A. 99-84, eff. 1-1-16; 99-193, eff. 7-30-15; revised |
10-9-15.)
|
(105 ILCS 5/2-3.25f) (from Ch. 122, par. 2-3.25f)
|
Sec. 2-3.25f. State interventions.
|
(a) The State Board of Education shall provide technical
|
|
assistance to assist with the development and implementation of |
School and District Improvement Plans.
|
Schools or school districts that fail to make reasonable |
efforts to
implement an
approved Improvement Plan may suffer |
loss of State funds by school
district, attendance center, or |
program as the State Board of Education
deems appropriate.
|
(a-5) (Blank). |
(b) Beginning in 2017, if , after 3 years following its |
identification as a priority district under Section 2-3.25d-5 |
of this Code, a district does not make progress as measured by |
a reduction in achievement gaps commensurate with the targets |
in this State's approved accountability plan with the U.S. |
Department of Education, then the
State Board of Education may |
(i)
change the recognition status of the school district or |
school to
nonrecognized or (ii) authorize the State |
Superintendent
of Education to direct the reassignment of |
pupils
or direct the reassignment or replacement of school |
district personnel. If
a school district is nonrecognized in |
its entirety, it shall automatically
be dissolved on July 1 |
following that nonrecognition and its territory
realigned with |
another school district or districts by the regional board
of |
school trustees in accordance with the procedures set forth in |
Section
7-11 of the School Code. The effective date of the |
nonrecognition of a school
shall be July 1 following the |
nonrecognition.
|
(b-5) The State Board of Education shall also develop a |
|
system to provide assistance and resources to lower performing |
school districts. At a minimum, the State Board shall identify |
school districts to receive priority services, to be known as |
priority districts under Section 2-3.25d-5 of this Code. The |
school district shall provide the exclusive bargaining |
representative with a 5-day notice that the district has been |
identified as a priority district. In addition, the State Board |
may, by rule, develop other categories of low-performing |
schools and school districts to receive services. |
Based on the results of the district needs assessment under |
Section 2-3.25d-5 of this Code, the State Board of Education |
shall work with the district to provide technical assistance |
and professional development, in partnership with the |
district, to implement a continuous improvement plan that would |
increase outcomes for students. The plan for continuous |
improvement shall be based on the results of the district needs |
assessment and shall be used to determine the types of services |
that are to be provided to each priority district. Potential |
services for a district may include monitoring adult and |
student practices, reviewing and reallocating district |
resources, developing a district leadership team, providing |
access to curricular content area specialists, and providing |
online resources and professional development. |
The State Board of Education may require priority districts |
identified as having deficiencies in one or more core functions |
of the district needs assessment to undergo an accreditation |
|
process as provided in subsection (d) of Section 2-3.25f-5 of |
this Code. |
(c) All federal requirements apply to schools and school |
districts
utilizing
federal funds under Title I, Part A of the |
federal Elementary and Secondary
Education Act of 1965.
|
(Source: P.A. 98-1155, eff. 1-9-15; 99-193, eff. 7-30-15; |
99-203, eff. 7-30-15; revised 10-9-15.)
|
(105 ILCS 5/2-3.64a-5) |
Sec. 2-3.64a-5. State goals and assessment. |
(a) For the assessment and accountability purposes of this |
Section, "students" includes those students enrolled in a |
public or State-operated elementary school, secondary school, |
or cooperative or joint agreement with a governing body or |
board of control, a charter school operating in compliance with |
the Charter Schools Law, a school operated by a regional office |
of education under Section 13A-3 of this Code, or a public |
school administered by a local public agency or the Department |
of Human Services. |
(b) The State Board of Education shall establish the |
academic standards that are to be applicable to students who |
are subject to State assessments under this Section. The State |
Board of Education shall not establish any such standards in |
final form without first providing opportunities for public |
participation and local input in the development of the final |
academic standards. Those opportunities shall include a |
|
well-publicized period of public comment and opportunities to |
file written comments. |
(c) Beginning no later than the 2014-2015 school year, the |
State Board of Education shall annually assess all students |
enrolled in grades 3 through 8 in English language arts and |
mathematics. |
Beginning no later than the 2017-2018 school year, the |
State Board of Education shall annually assess all students in |
science at one grade in grades 3 through 5, at one grade in |
grades 6 through 8, and at one grade in grades 9 through 12. |
The State Board of Education shall annually assess schools |
that operate a secondary education program, as defined in |
Section 22-22 of this Code, in English language arts and |
mathematics. The State Board of Education shall administer no |
more than 3 assessments, per student, of English language arts |
and mathematics for students in a secondary education program. |
One of these assessments shall include a college and career |
ready determination that shall be accepted by this State's |
public institutions of higher education, as defined in the |
Board of Higher Education Act, for the purpose of student |
application or admissions consideration. |
Students who are not assessed for college and career ready |
determinations may not receive a regular high school diploma |
unless the student is exempted from taking State assessments |
under subsection (d) of this Section because (i) the student's |
individualized educational program developed under Article 14 |
|
of this Code identifies the State assessment as inappropriate |
for the student, (ii) the student is enrolled in a program of |
adult and continuing education, as defined in the Adult |
Education Act, (iii) the school district is not required to |
assess the individual student for purposes of accountability |
under federal No Child Left Behind Act of 2001 requirements, |
(iv) the student has been determined to be an English learner |
and has been enrolled in schools in the United States for less |
than 12 months, or (v) the student is otherwise identified by |
the State Board of Education, through rules, as being exempt |
from the assessment. |
The State Board of Education shall not assess students |
under this Section in subjects not required by this Section. |
Districts shall inform their students of the timelines and |
procedures applicable to their participation in every yearly |
administration of the State assessments.
The State Board of |
Education shall establish periods of time in each school year |
during which State assessments shall occur to meet the |
objectives of this Section. |
(d) Every individualized educational program as described |
in Article 14 shall identify if the State assessment or |
components thereof are appropriate for the student. The State |
Board of Education shall develop rules governing the |
administration of an alternate assessment that may be available |
to students for whom participation in this State's regular |
assessments is not appropriate, even with accommodations as |
|
allowed under this Section. |
Students receiving special education services whose |
individualized educational programs identify them as eligible |
for the alternative State assessments nevertheless shall have |
the option of taking this State's regular assessment that |
includes a college and career ready determination, which shall |
be administered in accordance with the eligible accommodations |
appropriate for meeting these students' respective needs. |
All students determined to be English learners shall |
participate in the State assessments, excepting those students |
who have been enrolled in schools in the United States for less |
than 12 months. Such students may be exempted from |
participation in one annual administration of the English |
language arts assessment. Any student determined to be an |
English learner shall receive appropriate assessment |
accommodations, including language supports, which shall be |
established by rule. Approved assessment accommodations must |
be provided until the student's English language skills develop |
to the extent that the student is no longer considered to be an |
English learner, as demonstrated through a State-identified |
English language proficiency assessment. |
(e) The results or scores of each assessment taken under |
this Section shall be made available to the parents of each |
student. |
In each school year, the scores attained by a student on |
the State assessment that includes a college and career ready |
|
determination must be placed in the student's permanent record |
and must be entered on the student's transcript pursuant to |
rules that the State Board of Education shall adopt for that |
purpose in accordance with Section 3 of the Illinois School |
Student Records Act. In each school year, the scores attained |
by a student on the State assessments administered in grades 3 |
through 8 must be placed in the student's temporary record. |
(f) All schools shall administer an academic assessment of |
English language proficiency in oral language (listening and |
speaking) and reading and writing skills to all children |
determined to be English learners. |
(g) All schools in this State that are part of the sample |
drawn by the National Center for Education Statistics, in |
collaboration with their school districts and the State Board |
of Education, shall administer the biennial academic |
assessments under the National Assessment of Educational |
Progress carried out under Section 411(b)(2) of the federal |
National Education Statistics Act of 1994 (20 U.S.C. 9010) if |
the U.S. Secretary of Education pays the costs of administering |
the assessments. |
(h) Subject to available funds to this State for the |
purpose of student assessment, the State Board of Education |
shall provide additional assessments and assessment resources |
that may be used by school districts for local assessment |
purposes. The State Board of Education shall annually |
distribute a listing of these additional resources. |
|
(i) For the purposes of this subsection (i), "academically |
based assessments" means assessments consisting of questions |
and answers that are measurable and quantifiable to measure the |
knowledge, skills, and ability of students in the subject |
matters covered by the assessments. All assessments |
administered pursuant to this Section must be academically |
based assessments. The scoring of academically based |
assessments shall be reliable, valid, and fair and shall meet |
the guidelines for assessment development and use prescribed by |
the American Psychological Association, the National Council |
on Measurement in Education, and the American Educational |
Research Association. |
The State Board of Education shall review the use of all |
assessment item types in order to ensure that they are valid |
and reliable indicators of student performance aligned to the |
learning standards being assessed and that the development, |
administration, and scoring of these item types are justifiable |
in terms of cost. |
(j) The State Superintendent of Education shall appoint a |
committee of no more than 21 members, consisting of parents, |
teachers, school administrators, school board members, |
assessment experts, regional superintendents of schools, and |
citizens, to review the State assessments administered by the |
State Board of Education. The Committee shall select one of its |
members as its chairperson. The Committee shall meet on an |
ongoing basis to review the content and design of the |
|
assessments (including whether the requirements of subsection |
(i) of this Section have been met), the time and money expended |
at the local and State levels to prepare for and administer the |
assessments, the collective results of the assessments as |
measured against the stated purpose of assessing student |
performance, and other issues involving the assessments |
identified by the Committee. The Committee shall make periodic |
recommendations to the State Superintendent of Education and |
the General Assembly concerning the assessments. |
(k) The State Board of Education may adopt rules to |
implement this Section.
|
(Source: P.A. 98-972, eff. 8-15-14; 99-30, eff. 7-10-15; |
99-185, eff. 1-1-16; revised 10-16-15.)
|
(105 ILCS 5/2-3.163) |
Sec. 2-3.163. Prioritization of Urgency of Need for |
Services database. |
(a) The General Assembly makes all of the following |
findings: |
(1) The Department of Human Services maintains a |
statewide database known as the Prioritization of Urgency |
of Need for Services that records information about |
individuals with developmental disabilities who are |
potentially in need of services. |
(2) The Department of Human Services uses the data on |
Prioritization of Urgency of Need for Services to select |
|
individuals for services as funding becomes available, to |
develop proposals and materials for budgeting, and to plan |
for future needs. |
(3) Prioritization of Urgency of Need for Services is |
available for children and adults with a developmental |
disability who have an unmet service need anticipated in |
the next 5 years. |
(4) Prioritization of Urgency of Need for Services is |
the first step toward getting developmental disabilities |
services in this State. If individuals are not on the |
Prioritization of Urgency of Need for Services waiting |
list, they are not in queue for State developmental |
disabilities services. |
(5) Prioritization of Urgency of Need for Services may |
be underutilized by children and their parents or guardians |
due to lack of awareness or lack of information. |
(b) The State Board of Education may work with school |
districts to inform all students with developmental |
disabilities and their parents or guardians about the |
Prioritization of Urgency of Need for Services database. |
(c) Subject to appropriation, the Department of Human |
Services and State Board of Education shall develop and |
implement an online, computer-based training program for at |
least one designated employee in every public school in this |
State to educate him or her about the Prioritization of Urgency |
of Need for Services database and steps to be taken to ensure |
|
children and adolescents are enrolled. The training shall |
include instruction for at least one designated employee in |
every public school in contacting the appropriate |
developmental disabilities Independent Service Coordination |
agency to enroll children and adolescents in the database. At |
least one designated employee in every public school shall |
ensure the opportunity to enroll in the Prioritization of |
Urgency of Need for Services database is discussed during |
annual individualized education program (IEP) meetings for all |
children and adolescents believed to have a developmental |
disability. |
(d) The State Board of Education, in consultation with the |
Department of Human Services, shall inform parents and |
guardians of students through school districts about the |
Prioritization of Urgency of Need for Services waiting list.
|
(Source: P.A. 99-144, eff. 1-1-16.)
|
(105 ILCS 5/2-3.164) |
(Section scheduled to be repealed on December 16, 2020) |
Sec. 2-3.164 2-3.163 . Attendance Commission. |
(a) The Attendance Commission is created within the State |
Board of Education to study the issue of chronic absenteeism in |
this State and make recommendations for strategies to prevent |
chronic absenteeism. The Commission shall consist of all of the |
following members: |
(1) The Director of the Department of Children and |
|
Family Services or his or her designee. |
(2) The Chairperson of the State Board of Education or |
his or her designee. |
(3) The Chairperson of the Board of Higher Education or |
his or her designee. |
(4) The Secretary of the Department of Human Services |
or his or her designee. |
(5) The Director of the Department of Public Health or |
his or her designee. |
(6) The Chairperson of the Illinois Community College |
Board or his or her designee. |
(7) The Chairperson of the State Charter School |
Commission or his or her designee. |
(8) An individual that deals with children's |
disabilities, impairments, and social emotional issues, |
appointed by the State Superintendent of Education. |
(9) One member from each of the following |
organizations, appointed by the State Superintendent of |
Education: |
(A) A non-profit organization that advocates for |
students in temporary living situations. |
(B) An Illinois-focused, non-profit organization |
that advocates for the well-being of all children and |
families in this State. |
(C) An Illinois non-profit, anti-crime |
organization of law enforcement that researches and |
|
recommends early learning and youth development |
strategies to reduce crime. |
(D) An Illinois non-profit organization that |
conducts community-organizing around family issues. |
(E) A statewide professional teachers' |
organization. |
(F) A different statewide professional teachers' |
organization. |
(G) A professional teachers' organization in a |
city having a population exceeding 500,000. |
(H) An association representing school |
administrators. |
(I) An association representing school board |
members. |
(J) An association representing school principals. |
(K) An association representing regional |
superintendents of schools. |
(L) An association representing parents. |
(M) An association representing high school |
districts. |
(N) An association representing large unit |
districts. |
(O) An organization that advocates for healthier |
school environments in Illinois. |
(P) An organization that advocates for the health |
and safety of Illinois youth and families by providing |
|
capacity building services. |
(Q) A statewide association of local philanthropic |
organizations that advocates for effective |
educational, health, and human service policies to |
improve this State's communities. |
(R) A statewide organization that advocates for |
partnerships among schools, families, and the |
community that provide access to support and remove |
barriers to learning and development, using schools as |
hubs. |
(S) An organization representing statewide |
programs actively involved in truancy intervention. |
Attendance Commission members shall serve without |
compensation but shall be reimbursed for their travel expenses |
from appropriations to the State Board of Education available |
for that purpose and subject to the rules of the appropriate |
travel control board. |
(b) The Attendance Commission shall meet initially at the |
call of the State Superintendent of Education. The members |
shall elect a chairperson at their initial meeting. Thereafter, |
the Attendance Commission shall meet at the call of the |
chairperson. The Attendance Commission shall hold hearings on a |
periodic basis to receive testimony from the public regarding |
attendance. |
(c) The Attendance Commission shall identify strategies, |
mechanisms, and approaches to help parents, educators, |
|
principals, superintendents, and the State Board of Education |
address and prevent chronic absenteeism and shall recommend to |
the General Assembly and State Board of Education: |
(1) a standard for attendance and chronic absenteeism, |
defining attendance as a calculation of standard clock |
hours in a day that equal a full day based on instructional |
minutes for both a half day and a full day per learning |
environment; |
(2) mechanisms to improve data systems to monitor and |
track chronic absenteeism across this State in a way that |
identifies trends from prekindergarten through grade 12 |
and allows the identification of students who need |
individualized chronic absenteeism prevention plans; |
(3) mechanisms for reporting and accountability for |
schools and districts across this State, including |
creating multiple measure indexes for reporting; |
(4) best practices for utilizing attendance and |
chronic absenteeism data to create multi-tiered systems of |
support and prevention that will result in students being |
ready for college and career; and |
(5) new initiatives and responses to ongoing |
challenges presented by chronic absenteeism. |
(d) The State Board of Education shall provide |
administrative support to the Commission. The Attendance |
Commission shall submit an annual report to the General |
Assembly and the State Board of Education no later than |
|
December 15 of each year. |
(e) The Attendance Commission is abolished and this Section |
is repealed on December 16, 2020.
|
(Source: P.A. 99-432, eff. 8-21-15; revised 10-5-15.)
|
(105 ILCS 5/2-3.165) |
(Section scheduled to be repealed on June 1, 2016) |
Sec. 2-3.165 2-3.163 . Virtual education review committee. |
(a) The State Superintendent of Education shall establish a |
review committee to review virtual education and course choice. |
The review committee shall consist of all of the following |
individuals appointed by the State Superintendent: |
(1) One representative of the State Board of Education, |
who shall serve as chairperson. |
(2) One parent. |
(3) One educator representing a statewide professional |
teachers' organization. |
(4) One educator representing a different statewide |
professional teachers' organization. |
(5) One educator representing a professional teachers' |
organization in a city having a population exceeding |
500,000. |
(6) One school district administrator representing an |
association that represents school administrators. |
(7) One school principal representing an association |
that represents school principals. |
|
(8) One school board member representing an |
association that represents school board members. |
(9) One special education administrator representing |
an association that represents special education |
administrators. |
(10) One representative of a school district in a city |
having a population exceeding 500,000. |
(11) One school principal representing an association |
that represents school principals in a city having a |
population exceeding 500,000. |
(12) One representative of an education advocacy group |
that works with parents. |
(13) One representative of an education public policy |
organization. |
(14) One representative of an institution of higher |
education. |
(15) One representative of a virtual school in this |
State. |
The review committee shall also consist of all of the following |
members appointed as follows: |
(A) One member of the Senate appointed by the President |
of the Senate. |
(B) One member of the Senate appointed by the Minority |
Leader of the Senate. |
(C) One member of the House of Representatives |
appointed by the Speaker of the House of Representatives. |
|
(D) One member of the House of Representatives |
appointed by the Minority Leader of the House of |
Representatives. |
Members of the review committee shall serve without |
compensation, but, subject to appropriation, members may be |
reimbursed for travel. |
(b) The review committee shall meet at least 4 times, at |
the call of the chairperson, to review virtual education and |
course choice. This review shall include a discussion on |
virtual course access programs, including the ability of |
students to enroll in online coursework and access technology |
to complete courses. The review committee shall make |
recommendations on changes and improvements and provide best |
practices for virtual education and course choice in this |
State. The review committee shall determine funding mechanisms |
and district cost projections to administer course access |
programs. |
(c) The State Board of Education shall provide |
administrative and other support to the review committee. |
(d) The review committee shall report its findings and |
recommendations to the Governor and General Assembly no later |
than May 31, 2016. Upon filing its report, the review committee |
is dissolved. |
(e) This Section is repealed on June 1, 2016.
|
(Source: P.A. 99-442, eff. 8-21-15; revised 10-5-15.)
|
|
(105 ILCS 5/2-3.166) |
Sec. 2-3.166 2-3.163 . Youth suicide awareness and |
prevention. |
(a) This Section may be referred to as Ann Marie's Law. |
(b) The State Board of Education shall do both of the |
following: |
(1) In consultation with a youth suicide prevention
|
organization operating in this State and organizations |
representing school boards and school personnel, develop a |
model
youth suicide awareness and prevention policy that is |
consistent with subsection (c) of this Section. |
(2) Compile, develop, and post on its publicly |
accessible
Internet website both of the following, which |
may include materials
already publicly available: |
(A) Recommended guidelines and educational |
materials for
training and professional development. |
(B) Recommended resources and age-appropriate |
educational
materials on youth suicide awareness and |
prevention. |
(c) The model policy developed by the State Board of |
Education under
subsection (b) of this Section and any policy |
adopted by a school board
under subsection (d) of this Section |
shall include all of the following: |
(1) A statement on youth suicide awareness and |
prevention. |
(2) Protocols for administering youth suicide |
|
awareness and
prevention education to staff and students. |
(3) Methods of prevention, including procedures for |
early
identification and referral of students at risk of |
suicide. |
(4) Methods of intervention, including procedures that
|
address an emotional or mental health safety plan for |
students
identified as being at increased risk of suicide. |
(5) Methods of responding to a student or staff suicide |
or
suicide attempt. |
(6) Reporting procedures. |
(7) Recommended resources on youth suicide awareness |
and
prevention programs, including current contact |
information for
such programs. |
(d) Beginning with the 2015-2016 school year, each school |
board shall review and update its current suicide awareness and |
prevention policy to be consistent with subsection (c) of this |
Section or adopt an age-appropriate youth suicide awareness and
|
prevention policy consistent with subsection (c) of this |
Section, inform each
school district employee and the parent or |
legal guardian of each
student enrolled in the school district |
of such policy, and post
such policy on the school district's |
publicly accessible Internet
website. The policy adopted by a |
school board under this
subsection (d) may be based upon the |
model policy developed by the
State Board of Education under |
subsection (b) of this Section.
|
(Source: P.A. 99-443, eff. 8-21-15; revised 10-5-15.)
|
|
(105 ILCS 5/5-2.2) |
Sec. 5-2.2. Designation of trustees; Township 36 North, |
Range 13 East. After the April 5, 2011 consolidated election, |
the trustees of schools in Township 36 North, Range 13 East |
shall no longer be elected pursuant to the provisions of |
Sections 5-2, 5-2.1, 5-3, 5-4, 5-12, and 5-13 of this Code. Any |
such trustees elected before such date may complete the term to |
which that trustee was elected, but shall not be succeeded by |
election. Instead, the board of education or board of school |
directors of each of the elementary and high school districts |
that are subject to the jurisdiction of Township 36 North, |
Range 13 East shall appoint one of the members to serve as |
trustee of schools. The trustees of schools shall be appointed |
by each board of education or board of school directors within |
60 days after the effective date of this amendatory Act of the |
97th General Assembly and shall reorganize within 30 days after |
all the trustees of schools have been appointed or within 30 |
days after all the trustees of schools were due to have been |
appointed, whichever is sooner. Trustees of schools so |
appointed shall serve at the pleasure of the board of education |
or board of school directors appointing them, but in no event |
longer than 2 years unless reappointed. |
A majority of members of the trustees of schools shall |
constitute a quorum for the transaction of business. The |
trustees shall organize by appointing one of their number |
|
president, who shall hold the office for 2 years. If the |
president is absent from any meeting, or refuses to perform any |
of the duties of the office, a president pro-tempore may be |
appointed. Trustees who serve on the board as a result of |
appointment or election at the time of the reorganization shall |
continue to serve as a member of the trustees of schools, with |
no greater or lesser lessor authority than any other trustee, |
until such time as their elected term expires. |
Each trustee of schools appointed by a board of education |
or board of school directors shall be entitled to |
indemnification and protection against claims and suits by the |
board that appointed that trustee of schools for acts or |
omissions as a trustee of schools in the same manner and to the |
same extent as the trustee of schools is entitled to |
indemnification and protection for acts or omissions as a |
member of the board of education or board of school directors |
under Section 10-20.20 of this Code.
|
(Source: P.A. 97-631, eff. 12-8-11; revised 10-15-15.)
|
(105 ILCS 5/10-17a) (from Ch. 122, par. 10-17a)
|
Sec. 10-17a. State, school district, and school report |
cards.
|
(1) By October 31, 2013 and October 31 of each subsequent |
school year, the State Board of Education, through the State |
Superintendent of Education, shall prepare a State report card, |
school district report cards, and school report cards, and |
|
shall by the most economic means provide to each school
|
district in this State, including special charter districts and |
districts
subject to the provisions of Article 34, the report |
cards for the school district and each of its schools. |
(2) In addition to any information required by federal law, |
the State Superintendent shall determine the indicators and |
presentation of the school report card, which must include, at |
a minimum, the most current data possessed by the State Board |
of Education related to the following: |
(A) school characteristics and student demographics, |
including average class size, average teaching experience, |
student racial/ethnic breakdown, and the percentage of |
students classified as low-income; the percentage of |
students classified as English learners; the percentage of |
students who have individualized education plans or 504 |
plans that provide for special education services; the |
percentage of students who annually transferred in or out |
of the school district; the per-pupil operating |
expenditure of the school district; and the per-pupil State |
average operating expenditure for the district type |
(elementary, high school, or unit); |
(B) curriculum information, including, where |
applicable, Advanced Placement, International |
Baccalaureate or equivalent courses, dual enrollment |
courses, foreign language classes, school personnel |
resources (including Career Technical Education teachers), |
|
before and after school programs, extracurricular |
activities, subjects in which elective classes are |
offered, health and wellness initiatives (including the |
average number of days of Physical Education per week per |
student), approved programs of study, awards received, |
community partnerships, and special programs such as |
programming for the gifted and talented, students with |
disabilities, and work-study students; |
(C) student outcomes, including, where applicable, the |
percentage of students deemed proficient on assessments of |
State standards, the percentage of students in the eighth |
grade who pass Algebra, the percentage of students enrolled |
in post-secondary institutions (including colleges, |
universities, community colleges, trade/vocational |
schools, and training programs leading to career |
certification within 2 semesters of high school |
graduation), the percentage of students graduating from |
high school who are college and career ready, and the |
percentage of graduates enrolled in community colleges, |
colleges, and universities who are in one or more courses |
that the community college, college, or university |
identifies as a developmental course; |
(D) student progress, including, where applicable, the |
percentage of students in the ninth grade who have earned 5 |
credits or more without failing more than one core class, a |
measure of students entering kindergarten ready to learn, a |
|
measure of growth, and the percentage of students who enter |
high school on track for college and career readiness; |
(E) the school environment, including, where |
applicable, the percentage of students with less than 10 |
absences in a school year, the percentage of teachers with |
less than 10 absences in a school year for reasons other |
than professional development, leaves taken pursuant to |
the federal Family Medical Leave Act of 1993, long-term |
disability, or parental leaves, the 3-year average of the |
percentage of teachers returning to the school from the |
previous year, the number of different principals at the |
school in the last 6 years, 2 or more indicators from any |
school climate survey selected or approved by the State and |
administered pursuant to Section 2-3.153 of this Code, with |
the same or similar indicators included on school report |
cards for all surveys selected or approved by the State |
pursuant to Section 2-3.153 of this Code, and the combined |
percentage of teachers rated as proficient or excellent in |
their most recent evaluation; and |
(F) a school district's and its individual schools' |
balanced accountability measure, in accordance with |
Section 2-3.25a of this Code. |
The school report card shall also provide
information that |
allows for comparing the current outcome, progress, and |
environment data to the State average, to the school data from |
the past 5 years, and to the outcomes, progress, and |
|
environment of similar schools based on the type of school and |
enrollment of low-income students, special education students, |
and English learners.
|
(3) At the discretion of the State Superintendent, the |
school district report card shall include a subset of the |
information identified in paragraphs (A) through (E) of |
subsection (2) of this Section, as well as information relating |
to the operating expense per pupil and other finances of the |
school district, and the State report card shall include a |
subset of the information identified in paragraphs (A) through |
(E) of subsection (2) of this Section. |
(4) Notwithstanding anything to the contrary in this |
Section, in consultation with key education stakeholders, the |
State Superintendent shall at any time have the discretion to |
amend or update any and all metrics on the school, district, or |
State report card. |
(5) Annually, no more than 30 calendar days after receipt |
of the school district and school report cards from the State |
Superintendent of Education, each school district, including |
special charter districts and districts subject to the |
provisions of Article 34, shall present such report
cards at a |
regular school board meeting subject to
applicable notice |
requirements, post the report cards
on the
school district's |
Internet web site, if the district maintains an Internet web
|
site, make the report cards
available
to a newspaper of general |
circulation serving the district, and, upon
request, send the |
|
report cards
home to a parent (unless the district does not |
maintain an Internet web site,
in which case
the report card |
shall be sent home to parents without request). If the
district |
posts the report card on its Internet web
site, the district
|
shall send a
written notice home to parents stating (i) that |
the report card is available on
the web site,
(ii) the address |
of the web site, (iii) that a printed copy of the report card
|
will be sent to
parents upon request, and (iv) the telephone |
number that parents may
call to
request a printed copy of the |
report card.
|
(6) Nothing contained in this amendatory Act of the 98th |
General Assembly repeals, supersedes, invalidates, or |
nullifies final decisions in lawsuits pending on the effective |
date of this amendatory Act of the 98th General Assembly in |
Illinois courts involving the interpretation of Public Act |
97-8. |
(Source: P.A. 98-463, eff. 8-16-13; 98-648, eff. 7-1-14; 99-30, |
eff. 7-10-15; 99-193, eff. 7-30-15; revised 10-21-15.)
|
(105 ILCS 5/10-20.56) |
Sec. 10-20.56. E-learning days. |
(a) The State Board of Education shall establish and |
maintain, for implementation in selected school districts |
during the 2015-2016, 2016-2017, and 2017-2018 school years, a
|
pilot program for use of electronic-learning (e-learning) |
days, as described in this
Section. The State Superintendent of |
|
Education shall select up to 3 school districts for this |
program, at least one of which may be an elementary or unit |
school district. The use of e-learning days may not begin until |
the second semester of the 2015-2016 school year, and the pilot |
program shall conclude with the end of the 2017-2018 school |
year. On or before June 1, 2019, the State Board shall report |
its recommendation for expansion, revision, or discontinuation |
of the program to the Governor and General Assembly. |
(b) The school board of a school district selected by the |
State Superintendent of Education under subsection (a) of this |
Section may, by resolution, adopt a research-based program or
|
research-based programs for e-learning days district-wide that |
shall permit student instruction to be received electronically |
while students are not physically present in lieu of the |
district's scheduled emergency days as required by Section |
10-19 of this Code. The research-based program or programs may |
not exceed the minimum number of emergency days in the approved |
school calendar and must be submitted to the State |
Superintendent for approval on or before September 1st annually |
to ensure access for all students. The State Superintendent |
shall approve programs that ensure that the specific needs of |
all students are met, including special education students and |
English learners, and that all mandates are still met using the |
proposed research-based program. The e-learning program may |
utilize the Internet, telephones, texts, chat rooms, or other |
similar means of electronic communication for instruction and |
|
interaction between teachers and students that meet the needs |
of all
learners. |
(c) Before its adoption by a school board, a school |
district's initial proposal for an e-learning program or for |
renewal of such a program must be approved by the State Board |
of Education and shall follow a public hearing, at a regular or |
special meeting of the school board, in which the terms of the |
proposal must be substantially presented and an opportunity for |
allowing public comments must be provided. Notice of such |
public hearing must be provided at least 10 days prior to the |
hearing by: |
(1) publication in a newspaper of general circulation |
in the school district; |
(2) written or electronic notice designed to reach the |
parents or guardians of all students enrolled in the school |
district; and |
(3) written or electronic notice designed to reach any |
exclusive collective bargaining representatives of school |
district employees and all those employees not in a |
collective bargaining unit. |
(d) A proposal for an e-learning program must be timely |
approved by the State Board of Education if the requirements |
specified in this Section have been met and if, in the view of |
the State Board of Education, the proposal contains provisions |
designed to reasonably and practicably accomplish the |
following: |
|
(1) to ensure and verify at least 5 clock hours of |
instruction or school work for each student participating |
in an e-learning day; |
(2) to ensure access from home or other appropriate |
remote facility for all students participating, including |
computers, the Internet, and other forms of electronic |
communication that must be utilized in the proposed |
program; |
(3) to ensure appropriate learning opportunities for |
students with special needs; |
(4) to monitor and verify each student's electronic |
participation; |
(5) to address the extent to which student |
participation is within the student's control as to the |
time, pace, and means of learning; |
(6) to provide effective notice to students and their |
parents or guardians of the use of particular days for |
e-learning; |
(7) to provide staff and students with adequate |
training for e-learning days' participation; |
(8) to ensure an opportunity for any collective |
bargaining negotiations with representatives of the school |
district's employees that would be legally required; and |
(9) to review and revise the program as implemented to |
address difficulties confronted. |
The State Board of Education's approval of a school |
|
district's initial e-learning program and renewal of the |
e-learning program shall be for a term of 3 years. |
(e) The State Board of Education may adopt rules governing |
its supervision and review of e-learning programs consistent |
with the provision of this Section. However, in the absence of |
such rules, school districts may submit proposals for State |
Board of Education consideration under the authority of this |
Section.
|
(Source: P.A. 99-194, eff. 7-30-15.)
|
(105 ILCS 5/10-20.57) |
Sec. 10-20.57 10-20.56 . Carbon monoxide alarm required. |
(a) In this Section: |
"Approved carbon monoxide alarm" and "alarm" have the |
meaning ascribed to those terms in the Carbon Monoxide Alarm |
Detector Act. |
"Carbon monoxide detector" and "detector" mean a device |
having a sensor that responds to carbon monoxide gas and that |
is connected to an alarm control unit and approved in |
accordance with rules adopted by the State Fire Marshal. |
(b) A school board shall require that each school under its |
authority be equipped with approved carbon monoxide alarms or |
carbon monoxide detectors. The alarms must be powered as |
follows: |
(1) For a school designed before January 1, 2016 ( the |
effective date of Public Act 99-470) this amendatory Act of |
|
the 99th General Assembly , alarms powered by batteries are |
permitted. In accordance with Section 17-2.11 of this Code, |
alarms permanently powered by the building's electrical |
system and monitored by any required fire alarm system are |
also permitted. Fire prevention and safety tax levy |
proceeds or bond proceeds may be used for alarms. |
(2) For a school designed on or after January 1, 2016 |
( the effective date of Public Act 99-470) this amendatory |
Act of the 99th General Assembly , alarms must be |
permanently powered by the building's electrical system or |
be an approved carbon monoxide detection system. An |
installation required in this subdivision (2) must be |
monitored by any required fire alarm system. |
Alarms or detectors must be located within 20 feet of a |
carbon monoxide emitting device. Alarms or detectors must be in |
operating condition and be inspected annually. A school is |
exempt from the requirements of this Section if it does not |
have or is not close to any sources of carbon monoxide. A |
school must require plans, protocols, and procedures in |
response to the activation of a carbon monoxide alarm or carbon |
monoxide detection system.
|
(Source: P.A. 99-470, eff. 1-1-16; revised 10-19-15.)
|
(105 ILCS 5/10-29) |
Sec. 10-29. Remote educational programs. |
(a) For purposes of this Section, "remote educational |
|
program" means an educational program delivered to students in |
the home or other location outside of a school building that |
meets all of the following criteria: |
(1) A student may participate in the program only after |
the school district, pursuant to adopted school board |
policy, and a person authorized to enroll the student under |
Section 10-20.12b of this Code determine that a remote |
educational program will best serve the student's |
individual learning needs. The adopted school board policy |
shall include, but not be limited to, all of the following: |
(A) Criteria for determining that a remote |
educational program will best serve a student's |
individual learning needs. The criteria must include |
consideration of, at a minimum, a student's prior |
attendance, disciplinary record, and academic history. |
(B) Any limitations on the number of students or |
grade levels that may participate in a remote |
educational program. |
(C) A description of the process that the school |
district will use to approve participation in the |
remote educational program. The process must include |
without limitation a requirement that, for any student |
who qualifies to receive services pursuant to the |
federal Individuals with Disabilities Education |
Improvement Act of 2004, the student's participation |
in a remote educational program receive prior approval |
|
from the student's individualized education program |
team. |
(D) A description of the process the school |
district will use to develop and approve a written |
remote educational plan that meets the requirements of |
subdivision (5) of this subsection (a). |
(E) A description of the system the school district |
will establish to calculate the number of clock hours a |
student is participating in instruction in accordance |
with the remote educational program. |
(F) A description of the process for renewing a |
remote educational program at the expiration of its |
term. |
(G) Such other terms and provisions as the school |
district deems necessary to provide for the |
establishment and delivery of a remote educational |
program. |
(2) The school district has determined that the remote |
educational program's curriculum is aligned to State |
learning standards and that the program offers instruction |
and educational experiences consistent with those given to |
students at the same grade level in the district. |
(3) The remote educational program is delivered by |
instructors that meet the following qualifications: |
(A) they are certificated under Article 21 of this |
Code; |
|
(B) they meet applicable highly qualified criteria |
under the federal No Child Left Behind Act of 2001; and |
(C) they have responsibility for all of the |
following elements of the program: planning |
instruction, diagnosing learning needs, prescribing |
content delivery through class activities, assessing |
learning, reporting outcomes to administrators and |
parents and guardians, and evaluating the effects of |
instruction. |
(4) During the period of time from and including the |
opening date to the
closing date of the regular school term |
of the school district established pursuant to Section |
10-19 of this Code, participation in a remote educational |
program may be claimed for general State aid purposes under |
Section 18-8.05 of this Code on any calendar day, |
notwithstanding whether the day is a day of pupil |
attendance or institute day on the school district's |
calendar or any other provision of law restricting |
instruction on that day. If the district holds year-round |
classes in some buildings, the district
shall classify each |
student's participation in a remote educational program as |
either on a year-round or a non-year-round schedule for |
purposes of claiming general State aid. Outside of the |
regular school term of the district, the remote educational |
program may be offered as part of any summer school program |
authorized by this Code. |
|
(5) Each student participating in a remote educational |
program must have a written remote educational plan that |
has been approved by the school district and a person |
authorized to enroll the student under Section 10-20.12b of |
this Code. The school district and a person authorized to |
enroll the student under Section 10-20.12b of this Code |
must approve any amendment to a remote educational plan. |
The remote educational plan must include, but is not |
limited to, all of the following: |
(A) Specific achievement goals for the student |
aligned to State learning standards. |
(B) A description of all assessments that will be |
used to measure student progress, which description |
shall indicate the assessments that will be |
administered at an attendance center within the school |
district. |
(C) A description of the progress reports that will |
be provided to the school district and the person or |
persons authorized to enroll the student under Section |
10-20.12b of this Code. |
(D) Expectations, processes, and schedules for |
interaction between a teacher and student. |
(E) A description of the specific responsibilities |
of the student's family and the school district with |
respect to equipment, materials, phone and Internet |
service, and any other requirements applicable to the |
|
home or other location outside of a school building |
necessary for the delivery of the remote educational |
program. |
(F) If applicable, a description of how the remote |
educational program will be delivered in a manner |
consistent with the student's individualized education |
program required by Section 614(d) of the federal |
Individuals with Disabilities Education Improvement |
Act of 2004 or plan to ensure compliance with Section |
504 of the federal Rehabilitation Act of 1973. |
(G) A description of the procedures and |
opportunities for participation in academic and |
extra-curricular activities and programs within the |
school district. |
(H) The identification of a parent, guardian, or |
other responsible adult who will provide direct |
supervision of the program. The plan must include an |
acknowledgment by the parent, guardian, or other |
responsible adult that he or she may engage only in |
non-teaching duties not requiring instructional |
judgment or the evaluation of a student. The plan shall |
designate the parent, guardian, or other responsible |
adult as non-teaching personnel or volunteer personnel |
under subsection (a) of Section 10-22.34 of this Code. |
(I) The identification of a school district |
administrator who will oversee the remote educational |
|
program on behalf of the school district and who may be |
contacted by the student's parents with respect to any |
issues or concerns with the program. |
(J) The term of the student's participation in the |
remote educational program, which may not extend for |
longer than 12 months, unless the term is renewed by |
the district in accordance with subdivision (7) of this |
subsection (a). |
(K) A description of the specific location or |
locations in which the program will be delivered. If |
the remote educational program is to be delivered to a |
student in any location other than the student's home, |
the plan must include a written determination by the |
school district that the location will provide a |
learning environment appropriate for the delivery of |
the program. The location or locations in which the |
program will be delivered shall be deemed a long |
distance teaching reception area under subsection (a) |
of Section 10-22.34 of this Code. |
(L) Certification by the school district that the |
plan meets all other requirements of this Section. |
(6) Students participating in a remote educational |
program must be enrolled in a school district attendance |
center pursuant to the school district's enrollment policy |
or policies. A student participating in a remote |
educational program must be tested as part of all |
|
assessments administered by the school district pursuant |
to Section 2-3.64a-5 of this Code at the attendance center |
in which the student is enrolled and in accordance with the |
attendance center's assessment policies and schedule. The |
student must be included within all accountability |
determinations for the school district and attendance |
center under State and federal law. |
(7) The term of a student's participation in a remote |
educational program may not extend for longer than 12 |
months, unless the term is renewed by the school district. |
The district may only renew a student's participation in a |
remote educational program following an evaluation of the |
student's progress in the program, a determination that the |
student's continuation in the program will best serve the |
student's individual learning needs, and an amendment to |
the student's written remote educational plan addressing |
any changes for the upcoming term of the program. |
For purposes of this Section, a remote educational program |
does not include instruction delivered to students through an |
e-learning program approved under Section 10-20.56 of this |
Code. |
(b) A school district may, by resolution of its school |
board, establish a remote educational program. |
(c) Clock hours of instruction by students in a remote |
educational program meeting the requirements of this Section |
may be claimed by the school district and shall be counted as |
|
school work for general State aid purposes in accordance with |
and subject to the limitations of Section 18-8.05 of this Code. |
(d) The impact of remote educational programs on wages, |
hours, and terms and conditions of employment of educational |
employees within the school district shall be subject to local |
collective bargaining agreements. |
(e) The use of a home or other location outside of a school |
building for a remote educational program shall not cause the |
home or other location to be deemed a public school facility. |
(f) A remote educational program may be used, but is not |
required, for instruction delivered to a student in the home or |
other location outside of a school building that is not claimed |
for general State aid purposes under Section 18-8.05 of this |
Code. |
(g) School districts that, pursuant to this Section, adopt |
a policy for a remote educational program must submit to the |
State Board of Education a copy of the policy and any |
amendments thereto, as well as data on student participation in |
a format specified by the State Board of Education. The State |
Board of Education may perform or contract with an outside |
entity to perform an evaluation of remote educational programs |
in this State. |
(h) The State Board of Education may adopt any rules |
necessary to ensure compliance by remote educational programs |
with the requirements of this Section and other applicable |
legal requirements.
|
|
(Source: P.A. 98-972, eff. 8-15-14; 99-193, eff. 7-30-15; |
99-194, eff. 7-30-15; revised 10-9-15.)
|
(105 ILCS 5/14-8.02) (from Ch. 122, par. 14-8.02)
|
Sec. 14-8.02. Identification, Evaluation and Placement of |
Children.
|
(a) The State Board of Education shall make rules under |
which local school
boards shall determine the eligibility of |
children to receive special
education. Such rules shall ensure |
that a free appropriate public
education be available to all |
children with disabilities as
defined in
Section 14-1.02. The |
State Board of Education shall require local school
districts |
to administer non-discriminatory procedures or tests to
|
English learners coming from homes in which a language
other |
than English is used to determine their eligibility to receive |
special
education. The placement of low English proficiency |
students in special
education programs and facilities shall be |
made in accordance with the test
results reflecting the |
student's linguistic, cultural and special education
needs. |
For purposes of determining the eligibility of children the |
State
Board of Education shall include in the rules definitions |
of "case study",
"staff conference", "individualized |
educational program", and "qualified
specialist" appropriate |
to each category of children with
disabilities as defined in
|
this Article. For purposes of determining the eligibility of |
children from
homes in which a language other than English is |
|
used, the State Board of
Education shall include in the rules
|
definitions for "qualified bilingual specialists" and |
"linguistically and
culturally appropriate individualized |
educational programs". For purposes of this
Section, as well as |
Sections 14-8.02a, 14-8.02b, and 14-8.02c of this Code,
|
"parent" means a parent as defined in the federal Individuals |
with Disabilities Education Act (20 U.S.C. 1401(23)).
|
(b) No child shall be eligible for special education |
facilities except
with a carefully completed case study fully |
reviewed by professional
personnel in a multidisciplinary |
staff conference and only upon the
recommendation of qualified |
specialists or a qualified bilingual specialist, if
available. |
At the conclusion of the multidisciplinary staff conference, |
the
parent of the child shall be given a copy of the |
multidisciplinary
conference summary report and |
recommendations, which includes options
considered, and be |
informed of their right to obtain an independent educational
|
evaluation if they disagree with the evaluation findings |
conducted or obtained
by the school district. If the school |
district's evaluation is shown to be
inappropriate, the school |
district shall reimburse the parent for the cost of
the |
independent evaluation. The State Board of Education shall, |
with advice
from the State Advisory Council on Education of |
Children with
Disabilities on the
inclusion of specific |
independent educational evaluators, prepare a list of
|
suggested independent educational evaluators. The State Board |
|
of Education
shall include on the list clinical psychologists |
licensed pursuant to the
Clinical Psychologist Licensing Act. |
Such psychologists shall not be paid fees
in excess of the |
amount that would be received by a school psychologist for
|
performing the same services. The State Board of Education |
shall supply school
districts with such list and make the list |
available to parents at their
request. School districts shall |
make the list available to parents at the time
they are |
informed of their right to obtain an independent educational
|
evaluation. However, the school district may initiate an |
impartial
due process hearing under this Section within 5 days |
of any written parent
request for an independent educational |
evaluation to show that
its evaluation is appropriate. If the |
final decision is that the evaluation
is appropriate, the |
parent still has a right to an independent educational
|
evaluation, but not at public expense. An independent |
educational
evaluation at public expense must be completed |
within 30 days of a parent
written request unless the school |
district initiates an
impartial due process hearing or the |
parent or school district
offers reasonable grounds to show |
that such 30 day time period should be
extended. If the due |
process hearing decision indicates that the parent is entitled |
to an independent educational evaluation, it must be
completed |
within 30 days of the decision unless the parent or
the school |
district offers reasonable grounds to show that such 30 day
|
period should be extended. If a parent disagrees with the |
|
summary report or
recommendations of the multidisciplinary |
conference or the findings of any
educational evaluation which |
results therefrom, the school
district shall not proceed with a |
placement based upon such evaluation and
the child shall remain |
in his or her regular classroom setting.
No child shall be |
eligible for admission to a
special class for children with a |
mental disability who are educable or for children with a |
mental disability who are trainable except with a psychological |
evaluation
and
recommendation by a school psychologist. |
Consent shall be obtained from
the parent of a child before any |
evaluation is conducted.
If consent is not given by the parent |
or if the parent disagrees with the findings of the evaluation, |
then the school
district may initiate an impartial due process |
hearing under this Section.
The school district may evaluate |
the child if that is the decision
resulting from the impartial |
due process hearing and the decision is not
appealed or if the |
decision is affirmed on appeal.
The determination of |
eligibility shall be made and the IEP meeting shall be |
completed within 60 school days
from the date of written |
parental consent. In those instances when written parental |
consent is obtained with fewer than 60 pupil attendance days |
left in the school year,
the eligibility determination shall be |
made and the IEP meeting shall be completed prior to the first |
day of the
following school year. Special education and related |
services must be provided in accordance with the student's IEP |
no later than 10 school attendance days after notice is |
|
provided to the parents pursuant to Section 300.503 of Title 34 |
of the Code of Federal Regulations and implementing rules |
adopted by the State Board of Education. The appropriate
|
program pursuant to the individualized educational program of |
students
whose native tongue is a language other than English |
shall reflect the
special education, cultural and linguistic |
needs. No later than September
1, 1993, the State Board of |
Education shall establish standards for the
development, |
implementation and monitoring of appropriate bilingual special
|
individualized educational programs. The State Board of |
Education shall
further incorporate appropriate monitoring |
procedures to verify implementation
of these standards. The |
district shall indicate to the parent and
the State Board of |
Education the nature of the services the child will receive
for |
the regular school term while waiting placement in the |
appropriate special
education class.
|
If the child is deaf, hard of hearing, blind, or visually |
impaired and
he or she might be eligible to receive services |
from the Illinois School for
the Deaf or the Illinois School |
for the Visually Impaired, the school
district shall notify the |
parents, in writing, of the existence of
these schools
and the |
services
they provide and shall make a reasonable effort to |
inform the parents of the existence of other, local schools |
that provide similar services and the services that these other |
schools provide. This notification
shall
include without |
limitation information on school services, school
admissions |
|
criteria, and school contact information.
|
In the development of the individualized education program |
for a student who has a disability on the autism spectrum |
(which includes autistic disorder, Asperger's disorder, |
pervasive developmental disorder not otherwise specified, |
childhood disintegrative disorder, and Rett Syndrome, as |
defined in the Diagnostic and Statistical Manual of Mental |
Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall |
consider all of the following factors: |
(1) The verbal and nonverbal communication needs of the |
child. |
(2) The need to develop social interaction skills and |
proficiencies. |
(3) The needs resulting from the child's unusual |
responses to sensory experiences. |
(4) The needs resulting from resistance to |
environmental change or change in daily routines. |
(5) The needs resulting from engagement in repetitive |
activities and stereotyped movements. |
(6) The need for any positive behavioral |
interventions, strategies, and supports to address any |
behavioral difficulties resulting from autism spectrum |
disorder. |
(7) Other needs resulting from the child's disability |
that impact progress in the general curriculum, including |
social and emotional development. |
|
Public Act 95-257
does not create any new entitlement to a |
service, program, or benefit, but must not affect any |
entitlement to a service, program, or benefit created by any |
other law.
|
If the student may be eligible to participate in the |
Home-Based Support
Services Program for Adults with Mental |
Disabilities authorized under the
Developmental Disability and |
Mental Disability Services Act upon becoming an
adult, the |
student's individualized education program shall include plans |
for
(i) determining the student's eligibility for those |
home-based services, (ii)
enrolling the student in the program |
of home-based services, and (iii)
developing a plan for the |
student's most effective use of the home-based
services after |
the student becomes an adult and no longer receives special
|
educational services under this Article. The plans developed |
under this
paragraph shall include specific actions to be taken |
by specified individuals,
agencies, or officials.
|
(c) In the development of the individualized education |
program for a
student who is functionally blind, it shall be |
presumed that proficiency in
Braille reading and writing is |
essential for the student's satisfactory
educational progress. |
For purposes of this subsection, the State Board of
Education |
shall determine the criteria for a student to be classified as
|
functionally blind. Students who are not currently identified |
as
functionally blind who are also entitled to Braille |
instruction include:
(i) those whose vision loss is so severe |
|
that they are unable to read and
write at a level comparable to |
their peers solely through the use of
vision, and (ii) those |
who show evidence of progressive vision loss that
may result in |
functional blindness. Each student who is functionally blind
|
shall be entitled to Braille reading and writing instruction |
that is
sufficient to enable the student to communicate with |
the same level of
proficiency as other students of comparable |
ability. Instruction should be
provided to the extent that the |
student is physically and cognitively able
to use Braille. |
Braille instruction may be used in combination with other
|
special education services appropriate to the student's |
educational needs.
The assessment of each student who is |
functionally blind for the purpose of
developing the student's |
individualized education program shall include
documentation |
of the student's strengths and weaknesses in Braille skills.
|
Each person assisting in the development of the individualized |
education
program for a student who is functionally blind shall |
receive information
describing the benefits of Braille |
instruction. The individualized
education program for each |
student who is functionally blind shall
specify the appropriate |
learning medium or media based on the assessment
report.
|
(d) To the maximum extent appropriate, the placement shall |
provide the
child with the opportunity to be educated with |
children who do not have a disability; provided that children |
with
disabilities who are recommended to be
placed into regular |
education classrooms are provided with supplementary
services |
|
to assist the children with disabilities to benefit
from the |
regular
classroom instruction and are included on the teacher's |
regular education class
register. Subject to the limitation of |
the preceding sentence, placement in
special classes, separate |
schools or other removal of the child with a disability
from |
the regular educational environment shall occur only when the |
nature of
the severity of the disability is such that education |
in the
regular classes with
the use of supplementary aids and |
services cannot be achieved satisfactorily.
The placement of |
English learners with disabilities shall
be in non-restrictive |
environments which provide for integration with
peers who do |
not have disabilities in bilingual classrooms. Annually, each |
January, school districts shall report data on students from |
non-English
speaking backgrounds receiving special education |
and related services in
public and private facilities as |
prescribed in Section 2-3.30. If there
is a disagreement |
between parties involved regarding the special education
|
placement of any child, either in-state or out-of-state, the |
placement is
subject to impartial due process procedures |
described in Article 10 of the
Rules and Regulations to Govern |
the Administration and Operation of Special
Education.
|
(e) No child who comes from a home in which a language |
other than English
is the principal language used may be |
assigned to any class or program
under this Article until he |
has been given, in the principal language
used by the child and |
used in his home, tests reasonably related to his
cultural |
|
environment. All testing and evaluation materials and |
procedures
utilized for evaluation and placement shall not be |
linguistically, racially or
culturally discriminatory.
|
(f) Nothing in this Article shall be construed to require |
any child to
undergo any physical examination or medical |
treatment whose parents object thereto on the grounds that such |
examination or
treatment conflicts with his religious beliefs.
|
(g) School boards or their designee shall provide to the |
parents of a child prior written notice of any decision (a) |
proposing
to initiate or change, or (b) refusing to initiate or |
change, the
identification, evaluation, or educational |
placement of the child or the
provision of a free appropriate |
public education to their child, and the
reasons therefor. Such |
written notification shall also inform the
parent of the |
opportunity to present complaints with respect
to any matter |
relating to the educational placement of the student, or
the |
provision of a free appropriate public education and to have an
|
impartial due process hearing on the complaint. The notice |
shall inform
the parents in the parents' native language,
|
unless it is clearly not feasible to do so, of their rights and |
all
procedures available pursuant to this Act and the federal |
Individuals with Disabilities Education Improvement Act of |
2004 (Public Law 108-446); it
shall be the responsibility of |
the State Superintendent to develop
uniform notices setting |
forth the procedures available under this Act
and the federal |
Individuals with Disabilities Education Improvement Act of |
|
2004 (Public Law 108-446) to be used by all school boards. The |
notice
shall also inform the parents of the availability upon
|
request of a list of free or low-cost legal and other relevant |
services
available locally to assist parents in initiating an
|
impartial due process hearing. Any parent who is deaf, or
does |
not normally communicate using spoken English, who |
participates in
a meeting with a representative of a local |
educational agency for the
purposes of developing an |
individualized educational program shall be
entitled to the |
services of an interpreter.
|
(g-5) For purposes of this subsection (g-5), "qualified |
professional" means an individual who holds credentials to |
evaluate the child in the domain or domains for which an |
evaluation is sought or an intern working under the direct |
supervision of a qualified professional, including a master's |
or doctoral degree candidate. |
To ensure that a parent can participate fully and |
effectively with school personnel in the development of |
appropriate educational and related services for his or her |
child, the parent, an independent educational evaluator, or a |
qualified professional retained by or on behalf of a parent or |
child must be afforded reasonable access to educational |
facilities, personnel, classrooms, and buildings and to the |
child as provided in this subsection (g-5). The requirements of |
this subsection (g-5) apply to any public school facility, |
building, or program and to any facility, building, or program |
|
supported in whole or in part by public funds. Prior to |
visiting a school, school building, or school facility, the |
parent, independent educational evaluator, or qualified |
professional may be required by the school district to inform |
the building principal or supervisor in writing of the proposed |
visit, the purpose of the visit, and the approximate duration |
of the visit. The visitor and the school district shall arrange |
the visit or visits at times that are mutually agreeable. |
Visitors shall comply with school safety, security, and |
visitation policies at all times. School district visitation |
policies must not conflict with this subsection (g-5). Visitors |
shall be required to comply with the requirements of applicable |
privacy laws, including those laws protecting the |
confidentiality of education records such as the federal Family |
Educational Rights and Privacy Act and the Illinois School |
Student Records Act. The visitor shall not disrupt the |
educational process. |
(1) A parent must be afforded reasonable access of |
sufficient duration and scope for the purpose of observing |
his or her child in the child's current educational |
placement, services, or program or for the purpose of |
visiting an educational placement or program proposed for |
the child. |
(2) An independent educational evaluator or a |
qualified professional retained by or on behalf of a parent |
or child must be afforded reasonable access of sufficient |
|
duration and scope for the purpose of conducting an |
evaluation of the child, the child's performance, the |
child's current educational program, placement, services, |
or environment, or any educational program, placement, |
services, or environment proposed for the child, including |
interviews of educational personnel, child observations, |
assessments, tests or assessments of the child's |
educational program, services, or placement or of any |
proposed educational program, services, or placement. If |
one or more interviews of school personnel are part of the |
evaluation, the interviews must be conducted at a mutually |
agreed upon time, date, and place that do not interfere |
with the school employee's school duties. The school |
district may limit interviews to personnel having |
information relevant to the child's current educational |
services, program, or placement or to a proposed |
educational service, program, or placement. |
(h) (Blank).
|
(i) (Blank).
|
(j) (Blank).
|
(k) (Blank).
|
(l) (Blank).
|
(m) (Blank).
|
(n) (Blank).
|
(o) (Blank).
|
(Source: P.A. 98-219, eff. 8-9-13; 99-30, eff. 7-10-15; 99-143, |
|
eff. 7-27-15; revised 10-21-15.)
|
(105 ILCS 5/19-1)
|
Sec. 19-1. Debt limitations of school districts.
|
(a) School districts shall not be subject to the provisions |
limiting their
indebtedness prescribed in the Local Government |
Debt Limitation Act "An Act to limit the indebtedness of |
counties having
a population of less than 500,000 and |
townships, school districts and other
municipal corporations |
having a population of less than 300,000", approved
February |
15, 1928, as amended .
|
No school districts maintaining grades K through 8 or 9 |
through 12
shall become indebted in any manner or for any |
purpose to an amount,
including existing indebtedness, in the |
aggregate exceeding 6.9% on the
value of the taxable property |
therein to be ascertained by the last assessment
for State and |
county taxes or, until January 1, 1983, if greater, the sum |
that
is produced by multiplying the school district's 1978 |
equalized assessed
valuation by the debt limitation percentage |
in effect on January 1, 1979,
previous to the incurring of such |
indebtedness.
|
No school districts maintaining grades K through 12 shall |
become
indebted in any manner or for any purpose to an amount, |
including
existing indebtedness, in the aggregate exceeding |
13.8% on the value of
the taxable property therein to be |
ascertained by the last assessment
for State and county taxes |
|
or, until January 1, 1983, if greater, the sum that
is produced |
by multiplying the school district's 1978 equalized assessed
|
valuation by the debt limitation percentage in effect on |
January 1, 1979,
previous to the incurring of such |
indebtedness.
|
No partial elementary unit district, as defined in Article |
11E of this Code, shall become indebted in any manner or for |
any purpose in an amount, including existing indebtedness, in |
the aggregate exceeding 6.9% of the value of the taxable |
property of the entire district, to be ascertained by the last |
assessment for State and county taxes, plus an amount, |
including existing indebtedness, in the aggregate exceeding |
6.9% of the value of the taxable property of that portion of |
the district included in the elementary and high school |
classification, to be ascertained by the last assessment for |
State and county taxes. Moreover, no partial elementary unit |
district, as defined in Article 11E of this Code, shall become |
indebted on account of bonds issued by the district for high |
school purposes in the aggregate exceeding 6.9% of the value of |
the taxable property of the entire district, to be ascertained |
by the last assessment for State and county taxes, nor shall |
the district become indebted on account of bonds issued by the |
district for elementary purposes in the aggregate exceeding |
6.9% of the value of the taxable property for that portion of |
the district included in the elementary and high school |
classification, to be ascertained by the last assessment for |
|
State and county taxes.
|
Notwithstanding the provisions of any other law to the |
contrary, in any
case in which the voters of a school district |
have approved a proposition
for the issuance of bonds of such |
school district at an election held prior
to January 1, 1979, |
and all of the bonds approved at such election have
not been |
issued, the debt limitation applicable to such school district
|
during the calendar year 1979 shall be computed by multiplying |
the value
of taxable property therein, including personal |
property, as ascertained
by the last assessment for State and |
county taxes, previous to the incurring
of such indebtedness, |
by the percentage limitation applicable to such school
district |
under the provisions of this subsection (a).
|
(b) Notwithstanding the debt limitation prescribed in |
subsection (a)
of this Section, additional indebtedness may be |
incurred in an amount
not to exceed the estimated cost of |
acquiring or improving school sites
or constructing and |
equipping additional building facilities under the
following |
conditions:
|
(1) Whenever the enrollment of students for the next |
school year is
estimated by the board of education to |
increase over the actual present
enrollment by not less |
than 35% or by not less than 200 students or the
actual |
present enrollment of students has increased over the |
previous
school year by not less than 35% or by not less |
than 200 students and
the board of education determines |
|
that additional school sites or
building facilities are |
required as a result of such increase in
enrollment; and
|
(2) When the Regional Superintendent of Schools having |
jurisdiction
over the school district and the State |
Superintendent of Education
concur in such enrollment |
projection or increase and approve the need
for such |
additional school sites or building facilities and the
|
estimated cost thereof; and
|
(3) When the voters in the school district approve a |
proposition for
the issuance of bonds for the purpose of |
acquiring or improving such
needed school sites or |
constructing and equipping such needed additional
building |
facilities at an election called and held for that purpose.
|
Notice of such an election shall state that the amount of |
indebtedness
proposed to be incurred would exceed the debt |
limitation otherwise
applicable to the school district. |
The ballot for such proposition
shall state what percentage |
of the equalized assessed valuation will be
outstanding in |
bonds if the proposed issuance of bonds is approved by
the |
voters; or
|
(4) Notwithstanding the provisions of paragraphs (1) |
through (3) of
this subsection (b), if the school board |
determines that additional
facilities are needed to |
provide a quality educational program and not
less than 2/3 |
of those voting in an election called by the school board
|
on the question approve the issuance of bonds for the |
|
construction of
such facilities, the school district may |
issue bonds for this
purpose; or
|
(5) Notwithstanding the provisions of paragraphs (1) |
through (3) of this
subsection (b), if (i) the school |
district has previously availed itself of the
provisions of |
paragraph (4) of this subsection (b) to enable it to issue |
bonds,
(ii) the voters of the school district have not |
defeated a proposition for the
issuance of bonds since the |
referendum described in paragraph (4) of this
subsection |
(b) was held, (iii) the school board determines that |
additional
facilities are needed to provide a quality |
educational program, and (iv) a
majority of those voting in |
an election called by the school board on the
question |
approve the issuance of bonds for the construction of such |
facilities,
the school district may issue bonds for this |
purpose.
|
In no event shall the indebtedness incurred pursuant to |
this
subsection (b) and the existing indebtedness of the school |
district
exceed 15% of the value of the taxable property |
therein to be
ascertained by the last assessment for State and |
county taxes, previous
to the incurring of such indebtedness |
or, until January 1, 1983, if greater,
the sum that is produced |
by multiplying the school district's 1978 equalized
assessed |
valuation by the debt limitation percentage in effect on |
January 1,
1979.
|
The indebtedness provided for by this subsection (b) shall |
|
be in
addition to and in excess of any other debt limitation.
|
(c) Notwithstanding the debt limitation prescribed in |
subsection (a)
of this Section, in any case in which a public |
question for the issuance
of bonds of a proposed school |
district maintaining grades kindergarten
through 12 received |
at least 60% of the valid ballots cast on the question at
an |
election held on or prior to November 8, 1994, and in which the |
bonds
approved at such election have not been issued, the |
school district pursuant to
the requirements of Section 11A-10 |
(now repealed) may issue the total amount of bonds approved
at |
such election for the purpose stated in the question.
|
(d) Notwithstanding the debt limitation prescribed in |
subsection (a)
of this Section, a school district that meets |
all the criteria set forth in
paragraphs (1) and (2) of this |
subsection (d) may incur an additional
indebtedness in an |
amount not to exceed $4,500,000, even though the amount of
the |
additional indebtedness authorized by this subsection (d), |
when incurred
and added to the aggregate amount of indebtedness |
of the district existing
immediately prior to the district |
incurring the additional indebtedness
authorized by this |
subsection (d), causes the aggregate indebtedness of the
|
district to exceed the debt limitation otherwise applicable to |
that district
under subsection (a):
|
(1) The additional indebtedness authorized by this |
subsection (d) is
incurred by the school district through |
the issuance of bonds under and in
accordance with Section |
|
17-2.11a for the purpose of replacing a school
building |
which, because of mine subsidence damage, has been closed |
as provided
in paragraph (2) of this subsection (d) or |
through the issuance of bonds under
and in accordance with |
Section 19-3 for the purpose of increasing the size of,
or |
providing for additional functions in, such replacement |
school buildings, or
both such purposes.
|
(2) The bonds issued by the school district as provided |
in paragraph (1)
above are issued for the purposes of |
construction by the school district of
a new school |
building pursuant to Section 17-2.11, to replace an |
existing
school building that, because of mine subsidence |
damage, is closed as of the
end of the 1992-93 school year |
pursuant to action of the regional
superintendent of |
schools of the educational service region in which the
|
district is located under Section 3-14.22 or are issued for |
the purpose of
increasing the size of, or providing for |
additional functions in, the new
school building being |
constructed to replace a school building closed as the
|
result of mine subsidence damage, or both such purposes.
|
(e) (Blank).
|
(f) Notwithstanding the provisions of subsection (a) of |
this Section or of
any other law, bonds in not to exceed the |
aggregate amount of $5,500,000 and
issued by a school district |
meeting the following criteria shall not be
considered |
indebtedness for purposes of any statutory limitation and may |
|
be
issued in an amount or amounts, including existing |
indebtedness, in excess of
any heretofore or hereafter imposed |
statutory limitation as to indebtedness:
|
(1) At the time of the sale of such bonds, the board of |
education of the
district shall have determined by |
resolution that the enrollment of students in
the district |
is projected to increase by not less than 7% during each of |
the
next succeeding 2 school years.
|
(2) The board of education shall also determine by |
resolution that the
improvements to be financed with the |
proceeds of the bonds are needed because
of the projected |
enrollment increases.
|
(3) The board of education shall also determine by |
resolution that the
projected increases in enrollment are |
the result of improvements made or
expected to be made to |
passenger rail facilities located in the school
district.
|
Notwithstanding the provisions of subsection (a) of this |
Section or of any other law, a school district that has availed |
itself of the provisions of this subsection (f) prior to July |
22, 2004 (the effective date of Public Act 93-799) may also |
issue bonds approved by referendum up to an amount, including |
existing indebtedness, not exceeding 25% of the equalized |
assessed value of the taxable property in the district if all |
of the conditions set forth in items (1), (2), and (3) of this |
subsection (f) are met.
|
(g) Notwithstanding the provisions of subsection (a) of |
|
this Section or any
other law, bonds in not to exceed an |
aggregate amount of 25% of the equalized
assessed value of the |
taxable property of a school district and issued by a
school |
district meeting the criteria in paragraphs (i) through (iv) of |
this
subsection shall not be considered indebtedness for |
purposes of any statutory
limitation and may be issued pursuant |
to resolution of the school board in an
amount or amounts, |
including existing indebtedness, in
excess of any statutory |
limitation of indebtedness heretofore or hereafter
imposed:
|
(i) The bonds are issued for the purpose of |
constructing a new high school
building to replace two |
adjacent existing buildings which together house a
single |
high school, each of which is more than 65 years old, and |
which together
are located on more than 10 acres and less |
than 11 acres of property.
|
(ii) At the time the resolution authorizing the |
issuance of the bonds is
adopted, the cost of constructing |
a new school building to replace the existing
school |
building is less than 60% of the cost of repairing the |
existing school
building.
|
(iii) The sale of the bonds occurs before July 1, 1997.
|
(iv) The school district issuing the bonds is a unit |
school district
located in a county of less than 70,000 and |
more than 50,000 inhabitants,
which has an average daily |
attendance of less than 1,500 and an equalized
assessed |
valuation of less than $29,000,000.
|
|
(h) Notwithstanding any other provisions of this Section or |
the
provisions of any other law, until January 1, 1998, a |
community unit school
district maintaining grades K through 12 |
may issue bonds up to an amount,
including existing |
indebtedness, not exceeding 27.6% of the equalized assessed
|
value of the taxable property in the district, if all of the |
following
conditions are met:
|
(i) The school district has an equalized assessed |
valuation for calendar
year 1995 of less than $24,000,000;
|
(ii) The bonds are issued for the capital improvement, |
renovation,
rehabilitation, or replacement of existing |
school buildings of the district,
all of which buildings |
were originally constructed not less than 40 years ago;
|
(iii) The voters of the district approve a proposition |
for the issuance of
the bonds at a referendum held after |
March 19, 1996; and
|
(iv) The bonds are issued pursuant to Sections 19-2 |
through 19-7 of this
Code.
|
(i) Notwithstanding any other provisions of this Section or |
the provisions
of any other law, until January 1, 1998, a |
community unit school district
maintaining grades K through 12 |
may issue bonds up to an amount, including
existing |
indebtedness, not exceeding 27% of the equalized assessed value |
of the
taxable property in the district, if all of the |
following conditions are met:
|
(i) The school district has an equalized assessed |
|
valuation for calendar
year 1995 of less than $44,600,000;
|
(ii) The bonds are issued for the capital improvement, |
renovation,
rehabilitation, or replacement
of existing |
school buildings of the district, all of which
existing |
buildings were originally constructed not less than 80 |
years ago;
|
(iii) The voters of the district approve a proposition |
for the issuance of
the bonds at a referendum held after |
December 31, 1996; and
|
(iv) The bonds are issued pursuant to Sections 19-2 |
through 19-7 of this
Code.
|
(j) Notwithstanding any other provisions of this Section or |
the
provisions of any other law, until January 1, 1999, a |
community unit school
district maintaining grades K through 12 |
may issue bonds up to an amount,
including existing |
indebtedness, not exceeding 27% of the equalized assessed
value |
of the taxable property in the district if all of the following
|
conditions are met:
|
(i) The school district has an equalized assessed |
valuation for calendar
year 1995 of less than $140,000,000 |
and a best 3 months
average daily
attendance for the |
1995-96 school year of at least 2,800;
|
(ii) The bonds are issued to purchase a site and build |
and equip a new
high school, and the school district's |
existing high school was originally
constructed not less |
than 35
years prior to the sale of the bonds;
|
|
(iii) At the time of the sale of the bonds, the board |
of education
determines
by resolution that a new high |
school is needed because of projected enrollment
|
increases;
|
(iv) At least 60% of those voting in an election held
|
after December 31, 1996 approve a proposition
for the |
issuance of
the bonds; and
|
(v) The bonds are issued pursuant to Sections 19-2 |
through
19-7 of this Code.
|
(k) Notwithstanding the debt limitation prescribed in |
subsection (a) of
this Section, a school district that meets |
all the criteria set forth in
paragraphs (1) through (4) of |
this subsection (k) may issue bonds to incur an
additional |
indebtedness in an amount not to exceed $4,000,000 even though |
the
amount of the additional indebtedness authorized by this |
subsection (k), when
incurred and added to the aggregate amount |
of indebtedness of the school
district existing immediately |
prior to the school district incurring such
additional |
indebtedness, causes the aggregate indebtedness of the school
|
district to exceed or increases the amount by which the |
aggregate indebtedness
of the district already exceeds the debt |
limitation otherwise applicable to
that school district under |
subsection (a):
|
(1) the school district is located in 2 counties, and a |
referendum to
authorize the additional indebtedness was |
approved by a majority of the voters
of the school district |
|
voting on the proposition to authorize that
indebtedness;
|
(2) the additional indebtedness is for the purpose of |
financing a
multi-purpose room addition to the existing |
high school;
|
(3) the additional indebtedness, together with the |
existing indebtedness
of the school district, shall not |
exceed 17.4% of the value of the taxable
property in the |
school district, to be ascertained by the last assessment |
for
State and county taxes; and
|
(4) the bonds evidencing the additional indebtedness |
are issued, if at
all, within 120 days of August 14, 1998 |
( the effective date of Public Act 90-757) this amendatory |
Act of 1998 .
|
(l) Notwithstanding any other provisions of this Section or |
the
provisions of any other law, until January 1, 2000, a |
school district
maintaining grades kindergarten through 8 may |
issue bonds up to an amount,
including existing indebtedness, |
not exceeding 15% of the equalized assessed
value of the |
taxable property in the district if all of the following
|
conditions are met:
|
(i) the district has an equalized assessed valuation |
for calendar year
1996 of less than $10,000,000;
|
(ii) the bonds are issued for capital improvement, |
renovation,
rehabilitation, or replacement of one or more |
school buildings of the district,
which buildings were |
originally constructed not less than 70 years ago;
|
|
(iii) the voters of the district approve a proposition |
for the issuance of
the bonds at a referendum held on or |
after March 17, 1998; and
|
(iv) the bonds are issued pursuant to Sections 19-2 |
through 19-7 of this
Code.
|
(m) Notwithstanding any other provisions of this Section or |
the provisions
of
any other law, until January 1, 1999, an |
elementary school district maintaining
grades K through 8 may |
issue bonds up to an amount, excluding existing
indebtedness, |
not exceeding 18% of the equalized assessed value of the |
taxable
property in the district, if all of the following |
conditions are met:
|
(i) The school district has an equalized assessed |
valuation for calendar
year 1995 or less than $7,700,000;
|
(ii) The school district operates 2 elementary |
attendance centers that
until
1976 were operated as the |
attendance centers of 2 separate and distinct school
|
districts;
|
(iii) The bonds are issued for the construction of a |
new elementary school
building to replace an existing |
multi-level elementary school building of the
school |
district that is not accessible at all levels and parts of
|
which were constructed more than 75 years ago;
|
(iv) The voters of the school district approve a |
proposition for the
issuance of the bonds at a referendum |
held after July 1, 1998; and
|
|
(v) The bonds are issued pursuant to Sections 19-2 |
through 19-7 of this
Code.
|
(n) Notwithstanding the debt limitation prescribed in |
subsection (a) of
this Section or any other provisions of this |
Section or of any other law, a
school district that meets all |
of the criteria set forth in paragraphs (i)
through (vi) of |
this subsection (n) may incur additional indebtedness by the
|
issuance of bonds in an amount not exceeding the amount |
certified by the
Capital Development Board to the school |
district as provided in paragraph (iii)
of
this subsection (n), |
even though the amount of the additional indebtedness so
|
authorized, when incurred and added to the aggregate amount of |
indebtedness of
the district existing immediately prior to the |
district incurring the
additional indebtedness authorized by |
this subsection (n), causes the aggregate
indebtedness of the |
district to exceed the debt limitation otherwise applicable
by |
law to that district:
|
(i) The school district applies to the State Board of |
Education for a
school construction project grant and |
submits a district facilities plan in
support
of its |
application pursuant to Section 5-20 of
the School |
Construction Law.
|
(ii) The school district's application and facilities |
plan are approved
by,
and the district receives a grant |
entitlement for a school construction project
issued by, |
the State Board of Education under the School Construction |
|
Law.
|
(iii) The school district has exhausted its bonding |
capacity or the unused
bonding capacity of the district is |
less than the amount certified by the
Capital Development |
Board to the district under Section 5-15 of the School
|
Construction Law as the dollar amount of the school |
construction project's cost
that the district will be |
required to finance with non-grant funds in order to
|
receive a school construction project grant under the |
School Construction Law.
|
(iv) The bonds are issued for a "school construction |
project", as that
term is defined in Section 5-5 of the |
School Construction Law, in an amount
that does not exceed |
the dollar amount certified, as provided in paragraph
(iii) |
of this subsection (n), by the Capital Development Board
to |
the school
district under Section 5-15 of the School |
Construction Law.
|
(v) The voters of the district approve a proposition |
for the issuance of
the bonds at a referendum held after |
the criteria specified in paragraphs (i)
and (iii) of this |
subsection (n) are met.
|
(vi) The bonds are issued pursuant to Sections 19-2 |
through 19-7 of the
School Code.
|
(o) Notwithstanding any other provisions of this Section or |
the
provisions of any other law, until November 1, 2007, a |
community unit
school district maintaining grades K through 12 |
|
may issue bonds up to
an amount, including existing |
indebtedness, not exceeding 20% of the
equalized assessed value |
of the taxable property in the district if all of the
following |
conditions are met:
|
(i) the school district has an equalized assessed |
valuation
for calendar year 2001 of at least $737,000,000 |
and an enrollment
for the 2002-2003 school year of at least |
8,500;
|
(ii) the bonds are issued to purchase school sites, |
build and
equip a new high school, build and equip a new |
junior high school,
build and equip 5 new elementary |
schools, and make technology
and other improvements and |
additions to existing schools;
|
(iii) at the time of the sale of the bonds, the board |
of
education determines by resolution that the sites and |
new or
improved facilities are needed because of projected |
enrollment
increases;
|
(iv) at least 57% of those voting in a general election |
held
prior to January 1, 2003 approved a proposition for |
the issuance of
the bonds; and
|
(v) the bonds are issued pursuant to Sections 19-2 |
through
19-7 of this Code.
|
(p) Notwithstanding any other provisions of this Section or |
the provisions of any other law, a community unit school |
district maintaining grades K through 12 may issue bonds up to |
an amount, including indebtedness, not exceeding 27% of the |
|
equalized assessed value of the taxable property in the |
district if all of the following conditions are met: |
(i) The school district has an equalized assessed |
valuation for calendar year 2001 of at least $295,741,187 |
and a best 3 months' average daily attendance for the |
2002-2003 school year of at least 2,394. |
(ii) The bonds are issued to build and equip 3 |
elementary school buildings; build and equip one middle |
school building; and alter, repair, improve, and equip all |
existing school buildings in the district. |
(iii) At the time of the sale of the bonds, the board |
of education determines by resolution that the project is |
needed because of expanding growth in the school district |
and a projected enrollment increase. |
(iv) The bonds are issued pursuant to Sections 19-2 |
through 19-7 of this Code.
|
(p-5) Notwithstanding any other provisions of this Section |
or the provisions of any other law, bonds issued by a community |
unit school district maintaining grades K through 12 shall not |
be considered indebtedness for purposes of any statutory |
limitation and may be issued in an amount or amounts, including |
existing indebtedness, in excess of any heretofore or hereafter |
imposed statutory limitation as to indebtedness, if all of the |
following conditions are met: |
(i) For each of the 4 most recent years, residential |
property comprises more than 80% of the equalized assessed |
|
valuation of the district. |
(ii) At least 2 school buildings that were constructed |
40 or more years prior to the issuance of the bonds will be |
demolished and will be replaced by new buildings or |
additions to one or more existing buildings. |
(iii) Voters of the district approve a proposition for |
the issuance of the bonds at a regularly scheduled |
election. |
(iv) At the time of the sale of the bonds, the school |
board determines by resolution that the new buildings or |
building additions are needed because of an increase in |
enrollment projected by the school board. |
(v) The principal amount of the bonds, including |
existing indebtedness, does not exceed 25% of the equalized |
assessed value of the taxable property in the district. |
(vi) The bonds are issued prior to January 1, 2007, |
pursuant to Sections 19-2 through 19-7 of this Code.
|
(p-10) Notwithstanding any other provisions of this |
Section or the provisions of any other law, bonds issued by a |
community consolidated school district maintaining grades K |
through 8 shall not be considered indebtedness for purposes of |
any statutory limitation and may be issued in an amount or |
amounts, including existing indebtedness, in excess of any |
heretofore or hereafter imposed statutory limitation as to |
indebtedness, if all of the following conditions are met: |
(i) For each of the 4 most recent years, residential |
|
and farm property comprises more than 80% of the equalized |
assessed valuation of the district. |
(ii) The bond proceeds are to be used to acquire and |
improve school sites and build and equip a school building. |
(iii) Voters of the district approve a proposition for |
the issuance of the bonds at a regularly scheduled |
election. |
(iv) At the time of the sale of the bonds, the school |
board determines by resolution that the school sites and |
building additions are needed because of an increase in |
enrollment projected by the school board. |
(v) The principal amount of the bonds, including |
existing indebtedness, does not exceed 20% of the equalized |
assessed value of the taxable property in the district. |
(vi) The bonds are issued prior to January 1, 2007, |
pursuant to Sections 19-2 through 19-7 of this Code.
|
(p-15) In addition to all other authority to issue bonds, |
the Oswego Community Unit School District Number 308 may issue |
bonds with an aggregate principal amount not to exceed |
$450,000,000, but only if all of the following conditions are |
met: |
(i) The voters of the district have approved a |
proposition for the bond issue at the general election held |
on November 7, 2006. |
(ii) At the time of the sale of the bonds, the school |
board determines, by resolution, that: (A) the building and |
|
equipping of the new high school building, new junior high |
school buildings, new elementary school buildings, early |
childhood building, maintenance building, transportation |
facility, and additions to existing school buildings, the |
altering, repairing, equipping, and provision of |
technology improvements to existing school buildings, and |
the acquisition and improvement of school sites, as the |
case may be, are required as a result of a projected |
increase in the enrollment of students in the district; and |
(B) the sale of bonds for these purposes is authorized by |
legislation that exempts the debt incurred on the bonds |
from the district's statutory debt limitation.
|
(iii) The bonds are issued, in one or more bond issues, |
on or before November 7, 2011, but the aggregate principal |
amount issued in all such bond issues combined must not |
exceed $450,000,000.
|
(iv) The bonds are issued in accordance with this |
Article 19. |
(v) The proceeds of the bonds are used only to |
accomplish those projects approved by the voters at the |
general election held on November 7, 2006. |
The debt incurred on any bonds issued under this subsection |
(p-15) shall not be considered indebtedness for purposes of any |
statutory debt limitation.
|
(p-20) In addition to all other authority to issue bonds, |
the Lincoln-Way Community High School District Number 210 may |
|
issue bonds with an aggregate principal amount not to exceed |
$225,000,000, but only if all of the following conditions are |
met: |
(i) The voters of the district have approved a |
proposition for the bond issue at the general primary |
election held on March 21, 2006. |
(ii) At the time of the sale of the bonds, the school |
board determines, by resolution, that: (A) the building and |
equipping of the new high school buildings, the altering, |
repairing, and equipping of existing school buildings, and |
the improvement of school sites, as the case may be, are |
required as a result of a projected increase in the |
enrollment of students in the district; and (B) the sale of |
bonds for these purposes is authorized by legislation that |
exempts the debt incurred on the bonds from the district's |
statutory debt limitation.
|
(iii) The bonds are issued, in one or more bond issues, |
on or before March 21, 2011, but the aggregate principal |
amount issued in all such bond issues combined must not |
exceed $225,000,000.
|
(iv) The bonds are issued in accordance with this |
Article 19. |
(v) The proceeds of the bonds are used only to |
accomplish those projects approved by the voters at the |
primary election held on March 21, 2006. |
The debt incurred on any bonds issued under this subsection |
|
(p-20) shall not be considered indebtedness for purposes of any |
statutory debt limitation.
|
(p-25) In addition to all other authority to issue bonds, |
Rochester Community Unit School District 3A may issue bonds |
with an aggregate principal amount not to exceed $18,500,000, |
but only if all of the following conditions are met: |
(i) The voters of the district approve a proposition |
for the bond issuance at the general primary election held |
in 2008.
|
(ii) At the time of the sale of the bonds, the school |
board determines, by resolution, that: (A) the building and |
equipping of a new high school building; the addition of |
classrooms and support facilities at the high school, |
middle school, and elementary school; the altering, |
repairing, and equipping of existing school buildings; and |
the improvement of school sites, as the case may be, are |
required as a result of a projected increase in the |
enrollment of students in the district; and (B) the sale of |
bonds for these purposes is authorized by a law that |
exempts the debt incurred on the bonds from the district's |
statutory debt limitation. |
(iii) The bonds are issued, in one or more bond issues, |
on or before December 31, 2012, but the aggregate principal |
amount issued in all such bond issues combined must not |
exceed $18,500,000. |
(iv) The bonds are issued in accordance with this |
|
Article 19. |
(v) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at the primary |
election held in 2008.
|
The debt incurred on any bonds issued under this subsection |
(p-25) shall not be considered indebtedness for purposes of any |
statutory debt limitation.
|
(p-30) In addition to all other authority to issue bonds, |
Prairie Grove Consolidated School District 46 may issue bonds |
with an aggregate principal amount not to exceed $30,000,000, |
but only if all of the following conditions are met:
|
(i) The voters of the district approve a proposition |
for the bond issuance at an election held in 2008.
|
(ii) At the time of the sale of the bonds, the school |
board determines, by resolution, that (A) the building and |
equipping of a new school building and additions to |
existing school buildings are required as a result of a |
projected increase in the enrollment of students in the |
district and (B) the altering, repairing, and equipping of |
existing school buildings are required because of the age |
of the existing school buildings.
|
(iii) The bonds are issued, in one or more bond |
issuances, on or before December 31, 2012; however, the |
aggregate principal amount issued in all such bond |
issuances combined must not exceed $30,000,000.
|
(iv) The bonds are issued in accordance with this |
|
Article.
|
(v) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held in 2008.
|
The debt incurred on any bonds issued under this subsection |
(p-30) shall not be considered indebtedness for purposes of any |
statutory debt limitation.
|
(p-35) In addition to all other authority to issue bonds, |
Prairie Hill Community Consolidated School District 133 may |
issue bonds with an aggregate principal amount not to exceed |
$13,900,000, but only if all of the following conditions are |
met:
|
(i) The voters of the district approved a proposition |
for the bond issuance at an election held on April 17, |
2007.
|
(ii) At the time of the sale of the bonds, the school |
board determines, by resolution, that (A) the improvement |
of the site of and the building and equipping of a school |
building are required as a result of a projected increase |
in the enrollment of students in the district and (B) the |
repairing and equipping of the Prairie Hill Elementary |
School building is required because of the age of that |
school building.
|
(iii) The bonds are issued, in one or more bond |
issuances, on or before December 31, 2011, but the |
aggregate principal amount issued in all such bond |
|
issuances combined must not exceed $13,900,000.
|
(iv) The bonds are issued in accordance with this |
Article.
|
(v) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on April 17, 2007.
|
The debt incurred on any bonds issued under this subsection |
(p-35) shall not be considered indebtedness for purposes of any |
statutory debt limitation.
|
(p-40) In addition to all other authority to issue bonds, |
Mascoutah Community Unit District 19 may issue bonds with an |
aggregate principal amount not to exceed $55,000,000, but only |
if all of the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at a regular election held on or |
after November 4, 2008. |
(2) At the time of the sale of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of a new high school building is required as a |
result of a projected increase in the enrollment of |
students in the district and the age and condition of the |
existing high school building, (ii) the existing high |
school building will be demolished, and (iii) the sale of |
bonds is authorized by statute that exempts the debt |
incurred on the bonds from the district's statutory debt |
limitation. |
|
(3) The bonds are issued, in one or more bond |
issuances, on or before December 31, 2011, but the |
aggregate principal amount issued in all such bond |
issuances combined must not exceed $55,000,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at a regular |
election held on or after November 4, 2008. |
The debt incurred on any bonds issued under this subsection |
(p-40) shall not be considered indebtedness for purposes of any |
statutory debt limitation. |
(p-45) Notwithstanding the provisions of subsection (a) of |
this Section or of any other law, bonds issued pursuant to |
Section 19-3.5 of this Code shall not be considered |
indebtedness for purposes of any statutory limitation if the |
bonds are issued in an amount or amounts, including existing |
indebtedness of the school district, not in excess of 18.5% of |
the value of the taxable property in the district to be |
ascertained by the last assessment for State and county taxes. |
(p-50) Notwithstanding the provisions of subsection (a) of
|
this Section or of any other law, bonds issued pursuant to
|
Section 19-3.10 of this Code shall not be considered
|
indebtedness for purposes of any statutory limitation if the
|
bonds are issued in an amount or amounts, including existing
|
indebtedness of the school district, not in excess of 43% of
|
|
the value of the taxable property in the district to be
|
ascertained by the last assessment for State and county taxes. |
(p-55) In addition to all other authority to issue bonds, |
Belle Valley School District 119 may issue bonds with an |
aggregate principal amount not to exceed $47,500,000, but only |
if all of the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after April |
7, 2009. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of a new school building is required as a result |
of mine subsidence in an existing school building and |
because of the age and condition of another existing school |
building and (ii) the issuance of bonds is authorized by |
statute that exempts the debt incurred on the bonds from |
the district's statutory debt limitation. |
(3) The bonds are issued, in one or more bond |
issuances, on or before March 31, 2014, but the aggregate |
principal amount issued in all such bond issuances combined |
must not exceed $47,500,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after April 7, 2009. |
|
The debt incurred on any bonds issued under this subsection |
(p-55) shall not be considered indebtedness for purposes of any |
statutory debt limitation. Bonds issued under this subsection |
(p-55) must mature within not to exceed 30 years from their |
date, notwithstanding any other law to the contrary. |
(p-60) In addition to all other authority to issue bonds, |
Wilmington Community Unit School District Number 209-U may |
issue bonds with an aggregate principal amount not to exceed |
$2,285,000, but only if all of the following conditions are |
met: |
(1) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at the general |
primary election held on March 21, 2006. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the projects |
approved by the voters were and are required because of the |
age and condition of the school district's prior and |
existing school buildings and (ii) the issuance of the |
bonds is authorized by legislation that exempts the debt |
incurred on the bonds from the district's statutory debt |
limitation. |
(3) The bonds are issued in one or more bond issuances |
on or before March 1, 2011, but the aggregate principal |
amount issued in all those bond issuances combined must not |
exceed $2,285,000. |
(4) The bonds are issued in accordance with this |
|
Article. |
The debt incurred on any bonds issued under this subsection |
(p-60) shall not be considered indebtedness for purposes of any |
statutory debt limitation. |
(p-65) In addition to all other authority to issue bonds, |
West Washington County Community Unit School District 10 may |
issue bonds with an aggregate principal amount not to exceed |
$32,200,000 and maturing over a period not exceeding 25 years, |
but only if all of the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after |
February 2, 2010. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (A) all or a portion |
of the existing Okawville Junior/Senior High School |
Building will be demolished; (B) the building and equipping |
of a new school building to be attached to and the |
alteration, repair, and equipping of the remaining portion |
of the Okawville Junior/Senior High School Building is |
required because of the age and current condition of that |
school building; and (C) the issuance of bonds is |
authorized by a statute that exempts the debt incurred on |
the bonds from the district's statutory debt limitation. |
(3) The bonds are issued, in one or more bond |
issuances, on or before March 31, 2014, but the aggregate |
principal amount issued in all such bond issuances combined |
|
must not exceed $32,200,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after February 2, 2010. |
The debt incurred on any bonds issued under this subsection |
(p-65) shall not be considered indebtedness for purposes of any |
statutory debt limitation. |
(p-70) In addition to all other authority to issue bonds, |
Cahokia Community Unit School District 187 may issue bonds with |
an aggregate principal amount not to exceed $50,000,000, but |
only if all the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after |
November 2, 2010. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of a new school building is required as a result |
of the age and condition of an existing school building and |
(ii) the issuance of bonds is authorized by a statute that |
exempts the debt incurred on the bonds from the district's |
statutory debt limitation. |
(3) The bonds are issued, in one or more issuances, on |
or before July 1, 2016, but the aggregate principal amount |
issued in all such bond issuances combined must not exceed |
|
$50,000,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after November 2, 2010. |
The debt incurred on any bonds issued under this subsection |
(p-70) shall not be considered indebtedness for purposes of any |
statutory debt limitation. Bonds issued under this subsection |
(p-70) must mature within not to exceed 25 years from their |
date, notwithstanding any other law, including Section 19-3 of |
this Code, to the contrary. |
(p-75) Notwithstanding the debt limitation prescribed in |
subsection (a) of this Section
or any other provisions of this |
Section or of any other law, the execution of leases on or
|
after January 1, 2007 and before July 1, 2011 by the Board of |
Education of Peoria School District 150 with a public building |
commission for leases entered into pursuant to the Public
|
Building Commission Act shall not be considered indebtedness |
for purposes of any
statutory debt limitation. |
This subsection (p-75) applies only if the State Board of |
Education or the Capital Development Board makes one or more |
grants to Peoria School District 150 pursuant to the School |
Construction Law. The amount exempted from the debt limitation |
as prescribed in this subsection (p-75) shall be no greater |
than the amount of one or more grants awarded to Peoria School |
|
District 150 by the State Board of Education or the Capital |
Development Board. |
(p-80) In addition to all other authority to issue bonds, |
Ridgeland School District 122 may issue bonds with an aggregate |
principal amount not to exceed $50,000,000 for the purpose of |
refunding or continuing to refund bonds originally issued |
pursuant to voter approval at the general election held on |
November 7, 2000, and the debt incurred on any bonds issued |
under this subsection (p-80) shall not be considered |
indebtedness for purposes of any statutory debt limitation. |
Bonds issued under this subsection (p-80) may be issued in one |
or more issuances and must mature within not to exceed 25 years |
from their date, notwithstanding any other law, including |
Section 19-3 of this Code, to the contrary. |
(p-85) In addition to all other authority to issue bonds, |
Hall High School District 502 may issue bonds with an aggregate |
principal amount not to exceed $32,000,000, but only if all the |
following conditions are met: |
(1) The voters of the district approve a proposition
|
for the bond issuance at an election held on or after April |
9, 2013. |
(2) Prior to the issuance of the bonds, the school
|
board determines, by resolution, that (i) the building and |
equipping of a new school building is required as a result |
of the age and condition of an existing school building, |
(ii) the existing school building should be demolished in |
|
its entirety or the existing school building should be |
demolished except for the 1914 west wing of the building, |
and (iii) the issuance of bonds is authorized by a statute |
that exempts the debt incurred on the bonds from the |
district's statutory debt limitation. |
(3) The bonds are issued, in one or more issuances, not |
later than 5 years after the date of the referendum |
approving the issuance of the bonds, but the aggregate |
principal amount issued in all such bond issuances combined |
must not exceed $32,000,000. |
(4) The bonds are issued in accordance with this
|
Article. |
(5) The proceeds of the bonds are used to accomplish
|
only those projects approved by the voters at an election |
held on or after April 9, 2013. |
The debt incurred on any bonds issued under this subsection |
(p-85) shall not be considered indebtedness for purposes of any |
statutory debt limitation. Bonds issued under this subsection |
(p-85) must mature within not to exceed 30 years from their |
date, notwithstanding any other law, including Section 19-3 of |
this Code, to the contrary. |
(p-90) In addition to all other authority to issue bonds, |
Lebanon Community Unit School District 9 may issue bonds with |
an aggregate principal amount not to exceed $7,500,000, but |
only if all of the following conditions are met: |
(1) The voters of the district approved a proposition |
|
for the bond issuance at the general primary election on |
February 2, 2010. |
(2) At or prior to the time of the sale of the bonds, |
the school board determines, by resolution, that (i) the |
building and equipping of a new elementary school building |
is required as a result of a projected increase in the |
enrollment of students in the district and the age and |
condition of the existing Lebanon Elementary School |
building, (ii) a portion of the existing Lebanon Elementary |
School building will be demolished and the remaining |
portion will be altered, repaired, and equipped, and (iii) |
the sale of bonds is authorized by a statute that exempts |
the debt incurred on the bonds from the district's |
statutory debt limitation. |
(3) The bonds are issued, in one or more bond |
issuances, on or before April 1, 2014, but the aggregate |
principal amount issued in all such bond issuances combined |
must not exceed $7,500,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at the general |
primary election held on February 2, 2010. |
The debt incurred on any bonds issued under this subsection |
(p-90) shall not be considered indebtedness for purposes of any |
statutory debt limitation. |
|
(p-95) In addition to all other authority to issue bonds, |
Monticello Community Unit School District 25 may issue bonds |
with an aggregate principal amount not to exceed $35,000,000, |
but only if all of the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after |
November 4, 2014. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of a new school building is required as a result |
of the age and condition of an existing school building and |
(ii) the issuance of bonds is authorized by a statute that |
exempts the debt incurred on the bonds from the district's |
statutory debt limitation. |
(3) The bonds are issued, in one or more issuances, on |
or before July 1, 2020, but the aggregate principal amount |
issued in all such bond issuances combined must not exceed |
$35,000,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after November 4, 2014. |
The debt incurred on any bonds issued under this subsection |
(p-95) shall not be considered indebtedness for purposes of any |
statutory debt limitation. Bonds issued under this subsection |
|
(p-95) must mature within not to exceed 25 years from their |
date, notwithstanding any other law, including Section 19-3 of |
this Code, to the contrary. |
(p-100) In addition to all other authority to issue bonds, |
the community unit school district created in the territory |
comprising Milford Community Consolidated School District 280 |
and Milford Township High School District 233, as approved at |
the general primary election held on March 18, 2014, may issue |
bonds with an aggregate principal amount not to exceed |
$17,500,000, but only if all the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after |
November 4, 2014. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of a new school building is required as a result |
of the age and condition of an existing school building and |
(ii) the issuance of bonds is authorized by a statute that |
exempts the debt incurred on the bonds from the district's |
statutory debt limitation. |
(3) The bonds are issued, in one or more issuances, on |
or before July 1, 2020, but the aggregate principal amount |
issued in all such bond issuances combined must not exceed |
$17,500,000. |
(4) The bonds are issued in accordance with this |
Article. |
|
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after November 4, 2014. |
The debt incurred on any bonds issued under this subsection |
(p-100) shall not be considered indebtedness for purposes of |
any statutory debt limitation. Bonds issued under this |
subsection (p-100) must mature within not to exceed 25 years |
from their date, notwithstanding any other law, including |
Section 19-3 of this Code, to the contrary. |
(p-105) In addition to all other authority to issue bonds, |
North Shore School District 112 may issue bonds with an |
aggregate principal amount not to exceed $150,000,000, but only |
if all of the following conditions are met: |
(1) The voters of the district approve a proposition |
for the bond issuance at an election held on or after March |
15, 2016. |
(2) Prior to the issuance of the bonds, the school |
board determines, by resolution, that (i) the building and |
equipping of new buildings and improving the sites thereof |
and the building and equipping of additions to, altering, |
repairing, equipping, and renovating existing buildings |
and improving the sites thereof are required as a result of |
the age and condition of the district's existing buildings |
and (ii) the issuance of bonds is authorized by a statute |
that exempts the debt incurred on the bonds from the |
district's statutory debt limitation. |
|
(3) The bonds are issued, in one or more issuances, not |
later than 5 years after the date of the referendum |
approving the issuance of the bonds, but the aggregate |
principal amount issued in all such bond issuances combined |
must not exceed $150,000,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at an election |
held on or after March 15, 2016. |
The debt incurred on any bonds issued under this subsection |
(p-105) and on any bonds issued to refund or continue to refund |
such bonds shall not be considered indebtedness for purposes of |
any statutory debt limitation. Bonds issued under this |
subsection (p-105) and any bonds issued to refund or continue |
to refund such bonds must mature within not to exceed 30 years |
from their date, notwithstanding any other law, including |
Section 19-3 of this Code, to the contrary. |
(p-110) In addition to all other authority to issue bonds, |
Sandoval Community Unit School District 501 may issue bonds |
with an aggregate principal amount not to exceed $2,000,000, |
but only if all of the following conditions are met: |
(1) The voters of the district approved a proposition |
for the bond issuance at an election held on March 20, |
2012. |
(2) Prior to the issuance of the bonds, the school |
|
board determines, by resolution, that (i) the building and |
equipping of a new school building is required because of |
the age and current condition of the Sandoval Elementary |
School building and (ii) the issuance of bonds is |
authorized by a statute that exempts the debt incurred on |
the bonds from the district's statutory debt limitation. |
(3) The bonds are issued, in one or more bond |
issuances, on or before March 19, 2017, but the aggregate |
principal amount issued in all such bond issuances combined |
must not exceed $2,000,000. |
(4) The bonds are issued in accordance with this |
Article. |
(5) The proceeds of the bonds are used to accomplish |
only those projects approved by the voters at the election |
held on March 20, 2012. |
The debt incurred on any bonds issued under this subsection |
(p-110) shall not be considered indebtedness for purposes of |
any statutory debt limitation. |
(q) A school district must notify the State Board of |
Education prior to issuing any form of long-term or short-term |
debt that will result in outstanding debt that exceeds 75% of |
the debt limit specified in this Section or any other provision |
of law.
|
(Source: P.A. 98-617, eff. 1-7-14; 98-912, eff. 8-15-14; |
98-916, eff. 8-15-14; 99-78, eff. 7-20-15; 99-143, eff. |
7-27-15; 99-390, eff. 8-18-15; revised 10-13-15.)
|
|
(105 ILCS 5/21B-20) |
Sec. 21B-20. Types of licenses. Before July 1, 2013, the |
State Board of Education shall implement a system of educator |
licensure, whereby individuals employed in school districts |
who are required to be licensed must have one of the following |
licenses: (i) a professional educator license; (ii) a |
professional educator license with stipulations; or (iii) a |
substitute teaching license. References in law regarding |
individuals certified or certificated or required to be |
certified or certificated under Article 21 of this Code shall |
also include individuals licensed or required to be licensed |
under this Article. The first year of all licenses ends on June |
30 following one full year of the license being issued. |
The State Board of Education, in consultation with the |
State Educator Preparation and Licensure Board, may adopt such |
rules as may be necessary to govern the requirements for |
licenses and endorsements under this Section. |
(1) Professional Educator License. Persons who (i) |
have successfully completed an approved educator |
preparation program and are recommended for licensure by |
the Illinois institution offering the educator preparation |
program, (ii) have successfully completed the required |
testing under Section 21B-30 of this Code, (iii) have |
successfully completed coursework on the psychology of, |
the identification of, and the methods of instruction for |
|
the exceptional child, including without limitation |
children with learning disabilities, (iv) have |
successfully completed coursework in methods of reading |
and reading in the content area, and (v) have met all other |
criteria established by rule of the State Board of |
Education shall be issued a Professional Educator License. |
All Professional Educator Licenses are valid until June 30 |
immediately following 5 years of the license being issued. |
The Professional Educator License shall be endorsed with |
specific areas and grade levels in which the individual is |
eligible to practice. |
Individuals can receive subsequent endorsements on the |
Professional Educator License. Subsequent endorsements |
shall require a minimum of 24 semester hours of coursework |
in the endorsement area, unless otherwise specified by |
rule, and passage of the applicable content area test. |
(2) Educator License with Stipulations. An Educator |
License with Stipulations shall be issued an endorsement |
that limits the license holder to one particular position |
or does not require completion of an approved educator |
program or both. |
An individual with an Educator License with |
Stipulations must not be employed by a school district or |
any other entity to replace any presently employed teacher |
who otherwise would not be replaced for any reason. |
An Educator License with Stipulations may be issued |
|
with the following endorsements: |
(A) Provisional educator. A provisional educator |
endorsement in a specific content area or areas on an |
Educator License with Stipulations may be issued to an |
applicant who holds an educator license with a minimum |
of 15 semester hours in content coursework from another |
state, U.S. territory, or foreign country and who, at |
the time of applying for an Illinois license, does not |
meet the minimum requirements under Section 21B-35 of |
this Code, but does, at a minimum, meet the following |
requirements: |
(i) Holds the equivalent of a minimum of a |
bachelor's degree, unless a master's degree is |
required for the endorsement, from a regionally |
accredited college or university or, for |
individuals educated in a country other than the |
United States, the equivalent of a minimum of a |
bachelor's degree issued in the United States, |
unless a master's degree is required for the |
endorsement. |
(ii) Has passed or passes a test of basic |
skills and content area test, as required by |
Section 21B-30 of this Code, prior to or within one |
year after issuance of the provisional educator |
endorsement on the Educator License with |
Stipulations. If an individual who holds an |
|
Educator License with Stipulations endorsed for |
provisional educator has not passed a test of basic |
skills and applicable content area test or tests |
within one year after issuance of the endorsement, |
the endorsement shall expire on June 30 following |
one full year of the endorsement being issued. If |
such an individual has passed the test of basic |
skills and applicable content area test or tests |
either prior to issuance of the endorsement or |
within one year after issuance of the endorsement, |
the endorsement is valid until June 30 immediately |
following 2 years of the license being issued, |
during which time any and all coursework |
deficiencies must be met and any and all additional |
testing deficiencies must be met. |
In addition, a provisional educator endorsement for |
principals or superintendents may be issued if the |
individual meets the requirements set forth in |
subdivisions (1) and (3) of subsection (b-5) of Section |
21B-35 of this Code. Applicants who have not been |
entitled by an Illinois-approved educator preparation |
program at an Illinois institution of higher education |
shall not receive a provisional educator endorsement |
if the person completed an alternative licensure |
program in another state, unless the program has been |
determined to be equivalent to Illinois program |
|
requirements. |
Notwithstanding any other requirements of this |
Section, a service member or spouse of a service member |
may obtain a Professional Educator License with |
Stipulations, and a provisional educator endorsement |
in a specific content area or areas, if he or she holds |
a valid teaching certificate or license in good |
standing from another state, meets the qualifications |
of educators outlined in Section 21B-15 of this Code, |
and has not engaged in any misconduct that would |
prohibit an individual from obtaining a license |
pursuant to Illinois law, including without limitation |
any administrative rules of the State Board of |
Education. |
In this Section, "service member" means any person |
who, at the time of application under this Section, is |
an active duty member of the United States Armed Forces |
or any reserve component of the United States Armed |
Forces or the National Guard of any state, |
commonwealth, or territory of the United States or the |
District of Columbia. |
A provisional educator endorsement is valid until |
June 30 immediately following 2 years of the license |
being issued, provided that any remaining testing and |
coursework deficiencies are met as set forth in this |
Section. Failure to satisfy all stated deficiencies |
|
shall mean the individual, including any service |
member or spouse who has obtained a Professional |
Educator License with Stipulations and a provisional |
educator endorsement in a specific content area or |
areas, is ineligible to receive a Professional |
Educator License at that time. An Educator License with |
Stipulations endorsed for provisional educator shall |
not be renewed for individuals who hold an Educator |
License with Stipulations and who have held a position |
in a public school or non-public school recognized by |
the State Board of Education. |
(B) Alternative provisional educator. An |
alternative provisional educator endorsement on an |
Educator License with Stipulations may be issued to an |
applicant who, at the time of applying for the |
endorsement, has done all of the following: |
(i) Graduated from a regionally accredited |
college or university with a minimum of a |
bachelor's degree. |
(ii) Successfully completed the first phase of |
the Alternative Educator Licensure Program for |
Teachers, as described in Section 21B-50 of this |
Code. |
(iii) Passed a test of basic skills and content |
area test, as required under Section 21B-30 of this |
Code. |
|
The alternative provisional educator endorsement |
is valid for 2 years of teaching and may be renewed for |
a third year by an individual meeting the requirements |
set forth in Section 21B-50 of this Code. |
(C) Alternative provisional superintendent. An |
alternative provisional superintendent endorsement on |
an Educator License with Stipulations entitles the |
holder to serve only as a superintendent or assistant |
superintendent in a school district's central office. |
This endorsement may only be issued to an applicant |
who, at the time of applying for the endorsement, has |
done all of the following: |
(i) Graduated from a regionally accredited |
college or university with a minimum of a master's |
degree in a management field other than education. |
(ii) Been employed for a period of at least 5 |
years in a management level position in a field |
other than education. |
(iii) Successfully completed the first phase |
of an alternative route to superintendent |
endorsement program, as provided in Section 21B-55 |
of this Code. |
(iv) Passed a test of basic skills and content |
area tests required under Section 21B-30 of this |
Code. |
The endorsement may be registered for 2 fiscal |
|
years in order to complete one full year of serving as |
a superintendent or assistant superintendent. |
(D) Resident teacher endorsement. A resident |
teacher endorsement on an Educator License with |
Stipulations may be issued to an applicant who, at the |
time of applying for the endorsement, has done all of |
the following: |
(i) Graduated from a regionally accredited |
institution of higher education with a minimum of a |
bachelor's degree. |
(ii) Enrolled in an approved Illinois educator |
preparation program. |
(iii) Passed a test of basic skills and content |
area test, as required under Section 21B-30 of this |
Code. |
The resident teacher endorsement on an Educator |
License with Stipulations is valid for 4 years of |
teaching and shall not be renewed. |
A resident teacher may teach only under the |
direction of a licensed teacher, who shall act as the |
resident mentor teacher, and may not teach in place of |
a licensed teacher.
A resident teacher endorsement on |
an Educator License with Stipulations shall no longer |
be valid after June 30, 2017. |
(E) Career and technical educator. A career and |
technical educator endorsement on an Educator License |
|
with Stipulations may be issued to an applicant who has |
a minimum of 60 semester hours of coursework from a |
regionally accredited institution of higher education |
and has a minimum of 2,000 hours of experience outside |
of education in each area to be taught. |
The career and technical educator endorsement on |
an Educator License with Stipulations is valid until |
June 30 immediately following 5 years of the |
endorsement being issued and may be renewed. For |
individuals who were issued the career and technical |
educator endorsement on an Educator License with |
Stipulations on or after January 1, 2015, the license |
may be renewed if the individual passes a test of basic |
skills, as required under Section 21B-30 of this Code. |
(F) Part-time provisional career and technical |
educator or provisional career and technical educator. |
A part-time provisional career and technical educator |
endorsement or a provisional career and technical |
educator endorsement on an Educator License with |
Stipulations may be issued to an applicant who has a |
minimum of 8,000 hours of work experience in the skill |
for which the applicant is seeking the endorsement. It |
is the responsibility of each employing school board |
and regional office of education to provide |
verification, in writing, to the State Superintendent |
of Education at the time the application is submitted |
|
that no qualified teacher holding a Professional |
Educator License or an Educator License with |
Stipulations with a career and technical educator |
endorsement is available and that actual circumstances |
require such issuance. |
The provisional career and technical educator |
endorsement on an Educator License with Stipulations |
is valid until June 30 immediately following 5 years of |
the endorsement being issued and may be renewed only |
one time for 5 years. For individuals who were issued |
the provisional career and technical educator |
endorsement on an Educator License with Stipulations |
on or after January 1, 2015, the license may be renewed |
one time if the individual passes a test of basic |
skills, as required under Section 21B-30 of this Code, |
and has completed a minimum of 20 semester hours from a |
regionally accredited institution. |
A part-time provisional career and technical |
educator endorsement on an Educator License with |
Stipulations may be issued for teaching no more than 2 |
courses of study for grades 6 through 12. The part-time |
provisional career and technical educator endorsement |
on an Educator License with Stipulations is valid until |
June 30 immediately following 5 years of the |
endorsement being issued and may be renewed for 5 years |
if the individual makes application for renewal. |
|
(G) Transitional bilingual educator. A |
transitional bilingual educator endorsement on an |
Educator License with Stipulations may be issued for |
the purpose of providing instruction in accordance |
with Article 14C of this Code to an applicant who |
provides satisfactory evidence that he or she meets all |
of the following requirements: |
(i) Possesses adequate speaking, reading, and |
writing ability in the language other than English |
in which transitional bilingual education is |
offered. |
(ii) Has the ability to successfully |
communicate in English. |
(iii) Either possessed, within 5 years |
previous to his or her applying for a transitional |
bilingual educator endorsement, a valid and |
comparable teaching certificate or comparable |
authorization issued by a foreign country or holds |
a degree from an institution of higher learning in |
a foreign country that the State Educator |
Preparation and Licensure Board determines to be |
the equivalent of a bachelor's degree from a |
regionally accredited institution of higher |
learning in the United States. |
A transitional bilingual educator endorsement |
shall be valid for prekindergarten through grade 12, is |
|
valid until June 30 immediately following 5 years of |
the endorsement being issued, and shall not be renewed. |
Persons holding a transitional bilingual educator |
endorsement shall not be employed to replace any |
presently employed teacher who otherwise would not be |
replaced for any reason. |
(H) Language endorsement. In an effort to |
alleviate the shortage of teachers speaking a language |
other than English in the public schools, an individual |
who holds an Educator License with Stipulations may |
also apply for a language endorsement, provided that |
the applicant provides satisfactory evidence that he |
or she meets all of the following requirements: |
(i) Holds a transitional bilingual |
endorsement. |
(ii) Has demonstrated proficiency in the |
language for which the endorsement is to be issued |
by passing the applicable language content test |
required by the State Board of Education. |
(iii) Holds a bachelor's degree or higher from |
a regionally accredited institution of higher |
education or, for individuals educated in a |
country other than the United States, holds a |
degree from an institution of higher learning in a |
foreign country that the State Educator |
Preparation and Licensure Board determines to be |
|
the equivalent of a bachelor's degree from a |
regionally accredited institution of higher |
learning in the United States. |
(iv) Has passed a test of basic skills, as |
required under Section 21B-30 of this Code. |
A language endorsement on an Educator License with |
Stipulations is valid for prekindergarten through |
grade 12 for the same validity period as the |
individual's transitional bilingual educator |
endorsement on the Educator License with Stipulations |
and shall not be renewed. |
(I) Visiting international educator. A visiting |
international educator endorsement on an Educator |
License with Stipulations may be issued to an |
individual who is being recruited by a particular |
school district that conducts formal recruitment |
programs outside of the United States to secure the |
services of qualified teachers and who meets all of the |
following requirements: |
(i) Holds the equivalent of a minimum of a |
bachelor's degree issued in the United States. |
(ii) Has been prepared as a teacher at the |
grade level for which he or she will be employed. |
(iii) Has adequate content knowledge in the |
subject to be taught. |
(iv) Has an adequate command of the English |
|
language. |
A holder of a visiting international educator |
endorsement on an Educator License with Stipulations |
shall be permitted to teach in bilingual education |
programs in the language that was the medium of |
instruction in his or her teacher preparation program, |
provided that he or she passes the English Language |
Proficiency Examination or another test of writing |
skills in English identified by the State Board of |
Education, in consultation with the State Educator |
Preparation and Licensure Board. |
A visiting international educator endorsement on |
an Educator License with Stipulations is valid for 3 |
years and shall not be renewed. |
(J) Paraprofessional educator. A paraprofessional |
educator endorsement on an Educator License with |
Stipulations may be issued to an applicant who holds a |
high school diploma or its recognized equivalent and |
either holds an associate's degree or a minimum of 60 |
semester hours of credit from a regionally accredited |
institution of higher education or has passed a test of |
basic skills required under Section 21B-30 of this |
Code. The paraprofessional educator endorsement is |
valid until June 30 immediately following 5 years of |
the endorsement being issued and may be renewed through |
application and payment of the appropriate fee, as |
|
required under Section 21B-40 of this Code. An |
individual who holds only a paraprofessional educator |
endorsement is not subject to additional requirements |
in order to renew the endorsement. |
(K) Chief school business official. A chief school |
business official endorsement on an Educator License |
with Stipulations may be issued to an applicant who |
qualifies by having a master's degree or higher, 2 |
years of full-time administrative experience in school |
business management or 2 years of university-approved |
practical experience, and a minimum of 24 semester |
hours of graduate credit in a program approved by the |
State Board of Education for the preparation of school |
business administrators and by passage of the |
applicable State tests, including a test of basic |
skills and applicable content area test. |
The chief school business official endorsement may |
also be affixed to the Educator License with |
Stipulations of any holder who qualifies by having a |
master's degree in business administration, finance, |
or accounting and who completes an additional 6 |
semester hours of internship in school business |
management from a regionally accredited institution of |
higher education and passes the applicable State |
tests, including a test of basic skills and applicable |
content area test. This endorsement shall be required |
|
for any individual employed as a chief school business |
official. |
The chief school business official endorsement on |
an Educator License with Stipulations is valid until |
June 30 immediately following 5 years of the |
endorsement being issued and may be renewed if the |
license holder completes renewal requirements as |
required for individuals who hold a Professional |
Educator License endorsed for chief school business |
official under Section 21B-45 of this Code and such |
rules as may be adopted by the State Board of |
Education. |
(3) Substitute Teaching License. A Substitute Teaching |
License may be issued to qualified applicants for |
substitute teaching in all grades of the public schools, |
prekindergarten through grade 12. Substitute Teaching |
Licenses are not eligible for endorsements. Applicants for |
a Substitute Teaching License must hold a bachelor's degree |
or higher from a regionally accredited institution of |
higher education. |
Substitute Teaching Licenses are valid for 5 years and |
may be renewed if the individual has passed a test of basic |
skills, as authorized under Section 21B-30 of this Code. An |
individual who has passed a test of basic skills for the |
first licensure renewal is not required to retake the test |
again for further renewals. |
|
Substitute Teaching Licenses are valid for substitute |
teaching in every county of this State. If an individual |
has had his or her Professional Educator License or |
Educator License with Stipulations suspended or revoked or |
has not met the renewal requirements for licensure, then |
that individual is not eligible to obtain a Substitute |
Teaching License. |
A substitute teacher may only teach in the place of a |
licensed teacher who is under contract with the employing |
board. If, however, there is no licensed teacher under |
contract because of an emergency situation, then a district |
may employ a substitute teacher for no longer than 30 |
calendar days per each vacant position in the district if |
the district notifies the appropriate regional office of |
education within 5 business days after the employment of |
the substitute teacher in the emergency situation. An |
emergency situation is one in which an unforeseen vacancy |
has occurred and (i) a teacher is unable to fulfill his or |
her contractual duties or (ii) teacher capacity needs of |
the district exceed previous indications, and the district |
is actively engaged in advertising to hire a fully licensed |
teacher for the vacant position. |
There is no limit on the number of days that a |
substitute teacher may teach in a single school district, |
provided that no substitute teacher may teach for longer |
than 90 school days for any one licensed teacher under |
|
contract in the same school year. A substitute teacher who |
holds a Professional Educator License or Educator License |
with Stipulations shall not teach for more than 120 school |
days for any one licensed teacher under contract in the |
same school year. The limitations in this paragraph (3) on |
the number of days a substitute teacher may be employed do |
not apply to any school district operating under Article 34 |
of this Code.
|
(Source: P.A. 98-28, eff. 7-1-13; 98-751, eff. 1-1-15; 99-35, |
eff. 1-1-16; 99-58, eff. 7-16-15; 99-143, eff. 7-27-15; revised |
10-14-15.)
|
(105 ILCS 5/21B-45) |
Sec. 21B-45. Professional Educator License renewal. |
(a) Individuals holding a Professional Educator License |
are required to complete the licensure renewal requirements as |
specified in this Section, unless otherwise provided in this |
Code. |
Individuals holding a Professional Educator License shall |
meet the renewal requirements set forth in this Section, unless |
otherwise provided in this Code. If an individual holds a |
license endorsed in more than one area that has different |
renewal requirements, that individual shall follow the renewal |
requirements for the position for which he or she spends the |
majority of his or her time working. |
(b) All Professional Educator Licenses not renewed as |
|
provided in this Section shall lapse on September 1 of that |
year. Lapsed licenses may be immediately reinstated upon (i) |
payment by the applicant of a $500 penalty to the State Board |
of Education or (ii) the demonstration of proficiency by |
completing 9 semester hours of coursework from a regionally |
accredited institution of higher education in the content area |
that most aligns with one or more of the educator's endorsement |
areas. Any and all back fees, including without limitation |
registration fees owed from the time of expiration of the |
license until the date of reinstatement, shall be paid and kept |
in accordance with the provisions in Article 3 of this Code |
concerning an institute fund and the provisions in Article 21B |
of this Code concerning fees and requirements for registration. |
Licenses not registered in accordance with Section 21B-40 of |
this Code shall lapse after a period of 6 months from the |
expiration of the last year of registration. An unregistered |
license is invalid after September 1 for employment and |
performance of services in an Illinois public or State-operated |
school or cooperative and in a charter school. Any license or |
endorsement may be voluntarily surrendered by the license |
holder. A voluntarily surrendered license, except a substitute |
teaching license issued under Section 21B-20 of this Code, |
shall be treated as a revoked license. An Educator License with |
Stipulations with only a paraprofessional endorsement does not |
lapse.
|
(c) From July 1, 2013 through June 30, 2014, in order to |
|
satisfy the requirements for licensure renewal provided for in |
this Section, each professional educator licensee with an |
administrative endorsement who is working in a position |
requiring such endorsement shall complete one Illinois |
Administrators' Academy course, as described in Article 2 of |
this Code, per fiscal year. |
(d) Beginning July 1, 2014, in order to satisfy the |
requirements for licensure renewal provided for in this |
Section, each professional educator licensee may create a |
professional development plan each year. The plan shall address |
one or more of the endorsements that are required of his or her |
educator position if the licensee is employed and performing |
services in an Illinois public or State-operated school or |
cooperative. If the licensee is employed in a charter school, |
the plan shall address that endorsement or those endorsements |
most closely related to his or her educator position. Licensees |
employed and performing services in any other Illinois schools |
may participate in the renewal requirements by adhering to the |
same process. |
Except as otherwise provided in this Section, the |
licensee's professional development activities shall align |
with one or more of the following criteria: |
(1) activities are of a type that engage participants |
over a sustained period of time allowing for analysis, |
discovery, and application as they relate to student |
learning, social or emotional achievement, or well-being; |
|
(2) professional development aligns to the licensee's |
performance; |
(3) outcomes for the activities must relate to student |
growth or district improvement; |
(4) activities align to State-approved standards;
and |
(5) higher education coursework. |
(e) For each renewal cycle, each professional educator |
licensee shall engage in professional development activities. |
Prior to renewal, the licensee shall enter electronically into |
the Educator Licensure Information System (ELIS) the name, |
date, and location of the activity, the number of professional |
development hours, and the provider's name. The following |
provisions shall apply concerning professional development |
activities: |
(1) Each licensee shall complete a total of 120 hours |
of professional development per 5-year renewal cycle in |
order to renew the license, except as otherwise provided in |
this Section. |
(2) Beginning with his or her first full 5-year cycle, |
any licensee with an administrative endorsement who is not |
working in a position requiring such endorsement shall |
complete one Illinois Administrators' Academy course, as |
described in Article 2 of this Code, in each 5-year renewal |
cycle in which the administrative endorsement was held for |
at least one year. The Illinois Administrators' Academy |
course may count toward the total of 120 hours per 5-year |
|
cycle. |
(3) Any licensee with an administrative endorsement |
who is working in a position requiring such endorsement or |
an individual with a Teacher Leader endorsement serving in |
an administrative capacity at least 50% of the day shall |
complete one Illinois Administrators' Academy course, as |
described in Article 2 of this Code, each fiscal year in |
addition to 100 hours of professional development per |
5-year renewal cycle in accordance with this Code. |
(4) Any licensee holding a current National Board for |
Professional Teaching Standards (NBPTS) master teacher |
designation shall complete a total of 60 hours of |
professional development per 5-year renewal cycle in order |
to renew the license. |
(5) Licensees working in a position that does not |
require educator licensure or working in a position for |
less than 50% for any particular year are considered to be |
exempt and shall be required to pay only the registration |
fee in order to renew and maintain the validity of the |
license. |
(6) Licensees who are retired and qualify for benefits |
from a State retirement system shall notify the State Board |
of Education using ELIS, and the license shall be |
maintained in retired status. An individual with a license |
in retired status shall not be required to complete |
professional development activities or pay registration |
|
fees until returning to a position that requires educator |
licensure. Upon returning to work in a position that |
requires the Professional Educator License, the licensee |
shall immediately pay a registration fee and complete |
renewal requirements for that year. A license in retired |
status cannot lapse. |
(7) For any renewal cycle in which professional |
development hours were required, but not fulfilled, the |
licensee shall complete any missed hours to total the |
minimum professional development hours required in this |
Section prior to September 1 of that year. For any fiscal |
year or renewal cycle in which an Illinois Administrators' |
Academy course was required but not completed, the licensee |
shall complete any missed Illinois Administrators' Academy |
courses prior to September 1 of that year. The licensee may |
complete all deficient hours and Illinois Administrators' |
Academy courses while continuing to work in a position that |
requires that license until September 1 of that year. |
(8) Any licensee who has not fulfilled the professional |
development renewal requirements set forth in this Section |
at the end of any 5-year renewal cycle is ineligible to |
register his or her license and may submit an appeal to the |
State Superintendent of Education for reinstatement of the |
license. |
(9) If professional development opportunities were |
unavailable to a licensee, proof that opportunities were |
|
unavailable and request for an extension of time beyond |
August 31 to complete the renewal requirements may be |
submitted from April 1 through June 30 of that year to the |
State Educator Preparation and Licensure Board. If an |
extension is approved, the license shall remain valid |
during the extension period. |
(10) Individuals who hold exempt licenses prior to |
December 27, 2013 ( the effective date of Public Act 98-610) |
this amendatory Act of the 98th General Assembly shall |
commence the annual renewal process with the first |
scheduled registration due after December 27, 2013 ( the |
effective date of Public Act 98-610) this amendatory Act of |
the 98th General Assembly . |
(f) At the time of renewal, each licensee shall respond to |
the required questions under penalty of perjury. |
(g) The following entities shall be designated as approved |
to provide professional development activities for the renewal |
of Professional Educator Licenses: |
(1) The State Board of Education. |
(2) Regional offices of education and intermediate |
service centers. |
(3) Illinois professional associations representing |
the following groups that are approved by the State |
Superintendent of Education: |
(A) school administrators; |
(B) principals; |
|
(C) school business officials; |
(D) teachers, including special education |
teachers; |
(E) school boards; |
(F) school districts; |
(G) parents; and |
(H) school service personnel. |
(4) Regionally accredited institutions of higher |
education that offer Illinois-approved educator |
preparation programs and public community colleges subject |
to the Public Community College Act. |
(5) Illinois public school districts, charter schools |
authorized under Article 27A of this Code, and joint |
educational programs authorized under Article 10 of this |
Code for the purposes of providing career and technical |
education or special education services. |
(6) A not-for-profit organization that, as of December |
31, 2014 ( the effective date of Public Act 98-1147) this |
amendatory Act of the 98th General Assembly , has had or has |
a grant from or a contract with the State Board of |
Education to provide professional development services in |
the area of English Learning to Illinois school districts, |
teachers, or administrators. |
(7) State agencies, State boards, and State |
commissions. |
(8) (7) Museums as defined in Section 10 of the Museum |
|
Disposition of Property Act. |
(h) Approved providers under subsection (g) of this Section |
shall make available professional development opportunities |
that satisfy at least one of the following: |
(1) increase the knowledge and skills of school and |
district leaders who guide continuous professional |
development; |
(2) improve the learning of students; |
(3) organize adults into learning communities whose |
goals are aligned with those of the school and district; |
(4) deepen educator's content knowledge; |
(5) provide educators with research-based |
instructional strategies to assist students in meeting |
rigorous academic standards; |
(6) prepare educators to appropriately use various |
types of classroom assessments; |
(7) use learning strategies appropriate to the |
intended goals; |
(8) provide educators with the knowledge and skills to |
collaborate; or |
(9) prepare educators to apply research to |
decision-making. |
(i) Approved providers under subsection (g) of this Section |
shall do the following: |
(1) align professional development activities to the |
State-approved national standards for professional |
|
learning; |
(2) meet the professional development criteria for |
Illinois licensure renewal; |
(3) produce a rationale for the activity that explains |
how it aligns to State standards and identify the |
assessment for determining the expected impact on student |
learning or school improvement; |
(4) maintain original documentation for completion of |
activities; and |
(5) provide license holders with evidence of |
completion of activities. |
(j) The State Board of Education shall conduct annual |
audits of approved providers, except for school districts, |
which shall be audited by regional offices of education and |
intermediate service centers. The State Board of Education |
shall complete random audits of licensees. |
(1) Approved providers shall annually submit to the |
State Board of Education a list of subcontractors used for |
delivery of professional development activities for which |
renewal credit was issued and other information as defined |
by rule. |
(2) Approved providers shall annually submit data to |
the State Board of Education demonstrating how the |
professional development activities impacted one or more |
of the following: |
(A) educator and student growth in regards to |
|
content knowledge or skills, or both; |
(B) educator and student social and emotional |
growth; or |
(C) alignment to district or school improvement |
plans. |
(3) The State Superintendent of Education shall review |
the annual data collected by the State Board of Education, |
regional offices of education, and intermediate service |
centers in audits to determine if the approved provider has |
met the criteria and should continue to be an approved |
provider or if further action should be taken as provided |
in rules. |
(k) Registration fees shall be paid for the next renewal |
cycle between April 1 and June 30 in the last year of each |
5-year renewal cycle using ELIS. If all required professional |
development hours for the renewal cycle have been completed and |
entered by the licensee, the licensee shall pay the |
registration fees for the next cycle using a form of credit or |
debit card. |
(l) Beginning July 1, 2014, any professional educator |
licensee endorsed for school support personnel who is employed |
and performing services in Illinois public schools and who |
holds an active and current professional license issued by the |
Department of Financial and Professional Regulation related to |
the endorsement areas on the Professional Educator License |
shall be deemed to have satisfied the continuing professional |
|
development requirements provided for in this Section. Such |
individuals shall be required to pay only registration fees to |
renew the Professional Educator License. An individual who does |
not hold a license issued by the Department of Financial and |
Professional Regulation shall complete professional |
development requirements for the renewal of a Professional |
Educator License provided for in this Section. |
(m) Appeals to the State Educator Preparation and Licensure |
Board
must be made within 30 days after receipt of notice from |
the State Superintendent of Education that a license will not |
be renewed based upon failure to complete the requirements of |
this Section. A licensee may appeal that decision to the State |
Educator Preparation and Licensure Board in a manner prescribed |
by rule. |
(1) Each appeal shall state the reasons why the State |
Superintendent's decision should be reversed and shall be |
sent by certified mail, return receipt requested, to the |
State Board of Education. |
(2) The State Educator Preparation and Licensure Board |
shall review each appeal regarding renewal of a license |
within 90 days after receiving the appeal in order to |
determine whether the licensee has met the requirements of |
this Section. The State Educator Preparation and Licensure |
Board may hold an appeal hearing or may make its |
determination based upon the record of review, which shall |
consist of the following: |
|
(A) the regional superintendent of education's |
rationale for recommending nonrenewal of the license, |
if applicable; |
(B) any evidence submitted to the State |
Superintendent along with the individual's electronic |
statement of assurance for renewal; and |
(C) the State Superintendent's rationale for |
nonrenewal of the license. |
(3) The State Educator Preparation and Licensure Board |
shall notify the licensee of its decision regarding license |
renewal by certified mail, return receipt requested, no |
later than 30 days after reaching a decision. Upon receipt |
of notification of renewal, the licensee, using ELIS, shall |
pay the applicable registration fee for the next cycle |
using a form of credit or debit card. |
(n) The State Board of Education may adopt rules as may be |
necessary to implement this Section. |
(Source: P.A. 98-610, eff. 12-27-13; 98-1147, eff. 12-31-14; |
99-58, eff. 7-16-15; 99-130, eff. 7-24-15; revised 10-21-15.)
|
(105 ILCS 5/22-30)
|
Sec. 22-30. Self-administration and self-carry of asthma |
medication and epinephrine auto-injectors; administration of |
undesignated epinephrine auto-injectors; administration of an |
opioid antagonist.
|
(a) For the purpose of this Section only, the following |
|
terms shall have the meanings set forth below:
|
"Asthma inhaler" means a quick reliever asthma inhaler. |
"Epinephrine auto-injector" means a single-use device used |
for the automatic injection of a pre-measured dose of |
epinephrine into the human body.
|
"Asthma medication" means a medicine, prescribed by (i) a |
physician
licensed to practice medicine in all its branches,
|
(ii) a licensed physician assistant prescriptive authority , or |
(iii) a licensed advanced practice
nurse prescriptive |
authority
for a pupil that pertains to the pupil's
asthma and |
that has an individual prescription label.
|
"Opioid antagonist" means a drug that binds to opioid |
receptors and blocks or inhibits the effect of opioids acting |
on those receptors, including, but not limited to, naloxone |
hydrochloride or any other similarly acting drug approved by |
the U.S. Food and Drug Administration. |
"School nurse" means a registered nurse working in a school |
with or without licensure endorsed in school nursing. |
"Self-administration" means a pupil's discretionary use of |
his or
her prescribed asthma medication or epinephrine |
auto-injector.
|
"Self-carry" means a pupil's ability to carry his or her |
prescribed asthma medication or epinephrine auto-injector. |
"Standing protocol" may be issued by (i) a physician |
licensed to practice medicine in all its branches, (ii) a |
licensed physician assistant prescriptive authority , or (iii) |
|
a licensed advanced practice nurse prescriptive . |
"Trained personnel" means any school employee or volunteer |
personnel authorized in Sections 10-22.34, 10-22.34a, and |
10-22.34b of this Code who has completed training under |
subsection (g) of this Section to recognize and respond to |
anaphylaxis. |
"Undesignated epinephrine auto-injector" means an |
epinephrine auto-injector prescribed in the name of a school |
district, public school, or nonpublic school. |
(b) A school, whether public or nonpublic, must permit the
|
self-administration and self-carry of asthma
medication by a |
pupil with asthma or the self-administration and self-carry of |
an epinephrine auto-injector by a pupil, provided that:
|
(1) the parents or
guardians of the pupil provide to |
the school (i) written
authorization from the parents or |
guardians for (A) the self-administration and self-carry |
of asthma medication or (B) the self-carry of asthma |
medication or (ii) for (A) the self-administration and |
self-carry of an epinephrine auto-injector or (B) the |
self-carry of an epinephrine auto-injector, written |
authorization from the pupil's physician, physician |
assistant, or advanced practice nurse; and
|
(2) the
parents or guardians of the pupil provide to |
the school (i) the prescription label, which must contain |
the name of the asthma medication, the prescribed dosage, |
and the time at which or circumstances under which the |
|
asthma medication is to be administered, or (ii) for the |
self-administration or self-carry of an epinephrine |
auto-injector, a
written
statement from the pupil's |
physician, physician assistant, or advanced practice
nurse |
containing
the following information:
|
(A) the name and purpose of the epinephrine |
auto-injector;
|
(B) the prescribed dosage; and
|
(C) the time or times at which or the special |
circumstances
under which the epinephrine |
auto-injector is to be administered.
|
The information provided shall be kept on file in the office of |
the school
nurse or,
in the absence of a school nurse, the |
school's administrator.
|
(b-5) A school district, public school, or nonpublic school |
may authorize the provision of a student-specific or |
undesignated epinephrine auto-injector to a student or any |
personnel authorized under a student's Individual Health Care |
Action Plan, Illinois Food Allergy Emergency Action Plan and |
Treatment Authorization Form, or plan pursuant to Section 504 |
of the federal Rehabilitation Act of 1973 to administer an |
epinephrine auto-injector to the student, that meets the |
student's prescription on file. |
(b-10) The school district, public school, or nonpublic |
school may authorize a school nurse or trained personnel to do |
the following: (i) provide an undesignated epinephrine |
|
auto-injector to a student for self-administration only or any |
personnel authorized under a student's Individual Health Care |
Action Plan, Illinois Food Allergy Emergency Action Plan and |
Treatment Authorization Form, or plan pursuant to Section 504 |
of the federal Rehabilitation Act of 1973 to administer to the |
student, that meets the student's prescription on file; (ii) |
administer an undesignated epinephrine auto-injector that |
meets the prescription on file to any student who has an |
Individual Health Care Action Plan, Illinois Food Allergy |
Emergency Action Plan and Treatment Authorization Form, or plan |
pursuant to Section 504 of the federal Rehabilitation Act of |
1973 that authorizes the use of an epinephrine auto-injector; |
(iii) administer an undesignated epinephrine auto-injector to |
any person that the school nurse or trained personnel in good |
faith believes is having an anaphylactic reaction; and (iv) |
administer an opioid antagonist to any person that the school |
nurse or trained personnel in good faith believes is having an |
opioid overdose. |
(c) The school district, public school, or nonpublic school |
must inform the parents or
guardians of the
pupil, in writing, |
that the school district, public school, or nonpublic school |
and its
employees and
agents, including a physician, physician |
assistant, or advanced practice nurse providing standing |
protocol or prescription for school epinephrine |
auto-injectors,
are to incur no liability or professional |
discipline, except for willful and wanton conduct, as a result
|
|
of any injury arising from the
administration of asthma |
medication, an epinephrine auto-injector, or an opioid |
antagonist regardless of whether authorization was given by the |
pupil's parents or guardians or by the pupil's physician, |
physician assistant, or advanced practice nurse. The parents or |
guardians
of the pupil must sign a statement acknowledging that |
the school district, public school,
or nonpublic school and its |
employees and agents are to incur no liability, except for |
willful and wanton
conduct, as a result of any injury arising
|
from the
administration of asthma medication, an epinephrine |
auto-injector, or an opioid antagonist regardless of whether |
authorization was given by the pupil's parents or guardians or |
by the pupil's physician, physician assistant, or advanced |
practice nurse and that the parents or
guardians must indemnify |
and hold harmless the school district, public school, or |
nonpublic
school and
its
employees and agents against any |
claims, except a claim based on willful and
wanton conduct, |
arising out of the
administration of asthma medication, an |
epinephrine auto-injector, or an opioid antagonist regardless |
of whether authorization was given by the pupil's parents or |
guardians or by the pupil's physician, physician assistant, or |
advanced practice nurse. |
(c-5) When a school nurse or trained personnel administers |
an undesignated epinephrine auto-injector to a person whom the |
school nurse or trained personnel in good faith believes is |
having an anaphylactic reaction , or administers an opioid |
|
antagonist to a person whom the school nurse or trained |
personnel in good faith believes is having an opioid overdose, |
notwithstanding the lack of notice to the parents or guardians |
of the pupil or the absence of the parents or guardians signed |
statement acknowledging no liability, except for willful and |
wanton conduct, the school district, public school, or |
nonpublic school and its employees and agents, and a physician, |
a physician assistant, or an advanced practice nurse providing |
standing protocol or prescription for undesignated epinephrine |
auto-injectors, are to incur no liability or professional |
discipline, except for willful and wanton conduct, as a result |
of any injury arising from the use of an undesignated |
epinephrine auto-injector or the use of an opioid antagonist |
regardless of whether authorization was given by the pupil's |
parents or guardians or by the pupil's physician, physician |
assistant, or advanced practice nurse.
|
(d) The permission for self-administration and self-carry |
of asthma medication or the self-administration and self-carry |
of an epinephrine auto-injector is effective
for the school |
year for which it is granted and shall be renewed each
|
subsequent school year upon fulfillment of the requirements of |
this
Section.
|
(e) Provided that the requirements of this Section are |
fulfilled, a
pupil with asthma may self-administer and |
self-carry his or her asthma medication or a pupil may |
self-administer and self-carry an epinephrine auto-injector |
|
(i) while in
school, (ii) while at a school-sponsored activity, |
(iii) while under the
supervision of
school personnel, or (iv) |
before or after normal school activities, such
as while in |
before-school or after-school care on school-operated
|
property.
|
(e-5) Provided that the requirements of this Section are |
fulfilled, a school nurse or trained personnel may administer |
an undesignated epinephrine auto-injector to any person whom |
the school nurse or trained personnel in good faith believes to |
be having an anaphylactic reaction (i) while in school, (ii) |
while at a school-sponsored activity, (iii) while under the |
supervision of school personnel, or (iv) before or after normal |
school activities, such
as while in before-school or |
after-school care on school-operated property. A school nurse |
or trained personnel may carry undesignated epinephrine |
auto-injectors on his or her person while in school or at a |
school-sponsored activity. |
(e-10) Provided that the requirements of this Section are |
fulfilled, a school nurse or trained personnel may administer |
an opioid antagonist to any person whom the school nurse or |
trained personnel in good faith believes to be having an opioid |
overdose (i) while in school, (ii) while at a school-sponsored |
activity, (iii) while under the supervision of school |
personnel, or (iv) before or after normal school activities, |
such as while in before-school or after-school care on |
school-operated property. A school nurse or trained personnel |
|
may carry an opioid antagonist on their person while in school |
or at a school-sponsored activity. |
(f) The school district, public school, or nonpublic school |
may maintain a supply of undesignated epinephrine |
auto-injectors in any secure location where an allergic person |
is most at risk, including, but not limited to, classrooms and |
lunchrooms. A physician, a physician assistant who has been |
delegated prescriptive authority in accordance with Section |
7.5 of the Physician Assistant Practice Act of 1987, or an |
advanced practice nurse who has been delegated prescriptive |
authority in accordance with Section 65-40 of the Nurse |
Practice Act may prescribe undesignated epinephrine |
auto-injectors in the name of the school district, public |
school, or nonpublic school to be maintained for use when |
necessary. Any supply of epinephrine auto-injectors shall be |
maintained in accordance with the manufacturer's instructions. |
The school district, public school, or nonpublic school may |
maintain a supply of an opioid antagonist in any secure |
location where an individual may have an opioid overdose. A |
health care professional who has been delegated prescriptive |
authority for opioid antagonists in accordance with Section |
5-23 of the Alcoholism and Other Drug Abuse and Dependency Act |
may prescribe opioid antagonists in the name of the school |
district, public school, or nonpublic school, to be maintained |
for use when necessary. Any supply of opioid antagonists shall |
be maintained in accordance with the manufacturer's |
|
instructions. |
(f-5) Upon any administration of an epinephrine |
auto-injector, a school district, public school, or nonpublic |
school must immediately activate the EMS system and notify the |
student's parent, guardian, or emergency contact, if known. |
Upon any administration of an opioid antagonist, a school |
district, public school, or nonpublic school must immediately |
activate the EMS system and notify the student's parent, |
guardian, or emergency contact, if known. |
(f-10) Within 24 hours of the administration of an |
undesignated epinephrine auto-injector, a school district, |
public school, or nonpublic school must notify the physician, |
physician assistant, or advanced advance practice nurse who |
provided the standing protocol or prescription for the |
undesignated epinephrine auto-injector of its use. |
Within 24 hours after the administration of an opioid |
antagonist, a school district, public school, or nonpublic |
school must notify the health care professional who provided |
the prescription for the opioid antagonist of its use. |
(g) Prior to the administration of an undesignated |
epinephrine auto-injector, trained personnel must submit to |
their his or her school's administration proof of completion of |
a training curriculum to recognize and respond to anaphylaxis |
that meets the requirements of subsection (h) of this Section. |
Training must be completed annually. Trained personnel must |
also submit to their his or her school's administration proof |
|
of cardiopulmonary resuscitation and automated external |
defibrillator certification. The school district, public |
school, or nonpublic school must maintain records related to |
the training curriculum and trained personnel. |
Prior to the administration of an opioid antagonist, |
trained personnel must submit to their school's administration |
proof of completion of a training curriculum to recognize and |
respond to an opioid overdose, which curriculum must meet the |
requirements of subsection (h-5) of this Section. Training must |
be completed annually. Trained personnel must also submit to |
the school's administration proof of cardiopulmonary |
resuscitation and automated external defibrillator |
certification. The school district, public school, or |
nonpublic school must maintain records relating to the training |
curriculum and the trained personnel. |
(h) A training curriculum to recognize and respond to |
anaphylaxis, including the administration of an undesignated |
epinephrine auto-injector, may be conducted online or in |
person. It must include, but is not limited to: |
(1) how to recognize symptoms of an allergic reaction; |
(2) a review of high-risk areas within the school and |
its related facilities; |
(3) steps to take to prevent exposure to allergens; |
(4) how to respond to an emergency involving an |
allergic reaction; |
(5) how to administer an epinephrine auto-injector; |
|
(6) how to respond to a student with a known allergy as |
well as a student with a previously unknown allergy; |
(7) a test demonstrating competency of the knowledge |
required to recognize anaphylaxis and administer an |
epinephrine auto-injector; and |
(8) other criteria as determined in rules adopted |
pursuant to this Section. |
In consultation with statewide professional organizations |
representing physicians licensed to practice medicine in all of |
its branches, registered nurses, and school nurses, the State |
Board of Education shall make available resource materials |
consistent with criteria in this subsection (h) for educating |
trained personnel to recognize and respond to anaphylaxis. The |
State Board may take into consideration the curriculum on this |
subject developed by other states, as well as any other |
curricular materials suggested by medical experts and other |
groups that work on life-threatening allergy issues. The State |
Board is not required to create new resource materials. The |
State Board shall make these resource materials available on |
its Internet website. |
(h-5) A training curriculum to recognize and respond to an |
opioid overdose, including the administration of an opioid |
antagonist, may be conducted online or in person. The training |
must comply with any training requirements under Section 5-23 |
of the Alcoholism and Other Drug Abuse and Dependency Act and |
the corresponding rules. It must include, but is not limited |
|
to: |
(1) how to recognize symptoms of an opioid overdose; |
(2) information on drug overdose prevention and |
recognition; |
(3) how to perform rescue breathing and resuscitation; |
(4) how to respond to an emergency involving an opioid |
overdose; |
(5) opioid antagonist dosage and administration; |
(6) the importance of calling 911; |
(7) care for the overdose victim after administration |
of the overdose antagonist; |
(8) a test demonstrating competency of the knowledge |
required to recognize an opioid overdose and administer a |
dose of an opioid antagonist; and |
(9) other criteria as determined in rules adopted |
pursuant to this Section. |
(i) Within 3 days after the administration of an |
undesignated epinephrine auto-injector by a school nurse, |
trained personnel, or a student at a school or school-sponsored |
activity, the school must report to the State Board in a form |
and manner prescribed by the State Board the following |
information: |
(1) age and type of person receiving epinephrine |
(student, staff, visitor); |
(2) any previously known diagnosis of a severe allergy; |
(3) trigger that precipitated allergic episode; |
|
(4) location where symptoms developed; |
(5) number of doses administered; |
(6) type of person administering epinephrine (school |
nurse, trained personnel, student); and |
(7) any other information required by the State Board. |
(i-5) Within 3 days after the administration of an opioid |
antagonist by a school nurse or trained personnel, the school |
must report to the State Board, in a form and manner prescribed |
by the State Board, the following information: |
(1) the age and type of person receiving the opioid |
antagonist (student, staff, or visitor); |
(2) the location where symptoms developed; |
(3) the type of person administering the opioid |
antagonist (school nurse or trained personnel); and |
(4) any other information required by the State Board. |
(j) By October 1, 2015 and every year thereafter, the State |
Board shall submit a report to the General Assembly identifying |
the frequency and circumstances of epinephrine administration |
during the preceding academic year. This report shall be |
published on the State Board's Internet website on the date the |
report is delivered to the General Assembly. |
On or before October 1, 2016 and every year thereafter, the |
State Board shall submit a report to the General Assembly and |
the Department of Public Health identifying the frequency and |
circumstances of opioid antagonist administration during the |
preceding academic year. This report shall be published on the |
|
State Board's Internet website on the date the report is |
delivered to the General Assembly. |
(k) The State Board may adopt rules necessary to implement |
this Section. |
(Source: P.A. 98-795, eff. 8-1-14; 99-173, eff. 7-29-15; |
99-480, eff. 9-9-15; revised 10-13-15.)
|
(105 ILCS 5/22-80) |
Sec. 22-80. Student athletes; concussions and head |
injuries. |
(a) The General Assembly recognizes all of the following: |
(1) Concussions are one of the most commonly reported |
injuries in children and adolescents who participate in |
sports and recreational activities. The Centers for |
Disease Control and Prevention estimates that as many as |
3,900,000 sports-related and recreation-related |
concussions occur in the United States each year. A |
concussion is caused by a blow or motion to the head or |
body that causes the brain to move rapidly inside the |
skull. The risk of catastrophic injuries or death are |
significant when a concussion or head injury is not |
properly evaluated and managed. |
(2) Concussions are a type of brain injury that can |
range from mild to severe and can disrupt the way the brain |
normally works. Concussions can occur in any organized or |
unorganized sport or recreational activity and can result |
|
from a fall or from players colliding with each other, the |
ground, or with obstacles. Concussions occur with or |
without loss of consciousness, but the vast majority of |
concussions occur without loss of consciousness. |
(3) Continuing to play with a concussion or symptoms of |
a head injury leaves a young athlete especially vulnerable |
to greater injury and even death. The General Assembly |
recognizes that, despite having generally recognized |
return-to-play standards for concussions and head |
injuries, some affected youth athletes are prematurely |
returned to play, resulting in actual or potential physical |
injury or death to youth athletes in this State. |
(4) Student athletes who have sustained a concussion |
may need informal or formal accommodations, modifications |
of curriculum, and monitoring by medical or academic staff |
until the student is fully recovered. To that end, all |
schools are encouraged to establish a return-to-learn |
protocol that is based on peer-reviewed scientific |
evidence consistent with Centers for Disease Control and |
Prevention guidelines and conduct baseline testing for |
student athletes. |
(b) In this Section: |
"Athletic trainer" means an athletic trainer licensed |
under the Illinois Athletic Trainers Practice Act. |
"Coach" means any volunteer or employee of a school who is |
responsible for organizing and supervising students to teach |
|
them or train them in the fundamental skills of an |
interscholastic athletic activity. "Coach" refers to both head |
coaches and assistant coaches. |
"Concussion" means a complex pathophysiological process |
affecting the brain caused by a traumatic physical force or |
impact to the head or body, which may include temporary or |
prolonged altered brain function resulting in physical, |
cognitive, or emotional symptoms or altered sleep patterns and |
which may or may not involve a loss of consciousness. |
"Department" means the Department of Financial and |
Professional Regulation. |
"Game official" means a person who officiates at an |
interscholastic athletic activity, such as a referee or umpire, |
including, but not limited to, persons enrolled as game |
officials by the Illinois High School Association or Illinois |
Elementary School Association. |
"Interscholastic athletic activity" means any organized |
school-sponsored or school-sanctioned activity for students, |
generally outside of school instructional hours, under the |
direction of a coach, athletic director, or band leader, |
including, but not limited to, baseball, basketball, |
cheerleading, cross country track, fencing, field hockey, |
football, golf, gymnastics, ice hockey, lacrosse, marching |
band, rugby, soccer, skating, softball, swimming and diving, |
tennis, track (indoor and outdoor), ultimate Frisbee, |
volleyball, water polo, and wrestling. All interscholastic |
|
athletics are deemed to be interscholastic activities. |
"Licensed healthcare professional" means a person who has |
experience with concussion management and who is a nurse, a |
psychologist who holds a license under the Clinical |
Psychologist Licensing Act and specializes in the practice of |
neuropsychology, a physical therapist licensed under the |
Illinois Physical Therapy Act, an occupational therapist |
licensed under the Illinois Occupational Therapy Practice Act. |
"Nurse" means a person who is employed by or volunteers at |
a school and is licensed under the Nurse Practice Act as a |
registered nurse, practical nurse, or advanced practice nurse. |
"Physician" means a physician licensed to practice |
medicine in all of its branches under the Medical Practice Act |
of 1987. |
"School" means any public or private elementary or |
secondary school, including a charter school. |
"Student" means an adolescent or child enrolled in a |
school. |
(c) This Section applies to any interscholastic athletic |
activity, including practice and competition, sponsored or |
sanctioned by a school, the Illinois Elementary School |
Association, or the Illinois High School Association. This |
Section applies beginning with the 2016-2017 school year. |
(d) The governing body of each public or charter school and |
the appropriate administrative officer of a private school with |
students enrolled who participate in an interscholastic |
|
athletic activity shall appoint or approve a concussion |
oversight team. Each concussion oversight team shall establish |
a return-to-play protocol, based on peer-reviewed scientific |
evidence consistent with Centers for Disease Control and |
Prevention guidelines, for a student's return to |
interscholastic athletics practice or competition following a |
force or impact believed to have caused a concussion. Each |
concussion oversight team shall also establish a |
return-to-learn protocol, based on peer-reviewed scientific |
evidence consistent with Centers for Disease Control and |
Prevention guidelines, for a student's return to the classroom |
after that student is believed to have experienced a |
concussion, whether or not the concussion took place while the |
student was participating in an interscholastic athletic |
activity. |
Each concussion oversight team must include to the extent |
practicable at least one physician. If a school employs an |
athletic trainer, the athletic trainer must be a member of the |
school concussion oversight team to the extent practicable. If |
a school employs a nurse, the nurse must be a member of the |
school concussion oversight team to the extent practicable. At |
a minimum, a school shall appoint a person who is responsible |
for implementing and complying with the return-to-play and |
return-to-learn protocols adopted by the concussion oversight |
team. A school may appoint other licensed healthcare |
professionals to serve on the concussion oversight team. |
|
(e) A student may not participate in an interscholastic |
athletic activity for a school year until the student and the |
student's parent or guardian or another person with legal |
authority to make medical decisions for the student have signed |
a form for that school year that acknowledges receiving and |
reading written information that explains concussion |
prevention, symptoms, treatment, and oversight and that |
includes guidelines for safely resuming participation in an |
athletic activity following a concussion. The form must be |
approved by the Illinois High School Association. |
(f) A student must be removed from an interscholastic |
athletics practice or competition immediately if one of the |
following persons believes the student might have sustained a |
concussion during the practice or competition: |
(1) a coach; |
(2) a physician; |
(3) a game official; |
(4) an athletic trainer; |
(5) the student's parent or guardian or another person |
with legal authority to make medical decisions for the |
student; |
(6) the student; or |
(7) any other person deemed appropriate under the |
school's return-to-play protocol. |
(g) A student removed from an interscholastic athletics |
practice or competition under this Section may not be permitted |
|
to practice or compete again following the force or impact |
believed to have caused the concussion until: |
(1) the student has been evaluated, using established |
medical protocols based on peer-reviewed scientific |
evidence consistent with Centers for Disease Control and |
Prevention guidelines, by a treating physician (chosen by |
the student or the student's parent or guardian or another |
person with legal authority to make medical decisions for |
the student) or an athletic trainer working under the |
supervision of a physician; |
(2) the student has successfully completed each |
requirement of the return-to-play protocol established |
under this Section necessary for the student to return to |
play; |
(3) the student has successfully completed each |
requirement of the return-to-learn protocol established |
under this Section necessary for the student to return to |
learn; |
(4) the treating physician or athletic trainer working |
under the supervision of a physician has provided a written |
statement indicating that, in the physician's professional |
judgment, it is safe for the student to return to play and |
return to learn; and |
(5) the student and the student's parent or guardian or |
another person with legal authority to make medical |
decisions for the student: |
|
(A) have acknowledged that the student has |
completed the requirements of the return-to-play and |
return-to-learn protocols necessary for the student to |
return to play; |
(B) have provided the treating physician's or |
athletic trainer's written statement under subdivision |
(4) of this subsection (g) to the person responsible |
for compliance with the return-to-play and |
return-to-learn protocols under this subsection (g) |
and the person who has supervisory responsibilities |
under this subsection (g); and |
(C) have signed a consent form indicating that the |
person signing: |
(i) has been informed concerning and consents |
to the student participating in returning to play |
in accordance with the return-to-play and |
return-to-learn protocols; |
(ii) understands the risks associated with the |
student returning to play and returning to learn |
and will comply with any ongoing requirements in |
the return-to-play and return-to-learn protocols; |
and |
(iii) consents to the disclosure to |
appropriate persons, consistent with the federal |
Health Insurance Portability and Accountability |
Act of 1996 (Public Law 104-191), of the treating |
|
physician's or athletic trainer's written |
statement under subdivision (4) of this subsection |
(g) and, if any, the return-to-play and |
return-to-learn recommendations of the treating |
physician or the athletic trainer, as the case may |
be. |
A coach of an interscholastic athletics team may not |
authorize a student's return to play or return to learn. |
The district superintendent or the superintendent's |
designee in the case of a public elementary or secondary |
school, the chief school administrator or that person's |
designee in the case of a charter school, or the appropriate |
administrative officer or that person's designee in the case of |
a private school shall supervise an athletic trainer or other |
person responsible for compliance with the return-to-play |
protocol and shall supervise the person responsible for |
compliance with the return-to-learn protocol. The person who |
has supervisory responsibilities under this paragraph may not |
be a coach of an interscholastic athletics team. |
(h)(1) The Illinois High School Association shall approve, |
for coaches and game officials of interscholastic athletic |
activities, training courses that provide for not less than 2 |
hours of training in the subject matter of concussions, |
including evaluation, prevention, symptoms, risks, and |
long-term effects. The Association shall maintain an updated |
list of individuals and organizations authorized by the |
|
Association to provide the training. |
(2) The following persons must take a training course in |
accordance with paragraph (4) of this subsection (h) from an |
authorized training provider at least once every 2 years: |
(A) a coach of an interscholastic athletic activity; |
(B) a nurse who serves as a member of a concussion |
oversight team and is an employee, representative, or agent |
of a school; |
(C) a game official of an interscholastic athletic |
activity; and |
(D) a nurse who serves on a volunteer basis as a member |
of a concussion oversight team for a school. |
(3) A physician who serves as a member of a concussion |
oversight team shall, to the greatest extent practicable, |
periodically take an appropriate continuing medical education |
course in the subject matter of concussions. |
(4) For purposes of paragraph (2) of this subsection (h): |
(A) a coach or game officials, as the case may be, must |
take a course described in paragraph (1) of this subsection |
(h). |
(B) an athletic trainer must take a concussion-related |
continuing education course from an athletic trainer |
continuing education sponsor approved by the Department; |
and |
(C) a nurse must take a course concerning the subject |
matter of concussions that has been approved for continuing |
|
education credit by the Department. |
(5) Each person described in paragraph (2) of this |
subsection (h) must submit proof of timely completion of an |
approved course in compliance with paragraph (4) of this |
subsection (h) to the district superintendent or the |
superintendent's designee in the case of a public elementary or |
secondary school, the chief school administrator or that |
person's designee in the case of a charter school, or the |
appropriate administrative officer or that person's designee |
in the case of a private school. |
(6) A physician, athletic trainer, or nurse who is not in |
compliance with the training requirements under this |
subsection (h) may not serve on a concussion oversight team in |
any capacity. |
(7) A person required under this subsection (h) to take a |
training course in the subject of concussions must initially |
complete the training not later than September 1, 2016. |
(i) The governing body of each public or charter school and |
the appropriate administrative officer of a private school with |
students enrolled who participate in an interscholastic |
athletic activity shall develop a school-specific emergency |
action plan for interscholastic athletic activities to address |
the serious injuries and acute medical conditions in which the |
condition of the student may deteriorate rapidly. The plan |
shall include a delineation of roles, methods of communication, |
available emergency equipment, and access to and a plan for |
|
emergency transport. This emergency action plan must be: |
(1) in writing; |
(2) reviewed by the concussion oversight team; |
(3) approved by the district superintendent or the |
superintendent's designee in the case of a public |
elementary or secondary school, the chief school |
administrator or that person's designee in the case of a |
charter school, or the appropriate administrative officer |
or that person's designee in the case of a private school; |
(4) distributed to all appropriate personnel; |
(5) posted conspicuously at all venues utilized by the |
school; and |
(6) reviewed annually by all athletic trainers, first |
responders, coaches, school nurses, athletic directors, |
and volunteers for interscholastic athletic activities. |
(j) The State Board of Education may adopt rules as |
necessary to administer this Section.
|
(Source: P.A. 99-245, eff. 8-3-15; 99-486, eff. 11-20-15.)
|
(105 ILCS 5/22-81) |
Sec. 22-81 22-80 . Heroin and opioid prevention pilot |
program. By January 1, 2017, the State Board of Education and |
the Department of Human Services shall develop and establish a |
3-year heroin and opioid drug prevention pilot program that |
offers educational materials and instruction on heroin and |
opioid abuse to all school districts in the State for use at |
|
their respective public elementary and secondary schools. A |
school district's participation in the pilot program shall be |
voluntary. Subject to appropriation, the Department of Human |
Services shall reimburse a school district that decides to |
participate in the pilot program for any costs it incurs in |
connection with its participation in the pilot program. Each |
school district that participates in the pilot program shall |
have the discretion to determine which grade levels the school |
district will instruct under the program. |
The pilot program must use effective, research-proven, |
interactive teaching methods and technologies, and must |
provide students, parents, and school staff with scientific, |
social, and emotional learning content to help them understand |
the risk of drug use. Such learning content must specifically |
target the dangers of prescription pain medication and heroin |
abuse. The Department may contract with a health education |
organization to fulfill the requirements of the pilot program. |
The State Board of Education, the Department of Human |
Services, and any contracted organization shall submit an |
annual report to the General Assembly that includes: (i) a list |
of school districts participating in the pilot program; (ii) |
the grade levels each school district instructs under the pilot |
program; and (iii) any findings regarding the effectiveness of |
the pilot program.
|
(Source: P.A. 99-480, eff. 9-9-15; revised 10-19-15.)
|
|
(105 ILCS 5/27-8.1) (from Ch. 122, par. 27-8.1) |
Sec. 27-8.1. Health examinations and immunizations. |
(1) In compliance with rules and regulations which the |
Department of Public
Health shall promulgate, and except as |
hereinafter provided, all children in
Illinois shall have a |
health examination as follows: within one year prior to
|
entering kindergarten or the first grade of any public, |
private, or parochial
elementary school; upon entering the |
sixth and ninth grades of any public,
private, or parochial |
school; prior to entrance into any public, private, or
|
parochial nursery school; and, irrespective of grade, |
immediately prior to or
upon entrance into any public, private, |
or parochial school or nursery school,
each child shall present |
proof of having been examined in accordance with this
Section |
and the rules and regulations promulgated hereunder. Any child |
who received a health examination within one year prior to |
entering the fifth grade for the 2007-2008 school year is not |
required to receive an additional health examination in order |
to comply with the provisions of Public Act 95-422 when he or |
she attends school for the 2008-2009 school year, unless the |
child is attending school for the first time as provided in |
this paragraph. |
A tuberculosis skin test screening shall be included as a |
required part of
each health examination included under this |
Section if the child resides in an
area designated by the |
Department of Public Health as having a high incidence
of |
|
tuberculosis. Additional health examinations of pupils, |
including eye examinations, may be required when deemed |
necessary by school
authorities. Parents are encouraged to have |
their children undergo eye examinations at the same points in |
time required for health
examinations. |
(1.5) In compliance with rules adopted by the Department of |
Public Health and except as otherwise provided in this Section, |
all children in kindergarten and the second and sixth grades of |
any public, private, or parochial school shall have a dental |
examination. Each of these children shall present proof of |
having been examined by a dentist in accordance with this |
Section and rules adopted under this Section before May 15th of |
the school year. If a child in the second or sixth grade fails |
to present proof by May 15th, the school may hold the child's |
report card until one of the following occurs: (i) the child |
presents proof of a completed dental examination or (ii) the |
child presents proof that a dental examination will take place |
within 60 days after May 15th. The Department of Public Health |
shall establish, by rule, a waiver for children who show an |
undue burden or a lack of access to a dentist. Each public, |
private, and parochial school must give notice of this dental |
examination requirement to the parents and guardians of |
students at least 60 days before May 15th of each school year.
|
(1.10) Except as otherwise provided in this Section, all |
children enrolling in kindergarten in a public, private, or |
parochial school on or after the effective date of this |
|
amendatory Act of the 95th General Assembly and any student |
enrolling for the first time in a public, private, or parochial |
school on or after the effective date of this amendatory Act of |
the 95th General Assembly shall have an eye examination. Each |
of these children shall present proof of having been examined |
by a physician licensed to practice medicine in all of its |
branches or a licensed optometrist within the previous year, in |
accordance with this Section and rules adopted under this |
Section, before October 15th of the school year. If the child |
fails to present proof by October 15th, the school may hold the |
child's report card until one of the following occurs: (i) the |
child presents proof of a completed eye examination or (ii) the |
child presents proof that an eye examination will take place |
within 60 days after October 15th. The Department of Public |
Health shall establish, by rule, a waiver for children who show |
an undue burden or a lack of access to a physician licensed to |
practice medicine in all of its branches who provides eye |
examinations or to a licensed optometrist. Each public, |
private, and parochial school must give notice of this eye |
examination requirement to the parents and guardians of |
students in compliance with rules of the Department of Public |
Health. Nothing in this Section shall be construed to allow a |
school to exclude a child from attending because of a parent's |
or guardian's failure to obtain an eye examination for the |
child.
|
(2) The Department of Public Health shall promulgate rules |
|
and regulations
specifying the examinations and procedures |
that constitute a health examination, which shall include the |
collection of data relating to obesity
(including at a minimum, |
date of birth, gender, height, weight, blood pressure, and date |
of exam),
and a dental examination and may recommend by rule |
that certain additional examinations be performed.
The rules |
and regulations of the Department of Public Health shall |
specify that
a tuberculosis skin test screening shall be |
included as a required part of each
health examination included |
under this Section if the child resides in an area
designated |
by the Department of Public Health as having a high incidence |
of
tuberculosis.
The Department of Public Health shall specify |
that a diabetes
screening as defined by rule shall be included |
as a required part of each
health examination.
Diabetes testing |
is not required. |
Physicians licensed to practice medicine in all of its |
branches, licensed advanced
practice nurses, or licensed |
physician assistants shall be
responsible for the performance |
of the health examinations, other than dental
examinations, eye |
examinations, and vision and hearing screening, and shall sign |
all report forms
required by subsection (4) of this Section |
that pertain to those portions of
the health examination for |
which the physician, advanced practice nurse, or
physician |
assistant is responsible.
If a registered
nurse performs any |
part of a health examination, then a physician licensed to
|
practice medicine in all of its branches must review and sign |
|
all required
report forms. Licensed dentists shall perform all |
dental examinations and
shall sign all report forms required by |
subsection (4) of this Section that
pertain to the dental |
examinations. Physicians licensed to practice medicine
in all |
its branches or licensed optometrists shall perform all eye |
examinations
required by this Section and shall sign all report |
forms required by
subsection (4) of this Section that pertain |
to the eye examination. For purposes of this Section, an eye |
examination shall at a minimum include history, visual acuity, |
subjective refraction to best visual acuity near and far, |
internal and external examination, and a glaucoma evaluation, |
as well as any other tests or observations that in the |
professional judgment of the doctor are necessary. Vision and
|
hearing screening tests, which shall not be considered |
examinations as that
term is used in this Section, shall be |
conducted in accordance with rules and
regulations of the |
Department of Public Health, and by individuals whom the
|
Department of Public Health has certified.
In these rules and |
regulations, the Department of Public Health shall
require that |
individuals conducting vision screening tests give a child's
|
parent or guardian written notification, before the vision |
screening is
conducted, that states, "Vision screening is not a |
substitute for a
complete eye and vision evaluation by an eye |
doctor. Your child is not
required to undergo this vision |
screening if an optometrist or
ophthalmologist has completed |
and signed a report form indicating that
an examination has |
|
been administered within the previous 12 months." |
(3) Every child shall, at or about the same time as he or |
she receives
a health examination required by subsection (1) of |
this Section, present
to the local school proof of having |
received such immunizations against
preventable communicable |
diseases as the Department of Public Health shall
require by |
rules and regulations promulgated pursuant to this Section and |
the
Communicable Disease Prevention Act. |
(4) The individuals conducting the health examination,
|
dental examination, or eye examination shall record the
fact of |
having conducted the examination, and such additional |
information as
required, including for a health examination
|
data relating to obesity
(including at a minimum, date of |
birth, gender, height, weight, blood pressure, and date of |
exam), on uniform forms which the Department of Public Health |
and the State
Board of Education shall prescribe for statewide |
use. The examiner shall
summarize on the report form any |
condition that he or she suspects indicates a
need for special |
services, including for a health examination factors relating |
to obesity. The individuals confirming the administration of
|
required immunizations shall record as indicated on the form |
that the
immunizations were administered. |
(5) If a child does not submit proof of having had either |
the health
examination or the immunization as required, then |
the child shall be examined
or receive the immunization, as the |
case may be, and present proof by October
15 of the current |
|
school year, or by an earlier date of the current school year
|
established by a school district. To establish a date before |
October 15 of the
current school year for the health |
examination or immunization as required, a
school district must |
give notice of the requirements of this Section 60 days
prior |
to the earlier established date. If for medical reasons one or |
more of
the required immunizations must be given after October |
15 of the current school
year, or after an earlier established |
date of the current school year, then
the child shall present, |
by October 15, or by the earlier established date, a
schedule |
for the administration of the immunizations and a statement of |
the
medical reasons causing the delay, both the schedule and |
the statement being
issued by the physician, advanced practice |
nurse, physician assistant,
registered nurse, or local health |
department that will
be responsible for administration of the |
remaining required immunizations. If
a child does not comply by |
October 15, or by the earlier established date of
the current |
school year, with the requirements of this subsection, then the
|
local school authority shall exclude that child from school |
until such time as
the child presents proof of having had the |
health examination as required and
presents proof of having |
received those required immunizations which are
medically |
possible to receive immediately. During a child's exclusion |
from
school for noncompliance with this subsection, the child's |
parents or legal
guardian shall be considered in violation of |
Section 26-1 and subject to any
penalty imposed by Section |
|
26-10. This subsection (5) does not apply to dental |
examinations and eye examinations. If the student is an |
out-of-state transfer student and does not have the proof |
required under this subsection (5) before October 15 of the |
current year or whatever date is set by the school district, |
then he or she may only attend classes (i) if he or she has |
proof that an appointment for the required vaccinations has |
been scheduled with a party authorized to submit proof of the |
required vaccinations. If the proof of vaccination required |
under this subsection (5) is not submitted within 30 days after |
the student is permitted to attend classes, then the student is |
not to be permitted to attend classes until proof of the |
vaccinations has been properly submitted. No school district or |
employee of a school district shall be held liable for any |
injury or illness to another person that results from admitting |
an out-of-state transfer student to class that has an |
appointment scheduled pursuant to this subsection (5). |
(6) Every school shall report to the State Board of |
Education by November
15, in the manner which that agency shall |
require, the number of children who
have received the necessary |
immunizations and the health examination (other than a dental |
examination or eye examination) as
required, indicating, of |
those who have not received the immunizations and
examination |
as required, the number of children who are exempt from health
|
examination and immunization requirements on religious or |
medical grounds as
provided in subsection (8). On or before |
|
December 1 of each year, every public school district and |
registered nonpublic school shall make publicly available the |
immunization data they are required to submit to the State |
Board of Education by November 15. The immunization data made |
publicly available must be identical to the data the school |
district or school has reported to the State Board of |
Education. |
Every school shall report to the State Board of Education |
by June 30, in the manner that the State Board requires, the |
number of children who have received the required dental |
examination, indicating, of those who have not received the |
required dental examination, the number of children who are |
exempt from the dental examination on religious grounds as |
provided in subsection (8) of this Section and the number of |
children who have received a waiver under subsection (1.5) of |
this Section. |
Every school shall report to the State Board of Education |
by June 30, in the manner that the State Board requires, the |
number of children who have received the required eye |
examination, indicating, of those who have not received the |
required eye examination, the number of children who are exempt |
from the eye examination as provided in subsection (8) of this |
Section, the number of children who have received a waiver |
under subsection (1.10) of this Section, and the total number |
of children in noncompliance with the eye examination |
requirement. |
|
The reported information under this subsection (6) shall be |
provided to the
Department of Public Health by the State Board |
of Education. |
(7) Upon determining that the number of pupils who are |
required to be in
compliance with subsection (5) of this |
Section is below 90% of the number of
pupils enrolled in the |
school district, 10% of each State aid payment made
pursuant to |
Section 18-8.05 to the school district for such year may be |
withheld
by the State Board of Education until the number of |
students in compliance with
subsection (5) is the applicable |
specified percentage or higher. |
(8) Children of parents or legal guardians who object to |
health, dental, or eye examinations or any part thereof, to |
immunizations, or to vision and hearing screening tests on |
religious grounds shall not be required to undergo the |
examinations, tests, or immunizations to which they so object |
if such parents or legal guardians present to the appropriate |
local school authority a signed Certificate of Religious |
Exemption detailing the grounds for objection and the specific |
immunizations, tests, or examinations to which they object. The |
grounds for objection must set forth the specific religious |
belief that conflicts with the examination, test, |
immunization, or other medical intervention. The signed |
certificate shall also reflect the parent's or legal guardian's |
understanding of the school's exclusion policies in the case of |
a vaccine-preventable disease outbreak or exposure. The |
|
certificate must also be signed by the authorized examining |
health care provider responsible for the performance of the |
child's health examination confirming that the provider |
provided education to the parent or legal guardian on the |
benefits of immunization and the health risks to the student |
and to the community of the communicable diseases for which |
immunization is required in this State. However, the health |
care provider's signature on the certificate reflects only that |
education was provided and does not allow a health care |
provider grounds to determine a religious exemption. Those |
receiving immunizations required under this Code shall be |
provided with the relevant vaccine information statements that |
are required to be disseminated by the federal National |
Childhood Vaccine Injury Act of 1986, which may contain |
information on circumstances when a vaccine should not be |
administered, prior to administering a vaccine. A healthcare |
provider may consider including without limitation the |
nationally accepted recommendations from federal agencies such |
as the Advisory Committee on Immunization Practices, the |
information outlined in the relevant vaccine information |
statement, and vaccine package inserts, along with the |
healthcare provider's clinical judgment, to determine whether |
any child may be more susceptible to experiencing an adverse |
vaccine reaction than the general population, and , if so, the |
healthcare provider may exempt the child from an immunization |
or adopt an individualized immunization schedule. The |
|
Certificate of Religious Exemption shall be created by the |
Department of Public Health and shall be made available and |
used by parents and legal guardians by the beginning of the |
2015-2016 school year. Parents or legal guardians must submit |
the Certificate of Religious Exemption to their local school |
authority prior to entering kindergarten, sixth grade, and |
ninth grade for each child for which they are requesting an |
exemption. The religious objection stated need not be directed |
by the tenets of an established religious organization. |
However, general philosophical or moral reluctance to allow |
physical examinations, eye examinations, immunizations, vision |
and hearing screenings, or dental examinations does not provide |
a sufficient basis for an exception to statutory requirements. |
The local school authority is responsible for determining if
|
the content of the Certificate of Religious Exemption
|
constitutes a valid religious objection.
The local school |
authority shall inform the parent or legal guardian of |
exclusion procedures, in accordance with the Department's |
rules under Part 690 of Title 77 of the Illinois Administrative |
Code, at the time the objection is presented. |
If the physical condition
of the child is such that any one |
or more of the immunizing agents should not
be administered, |
the examining physician, advanced practice nurse, or
physician |
assistant responsible for the performance of the
health |
examination shall endorse that fact upon the health examination |
form. |
|
Exempting a child from the health,
dental, or eye |
examination does not exempt the child from
participation in the |
program of physical education training provided in
Sections |
27-5 through 27-7 of this Code. |
(9) For the purposes of this Section, "nursery schools" |
means those nursery
schools operated by elementary school |
systems or secondary level school units
or institutions of |
higher learning. |
(Source: P.A. 98-673, eff. 6-30-14; 99-173, eff. 7-29-15; |
99-249, eff. 8-3-15; revised 10-21-15.)
|
(105 ILCS 5/27-24.2) (from Ch. 122, par. 27-24.2) |
Sec. 27-24.2. Safety education; driver education course. |
Instruction shall be given in safety education in each of |
grades one through though 8, equivalent to one class period |
each week, and any school district which maintains
grades 9 |
through 12 shall offer a driver education course in any such |
school
which it operates. Its curriculum shall include content |
dealing with Chapters 11, 12, 13, 15, and 16 of the Illinois |
Vehicle Code, the rules adopted pursuant to those Chapters |
insofar as they pertain to the operation of motor vehicles, and |
the portions of the Litter Control Act relating to the |
operation of motor vehicles. The course of instruction given in |
grades 10 through 12 shall include an emphasis on the |
development of knowledge, attitudes, habits, and skills |
necessary for the safe operation of motor vehicles, including |
|
motorcycles insofar as they can be taught in the classroom, and |
instruction on distracted driving as a major traffic safety |
issue. In addition, the course shall include instruction on |
special hazards existing at and required safety and driving |
precautions that must be observed at emergency situations, |
highway construction and maintenance zones, and railroad |
crossings and the approaches thereto. The course of instruction |
required of each eligible student at the high school level |
shall consist of a minimum of 30 clock hours of classroom |
instruction and a minimum of 6 clock hours of individual |
behind-the-wheel instruction in a dual control car on public |
roadways taught by a driver education instructor endorsed by |
the State Board of Education. Both the classroom instruction |
part and the practice driving
part of such driver education |
course shall be open to a resident or
non-resident student |
attending a non-public school in the district wherein the
|
course is offered. Each student attending any public or |
non-public high school
in the district must receive a passing |
grade in at least 8 courses during the
previous 2 semesters |
prior to enrolling in a driver education course, or the
student |
shall not be permitted to enroll in the course; provided that |
the local
superintendent of schools (with respect to a student |
attending a public high
school in the district) or chief school |
administrator (with respect to a
student attending a non-public |
high school in the district) may waive the
requirement if the |
superintendent or chief school administrator, as the case
may |
|
be, deems it to be in the best interest of the student. A |
student may be allowed to commence the
classroom instruction |
part of such driver education course prior to reaching
age 15 |
if such student then will be eligible to complete the entire |
course
within 12 months after being allowed to commence such |
classroom instruction. |
Such a course may be commenced immediately after the |
completion of a prior
course. Teachers of such courses shall |
meet the certification requirements of
this Act and regulations |
of the State Board as to qualifications. |
Subject to rules of the State Board of Education, the |
school district may charge a reasonable fee, not to exceed $50, |
to students who participate in the course, unless a student is |
unable to pay for such a course, in which event the fee for |
such a student must be waived. However, the district may |
increase this fee to an amount not to exceed $250 by school |
board resolution following a public hearing on the increase, |
which increased fee must be waived for students who participate |
in the course and are unable to pay for the course. The total |
amount from driver education fees and reimbursement from the |
State for driver education must not exceed the total cost of |
the driver education program in any year and must be deposited |
into the school district's driver education fund as a separate |
line item budget entry. All moneys deposited into the school |
district's driver education fund must be used solely for the |
funding of a high school driver education program approved by |
|
the State Board of Education that uses driver education |
instructors endorsed by the State Board of Education. |
(Source: P.A. 96-734, eff. 8-25-09; 97-145, eff. 7-14-11; |
revised 10-21-15.)
|
(105 ILCS 5/27A-5)
|
(Text of Section before amendment by P.A. 99-456 ) |
Sec. 27A-5. Charter school; legal entity; requirements.
|
(a) A charter school shall be a public, nonsectarian, |
nonreligious, non-home
based, and non-profit school. A charter |
school shall be organized and operated
as a nonprofit |
corporation or other discrete, legal, nonprofit entity
|
authorized under the laws of the State of Illinois.
|
(b) A charter school may be established under this Article |
by creating a new
school or by converting an existing public |
school or attendance center to
charter
school status.
Beginning |
on April 16, 2003 ( the effective date of Public Act 93-3) this |
amendatory Act of the 93rd General
Assembly , in all new
|
applications to establish
a charter
school in a city having a |
population exceeding 500,000, operation of the
charter
school |
shall be limited to one campus. The changes made to this |
Section by Public Act 93-3 this
amendatory Act
of the 93rd |
General
Assembly do not apply to charter schools existing or |
approved on or before April 16, 2003 ( the
effective date of |
Public Act 93-3) this
amendatory Act . |
(b-5) In this subsection (b-5), "virtual-schooling" means |
|
a cyber school where students engage in online curriculum and |
instruction via the Internet and electronic communication with |
their teachers at remote locations and with students |
participating at different times. |
From April 1, 2013 through December 31, 2016, there is a |
moratorium on the establishment of charter schools with |
virtual-schooling components in school districts other than a |
school district organized under Article 34 of this Code. This |
moratorium does not apply to a charter school with |
virtual-schooling components existing or approved prior to |
April 1, 2013 or to the renewal of the charter of a charter |
school with virtual-schooling components already approved |
prior to April 1, 2013. |
On or before March 1, 2014, the Commission shall submit to |
the General Assembly a report on the effect of |
virtual-schooling, including without limitation the effect on |
student performance, the costs associated with |
virtual-schooling, and issues with oversight. The report shall |
include policy recommendations for virtual-schooling.
|
(c) A charter school shall be administered and governed by |
its board of
directors or other governing body
in the manner |
provided in its charter. The governing body of a charter school
|
shall be subject to the Freedom of Information Act and the Open |
Meetings Act.
|
(d) For purposes of this subsection (d), "non-curricular |
health and safety requirement" means any health and safety |
|
requirement created by statute or rule to provide, maintain, |
preserve, or safeguard safe or healthful conditions for |
students and school personnel or to eliminate, reduce, or |
prevent threats to the health and safety of students and school |
personnel. "Non-curricular health and safety requirement" does |
not include any course of study or specialized instructional |
requirement for which the State Board has established goals and |
learning standards or which is designed primarily to impart |
knowledge and skills for students to master and apply as an |
outcome of their education. |
A charter school shall comply with all non-curricular |
health and safety
requirements applicable to public schools |
under the laws of the State of
Illinois. On or before September |
1, 2015, the State Board shall promulgate and post on its |
Internet website a list of non-curricular health and safety |
requirements that a charter school must meet. The list shall be |
updated annually no later than September 1. Any charter |
contract between a charter school and its authorizer must |
contain a provision that requires the charter school to follow |
the list of all non-curricular health and safety requirements |
promulgated by the State Board and any non-curricular health |
and safety requirements added by the State Board to such list |
during the term of the charter. Nothing in this subsection (d) |
precludes an authorizer from including non-curricular health |
and safety requirements in a charter school contract that are |
not contained in the list promulgated by the State Board, |
|
including non-curricular health and safety requirements of the |
authorizing local school board.
|
(e) Except as otherwise provided in the School Code, a |
charter school shall
not charge tuition; provided that a |
charter school may charge reasonable fees
for textbooks, |
instructional materials, and student activities.
|
(f) A charter school shall be responsible for the |
management and operation
of its fiscal affairs including,
but |
not limited to, the preparation of its budget. An audit of each |
charter
school's finances shall be conducted annually by an |
outside, independent
contractor retained by the charter |
school. To ensure financial accountability for the use of |
public funds, on or before December 1 of every year of |
operation, each charter school shall submit to its authorizer |
and the State Board a copy of its audit and a copy of the Form |
990 the charter school filed that year with the federal |
Internal Revenue Service. In addition, if deemed necessary for |
proper financial oversight of the charter school, an authorizer |
may require quarterly financial statements from each charter |
school.
|
(g) A charter school shall comply with all provisions of |
this Article, the Illinois Educational Labor Relations Act, all |
federal and State laws and rules applicable to public schools |
that pertain to special education and the instruction of |
English learners, and
its charter. A charter
school is exempt |
from all other State laws and regulations in this Code
|
|
governing public
schools and local school board policies; |
however, a charter school is not exempt from the following:
|
(1) Sections 10-21.9 and 34-18.5 of this Code regarding |
criminal
history records checks and checks of the Statewide |
Sex Offender Database and Statewide Murderer and Violent |
Offender Against Youth Database of applicants for |
employment;
|
(2) Sections 24-24 and 34-84A of this Code regarding |
discipline of
students;
|
(3) the Local Governmental and Governmental Employees |
Tort Immunity Act;
|
(4) Section 108.75 of the General Not For Profit |
Corporation Act of 1986
regarding indemnification of |
officers, directors, employees, and agents;
|
(5) the Abused and Neglected Child Reporting Act;
|
(6) the Illinois School Student Records Act;
|
(7) Section 10-17a of this Code regarding school report |
cards;
|
(8) the P-20 Longitudinal Education Data System Act; |
(9) Section 27-23.7 of this Code regarding bullying |
prevention; and |
(10) Section 2-3.162 of this Code regarding student |
discipline reporting; and |
(11) Section 22-80 of this Code. |
The change made by Public Act 96-104 to this subsection (g) |
is declaratory of existing law. |
|
(h) A charter school may negotiate and contract with a |
school district, the
governing body of a State college or |
university or public community college, or
any other public or |
for-profit or nonprofit private entity for: (i) the use
of a |
school building and grounds or any other real property or |
facilities that
the charter school desires to use or convert |
for use as a charter school site,
(ii) the operation and |
maintenance thereof, and
(iii) the provision of any service, |
activity, or undertaking that the charter
school is required to |
perform in order to carry out the terms of its charter.
|
However, a charter school
that is established on
or
after April |
16, 2003 ( the effective date of Public Act 93-3) this |
amendatory Act of the 93rd General
Assembly and that operates
|
in a city having a population exceeding
500,000 may not |
contract with a for-profit entity to
manage or operate the |
school during the period that commences on April 16, 2003 ( the
|
effective date of Public Act 93-3) this amendatory Act of the |
93rd General Assembly and
concludes at the end of the 2004-2005 |
school year.
Except as provided in subsection (i) of this |
Section, a school district may
charge a charter school |
reasonable rent for the use of the district's
buildings, |
grounds, and facilities. Any services for which a charter |
school
contracts
with a school district shall be provided by |
the district at cost. Any services
for which a charter school |
contracts with a local school board or with the
governing body |
of a State college or university or public community college
|
|
shall be provided by the public entity at cost.
|
(i) In no event shall a charter school that is established |
by converting an
existing school or attendance center to |
charter school status be required to
pay rent for space
that is |
deemed available, as negotiated and provided in the charter |
agreement,
in school district
facilities. However, all other |
costs for the operation and maintenance of
school district |
facilities that are used by the charter school shall be subject
|
to negotiation between
the charter school and the local school |
board and shall be set forth in the
charter.
|
(j) A charter school may limit student enrollment by age or |
grade level.
|
(k) If the charter school is approved by the Commission, |
then the Commission charter school is its own local education |
agency. |
(Source: P.A. 98-16, eff. 5-24-13; 98-639, eff. 6-9-14; 98-669, |
eff. 6-26-14; 98-739, eff. 7-16-14; 98-783, eff. 1-1-15; |
98-1059, eff. 8-26-14; 98-1102, eff. 8-26-14; 99-30, eff. |
7-10-15; 99-78, eff. 7-20-15; 99-245, eff. 8-3-15; 99-325, eff. |
8-10-15; revised 10-19-15.)
|
(Text of Section after amendment by P.A. 99-456 )
|
Sec. 27A-5. Charter school; legal entity; requirements.
|
(a) A charter school shall be a public, nonsectarian, |
nonreligious, non-home
based, and non-profit school. A charter |
school shall be organized and operated
as a nonprofit |
|
corporation or other discrete, legal, nonprofit entity
|
authorized under the laws of the State of Illinois.
|
(b) A charter school may be established under this Article |
by creating a new
school or by converting an existing public |
school or attendance center to
charter
school status.
Beginning |
on April 16, 2003 ( the effective date of Public Act 93-3) this |
amendatory Act of the 93rd General
Assembly , in all new
|
applications to establish
a charter
school in a city having a |
population exceeding 500,000, operation of the
charter
school |
shall be limited to one campus. The changes made to this |
Section by Public Act 93-3 this
amendatory Act
of the 93rd |
General
Assembly do not apply to charter schools existing or |
approved on or before April 16, 2003 ( the
effective date of |
Public Act 93-3) this
amendatory Act . |
(b-5) In this subsection (b-5), "virtual-schooling" means |
a cyber school where students engage in online curriculum and |
instruction via the Internet and electronic communication with |
their teachers at remote locations and with students |
participating at different times. |
From April 1, 2013 through December 31, 2016, there is a |
moratorium on the establishment of charter schools with |
virtual-schooling components in school districts other than a |
school district organized under Article 34 of this Code. This |
moratorium does not apply to a charter school with |
virtual-schooling components existing or approved prior to |
April 1, 2013 or to the renewal of the charter of a charter |
|
school with virtual-schooling components already approved |
prior to April 1, 2013. |
On or before March 1, 2014, the Commission shall submit to |
the General Assembly a report on the effect of |
virtual-schooling, including without limitation the effect on |
student performance, the costs associated with |
virtual-schooling, and issues with oversight. The report shall |
include policy recommendations for virtual-schooling.
|
(c) A charter school shall be administered and governed by |
its board of
directors or other governing body
in the manner |
provided in its charter. The governing body of a charter school
|
shall be subject to the Freedom of Information Act and the Open |
Meetings Act.
|
(d) For purposes of this subsection (d), "non-curricular |
health and safety requirement" means any health and safety |
requirement created by statute or rule to provide, maintain, |
preserve, or safeguard safe or healthful conditions for |
students and school personnel or to eliminate, reduce, or |
prevent threats to the health and safety of students and school |
personnel. "Non-curricular health and safety requirement" does |
not include any course of study or specialized instructional |
requirement for which the State Board has established goals and |
learning standards or which is designed primarily to impart |
knowledge and skills for students to master and apply as an |
outcome of their education. |
A charter school shall comply with all non-curricular |
|
health and safety
requirements applicable to public schools |
under the laws of the State of
Illinois. On or before September |
1, 2015, the State Board shall promulgate and post on its |
Internet website a list of non-curricular health and safety |
requirements that a charter school must meet. The list shall be |
updated annually no later than September 1. Any charter |
contract between a charter school and its authorizer must |
contain a provision that requires the charter school to follow |
the list of all non-curricular health and safety requirements |
promulgated by the State Board and any non-curricular health |
and safety requirements added by the State Board to such list |
during the term of the charter. Nothing in this subsection (d) |
precludes an authorizer from including non-curricular health |
and safety requirements in a charter school contract that are |
not contained in the list promulgated by the State Board, |
including non-curricular health and safety requirements of the |
authorizing local school board.
|
(e) Except as otherwise provided in the School Code, a |
charter school shall
not charge tuition; provided that a |
charter school may charge reasonable fees
for textbooks, |
instructional materials, and student activities.
|
(f) A charter school shall be responsible for the |
management and operation
of its fiscal affairs including,
but |
not limited to, the preparation of its budget. An audit of each |
charter
school's finances shall be conducted annually by an |
outside, independent
contractor retained by the charter |
|
school. To ensure financial accountability for the use of |
public funds, on or before December 1 of every year of |
operation, each charter school shall submit to its authorizer |
and the State Board a copy of its audit and a copy of the Form |
990 the charter school filed that year with the federal |
Internal Revenue Service. In addition, if deemed necessary for |
proper financial oversight of the charter school, an authorizer |
may require quarterly financial statements from each charter |
school.
|
(g) A charter school shall comply with all provisions of |
this Article, the Illinois Educational Labor Relations Act, all |
federal and State laws and rules applicable to public schools |
that pertain to special education and the instruction of |
English learners, and
its charter. A charter
school is exempt |
from all other State laws and regulations in this Code
|
governing public
schools and local school board policies; |
however, a charter school is not exempt from the following:
|
(1) Sections 10-21.9 and 34-18.5 of this Code regarding |
criminal
history records checks and checks of the Statewide |
Sex Offender Database and Statewide Murderer and Violent |
Offender Against Youth Database of applicants for |
employment;
|
(2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and |
34-84a of this Code regarding discipline of
students;
|
(3) the Local Governmental and Governmental Employees |
Tort Immunity Act;
|
|
(4) Section 108.75 of the General Not For Profit |
Corporation Act of 1986
regarding indemnification of |
officers, directors, employees, and agents;
|
(5) the Abused and Neglected Child Reporting Act;
|
(6) the Illinois School Student Records Act;
|
(7) Section 10-17a of this Code regarding school report |
cards;
|
(8) the P-20 Longitudinal Education Data System Act; |
(9) Section 27-23.7 of this Code regarding bullying |
prevention; and |
(10) Section 2-3.162 of this Code regarding student |
discipline reporting; and |
(11) Section 22-80 of this Code. |
The change made by Public Act 96-104 to this subsection (g) |
is declaratory of existing law. |
(h) A charter school may negotiate and contract with a |
school district, the
governing body of a State college or |
university or public community college, or
any other public or |
for-profit or nonprofit private entity for: (i) the use
of a |
school building and grounds or any other real property or |
facilities that
the charter school desires to use or convert |
for use as a charter school site,
(ii) the operation and |
maintenance thereof, and
(iii) the provision of any service, |
activity, or undertaking that the charter
school is required to |
perform in order to carry out the terms of its charter.
|
However, a charter school
that is established on
or
after April |
|
16, 2003 ( the effective date of Public Act 93-3) this |
amendatory Act of the 93rd General
Assembly and that operates
|
in a city having a population exceeding
500,000 may not |
contract with a for-profit entity to
manage or operate the |
school during the period that commences on April 16, 2003 ( the
|
effective date of Public Act 93-3) this amendatory Act of the |
93rd General Assembly and
concludes at the end of the 2004-2005 |
school year.
Except as provided in subsection (i) of this |
Section, a school district may
charge a charter school |
reasonable rent for the use of the district's
buildings, |
grounds, and facilities. Any services for which a charter |
school
contracts
with a school district shall be provided by |
the district at cost. Any services
for which a charter school |
contracts with a local school board or with the
governing body |
of a State college or university or public community college
|
shall be provided by the public entity at cost.
|
(i) In no event shall a charter school that is established |
by converting an
existing school or attendance center to |
charter school status be required to
pay rent for space
that is |
deemed available, as negotiated and provided in the charter |
agreement,
in school district
facilities. However, all other |
costs for the operation and maintenance of
school district |
facilities that are used by the charter school shall be subject
|
to negotiation between
the charter school and the local school |
board and shall be set forth in the
charter.
|
(j) A charter school may limit student enrollment by age or |
|
grade level.
|
(k) If the charter school is approved by the Commission, |
then the Commission charter school is its own local education |
agency. |
(Source: P.A. 98-16, eff. 5-24-13; 98-639, eff. 6-9-14; 98-669, |
eff. 6-26-14; 98-739, eff. 7-16-14; 98-783, eff. 1-1-15; |
98-1059, eff. 8-26-14; 98-1102, eff. 8-26-14; 99-30, eff. |
7-10-15; 99-78, eff. 7-20-15; 99-245, eff. 8-3-15; 99-325, eff. |
8-10-15; 99-456, eff. 9-15-16; revised 10-19-15.)
|
(105 ILCS 5/32-5) (from Ch. 122, par. 32-5)
|
Sec. 32-5. Bond issues - District boundaries coextensive |
with city. For the purpose of building or repairing |
schoolhouses or purchasing
or improving school sites, |
including the purchase of school sites
outside the boundaries |
of the school district and building school
buildings thereon as |
provided by Section 10-20.10 of this Act, any
special charter |
district governed by a special charter, and special or
general |
school laws, whose boundaries are coextensive with or greater
|
than the boundaries of any incorporated city, town or village, |
where
authorized by a majority of all the votes cast on the |
proposition may
borrow money and as evidence
of the |
indebtedness, may
issue bonds in denominations of not less than |
$100 nor more than $1,000,
for a term not to exceed 20 years |
bearing interest at a rate not to
exceed the maximum rate |
authorized by the Bond Authorization Act, as amended
at the |
|
time of the making of the contract, payable annually,
|
semi-annually, or quarterly,
ct
signed by the president and |
secretary of the school board of the
district; provided, that |
the amount borrowed shall not exceed, including
existing |
indebtedness, 5% of the taxable property of such school
|
district, as ascertained by the last assessment for State and |
county
taxes previous to incurring such indebtedness.
|
With respect to instruments for the payment of money issued |
under this
Section either before, on, or after June 6, 1989 |
( the effective date of Public Act 86-4) this amendatory
Act of |
1989 , it is and always has been the intention of the General
|
Assembly (i) that the Omnibus Bond Acts are and always have |
been supplementary
grants of
power to issue instruments in |
accordance with the Omnibus Bond Acts,
regardless of any |
provision of this Act that may appear to be or to have
been |
more restrictive than those Acts, (ii)
that the provisions of |
this Section are not a limitation on the
supplementary |
authority granted by the Omnibus Bond
Acts,
and (iii) that |
instruments issued under this
Section within the supplementary |
authority granted by the Omnibus Bond Acts
are not invalid
|
because of any provision of this Act that may appear to be or |
to have been
more restrictive than those Acts.
|
(Source: P.A. 86-4; revised 10-9-15.)
|
(105 ILCS 5/34-2.4) (from Ch. 122, par. 34-2.4)
|
Sec. 34-2.4. School improvement plan. A 3-year 3 year local |
|
school
improvement plan shall be developed and implemented at |
each attendance center.
This plan shall reflect the overriding |
purpose of the attendance center to
improve educational |
quality. The local school principal shall develop a
school |
improvement plan in consultation with the local school council, |
all
categories of school staff, parents and community |
residents. Once the plan
is developed, reviewed by the |
professional personnel leadership committee,
and approved by |
the local school council, the
principal shall be responsible |
for directing implementation of the plan,
and the local school |
council shall monitor its implementation. After the
|
termination of the initial 3-year 3 year plan, a new 3-year 3 |
year plan shall be
developed and modified as appropriate on an |
annual basis.
|
The school improvement plan shall be designed to achieve |
priority goals
including but not limited to:
|
(a) assuring that students show significant progress |
toward meeting and
exceeding State performance standards |
in State mandated learning areas,
including the mastery of |
higher order thinking skills in
these areas;
|
(b) assuring that students attend school regularly and |
graduate from
school at such rates that the district |
average equals or surpasses national
norms;
|
(c) assuring that students are adequately prepared for |
and aided in
making a successful transition to further |
education and life experience;
|
|
(d) assuring that students are adequately prepared for
|
and aided in making a successful transition to employment; |
and
|
(e) assuring that students are, to the maximum extent |
possible, provided
with a common learning experience that |
is of high academic quality and that
reflects high |
expectations for all students' capacities to learn.
|
With respect to these priority goals, the school |
improvement plan shall
include but not be limited to the |
following:
|
(a) an analysis of data collected in the attendance |
center and community
indicating the specific strengths and |
weaknesses of the attendance center
in light of the goals |
specified above, including data and analysis specified
by |
the State Board of Education pertaining to specific |
measurable outcomes for
student performance, the |
attendance centers, and their instructional
programs;
|
(b) a description of specific annual objectives the |
attendance center
will pursue in achieving the goals |
specified above;
|
(c) a description of the specific activities the |
attendance center will
undertake to achieve its |
objectives;
|
(d) an analysis of the attendance center's staffing |
pattern and material
resources, and an explanation of how |
the attendance center's planned
staffing pattern, the |
|
deployment of staff, and the use of material
resources |
furthers the objectives of the plan;
|
(e) a description of the key assumptions and directions |
of the school's
curriculum and the academic and |
non-academic programs of the attendance
center, and an |
explanation of how this curriculum and these programs
|
further the goals and objectives of the plan;
|
(f) a description of the steps that will be taken to |
enhance educational
opportunities for all students, |
regardless of gender, including
English learners, students |
with disabilities, low-income students , and
minority |
students;
|
(g) a description of any steps which may be taken by |
the attendance
center to educate parents as to how they can |
assist children at home in
preparing their children to |
learn effectively;
|
(h) a description of the steps the attendance center |
will take to
coordinate its efforts with, and to gain the |
participation and support of,
community residents, |
business organizations, and other local institutions
and |
individuals;
|
(i) a description of any staff development program for |
all school staff
and volunteers tied to the priority goals, |
objectives, and activities
specified in the plan;
|
(j) a description of the steps the local school council |
will undertake
to monitor implementation of the plan on an |
|
ongoing basis;
|
(k) a description of the steps the attendance center |
will take to ensure
that teachers have working conditions |
that provide a professional
environment conducive to |
fulfilling their responsibilities;
|
(l) a description of the steps the attendance center |
will take to ensure
teachers the time and opportunity to |
incorporate new ideas and techniques,
both in subject |
matter and teaching skills, into their own work;
|
(m) a description of the steps the attendance center |
will take to
encourage pride and positive identification |
with the attendance center
through various athletic |
activities; and
|
(n) a description of the student need for and provision |
of services
to special populations, beyond the standard |
school programs provided for
students in grades K through |
12 and those enumerated in the categorical
programs cited |
in item d of part 4 of Section 34-2.3, including financial
|
costs of providing same and a timeline for implementing the |
necessary
services, including but not limited, when |
applicable, to ensuring the
provisions of educational |
services to all eligible children aged 4 years
for the |
1990-91 school year and thereafter, reducing class size to |
State
averages in grades K-3 for the 1991-92 school year |
and thereafter and in
all grades for the 1993-94 school |
year and thereafter, and providing
sufficient staff and |
|
facility resources for students not served in the
regular |
classroom setting.
|
Based on the analysis of data collected indicating specific |
strengths and
weaknesses of the attendance center, the school |
improvement plan may place
greater emphasis from year to year |
on particular priority goals, objectives,
and activities.
|
(Source: P.A. 99-30, eff. 7-10-15; 99-143, eff. 7-27-15; |
revised 10-21-15.)
|
(105 ILCS 5/34-8.1) (from Ch. 122, par. 34-8.1)
|
Sec. 34-8.1. Principals. Principals shall be employed to |
supervise the
operation of each attendance center. Their powers |
and duties shall include
but not be limited to the authority |
(i) to
direct, supervise, evaluate, and suspend with or without |
pay or otherwise
discipline all teachers, assistant |
principals, and other employees assigned to
the attendance |
center in accordance with board rules and policies and (ii) to
|
direct
all other persons assigned to the
attendance center |
pursuant to a contract with a third party to provide services
|
to the school system. The right to employ, discharge, and |
layoff shall be
vested solely with the board, provided that |
decisions to
discharge or suspend
non-certified employees, |
including disciplinary layoffs, and the
termination of |
certified employees from employment pursuant to a layoff
or |
reassignment policy are subject to review under the grievance |
resolution
procedure adopted pursuant to subsection (c) of |
|
Section 10 of the Illinois
Educational Labor Relations Act. The |
grievance resolution procedure
adopted by the board shall |
provide for final and binding arbitration, and,
|
notwithstanding any other provision of law to the contrary, the
|
arbitrator's decision may include all make-whole relief, |
including without
limitation reinstatement. The principal |
shall fill positions by
appointment as provided in this Section |
and may make recommendations to the
board regarding the |
employment, discharge, or layoff of any individual. The
|
authority of the principal shall include the
authority to |
direct the hours during which the attendance center
shall be |
open and available for use provided the use complies with board |
rules
and policies, to determine when and what operations shall |
be conducted within
those hours, and to schedule staff within |
those hours. Under the direction of, and subject to the |
authority
of the principal, the Engineer In Charge shall
be |
accountable for the safe, economical operation of the plant and |
grounds
and shall also be responsible for orientation, |
training,
and supervising the work of Engineers,
Trainees, |
school maintenance assistants, custodial workers and other |
plant
operation employees under his or her direction.
|
There shall be established by the board a system of |
semi-annual
evaluations conducted by the principal as to |
performance of the engineer in charge. Nothing
in this Section |
shall prevent the principal from conducting additional
|
evaluations. An overall
numerical rating shall be given by the |
|
principal based on the evaluation
conducted by the principal. |
An unsatisfactory numerical rating shall result in
|
disciplinary
action, which may include, without limitation and |
in the judgment of the
principal, loss of
promotion
or bidding |
procedure, reprimand, suspension with or without pay, or
|
recommended dismissal. The board shall establish
procedures |
for conducting the
evaluation
and reporting the results to the |
engineer in charge.
|
Under the direction of, and subject to the authority of, |
the principal, the
Food Service Manager is responsible at
all |
times for the proper operation and maintenance of the lunch |
room to which
he is assigned and shall also be responsible for |
the orientation, training, and
supervising the work of cooks, |
bakers, porters,
and lunchroom attendants under his or
her |
direction.
|
There shall be established by the Board a system of |
semi-annual
evaluations conducted by the principal as to the |
performance of the food
service manager.
Nothing in this |
Section shall prevent the principal from conducting
additional |
evaluations. An overall numerical rating shall be given by the
|
principal based on the
evaluation conducted by the principal. |
An unsatisfactory numerical rating
shall
result in |
disciplinary action which may include, without limitation and |
in
the judgment of the principal, loss of promotion or bidding |
procedure,
reprimand, suspension with or without pay, or |
recommended dismissal. The board
shall establish rules for |
|
conducting the evaluation and
reporting the results to the food |
service manager.
|
Nothing in this Section shall be interpreted to require the |
employment or
assignment of an Engineer-In-Charge or a Food |
Service Manager for each
attendance center.
|
Principals shall be employed to supervise the educational |
operation of
each attendance center. If a principal is absent |
due to extended
illness or leave of or absence, an assistant |
principal may be assigned as
acting principal for a period not |
to exceed 100 school days. Each principal
shall assume |
administrative responsibility and instructional leadership, in
|
accordance with reasonable rules and regulations of the board, |
for the
planning, operation and evaluation of the educational |
program of the
attendance center to which he is assigned. The |
principal shall submit
recommendations to the general |
superintendent concerning the appointment,
dismissal, |
retention, promotion, and assignment of all personnel assigned |
to
the attendance center; provided, that from and after |
September 1, 1989: (i) if
any vacancy occurs in a position at |
the
attendance center or if an additional or new position is |
created at the attendance center, that position shall be filled
|
by appointment made by the principal in accordance with |
procedures
established and provided by the Board
whenever the |
majority of the duties included in that position are to be
|
performed at the attendance center which is under the |
principal's supervision,
and each such appointment so made by |
|
the principal
shall be made and based upon merit and ability to |
perform in that position
without regard to seniority or length |
of service, provided, that such
appointments shall be subject |
to the Board's desegregation obligations,
including but not |
limited to the Consent Decree and Desegregation Plan in
U.S. v. |
Chicago Board of Education; (ii)
the principal shall submit |
recommendations based upon merit and ability to
perform in the |
particular position, without regard to
seniority or length of |
service, to the general
superintendent
concerning the |
appointment of any teacher, teacher aide, counselor, clerk,
|
hall guard, security guard and any other personnel which is
to |
be made by the general superintendent whenever less than
a |
majority
of the duties of that teacher, teacher aide, |
counselor, clerk, hall guard,
and security guard and any other |
personnel are to be performed
at the attendance center which is |
under the principal's supervision; and
(iii) subject to law and |
the applicable collective bargaining agreements,
the authority |
and responsibilities of a principal with respect to the
|
evaluation of all teachers and other personnel assigned to an |
attendance
center shall commence immediately upon his or her |
appointment as principal
of the attendance center, without |
regard to the length of time that he or
she has been the |
principal of that attendance center.
|
Notwithstanding the existence of any other law of this |
State, nothing in
this Act shall prevent the board from |
entering into a contract with a third
party for services |
|
currently performed by any employee or bargaining unit
member.
|
Notwithstanding any other provision of this Article, each |
principal may
approve contracts, binding on the board, in the |
amount of no more than $10,000,
if the contract is endorsed by |
the Local School Council.
|
Unless otherwise prohibited by law or by rule of the board, |
the principal
shall provide to local
school council members |
copies of all
internal audits and any other pertinent |
information generated by any audits or
reviews of the programs |
and operation of the attendance center.
|
Each principal shall hold a valid administrative
|
certificate issued or exchanged in accordance with Article 21 |
and endorsed
as required by that Article for the position of |
principal. The board may
establish or impose academic,
|
educational, examination, and experience requirements and
|
criteria that are in addition
to those established and required |
by Article 21 for issuance of a valid
certificate endorsed for |
the position of principal as a condition of the nomination, |
selection,
appointment,
employment, or continued employment of |
a person as principal of any
attendance center, or as a |
condition of the renewal of any principal's
performance |
contract.
|
The board shall specify in its formal job description for |
principals,
and from and after July 1, 1990 shall specify in |
the 4 year
performance contracts for use with respect to all |
principals,
that his or her primary responsibility is in the |
|
improvement of
instruction. A majority of the time spent by a |
principal shall be spent on
curriculum and staff development |
through both formal and informal
activities, establishing |
clear lines of communication regarding school
goals, |
accomplishments, practices and policies with parents and |
teachers.
The principal, with the assistance of the local |
school council, shall
develop a school improvement plan as |
provided in Section 34-2.4 and, upon
approval of the plan by |
the local school council, shall
be responsible for directing |
implementation of the plan. The principal,
with the assistance |
of the professional personnel leadership committee, shall
|
develop the specific methods and contents of the school's |
curriculum within
the board's system-wide curriculum standards |
and objectives and the
requirements of the school improvement |
plan. The board shall ensure that all
principals are evaluated |
on their instructional leadership ability and their
ability to |
maintain a positive education and learning climate. It shall |
also
be the responsibility of the principal to utilize |
resources of proper law
enforcement agencies when the safety |
and welfare of students and teachers are
threatened by illegal |
use of drugs and alcohol, by illegal use or possession
of |
weapons, or by illegal gang activity.
|
Nothing in this Section shall prohibit the board and the |
exclusive representative of the district's teachers from |
entering into an agreement under Section 34-85c of this Code to |
establish alternative procedures for teacher evaluation, |
|
remediation, and removal for cause after remediation, |
including an alternative system for peer evaluation and |
recommendations, for teachers assigned to schools identified |
in that agreement.
|
On or before October 1, 1989, the Board of Education, in |
consultation
with any professional organization representing |
principals in the district,
shall promulgate rules and |
implement a lottery for the purpose of
determining whether a |
principal's existing performance contract (including
the |
performance contract applicable to any principal's position in |
which a
vacancy then exists) expires on June 30, 1990 or on |
June 30, 1991, and
whether the ensuing 4 year performance |
contract begins on July 1, 1990 or
July 1, 1991. The Board of |
Education shall establish and conduct the
lottery in such |
manner that of all the performance contracts of principals
|
(including the performance contracts applicable to all |
principal positions
in which a vacancy then exists), 50% of |
such contracts shall expire on June
30, 1990, and 50% shall |
expire on June 30, 1991. All persons serving as
principal on |
May 1, 1989, and all persons appointed as principal after May
|
1, 1989 and prior to July 1, 1990 or July 1, 1991, in a manner |
other than
as provided by Section 34-2.3, shall be deemed by |
operation of
law to be serving under a performance contract |
which expires on June 30,
1990 or June 30, 1991; and unless |
such performance contract of any such
principal is renewed (or |
such person is again appointed to serve as
principal) in the |
|
manner provided by Section 34-2.2 or 34-2.3, the
employment of |
such person as principal shall terminate on June 30, 1990
or |
June 30, 1991.
|
Commencing on July 1, 1990, or on July 1, 1991, and |
thereafter, the
principal of each attendance center shall be |
the person selected in the
manner provided by Section 34-2.3 to |
serve as principal of that attendance
center under a 4 year |
performance contract. All performance contracts of
principals |
expiring after July 1, 1990, or July 1, 1991, shall commence on
|
the date specified in the contract, and the renewal of their |
performance
contracts and the appointment of principals when |
their performance contracts
are not renewed shall be governed |
by Sections 34-2.2 and 34-2.3. Whenever a
vacancy in the office |
of a principal occurs for any reason, the vacancy shall
be |
filled by the selection of a new principal to serve under a 4 |
year
performance contract in the manner provided by Section |
34-2.3.
|
The board of education shall develop and prepare, in |
consultation with
the organization representing principals, a |
performance contract for
use
at all attendance centers, and |
shall furnish the same to each local school
council. The term |
of the performance contract shall be 4 years, unless the
|
principal is retained by the decision of a hearing officer |
pursuant to
subdivision 1.5 of Section 34-2.3, in which case |
the contract shall be
extended for 2 years. The performance
|
contract of each principal shall consist of the
uniform |
|
performance contract, as developed or from time to time |
modified by the
board, and such additional criteria as are |
established by a local school
council pursuant to Section |
34-2.3 for the performance contract of its
principal.
|
During the term of his or her performance contract, a |
principal may be
removed only as provided for in the |
performance contract except for cause.
He or she shall also be |
obliged to follow the rules of the board of
education |
concerning conduct and efficiency.
|
In the event the performance contract of a principal is not |
renewed or a
principal is not reappointed as principal under a |
new performance contract,
or in the event a principal is |
appointed to any position of
superintendent or higher position, |
or voluntarily
resigns his position of principal, his or her |
employment as a principal
shall terminate and such former |
principal shall not be
reinstated to the position from which he |
or she was promoted to principal,
except that he or she, if |
otherwise qualified and certified in accordance
with Article |
21, shall be placed by the board on appropriate eligibility
|
lists which it prepares for use in the filling of vacant or |
additional or
newly created positions for teachers. The |
principal's total years of
service to the board as both a |
teacher and a principal, or in other
professional capacities, |
shall be used in calculating years of experience
for purposes |
of being selected as a teacher into new, additional or vacant
|
positions.
|
|
In the event the performance contract of a principal is not |
renewed or
a principal is not reappointed as principal under a |
new performance
contract, such principal shall be eligible to |
continue to receive his or
her previously provided level of |
health insurance benefits for a period of
90 days following the |
non-renewal of the contract at no expense to the
principal, |
provided that such principal has not retired.
|
(Source: P.A. 95-331, eff. 8-21-07; 95-510, eff. 8-28-07; |
revised 10-9-15.)
|
Section 255. The University of Illinois Act is amended by |
changing Section 9 as follows:
|
(110 ILCS 305/9) (from Ch. 144, par. 30)
|
Sec. 9. Scholarships for children of veterans. For each of |
the following
periods of hostilities, each county shall be |
entitled, annually, to one
honorary scholarship in the |
University, for the benefit of the children of
persons who |
served in the armed forces of the United States, except that |
the total number of scholarships annually granted to recipients |
from each county may not exceed 3: any time between September |
16, 1940 and the
termination of World War II, any time during |
the national emergency
between June 25, 1950 and January 31, |
1955, any time during the Viet
Nam conflict between January 1, |
1961 and May 7, 1975, any time during the siege of Beirut and |
the Grenada Conflict between June 14, 1982 and December 15, |
|
1983, or any
time on or after August 2, 1990 and until Congress |
or the President orders that
persons in service are no longer |
eligible for
the Southwest Asia Service Medal, Operation |
Enduring Freedom, and Operation Iraqi Freedom. Preference for |
scholarships shall be
given to the children of persons who are |
deceased or to the children of persons who have a disability. |
Such scholarships shall be
granted to such pupils as shall, |
upon public examination, conducted as
the board of trustees of |
the University may determine, be decided to
have attained the |
greatest proficiency in the branches of learning
usually taught |
in the secondary schools, and who shall be of good moral
|
character, and not less than 15 years of age. Such pupils, so |
selected,
shall be entitled to receive, without charge for |
tuition, instruction in
any or all departments of the |
University for a term of at least 4
consecutive years. Such |
pupils shall conform, in all respects, to the
rules and |
regulations of the University, established for the government
|
of the pupils in attendance.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-377, eff. 8-17-15; |
revised 10-21-15.)
|
Section 260. The Illinois Credit Union Act is amended by |
changing Section 46 as follows:
|
(205 ILCS 305/46) (from Ch. 17, par. 4447)
|
Sec. 46. Loans and interest rate.
|
|
(1) A credit union may make loans
to its members for such |
purpose and upon such security and terms, including
rates of |
interest, as the credit committee, credit manager, or loan |
officer
approves.
Notwithstanding the provisions of any other |
law in connection with extensions
of credit, a credit union may |
elect to
contract for and receive interest and fees and other |
charges for extensions of
credit subject only to the provisions |
of this Act and rules promulgated under
this Act, except that |
extensions of credit secured by residential real estate
shall |
be subject to the laws applicable thereto.
The rates of |
interest to be charged on loans to members shall be
set by the |
board of directors of each individual credit union in |
accordance with Section 30 of this Act and such
rates may be |
less than, but may not exceed, the maximum rate set forth in
|
this Section. A borrower may repay his loan prior to maturity, |
in whole or
in part, without penalty. The credit contract may |
provide for the payment
by the member and receipt by the credit |
union of all costs and
disbursements, including reasonable |
attorney's fees and collection agency
charges, incurred by the |
credit union to collect or enforce the debt in the
event of a |
delinquency by the member, or in the event of a breach of any
|
obligation of the member under the credit contract. A |
contingency or
hourly arrangement established under an |
agreement entered into by a credit
union with an attorney or |
collection agency to collect a loan of a member
in default |
shall be presumed prima facie reasonable.
|
|
(2) Credit unions may make loans based upon the security of |
any
interest or equity in real estate, subject to rules and |
regulations
promulgated by the Secretary. In any contract or |
loan which
is secured by a mortgage, deed of
trust, or |
conveyance in the nature of a mortgage, on residential real
|
estate, the interest which is computed, calculated, charged, or |
collected
pursuant to such contract or loan, or pursuant to any |
regulation or rule
promulgated pursuant to this Act, may not be |
computed, calculated, charged
or collected for any period of |
time occurring after the date on which the
total indebtedness, |
with the exception of late payment penalties, is paid
in full.
|
For purposes of this subsection (2) of this Section 46, a |
prepayment
shall mean the payment of the total indebtedness, |
with the exception of
late payment penalties if incurred or |
charged, on any date before the date
specified in the contract |
or loan agreement on which the total indebtedness
shall be paid |
in full, or before the date on which all payments, if timely
|
made, shall have been made. In the event of a prepayment of the
|
indebtedness which is made on a date
after the date on which |
interest on the indebtedness was last computed,
calculated, |
charged, or collected but before the next date on which |
interest
on the indebtedness was to be calculated, computed, |
charged, or collected,
the lender may calculate, charge and |
collect interest on the indebtedness
for the period which |
elapsed between the date on which the prepayment is
made and |
the date on which interest on the indebtedness was last |
|
computed,
calculated, charged or collected at a rate equal to |
1/360 of the annual
rate for each day which so elapsed, which |
rate shall be applied to the
indebtedness outstanding as of the |
date of prepayment. The lender shall
refund to the borrower any |
interest charged or collected which exceeds that
which the |
lender may charge or collect pursuant to the preceding |
sentence.
The provisions of Public Act 84-941 this amendatory |
Act of 1985 shall apply only to contracts
or loans entered into |
on or after January 1, 1986 ( the effective date of Public Act |
84-941) this amendatory
Act .
|
(3) (Blank).
|
(4) Notwithstanding any other provisions of this Act, a |
credit union
authorized under this Act to make loans secured by |
an interest or equity
in real property may engage in making |
revolving credit loans secured by
mortgages or deeds of trust |
on such real property or by security
assignments of beneficial |
interests in land trusts.
|
For purposes of this Section, "revolving credit" has the |
meaning defined
in Section 4.1 of the Interest Act.
|
Any mortgage or deed of trust given to secure a revolving |
credit loan may,
and when so expressed therein shall, secure |
not only the existing indebtedness
but also such future |
advances, whether such advances are obligatory or to
be made at |
the option of the lender, or otherwise, as are made within |
twenty
years from the date thereof, to the same extent as if |
such future advances
were made on the date of the execution of |
|
such mortgage or deed of trust,
although there may be no |
advance made at the time of execution of such mortgage
or other |
instrument, and although there may be no indebtedness |
outstanding
at the time any advance is made. The lien of such |
mortgage or deed of trust,
as to third persons
without actual |
notice thereof, shall be valid as to all such indebtedness
and |
future advances form the time said mortgage or deed of trust is |
filed
for record in the office of the recorder of deeds or the |
registrar of titles
of the county where the real property |
described therein is located. The
total amount of indebtedness |
that may be so secured may increase or decrease
from time to |
time, but the total unpaid balance so secured at any one time
|
shall not exceed a maximum principal amount which must be |
specified in such
mortgage or deed of trust, plus interest |
thereon, and any disbursements
made for the payment of taxes, |
special assessments, or insurance on said
real property, with |
interest on such disbursements.
|
Any such mortgage or deed of trust shall be valid and have |
priority over
all subsequent liens and encumbrances, including |
statutory liens, except
taxes and assessments levied on said |
real property.
|
(4-5) For purposes of this Section, "real estate" and "real |
property" include a manufactured home as defined in subdivision |
(53) of Section 9-102 of the Uniform Commercial Code which is |
real property as defined in Section 5-35 of the Conveyance and |
Encumbrance of Manufactured Homes as Real Property and |
|
Severance Act. |
(5) Compliance with federal or Illinois preemptive laws or |
regulations
governing loans made by a credit union chartered |
under this Act shall
constitute compliance with this Act.
|
(6) Credit unions may make residential real estate mortgage |
loans on terms and conditions established by the United States |
Department of Agriculture through its Rural Development |
Housing and Community Facilities Program. The portion of any |
loan in excess of the appraised value of the real estate shall |
be allocable only to the guarantee fee required under the |
program. |
(7) For a renewal, refinancing, or restructuring of an |
existing loan at the credit union that is secured by an |
interest or equity in real estate, a new appraisal of the |
collateral shall not be required when (i) no new moneys are |
advanced other than funds necessary to cover reasonable closing |
costs, or (ii) there has been no obvious or material change in |
market conditions or physical aspects of the real estate that |
threatens the adequacy of the credit union's real estate |
collateral protection after the transaction, even with the |
advancement of new moneys. The Department reserves the right to |
require an appraisal under this subsection (7) whenever the |
Department believes it is necessary to address safety and |
soundness concerns. |
(Source: P.A. 98-749, eff. 7-16-14; 98-784, eff. 7-24-14; |
99-78, eff. 7-20-15; 99-149, eff. 1-1-16; 99-331, eff. 1-1-16; |
|
revised 10-16-15.)
|
Section 265. The Corporate Fiduciary Act is amended by |
changing Section 5-10.5 as follows:
|
(205 ILCS 620/5-10.5)
|
Sec. 5-10.5. Disclosure of records. A corporate fiduciary |
may not
disclose to any person, except to the customer or the |
customer's duly
authorized agent, any records pertaining to the |
fiduciary relationship between
the corporate fiduciary and the |
customer unless:
|
(1) the instrument or court order establishing the |
fiduciary relationship
permits the record to be disclosed |
under the circumstances;
|
(2) applicable law authorizes the disclosure;
|
(3) disclosure by the corporate fiduciary is necessary |
to perform a
transaction or act that is authorized by the |
instrument or court order
establishing the fiduciary |
relationship relation ship ; or
|
(4) Section 48.1 of the Illinois Banking Act would |
permit a bank to disclose
the record to the same extent |
under the circumstances.
|
For purposes of this Section, "customer" means the person |
or individual who
contracted to establish the fiduciary |
relationship or who executed any
instrument or document from |
which the fiduciary relationship was established, a
person |
|
authorized by the customer to provide such direction or, if the
|
instrument, law, or court order so permits, the beneficiaries |
of the fiduciary
relationship.
|
(Source: P.A. 89-364, eff. 8-18-95; revised 10-14-15.)
|
Section 270. The Ambulatory Surgical Treatment Center Act |
is amended by changing Section 6.5 as follows:
|
(210 ILCS 5/6.5)
|
Sec. 6.5. Clinical privileges; advanced practice nurses. |
All ambulatory surgical treatment centers (ASTC) licensed |
under this Act
shall
comply with the following requirements:
|
(1) No ASTC policy, rule, regulation, or practice shall |
be inconsistent
with the provision of adequate |
collaboration and consultation in accordance with Section |
54.5 of the Medical
Practice Act of 1987.
|
(2) Operative surgical procedures shall be performed |
only by a physician
licensed to
practice medicine in
all |
its branches under the Medical Practice Act of 1987, a |
dentist
licensed under the
Illinois Dental Practice Act, or |
a podiatric physician licensed under the Podiatric
Medical |
Practice Act of 1987,
with medical staff membership and |
surgical clinical privileges granted by the
consulting
|
committee of the ASTC. A licensed physician, dentist, or |
podiatric physician may
be assisted by
a physician licensed |
to practice medicine in all its branches, dentist, dental
|
|
assistant, podiatric physician, licensed
advanced practice |
nurse, licensed physician assistant, licensed
registered |
nurse, licensed practical nurse,
surgical
assistant, |
surgical technician, or other individuals granted clinical
|
privileges to assist in surgery
by the consulting committee |
of the ASTC.
Payment for services rendered by an assistant |
in surgery who is not an
ambulatory surgical treatment |
center employee shall be paid
at the appropriate |
non-physician modifier
rate if the payor would have made |
payment had the same services been provided
by a physician.
|
(2.5) A registered nurse licensed under the Nurse |
Practice Act and qualified by training and experience in |
operating room nursing shall be present in the operating |
room and function as the circulating nurse during all |
invasive or operative procedures. For purposes of this |
paragraph (2.5), "circulating nurse" means a registered |
nurse who is responsible for coordinating all nursing care, |
patient safety needs, and the needs of the surgical team in |
the operating room during an invasive or operative |
procedure.
|
(3) An advanced practice nurse is not required to |
possess prescriptive authority or a written collaborative |
agreement meeting the requirements of the Nurse Practice |
Act to provide advanced practice nursing services in an |
ambulatory surgical treatment center. An advanced practice |
nurse must possess clinical privileges granted by the |
|
consulting medical staff committee and ambulatory surgical |
treatment center in order to provide services. Individual |
advanced practice nurses may also be granted clinical |
privileges to order, select, and administer medications, |
including controlled substances, to provide delineated |
care. The attending physician must determine the advanced |
advance practice nurse's role in providing care for his or |
her patients, except as otherwise provided in the |
consulting staff policies. The consulting medical staff |
committee shall periodically review the services of |
advanced practice nurses granted privileges.
|
(4) The anesthesia service shall be under the direction |
of a physician
licensed to practice
medicine in all its |
branches who has had specialized preparation or experience
|
in the area
or who has completed a residency in |
anesthesiology. An anesthesiologist, Board
certified or
|
Board eligible, is recommended. Anesthesia services may
|
only be
administered pursuant to the order of a physician |
licensed to practice medicine
in all its
branches, licensed |
dentist, or licensed podiatric physician.
|
(A) The individuals who, with clinical privileges |
granted by the medical
staff and ASTC, may
administer |
anesthesia services are limited to the
following:
|
(i) an anesthesiologist; or
|
(ii) a physician licensed to practice medicine |
in all its branches; or
|
|
(iii) a dentist with authority to administer |
anesthesia under Section
8.1 of the
Illinois |
Dental Practice Act; or
|
(iv) a licensed certified registered nurse |
anesthetist; or |
(v) a podiatric physician licensed under the |
Podiatric Medical Practice Act of 1987.
|
(B) For anesthesia services, an anesthesiologist
|
shall
participate through discussion of and agreement |
with the anesthesia plan and
shall remain physically |
present and be
available on
the premises during the |
delivery of anesthesia services for
diagnosis, |
consultation, and treatment of emergency medical
|
conditions.
In the absence of 24-hour availability of |
anesthesiologists with clinical
privileges, an |
alternate policy (requiring
participation, presence,
|
and availability of a
physician licensed to practice |
medicine in all its
branches) shall be
developed by the |
medical staff consulting committee in consultation |
with the
anesthesia service and included in the medical
|
staff
consulting committee policies.
|
(C) A certified registered nurse anesthetist is |
not required to possess
prescriptive authority or a |
written collaborative agreement meeting the
|
requirements of Section 65-35 of the Nurse Practice Act
|
to provide anesthesia services
ordered by a licensed |
|
physician, dentist, or podiatric physician. Licensed |
certified
registered nurse anesthetists are authorized |
to
select, order, and
administer drugs and apply the |
appropriate medical devices in the provision of
|
anesthesia
services under the anesthesia plan agreed |
with by the
anesthesiologist or, in the absence of an |
available anesthesiologist with
clinical privileges,
|
agreed with by the
operating physician, operating |
dentist, or operating podiatric physician in |
accordance
with the medical
staff consulting committee |
policies of a licensed ambulatory surgical treatment
|
center.
|
(Source: P.A. 98-214, eff. 8-9-13; revised 10-21-15.)
|
Section 275. The Abused and Neglected Long Term Care |
Facility Residents Reporting
Act is amended by changing Section |
6 as follows:
|
(210 ILCS 30/6) (from Ch. 111 1/2, par. 4166)
|
Sec. 6. All reports of suspected abuse or neglect made |
under this Act
shall be made immediately by telephone to the |
Department's central register
established under Section 14 on |
the single, State-wide, toll-free telephone
number established |
under Section 13, or in person or by telephone through
the |
nearest Department office. No long term care facility |
administrator,
agent or employee, or any other person, shall |
|
screen reports or otherwise
withhold any reports from the |
Department, and no long term care facility,
department of State |
government, or other agency shall establish any rules,
|
criteria, standards or guidelines to the contrary. Every long |
term care
facility, department of State government and other |
agency whose employees
are required to make or cause to be made |
reports under Section 4 shall
notify its employees of the |
provisions of that Section and of this Section,
and provide to |
the Department documentation that such notification has been
|
given. The Department of Human Services shall train all of its |
mental health and developmental
disabilities employees in the |
detection and reporting of suspected
abuse and neglect of |
residents. Reports made to the central register
through the |
State-wide, toll-free telephone number shall be transmitted to
|
appropriate Department offices and municipal health |
departments that have
responsibility for licensing long term |
care facilities under the Nursing
Home Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the ID/DD |
Community Care Act, or the MC/DD Act. All reports received |
through offices of the Department
shall be forwarded to the |
central register, in a manner and form described
by the |
Department. The Department shall be capable of receiving |
reports of
suspected abuse and neglect 24 hours a day, 7 days a |
week. Reports shall
also be made in writing deposited in the |
U.S. mail, postage prepaid, within
24 hours after having |
reasonable cause to believe that the condition of the
resident |
|
resulted from abuse or neglect. Such reports may in addition be
|
made to the local law enforcement agency in the same manner. |
However, in
the event a report is made to the local law |
enforcement agency, the
reporter also shall immediately so |
inform the Department. The Department
shall initiate an |
investigation of each report of resident abuse and
neglect |
under this Act, whether oral or written, as provided for in |
Section 3-702 of the Nursing Home Care Act, Section 2-208 of |
the Specialized Mental Health Rehabilitation Act of 2013, |
Section 3-702 of the ID/DD Community Care Act, or Section 3-702 |
of the MC/DD Act, except that reports of abuse which
indicate |
that a resident's life or safety is in imminent danger shall be
|
investigated within 24 hours of such report. The Department may |
delegate to
law enforcement officials or other public agencies |
the duty to perform such
investigation.
|
With respect to investigations of reports of suspected |
abuse or neglect
of residents of mental health and |
developmental disabilities institutions
under the jurisdiction |
of the Department of
Human Services, the
Department shall |
transmit
copies of such reports to the Department of State |
Police, the Department of
Human Services, and the
Inspector |
General
appointed under Section 1-17 of the Department of Human |
Services Act. If the Department receives a report
of suspected |
abuse or neglect of a recipient of services as defined in |
Section
1-123 of the Mental Health and Developmental |
Disabilities Code, the
Department shall transmit copies of such |
|
report to the Inspector General
and the Directors of the |
Guardianship and Advocacy Commission and the
agency designated |
by the Governor pursuant to the Protection and Advocacy
for |
Persons with Developmental Disabilities Act. When requested by |
the Director
of the Guardianship and Advocacy Commission, the |
agency designated by the
Governor pursuant to the Protection |
and Advocacy for Persons with Developmental Disabilities Act, |
or the Department of Financial and Professional Regulation, the |
Department, the Department of Human Services and the Department |
of State Police shall make
available a copy of the final |
investigative report regarding investigations
conducted by |
their respective agencies on incidents of suspected abuse or
|
neglect of residents of mental health and developmental |
disabilities
institutions or individuals receiving services at |
community agencies under the jurisdiction of the Department of |
Human Services. Such final investigative
report shall not |
contain witness statements, investigation notes, draft
|
summaries, results of lie detector tests, investigative files |
or other raw data
which was used to compile the final |
investigative report. Specifically, the
final investigative |
report of the Department of State Police shall mean the
|
Director's final transmittal letter. The Department of Human |
Services shall also make available a
copy of the results of |
disciplinary proceedings of employees involved in
incidents of |
abuse or neglect to the Directors. All identifiable
information |
in reports provided shall not be further disclosed except as
|
|
provided by the Mental Health and Developmental Disabilities
|
Confidentiality Act. Nothing in this Section is intended to |
limit or
construe the power or authority granted to the agency |
designated by the
Governor pursuant to the Protection and |
Advocacy for Persons with Developmental Disabilities Act, |
pursuant to any other State or federal statute.
|
With respect to investigations of reported resident abuse |
or neglect, the
Department shall effect with appropriate law |
enforcement agencies formal
agreements concerning methods and |
procedures for the conduct of investigations
into the criminal |
histories of any administrator, staff assistant or employee
of |
the nursing home or other person responsible for the residents |
care,
as well as for other residents in the nursing home who |
may be in a position
to abuse, neglect or exploit the patient. |
Pursuant to the formal agreements
entered into with appropriate |
law enforcement agencies, the Department may
request |
information with respect to whether the person or persons set |
forth
in this paragraph have ever been charged with a crime and |
if so, the
disposition of those charges. Unless the criminal |
histories of the
subjects involved crimes of violence or |
resident abuse or neglect, the
Department shall be entitled |
only to information limited in scope to
charges and their |
dispositions. In cases where prior crimes of violence or
|
resident abuse or neglect are involved, a more detailed report |
can be made
available to authorized representatives of the |
Department, pursuant to the
agreements entered into with |
|
appropriate law enforcement agencies. Any
criminal charges and |
their disposition information obtained by the
Department shall |
be confidential and may not be transmitted outside the
|
Department, except as required herein, to authorized |
representatives or
delegates of the Department, and may not be |
transmitted to anyone within
the Department who is not duly |
authorized to handle resident abuse or
neglect investigations.
|
The Department shall effect formal agreements with |
appropriate law
enforcement agencies in the various counties |
and communities to encourage
cooperation and coordination in |
the handling of resident abuse or neglect
cases pursuant to |
this Act. The Department shall adopt and implement
methods and |
procedures to promote statewide uniformity in the handling of
|
reports of abuse and neglect under this Act, and those methods |
and
procedures shall be adhered to by personnel of the |
Department involved in
such investigations and reporting. The |
Department shall also make
information required by this Act |
available to authorized personnel within
the Department, as |
well as its authorized representatives.
|
The Department shall keep a continuing record of all |
reports made
pursuant to this Act, including indications of the |
final determination of
any investigation and the final |
disposition of all reports.
|
The Department shall report annually to the General |
Assembly on the
incidence of abuse and neglect of long term |
care facility residents, with
special attention to residents |
|
who are persons with mental disabilities. The report shall
|
include but not be limited to data on the number and source of |
reports of
suspected abuse or neglect filed under this Act, the |
nature of any injuries
to residents, the final determination of |
investigations, the type and
number of cases where abuse or |
neglect is determined to exist, and the
final disposition of |
cases.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-9-15.)
|
Section 280. The Nursing Home Care Act is amended by |
changing Sections 1-113, 2-201.5, and 3-702 as follows:
|
(210 ILCS 45/1-113) (from Ch. 111 1/2, par. 4151-113)
|
Sec. 1-113. "Facility" or "long-term care facility" means a |
private home,
institution, building, residence, or any other |
place, whether operated for
profit or not, or a county home for |
the infirm and chronically ill operated
pursuant to Division |
5-21 or 5-22 of the Counties Code, or any similar
institution |
operated by a political subdivision of the State of Illinois, |
which
provides, through its ownership or management, personal |
care, sheltered care or
nursing for 3 or more persons, not |
related to the applicant or owner by blood
or marriage. It |
includes skilled nursing facilities and intermediate care
|
facilities as those terms are defined in Title XVIII and Title |
XIX of the federal
Federal Social Security Act.
It also |
|
includes homes, institutions, or
other places operated by or |
under the authority of the Illinois Department of
Veterans' |
Affairs.
|
"Facility" does not include the following:
|
(1) A home, institution, or other place operated by the |
federal government
or agency thereof, or by the State of |
Illinois, other than homes,
institutions, or other places |
operated by or under the authority of the
Illinois |
Department of Veterans' Affairs;
|
(2) A hospital, sanitarium, or other institution whose |
principal activity
or business is the diagnosis, care, and |
treatment of human illness through
the maintenance and |
operation as organized facilities therefor, which is
|
required to be licensed under the Hospital Licensing Act;
|
(3) Any "facility for child care" as defined in the |
Child Care Act of
1969;
|
(4) Any "Community Living Facility" as defined in the |
Community Living
Facilities Licensing Act;
|
(5) Any "community residential alternative" as defined
|
in the Community Residential Alternatives Licensing Act;
|
(6) Any nursing home or sanatorium operated solely by |
and for persons
who rely exclusively upon treatment by |
spiritual means through prayer, in
accordance with the |
creed or tenets of any well-recognized church or
religious |
denomination. However, such nursing home or sanatorium |
shall
comply with all local laws and rules relating to |
|
sanitation and safety;
|
(7) Any facility licensed by the Department of Human |
Services as a
community-integrated living arrangement as
|
defined in the Community-Integrated Living Arrangements |
Licensure and
Certification Act;
|
(8) Any "Supportive Residence" licensed under the |
Supportive
Residences Licensing Act;
|
(9) Any "supportive living facility" in good standing |
with the program established under Section 5-5.01a of the |
Illinois Public Aid Code, except only for purposes of the |
employment of persons in accordance with Section 3-206.01;
|
(10) Any assisted living or shared housing |
establishment licensed under
the Assisted Living and |
Shared Housing Act, except only for purposes of the |
employment of persons in accordance with Section 3-206.01;
|
(11) An Alzheimer's disease management center |
alternative health care
model licensed under the |
Alternative Health Care Delivery Act;
|
(12) A facility licensed under the ID/DD Community Care |
Act; |
(13) A facility licensed under the Specialized Mental |
Health Rehabilitation Act of 2013; or |
(14) A facility licensed under the MC/DD Act ; or . |
(15) (14) A medical foster home, as defined in 38 CFR |
17.73, that is under the oversight of the United States |
Department of Veterans Affairs. |
|
(Source: P.A. 98-104, eff. 7-22-13; 99-180, eff. 7-29-15; |
99-376, eff. 1-1-16; revised 10-16-15.)
|
(210 ILCS 45/2-201.5) |
Sec. 2-201.5. Screening prior to admission. |
(a) All persons age 18 or older seeking admission to a |
nursing
facility must be screened to
determine the need for |
nursing facility services prior to being admitted,
regardless |
of income, assets, or funding source. Screening for nursing |
facility services shall be administered
through procedures |
established by administrative rule. Screening may be done
by |
agencies other than the Department as established by |
administrative rule.
This Section applies on and after July 1, |
1996. No later than October 1, 2010, the Department of |
Healthcare and Family Services, in collaboration with the |
Department on Aging, the Department of Human Services, and the |
Department of Public Health, shall file administrative rules |
providing for the gathering, during the screening process, of |
information relevant to determining each person's potential |
for placing other residents, employees, and visitors at risk of |
harm. |
(a-1) Any screening performed pursuant to subsection (a) of
|
this Section shall include a determination of whether any
|
person is being considered for admission to a nursing facility |
due to a
need for mental health services. For a person who |
needs
mental health services, the screening shall
also include |
|
an evaluation of whether there is permanent supportive housing, |
or an array of
community mental health services, including but |
not limited to
supported housing, assertive community |
treatment, and peer support services, that would enable the |
person to live in the community. The person shall be told about |
the existence of any such services that would enable the person |
to live safely and humanely and about available appropriate |
nursing home services that would enable the person to live |
safely and humanely, and the person shall be given the |
assistance necessary to avail himself or herself of any |
available services. |
(a-2) Pre-screening for persons with a serious mental |
illness shall be performed by a psychiatrist, a psychologist, a |
registered nurse certified in psychiatric nursing, a licensed |
clinical professional counselor, or a licensed clinical social |
worker,
who is competent to (i) perform a clinical assessment |
of the individual, (ii) certify a diagnosis, (iii) make a
|
determination about the individual's current need for |
treatment, including substance abuse treatment, and recommend |
specific treatment, and (iv) determine whether a facility or a |
community-based program
is able to meet the needs of the |
individual. |
For any person entering a nursing facility, the |
pre-screening agent shall make specific recommendations about |
what care and services the individual needs to receive, |
beginning at admission, to attain or maintain the individual's |
|
highest level of independent functioning and to live in the |
most integrated setting appropriate for his or her physical and |
personal care and developmental and mental health needs. These |
recommendations shall be revised as appropriate by the |
pre-screening or re-screening agent based on the results of |
resident review and in response to changes in the resident's |
wishes, needs, and interest in transition. |
Upon the person entering the nursing facility, the |
Department of Human Services or its designee shall assist the |
person in establishing a relationship with a community mental |
health agency or other appropriate agencies in order to (i) |
promote the person's transition to independent living and (ii) |
support the person's progress in meeting individual goals. |
(a-3) The Department of Human Services, by rule, shall |
provide for a prohibition on conflicts of interest for |
pre-admission screeners. The rule shall provide for waiver of |
those conflicts by the Department of Human Services if the |
Department of Human Services determines that a scarcity of |
qualified pre-admission screeners exists in a given community |
and that, absent a waiver of conflicts, an insufficient number |
of pre-admission screeners would be available. If a conflict is |
waived, the pre-admission screener shall disclose the conflict |
of interest to the screened individual in the manner provided |
for by rule of the Department of Human Services. For the |
purposes of this subsection, a "conflict of interest" includes, |
but is not limited to, the existence of a professional or |
|
financial relationship between (i) a PAS-MH corporate or a |
PAS-MH agent and (ii) a community provider or long-term care |
facility. |
(b) In addition to the screening required by subsection |
(a), a facility, except for those licensed under the MC/DD Act, |
shall, within 24 hours after admission, request a criminal |
history background check pursuant to the Illinois Uniform |
Conviction Information Act for all persons age 18 or older |
seeking admission to the facility, unless (i) a background |
check was initiated by a hospital pursuant to subsection (d) of |
Section 6.09 of the Hospital Licensing Act or a pre-admission |
background check was conducted by the Department of Veterans' |
Affairs 30 days prior to admittance into an Illinois Veterans |
Home; (ii) the transferring resident is immobile; or (iii) the |
transferring resident is moving into hospice. The exemption |
provided in item (ii) or (iii) of this subsection (b) shall |
apply only if a background check was completed by the facility |
the resident resided at prior to seeking admission to
the |
facility and the resident was transferred to the facility
with |
no time passing during which the resident was not
|
institutionalized. If item (ii) or (iii) of this subsection (b) |
applies,
the prior facility shall provide a copy of its |
background check
of the resident and all supporting |
documentation, including,
when applicable, the criminal |
history report and the security
assessment, to the facility to |
which the resident is being
transferred. Background checks |
|
conducted pursuant to this Section shall be based on the |
resident's name, date of birth, and other identifiers as |
required by the Department of State Police. If the results of |
the background check are inconclusive, the facility shall |
initiate a fingerprint-based check, unless the fingerprint |
check is waived by the Director of Public Health based on |
verification by the facility that the resident is completely |
immobile or that the resident meets other criteria related to |
the resident's health or lack of potential risk which may be |
established by Departmental rule. A waiver issued pursuant to |
this Section shall be valid only while the resident is immobile |
or while the criteria supporting the waiver exist. The facility |
shall provide for or arrange for any required fingerprint-based |
checks to be taken on the premises of the facility. If a |
fingerprint-based check is required, the facility shall |
arrange for it to be conducted in a manner that is respectful |
of the resident's dignity and that minimizes any emotional or |
physical hardship to the resident. |
(c) If the results of a resident's criminal history |
background check reveal that the resident is an identified |
offender as defined in Section 1-114.01, the facility shall do |
the following: |
(1) Immediately notify the Department of State Police, |
in the form and manner required by the Department of State |
Police, in collaboration with the Department of Public |
Health, that the resident is an identified offender. |
|
(2) Within 72 hours, arrange for a fingerprint-based |
criminal history record inquiry to be requested on the |
identified offender resident. The inquiry shall be based on |
the subject's name, sex, race, date of birth, fingerprint |
images, and other identifiers required by the Department of |
State Police. The inquiry shall be processed through the |
files of the Department of State Police and the Federal |
Bureau of Investigation to locate any criminal history |
record information that may exist regarding the subject. |
The Federal Bureau of Investigation shall furnish to the |
Department of State Police,
pursuant to an inquiry under |
this paragraph (2),
any criminal history record |
information contained in its
files. |
The facility shall comply with all applicable provisions |
contained in the Illinois Uniform Conviction Information Act. |
All name-based and fingerprint-based criminal history |
record inquiries shall be submitted to the Department of State |
Police electronically in the form and manner prescribed by the |
Department of State Police. The Department of State Police may |
charge the facility a fee for processing name-based and |
fingerprint-based criminal history record inquiries. The fee |
shall be deposited into the State Police Services Fund. The fee |
shall not exceed the actual cost of processing the inquiry. |
(d) (Blank).
|
(e) The Department shall develop and maintain a |
de-identified database of residents who have injured facility |
|
staff, facility visitors, or other residents, and the attendant |
circumstances, solely for the purposes of evaluating and |
improving resident pre-screening and assessment procedures |
(including the Criminal History Report prepared under Section |
2-201.6) and the adequacy of Department requirements |
concerning the provision of care and services to residents. A |
resident shall not be listed in the database until a Department |
survey confirms the accuracy of the listing. The names of |
persons listed in the database and information that would allow |
them to be individually identified shall not be made public. |
Neither the Department nor any other agency of State government |
may use information in the database to take any action against |
any individual, licensee, or other entity, unless the |
Department or agency receives the information independent of |
this subsection (e). All information
collected, maintained, or |
developed under the authority of this subsection (e) for the |
purposes of the database maintained under this subsection (e) |
shall be treated in the same manner as information that is |
subject to Part 21 of Article VIII of the Code of Civil |
Procedure. |
(Source: P.A. 99-180, eff. 7-29-15; 99-314, eff. 8-7-15; |
99-453, eff. 8-24-15; revised 10-20-15.)
|
(210 ILCS 45/3-702) (from Ch. 111 1/2, par. 4153-702)
|
Sec. 3-702.
(a) A person who believes that this Act or a |
rule promulgated
under this Act may have been violated may |
|
request an investigation. The
request may be submitted to the |
Department in writing, by telephone, by electronic means, or by
|
personal visit. An oral complaint shall be reduced to writing |
by the
Department. The Department shall make available, through |
its website and upon request, information regarding the oral |
and phone intake processes and the list of questions that will |
be asked of the complainant. The Department shall request |
information identifying the
complainant, including the name, |
address and telephone number, to help
enable appropriate |
follow-up. The Department shall act on such complaints
via |
on-site visits or other methods deemed appropriate to handle |
the
complaints with or without such identifying information, as |
otherwise
provided under this Section. The complainant shall be |
informed that
compliance with such request is not required to |
satisfy the procedures for
filing a complaint under this Act. |
The Department must notify complainants that complaints with |
less information provided are far more difficult to respond to |
and investigate.
|
(b) The substance of the complaint shall be provided in |
writing to the
licensee, owner , or administrator no earlier |
than at the commencement of an
on-site inspection of the |
facility which takes place pursuant to the complaint.
|
(c) The Department shall not disclose the name of the |
complainant unless
the complainant consents in writing to the |
disclosure or the investigation
results in a judicial |
proceeding, or unless disclosure is essential to the
|
|
investigation. The complainant shall be given the opportunity |
to withdraw
the complaint before disclosure. Upon the request |
of the complainant, the
Department may permit the complainant |
or a representative of the complainant
to accompany the person |
making the on-site inspection of the facility.
|
(d) Upon receipt of a complaint, the Department shall |
determine whether this
Act or a rule promulgated under this Act |
has been or is being violated. The
Department shall investigate |
all complaints alleging abuse or neglect within
7 days after |
the receipt of the complaint except that complaints of abuse
or |
neglect which indicate that a resident's life or safety is in |
imminent
danger shall be investigated within 24 hours after |
receipt of the
complaint. All other complaints shall be |
investigated within 30 days after
the receipt of the complaint. |
The Department employees investigating a
complaint shall |
conduct a brief, informal exit conference with the facility
to |
alert its administration of any suspected serious deficiency |
that poses
a direct threat to the health, safety or welfare of |
a resident to enable an
immediate correction for the |
alleviation or elimination of such threat.
Such information and |
findings discussed in the brief exit conference shall
become a |
part of the investigating record but shall not in any way
|
constitute an official or final notice of violation as provided |
under
Section 3-301. All complaints shall be classified as
"an |
invalid report", "a valid report", or "an undetermined
report". |
For any complaint classified as "a valid report", the
|
|
Department must determine within 30 working days
if any rule or |
provision of this Act has been or is being violated.
|
(d-1) The Department shall, whenever possible, combine an |
on-site
investigation of a complaint in a facility with other |
inspections in order
to avoid duplication of inspections.
|
(e) In all cases, the Department shall inform the |
complainant of its
findings within 10 days of its determination |
unless otherwise indicated
by the complainant, and the |
complainant may direct the Department to
send a copy of such |
findings to another person. The Department's findings
may |
include comments or documentation provided by either the |
complainant
or the licensee pertaining to the complaint. The |
Department shall also
notify the facility of such findings |
within 10 days of the determination,
but the name of the |
complainant or residents shall not be disclosed in this
notice |
to the facility. The notice of such
findings shall include a |
copy of the written determination; the
correction order, if |
any; the warning notice, if any; the inspection
report; or the |
State licensure form on which the violation is listed.
|
(f) A written determination, correction order, or warning |
notice
concerning a complaint, together with the facility's |
response, shall be
available for public inspection, but the |
name of the complainant or
resident shall not be disclosed |
without his consent.
|
(g) A complainant who is dissatisfied with the |
determination or
investigation by the Department may request a |
|
hearing under Section
3-703. The facility shall be given notice |
of any such
hearing and may participate in the hearing as a |
party. If a facility
requests a hearing under Section 3-703 |
which
concerns a matter covered by a complaint, the complainant |
shall be given
notice and may participate in the hearing as a |
party. A request
for a hearing by either a complainant or a |
facility shall be
submitted in writing to the Department within |
30 days after the mailing
of the Department's findings as |
described in subsection (e) of this
Section. Upon receipt of |
the request the Department shall conduct a hearing
as provided |
under Section 3-703.
|
(g-5) The Department shall conduct an annual review and |
make a report concerning the complaint process that includes |
the number of complaints received, the breakdown of anonymous |
and non-anonymous complaints and whether the complaints were |
substantiated or not, the total number of substantiated |
complaints, and any other complaint information requested by |
the Long-Term Care Facility Advisory Board created under |
Section 2-204 of this Act or the Illinois Long-Term Care |
Council created under Section 4.04a of the Illinois Act on the |
Aging. This report shall be provided to the Long-Term Care |
Facility Advisory Board and the Illinois Long-Term Care |
Council. The Long-Term Care Facility Advisory Board and the |
Illinois Long-Term Care Council shall review the report and |
suggest any changes deemed necessary to the Department for |
review and action, including how to investigate and |
|
substantiate anonymous complaints. |
(h) Any person who knowingly transmits a false report to |
the
Department commits the offense of disorderly conduct under |
subsection
(a)(8) of Section 26-1 of the Criminal Code of 2012.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-988, eff. 8-18-14; |
revised 10-9-15.)
|
Section 285. The MC/DD Act is amended by changing Section |
2-104.2 as follows:
|
(210 ILCS 46/2-104.2)
|
Sec. 2-104.2. Do Not Resuscitate Orders. Every facility |
licensed under this Act shall establish a policy for the |
implementation of physician orders limiting resuscitation such |
as those commonly referred to as "Do Not Resuscitate" orders. |
This policy may only prescribe the format, method of |
documentation and duration of any physician orders limiting |
resuscitation. Any orders under this policy shall be honored by |
the facility. The Department of Public Health Uniform POLST |
DNR/POLST form or a copy of that form or a previous version of |
the uniform form shall be honored by the facility.
|
(Source: P.A. 99-180, eff. 7-29-15; revised 10-13-15.)
|
Section 290. The ID/DD Community Care Act is amended by |
changing Sections 1-101.05 and 1-113 as follows:
|
|
(210 ILCS 47/1-101.05)
|
Sec. 1-101.05. Prior law. |
(a) This Act provides for licensure of intermediate
care |
facilities for persons with developmental disabilities under |
this Act instead of under the Nursing Home Care Act. On and |
after July 1, 2010 ( the effective date of this Act ) , those |
facilities shall be governed by this Act instead of the Nursing |
Home Care Act. |
On and after July 29, 2015 ( the effective date of Public |
Act 99-180) this amendatory Act of the 99th General Assembly , |
long-term care for under age 22 facilities shall be known as |
medically complex for the developmentally disabled facilities |
and governed by the MC/DD Act instead of this Act. |
(b) If any other Act of the General Assembly changes, adds, |
or repeals a provision of the Nursing Home Care Act that is the |
same as or substantially similar to a provision of this Act, |
then that change, addition, or repeal in the Nursing Home Care |
Act shall be construed together with this Act until July 1, |
2010 and not thereafter. |
(c) Nothing in this Act affects the validity or effect of |
any finding, decision, or action made or taken by the |
Department or the Director under the Nursing Home Care Act |
before July 1, 2010 ( the effective date of this Act ) with |
respect to a facility subject to licensure under this Act. That |
finding, decision, or action shall continue to apply to the |
facility on and after July 1, 2010 ( the effective date of this |
|
Act ) . Any finding, decision, or action with respect to the |
facility made or taken on or after July 1, 2010 ( the effective |
date of this Act ) shall be made or taken as provided in this |
Act.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-180, eff. 7-29-15; |
revised 10-14-15.)
|
(210 ILCS 47/1-113)
|
Sec. 1-113. Facility. "ID/DD facility" or "facility" means |
an intermediate care facility for persons with developmental |
disabilities, whether operated for profit or not, which |
provides, through its ownership or management, personal care or |
nursing for 3 or more persons not related to the applicant or |
owner by blood or marriage. It includes intermediate care |
facilities for the intellectually disabled as the term is |
defined in Title XVIII and Title XIX of the federal Social |
Security Act. |
"Facility" does not include the following: |
(1) A home, institution, or other place operated by the |
federal government or agency thereof, or by the State of |
Illinois, other than homes, institutions, or other places |
operated by or under the authority of the Illinois |
Department of Veterans' Affairs; |
(2) A hospital, sanitarium, or other institution
whose |
principal activity or business is the diagnosis, care, and |
treatment of human illness through the maintenance and |
|
operation as organized facilities therefore, which is |
required to be licensed under the Hospital Licensing Act; |
(3) Any "facility for child care" as defined in the
|
Child Care Act of 1969; |
(4) Any "community living facility" as defined in the
|
Community Living Facilities Licensing Act; |
(5) Any "community residential alternative" as
defined |
in the Community Residential Alternatives Licensing Act; |
(6) Any nursing home or sanatorium operated solely by
|
and for persons who rely exclusively upon treatment by |
spiritual means through prayer, in accordance with the |
creed or tenets of any well recognized church or religious |
denomination. However, such nursing home or sanatorium |
shall comply with all local laws and rules relating to |
sanitation and safety; |
(7) Any facility licensed by the Department of Human
|
Services as a community-integrated living arrangement as |
defined in the Community-Integrated Living Arrangements |
Licensure and Certification Act; |
(8) Any "supportive residence" licensed under the
|
Supportive Residences Licensing Act; |
(9) Any "supportive living facility" in good standing
|
with the program established under Section 5-5.01a of the |
Illinois Public Aid Code, except only for purposes of the
|
employment of persons in accordance with Section 3-206.01; |
(10) Any assisted living or shared housing
|
|
establishment licensed under the Assisted Living and |
Shared Housing Act, except only for purposes of the
|
employment of persons in accordance with Section 3-206.01; |
(11) An Alzheimer's disease management center
|
alternative health care model licensed under the |
Alternative Health Care Delivery Act; |
(12) A home, institution, or other place operated by or
|
under the authority of the Illinois Department of Veterans' |
Affairs; or
|
(13) Any MC/DD facility licensed under the MC/DD Act. |
(Source: P.A. 99-143, eff. 7-27-15; 99-180, eff. 7-29-15; |
revised 10-14-15.)
|
Section 295. The Hospital Licensing Act is amended by |
changing Sections 6.09, 10.2, and 10.7 as follows:
|
(210 ILCS 85/6.09) (from Ch. 111 1/2, par. 147.09) |
Sec. 6.09. (a) In order to facilitate the orderly |
transition of aged
patients and patients with disabilities from |
hospitals to post-hospital care, whenever a
patient who |
qualifies for the
federal Medicare program is hospitalized, the |
patient shall be notified
of discharge at least
24 hours prior |
to discharge from
the hospital. With regard to pending |
discharges to a skilled nursing facility, the hospital must |
notify the case coordination unit, as defined in 89 Ill. Adm. |
Code 240.260, at least 24 hours prior to discharge. When the |
|
assessment is completed in the hospital, the case coordination |
unit shall provide the discharge planner with a copy of the |
prescreening information and accompanying materials, which the |
discharge planner shall transmit when the patient is discharged |
to a skilled nursing facility. If home health services are |
ordered, the hospital must inform its designated case |
coordination unit, as defined in 89 Ill. Adm. Code 240.260, of |
the pending discharge and must provide the patient with the |
case coordination unit's telephone number and other contact |
information.
|
(b) Every hospital shall develop procedures for a physician |
with medical
staff privileges at the hospital or any |
appropriate medical staff member to
provide the discharge |
notice prescribed in subsection (a) of this Section. The |
procedures must include prohibitions against discharging or |
referring a patient to any of the following if unlicensed, |
uncertified, or unregistered: (i) a board and care facility, as |
defined in the Board and Care Home Act; (ii) an assisted living |
and shared housing establishment, as defined in the Assisted |
Living and Shared Housing Act; (iii) a facility licensed under |
the Nursing Home Care Act, the Specialized Mental Health |
Rehabilitation Act of 2013, the ID/DD Community Care Act, or |
the MC/DD Act; (iv) a supportive living facility, as defined in |
Section 5-5.01a of the Illinois Public Aid Code; or (v) a |
free-standing hospice facility licensed under the Hospice |
Program Licensing Act if licensure, certification, or |
|
registration is required. The Department of Public Health shall |
annually provide hospitals with a list of licensed, certified, |
or registered board and care facilities, assisted living and |
shared housing establishments, nursing homes, supportive |
living facilities, facilities licensed under the ID/DD |
Community Care Act, the MC/DD Act, or the Specialized Mental |
Health Rehabilitation Act of 2013, and hospice facilities. |
Reliance upon this list by a hospital shall satisfy compliance |
with this requirement.
The procedure may also include a waiver |
for any case in which a discharge
notice is not feasible due to |
a short length of stay in the hospital by the patient,
or for |
any case in which the patient voluntarily desires to leave the
|
hospital before the expiration of the
24 hour period. |
(c) At least
24 hours prior to discharge from the hospital, |
the
patient shall receive written information on the patient's |
right to appeal the
discharge pursuant to the
federal Medicare |
program, including the steps to follow to appeal
the discharge |
and the appropriate telephone number to call in case the
|
patient intends to appeal the discharge. |
(d) Before transfer of a patient to a long term care |
facility licensed under the Nursing Home Care Act where elderly |
persons reside, a hospital shall as soon as practicable |
initiate a name-based criminal history background check by |
electronic submission to the Department of State Police for all |
persons between the ages of 18 and 70 years; provided, however, |
that a hospital shall be required to initiate such a background |
|
check only with respect to patients who: |
(1) are transferring to a long term care facility for |
the first time; |
(2) have been in the hospital more than 5 days; |
(3) are reasonably expected to remain at the long term |
care facility for more than 30 days; |
(4) have a known history of serious mental illness or |
substance abuse; and |
(5) are independently ambulatory or mobile for more |
than a temporary period of time. |
A hospital may also request a criminal history background |
check for a patient who does not meet any of the criteria set |
forth in items (1) through (5). |
A hospital shall notify a long term care facility if the |
hospital has initiated a criminal history background check on a |
patient being discharged to that facility. In all circumstances |
in which the hospital is required by this subsection to |
initiate the criminal history background check, the transfer to |
the long term care facility may proceed regardless of the |
availability of criminal history results. Upon receipt of the |
results, the hospital shall promptly forward the results to the |
appropriate long term care facility. If the results of the |
background check are inconclusive, the hospital shall have no |
additional duty or obligation to seek additional information |
from, or about, the patient. |
(Source: P.A. 98-104, eff. 7-22-13; 98-651, eff. 6-16-14; |
|
99-143, eff. 7-27-15; 99-180, eff. 7-29-15; revised 10-14-15.)
|
(210 ILCS 85/10.2) (from Ch. 111 1/2, par. 151.2)
|
Sec. 10.2.
Because the candid and conscientious evaluation |
of
clinical practices is essential to the provision of adequate |
hospital care,
it is the policy of this State to encourage peer |
review by health care
providers. Therefore, no hospital and no |
individual who is a member, agent, or
employee of a hospital, |
hospital medical staff, hospital administrative
staff, or |
hospital governing board shall be liable for civil damages as a
|
result of the acts, omissions, decisions, or any other conduct, |
except those
involving wilful or wanton misconduct, of a |
medical
utilization committee, medical review committee, |
patient care audit
committee, medical care evaluation |
committee, quality review committee,
credential committee, |
peer review committee, or any other committee or
individual |
whose
purpose, directly or indirectly, is internal quality |
control or medical
study to reduce morbidity or mortality, or |
for improving patient care
within a hospital, or the improving |
or benefiting of patient care and
treatment, whether within a |
hospital or not, or for the purpose of
professional discipline |
including institution of a summary suspension
in accordance |
with Section 10.4 of this Act and the medical staff bylaws.
|
Nothing in this Section shall relieve any
individual or |
hospital from liability arising from treatment of a patient. |
Any
individual or hospital from liability arising from |
|
treatment of a patient.
For the purposes of this Section, |
"wilful and wanton misconduct" means a
course of action that |
shows actual or deliberate intention to harm or that, if
not |
intentional, shows an utter indifference to or conscious |
disregard for a
person's own safety and the safety of others.
|
(Source: P.A. 91-448, eff. 8-6-99; revised 10-9-15.)
|
(210 ILCS 85/10.7)
|
Sec. 10.7. Clinical privileges; advanced practice nurses.
|
All hospitals licensed under this Act shall comply with the |
following
requirements:
|
(1) No hospital policy, rule, regulation, or practice
|
shall be inconsistent
with the provision of adequate |
collaboration and consultation in accordance with Section |
54.5 of the
Medical Practice Act of 1987.
|
(2) Operative surgical procedures shall be performed |
only by a physician
licensed to practice medicine in all |
its branches under the Medical Practice
Act of 1987, a |
dentist licensed under the Illinois Dental Practice Act, or |
a podiatric physician
licensed under the Podiatric Medical |
Practice Act of 1987,
with medical staff membership and |
surgical clinical privileges granted at the
hospital. A |
licensed physician, dentist, or podiatric physician may be |
assisted by a
physician licensed to practice medicine in |
all its branches, dentist, dental
assistant, podiatric |
physician, licensed advanced practice nurse, licensed |
|
physician
assistant, licensed registered
nurse, licensed |
practical nurse, surgical
assistant, surgical technician, |
or other individuals granted clinical
privileges to assist |
in surgery
at the hospital.
Payment for services rendered |
by an assistant in surgery who is not a
hospital employee |
shall be paid
at the appropriate non-physician modifier |
rate if the payor would have
made payment had the same |
services been provided by a physician.
|
(2.5) A registered nurse licensed under the Nurse |
Practice Act and qualified by training and experience in |
operating room nursing shall be present in the operating |
room and function as the circulating nurse during all |
invasive or operative procedures. For purposes of this |
paragraph (2.5), "circulating nurse" means a registered |
nurse who is responsible for coordinating all nursing care, |
patient safety needs, and the needs of the surgical team in |
the operating room during an invasive or operative |
procedure.
|
(3) An advanced practice nurse is not required to |
possess prescriptive authority or a written collaborative |
agreement meeting the requirements of the Nurse Practice |
Act to provide advanced practice nursing services in a |
hospital. An advanced practice nurse must possess clinical |
privileges recommended by the medical staff and granted by |
the hospital in order to provide services. Individual |
advanced practice nurses may also be granted clinical |
|
privileges to order, select, and administer medications, |
including controlled substances, to provide delineated |
care. The attending physician must determine the advanced |
advance practice nurse's role in providing care for his or |
her patients, except as otherwise provided in medical staff |
bylaws. The medical staff shall periodically review the |
services of advanced practice nurses granted privileges. |
This review shall be conducted in accordance with item (2) |
of subsection (a) of Section 10.8 of this Act for advanced |
practice nurses employed by the hospital.
|
(4) The anesthesia service shall be under the direction |
of a physician
licensed to practice
medicine in all its |
branches who has had specialized preparation or
experience |
in the area
or who has completed a residency in |
anesthesiology. An anesthesiologist, Board
certified or |
Board eligible, is recommended. Anesthesia services may
|
only be administered pursuant to the order of a physician |
licensed to practice
medicine in all its branches, licensed |
dentist, or licensed podiatric physician.
|
(A) The individuals who, with clinical privileges |
granted at the hospital,
may administer anesthesia |
services are limited
to the following:
|
(i) an anesthesiologist; or
|
(ii) a physician licensed to practice medicine |
in all its branches; or
|
(iii) a dentist with authority to administer |
|
anesthesia under Section
8.1 of
the Illinois |
Dental Practice Act; or
|
(iv) a licensed certified registered nurse |
anesthetist; or |
(v) a podiatric physician licensed under the |
Podiatric Medical Practice Act of 1987.
|
(B) For anesthesia services, an anesthesiologist
|
shall
participate through discussion of and agreement |
with the anesthesia plan and
shall remain physically |
present and be
available on
the premises during the |
delivery of anesthesia services for
diagnosis, |
consultation, and treatment of emergency medical |
conditions.
In the absence
of 24-hour availability of
|
anesthesiologists with medical staff privileges,
an |
alternate
policy (requiring participation, presence, |
and availability of a physician
licensed to practice
|
medicine in all its branches) shall be developed by the |
medical staff and
licensed
hospital in consultation |
with the anesthesia service.
|
(C) A certified registered nurse anesthetist is |
not required to possess
prescriptive authority or a |
written collaborative agreement meeting
the |
requirements of Section 65-35 of the Nurse Practice Act
|
to provide anesthesia services
ordered by a licensed |
physician, dentist, or podiatric physician. Licensed |
certified
registered nurse anesthetists are authorized |
|
to
select, order, and
administer drugs and apply the |
appropriate medical devices in the provision of
|
anesthesia
services under the anesthesia plan agreed |
with by the
anesthesiologist or, in the absence of an |
available anesthesiologist with
clinical privileges,
|
agreed with by the
operating physician, operating |
dentist, or operating podiatric physician in |
accordance
with the hospital's alternative policy.
|
(Source: P.A. 98-214, eff. 8-9-13; revised 10-21-15.)
|
Section 300. The Illinois Migrant Labor Camp Law is amended |
by changing Sections 4 and 6 as follows:
|
(210 ILCS 110/4) (from Ch. 111 1/2, par. 185.4)
|
Sec. 4.
Applications for a license to operate or maintain a |
Migrant Labor
Camp or for a renewal thereof shall be made upon |
paper or electronic forms to be furnished by
the Department. |
Such application shall include:
|
(a) The name and address of the applicant or |
applicants. If the
applicant is a partnership, the names |
and addresses of all the partners
shall also be given. If |
the applicant is a corporation, the names and
addresses of |
the principal officers of the corporation shall be given.
|
(b) The approximate legal description and the address |
of the tract of
land upon which the applicant proposes to |
operate and maintain such Migrant
Labor Camp.
|
|
(c) A general plan or sketch of the campsite camp site |
showing the location of
the buildings or facilities |
together with a description of the buildings,
of the water |
supply, of the toilet, bathing , and laundry facilities, and |
of
the fire protection equipment.
|
(d) The date upon which the occupancy and use of the |
Migrant Labor Camp
will commence.
|
The application for the original license or for any renewal |
thereof
shall be accompanied by a fee of $100.
|
Application for the original license or for a renewal of |
the license shall be
filed with the Department at least 10 |
business days prior to the date on
which the occupancy and use |
of such camp is to commence. The camp shall be
ready for |
inspection at least 5 business days prior to the date upon |
which the
occupancy and use of such camp is to commence.
|
(Source: P.A. 97-135, eff. 7-14-11; 98-1034, eff. 8-25-14; |
revised 10-14-15.)
|
(210 ILCS 110/6) (from Ch. 111 1/2, par. 185.6)
|
Sec. 6.
Upon receipt of an application for a license, the |
Department shall
inspect, at its earliest opportunity, the |
campsite camp site and the facilities described in the |
application. If the Department finds that the Migrant Labor
|
Camp described in the application meets and complies with the |
provisions of
this Act and the rules of the Department in |
relation
thereto, the Director shall issue a license to
the |
|
applicant for the operation of the camp.
|
If the application is denied, the Department shall notify |
the applicant
in writing of such denial setting forth the
|
reasons therefor. If the conditions constituting the basis for |
such denial
are remediable, the applicant may correct such |
conditions and notify the
Department in writing indicating |
therein the manner in which such
conditions have been remedied. |
Notifications of corrections shall be
processed in the same |
manner as the original application.
|
(Source: P.A. 97-135, eff. 7-14-11; 98-1034, eff. 8-25-14; |
revised 10-14-15.)
|
Section 305. The Tanning Facility Permit Act is amended by |
changing Section 80 as follows:
|
(210 ILCS 145/80) (from Ch. 111 1/2, par. 8351-80)
|
Sec. 80. Public nuisance.
|
(a) Any tanning facility operating without a valid permit |
or operating
on a revoked permit shall be guilty of committing |
a public nuisance.
|
(b) A person convicted of knowingly maintaining a public |
nuisance
commits a Class A misdemeanor. Each subsequent offense |
under this Section
is a Class 4 felony.
|
(c) The Attorney General of this State or the State's |
States Attorney of the
county wherein the nuisance exists may |
commence an action to abate the
nuisance. The court may without |
|
notice or bond enter a temporary
restraining order or a |
preliminary injunction to enjoin the defendant from
operating |
in violation of this Act.
|
(Source: P.A. 87-636; revised 10-9-15.)
|
Section 310. The Illinois Insurance Code is amended by |
changing Sections 131.4, 143a, 147.1, 356g, 356z.2, 460, |
512.59, 902, and 1202 as follows:
|
(215 ILCS 5/131.4) (from Ch. 73, par. 743.4)
|
Sec. 131.4. Acquisition of control of or merger with |
domestic company. |
(a) No person other than the issuer may make a tender for |
or a request or
invitation for tenders of, or enter into an |
agreement to exchange
securities for, or seek to acquire or |
acquire shareholders' proxies to vote or seek to acquire or |
acquire in the open market, or otherwise, any voting
security |
of a domestic company or acquire policyholders' proxies of a
|
domestic company or any entity that controls a domestic |
company, for consideration if, after the consummation thereof, |
that
person would, directly or indirectly, (or by conversion or |
by exercise of
any right to acquire) be in control of the |
company, and no person may enter
into an agreement to merge or |
consolidate with or otherwise to acquire
control of a domestic |
company, unless the offer, request, invitation, or
agreement is |
conditioned on receiving the approval of the Director based on
|
|
Section 131.8 of this Article
and no such acquisition of |
control or a merger with a domestic
company may be consummated |
unless the person has filed with the Director and has sent to |
the company a statement containing the information required by |
Section 131.5 and the Director has approved the transaction
or |
granted an exemption. Prior to the acquisition,
the Director |
may conclude that a statement need not be filed by the
|
acquiring
party if the acquiring party demonstrates to the
|
satisfaction of the Director that:
|
(1) such transaction will not result in the change of |
control of the
domestic company; or
|
(2) (blank);
|
(3) the acquisition of, or attempt to acquire control |
of, such other
person is subject to requirements in the |
jurisdiction of its domicile which
are substantially |
similar to those contained in this Section and Sections
|
131.5 through 131.12; or
|
(4) the control of the policyholders' proxies is being |
acquired solely
by virtue of the holders official office |
and not as the result of any agreement
or for any |
consideration.
|
The purpose of this Section is to afford to the Director |
the
opportunity to review acquisitions in order to determine |
whether or not the
acquisition would be adverse to the |
interests of the existing and future
policyholders of the |
company.
|
|
(b) For purposes of this Section, any controlling person of |
a domestic company seeking to divest its controlling interest |
in the domestic company in any manner shall file with the |
Director, with a copy to the company, confidential notice of |
its proposed divestiture at least 30 days prior to the |
cessation of control. The Director shall determine those |
instances in which the party or parties seeking to divest or to |
acquire a controlling interest in a company shall be required |
to file for and obtain approval of the transaction. The |
information shall remain confidential until the conclusion of |
the transaction unless the Director, in his or her discretion, |
determines that confidential treatment shall interfere with |
enforcement of this Section. If the statement referred to in |
subsection (a) of this Section is otherwise filed in connection |
with the proposed divestiture divesture or related |
acquisition, this subsection (b) shall not apply. |
(c) For purposes of this Section, a domestic company shall |
include any person controlling a domestic company unless the |
person, as determined by the Director, is either directly or |
through its affiliates primarily engaged in business other than |
the business of insurance. For the purposes of this Section, |
"person" shall not include any securities broker holding, in |
the usual and customary broker's function, less than 20% of the |
voting securities of an insurance company or of any person that |
controls an insurance company. |
(Source: P.A. 98-609, eff. 1-1-14; revised 10-14-15.)
|
|
(215 ILCS 5/143a) (from Ch. 73, par. 755a)
|
Sec. 143a. Uninsured and hit and run motor vehicle |
coverage.
|
(1) No policy insuring against
loss resulting from |
liability imposed by law for bodily injury or death
suffered by |
any person arising out of the ownership, maintenance or use
of |
a motor vehicle that is designed for use on public highways and |
that
is either required to be registered in this State or is |
principally garaged
in this State shall be renewed, delivered, |
or issued for delivery
in this State unless coverage is |
provided therein or
supplemental thereto, in limits for bodily |
injury or death set forth in
Section 7-203 of the Illinois |
Vehicle Code for the
protection of persons insured thereunder |
who are legally entitled to
recover damages from owners or |
operators of uninsured motor vehicles and
hit-and-run motor |
vehicles because of bodily injury, sickness or
disease, |
including death, resulting therefrom. Uninsured motor vehicle
|
coverage does not apply to bodily injury, sickness, disease, or |
death resulting
therefrom, of an insured while occupying a |
motor vehicle owned by, or furnished
or available for the |
regular use of the insured, a resident spouse or resident
|
relative, if that motor vehicle is not described in the policy |
under which a
claim is made or is not a newly acquired or |
replacement motor vehicle covered
under the terms of the |
policy. The limits for any coverage for any vehicle
under the |
|
policy may not be aggregated with the limits for any similar
|
coverage, whether provided by the same insurer or another |
insurer, applying to
other motor vehicles, for purposes of |
determining the total limit of insurance
coverage available for |
bodily injury or death suffered by a person in any one
|
accident. No
policy shall be renewed, delivered, or issued for |
delivery in this
State unless it is provided therein that any |
dispute
with respect to the coverage and the amount of damages |
shall be submitted
for arbitration to the
American Arbitration |
Association and be subject to its rules for the conduct
of |
arbitration hearings
as to all matters except medical opinions. |
As to medical opinions, if the
amount of damages being sought |
is equal to or less than the amount provided for
in Section |
7-203 of the Illinois Vehicle Code, then the current American
|
Arbitration Association Rules shall apply. If the amount being |
sought in an
American Arbitration Association case exceeds that |
amount as set forth in
Section 7-203 of the Illinois Vehicle |
Code, then the Rules of Evidence that
apply in the circuit |
court for placing medical opinions into evidence shall
govern. |
Alternatively, disputes with respect to damages and the |
coverage shall
be
determined in the
following
manner: Upon the |
insured requesting arbitration, each party to the
dispute shall |
select an arbitrator and the 2 arbitrators so named
shall |
select a third arbitrator. If such arbitrators are not selected
|
within 45 days from such request, either party may request that |
the
arbitration be submitted to the American Arbitration |
|
Association.
Any decision made by the arbitrators shall be |
binding for the amount of
damages not exceeding $75,000 for |
bodily injury to or
death of any one person, $150,000 for |
bodily injury to or death of 2 or more
persons in any one motor |
vehicle accident,
or the corresponding policy limits for bodily |
injury or death, whichever is
less.
All 3-person arbitration |
cases proceeding in accordance with any uninsured
motorist
|
coverage conducted in this State in
which the claimant is only |
seeking monetary damages up to the limits
set forth in Section |
7-203 of the Illinois Vehicle Code
shall be subject to the |
following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without foundation |
or other proof:
|
(1) bills, records, and reports of hospitals, |
doctors, dentists,
registered nurses, licensed |
practical nurses, physical therapists, and other
|
healthcare providers;
|
(2) bills for drugs, medical appliances, and |
prostheses;
|
(3) property repair bills or estimates, when |
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
|
(4) a report of the rate of earnings and time lost |
from work or lost
compensation prepared by an employer;
|
(5) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a witness |
that the witness would be allowed to
express if |
testifying in person, if the opinion or statement is |
made by
affidavit or by
certification as provided in |
Section 1-109 of the Code of Civil Procedure;
|
(6) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as the |
case may be, for the issuance of a
subpoena directed to the |
author or maker or custodian of the document that is
the |
subject of the notice, requiring the person subpoenaed to |
produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
in |
substantially similar form and served by notice as provided |
by Illinois
Supreme Court Rule 204(a)(4). Any such subpoena |
shall be returnable not
less than 5 days before the |
arbitration hearing.
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
|
expert or opinion witness at the hearing may do so provided |
a written notice
of that
intention is given to every other |
party not less than 60 days prior to the date
of hearing, |
accompanied by a statement containing the identity of the
|
witness, his or her qualifications, the subject matter, the |
basis of the
witness's conclusions,
and his or her opinion.
|
(C) Any other party may subpoena the author or maker of |
a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that the |
appearance is set before an arbitration panel and to give |
the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(2) No policy insuring
against loss resulting from |
liability imposed by law for property damage
arising out of the |
ownership, maintenance, or use of a motor vehicle shall
be |
renewed, delivered, or issued for delivery in this State with |
respect
to any private passenger or recreational motor vehicle |
that is
designed for use on public highways and that is either |
required to be
registered in this State or is principally |
garaged in this State and
is not covered by collision insurance |
|
under the provisions of such
policy, unless coverage is made |
available in the amount of the actual
cash value of the motor |
vehicle described in the policy or $15,000
whichever is less, |
subject to a $250 deductible, for the protection of
persons |
insured thereunder who are legally entitled to recover damages |
from
owners or operators of uninsured motor vehicles and |
hit-and-run motor
vehicles because of property damage to the |
motor vehicle described in the
policy.
|
There shall be no liability imposed under the uninsured |
motorist
property damage coverage required by this subsection |
if the owner or
operator of the at-fault uninsured motor |
vehicle or hit-and-run motor
vehicle cannot be identified. This |
subsection shall not apply to any
policy which does not provide |
primary motor vehicle liability insurance for
liabilities |
arising from the maintenance, operation, or use of a
|
specifically insured motor vehicle.
|
Each insurance company providing motor vehicle property |
damage liability
insurance shall advise applicants of the |
availability of uninsured motor
vehicle property damage |
coverage, the premium therefor, and provide a brief
description |
of the coverage. That information
need be given only once and |
shall not be required in any subsequent renewal,
reinstatement |
or reissuance, substitute, amended, replacement or
|
supplementary policy. No written rejection shall be required, |
and
the absence of a premium payment for uninsured motor |
vehicle property damage
shall constitute conclusive proof that |
|
the applicant or policyholder has
elected not to accept |
uninsured motorist property damage coverage.
|
An insurance company issuing uninsured motor vehicle
|
property damage coverage may provide that:
|
(i) Property damage losses recoverable thereunder |
shall be limited to
damages caused by the actual physical |
contact of an uninsured motor vehicle
with the insured |
motor vehicle.
|
(ii) There shall be no coverage for loss of use of the |
insured motor
vehicle and no coverage for loss or damage to |
personal property located in
the insured motor vehicle.
|
(iii) Any claim submitted shall include the name and |
address of the
owner of the at-fault uninsured motor |
vehicle, or a registration number and
description of the |
vehicle, or any other available information to
establish |
that there is no applicable motor vehicle property damage |
liability
insurance.
|
Any dispute with respect to the coverage and the amount of
|
damages shall be submitted for
arbitration to the American |
Arbitration Association and be subject to its
rules for the |
conduct of arbitration hearings or for determination in
the |
following manner: Upon the insured requesting arbitration, |
each party
to the dispute shall select an arbitrator and the 2 |
arbitrators so named
shall select a third arbitrator. If such |
arbitrators are not selected
within 45 days from such request, |
either party may request that the
arbitration be submitted to |
|
the American Arbitration Association.
Any arbitration |
proceeding under this subsection seeking recovery for
property |
damages shall be
subject to the following rules:
|
(A) If at least 60 days' written
notice of the |
intention to offer the following documents in evidence is |
given
to every other party, accompanied by a copy of the |
document, a party may offer
in evidence, without foundation |
or other proof:
|
(1) property repair bills or estimates, when |
identified and itemized
setting forth the charges for |
labor and material used or proposed for use in
the |
repair of the property;
|
(2) the written opinion of an opinion witness, the |
deposition of a
witness, and the statement of a witness |
that the witness would be allowed to
express if |
testifying in person, if the opinion or statement is |
made by
affidavit or by
certification as provided in |
Section 1-109 of the Code of Civil Procedure;
|
(3) any other document not specifically covered by |
any of the foregoing
provisions that is otherwise |
admissible under the rules of evidence.
|
Any party receiving a notice under this paragraph (A) |
may apply to the
arbitrator or panel of arbitrators, as the |
case may be, for the issuance of a
subpoena directed to the |
author or maker or custodian of the document that is
the |
subject of the notice, requiring the person subpoenaed to |
|
produce copies of
any additional documents as may be |
related to the subject matter of the
document that is the |
subject of the notice. Any such subpoena shall be issued
in |
substantially similar form and served by notice as provided |
by Illinois
Supreme Court Rule 204(a)(4). Any such subpoena |
shall be returnable not
less than 5 days before the |
arbitration hearing.
|
(B) Notwithstanding the provisions of Supreme Court |
Rule 213(g), a party
who proposes to use a written opinion |
of an expert or opinion witness or the
testimony of
an |
expert or opinion witness at the hearing may do so provided |
a written notice
of that
intention is given to every other |
party not less than 60 days prior to the date
of hearing, |
accompanied by a statement containing the identity of the
|
witness, his or her qualifications, the subject matter, the |
basis of the
witness's conclusions,
and his or her opinion.
|
(C) Any other party may subpoena the author or maker of |
a document
admissible under this subsection, at that |
party's expense, and examine the
author
or maker as if |
under cross-examination. The provisions of Section 2-1101 |
of
the
Code of Civil Procedure shall be applicable to |
arbitration hearings, and it
shall be the duty of a party |
requesting the subpoena to modify the form to show
that the |
appearance is set before an arbitration panel and to give |
the time and
place set for the hearing.
|
(D) The provisions of Section 2-1102 of the Code of |
|
Civil Procedure shall
be
applicable to arbitration |
hearings under this subsection.
|
(3) For the purpose of the coverage , the term "uninsured |
motor
vehicle" includes, subject to the terms and conditions of |
the coverage,
a motor vehicle where on, before or after the |
accident date the
liability insurer thereof is unable to make |
payment with respect to the
legal liability of its insured |
within the limits specified in the policy
because of the entry |
by a court of competent jurisdiction of an order of
|
rehabilitation or liquidation by reason of insolvency on or |
after the
accident date. An insurer's extension of coverage, as |
provided in this
subsection, shall be applicable to all |
accidents occurring after July
1, 1967 during a policy period |
in which its insured's uninsured motor
vehicle coverage is in |
effect. Nothing in this Section may be construed
to prevent any |
insurer from extending coverage under terms and
conditions more |
favorable to its insureds than is required by this Section.
|
(4) In the event of payment to any person under the |
coverage
required by this Section and subject to the terms and |
conditions of the
coverage, the insurer making the payment |
shall, to the extent thereof,
be entitled to the proceeds of |
any settlement or judgment resulting from
the exercise of any |
rights of recovery of the person against any person
or |
organization legally responsible for the property damage, |
bodily
injury or death for which the payment is made, including |
the proceeds
recoverable from the assets of the insolvent |
|
insurer. With respect to
payments made by reason of the |
coverage described in subsection (3), the
insurer making such |
payment shall not be entitled to any right of recovery
against |
the tortfeasor tort-feasor in excess of the proceeds recovered |
from the assets
of the insolvent insurer of the tortfeasor |
tort-feasor .
|
(5) This amendatory Act of 1967 (Laws of Illinois 1967, |
page 875) shall not be construed to terminate
or reduce any |
insurance coverage or any right of any party under this
Code in |
effect before July 1, 1967. Public Act 86-1155 This amendatory |
Act of 1990 shall not
be construed to terminate or reduce any |
insurance coverage or any right of
any party under this Code in |
effect before its effective date.
|
(6) Failure of the motorist from whom the claimant is |
legally
entitled to recover damages to file the appropriate |
forms with the
Safety Responsibility Section of the Department |
of Transportation within
120 days of the accident date shall |
create a rebuttable presumption that
the motorist was uninsured |
at the time of the injurious occurrence.
|
(7) An insurance carrier may upon good cause require the
|
insured to commence a legal action against the owner or |
operator of an
uninsured motor vehicle before good faith |
negotiation with the carrier. If
the action is commenced at the |
request of the insurance carrier, the
carrier shall pay to the |
insured, before the action is commenced, all court
costs, jury |
fees and sheriff's fees arising from the action.
|
|
The changes made by Public Act 90-451 this amendatory Act |
of 1997 apply to all policies of
insurance amended, delivered, |
issued, or renewed on and after January 1, 1998 ( the effective
|
date of Public Act 90-451) this amendatory Act of 1997 .
|
(8) The changes made by Public Act 98-927 this amendatory |
Act of the 98th General Assembly apply to all policies of
|
insurance amended, delivered, issued, or renewed on and after |
January 1, 2015 ( the effective
date of Public Act 98-927) this |
amendatory Act of the 98th General Assembly . |
(Source: P.A. 98-242, eff. 1-1-14; 98-927, eff. 1-1-15 ; revised |
10-15-15.)
|
(215 ILCS 5/147.1) (from Ch. 73, par. 759.1)
|
Sec. 147.1. Sale of insurance company shares. |
(1) No shares of the capital stock of a domestic stock |
company shall be sold or
offered for sale to the public in this |
State by an issuer, underwriter,
dealer or controlling person |
in respect of such shares without first
procuring from the |
Director a permit so to do.
|
(2) Unless the context otherwise indicates the following |
terms as used
in this Section shall have the following |
meanings:
|
(a) The word "issuer" shall mean every company which |
shall have issued
or proposes to issue any such shares of |
capital stock . ,
|
(b) The word "underwriter" shall mean any person who |
|
has purchased such
shares of capital stock from an issuer |
or controlling person with a view
to, or sells such shares |
of capital stock for an issuer or a controlling
person in |
connection with, the distribution thereof, or participates |
or has
a participation in the direct or indirect |
underwriting of such
distribution; but such term shall not |
include a person whose interest is
limited to a commission |
or discount from an underwriter or dealer not in
excess of |
the usual and customary distributor's distributer's or |
seller's commission or
discount or not in excess of any |
applicable statutory maximum commission or
discount. An |
underwriter shall be deemed to be no longer an underwriter |
of
an issue of shares of capital stock after he has |
completely disposed of his
allotment of such shares or, if |
he did not purchase the shares, after he
has ceased to sell |
such shares for the issuer or controlling person.
|
(c) The word "dealer" shall mean any person other than |
an issuer, a
controlling person, a bank organized under the |
banking laws of this State
or of the United States, a trust |
company organized under the laws of this
State, an |
insurance company or a salesman, who engages in this State,
|
either for all or part of his time, directly or indirectly, |
as agent,
broker or principal, in the business of offering, |
selling, buying and
selling, or otherwise dealing or |
trading in shares of capital stock of
insurance companies.
|
(d) The words "controlling person" shall mean any |
|
person selling such
shares of capital stock, or group of |
persons acting in concert in the sale
of such shares, |
owning beneficially (and in the absence of knowledge, or
|
reasonable grounds of belief, to the contrary, record |
ownership shall for
the purposes hereof be presumed to be |
beneficial ownership) either :
|
(i) 25% or Or more of the outstanding voting shares |
of the issuer of such
shares where no other person owns |
or controls a greater percentage of such
shares, or
|
(ii) such Such number of outstanding number of |
shares of the issuer as would
enable such person, or |
group of persons, to elect a majority of the Board
of |
Directors of such issuer.
|
(e) The word "salesman" shall mean an individual, other |
than an issuer,
an underwriter, a dealer or a controlling |
person, employed or appointed or
authorized by an issuer, |
an underwriter, a dealer or a controlling person
to sell |
such shares in this State. The partners or officers of an |
issuer,
an underwriter, a dealer or a controlling person |
shall not be deemed to be
a salesman within the meaning of |
this definition.
|
(3) The provisions of this Section shall not apply to any |
of the
following transactions:
|
(a) The sale in good faith, whether through a dealer or |
otherwise, of
such shares by a vendor who is not an issuer, |
underwriter, dealer or
controlling person in respect of |
|
such shares, and who, being the bona fide
owner of such |
shares deposes thereof for his own account; provided, that
|
such sale is not made directly or indirectly for the |
benefit of the issuer
or of an underwriter or controlling |
person.
|
(b) The sale, issuance or exchange by an issuer of its |
shares to or with
its own shareholders, if no commission or |
other remuneration is paid or
given directly or indirectly |
for or on account of the procuring or
soliciting of such |
sale or exchange (other than a fee paid to underwriters
|
based on their undertaking to purchase any shares not |
purchased by
shareholders in connection with such sale or |
exchange), or the issuance by
an issuer of its shares to a |
holder of convertible securities pursuant to a
conversion |
provision granted at the time of issuance of such |
convertible
securities, provided that no commission or |
other remuneration is paid or
given directly or indirectly |
thereon on account of the procuring or
soliciting of such |
conversion and no consideration from the holder in
addition |
to the surrender or cancellation of the convertible |
security is
required to effect the conversion.
|
(c) The sale of such shares to any corporation, bank, |
savings
institution, trust company, insurance company, |
building and loan
association, dealer, pension fund or |
pension trust, employees profit
sharing trust or to any |
association engaged as a substantial part of its
business |
|
or operations in purchasing or holding securities, or to |
any trust
in respect of which a bank or trust company is |
trustee or co-trustee.
|
(d) The sale of such shares by an executor, |
administrator, guardian, receiver
or trustee in insolvency |
or bankruptcy or at any
judicial sale or at a public sale |
by auction held at an advertised time and
place or the sale |
of such shares in good faith and not for the purpose of
|
avoiding the provisions of this Section by a pledgee of |
such shares pledged
for a bona fide debt.
|
(e) Such other transaction as may be declared by ruling |
of the Director
to be exempt from the provisions of this |
Section.
|
(4) Prior to the issuance of any permit under this Section, |
there shall
be delivered to the Director two copies of the |
following:
|
(a) the prospectus which is to be used in connection |
with the sale of
such shares;
|
(b) the underwriting and selling agreements, if any;
|
(c) the subscription agreement;
|
(d) the depository agreement under which the |
subscription proceeds are
to be held;
|
(e) any and all other documents, agreements, contracts |
and other papers
of whatever nature which are to be used in |
connection with or relative to
the sale of such shares, |
which may be required by the Director.
|
|
(5) The Director shall within a reasonable time examine the |
documents
submitted to him and unless he finds from said |
documents that the sale of
said shares is inequitable or would |
work or tend to work a fraud or deceit
upon the purchasers |
thereof, he shall issue a permit authorizing the sale
of said |
shares.
|
(6) The Director shall have the power to prescribe such |
rules and
regulations relating to the sale, issuance, and |
offering of said shares as
will effectuate the purpose of this |
section to the end that no inequity,
fraud or deceit will be |
perpetrated upon the purchasers thereof.
|
(7) If the Director finds that any of the provisions of |
this Section or
of the rules and regulations adopted pursuant |
hereto have been violated or
that the sale, issuance or |
offering of any such shares is inequitable or
works or tends to |
work a fraud or deceit upon the purchasers thereof he may
|
refuse to issue a permit to sell, issue or offer such shares or |
may, after
notice and hearing, revoke such permit. The action |
of the Director in
refusing, after due application therefor in |
form prescribed by the
Director, or revoking, any such permit |
shall be subject to judicial review
in the manner prescribed by |
the insurance laws of this State.
|
(8) Any person who violates any of the provisions of this |
Section shall
be guilty of a business offense and, upon |
conviction thereof shall be fined
not less than $1,000 nor more |
than the greater of either $5,000 or twice
the whole amount, |
|
received upon the sale of shares in violation of this
Section |
and may in addition, if a natural person, be convicted of a |
Class A
misdemeanor.
|
(Source: P.A. 84-502; revised 10-21-15.)
|
(215 ILCS 5/356g) (from Ch. 73, par. 968g)
|
(Text of Section before amendment by P.A. 99-407 ) |
Sec. 356g. Mammograms; mastectomies.
|
(a) Every insurer shall provide in each group or individual
|
policy, contract, or certificate of insurance issued or renewed |
for persons
who are residents of this State, coverage for |
screening by low-dose
mammography for all women 35 years of age |
or older for the presence of
occult breast cancer within the |
provisions of the policy, contract, or
certificate. The |
coverage shall be as follows:
|
(1) A baseline mammogram for women 35 to 39 years of |
age.
|
(2) An annual mammogram for women 40 years of age or |
older.
|
(3) A mammogram at the age and intervals considered |
medically necessary by the woman's health care provider for |
women under 40 years of age and having a family history of |
breast cancer, prior personal history of breast cancer, |
positive genetic testing, or other risk factors.
|
(4) A comprehensive ultrasound screening of an entire |
breast or breasts if a mammogram demonstrates |
|
heterogeneous or dense breast tissue, when medically |
necessary as determined by a physician licensed to practice |
medicine in all of its branches. |
(5) A screening MRI when medically necessary, as |
determined by a physician licensed to practice medicine in |
all of its branches.
|
For purposes of this Section, "low-dose mammography"
means |
the x-ray examination of the breast using equipment dedicated
|
specifically for mammography, including the x-ray tube, |
filter, compression
device, and image receptor, with radiation |
exposure delivery of less than
1 rad per breast for 2 views of |
an average size breast. The term also includes digital |
mammography.
|
(a-5) Coverage as described by subsection (a) shall be |
provided at no cost to the insured and shall not be applied to |
an annual or lifetime maximum benefit. |
(a-10) When health care services are available through |
contracted providers and a person does not comply with plan |
provisions specific to the use of contracted providers, the |
requirements of subsection (a-5) are not applicable. When a |
person does not comply with plan provisions specific to the use |
of contracted providers, plan provisions specific to the use of |
non-contracted providers must be applied without distinction |
for coverage required by this Section and shall be at least as |
favorable as for other radiological examinations covered by the |
policy or contract. |
|
(b) No policy of accident or health insurance that provides |
for
the surgical procedure known as a mastectomy shall be |
issued, amended,
delivered, or renewed in this State unless
|
that coverage also provides for prosthetic devices
or |
reconstructive surgery
incident to the mastectomy.
Coverage |
for breast reconstruction in connection with a mastectomy shall
|
include:
|
(1) reconstruction of the breast upon which the |
mastectomy has been
performed;
|
(2) surgery and reconstruction of the other breast to |
produce a
symmetrical appearance; and
|
(3) prostheses and treatment for physical |
complications at all stages of
mastectomy, including |
lymphedemas.
|
Care shall be determined in consultation with the attending |
physician and the
patient.
The offered coverage for prosthetic |
devices and
reconstructive surgery shall be subject to the |
deductible and coinsurance
conditions applied to the |
mastectomy, and all other terms and conditions
applicable to |
other benefits. When a mastectomy is performed and there is
no |
evidence of malignancy then the offered coverage may be limited |
to the
provision of prosthetic devices and reconstructive |
surgery to within 2
years after the date of the mastectomy. As |
used in this Section,
"mastectomy" means the removal of all or |
part of the breast for medically
necessary reasons, as |
determined by a licensed physician.
|
|
Written notice of the availability of coverage under this |
Section shall be
delivered to the insured upon enrollment and |
annually thereafter. An insurer
may not deny to an insured |
eligibility, or continued eligibility, to enroll or
to renew |
coverage under the terms of the plan solely for the purpose of
|
avoiding the requirements of this Section. An insurer may not |
penalize or
reduce or
limit the reimbursement of an attending |
provider or provide incentives
(monetary or otherwise) to an |
attending provider to induce the provider to
provide care to an |
insured in a manner inconsistent with this Section.
|
(c) Rulemaking authority to implement Public Act 95-1045 |
this amendatory Act of the 95th General Assembly , if any, is |
conditioned on the rules being adopted in accordance with all |
provisions of the Illinois Administrative Procedure Act and all |
rules and procedures of the Joint Committee on Administrative |
Rules; any purported rule not so adopted, for whatever reason, |
is unauthorized. |
(Source: P.A. 99-433, eff. 8-21-15; revised 10-20-15.)
|
(Text of Section after amendment by P.A. 99-407 )
|
Sec. 356g. Mammograms; mastectomies.
|
(a) Every insurer shall provide in each group or individual
|
policy, contract, or certificate of insurance issued or renewed |
for persons
who are residents of this State, coverage for |
screening by low-dose
mammography for all women 35 years of age |
or older for the presence of
occult breast cancer within the |
|
provisions of the policy, contract, or
certificate. The |
coverage shall be as follows:
|
(1) A baseline mammogram for women 35 to 39 years of |
age.
|
(2) An annual mammogram for women 40 years of age or |
older.
|
(3) A mammogram at the age and intervals considered |
medically necessary by the woman's health care provider for |
women under 40 years of age and having a family history of |
breast cancer, prior personal history of breast cancer, |
positive genetic testing, or other risk factors.
|
(4) A comprehensive ultrasound screening of an entire |
breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue, when medically |
necessary as determined by a physician licensed to practice |
medicine in all of its branches.
|
(5) A screening MRI when medically necessary, as |
determined by a physician licensed to practice medicine in |
all of its branches.
|
For purposes of this Section, "low-dose mammography"
means |
the x-ray examination of the breast using equipment dedicated
|
specifically for mammography, including the x-ray tube, |
filter, compression
device, and image receptor, with radiation |
exposure delivery of less than
1 rad per breast for 2 views of |
an average size breast. The term also includes digital |
mammography and includes breast tomosynthesis. As used in this |
|
Section, the term "breast tomosynthesis" means a radiologic |
procedure that involves the acquisition of projection images |
over the stationary breast to produce cross-sectional digital |
three-dimensional images of the breast.
|
(a-5) Coverage as described by subsection (a) shall be |
provided at no cost to the insured and shall not be applied to |
an annual or lifetime maximum benefit. |
(a-10) When health care services are available through |
contracted providers and a person does not comply with plan |
provisions specific to the use of contracted providers, the |
requirements of subsection (a-5) are not applicable. When a |
person does not comply with plan provisions specific to the use |
of contracted providers, plan provisions specific to the use of |
non-contracted providers must be applied without distinction |
for coverage required by this Section and shall be at least as |
favorable as for other radiological examinations covered by the |
policy or contract. |
(b) No policy of accident or health insurance that provides |
for
the surgical procedure known as a mastectomy shall be |
issued, amended,
delivered, or renewed in this State unless
|
that coverage also provides for prosthetic devices
or |
reconstructive surgery
incident to the mastectomy.
Coverage |
for breast reconstruction in connection with a mastectomy shall
|
include:
|
(1) reconstruction of the breast upon which the |
mastectomy has been
performed;
|
|
(2) surgery and reconstruction of the other breast to |
produce a
symmetrical appearance; and
|
(3) prostheses and treatment for physical |
complications at all stages of
mastectomy, including |
lymphedemas.
|
Care shall be determined in consultation with the attending |
physician and the
patient.
The offered coverage for prosthetic |
devices and
reconstructive surgery shall be subject to the |
deductible and coinsurance
conditions applied to the |
mastectomy, and all other terms and conditions
applicable to |
other benefits. When a mastectomy is performed and there is
no |
evidence of malignancy then the offered coverage may be limited |
to the
provision of prosthetic devices and reconstructive |
surgery to within 2
years after the date of the mastectomy. As |
used in this Section,
"mastectomy" means the removal of all or |
part of the breast for medically
necessary reasons, as |
determined by a licensed physician.
|
Written notice of the availability of coverage under this |
Section shall be
delivered to the insured upon enrollment and |
annually thereafter. An insurer
may not deny to an insured |
eligibility, or continued eligibility, to enroll or
to renew |
coverage under the terms of the plan solely for the purpose of
|
avoiding the requirements of this Section. An insurer may not |
penalize or
reduce or
limit the reimbursement of an attending |
provider or provide incentives
(monetary or otherwise) to an |
attending provider to induce the provider to
provide care to an |
|
insured in a manner inconsistent with this Section.
|
(c) Rulemaking authority to implement Public Act 95-1045 |
this amendatory Act of the 95th General Assembly , if any, is |
conditioned on the rules being adopted in accordance with all |
provisions of the Illinois Administrative Procedure Act and all |
rules and procedures of the Joint Committee on Administrative |
Rules; any purported rule not so adopted, for whatever reason, |
is unauthorized. |
(Source: P.A. 99-407 (see Section 99 of P.A. 99-407 for its |
effective date); 99-433, eff. 8-21-15; revised 10-20-15.)
|
(215 ILCS 5/356z.2)
|
Sec. 356z.2. Coverage for adjunctive services in dental |
care.
|
(a) An individual or group policy of accident and health |
insurance
amended, delivered, issued, or renewed after January |
1, 2003 ( the effective date of Public Act 92-764) this
|
amendatory Act of the 92nd General Assembly shall cover
charges |
incurred, and anesthetics provided, in
conjunction with dental |
care that is provided to a covered individual in a
hospital or
|
an ambulatory surgical treatment center
if any of the
following
|
applies:
|
(1) the individual is a child age 6 or under;
|
(2) the individual has a medical condition that |
requires
hospitalization or general anesthesia for dental |
care; or
|
|
(3) the individual is a person with a disability.
|
(a-5) An individual or group policy of accident and health |
insurance amended, delivered, issued, or renewed after January |
1, 2016 ( the effective date of Public Act 99-141) this |
amendatory Act of the 99th General Assembly shall cover charges |
incurred, and anesthetics provided by a dentist with a permit |
provided under Section 8.1 of the Illinois Dental Practice Act, |
in conjunction with dental care that is provided to a covered |
individual in a dental office, oral surgeon's office, hospital, |
or ambulatory surgical treatment center if the individual is |
under age 19 and has been diagnosed with an autism spectrum |
disorder as defined in Section 10 of the Autism Spectrum |
Disorders Reporting Act or a developmental disability. A |
covered individual shall be required to make 2 visits to the |
dental care provider prior to accessing other coverage under |
this subsection. |
For purposes of this subsection, "developmental |
disability" means a disability that is attributable to an |
intellectual disability or a related condition, if the related |
condition meets all of the following conditions: |
(1) it is attributable to cerebral palsy, epilepsy, or |
any other condition, other than mental illness, found to be |
closely related to an intellectual disability because that |
condition results in impairment of general intellectual |
functioning or adaptive behavior similar to that of |
individuals with an intellectual disability and requires |
|
treatment or services similar to those required for those |
individuals; for purposes of this definition, autism is |
considered a related condition; |
(2) it is manifested before the individual reaches age |
22; |
(3) it is likely to continue indefinitely; and |
(4) it results in substantial functional limitations |
in 3 or more of the following areas of major life activity: |
self-care, language, learning, mobility, self-direction, |
and capacity for independent living. |
(b) For purposes of this Section, "ambulatory surgical |
treatment center"
has the meaning given to that term in Section |
3 of the Ambulatory
Surgical Treatment Center Act.
|
For purposes of this Section, "person with a disability" |
means a person, regardless of age,
with a chronic
disability if |
the chronic disability meets all of the following conditions:
|
(1) It is attributable to a mental or physical |
impairment or
combination of mental and physical |
impairments.
|
(2) It is likely to continue.
|
(3) It results in substantial functional limitations |
in one or more of
the following areas of major life |
activity:
|
(A) self-care;
|
(B) receptive and expressive language;
|
(C) learning;
|
|
(D) mobility;
|
(E) capacity for independent living; or
|
(F) economic self-sufficiency.
|
(c) The coverage required under this Section may be subject |
to any
limitations, exclusions, or cost-sharing provisions |
that apply generally under
the insurance policy.
|
(d) This Section does not apply to a policy that covers |
only dental care.
|
(e) Nothing in this Section requires that the dental |
services be
covered.
|
(f) The provisions of this Section do not apply to |
short-term travel,
accident-only, limited, or specified |
disease policies, nor to policies or
contracts designed for |
issuance to persons eligible for coverage under Title
XVIII of |
the Social Security Act, known as Medicare, or any other |
similar
coverage under State or federal governmental plans.
|
(Source: P.A. 99-141, eff. 1-1-16; 99-143, eff. 7-27-15; |
revised 10-15-15.)
|
(215 ILCS 5/460) (from Ch. 73, par. 1065.7)
|
Sec. 460. Competitive market; approval of rates Market, |
Approval of Rates . |
(a) Beginning January
1, 1983, a competitive market is |
presumed to exist unless the Director, after a
hearing, |
determines that a reasonable degree of competition does
not |
exist in the market and
the Director issues a ruling to that |
|
effect. For purposes of this Article
only, market shall mean |
the statewide workers' compensation and employers'
liability |
lines of business. In determining whether a reasonable degree |
of competition
exists, the Director shall consider relevant |
tests of workable competition
pertaining to market structure, |
market performance and market conduct. Such
tests may include, |
but need not be limited to, the following: size and number
of |
firms actively engaged in the market, market shares and changes |
in market
shares of firms, ease of entry and exit
from a given |
market, underwriting restriction, and whether profitability
|
for companies generally in the market is unreasonably high.
The |
determination of competition involves the interaction of the |
various
tests and the weight given to specific tests depends |
upon the particular
situation and pattern of test results.
|
In determining whether or not a competitive market exists, |
the Director
shall monitor the degree of competition in this |
State. In doing so, he
shall utilize existing relevant |
information, analytical systems and other
sources; cause or |
participate in the development of new relevant information,
|
analytical systems and other sources; or rely on some |
combination thereof.
Such activities may be conducted |
internally within the Department of Insurance,
in cooperation |
with other state insurance departments, through outside |
contractors,
or in any other appropriate manner.
|
(b) If the Director finds that a reasonable degree of |
competition does
not exist in a market, he may require that the |
|
insurers in that market file
supporting information in support |
of existing rates. If the Director believes
that such rates may |
violate any of the requirements of this Article, he
shall call |
a hearing prior to any disapproval.
If the Director determines |
that a competitive market does not exist in the
workers' |
compensation market as provided in a ruling pursuant to this |
Section,
then every company must prefile every manual of |
classifications, rules,
rates, rating plans, rating schedules, |
and every modification of the foregoing
covered by such rule. |
Such filing shall be made at least 30 days prior
to its taking |
effect, and such prefiling requirement
shall remain in effect |
as long as there is a ruling in effect pursuant to
this Section |
that a reasonable degree of competition does not exist.
|
(c) The Director shall disapprove a rate if he finds that |
the rate is
excessive, inadequate or unfairly discriminatory as |
defined in Section 456. An
insurer whose rates have been |
disapproved shall be given a hearing upon
a written request |
made within 30 days after the disapproval order.
|
If the Director disapproves a rate, he shall issue an order |
specifying
in what respects it fails to meet the requirements |
of this Article and stating
when within a reasonable period |
thereafter such rate shall be
discontinued for any policy |
issued or renewed after a date specified in
the order. The |
order shall be issued within 30 days after the close of
the |
hearing or within such reasonable time extension as the |
Director may
fix. Such order may include a provision for |
|
premium adjustment for the
period after the effective date of |
the order for policies in effect on such date.
|
(d) Whenever an insurer has no legally effective rates as a |
result of
the Director's disapproval of rates or other act, the |
Director shall on
request of the insurer specify interim rates |
for the insurer that are high
enough to protect the interest of |
all parties and may order that a specified
portion of the |
premiums be placed in an escrow account approved by him.
When |
new rates become legally effective, the Director shall order |
the escrowed
funds or any overcharge in the interim rates to be |
distributed appropriately,
except that refunds to |
policyholders that are de minimis minimus shall not be |
required.
|
(Source: P.A. 82-939; revised 10-21-15.)
|
(215 ILCS 5/512.59) (from Ch. 73, par. 1065.59-59)
|
(Section scheduled to be repealed on January 1, 2017)
|
Sec. 512.59. Performance standards applicable to all |
Public
Insurance Adjusters. |
(a) A Public Insurance Adjuster shall not represent that
he |
is a representative of an insurance company, a fire department, |
or the
State of Illinois, or that he is a fire investigator, or |
that his services
are required for the insured to submit a |
claim to the insured's insurance
company, or that he may |
provide legal advice or representation to the
insured. A Public |
Insurance Adjuster may represent that he has been licensed
by |
|
the State of Illinois.
|
(b) A Public Insurance Adjuster shall not agree to any loss |
settlement without
the insured's knowledge and consent and |
shall provide the insured with a document setting forth the |
scope, amount, and value of the damages prior to requesting the |
insured for authority to settling any loss.
|
(c)
If the Public Insurance Adjuster refers the insured to |
a contractor,
the Public Insurance Adjuster warrants that all |
work will be performed in
a workmanlike manner and conform to |
all statutes, ordinances and codes.
Should the work not be |
completed in a workmanlike manner, the Public Insurance
|
Adjuster shall be responsible for any and all costs and expense |
required
to complete or repair the work in a workmanlike |
manner.
|
(d) In all cases where the loss giving rise to the claim |
for which the Public Insurance Adjuster was retained arise from |
damage to a personal residence, the insurance proceeds shall be |
delivered in person to the named insured or his or her |
designee. Where proceeds paid by an insurance company are paid |
jointly to the
insured and the Public Insurance Adjuster, the |
insured
shall release such portion of the proceeds which are |
due the Public Insurance Adjuster within
30 calendar days after |
the insured's receipt of the insurance
company's check, money |
order, draft, or release of funds. If the proceeds
are not so |
released to the insured within 30 calendar days, the insured
|
shall provide the Public Insurance Adjuster
with a written |
|
explanation of the reason for the delay.
|
(e)
A Public Insurance Adjuster
may not propose or attempt |
to propose
to any person that the Public Insurance Adjuster |
represent that person
while
a loss-producing occurrence is |
continuing nor while the fire department
or its representatives |
are engaged at the damaged premises nor between the
hours of |
7:00 p.m. and 8:00 a.m. .
|
(f) A Public Insurance Adjuster shall not advance money or |
any valuable
consideration
to an insured pending adjustment of |
a claim.
|
(g) A Public Insurance Adjuster shall not provide legal |
advice or
representation to the insured, or engage in the |
unauthorized practice of law.
|
(Source: P.A. 95-213, eff. 1-1-08; revised 10-21-15.)
|
(215 ILCS 5/902) (from Ch. 73, par. 1065.602)
|
Sec. 902.
" Entire contract Contract" specified. ) Each |
group legal expense insurance
policy shall provide that the |
policy, the application of the employer, or
executive officer |
or trustee of any association, and the individual applications,
|
if any, of the employees, members or employees of members |
insured shall
constitute the entire contract between the |
parties, and that all statements
made by the employer, or the |
executive officer or trustee, or by the individual
employees, |
members or employees of members shall, in the absence of fraud,
|
be deemed representations and not warranties warrantees , and |
|
that no such statement
shall be used in defense to a claim |
under the policy, unless it is contained
in a written |
application.
|
(Source: P.A. 81-1361; revised 10-21-15.)
|
(215 ILCS 5/1202) (from Ch. 73, par. 1065.902)
|
Sec. 1202. Duties. The Director shall:
|
(a) determine the relationship of insurance premiums |
and related income
as compared to insurance costs and |
expenses and provide such information to
the General |
Assembly and the general public;
|
(b) study the insurance system in the State of |
Illinois, and recommend
to the General Assembly what it |
deems to be the most appropriate and
comprehensive cost |
containment system for the State;
|
(c) respond to the requests by agencies of government |
and the General
Assembly for special studies and analysis |
of data collected pursuant to
this Article. Such reports |
shall be made available in a form prescribed by
the |
Director. The Director may also determine a fee to be |
charged to the
requesting agency to cover the direct and |
indirect costs for producing such
a report, and shall |
permit affected insurers the right to review the
accuracy |
of the report before it is released. The fees shall
be |
deposited
into the Statistical Services Revolving Fund and |
credited to the account
of the Department of Insurance;
|
|
(d) make an interim report to the General Assembly no |
later than August
15, 1987, and an a annual report to the |
General Assembly no later than July 1
every year thereafter |
which shall include the Director's findings and
|
recommendations regarding its duties as provided under |
subsections (a),
(b), and (c) of this Section.
|
(Source: P.A. 98-226, eff. 1-1-14; revised 10-21-15.)
|
Section 315. The Public Utilities Act is amended by |
changing Sections 13-703 and 16-108.5 as follows:
|
(220 ILCS 5/13-703) (from Ch. 111 2/3, par. 13-703)
|
(Section scheduled to be repealed on July 1, 2017)
|
Sec. 13-703.
(a) The Commission shall design and implement |
a program
whereby each telecommunications carrier providing |
local exchange service
shall provide a telecommunications |
device capable of servicing the needs of
those persons with a |
hearing or speech disability together with a
single party line, |
at no charge additional to the basic exchange rate, to
any |
subscriber who is certified as having a hearing or speech |
disability by a
licensed physician, speech-language |
pathologist, audiologist or a qualified
State agency and to any |
subscriber which is an organization serving the needs
of those |
persons with a hearing or speech disability as determined and
|
specified by the Commission pursuant to subsection (d).
|
(b) The Commission shall design and implement a program, |
|
whereby each
telecommunications carrier providing local |
exchange service shall provide a
telecommunications relay |
system, using third party intervention to connect
those persons |
having a hearing or speech disability with persons of normal
|
hearing by way of intercommunications devices and the telephone |
system, making
available reasonable access to all phases of |
public telephone service to
persons who have a hearing or |
speech disability. In order to design a
telecommunications |
relay system which will meet the requirements of those
persons |
with a hearing or speech disability available at a reasonable |
cost, the
Commission shall initiate an investigation and |
conduct public hearings to
determine the most cost-effective |
method of providing telecommunications relay
service to those |
persons who have a hearing or speech disability when using
|
telecommunications devices and therein solicit the advice, |
counsel, and
physical assistance of Statewide nonprofit |
consumer organizations that serve
persons with hearing or |
speech disabilities in such hearings and during the
development |
and implementation of the system. The Commission shall phase
in |
this program, on a geographical basis, as soon as is |
practicable, but
no later than June 30, 1990.
|
(c) The Commission shall establish a competitively neutral |
rate recovery mechanism that establishes charges in an amount |
to be determined by the Commission
for each line of a |
subscriber to allow telecommunications carriers
providing |
local exchange service to recover costs as they are incurred
|
|
under this Section. Beginning no later than April 1, 2016, and |
on a yearly basis thereafter, the Commission shall initiate a |
proceeding to establish the competitively neutral amount to be |
charged or assessed to subscribers of telecommunications |
carriers and wireless carriers, Interconnected VoIP service |
providers , and consumers of prepaid wireless |
telecommunications service in a manner consistent with this |
subsection (c) and subsection (f) of this Section. The |
Commission shall issue its order establishing the |
competitively neutral amount to be charged or assessed to |
subscribers of telecommunications carriers and wireless |
carriers, Interconnected VoIP service providers , and |
purchasers of prepaid wireless telecommunications service on |
or prior to June 1 of each year, and such amount shall take |
effect June 1 of each year.
|
Telecommunications carriers, wireless carriers, |
Interconnected VoIP service providers, and sellers of prepaid |
wireless telecommunications service shall have 60 days from the |
date the Commission files its order to implement the new rate |
established by the order. |
(d) The Commission shall determine and specify those |
organizations serving
the needs of those persons having a |
hearing or speech disability that shall
receive a |
telecommunications device and in which offices the equipment |
shall be
installed in the case of an organization having more |
than one office. For the
purposes of this Section, |
|
"organizations serving the needs of those persons
with hearing |
or speech disabilities" means centers for independent living as
|
described in Section 12a of the Rehabilitation of Persons with |
Disabilities Act and
not-for-profit organizations whose |
primary purpose is serving the needs of
those persons with |
hearing or speech disabilities. The Commission shall direct
the |
telecommunications carriers subject to its jurisdiction and |
this
Section to comply with its determinations and |
specifications in this regard.
|
(e) As used in this Section: |
"Prepaid wireless telecommunications service" has the |
meaning given to that term under Section 10 of the Prepaid |
Wireless 9-1-1 Surcharge Act. |
"Retail transaction" has the meaning given to that term |
under Section 10 of the Prepaid Wireless 9-1-1 Surcharge Act. |
"Seller" has the meaning given to that term under Section |
10 of the Prepaid Wireless 9-1-1 Surcharge Act. |
"Telecommunications carrier
providing local exchange |
service" includes, without otherwise limiting the
meaning of |
the term, telecommunications carriers which are purely mutual
|
concerns, having no rates or charges for services, but paying |
the operating
expenses by assessment upon the members of such a |
company and no other
person.
|
"Wireless carrier" has the meaning given to that term under |
Section 10 of the Wireless Emergency Telephone Safety Act. |
(f) Interconnected VoIP service providers, sellers of |
|
prepaid wireless telecommunications service, and wireless |
carriers in Illinois shall collect and remit assessments |
determined in accordance with this Section in a competitively |
neutral manner in the same manner as a telecommunications |
carrier providing local exchange service. However, the |
assessment imposed on consumers of prepaid wireless |
telecommunications service shall be collected by the seller |
from the consumer and imposed per retail transaction as a |
percentage of that retail transaction on all retail |
transactions occurring in this State. The assessment on |
subscribers of wireless carriers and consumers of prepaid |
wireless telecommunications service shall not be imposed or |
collected prior to June 1, 2016. |
Sellers of prepaid wireless telecommunications service |
shall remit the assessments to the Department of Revenue on the |
same form and in the same manner which they remit the fee |
collected under the Prepaid Wireless 9-1-1 Surcharge Act. For |
the purposes of display on the consumers' receipts, the rates |
of the fee collected under the Prepaid Wireless 9-1-1 Surcharge |
Act and the assessment under this Section may be combined. In |
administration and enforcement of this Section, the provisions |
of Sections 15 and 20 of the Prepaid Wireless 9-1-1 Surcharge |
Act (except subsections (a), (a-5), (b-5), (e), and (e-5) of |
Section 15 and subsections (c) and (e) of Section 20 of the |
Prepaid Wireless 9-1-1 Surcharge Act and, from June 29, 2015 |
( the effective date of Public Act 99-6) this amendatory Act of |
|
the 99th General Assembly , the seller shall be permitted to |
deduct and retain 3% of the assessments that are collected by |
the seller from consumers and that are remitted and timely |
filed with the Department) that are not inconsistent with this |
Section, shall apply, as far as practicable, to the subject |
matter of this Section to the same extent as if those |
provisions were included in this Section. The Department shall |
deposit all assessments and penalties collected under this |
Section into the Illinois Telecommunications Access |
Corporation Fund, a special fund created in the State treasury. |
On or before the 25th day of each calendar month, the |
Department shall prepare and certify to the Comptroller the |
amount available to the Commission for distribution out of the |
Illinois Telecommunications Access Corporation Fund. The |
amount certified shall be the amount (not including credit |
memoranda) collected during the second preceding calendar |
month by the Department, plus an amount the Department |
determines is necessary to offset any amounts which were |
erroneously paid to a different taxing body or fund. The amount |
paid to the Illinois Telecommunications Access Corporation |
Fund shall not include any amount equal to the amount of |
refunds made during the second preceding calendar month by the |
Department to retailers under this Section or any amount that |
the Department determines is necessary to offset any amounts |
which were payable to a different taxing body or fund but were |
erroneously paid to the Illinois Telecommunications Access |
|
Corporation Fund. The Commission shall distribute all the funds |
to the Illinois Telecommunications Access Corporation and the |
funds may only be used in accordance with the provisions of |
this Section. The Department shall deduct 2% of all amounts |
deposited in the Illinois Telecommunications Access |
Corporation Fund during every year of remitted assessments. Of |
the 2% deducted by the Department, one-half shall be |
transferred into the Tax Compliance and Administration Fund to |
reimburse the Department for its direct costs of administering |
the collection and remittance of the assessment. The remaining |
one-half shall be transferred into the Public Utilities Fund to |
reimburse the Commission for its costs of distributing to the |
Illinois Telecommunications Access Corporation the amount |
certified by the Department for distribution. The amount to be |
charged or assessed under subsections (c) and (f) is not |
imposed on a provider or the consumer for wireless Lifeline |
service where the consumer does not pay the provider for the |
service. Where the consumer purchases from the provider |
optional minutes, texts, or other services in addition to the |
federally funded Lifeline benefit, a consumer must pay the |
charge or assessment, and it must be collected by the seller |
according to subsection (f). |
Interconnected VoIP services shall not be considered an |
intrastate telecommunications service for the purposes of this |
Section in a manner inconsistent with federal law or Federal |
Communications Commission regulation. |
|
(g) The provisions of this Section are severable under |
Section 1.31 of the Statute on Statutes. |
(h) The Commission may adopt rules necessary to implement |
this Section. |
(Source: P.A. 99-6, eff. 6-29-15; 99-143, eff. 7-27-15; revised |
10-21-15.)
|
(220 ILCS 5/16-108.5) |
Sec. 16-108.5. Infrastructure investment and |
modernization; regulatory reform. |
(a) (Blank). |
(b) For purposes of this Section, "participating utility" |
means an electric utility or a combination utility serving more |
than 1,000,000 customers in Illinois that voluntarily elects |
and commits to undertake (i) the infrastructure investment |
program consisting of the commitments and obligations |
described in this subsection (b) and (ii) the customer |
assistance program consisting of the commitments and |
obligations described in subsection (b-10) of this Section, |
notwithstanding any other provisions of this Act and without |
obtaining any approvals from the Commission or any other agency |
other than as set forth in this Section, regardless of whether |
any such approval would otherwise be required. "Combination |
utility" means a utility that, as of January 1, 2011, provided |
electric service to at least one million retail customers in |
Illinois and gas service to at least 500,000 retail customers |
|
in Illinois. A participating utility shall recover the |
expenditures made under the infrastructure investment program |
through the ratemaking process, including, but not limited to, |
the performance-based formula rate and process set forth in |
this Section. |
During the infrastructure investment program's peak |
program year, a participating utility other than a combination |
utility shall create 2,000 full-time equivalent jobs in |
Illinois, and a participating utility that is a combination |
utility shall create 450 full-time equivalent jobs in Illinois |
related to the provision of electric service. These jobs shall |
include direct jobs, contractor positions, and induced jobs, |
but shall not include any portion of a job commitment, not |
specifically contingent on an amendatory Act of the 97th |
General Assembly becoming law, between a participating utility |
and a labor union that existed on December 30, 2011 ( the |
effective date of Public Act 97-646) this amendatory Act of the |
97th General Assembly and that has not yet been fulfilled. A |
portion of the full-time equivalent jobs created by each |
participating utility shall include incremental personnel |
hired subsequent to December 30, 2011 ( the effective date of |
Public Act 97-646) this amendatory Act of the 97th General |
Assembly . For purposes of this Section, "peak program year" |
means the consecutive 12-month period with the highest number |
of full-time equivalent jobs that occurs between the beginning |
of investment year 2 and the end of investment year 4. |
|
A participating utility shall meet one of the following |
commitments, as applicable: |
(1) Beginning no later than 180 days after a |
participating utility other than a combination utility |
files a performance-based formula rate tariff pursuant to |
subsection (c) of this Section, or, beginning no later than |
January 1, 2012 if such utility files such |
performance-based formula rate tariff within 14 days of |
October 26, 2011 ( the effective date of Public Act 97-616) |
this amendatory Act of the 97th General Assembly , the |
participating utility shall, except as provided in |
subsection (b-5): |
(A) over a 5-year period, invest an estimated |
$1,300,000,000 in electric system upgrades, |
modernization projects, and training facilities, |
including, but not limited to: |
(i) distribution infrastructure improvements |
totaling an estimated $1,000,000,000, including |
underground residential distribution cable |
injection and replacement and mainline cable |
system refurbishment and replacement projects; |
(ii) training facility construction or upgrade |
projects totaling an estimated $10,000,000, |
provided that, at a minimum, one such facility |
shall be located in a municipality having a |
population of more than 2 million residents and one |
|
such facility shall be located in a municipality |
having a population of more than 150,000 residents |
but fewer than 170,000 residents; any such new |
facility located in a municipality having a |
population of more than 2 million residents must be |
designed for the purpose of obtaining, and the |
owner of the facility shall apply for, |
certification under the United States Green |
Building Council's Leadership in Energy Efficiency |
Design Green Building Rating System; |
(iii) wood pole inspection, treatment, and |
replacement programs; |
(iv) an estimated $200,000,000 for reducing |
the susceptibility of certain circuits to |
storm-related damage, including, but not limited |
to, high winds, thunderstorms, and ice storms; |
improvements may include, but are not limited to, |
overhead to underground conversion and other |
engineered outcomes for circuits; the |
participating utility shall prioritize the |
selection of circuits based on each circuit's |
historical susceptibility to storm-related damage |
and the ability to provide the greatest customer |
benefit upon completion of the improvements; to be |
eligible for improvement, the participating |
utility's ability to maintain proper tree |
|
clearances surrounding the overhead circuit must |
not have
been impeded by third parties; and |
(B) over a 10-year period, invest an estimated |
$1,300,000,000 to upgrade and modernize its |
transmission and distribution infrastructure and in |
Smart Grid electric system upgrades, including, but |
not limited to: |
(i) additional smart meters; |
(ii) distribution automation; |
(iii) associated cyber secure data |
communication network; and |
(iv) substation micro-processor relay |
upgrades. |
(2) Beginning no later than 180 days after a |
participating utility that is a combination utility files a |
performance-based formula rate tariff pursuant to |
subsection (c) of this Section, or, beginning no later than |
January 1, 2012 if such utility files such |
performance-based formula rate tariff within 14 days of |
October 26, 2011 ( the effective date of Public Act 97-616) |
this amendatory Act of the 97th General Assembly , the |
participating utility shall, except as provided in |
subsection (b-5): |
(A) over a 10-year period, invest an estimated |
$265,000,000 in electric system upgrades, |
modernization projects, and training facilities, |
|
including, but not limited to: |
(i) distribution infrastructure improvements |
totaling an estimated $245,000,000, which may |
include bulk supply substations, transformers, |
reconductoring, and rebuilding overhead |
distribution and sub-transmission lines, |
underground residential distribution cable |
injection and replacement and mainline cable |
system refurbishment and replacement projects; |
(ii) training facility construction or upgrade |
projects totaling an estimated $1,000,000; any |
such new facility must be designed for the purpose |
of obtaining, and the owner of the facility shall |
apply for, certification under the United States |
Green Building Council's Leadership in Energy |
Efficiency Design Green Building Rating System; |
and |
(iii) wood pole inspection, treatment, and |
replacement programs; and |
(B) over a 10-year period, invest an estimated |
$360,000,000 to upgrade and modernize its transmission |
and distribution infrastructure and in Smart Grid |
electric system upgrades, including, but not limited |
to: |
(i) additional smart meters; |
(ii) distribution automation; |
|
(iii) associated cyber secure data |
communication network; and |
(iv) substation micro-processor relay |
upgrades. |
For purposes of this Section, "Smart Grid electric system |
upgrades" shall have the meaning set forth in subsection (a) of |
Section 16-108.6 of this Act. |
The investments in the infrastructure investment program |
described in this subsection (b) shall be incremental to the |
participating utility's annual capital investment program, as |
defined by, for purposes of this subsection (b), the |
participating utility's average capital spend for calendar |
years 2008, 2009, and 2010 as reported in the applicable |
Federal Energy Regulatory Commission (FERC) Form 1; provided |
that where one or more utilities have merged, the average |
capital spend shall be determined using the aggregate of the |
merged utilities' capital spend reported in FERC Form 1 for the |
years 2008, 2009, and 2010. A participating utility may add |
reasonable construction ramp-up and ramp-down time to the |
investment periods specified in this subsection (b). For each |
such investment period, the ramp-up and ramp-down time shall |
not exceed a total of 6 months. |
Within 60 days after filing a tariff under subsection (c) |
of this Section, a participating utility shall submit to the |
Commission its plan, including scope, schedule, and staffing, |
for satisfying its infrastructure investment program |
|
commitments pursuant to this subsection (b). The submitted plan |
shall include a schedule and staffing plan for the next |
calendar year. The plan shall also include a plan for the |
creation, operation, and administration of a Smart Grid test |
bed as described in subsection (c) of Section 16-108.8. The |
plan need not allocate the work equally over the respective |
periods, but should allocate material increments throughout |
such periods commensurate with the work to be undertaken. No |
later than April 1 of each subsequent year, the utility shall |
submit to the Commission a report that includes any updates to |
the plan, a schedule for the next calendar year, the |
expenditures made for the prior calendar year and cumulatively, |
and the number of full-time equivalent jobs created for the |
prior calendar year and cumulatively. If the utility is |
materially deficient in satisfying a schedule or staffing plan, |
then the report must also include a corrective action plan to |
address the deficiency. The fact that the plan, implementation |
of the plan, or a schedule changes shall not imply the |
imprudence or unreasonableness of the infrastructure |
investment program, plan, or schedule. Further, no later than |
45 days following the last day of the first, second, and third |
quarters of each year of the plan, a participating utility |
shall submit to the Commission a verified quarterly report for |
the prior quarter that includes (i) the total number of |
full-time equivalent jobs created during the prior quarter, |
(ii) the total number of employees as of the last day of the |
|
prior quarter, (iii) the total number of full-time equivalent |
hours in each job classification or job title, (iv) the total |
number of incremental employees and contractors in support of |
the investments undertaken pursuant to this subsection (b) for |
the prior quarter, and (v) any other information that the |
Commission may require by rule. |
With respect to the participating utility's peak job |
commitment, if, after considering the utility's corrective |
action plan and compliance thereunder, the Commission enters an |
order finding, after notice and hearing, that a participating |
utility did not satisfy its peak job commitment described in |
this subsection (b) for reasons that are reasonably within its |
control, then the Commission shall also determine, after |
consideration of the evidence, including, but not limited to, |
evidence submitted by the Department of Commerce and Economic |
Opportunity and the utility, the deficiency in the number of |
full-time equivalent jobs during the peak program year due to |
such failure. The Commission shall notify the Department of any |
proceeding that is initiated pursuant to this paragraph. For |
each full-time equivalent job deficiency during the peak |
program year that the Commission finds as set forth in this |
paragraph, the participating utility shall, within 30 days |
after the entry of the Commission's order, pay $6,000 to a fund |
for training grants administered under Section 605-800 of the |
The Department of Commerce and Economic Opportunity Law, which |
shall not be a recoverable expense. |
|
With respect to the participating utility's investment |
amount commitments, if, after considering the utility's |
corrective action plan and compliance thereunder, the |
Commission enters an order finding, after notice and hearing, |
that a participating utility is not satisfying its investment |
amount commitments described in this subsection (b), then the |
utility shall no longer be eligible to annually update the |
performance-based formula rate tariff pursuant to subsection |
(d) of this Section. In such event, the then current rates |
shall remain in effect until such time as new rates are set |
pursuant to Article IX of this Act, subject to retroactive |
adjustment, with interest, to reconcile rates charged with |
actual costs. |
If the Commission finds that a participating utility is no |
longer eligible to update the performance-based formula rate |
tariff pursuant to subsection (d) of this Section, or the |
performance-based formula rate is otherwise terminated, then |
the participating utility's voluntary commitments and |
obligations under this subsection (b) shall immediately |
terminate, except for the utility's obligation to pay an amount |
already owed to the fund for training grants pursuant to a |
Commission order. |
In meeting the obligations of this subsection (b), to the |
extent feasible and consistent with State and federal law, the |
investments under the infrastructure investment program should |
provide employment opportunities for all segments of the |
|
population and workforce, including minority-owned and |
female-owned business enterprises, and shall not, consistent |
with State and federal law, discriminate based on race or |
socioeconomic status. |
(b-5) Nothing in this Section shall prohibit the Commission |
from investigating the prudence and reasonableness of the |
expenditures made under the infrastructure investment program |
during the annual review required by subsection (d) of this |
Section and shall, as part of such investigation, determine |
whether the utility's actual costs under the program are |
prudent and reasonable. The fact that a participating utility |
invests more than the minimum amounts specified in subsection |
(b) of this Section or its plan shall not imply imprudence or |
unreasonableness. |
If the participating utility finds that it is implementing |
its plan for satisfying the infrastructure investment program |
commitments described in subsection (b) of this Section at a |
cost below the estimated amounts specified in subsection (b) of |
this Section, then the utility may file a petition with the |
Commission requesting that it be permitted to satisfy its |
commitments by spending less than the estimated amounts |
specified in subsection (b) of this Section. The Commission |
shall, after notice and hearing, enter its order approving, or |
approving as modified, or denying each such petition within 150 |
days after the filing of the petition. |
In no event, absent General Assembly approval, shall the |
|
capital investment costs incurred by a participating utility |
other than a combination utility in satisfying its |
infrastructure investment program commitments described in |
subsection (b) of this Section exceed $3,000,000,000 or, for a |
participating utility that is a combination utility, |
$720,000,000. If the participating utility's updated cost |
estimates for satisfying its infrastructure investment program |
commitments described in subsection (b) of this Section exceed |
the limitation imposed by this subsection (b-5), then it shall |
submit a report to the Commission that identifies the increased |
costs and explains the reason or reasons for the increased |
costs no later than the year in which the utility estimates it |
will exceed the limitation. The Commission shall review the |
report and shall, within 90 days after the participating |
utility files the report, report to the General Assembly its |
findings regarding the participating utility's report. If the |
General Assembly does not amend the limitation imposed by this |
subsection (b-5), then the utility may modify its plan so as |
not to exceed the limitation imposed by this subsection (b-5) |
and may propose corresponding changes to the metrics |
established pursuant to subparagraphs (5) through (8) of |
subsection (f) of this Section, and the Commission may modify |
the metrics and incremental savings goals established pursuant |
to subsection (f) of this Section accordingly. |
(b-10) All participating utilities shall make |
contributions for an energy low-income and support program in |
|
accordance with this subsection. Beginning no later than 180 |
days after a participating utility files a performance-based |
formula rate tariff pursuant to subsection (c) of this Section, |
or beginning no later than January 1, 2012 if such utility |
files such performance-based formula rate tariff within 14 days |
of December 30, 2011 ( the effective date of Public Act 97-646) |
this amendatory Act of the 97th General Assembly , and without |
obtaining any approvals from the Commission or any other agency |
other than as set forth in this Section, regardless of whether |
any such approval would otherwise be required, a participating |
utility other than a combination utility shall pay $10,000,000 |
per year for 5 years and a participating utility that is a |
combination utility shall pay $1,000,000 per year for 10 years |
to the energy low-income and support program, which is intended |
to fund customer assistance programs with the primary purpose |
being avoidance of
imminent disconnection. Such programs may |
include: |
(1) a residential hardship program that may partner |
with community-based
organizations, including senior |
citizen organizations, and provides grants to low-income |
residential customers, including low-income senior |
citizens, who demonstrate a hardship; |
(2) a program that provides grants and other bill |
payment concessions to veterans with disabilities who |
demonstrate a hardship and members of the armed services or |
reserve forces of the United States or members of the |
|
Illinois National Guard who are on active duty pursuant to |
an executive order of the President of the United States, |
an act of the Congress of the United States, or an order of |
the Governor and who demonstrate a
hardship; |
(3) a budget assistance program that provides tools and |
education to low-income senior citizens to assist them with |
obtaining information regarding energy usage and
effective |
means of managing energy costs; |
(4) a non-residential special hardship program that |
provides grants to non-residential customers such as small |
businesses and non-profit organizations that demonstrate a |
hardship, including those providing services to senior |
citizen and low-income customers; and |
(5) a performance-based assistance program that |
provides grants to encourage residential customers to make |
on-time payments by matching a portion of the customer's |
payments or providing credits towards arrearages. |
The payments made by a participating utility pursuant to |
this subsection (b-10) shall not be a recoverable expense. A |
participating utility may elect to fund either new or existing |
customer assistance programs, including, but not limited to, |
those that are administered by the utility. |
Programs that use funds that are provided by a |
participating utility to reduce utility bills may be |
implemented through tariffs that are filed with and reviewed by |
the Commission. If a utility elects to file tariffs with the |
|
Commission to implement all or a portion of the programs, those |
tariffs shall, regardless of the date actually filed, be deemed |
accepted and approved, and shall become effective on December |
30, 2011 ( the effective date of Public Act 97-646) this |
amendatory Act of the 97th General Assembly . The participating |
utilities whose customers benefit from the funds that are |
disbursed as contemplated in this Section shall file annual |
reports documenting the disbursement of those funds with the |
Commission. The Commission has the authority to audit |
disbursement of the funds to ensure they were disbursed |
consistently with this Section. |
If the Commission finds that a participating utility is no |
longer eligible to update the performance-based formula rate |
tariff pursuant to subsection (d) of this Section, or the |
performance-based formula rate is otherwise terminated, then |
the participating utility's voluntary commitments and |
obligations under this subsection (b-10) shall immediately |
terminate. |
(c) A participating utility may elect to recover its |
delivery services costs through a performance-based formula |
rate approved by the Commission, which shall specify the cost |
components that form the basis of the rate charged to customers |
with sufficient specificity to operate in a standardized manner |
and be updated annually with transparent information that |
reflects the utility's actual costs to be recovered during the |
applicable rate year, which is the period beginning with the |
|
first billing day of January and extending through the last |
billing day of the following December. In the event the utility |
recovers a portion of its costs through automatic adjustment |
clause tariffs on October 26, 2011 ( the effective date of |
Public Act 97-616) this amendatory Act of the 97th General |
Assembly , the utility may elect to continue to recover these |
costs through such tariffs, but then these costs shall not be |
recovered through the performance-based formula rate. In the |
event the participating utility, prior to December 30, 2011 |
( the effective date of Public Act 97-646) this amendatory Act |
of the 97th General Assembly , filed electric delivery services |
tariffs with the Commission pursuant to Section 9-201 of this |
Act that are related to the recovery of its electric delivery |
services costs that are still pending on December 30, 2011 ( the |
effective date of Public Act 97-646) this amendatory Act of the |
97th General Assembly , the participating utility shall, at the |
time it files its performance-based formula rate tariff with |
the Commission, also file a notice of withdrawal with the |
Commission to withdraw the electric delivery services tariffs |
previously filed pursuant to Section 9-201 of this Act. Upon |
receipt of such notice, the Commission shall dismiss with |
prejudice any docket that had been initiated to investigate the |
electric delivery services tariffs filed pursuant to Section |
9-201 of this Act, and such tariffs and the record related |
thereto shall not be the subject of any further hearing, |
investigation, or proceeding of any kind related to rates for |
|
electric delivery services. |
The performance-based formula rate shall be implemented |
through a tariff filed with the Commission consistent with the |
provisions of this subsection (c) that shall be applicable to |
all delivery services customers. The Commission shall initiate |
and conduct an investigation of the tariff in a manner |
consistent with the provisions of this subsection (c) and the |
provisions of Article IX of this Act to the extent they do not |
conflict with this subsection (c). Except in the case where the |
Commission finds, after notice and hearing, that a |
participating utility is not satisfying its investment amount |
commitments under subsection (b) of this Section, the |
performance-based formula rate shall remain in effect at the |
discretion of the utility. The performance-based formula rate |
approved by the Commission shall do the following: |
(1) Provide for the recovery of the utility's actual |
costs of delivery services that are prudently incurred and |
reasonable in amount consistent with Commission practice |
and law. The sole fact that a cost differs from that |
incurred in a prior calendar year or that an investment is |
different from that made in a prior calendar year shall not |
imply the imprudence or unreasonableness of that cost or |
investment. |
(2) Reflect the utility's actual year-end capital |
structure for the applicable calendar year, excluding |
goodwill, subject to a determination of prudence and |
|
reasonableness consistent with Commission practice and |
law. |
(3) Include a cost of equity, which shall be calculated |
as the sum of the following: |
(A) the average for the applicable calendar year of |
the monthly average yields of 30-year U.S. Treasury |
bonds published by the Board of Governors of the |
Federal Reserve System in its weekly H.15 Statistical |
Release or successor publication; and |
(B) 580 basis points. |
At such time as the Board of Governors of the Federal |
Reserve System ceases to include the monthly average yields |
of 30-year U.S. Treasury bonds in its weekly H.15 |
Statistical Release or successor publication, the monthly |
average yields of the U.S. Treasury bonds then having the |
longest duration published by the Board of Governors in its |
weekly H.15 Statistical Release or successor publication |
shall instead be used for purposes of this paragraph (3). |
(4) Permit and set forth protocols, subject to a |
determination of prudence and reasonableness consistent |
with Commission practice and law, for the following: |
(A) recovery of incentive compensation expense |
that is based on the achievement of operational |
metrics, including metrics related to budget controls, |
outage duration and frequency, safety, customer |
service, efficiency and productivity, and |
|
environmental compliance. Incentive compensation |
expense that is based on net income or an affiliate's |
earnings per share shall not be recoverable under the |
performance-based formula rate; |
(B) recovery of pension and other post-employment |
benefits expense, provided that such costs are |
supported by an actuarial study; |
(C) recovery of severance costs, provided that if |
the amount is over $3,700,000 for a participating |
utility that is a combination utility or $10,000,000 |
for a participating utility that serves more than 3 |
million retail customers, then the full amount shall be |
amortized consistent with subparagraph (F) of this |
paragraph (4); |
(D) investment return at a rate equal to the |
utility's weighted average cost of long-term debt, on |
the pension assets as, and in the amount, reported in |
Account 186 (or in such other Account or Accounts as |
such asset may subsequently be recorded) of the |
utility's most recently filed FERC Form 1, net of |
deferred tax benefits; |
(E) recovery of the expenses related to the |
Commission proceeding under this subsection (c) to |
approve this performance-based formula rate and |
initial rates or to subsequent proceedings related to |
the formula, provided that the recovery shall be |
|
amortized over a 3-year period; recovery of expenses |
related to the annual Commission proceedings under |
subsection (d) of this Section to review the inputs to |
the performance-based formula rate shall be expensed |
and recovered through the performance-based formula |
rate; |
(F) amortization over a 5-year period of the full |
amount of each charge or credit that exceeds $3,700,000 |
for a participating utility that is a combination |
utility or $10,000,000 for a participating utility |
that serves more than 3 million retail customers in the |
applicable calendar year and that relates to a |
workforce reduction program's severance costs, changes |
in accounting rules, changes in law, compliance with |
any Commission-initiated audit, or a single storm or |
other similar expense, provided that any unamortized |
balance shall be reflected in rate base. For purposes |
of this subparagraph (F), changes in law includes any |
enactment, repeal, or amendment in a law, ordinance, |
rule, regulation, interpretation, permit, license, |
consent, or order, including those relating to taxes, |
accounting, or to environmental matters, or in the |
interpretation or application thereof by any |
governmental authority occurring after October 26, |
2011 ( the effective date of Public Act 97-616) this |
amendatory Act of the 97th General Assembly ; |
|
(G) recovery of existing regulatory assets over |
the periods previously authorized by the Commission; |
(H) historical weather normalized billing |
determinants; and |
(I) allocation methods for common costs. |
(5) Provide that if the participating utility's earned |
rate of return on common equity related to the provision of |
delivery services for the prior rate year (calculated using |
costs and capital structure approved by the Commission as |
provided in subparagraph (2) of this subsection (c), |
consistent with this Section, in accordance with |
Commission rules and orders, including, but not limited to, |
adjustments for goodwill, and after any Commission-ordered |
disallowances and taxes) is more than 50 basis points |
higher than the rate of return on common equity calculated |
pursuant to paragraph (3) of this subsection (c) (after |
adjusting for any penalties to the rate of return on common |
equity applied pursuant to the performance metrics |
provision of subsection (f) of this Section), then the |
participating utility shall apply a credit through the |
performance-based formula rate that reflects an amount |
equal to the value of that portion of the earned rate of |
return on common equity that is more than 50 basis points |
higher than the rate of return on common equity calculated |
pursuant to paragraph (3) of this subsection (c) (after |
adjusting for any penalties to the rate of return on common |
|
equity applied pursuant to the performance metrics |
provision of subsection (f) of this Section) for the prior |
rate year, adjusted for taxes. If the participating |
utility's earned rate of return on common equity related to |
the provision of delivery services for the prior rate year |
(calculated using costs and capital structure approved by |
the Commission as provided in subparagraph (2) of this |
subsection (c), consistent with this Section, in |
accordance with Commission rules and orders, including, |
but not limited to, adjustments for goodwill, and after any |
Commission-ordered disallowances and taxes) is more than |
50 basis points less than the return on common equity |
calculated pursuant to paragraph (3) of this subsection (c) |
(after adjusting for any penalties to the rate of return on |
common equity applied pursuant to the performance metrics |
provision of subsection (f) of this Section), then the |
participating utility shall apply a charge through the |
performance-based formula rate that reflects an amount |
equal to the value of that portion of the earned rate of |
return on common equity that is more than 50 basis points |
less than the rate of return on common equity calculated |
pursuant to paragraph (3) of this subsection (c) (after |
adjusting for any penalties to the rate of return on common |
equity applied pursuant to the performance metrics |
provision of subsection (f) of this Section) for the prior |
rate year, adjusted for taxes. |
|
(6) Provide for an annual reconciliation, as described |
in subsection (d) of this Section, with interest, of the |
revenue requirement reflected in rates for each calendar |
year, beginning with the calendar year in which the utility |
files its performance-based formula rate tariff pursuant |
to subsection (c) of this Section, with what the revenue |
requirement would have been had the actual cost information |
for the applicable calendar year been available at the |
filing date. |
The utility shall file, together with its tariff, final |
data based on its most recently filed FERC Form 1, plus |
projected plant additions and correspondingly updated |
depreciation reserve and expense for the calendar year in which |
the tariff and data are filed, that shall populate the |
performance-based formula rate and set the initial delivery |
services rates under the formula. For purposes of this Section, |
"FERC Form 1" means the Annual Report of Major Electric |
Utilities, Licensees and Others that electric utilities are |
required to file with the Federal Energy Regulatory Commission |
under the Federal Power Act, Sections 3, 4(a), 304 and 209, |
modified as necessary to be consistent with 83 Ill. Admin. Code |
Part 415 as of May 1, 2011. Nothing in this Section is intended |
to allow costs that are not otherwise recoverable to be |
recoverable by virtue of inclusion in FERC Form 1. |
After the utility files its proposed performance-based |
formula rate structure and protocols and initial rates, the |
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Commission shall initiate a docket to review the filing. The |
Commission shall enter an order approving, or approving as |
modified, the performance-based formula rate, including the |
initial rates, as just and reasonable within 270 days after the |
date on which the tariff was filed, or, if the tariff is filed |
within 14 days after October 26, 2011 ( the effective date of |
Public Act 97-616) this amendatory Act of the 97th General |
Assembly , then by May 31, 2012. Such review shall be based on |
the same evidentiary standards, including, but not limited to, |
those concerning the prudence and reasonableness of the costs |
incurred by the utility, the Commission applies in a hearing to |
review a filing for a general increase in rates under Article |
IX of this Act. The initial rates shall take effect within 30 |
days after the Commission's order approving the |
performance-based formula rate tariff. |
Until such time as the Commission approves a different rate |
design and cost allocation pursuant to subsection (e) of this |
Section, rate design and cost allocation across customer |
classes shall be consistent with the Commission's most recent |
order regarding the participating utility's request for a |
general increase in its delivery services rates. |
Subsequent changes to the performance-based formula rate |
structure or protocols shall be made as set forth in Section |
9-201 of this Act, but nothing in this subsection (c) is |
intended to limit the Commission's authority under Article IX |
and other provisions of this Act to initiate an investigation |
|
of a participating utility's performance-based formula rate |
tariff, provided that any such changes shall be consistent with |
paragraphs (1) through (6) of this subsection (c). Any change |
ordered by the Commission shall be made at the same time new |
rates take effect following the Commission's next order |
pursuant to subsection (d) of this Section, provided that the |
new rates take effect no less than 30 days after the date on |
which the Commission issues an order adopting the change. |
A participating utility that files a tariff pursuant to |
this subsection (c) must submit a one-time $200,000 filing fee |
at the time the Chief Clerk of the Commission accepts the |
filing, which shall be a recoverable expense. |
In the event the performance-based formula rate is |
terminated, the then current rates shall remain in effect until |
such time as new rates are set pursuant to Article IX of this |
Act, subject to retroactive rate adjustment, with interest, to |
reconcile rates charged with actual costs. At such time that |
the performance-based formula rate is terminated, the |
participating utility's voluntary commitments and obligations |
under subsection (b) of this Section shall immediately |
terminate, except for the utility's obligation to pay an amount |
already owed to the fund for training grants pursuant to a |
Commission order issued under subsection (b) of this Section. |
(d) Subsequent to the Commission's issuance of an order |
approving the utility's performance-based formula rate |
structure and protocols, and initial rates under subsection (c) |
|
of this Section, the utility shall file, on or before May 1 of |
each year, with the Chief Clerk of the Commission its updated |
cost inputs to the performance-based formula rate for the |
applicable rate year and the corresponding new charges. Each |
such filing shall conform to the following requirements and |
include the following information: |
(1) The inputs to the performance-based formula rate |
for the applicable rate year shall be based on final |
historical data reflected in the utility's most recently |
filed annual FERC Form 1 plus projected plant additions and |
correspondingly updated depreciation reserve and expense |
for the calendar year in which the inputs are filed. The |
filing shall also include a reconciliation of the revenue |
requirement that was in effect for the prior rate year (as |
set by the cost inputs for the prior rate year) with the |
actual revenue requirement for the prior rate year |
(determined using a year-end rate base) that uses amounts |
reflected in the applicable FERC Form 1 that reports the |
actual costs for the prior rate year. Any over-collection |
or under-collection indicated by such reconciliation shall |
be reflected as a credit against, or recovered as an |
additional charge to, respectively, with interest |
calculated at a rate equal to the utility's weighted |
average cost of capital approved by the Commission for the |
prior rate year, the charges for the applicable rate year. |
Provided, however, that the first such reconciliation |
|
shall be for the calendar year in which the utility files |
its performance-based formula rate tariff pursuant to |
subsection (c) of this Section and shall reconcile (i) the |
revenue requirement or requirements established by the |
rate order or orders in effect from time to time during |
such calendar year (weighted, as applicable) with (ii) the |
revenue requirement determined using a year-end rate base |
for that calendar year calculated pursuant to the |
performance-based formula rate using (A) actual costs for |
that year as reflected in the applicable FERC Form 1, and |
(B) for the first such reconciliation only, the cost of |
equity, which shall be calculated as the sum of 590 basis |
points plus the average for the applicable calendar year of |
the monthly average yields of 30-year U.S. Treasury bonds |
published by the Board of Governors of the Federal Reserve |
System in its weekly H.15 Statistical Release or successor |
publication. The first such reconciliation is not intended |
to provide for the recovery of costs previously excluded |
from rates based on a prior Commission order finding of |
imprudence or unreasonableness. Each reconciliation shall |
be certified by the participating utility in the same |
manner that FERC Form 1 is certified. The filing shall also |
include the charge or credit, if any, resulting from the |
calculation required by paragraph (6) of subsection (c) of |
this Section. |
Notwithstanding anything that may be to the contrary, |
|
the intent of the reconciliation is to ultimately reconcile |
the revenue requirement reflected in rates for each |
calendar year, beginning with the calendar year in which |
the utility files its performance-based formula rate |
tariff pursuant to subsection (c) of this Section, with |
what the revenue requirement determined using a year-end |
rate base for the applicable calendar year would have been |
had the actual cost information for the applicable calendar |
year been available at the filing date. |
(2) The new charges shall take effect beginning on the |
first billing day of the following January billing period |
and remain in effect through the last billing day of the |
next December billing period regardless of whether the |
Commission enters upon a hearing pursuant to this |
subsection (d). |
(3) The filing shall include relevant and necessary |
data and documentation for the applicable rate year that is |
consistent with the Commission's rules applicable to a |
filing for a general increase in rates or any rules adopted |
by the Commission to implement this Section. Normalization |
adjustments shall not be required. Notwithstanding any |
other provision of this Section or Act or any rule or other |
requirement adopted by the Commission, a participating |
utility that is a combination utility with more than one |
rate zone shall not be required to file a separate set of |
such data and documentation for each rate zone and may |
|
combine such data and documentation into a single set of |
schedules. |
Within 45 days after the utility files its annual update of |
cost inputs to the performance-based formula rate, the |
Commission shall have the authority, either upon complaint or |
its own initiative, but with reasonable notice, to enter upon a |
hearing concerning the prudence and reasonableness of the costs |
incurred by the utility to be recovered during the applicable |
rate year that are reflected in the inputs to the |
performance-based formula rate derived from the utility's FERC |
Form 1. During the course of the hearing, each objection shall |
be stated with particularity and evidence provided in support |
thereof, after which the utility shall have the opportunity to |
rebut the evidence. Discovery shall be allowed consistent with |
the Commission's Rules of Practice, which Rules shall be |
enforced by the Commission or the assigned hearing examiner. |
The Commission shall apply the same evidentiary standards, |
including, but not limited to, those concerning the prudence |
and reasonableness of the costs incurred by the utility, in the |
hearing as it would apply in a hearing to review a filing for a |
general increase in rates under Article IX of this Act. The |
Commission shall not, however, have the authority in a |
proceeding under this subsection (d) to consider or order any |
changes to the structure or protocols of the performance-based |
formula rate approved pursuant to subsection (c) of this |
Section. In a proceeding under this subsection (d), the |
|
Commission shall enter its order no later than the earlier of |
240 days after the utility's filing of its annual update of |
cost inputs to the performance-based formula rate or December |
31. The Commission's determinations of the prudence and |
reasonableness of the costs incurred for the applicable |
calendar year shall be final upon entry of the Commission's |
order and shall not be subject to reopening, reexamination, or |
collateral attack in any other Commission proceeding, case, |
docket, order, rule or regulation, provided, however, that |
nothing in this subsection (d) shall prohibit a party from |
petitioning the Commission to rehear or appeal to the courts |
the order pursuant to the provisions of this Act. |
In the event the Commission does not, either upon complaint |
or its own initiative, enter upon a hearing within 45 days |
after the utility files the annual update of cost inputs to its |
performance-based formula rate, then the costs incurred for the |
applicable calendar year shall be deemed prudent and |
reasonable, and the filed charges shall not be subject to |
reopening, reexamination, or collateral attack in any other |
proceeding, case, docket, order, rule, or regulation. |
A participating utility's first filing of the updated cost |
inputs, and any Commission investigation of such inputs |
pursuant to this subsection (d) shall proceed notwithstanding |
the fact that the Commission's investigation under subsection |
(c) of this Section is still pending and notwithstanding any |
other law, order, rule, or Commission practice to the contrary. |
|
(e) Nothing in subsections (c) or (d) of this Section shall |
prohibit the Commission from investigating, or a participating |
utility from filing, revenue-neutral tariff changes related to |
rate design of a performance-based formula rate that has been |
placed into effect for the utility. Following approval of a |
participating utility's performance-based formula rate tariff |
pursuant to subsection (c) of this Section, the utility shall |
make a filing with the Commission within one year after the |
effective date of the performance-based formula rate tariff |
that proposes changes to the tariff to incorporate the findings |
of any final rate design orders of the Commission applicable to |
the participating utility and entered subsequent to the |
Commission's approval of the tariff. The Commission shall, |
after notice and hearing, enter its order approving, or |
approving with modification, the proposed changes to the |
performance-based formula rate tariff within 240 days after the |
utility's filing. Following such approval, the utility shall |
make a filing with the Commission during each subsequent 3-year |
period that either proposes revenue-neutral tariff changes or |
re-files the existing tariffs without change, which shall |
present the Commission with an opportunity to suspend the |
tariffs and consider revenue-neutral tariff changes related to |
rate design. |
(f) Within 30 days after the filing of a tariff pursuant to |
subsection (c) of this Section, each participating utility |
shall develop and file with the Commission multi-year metrics |
|
designed to achieve, ratably (i.e., in equal segments) over a |
10-year period, improvement over baseline performance values |
as follows: |
(1) Twenty percent improvement in the System Average |
Interruption Frequency Index, using a baseline of the |
average of the data from 2001 through 2010. |
(2) Fifteen percent improvement in the system Customer |
Average Interruption Duration Index, using a baseline of |
the average of the data from 2001 through 2010. |
(3) For a participating utility other than a |
combination utility, 20% improvement in the System Average |
Interruption Frequency Index for its Southern Region, |
using a baseline of the average of the data from 2001 |
through 2010. For purposes of this paragraph (3), Southern |
Region shall have the meaning set forth in the |
participating utility's most recent report filed pursuant |
to Section 16-125 of this Act. |
(3.5) For a participating utility other than a |
combination utility, 20% improvement in the System Average |
Interruption Frequency Index for its Northeastern Region, |
using a baseline of the average of the data from 2001 |
through 2010. For purposes of this paragraph (3.5), |
Northeastern Region shall have the meaning set forth in the |
participating utility's most recent report filed pursuant |
to Section 16-125 of this Act. |
(4) Seventy-five percent improvement in the total |
|
number of customers who exceed the service reliability |
targets as set forth in subparagraphs (A) through (C) of |
paragraph (4) of subsection (b) of 83 Ill. Admin. Code Part |
411.140 as of May 1, 2011, using 2010 as the baseline year. |
(5) Reduction in issuance of estimated electric bills: |
90% improvement for a participating utility other than a |
combination utility, and 56% improvement for a |
participating utility that is a combination utility, using |
a baseline of the average number of estimated bills for the |
years 2008 through 2010. |
(6) Consumption on inactive meters: 90% improvement |
for a participating utility other than a combination |
utility, and 56% improvement for a participating utility |
that is a combination utility, using a baseline of the |
average unbilled kilowatthours for the years 2009 and 2010. |
(7) Unaccounted for energy: 50% improvement for a |
participating utility other than a combination utility |
using a baseline of the non-technical line loss unaccounted |
for energy kilowatthours for the year 2009. |
(8) Uncollectible expense: reduce uncollectible |
expense by at least $30,000,000 for a participating utility |
other than a combination utility and by at least $3,500,000 |
for a participating utility that is a combination utility, |
using a baseline of the average uncollectible expense for |
the years 2008 through 2010. |
(9) Opportunities for minority-owned and female-owned |
|
business enterprises: design a performance metric |
regarding the creation of opportunities for minority-owned |
and female-owned business enterprises consistent with |
State and federal law using a base performance value of the |
percentage of the participating utility's capital |
expenditures that were paid to minority-owned and |
female-owned business enterprises in 2010. |
The definitions set forth in 83 Ill. Admin. Code Part |
411.20 as of May 1, 2011 shall be used for purposes of |
calculating performance under paragraphs (1) through (3.5) of |
this subsection (f), provided, however, that the participating |
utility may exclude up to 9 extreme weather event days from |
such calculation for each year, and provided further that the
|
participating utility shall exclude 9 extreme weather event |
days when calculating each year of the baseline period to the |
extent that there are 9 such days in a given year of the |
baseline period. For purposes of this Section, an extreme |
weather event day is a 24-hour calendar day (beginning at 12:00 |
a.m. and ending at 11:59 p.m.) during which any weather event |
(e.g., storm, tornado) caused interruptions for 10,000 or more |
of the participating utility's customers for 3 hours or more. |
If there are more than 9 extreme weather event days in a year, |
then the utility may choose no more than 9 extreme weather |
event days to exclude, provided that the same extreme weather |
event days are excluded from each of the calculations performed |
under paragraphs (1) through (3.5) of this subsection (f). |
|
The metrics shall include incremental performance goals |
for each year of the 10-year period, which shall be designed to |
demonstrate that the utility is on track to achieve the |
performance goal in each category at the end of the 10-year |
period. The utility shall elect when the 10-year period shall |
commence for the metrics set forth in subparagraphs (1) through |
(4) and (9) of this subsection (f), provided that it begins no |
later than 14 months following the date on which the utility |
begins investing pursuant to subsection (b) of this Section, |
and when the 10-year period shall commence for the metrics set |
forth in subparagraphs (5) through (8) of this subsection (f), |
provided that it begins no later than 14 months following the |
date on which the Commission enters its order approving the |
utility's Advanced Metering Infrastructure Deployment Plan |
pursuant to subsection (c) of Section 16-108.6 of this Act. |
The metrics and performance goals set forth in |
subparagraphs (5) through (8) of this subsection (f) are based |
on the assumptions that the participating utility may fully |
implement the technology described in subsection (b) of this |
Section, including utilizing the full functionality of such |
technology and that there is no requirement for personal |
on-site notification. If the utility is unable to meet the |
metrics and performance goals set forth in subparagraphs (5) |
through (8) of this subsection (f) for such reasons, and the |
Commission so finds after notice and hearing, then the utility |
shall be excused from compliance, but only to the limited |
|
extent achievement of the affected metrics and performance |
goals was hindered by the less than full implementation. |
(f-5) The financial penalties applicable to the metrics |
described in subparagraphs (1) through (8) of subsection (f) of |
this Section, as applicable, shall be applied through an |
adjustment to the participating utility's return on equity of |
no more than a total of 30 basis points in each of the first 3 |
years, of no more than a total of 34 basis points
in each of the |
3 years thereafter, and of no more than a total of 38 basis |
points in each
of the 4 years thereafter, as follows: |
(1) With respect to each of the incremental annual |
performance goals established pursuant to paragraph (1) of |
subsection (f) of this Section, |
(A) for each year that a participating utility |
other than a combination utility does not achieve the |
annual goal, the participating utility's return on |
equity shall be reduced as
follows: during years 1 |
through 3, by 5 basis points; during years 4 through 6, |
by 6 basis points; and during years 7 through 10, by 7 |
basis points; and |
(B) for each year that a participating utility that |
is a combination utility does not achieve the annual |
goal, the participating utility's return on equity |
shall be reduced as follows: during years 1 through 3, |
by 10 basis points; during years 4 through 6, by 12
|
basis points; and during years 7 through 10, by 14 |
|
basis points. |
(2) With respect to each of the incremental annual |
performance goals established pursuant to paragraph (2) of |
subsection (f) of this Section, for each year that the |
participating utility does not achieve each such goal, the |
participating utility's return on equity shall be reduced |
as follows: during years 1 through 3, by 5 basis points; |
during years 4
through 6, by 6 basis points; and during |
years 7 through 10, by 7 basis points. |
(3) With respect to each of the incremental annual |
performance goals established
pursuant to paragraphs (3) |
and (3.5) of subsection (f) of this Section, for each year |
that a participating utility other than a combination |
utility does not achieve both such
goals, the participating |
utility's return on equity shall be reduced as follows: |
during years 1 through 3, by 5 basis points; during years 4 |
through 6, by 6 basis points; and during years 7 through |
10, by 7 basis points. |
(4) With respect to each of the incremental annual |
performance goals established
pursuant to paragraph (4) of |
subsection (f) of this Section, for each year that the |
participating utility does not achieve each such goal, the |
participating utility's return
on equity shall be reduced |
as follows: during years 1 through 3, by 5 basis points;
|
during years 4 through 6, by 6 basis points; and during |
years 7 through 10, by 7 basis points. |
|
(5) With respect to each of the incremental annual |
performance goals established pursuant to subparagraph (5) |
of subsection (f) of this Section, for each year that the |
participating utility does not achieve at least 95% of each |
such goal, the participating utility's return on equity |
shall be reduced by 5 basis points for each such unachieved |
goal. |
(6) With respect to each of the incremental annual |
performance goals established pursuant to paragraphs (6), |
(7), and (8) of subsection (f) of this Section, as |
applicable, which together measure non-operational |
customer savings and benefits
relating to the |
implementation of the Advanced Metering Infrastructure |
Deployment
Plan, as defined in Section 16-108.6 of this |
Act, the performance under each such goal shall be |
calculated in terms of the percentage of the goal achieved. |
The percentage of goal achieved for each of the goals shall |
be aggregated, and an average percentage value calculated, |
for each year of the 10-year period. If the utility does |
not achieve an average percentage value in a given year of |
at least 95%, the participating utility's return on equity |
shall be reduced by 5 basis points. |
The financial penalties shall be applied as described in |
this subsection (f-5) for the 12-month period in which the |
deficiency occurred through a separate tariff mechanism, which |
shall be filed by the utility together with its metrics. In the |
|
event the formula rate tariff established pursuant to |
subsection (c) of this Section terminates, the utility's |
obligations under subsection (f) of this Section and this |
subsection (f-5) shall also terminate, provided, however, that |
the tariff mechanism established pursuant to subsection (f) of |
this Section and this subsection (f-5) shall remain in effect |
until any penalties due and owing at the time of such |
termination are applied. |
The Commission shall, after notice and hearing, enter an |
order within 120 days after the metrics are filed approving, or |
approving with modification, a participating utility's tariff |
or mechanism to satisfy the metrics set forth in subsection (f) |
of this Section. On June 1 of each subsequent year, each |
participating utility shall file a report with the Commission |
that includes, among other things, a description of how the |
participating utility performed under each metric and an |
identification of any extraordinary events that adversely |
impacted the utility's performance. Whenever a participating |
utility does not satisfy the metrics required pursuant to |
subsection (f) of this Section, the Commission shall, after |
notice and hearing, enter an order approving financial |
penalties in accordance with this subsection (f-5). The |
Commission-approved financial penalties shall be applied |
beginning with the next rate year. Nothing in this Section |
shall authorize the Commission to reduce or otherwise obviate |
the imposition of financial penalties for failing to achieve |
|
one or more of the metrics established pursuant to subparagraph |
(1) through (4) of subsection (f) of this Section. |
(g) On or before July 31, 2014, each participating utility |
shall file a report with the Commission that sets forth the |
average annual increase in the average amount paid per |
kilowatthour for residential eligible retail customers, |
exclusive of the effects of energy efficiency programs, |
comparing the 12-month period ending May 31, 2012; the 12-month |
period ending May 31, 2013; and the 12-month period ending May |
31, 2014. For a participating utility that is a combination |
utility with more than one rate zone, the weighted average |
aggregate increase shall be provided. The report shall be filed |
together with a statement from an independent auditor attesting |
to the accuracy of the report. The cost of the independent |
auditor shall be borne by the participating utility and shall |
not be a recoverable expense. "The average amount paid per |
kilowatthour" shall be based on the participating utility's |
tariffed rates actually in effect and shall not be calculated |
using any hypothetical rate or adjustments to actual charges |
(other than as specified for energy efficiency) as an input. |
In the event that the average annual increase exceeds 2.5% |
as calculated pursuant to this subsection (g), then Sections |
16-108.5, 16-108.6, 16-108.7, and 16-108.8 of this Act, other |
than this subsection, shall be inoperative as they relate to |
the utility and its service area as of the date of the report |
due to be submitted pursuant to this subsection and the utility |
|
shall no longer be eligible to annually update the |
performance-based formula rate tariff pursuant to subsection |
(d) of this Section. In such event, the then current rates |
shall remain in effect until such time as new rates are set |
pursuant to Article IX of this Act, subject to retroactive |
adjustment, with interest, to reconcile rates charged with |
actual costs, and the participating utility's voluntary |
commitments and obligations under subsection (b) of this |
Section shall immediately terminate, except for the utility's |
obligation to pay an amount already owed to the fund for |
training grants pursuant to a Commission order issued under |
subsection (b) of this Section. |
In the event that the average annual increase is 2.5% or |
less as calculated pursuant to this subsection (g), then the |
performance-based formula rate shall remain in effect as set |
forth in this Section. |
For purposes of this Section, the amount per kilowatthour |
means the total amount paid for electric service expressed on a |
per kilowatthour basis, and the total amount paid for electric |
service includes without limitation amounts paid for supply, |
transmission, distribution, surcharges, and add-on taxes |
exclusive of any increases in taxes or new taxes imposed after |
October 26, 2011 ( the effective date of Public Act 97-616) this |
amendatory Act of the 97th General Assembly . For purposes of |
this Section, "eligible retail customers" shall have the |
meaning set forth in Section 16-111.5 of this Act. |
|
The fact that this Section becomes inoperative as set forth |
in this subsection shall not be construed to mean that the |
Commission may reexamine or otherwise reopen prudence or |
reasonableness determinations already made. |
(h) Sections 16-108.5, 16-108.6, 16-108.7, and 16-108.8 of |
this Act, other than this subsection, are inoperative after |
December 31, 2019 for every participating utility, after which |
time a participating utility shall no longer be eligible to |
annually update the performance-based formula rate tariff |
pursuant to subsection (d) of this Section. At such time, the |
then current rates shall remain in effect until such time as |
new rates are set pursuant to Article IX of this Act, subject |
to retroactive adjustment, with interest, to reconcile rates |
charged with actual costs. |
By December 31, 2017, the Commission shall prepare and file |
with the General Assembly a report on the infrastructure |
program and the performance-based formula rate. The report |
shall include the change in the average amount per kilowatthour |
paid by residential customers between June 1, 2011 and May 31, |
2017. If the change in the total average rate paid exceeds 2.5% |
compounded annually, the Commission shall include in the report |
an analysis that shows the portion of the change due to the |
delivery services component and the portion of the change due |
to the supply component of the rate. The report shall include |
separate sections for each participating utility. |
In the event Sections 16-108.5, 16-108.6, 16-108.7, and |
|
16-108.8 of this Act do not become inoperative after December |
31, 2019, then these Sections are inoperative after December |
31, 2022 for every participating utility, after which time a |
participating utility shall no longer be eligible to annually |
update the performance-based formula rate tariff pursuant to |
subsection (d) of this Section. At such time, the then current |
rates shall remain in effect until such time as new rates are |
set pursuant to Article IX of this Act, subject to retroactive |
adjustment, with interest, to reconcile rates charged with |
actual costs. |
The fact that this Section becomes inoperative as set forth |
in this subsection shall not be construed to mean that the |
Commission may reexamine or otherwise reopen prudence or |
reasonableness determinations already made. |
(i) While a participating utility may use, develop, and |
maintain broadband systems and the delivery of broadband |
services, voice-over-internet-protocol services, |
telecommunications services, and cable and video programming |
services for use in providing delivery services and Smart Grid |
functionality or application to its retail customers, |
including, but not limited to, the installation, |
implementation and maintenance of Smart Grid electric system |
upgrades as defined in Section 16-108.6 of this Act, a |
participating utility is prohibited from offering to its retail |
customers broadband services or the delivery of broadband |
services, voice-over-internet-protocol services, |
|
telecommunications services, or cable or video programming |
services, unless they are part of a service directly related to |
delivery services or Smart Grid functionality or applications |
as defined in Section 16-108.6 of this Act, and from recovering |
the costs of such offerings from retail customers. |
(j) Nothing in this Section is intended to legislatively |
overturn the opinion issued in Commonwealth Edison Co. v. Ill. |
Commerce Comm'n, Nos. 2-08-0959, 2-08-1037, 2-08-1137, |
1-08-3008, 1-08-3030, 1-08-3054, 1-08-3313 cons. (Ill. App. |
Ct. 2d Dist. Sept. 30, 2010). Public Act 97-616 This amendatory |
Act of the 97th General Assembly shall not be construed as |
creating a contract between the General Assembly and the |
participating utility, and shall not establish a property right |
in the participating utility.
|
(k) The changes made in subsections (c) and (d) of this |
Section by Public Act 98-15 this amendatory Act of the 98th |
General Assembly are intended to be a restatement and |
clarification of existing law, and intended to give binding |
effect to the provisions of House Resolution 1157 adopted by |
the House of Representatives of the 97th General Assembly and |
Senate Resolution 821 adopted by the Senate of the 97th General |
Assembly that are reflected in paragraph (3) of this |
subsection. In addition, Public Act 98-15 this amendatory Act |
of the 98th General Assembly preempts and supersedes any final |
Commission orders entered in Docket Nos. 11-0721, 12-0001, |
12-0293, and 12-0321 to the extent inconsistent with the |
|
amendatory language added to subsections (c) and (d). |
(1) No earlier than 5 business days after May 22, 2013 |
( the effective date of Public Act 98-15) this amendatory |
Act of the 98th General Assembly , each participating |
utility shall file any tariff changes necessary to |
implement the amendatory language set forth in subsections |
(c) and (d) of this Section by Public Act 98-15 this |
amendatory Act of the 98th General Assembly and a revised |
revenue requirement under the participating utility's |
performance-based formula rate. The Commission shall enter |
a final order approving such tariff changes and revised |
revenue requirement within 21 days after the participating |
utility's filing. |
(2) Notwithstanding anything that may be to the |
contrary, a participating utility may file a tariff to |
retroactively recover its previously unrecovered actual |
costs of delivery service that are no longer subject to |
recovery through a reconciliation adjustment under |
subsection (d) of this Section. This retroactive recovery |
shall include any derivative adjustments resulting from |
the changes to subsections (c) and (d) of this Section by |
Public Act 98-15 this amendatory Act of the 98th General |
Assembly . Such tariff shall allow the utility to assess, on |
current customer bills over a period of 12 monthly billing |
periods, a charge or credit related to those unrecovered |
costs with interest at the utility's weighted average cost |
|
of capital during the period in which those costs were |
unrecovered. A participating utility may file a tariff that |
implements a retroactive charge or credit as described in |
this paragraph for amounts not otherwise included in the |
tariff filing provided for in paragraph (1) of this |
subsection (k). The Commission shall enter a final order |
approving such tariff within 21 days after the |
participating utility's filing. |
(3) The tariff changes described in paragraphs (1) and |
(2) of this subsection (k) shall relate only to, and be |
consistent with, the following provisions of Public Act |
98-15 this amendatory Act of the 98th General Assembly : |
paragraph (2) of subsection (c) regarding year-end capital |
structure, subparagraph (D) of paragraph (4) of subsection |
(c) regarding pension assets, and subsection (d) regarding |
the reconciliation components related to year-end rate |
base and interest calculated at a rate equal to the |
utility's weighted average cost of capital. |
(4) Nothing in this subsection is intended to effect a |
dismissal of or otherwise affect an appeal from any final |
Commission orders entered in Docket Nos. 11-0721, 12-0001, |
12-0293, and 12-0321 other than to the extent of the |
amendatory language contained in subsections (c) and (d) of |
this Section of Public Act 98-15 this amendatory Act of the |
98th General Assembly . |
(l) Each participating utility shall be deemed to have been |
|
in full compliance with all requirements of subsection (b) of |
this Section, subsection (c) of this Section, Section 16-108.6 |
of this Act, and all Commission orders entered pursuant to |
Sections 16-108.5 and 16-108.6 of this Act, up to and including |
May 22, 2013 ( the effective date of Public Act 98-15) this |
amendatory Act of the 98th General Assembly . The Commission |
shall not undertake any investigation of such compliance and no |
penalty shall be assessed or adverse action taken against a |
participating utility for noncompliance with Commission orders |
associated with subsection (b) of this Section, subsection (c) |
of this Section, and Section 16-108.6 of this Act prior to such |
date. Each participating utility other than a combination |
utility shall be permitted, without penalty, a period of 12 |
months after such effective date to take actions required to |
ensure its infrastructure investment program is in compliance |
with subsection (b) of this Section and with Section 16-108.6 |
of this Act. Provided further : (1) if this amendatory Act of |
the 98th General Assembly takes effect on or before June 15, |
2013 , the following subparagraphs shall apply to a |
participating utility other than a combination utility: |
(A) if the Commission has initiated a proceeding |
pursuant to subsection (e) of Section 16-108.6 of this Act |
that is pending as of May 22, 2013 ( the effective date of |
Public Act 98-15) this amendatory Act of the 98th General |
Assembly , then the order entered in such proceeding shall, |
after notice and hearing, accelerate the commencement of |
|
the meter deployment schedule approved in the final |
Commission order on rehearing entered in Docket No. |
12-0298; |
(B) if the Commission has entered an order pursuant to |
subsection (e) of Section 16-108.6 of this Act prior to May |
22, 2013 ( the effective date of Public Act 98-15) this |
amendatory Act of the 98th General Assembly that does not |
accelerate the commencement of the meter deployment |
schedule approved in the final Commission order on |
rehearing entered in Docket No. 12-0298, then the utility |
shall file with the Commission, within 45 days after such |
effective date, a plan for accelerating the commencement of |
the utility's meter deployment schedule approved in the |
final Commission order on rehearing entered in Docket No. |
12-0298; the Commission shall reopen the proceeding in |
which it entered its order pursuant to subsection (e) of |
Section 16-108.6 of this Act and shall, after notice and |
hearing, enter an amendatory order that approves or |
approves as modified such accelerated plan within 90 days |
after the utility's filing; or |
(C) if the Commission has not initiated a proceeding |
pursuant to subsection (e) of Section 16-108.6 of this Act |
prior to May 22, 2013 ( the effective date of Public Act |
98-15) this amendatory Act of the 98th General Assembly , |
then the utility shall file with the Commission, within 45 |
days after such effective date, a plan for accelerating the |
|
commencement of the utility's meter deployment schedule |
approved in the final Commission order on rehearing entered |
in Docket No. 12-0298 and the Commission shall, after |
notice and hearing, approve or approve as modified such |
plan within 90 days after the utility's filing ; . |
(2) if this amendatory Act of the 98th General Assembly |
takes effect after June 15, 2013, then each participating |
utility other than a combination utility shall file with |
the Commission, within 45 days after such effective date, a |
plan for accelerating the commencement of the utility's |
meter deployment schedule approved in the final Commission |
order on rehearing entered in Docket No. 12-0298; the |
Commission shall reopen the most recent proceeding in which |
it entered an order pursuant to subsection (e) of Section |
16-108.6 of this Act and within 90 days after the utility's |
filing shall, after notice and hearing, enter an amendatory |
order that approves or approves as modified such |
accelerated plan, provided that if there was no such prior |
proceeding the Commission shall open a new proceeding and |
within 90 days after the utility's filing shall, after |
notice and hearing, enter an order that approves or |
approves as modified such accelerated plan. |
Any schedule for meter deployment approved by the |
Commission pursuant to subparagraphs (1) or (2) of this |
subsection (l) shall take into consideration procurement times |
for meters and other equipment and operational issues. Nothing |
|
in Public Act 98-15 this amendatory Act of the 98th General |
Assembly shall shorten or extend the end dates for the 5-year |
or 10-year periods set forth in subsection (b) of this Section |
or Section 16-108.6 of this Act. Nothing in this subsection is |
intended to address whether a participating utility has, or has |
not, satisfied any or all of the metrics and performance goals |
established pursuant to subsection (f) of this Section. |
(m) The provisions of Public Act 98-15 this amendatory Act |
of the 98th General Assembly are severable under Section 1.31 |
of the Statute on Statutes. |
(Source: P.A. 98-15, eff. 5-22-13; 98-1175, eff. 6-1-15; |
99-143, eff. 7-27-15; revised 10-21-15.)
|
Section 320. The Illinois Athletic Trainers Practice Act is |
amended by changing Section 18 as follows:
|
(225 ILCS 5/18) (from Ch. 111, par. 7618)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 18. Investigations; notice and hearing. The |
Department may
investigate the actions of any applicant or of |
any person or persons
holding or claiming to hold a
license. |
The Department shall, before
refusing to issue or to renew a
|
license or disciplining a registrant,
at least 30 days prior to |
the date set for the hearing, notify in
writing
the applicant |
or licensee of the nature of the
charges and the time and place |
that a hearing will be held on the charges.
The Department |
|
shall direct the applicant or licensee to file a written
answer |
under oath within 20 days after the service of the
notice .
In |
case the person fails to file an answer after receiving notice, |
his or
her license or certificate may, in the discretion of the |
Department, be
suspended, revoked, or placed on probationary |
status, or the Department may
take whatever disciplinary action |
deemed proper, including limiting the
scope, nature, or extent |
of the person's practice or the imposition of a
fine, without a |
hearing, if the act or acts charged constitute sufficient
|
grounds for such action under this Act.
At
the time and place |
fixed in the notice, the Department shall proceed to hear the
|
charges, and the parties or their counsel shall be accorded |
ample
opportunity to present such statements, testimony, |
evidence, and argument
as may be pertinent to the charges or to |
their defense. The Department
may continue a hearing from time |
to time. The written notice and any notice in the subsequent |
proceeding may be served by registered or certified mail to the |
licensee's address of record.
|
(Source: P.A. 99-469, eff. 8-26-15; revised 10-9-15.)
|
Section 325. The Child Care Act of 1969 is amended by |
changing Section 2.06 as follows:
|
(225 ILCS 10/2.06) (from Ch. 23, par. 2212.06)
|
Sec. 2.06.
"Child care institution" means a child care |
facility where more than
7 children are received and maintained |
|
for the purpose of providing them
with care or training or |
both. The term "child care institution"
includes residential |
schools, primarily serving ambulatory children with |
disabilities, and those operating a full calendar year, but |
does not
include:
|
(a) any Any State-operated institution for child care |
established by
legislative action;
|
(b) any Any juvenile detention or shelter care home |
established and operated by any
county or child protection |
district established under the "Child
Protection Act";
|
(c) any Any institution, home, place or facility |
operating under a
license pursuant to the Nursing Home Care |
Act, the Specialized Mental Health Rehabilitation Act of |
2013, the ID/DD Community Care Act, or the MC/DD Act;
|
(d) any Any bona fide boarding school in which children |
are primarily
taught branches of education corresponding |
to those taught in public
schools, grades one through 12, |
or taught in public elementary schools,
high schools, or |
both elementary and high schools, and which operates on
a |
regular academic school year basis; or
|
(e) any Any facility licensed as a "group home"
as |
defined in this Act.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-9-15.)
|
Section 330. The Environmental Health Practitioner |
|
Licensing Act is amended by changing Section 130 as follows:
|
(225 ILCS 37/130)
|
(Section scheduled to be repealed on January 1, 2019)
|
Sec. 130. Illinois Administrative Procedure Act. The |
Illinois Administrative
Procedure Act is
expressly adopted and |
incorporated in this Act as if all of the provisions of
that |
Act were included in this Act, except that the provision of |
paragraph (c)
of Section 10-65 16 of the Illinois |
Administrative Procedure Act, which provides that
at hearings |
the certificate holder has the right to show compliance with |
all
lawful requirements for retention, or continuation , or |
renewal of the
certificate, is specifically excluded. For the |
purpose of this Act , the notice
required under Section 10-25 10 |
of the Illinois Administrative Procedure Act is
deemed
|
sufficient when mailed to the last known address of a party.
|
(Source: P.A. 89-61, eff. 6-30-95; revised 10-9-15.)
|
Section 335. The Patients' Right to Know Act is amended by |
changing Section 5 as follows:
|
(225 ILCS 61/5)
|
Sec. 5. Definitions. For purposes of this Act, the
|
following definitions shall have the following meanings,
|
except where the context requires otherwise: |
"Department" means the Department of Financial and |
|
Professional Regulation. |
"Disciplinary Board" means the Medical Disciplinary
Board. |
"Physician" means a person licensed under the
Medical |
Practice Act of 1987 to practice medicine in all of its
|
branches or a chiropractic physician licensed to treat human
|
ailments without the use of drugs and without
operative |
surgery. |
"Secretary" means the Secretary of the Department of |
Financial and Professional Regulation.
|
(Source: P.A. 97-280, eff. 8-9-11; revised 10-21-15.)
|
Section 340. The Nurse Practice Act is amended by changing |
Section 50-10 as follows:
|
(225 ILCS 65/50-10)
(was 225 ILCS 65/5-10)
|
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 50-10. Definitions. Each of the following terms, when |
used
in this Act, shall have the meaning ascribed to it in this |
Section, except
where the context clearly indicates otherwise:
|
"Academic year" means the customary annual schedule of |
courses at a
college, university, or approved school, |
customarily regarded as the school
year as distinguished from |
the calendar year.
|
"Advanced practice nurse" or "APN" means a person who has |
met the qualifications for a (i) certified nurse midwife (CNM); |
(ii) certified nurse practitioner (CNP); (iii) certified |
|
registered nurse anesthetist (CRNA); or (iv) clinical nurse |
specialist (CNS) and has been licensed by the Department. All |
advanced practice nurses licensed and practicing in the State |
of Illinois shall use the title APN and may use specialty |
credentials CNM, CNP, CRNA, or CNS after their name. All |
advanced practice nurses may only practice in accordance with |
national certification and this Act.
|
"Approved program of professional nursing education" and |
"approved
program of practical nursing education" are programs |
of professional or
practical nursing, respectively, approved |
by the Department under the
provisions of this Act.
|
"Board" means the Board of Nursing appointed by the |
Secretary. |
"Collaboration" means a process involving 2 or more health |
care professionals working together, each contributing one's |
respective area of expertise to provide more comprehensive |
patient care. |
"Consultation" means the process whereby an advanced |
practice nurse seeks the advice or opinion of another health |
care professional. |
"Credentialed" means the process of assessing and |
validating the qualifications of a health care professional. |
"Current nursing practice update course" means a planned |
nursing education curriculum approved by the Department |
consisting of activities that have educational objectives, |
instructional methods, content or subject matter, clinical |
|
practice, and evaluation methods, related to basic review and |
updating content and specifically planned for those nurses |
previously licensed in the United States or its territories and |
preparing for reentry into nursing practice. |
"Dentist" means a person licensed to practice dentistry |
under the Illinois Dental Practice Act. |
"Department" means the Department of Financial and |
Professional Regulation. |
"Hospital affiliate" means a corporation, partnership, |
joint venture, limited liability company, or similar |
organization, other than a hospital, that is devoted primarily |
to the provision, management, or support of health care |
services and that directly or indirectly controls, is |
controlled by, or is under common control of the hospital. For |
the purposes of this definition, "control" means having at |
least an equal or a majority ownership or membership interest. |
A hospital affiliate shall be 100% owned or controlled by any |
combination of hospitals, their parent corporations, or |
physicians licensed to practice medicine in all its branches in |
Illinois. "Hospital affiliate" does not include a health |
maintenance organization regulated under the Health |
Maintenance Organization Act. |
"Impaired nurse" means a nurse licensed under this Act who |
is unable to practice with reasonable skill and safety because |
of a physical or mental disability as evidenced by a written |
determination or written consent based on clinical evidence, |
|
including loss of motor skills, abuse of drugs or alcohol, or a |
psychiatric disorder, of sufficient degree to diminish his or |
her ability to deliver competent patient care. |
"License-pending advanced practice nurse" means a |
registered professional nurse who has completed all |
requirements for licensure as an advanced practice nurse except |
the certification examination and has applied to take the next |
available certification exam and received a temporary license |
from the Department. |
"License-pending registered nurse" means a person who has |
passed the Department-approved registered nurse licensure exam |
and has applied for a license from the Department. A |
license-pending registered nurse shall use the title "RN lic |
pend" on all documentation related to nursing practice. |
"Physician" means a person licensed to practice medicine in |
all its branches under the Medical Practice Act of 1987. |
"Podiatric physician" means a person licensed to practice |
podiatry under the Podiatric Medical Practice Act of 1987.
|
"Practical nurse" or "licensed practical nurse" means a |
person who is
licensed as a practical nurse under this Act and |
practices practical
nursing as defined in this Act. Only a |
practical nurse
licensed under this Act is entitled to use the |
title "licensed practical
nurse" and the abbreviation |
"L.P.N.".
|
"Practical nursing" means the performance of
nursing acts |
requiring the basic nursing knowledge, judgment, and skill
|
|
acquired by means of completion of an approved practical |
nursing education
program. Practical nursing includes |
assisting in the nursing process as
delegated by a registered |
professional nurse or an advanced practice nurse. The
practical |
nurse may work under the direction of a licensed physician, |
dentist, podiatric physician, or other health care |
professional determined by the Department.
|
"Privileged" means the authorization granted by the |
governing body of a healthcare facility, agency, or |
organization to provide specific patient care services within |
well-defined limits, based on qualifications reviewed in the |
credentialing process.
|
"Registered Nurse" or "Registered Professional Nurse" |
means a person
who is licensed as a professional nurse under |
this Act and practices
nursing as defined in
this Act. Only a |
registered
nurse licensed under this Act is entitled to use the
|
titles "registered nurse" and "registered professional nurse" |
and the
abbreviation, "R.N.".
|
"Registered professional nursing practice" is a scientific |
process founded on a professional body of knowledge; it is a |
learned profession based on the understanding of the human |
condition across the life span and environment and
includes all
|
nursing
specialties and means the performance of any nursing |
act based upon
professional knowledge, judgment, and skills |
acquired by means of completion
of an approved professional |
nursing education program. A registered
professional nurse |
|
provides holistic nursing care through the nursing process
to |
individuals, groups, families, or communities, that includes |
but is not
limited to: (1) the assessment of healthcare needs, |
nursing diagnosis,
planning, implementation, and nursing |
evaluation; (2) the promotion,
maintenance, and restoration of |
health; (3) counseling, patient education,
health education, |
and patient advocacy; (4) the administration of medications
and |
treatments as prescribed by a physician licensed to practice |
medicine in
all of its branches, a licensed dentist, a licensed |
podiatric physician, or a licensed
optometrist or as prescribed |
by a physician assistant
or by an advanced practice nurse; (5) |
the
coordination and management of the nursing plan of care; |
(6) the delegation to
and supervision of individuals who assist |
the registered professional nurse
implementing the plan of |
care; and (7) teaching nursing
students. The foregoing shall |
not be deemed to include
those acts of medical diagnosis or |
prescription of therapeutic or
corrective measures.
|
"Professional assistance program for nurses" means a |
professional
assistance program that meets criteria |
established by the Board of Nursing
and approved by the |
Secretary, which provides a non-disciplinary treatment
|
approach for nurses licensed under this Act whose ability to |
practice is
compromised by alcohol or chemical substance |
addiction.
|
"Secretary" means the Secretary of Financial and |
Professional Regulation. |
|
"Unencumbered license" means a license issued in good |
standing. |
"Written collaborative agreement" means a written |
agreement between an advanced practice nurse and a |
collaborating physician, dentist, or podiatric physician |
pursuant to Section 65-35.
|
(Source: P.A. 98-214, eff. 8-9-13; 99-173, eff. 7-29-15; |
99-330, eff. 1-1-16; revised 10-20-15.)
|
Section 345. The Pharmacy Practice Act is amended by |
changing Section 19.1 as follows:
|
(225 ILCS 85/19.1) |
(Section scheduled to be repealed on January 1, 2018) |
Sec. 19.1. Dispensing opioid antagonists naloxone |
antidotes . |
(a) Due to the recent rise in opioid-related deaths in
|
Illinois and the existence of an opioid antagonist that can
|
reverse the deadly effects of overdose, the General Assembly
|
finds that in order to avoid further loss where possible, it is
|
responsible to allow greater access of such an antagonist to
|
those populations at risk of overdose. |
(b) Notwithstanding any general or special law to the
|
contrary, a licensed pharmacist may dispense an opioid |
antagonist
in accordance with written, standardized procedures |
or
protocols developed by the Department with the Department of
|
|
Public Health and the Department of Human Services if the
|
procedures or protocols are filed at the pharmacy before
|
implementation and are available to the Department upon
|
request. |
(c) Before dispensing an opioid antagonist pursuant to this
|
Section, a pharmacist shall complete a training program
|
approved by the Department of Human Services pursuant to
|
Section 5-23 of the Alcoholism and Other Drug Abuse and
|
Dependency Act. The training program shall include, but not be
|
limited to, proper documentation and quality assurance. |
(d) For the purpose of this Section, "opioid antagonist" |
means a drug that binds to opioid receptors and blocks or |
inhibits the effect of opioids acting on those receptors, |
including, but not limited to, naloxone hydrochloride or any |
other similarly acting and equally safe drug approved by the |
U.S. Food and Drug Administration for the treatment of drug |
overdose.
|
(Source: P.A. 99-480, eff. 9-9-15; revised 10-16-15.)
|
Section 350. The Illinois Physical Therapy Act is amended |
by changing Section 1 as follows:
|
(225 ILCS 90/1) (from Ch. 111, par. 4251)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 1. Definitions. As used in this Act:
|
(1) "Physical therapy" means all of the following: |
|
(A) Examining, evaluating, and testing individuals who |
may have mechanical, physiological, or developmental |
impairments, functional limitations, disabilities, or |
other health and movement-related conditions, classifying |
these disorders, determining a rehabilitation prognosis |
and plan of therapeutic intervention, and assessing the |
on-going effects of the interventions. |
(B) Alleviating impairments, functional limitations, |
or disabilities by designing, implementing, and modifying |
therapeutic interventions that may include, but are not |
limited to, the evaluation or treatment of a person through |
the use of the effective properties of physical measures |
and heat, cold, light, water, radiant energy, electricity, |
sound, and air and use of therapeutic massage, therapeutic |
exercise, mobilization, and rehabilitative procedures, |
with or without assistive devices, for the purposes of |
preventing, correcting, or alleviating a physical or |
mental impairment, functional limitation, or disability. |
(C) Reducing the risk of injury, impairment, |
functional limitation, or disability, including the |
promotion and maintenance of fitness, health, and |
wellness. |
(D) Engaging in administration, consultation, |
education, and research.
|
Physical therapy
includes, but is not limited to: (a) |
performance
of specialized tests and measurements, (b) |
|
administration of specialized
treatment procedures, (c) |
interpretation of referrals from physicians, dentists, |
advanced practice nurses, physician assistants,
and podiatric |
physicians, (d) establishment, and modification of physical |
therapy
treatment programs, (e) administration of topical |
medication used in generally
accepted physical therapy |
procedures when such medication is either prescribed
by the |
patient's physician, licensed to practice medicine in all its |
branches,
the patient's physician licensed to practice |
podiatric medicine, the patient's advanced practice nurse, the |
patient's physician assistant, or the
patient's dentist or used |
following the physician's orders or written instructions, and |
(f) supervision or teaching of physical therapy.
Physical |
therapy does not include radiology, electrosurgery, |
chiropractic
technique or determination of a differential
|
diagnosis; provided, however,
the limitation on determining a |
differential diagnosis shall not in any
manner limit a physical |
therapist licensed under this Act from performing
an evaluation |
pursuant to such license. Nothing in this Section shall limit
a |
physical therapist from employing appropriate physical therapy |
techniques
that he or she is educated and licensed to perform. |
A physical therapist
shall refer to a licensed physician, |
advanced practice nurse, physician assistant, dentist, |
podiatric physician, other physical therapist, or other health |
care provider any patient
whose medical condition should, at |
the time of evaluation or treatment, be
determined to be beyond |
|
the scope of practice of the physical therapist.
|
(2) "Physical therapist" means a person who practices |
physical therapy
and who has met all requirements as provided |
in this Act.
|
(3) "Department" means the Department of Professional |
Regulation.
|
(4) "Director" means the Director of Professional |
Regulation.
|
(5) "Board" means the Physical Therapy Licensing and |
Disciplinary Board approved
by the Director.
|
(6) "Referral" means a written or oral authorization for |
physical therapy services for a patient by a physician, |
dentist, advanced practice nurse, physician assistant, or |
podiatric physician who maintains medical supervision of the |
patient and makes a diagnosis or verifies that the patient's |
condition is such that it may be treated by a physical |
therapist.
|
(7) "Documented current and relevant diagnosis" for the |
purpose of
this Act means a diagnosis, substantiated by |
signature or oral verification
of a physician, dentist, |
advanced practice nurse, physician assistant, or podiatric |
physician, that a patient's condition is such
that it may be |
treated by physical therapy as defined in this Act, which
|
diagnosis shall remain in effect until changed by the |
physician, dentist, advanced practice nurse, physician |
assistant,
or podiatric physician.
|
|
(8) "State" includes:
|
(a) the states of the United States of America;
|
(b) the District of Columbia; and
|
(c) the Commonwealth of Puerto Rico.
|
(9) "Physical therapist assistant" means a person licensed |
to assist a
physical therapist and who has met all requirements |
as provided in this Act
and who works under the supervision of |
a licensed physical therapist to assist
in implementing the |
physical therapy treatment program as established by the
|
licensed physical therapist. The patient care activities |
provided by the
physical therapist assistant shall not include |
the interpretation of referrals,
evaluation procedures, or the |
planning or major modification of patient programs.
|
(10) "Physical therapy aide" means a person who has |
received on
the job training, specific to the facility in which |
he is employed.
|
(11) "Advanced practice nurse" means a person licensed as |
an advanced practice nurse under the Nurse Practice Act. |
(12) "Physician assistant" means a person licensed under |
the Physician Assistant Practice Act of 1987.
|
(Source: P.A. 98-214, eff. 8-9-13; 99-173, eff. 7-29-15; |
99-229, eff. 8-3-15; revised 10-21-15.)
|
Section 355. The Respiratory Care Practice Act is amended |
by changing Sections 10 and 115 as follows:
|
|
(225 ILCS 106/10)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 10. Definitions. In this Act:
|
"Address of record" means the designated address recorded |
by the Department in the applicant's or licensee's application |
file or license file as maintained by the Department's |
licensure maintenance unit. It is the duty of the applicant or |
licensee to inform the Department of any change of address and |
those changes must be made either through the Department's |
website or by contacting the Department. |
"Advanced practice nurse" means an advanced practice nurse |
licensed under the Nurse Practice Act.
|
"Board" means the Respiratory Care Board appointed by the |
Secretary. |
"Basic respiratory care activities" means and includes all |
of the following activities: |
(1) Cleaning, disinfecting, and sterilizing equipment |
used in the practice of respiratory care as delegated by a |
licensed health care professional or other authorized |
licensed personnel. |
(2) Assembling equipment used in the practice of |
respiratory care as delegated by a licensed health care |
professional or other authorized licensed personnel. |
(3) Collecting and reviewing patient data through |
non-invasive means, provided that the collection and |
review does not include the individual's interpretation of |
|
the clinical significance of the data. Collecting and |
reviewing patient data includes the performance of pulse |
oximetry and non-invasive monitoring procedures in order |
to obtain vital signs and notification to licensed health |
care professionals and other authorized licensed personnel |
in a timely manner. |
(4) Maintaining a nasal cannula or face mask for oxygen |
therapy in the proper position on the patient's face. |
(5) Assembling a nasal cannula or face mask for oxygen |
therapy at patient bedside in preparation for use. |
(6) Maintaining a patient's natural airway by |
physically manipulating the jaw and neck, suctioning the |
oral cavity, or suctioning the mouth or nose with a bulb |
syringe. |
(7) Performing assisted ventilation during emergency |
resuscitation using a manual resuscitator. |
(8) Using a manual resuscitator at the direction of a |
licensed health care professional or other authorized |
licensed personnel who is present and performing routine |
airway suctioning. These activities do not include care of |
a patient's artificial airway or the adjustment of |
mechanical ventilator settings while a patient is |
connected to the ventilator.
|
"Basic respiratory care activities" does not mean activities |
that involve any of the following:
|
(1) Specialized knowledge that results from a course of |
|
education or training in respiratory care. |
(2) An unreasonable risk of a negative outcome for the |
patient. |
(3) The assessment or making of a decision concerning |
patient care. |
(4) The administration of aerosol medication or |
medical gas. |
(5) The insertion and maintenance of an artificial |
airway. |
(6) Mechanical ventilatory support. |
(7) Patient assessment. |
(8) Patient education.
|
(9) The transferring of oxygen devices, for purposes of |
patient transport, with a liter flow greater than 6 liters |
per minute, and the transferring of oxygen devices at any |
liter flow being delivered to patients less than 12 years |
of age. |
"Department" means the Department of Financial and |
Professional Regulation.
|
"Licensed" means that which is required to hold oneself
out |
as
a respiratory care
practitioner as defined in this Act.
|
"Licensed health care professional" means a physician |
licensed to practice medicine in all its branches, a licensed |
advanced practice nurse, or a licensed physician assistant.
|
"Order" means a written, oral, or telecommunicated |
authorization for respiratory care services for a patient by |
|
(i) a licensed health care professional who maintains medical |
supervision of the patient and makes a diagnosis or verifies |
that the patient's condition is such that it may be treated by |
a respiratory care practitioner or (ii) a certified registered |
nurse anesthetist in a licensed hospital or ambulatory surgical |
treatment center.
|
"Other authorized licensed personnel" means a licensed |
respiratory care practitioner, a licensed registered nurse, or |
a licensed practical nurse whose scope of practice authorizes |
the professional to supervise an individual who is not |
licensed, certified, or registered as a health professional. |
"Proximate supervision" means a situation in which an |
individual is
responsible for directing the actions of another |
individual in the facility and is physically close enough to be |
readily available, if needed, by the supervised individual.
|
"Respiratory care" and "cardiorespiratory care"
mean |
preventative services, evaluation and assessment services, |
therapeutic services, cardiopulmonary disease management, and |
rehabilitative services under the order of a licensed health |
care professional for an individual with a disorder, disease, |
or abnormality of the cardiopulmonary system. These terms |
include, but are not limited to, measuring, observing, |
assessing, and monitoring signs and symptoms, reactions, |
general behavior, and general physical response of individuals |
to respiratory care services, including the determination of |
whether those signs, symptoms, reactions, behaviors, or |
|
general physical responses exhibit abnormal characteristics; |
the administration of pharmacological and therapeutic agents |
and procedures related to respiratory care services; the |
collection of blood specimens and other bodily fluids and |
tissues for, and the performance of, cardiopulmonary |
diagnostic testing procedures, including, but not limited to, |
blood gas analysis; development, implementation, and |
modification of respiratory care treatment plans based on |
assessed abnormalities of the cardiopulmonary system, |
respiratory care guidelines, referrals, and orders of a |
licensed health care professional; application, operation, and |
management of mechanical ventilatory support and other means of |
life support, including, but not limited to, hemodynamic |
cardiovascular support; and the initiation of emergency |
procedures under the rules promulgated by the Department. A |
respiratory care practitioner shall refer to a physician |
licensed to practice medicine in all its branches any patient |
whose condition, at the time of evaluation or treatment, is |
determined to be beyond the scope of practice of the |
respiratory care practitioner.
|
"Respiratory care education program" means a course of |
academic study leading
to eligibility for registry or |
certification in respiratory care. The training
is to be |
approved by an accrediting agency recognized by the Board and |
shall
include an evaluation of competence through a |
standardized testing mechanism
that is determined by the Board |
|
to be both valid and reliable.
|
"Respiratory care practitioner" means a person who is |
licensed by the
Department of Professional Regulation and meets |
all of the following
criteria:
|
(1) The person is engaged in the practice of |
cardiorespiratory care and
has the knowledge and skill |
necessary to administer respiratory care.
|
(2) The person is capable of serving as a resource to |
the
licensed
health care professional in
relation to the |
technical aspects of cardiorespiratory care and the safe |
and
effective methods for administering cardiorespiratory |
care modalities.
|
(3) The person is able to function in situations of |
unsupervised patient
contact requiring great individual |
judgment.
|
"Secretary" means the Secretary of Financial and |
Professional Regulation. |
(Source: P.A. 99-173, eff. 7-29-15; 99-230, eff. 8-3-15; |
revised 10-20-15.)
|
(225 ILCS 106/115)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 115. Subpoena; depositions; oaths. The Department has |
the power to subpoena and to bring before it any person,
|
exhibit, book, document, record, file, or any other material
|
and
to take testimony either orally or by deposition, or both, |
|
with the same fees
and mileage and in the same manner as |
prescribed proscribed in civil cases in the courts
of this |
State.
|
The Secretary, the designated hearing officer, and every |
member of the Board
has the power to administer oaths to |
witnesses at any hearing which the
Department is authorized to |
conduct, and any other oaths authorized in any Act
administered |
by the Department.
|
(Source: P.A. 99-230, eff. 8-3-15; revised 10-21-15.)
|
Section 360. The Perfusionist Practice Act is amended by |
changing Section 125 as follows:
|
(225 ILCS 125/125)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 125. Record of proceedings. The Department, at its
|
expense, shall preserve a record of all proceedings at a
formal |
hearing conducted pursuant to Section 120 of this Act. The
|
notice of hearing, complaint, and all other documents in the
|
nature of pleadings and written motions filed in the
|
proceedings, the transcript of testimony, the report of the
|
Board or hearing officer, and orders of the Department shall be
|
the record of the proceeding. The Department shall supply a
|
transcript of the record to a person interested in the
hearing |
on payment of the fee required under Section 2105-115 of the |
Department of Professional Regulation Law Section 60f of
the |
|
Civil Administrative Code of Illinois .
|
(Source: P.A. 91-580, eff. 1-1-00; revised 10-16-15.)
|
Section 365. The Barber, Cosmetology, Esthetics, Hair |
Braiding, and Nail
Technology Act of 1985 is amended by |
changing Section 2-4 as follows:
|
(225 ILCS 410/2-4) (from Ch. 111, par. 1702-4)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 2-4. Licensure as a barber
teacher; qualifications. A |
person is qualified to receive a license as a barber teacher if |
that person files an
application on forms provided by the |
Department, pays the required fee, and: |
a. Is at least 18 years of age;
|
b. Has graduated from high school or its equivalent;
|
c. Has a current license as a barber or cosmetologist;
|
d. Has graduated from a barber school or school of |
cosmetology approved by the Department
having:
|
(1) completed a total of 500 hours in barber |
teacher training extending
over a period of not less |
than 3 months nor more than 2 years and has had 3
years |
of practical experience as a licensed barber;
|
(2) completed a total of 1,000 hours of barber |
teacher training extending
over a period of not less |
than 6 months nor more than 2 years; or
|
(3) completed the cosmetology teacher training as |
|
specified in paragraph (4) of subsection (a) of Section |
3-4 of this Act and completed a supplemental barbering |
course as established by rule; |
e. Has passed an examination authorized by the |
Department
to determine fitness to receive a license
as a |
barber teacher or a cosmetology teacher; and
|
f. Has met any other requirements set forth in this |
Act.
|
An applicant who is issued a license as a barber teacher is |
not required
to maintain a barber license in order to practice |
barbering as defined in this
Act.
|
(Source: P.A. 98-911, eff. 1-1-15; 99-78, eff. 7-20-15; 99-427, |
eff. 8-21-15; revised 10-19-15.)
|
Section 370. The Collection Agency Act is amended by |
changing Section 2.04 as follows:
|
(225 ILCS 425/2.04) (from Ch. 111, par. 2005.1)
|
(Section scheduled to be repealed on January 1, 2026)
|
Sec. 2.04. Child support debt.
|
(a) Collection agencies engaged in the
business of |
collecting child support debt owing under a court order
as |
provided under the Illinois Public Aid Code, the Illinois |
Marriage and
Dissolution of Marriage Act,
the Non-Support |
Punishment Act, the Illinois Parentage Act of 1984, the |
Illinois Parentage Act of 2015, or
similar laws of other states
|
|
are not
restricted (i) in the frequency of contact with an |
obligor who is in arrears,
whether by phone, mail, or other |
means, (ii) from contacting the employer of an
obligor who is |
in arrears, (iii) from publishing or threatening to publish a
|
list of obligors in arrears, (iv) from disclosing or |
threatening to disclose an
arrearage that the obligor disputes, |
but for which a verified notice of
delinquency has been served |
under the Income Withholding for Support Act (or
any of its |
predecessors, Section 10-16.2 of the Illinois Public Aid
Code, |
Section 706.1 of the Illinois Marriage and Dissolution of |
Marriage Act,
Section 22 of the Non-Support Punishment Act, |
Section 26.1 of the
Revised Uniform Reciprocal Enforcement of |
Support Act, or Section 20 of the
Illinois Parentage Act of |
1984), or (v) from engaging in conduct that would
not
cause a |
reasonable person mental or physical illness. For purposes of |
this
subsection, "obligor" means an individual who owes a duty |
to make periodic
payments, under a court order, for the support |
of a child. "Arrearage" means
the total amount of an obligor's |
unpaid child support obligations.
|
(a-5) A collection agency may not impose a fee or charge, |
including costs, for any child support payments collected |
through the efforts of a federal, State, or local government |
agency, including but not limited to child support collected |
from federal or State tax refunds, unemployment benefits, or |
Social Security benefits. |
No collection agency that collects child support payments |
|
shall (i) impose a charge or fee, including costs, for |
collection of a current child support payment, (ii) fail to |
apply collections to current support as specified in the order |
for support before applying collection to arrears or other |
amounts, or (iii) designate a current child support payment as |
arrears or other amount owed. In all circumstances, the |
collection agency shall turn over to the obligee all support |
collected in a month up to the amount of current support |
required to be paid for that month. |
As to any fees or charges, including costs, retained by the |
collection agency, that agency shall provide documentation to |
the obligee demonstrating that the child support payments |
resulted from the actions of the agency. |
After collection of the total amount or arrearage, |
including statutory interest, due as of the date of execution |
of the collection contract, no further fees may be charged. |
(a-10) The Department shall determine a fee rate of not |
less than 25% but not greater than 35%, based upon presentation |
by the licensees as to costs to provide the service and a fair |
rate of return. This rate shall be established by |
administrative rule.
|
Without prejudice to the determination by the Department of |
the appropriate rate through administrative rule, a collection |
agency shall impose a fee of not more than 29% of the amount of |
child support actually collected by the collection agency |
subject to the provisions of subsection (a-5). This interim |
|
rate is based upon the March 2002 General Account Office report |
"Child Support Enforcement", GAO-02-349. This rate shall apply |
until a fee rate is established by administrative rule.
|
(b) The Department shall adopt rules necessary to |
administer and enforce
the provisions of this Section.
|
(Source: P.A. 99-85, eff. 1-1-16; 99-227, eff. 8-3-15; revised |
10-21-15.)
|
Section 375. The Illinois Livestock Dealer Licensing Act is |
amended by changing Section 9 as follows:
|
(225 ILCS 645/9) (from Ch. 111, par. 409)
|
Sec. 9.
The Department may refuse to issue or renew or may |
suspend or
revoke a license on any of the following grounds:
|
a. Material misstatement in the application for |
original license or in
the application for any renewal |
license under this Act;
|
b. Wilful disregard or violation of this Act, or of any |
other Act
relative to the purchase and sale of livestock, |
feeder swine or horses, or
of any regulation or rule issued |
pursuant thereto;
|
c. Wilfully aiding or abetting another in the violation |
of this Act or
of any regulation or rule issued pursuant |
thereto;
|
d. Allowing one's license under this Act to be used by |
an unlicensed
person;
|
|
e. Conviction of any felony, if the Department |
determines, after
investigation, that such person has not |
been sufficiently rehabilitated to
warrant the public |
trust;
|
f. Conviction of any crime an essential element of |
which is
misstatement, fraud or dishonesty;
|
g. Conviction of a violation of any law in Illinois or |
any Departmental
rule or regulation relating to livestock;
|
h. Making substantial misrepresentations or false |
promises of a
character likely to influence, persuade or |
induce in connection with the
livestock industry;
|
i. Pursuing a continued course of misrepresentation of |
or making false
promises through advertising, salesmen, |
agents or otherwise in connection
with the livestock |
industry;
|
j. Failure to possess the necessary qualifications or |
to meet the
requirements of this Act for the issuance or |
holding a license;
|
k. Failure to pay for livestock after purchase;
|
l. Issuance of checks for payment of livestock when |
funds are insufficient;
|
m. Determination by a Department audit that the |
licensee or applicant
is insolvent;
|
n. Operating without adequate bond coverage or its |
equivalent required
for licensees ; .
|
o. Failing to remit the assessment required in Section |
|
9 of the Beef
Market Development Act upon written complaint |
of the Checkoff Division of the Illinois Beef Association |
Board of Governors.
|
The Department may refuse to issue or may suspend the |
license
of any person who fails to file a return, or to pay the |
tax, penalty or
interest shown in a filed return, or to pay any |
final assessment of tax,
penalty or interest, as required by |
any tax Act administered by the
Illinois Department of Revenue, |
until such time as the requirements of any
such tax Act are |
satisfied.
|
(Source: P.A. 99-389, eff. 8-18-15; revised 10-20-15.)
|
Section 380. The Raffles and Poker Runs Act is amended by |
changing Section 1 as follows:
|
(230 ILCS 15/1) (from Ch. 85, par. 2301)
|
Sec. 1. Definitions. For the purposes of this Act the terms |
defined
in this Section have the meanings given them.
|
"Net proceeds" means the gross receipts from the conduct of |
raffles, less
reasonable sums expended for prizes, local |
license fees and other reasonable
operating expenses incurred |
as a result of operating a raffle or poker run.
|
"Key location" means the location where the poker run |
concludes and the prize or prizes are awarded. |
"Poker run" means a prize-awarding event organized by an |
organization licensed under this Act in which participants |
|
travel to multiple predetermined locations, including a key |
location, to play a randomized game based on an element of |
chance. "Poker run" includes dice runs, marble runs, or other |
events where the objective is to build the best hand or highest |
score by obtaining an item or playing a randomized game at each |
location. |
"Raffle" means a form of lottery, as defined in Section |
28-2(b) of the
Criminal Code of 2012, conducted by an |
organization licensed under this Act, in which:
|
(1) the player pays or agrees to pay something of value |
for a chance,
represented and differentiated by a number or |
by a combination of numbers
or by some other medium, one or |
more of which chances is to be designated
the winning |
chance;
|
(2) the winning chance is to be determined through a |
drawing or by some
other method based on an element of |
chance by an act or set of acts on the
part of persons |
conducting or connected with the lottery, except that the
|
winning chance shall not be determined by the outcome of a |
publicly exhibited
sporting contest.
|
"Raffle" does not include a savings promotion raffle |
authorized under Section 5g of the Illinois Banking Act, |
Section 7008 of the Savings Bank Act, Section 42.7 of the |
Illinois Credit Union Act, Section 5136B of the National Bank |
Act (12 U.S.C. 25a), or Section 4 of the Home Owners' Loan Act |
(12 U.S.C. 1463). |
|
(Source: P.A. 98-644, eff. 6-10-14; 99-149, eff. 1-1-16; |
99-405, eff. 8-19-15; revised 10-19-15.)
|
Section 385. The Bingo License and Tax Act is amended by |
changing Section 1.3 as follows:
|
(230 ILCS 25/1.3)
|
Sec. 1.3. Restrictions on licensure. Licensing for the |
conducting of bingo is subject to the following restrictions: |
(1) The license application, when submitted to the |
Department, must contain a sworn statement attesting to the |
not-for-profit character of the prospective licensee |
organization, signed by a person listed on the application |
as an owner, officer, or other person in charge of the |
necessary day-to-day operations of that organization. |
(2) The license application shall be prepared in |
accordance with the rules of the Department. |
(3) The licensee shall prominently display the license |
in the area where the licensee conducts bingo. The licensee |
shall likewise display, in the form and manner as |
prescribed by the Department, the provisions of Section 8 |
of this Act. |
(4) Each license shall state the day of the week, hours |
and at which location the licensee is permitted to conduct |
bingo games. |
(5) A license is not assignable or transferable. |
|
(6) A license authorizes the licensee to conduct the |
game commonly known as bingo, in which prizes are awarded |
on the basis of designated numbers or symbols on a card |
conforming to numbers or symbols selected at random. |
(7) The Department may, on special application made by |
any organization having a bingo license, issue a special |
permit for conducting bingo on other days not exceeding 5 |
consecutive days, except that a licensee may conduct bingo |
at the Illinois State Fair or any county fair held in |
Illinois during each day that the fair is held, without a |
fee. Bingo games conducted at the Illinois State Fair or a |
county fair shall not require a special permit. No more |
than 2 special permits may be issued in one year to any one |
organization. |
(8) Any organization qualified for a license but not |
holding one may, upon application and payment of a |
nonrefundable fee of $50, receive a limited license to |
conduct bingo games at no more than 2 indoor or outdoor |
festivals in a year for a maximum of 5 consecutive days on |
each occasion. No more than 2 limited licenses under this |
item (7) may be issued to any organization in any year. A |
limited license must be prominently displayed at the site |
where the bingo games are conducted. |
(9) Senior citizens organizations and units of local |
government may conduct bingo without a license or fee, |
subject to the following conditions: |
|
(A) bingo shall be conducted only (i) at a facility |
that is owned by a unit of local government to which |
the corporate authorities have given their approval |
and that is used to provide social services or a |
meeting place to senior citizens, (ii) in common areas |
in multi-unit federally assisted rental housing |
maintained solely for elderly persons and persons with |
disabilities, or (iii) at a building owned by a church |
or veterans organization; |
(B) the price paid for a single card shall not |
exceed 50 cents; |
(C) the aggregate retail value of all prizes or |
merchandise awarded in any one game of bingo shall not |
exceed $10; |
(D) no person or organization shall participate in |
the management or operation of bingo under this item |
(9) if the person or organization would be ineligible |
for a license under this Section; and |
(E) no license is required to provide premises for |
bingo conducted under this item (9). |
(10) Bingo equipment shall not be used for any purpose |
other than for the play of bingo.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-177, eff. 7-29-15; |
revised 10-19-15.)
|
Section 390. The Liquor Control Act of 1934 is amended by |
|
setting forth and renumbering multiple versions of Section |
1-3.40 and by changing Sections 5-1, 6-4, and 6-11 as follows:
|
(235 ILCS 5/1-3.40) |
Sec. 1-3.40. Manufacturer class license holder. |
"Manufacturer class license holder" means any holder of a |
Manufacturer's license as provided in Section 5-1 of this Act. |
The Manufacturer's licenses are: a Class 1. Distiller, a Class |
2. Rectifier, a Class 3. Brewer, a Class 4. First Class Wine |
Manufacturer, a Class 5. Second Class Wine Manufacturer, a |
Class 6. First Class Winemaker, a Class 7. Second Class |
Winemaker, a Class 8. Limited Wine Manufacturer, a Class 9. |
Craft Distiller, and a Class 10. Craft Brewer and any future |
Manufacturer's licenses established by law.
|
(Source: P.A. 99-282, eff. 8-5-15.)
|
(235 ILCS 5/1-3.42) |
Sec. 1-3.42 1-3.40 . Class 2 brewer. "Class 2 brewer" means |
a person who is a holder of a brewer license or non-resident |
dealer license who manufactures up to 3,720,000 gallons of beer |
per year for sale to a licensed importing distributor or |
distributor.
|
(Source: P.A. 99-448, eff. 8-24-15; revised 10-28-15.)
|
(235 ILCS 5/5-1) (from Ch. 43, par. 115) |
Sec. 5-1. Licenses issued by the Illinois Liquor Control |
|
Commission
shall be of the following classes: |
(a) Manufacturer's license - Class 1.
Distiller, Class 2. |
Rectifier, Class 3. Brewer, Class 4. First Class Wine
|
Manufacturer, Class 5. Second Class Wine Manufacturer,
Class 6. |
First Class Winemaker, Class 7. Second Class Winemaker, Class |
8.
Limited Wine Manufacturer, Class 9. Craft Distiller, Class |
10. Class 1 Brewer, Class 11. Class 2 Brewer, |
(b) Distributor's license, |
(c) Importing Distributor's license, |
(d) Retailer's license, |
(e) Special Event Retailer's license (not-for-profit), |
(f) Railroad license, |
(g) Boat license, |
(h) Non-Beverage User's license, |
(i) Wine-maker's premises license, |
(j) Airplane license, |
(k) Foreign importer's license, |
(l) Broker's license, |
(m) Non-resident dealer's
license, |
(n) Brew Pub license, |
(o) Auction liquor license, |
(p) Caterer retailer license, |
(q) Special use permit license, |
(r) Winery shipper's license.
|
No
person, firm, partnership, corporation, or other legal |
business entity that is
engaged in the manufacturing of wine |
|
may concurrently obtain and hold a
wine-maker's license and a |
wine manufacturer's license. |
(a) A manufacturer's license shall allow the manufacture,
|
importation in bulk, storage, distribution and sale of |
alcoholic liquor
to persons without the State, as may be |
permitted by law and to licensees
in this State as follows: |
Class 1. A Distiller may make sales and deliveries of |
alcoholic liquor to
distillers, rectifiers, importing |
distributors, distributors and
non-beverage users and to no |
other licensees. |
Class 2. A Rectifier, who is not a distiller, as defined |
herein, may make
sales and deliveries of alcoholic liquor to |
rectifiers, importing distributors,
distributors, retailers |
and non-beverage users and to no other licensees. |
Class 3. A Brewer may make sales and deliveries of beer to |
importing
distributors and distributors and may make sales as |
authorized under subsection (e) of Section 6-4 of this Act. |
Class 4. A first class wine-manufacturer may make sales and |
deliveries of
up to 50,000 gallons of wine to manufacturers,
|
importing
distributors and distributors, and to no other |
licensees. |
Class 5. A second class Wine manufacturer may make sales |
and deliveries
of more than 50,000 gallons of wine to |
manufacturers, importing distributors
and distributors and to |
no other licensees. |
Class 6. A first-class wine-maker's license shall allow the |
|
manufacture
of up to 50,000 gallons of wine per year, and the
|
storage
and sale of such
wine to distributors in the State and |
to persons without the
State, as may be permitted by law. A |
person who, prior to June 1, 2008 ( the effective date of Public |
Act 95-634) this amendatory Act of the 95th General Assembly , |
is a holder of a first-class wine-maker's license and annually |
produces more than 25,000 gallons of its own wine and who |
distributes its wine to licensed retailers shall cease this |
practice on or before July 1, 2008 in compliance with Public |
Act 95-634 this amendatory Act of the 95th General Assembly . |
Class 7. A second-class wine-maker's license shall allow |
the manufacture
of between 50,000 and 150,000 gallons of wine |
per year, and
the
storage and sale of such wine
to distributors |
in this State and to persons without the State, as may be
|
permitted by law. A person who, prior to June 1, 2008 ( the |
effective date of Public Act 95-634) this amendatory Act of the |
95th General Assembly , is a holder of a second-class |
wine-maker's license and annually produces more than 25,000 |
gallons of its own wine and who distributes its wine to |
licensed retailers shall cease this practice on or before July |
1, 2008 in compliance with Public Act 95-634 this amendatory |
Act of the 95th General Assembly . |
Class 8. A limited wine-manufacturer may make sales and |
deliveries not to
exceed 40,000 gallons of wine per year to |
distributors, and to
non-licensees in accordance with the |
provisions of this Act. |
|
Class 9. A craft distiller license shall allow the |
manufacture of up to 30,000 gallons of spirits by distillation |
for one year after March 1, 2013 ( the effective date of Public |
Act 97-1166) this amendatory Act of the 97th General Assembly |
and up to 35,000 gallons of spirits by distillation per year |
thereafter and the storage of such spirits. If a craft |
distiller licensee is not affiliated with any other |
manufacturer, then the craft distiller licensee may sell such |
spirits to distributors in this State and up to 2,500 gallons |
of such spirits to non-licensees to the extent permitted by any |
exemption approved by the Commission pursuant to Section 6-4 of |
this Act. |
Any craft distiller licensed under this Act who on July 28, |
2010 ( the effective date of Public Act 96-1367) this amendatory |
Act of the 96th General Assembly was licensed as a distiller |
and manufactured no more spirits than permitted by this Section |
shall not be required to pay the initial licensing fee. |
Class 10. A class 1 brewer license, which may only be |
issued to a licensed brewer or licensed non-resident dealer, |
shall allow the manufacture of up to 930,000 gallons of beer |
per year provided that the class 1 brewer licensee does not |
manufacture more than a combined 930,000 gallons of beer per |
year and is not a member of or affiliated with, directly or |
indirectly, a manufacturer that produces more than 930,000 |
gallons of beer per year or any other alcoholic liquor. A class |
1 brewer licensee may make sales and deliveries to importing |
|
distributors and distributors and to retail licensees in |
accordance with the conditions set forth in paragraph (18) of |
subsection (a) of Section 3-12 of this Act. |
Class 11. A class 2 brewer license, which may only be |
issued to a licensed brewer or licensed non-resident dealer, |
shall allow the manufacture of up to 3,720,000 gallons of beer |
per year provided that the class 2 brewer licensee does not |
manufacture more than a combined 3,720,000 gallons of beer per |
year and is not a member of or affiliated with, directly or |
indirectly, a manufacturer that produces more than 3,720,000 |
gallons of beer per year or any other alcoholic liquor. A class |
2 brewer licensee may make sales and deliveries to importing |
distributors and distributors, but shall not make sales or |
deliveries to any other licensee. If the State Commission |
provides prior approval, a class 2 brewer licensee may annually |
transfer up to 3,720,000 gallons of beer manufactured by that |
class 2 brewer licensee to the premises of a licensed class 2 |
brewer wholly owned and operated by the same licensee. |
(a-1) A manufacturer which is licensed in this State to |
make sales or
deliveries of alcoholic liquor to licensed |
distributors or importing distributors and which enlists |
agents, representatives, or
individuals acting on its behalf |
who contact licensed retailers on a regular
and continual basis |
in this State must register those agents, representatives,
or |
persons acting on its behalf with the State Commission. |
Registration of agents, representatives, or persons acting |
|
on behalf of a
manufacturer is fulfilled by submitting a form |
to the Commission. The form
shall be developed by the |
Commission and shall include the name and address of
the |
applicant, the name and address of the manufacturer he or she |
represents,
the territory or areas assigned to sell to or |
discuss pricing terms of
alcoholic liquor, and any other |
questions deemed appropriate and necessary.
All statements in |
the forms required to be made by law or by rule shall be
deemed |
material, and any person who knowingly misstates any material |
fact under
oath in an application is guilty of a Class B |
misdemeanor. Fraud,
misrepresentation, false statements, |
misleading statements, evasions, or
suppression of material |
facts in the securing of a registration are grounds for
|
suspension or revocation of the registration. The State |
Commission shall post a list of registered agents on the |
Commission's website. |
(b) A distributor's license shall allow the wholesale |
purchase and storage
of alcoholic liquors and sale of alcoholic |
liquors to licensees
in this State and to persons without the |
State, as may be permitted by law. |
(c) An importing distributor's license may be issued to and |
held by
those only who are duly licensed distributors, upon the |
filing of an
application by a duly licensed distributor, with |
the Commission and
the Commission shall, without the
payment of |
any fee, immediately issue such importing distributor's
|
license to the applicant, which shall allow the importation of |
|
alcoholic
liquor by the licensee into this State from any point |
in the United
States outside this State, and the purchase of |
alcoholic liquor in
barrels, casks or other bulk containers and |
the bottling of such
alcoholic liquors before resale thereof, |
but all bottles or containers
so filled shall be sealed, |
labeled, stamped and otherwise made to comply
with all |
provisions, rules and regulations governing manufacturers in
|
the preparation and bottling of alcoholic liquors. The |
importing
distributor's license shall permit such licensee to |
purchase alcoholic
liquor from Illinois licensed non-resident |
dealers and foreign importers only. |
(d) A retailer's license shall allow the licensee to sell |
and offer
for sale at retail, only in the premises specified in |
the license,
alcoholic liquor for use or consumption, but not |
for resale in any form. Nothing in Public Act 95-634 this |
amendatory Act of the 95th General Assembly shall deny, limit, |
remove, or restrict the ability of a holder of a retailer's |
license to transfer, deliver, or ship alcoholic liquor to the |
purchaser for use or consumption subject to any applicable |
local law or ordinance. Any retail license issued to a |
manufacturer shall only
permit the manufacturer to sell beer at |
retail on the premises actually
occupied by the manufacturer. |
For the purpose of further describing the type of business |
conducted at a retail licensed premises, a retailer's licensee |
may be designated by the State Commission as (i) an on premise |
consumption retailer, (ii) an off premise sale retailer, or |
|
(iii) a combined on premise consumption and off premise sale |
retailer.
|
Notwithstanding any other provision of this subsection |
(d), a retail
licensee may sell alcoholic liquors to a special |
event retailer licensee for
resale to the extent permitted |
under subsection (e). |
(e) A special event retailer's license (not-for-profit) |
shall permit the
licensee to purchase alcoholic liquors from an |
Illinois licensed distributor
(unless the licensee purchases |
less than $500 of alcoholic liquors for the
special event, in |
which case the licensee may purchase the alcoholic liquors
from |
a licensed retailer) and shall allow the licensee to sell and |
offer for
sale, at retail, alcoholic liquors for use or |
consumption, but not for resale
in any form and only at the |
location and on the specific dates designated for
the special |
event in the license. An applicant for a special event retailer
|
license must
(i) furnish with the application: (A) a resale |
number issued under Section
2c of the Retailers' Occupation Tax |
Act or evidence that the applicant is
registered under Section |
2a of the Retailers' Occupation Tax Act, (B) a
current, valid |
exemption identification
number issued under Section 1g of the |
Retailers' Occupation Tax Act, and a
certification to the |
Commission that the purchase of alcoholic liquors will be
a |
tax-exempt purchase, or (C) a statement that the applicant is |
not registered
under Section 2a of the Retailers' Occupation |
Tax Act, does not hold a resale
number under Section 2c of the |
|
Retailers' Occupation Tax Act, and does not
hold an exemption |
number under Section 1g of the Retailers' Occupation Tax
Act, |
in which event the Commission shall set forth on the special |
event
retailer's license a statement to that effect; (ii) |
submit with the application proof satisfactory to
the State |
Commission that the applicant will provide dram shop liability
|
insurance in the maximum limits; and (iii) show proof |
satisfactory to the
State Commission that the applicant has |
obtained local authority
approval. |
(f) A railroad license shall permit the licensee to import |
alcoholic
liquors into this State from any point in the United |
States outside this
State and to store such alcoholic liquors |
in this State; to make wholesale
purchases of alcoholic liquors |
directly from manufacturers, foreign
importers, distributors |
and importing distributors from within or outside
this State; |
and to store such alcoholic liquors in this State; provided
|
that the above powers may be exercised only in connection with |
the
importation, purchase or storage of alcoholic liquors to be |
sold or
dispensed on a club, buffet, lounge or dining car |
operated on an electric,
gas or steam railway in this State; |
and provided further, that railroad
licensees exercising the |
above powers shall be subject to all provisions of
Article VIII |
of this Act as applied to importing distributors. A railroad
|
license shall also permit the licensee to sell or dispense |
alcoholic
liquors on any club, buffet, lounge or dining car |
operated on an electric,
gas or steam railway regularly |
|
operated by a common carrier in this State,
but shall not |
permit the sale for resale of any alcoholic liquors to any
|
licensee within this State. A license shall be obtained for |
each car in which
such sales are made. |
(g) A boat license shall allow the sale of alcoholic liquor |
in
individual drinks, on any passenger boat regularly operated |
as a common
carrier on navigable waters in this State or on any |
riverboat operated
under
the Riverboat Gambling Act, which boat |
or riverboat maintains a public
dining room or restaurant |
thereon. |
(h) A non-beverage user's license shall allow the licensee |
to
purchase alcoholic liquor from a licensed manufacturer or |
importing
distributor, without the imposition of any tax upon |
the business of such
licensed manufacturer or importing |
distributor as to such alcoholic
liquor to be used by such |
licensee solely for the non-beverage purposes
set forth in |
subsection (a) of Section 8-1 of this Act, and
such licenses |
shall be divided and classified and shall permit the
purchase, |
possession and use of limited and stated quantities of
|
alcoholic liquor as follows: |
Class 1, not to exceed ......................... 500 gallons
|
Class 2, not to exceed ....................... 1,000 gallons
|
Class 3, not to exceed ....................... 5,000 gallons
|
Class 4, not to exceed ...................... 10,000 gallons
|
Class 5, not to exceed ....................... 50,000 gallons |
(i) A wine-maker's premises license shall allow a
licensee |
|
that concurrently holds a first-class wine-maker's license to |
sell
and offer for sale at retail in the premises specified in |
such license
not more than 50,000 gallons of the first-class |
wine-maker's wine that is
made at the first-class wine-maker's |
licensed premises per year for use or
consumption, but not for |
resale in any form. A wine-maker's premises
license shall allow |
a licensee who concurrently holds a second-class
wine-maker's |
license to sell and offer for sale at retail in the premises
|
specified in such license up to 100,000 gallons of the
|
second-class wine-maker's wine that is made at the second-class |
wine-maker's
licensed premises per year
for use or consumption |
but not for resale in any form. A wine-maker's premises license |
shall allow a
licensee that concurrently holds a first-class |
wine-maker's license or a second-class
wine-maker's license to |
sell
and offer for sale at retail at the premises specified in |
the wine-maker's premises license, for use or consumption but |
not for resale in any form, any beer, wine, and spirits |
purchased from a licensed distributor. Upon approval from the
|
State Commission, a wine-maker's premises license
shall allow |
the licensee to sell and offer for sale at (i) the wine-maker's
|
licensed premises and (ii) at up to 2 additional locations for |
use and
consumption and not for resale. Each location shall |
require additional
licensing per location as specified in |
Section 5-3 of this Act. A wine-maker's premises licensee shall
|
secure liquor liability insurance coverage in an amount at
|
least equal to the maximum liability amounts set forth in
|
|
subsection (a) of Section 6-21 of this Act.
|
(j) An airplane license shall permit the licensee to import
|
alcoholic liquors into this State from any point in the United |
States
outside this State and to store such alcoholic liquors |
in this State; to
make wholesale purchases of alcoholic liquors |
directly from
manufacturers, foreign importers, distributors |
and importing
distributors from within or outside this State; |
and to store such
alcoholic liquors in this State; provided |
that the above powers may be
exercised only in connection with |
the importation, purchase or storage
of alcoholic liquors to be |
sold or dispensed on an airplane; and
provided further, that |
airplane licensees exercising the above powers
shall be subject |
to all provisions of Article VIII of this Act as
applied to |
importing distributors. An airplane licensee shall also
permit |
the sale or dispensing of alcoholic liquors on any passenger
|
airplane regularly operated by a common carrier in this State, |
but shall
not permit the sale for resale of any alcoholic |
liquors to any licensee
within this State. A single airplane |
license shall be required of an
airline company if liquor |
service is provided on board aircraft in this
State. The annual |
fee for such license shall be as determined in
Section 5-3. |
(k) A foreign importer's license shall permit such licensee |
to purchase
alcoholic liquor from Illinois licensed |
non-resident dealers only, and to
import alcoholic liquor other |
than in bulk from any point outside the
United States and to |
sell such alcoholic liquor to Illinois licensed
importing |
|
distributors and to no one else in Illinois;
provided that (i) |
the foreign importer registers with the State Commission
every
|
brand of
alcoholic liquor that it proposes to sell to Illinois |
licensees during the
license period, (ii) the foreign importer |
complies with all of the provisions
of Section
6-9 of this Act |
with respect to registration of such Illinois licensees as may
|
be granted the
right to sell such brands at wholesale, and |
(iii) the foreign importer complies with the provisions of |
Sections 6-5 and 6-6 of this Act to the same extent that these |
provisions apply to manufacturers. |
(l) (i) A broker's license shall be required of all persons
|
who solicit
orders for, offer to sell or offer to supply |
alcoholic liquor to
retailers in the State of Illinois, or who |
offer to retailers to ship or
cause to be shipped or to make |
contact with distillers, rectifiers,
brewers or manufacturers |
or any other party within or without the State
of Illinois in |
order that alcoholic liquors be shipped to a distributor,
|
importing distributor or foreign importer, whether such |
solicitation or
offer is consummated within or without the |
State of Illinois. |
No holder of a retailer's license issued by the Illinois |
Liquor
Control Commission shall purchase or receive any |
alcoholic liquor, the
order for which was solicited or offered |
for sale to such retailer by a
broker unless the broker is the |
holder of a valid broker's license. |
The broker shall, upon the acceptance by a retailer of the |
|
broker's
solicitation of an order or offer to sell or supply or |
deliver or have
delivered alcoholic liquors, promptly forward |
to the Illinois Liquor
Control Commission a notification of |
said transaction in such form as
the Commission may by |
regulations prescribe. |
(ii) A broker's license shall be required of
a person |
within this State, other than a retail licensee,
who, for a fee |
or commission, promotes, solicits, or accepts orders for
|
alcoholic liquor, for use or consumption and not for
resale, to |
be shipped from this State and delivered to residents outside |
of
this State by an express company, common carrier, or |
contract carrier.
This Section does not apply to any person who |
promotes, solicits, or accepts
orders for wine as specifically |
authorized in Section 6-29 of this Act. |
A broker's license under this subsection (l)
shall not |
entitle the holder to
buy or sell any
alcoholic liquors for his |
own account or to take or deliver title to
such alcoholic |
liquors. |
This subsection (l)
shall not apply to distributors, |
employees of
distributors, or employees of a manufacturer who |
has registered the
trademark, brand or name of the alcoholic |
liquor pursuant to Section 6-9
of this Act, and who regularly |
sells such alcoholic liquor
in the State of Illinois only to |
its registrants thereunder. |
Any agent, representative, or person subject to |
registration pursuant to
subsection (a-1) of this Section shall |
|
not be eligible to receive a broker's
license. |
(m) A non-resident dealer's license shall permit such |
licensee to ship
into and warehouse alcoholic liquor into this |
State from any point
outside of this State, and to sell such |
alcoholic liquor to Illinois licensed
foreign importers and |
importing distributors and to no one else in this State;
|
provided that (i) said non-resident dealer shall register with |
the Illinois Liquor
Control Commission each and every brand of |
alcoholic liquor which it proposes
to sell to Illinois |
licensees during the license period, (ii) it shall comply with |
all of the provisions of Section 6-9 hereof with
respect to |
registration of such Illinois licensees as may be granted the |
right
to sell such brands at wholesale, and (iii) the |
non-resident dealer shall comply with the provisions of |
Sections 6-5 and 6-6 of this Act to the same extent that these |
provisions apply to manufacturers. |
(n) A brew pub license shall allow the licensee to only (i) |
manufacture up to 155,000 gallons of beer per year only
on the |
premises specified in the license, (ii) make sales of the
beer |
manufactured on the premises or, with the approval of the |
Commission, beer manufactured on another brew pub licensed |
premises that is wholly owned and operated by the same licensee |
to importing distributors, distributors,
and to non-licensees |
for use and consumption, (iii) store the beer upon
the |
premises, (iv) sell and offer for sale at retail from the |
licensed
premises for off-premises
consumption no more than |
|
155,000 gallons per year so long as such sales are only made |
in-person, (v) sell and offer for sale at retail for use and |
consumption on the premises specified in the license any form |
of alcoholic liquor purchased from a licensed distributor or |
importing distributor, and (vi) with the prior approval of the |
Commission, annually transfer no more than 155,000 gallons of |
beer manufactured on the premises to a licensed brew pub wholly |
owned and operated by the same licensee. |
A brew pub licensee shall not under any circumstance sell |
or offer for sale beer manufactured by the brew pub licensee to |
retail licensees. |
A person who holds a class 2 brewer license may |
simultaneously hold a brew pub license if the class 2 brewer |
(i) does not, under any circumstance, sell or offer for sale |
beer manufactured by the class 2 brewer to retail licensees; |
(ii) does not hold more than 3 brew pub licenses in this State; |
(iii) does not manufacture more than a combined 3,720,000 |
gallons of beer per year, including the beer manufactured at |
the brew pub; and (iv) is not a member of or affiliated with, |
directly or indirectly, a manufacturer that produces more than |
3,720,000 gallons of beer per year or any other alcoholic |
liquor. |
Notwithstanding any other provision of this Act, a licensed |
brewer, class 2 brewer, or non-resident dealer who before July |
1, 2015 manufactured less than than 3,720,000 gallons of beer |
per year and held a brew pub license on or before July 1, 2015 |
|
may (i) continue to qualify for and hold that brew pub license |
for the licensed premises and (ii) manufacture more than |
3,720,000 gallons of beer per year and continue to qualify for |
and hold that brew pub license if that brewer, class 2 brewer, |
or non-resident dealer does not simultaneously hold a class 1 |
brewer license and is not a member of or affiliated with, |
directly or indirectly, a manufacturer that produces more than |
3,720,000 gallons of beer per year or that produces any other |
alcoholic liquor. |
(o) A caterer retailer license shall allow the holder
to |
serve alcoholic liquors as an incidental part of a food service |
that serves
prepared meals which excludes the serving of snacks |
as
the primary meal, either on or off-site whether licensed or |
unlicensed. |
(p) An auction liquor license shall allow the licensee to |
sell and offer
for sale at auction wine and spirits for use or |
consumption, or for resale by
an Illinois liquor licensee in |
accordance with provisions of this Act. An
auction liquor |
license will be issued to a person and it will permit the
|
auction liquor licensee to hold the auction anywhere in the |
State. An auction
liquor license must be obtained for each |
auction at least 14 days in advance of
the auction date. |
(q) A special use permit license shall allow an Illinois |
licensed
retailer to transfer a portion of its alcoholic liquor |
inventory from its
retail licensed premises to the premises |
specified in the license hereby
created, and to sell or offer |
|
for sale at retail, only in the premises
specified in the |
license hereby created, the transferred alcoholic liquor for
|
use or consumption, but not for resale in any form. A special |
use permit
license may be granted for the following time |
periods: one day or less; 2 or
more days to a maximum of 15 days |
per location in any 12 month period. An
applicant for the |
special use permit license must also submit with the
|
application proof satisfactory to the State Commission that the |
applicant will
provide dram shop liability insurance to the |
maximum limits and have local
authority approval. |
(r) A winery shipper's license shall allow a person
with a |
first-class or second-class wine manufacturer's
license, a |
first-class or second-class wine-maker's license,
or a limited |
wine manufacturer's license or who is licensed to
make wine |
under the laws of another state to ship wine
made by that |
licensee directly to a resident of this
State who is 21 years |
of age or older for that resident's
personal use and not for |
resale. Prior to receiving a
winery shipper's license, an |
applicant for the license must
provide the Commission with a |
true copy of its current
license in any state in which it is |
licensed as a manufacturer
of wine. An applicant for a winery |
shipper's license must
also complete an application form that |
provides any other
information the Commission deems necessary. |
The
application form shall include an acknowledgement |
consenting
to the jurisdiction of the Commission, the Illinois
|
Department of Revenue, and the courts of this State concerning
|
|
the enforcement of this Act and any related laws, rules, and
|
regulations, including authorizing the Department of Revenue
|
and the Commission to conduct audits for the purpose of
|
ensuring compliance with Public Act 95-634 this amendatory Act . |
A winery shipper licensee must pay to the Department
of |
Revenue the State liquor gallonage tax under Section 8-1 for
|
all wine that is sold by the licensee and shipped to a person
|
in this State. For the purposes of Section 8-1, a winery
|
shipper licensee shall be taxed in the same manner as a
|
manufacturer of wine. A licensee who is not otherwise required |
to register under the Retailers' Occupation Tax Act must
|
register under the Use Tax Act to collect and remit use tax to
|
the Department of Revenue for all gallons of wine that are sold
|
by the licensee and shipped to persons in this State. If a
|
licensee fails to remit the tax imposed under this Act in
|
accordance with the provisions of Article VIII of this Act, the
|
winery shipper's license shall be revoked in accordance
with |
the provisions of Article VII of this Act. If a licensee
fails |
to properly register and remit tax under the Use Tax Act
or the |
Retailers' Occupation Tax Act for all wine that is sold
by the |
winery shipper and shipped to persons in this
State, the winery |
shipper's license shall be revoked in
accordance with the |
provisions of Article VII of this Act. |
A winery shipper licensee must collect, maintain, and
|
submit to the Commission on a semi-annual basis the
total |
number of cases per resident of wine shipped to residents
of |
|
this State.
A winery shipper licensed under this subsection (r)
|
must comply with the requirements of Section 6-29 of this |
amendatory Act. |
Pursuant to paragraph (5.1) or (5.3) of subsection (a) of |
Section 3-12, the State Commission may receive, respond to, and |
investigate any complaint and impose any of the remedies |
specified in paragraph (1) of subsection (a) of Section 3-12. |
(Source: P.A. 98-394, eff. 8-16-13; 98-401, eff. 8-16-13; |
98-756, eff. 7-16-14; 99-448, eff. 8-24-15; revised 10-27-15.)
|
(235 ILCS 5/6-4) (from Ch. 43, par. 121)
|
Sec. 6-4. (a) No person licensed by any licensing authority |
as a
distiller, or a wine manufacturer, or any subsidiary or |
affiliate
thereof, or any officer, associate, member, partner, |
representative,
employee, agent or shareholder owning more |
than 5% of the outstanding
shares of such person shall be |
issued an importing distributor's or
distributor's license, |
nor shall any person licensed by any licensing
authority as an |
importing distributor, distributor or retailer, or any
|
subsidiary or affiliate thereof, or any officer or associate, |
member,
partner, representative, employee, agent or |
shareholder owning more than
5% of the outstanding shares of |
such person be issued a distiller's
license or a wine |
manufacturer's license; and no person or persons
licensed as a |
distiller by any licensing authority shall have any
interest, |
directly or indirectly, with such distributor or importing
|
|
distributor.
|
However, an importing distributor or distributor, which on |
January
1, 1985 is owned by a brewer, or any subsidiary or |
affiliate thereof or any
officer, associate, member, partner, |
representative, employee, agent or
shareholder owning more |
than 5% of the outstanding shares of the importing
distributor |
or distributor referred to in this paragraph, may own or
|
acquire an ownership interest of more than 5% of the |
outstanding shares of
a wine manufacturer and be issued a wine
|
manufacturer's license by any licensing authority.
|
(b) The foregoing provisions shall not apply to any person |
licensed
by any licensing authority as a distiller or wine |
manufacturer, or to
any subsidiary or affiliate of any |
distiller or wine manufacturer who
shall have been heretofore |
licensed by the State Commission as either an
importing |
distributor or distributor during the annual licensing period
|
expiring June 30, 1947, and shall actually have made sales |
regularly to
retailers.
|
(c) Provided, however, that in such instances where a |
distributor's
or importing distributor's license has been |
issued to any distiller or
wine manufacturer or to any |
subsidiary or affiliate of any distiller or
wine manufacturer |
who has, during the licensing period ending June 30,
1947, sold |
or distributed as such licensed distributor or importing
|
distributor alcoholic liquors and wines to retailers, such |
distiller or
wine manufacturer or any subsidiary or affiliate |
|
of any distiller or
wine manufacturer holding such |
distributor's or importing distributor's
license may continue |
to sell or distribute to retailers such alcoholic
liquors and |
wines which are manufactured, distilled, processed or
marketed |
by distillers and wine manufacturers whose products it sold or
|
distributed to retailers during the whole or any part of its |
licensing
periods; and such additional brands and additional |
products may be added
to the line of such distributor or |
importing distributor, provided, that
such brands and such |
products were not sold or distributed by any
distributor or |
importing distributor licensed by the State Commission
during |
the licensing period ending June 30, 1947, but can not sell or
|
distribute to retailers any other alcoholic liquors or wines.
|
(d) It shall be unlawful for any distiller licensed |
anywhere to have
any stock ownership or interest in any |
distributor's or importing
distributor's license wherein any |
other person has an interest therein
who is not a distiller and |
does not own more than 5% of any stock in any
distillery. |
Nothing herein contained shall apply to such distillers or
|
their subsidiaries or affiliates, who had a distributor's or |
importing
distributor's license during the licensing period |
ending June 30, 1947,
which license was owned in whole by such |
distiller, or subsidiaries or
affiliates of such distiller.
|
(e) Any person licensed as a brewer, class 1 brewer, or |
class 2 brewer shall be
permitted to sell on the licensed |
premises to non-licensees for on or off-premises consumption |
|
for the premises in which he
or she actually conducts such |
business beer manufactured by the brewer, class 1 brewer, or |
class 2 brewer. Such sales shall be limited to on-premises, |
in-person sales only, for lawful consumption on or off |
premises. Such authorization shall be considered a privilege |
granted by the brewer license and, other than a manufacturer of |
beer
as stated above, no manufacturer or distributor or |
importing
distributor, excluding airplane licensees exercising |
powers provided in
paragraph (i) of Section 5-1 of this Act, or |
any subsidiary or affiliate
thereof, or any officer,
associate, |
member, partner, representative, employee or agent, or
|
shareholder shall be issued a retailer's license, nor shall any |
person
having a retailer's license, excluding airplane |
licensees exercising powers
provided in paragraph (i) of |
Section 5-1 of this
Act, or any subsidiary or affiliate |
thereof, or
any officer, associate, member, partner, |
representative or agent, or
shareholder be issued a |
manufacturer's license or importing distributor's
license.
|
A person who holds a class 1 or class 2 brewer license and |
is authorized by this Section to sell beer to non-licensees |
shall not sell beer to non-licensees from more than 3 total |
brewer or commonly owned brew pub licensed locations in this |
State. The class 1 or class 2 brewer shall designate to the |
State Commission the brewer or brew pub locations from which it |
will sell beer to non-licensees. |
A person licensed as a craft distiller not affiliated with |
|
any other person manufacturing spirits may be authorized by the |
Commission to sell up to 2,500 gallons of spirits produced by |
the person to non-licensees for on or off-premises consumption |
for the premises in which he or she actually conducts business |
permitting only the retail sale of spirits manufactured at such |
premises. Such sales shall be limited to on-premises, in-person |
sales only, for lawful consumption on or off premises, and such |
authorization shall be considered a privilege granted by the |
craft distiller license. A craft distiller licensed for retail |
sale shall secure liquor liability insurance coverage in an |
amount at least equal to the maximum liability amounts set |
forth in subsection (a) of Section 6-21 of this Act. |
(f) (Blank).
|
(g) Notwithstanding any of the foregoing prohibitions, a |
limited wine
manufacturer may sell at retail at its |
manufacturing site for on or off
premises consumption and may |
sell to distributors. A limited wine manufacturer licensee
|
shall secure liquor liability insurance coverage in an amount
|
at least equal to the maximum liability amounts set forth in
|
subsection (a) of Section 6-21 of this Act.
|
(h) The changes made to this Section by Public Act 99-47 |
this amendatory Act of the 99th General Assembly shall not |
diminish or impair the rights of any person, whether a |
distiller, wine manufacturer, agent, or affiliate thereof, who |
requested in writing and submitted documentation to the State |
Commission on or before February 18, 2015 to be approved for a |
|
retail license pursuant to what has heretofore been subsection |
(f); provided that, on or before that date, the State |
Commission considered the intent of that person to apply for |
the retail license under that subsection and, by recorded vote, |
the State Commission approved a resolution indicating that such |
a license application could be lawfully approved upon that |
person duly filing a formal application for a retail license |
and if that person, within 90 days of the State Commission |
appearance and recorded vote, first filed an application with |
the appropriate local commission, which application was |
subsequently approved by the appropriate local commission |
prior to consideration by the State Commission of that person's |
application for a retail license. It is further provided that |
the State Commission may approve the person's application for a |
retail license or renewals of such license if such person |
continues to diligently adhere to all representations made in |
writing to the State Commission on or before February 18, 2015, |
or thereafter, or in the affidavit filed by that person with |
the State Commission to support the issuance of a retail |
license and to abide by all applicable laws and duly adopted |
rules. |
(Source: P.A. 99-47, eff. 7-15-15; 99-448, eff. 8-24-15; |
revised 10-30-15.)
|
(235 ILCS 5/6-11)
|
Sec. 6-11. Sale near churches, schools, and hospitals.
|
|
(a) No license shall be issued for the sale at retail of |
any
alcoholic liquor within 100 feet of any church, school |
other than an
institution of higher learning, hospital, home |
for aged or indigent
persons or for veterans, their spouses or |
children or any military or
naval station, provided, that this |
prohibition shall not apply to hotels
offering restaurant |
service, regularly organized clubs, or to
restaurants, food |
shops or other places where sale of alcoholic liquors
is not |
the principal business carried on if the place of business so
|
exempted is not located in a municipality of more than 500,000 |
persons,
unless required by local ordinance; nor to the renewal |
of a license for the
sale at retail of alcoholic liquor on |
premises within 100 feet of any church
or school where the |
church or school has been established within such
100 feet |
since the issuance of the original license. In the case of a
|
church, the distance of 100 feet shall be measured to the |
nearest part
of any building used for worship services or |
educational programs and
not to property boundaries.
|
(b) Nothing in this Section shall prohibit the issuance of |
a retail
license
authorizing the sale of alcoholic liquor to a |
restaurant, the primary business
of which is the sale of goods |
baked on the premises if (i) the restaurant is
newly |
constructed and located on a lot of not less than 10,000 square |
feet,
(ii) the restaurant costs at least $1,000,000 to |
construct, (iii) the licensee
is the titleholder to the |
premises and resides on the premises, and (iv) the
construction |
|
of the restaurant is completed within 18 months of July 10, |
1998 ( the effective
date of Public Act 90-617) this amendatory |
Act of 1998 .
|
(c) Nothing in this Section shall prohibit the issuance of |
a retail
license
authorizing the sale of alcoholic liquor |
incidental to a restaurant if (1) the
primary
business of the |
restaurant consists of the sale of food where the sale of
|
liquor is incidental to the sale of food and the applicant is a |
completely new
owner of the restaurant, (2) the immediately
|
prior owner or operator of the premises where the restaurant is |
located
operated the premises as a restaurant and held a valid |
retail license
authorizing the
sale of alcoholic liquor at the |
restaurant for at least part of the 24 months
before the
change |
of ownership, and (3) the restaurant is located 75 or more feet |
from a
school.
|
(d) In the interest of further developing Illinois' economy |
in the area
of
commerce, tourism, convention, and banquet |
business, nothing in this
Section shall
prohibit issuance of a |
retail license authorizing the sale of alcoholic
beverages to a |
restaurant, banquet facility, grocery store, or hotel having
|
not fewer than
150 guest room accommodations located in a |
municipality of more than 500,000
persons, notwithstanding the |
proximity of such hotel, restaurant,
banquet facility, or |
grocery store to any church or school, if the licensed
premises
|
described on the license are located within an enclosed mall or |
building of a
height of at least 6 stories, or 60 feet in the |
|
case of a building that has
been registered as a national |
landmark, or in a grocery store having a
minimum of 56,010 |
square feet of floor space in a single story building in an
|
open mall of at least 3.96 acres that is adjacent to a public |
school that
opened as a boys technical high school in 1934, or |
in a grocery store having a minimum of 31,000 square feet of |
floor space in a single story building located a distance of |
more than 90 feet but less than 100 feet from a high school |
that opened in 1928 as a junior high school and became a senior |
high school in 1933, and in each of these
cases if the sale of
|
alcoholic liquors is not the principal business carried on by |
the licensee.
|
For purposes of this Section, a "banquet facility" is any |
part of a
building that caters to private parties and where the |
sale of alcoholic liquors
is not the principal business.
|
(e) Nothing in this Section shall prohibit the issuance of |
a license to
a
church or private school to sell at retail |
alcoholic liquor if any such
sales are limited to periods when |
groups are assembled on the premises
solely for the promotion |
of some common object other than the sale or
consumption of |
alcoholic liquors.
|
(f) Nothing in this Section shall prohibit a church or |
church affiliated
school
located in a home rule municipality or |
in a municipality with 75,000 or more
inhabitants from locating
|
within 100 feet of a property for which there is a preexisting |
license to sell
alcoholic liquor at retail. In these instances, |
|
the local zoning authority
may, by ordinance adopted |
simultaneously with the granting of an initial
special use |
zoning permit for the church or church affiliated school, |
provide
that the 100-foot restriction in this Section shall not |
apply to that church or
church affiliated school and future |
retail liquor licenses.
|
(g) Nothing in this Section shall prohibit the issuance of |
a retail
license authorizing the sale of alcoholic liquor at |
premises within 100 feet,
but not less than 90 feet, of a |
public school if (1) the premises have been
continuously |
licensed to sell alcoholic liquor
for a period of at least 50 |
years,
(2) the premises are located in a municipality having a |
population of over
500,000 inhabitants, (3) the licensee is an |
individual who is a member of a
family that has held the |
previous 3 licenses for that location for more than 25
years, |
(4) the
principal of the school and the alderman of the ward in |
which the school is
located have delivered a written statement |
to the local liquor control
commissioner stating that they do |
not object to the issuance of a license
under this subsection |
(g), and (5) the local liquor control commissioner has
received |
the written consent of a majority of the registered voters who |
live
within 200 feet of the premises.
|
(h) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within premises and at an outdoor patio area attached to |
|
premises that are located in a municipality with a population |
in excess of 300,000 inhabitants and that are within 100 feet |
of a church if:
|
(1) the sale of alcoholic liquor at the premises is |
incidental to the sale of food,
|
(2) the sale of liquor is not the principal business |
carried on by the licensee at the premises, |
(3) the premises are less than 1,000 square feet, |
(4) the premises are owned by the University of |
Illinois, |
(5) the premises are immediately adjacent to property |
owned by a church and are not less than 20 nor more than 40 |
feet from the church space used for worship services, and |
(6) the principal religious leader at the place of |
worship has indicated his or her support for the issuance |
of the license in writing.
|
(i) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license to sell alcoholic liquor at a premises |
that is located within a municipality with a population in |
excess of 300,000 inhabitants and is within 100 feet of a |
church, synagogue, or other place of worship if: |
(1) the primary entrance of the premises and the |
primary entrance of the church, synagogue, or other place |
of worship are at least 100 feet apart, on parallel |
streets, and separated by an alley; and |
|
(2) the principal religious leader at the place of |
worship has not indicated his or her opposition to the |
issuance or renewal of the license in writing. |
(j) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
of a retail
license authorizing the sale of alcoholic liquor at |
a theater that is within 100 feet of a church if (1) the church |
owns the theater, (2) the church leases the theater to one or |
more entities, and
(3) the theater is used by at least 5 |
different not-for-profit theater groups. |
(k) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and is within |
100 feet of a school if:
|
(1) the primary entrance of the premises and the |
primary entrance of the school are parallel, on different |
streets, and separated by an alley; |
(2) the southeast corner of the premises are at least |
350 feet from the southwest corner of the school; |
(3) the school was built in 1978; |
(4) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(5) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
|
(6) the applicant is the owner of the restaurant and |
has held a valid license authorizing the sale of alcoholic |
liquor for the business to be conducted on the premises at |
a different location for more than 7 years; and |
(7) the premises is at least 2,300 square feet and sits |
on a lot that is between 6,100 and 6,150 square feet. |
(l) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and is within |
100 feet of a church or school if: |
(1) the primary entrance of the premises and the |
closest entrance of the church or school is at least 90 |
feet apart and no greater than 95 feet apart; |
(2) the shortest distance between the premises and the |
church or school is at least 80 feet apart and no greater |
than 85 feet apart; |
(3) the applicant is the owner of the restaurant and on |
November 15, 2006 held a valid license authorizing the sale |
of alcoholic liquor for the business to be conducted on the |
premises for at least 14 different locations; |
(4) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(5) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
|
(6) the premises is at least 3,200 square feet and sits |
on a lot that is between 7,150 and 7,200 square feet; and |
(7) the principal religious leader at the place of |
worship has not indicated his or her opposition to the |
issuance or renewal of the license in writing.
|
(m) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and is within |
100 feet of a church if: |
(1) the premises and the church are perpendicular, and |
the primary entrance of the premises faces South while the |
primary entrance of the church faces West and the distance |
between the two entrances is more than 100 feet; |
(2) the shortest distance between the premises lot line |
and the exterior wall of the church is at least 80 feet; |
(3) the church was established at the current location |
in 1916 and the present structure was erected in 1925; |
(4) the premises is a single story, single use building |
with at least 1,750 square feet and no more than 2,000 |
square feet; |
(5) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(6) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; and |
|
(7) the principal religious leader at the place of |
worship has not indicated his or her opposition to the |
issuance or renewal of the license in writing. |
(n) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and is within |
100 feet of a school if: |
(1) the school is a City of Chicago School District 299 |
school; |
(2) the school is located within subarea E of City of |
Chicago Residential Business Planned Development Number |
70; |
(3) the sale of alcoholic liquor is not the principal |
business carried on by the licensee on the premises; |
(4) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; and |
(5) the administration of City of Chicago School |
District 299 has expressed, in writing, its support for the |
issuance of the license. |
(o) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a retail license authorizing the sale of |
alcoholic liquor at a premises that is located within a |
municipality in excess of 1,000,000 inhabitants and within 100 |
|
feet of a church if: |
(1) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(2) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(3) the premises is located on a street that runs |
perpendicular to the street on which the church is located; |
(4) the primary entrance of the premises is at least |
100 feet from the primary entrance of the church; |
(5) the shortest distance between any part of the |
premises and any part of the church is at least 60 feet; |
(6) the premises is between 3,600 and 4,000 square feet |
and sits on a lot that is between 3,600 and 4,000 square |
feet; and |
(7) the premises was built in the year 1909. |
For purposes of this subsection (o), "premises" means a |
place of business together with a privately owned outdoor |
location that is adjacent to the place of business. |
(p) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the shortest distance between the backdoor of the |
premises, which is used as an emergency exit, and the |
|
church is at least 80 feet; |
(2) the church was established at the current location |
in 1889; and |
(3) liquor has been sold on the premises since at least |
1985. |
(q) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a premises that is located in a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church-owned property if: |
(1) the premises is located within a larger building |
operated as a grocery store; |
(2) the area of the premises does not exceed 720 square |
feet and the area of the larger building exceeds 18,000 |
square feet; |
(3) the larger building containing the premises is |
within 100 feet of the nearest property line of a |
church-owned property on which a church-affiliated school |
is located; |
(4) the sale of liquor is not the principal business |
carried on within the larger building; |
(5) the primary entrance of the larger building and the |
premises and the primary entrance of the church-affiliated |
school are on different, parallel streets, and the distance |
between the 2 primary entrances is more than 100 feet; |
|
(6) the larger building is separated from the |
church-owned property and church-affiliated school by an |
alley; |
(7) the larger building containing the premises and the |
church building front are on perpendicular streets and are |
separated by a street; and |
(8) (Blank). |
(r) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance, |
renewal, or maintenance of a license authorizing the sale of |
alcoholic liquor incidental to the sale of food within a |
restaurant established in a premises that is located in a |
municipality with a population in excess of 1,000,000 |
inhabitants and within 100 feet of a church if: |
(1) the primary entrance of the church and the primary |
entrance of the restaurant are at least 100 feet apart; |
(2) the restaurant has operated on the ground floor and |
lower level of a multi-story, multi-use building for more |
than 40 years; |
(3) the primary business of the restaurant consists of |
the sale of food where the sale of liquor is incidental to |
the sale of food; |
(4) the sale of alcoholic liquor is conducted primarily |
in the below-grade level of the restaurant to which the |
only public access is by a staircase located inside the |
restaurant; and |
|
(5) the restaurant has held a license authorizing the |
sale of alcoholic liquor on the premises for more than 40 |
years. |
(s) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit renewal of a |
license authorizing the sale of alcoholic liquor at a premises |
that is located within a municipality with a population more |
than 5,000 and less than 10,000 and is within 100 feet of a |
church if: |
(1) the church was established at the location within |
100 feet of the premises after a license for the sale of |
alcoholic liquor at the premises was first issued; |
(2) a license for sale of alcoholic liquor at the |
premises was first issued before January 1, 2007; and |
(3) a license for the sale of alcoholic liquor on the |
premises has been continuously in effect since January 1, |
2007, except for interruptions between licenses of no more |
than 90 days. |
(t) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a
license authorizing the sale of alcoholic |
liquor
incidental to the sale of food within a restaurant that |
is established in a premises that is located in a municipality |
with a population in excess of 1,000,000 inhabitants and within |
100 feet of a school and a church if: |
(1) the restaurant is located inside a five-story |
|
building with over 16,800 square feet of commercial space; |
(2) the area of the premises does not exceed 31,050 |
square feet; |
(3) the area of the restaurant does not exceed 5,800 |
square feet; |
(4) the building has no less than 78 condominium units; |
(5) the construction of the building in which the |
restaurant is located was completed in 2006; |
(6) the building has 10 storefront properties, 3 of |
which are used for the restaurant; |
(7) the restaurant will open for business in 2010; |
(8) the building is north of the school and separated |
by an alley; and |
(9) the principal religious leader of the church and |
either the alderman of the ward in which the school is |
located or the principal of the school have delivered a |
written statement to the local liquor control commissioner |
stating that he or she does not object to the issuance of a |
license under this subsection (t). |
(u) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license to sell alcoholic liquor at a premises |
that is located within a municipality with a population in |
excess of 1,000,000 inhabitants and within 100 feet of a school |
if: |
(1) the premises operates as a restaurant and has been |
|
in operation since February 2008; |
(2) the applicant is the owner of the premises; |
(3) the sale of alcoholic liquor is incidental to the |
sale of food; |
(4) the sale of alcoholic liquor is not the principal |
business carried on by the licensee on the premises; |
(5) the premises occupy the first floor of a 3-story |
building that is at least 90 years old; |
(6) the rear lot of the school and the rear corner of |
the building that the premises occupy are separated by an |
alley; |
(7) the distance from the southwest corner of the |
property line of the school and the northeast corner of the |
building that the premises occupy is at least 16 feet, 5 |
inches; |
(8) the distance from the rear door of the premises to |
the southwest corner of the property line of the school is |
at least 93 feet; |
(9) the school is a City of Chicago School District 299 |
school; |
(10) the school's main structure was erected in 1902 |
and an addition was built to the main structure in 1959; |
and |
(11) the principal of the school and the alderman in |
whose district the premises are located have expressed, in |
writing, their support for the issuance of the license. |
|
(v) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and is within |
100 feet of a school if: |
(1) the total land area of the premises for which the |
license or renewal is sought is more than 600,000 square |
feet; |
(2) the premises for which the license or renewal is |
sought has more than 600 parking stalls; |
(3) the total area of all buildings on the premises for |
which the license or renewal is sought exceeds 140,000 |
square feet; |
(4) the property line of the premises for which the |
license or renewal is sought is separated from the property |
line of the school by a street; |
(5) the distance from the school's property line to the |
property line of the premises for which the license or |
renewal is sought is at least 60 feet; |
(6) as of June 14, 2011 ( the effective date of Public |
Act 97-9) this amendatory Act of the 97th General Assembly , |
the premises for which the license or renewal is sought is |
located in the Illinois Medical District. |
(w) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
|
or renewal of a license to sell alcoholic liquor at a premises |
that is located within a municipality with a population in |
excess of 1,000,000 inhabitants and within 100 feet of a church |
if: |
(1) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(2) the sale of alcoholic liquor is not the principal
|
business carried on by the licensee at the premises; |
(3) the premises occupy the first floor and basement of |
a 2-story building that is 106 years old; |
(4) the premises is at least 7,000 square feet and |
located on a lot that is at least 11,000 square feet; |
(5) the premises is located directly west of the |
church, on perpendicular streets, and separated by an |
alley; |
(6) the distance between the
property line of the |
premises and the property line of the church is at least 20 |
feet; |
(7) the distance between the primary entrance of the |
premises and the primary entrance of the church is at least |
130 feet; and |
(8) the church has been at its location for at least 40 |
years. |
(x) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
|
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the church has been operating in its current |
location since 1973; |
(3) the premises has been operating in its current |
location since 1988; |
(4) the church and the premises are owned by the same |
parish; |
(5) the premises is used for cultural and educational |
purposes; |
(6) the primary entrance to the premises and the |
primary entrance to the church are located on the same |
street; |
(7) the principal religious leader of the church has |
indicated his support of the issuance of the license; |
(8) the premises is a 2-story building of approximately |
23,000 square feet; and |
(9) the premises houses a ballroom on its ground floor |
of approximately 5,000 square feet. |
(y) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
|
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a school if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(3) according to the municipality, the distance |
between the east property line of the premises and the west |
property line of the school is 97.8 feet; |
(4) the school is a City of Chicago School District 299 |
school; |
(5) the school has been operating since 1959; |
(6) the primary entrance to the premises and the |
primary entrance to the school are located on the same |
street; |
(7) the street on which the entrances of the premises |
and the school are located is a major diagonal |
thoroughfare; |
(8) the premises is a single-story building of |
approximately 2,900 square feet; and |
(9) the premises is used for commercial purposes only. |
(z) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
|
feet of a mosque if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors at |
the premises; |
(3) the licensee is a national retail chain having over |
100 locations within the municipality; |
(4) the licensee has over 8,000 locations nationwide; |
(5) the licensee has locations in all 50 states; |
(6) the premises is located in the North-East quadrant |
of the municipality; |
(7) the premises is a free-standing building that has |
"drive-through" pharmacy service; |
(8) the premises has approximately 14,490 square feet |
of retail space; |
(9) the premises has approximately 799 square feet of |
pharmacy space; |
(10) the premises is located on a major arterial street |
that runs east-west and accepts truck traffic; and |
(11) the alderman of the ward in which the premises is |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(aa) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
|
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors at |
the premises; |
(3) the licensee is a national retail chain having over |
100 locations within the municipality; |
(4) the licensee has over 8,000 locations nationwide; |
(5) the licensee has locations in all 50 states; |
(6) the premises is located in the North-East quadrant |
of the municipality; |
(7) the premises is located across the street from a |
national grocery chain outlet; |
(8) the premises has approximately 16,148 square feet |
of retail space; |
(9) the premises has approximately 992 square feet of |
pharmacy space; |
(10) the premises is located on a major arterial street |
that runs north-south and accepts truck traffic; and |
(11) the alderman of the ward in which the premises is |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(bb) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
|
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(3) the primary entrance to the premises and the |
primary entrance to the church are located on the same |
street; |
(4) the premises is across the street from the church; |
(5) the street on which the premises and the church are |
located is a major arterial street that runs east-west; |
(6) the church is an elder-led and Bible-based Assyrian |
church; |
(7) the premises and the church are both single-story |
buildings; |
(8) the storefront directly west of the church is being |
used as a restaurant; and |
(9) the distance between the northern-most property |
line of the premises and the southern-most property line of |
the church is 65 feet. |
(cc) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
|
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a school if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors at |
the premises; |
(3) the licensee is a national retail chain; |
(4) as of October 25, 2011, the licensee has 1,767 |
stores operating nationwide, 87 stores operating in the |
State, and 10 stores operating within the municipality; |
(5) the licensee shall occupy approximately 124,000 |
square feet of space in the basement and first and second |
floors of a building located across the street from a |
school; |
(6) the school opened in August of 2009 and occupies |
approximately 67,000 square feet of space; and |
(7) the building in which the premises shall be located |
has been listed on the National Register of Historic Places |
since April 17, 1970. |
(dd) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a full-service grocery store at a premises that |
is located within a municipality with a population in excess of |
1,000,000 inhabitants and is within 100 feet of a school if: |
(1) the premises is constructed on land that was |
|
purchased from the municipality at a fair market price; |
(2) the premises is constructed on land that was |
previously used as a parking facility for public safety |
employees; |
(3) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(4) the main entrance to the store is more than 100 |
feet from the main entrance to the school; |
(5) the premises is to be new construction; |
(6) the school is a private school; |
(7) the principal of the school has given written |
approval for the license; |
(8) the alderman of the ward where the premises is |
located has given written approval of the issuance of the |
license; |
(9) the grocery store level of the premises is between |
60,000 and 70,000 square feet; and |
(10) the owner and operator of the grocery store |
operates 2 other grocery stores that have alcoholic liquor |
licenses within the same municipality. |
(ee) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a full-service grocery store at a premises that |
is located within a municipality with a population in excess of |
1,000,000 inhabitants and is within 100 feet of a school if: |
|
(1) the premises is constructed on land that once |
contained an industrial steel facility; |
(2) the premises is located on land that has undergone |
environmental remediation; |
(3) the premises is located within a retail complex |
containing retail stores where some of the stores sell |
alcoholic beverages; |
(4) the principal activity of any restaurant in the |
retail complex is the sale of food, and the sale of |
alcoholic liquor is incidental to the sale of food; |
(5) the sale of alcoholic liquor is not the principal |
business carried on by the grocery store; |
(6) the entrance to any business that sells alcoholic |
liquor is more than 100 feet from the entrance to the |
school; |
(7) the alderman of the ward where the premises is |
located has given written approval of the issuance of the |
license; and |
(8) the principal of the school has given written |
consent to the issuance of the license. |
(ff) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a school if: |
|
(1) the sale of alcoholic liquor is not the principal |
business carried on at the premises; |
(2) the sale of alcoholic liquor at the premises is |
incidental to the operation of a theater; |
(3) the premises is a one and one-half-story building |
of approximately 10,000 square feet; |
(4) the school is a City of Chicago School District 299 |
school; |
(5) the primary entrance of the premises and the |
primary entrance of the school are at least 300 feet apart |
and no more than 400 feet apart; |
(6) the alderman of the ward in which the premises is |
located has expressed, in writing, his support for the |
issuance of the license; and |
(7) the principal of the school has expressed, in |
writing, that there is no objection to the issuance of a |
license under this subsection (ff). |
(gg) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor incidental to the sale of food within a restaurant or |
banquet facility established in a premises that is located in a |
municipality with a population in excess of 1,000,000 |
inhabitants and within 100 feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
|
(2) the property on which the church is located and the |
property on which the premises are located are both within |
a district originally listed on the National Register of |
Historic Places on February 14, 1979; |
(3) the property on which the premises are located |
contains one or more multi-story buildings that are at |
least 95 years old and have no more than three stories; |
(4) the building in which the church is located is at |
least 120 years old; |
(5) the property on which the church is located is |
immediately adjacent to and west of the property on which |
the premises are located; |
(6) the western boundary of the property on which the |
premises are located is no less than 118 feet in length and |
no more than 122 feet in length; |
(7) as of December 31, 2012, both the church property |
and the property on which the premises are located are |
within 250 feet of City of Chicago Business-Residential |
Planned Development Number 38; |
(8) the principal religious leader at the place of |
worship has indicated his or her support for the issuance |
of the license in writing; and |
(9) the alderman in whose district the premises are |
located has expressed his or her support for the issuance |
of the license in writing. |
For the purposes of this subsection, "banquet facility" |
|
means the part of the building that is located on the floor |
above a restaurant and caters to private parties and where the |
sale of alcoholic liquors is not the principal business. |
(hh) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a hotel and at an outdoor patio area attached to |
the hotel that are located in a municipality with a population |
in excess of 1,000,000 inhabitants and that are within 100 feet |
of a hospital if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the hotel; |
(2) the hotel is located within the City of Chicago |
Business Planned Development Number 468; and |
(3) the hospital is located within the City of Chicago |
Institutional Planned Development Number 3. |
(ii) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a restaurant and at an outdoor patio area |
attached to the restaurant that are located in a municipality |
with a population in excess of 1,000,000 inhabitants and that |
are within 100 feet of a church if: |
(1) the sale of alcoholic liquor at the premises is not |
the principal business carried on by the licensee and is |
incidental to the sale of food; |
|
(2) the restaurant has been operated on the street |
level of a 2-story building located on a corner lot since |
2008; |
(3) the restaurant is between 3,700 and 4,000 square |
feet and sits on a lot that is no more than 6,200 square |
feet; |
(4) the primary entrance to the restaurant and the |
primary entrance to the church are located on the same |
street; |
(5) the street on which the restaurant and the church |
are located is a major east-west street; |
(6) the restaurant and the church are separated by a |
one-way northbound street; |
(7) the church is located to the west of and no more |
than 65 feet from the restaurant; and |
(8) the principal religious leader at the place of |
worship has indicated his or her consent to the issuance of |
the license in writing. |
(jj) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
|
(2) the sale of alcoholic liquor is incidental to the |
sale of food; |
(3) the premises are located east of the church, on |
perpendicular streets, and separated by an alley; |
(4) the distance between the primary entrance of the |
premises and the primary entrance of the church is at least |
175 feet; |
(5) the distance between the property line of the |
premises and the property line of the church is at least 40 |
feet; |
(6) the licensee has been operating at the premises |
since 2012; |
(7) the church was constructed in 1904; |
(8) the alderman of the ward in which the premises is |
located has expressed, in writing, his or her support for |
the issuance of the license; and |
(9) the principal religious leader of the church has |
delivered a written statement that he or she does not |
object to the issuance of a license under this subsection |
(jj). |
(kk) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a school if: |
|
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors on |
the premises; |
(3) the licensee is a national retail chain; |
(4) as of February 27, 2013, the licensee had 1,778 |
stores operating nationwide, 89 operating in this State, |
and 11 stores operating within the municipality; |
(5) the licensee shall occupy approximately 169,048 |
square feet of space within a building that is located |
across the street from a tuition-based preschool; and |
(6) the alderman of the ward in which the premises is |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(ll) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a school if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors on |
the premises; |
(3) the licensee is a national retail chain; |
(4) as of February 27, 2013, the licensee had 1,778 |
|
stores operating nationwide, 89 operating in this State, |
and 11 stores operating within the municipality; |
(5) the licensee shall occupy approximately 191,535 |
square feet of space within a building that is located |
across the street from an elementary school; and |
(6) the alderman of the ward in which the premises is |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(mm) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within premises and at an outdoor patio or sidewalk |
cafe, or both, attached to premises that are located in a |
municipality with a population in excess of 1,000,000 |
inhabitants and that are within 100 feet of a hospital if: |
(1) the primary business of the restaurant consists of |
the sale of food where the sale of liquor is incidental to |
the sale of food; |
(2) as a restaurant, the premises may or may not offer |
catering as an incidental part of food service; |
(3) the primary business of the restaurant is conducted |
in space owned by a hospital or an entity owned or |
controlled by, under common control with, or that controls |
a hospital, and the chief hospital administrator has |
expressed his or her support for the issuance of the |
license in writing; and |
|
(4) the hospital is an adult acute care facility |
primarily located within the City of Chicago Institutional |
Planned Development Number 3. |
(nn) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried out on the premises; |
(2) the sale of alcoholic liquor at the premises is |
incidental to the operation of a theater; |
(3) the premises are a building that was constructed in |
1913 and opened on May 24, 1915 as a vaudeville theater, |
and the premises were converted to a motion picture theater |
in 1935; |
(4) the church was constructed in 1889 with a stone |
exterior; |
(5) the primary entrance of the premises and the |
primary entrance of the church are at least 100 feet apart; |
and |
(6) the principal religious leader at the place of |
worship has indicated his or her consent to the issuance of |
the license in writing; and |
(7) the alderman in whose ward the premises are located |
|
has expressed his or her support for the issuance of the |
license in writing. |
(oo) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a mosque, church, or other place of worship if: |
(1) the primary entrance of the premises and the |
primary entrance of the mosque, church, or other place of |
worship are perpendicular and are on different streets; |
(2) the primary entrance to the premises faces West and |
the primary entrance to the mosque, church, or other place |
of worship faces South; |
(3) the distance between the 2 primary entrances is at |
least 100 feet; |
(4) the mosque, church, or other place of worship was |
established in a location within 100 feet of the premises |
after a license for the sale of alcohol at the premises was |
first issued; |
(5) the mosque, church, or other place of worship was |
established on or around January 1, 2011; |
(6) a license for the sale of alcohol at the premises |
was first issued on or before January 1, 1985; |
(7) a license for the sale of alcohol at the premises |
has been continuously in effect since January 1, 1985, |
|
except for interruptions between licenses of no more than |
90 days; and |
(8) the premises are a single-story, single-use |
building of at least 3,000 square feet and no more than |
3,380 square feet. |
(pp) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor incidental to the sale of food within a restaurant or |
banquet facility established on premises that are located in a |
municipality with a population in excess of 1,000,000 |
inhabitants and within 100 feet of at least one church if: |
(1) the sale of liquor shall not be the principal |
business carried on by the licensee at the premises; |
(2) the premises are at least 2,000 square feet and no |
more than 10,000 square feet and is located in a |
single-story building; |
(3) the property on which the premises are located is |
within an area that, as of 2009, was designated as a |
Renewal Community by the United States Department of |
Housing and Urban Development; |
(4) the property on which the premises are located and |
the properties on which the churches are located are on the |
same street; |
(5) the property on which the premises are located is |
immediately adjacent to and east of the property on which |
|
at least one of the churches is located; |
(6) the property on which the premises are located is |
across the street and southwest of the property on which |
another church is located; |
(7) the principal religious leaders of the churches |
have indicated their support for the issuance of the |
license in writing; and |
(8) the alderman in whose ward the premises are located |
has expressed his or her support for the issuance of the |
license in writing. |
For purposes of this subsection (pp), "banquet facility" |
means the part of the building that caters to private parties |
and where the sale of alcoholic liquors is not the principal |
business. |
(qq) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor on premises that are located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church or school if: |
(1) the primary entrance of the premises and the |
closest entrance of the church or school are at least 200 |
feet apart and no greater than 300 feet apart; |
(2) the shortest distance between the premises and the |
church or school is at least 66 feet apart and no greater |
than 81 feet apart; |
|
(3) the premises are a single-story, steel-framed |
commercial building with at least 18,042 square feet, and |
was constructed in 1925 and 1997; |
(4) the owner of the business operated within the |
premises has been the general manager of a similar |
supermarket within one mile from the premises, which has |
had a valid license authorizing the sale of alcoholic |
liquor since 2002, and is in good standing with the City of |
Chicago; |
(5) the principal religious leader at the place of |
worship has indicated his or her support to the issuance or |
renewal of the license in writing; |
(6) the alderman of the ward has indicated his or her |
support to the issuance or renewal of the license in |
writing; and |
(7) the principal of the school has indicated his or |
her support to the issuance or renewal of the license in |
writing. |
(rr) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a club that leases space to a school if: |
(1) the sale of alcoholic liquor is not the principal |
business carried out on the premises; |
|
(2) the sale of alcoholic liquor at the premises is |
incidental to the operation of a grocery store; |
(3) the premises are a building of approximately 1,750 |
square feet and is rented by the owners of the grocery |
store from a family member; |
(4) the property line of the premises is approximately |
68 feet from the property line of the club; |
(5) the primary entrance of the premises and the |
primary entrance of the club where the school leases space |
are at least 100 feet apart; |
(6) the director of the club renting space to the |
school has indicated his or her consent to the issuance of |
the license in writing; and |
(7) the alderman in whose district the premises are |
located has expressed his or her support for the issuance |
of the license in writing. |
(ss) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the premises are located within a 15 unit building |
with 13 residential apartments and 2 commercial spaces, and |
the licensee will occupy both commercial spaces; |
(2) a restaurant has been operated on the premises |
|
since June 2011; |
(3) the restaurant currently occupies 1,075 square |
feet, but will be expanding to include 975 additional |
square feet; |
(4) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(5) the premises are located south of the church and on |
the same street and are separated by a one-way westbound |
street; |
(6) the primary entrance of the premises is at least 93 |
feet from the primary entrance of the church; |
(7) the shortest distance between any part of the |
premises and any part of the church is at least 72 feet; |
(8) the building in which the restaurant is located was |
built in 1910; |
(9) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license; and |
(10) the principal religious leader of the church has |
delivered a written statement that he or she does not |
object to the issuance of a license under this subsection |
(ss). |
(tt) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
|
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor is incidental to the |
sale of food; |
(3) the sale of alcoholic liquor at the premises was |
previously authorized by a package goods liquor license; |
(4) the premises are at least 40,000 square feet with |
25 parking spaces in the contiguous surface lot to the |
north of the store and 93 parking spaces on the roof; |
(5) the shortest distance between the lot line of the |
parking lot of the premises and the exterior wall of the |
church is at least 80 feet; |
(6) the distance between the building in which the |
church is located and the building in which the premises |
are located is at least 180 feet; |
(7) the main entrance to the church faces west and is |
at least 257 feet from the main entrance of the premises; |
and |
(8) the applicant is the owner of 10 similar grocery |
stores within the City of Chicago and the surrounding area |
and has been in business for more than 30 years. |
(uu) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
|
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor is incidental to the |
operation of a grocery store; |
(3) the premises are located in a building that is |
approximately 68,000 square feet with 157 parking spaces on |
property that was previously vacant land; |
(4) the main entrance to the church faces west and is |
at least 500 feet from the entrance of the premises, which |
faces north; |
(5) the church and the premises are separated by an |
alley; |
(6) the applicant is the owner of 9 similar grocery |
stores in the City of Chicago and the surrounding area and |
has been in business for more than 40 years; and |
(7) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(vv) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
|
feet of a church if: |
(1) the sale of alcoholic liquor is the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor is primary to the sale |
of food; |
(3) the premises are located south of the church and on |
perpendicular streets and are separated by a driveway; |
(4) the primary entrance of the premises is at least |
100 feet from the primary entrance of the church; |
(5) the shortest distance between any part of the |
premises and any part of the church is at least 15 feet; |
(6) the premises are less than 100 feet from the church |
center, but greater than 100 feet from the area within the |
building where church services are held; |
(7) the premises are 25,830 square feet and sit on a |
lot that is 0.48 acres; |
(8) the premises were once designated as a Korean |
American Presbyterian Church and were once used as a |
Masonic Temple; |
(9) the premises were built in 1910; |
(10) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license; and |
(11) the principal religious leader of the church has |
delivered a written statement that he or she does not |
object to the issuance of a license under this subsection |
|
(vv). |
For the purposes of this subsection (vv), "premises" means |
a place of business together with a privately owned outdoor |
location that is adjacent to the place of business.
|
(ww) Notwithstanding any provision of this Section to the
|
contrary, nothing in this Section shall prohibit the issuance
|
or renewal of a license authorizing the sale of alcoholic
|
liquor at premises located within a municipality with a
|
population in excess of 1,000,000 inhabitants and within 100
|
feet of a school if: |
(1) the school is located within Sub Area III of City |
of Chicago Residential-Business Planned Development Number |
523, as amended; and |
(2) the premises are located within Sub Area I, Sub |
Area II, or Sub Area IV of City of Chicago |
Residential-Business Planned Development Number 523, as |
amended. |
(xx) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of wine or wine-related products is the |
exclusive business carried on by the licensee at the |
premises; |
|
(2) the primary entrance of the premises and the |
primary entrance of the church are at least 100 feet apart |
and are located on different streets; |
(3) the building in which the premises are located and |
the building in which the church is located are separated |
by an alley; |
(4) the premises consists of less than 2,000 square |
feet of floor area dedicated to the sale of wine or |
wine-related products; |
(5) the premises are located on the first floor of a |
2-story building that is at least 99 years old and has a |
residential unit on the second floor; and |
(6) the principal religious leader at the church has |
indicated his or her support for the issuance or renewal of |
the license in writing. |
(yy) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the premises are a 27-story hotel containing 191 |
guest rooms; |
(2) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises and is |
limited to a restaurant located on the first floor of the |
|
hotel; |
(3) the hotel is adjacent to the church; |
(4) the site is zoned as DX-16; |
(5) the principal religious leader of the church has |
delivered a written statement that he or she does not |
object to the issuance of a license under this subsection |
(yy); and |
(6) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(zz) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the premises are a 15-story hotel containing 143 |
guest rooms; |
(2) the premises are approximately 85,691 square feet; |
(3) a restaurant is operated on the premises; |
(4) the restaurant is located in the first floor lobby |
of the hotel; |
(5) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(6) the hotel is located approximately 50 feet from the |
church and is separated from the church by a public street |
|
on the ground level and by air space on the upper level, |
which is where the public entrances are located; |
(7) the site is zoned as DX-16; |
(8) the principal religious leader of the church has |
delivered a written statement that he or she does not |
object to the issuance of a license under this subsection |
(zz); and |
(9) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(aaa) Notwithstanding any provision in this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a full-service grocery store at premises located |
within a municipality with a population in excess of 1,000,000 |
inhabitants and within 100 feet of a school if: |
(1) the sale of alcoholic liquor is not the primary |
business activity of the grocery store; |
(2) the premises are newly constructed on land that was |
formerly used by the Young Men's Christian Association; |
(3) the grocery store is located within a planned |
development that was approved by the municipality in 2007; |
(4) the premises are located in a multi-building, |
mixed-use complex; |
(5) the entrance to the grocery store is located more |
than 200 feet from the entrance to the school; |
|
(6) the entrance to the grocery store is located across |
the street from the back of the school building, which is |
not used for student or public access; |
(7) the grocery store executed a binding lease for the |
property in 2008; |
(8) the premises consist of 2 levels and occupy more |
than 80,000 square feet; |
(9) the owner and operator of the grocery store |
operates at least 10 other grocery stores that have |
alcoholic liquor licenses within the same municipality; |
and |
(10) the director of the school has expressed, in |
writing, his or her support for the issuance of the |
license. |
(bbb) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
(1) the sale of alcoholic liquor at the premises is |
incidental to the sale of food; |
(2) the premises are located in a single-story building |
of primarily brick construction containing at least 6 |
commercial units constructed before 1940; |
(3) the premises are located in a B3-2 zoning district; |
|
(4) the premises are less than 4,000 square feet; |
(5) the church established its congregation in 1891 and |
completed construction of the church building in 1990; |
(6) the premises are located south of the church; |
(7) the premises and church are located on the same |
street and are separated by a one-way westbound street; and |
(8) the principal religious leader of the church has |
not indicated his or her opposition to the issuance or |
renewal of the license in writing. |
(ccc) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor within a full-service grocery store at premises located |
within a municipality with a population in excess of 1,000,000 |
inhabitants and within 100 feet of a church and school if: |
(1) as of March 14, 2007, the premises are located in a |
City of Chicago Residential-Business Planned Development |
No. 1052; |
(2) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(3) the sale of alcoholic liquor is incidental to the |
operation of a grocery store and comprises no more than 10% |
of the total in-store sales; |
(4) the owner and operator of the grocery store |
operates at least 10 other grocery stores that have |
alcoholic liquor licenses within the same municipality; |
|
(5) the premises are new construction when the license |
is first issued; |
(6) the constructed premises are to be no less than |
50,000 square feet; |
(7) the school is a private church-affiliated school; |
(8) the premises and the property containing the church |
and church-affiliated school are located on perpendicular |
streets and the school and church are adjacent to one |
another; |
(9) the pastor of the church and school has expressed, |
in writing, support for the issuance of the license; and |
(10) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her support for |
the issuance of the license. |
(ddd) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church or school if: |
(1) the business has been issued a license from the |
municipality to allow the business to operate a theater on |
the premises; |
(2) the theater has less than 200 seats; |
(3) the premises are approximately 2,700 to 3,100 |
square feet of space; |
|
(4) the premises are located to the north of the |
church; |
(5) the primary entrance of the premises and the |
primary entrance of any church within 100 feet of the |
premises are located either on a different street or across |
a right-of-way from the premises; |
(6) the primary entrance of the premises and the |
primary entrance of any school within 100 feet of the |
premises are located either on a different street or across |
a right-of-way from the premises; |
(7) the premises are located in a building that is at |
least 100 years old; and |
(8) any church or school located within 100 feet of the |
premises has indicated its support for the issuance or |
renewal of the license to the premises in writing. |
(eee) Notwithstanding any provision of this Section to the |
contrary, nothing in this Section shall prohibit the issuance |
or renewal of a license authorizing the sale of alcoholic |
liquor at premises located within a municipality with a |
population in excess of 1,000,000 inhabitants and within 100 |
feet of a church and school if: |
(1) the sale of alcoholic liquor is incidental to the |
sale of food; |
(2) the sale of alcoholic liquor is not the principal |
business carried on by the applicant on the premises; |
(3) a family-owned restaurant has operated on the |
|
premises since 1957; |
(4) the premises occupy the first floor of a 3-story |
building that is at least 90 years old; |
(5) the distance between the property line of the |
premises and the property line of the church is at least 20 |
feet; |
(6) the church was established at its current location |
and the present structure was erected before 1900; |
(7) the primary entrance of the premises is at least 75 |
feet from the primary entrance of the church; |
(8) the school is affiliated with the church; |
(9) the principal religious leader at the place of |
worship has indicated his or her support for the issuance |
of the license in writing; |
(10) the principal of the school has indicated in |
writing that he or she is not opposed to the issuance of |
the license; and |
(11) the alderman of the ward in which the premises are |
located has expressed, in writing, his or her lack of an |
objection to the issuance of the license. |
(fff) (yy) Notwithstanding any provision of this Section to |
the contrary, nothing in this Section shall prohibit the |
issuance or renewal of a license authorizing the sale of |
alcoholic liquor at premises located within a municipality with |
a population in excess of 1,000,000 inhabitants and within 100 |
feet of a church if: |
|
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; |
(2) the sale of alcoholic liquor at the premises is |
incidental to the operation of a grocery store; |
(3) the premises are a one-story building containing |
approximately 10,000 square feet and are rented by the |
owners of the grocery store; |
(4) the sale of alcoholic liquor at the premises occurs |
in a retail area of the grocery store that is approximately |
3,500 square feet; |
(5) the grocery store has operated at the location |
since 1984; |
(6) the grocery store is closed on Sundays; |
(7) the property on which the premises are located is a |
corner lot that is bound by 3 streets and an alley, where |
one street is a one-way street that runs north-south, one |
street runs east-west, and one street runs |
northwest-southeast; |
(8) the property line of the premises is approximately |
16 feet from the property line of the building where the |
church is located; |
(9) the premises are separated from the building |
containing the church by a public alley; |
(10) the primary entrance of the premises and the |
primary entrance of the church are at least 100 feet apart; |
(11) representatives of the church have delivered a |
|
written statement that the church does not object to the |
issuance of a license under this subsection (fff) (yy) ; and |
(12) the alderman of the ward in which the grocery |
store is located has expressed, in writing, his or her |
support for the issuance of the license. |
(Source: P.A. 98-274, eff. 8-9-13; 98-463, eff. 8-16-13; |
98-571, eff. 8-27-13; 98-592, eff. 11-15-13; 98-1092, eff. |
8-26-14; 98-1158, eff. 1-9-15; 99-46, eff. 7-15-15; 99-47, eff. |
7-15-15; 99-477, eff. 8-27-15; 99-484, eff. 10-30-15; revised |
11-4-15.)
|
Section 395. The Grain Code is amended by changing Section |
15-10 as follows:
|
(240 ILCS 40/15-10)
|
Sec. 15-10. De minimis minimus violations.
|
(a) If a licensee commits a de minimis minimus violation of |
this Code, the Director
may, in his or her discretion, and |
without further action, issue a warning
letter to the licensee.
|
(b) For the purposes of this Article, a de minimis minimus |
violation
exists when a licensee:
|
(1) violates the maximum allowable speculative limits |
of item (a)(2)
of Section 10-10 by 1,000 bushels or less;
|
(2) has total grain quantity deficiency violations |
that do
not exceed $1,000 as determined by the formula set |
forth in subsection (c) of
Section 15-20; or
|
|
(3) has total grain quality deficiency violations that |
do
not exceed $1,000 as determined by the formula set forth
|
in subsection (d) of Section 15-20.
|
(Source: P.A. 89-287, eff. 1-1-96; revised 10-21-15.)
|
Section 400. The Illinois Public Aid Code is amended by |
changing Sections 5-5, 5-5e, 5-16.8, 5-30, 10-25, and 10-25.5 |
as follows:
|
(305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
|
(Text of Section before amendment by P.A. 99-407 ) |
Sec. 5-5. Medical services. The Illinois Department, by |
rule, shall
determine the quantity and quality of and the rate |
of reimbursement for the
medical assistance for which
payment |
will be authorized, and the medical services to be provided,
|
which may include all or part of the following: (1) inpatient |
hospital
services; (2) outpatient hospital services; (3) other |
laboratory and
X-ray services; (4) skilled nursing home |
services; (5) physicians'
services whether furnished in the |
office, the patient's home, a
hospital, a skilled nursing home, |
or elsewhere; (6) medical care, or any
other type of remedial |
care furnished by licensed practitioners; (7)
home health care |
services; (8) private duty nursing service; (9) clinic
|
services; (10) dental services, including prevention and |
treatment of periodontal disease and dental caries disease for |
pregnant women, provided by an individual licensed to practice |
|
dentistry or dental surgery; for purposes of this item (10), |
"dental services" means diagnostic, preventive, or corrective |
procedures provided by or under the supervision of a dentist in |
the practice of his or her profession; (11) physical therapy |
and related
services; (12) prescribed drugs, dentures, and |
prosthetic devices; and
eyeglasses prescribed by a physician |
skilled in the diseases of the eye,
or by an optometrist, |
whichever the person may select; (13) other
diagnostic, |
screening, preventive, and rehabilitative services, including |
to ensure that the individual's need for intervention or |
treatment of mental disorders or substance use disorders or |
co-occurring mental health and substance use disorders is |
determined using a uniform screening, assessment, and |
evaluation process inclusive of criteria, for children and |
adults; for purposes of this item (13), a uniform screening, |
assessment, and evaluation process refers to a process that |
includes an appropriate evaluation and, as warranted, a |
referral; "uniform" does not mean the use of a singular |
instrument, tool, or process that all must utilize; (14)
|
transportation and such other expenses as may be necessary; |
(15) medical
treatment of sexual assault survivors, as defined |
in
Section 1a of the Sexual Assault Survivors Emergency |
Treatment Act, for
injuries sustained as a result of the sexual |
assault, including
examinations and laboratory tests to |
discover evidence which may be used in
criminal proceedings |
arising from the sexual assault; (16) the
diagnosis and |
|
treatment of sickle cell anemia; and (17)
any other medical |
care, and any other type of remedial care recognized
under the |
laws of this State, but not including abortions, or induced
|
miscarriages or premature births, unless, in the opinion of a |
physician,
such procedures are necessary for the preservation |
of the life of the
woman seeking such treatment, or except an |
induced premature birth
intended to produce a live viable child |
and such procedure is necessary
for the health of the mother or |
her unborn child. The Illinois Department,
by rule, shall |
prohibit any physician from providing medical assistance
to |
anyone eligible therefor under this Code where such physician |
has been
found guilty of performing an abortion procedure in a |
wilful and wanton
manner upon a woman who was not pregnant at |
the time such abortion
procedure was performed. The term "any |
other type of remedial care" shall
include nursing care and |
nursing home service for persons who rely on
treatment by |
spiritual means alone through prayer for healing.
|
Notwithstanding any other provision of this Section, a |
comprehensive
tobacco use cessation program that includes |
purchasing prescription drugs or
prescription medical devices |
approved by the Food and Drug Administration shall
be covered |
under the medical assistance
program under this Article for |
persons who are otherwise eligible for
assistance under this |
Article.
|
Notwithstanding any other provision of this Code, the |
Illinois
Department may not require, as a condition of payment |
|
for any laboratory
test authorized under this Article, that a |
physician's handwritten signature
appear on the laboratory |
test order form. The Illinois Department may,
however, impose |
other appropriate requirements regarding laboratory test
order |
documentation.
|
Upon receipt of federal approval of an amendment to the |
Illinois Title XIX State Plan for this purpose, the Department |
shall authorize the Chicago Public Schools (CPS) to procure a |
vendor or vendors to manufacture eyeglasses for individuals |
enrolled in a school within the CPS system. CPS shall ensure |
that its vendor or vendors are enrolled as providers in the |
medical assistance program and in any capitated Medicaid |
managed care entity (MCE) serving individuals enrolled in a |
school within the CPS system. Under any contract procured under |
this provision, the vendor or vendors must serve only |
individuals enrolled in a school within the CPS system. Claims |
for services provided by CPS's vendor or vendors to recipients |
of benefits in the medical assistance program under this Code, |
the Children's Health Insurance Program, or the Covering ALL |
KIDS Health Insurance Program shall be submitted to the |
Department or the MCE in which the individual is enrolled for |
payment and shall be reimbursed at the Department's or the |
MCE's established rates or rate methodologies for eyeglasses. |
On and after July 1, 2012, the Department of Healthcare and |
Family Services may provide the following services to
persons
|
eligible for assistance under this Article who are |
|
participating in
education, training or employment programs |
operated by the Department of Human
Services as successor to |
the Department of Public Aid:
|
(1) dental services provided by or under the |
supervision of a dentist; and
|
(2) eyeglasses prescribed by a physician skilled in the |
diseases of the
eye, or by an optometrist, whichever the |
person may select.
|
Notwithstanding any other provision of this Code and |
subject to federal approval, the Department may adopt rules to |
allow a dentist who is volunteering his or her service at no |
cost to render dental services through an enrolled |
not-for-profit health clinic without the dentist personally |
enrolling as a participating provider in the medical assistance |
program. A not-for-profit health clinic shall include a public |
health clinic or Federally Qualified Health Center or other |
enrolled provider, as determined by the Department, through |
which dental services covered under this Section are performed. |
The Department shall establish a process for payment of claims |
for reimbursement for covered dental services rendered under |
this provision. |
The Illinois Department, by rule, may distinguish and |
classify the
medical services to be provided only in accordance |
with the classes of
persons designated in Section 5-2.
|
The Department of Healthcare and Family Services must |
provide coverage and reimbursement for amino acid-based |
|
elemental formulas, regardless of delivery method, for the |
diagnosis and treatment of (i) eosinophilic disorders and (ii) |
short bowel syndrome when the prescribing physician has issued |
a written order stating that the amino acid-based elemental |
formula is medically necessary.
|
The Illinois Department shall authorize the provision of, |
and shall
authorize payment for, screening by low-dose |
mammography for the presence of
occult breast cancer for women |
35 years of age or older who are eligible
for medical |
assistance under this Article, as follows: |
(A) A baseline
mammogram for women 35 to 39 years of |
age.
|
(B) An annual mammogram for women 40 years of age or |
older. |
(C) A mammogram at the age and intervals considered |
medically necessary by the woman's health care provider for |
women under 40 years of age and having a family history of |
breast cancer, prior personal history of breast cancer, |
positive genetic testing, or other risk factors. |
(D) A comprehensive ultrasound screening of an entire |
breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue, when medically |
necessary as determined by a physician licensed to practice |
medicine in all of its branches. |
(E) A screening MRI when medically necessary, as |
determined by a physician licensed to practice medicine in |
|
all of its branches. |
All screenings
shall
include a physical breast exam, |
instruction on self-examination and
information regarding the |
frequency of self-examination and its value as a
preventative |
tool. For purposes of this Section, "low-dose mammography" |
means
the x-ray examination of the breast using equipment |
dedicated specifically
for mammography, including the x-ray |
tube, filter, compression device,
and image receptor, with an |
average radiation exposure delivery
of less than one rad per |
breast for 2 views of an average size breast.
The term also |
includes digital mammography.
|
On and after January 1, 2016, the Department shall ensure |
that all networks of care for adult clients of the Department |
include access to at least one breast imaging Center of Imaging |
Excellence as certified by the American College of Radiology. |
On and after January 1, 2012, providers participating in a |
quality improvement program approved by the Department shall be |
reimbursed for screening and diagnostic mammography at the same |
rate as the Medicare program's rates, including the increased |
reimbursement for digital mammography. |
The Department shall convene an expert panel including |
representatives of hospitals, free-standing mammography |
facilities, and doctors, including radiologists, to establish |
quality standards for mammography. |
On and after January 1, 2017, providers participating in a |
breast cancer treatment quality improvement program approved |
|
by the Department shall be reimbursed for breast cancer |
treatment at a rate that is no lower than 95% of the Medicare |
program's rates for the data elements included in the breast |
cancer treatment quality program. |
The Department shall convene an expert panel, including |
representatives of hospitals, free standing breast cancer |
treatment centers, breast cancer quality organizations, and |
doctors, including breast surgeons, reconstructive breast |
surgeons, oncologists, and primary care providers to establish |
quality standards for breast cancer treatment. |
Subject to federal approval, the Department shall |
establish a rate methodology for mammography at federally |
qualified health centers and other encounter-rate clinics. |
These clinics or centers may also collaborate with other |
hospital-based mammography facilities. By January 1, 2016, the |
Department shall report to the General Assembly on the status |
of the provision set forth in this paragraph. |
The Department shall establish a methodology to remind |
women who are age-appropriate for screening mammography, but |
who have not received a mammogram within the previous 18 |
months, of the importance and benefit of screening mammography. |
The Department shall work with experts in breast cancer |
outreach and patient navigation to optimize these reminders and |
shall establish a methodology for evaluating their |
effectiveness and modifying the methodology based on the |
evaluation. |
|
The Department shall establish a performance goal for |
primary care providers with respect to their female patients |
over age 40 receiving an annual mammogram. This performance |
goal shall be used to provide additional reimbursement in the |
form of a quality performance bonus to primary care providers |
who meet that goal. |
The Department shall devise a means of case-managing or |
patient navigation for beneficiaries diagnosed with breast |
cancer. This program shall initially operate as a pilot program |
in areas of the State with the highest incidence of mortality |
related to breast cancer. At least one pilot program site shall |
be in the metropolitan Chicago area and at least one site shall |
be outside the metropolitan Chicago area. On or after July 1, |
2016, the pilot program shall be expanded to include one site |
in western Illinois, one site in southern Illinois, one site in |
central Illinois, and 4 sites within metropolitan Chicago. An |
evaluation of the pilot program shall be carried out measuring |
health outcomes and cost of care for those served by the pilot |
program compared to similarly situated patients who are not |
served by the pilot program. |
The Department shall require all networks of care to |
develop a means either internally or by contract with experts |
in navigation and community outreach to navigate cancer |
patients to comprehensive care in a timely fashion. The |
Department shall require all networks of care to include access |
for patients diagnosed with cancer to at least one academic |
|
commission on cancer-accredited cancer program as an |
in-network covered benefit. |
Any medical or health care provider shall immediately |
recommend, to
any pregnant woman who is being provided prenatal |
services and is suspected
of drug abuse or is addicted as |
defined in the Alcoholism and Other Drug Abuse
and Dependency |
Act, referral to a local substance abuse treatment provider
|
licensed by the Department of Human Services or to a licensed
|
hospital which provides substance abuse treatment services. |
The Department of Healthcare and Family Services
shall assure |
coverage for the cost of treatment of the drug abuse or
|
addiction for pregnant recipients in accordance with the |
Illinois Medicaid
Program in conjunction with the Department of |
Human Services.
|
All medical providers providing medical assistance to |
pregnant women
under this Code shall receive information from |
the Department on the
availability of services under the Drug |
Free Families with a Future or any
comparable program providing |
case management services for addicted women,
including |
information on appropriate referrals for other social services
|
that may be needed by addicted women in addition to treatment |
for addiction.
|
The Illinois Department, in cooperation with the |
Departments of Human
Services (as successor to the Department |
of Alcoholism and Substance
Abuse) and Public Health, through a |
public awareness campaign, may
provide information concerning |
|
treatment for alcoholism and drug abuse and
addiction, prenatal |
health care, and other pertinent programs directed at
reducing |
the number of drug-affected infants born to recipients of |
medical
assistance.
|
Neither the Department of Healthcare and Family Services |
nor the Department of Human
Services shall sanction the |
recipient solely on the basis of
her substance abuse.
|
The Illinois Department shall establish such regulations |
governing
the dispensing of health services under this Article |
as it shall deem
appropriate. The Department
should
seek the |
advice of formal professional advisory committees appointed by
|
the Director of the Illinois Department for the purpose of |
providing regular
advice on policy and administrative matters, |
information dissemination and
educational activities for |
medical and health care providers, and
consistency in |
procedures to the Illinois Department.
|
The Illinois Department may develop and contract with |
Partnerships of
medical providers to arrange medical services |
for persons eligible under
Section 5-2 of this Code. |
Implementation of this Section may be by
demonstration projects |
in certain geographic areas. The Partnership shall
be |
represented by a sponsor organization. The Department, by rule, |
shall
develop qualifications for sponsors of Partnerships. |
Nothing in this
Section shall be construed to require that the |
sponsor organization be a
medical organization.
|
The sponsor must negotiate formal written contracts with |
|
medical
providers for physician services, inpatient and |
outpatient hospital care,
home health services, treatment for |
alcoholism and substance abuse, and
other services determined |
necessary by the Illinois Department by rule for
delivery by |
Partnerships. Physician services must include prenatal and
|
obstetrical care. The Illinois Department shall reimburse |
medical services
delivered by Partnership providers to clients |
in target areas according to
provisions of this Article and the |
Illinois Health Finance Reform Act,
except that:
|
(1) Physicians participating in a Partnership and |
providing certain
services, which shall be determined by |
the Illinois Department, to persons
in areas covered by the |
Partnership may receive an additional surcharge
for such |
services.
|
(2) The Department may elect to consider and negotiate |
financial
incentives to encourage the development of |
Partnerships and the efficient
delivery of medical care.
|
(3) Persons receiving medical services through |
Partnerships may receive
medical and case management |
services above the level usually offered
through the |
medical assistance program.
|
Medical providers shall be required to meet certain |
qualifications to
participate in Partnerships to ensure the |
delivery of high quality medical
services. These |
qualifications shall be determined by rule of the Illinois
|
Department and may be higher than qualifications for |
|
participation in the
medical assistance program. Partnership |
sponsors may prescribe reasonable
additional qualifications |
for participation by medical providers, only with
the prior |
written approval of the Illinois Department.
|
Nothing in this Section shall limit the free choice of |
practitioners,
hospitals, and other providers of medical |
services by clients.
In order to ensure patient freedom of |
choice, the Illinois Department shall
immediately promulgate |
all rules and take all other necessary actions so that
provided |
services may be accessed from therapeutically certified |
optometrists
to the full extent of the Illinois Optometric |
Practice Act of 1987 without
discriminating between service |
providers.
|
The Department shall apply for a waiver from the United |
States Health
Care Financing Administration to allow for the |
implementation of
Partnerships under this Section.
|
The Illinois Department shall require health care |
providers to maintain
records that document the medical care |
and services provided to recipients
of Medical Assistance under |
this Article. Such records must be retained for a period of not |
less than 6 years from the date of service or as provided by |
applicable State law, whichever period is longer, except that |
if an audit is initiated within the required retention period |
then the records must be retained until the audit is completed |
and every exception is resolved. The Illinois Department shall
|
require health care providers to make available, when |
|
authorized by the
patient, in writing, the medical records in a |
timely fashion to other
health care providers who are treating |
or serving persons eligible for
Medical Assistance under this |
Article. All dispensers of medical services
shall be required |
to maintain and retain business and professional records
|
sufficient to fully and accurately document the nature, scope, |
details and
receipt of the health care provided to persons |
eligible for medical
assistance under this Code, in accordance |
with regulations promulgated by
the Illinois Department. The |
rules and regulations shall require that proof
of the receipt |
of prescription drugs, dentures, prosthetic devices and
|
eyeglasses by eligible persons under this Section accompany |
each claim
for reimbursement submitted by the dispenser of such |
medical services.
No such claims for reimbursement shall be |
approved for payment by the Illinois
Department without such |
proof of receipt, unless the Illinois Department
shall have put |
into effect and shall be operating a system of post-payment
|
audit and review which shall, on a sampling basis, be deemed |
adequate by
the Illinois Department to assure that such drugs, |
dentures, prosthetic
devices and eyeglasses for which payment |
is being made are actually being
received by eligible |
recipients. Within 90 days after September 16, 1984 ( the |
effective date of Public Act 83-1439)
this amendatory Act of |
1984 , the Illinois Department shall establish a
current list of |
acquisition costs for all prosthetic devices and any
other |
items recognized as medical equipment and supplies |
|
reimbursable under
this Article and shall update such list on a |
quarterly basis, except that
the acquisition costs of all |
prescription drugs shall be updated no
less frequently than |
every 30 days as required by Section 5-5.12.
|
The rules and regulations of the Illinois Department shall |
require
that a written statement including the required opinion |
of a physician
shall accompany any claim for reimbursement for |
abortions, or induced
miscarriages or premature births. This |
statement shall indicate what
procedures were used in providing |
such medical services.
|
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after July 22, 2013 (the |
effective date of Public Act 98-104), establish procedures to |
permit skilled care facilities licensed under the Nursing Home |
Care Act to submit monthly billing claims for reimbursement |
purposes. Following development of these procedures, the |
Department shall, by July 1, 2016, test the viability of the |
new system and implement any necessary operational or |
structural changes to its information technology platforms in |
order to allow for the direct acceptance and payment of nursing |
home claims. |
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after August 15, 2014 (the |
effective date of Public Act 98-963), establish procedures to |
permit ID/DD facilities licensed under the ID/DD Community Care |
Act and MC/DD facilities licensed under the MC/DD Act to submit |
|
monthly billing claims for reimbursement purposes. Following |
development of these procedures, the Department shall have an |
additional 365 days to test the viability of the new system and |
to ensure that any necessary operational or structural changes |
to its information technology platforms are implemented. |
The Illinois Department shall require all dispensers of |
medical
services, other than an individual practitioner or |
group of practitioners,
desiring to participate in the Medical |
Assistance program
established under this Article to disclose |
all financial, beneficial,
ownership, equity, surety or other |
interests in any and all firms,
corporations, partnerships, |
associations, business enterprises, joint
ventures, agencies, |
institutions or other legal entities providing any
form of |
health care services in this State under this Article.
|
The Illinois Department may require that all dispensers of |
medical
services desiring to participate in the medical |
assistance program
established under this Article disclose, |
under such terms and conditions as
the Illinois Department may |
by rule establish, all inquiries from clients
and attorneys |
regarding medical bills paid by the Illinois Department, which
|
inquiries could indicate potential existence of claims or liens |
for the
Illinois Department.
|
Enrollment of a vendor
shall be
subject to a provisional |
period and shall be conditional for one year. During the period |
of conditional enrollment, the Department may
terminate the |
vendor's eligibility to participate in, or may disenroll the |
|
vendor from, the medical assistance
program without cause. |
Unless otherwise specified, such termination of eligibility or |
disenrollment is not subject to the
Department's hearing |
process.
However, a disenrolled vendor may reapply without |
penalty.
|
The Department has the discretion to limit the conditional |
enrollment period for vendors based upon category of risk of |
the vendor. |
Prior to enrollment and during the conditional enrollment |
period in the medical assistance program, all vendors shall be |
subject to enhanced oversight, screening, and review based on |
the risk of fraud, waste, and abuse that is posed by the |
category of risk of the vendor. The Illinois Department shall |
establish the procedures for oversight, screening, and review, |
which may include, but need not be limited to: criminal and |
financial background checks; fingerprinting; license, |
certification, and authorization verifications; unscheduled or |
unannounced site visits; database checks; prepayment audit |
reviews; audits; payment caps; payment suspensions; and other |
screening as required by federal or State law. |
The Department shall define or specify the following: (i) |
by provider notice, the "category of risk of the vendor" for |
each type of vendor, which shall take into account the level of |
screening applicable to a particular category of vendor under |
federal law and regulations; (ii) by rule or provider notice, |
the maximum length of the conditional enrollment period for |
|
each category of risk of the vendor; and (iii) by rule, the |
hearing rights, if any, afforded to a vendor in each category |
of risk of the vendor that is terminated or disenrolled during |
the conditional enrollment period. |
To be eligible for payment consideration, a vendor's |
payment claim or bill, either as an initial claim or as a |
resubmitted claim following prior rejection, must be received |
by the Illinois Department, or its fiscal intermediary, no |
later than 180 days after the latest date on the claim on which |
medical goods or services were provided, with the following |
exceptions: |
(1) In the case of a provider whose enrollment is in |
process by the Illinois Department, the 180-day period |
shall not begin until the date on the written notice from |
the Illinois Department that the provider enrollment is |
complete. |
(2) In the case of errors attributable to the Illinois |
Department or any of its claims processing intermediaries |
which result in an inability to receive, process, or |
adjudicate a claim, the 180-day period shall not begin |
until the provider has been notified of the error. |
(3) In the case of a provider for whom the Illinois |
Department initiates the monthly billing process. |
(4) In the case of a provider operated by a unit of |
local government with a population exceeding 3,000,000 |
when local government funds finance federal participation |
|
for claims payments. |
For claims for services rendered during a period for which |
a recipient received retroactive eligibility, claims must be |
filed within 180 days after the Department determines the |
applicant is eligible. For claims for which the Illinois |
Department is not the primary payer, claims must be submitted |
to the Illinois Department within 180 days after the final |
adjudication by the primary payer. |
In the case of long term care facilities, within 5 days of |
receipt by the facility of required prescreening information, |
data for new admissions shall be entered into the Medical |
Electronic Data Interchange (MEDI) or the Recipient |
Eligibility Verification (REV) System or successor system, and |
within 15 days of receipt by the facility of required |
prescreening information, admission documents shall be |
submitted through MEDI or REV or shall be submitted directly to |
the Department of Human Services using required admission |
forms. Effective September
1, 2014, admission documents, |
including all prescreening
information, must be submitted |
through MEDI or REV. Confirmation numbers assigned to an |
accepted transaction shall be retained by a facility to verify |
timely submittal. Once an admission transaction has been |
completed, all resubmitted claims following prior rejection |
are subject to receipt no later than 180 days after the |
admission transaction has been completed. |
Claims that are not submitted and received in compliance |
|
with the foregoing requirements shall not be eligible for |
payment under the medical assistance program, and the State |
shall have no liability for payment of those claims. |
To the extent consistent with applicable information and |
privacy, security, and disclosure laws, State and federal |
agencies and departments shall provide the Illinois Department |
access to confidential and other information and data necessary |
to perform eligibility and payment verifications and other |
Illinois Department functions. This includes, but is not |
limited to: information pertaining to licensure; |
certification; earnings; immigration status; citizenship; wage |
reporting; unearned and earned income; pension income; |
employment; supplemental security income; social security |
numbers; National Provider Identifier (NPI) numbers; the |
National Practitioner Data Bank (NPDB); program and agency |
exclusions; taxpayer identification numbers; tax delinquency; |
corporate information; and death records. |
The Illinois Department shall enter into agreements with |
State agencies and departments, and is authorized to enter into |
agreements with federal agencies and departments, under which |
such agencies and departments shall share data necessary for |
medical assistance program integrity functions and oversight. |
The Illinois Department shall develop, in cooperation with |
other State departments and agencies, and in compliance with |
applicable federal laws and regulations, appropriate and |
effective methods to share such data. At a minimum, and to the |
|
extent necessary to provide data sharing, the Illinois |
Department shall enter into agreements with State agencies and |
departments, and is authorized to enter into agreements with |
federal agencies and departments, including but not limited to: |
the Secretary of State; the Department of Revenue; the |
Department of Public Health; the Department of Human Services; |
and the Department of Financial and Professional Regulation. |
Beginning in fiscal year 2013, the Illinois Department |
shall set forth a request for information to identify the |
benefits of a pre-payment, post-adjudication, and post-edit |
claims system with the goals of streamlining claims processing |
and provider reimbursement, reducing the number of pending or |
rejected claims, and helping to ensure a more transparent |
adjudication process through the utilization of: (i) provider |
data verification and provider screening technology; and (ii) |
clinical code editing; and (iii) pre-pay, pre- or |
post-adjudicated predictive modeling with an integrated case |
management system with link analysis. Such a request for |
information shall not be considered as a request for proposal |
or as an obligation on the part of the Illinois Department to |
take any action or acquire any products or services. |
The Illinois Department shall establish policies, |
procedures,
standards and criteria by rule for the acquisition, |
repair and replacement
of orthotic and prosthetic devices and |
durable medical equipment. Such
rules shall provide, but not be |
limited to, the following services: (1)
immediate repair or |
|
replacement of such devices by recipients; and (2) rental, |
lease, purchase or lease-purchase of
durable medical equipment |
in a cost-effective manner, taking into
consideration the |
recipient's medical prognosis, the extent of the
recipient's |
needs, and the requirements and costs for maintaining such
|
equipment. Subject to prior approval, such rules shall enable a |
recipient to temporarily acquire and
use alternative or |
substitute devices or equipment pending repairs or
|
replacements of any device or equipment previously authorized |
for such
recipient by the Department.
|
The Department shall execute, relative to the nursing home |
prescreening
project, written inter-agency agreements with the |
Department of Human
Services and the Department on Aging, to |
effect the following: (i) intake
procedures and common |
eligibility criteria for those persons who are receiving
|
non-institutional services; and (ii) the establishment and |
development of
non-institutional services in areas of the State |
where they are not currently
available or are undeveloped; and |
(iii) notwithstanding any other provision of law, subject to |
federal approval, on and after July 1, 2012, an increase in the |
determination of need (DON) scores from 29 to 37 for applicants |
for institutional and home and community-based long term care; |
if and only if federal approval is not granted, the Department |
may, in conjunction with other affected agencies, implement |
utilization controls or changes in benefit packages to |
effectuate a similar savings amount for this population; and |
|
(iv) no later than July 1, 2013, minimum level of care |
eligibility criteria for institutional and home and |
community-based long term care; and (v) no later than October |
1, 2013, establish procedures to permit long term care |
providers access to eligibility scores for individuals with an |
admission date who are seeking or receiving services from the |
long term care provider. In order to select the minimum level |
of care eligibility criteria, the Governor shall establish a |
workgroup that includes affected agency representatives and |
stakeholders representing the institutional and home and |
community-based long term care interests. This Section shall |
not restrict the Department from implementing lower level of |
care eligibility criteria for community-based services in |
circumstances where federal approval has been granted.
|
The Illinois Department shall develop and operate, in |
cooperation
with other State Departments and agencies and in |
compliance with
applicable federal laws and regulations, |
appropriate and effective
systems of health care evaluation and |
programs for monitoring of
utilization of health care services |
and facilities, as it affects
persons eligible for medical |
assistance under this Code.
|
The Illinois Department shall report annually to the |
General Assembly,
no later than the second Friday in April of |
1979 and each year
thereafter, in regard to:
|
(a) actual statistics and trends in utilization of |
medical services by
public aid recipients;
|
|
(b) actual statistics and trends in the provision of |
the various medical
services by medical vendors;
|
(c) current rate structures and proposed changes in |
those rate structures
for the various medical vendors; and
|
(d) efforts at utilization review and control by the |
Illinois Department.
|
The period covered by each report shall be the 3 years |
ending on the June
30 prior to the report. The report shall |
include suggested legislation
for consideration by the General |
Assembly. The filing of one copy of the
report with the |
Speaker, one copy with the Minority Leader and one copy
with |
the Clerk of the House of Representatives, one copy with the |
President,
one copy with the Minority Leader and one copy with |
the Secretary of the
Senate, one copy with the Legislative |
Research Unit, and such additional
copies
with the State |
Government Report Distribution Center for the General
Assembly |
as is required under paragraph (t) of Section 7 of the State
|
Library Act shall be deemed sufficient to comply with this |
Section.
|
Rulemaking authority to implement Public Act 95-1045, if |
any, is conditioned on the rules being adopted in accordance |
with all provisions of the Illinois Administrative Procedure |
Act and all rules and procedures of the Joint Committee on |
Administrative Rules; any purported rule not so adopted, for |
whatever reason, is unauthorized. |
On and after July 1, 2012, the Department shall reduce any |
|
rate of reimbursement for services or other payments or alter |
any methodologies authorized by this Code to reduce any rate of |
reimbursement for services or other payments in accordance with |
Section 5-5e. |
Because kidney transplantation can be an appropriate, cost |
effective
alternative to renal dialysis when medically |
necessary and notwithstanding the provisions of Section 1-11 of |
this Code, beginning October 1, 2014, the Department shall |
cover kidney transplantation for noncitizens with end-stage |
renal disease who are not eligible for comprehensive medical |
benefits, who meet the residency requirements of Section 5-3 of |
this Code, and who would otherwise meet the financial |
requirements of the appropriate class of eligible persons under |
Section 5-2 of this Code. To qualify for coverage of kidney |
transplantation, such person must be receiving emergency renal |
dialysis services covered by the Department. Providers under |
this Section shall be prior approved and certified by the |
Department to perform kidney transplantation and the services |
under this Section shall be limited to services associated with |
kidney transplantation. |
Notwithstanding any other provision of this Code to the |
contrary, on or after July 1, 2015, all FDA approved forms of |
medication assisted treatment prescribed for the treatment of |
alcohol dependence or treatment of opioid dependence shall be |
covered under both fee for service and managed care medical |
assistance programs for persons who are otherwise eligible for |
|
medical assistance under this Article and shall not be subject |
to any (1) utilization control, other than those established |
under the American Society of Addiction Medicine patient |
placement criteria,
(2) prior authorization mandate, or (3) |
lifetime restriction limit
mandate. |
On or after July 1, 2015, opioid antagonists prescribed for |
the treatment of an opioid overdose, including the medication |
product, administration devices, and any pharmacy fees related |
to the dispensing and administration of the opioid antagonist, |
shall be covered under the medical assistance program for |
persons who are otherwise eligible for medical assistance under |
this Article. As used in this Section, "opioid antagonist" |
means a drug that binds to opioid receptors and blocks or |
inhibits the effect of opioids acting on those receptors, |
including, but not limited to, naloxone hydrochloride or any |
other similarly acting drug approved by the U.S. Food and Drug |
Administration. |
(Source: P.A. 98-104, Article 9, Section 9-5, eff. 7-22-13; |
98-104, Article 12, Section 12-20, eff. 7-22-13; 98-303, eff. |
8-9-13; 98-463, eff. 8-16-13; 98-651, eff. 6-16-14; 98-756, |
eff. 7-16-14; 98-963, eff. 8-15-14; 99-78, eff. 7-20-15; |
99-180, eff. 7-29-15; 99-236, eff. 8-3-15; 99-433, eff. |
8-21-15; 99-480, eff. 9-9-15; revised 10-13-15.)
|
(Text of Section after amendment by P.A. 99-407 ) |
Sec. 5-5. Medical services. The Illinois Department, by |
|
rule, shall
determine the quantity and quality of and the rate |
of reimbursement for the
medical assistance for which
payment |
will be authorized, and the medical services to be provided,
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which may include all or part of the following: (1) inpatient |
hospital
services; (2) outpatient hospital services; (3) other |
laboratory and
X-ray services; (4) skilled nursing home |
services; (5) physicians'
services whether furnished in the |
office, the patient's home, a
hospital, a skilled nursing home, |
or elsewhere; (6) medical care, or any
other type of remedial |
care furnished by licensed practitioners; (7)
home health care |
services; (8) private duty nursing service; (9) clinic
|
services; (10) dental services, including prevention and |
treatment of periodontal disease and dental caries disease for |
pregnant women, provided by an individual licensed to practice |
dentistry or dental surgery; for purposes of this item (10), |
"dental services" means diagnostic, preventive, or corrective |
procedures provided by or under the supervision of a dentist in |
the practice of his or her profession; (11) physical therapy |
and related
services; (12) prescribed drugs, dentures, and |
prosthetic devices; and
eyeglasses prescribed by a physician |
skilled in the diseases of the eye,
or by an optometrist, |
whichever the person may select; (13) other
diagnostic, |
screening, preventive, and rehabilitative services, including |
to ensure that the individual's need for intervention or |
treatment of mental disorders or substance use disorders or |
co-occurring mental health and substance use disorders is |
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determined using a uniform screening, assessment, and |
evaluation process inclusive of criteria, for children and |
adults; for purposes of this item (13), a uniform screening, |
assessment, and evaluation process refers to a process that |
includes an appropriate evaluation and, as warranted, a |
referral; "uniform" does not mean the use of a singular |
instrument, tool, or process that all must utilize; (14)
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transportation and such other expenses as may be necessary; |
(15) medical
treatment of sexual assault survivors, as defined |
in
Section 1a of the Sexual Assault Survivors Emergency |
Treatment Act, for
injuries sustained as a result of the sexual |
assault, including
examinations and laboratory tests to |
discover evidence which may be used in
criminal proceedings |
arising from the sexual assault; (16) the
diagnosis and |
treatment of sickle cell anemia; and (17)
any other medical |
care, and any other type of remedial care recognized
under the |
laws of this State, but not including abortions, or induced
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miscarriages or premature births, unless, in the opinion of a |
physician,
such procedures are necessary for the preservation |
of the life of the
woman seeking such treatment, or except an |
induced premature birth
intended to produce a live viable child |
and such procedure is necessary
for the health of the mother or |
her unborn child. The Illinois Department,
by rule, shall |
prohibit any physician from providing medical assistance
to |
anyone eligible therefor under this Code where such physician |
has been
found guilty of performing an abortion procedure in a |
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wilful and wanton
manner upon a woman who was not pregnant at |
the time such abortion
procedure was performed. The term "any |
other type of remedial care" shall
include nursing care and |
nursing home service for persons who rely on
treatment by |
spiritual means alone through prayer for healing.
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Notwithstanding any other provision of this Section, a |
comprehensive
tobacco use cessation program that includes |
purchasing prescription drugs or
prescription medical devices |
approved by the Food and Drug Administration shall
be covered |
under the medical assistance
program under this Article for |
persons who are otherwise eligible for
assistance under this |
Article.
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Notwithstanding any other provision of this Code, the |
Illinois
Department may not require, as a condition of payment |
for any laboratory
test authorized under this Article, that a |
physician's handwritten signature
appear on the laboratory |
test order form. The Illinois Department may,
however, impose |
other appropriate requirements regarding laboratory test
order |
documentation.
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Upon receipt of federal approval of an amendment to the |
Illinois Title XIX State Plan for this purpose, the Department |
shall authorize the Chicago Public Schools (CPS) to procure a |
vendor or vendors to manufacture eyeglasses for individuals |
enrolled in a school within the CPS system. CPS shall ensure |
that its vendor or vendors are enrolled as providers in the |
medical assistance program and in any capitated Medicaid |
|
managed care entity (MCE) serving individuals enrolled in a |
school within the CPS system. Under any contract procured under |
this provision, the vendor or vendors must serve only |
individuals enrolled in a school within the CPS system. Claims |
for services provided by CPS's vendor or vendors to recipients |
of benefits in the medical assistance program under this Code, |
the Children's Health Insurance Program, or the Covering ALL |
KIDS Health Insurance Program shall be submitted to the |
Department or the MCE in which the individual is enrolled for |
payment and shall be reimbursed at the Department's or the |
MCE's established rates or rate methodologies for eyeglasses. |
On and after July 1, 2012, the Department of Healthcare and |
Family Services may provide the following services to
persons
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eligible for assistance under this Article who are |
participating in
education, training or employment programs |
operated by the Department of Human
Services as successor to |
the Department of Public Aid:
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(1) dental services provided by or under the |
supervision of a dentist; and
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(2) eyeglasses prescribed by a physician skilled in the |
diseases of the
eye, or by an optometrist, whichever the |
person may select.
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Notwithstanding any other provision of this Code and |
subject to federal approval, the Department may adopt rules to |
allow a dentist who is volunteering his or her service at no |
cost to render dental services through an enrolled |
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not-for-profit health clinic without the dentist personally |
enrolling as a participating provider in the medical assistance |
program. A not-for-profit health clinic shall include a public |
health clinic or Federally Qualified Health Center or other |
enrolled provider, as determined by the Department, through |
which dental services covered under this Section are performed. |
The Department shall establish a process for payment of claims |
for reimbursement for covered dental services rendered under |
this provision. |
The Illinois Department, by rule, may distinguish and |
classify the
medical services to be provided only in accordance |
with the classes of
persons designated in Section 5-2.
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The Department of Healthcare and Family Services must |
provide coverage and reimbursement for amino acid-based |
elemental formulas, regardless of delivery method, for the |
diagnosis and treatment of (i) eosinophilic disorders and (ii) |
short bowel syndrome when the prescribing physician has issued |
a written order stating that the amino acid-based elemental |
formula is medically necessary.
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The Illinois Department shall authorize the provision of, |
and shall
authorize payment for, screening by low-dose |
mammography for the presence of
occult breast cancer for women |
35 years of age or older who are eligible
for medical |
assistance under this Article, as follows: |
(A) A baseline
mammogram for women 35 to 39 years of |
age.
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(B) An annual mammogram for women 40 years of age or |
older. |
(C) A mammogram at the age and intervals considered |
medically necessary by the woman's health care provider for |
women under 40 years of age and having a family history of |
breast cancer, prior personal history of breast cancer, |
positive genetic testing, or other risk factors. |
(D) A comprehensive ultrasound screening of an entire |
breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue, when medically |
necessary as determined by a physician licensed to practice |
medicine in all of its branches. |
(E) A screening MRI when medically necessary, as |
determined by a physician licensed to practice medicine in |
all of its branches. |
All screenings
shall
include a physical breast exam, |
instruction on self-examination and
information regarding the |
frequency of self-examination and its value as a
preventative |
tool. For purposes of this Section, "low-dose mammography" |
means
the x-ray examination of the breast using equipment |
dedicated specifically
for mammography, including the x-ray |
tube, filter, compression device,
and image receptor, with an |
average radiation exposure delivery
of less than one rad per |
breast for 2 views of an average size breast.
The term also |
includes digital mammography and includes breast |
tomosynthesis. As used in this Section, the term "breast |
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tomosynthesis" means a radiologic procedure that involves the |
acquisition of projection images over the stationary breast to |
produce cross-sectional digital three-dimensional images of |
the breast.
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On and after January 1, 2016, the Department shall ensure |
that all networks of care for adult clients of the Department |
include access to at least one breast imaging Center of Imaging |
Excellence as certified by the American College of Radiology. |
On and after January 1, 2012, providers participating in a |
quality improvement program approved by the Department shall be |
reimbursed for screening and diagnostic mammography at the same |
rate as the Medicare program's rates, including the increased |
reimbursement for digital mammography. |
The Department shall convene an expert panel including |
representatives of hospitals, free-standing mammography |
facilities, and doctors, including radiologists, to establish |
quality standards for mammography. |
On and after January 1, 2017, providers participating in a |
breast cancer treatment quality improvement program approved |
by the Department shall be reimbursed for breast cancer |
treatment at a rate that is no lower than 95% of the Medicare |
program's rates for the data elements included in the breast |
cancer treatment quality program. |
The Department shall convene an expert panel, including |
representatives of hospitals, free standing breast cancer |
treatment centers, breast cancer quality organizations, and |
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doctors, including breast surgeons, reconstructive breast |
surgeons, oncologists, and primary care providers to establish |
quality standards for breast cancer treatment. |
Subject to federal approval, the Department shall |
establish a rate methodology for mammography at federally |
qualified health centers and other encounter-rate clinics. |
These clinics or centers may also collaborate with other |
hospital-based mammography facilities. By January 1, 2016, the |
Department shall report to the General Assembly on the status |
of the provision set forth in this paragraph. |
The Department shall establish a methodology to remind |
women who are age-appropriate for screening mammography, but |
who have not received a mammogram within the previous 18 |
months, of the importance and benefit of screening mammography. |
The Department shall work with experts in breast cancer |
outreach and patient navigation to optimize these reminders and |
shall establish a methodology for evaluating their |
effectiveness and modifying the methodology based on the |
evaluation. |
The Department shall establish a performance goal for |
primary care providers with respect to their female patients |
over age 40 receiving an annual mammogram. This performance |
goal shall be used to provide additional reimbursement in the |
form of a quality performance bonus to primary care providers |
who meet that goal. |
The Department shall devise a means of case-managing or |
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patient navigation for beneficiaries diagnosed with breast |
cancer. This program shall initially operate as a pilot program |
in areas of the State with the highest incidence of mortality |
related to breast cancer. At least one pilot program site shall |
be in the metropolitan Chicago area and at least one site shall |
be outside the metropolitan Chicago area. On or after July 1, |
2016, the pilot program shall be expanded to include one site |
in western Illinois, one site in southern Illinois, one site in |
central Illinois, and 4 sites within metropolitan Chicago. An |
evaluation of the pilot program shall be carried out measuring |
health outcomes and cost of care for those served by the pilot |
program compared to similarly situated patients who are not |
served by the pilot program. |
The Department shall require all networks of care to |
develop a means either internally or by contract with experts |
in navigation and community outreach to navigate cancer |
patients to comprehensive care in a timely fashion. The |
Department shall require all networks of care to include access |
for patients diagnosed with cancer to at least one academic |
commission on cancer-accredited cancer program as an |
in-network covered benefit. |
Any medical or health care provider shall immediately |
recommend, to
any pregnant woman who is being provided prenatal |
services and is suspected
of drug abuse or is addicted as |
defined in the Alcoholism and Other Drug Abuse
and Dependency |
Act, referral to a local substance abuse treatment provider
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licensed by the Department of Human Services or to a licensed
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hospital which provides substance abuse treatment services. |
The Department of Healthcare and Family Services
shall assure |
coverage for the cost of treatment of the drug abuse or
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addiction for pregnant recipients in accordance with the |
Illinois Medicaid
Program in conjunction with the Department of |
Human Services.
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All medical providers providing medical assistance to |
pregnant women
under this Code shall receive information from |
the Department on the
availability of services under the Drug |
Free Families with a Future or any
comparable program providing |
case management services for addicted women,
including |
information on appropriate referrals for other social services
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that may be needed by addicted women in addition to treatment |
for addiction.
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The Illinois Department, in cooperation with the |
Departments of Human
Services (as successor to the Department |
of Alcoholism and Substance
Abuse) and Public Health, through a |
public awareness campaign, may
provide information concerning |
treatment for alcoholism and drug abuse and
addiction, prenatal |
health care, and other pertinent programs directed at
reducing |
the number of drug-affected infants born to recipients of |
medical
assistance.
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Neither the Department of Healthcare and Family Services |
nor the Department of Human
Services shall sanction the |
recipient solely on the basis of
her substance abuse.
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The Illinois Department shall establish such regulations |
governing
the dispensing of health services under this Article |
as it shall deem
appropriate. The Department
should
seek the |
advice of formal professional advisory committees appointed by
|
the Director of the Illinois Department for the purpose of |
providing regular
advice on policy and administrative matters, |
information dissemination and
educational activities for |
medical and health care providers, and
consistency in |
procedures to the Illinois Department.
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The Illinois Department may develop and contract with |
Partnerships of
medical providers to arrange medical services |
for persons eligible under
Section 5-2 of this Code. |
Implementation of this Section may be by
demonstration projects |
in certain geographic areas. The Partnership shall
be |
represented by a sponsor organization. The Department, by rule, |
shall
develop qualifications for sponsors of Partnerships. |
Nothing in this
Section shall be construed to require that the |
sponsor organization be a
medical organization.
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The sponsor must negotiate formal written contracts with |
medical
providers for physician services, inpatient and |
outpatient hospital care,
home health services, treatment for |
alcoholism and substance abuse, and
other services determined |
necessary by the Illinois Department by rule for
delivery by |
Partnerships. Physician services must include prenatal and
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obstetrical care. The Illinois Department shall reimburse |
medical services
delivered by Partnership providers to clients |
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in target areas according to
provisions of this Article and the |
Illinois Health Finance Reform Act,
except that:
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(1) Physicians participating in a Partnership and |
providing certain
services, which shall be determined by |
the Illinois Department, to persons
in areas covered by the |
Partnership may receive an additional surcharge
for such |
services.
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(2) The Department may elect to consider and negotiate |
financial
incentives to encourage the development of |
Partnerships and the efficient
delivery of medical care.
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(3) Persons receiving medical services through |
Partnerships may receive
medical and case management |
services above the level usually offered
through the |
medical assistance program.
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Medical providers shall be required to meet certain |
qualifications to
participate in Partnerships to ensure the |
delivery of high quality medical
services. These |
qualifications shall be determined by rule of the Illinois
|
Department and may be higher than qualifications for |
participation in the
medical assistance program. Partnership |
sponsors may prescribe reasonable
additional qualifications |
for participation by medical providers, only with
the prior |
written approval of the Illinois Department.
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Nothing in this Section shall limit the free choice of |
practitioners,
hospitals, and other providers of medical |
services by clients.
In order to ensure patient freedom of |
|
choice, the Illinois Department shall
immediately promulgate |
all rules and take all other necessary actions so that
provided |
services may be accessed from therapeutically certified |
optometrists
to the full extent of the Illinois Optometric |
Practice Act of 1987 without
discriminating between service |
providers.
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The Department shall apply for a waiver from the United |
States Health
Care Financing Administration to allow for the |
implementation of
Partnerships under this Section.
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The Illinois Department shall require health care |
providers to maintain
records that document the medical care |
and services provided to recipients
of Medical Assistance under |
this Article. Such records must be retained for a period of not |
less than 6 years from the date of service or as provided by |
applicable State law, whichever period is longer, except that |
if an audit is initiated within the required retention period |
then the records must be retained until the audit is completed |
and every exception is resolved. The Illinois Department shall
|
require health care providers to make available, when |
authorized by the
patient, in writing, the medical records in a |
timely fashion to other
health care providers who are treating |
or serving persons eligible for
Medical Assistance under this |
Article. All dispensers of medical services
shall be required |
to maintain and retain business and professional records
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sufficient to fully and accurately document the nature, scope, |
details and
receipt of the health care provided to persons |
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eligible for medical
assistance under this Code, in accordance |
with regulations promulgated by
the Illinois Department. The |
rules and regulations shall require that proof
of the receipt |
of prescription drugs, dentures, prosthetic devices and
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eyeglasses by eligible persons under this Section accompany |
each claim
for reimbursement submitted by the dispenser of such |
medical services.
No such claims for reimbursement shall be |
approved for payment by the Illinois
Department without such |
proof of receipt, unless the Illinois Department
shall have put |
into effect and shall be operating a system of post-payment
|
audit and review which shall, on a sampling basis, be deemed |
adequate by
the Illinois Department to assure that such drugs, |
dentures, prosthetic
devices and eyeglasses for which payment |
is being made are actually being
received by eligible |
recipients. Within 90 days after September 16, 1984 ( the |
effective date of Public Act 83-1439)
this amendatory Act of |
1984 , the Illinois Department shall establish a
current list of |
acquisition costs for all prosthetic devices and any
other |
items recognized as medical equipment and supplies |
reimbursable under
this Article and shall update such list on a |
quarterly basis, except that
the acquisition costs of all |
prescription drugs shall be updated no
less frequently than |
every 30 days as required by Section 5-5.12.
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The rules and regulations of the Illinois Department shall |
require
that a written statement including the required opinion |
of a physician
shall accompany any claim for reimbursement for |
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abortions, or induced
miscarriages or premature births. This |
statement shall indicate what
procedures were used in providing |
such medical services.
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Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after July 22, 2013 (the |
effective date of Public Act 98-104), establish procedures to |
permit skilled care facilities licensed under the Nursing Home |
Care Act to submit monthly billing claims for reimbursement |
purposes. Following development of these procedures, the |
Department shall, by July 1, 2016, test the viability of the |
new system and implement any necessary operational or |
structural changes to its information technology platforms in |
order to allow for the direct acceptance and payment of nursing |
home claims. |
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after August 15, 2014 (the |
effective date of Public Act 98-963), establish procedures to |
permit ID/DD facilities licensed under the ID/DD Community Care |
Act and MC/DD facilities licensed under the MC/DD Act to submit |
monthly billing claims for reimbursement purposes. Following |
development of these procedures, the Department shall have an |
additional 365 days to test the viability of the new system and |
to ensure that any necessary operational or structural changes |
to its information technology platforms are implemented. |
The Illinois Department shall require all dispensers of |
medical
services, other than an individual practitioner or |
|
group of practitioners,
desiring to participate in the Medical |
Assistance program
established under this Article to disclose |
all financial, beneficial,
ownership, equity, surety or other |
interests in any and all firms,
corporations, partnerships, |
associations, business enterprises, joint
ventures, agencies, |
institutions or other legal entities providing any
form of |
health care services in this State under this Article.
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The Illinois Department may require that all dispensers of |
medical
services desiring to participate in the medical |
assistance program
established under this Article disclose, |
under such terms and conditions as
the Illinois Department may |
by rule establish, all inquiries from clients
and attorneys |
regarding medical bills paid by the Illinois Department, which
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inquiries could indicate potential existence of claims or liens |
for the
Illinois Department.
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Enrollment of a vendor
shall be
subject to a provisional |
period and shall be conditional for one year. During the period |
of conditional enrollment, the Department may
terminate the |
vendor's eligibility to participate in, or may disenroll the |
vendor from, the medical assistance
program without cause. |
Unless otherwise specified, such termination of eligibility or |
disenrollment is not subject to the
Department's hearing |
process.
However, a disenrolled vendor may reapply without |
penalty.
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The Department has the discretion to limit the conditional |
enrollment period for vendors based upon category of risk of |
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the vendor. |
Prior to enrollment and during the conditional enrollment |
period in the medical assistance program, all vendors shall be |
subject to enhanced oversight, screening, and review based on |
the risk of fraud, waste, and abuse that is posed by the |
category of risk of the vendor. The Illinois Department shall |
establish the procedures for oversight, screening, and review, |
which may include, but need not be limited to: criminal and |
financial background checks; fingerprinting; license, |
certification, and authorization verifications; unscheduled or |
unannounced site visits; database checks; prepayment audit |
reviews; audits; payment caps; payment suspensions; and other |
screening as required by federal or State law. |
The Department shall define or specify the following: (i) |
by provider notice, the "category of risk of the vendor" for |
each type of vendor, which shall take into account the level of |
screening applicable to a particular category of vendor under |
federal law and regulations; (ii) by rule or provider notice, |
the maximum length of the conditional enrollment period for |
each category of risk of the vendor; and (iii) by rule, the |
hearing rights, if any, afforded to a vendor in each category |
of risk of the vendor that is terminated or disenrolled during |
the conditional enrollment period. |
To be eligible for payment consideration, a vendor's |
payment claim or bill, either as an initial claim or as a |
resubmitted claim following prior rejection, must be received |
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by the Illinois Department, or its fiscal intermediary, no |
later than 180 days after the latest date on the claim on which |
medical goods or services were provided, with the following |
exceptions: |
(1) In the case of a provider whose enrollment is in |
process by the Illinois Department, the 180-day period |
shall not begin until the date on the written notice from |
the Illinois Department that the provider enrollment is |
complete. |
(2) In the case of errors attributable to the Illinois |
Department or any of its claims processing intermediaries |
which result in an inability to receive, process, or |
adjudicate a claim, the 180-day period shall not begin |
until the provider has been notified of the error. |
(3) In the case of a provider for whom the Illinois |
Department initiates the monthly billing process. |
(4) In the case of a provider operated by a unit of |
local government with a population exceeding 3,000,000 |
when local government funds finance federal participation |
for claims payments. |
For claims for services rendered during a period for which |
a recipient received retroactive eligibility, claims must be |
filed within 180 days after the Department determines the |
applicant is eligible. For claims for which the Illinois |
Department is not the primary payer, claims must be submitted |
to the Illinois Department within 180 days after the final |
|
adjudication by the primary payer. |
In the case of long term care facilities, within 5 days of |
receipt by the facility of required prescreening information, |
data for new admissions shall be entered into the Medical |
Electronic Data Interchange (MEDI) or the Recipient |
Eligibility Verification (REV) System or successor system, and |
within 15 days of receipt by the facility of required |
prescreening information, admission documents shall be |
submitted through MEDI or REV or shall be submitted directly to |
the Department of Human Services using required admission |
forms. Effective September
1, 2014, admission documents, |
including all prescreening
information, must be submitted |
through MEDI or REV. Confirmation numbers assigned to an |
accepted transaction shall be retained by a facility to verify |
timely submittal. Once an admission transaction has been |
completed, all resubmitted claims following prior rejection |
are subject to receipt no later than 180 days after the |
admission transaction has been completed. |
Claims that are not submitted and received in compliance |
with the foregoing requirements shall not be eligible for |
payment under the medical assistance program, and the State |
shall have no liability for payment of those claims. |
To the extent consistent with applicable information and |
privacy, security, and disclosure laws, State and federal |
agencies and departments shall provide the Illinois Department |
access to confidential and other information and data necessary |
|
to perform eligibility and payment verifications and other |
Illinois Department functions. This includes, but is not |
limited to: information pertaining to licensure; |
certification; earnings; immigration status; citizenship; wage |
reporting; unearned and earned income; pension income; |
employment; supplemental security income; social security |
numbers; National Provider Identifier (NPI) numbers; the |
National Practitioner Data Bank (NPDB); program and agency |
exclusions; taxpayer identification numbers; tax delinquency; |
corporate information; and death records. |
The Illinois Department shall enter into agreements with |
State agencies and departments, and is authorized to enter into |
agreements with federal agencies and departments, under which |
such agencies and departments shall share data necessary for |
medical assistance program integrity functions and oversight. |
The Illinois Department shall develop, in cooperation with |
other State departments and agencies, and in compliance with |
applicable federal laws and regulations, appropriate and |
effective methods to share such data. At a minimum, and to the |
extent necessary to provide data sharing, the Illinois |
Department shall enter into agreements with State agencies and |
departments, and is authorized to enter into agreements with |
federal agencies and departments, including but not limited to: |
the Secretary of State; the Department of Revenue; the |
Department of Public Health; the Department of Human Services; |
and the Department of Financial and Professional Regulation. |
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Beginning in fiscal year 2013, the Illinois Department |
shall set forth a request for information to identify the |
benefits of a pre-payment, post-adjudication, and post-edit |
claims system with the goals of streamlining claims processing |
and provider reimbursement, reducing the number of pending or |
rejected claims, and helping to ensure a more transparent |
adjudication process through the utilization of: (i) provider |
data verification and provider screening technology; and (ii) |
clinical code editing; and (iii) pre-pay, pre- or |
post-adjudicated predictive modeling with an integrated case |
management system with link analysis. Such a request for |
information shall not be considered as a request for proposal |
or as an obligation on the part of the Illinois Department to |
take any action or acquire any products or services. |
The Illinois Department shall establish policies, |
procedures,
standards and criteria by rule for the acquisition, |
repair and replacement
of orthotic and prosthetic devices and |
durable medical equipment. Such
rules shall provide, but not be |
limited to, the following services: (1)
immediate repair or |
replacement of such devices by recipients; and (2) rental, |
lease, purchase or lease-purchase of
durable medical equipment |
in a cost-effective manner, taking into
consideration the |
recipient's medical prognosis, the extent of the
recipient's |
needs, and the requirements and costs for maintaining such
|
equipment. Subject to prior approval, such rules shall enable a |
recipient to temporarily acquire and
use alternative or |
|
substitute devices or equipment pending repairs or
|
replacements of any device or equipment previously authorized |
for such
recipient by the Department.
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The Department shall execute, relative to the nursing home |
prescreening
project, written inter-agency agreements with the |
Department of Human
Services and the Department on Aging, to |
effect the following: (i) intake
procedures and common |
eligibility criteria for those persons who are receiving
|
non-institutional services; and (ii) the establishment and |
development of
non-institutional services in areas of the State |
where they are not currently
available or are undeveloped; and |
(iii) notwithstanding any other provision of law, subject to |
federal approval, on and after July 1, 2012, an increase in the |
determination of need (DON) scores from 29 to 37 for applicants |
for institutional and home and community-based long term care; |
if and only if federal approval is not granted, the Department |
may, in conjunction with other affected agencies, implement |
utilization controls or changes in benefit packages to |
effectuate a similar savings amount for this population; and |
(iv) no later than July 1, 2013, minimum level of care |
eligibility criteria for institutional and home and |
community-based long term care; and (v) no later than October |
1, 2013, establish procedures to permit long term care |
providers access to eligibility scores for individuals with an |
admission date who are seeking or receiving services from the |
long term care provider. In order to select the minimum level |
|
of care eligibility criteria, the Governor shall establish a |
workgroup that includes affected agency representatives and |
stakeholders representing the institutional and home and |
community-based long term care interests. This Section shall |
not restrict the Department from implementing lower level of |
care eligibility criteria for community-based services in |
circumstances where federal approval has been granted.
|
The Illinois Department shall develop and operate, in |
cooperation
with other State Departments and agencies and in |
compliance with
applicable federal laws and regulations, |
appropriate and effective
systems of health care evaluation and |
programs for monitoring of
utilization of health care services |
and facilities, as it affects
persons eligible for medical |
assistance under this Code.
|
The Illinois Department shall report annually to the |
General Assembly,
no later than the second Friday in April of |
1979 and each year
thereafter, in regard to:
|
(a) actual statistics and trends in utilization of |
medical services by
public aid recipients;
|
(b) actual statistics and trends in the provision of |
the various medical
services by medical vendors;
|
(c) current rate structures and proposed changes in |
those rate structures
for the various medical vendors; and
|
(d) efforts at utilization review and control by the |
Illinois Department.
|
The period covered by each report shall be the 3 years |
|
ending on the June
30 prior to the report. The report shall |
include suggested legislation
for consideration by the General |
Assembly. The filing of one copy of the
report with the |
Speaker, one copy with the Minority Leader and one copy
with |
the Clerk of the House of Representatives, one copy with the |
President,
one copy with the Minority Leader and one copy with |
the Secretary of the
Senate, one copy with the Legislative |
Research Unit, and such additional
copies
with the State |
Government Report Distribution Center for the General
Assembly |
as is required under paragraph (t) of Section 7 of the State
|
Library Act shall be deemed sufficient to comply with this |
Section.
|
Rulemaking authority to implement Public Act 95-1045, if |
any, is conditioned on the rules being adopted in accordance |
with all provisions of the Illinois Administrative Procedure |
Act and all rules and procedures of the Joint Committee on |
Administrative Rules; any purported rule not so adopted, for |
whatever reason, is unauthorized. |
On and after July 1, 2012, the Department shall reduce any |
rate of reimbursement for services or other payments or alter |
any methodologies authorized by this Code to reduce any rate of |
reimbursement for services or other payments in accordance with |
Section 5-5e. |
Because kidney transplantation can be an appropriate, cost |
effective
alternative to renal dialysis when medically |
necessary and notwithstanding the provisions of Section 1-11 of |
|
this Code, beginning October 1, 2014, the Department shall |
cover kidney transplantation for noncitizens with end-stage |
renal disease who are not eligible for comprehensive medical |
benefits, who meet the residency requirements of Section 5-3 of |
this Code, and who would otherwise meet the financial |
requirements of the appropriate class of eligible persons under |
Section 5-2 of this Code. To qualify for coverage of kidney |
transplantation, such person must be receiving emergency renal |
dialysis services covered by the Department. Providers under |
this Section shall be prior approved and certified by the |
Department to perform kidney transplantation and the services |
under this Section shall be limited to services associated with |
kidney transplantation. |
Notwithstanding any other provision of this Code to the |
contrary, on or after July 1, 2015, all FDA approved forms of |
medication assisted treatment prescribed for the treatment of |
alcohol dependence or treatment of opioid dependence shall be |
covered under both fee for service and managed care medical |
assistance programs for persons who are otherwise eligible for |
medical assistance under this Article and shall not be subject |
to any (1) utilization control, other than those established |
under the American Society of Addiction Medicine patient |
placement criteria,
(2) prior authorization mandate, or (3) |
lifetime restriction limit
mandate. |
On or after July 1, 2015, opioid antagonists prescribed for |
the treatment of an opioid overdose, including the medication |
|
product, administration devices, and any pharmacy fees related |
to the dispensing and administration of the opioid antagonist, |
shall be covered under the medical assistance program for |
persons who are otherwise eligible for medical assistance under |
this Article. As used in this Section, "opioid antagonist" |
means a drug that binds to opioid receptors and blocks or |
inhibits the effect of opioids acting on those receptors, |
including, but not limited to, naloxone hydrochloride or any |
other similarly acting drug approved by the U.S. Food and Drug |
Administration. |
(Source: P.A. 98-104, Article 9, Section 9-5, eff. 7-22-13; |
98-104, Article 12, Section 12-20, eff. 7-22-13; 98-303, eff. |
8-9-13; 98-463, eff. 8-16-13; 98-651, eff. 6-16-14; 98-756, |
eff. 7-16-14; 98-963, eff. 8-15-14; 99-78, eff. 7-20-15; |
99-180, eff. 7-29-15; 99-236, eff. 8-3-15; 99-407 (see Section |
99 of P.A. 99-407 for its effective date); 99-433, eff. |
8-21-15; 99-480, eff. 9-9-15; revised 10-13-15.)
|
(305 ILCS 5/5-5e) |
Sec. 5-5e. Adjusted rates of reimbursement. |
(a) Rates or payments for services in effect on June 30, |
2012 shall be adjusted and
services shall be affected as |
required by any other provision of Public Act 97-689 this |
amendatory Act of
the 97th General Assembly . In addition, the |
Department shall do the following: |
(1) Delink the per diem rate paid for supportive living |
|
facility services from the per diem rate paid for nursing |
facility services, effective for services provided on or |
after May 1, 2011. |
(2) Cease payment for bed reserves in nursing |
facilities and specialized mental health rehabilitation |
facilities; for purposes of therapeutic home visits for |
individuals scoring as TBI on the MDS 3.0, beginning June |
1, 2015, the Department shall approve payments for bed |
reserves in nursing facilities and specialized mental |
health rehabilitation facilities that have at least a 90% |
occupancy level and at least 80% of their residents are |
Medicaid eligible. Payment shall be at a daily rate of 75% |
of an individual's current Medicaid per diem and shall not |
exceed 10 days in a calendar month. |
(2.5) Cease payment for bed reserves for purposes of |
inpatient hospitalizations to intermediate care facilities |
for persons with development disabilities, except in the |
instance of residents who are under 21 years of age. |
(3) Cease payment of the $10 per day add-on payment to |
nursing facilities for certain residents with |
developmental disabilities. |
(b) After the application of subsection (a), |
notwithstanding any other provision of this
Code to the |
contrary and to the extent permitted by federal law, on and |
after July 1,
2012, the rates of reimbursement for services and |
other payments provided under this
Code shall further be |
|
reduced as follows: |
(1) Rates or payments for physician services, dental |
services, or community health center services reimbursed |
through an encounter rate, and services provided under the |
Medicaid Rehabilitation Option of the Illinois Title XIX |
State Plan shall not be further reduced, except as provided |
in Section 5-5b.1. |
(2) Rates or payments, or the portion thereof, paid to |
a provider that is operated by a unit of local government |
or State University that provides the non-federal share of |
such services shall not be further reduced, except as |
provided in Section 5-5b.1. |
(3) Rates or payments for hospital services delivered |
by a hospital defined as a Safety-Net Hospital under |
Section 5-5e.1 of this Code shall not be further reduced, |
except as provided in Section 5-5b.1. |
(4) Rates or payments for hospital services delivered |
by a Critical Access Hospital, which is an Illinois |
hospital designated as a critical care hospital by the |
Department of Public Health in accordance with 42 CFR 485, |
Subpart F, shall not be further reduced, except as provided |
in Section 5-5b.1. |
(5) Rates or payments for Nursing Facility Services |
shall only be further adjusted pursuant to Section 5-5.2 of |
this Code. |
(6) Rates or payments for services delivered by long |
|
term care facilities licensed under the ID/DD Community |
Care Act or the MC/DD Act and developmental training |
services shall not be further reduced. |
(7) Rates or payments for services provided under |
capitation rates shall be adjusted taking into |
consideration the rates reduction and covered services |
required by Public Act 97-689 this amendatory Act of the |
97th General Assembly . |
(8) For hospitals not previously described in this |
subsection, the rates or payments for hospital services |
shall be further reduced by 3.5%, except for payments |
authorized under Section 5A-12.4 of this Code. |
(9) For all other rates or payments for services |
delivered by providers not specifically referenced in |
paragraphs (1) through (8), rates or payments shall be |
further reduced by 2.7%. |
(c) Any assessment imposed by this Code shall continue and |
nothing in this Section shall be construed to cause it to |
cease.
|
(d) Notwithstanding any other provision of this Code to the |
contrary, subject to federal approval under Title XIX of the |
Social Security Act, for dates of service on and after July 1, |
2014, rates or payments for services provided for the purpose |
of transitioning children from a hospital to home placement or |
other appropriate setting by a children's community-based |
health care center authorized under the Alternative Health Care |
|
Delivery Act shall be $683 per day. |
(e) Notwithstanding any other provision of this Code to the |
contrary, subject to federal approval under Title XIX of the |
Social Security Act, for dates of service on and after July 1, |
2014, rates or payments for home health visits shall be $72. |
(f) Notwithstanding any other provision of this Code to the |
contrary, subject to federal approval under Title XIX of the |
Social Security Act, for dates of service on and after July 1, |
2014, rates or payments for the certified nursing assistant |
component of the home health agency rate shall be $20. |
(Source: P.A. 98-104, eff. 7-22-13; 98-651, eff. 6-16-14; |
98-1166, eff. 6-1-15; 99-2, eff. 3-26-15; 99-180, eff. 7-29-15; |
revised 10-21-15.)
|
(305 ILCS 5/5-16.8)
|
Sec. 5-16.8. Required health benefits. The medical |
assistance program
shall
(i) provide the post-mastectomy care |
benefits required to be covered by a policy of
accident and |
health insurance under Section 356t and the coverage required
|
under Sections 356g.5, 356u, 356w, 356x, and 356z.6 of the |
Illinois
Insurance Code and (ii) be subject to the provisions |
of Sections 356z.19, 364.01, 370c, and 370c.1 of the Illinois
|
Insurance Code.
|
On and after July 1, 2012, the Department shall reduce any |
rate of reimbursement for services or other payments or alter |
any methodologies authorized by this Code to reduce any rate of |
|
reimbursement for services or other payments in accordance with |
Section 5-5e. |
To ensure full access to the benefits set forth in this |
Section, on and after January 1, 2016, the Department shall |
ensure that provider and hospital reimbursement for |
post-mastectomy care benefits required under this Section are |
no lower than the Medicare reimbursement rate. |
(Source: P.A. 99-433, eff. 8-21-15; 99-480, eff. 9-9-15; |
revised 10-21-15.)
|
(305 ILCS 5/5-30) |
Sec. 5-30. Care coordination. |
(a) At least 50% of recipients eligible for comprehensive |
medical benefits in all medical assistance programs or other |
health benefit programs administered by the Department, |
including the Children's Health Insurance Program Act and the |
Covering ALL KIDS Health Insurance Act, shall be enrolled in a |
care coordination program by no later than January 1, 2015. For |
purposes of this Section, "coordinated care" or "care |
coordination" means delivery systems where recipients will |
receive their care from providers who participate under |
contract in integrated delivery systems that are responsible |
for providing or arranging the majority of care, including |
primary care physician services, referrals from primary care |
physicians, diagnostic and treatment services, behavioral |
health services, in-patient and outpatient hospital services, |
|
dental services, and rehabilitation and long-term care |
services. The Department shall designate or contract for such |
integrated delivery systems (i) to ensure enrollees have a |
choice of systems and of primary care providers within such |
systems; (ii) to ensure that enrollees receive quality care in |
a culturally and linguistically appropriate manner; and (iii) |
to ensure that coordinated care programs meet the diverse needs |
of enrollees with developmental, mental health, physical, and |
age-related disabilities. |
(b) Payment for such coordinated care shall be based on |
arrangements where the State pays for performance related to |
health care outcomes, the use of evidence-based practices, the |
use of primary care delivered through comprehensive medical |
homes, the use of electronic medical records, and the |
appropriate exchange of health information electronically made |
either on a capitated basis in which a fixed monthly premium |
per recipient is paid and full financial risk is assumed for |
the delivery of services, or through other risk-based payment |
arrangements. |
(c) To qualify for compliance with this Section, the 50% |
goal shall be achieved by enrolling medical assistance |
enrollees from each medical assistance enrollment category, |
including parents, children, seniors, and people with |
disabilities to the extent that current State Medicaid payment |
laws would not limit federal matching funds for recipients in |
care coordination programs. In addition, services must be more |
|
comprehensively defined and more risk shall be assumed than in |
the Department's primary care case management program as of |
January 25, 2011 ( the effective date of Public Act 96-1501) |
this amendatory Act of the 96th General Assembly . |
(d) The Department shall report to the General Assembly in |
a separate part of its annual medical assistance program |
report, beginning April, 2012 until April, 2016, on the |
progress and implementation of the care coordination program |
initiatives established by the provisions of Public Act 96-1501 |
this amendatory Act of the 96th General Assembly . The |
Department shall include in its April 2011 report a full |
analysis of federal laws or regulations regarding upper payment |
limitations to providers and the necessary revisions or |
adjustments in rate methodologies and payments to providers |
under this Code that would be necessary to implement |
coordinated care with full financial risk by a party other than |
the Department.
|
(e) Integrated Care Program for individuals with chronic |
mental health conditions. |
(1) The Integrated Care Program shall encompass |
services administered to recipients of medical assistance |
under this Article to prevent exacerbations and |
complications using cost-effective, evidence-based |
practice guidelines and mental health management |
strategies. |
(2) The Department may utilize and expand upon existing |
|
contractual arrangements with integrated care plans under |
the Integrated Care Program for providing the coordinated |
care provisions of this Section. |
(3) Payment for such coordinated care shall be based on |
arrangements where the State pays for performance related |
to mental health outcomes on a capitated basis in which a |
fixed monthly premium per recipient is paid and full |
financial risk is assumed for the delivery of services, or |
through other risk-based payment arrangements such as |
provider-based care coordination. |
(4) The Department shall examine whether chronic |
mental health management programs and services for |
recipients with specific chronic mental health conditions |
do any or all of the following: |
(A) Improve the patient's overall mental health in |
a more expeditious and cost-effective manner. |
(B) Lower costs in other aspects of the medical |
assistance program, such as hospital admissions, |
emergency room visits, or more frequent and |
inappropriate psychotropic drug use. |
(5) The Department shall work with the facilities and |
any integrated care plan participating in the program to |
identify and correct barriers to the successful |
implementation of this subsection (e) prior to and during |
the implementation to best facilitate the goals and |
objectives of this subsection (e). |
|
(f) A hospital that is located in a county of the State in |
which the Department mandates some or all of the beneficiaries |
of the Medical Assistance Program residing in the county to |
enroll in a Care Coordination Program, as set forth in Section |
5-30 of this Code, shall not be eligible for any non-claims |
based payments not mandated by Article V-A of this Code for |
which it would otherwise be qualified to receive, unless the |
hospital is a Coordinated Care Participating Hospital no later |
than 60 days after June 14, 2012 ( the effective date of Public |
Act 97-689) this amendatory Act of the 97th General Assembly or |
60 days after the first mandatory enrollment of a beneficiary |
in a Coordinated Care program. For purposes of this subsection, |
"Coordinated Care Participating Hospital" means a hospital |
that meets one of the following criteria: |
(1) The hospital has entered into a contract to provide |
hospital services with one or more MCOs to enrollees of the |
care coordination program. |
(2) The hospital has not been offered a contract by a |
care coordination plan that the Department has determined |
to be a good faith offer and that pays at least as much as |
the Department would pay, on a fee-for-service basis, not |
including disproportionate share hospital adjustment |
payments or any other supplemental adjustment or add-on |
payment to the base fee-for-service rate, except to the |
extent such adjustments or add-on payments are |
incorporated into the development of the applicable MCO |
|
capitated rates. |
As used in this subsection (f), "MCO" means any entity |
which contracts with the Department to provide services where |
payment for medical services is made on a capitated basis. |
(g) No later than August 1, 2013, the Department shall |
issue a purchase of care solicitation for Accountable Care |
Entities (ACE) to serve any children and parents or caretaker |
relatives of children eligible for medical assistance under |
this Article. An ACE may be a single corporate structure or a |
network of providers organized through contractual |
relationships with a single corporate entity. The solicitation |
shall require that: |
(1) An ACE operating in Cook County be capable of |
serving at least 40,000 eligible individuals in that |
county; an ACE operating in Lake, Kane, DuPage, or Will |
Counties be capable of serving at least 20,000 eligible |
individuals in those counties and an ACE operating in other |
regions of the State be capable of serving at least 10,000 |
eligible individuals in the region in which it operates. |
During initial periods of mandatory enrollment, the |
Department shall require its enrollment services |
contractor to use a default assignment algorithm that |
ensures if possible an ACE reaches the minimum enrollment |
levels set forth in this paragraph. |
(2) An ACE must include at a minimum the following |
types of providers: primary care, specialty care, |
|
hospitals, and behavioral healthcare. |
(3) An ACE shall have a governance structure that |
includes the major components of the health care delivery |
system, including one representative from each of the |
groups listed in paragraph (2). |
(4) An ACE must be an integrated delivery system, |
including a network able to provide the full range of |
services needed by Medicaid beneficiaries and system |
capacity to securely pass clinical information across |
participating entities and to aggregate and analyze that |
data in order to coordinate care. |
(5) An ACE must be capable of providing both care |
coordination and complex case management, as necessary, to |
beneficiaries. To be responsive to the solicitation, a |
potential ACE must outline its care coordination and |
complex case management model and plan to reduce the cost |
of care. |
(6) In the first 18 months of operation, unless the ACE |
selects a shorter period, an ACE shall be paid care |
coordination fees on a per member per month basis that are |
projected to be cost neutral to the State during the term |
of their payment and, subject to federal approval, be |
eligible to share in additional savings generated by their |
care coordination. |
(7) In months 19 through 36 of operation, unless the |
ACE selects a shorter period, an ACE shall be paid on a |
|
pre-paid capitation basis for all medical assistance |
covered services, under contract terms similar to Managed |
Care Organizations (MCO), with the Department sharing the |
risk through either stop-loss insurance for extremely high |
cost individuals or corridors of shared risk based on the |
overall cost of the total enrollment in the ACE. The ACE |
shall be responsible for claims processing, encounter data |
submission, utilization control, and quality assurance. |
(8) In the fourth and subsequent years of operation, an |
ACE shall convert to a Managed Care Community Network |
(MCCN), as defined in this Article, or Health Maintenance |
Organization pursuant to the Illinois Insurance Code, |
accepting full-risk capitation payments. |
The Department shall allow potential ACE entities 5 months |
from the date of the posting of the solicitation to submit |
proposals. After the solicitation is released, in addition to |
the MCO rate development data available on the Department's |
website, subject to federal and State confidentiality and |
privacy laws and regulations, the Department shall provide 2 |
years of de-identified summary service data on the targeted |
population, split between children and adults, showing the |
historical type and volume of services received and the cost of |
those services to those potential bidders that sign a data use |
agreement. The Department may add up to 2 non-state government |
employees with expertise in creating integrated delivery |
systems to its review team for the purchase of care |
|
solicitation described in this subsection. Any such |
individuals must sign a no-conflict disclosure and |
confidentiality agreement and agree to act in accordance with |
all applicable State laws. |
During the first 2 years of an ACE's operation, the |
Department shall provide claims data to the ACE on its |
enrollees on a periodic basis no less frequently than monthly. |
Nothing in this subsection shall be construed to limit the |
Department's mandate to enroll 50% of its beneficiaries into |
care coordination systems by January 1, 2015, using all |
available care coordination delivery systems, including Care |
Coordination Entities (CCE), MCCNs, or MCOs, nor be construed |
to affect the current CCEs, MCCNs, and MCOs selected to serve |
seniors and persons with disabilities prior to that date. |
Nothing in this subsection precludes the Department from |
considering future proposals for new ACEs or expansion of |
existing ACEs at the discretion of the Department. |
(h) Department contracts with MCOs and other entities |
reimbursed by risk based capitation shall have a minimum |
medical loss ratio of 85%, shall require the entity to |
establish an appeals and grievances process for consumers and |
providers, and shall require the entity to provide a quality |
assurance and utilization review program. Entities contracted |
with the Department to coordinate healthcare regardless of risk |
shall be measured utilizing the same quality metrics. The |
quality metrics may be population specific. Any contracted |
|
entity serving at least 5,000 seniors or people with |
disabilities or 15,000 individuals in other populations |
covered by the Medical Assistance Program that has been |
receiving full-risk capitation for a year shall be accredited |
by a national accreditation organization authorized by the |
Department within 2 years after the date it is eligible to |
become accredited. The requirements of this subsection shall |
apply to contracts with MCOs entered into or renewed or |
extended after June 1, 2013. |
(h-5) The Department shall monitor and enforce compliance |
by MCOs with agreements they have entered into with providers |
on issues that include, but are not limited to, timeliness of |
payment, payment rates, and processes for obtaining prior |
approval. The Department may impose sanctions on MCOs for |
violating provisions of those agreements that include, but are |
not limited to, financial penalties, suspension of enrollment |
of new enrollees, and termination of the MCO's contract with |
the Department. As used in this subsection (h-5), "MCO" has the |
meaning ascribed to that term in Section 5-30.1 of this Code. |
(i) Unless otherwise required by federal law, Medicaid |
Managed Care Entities shall not divulge, directly or |
indirectly, including by sending a bill or explanation of |
benefits, information concerning the sensitive health services |
received by enrollees of the Medicaid Managed Care Entity to |
any person other than providers and care coordinators caring |
for the enrollee and employees of the entity in the course of |
|
the entity's internal operations. The Medicaid Managed Care |
Entity may divulge information concerning the sensitive health |
services if the enrollee who received the sensitive health |
services requests the information from the Medicaid Managed |
Care Entity and authorized the sending of a bill or explanation |
of benefits. Communications including, but not limited to, |
statements of care received or appointment reminders either |
directly or indirectly to the enrollee from the health care |
provider, health care professional, and care coordinators, |
remain permissible. |
For the purposes of this subsection, the term "Medicaid |
Managed Care Entity" includes Care Coordination Entities, |
Accountable Care Entities, Managed Care Organizations, and |
Managed Care Community Networks. |
For purposes of this subsection, the term "sensitive health |
services" means mental health services, substance abuse |
treatment services, reproductive health services, family |
planning services, services for sexually transmitted |
infections and sexually transmitted diseases, and services for |
sexual assault or domestic abuse. Services include prevention, |
screening, consultation, examination, treatment, or follow-up. |
Nothing in this subsection shall be construed to relieve a |
Medicaid Managed Care Entity or the Department of any duty to |
report incidents of sexually transmitted infections to the |
Department of Public Health or to the local board of health in |
accordance with regulations adopted under a statute or |
|
ordinance or to report incidents of sexually transmitted |
infections as necessary to comply with the requirements under |
Section 5 of the Abused and Neglected Child Reporting Act or as |
otherwise required by State or federal law. |
The Department shall create policy in order to implement |
the requirements in this subsection. |
(j) (i) Managed Care Entities (MCEs), including MCOs and |
all other care coordination organizations, shall develop and |
maintain a written language access policy that sets forth the |
standards, guidelines, and operational plan to ensure language |
appropriate services and that is consistent with the standard |
of meaningful access for populations with limited English |
proficiency. The language access policy shall describe how the |
MCEs will provide all of the following required services: |
(1) Translation (the written replacement of text from |
one language into another) of all vital documents and forms |
as identified by the Department. |
(2) Qualified interpreter services (the oral |
communication of a message from one language into another |
by a qualified interpreter). |
(3) Staff training on the language access policy, |
including how to identify language needs, access and |
provide language assistance services, work with |
interpreters, request translations, and track the use of |
language assistance services. |
(4) Data tracking that identifies the language need. |
|
(5) Notification to participants on the availability |
of language access services and on how to access such |
services. |
(Source: P.A. 98-104, eff. 7-22-13; 98-651, eff. 6-16-14; |
99-106, eff. 1-1-16; 99-181, eff. 7-29-15; revised 10-26-15.)
|
(305 ILCS 5/10-25)
|
(Text of Section before amendment by P.A. 99-157 ) |
Sec. 10-25. Administrative liens and levies on real |
property for
past-due child support. |
(a) Notwithstanding any other State or local law to the |
contrary, the State shall have a lien on all legal and |
equitable interests of
responsible relatives in their real |
property
in the amount of past-due child support owing pursuant |
to an order
for child support entered under Sections 10-10 and |
10-11 of this Code, or under
the Illinois Marriage and |
Dissolution of Marriage Act, the Non-Support of
Spouse and |
Children Act, the Non-Support Punishment Act, the Uniform
|
Interstate Family Support Act, the
Illinois Parentage Act of |
1984, or the Illinois Parentage Act of 2015.
|
(b) The Illinois Department shall provide by rule for |
notice to and an
opportunity to be heard by each responsible |
relative affected, and any final
administrative decision |
rendered by the Illinois Department shall be reviewed
only |
under
and in accordance with the Administrative Review Law.
|
(c) When enforcing a lien under subsection (a) of this |
|
Section, the
Illinois Department shall have the authority to |
execute notices of
administrative liens and levies, which shall |
contain the name and address of
the responsible relative, a |
legal description of the real property
to be levied, the fact |
that a lien
is being claimed for past-due child support, and |
such other information as the
Illinois Department may by rule |
prescribe. The Illinois Department shall
record the notice of |
lien with the recorder or registrar of titles of
the county or |
counties in which the real estate is located.
|
(d) The State's lien under subsection (a) shall be
|
enforceable upon the recording or filing of a notice of lien |
with the recorder
or registrar of titles of the county or |
counties in which the real estate is
located. The lien shall be |
prior to any lien thereafter recorded or filed and
shall be |
notice to a subsequent purchaser, assignor, or encumbrancer of |
the
existence and nature of the lien. The lien shall be |
inferior to the lien of
general taxes, special assessment, and |
special taxes heretofore or hereafter
levied by any political |
subdivision or municipal corporation of the State.
|
In the event that title to the land to be affected by the |
notice of lien is
registered under the Registered Titles |
(Torrens) Act, the notice shall be filed
in the office of the |
registrar of titles as a memorial or charge upon each
folium of |
the register of titles affected by the notice; but the State |
shall
not have a preference over the rights of any bona fide |
purchaser, mortgagee,
judgment creditor, or other lien holders |
|
registered prior to the registration
of the notice.
|
(e) The recorder or registrar of titles of each county |
shall procure
a file labeled "Child Support Lien Notices" and |
an index book labeled "Child
Support Lien Notices". When notice |
of any lien is presented to the recorder or
registrar of titles |
for filing,
the recorder or registrar of titles shall file it |
in numerical order in the
file and shall enter it
|
alphabetically in the index. The entry shall show the name and |
last known
address of the person named in the notice, the |
serial number of the notice, the
date and hour of filing, and |
the amount of child support due at the time when
the lien is |
filed.
|
(f) The Illinois Department shall not be required to |
furnish bond or make a
deposit for or pay any costs or fees of |
any court or officer thereof in any
legal proceeding involving |
the lien.
|
(g) To protect the lien of the State for past-due child |
support, the
Illinois Department may, from funds that are |
available for that purpose, pay
or provide for the payment of |
necessary or essential repairs, purchase tax
certificates, pay |
balances due on land contracts, or pay or cause to be
satisfied |
any prior liens on the property to which the lien hereunder |
applies.
|
(h) A lien on real property under this Section shall be |
released
pursuant
to Section 12-101 of the Code of Civil |
Procedure.
|
|
(i) The Illinois Department, acting in behalf of the
State, |
may foreclose the lien in a judicial proceeding to the same |
extent and
in the same manner as in the enforcement of other |
liens. The process,
practice, and procedure for the foreclosure |
shall be the same as provided in
the Code of Civil Procedure.
|
(Source: P.A. 99-85, eff. 1-1-16.)
|
(Text of Section after amendment by P.A. 99-157 )
|
Sec. 10-25. Administrative liens and levies on real |
property for
past-due child support and for fines against a |
payor who wilfully fails to withhold or pay over income |
pursuant to a properly served income withholding notice or |
otherwise fails to comply with any duties imposed by the Income |
Withholding for Support Act. |
(a) Notwithstanding any other State or local law to the |
contrary, the State shall have a lien on all legal and |
equitable interests of
responsible relatives in their real |
property
in the amount of past-due child support owing pursuant |
to an order
for child support entered under Sections 10-10 and |
10-11 of this Code, or under
the Illinois Marriage and |
Dissolution of Marriage Act, the Non-Support of
Spouse and |
Children Act, the Non-Support Punishment Act, the Uniform
|
Interstate Family Support Act, the
Illinois Parentage Act of |
1984, or the Illinois Parentage Act of 2015.
|
(a-5) The State shall have a lien on all legal and |
equitable interests of a payor, as that term is described in |
|
the Income Withholding for Support Act, in the payor's real |
property in the amount of any fine imposed by the Illinois |
Department pursuant to the Income Withholding for Support Act. |
(b) The Illinois Department shall provide by rule for |
notice to and an
opportunity to be heard by each responsible |
relative or payor affected, and any final
administrative |
decision rendered by the Illinois Department shall be reviewed
|
only under
and in accordance with the Administrative Review |
Law.
|
(c) When enforcing a lien under subsection (a) of this |
Section, the
Illinois Department shall have the authority to |
execute notices of
administrative liens and levies, which shall |
contain the name and address of
the responsible relative or |
payor, a legal description of the real property
to be levied, |
the fact that a lien
is being claimed for past-due child |
support or for the fines imposed on a payor pursuant to the |
Income Withholding for Support Act, and such other information |
as the
Illinois Department may by rule prescribe. The Illinois |
Department shall
record the notice of lien with the recorder or |
registrar of titles of
the county or counties in which the real |
estate is located.
|
(d) The State's lien under subsection (a) shall be
|
enforceable upon the recording or filing of a notice of lien |
with the recorder
or registrar of titles of the county or |
counties in which the real estate is
located. The lien shall be |
prior to any lien thereafter recorded or filed and
shall be |
|
notice to a subsequent purchaser, assignor, or encumbrancer of |
the
existence and nature of the lien. The lien shall be |
inferior to the lien of
general taxes, special assessment, and |
special taxes heretofore or hereafter
levied by any political |
subdivision or municipal corporation of the State.
|
In the event that title to the land to be affected by the |
notice of lien is
registered under the Registered Titles |
(Torrens) Act, the notice shall be filed
in the office of the |
registrar of titles as a memorial or charge upon each
folium of |
the register of titles affected by the notice; but the State |
shall
not have a preference over the rights of any bona fide |
purchaser, mortgagee,
judgment creditor, or other lien holders |
registered prior to the registration
of the notice.
|
(e) The recorder or registrar of titles of each county |
shall procure
a file labeled "Child Support Lien Notices" and |
an index book labeled "Child
Support Lien Notices". When notice |
of any lien is presented to the recorder or
registrar of titles |
for filing,
the recorder or registrar of titles shall file it |
in numerical order in the
file and shall enter it
|
alphabetically in the index. The entry shall show the name and |
last known
address of the person or payor named in the notice, |
the serial number of the notice, the
date and hour of filing, |
and the amount of child support or the amount of the fine |
imposed on the payor due at the time when
the lien is filed.
|
(f) The Illinois Department shall not be required to |
furnish bond or make a
deposit for or pay any costs or fees of |
|
any court or officer thereof in any
legal proceeding involving |
the lien.
|
(g) To protect the lien of the State for past-due child |
support and for any fine imposed against a payor, the
Illinois |
Department may, from funds that are available for that purpose, |
pay
or provide for the payment of necessary or essential |
repairs, purchase tax
certificates, pay balances due on land |
contracts, or pay or cause to be
satisfied any prior liens on |
the property to which the lien hereunder applies.
|
(h) A lien on real property under this Section shall be |
released
pursuant
to Section 12-101 of the Code of Civil |
Procedure.
|
(i) The Illinois Department, acting in behalf of the
State, |
may foreclose the lien in a judicial proceeding to the same |
extent and
in the same manner as in the enforcement of other |
liens. The process,
practice, and procedure for the foreclosure |
shall be the same as provided in
the Code of Civil Procedure.
|
(Source: P.A. 99-85, eff. 1-1-16; 99-157, eff. 7-1-17; revised |
10-26-15.)
|
(305 ILCS 5/10-25.5)
|
(Text of Section before amendment by P.A. 99-157 ) |
Sec. 10-25.5. Administrative liens and levies on personal |
property for
past-due child support. |
(a) Notwithstanding any other State or local law to the |
contrary, the State shall have a lien on all legal and |
|
equitable interests of
responsible relatives in their personal |
property, including any account in a
financial institution as |
defined
in Section 10-24, or in the case of an insurance |
company or benefit association
only in accounts as defined in |
Section 10-24, in the amount of past-due child
support owing |
pursuant to an order
for child support entered under Sections |
10-10 and 10-11 of this Code, or under
the Illinois Marriage |
and Dissolution of Marriage Act, the Non-Support of
Spouse and |
Children Act, the Non-Support Punishment Act, the Uniform
|
Interstate Family Support Act, the
Illinois Parentage Act of |
1984, or the Illinois Parentage Act of 2015.
|
(b) The Illinois Department shall provide by rule for |
notice to and an
opportunity to be heard by each responsible |
relative affected, and any final
administrative decision |
rendered by the Illinois Department shall be reviewed
only |
under
and in accordance with the Administrative Review Law.
|
(c) When enforcing a lien under subsection (a) of this |
Section, the
Illinois Department shall have the authority to |
execute notices of
administrative liens and levies, which shall |
contain the name and address of
the responsible relative, a |
description of the property
to be levied, the fact that a lien
|
is being claimed for past-due child support, and such other |
information as the
Illinois Department may by rule prescribe. |
The Illinois Department may
serve the notice of lien or levy |
upon any financial institution where
the accounts as defined in |
Section 10-24 of the responsible relative may be
held, for |
|
encumbrance or surrender of the accounts as defined in Section |
10-24
by the financial institution.
|
(d) The Illinois Department shall enforce its lien against |
the responsible
relative's personal property, other than |
accounts as defined in Section 10-24
in financial institutions,
|
and
levy upon such personal property in the manner provided for |
enforcement of
judgments contained in Article XII of the Code |
of Civil Procedure.
|
(e) The Illinois Department shall not be required to |
furnish bond or make a
deposit for or pay any costs or fees of |
any court or officer thereof in any
legal proceeding involving |
the lien.
|
(f) To protect the lien of the State for past-due child |
support, the
Illinois Department may, from funds that are |
available for that purpose, pay
or provide for the payment of |
necessary or essential repairs, purchase tax
certificates, or |
pay or cause to be
satisfied any prior liens on the property to |
which the lien hereunder applies.
|
(g) A lien on personal property under this Section shall be |
released
in the manner provided under Article XII
of the Code |
of Civil Procedure.
Notwithstanding the foregoing, a lien under |
this Section on accounts as defined
in Section 10-24 shall |
expire upon the passage of 120 days from the date of
issuance |
of the Notice of Lien or Levy by the Illinois Department. |
However,
the lien
shall remain in effect during the pendency of |
any appeal or protest.
|
|
(h) A lien created under this Section is subordinate to any |
prior lien of
the financial institution or any prior lien |
holder or any prior right of
set-off that the financial |
institution may have against the assets, or in the
case of an |
insurance company or benefit association only in the accounts |
as
defined in Section 10-24.
|
(i) A financial institution has no obligation under this |
Section to hold,
encumber, or surrender the assets, or in the |
case of an insurance company or
benefit association only the |
accounts as defined in Section 10-24, until the
financial
|
institution has been properly served with a subpoena, summons, |
warrant,
court or administrative order, or administrative lien |
and levy requiring that
action.
|
(Source: P.A. 99-85, eff. 1-1-16.)
|
(Text of Section after amendment by P.A. 99-157 )
|
Sec. 10-25.5. Administrative liens and levies on personal |
property for
past-due child support and for fines against a |
payor who wilfully fails to withhold or pay over income |
pursuant to a properly served income withholding notice or |
otherwise fails to comply with any duties imposed by the Income |
Withholding for Support Act. |
(a) Notwithstanding any other State or local law to the |
contrary, the State shall have a lien on all legal and |
equitable interests of
responsible relatives in their personal |
property, including any account in a
financial institution as |
|
defined
in Section 10-24, or in the case of an insurance |
company or benefit association
only in accounts as defined in |
Section 10-24, in the amount of past-due child
support owing |
pursuant to an order
for child support entered under Sections |
10-10 and 10-11 of this Code, or under
the Illinois Marriage |
and Dissolution of Marriage Act, the Non-Support of
Spouse and |
Children Act, the Non-Support Punishment Act, the Uniform
|
Interstate Family Support Act, the
Illinois Parentage Act of |
1984, or the Illinois Parentage Act of 2015.
|
(a-5) The State shall have a lien on all legal and |
equitable interests of a payor, as that term is described in |
the Income Withholding for Support Act, in the payor's personal |
property in the amount of any fine imposed by the Illinois |
Department pursuant to the Income Withholding for Support Act. |
(b) The Illinois Department shall provide by rule for |
notice to and an
opportunity to be heard by each responsible |
relative or payor affected, and any final
administrative |
decision rendered by the Illinois Department shall be reviewed
|
only under
and in accordance with the Administrative Review |
Law.
|
(c) When enforcing a lien under subsection (a) of this |
Section, the
Illinois Department shall have the authority to |
execute notices of
administrative liens and levies, which shall |
contain the name and address of
the responsible relative or |
payor, a description of the property
to be levied, the fact |
that a lien
is being claimed for past-due child support, and |
|
such other information as the
Illinois Department may by rule |
prescribe. The Illinois Department may
serve the notice of lien |
or levy upon any financial institution where
the accounts as |
defined in Section 10-24 of the responsible relative may be
|
held, for encumbrance or surrender of the accounts as defined |
in Section 10-24
by the financial institution.
|
(d) The Illinois Department shall enforce its lien against |
the responsible
relative's or payor's personal property, other |
than accounts as defined in Section 10-24
in financial |
institutions,
and
levy upon such personal property in the |
manner provided for enforcement of
judgments contained in |
Article XII of the Code of Civil Procedure.
|
(e) The Illinois Department shall not be required to |
furnish bond or make a
deposit for or pay any costs or fees of |
any court or officer thereof in any
legal proceeding involving |
the lien.
|
(f) To protect the lien of the State for past-due child |
support and for any fine imposed on a payor, the
Illinois |
Department may, from funds that are available for that purpose, |
pay
or provide for the payment of necessary or essential |
repairs, purchase tax
certificates, or pay or cause to be
|
satisfied any prior liens on the property to which the lien |
hereunder applies.
|
(g) A lien on personal property under this Section shall be |
released
in the manner provided under Article XII
of the Code |
of Civil Procedure.
Notwithstanding the foregoing, a lien under |
|
this Section on accounts as defined
in Section 10-24 shall |
expire upon the passage of 120 days from the date of
issuance |
of the Notice of Lien or Levy by the Illinois Department. |
However,
the lien
shall remain in effect during the pendency of |
any appeal or protest.
|
(h) A lien created under this Section is subordinate to any |
prior lien of
the financial institution or any prior lien |
holder or any prior right of
set-off that the financial |
institution may have against the assets, or in the
case of an |
insurance company or benefit association only in the accounts |
as
defined in Section 10-24.
|
(i) A financial institution has no obligation under this |
Section to hold,
encumber, or surrender the assets, or in the |
case of an insurance company or
benefit association only the |
accounts as defined in Section 10-24, until the
financial
|
institution has been properly served with a subpoena, summons, |
warrant,
court or administrative order, or administrative lien |
and levy requiring that
action.
|
(Source: P.A. 99-85, eff. 1-1-16; 99-157, eff. 7-1-17; revised |
10-27-15.)
|
Section 405. The Adult Protective Services Act is amended |
by changing Section 8 as follows:
|
(320 ILCS 20/8) (from Ch. 23, par. 6608)
|
Sec. 8. Access to records. All records concerning reports |
|
of abuse,
neglect, financial exploitation, or self-neglect and |
all records generated as a result of
such reports shall be |
confidential and shall not be disclosed except as
specifically |
authorized by this Act or other applicable law. In accord with |
established law and Department protocols, procedures, and |
policies, access to such
records, but not access to the |
identity of the person or persons making a
report of alleged |
abuse, neglect,
financial exploitation, or self-neglect as |
contained in
such records, shall be provided, upon request, to |
the following persons and for the following
persons:
|
(1) Department staff, provider agency staff, other |
aging network staff, and
regional administrative agency |
staff, including staff of the Chicago Department on Aging |
while that agency is designated as a regional |
administrative agency, in the furtherance of their
|
responsibilities under this Act;
|
(1.5) A representative of the public guardian acting in |
the course of investigating the appropriateness of |
guardianship for the eligible adult or while pursuing a |
petition for guardianship of the eligible adult pursuant to |
the Probate Act of 1975; |
(2) A law enforcement agency investigating known or |
suspected
abuse, neglect, financial exploitation, or |
self-neglect. Where a provider
agency has reason to believe |
that the
death of an eligible adult may be the result of |
abuse or neglect, including any reports made after death, |
|
the agency
shall immediately provide the appropriate law |
enforcement agency with all
records pertaining to the |
eligible adult;
|
(2.5) A law enforcement agency, fire department |
agency, or fire protection district having proper |
jurisdiction pursuant to a written agreement between a |
provider agency and the law enforcement agency, fire |
department agency, or fire protection district under which |
the provider agency may furnish to the law enforcement |
agency, fire department agency, or fire protection |
district a list of all eligible adults who may be at |
imminent risk of abuse, neglect, financial exploitation, |
or self-neglect; |
(3) A physician who has before him or her or who is |
involved
in the treatment of an eligible adult whom he or |
she reasonably suspects
may be abused, neglected, |
financially exploited, or self-neglected or who has been
|
referred to the Adult Protective Services Program;
|
(4) An eligible adult reported to be abused,
neglected,
|
financially exploited, or self-neglected, or such adult's |
authorized guardian or agent, unless such
guardian or agent |
is the abuser or the alleged abuser; |
(4.5) An executor or administrator of the estate of an |
eligible adult who is deceased;
|
(5) In cases regarding abuse, neglect, or financial |
exploitation, a court or a guardian ad litem, upon its or |
|
his or
her finding that access to such records may be
|
necessary for the determination of an issue before the |
court.
However,
such access shall be limited to an in |
camera inspection of the records,
unless the court |
determines that disclosure of the information contained
|
therein is necessary for the resolution of an issue then |
pending before it;
|
(5.5) In cases regarding self-neglect, a guardian ad |
litem;
|
(6) A grand jury, upon its determination that access to |
such
records is necessary in the conduct of its official |
business;
|
(7) Any person authorized by the Director, in writing, |
for
audit or bona fide research purposes;
|
(8) A coroner or medical examiner who has reason to |
believe
that an eligible adult has died as the result of |
abuse, neglect,
financial exploitation, or self-neglect. |
The provider agency shall immediately provide the
coroner
|
or medical examiner with all records pertaining to the |
eligible adult;
|
(8.5) A coroner or medical examiner having proper |
jurisdiction, pursuant to a written agreement between a |
provider agency and the coroner or medical examiner, under |
which the provider agency may furnish to the office of the |
coroner or medical examiner a list of all eligible adults |
who may be at imminent risk of death as a result of abuse, |
|
neglect, financial exploitation, or self-neglect; |
(9) Department of Financial and Professional |
Regulation staff
and members of the Illinois Medical |
Disciplinary Board or the Social Work Examining and |
Disciplinary Board in the course
of investigating alleged |
violations of the Clinical Social Work and Social Work
|
Practice Act by provider agency staff or other licensing |
bodies at the discretion of the Director of the Department |
on Aging; |
(9-a) Department of Healthcare and Family Services |
staff and provider agency staff when that Department is |
funding services to the eligible adult, including access to |
the identity of the eligible adult; |
(9-b) Department of Human Services staff and provider |
agency staff when that Department is funding services to |
the eligible adult or is providing reimbursement for |
services provided by the abuser or alleged abuser, |
including access to the identity of the eligible adult; |
(10) Hearing officers in the course of conducting an |
administrative hearing under this Act; parties to such |
hearing shall be entitled to discovery as established by |
rule;
|
(11) A caregiver who challenges placement on the |
Registry shall be given the statement of allegations in the |
abuse report and the substantiation decision in the final |
investigative report; and |
|
(12) The Illinois Guardianship and Advocacy Commission |
and the agency designated by the Governor under Section 1 |
of the Protection and Advocacy for Persons with |
Developmental Disabilities Act shall have access, through |
the Department, to records, including the findings, |
pertaining to a completed or closed investigation of a |
report of suspected abuse, neglect, financial |
exploitation, or self-neglect of an eligible adult. |
(Source: P.A. 98-49, eff. 7-1-13; 98-1039, eff. 8-25-14; |
99-143, eff. 7-27-15; 99-287, eff. 1-1-16; revised 10-26-15.)
|
Section 410. The Abused and Neglected Child Reporting Act |
is amended by changing Section 7.8 as follows:
|
(325 ILCS 5/7.8)
|
(Text of Section before amendment by P.A. 99-350 ) |
Sec. 7.8.
Upon receiving an oral or written report of |
suspected
child abuse or neglect, the Department shall |
immediately notify, either
orally or electronically, the Child |
Protective Service Unit of a previous
report concerning a |
subject of the present report or other pertinent
information. |
In addition, upon satisfactory identification procedures, to
|
be established by Department regulation, any person authorized |
to have
access to records under Section 11.1 relating to child |
abuse and neglect
may request and shall be immediately provided |
the information requested in
accordance with this Act. However, |
|
no information shall be released unless
it prominently states |
the report is "indicated", and only information from
|
"indicated" reports shall be released, except that information |
concerning
pending reports may be released pursuant to Sections |
7.14 and 7.22 of this Act to the attorney or guardian ad litem |
appointed under Section 2-17 of the Juvenile Court Act of 1987 |
and to any person authorized under
paragraphs (1), (2), (3) and |
(11) of Section 11.1. In addition, State's
Attorneys are |
authorized to receive unfounded reports (i) for prosecution
|
purposes related to the transmission of false reports of child |
abuse or
neglect in violation of subsection (a), paragraph (7) |
of Section 26-1
of the Criminal Code of 2012 or (ii) for the |
purposes of screening and prosecuting a petition filed under |
Article II of the Juvenile Court Act of 1987 alleging a |
subsequent allegation of abuse or neglect relating to the same |
child, a sibling of the child, or the same perpetrator; the |
parties to the proceedings
filed under Article II of the |
Juvenile Court Act of 1987 are entitled to receive
copies of |
previously unfounded reports regarding the same child, a |
sibling of the
child, or the same perpetrator for purposes of |
hearings under Sections 2-10 and 2-21 of the Juvenile Court Act |
of 1987, and attorneys and guardians ad litem appointed under
|
Article II of the Juvenile Court Act of 1987 shall receive the
|
reports set forth in Section 7.14 of this Act in conformance |
with paragraph
(19) of Section 11.1 and Section 7.14 of this |
Act. The names and other
identifying data and the dates and the |
|
circumstances of any persons
requesting or receiving |
information from the central register shall be
entered in the |
register record.
|
(Source: P.A. 98-807, eff. 8-1-14; 99-78, eff. 7-20-15; 99-349, |
eff. 1-1-16.)
|
(Text of Section after amendment by P.A. 99-350 )
|
Sec. 7.8.
Upon receiving an oral or written report of |
suspected
child abuse or neglect, the Department shall |
immediately notify, either
orally or electronically, the Child |
Protective Service Unit of a previous
report concerning a |
subject of the present report or other pertinent
information. |
In addition, upon satisfactory identification procedures, to
|
be established by Department regulation, any person authorized |
to have
access to records under Section 11.1 relating to child |
abuse and neglect
may request and shall be immediately provided |
the information requested in
accordance with this Act. However, |
no information shall be released unless
it prominently states |
the report is "indicated", and only information from
|
"indicated" reports shall be released, except that information |
concerning
pending reports may be released pursuant to Sections |
7.14 and 7.22 of this Act to the attorney or guardian ad litem |
appointed under Section 2-17 of the Juvenile Court Act of 1987 |
and to any person authorized under
paragraphs (1), (2), (3) and |
(11) of Section 11.1. In addition, State's
Attorneys are |
authorized to receive unfounded reports (i) for prosecution
|
|
purposes related to the transmission of false reports of child |
abuse or
neglect in violation of subsection (a), paragraph (7) |
of Section 26-1
of the Criminal Code of 2012 or (ii) for the |
purposes of screening and prosecuting a petition filed under |
Article II of the Juvenile Court Act of 1987 alleging a |
subsequent allegation of abuse or neglect relating to the same |
child, a sibling of the child, or the same perpetrator; the |
parties to the proceedings
filed under Article II of the |
Juvenile Court Act of 1987 are entitled to receive
copies of |
previously unfounded reports regarding the same child, a |
sibling of the
child, or the same perpetrator for purposes of |
hearings under Sections 2-10 and 2-21 of the Juvenile Court Act |
of 1987, and attorneys and guardians ad litem appointed under
|
Article II of the Juvenile Court Act of 1987 shall receive the
|
reports set forth in Section 7.14 of this Act in conformance |
with paragraph
(19) of Section 11.1 and Section 7.14 of this |
Act. The Department is authorized and required to release |
information from unfounded reports, upon request by a person |
who has access to the unfounded report as provided in this Act, |
as necessary in its determination to protect children and adult |
residents who are in child care facilities licensed by the |
Department under the Child Care Act of 1969. The names and |
other
identifying data and the dates and the circumstances of |
any persons
requesting or receiving information from the |
central register shall be
entered in the register record.
|
(Source: P.A. 98-807, eff. 8-1-14; 99-78, eff. 7-20-15; 99-349, |
|
eff. 1-1-16; 99-350, eff. 6-1-16; revised 10-27-15.)
|
Section 415. The Mental Health and Developmental |
Disabilities Code is amended by changing Section 6-103.2 as |
follows:
|
(405 ILCS 5/6-103.2) |
Sec. 6-103.2. Developmental disability; notice. If a |
person 14 years old or older is determined to be a person with |
a developmental disability by a physician, clinical |
psychologist, or qualified examiner, the physician, clinical |
psychologist, or qualified examiner shall notify the |
Department of Human Services within 7 days of making the |
determination that the person has a developmental disability. |
The Department of Human Services shall immediately update its |
records and information relating to mental health and |
developmental disabilities, and if appropriate, shall notify |
the Department of State Police in a form and manner prescribed |
by the Department of State Police. Information disclosed under |
this Section shall remain privileged and confidential, and |
shall not be redisclosed, except as required under subsection |
(e) of Section 3.1 of the Firearm Owners Identification Card |
Act, nor used for any other purpose. The method of providing |
this information shall guarantee that the information is not |
released beyond that which is necessary for the purpose of this |
Section and shall be provided by rule by the Department of |
|
Human Services. The identity of the person reporting under this |
Section shall not be disclosed to the subject of the report. |
The physician, clinical psychologist, or qualified |
examiner making the determination and his or her employer may |
not be held criminally, civilly, or professionally liable for |
making or not making the notification required under this |
Section, except for willful or wanton misconduct.
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For purposes of this Section, "developmental disability" |
"developmentally disabled" means a disability which is |
attributable to any other condition which results in impairment |
similar to that caused by an intellectual disability and which |
requires services similar to those required by intellectually |
disabled persons. The disability must originate before the age |
of 18 years, be expected to continue indefinitely, and |
constitute a substantial disability. This disability results , |
in the professional opinion of a physician, clinical |
psychologist, or qualified examiner, in significant functional |
limitations in 3 or more of the following areas of major life |
activity: |
(i) self-care; |
(ii) receptive and expressive language; |
(iii) learning; |
(iv) mobility; or |
(v) self-direction. |
"Determined to be a person with a developmental disability |
developmentally disabled by a physician, clinical |
|
psychologist, or qualified examiner" means in the professional |
opinion of the physician, clinical psychologist, or qualified |
examiner, a person is diagnosed, assessed, or evaluated as |
having a developmental disability to be developmentally |
disabled . |
(Source: P.A. 98-63, eff. 7-9-13; 99-29, eff. 7-10-15; 99-143, |
eff. 7-27-15; revised 11-13-15.)
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Section 420. The Community Services Act is amended by |
changing the title of the Act as follows:
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(405 ILCS 30/Act title)
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An Act to facilitate the establishment of community |
services for persons
who are mentally ill, , alcohol dependent, |
or addicted or who are persons with developmental disabilities.
|
Section 425. The Developmental Disability and Mental |
Disability Services Act is amended by changing Sections 2-3 and |
5-1 as follows:
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(405 ILCS 80/2-3) (from Ch. 91 1/2, par. 1802-3)
|
Sec. 2-3. As used in this Article, unless the context |
requires otherwise:
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(a) "Agency" means an agency or entity licensed by the |
Department
pursuant to this Article or pursuant to the |
Community Residential
Alternatives Licensing Act.
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(b) "Department" means the Department of Human Services, as |
successor to
the Department of Mental Health and Developmental |
Disabilities.
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(c) "Home-based services" means services provided to an |
adult with a mental disability who lives in his or her own |
home. These services include but are
not limited to:
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(1) home health services;
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(2) case management;
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(3) crisis management;
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(4) training and assistance in self-care;
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(5) personal care services;
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(6) habilitation and rehabilitation services;
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(7) employment-related services;
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(8) respite care; and
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(9) other skill training that enables a person to |
become self-supporting.
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(d) "Legal guardian" means a person appointed by a court of |
competent
jurisdiction to exercise certain powers on behalf of |
an adult with a mental disability.
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(e) "Adult with a mental disability" means a person over |
the age of 18 years
who lives in his or her own home; who needs |
home-based services,
but does not require 24-hour-a-day |
supervision; and who has one of the
following conditions: |
severe autism, severe mental illness, a severe or
profound |
intellectual disability, or severe and multiple impairments.
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(f) In one's "own home" means that an adult with a mental |
|
disability lives
alone; or that an adult with a mental |
disability is in full-time residence with his
or her parents, |
legal guardian, or other relatives; or that an adult with a |
mental disability is in full-time residence in a setting not |
subject to
licensure under the Nursing Home Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the ID/DD |
Community Care Act, the MC/DD Act, or the Child Care Act of |
1969, as now or hereafter amended, with 3 or fewer other adults |
unrelated to the
adult with a mental disability who do not |
provide home-based services to the
adult with a mental |
disability.
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(g) "Parent" means the biological or adoptive parent
of an |
adult with a mental disability, or a person licensed as a
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foster parent under the laws of this State who acts as a foster |
parent to an adult with a mental disability.
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(h) "Relative" means any of the following relationships
by |
blood, marriage or adoption: parent, son, daughter, brother, |
sister,
grandparent, uncle, aunt, nephew, niece, great |
grandparent, great uncle,
great aunt, stepbrother, stepsister, |
stepson, stepdaughter, stepparent or
first cousin.
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(i) "Severe autism" means a lifelong developmental |
disability which is
typically manifested before 30 months of |
age and is characterized by
severe disturbances in reciprocal |
social interactions; verbal and
nonverbal communication and |
imaginative activity; and repertoire of
activities and |
interests. A person shall be determined severely
autistic, for |
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purposes of this Article, if both of the following are present:
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(1) Diagnosis consistent with the criteria for |
autistic disorder in
the current edition of the Diagnostic |
and Statistical Manual of Mental
Disorders.
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(2) Severe disturbances in reciprocal social |
interactions; verbal and
nonverbal communication and |
imaginative activity; repertoire of activities
and |
interests. A determination of severe autism shall be based |
upon a
comprehensive, documented assessment with an |
evaluation by a licensed
clinical psychologist or |
psychiatrist. A determination of severe autism
shall not be |
based solely on behaviors relating to environmental, |
cultural
or economic differences.
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(j) "Severe mental illness" means the manifestation of all |
of the
following characteristics:
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(1) A primary diagnosis of one of the major mental |
disorders
in the current edition of the Diagnostic and |
Statistical Manual of Mental
Disorders listed below:
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(A) Schizophrenia disorder.
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(B) Delusional disorder.
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(C) Schizo-affective disorder.
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(D) Bipolar affective disorder.
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(E) Atypical psychosis.
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(F) Major depression, recurrent.
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(2) The individual's mental illness must substantially |
impair his
or her functioning in at least 2 of the |
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following areas:
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(A) Self-maintenance.
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(B) Social functioning.
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(C) Activities of community living.
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(D) Work skills.
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(3) Disability must be present or expected to be |
present for at least
one year.
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A determination of severe mental illness shall be based |
upon a
comprehensive, documented assessment with an evaluation |
by a licensed
clinical psychologist or psychiatrist, and shall |
not be based solely on
behaviors relating to environmental, |
cultural or economic differences.
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(k) "Severe or profound intellectual disability" means a |
manifestation of all
of the following characteristics:
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(1) A diagnosis which meets Classification in Mental |
Retardation or
criteria in the current edition of the |
Diagnostic and Statistical Manual of
Mental Disorders for |
severe or profound mental retardation (an IQ of 40 or
|
below). This must be measured by a standardized instrument |
for general
intellectual functioning.
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(2) A severe or profound level of disturbed adaptive |
behavior. This
must be measured by a standardized adaptive |
behavior scale or informal
appraisal by the professional in |
keeping with illustrations in
Classification in Mental |
Retardation, 1983.
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(3) Disability diagnosed before age of 18.
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A determination of a severe or profound intellectual |
disability shall be based
upon a comprehensive, documented |
assessment with an evaluation by a
licensed clinical |
psychologist or certified school psychologist or a
|
psychiatrist, and shall not be based solely on behaviors |
relating to
environmental, cultural or economic differences.
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(l) "Severe and multiple impairments" means the |
manifestation of all of
the following characteristics:
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(1) The evaluation determines the presence of a |
developmental
disability which is expected to continue |
indefinitely, constitutes a
substantial disability and is |
attributable to any of the following:
|
(A) Intellectual disability, which is defined as |
general intellectual
functioning that is 2 or more |
standard deviations below the mean
concurrent with |
impairment of adaptive behavior which is 2 or more |
standard
deviations below the mean. Assessment of the |
individual's intellectual
functioning must be measured |
by a standardized instrument for general
intellectual |
functioning.
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(B) Cerebral palsy.
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(C) Epilepsy.
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(D) Autism.
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(E) Any other condition which results in |
impairment similar to that
caused by an intellectual |
disability and which requires services similar to |
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those
required by persons with intellectual |
disabilities.
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(2) The evaluation determines multiple disabilities in |
physical, sensory,
behavioral or cognitive functioning |
which constitute a severe or profound
impairment |
attributable to one or more of the following:
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(A) Physical functioning, which severely impairs |
the individual's motor
performance that may be due to:
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(i) Neurological, psychological or physical |
involvement resulting in a
variety of disabling |
conditions such as hemiplegia, quadriplegia or |
ataxia,
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(ii) Severe organ systems involvement such as |
congenital heart defect,
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(iii) Physical abnormalities resulting in the |
individual being
non-mobile and non-ambulatory or |
confined to bed and receiving assistance
in |
transferring, or
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(iv) The need for regular medical or nursing |
supervision such as
gastrostomy care and feeding.
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Assessment of physical functioning must be based |
on clinical medical
assessment by a physician licensed |
to practice medicine in all its branches,
using the |
appropriate instruments, techniques and standards of |
measurement
required by the professional.
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(B) Sensory, which involves severe restriction due |
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to hearing or
visual impairment limiting the |
individual's movement and creating
dependence in |
completing most daily activities. Hearing impairment |
is
defined as a loss of 70 decibels aided or speech |
discrimination of less
than 50% aided. Visual |
impairment is defined as 20/200 corrected in the
better |
eye or a visual field of 20 degrees or less.
Sensory |
functioning must be based on clinical medical |
assessment by a
physician licensed to practice |
medicine in all its branches using the
appropriate |
instruments, techniques and standards of measurement |
required
by the professional.
|
(C) Behavioral, which involves behavior that is |
maladaptive and presents
a danger to self or others, is |
destructive to property by deliberately
breaking, |
destroying or defacing objects, is disruptive by |
fighting, or has
other socially offensive behaviors in |
sufficient frequency or severity to
seriously limit |
social integration. Assessment of behavioral |
functioning
may be measured by a standardized scale or |
informal appraisal by a clinical
psychologist or |
psychiatrist.
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(D) Cognitive, which involves intellectual |
functioning at a measured IQ
of 70 or below. Assessment |
of cognitive functioning must be measured by a
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standardized instrument for general intelligence.
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(3) The evaluation determines that development is |
substantially less
than expected for the age in cognitive, |
affective or psychomotor behavior
as follows:
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(A) Cognitive, which involves intellectual |
functioning at a measured IQ
of 70 or below. Assessment |
of cognitive functioning must be measured by a
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standardized instrument for general intelligence.
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(B) Affective behavior, which involves over and |
under responding to
stimuli in the environment and may |
be observed in mood, attention to
awareness, or in |
behaviors such as euphoria, anger or sadness that
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seriously limit integration into society. Affective |
behavior must be based
on clinical assessment using the |
appropriate instruments, techniques and
standards of |
measurement required by the professional.
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(C) Psychomotor, which includes a severe |
developmental delay in fine or
gross motor skills so |
that development in self-care, social interaction,
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communication or physical activity will be greatly |
delayed or restricted.
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(4) A determination that the disability originated |
before the age of
18 years.
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A determination of severe and multiple impairments shall be |
based upon a
comprehensive, documented assessment with an |
evaluation by a licensed
clinical psychologist or |
psychiatrist.
|
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If the examiner is a licensed clinical psychologist, |
ancillary evaluation
of physical impairment, cerebral palsy or |
epilepsy must be made by a
physician licensed to practice |
medicine in all its branches.
|
Regardless of the discipline of the examiner, ancillary |
evaluation of
visual impairment must be made by an |
ophthalmologist or a licensed optometrist.
|
Regardless of the discipline of the examiner, ancillary |
evaluation of
hearing impairment must be made by an |
otolaryngologist or an audiologist
with a certificate of |
clinical competency.
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The only exception to the above is in the case of a person |
with cerebral
palsy or epilepsy who, according to the |
eligibility criteria listed below,
has multiple impairments |
which are only physical and sensory. In such a
case, a |
physician licensed to practice medicine in all its branches may
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serve as the examiner.
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(m) "Twenty-four-hour-a-day supervision" means |
24-hour-a-day care by a
trained mental health or developmental |
disability professional on an ongoing
basis.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-15-15.)
|
(405 ILCS 80/5-1) (from Ch. 91 1/2, par. 1805-1)
|
Sec. 5-1.
As the mental health and developmental |
disabilities or
intellectual disabilities authority for the |
|
State of Illinois, the Department
of Human Services shall
have |
the authority to license, certify and prescribe standards
|
governing the programs and services provided under this Act, as |
well as all
other agencies or programs which provide home-based |
or community-based
services to persons with mental |
disabilities, except those services, programs or
agencies |
established under or otherwise subject to the Child Care Act of
|
1969, the Specialized Mental Health Rehabilitation Act of 2013, |
the ID/DD Community Care Act, or the MC/DD Act, as now or |
hereafter amended, and this
Act shall not be construed to limit |
the application of those Acts.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15; |
99-180, eff. 7-29-15; revised 10-15-15.)
|
Section 430. The Sexual Assault Survivors Emergency |
Treatment Act is amended by changing Section 5 as follows:
|
(410 ILCS 70/5) (from Ch. 111 1/2, par. 87-5)
|
Sec. 5. Minimum requirements for hospitals providing |
hospital emergency services and forensic services
to sexual |
assault survivors.
|
(a) Every hospital providing hospital emergency services |
and forensic services to
sexual assault survivors under this |
Act
shall, as minimum requirements for such services, provide, |
with the consent
of the sexual assault survivor, and as ordered |
by the attending
physician, an advanced practice nurse, or a |
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physician assistant, the following:
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(1) appropriate medical examinations and laboratory
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tests required to ensure the health, safety, and welfare
of |
a sexual assault survivor or which may be
used as evidence |
in a criminal proceeding against a person accused of the
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sexual assault, or both; and records of the results of such |
examinations
and tests shall be maintained by the hospital |
and made available to law
enforcement officials upon the |
request of the sexual assault survivor;
|
(2) appropriate oral and written information |
concerning the possibility
of infection, sexually |
transmitted disease and pregnancy
resulting from sexual |
assault;
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(3) appropriate oral and written information |
concerning accepted medical
procedures, medication, and |
possible contraindications of such medication
available |
for the prevention or treatment of infection or disease |
resulting
from sexual assault;
|
(4) an amount of medication for treatment at the |
hospital and after discharge as is deemed appropriate by |
the attending physician, an advanced practice nurse, or a |
physician assistant and consistent with the hospital's |
current approved protocol for sexual assault survivors;
|
(5) an evaluation of the sexual assault survivor's risk |
of contracting human immunodeficiency virus (HIV) from the |
sexual assault;
|
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(6) written and oral instructions indicating the need |
for follow-up examinations and laboratory tests after the |
sexual assault to determine the presence or absence of
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sexually transmitted disease;
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(7) referral by hospital personnel for appropriate |
counseling; and
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(8) when HIV prophylaxis is deemed appropriate, an |
initial dose or doses of HIV prophylaxis, along with |
written and oral instructions indicating the importance of
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timely follow-up healthcare.
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(b) Any person who is a sexual assault survivor who seeks |
emergency hospital services and forensic services or follow-up |
healthcare
under this Act shall be provided such services |
without the consent
of any parent, guardian, custodian, |
surrogate, or agent.
|
(b-5) Every treating hospital providing hospital emergency |
and forensic services to sexual assault survivors shall issue a |
voucher to any sexual assault survivor who is eligible to |
receive one. The hospital shall make a copy of the voucher and |
place it in the medical record of the sexual assault survivor. |
The hospital shall provide a copy of the voucher to the sexual |
assault survivor after discharge upon request. |
(c) Nothing in this Section creates a physician-patient |
relationship that extends beyond discharge from the hospital |
emergency department.
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(Source: P.A. 99-173, eff. 7-29-15; 99-454, eff. 1-1-16; |
|
revised 10-16-15.)
|
Section 435. The Compassionate Use of Medical Cannabis |
Pilot Program Act is amended by changing Section 45 as follows:
|
(410 ILCS 130/45) |
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 45. Addition of debilitating medical conditions.
Any |
citizen may petition the Department of Public Health to add |
debilitating conditions or treatments to the list of |
debilitating medical conditions listed in subsection (h) of |
Section 10. The Department of Public Health shall consider |
petitions in the manner required by Department rule, including |
public notice and hearing. The Department shall approve or deny |
a petition within 180 days of its submission, and, upon |
approval, shall proceed to add that condition by rule in |
accordance with the Illinois Administrative Procedure Act. The |
approval or denial of any petition is a final decision of the |
Department, subject to judicial review. Jurisdiction and venue |
are vested in the Circuit Court.
|
(Source: P.A. 98-122, eff. 1-1-14; revised 10-21-15.)
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Section 440. The AIDS Confidentiality Act is amended by |
changing Section 3 as follows:
|
(410 ILCS 305/3) (from Ch. 111 1/2, par. 7303)
|
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Sec. 3. Definitions. When used in this Act:
|
(a) "AIDS" means acquired immunodeficiency syndrome. |
(b) "Authority" means the Illinois Health Information |
Exchange Authority established pursuant to the Illinois Health |
Information Exchange and Technology Act. |
(c) "Business associate" has the meaning ascribed to it |
under HIPAA, as specified in 45 CFR 160.103. |
(d) "Covered entity" has the meaning ascribed to it under |
HIPAA, as specified in 45 CFR 160.103. |
(e) "De-identified information" means health information |
that is not individually identifiable as described under HIPAA, |
as specified in 45 CFR 164.514(b). |
(f) "Department" means the Illinois Department of Public |
Health or its designated agents.
|
(g) "Disclosure" has the meaning ascribed to it under |
HIPAA, as specified in 45 CFR 160.103. |
(h) "Health care operations" has the meaning ascribed to it |
under HIPAA, as specified in 45 CFR 164.501. |
(i) "Health care professional" means (i) a licensed |
physician, (ii) a licensed
physician assistant, (iii) a |
licensed advanced practice nurse, (iv) an advanced practice |
nurse or physician assistant who practices in a hospital or |
ambulatory surgical treatment center and possesses appropriate |
clinical privileges, (v) a licensed dentist, (vi) a licensed |
podiatric physician, or (vii) an
individual certified to |
provide HIV testing and counseling by a state or local
public |
|
health
department. |
(j) "Health care provider" has the meaning ascribed to it |
under HIPAA, as specified in 45 CFR 160.103.
|
(k) "Health facility" means a hospital, nursing home, blood |
bank, blood
center, sperm bank, or other health care |
institution, including any "health
facility" as that term is |
defined in the Illinois Finance Authority
Act.
|
(l) "Health information exchange" or "HIE" means a health |
information exchange or health information organization that |
oversees and governs the electronic exchange of health |
information that (i) is established pursuant to the Illinois |
Health Information Exchange and Technology Act, or any |
subsequent amendments thereto, and any administrative rules |
adopted thereunder; (ii) has established a data sharing |
arrangement with the Authority; or (iii) as of August 16, 2013, |
was designated by the Authority Board as a member of, or was |
represented on, the Authority Board's Regional Health |
Information Exchange Workgroup; provided that such designation
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shall not require the establishment of a data sharing |
arrangement or other participation with the Illinois Health
|
Information Exchange or the payment of any fee. In certain |
circumstances, in accordance with HIPAA, an HIE will be a |
business associate. |
(m) "Health oversight agency" has the meaning ascribed to |
it under HIPAA, as specified in 45 CFR 164.501. |
(n) "HIPAA" means the Health Insurance Portability and |
|
Accountability Act of 1996, Public Law 104-191, as amended by |
the Health Information Technology for Economic and Clinical |
Health Act of 2009, Public Law 111-05, and any subsequent |
amendments thereto and any regulations promulgated thereunder. |
(o) "HIV" means the human immunodeficiency virus. |
(p) "HIV-related information" means the identity of a |
person upon whom an HIV test is performed, the results of an |
HIV test, as well as diagnosis, treatment, and prescription |
information that reveals a patient is HIV-positive, including |
such information contained in a limited data set. "HIV-related |
information" does not include information that has been |
de-identified in accordance with HIPAA. |
(q) "Informed consent" means: |
(1) where a health care provider, health care |
professional, or health facility has implemented opt-in |
testing, a process by which an individual or their legal |
representative receives pre-test information, has an |
opportunity to ask questions, and consents verbally or in |
writing to the test without undue inducement or any element |
of force, fraud, deceit, duress, or other form of |
constraint or coercion; or |
(2) where a health care provider, health care |
professional, or health facility has implemented opt-out |
testing, the individual or their legal representative has |
been notified verbally or in writing that the test is |
planned, has received pre-test information, has been given |
|
the opportunity to ask questions and the opportunity to |
decline testing, and has not declined testing; where such |
notice is provided, consent for opt-out HIV testing may be |
incorporated into the patient's general consent for |
medical care on the same basis as are other screening or |
diagnostic tests; a separate consent for opt-out HIV |
testing is not required. |
In addition, where the person providing informed consent is |
a participant in an HIE, informed consent requires a fair |
explanation that the results of the patient's HIV test will be |
accessible through an HIE and meaningful disclosure of the |
patient's opt-out right under Section 9.6 of this Act. |
A health care provider, health care professional, or health |
facility undertaking an informed consent process for HIV |
testing under this subsection may combine a form used to obtain |
informed consent for HIV testing with forms used to obtain |
written consent for general medical care or any other medical |
test or procedure, provided that the forms make it clear that |
the subject may consent to general medical care, tests, or |
procedures without being required to consent to HIV testing, |
and clearly explain how the subject may decline HIV testing. |
Health facility clerical staff or other staff responsible for |
the consent form for general medical care may obtain consent |
for HIV testing through a general consent form. |
(r) "Limited data set" has the meaning ascribed to it under |
HIPAA, as described in 45 CFR 164.514(e)(2). |
|
(s) "Minimum necessary" means the HIPAA standard for using, |
disclosing, and requesting protected health information found |
in 45 CFR 164.502(b) and 164.514(d). |
(s-1) "Opt-in testing" means an approach where an HIV test |
is presented by offering the test and the patient accepts or |
declines testing. |
(s-3) "Opt-out testing" means an approach where an HIV test |
is presented such that a patient is notified that HIV testing |
may occur unless the patient declines. |
(t) "Organized health care arrangement" has the meaning |
ascribed to it under HIPAA, as specified in 45 CFR 160.103. |
(u) "Patient safety activities" has the meaning ascribed to |
it under 42 CFR 3.20. |
(v) "Payment" has the meaning ascribed to it under HIPAA, |
as specified in 45 CFR 164.501. |
(w) "Person" includes any natural person, partnership, |
association, joint venture, trust, governmental entity, public |
or private corporation, health facility, or other legal entity. |
(w-5) "Pre-test information" means: |
(1) a reasonable explanation of the test, including its |
purpose, potential uses, limitations, and the meaning of |
its results; and |
(2) a reasonable explanation of the procedures to be |
followed, including the voluntary nature of the test, the |
availability of a qualified person to answer questions, the |
right to withdraw consent to the testing process at any |
|
time, the right to anonymity to the extent provided by law |
with respect to participation in the test and disclosure of |
test results, and the right to confidential treatment of |
information identifying the subject of the test and the |
results of the test, to the extent provided by law. |
Pre-test information may be provided in writing, verbally, |
or by video, electronic, or other means and may be provided as |
designated by the supervising health care professional or the |
health facility. |
For the purposes of this definition, a qualified person to |
answer questions is a health care professional or, when acting |
under the supervision of a health care professional, a |
registered nurse, medical assistant, or other person |
determined to be sufficiently knowledgeable about HIV testing, |
its purpose, potential uses, limitations, the meaning of the |
test results, and the testing procedures in the professional |
judgment of a supervising health care professional or as |
designated by a health care facility. |
(x) "Protected health information" has the meaning |
ascribed to it under HIPAA, as specified in 45 CFR 160.103. |
(y) "Research" has the meaning ascribed to it under HIPAA, |
as specified in 45 CFR 164.501. |
(z) "State agency" means an instrumentality of the State of |
Illinois and any instrumentality of another state that, |
pursuant to applicable law or a written undertaking with an |
instrumentality of the State of Illinois, is bound to protect |
|
the privacy of HIV-related information of Illinois persons.
|
(aa) "Test" or "HIV test" means a test to determine the |
presence of the
antibody or antigen to HIV, or of HIV |
infection.
|
(bb) "Treatment" has the meaning ascribed to it under |
HIPAA, as specified in 45 CFR 164.501. |
(cc) "Use" has the meaning ascribed to it under HIPAA, as |
specified in 45 CFR 160.103, where context dictates.
|
(Source: P.A. 98-214, eff. 8-9-13; 98-1046, eff. 1-1-15; 99-54, |
eff. 1-1-16; 99-173, eff. 7-29-15; revised 10-16-15.)
|
Section 445. The Illinois Sexually Transmissible Disease |
Control Act is amended by changing Section 5.5 as follows:
|
(410 ILCS 325/5.5) (from Ch. 111 1/2, par. 7405.5)
|
Sec. 5.5. Risk assessment.
|
(a) Whenever the Department receives a report of HIV |
infection or AIDS
pursuant to this Act and the Department |
determines that the subject of the
report may present or may |
have presented a possible risk of HIV
transmission, the |
Department shall, when medically appropriate, investigate
the |
subject of the report and that person's contacts as defined in
|
subsection (c), to assess the potential risks of transmission. |
Any
investigation and action shall be conducted in a timely |
fashion. All
contacts other than those defined in subsection |
(c) shall be investigated
in accordance with Section 5 of this |
|
Act.
|
(b) If the Department determines that there is or may have |
been
potential risks of HIV transmission from the subject of |
the report to other
persons, the Department shall afford the |
subject the opportunity to submit
any information and comment |
on proposed actions the Department intends to
take with respect |
to the subject's contacts who are at potential risk of
|
transmission of HIV prior to notification of the subject's |
contacts. The
Department shall also afford the subject of the |
report the opportunity to
notify the subject's contacts in a |
timely fashion who are at potential risk
of transmission of HIV |
prior to the Department taking any steps to notify
such |
contacts. If the subject declines to notify such contacts or if |
the
Department determines the notices to be inadequate or |
incomplete, the
Department shall endeavor to notify such other |
persons of the potential
risk, and offer testing and counseling |
services to these individuals. When
the contacts are notified, |
they shall be informed of the disclosure
provisions of the AIDS |
Confidentiality Act and the penalties therein and
this Section.
|
(c) Contacts investigated under this Section shall in the |
case of HIV
infection include (i) individuals who have |
undergone invasive procedures
performed by an HIV infected |
health care provider and (ii)
health care providers who have |
performed invasive procedures for persons
infected with HIV, |
provided the Department has determined that there is or
may |
have been potential risk of HIV transmission from the health |
|
care
provider to those individuals or from infected persons to |
health care
providers. The Department shall have access to the |
subject's records to
review for the identity of contacts. The |
subject's records shall not be
copied or seized by the |
Department.
|
For purposes of this subsection, the term "invasive |
procedures" means
those procedures termed invasive by the |
Centers for Disease Control in
current guidelines or |
recommendations for the prevention of HIV
transmission in |
health care settings, and the term "health care provider"
means |
any physician, dentist, podiatric physician, advanced practice |
nurse, physician assistant, nurse, or other person providing
|
health care services of any kind.
|
(d) All information and records held by the Department and |
local health
authorities pertaining to activities conducted |
pursuant to this Section
shall be strictly confidential and |
exempt from copying and inspection under
the Freedom of |
Information Act. Such information and records shall not be
|
released or made public by the Department or local health |
authorities, and
shall not be admissible as evidence, nor |
discoverable in any action of any
kind in any court or before |
any tribunal, board, agency or person and shall
be treated in |
the same manner as the information and those records subject
to |
the provisions of Part 21 of Article VIII of the Code of Civil |
Procedure except under
the following circumstances:
|
(1) When made with the written consent of all persons |
|
to whom this
information pertains;
|
(2) When authorized under Section 8 to be released |
under court order
or subpoena pursuant to Section 12-5.01 |
or 12-16.2 of the Criminal Code of 1961 or the Criminal |
Code of 2012; or
|
(3) When made by the Department for the purpose of |
seeking a warrant
authorized by Sections 6 and 7 of this |
Act. Such disclosure shall conform
to the requirements of |
subsection (a) of Section 8 of this Act.
|
(e) Any person who knowingly or maliciously disseminates |
any
information or report concerning the existence of any |
disease under this
Section is guilty of a Class A misdemeanor.
|
(Source: P.A. 97-1150, eff. 1-25-13; 98-214, eff. 8-9-13; |
98-756, eff. 7-16-14; revised 10-15-15.)
|
Section 450. The Food Handling Regulation Enforcement Act |
is amended by changing Section 3.3 as follows:
|
(410 ILCS 625/3.3) |
Sec. 3.3. Farmers' markets. |
(a) The General Assembly finds as follows: |
(1) Farmers' markets, as defined in subsection (b) of |
this Section, provide not only a valuable marketplace for |
farmers and food artisans to sell their products directly |
to consumers, but also a place for consumers to access |
fresh fruits, vegetables, and other agricultural products. |
|
(2) Farmers' markets serve as a stimulator for local |
economies and for thousands of new businesses every year, |
allowing farmers to sell directly to consumers and capture |
the full retail value of their products. They have become |
important community institutions and have figured in the |
revitalization of downtown districts and rural |
communities. |
(3) Since 1999, the number of farmers' markets has |
tripled and new ones are being established every year. |
There is a lack of consistent regulation from one county to |
the next, resulting in confusion and discrepancies between |
counties regarding how products may be sold. |
(4) In 1999, the Department of Public Health published |
Technical Information Bulletin/Food #30 in order to |
outline the food handling and sanitation guidelines |
required for farmers' markets, producer markets, and other |
outdoor food sales events. |
(5) While this bulletin was revised in 2010, there |
continues to be inconsistencies, confusion, and lack of |
awareness by consumers, farmers, markets, and local health |
authorities of required guidelines affecting farmers' |
markets from county to county. |
(b) For the purposes of this Section: |
"Department" means the Department of Public Health. |
"Director" means the Director of Public Health. |
"Farmers' market" means a common facility or area where the |
|
primary purpose is for farmers to gather to sell a variety of |
fresh fruits and vegetables and other locally produced farm and |
food products directly to consumers. |
(c) In order to facilitate the orderly and uniform |
statewide implementation of the standards established in the |
Department of Public Health's administrative rules for this |
Section, the Farmers' Market Task Force shall be formed by the |
Director to assist the Department in implementing statewide |
administrative regulations for farmers' markets. |
(d)
This Section does not intend and shall not be construed |
to limit the power of counties, municipalities, and other local |
government units to regulate farmers' markets for the |
protection of the public health, safety, morals, and welfare, |
including, but not limited to, licensing requirements and time, |
place, and manner restrictions. This Section provides for a |
statewide scheme for the orderly and consistent interpretation |
of the Department of Public Health administrative rules |
pertaining to the safety of food and food products sold at |
farmers' markets. |
(e) The Farmers' Market Task Force shall consist of at |
least 24 members appointed within
60 days after August 16, 2011 |
( the effective date of this Section ) . Task Force members shall |
consist of: |
(1) one person appointed by the President of the |
Senate; |
(2) one person appointed by the Minority Leader of the |
|
Senate; |
(3) one person appointed by the Speaker of the House of |
Representatives; |
(4) one person appointed by the Minority Leader of the |
House of Representatives; |
(5) the Director of Public Health or his or her |
designee; |
(6) the Director of Agriculture or his or her designee; |
(7) a representative of a general agricultural |
production association appointed by the Department of |
Agriculture; |
(8) three representatives of local county public |
health departments appointed by the Director and selected |
from 3 different counties representing each of the |
northern, central, and southern portions of this State; |
(9) four members of the general public who are engaged |
in local farmers' markets appointed by the Director of |
Agriculture; |
(10) a representative of an association representing |
public health administrators appointed by the Director; |
(11) a representative of an organization of public |
health departments that serve the City of Chicago and the |
counties of Cook, DuPage, Kane, Kendall, Lake, McHenry, |
Will, and Winnebago appointed by the Director; |
(12) a representative of a general public health |
association appointed by the Director; |
|
(13) the Director of Commerce and Economic Opportunity |
or his or her designee; |
(14) the Lieutenant Governor or his or her designee; |
and |
(15) five farmers who sell their farm products at |
farmers' markets appointed by the Lieutenant Governor or |
his or her designee. |
Task Force members' terms shall be for a period of 2 years, |
with ongoing appointments made according to the provisions of |
this Section. |
(f) The Task Force shall be convened by the Director or his |
or her designee. Members shall elect a Task Force Chair and |
Co-Chair. |
(g) Meetings may be held via conference call, in person, or |
both. Three members of the Task Force may call a meeting as |
long as a 5-working-day notification is sent via mail, e-mail, |
or telephone call to each member of the Task Force. |
(h) Members of the Task Force shall serve without |
compensation. |
(i) The Task Force shall undertake a comprehensive and |
thorough review of the current Statutes and administrative |
rules that define which products and practices are permitted |
and which products and practices are not permitted at farmers' |
markets and to assist the Department in developing statewide |
administrative regulations for farmers' markets. |
(j) The Task Force shall advise the Department regarding |
|
the content of any administrative rules adopted under this |
Section and Sections 3.4, 3.5, and 4 of this Act Section prior |
to adoption of the rules. Any administrative rules, except |
emergency rules adopted pursuant to Section 5-45 of the |
Illinois Administrative Procedure Act, adopted under this |
Section without obtaining the advice of the Task Force are null |
and void. If the Department fails to follow the advice of the |
Task Force, the Department shall, prior to adopting the rules, |
transmit a written explanation to the Task Force. If the Task |
Force, having been asked for its advice, fails to advise the |
Department within 90 days after receiving the rules for review, |
the rules shall be considered to have been approved by the Task |
Force. |
(k) The Department of Public Health shall provide staffing |
support to the Task Force and shall help to prepare, print, and |
distribute all reports deemed necessary by the Task Force. |
(l) The Task Force may request assistance from any entity |
necessary or useful for the performance of its duties. The Task |
Force shall issue a report annually to the Secretary of the |
Senate and the Clerk of the House. |
(m) The following provisions shall apply concerning |
statewide farmers' market food safety guidelines: |
(1) The Director, in accordance with this Section, |
shall adopt administrative rules (as provided by the |
Illinois Administrative Procedure Act) for foods found at |
farmers' markets. |
|
(2) The rules and regulations described in this Section |
shall be consistently enforced by local health authorities |
throughout the State. |
(2.5) Notwithstanding any other provision of law |
except as provided in this Section, local public health |
departments and all other units of local government are |
prohibited from creating sanitation guidelines, rules, or |
regulations for farmers' markets that are more stringent |
than those farmers' market sanitation regulations |
contained in the administrative rules adopted by the |
Department for the purposes of implementing this Section |
and Sections 3.4, 3.5, and 4 of this Act. Except as |
provided for in Sections 3.4 and 4 of this Act, this |
Section does not intend and shall not be construed to limit |
the power of local health departments and other government |
units from requiring licensing and permits for the sale of |
commercial food products, processed food products, |
prepared foods, and potentially hazardous foods at |
farmers' markets or conducting related inspections and |
enforcement activities, so long as those permits and |
licenses do not include unreasonable fees or sanitation |
provisions and rules that are more stringent than those |
laid out in the administrative rules adopted by the |
Department for the purposes of implementing this Section |
and Sections 3.4, 3.5, and 4 of this Act. |
(3) In the case of alleged non-compliance with the |
|
provisions described in this Section, local health |
departments shall issue written notices to vendors and |
market managers of any noncompliance issues. |
(4) Produce and food products coming within the scope |
of the provisions of this Section shall include, but not be |
limited to, raw agricultural products, including fresh |
fruits and vegetables; popcorn, grains, seeds, beans, and |
nuts that are whole, unprocessed, unpackaged, and |
unsprouted; fresh herb springs and dried herbs in bunches; |
baked goods sold at farmers' markets; cut fruits and |
vegetables; milk and cheese products; ice cream; syrups; |
wild and cultivated mushrooms; apple cider and other fruit |
and vegetable juices; herb vinegar; garlic-in-oil; |
flavored oils; pickles, relishes, salsas, and other canned |
or jarred items; shell eggs; meat and poultry; fish; |
ready-to-eat foods; commercially produced prepackaged food |
products; and any additional items specified in the |
administrative rules adopted by the Department to |
implement Section 3.3 of this Act. |
(n) Local health department regulatory guidelines may be |
applied to foods not often found at farmers' markets, all other |
food products not regulated by the Department of Agriculture |
and the Department of Public Health, as well as live animals to |
be sold at farmers' markets. |
(o) The Task Force shall issue annual reports to the |
Secretary of the Senate and the Clerk of the House with |
|
recommendations for the development of administrative rules as |
specified. The first report shall be issued no later than |
December 31, 2012. |
(p) The Department of Public Health and the Department of |
Agriculture, in conjunction with the Task Force, shall adopt |
administrative rules necessary to implement, interpret, and |
make specific the provisions of this Section, including, but |
not limited to, rules concerning labels, sanitation, and food |
product safety according to the realms of their jurisdiction in |
accordance with subsection (j) of this Section.
|
(q) The Department and the Task Force shall work together |
to create a food sampling training and license program as |
specified in Section 3.4 of this Act. |
(Source: P.A. 98-660, eff. 6-23-14; 99-9, eff. 7-10-15; 99-191, |
eff. 1-1-16; revised 10-30-15.)
|
Section 455. The Environmental Protection Act is amended by |
changing Sections 3.330, 22.55, and 39 as follows:
|
(415 ILCS 5/3.330) (was 415 ILCS 5/3.32)
|
Sec. 3.330. Pollution control facility.
|
(a) "Pollution control facility" is any waste storage site, |
sanitary
landfill, waste disposal site, waste transfer |
station, waste treatment
facility, or waste incinerator. This |
includes sewers, sewage treatment
plants, and any other |
facilities owned or operated by sanitary districts
organized |
|
under the Metropolitan Water Reclamation District Act.
|
The following are not pollution control facilities:
|
(1) (blank);
|
(2) waste storage sites regulated under 40 CFR, Part |
761.42;
|
(3) sites or facilities used by any person conducting a |
waste storage,
waste treatment, waste disposal, waste |
transfer or waste incineration
operation, or a combination |
thereof, for wastes generated by such person's
own |
activities, when such wastes are stored, treated, disposed |
of,
transferred or incinerated within the site or facility |
owned, controlled or
operated by such person, or when such |
wastes are transported within or
between sites or |
facilities owned, controlled or operated by such person;
|
(4) sites or facilities at which the State is |
performing removal or
remedial action pursuant to Section |
22.2 or 55.3;
|
(5) abandoned quarries used solely for the disposal of |
concrete, earth
materials, gravel, or aggregate debris |
resulting from road construction
activities conducted by a |
unit of government or construction activities due
to the |
construction and installation of underground pipes, lines, |
conduit
or wires off of the premises of a public utility |
company which are
conducted by a public utility;
|
(6) sites or facilities used by any person to |
specifically conduct a
landscape composting operation;
|
|
(7) regional facilities as defined in the Central |
Midwest Interstate
Low-Level Radioactive Waste Compact;
|
(8) the portion of a site or facility where coal |
combustion wastes are
stored or disposed of in accordance |
with subdivision (r)(2) or (r)(3) of
Section 21;
|
(9) the portion of a site or facility used for the |
collection,
storage or processing of waste tires as defined |
in Title XIV;
|
(10) the portion of a site or facility used for |
treatment of
petroleum contaminated materials by |
application onto or incorporation into
the soil surface and |
any portion of that site or facility used for storage
of |
petroleum contaminated materials before treatment. Only |
those categories
of petroleum listed in Section
57.9(a)(3) |
are exempt under this subdivision (10);
|
(11) the portion of a site or facility where used oil |
is collected or
stored prior to shipment to a recycling or |
energy recovery facility, provided
that the used oil is |
generated by households or commercial establishments, and
|
the site or facility is a recycling center or a business |
where oil or gasoline
is sold at retail; |
(11.5) processing sites or facilities that receive |
only on-specification used oil, as defined in 35 Ill. |
Admin. Code 739, originating from used oil collectors for |
processing that is managed under 35 Ill. Admin. Code 739 to |
produce products for sale to off-site petroleum |
|
facilities, if these processing sites or facilities are: |
(i) located within a home rule unit of local government |
with a population of at least 30,000 according to the 2000 |
federal census, that home rule unit of local government has |
been designated as an Urban Round II Empowerment Zone by |
the United States Department of Housing and Urban |
Development, and that home rule unit of local government |
has enacted an ordinance approving the location of the site |
or facility and provided funding for the site or facility; |
and (ii) in compliance with all applicable zoning |
requirements;
|
(12) the portion of a site or facility utilizing coal |
combustion waste
for stabilization and treatment of only |
waste generated on that site or
facility when used in |
connection with response actions pursuant to the federal
|
Comprehensive Environmental Response, Compensation, and |
Liability Act of 1980,
the federal Resource Conservation |
and Recovery Act of 1976, or the Illinois
Environmental |
Protection Act or as authorized by the Agency;
|
(13) the portion of a site or facility that accepts |
exclusively general
construction or demolition debris and |
is operated and located in accordance with Section 22.38 of |
this Act; |
(14) the portion of a site or facility, located within |
a unit of local government that has enacted local zoning |
requirements, used to accept, separate, and process |
|
uncontaminated broken concrete, with or without protruding |
metal bars, provided that the uncontaminated broken |
concrete and metal bars are not speculatively accumulated, |
are at the site or facility no longer than one year after |
their acceptance, and are returned to the economic |
mainstream in the form of raw materials or products;
|
(15) the portion of a site or facility located in a |
county with a population over 3,000,000 that has obtained |
local siting approval under Section 39.2 of this Act for a |
municipal waste incinerator on or before July 1, 2005 and |
that is used for a non-hazardous waste transfer station;
|
(16) a site or facility that temporarily holds in |
transit for 10 days or less, non-putrescible solid waste in |
original containers, no larger in capacity than 500 |
gallons, provided that such waste is further transferred to |
a recycling, disposal, treatment, or storage facility on a |
non-contiguous site and provided such site or facility |
complies with the applicable 10-day transfer requirements |
of the federal Resource Conservation and Recovery Act of |
1976 and United States Department of Transportation |
hazardous material requirements. For purposes of this |
Section only, "non-putrescible solid waste" means waste |
other than municipal garbage that does not rot or become |
putrid, including, but not limited to, paints, solvent, |
filters, and absorbents;
|
(17)
the portion of a site or facility located in a |
|
county with a population greater than 3,000,000 that has |
obtained local siting approval, under Section 39.2 of this |
Act, for a municipal waste incinerator on or before July 1, |
2005 and that is used for wood combustion facilities for |
energy recovery that accept and burn only wood material, as |
included in a fuel specification approved by the Agency;
|
(18)
a transfer station used exclusively for landscape |
waste, including a transfer station where landscape waste |
is ground to reduce its volume, where the landscape waste |
is held no longer than 24 hours from the time it was |
received; |
(19) the portion of a site or facility that (i) is used |
for the composting of food scrap, livestock waste, crop |
residue, uncontaminated wood waste, or paper waste, |
including, but not limited to, corrugated paper or |
cardboard, and (ii) meets all of the following |
requirements: |
(A) There must not be more than a total of 30,000 |
cubic yards of livestock waste in raw form or in the |
process of being composted at the site or facility at |
any one time. |
(B) All food scrap, livestock waste, crop residue, |
uncontaminated wood waste, and paper waste must, by the |
end of each operating day, be processed and placed into |
an enclosed vessel in which air flow and temperature |
are controlled, or all of the following additional |
|
requirements must be met: |
(i) The portion of the site or facility used |
for the composting operation must include a |
setback of at least 200 feet from the nearest |
potable water supply well. |
(ii) The portion of the site or facility used |
for the composting operation must be located |
outside the boundary of the 10-year floodplain or |
floodproofed. |
(iii) Except in municipalities with more than |
1,000,000 inhabitants, the portion of the site or |
facility used for the composting operation must be |
located at least one-eighth of a mile from the |
nearest residence, other than a residence located |
on the same property as the site or facility. |
(iv) The portion of the site or facility used |
for the composting operation must be located at |
least one-eighth of a mile from the property line |
of all of the following areas: |
(I) Facilities that primarily serve to |
house or treat people that are |
immunocompromised or immunosuppressed, such as |
cancer or AIDS patients; people with asthma, |
cystic fibrosis, or bioaerosol allergies; or |
children under the age of one year. |
(II) Primary and secondary schools and |
|
adjacent areas that the schools use for |
recreation. |
(III) Any facility for child care licensed |
under Section 3 of the Child Care Act of 1969; |
preschools; and adjacent areas that the |
facilities or preschools use for recreation. |
(v) By the end of each operating day, all food |
scrap, livestock waste, crop residue, |
uncontaminated wood waste, and paper waste must be |
(i) processed into windrows or other piles and (ii) |
covered in a manner that prevents scavenging by |
birds and animals and that prevents other |
nuisances. |
(C) Food scrap, livestock waste, crop residue, |
uncontaminated wood waste, paper waste, and compost |
must not be placed within 5 feet of the water table. |
(D) The site or facility must meet all of the |
requirements of the Wild and Scenic Rivers Act (16 |
U.S.C. 1271 et seq.). |
(E) The site or facility must not (i) restrict the |
flow of a 100-year flood, (ii) result in washout of |
food scrap, livestock waste, crop residue, |
uncontaminated wood waste, or paper waste from a |
100-year flood, or (iii) reduce the temporary water |
storage capacity of the 100-year floodplain, unless |
measures are undertaken to provide alternative storage |
|
capacity, such as by providing lagoons, holding tanks, |
or drainage around structures at the facility. |
(F) The site or facility must not be located in any |
area where it may pose a threat of harm or destruction |
to the features for which: |
(i) an irreplaceable historic or |
archaeological site has been listed under the |
National Historic Preservation Act (16 U.S.C. 470 |
et seq.) or the Illinois Historic Preservation |
Act; |
(ii) a natural landmark has been designated by |
the National Park Service or the Illinois State |
Historic Preservation Office; or |
(iii) a natural area has been designated as a |
Dedicated Illinois Nature Preserve under the |
Illinois Natural Areas Preservation Act. |
(G) The site or facility must not be located in an |
area where it may jeopardize the continued existence of |
any designated endangered species, result in the |
destruction or adverse modification of the critical |
habitat for such species, or cause or contribute to the |
taking of any endangered or threatened species of |
plant, fish, or wildlife listed under the Endangered |
Species Act (16 U.S.C. 1531 et seq.) or the Illinois |
Endangered Species Protection Act; |
(20) the portion of a site or facility that is located |
|
entirely within a home rule unit having a population of no |
less than 120,000 and no more than 135,000, according to |
the 2000 federal census, and that meets all of the |
following requirements: |
(i) the portion of the site or facility is used |
exclusively to perform testing of a thermochemical |
conversion technology using only woody biomass, |
collected as landscape waste within the boundaries of |
the home rule unit, as the hydrocarbon feedstock for |
the production of synthetic gas in accordance with |
Section 39.9 of this Act; |
(ii) the portion of the site or facility is in |
compliance with all applicable zoning requirements; |
and |
(iii) a complete application for a demonstration |
permit at the portion of the site or facility has been |
submitted to the Agency in accordance with Section 39.9 |
of this Act within one year after July 27, 2010 (the |
effective date of Public Act 96-1314); |
(21) the portion of a site or facility used to perform |
limited testing of a gasification conversion technology in |
accordance with Section 39.8 of this Act and for which a |
complete permit application has been submitted to the |
Agency prior to one year from April 9, 2010 (the effective |
date of Public Act 96-887);
|
(22) the portion of a site or facility that is used to |
|
incinerate only pharmaceuticals from residential sources |
that are collected and transported by law enforcement |
agencies under Section 17.9A of this Act; |
(23) the portion of a site or facility: |
(A) that is used exclusively for the transfer of |
commingled landscape waste and food scrap held at the |
site or facility for no longer than 24 hours after |
their receipt; |
(B) that is located entirely within a home rule |
unit having a population of either (i) not less than |
100,000 and not more than 115,000 according to the 2010 |
federal census or (ii) not less than 5,000 and not more |
than 10,000 according to the 2010 federal census or |
that is located in the unincorporated area of a county |
having a population of not less than 700,000 and not |
more than 705,000 according to the 2010 federal census; |
(C) that is permitted, by the Agency, prior to |
January 1, 2002, for the transfer of landscape waste if |
located in a home rule unit or that is permitted prior |
to January 1, 2008 if located in an unincorporated area |
of a county; and |
(D) for which a permit application is submitted to |
the Agency to modify an existing permit for the |
transfer of landscape waste to also include, on a |
demonstration basis not to exceed 24 months each time a |
permit is issued, the transfer of commingled landscape |
|
waste and food scrap or for which a permit application |
is submitted to the Agency within 6 months after |
January 1, 2016; and |
(24) the portion of a municipal solid waste landfill |
unit: |
(A) that is located in a county having a population |
of not less than 55,000 and not more than 60,000 |
according to the 2010 federal census; |
(B) that is owned by that county; |
(C) that is permitted, by the Agency, prior to July |
10, 2015 ( the effective date of Public Act 99-12) this |
amendatory Act of the 99th General Assembly ; and |
(D) for which a permit application is submitted to |
the Agency within 6 months after July 10, 2015 ( the |
effective date of Public Act 99-12) this amendatory Act |
of the 99th General Assembly for the disposal of |
non-hazardous special waste. |
(b) A new pollution control facility is:
|
(1) a pollution control facility initially permitted |
for development or
construction after July 1, 1981; or
|
(2) the area of expansion beyond the boundary of a |
currently permitted
pollution control facility; or
|
(3) a permitted pollution control facility requesting |
approval to
store, dispose of, transfer or incinerate, for |
the first time, any special
or hazardous waste.
|
(Source: P.A. 98-146, eff. 1-1-14; 98-239, eff. 8-9-13; 98-756, |
|
eff. 7-16-14; 98-1130, eff. 1-1-15; 99-12, eff. 7-10-15; |
99-440, eff. 8-21-15; revised 10-20-15.)
|
(415 ILCS 5/22.55) |
Sec. 22.55. Household Waste Drop-off Points. |
(a) Findings; Purpose and Intent. |
(1) The General Assembly finds that protection of human |
health and the environment can be enhanced if certain |
commonly generated household wastes are managed separately |
from the general household waste stream. |
(2) The purpose of this Section is to provide, to the |
extent allowed under federal law, a method for managing |
certain types of household waste separately from the |
general household waste stream. |
(b) Definitions. For the purposes of this Section: |
"Compostable waste" means household waste that is
|
source-separated food scrap, household waste that is
|
source-separated landscape waste, or a mixture of both. |
"Controlled substance" means a controlled substance as |
defined in the Illinois Controlled Substances Act. |
"Household waste" means waste generated from a single |
residence or multiple residences. |
"Household waste drop-off point" means the portion of a |
site or facility used solely for the receipt and temporary |
storage of household waste. |
"One-day compostable waste collection event" means a
|
|
household waste drop-off point approved by a county or
|
municipality under subsection (d-5) of this Section. |
"One-day household waste collection event" means a |
household waste drop-off point approved by the Agency under |
subsection (d) of this Section. |
"Permanent compostable waste collection point" means a |
household waste drop-off point approved by a county or |
municipality under subsection (d-6) of this Section. |
"Personal care product" means an item other than a |
pharmaceutical product that is consumed or applied by an |
individual for personal health, hygiene, or cosmetic |
reasons. Personal care products include, but are not |
limited to, items used in bathing, dressing, or grooming. |
"Pharmaceutical product" means medicine or a product |
containing medicine. A pharmaceutical product may be sold |
by prescription or over the counter. "Pharmaceutical |
product" does not include medicine that contains a |
radioactive component or a product that contains a |
radioactive component. |
"Recycling coordinator" means the person designated by |
each county waste management plan to administer the county |
recycling program, as set forth in the Solid Waste |
Management Act. |
(c) Except as otherwise provided in Agency rules, the |
following requirements apply to each household waste drop-off |
point, other than a one-day household waste collection event, |
|
one-day compostable waste collection event, or permanent |
compostable waste collection point: |
(1) A household waste drop-off point must not accept |
waste other than the following types of household waste: |
pharmaceutical products, personal care products, batteries |
other than lead-acid batteries, paints, automotive fluids, |
compact fluorescent lightbulbs, mercury thermometers, and |
mercury thermostats. A household waste drop-off point may |
accept controlled substances in accordance with federal |
law. |
(2) Except as provided in subdivision (c)(2) of this |
Section, household waste drop-off points must be located at |
a site or facility where the types of products accepted at |
the household waste drop-off point are lawfully sold, |
distributed, or dispensed. For example, household waste |
drop-off points that accept prescription pharmaceutical |
products must be located at a site or facility where |
prescription pharmaceutical products are sold, |
distributed, or dispensed. |
(A) Subdivision (c)(2) of this Section does not |
apply to household waste drop-off points operated by a |
government or school entity, or by an association or |
other organization of government or school entities. |
(B) Household waste drop-off points that accept |
mercury thermometers can be located at any site or |
facility where non-mercury thermometers are sold, |
|
distributed, or dispensed. |
(C) Household waste drop-off points that accept |
mercury thermostats can be located at any site or |
facility where non-mercury thermostats are sold, |
distributed, or dispensed. |
(3) The location of acceptance for each type of waste |
accepted at the household waste drop-off point must be |
clearly identified. Locations where pharmaceutical |
products are accepted must also include a copy of the sign |
required under subsection (j) of this Section. |
(4) Household waste must be accepted only from private |
individuals. Waste must not be accepted from other persons, |
including, but not limited to, owners and operators of |
rented or leased residences where the household waste was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
entities. |
(5) If more than one type of household waste is |
accepted, each type of household waste must be managed |
separately prior to its packaging for off-site transfer. |
(6) Household waste must not be stored for longer than |
90 days after its receipt, except as otherwise approved by |
the Agency in writing. |
(7) Household waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
|
environment. Household waste must also be properly secured |
to prevent unauthorized public access to the waste, |
including, but not limited to, preventing access to the |
waste during the non-business hours of the site or facility |
on which the household waste drop-off point is located. |
Containers in which pharmaceutical products are collected |
must be clearly marked "No Controlled Substances", unless |
the household waste drop-off point accepts controlled |
substances in accordance with federal law. |
(8) Management of the household waste must be limited |
to the following: (i) acceptance of the waste, (ii) |
temporary storage of the waste prior to transfer, and (iii) |
off-site transfer of the waste and packaging for off-site |
transfer. |
(9) Off-site transfer of the household waste must |
comply with federal and State laws and regulations. |
(d) One-day household waste collection events. To further |
aid in the collection of certain household wastes, the Agency |
may approve the operation of one-day household waste collection |
events. The Agency shall not approve a one-day household waste |
collection event at the same site or facility for more than one |
day each calendar quarter. Requests for approval must be |
submitted on forms prescribed by the Agency. The Agency must |
issue its approval in writing, and it may impose conditions as |
necessary to protect human health and the environment and to |
otherwise accomplish the purposes of this Act. One-day |
|
household waste collection events must be operated in |
accordance with the Agency's approval, including all |
conditions contained in the approval. The following |
requirements apply to all one-day household waste collection |
events, in addition to the conditions contained in the Agency's |
approval: |
(1) Waste accepted at the event must be limited to |
household waste and must not include garbage, landscape |
waste, or other waste excluded by the Agency in the |
Agency's approval or any conditions contained in the |
approval. A one-day household waste collection event may |
accept controlled substances in accordance with federal |
law. |
(2) Household waste must be accepted only from private |
individuals. Waste must not be accepted from other persons, |
including, but not limited to, owners and operators of |
rented or leased residences where the household waste was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
entities. |
(3) Household waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
environment. Household waste must also be properly secured |
to prevent public access to the waste, including, but not |
limited to, preventing access to the waste during the |
|
event's non-business hours. |
(4) Management of the household waste must be limited |
to the following: (i) acceptance of the waste, (ii) |
temporary storage of the waste before transfer, and (iii) |
off-site transfer of the waste or packaging for off-site |
transfer. |
(5) Except as otherwise approved by the Agency, all |
household waste received at the collection event must be |
transferred off-site by the end of the day following the |
collection event. |
(6) The transfer and ultimate disposition of household |
waste received at the collection event must comply with the |
Agency's approval, including all conditions contained in |
the approval. |
(d-5) One-day compostable waste collection event. To |
further aid in the collection and composting of compostable |
waste, as defined in subsection (b), a municipality may approve |
the operation of one-day compostable waste collection events at |
any site or facility within its territorial jurisdiction, and a |
county may approve the operation of one-day compostable waste |
collection events at any site or facility in any unincorporated |
area within its territorial jurisdiction. The approval granted |
under this subsection (d-5) must be in writing; must specify |
the date, location, and time of the event; and must list the |
types of compostable waste that will be collected at the event. |
If the one-day compostable waste collection event is to be |
|
operated at a location within a county with a population of |
more than 400,000 but less than 2,000,000 inhabitants, |
according to the 2010 decennial census, then the operator of |
the event shall, at least 30 days before the event, provide a |
copy of the approval to the recycling coordinator designated by |
that county. The approval granted under this subsection (d-5) |
may include conditions imposed by the county or municipality as |
necessary to protect public health and prevent odors, vectors, |
and other nuisances. A one-day compostable waste collection |
event approved under this subsection (d-5) must be operated in |
accordance with the approval, including all conditions |
contained in the approval. The following requirements shall |
apply to the one-day compostable waste collection event, in |
addition to the conditions contained in the approval: |
(1) Waste accepted at the event must be limited to the |
types of compostable waste authorized to be accepted under |
the approval. |
(2) Information promoting the event and signs at the |
event must clearly indicate the types of compostable waste |
approved for collection. To discourage the receipt of other |
waste, information promoting the event and signs at the |
event must also include: |
(A) examples of compostable waste being collected; |
and |
(B) examples of waste that is not being collected. |
(3) Compostable waste must be accepted only from |
|
private individuals. It may not be accepted from other |
persons, including, but not limited to, owners and |
operators of rented or leased residences where it was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
entities. |
(4) Compostable waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
environment. Compostable waste must be properly secured to |
prevent it from being accessed by the public at any time, |
including, but not limited to, during the collection |
event's non-operating hours. One-day compostable waste |
collection events must be adequately supervised during |
their operating hours. |
(5) Compostable waste must be secured in non-porous, |
rigid, leak-proof containers that: |
(A) are covered, except when the compostable waste |
is being added to or removed from the containers or it |
is otherwise necessary to access the compostable |
waste; |
(B) prevent precipitation from draining through |
the compostable waste; |
(C) prevent dispersion of the compostable waste by |
wind; |
(D) contain spills or releases that could create |
|
nuisances or otherwise harm human health or the |
environment; |
(E) limit access to the compostable waste by |
vectors; |
(F) control odors and other nuisances; and |
(G) provide for storage, removal, and off-site |
transfer of the compostable waste in a manner that |
protects its ability to be composted. |
(6) No more than a total of 40 cubic yards of |
compostable waste shall be located at the collection site |
at any one time. |
(7) Management of the compostable waste must be limited |
to the following: (A) acceptance, (B) temporary storage |
before transfer, and (C) off-site transfer. |
(8) All compostable waste received at the event must be |
transferred off-site to a permitted compost facility by no |
later than 48 hours after the event ends or by the end of |
the first business day after the event ends, whichever is |
sooner. |
(9) If waste other than compostable waste is received |
at the event, then that waste must be disposed of within 48 |
hours after the event ends or by the end of the first |
business day after the event ends, whichever is sooner. |
(d-6) Permanent compostable waste collection points. To |
further aid in the collection and composting of compostable |
waste, as defined in subsection (b), a municipality may approve |
|
the operation of permanent compostable waste collection points |
at any site or facility within its territorial jurisdiction, |
and a county may approve the operation of permanent compostable |
waste collection points at any site or facility in any |
unincorporated area within its territorial jurisdiction. The |
approval granted pursuant to this subsection (d-6) must be in |
writing; must specify the location, operating days, and |
operating hours of the collection point; must list the types of |
compostable waste that will be collected at the collection |
point; and must specify a term of not more than 365 calendar |
days during which the approval will be effective. In addition, |
if the permanent compostable waste collection point is to be |
operated at a location within a county with a population of |
more than 400,000 but less than 2,000,000 inhabitants, |
according to the 2010 federal decennial census, then the |
operator of the collection point shall, at least 30 days before |
the collection point begins operation, provide a copy of the |
approval to the recycling coordinator designated by that |
county. The approval may include conditions imposed by the |
county or municipality as necessary to protect public health |
and prevent odors, vectors, and other nuisances. A permanent |
compostable waste collection point approved pursuant to this |
subsection (d-6) must be operated in accordance with the |
approval, including all conditions contained in the approval. |
The following requirements apply to the permanent compostable |
waste collection point, in addition to the conditions contained |
|
in the approval: |
(1) Waste accepted at the collection point must be |
limited to the types of compostable waste authorized to be |
accepted under the approval. |
(2) Information promoting the collection point and |
signs at the collection point must clearly indicate the |
types of compostable waste approved for collection. To |
discourage the receipt of other waste, information |
promoting the collection point and signs at the collection |
point must also include (A) examples of compostable waste |
being collected and (B) examples of waste that is not being |
collected. |
(3) Compostable waste must be accepted only from |
private individuals. It may not be accepted from other |
persons, including, but not limited to, owners and |
operators of rented or leased residences where it was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
entities. |
(4) Compostable waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
environment. Compostable waste must be properly secured to |
prevent it from being accessed by the public at any time, |
including, but not limited to, during the collection |
point's non-operating hours. Permanent compostable waste |
|
collection points must be adequately supervised during |
their operating hours. |
(5) Compostable waste must be secured in non-porous, |
rigid, leak-proof containers that: |
(A) are no larger than 10 cubic yards in size; |
(B) are covered, except when the compostable waste |
is being added to or removed from the container or it |
is otherwise necessary to access the compostable |
waste; |
(C) prevent precipitation from draining through |
the compostable waste; |
(D) prevent dispersion of the compostable waste by |
wind; |
(E) contain spills or releases that could create |
nuisances or otherwise harm human health or the |
environment; |
(F) limit access to the compostable waste by |
vectors; |
(G) control odors and other nuisances; and |
(H) provide for storage, removal, and off-site |
transfer of the compostable waste in a manner that |
protects its ability to be composted. |
(6) No more than a total of 10 cubic yards of |
compostable waste shall be located at the permanent |
compostable waste collection site at any one time. |
(7) Management of the compostable waste must be limited |
|
to the following: (A) acceptance, (B) temporary storage |
before transfer, and (C) off-site transfer. |
(8) All compostable waste received at the permanent |
compostable waste collection point must be transferred |
off-site to a permitted compost facility not less |
frequently than once every 7 days. |
(9) If a permanent compostable waste collection point |
receives waste other than compostable waste, then that |
waste must be disposed of not less frequently than once |
every 7 days. |
(e) The Agency may adopt rules governing the operation of |
household waste drop-off points, other than one-day household |
waste collection events, one-day compostable waste collection |
events, and permanent compostable waste collection points. |
Those rules must be designed to protect against releases of |
waste to the environment, prevent nuisances, and otherwise |
protect human health and the environment. As necessary to |
address different circumstances, the regulations may contain |
different requirements for different types of household waste |
and different types of household waste drop-off points, and the |
regulations may modify the requirements set forth in subsection |
(c) of this Section. The regulations may include, but are not |
limited to, the following: (i) identification of additional |
types of household waste that can be collected at household |
waste drop-off points, (ii) identification of the different |
types of household wastes that can be received at different |
|
household waste drop-off points, (iii) the maximum amounts of |
each type of household waste that can be stored at household |
waste drop-off points at any one time, and (iv) the maximum |
time periods each type of household waste can be stored at |
household waste drop-off points. |
(f) Prohibitions. |
(1) Except as authorized in a permit issued by the |
Agency, no person shall cause or allow the operation of a |
household waste drop-off point, other than a one-day |
household waste collection event, one-day compostable |
waste collection event, or permanent compostable waste |
collection point, in violation of this Section or any |
regulations adopted under this Section. |
(2) No person shall cause or allow the operation of a |
one-day household waste collection event in violation of |
this Section or the Agency's approval issued under |
subsection (d) of this Section, including all conditions |
contained in the approval. |
(3) No person shall cause or allow the operation of a |
one-day compostable waste collection event in violation of |
this Section or the approval issued for the one-day |
compostable waste collection event under subsection (d-5) |
of this Section, including all conditions contained in the |
approval. |
(4) No person shall cause or allow the operation of a |
permanent compostable waste collection event in violation |
|
of this Section or the approval issued for the permanent |
compostable waste collection point under subsection (d-6) |
of this Section, including all conditions contained in the |
approval. |
(g) Permit exemptions. |
(1) No permit is required under subdivision (d)(1) of |
Section 21 of this Act for the operation of a household |
waste drop-off point, other than a one-day household waste |
collection event, one-day compostable waste collection |
event, or permanent compostable waste collection point, if |
the household waste drop-off point is operated in |
accordance with this Section and all regulations adopted |
under this Section. |
(2) No permit is required under subdivision (d)(1) of |
Section 21 of this Act for the operation of a one-day |
household waste collection event if the event is operated |
in accordance with this Section and the Agency's approval |
issued under subsection (d) of this Section, including all |
conditions contained in the approval, or for the operation |
of a household waste collection event by the Agency. |
(3) No permit is required under paragraph (1) of |
subsection (d) of
Section 21 of this Act for the operation |
of a one-day compostable waste collection event if the |
compostable waste collection event is operated in |
accordance with this Section and the approval issued for |
the compostable waste collection point under subsection |
|
(d-5) of this Section, including all conditions contained |
in the approval. |
(4) No permit is required under paragraph (1) of |
subsection (d) of Section 21 of this Act for the operation |
of a permanent compostable waste collection point if the |
collection point is operated in accordance with this |
Section and the approval issued for the compostable waste |
collection event under subsection (d-6) of this Section, |
including all conditions contained in the approval. |
(h) This Section does not apply to the following: |
(1) Persons accepting household waste that they are |
authorized to accept under a permit issued by the Agency. |
(2) Sites or facilities operated pursuant to an |
intergovernmental agreement entered into with the Agency |
under Section 22.16b(d) of this Act. |
(i) The Agency, in consultation with the Department of |
Public Health, must develop and implement a public information |
program regarding household waste drop-off points that accept |
pharmaceutical products, as well as mail-back programs |
authorized under federal law. |
(j) The Agency must develop a sign that provides |
information on the proper disposal of unused pharmaceutical |
products. The sign shall include information on approved |
drop-off sites or list a website where updated information on |
drop-off sites can be accessed. The sign shall also include |
information on mail-back programs and self-disposal. The |
|
Agency shall make a copy of the sign available for downloading |
from its website. Every pharmacy shall display the sign in the |
area where medications are dispensed and shall also display any |
signs the Agency develops regarding local take-back programs or |
household waste collection events. These signs shall be no |
larger than 8.5 inches by 11 inches. |
(k) If an entity chooses to participate as a household |
waste drop-off point, then it must follow the provisions of |
this Section and any rules the Agency may adopt governing |
household waste drop-off points.
|
(l) The Agency shall establish, by rule, a statewide |
medication take-back program by June 1, 2016 to ensure that |
there are pharmaceutical product disposal options regularly |
available for residents across the State. No private entity may |
be compelled to serve as or fund a take-back location or |
program. Medications collected and disposed of under the |
program shall include controlled substances approved for |
collection by federal law. All medications collected and |
disposed of under the program must be managed in accordance |
with all applicable federal and State laws and regulations. The |
Agency shall issue a report to the General Assembly by June 1, |
2019 detailing the amount of pharmaceutical products annually |
collected under the program, as well as any legislative |
recommendations. |
(Source: P.A. 99-11, eff. 7-10-15; 99-480, eff. 9-9-15; revised |
10-20-15.)
|
|
(415 ILCS 5/39) (from Ch. 111 1/2, par. 1039)
|
Sec. 39. Issuance of permits; procedures.
|
(a) When the Board has by regulation required a permit for
|
the construction, installation, or operation of any type of |
facility,
equipment, vehicle, vessel, or aircraft, the |
applicant shall apply to
the Agency for such permit and it |
shall be the duty of the Agency to
issue such a permit upon |
proof by the applicant that the facility,
equipment, vehicle, |
vessel, or aircraft will not cause a violation of
this Act or |
of regulations hereunder. The Agency shall adopt such
|
procedures as are necessary to carry out its duties under this |
Section.
In making its determinations on permit applications |
under this Section the Agency may consider prior adjudications |
of
noncompliance with this Act by the applicant that involved a |
release of a
contaminant into the environment. In granting |
permits, the Agency
may impose reasonable conditions |
specifically related to the applicant's past
compliance |
history with this Act as necessary to correct, detect, or
|
prevent noncompliance. The Agency may impose such other |
conditions
as may be necessary to accomplish the purposes of |
this Act, and as are not
inconsistent with the regulations |
promulgated by the Board hereunder. Except as
otherwise |
provided in this Act, a bond or other security shall not be |
required
as a condition for the issuance of a permit. If the |
Agency denies any permit
under this Section, the Agency shall |
|
transmit to the applicant within the time
limitations of this |
Section specific, detailed statements as to the reasons the
|
permit application was denied. Such statements shall include, |
but not be
limited to the following:
|
(i) the Sections of this Act which may be violated if |
the permit
were granted;
|
(ii) the provision of the regulations, promulgated |
under this Act,
which may be violated if the permit were |
granted;
|
(iii) the specific type of information, if any, which |
the Agency
deems the applicant did not provide the Agency; |
and
|
(iv) a statement of specific reasons why the Act and |
the regulations
might not be met if the permit were |
granted.
|
If there is no final action by the Agency within 90 days |
after the
filing of the application for permit, the applicant |
may deem the permit
issued; except that this time period shall |
be extended to 180 days when
(1) notice and opportunity for |
public hearing are required by State or
federal law or |
regulation, (2) the application which was filed is for
any |
permit to develop a landfill subject to issuance pursuant to |
this
subsection, or (3) the application that was filed is for a |
MSWLF unit
required to issue public notice under subsection (p) |
of Section 39. The
90-day and 180-day time periods for the |
Agency to take final action do not
apply to NPDES permit |
|
applications under subsection (b) of this Section,
to RCRA |
permit applications under subsection (d) of this Section, or
to |
UIC permit applications under subsection (e) of this Section.
|
The Agency shall publish notice of all final permit |
determinations for
development permits for MSWLF units and for |
significant permit modifications
for lateral expansions for |
existing MSWLF units one time in a newspaper of
general |
circulation in the county in which the unit is or is proposed |
to be
located.
|
After January 1, 1994 and until July 1, 1998, operating |
permits issued under
this Section by the
Agency for sources of |
air pollution permitted to emit less than 25 tons
per year of |
any combination of regulated air pollutants, as defined in
|
Section 39.5 of this Act, shall be required to be renewed only |
upon written
request by the Agency consistent with applicable |
provisions of this Act and
regulations promulgated hereunder. |
Such operating permits shall expire
180 days after the date of |
such a request. The Board shall revise its
regulations for the |
existing State air pollution operating permit program
|
consistent with this provision by January 1, 1994.
|
After June 30, 1998, operating permits issued under this |
Section by the
Agency for sources of air pollution that are not |
subject to Section 39.5 of
this Act and are not required to |
have a federally enforceable State operating
permit shall be |
required to be renewed only upon written request by the Agency
|
consistent with applicable provisions of this Act and its |
|
rules. Such
operating permits shall expire 180 days after the |
date of such a request.
Before July 1, 1998, the Board shall |
revise its rules for the existing State
air pollution operating |
permit program consistent with this paragraph and shall
adopt |
rules that require a source to demonstrate that it qualifies |
for a permit
under this paragraph.
|
(b) The Agency may issue NPDES permits exclusively under |
this
subsection for the discharge of contaminants from point |
sources into
navigable waters, all as defined in the Federal |
Water Pollution Control
Act, as now or hereafter amended, |
within the jurisdiction of the
State, or into any well.
|
All NPDES permits shall contain those terms and conditions, |
including
but not limited to schedules of compliance, which may |
be required to
accomplish the purposes and provisions of this |
Act.
|
The Agency may issue general NPDES permits for discharges |
from categories
of point sources which are subject to the same |
permit limitations and
conditions. Such general permits may be |
issued without individual
applications and shall conform to |
regulations promulgated under Section 402
of the Federal Water |
Pollution Control Act, as now or hereafter amended.
|
The Agency may include, among such conditions, effluent |
limitations
and other requirements established under this Act, |
Board regulations,
the Federal Water Pollution Control Act, as |
now or hereafter amended, and
regulations pursuant thereto, and |
schedules for achieving compliance
therewith at the earliest |
|
reasonable date.
|
The Agency shall adopt filing requirements and procedures |
which are
necessary and appropriate for the issuance of NPDES |
permits, and which
are consistent with the Act or regulations |
adopted by the Board, and
with the Federal Water Pollution |
Control Act, as now or hereafter
amended, and regulations |
pursuant thereto.
|
The Agency, subject to any conditions which may be |
prescribed by
Board regulations, may issue NPDES permits to |
allow discharges beyond
deadlines established by this Act or by |
regulations of the Board without
the requirement of a variance, |
subject to the Federal Water Pollution
Control Act, as now or |
hereafter amended, and regulations pursuant thereto.
|
(c) Except for those facilities owned or operated by |
sanitary districts
organized under the Metropolitan Water |
Reclamation District Act, no
permit for the development or |
construction of a new pollution control
facility may be granted |
by the Agency unless the applicant submits proof to the
Agency |
that the location of the facility has been approved by the |
County Board
of the county if in an unincorporated area, or the |
governing body of the
municipality when in an incorporated |
area, in which the facility is to be
located in accordance with |
Section 39.2 of this Act. For purposes of this subsection (c), |
and for purposes of Section 39.2 of this Act, the appropriate |
county board or governing body of the municipality shall be the |
county board of the county or the governing body of the |
|
municipality in which the facility is to be located as of the |
date when the application for siting approval is filed.
|
In the event that siting approval granted pursuant to |
Section 39.2 has
been transferred to a subsequent owner or |
operator, that subsequent owner or
operator may apply to the |
Agency for, and the Agency may grant, a development
or |
construction permit for the facility for which local siting |
approval was
granted. Upon application to the Agency for a |
development or
construction permit by that subsequent owner or |
operator,
the permit applicant shall cause written notice of |
the permit application
to be served upon the appropriate county |
board or governing body of the
municipality that granted siting |
approval for that facility and upon any party
to the siting |
proceeding pursuant to which siting approval was granted. In
|
that event, the Agency shall conduct an evaluation of the |
subsequent owner or
operator's prior experience in waste |
management operations in the manner
conducted under subsection |
(i) of Section 39 of this Act.
|
Beginning August 20, 1993, if the pollution control |
facility consists of a
hazardous or solid waste disposal |
facility for which the proposed site is
located in an |
unincorporated area of a county with a population of less than
|
100,000 and includes all or a portion of a parcel of land that |
was, on April 1,
1993, adjacent to a municipality having a |
population of less than 5,000, then
the local siting review |
required under this subsection (c) in conjunction with
any |
|
permit applied for after that date shall be performed by the |
governing body
of that adjacent municipality rather than the |
county board of the county in
which the proposed site is |
located; and for the purposes of that local siting
review, any |
references in this Act to the county board shall be deemed to |
mean
the governing body of that adjacent municipality; |
provided, however, that the
provisions of this paragraph shall |
not apply to any proposed site which was, on
April 1, 1993, |
owned in whole or in part by another municipality.
|
In the case of a pollution control facility for which a
|
development permit was issued before November 12, 1981, if an |
operating
permit has not been issued by the Agency prior to |
August 31, 1989 for
any portion of the facility, then the |
Agency may not issue or renew any
development permit nor issue |
an original operating permit for any portion of
such facility |
unless the applicant has submitted proof to the Agency that the
|
location of the facility has been approved by the appropriate |
county board or
municipal governing body pursuant to Section |
39.2 of this Act.
|
After January 1, 1994, if a solid waste
disposal facility, |
any portion for which an operating permit has been issued by
|
the Agency, has not accepted waste disposal for 5 or more |
consecutive calendars
years, before that facility may accept |
any new or additional waste for
disposal, the owner and |
operator must obtain a new operating permit under this
Act for |
that facility unless the owner and operator have applied to the |
|
Agency
for a permit authorizing the temporary suspension of |
waste acceptance. The
Agency may not issue a new operation |
permit under this Act for the facility
unless the applicant has |
submitted proof to the Agency that the location of the
facility |
has been approved or re-approved by the appropriate county |
board or
municipal governing body under Section 39.2 of this |
Act after the facility
ceased accepting waste.
|
Except for those facilities owned or operated by sanitary |
districts
organized under the Metropolitan Water Reclamation |
District Act, and
except for new pollution control facilities |
governed by Section 39.2,
and except for fossil fuel mining |
facilities, the granting of a permit under
this Act shall not |
relieve the applicant from meeting and securing all
necessary |
zoning approvals from the unit of government having zoning
|
jurisdiction over the proposed facility.
|
Before beginning construction on any new sewage treatment |
plant or sludge
drying site to be owned or operated by a |
sanitary district organized under
the Metropolitan Water |
Reclamation District Act for which a new
permit (rather than |
the renewal or amendment of an existing permit) is
required, |
such sanitary district shall hold a public hearing within the
|
municipality within which the proposed facility is to be |
located, or within the
nearest community if the proposed |
facility is to be located within an
unincorporated area, at |
which information concerning the proposed facility
shall be |
made available to the public, and members of the public shall |
|
be given
the opportunity to express their views concerning the |
proposed facility.
|
The Agency may issue a permit for a municipal waste |
transfer station
without requiring approval pursuant to |
Section 39.2 provided that the following
demonstration is made:
|
(1) the municipal waste transfer station was in |
existence on or before
January 1, 1979 and was in |
continuous operation from January 1, 1979 to January
1, |
1993;
|
(2) the operator submitted a permit application to the |
Agency to develop
and operate the municipal waste transfer |
station during April of 1994;
|
(3) the operator can demonstrate that the county board |
of the county, if
the municipal waste transfer station is |
in an unincorporated area, or the
governing body of the |
municipality, if the station is in an incorporated area,
|
does not object to resumption of the operation of the |
station; and
|
(4) the site has local zoning approval.
|
(d) The Agency may issue RCRA permits exclusively under |
this
subsection to persons owning or operating a facility for |
the treatment,
storage, or disposal of hazardous waste as |
defined under this Act.
|
All RCRA permits shall contain those terms and conditions, |
including but
not limited to schedules of compliance, which may |
be required to accomplish
the purposes and provisions of this |
|
Act. The Agency may include among such
conditions standards and |
other requirements established under this Act,
Board |
regulations, the Resource Conservation and Recovery Act of 1976 |
(P.L.
94-580), as amended, and regulations pursuant thereto, |
and may include
schedules for achieving compliance therewith as |
soon as possible. The
Agency shall require that a performance |
bond or other security be provided
as a condition for the |
issuance of a RCRA permit.
|
In the case of a permit to operate a hazardous waste or PCB |
incinerator
as defined in subsection (k) of Section 44, the |
Agency shall require, as a
condition of the permit, that the |
operator of the facility perform such
analyses of the waste to |
be incinerated as may be necessary and appropriate
to ensure |
the safe operation of the incinerator.
|
The Agency shall adopt filing requirements and procedures |
which
are necessary and appropriate for the issuance of RCRA |
permits, and which
are consistent with the Act or regulations |
adopted by the Board, and with
the Resource Conservation and |
Recovery Act of 1976 (P.L. 94-580), as
amended, and regulations |
pursuant thereto.
|
The applicant shall make available to the public for |
inspection all
documents submitted by the applicant to the |
Agency in furtherance
of an application, with the exception of |
trade secrets, at the office of
the county board or governing |
body of the municipality. Such documents
may be copied upon |
payment of the actual cost of reproduction during regular
|
|
business hours of the local office. The Agency shall issue a |
written statement
concurrent with its grant or denial of the |
permit explaining the basis for its
decision.
|
(e) The Agency may issue UIC permits exclusively under this
|
subsection to persons owning or operating a facility for the |
underground
injection of contaminants as defined under this |
Act.
|
All UIC permits shall contain those terms and conditions, |
including but
not limited to schedules of compliance, which may |
be required to accomplish
the purposes and provisions of this |
Act. The Agency may include among such
conditions standards and |
other requirements established under this Act,
Board |
regulations, the Safe Drinking Water Act (P.L. 93-523), as |
amended,
and regulations pursuant thereto, and may include |
schedules for achieving
compliance therewith. The Agency shall |
require that a performance bond or
other security be provided |
as a condition for the issuance of a UIC permit.
|
The Agency shall adopt filing requirements and procedures |
which
are necessary and appropriate for the issuance of UIC |
permits, and which
are consistent with the Act or regulations |
adopted by the Board, and with
the Safe Drinking Water Act |
(P.L. 93-523), as amended, and regulations
pursuant thereto.
|
The applicant shall make available to the public for |
inspection, all
documents submitted by the applicant to the |
Agency in furtherance of an
application, with the exception of |
trade secrets, at the office of the county
board or governing |
|
body of the municipality. Such documents may be copied upon
|
payment of the actual cost of reproduction during regular |
business hours of the
local office. The Agency shall issue a |
written statement concurrent with its
grant or denial of the |
permit explaining the basis for its decision.
|
(f) In making any determination pursuant to Section 9.1 of |
this Act:
|
(1) The Agency shall have authority to make the |
determination of any
question required to be determined by |
the Clean Air Act, as now or
hereafter amended, this Act, |
or the regulations of the Board, including the
|
determination of the Lowest Achievable Emission Rate, |
Maximum Achievable
Control Technology, or Best Available |
Control Technology, consistent with the
Board's |
regulations, if any.
|
(2) The Agency shall adopt requirements as necessary to |
implement public participation procedures, including, but |
not limited to, public notice, comment, and an opportunity |
for hearing, which must accompany the processing of |
applications for PSD permits. The Agency shall briefly |
describe and respond to all significant comments on the |
draft permit raised during the public comment period or |
during any hearing. The Agency may group related comments |
together and provide one unified response for each issue |
raised. |
(3) Any complete permit application submitted to the |
|
Agency under this subsection for a PSD permit shall be |
granted or denied by the Agency not later than one year |
after the filing of such completed application. |
(4) The Agency shall, after conferring with the |
applicant, give written
notice to the applicant of its |
proposed decision on the application including
the terms |
and conditions of the permit to be issued and the facts, |
conduct
or other basis upon which the Agency will rely to |
support its proposed action.
|
(g) The Agency shall include as conditions upon all permits |
issued for
hazardous waste disposal sites such restrictions |
upon the future use
of such sites as are reasonably necessary |
to protect public health and
the environment, including |
permanent prohibition of the use of such
sites for purposes |
which may create an unreasonable risk of injury to human
health |
or to the environment. After administrative and judicial |
challenges
to such restrictions have been exhausted, the Agency |
shall file such
restrictions of record in the Office of the |
Recorder of the county in which
the hazardous waste disposal |
site is located.
|
(h) A hazardous waste stream may not be deposited in a |
permitted hazardous
waste site unless specific authorization |
is obtained from the Agency by the
generator and disposal site |
owner and operator for the deposit of that specific
hazardous |
waste stream. The Agency may grant specific authorization for
|
disposal of hazardous waste streams only after the generator |
|
has reasonably
demonstrated that, considering
technological |
feasibility and economic reasonableness, the hazardous waste
|
cannot be reasonably recycled for reuse, nor incinerated or |
chemically,
physically or biologically treated so as to |
neutralize the hazardous waste
and render it nonhazardous. In |
granting authorization under this Section,
the Agency may |
impose such conditions as may be necessary to accomplish
the |
purposes of the Act and are consistent with this Act and |
regulations
promulgated by the Board hereunder. If the Agency |
refuses to grant
authorization under this Section, the |
applicant may appeal as if the Agency
refused to grant a |
permit, pursuant to the provisions of subsection (a) of
Section |
40 of this Act. For purposes of this subsection (h), the term
|
"generator" has the meaning given in Section 3.205 of this Act,
|
unless: (1) the hazardous waste is treated, incinerated, or |
partially recycled
for reuse prior to disposal, in which case |
the last person who treats,
incinerates, or partially recycles |
the hazardous waste prior to disposal is the
generator; or (2) |
the hazardous waste is from a response action, in which case
|
the person performing the response action is the generator. |
This subsection
(h) does not apply to any hazardous waste that |
is restricted from land disposal
under 35 Ill. Adm. Code 728.
|
(i) Before issuing any RCRA permit, any permit for a waste |
storage site,
sanitary landfill, waste disposal site, waste |
transfer station, waste treatment
facility, waste incinerator, |
or any waste-transportation operation, or any permit or interim |
|
authorization for a clean construction or demolition debris |
fill operation, or any permit required under subsection (d-5) |
of Section 55, the Agency
shall conduct an evaluation of the |
prospective owner's or operator's prior
experience in waste |
management operations, clean construction or demolition debris |
fill operations, and tire storage site management. The Agency |
may deny such a permit, or deny or revoke interim |
authorization,
if the prospective owner or operator or any |
employee or officer of the
prospective owner or operator has a |
history of:
|
(1) repeated violations of federal, State, or local |
laws, regulations,
standards, or ordinances in the |
operation of waste management facilities or
sites, clean |
construction or demolition debris fill operation |
facilities or sites, or tire storage sites; or
|
(2) conviction in this or another State of any crime |
which is a felony
under the laws of this State, or |
conviction of a felony in a federal court; or conviction in |
this or another state or federal court of any of the |
following crimes: forgery, official misconduct, bribery, |
perjury, or knowingly submitting false information under |
any environmental law, regulation, or permit term or |
condition; or
|
(3) proof of gross carelessness or incompetence in |
handling, storing,
processing, transporting or disposing |
of waste, clean construction or demolition debris, or used |
|
or waste tires, or proof of gross carelessness or |
incompetence in using clean construction or demolition |
debris as fill.
|
(i-5) Before issuing any permit or approving any interim |
authorization for a clean construction or demolition debris |
fill operation in which any ownership interest is transferred |
between January 1, 2005, and the effective date of the |
prohibition set forth in Section 22.52 of this Act, the Agency |
shall conduct an evaluation of the operation if any previous |
activities at the site or facility may have caused or allowed |
contamination of the site. It shall be the responsibility of |
the owner or operator seeking the permit or interim |
authorization to provide to the Agency all of the information |
necessary for the Agency to conduct its evaluation. The Agency |
may deny a permit or interim authorization if previous |
activities at the site may have caused or allowed contamination |
at the site, unless such contamination is authorized under any |
permit issued by the Agency.
|
(j) The issuance under this Act of a permit to engage in |
the surface mining
of any resources other than fossil fuels |
shall not relieve
the permittee from its duty to comply with |
any applicable local law regulating
the commencement, location |
or operation of surface mining facilities.
|
(k) A development permit issued under subsection (a) of |
Section 39 for any
facility or site which is required to have a |
permit under subsection (d) of
Section 21 shall expire at the |
|
end of 2 calendar years from the date upon which
it was issued, |
unless within that period the applicant has taken action to
|
develop the facility or the site. In the event that review of |
the
conditions of the development permit is sought pursuant to |
Section 40 or
41, or permittee is prevented from commencing |
development of the facility
or site by any other litigation |
beyond the permittee's control, such
two-year period shall be |
deemed to begin on the date upon which such review
process or |
litigation is concluded.
|
(l) No permit shall be issued by the Agency under this Act |
for
construction or operation of any facility or site located |
within the
boundaries of any setback zone established pursuant |
to this Act, where such
construction or operation is |
prohibited.
|
(m) The Agency may issue permits to persons owning or |
operating
a facility for composting landscape waste. In |
granting such permits, the Agency
may impose such conditions as |
may be necessary to accomplish the purposes of
this Act, and as |
are not inconsistent with applicable regulations promulgated
|
by the Board. Except as otherwise provided in this Act, a bond |
or other
security shall not be required as a condition for the |
issuance of a permit. If
the Agency denies any permit pursuant |
to this subsection, the Agency shall
transmit to the applicant |
within the time limitations of this subsection
specific, |
detailed statements as to the reasons the permit application |
was
denied. Such statements shall include but not be limited to |
|
the following:
|
(1) the Sections of this Act that may be violated if |
the permit
were granted;
|
(2) the specific regulations promulgated pursuant to |
this
Act that may be violated if the permit were granted;
|
(3) the specific information, if any, the Agency deems |
the
applicant did not provide in its application to the |
Agency; and
|
(4) a statement of specific reasons why the Act and the |
regulations
might be violated if the permit were granted.
|
If no final action is taken by the Agency within 90 days |
after the filing
of the application for permit, the applicant |
may deem the permit issued.
Any applicant for a permit may |
waive the 90-day 90 day limitation by filing a
written |
statement with the Agency.
|
The Agency shall issue permits for such facilities upon |
receipt of an
application that includes a legal description of |
the site, a topographic
map of the site drawn to the scale of |
200 feet to the inch or larger, a
description of the operation, |
including the area served, an estimate of
the volume of |
materials to be processed, and documentation that:
|
(1) the facility includes a setback of at
least 200 |
feet from the nearest potable water supply well;
|
(2) the facility is located outside the boundary
of the |
10-year floodplain or the site will be floodproofed;
|
(3) the facility is located so as to minimize
|
|
incompatibility with the character of the surrounding |
area, including at
least a 200 foot setback from any |
residence, and in the case of a
facility that is developed |
or the permitted composting area of which is
expanded after |
November 17, 1991, the composting area is located at least |
1/8
mile from the nearest residence (other than a residence |
located on the same
property as the facility);
|
(4) the design of the facility will prevent any compost |
material from
being placed within 5 feet of the water |
table, will adequately control runoff
from the site, and |
will collect and manage any leachate that is generated on
|
the site;
|
(5) the operation of the facility will include |
appropriate dust
and odor control measures, limitations on |
operating hours, appropriate
noise control measures for |
shredding, chipping and similar equipment,
management |
procedures for composting, containment and disposal of
|
non-compostable wastes, procedures to be used for
|
terminating operations at the site, and recordkeeping |
sufficient to
document the amount of materials received, |
composted and otherwise
disposed of; and
|
(6) the operation will be conducted in accordance with |
any applicable
rules adopted by the Board.
|
The Agency shall issue renewable permits of not longer than |
10 years
in duration for the composting of landscape wastes, as |
defined in Section
3.155 of this Act, based on the above |
|
requirements.
|
The operator of any facility permitted under this |
subsection (m) must
submit a written annual statement to the |
Agency on or before April 1 of
each year that includes an |
estimate of the amount of material, in tons,
received for |
composting.
|
(n) The Agency shall issue permits jointly with the |
Department of
Transportation for the dredging or deposit of |
material in Lake Michigan in
accordance with Section 18 of the |
Rivers, Lakes, and Streams Act.
|
(o) (Blank.)
|
(p) (1) Any person submitting an application for a permit |
for a new MSWLF
unit or for a lateral expansion under |
subsection (t) of Section 21 of this Act
for an existing MSWLF |
unit that has not received and is not subject to local
siting |
approval under Section 39.2 of this Act shall publish notice of |
the
application in a newspaper of general circulation in the |
county in which the
MSWLF unit is or is proposed to be located. |
The notice must be published at
least 15 days before submission |
of the permit application to the Agency. The
notice shall state |
the name and address of the applicant, the location of the
|
MSWLF unit or proposed MSWLF unit, the nature and size of the |
MSWLF unit or
proposed MSWLF unit, the nature of the activity |
proposed, the probable life of
the proposed activity, the date |
the permit application will be submitted, and a
statement that |
persons may file written comments with the Agency concerning |
|
the
permit application within 30 days after the filing of the |
permit application
unless the time period to submit comments is |
extended by the Agency.
|
When a permit applicant submits information to the Agency |
to supplement a
permit application being reviewed by the |
Agency, the applicant shall not be
required to reissue the |
notice under this subsection.
|
(2) The Agency shall accept written comments concerning the |
permit
application that are postmarked no later than 30 days |
after the
filing of the permit application, unless the time |
period to accept comments is
extended by the Agency.
|
(3) Each applicant for a permit described in part (1) of |
this subsection
shall file a
copy of the permit application |
with the county board or governing body of the
municipality in |
which the MSWLF unit is or is proposed to be located at the
|
same time the application is submitted to the Agency. The |
permit application
filed with the county board or governing |
body of the municipality shall include
all documents submitted |
to or to be submitted to the Agency, except trade
secrets as |
determined under Section 7.1 of this Act. The permit |
application
and other documents on file with the county board |
or governing body of the
municipality shall be made available |
for public inspection during regular
business hours at the |
office of the county board or the governing body of the
|
municipality and may be copied upon payment of the actual cost |
of
reproduction.
|
|
(q) Within 6 months after July 12, 2011 ( the effective date |
of Public Act 97-95) this amendatory Act of the 97th General |
Assembly , the Agency, in consultation with the regulated |
community, shall develop a web portal to be posted on its |
website for the purpose of enhancing review and promoting |
timely issuance of permits required by this Act. At a minimum, |
the Agency shall make the following information available on |
the web portal: |
(1) Checklists and guidance relating to the completion |
of permit applications, developed pursuant to subsection |
(s) of this Section, which may include, but are not limited |
to, existing instructions for completing the applications |
and examples of complete applications. As the Agency |
develops new checklists and develops guidance, it shall |
supplement the web portal with those materials. |
(2) Within 2 years after July 12, 2011 ( the effective |
date of Public Act 97-95) this amendatory Act of the 97th |
General Assembly , permit application forms or portions of |
permit applications that can be completed and saved |
electronically, and submitted to the Agency electronically |
with digital signatures. |
(3) Within 2 years after July 12, 2011 ( the effective |
date of Public Act 97-95) this amendatory Act of the 97th |
General Assembly , an online tracking system where an |
applicant may review the status of its pending application, |
including the name and contact information of the permit |
|
analyst assigned to the application. Until the online |
tracking system has been developed, the Agency shall post |
on its website semi-annual permitting efficiency tracking |
reports that include statistics on the timeframes for |
Agency action on the following types of permits received |
after July 12, 2011 ( the effective date of Public Act |
97-95) this amendatory Act of the 97th General Assembly : |
air construction permits, new NPDES permits and associated |
water construction permits, and modifications of major |
NPDES permits and associated water construction permits. |
The reports must be posted by February 1 and August 1 each |
year and shall include: |
(A) the number of applications received for each |
type of permit, the number of applications on which the |
Agency has taken action, and the number of applications |
still pending; and |
(B) for those applications where the Agency has not |
taken action in accordance with the timeframes set |
forth in this Act, the date the application was |
received and the reasons for any delays, which may |
include, but shall not be limited to, (i) the |
application being inadequate or incomplete, (ii) |
scientific or technical disagreements with the |
applicant, USEPA, or other local, state, or federal |
agencies involved in the permitting approval process, |
(iii) public opposition to the permit, or (iv) Agency |
|
staffing shortages. To the extent practicable, the |
tracking report shall provide approximate dates when |
cause for delay was identified by the Agency, when the |
Agency informed the applicant of the problem leading to |
the delay, and when the applicant remedied the reason |
for the delay. |
(r) Upon the request of the applicant, the Agency shall |
notify the applicant of the permit analyst assigned to the |
application upon its receipt. |
(s) The Agency is authorized to prepare and distribute |
guidance documents relating to its administration of this |
Section and procedural rules implementing this Section. |
Guidance documents prepared under this subsection shall not be |
considered rules and shall not be subject to the Illinois |
Administrative Procedure Act. Such guidance shall not be |
binding on any party. |
(t) Except as otherwise prohibited by federal law or |
regulation, any person submitting an application for a permit |
may include with the application suggested permit language for |
Agency consideration. The Agency is not obligated to use the |
suggested language or any portion thereof in its permitting |
decision. If requested by the permit applicant, the Agency |
shall meet with the applicant to discuss the suggested |
language. |
(u) If requested by the permit applicant, the Agency shall |
provide the permit applicant with a copy of the draft permit |
|
prior to any public review period. |
(v) If requested by the permit applicant, the Agency shall |
provide the permit applicant with a copy of the final permit |
prior to its issuance. |
(w) An air pollution permit shall not be required due to |
emissions of greenhouse gases, as specified by Section 9.15 of |
this Act. |
(x) If, before the expiration of a State operating permit |
that is issued pursuant to subsection (a) of this Section and |
contains federally enforceable conditions limiting the |
potential to emit of the source to a level below the major |
source threshold for that source so as to exclude the source |
from the Clean Air Act Permit Program, the Agency receives a |
complete application for the renewal of that permit, then all |
of the terms and conditions of the permit shall remain in |
effect until final administrative action has been taken on the |
application for the renewal of the permit. |
(Source: P.A. 98-284, eff. 8-9-13; 99-396, eff. 8-18-15; |
99-463, eff. 1-1-16; revised 10-20-15.)
|
Section 460. The Lawn Care Products Application and Notice |
Act is amended by changing Section 7 as follows:
|
(415 ILCS 65/7) (from Ch. 5, par. 857)
|
Sec. 7.
When an administrative hearing is held by the |
Department, the
hearing officer, upon determination of any |
|
violation of this Act or rule or
regulation, shall either refer |
the violation to the State's States Attorney's
office in the |
county where the alleged violation occurred for prosecution
or |
levy the following administrative monetary penalties:
|
(a) a penalty of $250 for a first violation;
|
(b) a penalty of $500 for a second violation; and
|
(c) a penalty of $1,000 for a third or subsequent |
violation.
|
The penalty levied shall be collected by the Department, |
and all
penalties collected by the Department under this Act |
shall be deposited
into the Pesticide Control Fund. Any penalty |
not paid within 60 days of
notice from the Department shall be |
submitted to the Attorney General's
office for collection.
|
Upon prosecution by a State's Attorney, a violation of this |
Act or rules shall be a petty offense subject to a
fine of $250 |
for a first offense, a fine of $500 for a second offense , and a
|
fine of $1,000 for a third or subsequent offense.
|
(Source: P.A. 96-1005, eff. 7-6-10; revised 10-20-15.)
|
Section 465. The Mercury Switch Removal Act is amended by |
changing Section 10 as follows:
|
(415 ILCS 97/10) |
(Section scheduled to be repealed on January 1, 2017)
|
Sec. 10. Removal requirements. |
(a) Mercury switches removed from end-of-life vehicles |
|
must be managed in accordance with the Environmental Protection |
Act and regulations adopted thereunder. |
(b) No person shall represent that all mercury switches |
have been removed from a vehicle if all mercury switches have |
not been removed from the vehicle, except where a mercury |
switch cannot be removed from the vehicle because the switch is |
inaccessible due to significant damage to the vehicle in the |
area surrounding the switch.
|
(c) Consistent with the protection of confidential |
business information, vehicle recyclers, vehicle crushers, and |
scrap metal recyclers that remove mercury switches from |
end-of-life vehicles must maintain records documenting the |
following for each calendar quarter:
|
(1) the number of mercury switches the vehicle |
recycler, vehicle crusher, or scrap metal recycler removed |
from end-of-life vehicles;
|
(2) the number of end-of-life vehicles received by the |
vehicle recycler, vehicle crusher, or scrap metal recycler |
that contain one or more mercury switches; |
(3) the number of end-of-life vehicles the vehicle |
recycler, vehicle crusher, or scrap metal recycler |
flattened, crushed, shredded, or otherwise processed for |
recycling; and |
(4) the make and model of each car from which one or |
more mercury switches was removed by the vehicle recycler, |
vehicle crusher, or scrap metal recycler.
|
|
The records required under this subsection (c) must be |
retained at the vehicle recycler's or scrap metal recycler's |
place of business for a minimum of 3 years and made available |
for inspection and copying by the Agency during normal business |
hours.
|
(d) For the period of July 1, 2006 through though June 30, |
2007 and for each period of July 1 through though June 30 |
thereafter, no later than 45 days after the close of the period |
vehicle recyclers, vehicle crushers, and scrap metal recyclers |
that remove mercury switches from end-of-life vehicles must |
submit to the Agency an annual report containing the following |
information for the period: (i) the number of mercury switches |
the vehicle recycler, vehicle crusher, or scrap metal recycler |
removed from end-of-life vehicles; (ii) the number of |
end-of-life vehicles received by the vehicle recycler, vehicle |
crusher, or scrap metal recycler that contain one or more |
mercury switches ; , and (iii) the number of end-of-life vehicles |
the vehicle recycler, vehicle crusher, or scrap metal recycler |
flattened, crushed, shredded, or otherwise processed for |
recycling. Data required to be reported to the United States |
Environmental Protection Agency under federal law or |
regulation may be used in meeting requirements of this |
subsection (d), if the data contains the information required |
under items (i), (ii), and (iii) of this subsection.
|
(Source: P.A. 94-732, eff. 4-24-06; revised 10-21-15.)
|
|
Section 470. The Litter Control Act is amended by changing |
Section 11 as follows:
|
(415 ILCS 105/11) (from Ch. 38, par. 86-11)
|
Sec. 11.
This Act shall be enforced by all law enforcement |
officers in their
respective jurisdictions, whether employed |
by the State or by any unit of
local government. Prosecutions |
for violation of this Act shall be conducted
by the State's |
Attorneys State attorneys of the several counties and by the |
Attorney General
of this State.
|
(Source: P.A. 78-837; revised 10-21-15.)
|
Section 480. The Pyrotechnic Use Act is amended by changing |
Section 1 as follows:
|
(425 ILCS 35/1) (from Ch. 127 1/2, par. 127)
|
Sec. 1. Definitions. As used in this Act, the following |
words shall have the following meanings: |
"1.3G fireworks" means those fireworks used for |
professional outdoor displays and classified as fireworks |
UN0333, UN0334, or UN0335 by the United States Department of |
Transportation under 49 C.F.R. 172.101. |
"Consumer distributor" means any person who distributes, |
offers for sale, sells, or exchanges for consideration consumer |
fireworks in Illinois to another distributor or directly to any |
retailer or person for resale. |
|
"Consumer fireworks" means those fireworks that must |
comply with the construction, chemical composition, and |
labeling regulations of the U.S. Consumer Products Safety |
Commission, as set forth in 16 C.F.R. Parts 1500 and 1507, and |
classified as fireworks UN0336 or UN0337 by the United States |
Department of Transportation under 49 C.F.R. 172.101. |
"Consumer fireworks"
shall not include snake or glow worm |
pellets; smoke devices; trick noisemakers
known as "party |
poppers", "booby traps", "snappers", "trick matches", |
"cigarette
loads", and "auto burglar alarms"; sparklers; toy |
pistols, toy
canes, toy guns, or other devices in
which paper |
or plastic caps containing twenty-five hundredths grains or
|
less of explosive compound are used, provided they are so |
constructed that
the hand cannot come in contact with the cap |
when in place for the
explosion; and toy pistol paper or |
plastic caps that contain less than
twenty hundredths grains of |
explosive mixture; the sale and use of which
shall be permitted |
at all times. |
"Consumer fireworks display" or "consumer display" means |
the detonation, ignition, or deflagration of consumer |
fireworks to produce a visual or audible effect. |
"Consumer operator" means an adult individual who is |
responsible for the safety, setup, and discharge of the |
consumer fireworks display and who has completed the training |
required in Section 2.2 of this Act. |
"Consumer retailer" means any person who offers for sale, |
|
sells, or exchanges for consideration consumer fireworks in |
Illinois directly to any person with a consumer display permit. |
"Display fireworks" means 1.3G or special effects |
fireworks or as further defined in the Pyrotechnic Distributor |
and Operator Licensing Act. |
"Flame effect" means the detonation, ignition, or |
deflagration of flammable gases, liquids, or special materials |
to produce a thermal, physical, visual, or audible effect |
before the public, invitees, or licensees, regardless of |
whether admission is charged, in accordance with National Fire |
Protection Association 160 guidelines, and as may be further |
defined in the Pyrotechnic Distributor and Operator Licensing |
Act. |
"Lead pyrotechnic operator" means an individual who is |
responsible for the safety, setup, and discharge of the |
pyrotechnic display or pyrotechnic service and who is licensed |
pursuant to the Pyrotechnic Distributor and Operator Licensing |
Act. |
"Person" means an individual, firm, corporation, |
association, partnership, company, consortium, joint venture, |
commercial entity, state, municipality, or political |
subdivision of a state or any agency, department, or |
instrumentality of the United States and any officer, agent, or |
employee of these entities.
|
"Production company" means any person in the film, digital |
and video media, television, commercial, music, or theatrical |
|
stage industry who provides pyrotechnic services or |
pyrotechnic display services as part of a film, digital and |
video media, television, commercial, music, or theatrical |
production in the State of Illinois and is licensed by the |
Office pursuant to the Pyrotechnic Distributor and Operator |
Licensing Act. |
"Pyrotechnic display" means the detonation, ignition, or |
deflagration of display fireworks or flame effects to produce |
visual or audible effects of an a exhibitional nature before |
the public, invitees, or licensees, regardless of whether |
admission is charged, and as may be further defined in the |
Pyrotechnic Distributor and Operator Licensing Act. |
"Pyrotechnic distributor" means any person who distributes |
display fireworks for sale in the State of Illinois or provides |
them as part of a pyrotechnic display service in the State of |
Illinois or provides only pyrotechnic services and is licensed |
by the Office pursuant to the Pyrotechnic Distributor and |
Operator Licensing Act. |
"Pyrotechnic service" means the detonation, ignition , or |
deflagration of display fireworks, special effects , or flame |
effects to produce a visual or audible effect. |
"Special effects fireworks" means pyrotechnic devices used |
for special effects by professionals in the performing arts in |
conjunction with theatrical, musical, or other productions
|
that are similar to consumer fireworks in chemical compositions
|
and construction, but are not intended for consumer use and are
|
|
not labeled as such or identified as "intended for indoor use".
|
"Special effects fireworks" are classified as fireworks UN0431
|
or UN0432 by the United States Department of Transportation
|
under 49 C.F.R. 172.101.
|
(Source: P.A. 96-708, eff. 8-25-09; 97-164, eff. 1-1-12; |
revised 10-20-15.)
|
Section 485. The Hazardous Materials Emergency Act is |
amended by changing Section 4 as follows:
|
(430 ILCS 50/4) (from Ch. 127, par. 1254)
|
Sec. 4.
There is hereby created a Hazardous Materials |
Advisory
Board, composed of 21 members as follows: the Director |
of the
Illinois
Emergency Management Agency, or his designee; |
the Director of Agriculture or
his designee; the Chairman of |
the Illinois Commerce Commission or his
designee;
the Director |
of Public Health or his designee; the Director of the
|
Environmental Protection Agency or his designee; the Secretary |
of
Transportation or his designee; the State Fire Marshal or |
his designee; the
Director of State Police or his designee; the |
Director of
Natural Resources or his designee; the Illinois |
Attorney General or his
designee; the Director of
Nuclear |
Safety or his designee; the Executive Director of the Illinois |
Law
Enforcement Training Standards Board or his designee; the |
Director of the
Illinois Fire Service Institute, University of |
Illinois, or his designee; and
a representative from the
|
|
Illinois
Association of Chiefs of Police; the Illinois Fire |
Chiefs Chief's Association; the
Illinois Sheriffs' Sheriff's |
Association; the Illinois Emergency Services Management
|
Association; and 4 members appointed by the Governor,
one of |
whom shall represent volunteer firefighters, one of whom
shall
|
represent the local emergency response service and two shall |
represent the
business community. The Chairman shall be |
selected by the membership from
those members not representing |
a State agency.
|
The Board shall meet within 90 days of January 1, 1985 ( the |
effective date of Public Act 83-1368) this
amendatory Act of |
1984 to select a chairman, other officers and establish
an |
organization structure as the members deem necessary and |
thereafter at
the call of the chair or any 11 members. A
person |
who has been designated by the Director of his department to
|
represent the Director on the Board shall be entitled to vote |
on all
questions before the Board. Eleven members of the Board |
constitute a quorum,
except that where members have not been |
appointed or designated
to the Board, a quorum shall be |
constituted by a simple majority of the
appointed or designated |
membership.
|
The Board shall advise and make recommendations to the |
Agency
regarding
the reporting of an accident involving |
hazardous materials and to the
Department regarding the |
placarding of transportation of hazardous
materials. The Board |
shall design a program and develop a Statewide
plan providing |
|
for a
coordinating system among State agencies and departments |
and units of
local government, for response to
accidents |
involving hazardous materials. Every attempt shall be made to
|
avoid requiring any person to report an accident involving |
hazardous
materials to more than one State agency. If at all |
possible, the
primary agency receiving the reports shall be the |
Illinois
Emergency Management Agency, and that agency shall |
relay reports to other State
and local agencies.
|
The Board shall form from among its members, an Emergency |
Response
Training and Standards Committee. The Secretary of |
Transportation or his
designee, the State Fire Marshal or his |
designee, and the representatives from
the Chiefs of Police, |
Fire Chiefs and Sheriffs' Sheriff's Association shall also |
serve
on the Committee. It shall be the duty of this Committee, |
with final
approval of the Board, to recommend standardized |
training courses for
firefighters, police officers, and other |
hazardous material
emergency response
personnel of the State |
and local governments; to recommend standards for
hazardous |
material emergency response equipment; and recommend
standards |
for achievement levels for the various hazardous material
|
emergency response personnel.
The standardized courses shall |
include training for firefighters, police
officers, and other |
hazardous material emergency response personnel
described in |
the federal regulations relating to the placarding system that
|
has been promulgated under the Hazardous Materials |
Transportation Act
(P.L. 93-633).
|
|
The Board shall review and recommend the material to be |
provided under
Sections 5.04, 5.05, and 5.06 of this Act and |
assure the development of a
plan for those activities in |
Section 5.07 of this Act.
|
The Board shall have the duty to study and recommend to the |
various State
agencies, local governments and the General |
Assembly any aspect of
placarding in transportation, hazard |
signage systems, the training of
hazardous material emergency |
response personnel, the equipment
used in hazardous material |
emergency response, the planning for hazardous
material |
emergency response, and the dissemination of information |
concerning
these areas.
|
The Department of Transportation and the Illinois |
Emergency Management
Agency shall furnish meeting facilities, |
staff, and other administrative
needs of the Board.
The Agency |
or the Department shall inform the Board whenever the Agency or
|
the Department is considering the adoption of any regulations
|
under this Act. The Agency or the Department shall send a copy |
of
all proposed regulations to each member of the Board; the |
Board shall be
represented at all public hearings regarding |
proposals for and changes
in Agency or the Department |
regulations. The Board may, at its
discretion, present the |
Agency or the Department with its written
evaluation of the |
proposed regulations or changes.
|
Before the Department exempts any hazardous material
from |
the placarding regulations, under Section 3 of this Act, the
|
|
Board must approve the regulations providing for the exemption.
|
(Source: P.A. 89-445, eff. 2-7-96; 90-449, eff. 8-16-97; |
revised 10-20-15.)
|
Section 490. The Firearm Owners Identification Card Act is |
amended by changing Section 1.1 as follows:
|
(430 ILCS 65/1.1) (from Ch. 38, par. 83-1.1)
|
Sec. 1.1. For purposes of this Act:
|
"Addicted to narcotics" means a person who has been: |
(1) convicted of an offense involving the use or |
possession of cannabis, a controlled substance, or |
methamphetamine within the past year; or |
(2) determined by the Department of State Police to be |
addicted to narcotics based upon federal law or federal |
guidelines. |
"Addicted to narcotics" does not include possession or use |
of a prescribed controlled substance under the direction and |
authority of a physician or other person authorized to |
prescribe the controlled substance when the controlled |
substance is used in the prescribed manner. |
"Adjudicated as a person with a mental disability" means |
the person is the subject of a determination by a court, board, |
commission or other lawful authority that the person, as a |
result of marked subnormal intelligence, or mental illness, |
mental impairment, incompetency, condition, or disease: |
|
(1) presents a clear and present danger to himself, |
herself, or to others; |
(2) lacks the mental capacity to manage his or her own |
affairs or is adjudicated a person with a disability as |
defined in Section 11a-2 of the Probate Act of 1975; |
(3) is not guilty in a criminal case by reason of |
insanity, mental disease or defect; |
(3.5) is guilty but mentally ill, as provided in |
Section 5-2-6 of the Unified Code of Corrections; |
(4) is incompetent to stand trial in a criminal case; |
(5) is not guilty by reason of lack of mental |
responsibility under Articles 50a and 72b of the Uniform |
Code of Military Justice, 10 U.S.C. 850a, 876b;
|
(6) is a sexually violent person under subsection (f) |
of Section 5 of the Sexually Violent Persons Commitment |
Act; |
(7) is a sexually dangerous person under the Sexually |
Dangerous Persons Act; |
(8) is unfit to stand trial under the Juvenile Court |
Act of 1987; |
(9) is not guilty by reason of insanity under the |
Juvenile Court Act of 1987; |
(10) is subject to involuntary admission as an |
inpatient as defined in Section 1-119 of the Mental Health |
and Developmental Disabilities Code; |
(11) is subject to involuntary admission as an |
|
outpatient as defined in Section 1-119.1 of the Mental |
Health and Developmental Disabilities Code; |
(12) is subject to judicial admission as set forth in |
Section 4-500 of the Mental Health and Developmental |
Disabilities Code; or |
(13) is subject to the provisions of the Interstate |
Agreements on Sexually Dangerous Persons Act. |
"Clear and present danger" means a person who: |
(1) communicates a serious threat of physical violence |
against a reasonably identifiable victim or poses a clear |
and imminent risk of serious physical injury to himself, |
herself, or another person as determined by a physician, |
clinical psychologist, or qualified examiner; or |
(2) demonstrates threatening physical or verbal |
behavior, such as violent, suicidal, or assaultive |
threats, actions, or other behavior, as determined by a |
physician, clinical psychologist, qualified examiner, |
school administrator, or law enforcement official. |
"Clinical psychologist" has the meaning provided in |
Section 1-103 of the Mental Health and Developmental |
Disabilities Code. |
"Controlled substance" means a controlled substance or |
controlled substance analog as defined in the Illinois |
Controlled Substances Act. |
"Counterfeit" means to copy or imitate, without legal |
authority, with
intent
to deceive. |
|
disability |
This disability results in the professional opinion of a |
physician, clinical psychologist, or qualified examiner, in |
significant functional limitations in 3 or more of the |
following areas of major life activity: |
(i) self-care; |
(ii) receptive and expressive language; |
(iii) learning; |
(iv) mobility; or |
(v) self-direction. |
"Federally licensed firearm dealer" means a person who is |
licensed as a federal firearms dealer under Section 923 of the |
federal Gun Control Act of 1968 (18 U.S.C. 923).
|
"Firearm" means any device, by
whatever name known, which |
is designed to expel a projectile or projectiles
by the action |
of an explosion, expansion of gas or escape of gas; excluding,
|
however:
|
(1) any pneumatic gun, spring gun, paint ball gun, or |
B-B gun which
expels a single globular projectile not |
exceeding .18 inch in
diameter or which has a maximum |
muzzle velocity of less than 700 feet
per second;
|
(1.1) any pneumatic gun, spring gun, paint ball gun, or |
B-B gun which expels breakable paint balls containing |
washable marking colors;
|
(2) any device used exclusively for signalling or |
safety and required or
recommended by the United States |
|
Coast Guard or the Interstate Commerce
Commission;
|
(3) any device used exclusively for the firing of stud |
cartridges,
explosive rivets or similar industrial |
ammunition; and
|
(4) an antique firearm (other than a machine-gun) |
which, although
designed as a weapon, the Department of |
State Police finds by reason of
the date of its |
manufacture, value, design, and other characteristics is
|
primarily a collector's item and is not likely to be used |
as a weapon.
|
"Firearm ammunition" means any self-contained cartridge or |
shotgun
shell, by whatever name known, which is designed to be |
used or adaptable to
use in a firearm; excluding, however:
|
(1) any ammunition exclusively designed for use with a |
device used
exclusively for signalling or safety and |
required or recommended by the
United States Coast Guard or |
the Interstate Commerce Commission; and
|
(2) any ammunition designed exclusively for use with a |
stud or rivet
driver or other similar industrial |
ammunition. |
"Gun show" means an event or function: |
(1) at which the sale and transfer of firearms is the |
regular and normal course of business and where 50 or more |
firearms are displayed, offered, or exhibited for sale, |
transfer, or exchange; or |
(2) at which not less than 10 gun show vendors display, |
|
offer, or exhibit for sale, sell, transfer, or exchange |
firearms.
|
"Gun show" includes the entire premises provided for an |
event or function, including parking areas for the event or |
function, that is sponsored to facilitate the purchase, sale, |
transfer, or exchange of firearms as described in this Section.
|
Nothing in this definition shall be construed to exclude a gun |
show held in conjunction with competitive shooting events at |
the World Shooting Complex sanctioned by a national governing |
body in which the sale or transfer of firearms is authorized |
under subparagraph (5) of paragraph (g) of subsection (A) of |
Section 24-3 of the Criminal Code of 2012. |
Unless otherwise expressly stated, "gun show" does not |
include training or safety classes, competitive shooting |
events, such as rifle, shotgun, or handgun matches, trap, |
skeet, or sporting clays shoots, dinners, banquets, raffles, or
|
any other event where the sale or transfer of firearms is not |
the primary course of business. |
"Gun show promoter" means a person who organizes or |
operates a gun show. |
"Gun show vendor" means a person who exhibits, sells, |
offers for sale, transfers, or exchanges any firearms at a gun |
show, regardless of whether the person arranges with a gun show |
promoter for a fixed location from which to exhibit, sell, |
offer for sale, transfer, or exchange any firearm. |
"Involuntarily admitted" has the meaning as prescribed in |
|
Sections 1-119 and 1-119.1 of the Mental Health and |
Developmental Disabilities Code. |
"Mental health facility" means any licensed private |
hospital or hospital affiliate, institution, or facility, or |
part thereof, and any facility, or part thereof, operated by |
the State or a political subdivision thereof which provide |
treatment of persons with mental illness and includes all |
hospitals, institutions, clinics, evaluation facilities, |
mental health centers, colleges, universities, long-term care |
facilities, and nursing homes, or parts thereof, which provide |
treatment of persons with mental illness whether or not the |
primary purpose is to provide treatment of persons with mental |
illness. |
"National governing body" means a group of persons who |
adopt rules and formulate policy on behalf of a national |
firearm sporting organization. |
"Patient" means: |
(1) a person who voluntarily receives mental health |
treatment as an in-patient or resident of any public or |
private mental health facility, unless the treatment was |
solely for an alcohol abuse disorder and no other secondary |
substance abuse disorder or mental illness; or |
(2) a person who voluntarily receives mental health |
treatment as an out-patient or is provided services by a |
public or private mental health facility, and who poses a |
clear and present danger to himself, herself, or to others. |
|
"Person with a developmental disability" means a person |
with a disability which is attributable to any other condition |
which results in impairment similar to that caused by an |
intellectual disability and which requires services similar to |
those required by persons with intellectual disabilities. The |
disability must originate before the age of 18
years, be |
expected to continue indefinitely, and constitute a |
substantial disability. This disability results, in the |
professional opinion of a physician, clinical psychologist, or |
qualified examiner, in significant functional limitations in 3 |
or more of the following areas of major life activity: |
(i) self-care; |
(ii) receptive and expressive language; |
(iii) learning; |
(iv) mobility; or |
(v) self-direction. |
"Person with an intellectual disability" means a person |
with a significantly subaverage general intellectual |
functioning which exists concurrently with impairment in |
adaptive behavior and which originates before the age of 18 |
years. |
"Physician" has the meaning as defined in Section 1-120 of |
the Mental Health and Developmental Disabilities Code. |
"Qualified examiner" has the meaning provided in Section |
1-122 of the Mental Health and Developmental Disabilities Code. |
"Sanctioned competitive shooting event" means a shooting |
|
contest officially recognized by a national or state shooting |
sport association, and includes any sight-in or practice |
conducted in conjunction with the event.
|
"School administrator" means the person required to report |
under the School Administrator Reporting of Mental Health Clear |
and Present Danger Determinations Law. |
"Stun gun or taser" has the meaning ascribed to it in |
Section 24-1 of the Criminal Code of 2012. |
(Source: P.A. 98-63, eff. 7-9-13; 99-29, eff. 7-10-15; 99-143, |
eff. 7-27-15; revised 10-20-15.)
|
Section 495. The Beef Market Development Act is amended by |
changing Section 7 as follows:
|
(505 ILCS 25/7) (from Ch. 5, par. 1407)
|
Sec. 7. Acceptance of grants and gifts. (a) The Checkoff |
Division may accept
grants, donations, contributions , or gifts |
from any source, provided the
use of such resources is not |
restricted in any manner which is deemed inconsistent
with the |
objectives of the program.
|
(Source: P.A. 99-389, eff. 8-18-15; revised 10-16-15.)
|
Section 500. The Illinois Conservation Enhancement Act is |
amended by changing Section 2-2 as follows:
|
(505 ILCS 35/2-2) (from Ch. 5, par. 2402-2)
|
|
Sec. 2-2. Payments to the landowner. The Director shall, |
subject to
available funds and appropriations, make the |
following payments to the
landowner:
|
(1) establishment of the perennial cover or other |
improvements
required by the agreement, up to 60% of the cost, |
but not to exceed $75 per
acre, for easements of limited |
duration;
|
(2) the cost of planting trees required by the agreement, |
up to 80%
of the cost, but not to exceed $75 per acre, for |
easements of limited duration;
|
(3) a permanent easement, not to exceed 70% of the fair |
market value
at the time the easement is conveyed, and payment |
of 100% of the cost, but
not to exceed $75 per acre, to |
establish the perennial cover, other
improvements or to plant |
trees required by the agreement; and
|
(4) an easement of limited duration, not to exceed 90% of |
the
present value of the average of the acceptable bids for the |
federal
Conservation Reserve Program, as contained in Public |
Law Number 99-198, in
the relevant geographic area and on bids |
made immediately prior to when the
easement is conveyed. If |
federal bid figures have not been determined for
the area, or |
the federal program has been discontinued, the rate paid shall
|
be determined by the Director.
|
The Director may not pay more than $50,000 annually to a |
landowner for
the landowner's conservation easements and |
agreements. Any cost-share
payments shall be in addition to |
|
this $50,000 limit.
|
The Director may supplement cost-share payments made under |
other local,
State or federal programs, not to exceed $75 an |
and acre, to the extent of
available appropriations. The |
supplemental cost-share payments must be
used to establish |
perennial cover on land enrolled in programs approved
by the |
Director.
|
(Source: P.A. 85-1332; revised 10-16-15.)
|
Section 505. The Animal Control Act is amended by changing |
Section 15 as follows:
|
(510 ILCS 5/15) (from Ch. 8, par. 365)
|
Sec. 15. (a) In order to have a dog deemed "vicious", the |
Administrator,
Deputy
Administrator,
or law enforcement |
officer must give notice of the
infraction that
is the basis of |
the investigation to the owner, conduct a thorough
|
investigation, interview
any witnesses, including the owner, |
gather any existing medical records,
veterinary
medical |
records or behavioral evidence, and make a detailed report |
recommending
a
finding that the dog is a vicious dog and give |
the report to the State's States
Attorney's Office and the
|
owner. The Administrator, State's Attorney, Director or any |
citizen of the
county in
which the dog exists may file a |
complaint in the circuit court in the name of
the People of the
|
State of
Illinois to deem a dog to be a vicious dog. Testimony |
|
of a certified applied
behaviorist, a
board certified |
veterinary behaviorist, or another recognized expert may be
|
relevant to the
court's determination of whether the dog's |
behavior was justified. The
petitioner must
prove the dog is a |
vicious dog by clear and convincing evidence. The
Administrator |
shall determine where the animal shall be confined during the
|
pendency of the case.
|
A dog may not be declared vicious if the court determines |
the conduct of
the
dog was
justified because:
|
(1) the threat, injury, or death was sustained by a |
person who at the time
was
committing a crime or offense |
upon the owner or custodian of the dog, or was committing a |
willful trespass or other tort upon the premises or |
property owned or occupied by the owner of the animal;
|
(2) the injured, threatened, or killed person was |
abusing,
assaulting,
or physically threatening the dog or |
its offspring, or has in the past
abused,
assaulted, or |
physically threatened the dog or its offspring; or
|
(3) the dog was responding to pain or injury, or was |
protecting itself, its
owner,
custodian, or member of its |
household, kennel, or offspring.
|
No dog shall be deemed "vicious" if it is a professionally |
trained dog for
law
enforcement or guard duties. Vicious dogs |
shall not be classified
in a manner that is specific as to |
breed.
|
If the burden of proof has been met, the court shall deem |
|
the dog to be a
vicious dog.
|
If a dog is found to be a vicious dog, the owner shall pay a |
$100 public safety fine to be deposited into the Pet Population |
Control Fund, the dog shall be spayed or
neutered within 10 |
days of the finding at the expense of its
owner and |
microchipped, if not already, and the dog is subject to
|
enclosure. If an owner fails to comply with these requirements, |
the animal control agency shall impound the dog and the owner |
shall pay a $500 fine plus impoundment fees to the animal |
control agency impounding the dog. The judge has the discretion |
to order a vicious dog be euthanized. A dog found to be a |
vicious dog shall not be released to the
owner until the |
Administrator, an Animal Control Warden, or the
Director |
approves the enclosure. No owner or
keeper of a vicious dog |
shall sell or give away the dog without
approval from the |
Administrator or court. Whenever an owner of a vicious dog |
relocates, he or she shall notify
both the
Administrator of
|
County
Animal Control where he or she has relocated and the |
Administrator of County
Animal Control where he or she formerly |
resided.
|
(b) It shall be unlawful for any person to keep or maintain |
any dog
which has been found to be a vicious dog unless the dog |
is
kept in an enclosure. The only times that a vicious dog may |
be allowed out
of the enclosure are (1) if it is necessary for |
the owner or keeper to
obtain veterinary care for the dog, (2) |
in the case of an emergency or
natural disaster where the
dog's |
|
life is threatened, or (3) to comply with the order of a
court |
of competent jurisdiction, provided that the dog is securely |
muzzled
and restrained with a leash not
exceeding 6 feet in |
length, and shall be under the direct control and
supervision |
of the owner or keeper of the dog or muzzled in its residence.
|
Any dog which has been found to be a vicious dog and which |
is not
confined to an enclosure shall be impounded by the |
Administrator, an Animal
Control Warden, or the law enforcement |
authority having jurisdiction in
such area.
|
If the owner of the dog has not appealed the impoundment |
order to the
circuit court in the county in which the animal |
was impounded within 15
working days, the dog may be |
euthanized.
|
Upon filing a notice of appeal, the order of euthanasia |
shall be
automatically stayed pending the outcome of the |
appeal. The owner shall bear
the burden of timely notification |
to animal control in writing.
|
Guide dogs for the blind or hearing impaired, support dogs |
for persons with physical disabilities, accelerant detection |
dogs, and sentry, guard, or
police-owned dogs are
exempt from |
this Section; provided, an attack or injury to a person
occurs |
while the dog is performing duties as expected. To qualify for
|
exemption under this Section, each such dog shall be currently
|
inoculated against rabies in accordance with Section 8
of this |
Act. It shall be the duty of the owner of such exempted dog to
|
notify the Administrator of changes of address. In the case of |
|
a sentry or
guard dog, the owner shall keep the Administrator |
advised of the location
where such dog will be stationed. The |
Administrator shall provide police
and fire departments with a |
categorized list of such exempted dogs, and
shall promptly |
notify such departments of any address changes reported to him.
|
(c) If the animal control agency has custody of the dog, |
the agency may file a petition with the court requesting that |
the owner be ordered to post security. The security must be in |
an amount sufficient to secure payment of all reasonable |
expenses expected to be incurred by the animal control agency |
or animal shelter in caring for and providing for the dog |
pending the determination. Reasonable expenses include, but |
are not limited to, estimated medical care and boarding of the |
animal for 30 days. If security has been posted in accordance |
with this Section, the animal control agency may draw from the |
security the actual costs incurred by the agency in caring for |
the dog. |
(d) Upon receipt of a petition, the court must set a |
hearing on the petition, to be conducted within 5 business days |
after the petition is filed. The petitioner must serve a true |
copy of the petition upon the defendant. |
(e) If the court orders the posting of security, the |
security must be posted with the clerk of the court within 5 |
business days after the hearing. If the person ordered to post |
security does not do so, the dog is forfeited by operation of |
law and the animal control agency must dispose of the animal |
|
through adoption or humane euthanization.
|
(Source: P.A. 99-143, eff. 7-27-15; revised 10-20-15.)
|
Section 510. The Herptiles-Herps Act is amended by changing |
Section 80-5 as follows:
|
(510 ILCS 68/80-5)
|
Sec. 80-5. Injury to a member of public by special use |
herptiles. A person who possesses a special use herptile |
without complying with the requirements of this Act and the |
rules adopted under the authority of this Act and whose special |
use herptile harms a person when the possessor knew or should |
have known that the herptile had a propensity, when provoked or |
unprovoked, to harm, cause injury to, or otherwise |
substantially endanger a member of the public is guilty of a |
Class A misdemeanor. A person who fails to comply with the |
provisions of this Act and the rules adopted under the |
authority of this Act and who intentionally or knowingly allows |
allow a special use herptile to cause great bodily harm to, or |
the death of, a human is guilty of a Class 4 felony.
|
(Source: P.A. 98-752, eff. 1-1-15; revised 10-20-15.)
|
Section 515. The Humane Care for Animals Act is amended by |
changing Section 3.01 as follows:
|
(510 ILCS 70/3.01) (from Ch. 8, par. 703.01)
|
|
Sec. 3.01. Cruel treatment. |
(a) No person or owner may beat, cruelly treat,
torment, |
starve, overwork or otherwise abuse any animal.
|
(b) No owner may abandon any animal where it may become a |
public charge or
may suffer injury, hunger or exposure.
|
(c) No owner of a dog or cat that is a companion animal may |
expose the dog or cat in a manner that places the dog or cat in |
a life-threatening situation for a prolonged period of time in |
extreme heat or cold conditions that results in injury to or |
death of the animal. |
(d) (c) A person convicted of violating this Section is |
guilty of a Class A
misdemeanor. A second or subsequent |
conviction for a violation of this Section
is a Class 4 felony. |
In addition to any other penalty provided by law, a person who |
is convicted of violating subsection (a) upon a companion |
animal in the presence of a child, as defined in Section 12-0.1 |
of the Criminal Code of 2012, shall be subject to a fine of |
$250 and ordered to perform community service for not less than |
100 hours. In addition to any other penalty provided by law, |
upon
conviction for violating this Section, the court may order |
the convicted person
to undergo a psychological or psychiatric |
evaluation and to undergo any
treatment at the convicted |
person's expense that the court determines to be
appropriate |
after due consideration of the evidence. If the convicted |
person
is a juvenile or a companion animal hoarder, the court |
must order the convicted
person to undergo a psychological or |
|
psychiatric evaluation and to undergo
treatment that the court |
determines to be appropriate after due consideration
of the |
evaluation.
|
(Source: P.A. 99-311, eff. 1-1-16; 99-357, eff. 1-1-16; revised |
10-20-15.)
|
Section 520. The Wildlife Code is amended by changing |
Sections 2.26, 2.33, and 3.31 as follows:
|
(520 ILCS 5/2.26) (from Ch. 61, par. 2.26)
|
Sec. 2.26. Deer hunting permits. In this Section,
"bona |
fide equity shareholder" means an individual who (1) purchased, |
for
market price, publicly sold stock shares in a corporation,
|
purchased shares of a privately-held corporation for a value
|
equal to the percentage of the appraised value of the corporate |
assets
represented by the ownership in the corporation, or is a |
member of a
closely-held family-owned corporation and has |
purchased or been gifted with
shares of stock in the |
corporation accurately reflecting his or her
percentage of |
ownership and (2) intends to retain the ownership of the
shares |
of stock for at least 5 years.
|
In this Section, "bona fide equity member" means an |
individual who (1) (i)
became a member
upon
the formation of |
the limited liability company or (ii) has purchased a
|
distributional interest in a limited liability company for a |
value equal to the
percentage of the appraised value of the LLC |
|
assets represented by the
distributional interest in the LLC |
and subsequently becomes a member of the
company
pursuant to |
Article 30 of the Limited Liability Company Act and who (2)
|
intends to retain the membership for at least 5 years.
|
In this Section, "bona fide equity partner" means an |
individual who (1) (i) became a partner, either general or |
limited, upon the formation of a partnership or limited |
partnership, or (ii) has purchased, acquired, or been gifted a |
partnership interest accurately representing his or her |
percentage distributional interest in the profits, losses, and |
assets of a partnership or limited partnership, (2) intends to |
retain ownership of the partnership interest for at least 5 |
years, and (3) is a resident of Illinois.
|
Any person attempting to take deer shall first obtain a |
"Deer
Hunting Permit" issued by the Department in accordance |
with its administrative rules.
Those rules must provide for the |
issuance of the following types of resident deer archery |
permits: (i) a combination permit, consisting of one either-sex |
permit and one antlerless-only permit, (ii) a single |
antlerless-only permit, and (iii) a single either-sex permit. |
The fee for a Deer Hunting Permit to take deer with either bow |
and arrow or gun
shall not exceed $25.00 for residents of the |
State. The Department may by
administrative rule provide for |
non-resident deer hunting permits for which the
fee will not |
exceed $300 in 2005, $350 in 2006, and $400 in 2007 and |
thereafter except as provided below for non-resident |
|
landowners
and non-resident archery hunters. The Department |
may by
administrative rule provide for a non-resident archery |
deer permit consisting
of not more than 2 harvest tags at a |
total cost not to exceed $325 in 2005, $375 in 2006, and $425 |
in 2007 and thereafter.
Permits shall be issued without charge |
to:
|
(a) Illinois landowners residing in Illinois who own at |
least 40 acres of
Illinois land and wish to hunt their land |
only,
|
(b) resident tenants of at least 40 acres of commercial |
agricultural land
where they will hunt, and
|
(c) Bona fide equity shareholders of a corporation,
|
bona fide
equity
members of a limited liability
company, or |
bona fide equity partners of a general or limited |
partnership
which owns at least 40 acres of land
in a |
county in Illinois who wish to hunt on the corporation's, |
company's, or partnership's land only.
One permit shall be |
issued without charge to one bona fide equity
shareholder, |
one bona fide equity member, or one bona fide equity |
partner for each 40
acres of land owned by the corporation, |
company, or partnership in
a county; however, the number of
|
permits issued without charge to bona fide equity |
shareholders of any
corporation or bona fide equity members
|
of a limited
liability company in any
county shall not |
exceed 15, and shall not exceed 3 in the case of bona fide |
equity partners of a partnership.
|
|
Bona fide landowners or tenants who do not wish to hunt |
only on the land
they own, rent, or lease or bona fide equity |
shareholders, bona fide
equity
members, or bona fide equity |
partners who do not wish to hunt
only on the
land owned by the |
corporation, limited liability company, or partnership
shall |
be
charged the same fee as the
applicant who is not a |
landowner, tenant, bona fide equity
shareholder,
bona fide |
equity member, or bona fide equity partner. Nonresidents
of
|
Illinois who own at least 40 acres of land and wish to hunt on |
their land only
shall be charged a fee set by administrative |
rule. The method for
obtaining these permits shall be |
prescribed by administrative rule.
|
The deer hunting permit issued without fee shall be valid |
on
all farm lands which the person to whom it is issued owns, |
leases or rents,
except that in the case of a permit issued to |
a bona fide equity
shareholder, bona fide equity member, or |
bona fide equity partner, the
permit shall
be valid on all |
lands owned by the corporation, limited liability
company, or |
partnership in the county.
|
The standards and specifications for use of guns and bow |
and arrow for
deer hunting shall be established by |
administrative rule.
|
No person may have in his possession any firearm not |
authorized by
administrative rule for a specific hunting season |
when taking deer.
|
Persons having a firearm deer hunting permit shall be |
|
permitted to
take deer only during the period from 1/2 hour |
before sunrise to
1/2 hour after sunset, and only during those |
days for which an open season is
established for the taking of |
deer by use of shotgun, handgun, or muzzle
loading
rifle.
|
Persons having an archery deer hunting permit shall be |
permitted to
take deer only during the period from 1/2 hour |
before sunrise to 1/2 hour
after sunset, and only during those |
days for which an open season is
established for the taking of |
deer by use of bow and arrow.
|
It shall be unlawful for any person to take deer by use of |
dogs,
horses, automobiles, aircraft or other vehicles, or by |
the use
or aid of bait or baiting of any kind. For the purposes |
of this Section, "bait" means any material, whether liquid or |
solid, including food, salt, minerals, and other products, |
except pure water, that can be ingested, placed, or scattered |
in such a manner as to attract or lure white-tailed deer. |
"Baiting" means the placement or scattering of bait to attract |
deer. An area is considered as baited during the presence
of |
and for 10 consecutive days following the removal of bait. |
Nothing in this Section shall prohibit the use of a dog to |
track wounded deer. Any person using a dog for tracking wounded |
deer must maintain physical control of the dog at all times by |
means of a maximum 50 foot lead attached to the dog's collar or |
harness. Tracking wounded deer is permissible at night, but at |
no time outside of legal deer hunting hours or seasons shall |
any person handling or accompanying a dog being used for |
|
tracking wounded deer be in possession of any firearm or |
archery device. Persons tracking wounded deer with a dog during |
the firearm deer seasons shall wear blaze orange as required. |
Dog handlers tracking wounded deer with a dog are exempt from |
hunting license and deer permit requirements so long as they |
are accompanied by the licensed deer hunter who wounded the |
deer.
|
It shall be unlawful to possess or transport any wild deer |
which has
been injured or killed in any manner upon a public |
highway or public
right-of-way of this State unless exempted by |
administrative rule.
|
Persons hunting deer must have gun unloaded and no bow and |
arrow
device shall be carried with the arrow in the nocked |
position during
hours when deer hunting is unlawful.
|
It shall be unlawful for any person, having taken the legal |
limit of
deer by gun, to further participate with gun in any |
deer hunting party.
|
It shall be unlawful for any person, having taken the legal |
limit
of deer by bow and arrow, to further participate with bow |
and arrow in any
deer hunting party.
|
The Department may prohibit upland game hunting during the |
gun deer
season by administrative rule.
|
The Department shall not limit the number of non-resident , |
either-sex either sex archery deer hunting permits to less than |
20,000.
|
Any person who violates any of the provisions of this |
|
Section,
including administrative rules, shall be guilty of a |
Class B misdemeanor.
|
For the purposes of calculating acreage under this Section, |
the Department shall, after determining the total acreage of |
the applicable tract or tracts of land, round remaining |
fractional portions of an acre greater than or equal to half of |
an acre up to the next whole acre. |
For the purposes of taking white-tailed deer, nothing in |
this Section shall be construed to prevent the manipulation, |
including mowing or cutting, of standing crops as a normal |
agricultural or soil stabilization practice, food plots, or |
normal agricultural practices, including planting, harvesting, |
and maintenance such as cultivating or the use of products |
designed for scent only and not capable of ingestion, solid or |
liquid, placed or scattered, in such a manner as to attract or |
lure deer. Such manipulation for the purpose of taking |
white-tailed deer may be further modified by administrative |
rule. |
(Source: P.A. 97-564, eff. 8-25-11; 97-907, eff. 8-7-12; |
98-180, eff. 8-5-13; revised 10-20-15.)
|
(520 ILCS 5/2.33) (from Ch. 61, par. 2.33)
|
Sec. 2.33. Prohibitions.
|
(a) It is unlawful to carry or possess any gun in any
State |
refuge unless otherwise permitted by administrative rule.
|
(b) It is unlawful to use or possess any snare or |
|
snare-like device,
deadfall, net, or pit trap to take any |
species, except that snares not
powered by springs or other |
mechanical devices may be used to trap
fur-bearing mammals, in |
water sets only, if at least one-half of the snare
noose is |
located underwater at all times.
|
(c) It is unlawful for any person at any time to take a |
wild mammal
protected by this Act from its den by means of any |
mechanical device,
spade, or digging device or to use smoke or |
other gases to dislodge or
remove such mammal except as |
provided in Section 2.37.
|
(d) It is unlawful to use a ferret or any other small |
mammal which is
used in the same or similar manner for which |
ferrets are used for the
purpose of frightening or driving any |
mammals from their dens or hiding places.
|
(e) (Blank).
|
(f) It is unlawful to use spears, gigs, hooks or any like |
device to
take any species protected by this Act.
|
(g) It is unlawful to use poisons, chemicals or explosives |
for the
purpose of taking any species protected by this Act.
|
(h) It is unlawful to hunt adjacent to or near any peat, |
grass,
brush or other inflammable substance when it is burning.
|
(i) It is unlawful to take, pursue or intentionally harass |
or disturb
in any manner any wild birds or mammals by use or |
aid of any vehicle or
conveyance, except as permitted by the |
Code of Federal Regulations for the
taking of waterfowl. It is |
also unlawful to use the lights of any vehicle
or conveyance or |
|
any light from or any light connected to the
vehicle or |
conveyance in any area where wildlife may be found except in
|
accordance with Section 2.37 of this Act; however, nothing in |
this
Section shall prohibit the normal use of headlamps for the |
purpose of driving
upon a roadway. Striped skunk, opossum, red |
fox, gray
fox, raccoon, bobcat, and coyote may be taken during |
the open season by use of a small
light which is worn on the |
body or hand-held by a person on foot and not in any
vehicle.
|
(j) It is unlawful to use any shotgun larger than 10 gauge |
while
taking or attempting to take any of the species protected |
by this Act.
|
(k) It is unlawful to use or possess in the field any |
shotgun shell loaded
with a shot size larger than lead BB or |
steel T (.20 diameter) when taking or
attempting to take any |
species of wild game mammals (excluding white-tailed
deer), |
wild game birds, migratory waterfowl or migratory game birds |
protected
by this Act, except white-tailed deer as provided for |
in Section 2.26 and other
species as provided for by subsection |
(l) or administrative rule.
|
(l) It is unlawful to take any species of wild game, except
|
white-tailed deer and fur-bearing mammals, with a shotgun |
loaded with slugs unless otherwise
provided for by |
administrative rule.
|
(m) It is unlawful to use any shotgun capable of holding |
more than 3
shells in the magazine or chamber combined, except |
on game breeding and
hunting preserve areas licensed under |
|
Section 3.27 and except as permitted by
the Code of Federal |
Regulations for the taking of waterfowl. If the shotgun
is |
capable of holding more than 3 shells, it shall, while being |
used on an
area other than a game breeding and shooting |
preserve area licensed
pursuant to Section 3.27, be fitted with |
a one piece plug that is
irremovable without dismantling the |
shotgun or otherwise altered to
render it incapable of holding |
more than 3 shells in the magazine and
chamber, combined.
|
(n) It is unlawful for any person, except persons who |
possess a permit to
hunt from a vehicle as provided in this |
Section and persons otherwise permitted
by law, to have or |
carry any gun in or on any vehicle, conveyance or aircraft,
|
unless such gun is unloaded and enclosed in a case, except that |
at field trials
authorized by Section 2.34 of this Act, |
unloaded guns or guns loaded with blank
cartridges only, may be |
carried on horseback while not contained in a case, or
to have |
or carry any bow or arrow device in or on any vehicle unless |
such bow
or arrow device is unstrung or enclosed in a case, or |
otherwise made
inoperable.
|
(o) It is unlawful to use any crossbow for the purpose of |
taking any
wild birds or mammals, except as provided for in |
Section 2.5.
|
(p) It is unlawful to take game birds, migratory game birds |
or
migratory waterfowl with a rifle, pistol, revolver or |
airgun.
|
(q) It is unlawful to fire a rifle, pistol, revolver or |
|
airgun on,
over or into any waters of this State, including |
frozen waters.
|
(r) It is unlawful to discharge any gun or bow and arrow |
device
along, upon, across, or from any public right-of-way or |
highway in this State.
|
(s) It is unlawful to use a silencer or other device to |
muffle or
mute the sound of the explosion or report resulting |
from the firing of
any gun.
|
(t) It is unlawful for any person to take or attempt to |
take any species of wildlife or parts thereof, intentionally or |
wantonly allow a dog to
hunt, within or upon the land of |
another, or upon waters flowing over or
standing on the land of |
another, or to knowingly shoot a gun or bow and arrow device at |
any wildlife physically on or flying over the property of |
another without first obtaining permission from
the owner or |
the owner's designee. For the purposes of this Section, the |
owner's designee means anyone who the owner designates in a |
written authorization and the authorization must contain (i) |
the legal or common description of property for such authority |
is given, (ii) the extent that the owner's designee is |
authorized to make decisions regarding who is allowed to take |
or attempt to take any species of wildlife or parts thereof, |
and (iii) the owner's notarized signature. Before enforcing |
this
Section the law enforcement officer must have received |
notice from the
owner or the owner's designee of a violation of |
this Section. Statements made to the
law enforcement officer |
|
regarding this notice shall not be rendered
inadmissible by the |
hearsay rule when offered for the purpose of showing the
|
required notice.
|
(u) It is unlawful for any person to discharge any firearm |
for the purpose
of taking any of the species protected by this |
Act, or hunt with gun or
dog, or intentionally or wantonly |
allow a dog to hunt, within 300 yards of an inhabited dwelling |
without
first obtaining permission from the owner or tenant, |
except that while
trapping, hunting with bow and arrow, hunting |
with dog and shotgun using shot
shells only, or hunting with |
shotgun using shot shells only, or providing outfitting |
services under a waterfowl outfitter permit, or
on licensed |
game breeding and hunting preserve areas, as defined in Section
|
3.27, on
federally owned and managed lands and on Department |
owned, managed, leased, or
controlled lands, a 100 yard |
restriction shall apply.
|
(v) It is unlawful for any person to remove fur-bearing |
mammals from, or
to move or disturb in any manner, the traps |
owned by another person without
written authorization of the |
owner to do so.
|
(w) It is unlawful for any owner of a dog to knowingly or |
wantonly allow
his or her dog to pursue, harass or kill deer, |
except that nothing in this Section shall prohibit the tracking |
of wounded deer with a dog in accordance with the provisions of |
Section 2.26 of this Code.
|
(x) It is unlawful for any person to wantonly or carelessly |
|
injure
or destroy, in any manner whatsoever, any real or |
personal property on
the land of another while engaged in |
hunting or trapping thereon.
|
(y) It is unlawful to hunt wild game protected by this Act |
between one
half hour after sunset and one half hour before |
sunrise, except that
hunting hours between one half hour after |
sunset and one half hour
before sunrise may be established by |
administrative rule for fur-bearing
mammals.
|
(z) It is unlawful to take any game bird (excluding wild |
turkeys and
crippled pheasants not capable of normal flight and |
otherwise irretrievable)
protected by this Act when not flying. |
Nothing in this Section shall prohibit
a person from carrying |
an uncased, unloaded shotgun in a boat, while in pursuit
of a |
crippled migratory waterfowl that is incapable of normal |
flight, for the
purpose of attempting to reduce the migratory |
waterfowl to possession, provided
that the attempt is made |
immediately upon downing the migratory waterfowl and
is done |
within 400 yards of the blind from which the migratory |
waterfowl was
downed. This exception shall apply only to |
migratory game birds that are not
capable of normal flight. |
Migratory waterfowl that are crippled may be taken
only with a |
shotgun as regulated by subsection (j) of this Section using
|
shotgun shells as regulated in subsection (k) of this Section.
|
(aa) It is unlawful to use or possess any device that may |
be used for
tree climbing or cutting, while hunting fur-bearing |
mammals, excluding coyotes.
|
|
(bb) It is unlawful for any person, except licensed game |
breeders,
pursuant to Section 2.29 to import, carry into, or |
possess alive in this
State any species of wildlife taken |
outside of this State, without
obtaining permission to do so |
from the Director.
|
(cc) It is unlawful for any person to have in his or her
|
possession any freshly killed species protected by this Act |
during the season
closed for taking.
|
(dd) It is unlawful to take any species protected by this |
Act and retain
it alive except as provided by administrative |
rule.
|
(ee) It is unlawful to possess any rifle while in the field |
during gun
deer season except as provided in Section 2.26 and |
administrative rules.
|
(ff) It is unlawful for any person to take any species |
protected by
this Act, except migratory waterfowl, during the |
gun deer hunting season in
those counties open to gun deer |
hunting, unless he or she wears, when in
the field, a cap and |
upper outer garment of a solid blaze orange color, with
such |
articles of clothing displaying a minimum of 400 square inches |
of
blaze orange material.
|
(gg) It is unlawful during the upland game season for any |
person to take
upland game with a firearm unless he or she |
wears, while in the field, a
cap of solid blaze orange color. |
For purposes of this Act, upland game is
defined as Bobwhite |
Quail, Hungarian Partridge, Ring-necked Pheasant, Eastern
|
|
Cottontail and Swamp Rabbit.
|
(hh) It shall be unlawful to kill or cripple any species |
protected by
this Act for which there is a bag limit without |
making a reasonable
effort to retrieve such species and include |
such in the bag limit. It shall be unlawful for any person |
having control over harvested game mammals, game birds, or |
migratory game birds for which there is a bag limit to wantonly |
waste or destroy the usable meat of the game, except this shall |
not apply to wildlife taken under Sections 2.37 or 3.22 of this |
Code. For purposes of this subsection, "usable meat" means the |
breast meat of a game bird or migratory game bird and the hind |
ham and front shoulders of a game mammal. It shall be unlawful |
for any person to place, leave, dump, or abandon a wildlife |
carcass or parts of it along or upon a public right-of-way or |
highway or on public or private property, including a waterway |
or stream, without the permission of the owner or tenant. It |
shall not be unlawful to discard game meat that is determined |
to be unfit for human consumption.
|
(ii) This Section shall apply only to those species |
protected by this
Act taken within the State. Any species or |
any parts thereof, legally taken
in and transported from other |
states or countries, may be possessed
within the State, except |
as provided in this Section and Sections 2.35, 2.36
and 3.21.
|
(jj) (Blank).
|
(kk) Nothing contained in this Section shall prohibit the |
Director
from issuing permits to paraplegics or to other |
|
persons with disabilities who meet the
requirements set forth |
in administrative rule to shoot or hunt from a vehicle
as |
provided by that rule, provided that such is otherwise in |
accord with this
Act.
|
(ll) Nothing contained in this Act shall prohibit the |
taking of aquatic
life protected by the Fish and Aquatic Life |
Code or birds and mammals
protected by this Act, except deer |
and fur-bearing mammals, from a boat not
camouflaged or |
disguised to alter its identity or to further provide a place
|
of concealment and not propelled by sail or mechanical power. |
However, only
shotguns not larger than 10 gauge nor smaller |
than .410 bore loaded with not
more than 3 shells of a shot |
size no larger than lead BB or steel T (.20
diameter) may be |
used to take species protected by this Act.
|
(mm) Nothing contained in this Act shall prohibit the use |
of a shotgun,
not larger than 10 gauge nor smaller than a 20 |
gauge, with a rifled barrel.
|
(nn) It shall be unlawful to possess any species of |
wildlife or wildlife parts taken unlawfully in Illinois, any |
other state, or any other country, whether or not the wildlife |
or wildlife parts is indigenous to Illinois. For the purposes |
of this subsection, the statute of limitations for unlawful |
possession of wildlife or wildlife parts shall not cease until |
2 years after the possession has permanently ended. |
(Source: P.A. 98-119, eff. 1-1-14; 98-181, eff. 8-5-13; 98-183, |
eff. 1-1-14; 98-290, eff. 8-9-13; 98-756, eff. 7-16-14; 98-914, |
|
eff. 1-1-15; 99-33, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-20-15.)
|
(520 ILCS 5/3.31) (from Ch. 61, par. 3.31)
|
Sec. 3.31.
The Department may designate any operator of a |
licensed license game breeding
and hunting preserve area or any |
of his or its agents or employees as a
special representative |
of the Department with power to enforce the game
laws and to |
prevent trespassing upon such property; provided that
not more |
than two special representatives may be appointed for each such
|
preserve. Such special representative shall be subject to rules |
and
regulations to be prescribed by the Department and shall |
serve without
compensation from the Department.
|
(Source: P.A. 84-150; revised 10-20-15.)
|
Section 525. The Illinois Vehicle Code is amended by |
changing Sections 3-415, 3-616, 3-626, 3-801, 3-806.3, 3-818, |
6-106.1, 6-115, 6-118, 6-205, 6-206, 6-208, 6-302, 11-501.01, |
11-605.1, 12-215, and 15-316 as follows:
|
(625 ILCS 5/3-415) (from Ch. 95 1/2, par. 3-415)
|
Sec. 3-415. Application for and renewal of registration. |
(a) Calendar
year. Application for renewal of a vehicle |
registration shall be made by
the owner, as to those vehicles |
required to be registered on a calendar
registration year, not |
later than December 1 of each year, upon proper
application
and |
|
by payment of the registration fee and tax for such vehicle, as |
provided
by law except that application for renewal of a |
vehicle registration, as
to those vehicles required to be |
registered on a staggered calendar year
basis, shall be made by |
the owner in the form and manner prescribed by the
Secretary of |
State.
|
(b) Fiscal year. Application for renewal of a vehicle
|
registration shall be made by the owner, as to those vehicles
|
required to be registered on a fiscal registration year, not
|
later than June 1 of each year, upon proper application and by
|
payment of the registration fee and tax for such vehicle as
|
provided by law, except that application for renewal of a |
vehicle registration,
as to those vehicles required to be |
registered on a staggered fiscal year
basis, shall be made by |
the owner in the form and manner prescribed by the
Secretary of |
State.
|
(c) Two calendar years. Application for renewal of a |
vehicle
registration shall be made by the owner, as to those |
vehicles
required to be registered for 2 calendar years, not |
later than
December 1 of the year preceding commencement of the |
2-year
registration period, except that application for |
renewal of a vehicle
registration, as to those vehicles |
required to be registered for 2 years
on a staggered |
registration basis, shall be made by the owner in the form
and |
manner prescribed by the Secretary of State.
|
(d) Two fiscal years. Application for renewal of a vehicle
|
|
registration shall be made by the owner, as to those vehicles
|
required to be registered for 2 fiscal years, not later than
|
June 1 immediately preceding commencement of the 2-year
|
registration period, except that application for renewal of a |
vehicle
registration, as to those vehicles required to be |
registered for 2 fiscal
years on a staggered registration |
basis, shall be made by the owner in the
form and manner |
prescribed by the Secretary of State.
|
(d-5) Three calendar years. Application for renewal of a |
vehicle
registration shall be made by the owner, as to those |
vehicles
required to be registered for 3 calendar years, not |
later than
December 1 of the year preceding commencement of the |
3-year
registration period. |
(d-10) Five calendar years. Application for renewal of a |
vehicle registration shall be made by the owner, as to those |
vehicles required to be registered for 5 calendar years, not |
later than December 1 of the year preceding commencement of the |
5-year registration period. |
(e) Time of application. The Secretary of State may receive
|
applications for renewal of registration and grant the same
and |
issue new registration cards and plates or registration
|
stickers at any time prior to expiration of registration.
No |
person shall display upon a vehicle, the new registration
|
plates or registration stickers prior to the dates the |
Secretary of State
in his discretion
may select.
|
(f) Verification. The Secretary of State may further
|
|
require, as to vehicles for-hire, that applications be
|
accompanied by verification that fees due under the Illinois
|
Motor Carrier of Property Law, as amended, have been paid.
|
(g) (Blank). |
(h) Returning combat mission veterans. Beginning in |
registration year 2017, the application for renewal, and |
subsequent fees, of a vehicle registration for a member of the |
active-duty or reserve component of the United States Armed |
Forces returning from a combat mission shall not be required |
for that service member's next scheduled renewal. Proof of |
combat mission service shall come from the service member's |
hostile fire pay or imminent danger pay documentation received |
any time in the 12 months preceding the registration renewal. |
Nothing in this subsection is applicable to the additional fees |
incurred by specialty, personalized, or vanity license plates. |
(Source: P.A. 98-539, eff. 1-1-14; 98-787, eff. 7-25-14; 99-32, |
eff. 7-10-15; 99-80, eff. 1-1-16; revised 10-19-15.)
|
(625 ILCS 5/3-616) (from Ch. 95 1/2, par. 3-616)
|
Sec. 3-616. Disability license plates.
|
(a) Upon receiving an application for a certificate of |
registration for
a motor vehicle of the first division or for a |
motor vehicle of the second
division weighing no more than |
8,000 pounds, accompanied with payment of the
registration fees |
required under this Code from a person with disabilities or
a |
person who is deaf or hard of hearing, the Secretary of State,
|
|
if so requested, shall issue to such person registration plates |
as provided for
in Section 3-611, provided that the person with |
disabilities or person who is
deaf or hard of hearing must not |
be disqualified from obtaining a driver's
license under |
subsection 8 of Section 6-103 of this Code, and further |
provided
that any person making such a request must submit a |
statement, certified by
a
licensed physician, by a licensed |
physician assistant, or by a licensed
advanced practice nurse, |
to
the effect that such person is a person with disabilities
as |
defined by Section 1-159.1 of this Code, or alternatively |
provide adequate
documentation that such person has a Class 1A, |
Class 2A or Type Four
disability under the provisions of |
Section 4A of the Illinois Identification
Card Act. For |
purposes of this Section, an Illinois Person
with a Disability |
Identification Card issued pursuant to the Illinois |
Identification Card Act
indicating that the person thereon |
named has a disability shall be adequate
documentation of such |
a disability.
|
(b) The Secretary shall issue plates under this Section to |
a parent or
legal guardian of a person with disabilities if the |
person with disabilities
has a Class 1A or Class 2A disability |
as defined in Section 4A of the Illinois
Identification Card |
Act or is a person with disabilities as defined by Section
|
1-159.1 of this Code, and does not possess a vehicle registered |
in his or her
name, provided that the person with disabilities |
relies frequently on the
parent or legal guardian for |
|
transportation. Only one vehicle per family
may be registered |
under this subsection, unless the applicant can justify in
|
writing the need for one additional set of plates. Any person |
requesting
special plates under this subsection shall submit |
such documentation or such
physician's, physician assistant's, |
or advanced practice nurse's
statement as is required in |
subsection
(a) and a statement
describing the circumstances |
qualifying for issuance of special plates under
this |
subsection. An optometrist may certify a Class 2A Visual |
Disability, as defined in Section 4A of the Illinois |
Identification Card Act, for the purpose of qualifying a person |
with disabilities for special plates under this subsection.
|
(c) The Secretary may issue a
parking decal or
device to a |
person with disabilities as defined by Section 1-159.1 without
|
regard to qualification of such person with disabilities for a |
driver's license
or registration of a vehicle by such person |
with disabilities or such person's
immediate family, provided |
such person with disabilities making such a request
has been |
issued an Illinois Person with a Disability Identification Card |
indicating that the
person named thereon has a Class 1A or |
Class 2A disability, or alternatively,
submits a statement |
certified by a licensed physician, or by a licensed physician
|
assistant or a licensed advanced practice nurse as provided in |
subsection (a), to
the effect that such
person is a person with |
disabilities as defined by Section 1-159.1. An optometrist may |
certify a Class 2A Visual Disability as defined in Section 4A |
|
of the Illinois Identification Card Act for the purpose of |
qualifying a person with disabilities for a parking decal or |
device under this subsection.
|
(d) The Secretary shall prescribe by rules and regulations |
procedures
to certify or re-certify as necessary the |
eligibility of persons whose
disabilities are other than |
permanent for special plates or
parking decals or devices |
issued under subsections (a), (b)
and (c). Except as provided |
under subsection (f) of this Section, no
such special plates, |
decals or devices shall be issued by the Secretary of
State to |
or on behalf of any person with disabilities unless such person |
is
certified as meeting the definition of a person with |
disabilities pursuant to
Section 1-159.1 or meeting the |
requirement of a Type Four disability as
provided under Section |
4A of the Illinois Identification Card Act for the
period of |
time that the physician, or the physician assistant or advanced
|
practice nurse as provided in
subsection (a), determines the |
applicant will have the
disability, but not to exceed 6 months |
from the date of certification or
recertification.
|
(e) Any person requesting special plates under this Section |
may also apply
to have the special plates personalized, as |
provided under Section 3-405.1.
|
(f) The Secretary of State, upon application, shall issue |
disability registration plates or a parking decal to
|
corporations, school districts, State or municipal agencies, |
limited liability
companies, nursing homes, convalescent |
|
homes, or special education cooperatives
which will transport |
persons with disabilities. The Secretary shall prescribe
by |
rule a means to certify or re-certify the eligibility of |
organizations to
receive disability plates or decals and to |
designate which of the
2 person with disabilities emblems shall |
be placed on qualifying
vehicles.
|
(g) The Secretary of State, or his designee, may enter into
|
agreements with other jurisdictions, including foreign |
jurisdictions, on
behalf of this State relating to the |
extension of parking privileges by
such jurisdictions to |
residents of this State with disabilities who
display a special |
license plate or parking device that contains the
International |
symbol of access on his or her motor vehicle, and to
recognize |
such plates or devices issued by such other jurisdictions. This
|
State shall grant the same parking privileges which are granted |
to
residents of this State with disabilities to any |
non-resident whose motor vehicle is licensed
in another state, |
district, territory or foreign country if such vehicle
displays |
the international symbol of access or a distinguishing insignia |
on
license plates or parking device issued in accordance with |
the laws of the
non-resident's state, district, territory or |
foreign country.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-173, eff. 7-29-15; |
revised 10-19-15.)
|
(625 ILCS 5/3-626)
|
|
Sec. 3-626. Korean War Veteran license plates.
|
(a) In addition to any other special license plate, the |
Secretary, upon
receipt of all applicable fees and applications |
made in the form prescribed by
the Secretary of State, may |
issue special registration plates designated as
Korean War |
Veteran license plates to
residents of Illinois who |
participated in the United States Armed Forces during
the |
Korean War. The special plate issued under this Section shall |
be affixed
only to passenger vehicles of the first division, |
motorcycles,
motor vehicles of the second
division weighing not |
more than 8,000 pounds, and recreational vehicles as
defined by |
Section 1-169 of this Code. Plates issued under this Section |
shall
expire according to the staggered multi-year procedure |
established by Section
3-414.1 of this Code.
|
(b) The design, color, and format of the plates shall be |
wholly
within the discretion of the Secretary of State. The |
Secretary may, in his or
her discretion, allow the plates to be |
issued as vanity plates or personalized
in accordance with |
Section 3-405.1 of this Code. The plates are not required
to |
designate "Land Of Lincoln", as prescribed in subsection (b) of |
Section
3-412 of this Code. The Secretary shall prescribe the |
eligibility requirements
and, in his or her discretion, shall |
approve and prescribe stickers or decals
as provided under |
Section 3-412.
|
(c) (Blank).
|
(d) The Korean War Memorial Construction Fund is created as |
|
a special fund
in the State treasury. All moneys in the Korean |
War Memorial Construction Fund
shall, subject to |
appropriation, be used by the Department of Veteran Affairs
to |
provide grants for construction of the Korean War Memorial to |
be located at
Oak Ridge Cemetery in Springfield, Illinois. Upon |
the completion of the
Memorial, the Department of Veteran |
Affairs shall certify to the State
Treasurer that the |
construction of the Memorial has been completed. Upon the
|
certification by the Department of Veteran Affairs, the State |
Treasurer shall
transfer all moneys in the Fund and any future |
deposits into the Fund into the
Secretary of State Special |
License Plate
Fund.
|
(e) An individual who has been issued Korean War Veteran |
license plates
for a vehicle
and who has been approved for |
benefits under the Senior Citizens and Persons with |
Disabilities Property Tax Relief Act shall pay
the original |
issuance and the regular annual fee for the registration of the
|
vehicle as provided in Section 3-806.3 of this Code.
|
(Source: P.A. 99-127, eff. 1-1-16; 99-143, eff. 7-27-15; |
revised 11-2-15.)
|
(625 ILCS 5/3-801) (from Ch. 95 1/2, par. 3-801)
|
Sec. 3-801. Registration. |
(a) Except as provided herein for new residents,
every |
owner of any vehicle which shall be operated upon the public |
highways
of this State shall, within 24 hours after becoming |
|
the owner or at such
time as such vehicle becomes subject to |
registration under the provisions
of this Act, file in an |
office of the Secretary of State, an application
for |
registration properly completed and executed. New residents |
need not secure
registration until 30 days after establishing |
residency in this State,
provided the vehicle is properly |
registered in another jurisdiction. By the
expiration of such |
30-day 30 day statutory grace period, a new resident shall
|
comply with the provisions of this Act and apply for Illinois |
vehicle
registration. All applications for registration shall |
be accompanied by all
documentation required under the |
provisions of this Act. The appropriate
registration fees and |
taxes provided for in this Article of this Chapter
shall be |
paid to the Secretary of State with the application for
|
registration of vehicles subject to registration under this |
Act.
|
(b) Any resident of this State, who has been serving as a |
member or as a civilian employee of the
United States Armed |
Services, or as a civilian employee of the United States |
Department of Defense, outside of the State of Illinois, need |
not
secure registration until 45 days after returning to this
|
State, provided the vehicle displays temporary military |
registration.
|
(c) When an application is submitted by mail, the applicant |
may not
submit cash or postage stamps for payment of fees or |
taxes due. The
Secretary in his discretion, may decline to |
|
accept a personal or company
check or electronic payment in |
payment of fees or taxes. An application submitted to a dealer, |
or
a remittance made to the Secretary of State shall be deemed |
in compliance
with this Section.
|
(Source: P.A. 99-118, eff. 1-1-16; 99-324, eff. 1-1-16; revised |
11-2-15.)
|
(625 ILCS 5/3-806.3) (from Ch. 95 1/2, par. 3-806.3)
|
Sec. 3-806.3. Senior Citizens.
Commencing with the 2009 |
registration year, the registration fee paid by
any vehicle |
owner who has been approved for benefits under the Senior
|
Citizens and Persons with Disabilities Property Tax Relief
Act |
or who is the spouse of such a person shall be $24 instead of |
the fee
otherwise provided in this Code for passenger cars |
displaying standard
multi-year registration plates issued |
under Section 3-414.1, motor vehicles
displaying special |
registration plates issued under Section 3-609, 3-616, 3-621,
|
3-622, 3-623, 3-624, 3-625, 3-626, 3-628, 3-638, 3-642, 3-645, |
3-647, 3-650,
3-651, or 3-663, motor vehicles registered at |
8,000 pounds or less under Section
3-815(a), and recreational |
vehicles registered at 8,000 pounds or less under
Section |
3-815(b). Widows and widowers of claimants shall also be |
entitled to
this reduced registration fee for the registration |
year in which the claimant
was eligible.
|
Commencing with the 2009 registration year, the |
registration fee paid by
any vehicle owner who has claimed and |
|
received a grant under the Senior
Citizens and Persons with |
Disabilities Property Tax Relief
Act or who is the spouse of |
such a person shall be $24 instead of the fee
otherwise |
provided in this Code for passenger cars displaying standard
|
multi-year registration plates issued under Section 3-414.1, |
motor vehicles
displaying special registration plates issued |
under Section 3-607, 3-609, 3-616, 3-621,
3-622, 3-623, 3-624, |
3-625, 3-626, 3-628, 3-638, 3-642, 3-645, 3-647, 3-650, 3-651, |
3-663, or 3-664, motor vehicles registered at 8,000 pounds or |
less under Section
3-815(a), and recreational vehicles |
registered at 8,000 pounds or less under
Section 3-815(b). |
Widows and widowers of claimants shall also be entitled to
this |
reduced registration fee for the registration year in which the |
claimant
was eligible.
|
Commencing with the 2017 registration year, the reduced fee |
under this Section shall apply to any special registration |
plate authorized in Article VI of Chapter 3 of this Code , for |
which the applicant would otherwise be eligible. |
No more than one reduced registration fee under this |
Section shall be
allowed during any 12-month 12 month period |
based on the primary eligibility of any
individual, whether |
such reduced registration fee is allowed to the
individual or |
to the spouse, widow or widower of such individual. This
|
Section does not apply to the fee paid in addition to the |
registration fee
for motor vehicles displaying vanity, |
personalized, or special license
plates.
|
|
(Source: P.A. 99-71, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-19-15.)
|
(625 ILCS 5/3-818) (from Ch. 95 1/2, par. 3-818)
|
Sec. 3-818. (a) Mileage weight tax option. |
(a) Any owner of a vehicle of
the second division may elect |
to pay a mileage weight tax for such vehicle
in lieu of the |
flat weight tax set out in Section 3-815. Such election
shall |
be binding to the end of the registration year. Renewal of this
|
election must be filed with the Secretary of State on or before |
July 1
of each registration period. In such event the owner |
shall, at the time
of making such election, pay the $10 |
registration fee and the minimum
guaranteed mileage weight tax, |
as hereinafter provided, which payment
shall permit the owner |
to operate that vehicle the maximum mileage in
this State |
hereinafter set forth. Any vehicle being operated on
mileage |
plates cannot be operated outside of this State. In addition
|
thereto, the owner of that vehicle shall pay a mileage weight |
tax at the
following rates for each mile traveled in this State |
in excess of the
maximum mileage provided under the minimum |
guaranteed basis:
|
BUS, TRUCK OR TRUCK TRACTOR
|
|
|
|
|
Maximum |
Mileage |
|
|
|
Minimum |
Mileage |
Weight Tax |
|
|
|
Guaranteed |
Permitted |
for Mileage |
|
Gross Weight |
|
Mileage |
Under |
in excess of |
|
|
|
Vehicle and |
|
Weight |
Guaranteed |
Guaranteed |
|
Load |
Class |
Tax |
Tax |
Mileage |
|
12,000 lbs. or less |
MD |
$73 |
5,000 |
26 Mills |
|
12,001 to 16,000 lbs. |
MF |
120 |
6,000 |
34 Mills |
|
16,001 to 20,000 lbs. |
MG |
180 |
6,000 |
46 Mills |
|
20,001 to 24,000 lbs. |
MH |
235 |
6,000 |
63 Mills |
|
24,001 to 28,000 lbs. |
MJ |
315 |
7,000 |
63 Mills |
|
28,001 to 32,000 lbs. |
MK |
385 |
7,000 |
83 Mills |
|
32,001 to 36,000 lbs. |
ML |
485 |
7,000 |
99 Mills |
|
36,001 to 40,000 lbs. |
MN |
615 |
7,000 |
128 Mills |
|
40,001 to 45,000 lbs. |
MP |
695 |
7,000 |
139 Mills |
|
45,001 to 54,999 lbs. |
MR |
853 |
7,000 |
156 Mills |
|
55,000 to 59,500 lbs. |
MS |
920 |
7,000 |
178 Mills |
|
59,501 to 64,000 lbs. |
MT |
985 |
7,000 |
195 Mills |
|
64,001 to 73,280 lbs. |
MV |
1,173 |
7,000 |
225 Mills |
|
73,281 to 77,000 lbs. |
MX |
1,328 |
7,000 |
258 Mills |
|
77,001 to 80,000 lbs. |
MZ |
1,415 |
7,000 |
275 Mills |
|
TRAILER
|
|
|
|
|
Maximum |
Mileage |
|
|
|
Minimum |
Mileage |
Weight Tax |
|
|
|
Guaranteed |
Permitted |
for Mileage |
|
Gross Weight |
|
Mileage |
Under |
in excess of |
|
Vehicle and |
|
Weight |
Guaranteed |
Guaranteed |
|
Load |
Class |
Tax |
Tax |
Mileage |
|
14,000 lbs. or less |
ME |
$75 |
5,000 |
31 Mills |
|
14,001 to 20,000 lbs. |
MF |
135 |
6,000 |
36 Mills |
|
|
|
20,001 to 36,000 lbs. |
ML |
540 |
7,000 |
103 Mills |
|
36,001 to 40,000 lbs. |
MM |
750 |
7,000 |
150 Mills |
|
(a-1) A Special Hauling Vehicle is a vehicle or combination |
of vehicles of
the second
division registered under Section |
3-813 transporting asphalt or concrete in the
plastic state or |
a vehicle or combination of vehicles that are subject to the
|
gross weight limitations in subsection (a) of Section 15-111 |
for which the
owner of the
vehicle or combination of vehicles |
has elected to pay, in addition to the
registration fee in |
subsection (a), $125 to the Secretary of State
for each
|
registration year. The Secretary shall designate this class of |
vehicle as
a Special Hauling Vehicle.
|
In preparing rate schedules on registration applications, |
the Secretary
of State shall add to the above rates, the $10 |
registration fee. The
Secretary may decline to accept any |
renewal filed after July 1st.
|
The number of axles necessary to carry the maximum load |
provided
shall be determined from Chapter 15 of this Code.
|
Every owner of a second division motor vehicle for which he |
has
elected to pay a mileage weight tax shall keep a daily |
record upon forms
prescribed by the Secretary of State, showing |
the mileage covered by
that vehicle in this State. Such record |
shall contain the license number
of the vehicle and the miles |
traveled by the vehicle in this State for
each day of the |
calendar month. Such owner shall also maintain records
of fuel |
consumed by each such motor vehicle and fuel purchases |
|
therefor.
On or before the 10th day of July the owner
shall |
certify to the Secretary of State upon forms prescribed |
therefor,
summaries of his daily records which shall show the |
miles traveled by
the vehicle in this State during the |
preceding 12 months and such other
information as the Secretary |
of State may require. The daily record and
fuel records shall |
be filed, preserved and available for audit for a
period of 3 |
years. Any owner filing a return hereunder shall certify
that |
such return is a true, correct and complete return. Any person |
who
willfully makes a false return hereunder is guilty of |
perjury and shall
be punished in the same manner and to the |
same extent as is provided
therefor.
|
At the time of filing his return, each owner shall pay to |
the
Secretary of State the proper amount of tax at the rate |
herein imposed.
|
Every owner of a vehicle of the second division who elects |
to pay on
a mileage weight tax basis and who operates the |
vehicle within this
State, shall file with the Secretary of |
State a bond in the amount of
$500. The bond shall be in a form |
approved by the Secretary of State and with
a surety company
|
approved by the Illinois Department of Insurance to transact
|
business in this State as surety, and shall be conditioned upon |
such
applicant's paying to the State of Illinois all money |
becoming
due by
reason of the operation of the second division |
vehicle in this State,
together with all penalties and interest |
thereon.
|
|
Upon notice from the Secretary that the registrant has |
failed to pay the
excess mileage fees, the surety shall |
immediately pay the fees together with
any penalties and |
interest thereon in an amount not to exceed the limits of the
|
bond.
|
(b) Beginning January 1, 2016, upon the request of the
|
vehicle owner, a $10 surcharge shall be collected in addition
|
to the above fees for vehicles in the 12,000 lbs. and less |
mileage
weight plate category as described in subsection (a) to |
be
deposited into the Secretary of State Special License Plate
|
Fund. The $10 surcharge is to identify vehicles in the 12,000
|
lbs. and less mileage weight plate category as a covered farm
|
vehicle. The $10 surcharge is an annual flat fee that shall be
|
based on an applicant's new or existing registration year for
|
each vehicle in the 12,000 lbs. and less mileage weight plate
|
category. A designation as a covered farm vehicle under this
|
subsection (b) shall not alter a vehicle's registration as a
|
registration in the 12,000 lbs. or less mileage weight |
category.
The Secretary shall adopt any rules necessary to |
implement this
subsection (b). |
(Source: P.A. 99-57, eff. 7-16-15; revised 10-19-15.)
|
(625 ILCS 5/6-106.1) (from Ch. 95 1/2, par. 6-106.1)
|
Sec. 6-106.1. School bus driver permit.
|
(a) The Secretary of State shall issue a school bus driver
|
permit to those applicants who have met all the requirements of |
|
the
application and screening process under this Section to |
insure the
welfare and safety of children who are transported |
on school buses
throughout the State of Illinois. Applicants |
shall obtain the
proper application required by the Secretary |
of State from their
prospective or current employer and submit |
the completed
application to the prospective or current |
employer along
with the necessary fingerprint submission as |
required by the
Department of
State Police to conduct |
fingerprint based criminal background
checks on current and |
future information available in the state
system and current |
information available through the Federal Bureau
of |
Investigation's system. Applicants who have completed the
|
fingerprinting requirements shall not be subjected to the
|
fingerprinting process when applying for subsequent permits or
|
submitting proof of successful completion of the annual |
refresher
course. Individuals who on July 1, 1995 ( the |
effective date of Public Act 88-612) this Act possess a valid
|
school bus driver permit that has been previously issued by the |
appropriate
Regional School Superintendent are not subject to |
the fingerprinting
provisions of this Section as long as the |
permit remains valid and does not
lapse. The applicant shall be |
required to pay all related
application and fingerprinting fees |
as established by rule
including, but not limited to, the |
amounts established by the Department of
State Police and the |
Federal Bureau of Investigation to process
fingerprint based |
criminal background investigations. All fees paid for
|
|
fingerprint processing services under this Section shall be |
deposited into the
State Police Services Fund for the cost |
incurred in processing the fingerprint
based criminal |
background investigations. All other fees paid under this
|
Section shall be deposited into the Road
Fund for the purpose |
of defraying the costs of the Secretary of State in
|
administering this Section. All applicants must:
|
1. be 21 years of age or older;
|
2. possess a valid and properly classified driver's |
license
issued by the Secretary of State;
|
3. possess a valid driver's license, which has not been
|
revoked, suspended, or canceled for 3 years immediately |
prior to
the date of application, or have not had his or |
her commercial motor vehicle
driving privileges
|
disqualified within the 3 years immediately prior to the |
date of application;
|
4. successfully pass a written test, administered by |
the
Secretary of State, on school bus operation, school bus |
safety, and
special traffic laws relating to school buses |
and submit to a review
of the applicant's driving habits by |
the Secretary of State at the time the
written test is |
given;
|
5. demonstrate ability to exercise reasonable care in |
the operation of
school buses in accordance with rules |
promulgated by the Secretary of State;
|
6. demonstrate physical fitness to operate school |
|
buses by
submitting the results of a medical examination, |
including tests for drug
use for each applicant not subject |
to such testing pursuant to
federal law, conducted by a |
licensed physician, a licensed advanced practice nurse, or |
a licensed physician assistant
within 90 days of the date
|
of application according to standards promulgated by the |
Secretary of State;
|
7. affirm under penalties of perjury that he or she has |
not made a
false statement or knowingly concealed a |
material fact
in any application for permit;
|
8. have completed an initial classroom course, |
including first aid
procedures, in school bus driver safety |
as promulgated by the Secretary of
State; and after |
satisfactory completion of said initial course an annual
|
refresher course; such courses and the agency or |
organization conducting such
courses shall be approved by |
the Secretary of State; failure to
complete the annual |
refresher course, shall result in
cancellation of the |
permit until such course is completed;
|
9. not have been under an order of court supervision |
for or convicted of 2 or more serious traffic offenses, as
|
defined by rule, within one year prior to the date of |
application that may
endanger the life or safety of any of |
the driver's passengers within the
duration of the permit |
period;
|
10. not have been under an order of court supervision |
|
for or convicted of reckless driving, aggravated reckless |
driving, driving while under the influence of alcohol, |
other drug or drugs, intoxicating compound or compounds or |
any combination thereof, or reckless homicide resulting |
from the operation of a motor
vehicle within 3 years of the |
date of application;
|
11. not have been convicted of committing or attempting
|
to commit any
one or more of the following offenses: (i) |
those offenses defined in
Sections 8-1.2, 9-1, 9-1.2, 9-2, |
9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2, 10-3.1,
10-4,
10-5, |
10-5.1, 10-6, 10-7, 10-9, 11-1.20, 11-1.30, 11-1.40, |
11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6,
11-9, 11-9.1, |
11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3, 11-14.4, 11-15, |
11-15.1, 11-16, 11-17, 11-17.1, 11-18, 11-18.1, 11-19, |
11-19.1,
11-19.2,
11-20, 11-20.1, 11-20.1B, 11-20.3, |
11-21, 11-22, 11-23, 11-24, 11-25, 11-26, 11-30, 12-2.6, |
12-3.1, 12-4, 12-4.1, 12-4.2, 12-4.2-5, 12-4.3, 12-4.4,
|
12-4.5, 12-4.6, 12-4.7, 12-4.9,
12-5.01, 12-6, 12-6.2, |
12-7.1, 12-7.3, 12-7.4, 12-7.5, 12-11,
12-13, 12-14, |
12-14.1, 12-15, 12-16, 12-16.2, 12-21.5, 12-21.6, 12-33, |
12C-5, 12C-10, 12C-20, 12C-30, 12C-45, 16-16, 16-16.1,
|
18-1,
18-2,
18-3, 18-4, 18-5, 19-6,
20-1, 20-1.1, 20-1.2, |
20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, 24-1.2-5, 24-1.6, |
24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, 24-3.9, 31A-1, |
31A-1.1,
33A-2, and 33D-1, and in subsection (b) of Section |
8-1, and in subdivisions (a)(1), (a)(2), (b)(1), (e)(1), |
|
(e)(2), (e)(3), (e)(4), and (f)(1) of Section 12-3.05, and |
in subsection (a) and subsection (b), clause (1), of |
Section
12-4, and in subsection (A), clauses (a) and (b), |
of Section 24-3, and those offenses contained in Article |
29D of the Criminal Code of 1961 or the Criminal Code of |
2012; (ii) those offenses defined in the
Cannabis Control |
Act except those offenses defined in subsections (a) and
|
(b) of Section 4, and subsection (a) of Section 5 of the |
Cannabis Control
Act; (iii) those offenses defined in the |
Illinois Controlled Substances
Act; (iv) those offenses |
defined in the Methamphetamine Control and Community |
Protection Act; (v) any offense committed or attempted in |
any other state or against
the laws of the United States, |
which if committed or attempted in this
State would be |
punishable as one or more of the foregoing offenses; (vi)
|
the offenses defined in Section 4.1 and 5.1 of the Wrongs |
to Children Act or Section 11-9.1A of the Criminal Code of |
1961 or the Criminal Code of 2012; (vii) those offenses |
defined in Section 6-16 of the Liquor Control Act of
1934;
|
and (viii) those offenses defined in the Methamphetamine |
Precursor Control Act;
|
12. not have been repeatedly involved as a driver in |
motor vehicle
collisions or been repeatedly convicted of |
offenses against
laws and ordinances regulating the |
movement of traffic, to a degree which
indicates lack of |
ability to exercise ordinary and reasonable care in the
|
|
safe operation of a motor vehicle or disrespect for the |
traffic laws and
the safety of other persons upon the |
highway;
|
13. not have, through the unlawful operation of a motor
|
vehicle, caused an accident resulting in the death of any |
person;
|
14. not have, within the last 5 years, been adjudged to |
be
afflicted with or suffering from any mental disability |
or disease; and
|
15. consent, in writing, to the release of results of |
reasonable suspicion drug and alcohol testing under |
Section 6-106.1c of this Code by the employer of the |
applicant to the Secretary of State. |
(b) A school bus driver permit shall be valid for a period |
specified by
the Secretary of State as set forth by rule. It |
shall be renewable upon compliance with subsection (a) of this
|
Section.
|
(c) A school bus driver permit shall contain the holder's |
driver's
license number, legal name, residence address, zip |
code, and date
of birth, a brief description of the holder and |
a space for signature. The
Secretary of State may require a |
suitable photograph of the holder.
|
(d) The employer shall be responsible for conducting a |
pre-employment
interview with prospective school bus driver |
candidates, distributing school
bus driver applications and |
medical forms to be completed by the applicant, and
submitting |
|
the applicant's fingerprint cards to the Department of State |
Police
that are required for the criminal background |
investigations. The employer
shall certify in writing to the |
Secretary of State that all pre-employment
conditions have been |
successfully completed including the successful completion
of |
an Illinois specific criminal background investigation through |
the
Department of State Police and the submission of necessary
|
fingerprints to the Federal Bureau of Investigation for |
criminal
history information available through the Federal |
Bureau of
Investigation system. The applicant shall present the
|
certification to the Secretary of State at the time of |
submitting
the school bus driver permit application.
|
(e) Permits shall initially be provisional upon receiving
|
certification from the employer that all pre-employment |
conditions
have been successfully completed, and upon |
successful completion of
all training and examination |
requirements for the classification of
the vehicle to be |
operated, the Secretary of State shall
provisionally issue a |
School Bus Driver Permit. The permit shall
remain in a |
provisional status pending the completion of the
Federal Bureau |
of Investigation's criminal background investigation based
|
upon fingerprinting specimens submitted to the Federal Bureau |
of
Investigation by the Department of State Police. The Federal |
Bureau of
Investigation shall report the findings directly to |
the Secretary
of State. The Secretary of State shall remove the |
bus driver
permit from provisional status upon the applicant's |
|
successful
completion of the Federal Bureau of Investigation's |
criminal
background investigation.
|
(f) A school bus driver permit holder shall notify the
|
employer and the Secretary of State if he or she is issued an |
order of court supervision for or convicted in
another state of |
an offense that would make him or her ineligible
for a permit |
under subsection (a) of this Section. The
written notification |
shall be made within 5 days of the entry of
the order of court |
supervision or conviction. Failure of the permit holder to |
provide the
notification is punishable as a petty
offense for a |
first violation and a Class B misdemeanor for a
second or |
subsequent violation.
|
(g) Cancellation; suspension; notice and procedure.
|
(1) The Secretary of State shall cancel a school bus
|
driver permit of an applicant whose criminal background |
investigation
discloses that he or she is not in compliance |
with the provisions of subsection
(a) of this Section.
|
(2) The Secretary of State shall cancel a school
bus |
driver permit when he or she receives notice that the |
permit holder fails
to comply with any provision of this |
Section or any rule promulgated for the
administration of |
this Section.
|
(3) The Secretary of State shall cancel a school bus
|
driver permit if the permit holder's restricted commercial |
or
commercial driving privileges are withdrawn or |
otherwise
invalidated.
|
|
(4) The Secretary of State may not issue a school bus
|
driver permit for a period of 3 years to an applicant who |
fails to
obtain a negative result on a drug test as |
required in item 6 of
subsection (a) of this Section or |
under federal law.
|
(5) The Secretary of State shall forthwith suspend
a |
school bus driver permit for a period of 3 years upon |
receiving
notice that the holder has failed to obtain a |
negative result on a
drug test as required in item 6 of |
subsection (a) of this Section
or under federal law.
|
(6) The Secretary of State shall suspend a school bus |
driver permit for a period of 3 years upon receiving notice |
from the employer that the holder failed to perform the |
inspection procedure set forth in subsection (a) or (b) of |
Section 12-816 of this Code. |
(7) The Secretary of State shall suspend a school bus |
driver permit for a period of 3 years upon receiving notice |
from the employer that the holder refused to submit to an |
alcohol or drug test as required by Section 6-106.1c or has |
submitted to a test required by that Section which |
disclosed an alcohol concentration of more than 0.00 or |
disclosed a positive result on a National Institute on Drug |
Abuse five-drug panel, utilizing federal standards set |
forth in 49 CFR 40.87. |
The Secretary of State shall notify the State |
Superintendent
of Education and the permit holder's |
|
prospective or current
employer that the applicant has (1) has |
failed a criminal
background investigation or (2) is no
longer |
eligible for a school bus driver permit; and of the related
|
cancellation of the applicant's provisional school bus driver |
permit. The
cancellation shall remain in effect pending the |
outcome of a
hearing pursuant to Section 2-118 of this Code. |
The scope of the
hearing shall be limited to the issuance |
criteria contained in
subsection (a) of this Section. A |
petition requesting a
hearing shall be submitted to the |
Secretary of State and shall
contain the reason the individual |
feels he or she is entitled to a
school bus driver permit. The |
permit holder's
employer shall notify in writing to the |
Secretary of State
that the employer has certified the removal |
of the offending school
bus driver from service prior to the |
start of that school bus
driver's next workshift. An employing |
school board that fails to
remove the offending school bus |
driver from service is
subject to the penalties defined in |
Section 3-14.23 of the School Code. A
school bus
contractor who |
violates a provision of this Section is
subject to the |
penalties defined in Section 6-106.11.
|
All valid school bus driver permits issued under this |
Section
prior to January 1, 1995, shall remain effective until |
their
expiration date unless otherwise invalidated.
|
(h) When a school bus driver permit holder who is a service |
member is called to active duty, the employer of the permit |
holder shall notify the Secretary of State, within 30 days of |
|
notification from the permit holder, that the permit holder has |
been called to active duty. Upon notification pursuant to this |
subsection, (i) the Secretary of State shall characterize the |
permit as inactive until a permit holder renews the permit as |
provided in subsection (i) of this Section, and (ii) if a |
permit holder fails to comply with the requirements of this |
Section while called to active duty, the Secretary of State |
shall not characterize the permit as invalid. |
(i) A school bus driver permit holder who is a service |
member returning from active duty must, within 90 days, renew a |
permit characterized as inactive pursuant to subsection (h) of |
this Section by complying with the renewal requirements of |
subsection (b) of this Section. |
(j) For purposes of subsections (h) and (i) of this |
Section: |
"Active duty" means active duty pursuant to an executive |
order of the President of the United States, an act of the |
Congress of the United States, or an order of the Governor. |
"Service member" means a member of the Armed Services or |
reserve forces of the United States or a member of the Illinois |
National Guard. |
(k) A private carrier employer of a school bus driver |
permit holder, having satisfied the employer requirements of |
this Section, shall be held to a standard of ordinary care for |
intentional acts committed in the course of employment by the |
bus driver permit holder. This subsection (k) shall in no way |
|
limit the liability of the private carrier employer for |
violation of any provision of this Section or for the negligent |
hiring or retention of a school bus driver permit holder. |
(Source: P.A. 99-148, eff. 1-1-16; 99-173, eff. 7-29-15; |
revised 11-2-15.)
|
(625 ILCS 5/6-115) (from Ch. 95 1/2, par. 6-115)
|
Sec. 6-115. Expiration of driver's license.
|
(a) Except as provided elsewhere in this Section, every
|
driver's license issued under the provisions of
this Code shall
|
expire 4 years from the date of its issuance, or at such later
|
date, as the Secretary of State may by proper rule and |
regulation designate,
not to exceed 12 calendar months; in the |
event
that an applicant for renewal of a driver's license fails
|
to apply prior to
the expiration date of the previous driver's |
license, the renewal driver's
license
shall expire 4 years from |
the expiration date of the previous
driver's license, or at |
such later date as the Secretary of State may
by proper rule |
and
regulation designate, not to exceed 12 calendar months.
|
The Secretary of State may, however, issue to a
person not |
previously licensed as a driver in Illinois a driver's
license
|
which will expire not less than 4 years nor more than 5
years |
from date of
issuance, except as provided elsewhere in this |
Section.
|
(a-5) Beginning July 1, 2016, every driver's license issued |
under this Code to an applicant who is not a United States |
|
citizen shall expire on whichever is the earlier date of the |
following: |
(1) as provided under subsection (a), (f), (g), or (i) |
of this Section; or |
(2) on the date the applicant's authorized stay in the |
United States terminates. |
(b) Before the expiration of a driver's license, except |
those
licenses expiring on the individual's 21st birthday, or 3 |
months after
the individual's 21st birthday, the holder thereof |
may apply for a renewal
thereof, subject to all the provisions |
of Section 6-103, and the Secretary
of State may require an |
examination of the applicant. A licensee
whose driver's license |
expires on his 21st birthday, or 3 months after
his 21st |
birthday, may not apply for a renewal of his driving privileges
|
until he reaches the age of 21.
|
(c) The Secretary of State shall, 30 days prior to the |
expiration of a
driver's license, forward to each person whose |
license
is to expire a
notification of the expiration of said |
license which may
be presented at the time of renewal of said |
license.
|
There may be included with such notification information |
explaining
the anatomical gift and Emergency Medical |
Information Card provisions of
Section 6-110. The format and |
text of such information
shall be prescribed by the Secretary.
|
There shall be included with such notification,
for a |
period of 4 years beginning January 1, 2000 information |
|
regarding the
Illinois Adoption Registry and Medical |
Information Exchange established in
Section 18.1 of the |
Adoption Act.
|
(d) The Secretary may defer the expiration of the driver's |
license
of a licensee, spouse, and dependent children who are |
living with such licensee
while on active duty, serving in the |
Armed Forces of the United
States outside of the State of |
Illinois, and 120 days thereafter, upon such
terms and |
conditions as the Secretary may prescribe.
|
(d-5) The Secretary may defer the expiration of the |
driver's license of a licensee, or of a spouse or dependent |
children living with the licensee, serving as a civilian |
employee of the United States Armed Forces or the United States |
Department of Defense, outside of the State of Illinois, and |
120 days thereafter, upon such terms and conditions as the |
Secretary may prescribe. |
(e) The Secretary of State may decline to process a renewal |
of a driver's
license
of any person who has not paid any fee or |
tax due under this Code and is not
paid upon reasonable notice |
and demand.
|
(f) The Secretary shall provide that each original or |
renewal driver's
license issued to a licensee under 21 years of |
age shall expire 3 months
after the licensee's 21st birthday. |
Persons whose current driver's licenses
expire on their 21st |
birthday on or after January 1, 1986 shall not renew their
|
driver's license before their 21st birthday, and their current |
|
driver's
license will be extended for an additional term of 3 |
months beyond their
21st birthday. Thereafter, the expiration |
and term of the driver's license
shall be governed by |
subsection (a) hereof.
|
(g) The Secretary shall provide that each original or |
renewal driver's
license issued to a licensee 81 years of age |
through age 86 shall expire 2
years from the date of issuance, |
or at such later date as the Secretary may
by rule and |
regulation designate, not to exceed an additional 12 calendar
|
months. The
Secretary shall also provide that each original or |
renewal driver's license
issued to a licensee 87 years of age |
or older shall expire 12 months from
the date of issuance, or |
at such later date as the Secretary may by rule
and regulation |
designate, not to exceed an additional 12 calendar months.
|
(h) The Secretary of State shall provide that each special
|
restricted driver's license issued under subsection (g) of |
Section
6-113 of this Code shall expire 12 months from the date |
of
issuance. The Secretary shall adopt rules defining renewal
|
requirements.
|
(i) The Secretary of State shall provide that each driver's |
license issued to a person convicted of a sex offense as |
defined in Section 2 of the Sex Offender Registration Act shall |
expire 12 months from the date of issuance or at such date as |
the Secretary may by rule designate, not to exceed an |
additional 12 calendar months. The Secretary may adopt rules |
defining renewal requirements.
|
|
(Source: P.A. 99-118, eff. 1-1-16; 99-305, eff. 1-1-16; revised |
11-3-15.)
|
(625 ILCS 5/6-118)
|
Sec. 6-118. Fees. |
(a) The fee for licenses and permits under this
Article is |
as follows: |
Original driver's license .............................$30 |
Original or renewal driver's license |
issued to 18, 19 and 20 year olds .................. 5 |
All driver's licenses for persons |
age 69 through age 80 .............................. 5 |
All driver's licenses for persons |
age 81 through age 86 .............................. 2 |
All driver's licenses for persons |
age 87 or older .....................................0 |
Renewal driver's license (except for |
applicants ages 18, 19 and 20 or |
age 69 and older) ..................................30 |
Original instruction permit issued to |
persons (except those age 69 and older) |
who do not hold or have not previously |
held an Illinois instruction permit or |
driver's license .................................. 20 |
Instruction permit issued to any person |
holding an Illinois driver's license |
|
who wishes a change in classifications, |
other than at the time of renewal .................. 5 |
Any instruction permit issued to a person |
age 69 and older ................................... 5 |
Instruction permit issued to any person, |
under age 69, not currently holding a |
valid Illinois driver's license or |
instruction permit but who has |
previously been issued either document |
in Illinois ....................................... 10 |
Restricted driving permit .............................. 8 |
Monitoring device driving permit ...................... 8 |
Duplicate or corrected driver's license |
or permit .......................................... 5 |
Duplicate or corrected restricted |
driving permit ..................................... 5 |
Duplicate or corrected monitoring |
device driving permit .................................. 5 |
Duplicate driver's license or permit issued to |
an active-duty member of the |
United States Armed Forces, |
the member's spouse, or |
the dependent children living |
with the member ................................... 0 |
Original or renewal M or L endorsement ................. 5 |
SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE |
|
The fees for commercial driver licenses and permits |
under Article V
shall be as follows: |
Commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund |
(Commercial Driver's License Information |
System/American Association of Motor Vehicle |
Administrators network/National Motor Vehicle |
Title Information Service Trust Fund); |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; |
and $24 for the CDL: ............................. $60 |
Renewal commercial driver's license: |
$6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier Safety Inspection Fund; |
$10 for the driver's license; and |
$24 for the CDL: ................................. $60 |
Commercial learner's permit |
issued to any person holding a valid |
Illinois driver's license for the |
purpose of changing to a |
CDL classification: $6 for the |
CDLIS/AAMVAnet/NMVTIS Trust Fund; |
$20 for the Motor Carrier |
Safety Inspection Fund; and |
$24 for the CDL classification ................... $50 |
Commercial learner's permit |
|
issued to any person holding a valid |
Illinois CDL for the purpose of |
making a change in a classification, |
endorsement or restriction ........................ $5 |
CDL duplicate or corrected license .................... $5 |
In order to ensure the proper implementation of the Uniform |
Commercial
Driver License Act, Article V of this Chapter, the |
Secretary of State is
empowered to pro-rate the $24 fee for the |
commercial driver's license
proportionate to the expiration |
date of the applicant's Illinois driver's
license. |
The fee for any duplicate license or permit shall be waived |
for any
person who presents the Secretary of State's office |
with a
police report showing that his license or permit was |
stolen. |
The fee for any duplicate license or permit shall be waived |
for any
person age 60 or older whose driver's license or permit |
has been lost or stolen. |
No additional fee shall be charged for a driver's license, |
or for a
commercial driver's license, when issued
to the holder |
of an instruction permit for the same classification or
type of |
license who becomes eligible for such
license. |
(b) Any person whose license or privilege to operate a |
motor vehicle
in this State has been suspended or revoked under |
Section 3-707, any
provision of
Chapter 6, Chapter 11, or |
Section 7-205, 7-303, or 7-702 of the Family
Financial
|
Responsibility Law of this Code, shall in addition to any other
|
|
fees required by this Code, pay a reinstatement fee as follows: |
Suspension under Section 3-707 .....................
$100
|
Suspension under Section 11-1431 ....................$100 |
Summary suspension under Section 11-501.1 ...........$250
|
Suspension under Section 11-501.9 ...................$250 |
Summary revocation under Section 11-501.1 ............$500 |
Other suspension ......................................$70 |
Revocation ...........................................$500 |
However, any person whose license or privilege to operate a |
motor vehicle
in this State has been suspended or revoked for a |
second or subsequent time
for a violation of Section 11-501, |
11-501.1, or 11-501.9
of this Code or a similar provision of a |
local ordinance
or a similar out-of-state offense
or Section |
9-3 of the Criminal Code of 1961 or the Criminal Code of 2012
|
and each suspension or revocation was for a violation of |
Section 11-501,
11-501.1, or 11-501.9 of this Code or a similar |
provision of a local ordinance
or a similar out-of-state |
offense
or Section
9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012
shall pay, in addition to any other
fees |
required by this Code, a
reinstatement
fee as follows: |
Summary suspension under Section 11-501.1 ............$500 |
Suspension under Section 11-501.9 ...................$500 |
Summary revocation under Section 11-501.1 ............$500 |
Revocation ...........................................$500 |
(c) All fees collected under the provisions of this Chapter |
6 shall be disbursed under subsection (g) of Section 2-119 of |
|
this Code,
except as follows: |
1. The following amounts shall be paid into the Driver |
Education Fund: |
(A) $16 of the $20
fee for an original driver's |
instruction permit; |
(B) $5 of the $30 fee for an original driver's |
license; |
(C) $5 of the $30 fee for a 4 year renewal driver's |
license;
|
(D) $4 of the $8 fee for a restricted driving |
permit; and |
(E) $4 of the $8 fee for a monitoring device |
driving permit. |
2. $30 of the $250 fee for reinstatement of a
license
|
summarily suspended under Section 11-501.1 or suspended |
under Section 11-501.9 shall be deposited into the
Drunk |
and Drugged Driving Prevention Fund.
However, for a person |
whose license or privilege to operate a motor vehicle
in |
this State has been suspended or revoked for a second or |
subsequent time for
a violation of Section 11-501, |
11-501.1, or 11-501.9 of this Code or Section 9-3 of the
|
Criminal Code of 1961 or the Criminal Code of 2012,
$190 of |
the $500 fee for reinstatement of a license summarily
|
suspended under
Section 11-501.1 or suspended under |
Section 11-501.9,
and $190 of the $500 fee for |
reinstatement of a revoked license
shall be deposited into |
|
the Drunk and Drugged Driving Prevention Fund. $190 of the |
$500 fee for reinstatement of a license summarily revoked |
pursuant to Section 11-501.1 shall be deposited into the |
Drunk and Drugged Driving Prevention Fund. |
3. $6 of the original or renewal fee for a commercial |
driver's
license and $6 of the commercial learner's permit |
fee when the
permit is issued to any person holding a valid |
Illinois driver's license,
shall be paid into the |
CDLIS/AAMVAnet/NMVTIS Trust Fund. |
4. $30 of the $70 fee for reinstatement of a license |
suspended
under the
Family
Financial Responsibility Law |
shall be paid into the Family Responsibility
Fund. |
5. The $5 fee for each original or renewal M or L |
endorsement shall be
deposited into the Cycle Rider Safety |
Training Fund. |
6. $20 of any original or renewal fee for a commercial |
driver's
license or commercial learner's permit shall be |
paid into the Motor
Carrier Safety Inspection Fund. |
7. The following amounts shall be paid into the General |
Revenue Fund: |
(A) $190 of the $250 reinstatement fee for a |
summary suspension under
Section 11-501.1 or a |
suspension under Section 11-501.9; |
(B) $40 of the $70 reinstatement fee for any other |
suspension provided
in subsection (b) of this Section; |
and |
|
(C) $440 of the $500 reinstatement fee for a first |
offense revocation
and $310 of the $500 reinstatement |
fee for a second or subsequent revocation. |
8. Fees collected under paragraph (4) of subsection (d) |
and subsection (h) of Section 6-205 of this Code; |
subparagraph (C) of paragraph 3 of subsection (c) of |
Section 6-206 of this Code; and paragraph (4) of subsection |
(a) of Section 6-206.1 of this Code, shall be paid into the |
funds set forth in those Sections. |
(d) All of the proceeds of the additional fees imposed by |
this amendatory Act of the 96th General Assembly shall be |
deposited into the Capital Projects Fund. |
(e) The additional fees imposed by this amendatory Act of |
the 96th General Assembly shall become effective 90 days after |
becoming law. |
(f) As used in this Section, "active-duty member of the |
United States Armed Forces" means a member of the Armed |
Services or Reserve Forces of the United States or a member of |
the Illinois National Guard who is called to active duty |
pursuant to an executive order of the President of the United |
States, an act of the Congress of the United States, or an |
order of the Governor. |
(Source: P.A. 98-176 (see Section 10 of P.A. 98-722 and Section |
10 of P.A. 99-414 for the effective date of changes made by |
P.A. 98-176); 98-177, eff. 1-1-14; 98-756, eff. 7-16-14; |
98-1172, eff. 1-12-15; 99-127, eff. 1-1-16; 99-438, eff. |
|
1-1-16; revised 10-19-15.)
|
(625 ILCS 5/6-205)
|
Sec. 6-205. Mandatory revocation of license or permit; |
Hardship cases.
|
(a) Except as provided in this Section, the Secretary of |
State shall
immediately revoke the license, permit, or driving |
privileges of
any driver upon receiving a
report of the |
driver's conviction of any of the following offenses:
|
1. Reckless homicide resulting from the operation of a |
motor vehicle;
|
2. Violation of Section 11-501 of this Code or a |
similar provision of
a local ordinance relating to the |
offense of operating or being in physical
control of a |
vehicle while under the influence of alcohol, other drug or
|
drugs, intoxicating compound or compounds, or any |
combination thereof;
|
3. Any felony under the laws of any State or the |
federal government
in the commission of which a motor |
vehicle was used;
|
4. Violation of Section 11-401 of this Code relating to |
the offense of
leaving the scene of a traffic accident |
involving death or personal injury;
|
5. Perjury or the making of a false affidavit or |
statement under
oath to the Secretary of State under this |
Code or under any
other law relating to the ownership or |
|
operation of motor vehicles;
|
6. Conviction upon 3 charges of violation of Section |
11-503 of this
Code relating to the offense of reckless |
driving committed within a
period of 12 months;
|
7. Conviction of any offense
defined in
Section 4-102 |
of this Code;
|
8. Violation of Section 11-504 of this Code relating to |
the offense
of drag racing;
|
9. Violation of Chapters 8 and 9 of this Code;
|
10. Violation of Section 12-5 of the Criminal Code of |
1961 or the Criminal Code of 2012 arising from
the use of a |
motor vehicle;
|
11. Violation of Section 11-204.1 of this Code relating |
to aggravated
fleeing or attempting to elude a peace |
officer;
|
12. Violation of paragraph (1) of subsection (b) of |
Section 6-507,
or a similar law of any other state, |
relating to the
unlawful operation of a commercial motor |
vehicle;
|
13. Violation of paragraph (a) of Section 11-502 of |
this Code or a
similar provision of a local ordinance if |
the driver has been previously
convicted of a violation of |
that Section or a similar provision of a local
ordinance |
and the driver was less than 21 years of age at the time of |
the
offense;
|
14. Violation of paragraph (a) of Section 11-506 of |
|
this Code or a similar provision of a local ordinance |
relating to the offense of street racing;
|
15. A second or subsequent conviction of driving while |
the person's driver's license, permit or privileges was |
revoked for reckless homicide or a similar out-of-state |
offense; |
16. Any offense against any provision in this Code, or |
any local ordinance, regulating the
movement of traffic |
when that offense was the proximate cause of the death of |
any person. Any person whose driving privileges have been |
revoked pursuant to this paragraph may seek to have the |
revocation terminated or to have the length of revocation |
reduced by requesting an administrative hearing with the |
Secretary of State prior to the projected driver's license |
application eligibility date; |
17. Violation of subsection (a-2) of Section 11-1301.3 |
of this Code or a similar provision of a local ordinance; |
18. A second or subsequent conviction of illegal |
possession, while operating or in actual physical control, |
as a driver, of a motor vehicle, of any controlled |
substance prohibited under the Illinois Controlled |
Substances Act, any cannabis prohibited under the Cannabis |
Control Act, or any methamphetamine prohibited under the |
Methamphetamine Control and Community Protection Act. A |
defendant found guilty of this offense while operating a |
motor vehicle
shall have an entry made in the court record |
|
by the presiding judge that
this offense did occur while |
the defendant was operating a motor vehicle
and order the |
clerk of the court to report the violation to the Secretary
|
of State. |
(b) The Secretary of State shall also immediately revoke |
the license
or permit of any driver in the following |
situations:
|
1. Of any minor upon receiving the notice provided for |
in Section
5-901 of the Juvenile Court Act of 1987 that the |
minor has been
adjudicated under that Act as having |
committed an offense relating to
motor vehicles prescribed |
in Section 4-103 of this Code;
|
2. Of any person when any other law of this State |
requires either the
revocation or suspension of a license |
or permit;
|
3. Of any person adjudicated under the Juvenile Court |
Act of 1987 based on an offense determined to have been |
committed in furtherance of the criminal activities of an |
organized gang as provided in Section 5-710 of that Act, |
and that involved the operation or use of a motor vehicle |
or the use of a driver's license or permit. The revocation |
shall remain in effect for the period determined by the |
court. |
(c)(1) Whenever a person is convicted of any of the |
offenses enumerated in
this Section, the court may recommend |
and the Secretary of State in his
discretion, without regard to |
|
whether the recommendation is made by the
court may, upon |
application,
issue to the person a
restricted driving permit |
granting the privilege of driving a motor
vehicle between the |
petitioner's residence and petitioner's place
of employment or |
within the scope of the petitioner's employment related
duties, |
or to allow the petitioner to transport himself or herself or a |
family member
of the petitioner's household to a medical |
facility for the receipt of necessary medical care or to allow |
the
petitioner to transport himself or herself to and from |
alcohol or drug remedial or rehabilitative activity |
recommended by a licensed service provider, or to allow the
|
petitioner to transport himself or herself or a family member |
of the petitioner's household to classes, as a student, at an |
accredited educational
institution, or to allow the petitioner |
to transport children, elderly persons, or persons with |
disabilities who do not hold driving privileges and are living |
in the petitioner's household to and from daycare; if the |
petitioner is able to demonstrate that no alternative means
of |
transportation is reasonably available and that the petitioner |
will not endanger
the public safety or welfare; provided that |
the Secretary's discretion shall be
limited to cases where |
undue hardship, as defined by the rules of the Secretary of |
State, would result from a failure to issue the
restricted |
driving permit.
|
(1.5) A person subject to the provisions of paragraph 4 |
of subsection (b) of Section 6-208 of this Code may make |
|
application for a restricted driving permit at a hearing |
conducted under Section 2-118 of this Code after the |
expiration of 5 years from the effective date of the most |
recent revocation, or after 5 years from the date of |
release from a period of imprisonment resulting from a |
conviction of the most recent offense, whichever is later, |
provided the person, in addition to all other requirements |
of the Secretary, shows by clear and convincing evidence: |
(A) a minimum of 3 years of uninterrupted |
abstinence from alcohol and the unlawful use or |
consumption of cannabis under the Cannabis Control |
Act, a controlled substance under the Illinois |
Controlled Substances Act, an intoxicating compound |
under the Use of Intoxicating Compounds Act, or |
methamphetamine under the Methamphetamine Control and |
Community Protection Act; and |
(B) the successful completion of any |
rehabilitative treatment and involvement in any |
ongoing rehabilitative activity that may be |
recommended by a properly licensed service provider |
according to an assessment of the person's alcohol or |
drug use under Section 11-501.01 of this Code. |
In determining whether an applicant is eligible for a |
restricted driving permit under this paragraph (1.5), the |
Secretary may consider any relevant evidence, including, |
but not limited to, testimony, affidavits, records, and the |
|
results of regular alcohol or drug tests. Persons subject |
to the provisions of paragraph 4 of subsection (b) of |
Section 6-208 of this Code and who have been convicted of |
more than one violation of paragraph (3), paragraph (4), or |
paragraph (5) of subsection (a) of Section 11-501 of this |
Code shall not be eligible to apply for a restricted |
driving permit. |
A restricted driving permit issued under this |
paragraph (1.5) shall provide that the holder may only |
operate motor vehicles equipped with an ignition interlock |
device as required under paragraph (2) of subsection (c) of |
this Section and subparagraph (A) of paragraph 3 of |
subsection (c) of Section 6-206 of this Code. The Secretary |
may revoke a restricted driving permit or amend the |
conditions of a restricted driving permit issued under this |
paragraph (1.5) if the holder operates a vehicle that is |
not equipped with an ignition interlock device, or for any |
other reason authorized under this Code. |
A restricted driving permit issued under this |
paragraph (1.5) shall be revoked, and the holder barred |
from applying for or being issued a restricted driving |
permit in the future, if the holder is subsequently |
convicted of a violation of Section 11-501 of this Code, a |
similar provision of a local ordinance, or a similar |
offense in another state. |
(2) If a person's license or permit is revoked or |
|
suspended due to 2 or
more convictions of violating Section |
11-501 of this Code or a similar
provision of a local |
ordinance or a similar out-of-state offense, or Section 9-3 |
of the Criminal Code of 1961 or the Criminal Code of 2012, |
where the use of alcohol or other drugs is recited as an |
element of the offense, or a similar out-of-state offense, |
or a combination of these offenses, arising out
of separate |
occurrences, that person, if issued a restricted driving |
permit,
may not operate a vehicle unless it has been |
equipped with an ignition
interlock device as defined in |
Section 1-129.1.
|
(3) If:
|
(A) a person's license or permit is revoked or |
suspended 2 or more
times due to any combination of: |
(i)
a single conviction of violating Section
|
11-501 of this Code or a similar provision of a |
local ordinance or a similar
out-of-state offense, |
or Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, where the use of alcohol or |
other drugs is recited as an element of the |
offense, or a similar out-of-state offense; or |
(ii)
a statutory summary suspension or |
revocation under Section
11-501.1; or |
(iii)
a suspension pursuant to Section |
6-203.1;
|
arising out of
separate occurrences; or |
|
(B)
a person has been convicted of one violation of |
subparagraph (C) or (F) of paragraph (1) of subsection |
(d) of Section 11-501 of this Code, Section 9-3 of the |
Criminal Code of 1961 or the Criminal Code of 2012, |
relating to the offense of reckless homicide where the |
use of alcohol or other drugs was recited as an element |
of the offense, or a similar provision of a law of |
another state;
|
that person, if issued a restricted
driving permit, may not |
operate a vehicle unless it has been equipped with an
|
ignition interlock device as defined in Section 1-129.1. |
(4)
The person issued a permit conditioned on the use |
of an ignition interlock device must pay to the Secretary |
of State DUI Administration Fund an amount
not to exceed |
$30 per month. The Secretary shall establish by rule the |
amount
and the procedures, terms, and conditions relating |
to these fees. |
(5)
If the restricted driving permit is issued for |
employment purposes, then
the prohibition against |
operating a motor vehicle that is not equipped with an |
ignition interlock device does not apply to the operation |
of an occupational vehicle
owned or leased by that person's |
employer when used solely for employment purposes. For any |
person who, within a 5-year period, is convicted of a |
second or subsequent offense under Section 11-501 of this |
Code, or a similar provision of a local ordinance or |
|
similar out-of-state offense, this employment exemption |
does not apply until either a one-year one year period has |
elapsed during which that person had his or her driving |
privileges revoked or a one-year one year period has |
elapsed during which that person had a restricted driving |
permit which required the use of an ignition interlock |
device on every motor vehicle owned or operated by that |
person. |
(6)
In each case the Secretary of State may issue a
|
restricted driving permit for a period he deems |
appropriate, except that the
permit shall expire within one |
year from the date of issuance. A restricted
driving permit |
issued under this Section shall be
subject to cancellation, |
revocation, and suspension by the Secretary of
State in |
like manner and for like cause as a driver's license issued
|
under this Code may be cancelled, revoked, or
suspended; |
except that a conviction upon one or more offenses against |
laws or
ordinances regulating the movement of traffic shall |
be deemed sufficient cause
for the revocation, suspension, |
or cancellation of a restricted driving permit.
The |
Secretary of State may, as a condition to the issuance of a |
restricted
driving permit, require the petitioner to |
participate in a designated driver
remedial or |
rehabilitative program. The Secretary of State is |
authorized to
cancel a restricted driving permit if the |
permit holder does not successfully
complete the program. |
|
However, if an individual's driving privileges have been
|
revoked in accordance with paragraph 13 of subsection (a) |
of this Section, no
restricted driving permit shall be |
issued until the individual has served 6
months of the |
revocation period.
|
(c-5) (Blank).
|
(c-6) If a person is convicted of a second violation of |
operating a motor vehicle while the person's driver's license, |
permit or privilege was revoked, where the revocation was for a |
violation of Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012 relating to the offense of reckless |
homicide or a similar out-of-state offense, the person's |
driving privileges shall be revoked pursuant to subdivision |
(a)(15) of this Section. The person may not make application |
for a license or permit until the expiration of five years from |
the effective date of the revocation or the expiration of five |
years from the date of release from a term of imprisonment, |
whichever is later. |
(c-7) If a person is convicted of a third or subsequent |
violation of operating a motor vehicle while the person's |
driver's license, permit or privilege was revoked, where the |
revocation was for a violation of Section 9-3 of the Criminal |
Code of 1961 or the Criminal Code of 2012 relating to the |
offense of reckless homicide or a similar out-of-state offense, |
the person may never apply for a license or permit. |
(d)(1) Whenever a person under the age of 21 is convicted |
|
under Section
11-501 of this Code or a similar provision of a |
local ordinance or a similar out-of-state offense, the
|
Secretary of State shall revoke the driving privileges of that |
person. One
year after the date of revocation, and upon |
application, the Secretary of
State may, if satisfied that the |
person applying will not endanger the
public safety or welfare, |
issue a restricted driving permit granting the
privilege of |
driving a motor vehicle only between the hours of 5 a.m. and 9
|
p.m. or as otherwise provided by this Section for a period of |
one year.
After this one-year one year period, and upon |
reapplication for a license as
provided in Section 6-106, upon |
payment of the appropriate reinstatement
fee provided under |
paragraph (b) of Section 6-118, the Secretary of State,
in his |
discretion, may
reinstate the petitioner's driver's license |
and driving privileges, or extend the restricted driving permit |
as many times as the
Secretary of State deems appropriate, by |
additional periods of not more than
12 months each.
|
(2) If a person's license or permit is revoked or |
suspended due to 2 or
more convictions of violating Section |
11-501 of this Code or a similar
provision of a local |
ordinance or a similar out-of-state offense, or Section 9-3 |
of the Criminal Code of 1961 or the Criminal Code of 2012, |
where the use of alcohol or other drugs is recited as an |
element of the offense, or a similar out-of-state offense, |
or a combination of these offenses, arising out
of separate |
occurrences, that person, if issued a restricted driving |
|
permit,
may not operate a vehicle unless it has been |
equipped with an ignition
interlock device as defined in |
Section 1-129.1.
|
(3) If a person's license or permit is revoked or |
suspended 2 or more times
due to any combination of: |
(A) a single conviction of violating Section |
11-501
of this
Code or a similar provision of a local |
ordinance or a similar out-of-state
offense, or |
Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, where the use of alcohol or |
other drugs is recited as an element of the offense, or |
a similar out-of-state offense; or |
(B)
a statutory summary suspension or revocation |
under Section 11-501.1; or |
(C) a suspension pursuant to Section 6-203.1; |
arising out of separate occurrences, that person, if issued |
a
restricted
driving permit, may not operate a vehicle |
unless it has been equipped with an
ignition interlock |
device as defined in Section 1-129.1. |
(3.5) If a person's license or permit is revoked or |
suspended due to a conviction for a violation of |
subparagraph (C) or (F) of paragraph (1) of subsection (d) |
of Section 11-501 of this Code, or a similar provision of a |
local ordinance or similar out-of-state offense, that |
person, if issued a restricted driving permit, may not |
operate a vehicle unless it has been equipped with an |
|
ignition interlock device as defined in Section 1-129.1. |
(4)
The person issued a permit conditioned upon the use |
of an interlock device must pay to the Secretary of State |
DUI Administration Fund an amount
not to exceed $30 per |
month. The Secretary shall establish by rule the amount
and |
the procedures, terms, and conditions relating to these |
fees. |
(5)
If the restricted driving permit is issued for |
employment purposes, then
the prohibition against driving |
a vehicle that is not equipped with an ignition interlock |
device does not apply to the operation of an occupational |
vehicle
owned or leased by that person's employer when used |
solely for employment purposes. For any person who, within |
a 5-year period, is convicted of a second or subsequent |
offense under Section 11-501 of this Code, or a similar |
provision of a local ordinance or similar out-of-state |
offense, this employment exemption does not apply until |
either a one-year one year period has elapsed during which |
that person had his or her driving privileges revoked or a |
one-year one year period has elapsed during which that |
person had a restricted driving permit which required the |
use of an ignition interlock device on every motor vehicle |
owned or operated by that person. |
(6) A
restricted driving permit issued under this |
Section shall be subject to
cancellation, revocation, and |
suspension by the Secretary of State in like
manner and for |
|
like cause as a driver's license issued under this Code may |
be
cancelled, revoked, or suspended; except that a |
conviction upon one or more
offenses against laws or |
ordinances regulating the movement of traffic
shall be |
deemed sufficient cause for the revocation, suspension, or
|
cancellation of a restricted driving permit.
|
(d-5) The revocation of the license, permit, or driving |
privileges of a person convicted of a third or subsequent |
violation of Section 6-303 of this Code committed while his or |
her driver's license, permit, or privilege was revoked because |
of a violation of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012, relating to the offense of reckless |
homicide, or a similar provision of a law of another state, is |
permanent. The Secretary may not, at any time, issue a license |
or permit to that person.
|
(e) This Section is subject to the provisions of the Driver |
License
Compact.
|
(f) Any revocation imposed upon any person under |
subsections 2
and 3 of paragraph (b) that is in effect on |
December 31, 1988 shall be
converted to a suspension for a like |
period of time.
|
(g) The Secretary of State shall not issue a restricted |
driving permit to
a person under the age of 16 years whose |
driving privileges have been revoked
under any provisions of |
this Code.
|
(h) The Secretary of State shall require the use of |
|
ignition interlock
devices for a period not less than 5 years |
on all vehicles owned by a person who has been convicted of a
|
second or subsequent offense under Section 11-501 of this Code |
or a similar
provision of a local ordinance. The person must |
pay to the Secretary of State DUI Administration Fund an amount |
not to exceed $30 for each month that he or she uses the |
device. The Secretary shall establish by rule and
regulation |
the procedures for certification and use of the interlock
|
system, the amount of the fee, and the procedures, terms, and |
conditions relating to these fees. During the time period in |
which a person is required to install an ignition interlock |
device under this subsection (h), that person shall only |
operate vehicles in which ignition interlock devices have been |
installed, except as allowed by subdivision (c)(5) or (d)(5) of |
this Section.
|
(i) (Blank).
|
(j) In accordance with 49 C.F.R. 384, the Secretary of |
State may not issue a restricted driving permit for the |
operation of a commercial motor vehicle to a person holding a |
CDL whose driving privileges have been revoked, suspended, |
cancelled, or disqualified under any provisions of this Code.
|
(k) The Secretary of State shall notify by mail any person |
whose driving privileges have been revoked under paragraph 16 |
of subsection (a) of this Section that his or her driving |
privileges and driver's license will be revoked 90 days from |
the date of the mailing of the notice. |
|
(Source: P.A. 99-143, eff. 7-27-15; 99-289, eff. 8-6-15; |
99-290, eff. 1-1-16; 99-296, eff. 1-1-16; 99-297, eff. 1-1-16; |
99-467, eff. 1-1-16; 99-483, eff. 1-1-16; revised 11-2-15.)
|
(625 ILCS 5/6-206)
|
Sec. 6-206. Discretionary authority to suspend or revoke |
license or
permit; Right to a hearing.
|
(a) The Secretary of State is authorized to suspend or |
revoke the
driving privileges of any person without preliminary |
hearing upon a showing
of the person's records or other |
sufficient evidence that
the person:
|
1. Has committed an offense for which mandatory |
revocation of
a driver's license or permit is required upon |
conviction;
|
2. Has been convicted of not less than 3 offenses |
against traffic
regulations governing the movement of |
vehicles committed within any 12
month period. No |
revocation or suspension shall be entered more than
6 |
months after the date of last conviction;
|
3. Has been repeatedly involved as a driver in motor |
vehicle
collisions or has been repeatedly convicted of |
offenses against laws and
ordinances regulating the |
movement of traffic, to a degree that
indicates lack of |
ability to exercise ordinary and reasonable care in
the |
safe operation of a motor vehicle or disrespect for the |
traffic laws
and the safety of other persons upon the |
|
highway;
|
4. Has by the unlawful operation of a motor vehicle |
caused or
contributed to an accident resulting in injury |
requiring
immediate professional treatment in a medical |
facility or doctor's office
to any person, except that any |
suspension or revocation imposed by the
Secretary of State |
under the provisions of this subsection shall start no
|
later than 6 months after being convicted of violating a |
law or
ordinance regulating the movement of traffic, which |
violation is related
to the accident, or shall start not |
more than one year
after
the date of the accident, |
whichever date occurs later;
|
5. Has permitted an unlawful or fraudulent use of a |
driver's
license, identification card, or permit;
|
6. Has been lawfully convicted of an offense or |
offenses in another
state, including the authorization |
contained in Section 6-203.1, which
if committed within |
this State would be grounds for suspension or revocation;
|
7. Has refused or failed to submit to an examination |
provided for by
Section 6-207 or has failed to pass the |
examination;
|
8. Is ineligible for a driver's license or permit under |
the provisions
of Section 6-103;
|
9. Has made a false statement or knowingly concealed a |
material fact
or has used false information or |
identification in any application for a
license, |
|
identification card, or permit;
|
10. Has possessed, displayed, or attempted to |
fraudulently use any
license, identification card, or |
permit not issued to the person;
|
11. Has operated a motor vehicle upon a highway of this |
State when
the person's driving privilege or privilege to |
obtain a driver's license
or permit was revoked or |
suspended unless the operation was authorized by
a |
monitoring device driving permit, judicial driving permit |
issued prior to January 1, 2009, probationary license to |
drive, or a restricted
driving permit issued under this |
Code;
|
12. Has submitted to any portion of the application |
process for
another person or has obtained the services of |
another person to submit to
any portion of the application |
process for the purpose of obtaining a
license, |
identification card, or permit for some other person;
|
13. Has operated a motor vehicle upon a highway of this |
State when
the person's driver's license or permit was |
invalid under the provisions of
Sections 6-107.1 and
6-110;
|
14. Has committed a violation of Section 6-301, |
6-301.1, or 6-301.2
of this Code Act , or Section 14, 14A, |
or 14B of the Illinois Identification Card
Act;
|
15. Has been convicted of violating Section 21-2 of the |
Criminal Code
of 1961 or the Criminal Code of 2012 relating |
to criminal trespass to vehicles in which case, the |
|
suspension
shall be for one year;
|
16. Has been convicted of violating Section 11-204 of |
this Code relating
to fleeing from a peace officer;
|
17. Has refused to submit to a test, or tests, as |
required under Section
11-501.1 of this Code and the person |
has not sought a hearing as
provided for in Section |
11-501.1;
|
18. Has, since issuance of a driver's license or |
permit, been adjudged
to be afflicted with or suffering |
from any mental disability or disease;
|
19. Has committed a violation of paragraph (a) or (b) |
of Section 6-101
relating to driving without a driver's |
license;
|
20. Has been convicted of violating Section 6-104 |
relating to
classification of driver's license;
|
21. Has been convicted of violating Section 11-402 of
|
this Code relating to leaving the scene of an accident |
resulting in damage
to a vehicle in excess of $1,000, in |
which case the suspension shall be
for one year;
|
22. Has used a motor vehicle in violating paragraph |
(3), (4), (7), or
(9) of subsection (a) of Section 24-1 of |
the Criminal Code of 1961 or the Criminal Code of 2012 |
relating
to unlawful use of weapons, in which case the |
suspension shall be for one
year;
|
23. Has, as a driver, been convicted of committing a |
violation of
paragraph (a) of Section 11-502 of this Code |
|
for a second or subsequent
time within one year of a |
similar violation;
|
24. Has been convicted by a court-martial or punished |
by non-judicial
punishment by military authorities of the |
United States at a military
installation in Illinois or in |
another state of or for a traffic related offense that is |
the
same as or similar to an offense specified under |
Section 6-205 or 6-206 of
this Code;
|
25. Has permitted any form of identification to be used |
by another in
the application process in order to obtain or |
attempt to obtain a license,
identification card, or |
permit;
|
26. Has altered or attempted to alter a license or has |
possessed an
altered license, identification card, or |
permit;
|
27. Has violated Section 6-16 of the Liquor Control Act |
of 1934;
|
28. Has been convicted for a first time of the illegal |
possession, while operating or
in actual physical control, |
as a driver, of a motor vehicle, of any
controlled |
substance prohibited under the Illinois Controlled |
Substances
Act, any cannabis prohibited under the Cannabis |
Control
Act, or any methamphetamine prohibited under the |
Methamphetamine Control and Community Protection Act, in |
which case the person's driving privileges shall be |
suspended for
one year.
Any defendant found guilty of this |
|
offense while operating a motor vehicle,
shall have an |
entry made in the court record by the presiding judge that
|
this offense did occur while the defendant was operating a |
motor vehicle
and order the clerk of the court to report |
the violation to the Secretary
of State;
|
29. Has been convicted of the following offenses that |
were committed
while the person was operating or in actual |
physical control, as a driver,
of a motor vehicle: criminal |
sexual assault,
predatory criminal sexual assault of a |
child,
aggravated criminal sexual
assault, criminal sexual |
abuse, aggravated criminal sexual abuse, juvenile
pimping, |
soliciting for a juvenile prostitute, promoting juvenile |
prostitution as described in subdivision (a)(1), (a)(2), |
or (a)(3) of Section 11-14.4 of the Criminal Code of 1961 |
or the Criminal Code of 2012, and the manufacture, sale or
|
delivery of controlled substances or instruments used for |
illegal drug use
or abuse in which case the driver's |
driving privileges shall be suspended
for one year;
|
30. Has been convicted a second or subsequent time for |
any
combination of the offenses named in paragraph 29 of |
this subsection,
in which case the person's driving |
privileges shall be suspended for 5
years;
|
31. Has refused to submit to a test as
required by |
Section 11-501.6 of this Code or Section 5-16c of the Boat |
Registration and Safety Act or has submitted to a test |
resulting in
an alcohol concentration of 0.08 or more or |
|
any amount of a drug, substance, or
compound resulting from |
the unlawful use or consumption of cannabis as listed
in |
the Cannabis Control Act, a controlled substance as listed |
in the Illinois
Controlled Substances Act, an intoxicating |
compound as listed in the Use of
Intoxicating Compounds |
Act, or methamphetamine as listed in the Methamphetamine |
Control and Community Protection Act, in which case the |
penalty shall be
as prescribed in Section 6-208.1;
|
32. Has been convicted of Section 24-1.2 of the |
Criminal Code of
1961 or the Criminal Code of 2012 relating |
to the aggravated discharge of a firearm if the offender |
was
located in a motor vehicle at the time the firearm was |
discharged, in which
case the suspension shall be for 3 |
years;
|
33. Has as a driver, who was less than 21 years of age |
on the date of
the offense, been convicted a first time of |
a violation of paragraph (a) of
Section 11-502 of this Code |
or a similar provision of a local ordinance;
|
34. Has committed a violation of Section 11-1301.5 of |
this Code or a similar provision of a local ordinance;
|
35. Has committed a violation of Section 11-1301.6 of |
this Code or a similar provision of a local ordinance;
|
36. Is under the age of 21 years at the time of arrest |
and has been
convicted of not less than 2 offenses against |
traffic regulations governing
the movement of vehicles |
committed within any 24 month period. No revocation
or |
|
suspension shall be entered more than 6 months after the |
date of last
conviction;
|
37. Has committed a violation of subsection (c) of |
Section 11-907 of this
Code that resulted in damage to the |
property of another or the death or injury of another;
|
38. Has been convicted of a violation of Section 6-20 |
of the Liquor
Control Act of 1934 or a similar provision of |
a local ordinance;
|
39. Has committed a second or subsequent violation of |
Section
11-1201 of this Code;
|
40. Has committed a violation of subsection (a-1) of |
Section 11-908 of
this Code; |
41. Has committed a second or subsequent violation of |
Section 11-605.1 of this Code, a similar provision of a |
local ordinance, or a similar violation in any other state |
within 2 years of the date of the previous violation, in |
which case the suspension shall be for 90 days; |
42. Has committed a violation of subsection (a-1) of |
Section 11-1301.3 of this Code or a similar provision of a |
local ordinance;
|
43. Has received a disposition of court supervision for |
a violation of subsection (a), (d), or (e) of Section 6-20 |
of the Liquor
Control Act of 1934 or a similar provision of |
a local ordinance, in which case the suspension shall be |
for a period of 3 months;
|
44.
Is under the age of 21 years at the time of arrest |
|
and has been convicted of an offense against traffic |
regulations governing the movement of vehicles after |
having previously had his or her driving privileges
|
suspended or revoked pursuant to subparagraph 36 of this |
Section; |
45.
Has, in connection with or during the course of a |
formal hearing conducted under Section 2-118 of this Code: |
(i) committed perjury; (ii) submitted fraudulent or |
falsified documents; (iii) submitted documents that have |
been materially altered; or (iv) submitted, as his or her |
own, documents that were in fact prepared or composed for |
another person; |
46. Has committed a violation of subsection (j) of |
Section 3-413 of this Code; or
|
47. Has committed a violation of Section 11-502.1 of |
this Code. |
For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26, |
and 27 of this
subsection, license means any driver's license, |
any traffic ticket issued when
the person's driver's license is |
deposited in lieu of bail, a suspension
notice issued by the |
Secretary of State, a duplicate or corrected driver's
license, |
a probationary driver's license or a temporary driver's |
license. |
(b) If any conviction forming the basis of a suspension or
|
revocation authorized under this Section is appealed, the
|
Secretary of State may rescind or withhold the entry of the |
|
order of suspension
or revocation, as the case may be, provided |
that a certified copy of a stay
order of a court is filed with |
the Secretary of State. If the conviction is
affirmed on |
appeal, the date of the conviction shall relate back to the |
time
the original judgment of conviction was entered and the 6 |
month limitation
prescribed shall not apply.
|
(c) 1. Upon suspending or revoking the driver's license or |
permit of
any person as authorized in this Section, the |
Secretary of State shall
immediately notify the person in |
writing of the revocation or suspension.
The notice to be |
deposited in the United States mail, postage prepaid,
to the |
last known address of the person.
|
2. If the Secretary of State suspends the driver's license
|
of a person under subsection 2 of paragraph (a) of this |
Section, a
person's privilege to operate a vehicle as an |
occupation shall not be
suspended, provided an affidavit is |
properly completed, the appropriate fee
received, and a permit |
issued prior to the effective date of the
suspension, unless 5 |
offenses were committed, at least 2 of which occurred
while |
operating a commercial vehicle in connection with the driver's
|
regular occupation. All other driving privileges shall be |
suspended by the
Secretary of State. Any driver prior to |
operating a vehicle for
occupational purposes only must submit |
the affidavit on forms to be
provided by the Secretary of State |
setting forth the facts of the person's
occupation. The |
affidavit shall also state the number of offenses
committed |
|
while operating a vehicle in connection with the driver's |
regular
occupation. The affidavit shall be accompanied by the |
driver's license.
Upon receipt of a properly completed |
affidavit, the Secretary of State
shall issue the driver a |
permit to operate a vehicle in connection with the
driver's |
regular occupation only. Unless the permit is issued by the
|
Secretary of State prior to the date of suspension, the |
privilege to drive
any motor vehicle shall be suspended as set |
forth in the notice that was
mailed under this Section. If an |
affidavit is received subsequent to the
effective date of this |
suspension, a permit may be issued for the remainder
of the |
suspension period.
|
The provisions of this subparagraph shall not apply to any |
driver
required to possess a CDL for the purpose of operating a |
commercial motor vehicle.
|
Any person who falsely states any fact in the affidavit |
required
herein shall be guilty of perjury under Section 6-302 |
and upon conviction
thereof shall have all driving privileges |
revoked without further rights.
|
3. At the conclusion of a hearing under Section 2-118 of |
this Code,
the Secretary of State shall either rescind or |
continue an order of
revocation or shall substitute an order of |
suspension; or, good
cause appearing therefor, rescind, |
continue, change, or extend the
order of suspension. If the |
Secretary of State does not rescind the order,
the Secretary |
may upon application,
to relieve undue hardship (as defined by |
|
the rules of the Secretary of State), issue
a restricted |
driving permit granting the privilege of driving a motor
|
vehicle between the petitioner's residence and petitioner's |
place of
employment or within the scope of the petitioner's |
employment related duties, or to
allow the petitioner to |
transport himself or herself, or a family member of the
|
petitioner's household to a medical facility, to receive |
necessary medical care, to allow the petitioner to transport |
himself or herself to and from alcohol or drug
remedial or |
rehabilitative activity recommended by a licensed service |
provider, or to allow the petitioner to transport himself or |
herself or a family member of the petitioner's household to |
classes, as a student, at an accredited educational |
institution, or to allow the petitioner to transport children, |
elderly persons, or persons with disabilities who do not hold |
driving privileges and are living in the petitioner's household |
to and from daycare. The
petitioner must demonstrate that no |
alternative means of
transportation is reasonably available |
and that the petitioner will not endanger
the public safety or |
welfare.
|
(A) If a person's license or permit is revoked or |
suspended due to 2
or more convictions of violating Section |
11-501 of this Code or a similar
provision of a local |
ordinance or a similar out-of-state offense, or Section 9-3 |
of the Criminal Code of 1961 or the Criminal Code of 2012, |
where the use of alcohol or other drugs is recited as an |
|
element of the offense, or a similar out-of-state offense, |
or a combination of these offenses, arising out
of separate |
occurrences, that person, if issued a restricted driving |
permit,
may not operate a vehicle unless it has been |
equipped with an ignition
interlock device as defined in |
Section 1-129.1.
|
(B) If a person's license or permit is revoked or |
suspended 2 or more
times due to any combination of: |
(i) a single conviction of violating Section
|
11-501 of this Code or a similar provision of a local |
ordinance or a similar
out-of-state offense or Section |
9-3 of the Criminal Code of 1961 or the Criminal Code |
of 2012, where the use of alcohol or other drugs is |
recited as an element of the offense, or a similar |
out-of-state offense; or |
(ii) a statutory summary suspension or revocation |
under Section
11-501.1; or |
(iii) a suspension under Section 6-203.1; |
arising out of
separate occurrences; that person, if issued |
a restricted driving permit, may
not operate a vehicle |
unless it has been
equipped with an ignition interlock |
device as defined in Section 1-129.1. |
(B-5) If a person's license or permit is revoked or |
suspended due to a conviction for a violation of |
subparagraph (C) or (F) of paragraph (1) of subsection (d) |
of Section 11-501 of this Code, or a similar provision of a |
|
local ordinance or similar out-of-state offense, that |
person, if issued a restricted driving permit, may not |
operate a vehicle unless it has been equipped with an |
ignition interlock device as defined in Section 1-129.1. |
(C)
The person issued a permit conditioned upon the use |
of an ignition interlock device must pay to the Secretary |
of State DUI Administration Fund an amount
not to exceed |
$30 per month. The Secretary shall establish by rule the |
amount
and the procedures, terms, and conditions relating |
to these fees. |
(D) If the
restricted driving permit is issued for |
employment purposes, then the prohibition against |
operating a motor vehicle that is not equipped with an |
ignition interlock device does not apply to the operation |
of an occupational vehicle owned or
leased by that person's |
employer when used solely for employment purposes. For any |
person who, within a 5-year period, is convicted of a |
second or subsequent offense under Section 11-501 of this |
Code, or a similar provision of a local ordinance or |
similar out-of-state offense, this employment exemption |
does not apply until either a one-year one year period has |
elapsed during which that person had his or her driving |
privileges revoked or a one-year one year period has |
elapsed during which that person had a restricted driving |
permit which required the use of an ignition interlock |
device on every motor vehicle owned or operated by that |
|
person. |
(E) In each case the Secretary may issue a
restricted |
driving permit for a period deemed appropriate, except that |
all
permits shall expire within one year from the date of |
issuance. A
restricted driving permit issued under this |
Section shall be subject to
cancellation, revocation, and |
suspension by the Secretary of State in like
manner and for |
like cause as a driver's license issued under this Code may |
be
cancelled, revoked, or suspended; except that a |
conviction upon one or more
offenses against laws or |
ordinances regulating the movement of traffic
shall be |
deemed sufficient cause for the revocation, suspension, or
|
cancellation of a restricted driving permit. The Secretary |
of State may, as
a condition to the issuance of a |
restricted driving permit, require the
applicant to |
participate in a designated driver remedial or |
rehabilitative
program. The Secretary of State is |
authorized to cancel a restricted
driving permit if the |
permit holder does not successfully complete the program.
|
(F) A person subject to the provisions of paragraph 4 |
of subsection (b) of Section 6-208 of this Code may make |
application for a restricted driving permit at a hearing |
conducted under Section 2-118 of this Code after the |
expiration of 5 years from the effective date of the most |
recent revocation or after 5 years from the date of release |
from a period of imprisonment resulting from a conviction |
|
of the most recent offense, whichever is later, provided |
the person, in addition to all other requirements of the |
Secretary, shows by clear and convincing evidence: |
(i) a minimum of 3 years of uninterrupted |
abstinence from alcohol and the unlawful use or |
consumption of cannabis under the Cannabis Control |
Act, a controlled substance under the Illinois |
Controlled Substances Act, an intoxicating compound |
under the Use of Intoxicating Compounds Act, or |
methamphetamine under the Methamphetamine Control and |
Community Protection Act; and |
(ii) the successful completion of any |
rehabilitative treatment and involvement in any |
ongoing rehabilitative activity that may be |
recommended by a properly licensed service provider |
according to an assessment of the person's alcohol or |
drug use under Section 11-501.01 of this Code. |
In determining whether an applicant is eligible for a |
restricted driving permit under this subparagraph (F), the |
Secretary may consider any relevant evidence, including, |
but not limited to, testimony, affidavits, records, and the |
results of regular alcohol or drug tests. Persons subject |
to the provisions of paragraph 4 of subsection (b) of |
Section 6-208 of this Code and who have been convicted of |
more than one violation of paragraph (3), paragraph (4), or |
paragraph (5) of subsection (a) of Section 11-501 of this |
|
Code shall not be eligible to apply for a restricted |
driving permit under this subparagraph (F). |
A restricted driving permit issued under this |
subparagraph (F) shall provide that the holder may only |
operate motor vehicles equipped with an ignition interlock |
device as required under paragraph (2) of subsection (c) of |
Section 6-205 of this Code and subparagraph (A) of |
paragraph 3 of subsection (c) of this Section. The |
Secretary may revoke a restricted driving permit or amend |
the conditions of a restricted driving permit issued under |
this subparagraph (F) if the holder operates a vehicle that |
is not equipped with an ignition interlock device, or for |
any other reason authorized under this Code. |
A restricted driving permit issued under this |
subparagraph (F) shall be revoked, and the holder barred |
from applying for or being issued a restricted driving |
permit in the future, if the holder is convicted of a |
violation of Section 11-501 of this Code, a similar |
provision of a local ordinance, or a similar offense in |
another state. |
(c-3) In the case of a suspension under paragraph 43 of |
subsection (a), reports received by the Secretary of State |
under this Section shall, except during the actual time the |
suspension is in effect, be privileged information and for use |
only by the courts, police officers, prosecuting authorities, |
the driver licensing administrator of any other state, the |
|
Secretary of State, or the parent or legal guardian of a driver |
under the age of 18. However, beginning January 1, 2008, if the |
person is a CDL holder, the suspension shall also be made |
available to the driver licensing administrator of any other |
state, the U.S. Department of Transportation, and the affected |
driver or motor
carrier or prospective motor carrier upon |
request.
|
(c-4) In the case of a suspension under paragraph 43 of |
subsection (a), the Secretary of State shall notify the person |
by mail that his or her driving privileges and driver's license |
will be suspended one month after the date of the mailing of |
the notice.
|
(c-5) The Secretary of State may, as a condition of the |
reissuance of a
driver's license or permit to an applicant |
whose driver's license or permit has
been suspended before he |
or she reached the age of 21 years pursuant to any of
the |
provisions of this Section, require the applicant to |
participate in a
driver remedial education course and be |
retested under Section 6-109 of this
Code.
|
(d) This Section is subject to the provisions of the |
Drivers License
Compact.
|
(e) The Secretary of State shall not issue a restricted |
driving permit to
a person under the age of 16 years whose |
driving privileges have been suspended
or revoked under any |
provisions of this Code.
|
(f) In accordance with 49 C.F.R. 384, the Secretary of |
|
State may not issue a restricted driving permit for the |
operation of a commercial motor vehicle to a person holding a |
CDL whose driving privileges have been suspended, revoked, |
cancelled, or disqualified under any provisions of this Code. |
(Source: P.A. 98-103, eff. 1-1-14; 98-122, eff. 1-1-14; 98-726, |
eff. 1-1-15; 98-756, eff. 7-16-14; 99-143, eff. 7-27-15; |
99-290, eff. 1-1-16; 99-467, eff. 1-1-16; 99-483, eff. 1-1-16; |
revised 11-3-15.)
|
(625 ILCS 5/6-208) (from Ch. 95 1/2, par. 6-208)
|
Sec. 6-208. Period of Suspension - Application After |
Revocation.
|
(a) Except as otherwise provided by this Code or any other |
law of this
State, the Secretary of State shall not suspend a |
driver's license,
permit, or privilege to drive a motor vehicle |
on the highways for a
period of more than one year.
|
(b) Any person whose license, permit, or privilege to drive |
a motor
vehicle on the highways has been revoked shall not be |
entitled to have
such license, permit, or privilege renewed or |
restored. However, such
person may, except as provided under |
subsections (d) and (d-5) of Section 6-205, make
application |
for a license pursuant to Section 6-106 (i) if the revocation
|
was
for a cause that
has been removed or (ii) as provided in |
the following
subparagraphs:
|
1. Except as provided in subparagraphs 1.3, 1.5, 2, 3,
|
4, and 5,
the person may make application for a license (A) |
|
after the expiration of one
year from the effective date of |
the revocation, (B) in the case of a violation of paragraph |
(b) of Section 11-401 of this
Code or a similar provision |
of a local ordinance, after the expiration of 3
years from |
the effective date of the revocation, or
(C) in the case of |
a violation
of Section 9-3 of the Criminal Code of 1961 or |
the Criminal Code of 2012 or a similar provision of a law |
of another state relating to the offense of reckless
|
homicide or a violation of subparagraph (F) of paragraph 1 |
of subsection (d) of Section 11-501 of this Code relating |
to aggravated driving under the influence of alcohol, other |
drug or drugs, intoxicating compound or compounds, or any |
combination thereof, if the violation was the proximate |
cause of a death, after the expiration of 2 years from the |
effective date of the
revocation
or after the expiration of |
24 months from the date of release from
a
period of |
imprisonment as provided in Section
6-103 of this Code, |
whichever is later.
|
1.3. If the person is convicted of a second or |
subsequent violation of Section 11-501 of this Code or a |
similar provision of a local ordinance or a similar |
out-of-state offense, or Section 9-3 of the Criminal Code |
of 1961 or the Criminal Code of 2012, in which the use of |
alcohol or other drugs is recited as an element of the |
offense, or a similar out-of-state offense, or a |
combination of these offenses, arising out of separate |
|
occurrences, that person may not make application for a |
driver's license until: |
(A) the person has first been issued a restricted |
driving permit by the Secretary of State; and |
(B) the expiration of a continuous period of not |
less than 5 years following the issuance of the |
restricted driving permit during which the person's |
restricted driving permit is not suspended, cancelled, |
or revoked for a violation of any provision of law, or |
any rule or regulation of the Secretary of State |
relating to the required use of an ignition interlock |
device. |
1.5. If the person is convicted of a violation of |
Section 6-303 of this Code committed while his or her |
driver's license, permit, or privilege was revoked because |
of a violation of Section 9-3 of the Criminal Code of 1961 |
or the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar provision of a law of |
another state, the person may not make application for a |
license or permit until the expiration of 3 years from the |
date of the conviction.
|
2. If such person is convicted of committing a second |
violation within a 20-year
period of:
|
(A) Section 11-501 of this Code or a similar |
provision of a local
ordinance;
|
(B) Paragraph (b) of Section 11-401 of this Code or |
|
a similar
provision
of a local ordinance;
|
(C) Section 9-3 of the Criminal Code of 1961 or the |
Criminal Code of 2012, relating
to the
offense of |
reckless homicide; or
|
(D) any combination of the above offenses |
committed at different
instances;
|
then such person may not make application for a license |
until after
the expiration of 5 years from the effective |
date of the most recent
revocation. The 20-year
period |
shall be computed by using the dates the
offenses were |
committed and shall also include similar out-of-state
|
offenses and similar offenses committed on a military |
installation.
|
2.5. If a person is convicted of a second violation of |
Section 6-303 of this Code committed while the person's |
driver's license, permit, or privilege was revoked because |
of a violation of Section 9-3 of the Criminal Code of 1961 |
or the Criminal Code of 2012, relating to the offense of |
reckless homicide, or a similar provision of a law of |
another state, the person may not make application for a |
license or permit until the expiration of 5 years from the |
date of release from a term of imprisonment. |
3. However, except as provided in subparagraph 4, if |
such person is
convicted of committing a third violation or |
any combination of the above offenses, including
similar |
out-of-state offenses and similar offenses committed on a |
|
military installation, contained in subparagraph 2, then |
such person
may not make application for a license until |
after the expiration of 10 years
from the effective date of |
the most recent revocation.
|
4. Except as provided in paragraph (1.5) of subsection |
(c) of Section 6-205 and subparagraph (F) of paragraph 3 of |
subsection (c) of Section 6-206 of this Code, the person |
may not make application for a license if the person is
|
convicted of committing a fourth or subsequent
violation of |
Section 11-501 of this Code or a similar provision of a |
local
ordinance, Section 11-401 of this Code, Section 9-3 |
of the
Criminal Code of 1961 or the Criminal Code of 2012, |
or
a combination of these offenses,
similar provisions of |
local ordinances,
similar out-of-state offenses, or |
similar offenses committed on a military installation.
|
4.5. A bona fide resident of a foreign jurisdiction who |
is subject to the provisions of subparagraph 4 of this |
subsection (b) may make application for termination of the |
revocation after a period of 10 years from the effective |
date of the most recent revocation. However, if a person |
who has been granted a termination of revocation under this |
subparagraph 4.5 subsequently becomes a resident of this |
State, the revocation shall be reinstated and the person |
shall be subject to the provisions of subparagraph 4. |
5. The person may not make application for a license or |
permit if the person is convicted of a third or subsequent |
|
violation of Section 6-303 of this Code committed while his |
or her driver's license, permit, or privilege was revoked |
because of a violation of Section 9-3 of the Criminal Code |
of 1961 or the Criminal Code of 2012, relating to the |
offense of reckless homicide, or a similar provision of a |
law of another state.
|
Notwithstanding any other provision of this Code, all |
persons referred to
in this paragraph (b) may not have their |
privileges restored until the
Secretary receives payment of the |
required reinstatement fee pursuant to
subsection (b) of |
Section 6-118.
|
In no event shall the Secretary issue such license
unless |
and until such person has had a hearing pursuant to this Code |
and
the appropriate administrative rules and the Secretary is
|
satisfied, after a review or investigation of such person, that
|
to grant the privilege of driving a motor vehicle on the |
highways will
not endanger the public safety or welfare.
|
(c) (Blank).
|
(Source: P.A. 99-290, eff. 1-1-16; 99-296, eff. 1-1-16; revised |
11-3-15.)
|
(625 ILCS 5/6-302) (from Ch. 95 1/2, par. 6-302)
|
Sec. 6-302. Making false application or affidavit - |
Perjury.
|
(a) It is a violation of this Section for any person:
|
1. To display or present any document for the purpose |
|
of making
application for a driver's license or permit |
knowing that such document
contains false information |
concerning the identity identify of the applicant;
|
2. To accept or allow to be accepted any document |
displayed or
presented for the purpose of making |
application for a driver's license or
permit knowing that |
such document contains false information concerning the
|
identity of the applicant;
|
3. To knowingly make any false affidavit or swear or |
affirm falsely to
any matter or thing required by the terms |
of this Act to be sworn to or
affirmed.
|
(b) Sentence.
|
1. Any person convicted of a violation of this Section |
shall be guilty
of a Class 4 felony.
|
2. Any person convicted of a second or subsequent |
violation of this
Section shall be guilty of a Class 3 |
felony.
|
(c) This Section does not prohibit any lawfully authorized
|
investigative, protective, law enforcement or other activity |
of any agency
of the United States, State of Illinois or any |
other state or political
subdivision thereof.
|
(Source: P.A. 86-503; revised 11-2-15.)
|
(625 ILCS 5/11-501.01)
|
Sec. 11-501.01. Additional administrative sanctions. |
(a) After a finding of guilt and prior to any final |
|
sentencing or an order for supervision, for an offense based |
upon an arrest for a violation of Section 11-501 or a similar |
provision of a local ordinance, individuals shall be required |
to undergo a professional evaluation to determine if an |
alcohol, drug, or intoxicating compound abuse problem exists |
and the extent of the problem, and undergo the imposition of |
treatment as appropriate. Programs conducting these |
evaluations shall be licensed by the Department of Human |
Services. The cost of any professional evaluation shall be paid |
for by the individual required to undergo the professional |
evaluation. |
(b) Any person who is found guilty of or pleads guilty to |
violating Section 11-501, including any person receiving a |
disposition of court supervision for violating that Section, |
may be required by the Court to attend a victim impact panel |
offered by, or under contract with, a county State's Attorney's |
office, a probation and court services department, Mothers |
Against Drunk Driving, or the Alliance Against Intoxicated |
Motorists. All costs generated by the victim impact panel shall |
be paid from fees collected from the offender or as may be |
determined by the court. |
(c) Every person found guilty of violating Section 11-501, |
whose operation of a motor vehicle while in violation of that |
Section proximately caused any incident resulting in an |
appropriate emergency response, shall be liable for the expense |
of an emergency response as provided in subsection (i) of this |
|
Section. |
(d) The Secretary of State shall revoke the driving |
privileges of any person convicted under Section 11-501 or a |
similar provision of a local ordinance. |
(e) The Secretary of State shall require the use of |
ignition interlock devices for a period not less than 5 years |
on all vehicles owned by a person who has been convicted of a |
second or subsequent offense of Section 11-501 or a similar |
provision of a local ordinance. The person must pay to the |
Secretary of State DUI Administration Fund an amount not to |
exceed $30 for each month that he or she uses the device. The |
Secretary shall establish by rule and regulation the procedures |
for certification and use of the interlock system, the amount |
of the fee, and the procedures, terms, and conditions relating |
to these fees. During the time period in which a person is |
required to install an ignition interlock device under this |
subsection (e), that person shall only operate vehicles in |
which ignition interlock devices have been installed, except as |
allowed by subdivision (c)(5) or (d)(5) of Section 6-205 of |
this Code. |
(f) In addition to any other penalties and liabilities, a |
person who is found guilty of or pleads guilty to violating |
Section 11-501, including any person placed on court |
supervision for violating Section 11-501, shall be assessed |
$750, payable to the circuit clerk, who shall distribute the |
money as follows: $350 to the law enforcement agency that made |
|
the arrest, and $400 shall be forwarded to the State Treasurer |
for deposit into the General Revenue Fund. If the person has |
been previously convicted of violating Section 11-501 or a |
similar provision of a local ordinance, the fine shall be |
$1,000, and the circuit clerk shall distribute
$200 to the law |
enforcement agency that
made the arrest and $800 to the State
|
Treasurer for deposit into the General Revenue Fund. In the |
event that more than one agency is responsible for the arrest, |
the amount payable to law enforcement agencies shall be shared |
equally. Any moneys received by a law enforcement agency under |
this subsection (f) shall be used for enforcement and |
prevention of driving while under the influence of alcohol, |
other drug or drugs, intoxicating compound or compounds or any |
combination thereof, as defined by Section 11-501 of this Code, |
including but not limited to the purchase of law enforcement |
equipment and commodities that will assist in the prevention of |
alcohol related criminal violence throughout the State; police |
officer training and education in areas related to alcohol |
related crime, including but not limited to DUI training; and |
police officer salaries, including but not limited to salaries |
for hire back funding for safety checkpoints, saturation |
patrols, and liquor store sting operations. Any moneys received |
by the Department of State Police under this subsection (f) |
shall be deposited into the State Police DUI Fund and shall be |
used to purchase law enforcement equipment that will assist in |
the prevention of alcohol related criminal violence throughout |
|
the State. |
(g) The Secretary of State Police DUI Fund is created as a |
special fund in the State treasury. All moneys received by the |
Secretary of State Police under subsection (f) of this Section |
shall be deposited into the Secretary of State Police DUI Fund |
and, subject to appropriation, shall be used for enforcement |
and prevention of driving while under the influence of alcohol, |
other drug or drugs, intoxicating compound or compounds or any |
combination thereof, as defined by Section 11-501 of this Code, |
including but not limited to the purchase of law enforcement |
equipment and commodities to assist in the prevention of |
alcohol related criminal violence throughout the State; police |
officer training and education in areas related to alcohol |
related crime, including but not limited to DUI training; and |
police officer salaries, including but not limited to salaries |
for hire back funding for safety checkpoints, saturation |
patrols, and liquor store sting operations. |
(h) Whenever an individual is sentenced for an offense |
based upon an arrest for a violation of Section 11-501 or a |
similar provision of a local ordinance, and the professional |
evaluation recommends remedial or rehabilitative treatment or |
education, neither the treatment nor the education shall be the |
sole disposition and either or both may be imposed only in |
conjunction with another disposition. The court shall monitor |
compliance with any remedial education or treatment |
recommendations contained in the professional evaluation. |
|
Programs conducting alcohol or other drug evaluation or |
remedial education must be licensed by the Department of Human |
Services. If the individual is not a resident of Illinois, |
however, the court may accept an alcohol or other drug |
evaluation or remedial education program in the individual's |
state of residence. Programs providing treatment must be |
licensed under existing applicable alcoholism and drug |
treatment licensure standards. |
(i) In addition to any other fine or penalty required by |
law, an individual convicted of a violation of Section 11-501, |
Section 5-7 of the Snowmobile Registration and Safety Act, |
Section 5-16 of the Boat Registration and Safety Act, or a |
similar provision, whose operation of a motor vehicle, |
snowmobile, or watercraft while in violation of Section 11-501, |
Section 5-7 of the Snowmobile Registration and Safety Act, |
Section 5-16 of the Boat Registration and Safety Act, or a |
similar provision proximately caused an incident resulting in |
an appropriate emergency response, shall be required to make |
restitution to a public agency for the costs of that emergency |
response. The restitution may not exceed $1,000 per public |
agency for each emergency response. As used in this subsection |
(i), "emergency response" means any incident requiring a |
response by a police officer, a firefighter carried on the |
rolls of a regularly constituted fire department, or an |
ambulance. With respect to funds designated for the Department |
of State Police, the moneys shall be remitted by the circuit |
|
court clerk to the State Police within one month after receipt |
for deposit into the State Police DUI Fund. With respect to |
funds designated for the Department of Natural Resources, the |
Department of Natural Resources shall deposit the moneys into |
the Conservation Police Operations Assistance Fund.
|
(j) A person that is subject to a chemical test or tests of |
blood under subsection (a) of Section 11-501.1 or subdivision |
(c)(2) of Section 11-501.2 of this Code, whether or not that |
person consents to testing, shall be liable for the expense up |
to $500 for blood withdrawal by a physician authorized to |
practice medicine, a licensed physician assistant, a licensed |
advanced practice nurse, a registered nurse, a trained |
phlebotomist, a licensed paramedic, or a qualified person other |
than a police officer approved by the Department of State |
Police to withdraw blood, who responds, whether at a law |
enforcement facility or a health care facility, to a police |
department request for the drawing of blood based upon refusal |
of the person to submit to a lawfully requested breath test or |
probable cause exists to believe the test would disclose the |
ingestion, consumption, or use of drugs or intoxicating |
compounds if: |
(1) the person is found guilty of violating Section |
11-501 of this Code or a similar provision of a local |
ordinance; or |
(2) the person pleads guilty to or stipulates to facts |
supporting a violation of Section 11-503 of this Code or a |
|
similar provision of a local ordinance when the plea or |
stipulation was the result of a plea agreement in which the |
person was originally charged with violating Section |
11-501 of this Code or a similar local ordinance. |
(Source: P.A. 98-292, eff. 1-1-14; 98-463, eff. 8-16-13; |
98-973, eff. 8-15-14; 99-289, eff. 8-6-15; 99-296, eff. 1-1-16; |
revised 11-3-15.)
|
(625 ILCS 5/11-605.1) |
Sec. 11-605.1. Special limit while traveling through a |
highway construction or maintenance speed zone. |
(a) A person may not operate a motor vehicle in a |
construction or maintenance speed zone at a speed in excess of |
the posted speed limit when workers are present.
|
(a-5) A person may not operate a motor vehicle in a |
construction or maintenance speed zone at a speed in excess of |
the posted speed limit when workers are not present. |
(b) Nothing in this Chapter prohibits the use of electronic |
speed-detecting devices within 500 feet of signs within a |
construction or maintenance speed zone indicating the zone, as |
defined in this Section, nor shall evidence obtained by use of |
those devices be inadmissible in any prosecution for speeding, |
provided the use of the device shall apply only to the |
enforcement of the speed limit in the construction or |
maintenance speed zone.
|
(c) As used in this Section, a "construction or maintenance |
|
speed zone" is an area in which the Department, Toll Highway |
Authority, or local agency has posted signage advising drivers |
that a construction or maintenance speed zone is being |
approached, or in which the Department, Authority, or local |
agency has posted a lower speed limit with a highway |
construction or maintenance speed zone special speed limit sign |
after determining that the preexisting established speed limit |
through a highway construction or maintenance project is |
greater than is reasonable or safe with respect to the |
conditions expected to exist in the construction or maintenance |
speed zone. |
If it is determined that the preexisting established speed |
limit is safe with respect to the conditions expected to exist |
in the construction or maintenance speed zone, additional speed |
limit signs which conform to the requirements of this |
subsection (c) shall be posted. |
Highway construction or maintenance speed zone special |
speed limit signs shall be of a design approved by the |
Department. The signs must give proper due warning that a |
construction or maintenance speed zone is being approached and |
must indicate the maximum speed limit in effect. The signs also |
must state the amount of the minimum fine for a violation.
|
(d) Except as provided under subsection (d-5), a person who |
violates this Section is guilty of a petty offense. Violations |
of this Section are punishable with a minimum fine of $250 for |
the first violation and a minimum fine of $750 for the second |
|
or subsequent violation. |
(d-5) A person committing a violation of this Section is |
guilty of aggravated special speed limit while traveling |
through a highway construction or maintenance speed zone when |
he or she drives a motor vehicle at a speed that is: |
(1) 26 miles per hour or more but less than 35 miles |
per hour in excess of the applicable special speed limit |
established under this Section or a similar provision of a |
local ordinance and is guilty of a Class B misdemeanor; or |
(2) 35 miles per hour or more in excess of the |
applicable special speed limit established under this |
Section or a similar provision of a local ordinance and is |
guilty of a Class A misdemeanor. |
(e) If a fine for a violation of this Section is $250 or |
greater, the person who violated this Section shall be charged |
an additional $125, which shall be deposited into the |
Transportation Safety Highway Hire-back Fund in the State |
treasury, unless (i) the violation occurred on a highway other |
than an interstate highway and (ii) a county police officer |
wrote the ticket for the violation, in which case the $125 |
shall be deposited into that county's Transportation Safety |
Highway Hire-back Fund. In the case of a second or subsequent |
violation of this Section, if the fine is $750 or greater, the |
person who violated this Section shall be charged an additional |
$250, which shall be deposited into the Transportation Safety |
Highway Hire-back Fund in the State treasury, unless (i) the |
|
violation occurred on a highway other than an interstate |
highway and (ii) a county police officer wrote the ticket for |
the violation, in which case the $250 shall be deposited into |
that county's Transportation Safety Highway Hire-back Fund.
|
(e-5) The Department of State Police and the local county |
police department have concurrent jurisdiction over any |
violation of this Section that occurs on an interstate highway.
|
(f) The Transportation Safety Highway Hire-back Fund, |
which was created by Public Act 92-619, shall continue to be a |
special fund in the State treasury. Subject to appropriation by |
the General Assembly and approval by the Secretary, the |
Secretary of Transportation shall use all moneys in the |
Transportation Safety Highway Hire-back Fund to hire off-duty |
Department of State Police officers to monitor construction or |
maintenance zones. |
(f-5) Each county shall create a Transportation Safety |
Highway Hire-back Fund. The county shall use the moneys in its |
Transportation Safety Highway Hire-back Fund to hire off-duty |
county police officers to monitor construction or maintenance |
zones in that county on highways other than interstate |
highways. The county, in its discretion, may also use a portion |
of the moneys in its Transportation Safety Highway Hire-back |
Fund to purchase equipment for county law enforcement and fund |
the production of materials to educate drivers on construction |
zone safe driving habits.
|
(g) For a second or subsequent violation of this Section |
|
within 2 years of the date of the previous violation, the |
Secretary of State shall suspend the driver's license of the |
violator for a period of 90 days.
This suspension shall only be
|
imposed if the current violation of this Section and at least |
one prior violation of this Section
occurred during a period |
when workers were present in the
construction or maintenance |
zone.
|
(Source: P.A. 98-337, eff. 1-1-14; 99-212, eff. 1-1-16; 99-280, |
eff. 1-1-16; revised 10-15-15.)
|
(625 ILCS 5/12-215) (from Ch. 95 1/2, par. 12-215)
|
Sec. 12-215. Oscillating, rotating or flashing lights on |
motor vehicles. Except as otherwise provided in this Code:
|
(a) The use of red or white oscillating, rotating or |
flashing lights,
whether lighted or unlighted, is prohibited |
except on:
|
1. Law enforcement vehicles of State, Federal or
local |
authorities;
|
2. A vehicle operated by a police officer or county |
coroner
and designated or authorized by local authorities, |
in writing, as a law
enforcement vehicle; however, such |
designation or authorization must
be carried in the |
vehicle;
|
2.1. A vehicle operated by a fire chief who has |
completed an emergency vehicle operation training course |
approved by the Office of the State Fire Marshal and |
|
designated or authorized by local authorities, in writing, |
as a fire department, fire protection district, or township |
fire department vehicle; however, the designation or |
authorization must
be carried in the vehicle, and the |
lights may be visible or activated only when responding to |
a bona fide emergency;
|
3. Vehicles of local fire departments and State or |
federal
firefighting vehicles;
|
4. Vehicles which are designed and used exclusively as |
ambulances
or rescue vehicles; furthermore, such lights |
shall not be lighted except
when responding to an emergency |
call for and while actually conveying the
sick or injured;
|
4.5. Vehicles which are occasionally used as rescue |
vehicles that have been authorized for use as rescue |
vehicles by a volunteer EMS provider, provided that the |
operator of the vehicle has successfully completed an |
emergency vehicle operation training course recognized by |
the Department of Public Health; furthermore, the lights |
shall not be lighted except when responding to an emergency |
call for the sick or injured; |
5. Tow trucks licensed in a state that requires such |
lights;
furthermore, such lights shall not be lighted on |
any such tow truck while the
tow truck is
operating in the |
State of Illinois;
|
6. Vehicles of the Illinois Emergency Management |
Agency, vehicles of the Office of the Illinois State Fire |
|
Marshal, vehicles of the Illinois Department of Public |
Health, vehicles of
the
Illinois Department of |
Corrections, and vehicles of the Illinois Department of |
Juvenile Justice;
|
7. Vehicles operated by a local or county emergency |
management
services agency as defined in the Illinois |
Emergency
Management Agency Act;
|
8. School buses operating alternately flashing head |
lamps as permitted
under Section 12-805 of this Code;
|
9. Vehicles that are equipped and used exclusively as |
organ transplant
vehicles when used in combination with |
blue oscillating, rotating, or flashing
lights; |
furthermore, these lights shall be lighted only when the |
transportation
is declared an emergency by a member of the |
transplant team or a representative
of the organ |
procurement organization; |
10. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response; |
11. Vehicles of the Illinois Department of |
Transportation identified as Emergency Traffic Patrol; the |
lights shall not be lighted except when responding to an |
emergency call or when parked or stationary while engaged |
in motor vehicle assistance or at the scene of the |
emergency; and |
12. Vehicles of the Illinois State Toll Highway
|
|
Authority identified as Highway Emergency Lane Patrol; the |
lights shall not be lighted except when responding to an |
emergency call or when parked or stationary while engaged |
in motor vehicle assistance or at the scene of the |
emergency. |
(b) The use of amber oscillating, rotating or flashing |
lights, whether
lighted or unlighted, is prohibited except on:
|
1. Second division vehicles designed and used for |
towing or hoisting
vehicles; furthermore, such lights |
shall not be lighted except as
required in
this paragraph |
1; such lights shall be lighted
when such vehicles are |
actually being
used at the scene of an accident or
|
disablement; if the towing vehicle is equipped with a flat |
bed that
supports all wheels of the vehicle being |
transported, the lights shall not be
lighted while the |
vehicle is engaged in towing on a highway; if the towing
|
vehicle is not equipped with a flat bed that supports all |
wheels of a vehicle
being transported, the lights shall be |
lighted while the
towing
vehicle is engaged in towing on a |
highway during all
times when the use
of headlights is |
required under Section 12-201 of this Code; in addition, |
these vehicles may use white oscillating, rotating, or |
flashing lights in combination with amber oscillating, |
rotating, or flashing lights as provided in this paragraph;
|
2. Motor vehicles or equipment of the State of |
Illinois, the Illinois State Toll Highway Authority, local |
|
authorities
and contractors; furthermore, such lights |
shall not be lighted except while
such vehicles are engaged |
in maintenance or construction operations within
the |
limits of construction projects;
|
3. Vehicles or equipment used by engineering or survey |
crews;
furthermore, such lights shall not be lighted except |
while such vehicles
are actually engaged in work on a |
highway;
|
4. Vehicles of public utilities, municipalities, or |
other
construction, maintenance or automotive service |
vehicles except that such
lights shall be lighted only as a |
means for indicating the presence of a
vehicular traffic |
hazard requiring unusual care in approaching, overtaking
|
or passing while such vehicles are engaged in maintenance, |
service or
construction on a highway;
|
5. Oversized vehicle or load; however, such lights |
shall only be lighted
when moving under permit issued by |
the Department under Section 15-301
of this Code;
|
6. The front and rear of motorized equipment owned and |
operated by the
State of Illinois or any political |
subdivision thereof, which is designed
and used for removal |
of snow and ice from highways;
|
6.1. The front and rear of motorized equipment or |
vehicles that (i) are not owned by the State of Illinois or |
any political subdivision of the State, (ii) are designed |
and used for removal of snow and ice from highways and |
|
parking lots, and (iii) are equipped with a snow plow that |
is 12 feet in width; these lights may not be lighted except |
when the motorized equipment or vehicle is actually being |
used for those purposes on behalf of a unit of government;
|
7. Fleet safety vehicles registered in another state, |
furthermore, such
lights shall not be lighted except as |
provided for in Section 12-212 of
this Code;
|
8. Such other vehicles as may be authorized by local |
authorities;
|
9. Law enforcement vehicles of State or local |
authorities when used in
combination with red oscillating, |
rotating or flashing lights;
|
9.5. Propane delivery trucks;
|
10. Vehicles used for collecting or delivering mail for |
the
United States Postal Service provided that such lights |
shall not be lighted
except when such vehicles are actually |
being used for such purposes;
|
10.5. Vehicles of the Office of the Illinois State Fire |
Marshal, provided that such lights shall not be lighted |
except for when such vehicles are engaged in work for the |
Office of the Illinois State Fire Marshal; |
11. Any vehicle displaying a slow-moving vehicle |
emblem as
provided in Section 12-205.1;
|
12. All trucks equipped with self-compactors or |
roll-off hoists and
roll-on containers for garbage, |
recycling, or refuse hauling. Such lights shall not be
|
|
lighted except when such vehicles are actually being used |
for such purposes;
|
13. Vehicles used by a security company, alarm |
responder, control
agency, or the Illinois Department of |
Corrections;
|
14. Security vehicles of the Department of Human |
Services; however, the
lights shall not be lighted except |
when being used for security related
purposes under the |
direction of the superintendent of the facility where the
|
vehicle is located; and
|
15. Vehicles of union representatives, except that the |
lights shall be
lighted only while the vehicle is within |
the limits of a construction
project.
|
(c) The use of blue oscillating, rotating or flashing |
lights, whether
lighted or unlighted, is prohibited except on:
|
1. Rescue squad vehicles not owned by a fire department |
and
vehicles owned or operated by a:
|
voluntary firefighter;
|
paid firefighter;
|
part-paid firefighter;
|
call firefighter;
|
member of the board of trustees of a fire |
protection district;
|
paid or unpaid member of a rescue squad;
|
paid or unpaid member of a voluntary ambulance |
unit; or
|
|
paid or unpaid members of a local or county |
emergency management
services agency as defined in the |
Illinois Emergency Management Agency Act,
designated |
or authorized by local authorities, in writing, and |
carrying that
designation or authorization in the |
vehicle.
|
However, such lights are not to be lighted except when |
responding to a
bona fide emergency or when parked or |
stationary at the scene of a fire, rescue call, ambulance |
call, or motor vehicle accident.
|
Any person using these lights in accordance with this |
subdivision (c)1 must carry on his or her person an |
identification card or letter identifying the bona fide |
member of a fire department, fire protection district, |
rescue squad, ambulance unit, or emergency management |
services agency that owns or operates that vehicle. The |
card or letter must include: |
(A) the name of the fire department, fire |
protection district, rescue squad, ambulance unit, or |
emergency management services agency; |
(B) the member's position within the fire |
department, fire protection district, rescue squad, |
ambulance unit, or emergency management services |
agency; |
(C) the member's term of service; and |
(D) the name of a person within the fire |
|
department, fire protection district, rescue squad, |
ambulance unit, or emergency management services |
agency to contact to verify the information provided.
|
2. Police department vehicles in cities having a |
population of 500,000
or more inhabitants.
|
3. Law enforcement vehicles of State or local |
authorities when used in
combination with red oscillating, |
rotating or flashing lights.
|
4. Vehicles of local fire departments and State or |
federal
firefighting vehicles when used in combination |
with red oscillating,
rotating or flashing lights.
|
5. Vehicles which are designed and used exclusively as |
ambulances or
rescue vehicles when used in combination with |
red oscillating, rotating or
flashing lights; furthermore, |
such lights shall not be lighted except when
responding to |
an emergency call.
|
6. Vehicles that are equipped and used exclusively as |
organ transport
vehicles when used in combination with red |
oscillating, rotating, or flashing
lights; furthermore, |
these lights shall only be lighted when the transportation
|
is declared an emergency by a member of the transplant team |
or a
representative of the organ procurement organization.
|
7. Vehicles of the Illinois Emergency Management |
Agency, vehicles of the Office of the Illinois State Fire |
Marshal, vehicles of the Illinois Department of Public |
Health, vehicles of
the
Illinois Department of |
|
Corrections, and vehicles of the Illinois Department of |
Juvenile Justice, when used in combination with red |
oscillating,
rotating, or flashing lights.
|
8. Vehicles operated by a local or county emergency |
management
services agency as defined in the Illinois |
Emergency Management Agency
Act, when used in combination |
with red oscillating, rotating, or
flashing lights.
|
9. Vehicles of the Illinois Department of Natural |
Resources that are used for mine rescue and explosives |
emergency response, when used in combination with red |
oscillating,
rotating, or flashing lights. |
(c-1) In addition to the blue oscillating, rotating, or |
flashing
lights permitted under subsection (c), and |
notwithstanding subsection
(a), a vehicle operated by a |
voluntary firefighter, a voluntary member
of a rescue squad, or |
a member of a voluntary ambulance unit may be
equipped with |
flashing white headlights and blue grill lights, which may
be |
used only in responding to an emergency call or when parked or |
stationary at the scene of a fire, rescue call, ambulance call, |
or motor vehicle accident.
|
(c-2) In addition to the blue oscillating, rotating, or |
flashing
lights permitted under subsection (c), and |
notwithstanding subsection (a),
a vehicle operated by a paid or |
unpaid member of a local or county
emergency management |
services agency as defined in the Illinois Emergency
Management |
Agency Act, may be equipped with white oscillating, rotating,
|
|
or flashing lights to be used in combination with blue |
oscillating, rotating,
or flashing lights, if authorization by |
local authorities is in
writing and carried in the vehicle.
|
(d) The use of a combination of amber and white |
oscillating, rotating or
flashing lights, whether lighted or |
unlighted, is prohibited except on second division vehicles |
designed and used for towing or hoisting
vehicles or motor
|
vehicles or equipment of the State of Illinois, local |
authorities, contractors,
and union representatives; |
furthermore, such lights shall
not be lighted on second |
division vehicles designed and used for towing or hoisting
|
vehicles or vehicles of the State of Illinois, local |
authorities, and
contractors except while such vehicles are |
engaged in a tow operation, highway maintenance, or
|
construction operations within the limits of highway |
construction projects, and
shall not be lighted on the vehicles |
of union representatives except when those
vehicles are within |
the limits of a construction project.
|
(e) All oscillating, rotating or flashing lights referred |
to in this Section
shall be of sufficient intensity, when |
illuminated, to be visible at 500
feet in normal sunlight.
|
(f) Nothing in this Section shall prohibit a manufacturer |
of oscillating,
rotating or flashing lights or his |
representative or authorized vendor from temporarily mounting
|
such lights on a vehicle for demonstration purposes only. If |
the lights are not covered while the vehicle is operated upon a |
|
highway, the vehicle shall display signage indicating that the |
vehicle is out of service or not an emergency vehicle. The |
signage shall be displayed on all sides of the vehicle in |
letters at least 2 inches tall and one-half inch wide. A |
vehicle authorized to have oscillating,
rotating, or flashing |
lights mounted for demonstration purposes may not activate the |
lights while the vehicle is operated upon a highway.
|
(g) Any person violating the provisions of subsections (a), |
(b), (c) or (d)
of this Section who without lawful authority |
stops or detains or attempts
to stop or detain another person |
shall be guilty of a Class 2 felony.
|
(h) Except as provided in subsection (g) above, any person |
violating the
provisions of subsections (a) or (c) of this |
Section shall be guilty of a
Class A misdemeanor.
|
(Source: P.A. 98-80, eff. 7-15-13; 98-123, eff. 1-1-14; 98-468, |
eff. 8-16-13; 98-756, eff. 7-16-14; 98-873, eff. 1-1-15; 99-40, |
eff. 1-1-16; 99-78, eff. 7-20-15; 99-125, eff. 1-1-16; revised |
10-15-15.)
|
(625 ILCS 5/15-316) (from Ch. 95 1/2, par. 15-316)
|
Sec. 15-316. When the Department or local authority may |
restrict right to use highways.
|
(a) Except as provided in subsection (g), local authorities |
with
respect to highways under their jurisdiction may by |
ordinance or resolution
prohibit the operation of vehicles upon |
any such highway or impose
restrictions as to the weight of |
|
vehicles to be operated upon any such
highway, for a total |
period of not to exceed 90 days, measured in either consecutive |
or nonconsecutive days at the discretion of local authorities, |
in any one calendar
year, whenever any said highway by reason |
of deterioration, rain, snow, or
other climate conditions will |
be seriously damaged or destroyed unless the
use of vehicles |
thereon is prohibited or the permissible weights thereof
|
reduced.
|
(b) The local authority
enacting any such ordinance or |
resolution shall erect or cause to be erected
and maintained |
signs designating the provision of the ordinance or resolution
|
at each end of that portion of any highway affected thereby, |
and the ordinance
or resolution shall not be effective unless |
and until such signs are erected
and maintained.
|
(c) Local authorities with
respect to highways under their |
jurisdiction may also, by ordinance or
resolution, prohibit the |
operation of trucks or other commercial vehicles,
or may impose |
limitations as the weight thereof, on designated highways, |
which
prohibitions and limitations shall be designated by |
appropriate signs placed on
such highways.
|
(c-1) (Blank).
|
(c-5) Highway commissioners, with respect to roads under |
their authority, may not permanently post a road or portion |
thereof at a reduced weight limit unless the decision to do so |
is made in accordance with Section Sec. 6-201.22 of the |
Illinois Highway Code. |
|
(d) The Department shall likewise have authority as |
hereinbefore
granted to local authorities to
determine by |
resolution and to impose restrictions as to the weight of |
vehicles
operated upon any highway under the jurisdiction of |
said department, and such
restrictions shall be effective when |
signs giving notice thereof are erected
upon the highway or |
portion of any highway affected by such resolution.
|
(d-1) (Blank).
|
(d-2) (Blank).
|
(e) When any vehicle is operated in violation of this |
Section, the owner
or driver of the vehicle shall be deemed |
guilty of a violation and either the
owner or the driver of the |
vehicle may be prosecuted for the violation. Any
person, firm, |
or corporation convicted of violating this Section shall be |
fined
$50 for any weight exceeding the posted limit up to the |
axle or gross weight
limit allowed a vehicle as provided for in |
subsections (a) or (b) of Section
15-111 and $75 per every 500 |
pounds or fraction thereof for any weight
exceeding that which |
is provided for in subsections (a) or
(b) of Section 15-111.
|
(f) A municipality is authorized to enforce a county weight |
limit
ordinance applying to county highways within its |
corporate limits and is
entitled to the proceeds of any fines |
collected from the enforcement.
|
(g) An ordinance or resolution enacted by a county or |
township pursuant to subsection (a) of this Section shall not |
apply to cargo tank vehicles with two or three permanent axles |
|
when delivering propane for emergency heating purposes if the |
cargo tank is loaded at no more than 50 percent capacity, the |
gross vehicle weight of the vehicle does not exceed 32,000 |
pounds, and the driver of the cargo tank vehicle notifies the |
appropriate agency or agencies with jurisdiction over the |
highway before driving the vehicle on the highway pursuant to |
this subsection. The cargo tank vehicle must have an operating |
gauge on the cargo tank which indicates the amount of propane |
as a percent of capacity of the cargo tank. The cargo tank must |
have the capacity displayed on the cargo tank, or documentation |
of the capacity of the cargo tank must be available in the |
vehicle. For the purposes of this subsection, propane weighs |
4.2 pounds per gallon. This subsection does not apply to |
municipalities. Nothing in this subsection shall allow cargo |
tank
vehicles
to cross bridges with posted weight restrictions |
if the vehicle exceeds the posted weight limit. |
(Source: P.A. 99-168, eff. 1-1-16; 99-237, eff. 1-1-16; revised |
10-19-15.)
|
Section 530. The Juvenile Court Act of 1987 is amended by |
changing Sections 2-10, 3-12, and 5-530 as follows:
|
(705 ILCS 405/2-10) (from Ch. 37, par. 802-10)
|
Sec. 2-10. Temporary custody hearing. At the appearance of |
the
minor before the court at the temporary custody hearing, |
all
witnesses present shall be examined before the court in |
|
relation to any
matter connected with the allegations made in |
the petition.
|
(1) If the court finds that there is not probable cause to |
believe
that the minor is abused, neglected or dependent it |
shall release
the minor and dismiss the petition.
|
(2) If the court finds that there is probable cause to |
believe that
the minor is abused, neglected or dependent, the |
court shall state in writing
the factual basis supporting its |
finding and the minor, his or her parent,
guardian, custodian |
and other persons able to give relevant testimony
shall be |
examined before the court. The Department of Children and
|
Family Services shall give testimony concerning indicated |
reports of abuse
and neglect, of which they are aware of |
through the central registry,
involving the minor's parent, |
guardian or custodian. After such
testimony, the court may, |
consistent with
the health,
safety and best interests of the |
minor,
enter an order that the minor shall be released
upon the |
request of parent, guardian or custodian if the parent, |
guardian
or custodian appears to take custody. If it is |
determined that a parent's, guardian's, or custodian's |
compliance with critical services mitigates the necessity for |
removal of the minor from his or her home, the court may enter |
an Order of Protection setting forth reasonable conditions of |
behavior that a parent, guardian, or custodian must observe for |
a specified period of time, not to exceed 12 months, without a |
violation; provided, however, that the 12-month period shall |
|
begin anew after any violation. Custodian shall include any |
agency of
the State which has been given custody or wardship of |
the child. If it is
consistent with the health, safety and best |
interests of the
minor, the
court may also prescribe shelter |
care and
order that the minor be kept in a suitable place |
designated by the court or in
a shelter care facility |
designated by the Department of Children and Family
Services or |
a licensed child welfare
agency; however, on and after January |
1, 2015 ( the effective date of Public Act 98-803) this |
amendatory Act of the 98th General Assembly and before January |
1, 2017, a minor charged with a
criminal offense under the |
Criminal Code of 1961 or the Criminal Code of 2012 or |
adjudicated delinquent
shall not be placed in the custody of or |
committed to the Department of
Children and Family Services by |
any court, except a minor less than 16
years of age and |
committed to the Department of Children and Family Services
|
under Section 5-710 of this Act or a minor for whom an |
independent
basis of
abuse, neglect, or dependency exists; and |
on and after January 1, 2017, a minor charged with a
criminal |
offense under the Criminal Code of 1961 or the Criminal Code of |
2012 or adjudicated delinquent
shall not be placed in the |
custody of or committed to the Department of
Children and |
Family Services by any court, except a minor less than 15 years |
of age and committed to the Department of Children and Family |
Services
under Section 5-710 of this Act or a minor for whom an |
independent
basis of
abuse, neglect, or dependency exists.
An |
|
independent basis exists when the allegations or adjudication |
of abuse, neglect, or dependency do not arise from the same |
facts, incident, or circumstances which give rise to a charge |
or adjudication of delinquency.
|
In placing the minor, the Department or other
agency shall, |
to the extent
compatible with the court's order, comply with |
Section 7 of the Children and
Family Services Act.
In |
determining
the health, safety and best interests of the minor |
to prescribe shelter
care, the court must
find that it is a |
matter of immediate and urgent necessity for the safety
and |
protection
of the minor or of the person or property of another |
that the minor be placed
in a shelter care facility or that he |
or she is likely to flee the jurisdiction
of the court, and |
must further find that reasonable efforts have been made or
|
that, consistent with the health, safety and best interests of
|
the minor, no efforts reasonably can be made to
prevent or |
eliminate the necessity of removal of the minor from his or her
|
home. The court shall require documentation from the Department |
of Children and
Family Services as to the reasonable efforts |
that were made to prevent or
eliminate the necessity of removal |
of the minor from his or her home or the
reasons why no efforts |
reasonably could be made to prevent or eliminate the
necessity |
of removal. When a minor is placed in the home of a relative, |
the
Department of Children and Family Services shall complete a |
preliminary
background review of the members of the minor's |
custodian's household in
accordance with Section 4.3 of the |
|
Child Care Act of 1969 within 90 days of
that placement. If the |
minor is ordered placed in a shelter care facility of
the |
Department of Children and
Family Services or a licensed child |
welfare agency, the court shall, upon
request of the |
appropriate Department or other agency, appoint the
Department |
of Children and Family Services Guardianship Administrator or
|
other appropriate agency executive temporary custodian of the |
minor and the
court may enter such other orders related to the |
temporary custody as it
deems fit and proper, including the |
provision of services to the minor or
his family to ameliorate |
the causes contributing to the finding of probable
cause or to |
the finding of the existence of immediate and urgent necessity.
|
Where the Department of Children and Family Services |
Guardianship Administrator is appointed as the executive |
temporary custodian, the Department of Children and Family |
Services shall file with the court and serve on the parties a |
parent-child visiting plan, within 10 days, excluding weekends |
and holidays, after the appointment. The parent-child visiting |
plan shall set out the time and place of visits, the frequency |
of visits, the length of visits, who shall be present at the |
visits, and where appropriate, the minor's opportunities to |
have telephone and mail communication with the parents. |
Where the Department of Children and Family Services |
Guardianship Administrator is
appointed as the executive |
temporary custodian, and when the child has siblings in care,
|
the Department of Children and Family Services shall file with |
|
the court and serve on the
parties a sibling placement and |
contact plan within 10 days, excluding weekends and
holidays, |
after the appointment. The sibling placement and contact plan |
shall set forth
whether the siblings are placed together, and |
if they are not placed together, what, if any,
efforts are |
being made to place them together. If the Department has |
determined that it is
not in a child's best interest to be |
placed with a sibling, the Department shall document in
the |
sibling placement and contact plan the basis for its |
determination. For siblings placed
separately, the sibling |
placement and contact plan shall set the time and place for |
visits,
the frequency of the visits, the length of visits, who |
shall be present for the visits, and
where appropriate, the |
child's opportunities to have contact with their siblings in |
addition to
in person contact. If the Department determines it |
is not in the best interest of a sibling to
have contact with a |
sibling, the Department shall document in the sibling placement |
and
contact plan the basis for its determination. The sibling |
placement and contact plan shall
specify a date for development |
of the Sibling Contact Support Plan, under subsection (f) of |
Section 7.4 of the Children and Family Services Act, and shall |
remain in effect until the Sibling Contact Support Plan is |
developed. |
For good cause, the court may waive the requirement to |
file the parent-child visiting plan or the sibling placement |
and contact plan, or extend the time for filing either plan. |
|
Any party may, by motion, request the court to review the |
parent-child visiting plan to determine whether it is |
reasonably calculated to expeditiously facilitate the |
achievement of the permanency goal. A party may, by motion, |
request the court to review the parent-child visiting plan or |
the sibling placement and contact plan to determine whether it |
is consistent with the minor's best interest. The court may |
refer the parties to mediation where available. The frequency, |
duration, and locations of visitation shall be measured by the |
needs of the child and family, and not by the convenience of |
Department personnel. Child development principles shall be |
considered by the court in its analysis of how frequent |
visitation should be, how long it should last, where it should |
take place, and who should be present. If upon motion of the |
party to review either plan and after receiving evidence, the |
court determines that the parent-child visiting plan is not |
reasonably calculated to expeditiously facilitate the |
achievement of the permanency goal or that the restrictions |
placed on parent-child contact or sibling placement or contact |
are contrary to the child's best interests, the court shall put |
in writing the factual basis supporting the determination and |
enter specific findings based on the evidence. The court shall |
enter an order for the Department to implement changes to the |
parent-child visiting plan or sibling placement or contact |
plan, consistent with the court's findings. At any stage of |
proceeding, any party may by motion request the court to enter |
|
any orders necessary to implement the parent-child visiting |
plan, sibling placement or contact plan or subsequently |
developed Sibling Contact Support Plan. Nothing under this |
subsection (2) shall restrict the court from granting |
discretionary authority to the Department to increase |
opportunities for additional parent-child contacts or sibling |
contacts, without further court orders. Nothing in this |
subsection (2) shall restrict the Department from immediately |
restricting or terminating parent-child contact or sibling |
contacts, without either amending the parent-child visiting |
plan or the sibling contact plan or obtaining a court order, |
where the Department or its assigns reasonably believe that |
continuation of the contact, as set out in the plan, would be |
contrary to the child's health, safety, and welfare. The |
Department shall file with the court and serve on the parties |
any amendments to the plan within 10 days, excluding weekends |
and holidays, of the change of the visitation.
|
Acceptance of services shall not be considered an admission |
of any
allegation in a petition made pursuant to this Act, nor |
may a referral of
services be considered as evidence in any |
proceeding pursuant to this Act,
except where the issue is |
whether the Department has made reasonable
efforts to reunite |
the family. In making its findings that it is
consistent with |
the health, safety and best
interests of the minor to prescribe |
shelter care, the court shall state in
writing (i) the factual |
basis supporting its findings concerning the
immediate and |
|
urgent necessity for the protection of the minor or of the |
person
or property of another and (ii) the factual basis |
supporting its findings that
reasonable efforts were made to |
prevent or eliminate the removal of the minor
from his or her |
home or that no efforts reasonably could be made to prevent or
|
eliminate the removal of the minor from his or her home. The
|
parents, guardian, custodian, temporary custodian and minor |
shall each be
furnished a copy of such written findings. The |
temporary custodian shall
maintain a copy of the court order |
and written findings in the case record
for the child. The |
order together with the court's findings of fact in
support |
thereof shall be entered of record in the court.
|
Once the court finds that it is a matter of immediate and |
urgent necessity
for the protection of the minor that the minor |
be placed in a shelter care
facility, the minor shall not be |
returned to the parent, custodian or guardian
until the court |
finds that such placement is no longer necessary for the
|
protection of the minor.
|
If the child is placed in the temporary custody of the |
Department of
Children
and Family
Services for his or her |
protection, the court shall admonish the parents,
guardian,
|
custodian or responsible relative that the parents must |
cooperate with the
Department of Children and Family Services, |
comply
with the terms of the service plans, and correct the |
conditions which require
the child to be in care, or risk |
termination of their parental
rights.
|
|
(3) If prior to the shelter care hearing for a minor |
described in Sections
2-3, 2-4, 3-3 , and 4-3 the moving party |
is unable to serve notice on the
party respondent, the shelter |
care hearing may proceed ex parte ex-parte . A shelter
care |
order from an ex parte ex-parte hearing shall be endorsed with |
the date and
hour of issuance and shall be filed with the |
clerk's office and entered of
record. The order shall expire |
after 10 days from the time it is issued
unless before its |
expiration it is renewed, at a hearing upon appearance
of the |
party respondent, or upon an affidavit of the moving party as |
to all
diligent efforts to notify the party respondent by |
notice as herein
prescribed. The notice prescribed shall be in |
writing and shall be
personally delivered to the minor or the |
minor's attorney and to the last
known address of the other |
person or persons entitled to notice. The
notice shall also |
state the nature of the allegations, the nature of the
order |
sought by the State, including whether temporary custody is |
sought,
and the consequences of failure to appear and shall |
contain a notice
that the parties will not be entitled to |
further written notices or publication
notices of proceedings |
in this case, including the filing of an amended
petition or a |
motion to terminate parental rights, except as required by
|
Supreme Court Rule 11; and shall explain the
right of
the |
parties and the procedures to vacate or modify a shelter care |
order as
provided in this Section. The notice for a shelter |
care hearing shall be
substantially as follows:
|
|
NOTICE TO PARENTS AND CHILDREN
|
OF SHELTER CARE HEARING
|
On ................ at ........., before the Honorable |
................,
(address:) ................., the State |
of Illinois will present evidence
(1) that (name of child |
or children) ....................... are abused,
neglected |
or dependent for the following reasons:
|
..............................................
and (2) |
whether there is "immediate and urgent necessity" to remove |
the child
or children from the responsible relative.
|
YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN |
PLACEMENT of the
child or children in foster care until a |
trial can be held. A trial may
not be held for up to 90 |
days. You will not be entitled to further notices
of |
proceedings in this case, including the filing of an |
amended petition or a
motion to terminate parental rights.
|
At the shelter care hearing, parents have the following |
rights:
|
1. To ask the court to appoint a lawyer if they |
cannot afford one.
|
2. To ask the court to continue the hearing to |
allow them time to
prepare.
|
3. To present evidence concerning:
|
a. Whether or not the child or children were |
abused, neglected
or dependent.
|
b. Whether or not there is "immediate and |
|
urgent necessity" to remove
the child from home |
(including: their ability to care for the child,
|
conditions in the home, alternative means of |
protecting the child other
than removal).
|
c. The best interests of the child.
|
4. To cross examine the State's witnesses.
|
The Notice for rehearings shall be substantially as |
follows:
|
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
|
TO REHEARING ON TEMPORARY CUSTODY
|
If you were not present at and did not have adequate |
notice of the
Shelter Care Hearing at which temporary |
custody of ............... was
awarded to |
................, you have the right to request a full |
rehearing
on whether the State should have temporary |
custody of ................. To
request this rehearing, |
you must file with the Clerk of the Juvenile Court
|
(address): ........................, in person or by |
mailing a statement
(affidavit) setting forth the |
following:
|
1. That you were not present at the shelter care |
hearing.
|
2. That you did not get adequate notice (explaining |
how the notice
was inadequate).
|
3. Your signature.
|
|
4. Signature must be notarized.
|
The rehearing should be scheduled within 48 hours of |
your filing this
affidavit.
|
At the rehearing, your rights are the same as at the |
initial shelter care
hearing. The enclosed notice explains |
those rights.
|
At the Shelter Care Hearing, children have the |
following rights:
|
1. To have a guardian ad litem appointed.
|
2. To be declared competent as a witness and to |
present testimony
concerning:
|
a. Whether they are abused, neglected or |
dependent.
|
b. Whether there is "immediate and urgent |
necessity" to be
removed from home.
|
c. Their best interests.
|
3. To cross examine witnesses for other parties.
|
4. To obtain an explanation of any proceedings and |
orders of the
court.
|
(4) If the parent, guardian, legal custodian, responsible |
relative,
minor age 8 or over, or counsel of the minor did not |
have actual notice of
or was not present at the shelter care |
hearing, he or she may file an
affidavit setting forth these |
facts, and the clerk shall set the matter for
rehearing not |
later than 48 hours, excluding Sundays and legal holidays,
|
after the filing of the affidavit. At the rehearing, the court |
|
shall
proceed in the same manner as upon the original hearing.
|
(5) Only when there is reasonable cause to believe that the |
minor
taken into custody is a person described in subsection |
(3) of Section
5-105 may the minor be
kept or detained in a |
detention home or county or municipal jail. This
Section shall |
in no way be construed to limit subsection (6).
|
(6) No minor under 16 years of age may be confined in a |
jail or place
ordinarily used for the confinement of prisoners |
in a police station. Minors
under 18 years of age must be kept |
separate from confined adults and may
not at any time be kept |
in the same cell, room, or yard with adults confined
pursuant |
to the criminal law.
|
(7) If the minor is not brought before a judicial officer |
within the
time period as specified in Section 2-9, the minor |
must immediately be
released from custody.
|
(8) If neither the parent, guardian or custodian appears |
within 24
hours to take custody of a minor released upon |
request pursuant to
subsection (2) of this Section, then the |
clerk of the court shall set the
matter for rehearing not later |
than 7 days after the original order and
shall issue a summons |
directed to the parent, guardian or custodian to
appear. At the |
same time the probation department shall prepare a report
on |
the minor. If a parent, guardian or custodian does not appear |
at such
rehearing, the judge may enter an order prescribing |
that the minor be kept
in a suitable place designated by the |
Department of Children and Family
Services or a licensed child |
|
welfare agency.
|
(9) Notwithstanding any other provision of this
Section any |
interested party, including the State, the temporary
|
custodian, an agency providing services to the minor or family |
under a
service plan pursuant to Section 8.2 of the Abused and |
Neglected Child
Reporting Act, foster parent, or any of their |
representatives, on notice
to all parties entitled to notice, |
may file a motion that it is in the best
interests of the minor |
to modify or vacate a
temporary custody order on any of the |
following grounds:
|
(a) It is no longer a matter of immediate and urgent |
necessity that the
minor remain in shelter care; or
|
(b) There is a material change in the circumstances of |
the natural
family from which the minor was removed and the |
child can be cared for at
home without endangering the |
child's health or safety; or
|
(c) A person not a party to the alleged abuse, neglect |
or dependency,
including a parent, relative or legal |
guardian, is capable of assuming
temporary custody of the |
minor; or
|
(d) Services provided by the Department of Children and |
Family Services
or a child welfare agency or other service |
provider have been successful in
eliminating the need for |
temporary custody and the child can be cared for at
home |
without endangering the child's health or safety.
|
In ruling on the motion, the court shall determine whether |
|
it is consistent
with the health, safety and best interests of |
the minor to modify
or vacate a temporary custody order.
|
The clerk shall set the matter for hearing not later than |
14 days after
such motion is filed. In the event that the court |
modifies or vacates a
temporary custody order but does not |
vacate its finding of probable cause,
the court may order that |
appropriate services be continued or initiated in
behalf of the |
minor and his or her family.
|
(10) When the court finds or has found that there is |
probable cause to
believe a minor is an abused minor as |
described in subsection (2) of Section
2-3
and that there is an |
immediate and urgent necessity for the abused minor to be
|
placed in shelter care, immediate and urgent necessity shall be |
presumed for
any other minor residing in the same household as |
the abused minor provided:
|
(a) Such other minor is the subject of an abuse or |
neglect petition
pending before the court; and
|
(b) A party to the petition is seeking shelter care for |
such other minor.
|
Once the presumption of immediate and urgent necessity has |
been raised, the
burden of demonstrating the lack of immediate |
and urgent necessity shall be on
any party that is opposing |
shelter care for the other minor.
|
(11) The changes made to this Section by Public Act 98-61 |
apply to a minor who has been
arrested or taken into custody on |
or after January 1, 2014 (the effective date
of Public Act |
|
98-61). |
(Source: P.A. 97-1076, eff. 8-24-12; 97-1150, eff. 1-25-13; |
98-61, eff. 1-1-14; 98-756, eff. 7-16-14; 98-803, eff. 1-1-15; |
revised 10-16-15.)
|
(705 ILCS 405/3-12) (from Ch. 37, par. 803-12)
|
Sec. 3-12. Shelter care hearing. At the appearance of the
|
minor before the court at the shelter care hearing, all
|
witnesses present shall be examined before the court in |
relation to any
matter connected with the allegations made in |
the petition.
|
(1) If the court finds that there is not probable cause to |
believe
that the minor is a person requiring authoritative |
intervention, it shall
release the minor and dismiss the |
petition.
|
(2) If the court finds that there is probable cause to |
believe that the
minor is a person requiring authoritative |
intervention, the minor, his or
her parent, guardian, custodian |
and other persons able to give relevant
testimony shall be |
examined before the court. After such testimony, the
court may |
enter an order that the minor shall be released upon the |
request
of a parent, guardian or custodian if the parent, |
guardian or custodian
appears to take custody. Custodian shall |
include any agency of the State
which has been given custody or |
wardship of the child. The Court shall require
documentation by |
representatives of the Department of Children and Family
|
|
Services or the probation department as to the reasonable |
efforts that were
made to prevent or eliminate the necessity of |
removal of the minor from his
or her home, and shall consider |
the testimony of any person as to those
reasonable efforts. If |
the court finds that it is a
matter of immediate and urgent |
necessity for the protection of the minor
or of the person or |
property of another that the minor be
placed in a shelter care |
facility, or that he or she is likely to flee the
jurisdiction |
of the court, and further finds that reasonable efforts have
|
been made or good cause has been shown why reasonable efforts |
cannot
prevent or eliminate the necessity of removal of the |
minor from his or her
home, the court may prescribe shelter |
care and order that the minor be kept
in a suitable place |
designated by the court or in a shelter care facility
|
designated by the Department of Children and Family Services or |
a licensed
child welfare agency; otherwise it shall release the |
minor from custody.
If the court prescribes shelter care, then |
in placing the minor, the
Department or other agency shall, to |
the extent
compatible with the court's order, comply with |
Section 7 of the Children and
Family Services Act. If
the minor |
is ordered placed in a shelter care facility of the Department |
of
Children and Family Services or a licensed child welfare |
agency, the court
shall, upon request of the Department or |
other agency, appoint the
Department of Children and Family |
Services Guardianship Administrator or
other appropriate |
agency executive temporary custodian of the minor and the
court |
|
may enter such other orders related to the temporary custody as |
it
deems fit and proper, including the provision of services to |
the minor or
his family to ameliorate the causes contributing |
to the finding of probable
cause or to the finding of the |
existence of immediate and urgent necessity.
Acceptance of |
services shall not be considered an admission of any
allegation |
in a petition made pursuant to this Act, nor may a referral of
|
services be considered as evidence in any proceeding pursuant |
to this Act,
except where the issue is whether the Department |
has made reasonable
efforts to reunite the family. In making |
its findings that reasonable
efforts have been made or that |
good cause has been shown why reasonable
efforts cannot prevent |
or eliminate the necessity of removal of the minor
from his or |
her home, the court shall state in writing its findings
|
concerning the nature of the services that were offered or the |
efforts that
were made to prevent removal of the child and the |
apparent reasons that such
services or efforts could not |
prevent the need for removal. The parents,
guardian, custodian, |
temporary custodian and minor shall each be furnished
a copy of |
such written findings. The temporary custodian shall maintain a
|
copy of the court order and written findings in the case record |
for the
child.
|
The order together with the court's findings of fact and |
support thereof
shall be entered of record in the court.
|
Once the court finds that it is a matter of immediate and |
urgent necessity
for the protection of the minor that the minor |
|
be placed in a shelter care
facility, the minor shall not be |
returned to the parent, custodian or guardian
until the court |
finds that such placement is no longer necessary for the
|
protection of the minor.
|
(3) If prior to the shelter care hearing for a minor |
described in
Sections 2-3, 2-4, 3-3 , and 4-3 the petitioner is |
unable to serve notice on the
party respondent, the shelter |
care hearing may proceed ex parte ex-parte . A shelter
care |
order from an ex parte ex-parte hearing shall be endorsed with |
the date and
hour of issuance and shall be filed with the |
clerk's office and entered of
record. The order shall expire |
after 10 days from the time it is issued
unless before its |
expiration it is renewed, at a hearing upon appearance
of the |
party respondent, or upon an affidavit of the moving party as |
to all
diligent efforts to notify the party respondent by |
notice as herein
prescribed. The notice prescribed shall be in |
writing and shall be
personally delivered to the minor or the |
minor's attorney and to the last
known address of the other |
person or persons entitled to notice. The
notice shall also |
state the nature of the allegations, the nature of the
order |
sought by the State, including whether temporary custody is |
sought,
and the consequences of failure to appear; and shall |
explain the right of
the parties and the procedures to vacate |
or modify a shelter care order as
provided in this Section. The |
notice for a shelter care hearing shall be
substantially as |
follows:
|
|
NOTICE TO PARENTS AND CHILDREN OF SHELTER CARE HEARING
|
On ................ at ........., before the Honorable
|
................, (address:) ................., the State of |
Illinois will
present evidence (1) that (name of child or |
children)
....................... are abused, neglected or |
dependent for the following reasons:
|
.............................................................
|
and (2) that there is "immediate and urgent necessity" to |
remove the child
or children from the responsible relative.
|
YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN |
PLACEMENT of the
child or children in foster care until a trial |
can be held. A trial may
not be held for up to 90 days.
|
At the shelter care hearing, parents have the following |
rights:
|
1. To ask the court to appoint a lawyer if they cannot |
afford one.
|
2. To ask the court to continue the hearing to allow |
them time to prepare.
|
3. To present evidence concerning:
|
a. Whether or not the child or children were |
abused, neglected or dependent.
|
b. Whether or not there is "immediate and urgent |
necessity" to remove
the child from home (including: |
their ability to care for the child,
conditions in the |
home, alternative means of protecting the child
other |
than removal).
|
|
c. The best interests of the child.
|
4. To cross examine the State's witnesses.
|
The Notice for rehearings shall be substantially as |
follows:
|
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
|
TO REHEARING ON TEMPORARY CUSTODY
|
If you were not present at and did not have adequate notice |
of the
Shelter Care Hearing at which temporary custody of |
............... was
awarded to ................, you have the |
right to request a full rehearing
on whether the State should |
have temporary custody of ................. To
request this |
rehearing, you must file with the Clerk of the Juvenile Court
|
(address): ........................, in person or by mailing a |
statement
(affidavit) setting forth the following:
|
1. That you were not present at the shelter care |
hearing.
|
2. That you did not get adequate notice (explaining how |
the notice
was inadequate).
|
3. Your signature.
|
4. Signature must be notarized.
|
The rehearing should be scheduled within one day of your |
filing this
affidavit.
|
At the rehearing, your rights are the same as at the |
initial shelter care
hearing. The enclosed notice explains |
those rights.
|
At the Shelter Care Hearing, children have the following |
|
rights:
|
1. To have a guardian ad litem appointed.
|
2. To be declared competent as a witness and to present |
testimony
concerning:
|
a. Whether they are abused, neglected or |
dependent.
|
b. Whether there is "immediate and urgent |
necessity" to be
removed from home.
|
c. Their best interests.
|
3. To cross examine witnesses for other parties.
|
4. To obtain an explanation of any proceedings and |
orders of the court.
|
(4) If the parent, guardian, legal custodian, responsible |
relative, or
counsel of the minor did not have actual notice of |
or was not present at
the shelter care hearing, he or she may |
file an affidavit setting forth
these facts, and the clerk |
shall set the matter for rehearing not later
than 48 hours, |
excluding Sundays and legal holidays, after the filing of
the |
affidavit. At the rehearing, the court shall proceed in the |
same manner
as upon the original hearing.
|
(5) Only when there is reasonable cause to believe that the |
minor taken
into custody is a person described in subsection |
(3) of Section 5-105 may the minor
be kept or
detained in a |
detention home or county or municipal jail. This Section
shall |
in no way be construed to limit subsection (6).
|
(6) No minor under 16 years of age may be confined in a |
|
jail or place
ordinarily used for the confinement of prisoners |
in a police station. Minors
under 18 years of age must be kept |
separate from confined adults and may
not at any time be kept |
in the same cell, room, or yard with adults confined
pursuant |
to the criminal law.
|
(7) If the minor is not brought before a judicial officer |
within the
time period specified in Section 3-11, the minor |
must immediately be
released from custody.
|
(8) If neither the parent, guardian or custodian appears |
within 24
hours to take custody of a minor released upon |
request pursuant to
subsection (2) of this Section, then the |
clerk of the court shall set the
matter for rehearing not later |
than 7 days after the original order and
shall issue a summons |
directed to the parent, guardian or custodian to
appear. At the |
same time the probation department shall prepare a report
on |
the minor. If a parent, guardian or custodian does not appear |
at such
rehearing, the judge may enter an order prescribing |
that the minor be kept
in a suitable place designated by the |
Department of Children and Family
Services or a licensed child |
welfare agency.
|
(9) Notwithstanding any other provision of this Section, |
any interested
party, including the State, the temporary |
custodian, an agency providing
services to the minor or family |
under a service plan pursuant to Section
8.2 of the Abused and |
Neglected Child Reporting Act, foster parent, or any
of their |
representatives, on notice to all parties entitled to notice, |
|
may
file a motion to modify or vacate a temporary custody order |
on any of the
following grounds:
|
(a) It is no longer a matter of immediate and urgent |
necessity that the
minor remain in shelter care; or
|
(b) There is a material change in the circumstances of |
the natural
family from which the minor was removed; or
|
(c) A person, including a parent, relative or legal |
guardian, is
capable of assuming temporary custody of the |
minor; or
|
(d) Services provided by the Department of Children and |
Family Services
or a child welfare agency or other service |
provider have been successful in
eliminating the need for |
temporary custody.
|
The clerk shall set the matter for hearing not later than |
14 days after
such motion is filed. In the event that the court |
modifies or vacates a
temporary custody order but does not |
vacate its finding of probable cause,
the court may order that |
appropriate services be continued or initiated in
behalf of the |
minor and his or her family.
|
(10) The changes made to this Section by Public Act 98-61 |
apply to a minor who has been
arrested or taken into custody on |
or after January 1, 2014 (the effective date
of Public Act |
98-61). |
(Source: P.A. 98-61, eff. 1-1-14; 98-756, eff. 7-16-14; revised |
10-16-15.)
|
|
(705 ILCS 405/5-530)
|
Sec. 5-530. Notice.
|
(1) A party presenting a supplemental or amended petition |
or motion to the
court shall provide the other parties with a |
copy of any supplemental or
amended petition, motion or |
accompanying affidavit not yet served upon that
party, and |
shall file proof of that service, in accordance with |
subsections
(2), (3),
and (4) of this Section. Written notice |
of the date, time and place of the
hearing,
shall be provided |
to all parties in accordance with local court rules.
|
(2) (a) On whom made. If a party is represented by an |
attorney of record,
service shall be made upon the attorney. |
Otherwise service shall be made upon
the party.
|
(b) Method. Papers shall be served as follows:
|
(1) by delivering them to the attorney or party |
personally;
|
(2) by leaving them in the office of the attorney |
with his or her clerk,
or with
a person in charge of |
the office; or if a party is not represented by |
counsel,
by leaving them at his or her residence with a |
family member of the age of 10
years or upwards;
|
(3) by depositing them in the United States post |
office or post-office
box enclosed in an envelope, |
plainly addressed to the attorney at his or her
|
business
address, or to the party at his or her |
business address or residence, with
postage
fully |
|
pre-paid; or
|
(4) by transmitting them via facsimile machine to |
the office of the
attorney or party, who has consented |
to receiving service by facsimile
transmission. Briefs |
filed in reviewing courts shall be served in accordance
|
with Supreme Court Rule.
|
(i) A party or attorney electing to serve |
pleading by facsimile must
include on the |
certificate of service transmitted the telephone |
number of the
sender's facsimile transmitting |
device. Use of service by facsimile shall be
deemed |
consent by that party or attorney to receive |
service by facsimile
transmission. Any party may |
rescind consent of service by facsimile
|
transmission in a case by filing with the court and |
serving a notice on all
parties or their attorneys |
who
have filed appearances that facsimile service |
will not be accepted. A party or
attorney who has |
rescinded consent to service by facsimile |
transmission in a
case may not serve another party |
or attorney by facsimile transmission in that
|
case.
|
(ii) Each page of notices and documents |
transmitted by facsimile
pursuant
to this rule |
should bear the circuit court number, the title of |
the document,
and the page number.
|
|
(c) Multiple parties or attorneys. In cases in which |
there are 2 or
more
minor-respondents who appear by |
different attorneys, service on all papers
shall be made on |
the attorney for each of the parties. If one attorney |
appears
for several parties, he or she is entitled to only |
one copy of any paper served
upon
him or her by the |
opposite side. When more than one attorney appears for a
|
party,
service of a copy upon one of them is sufficient.
|
(3)(a) Filing. When service of a paper is required, proof |
of service shall
be
filed with the clerk.
|
(b) Manner of Proof. Service is proved:
|
(i) by written acknowledgement signed by the |
person served;
|
(ii) in case of service by personal delivery, by |
certificate of the
attorney, or affidavit of a person, |
other than that an attorney, who made delivery;
|
(iii) in case of service by mail, by certificate of |
the attorney, or
affidavit of a person other than the |
attorney, who deposited the paper in the
mail, stating |
the time and place of mailing, the complete address |
which
appeared on the envelope, and the fact that |
proper postage was pre-paid; or
|
(iv) in case of service by facsimile transmission, |
by certificate of the
attorney or affidavit of a person |
other than the attorney, who transmitted the
paper via |
facsimile machine, stating the time and place of |
|
transmission, the
telephone number to which the |
transmission was sent and the number of pages
|
transmitted.
|
(c) Effective date of service by mail. Service by mail |
is complete 4
days
after mailing.
|
(d) Effective date of service by facsimile |
transmission. Service by
facsimile
machine is complete on |
the first court day following transmission.
|
(Source: P.A. 90-590, eff. 1-1-99; revised 10-16-15.)
|
Section 535. The Criminal Code of 2012 is amended by |
changing Sections 7-5.5, 10-2, 11-1.30, 11-21, 12-2, 12-4.4a, |
24-3, and 26-1 as follows:
|
(720 ILCS 5/7-5.5) |
Sec. 7-5.5. Prohibited use of force by a peace officer. |
(a) A peace officer shall not use a chokehold in the |
performance of his or her duties, unless deadly force is |
justified under Article 7 of this Code. |
(b) A peace officer shall not use a chokehold, or any |
lesser contact with the throat or neck area of another , in |
order to prevent the destruction of evidence by ingestion. |
(c)
As used in this Section, "chokehold" means applying any |
direct pressure to the throat, windpipe, or airway of another |
with the intent to reduce or prevent the intake of air. |
"Chokehold" does not include any holding involving contact with |
|
the neck that is not intended to reduce the intake of air.
|
(Source: P.A. 99-352, eff. 1-1-16; revised 10-16-15.)
|
(720 ILCS 5/10-2) (from Ch. 38, par. 10-2)
|
Sec. 10-2. Aggravated kidnaping.
|
(a) A person commits the offense of
aggravated kidnaping |
when he or she commits kidnapping and:
|
(1) kidnaps with the intent to obtain ransom from the |
person
kidnaped or from any other person;
|
(2) takes as his or her victim a child under the age of |
13 years, or a person with a severe or profound |
intellectual disability;
|
(3) inflicts great bodily harm, other than by the |
discharge of a
firearm, or commits another felony upon his |
or her
victim;
|
(4) wears a hood, robe, or mask or conceals his or her |
identity;
|
(5) commits the offense of kidnaping while armed with a |
dangerous
weapon, other than a firearm, as defined in |
Section 33A-1 of this
Code;
|
(6) commits the offense of kidnaping while armed with a |
firearm;
|
(7) during the commission of the offense of kidnaping, |
personally
discharges a firearm; or
|
(8) during the commission of the offense of kidnaping, |
personally discharges
a firearm that proximately causes |
|
great bodily harm, permanent
disability, permanent |
disfigurement, or death to another person.
|
As used in this Section, "ransom" includes money, benefit, |
or other
valuable thing or concession.
|
(b) Sentence. Aggravated kidnaping
in violation of |
paragraph (1), (2), (3), (4), or (5) of subsection (a)
is a |
Class X felony.
A violation of subsection (a)(6) is a Class X |
felony for which 15 years
shall be added to the term of |
imprisonment imposed by the court. A violation of
subsection |
(a)(7) is a Class X felony for which 20 years shall be added to |
the
term of imprisonment imposed by the court. A violation of |
subsection (a)(8) is
a Class X felony for which 25 years or up |
to a term of natural life shall be
added to the term of |
imprisonment imposed by the court. An offender under the age of |
18 years at the time of the commission of aggravated kidnaping |
in violation of paragraphs (1) through (8) of subsection (a) |
shall be sentenced under Section 5-4.5-105 of the Unified Code |
of Corrections.
|
A person who has attained the age of 18 years at the time |
of the commission of the offense and who is convicted of a |
second or subsequent offense of
aggravated kidnaping shall be |
sentenced to a term of natural life imprisonment; except
that a |
sentence of natural life imprisonment shall not be
imposed |
under this Section unless the second or subsequent offense was
|
committed after conviction on the first offense. An offender |
under the age of 18 years at the time of the commission of the |
|
second or subsequent offense shall be sentenced under Section |
5-4.5-105 of the Unified Code of Corrections.
|
(Source: P.A. 99-69, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-16-16.)
|
(720 ILCS 5/11-1.30) (was 720 ILCS 5/12-14)
|
Sec. 11-1.30. Aggravated Criminal Sexual Assault.
|
(a) A person commits aggravated criminal sexual assault if |
that person commits criminal sexual assault and any of the |
following aggravating circumstances exist during the |
commission of the offense or, for purposes of paragraph (7), |
occur as part of the same course of conduct as the commission |
of the offense: |
(1) the person displays, threatens to use, or uses a |
dangerous weapon, other than a firearm, or any other object |
fashioned or used in a manner that leads the victim, under |
the circumstances, reasonably to believe that the object is |
a dangerous weapon; |
(2) the person causes bodily harm to the victim, except |
as provided in paragraph (10); |
(3) the person acts in a manner that threatens or |
endangers the life of the victim or any other person; |
(4) the person commits the criminal sexual assault |
during the course of committing or attempting to commit any |
other felony; |
(5) the victim is 60 years of age or older; |
|
(6) the victim is a person with a physical disability; |
(7) the person delivers (by injection, inhalation, |
ingestion, transfer of possession, or any other means) any |
controlled substance to the victim without the victim's |
consent or by threat or deception for other than medical |
purposes; |
(8) the person is armed with a firearm; |
(9) the person personally discharges a firearm during |
the commission of the offense; or |
(10) the person personally discharges a firearm during |
the commission of the offense, and that discharge |
proximately causes great bodily harm, permanent |
disability, permanent disfigurement, or death to another |
person.
|
(b) A person commits aggravated criminal sexual assault if
|
that person is under 17 years of age and: (i) commits an act of
|
sexual penetration with a victim who is under 9 years of age; |
or (ii) commits an act of sexual penetration with a victim
who |
is at least 9 years of age but under 13 years of age and the |
person uses force or threat of force to commit the act.
|
(c) A person commits aggravated criminal sexual assault if |
that person commits an act of sexual penetration with a victim |
who is a person with a severe or profound intellectual |
disability.
|
(d) Sentence.
|
(1) Aggravated criminal sexual assault in violation of |
|
paragraph
(2), (3), (4), (5), (6), or (7) of subsection (a) |
or in violation of
subsection (b) or
(c) is a Class X |
felony.
A violation of subsection (a)(1) is a Class X |
felony for which 10 years shall
be added to the term of |
imprisonment imposed by the court. A violation of
|
subsection (a)(8) is a Class X felony for which 15 years |
shall be added to the
term of imprisonment imposed by the |
court. A violation of
subsection (a)(9) is a Class X felony |
for which 20 years shall be added to the
term of |
imprisonment imposed by the court. A violation of |
subsection (a)(10) is
a Class X felony for which 25 years |
or up to a term of natural life
imprisonment shall be added |
to
the term of imprisonment imposed by the court. An |
offender under the age of 18 years at the time of the |
commission of aggravated criminal sexual assault in |
violation of paragraphs (1) through (10) of subsection (a) |
shall be sentenced under Section 5-4.5-105 of the Unified |
Code of Corrections.
|
(2) A person who has attained the age of 18 years at |
the time of the commission of the offense and who is |
convicted of a second or subsequent offense of
aggravated |
criminal sexual assault, or who is convicted of the offense |
of
aggravated
criminal sexual assault after having |
previously been convicted of the offense
of criminal sexual |
assault or the offense of predatory criminal sexual assault
|
of a child, or who is convicted of the offense of |
|
aggravated criminal sexual
assault after having previously |
been convicted under the laws of this or any
other state of |
an offense that is substantially equivalent to the offense |
of
criminal sexual
assault, the offense of aggravated |
criminal sexual assault or the offense of
predatory |
criminal sexual assault of a child, shall be sentenced to a |
term of
natural life imprisonment.
The commission of the |
second or subsequent offense is required to have been
after |
the initial conviction for this paragraph (2) to apply. An |
offender under the age of 18 years at the time of the |
commission of the offense covered by this paragraph (2) |
shall be sentenced under Section 5-4.5-105 of the Unified |
Code of Corrections.
|
(Source: P.A. 99-69, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-16-15.)
|
(720 ILCS 5/11-21) (from Ch. 38, par. 11-21)
|
Sec. 11-21. Harmful material.
|
(a) As used in this Section:
|
"Distribute" means to transfer possession of, whether |
with or without consideration.
|
"Harmful to minors" means that quality of any |
description or representation, in whatever form, of |
nudity, sexual conduct, sexual excitement, or |
sado-masochistic abuse, when, taken as a whole, it (i) |
predominately appeals to the prurient interest in sex of |
|
minors, (ii) is patently offensive to prevailing standards |
in the adult community in the State as a whole with respect |
to what is suitable material for minors, and (iii) lacks |
serious literary, artistic, political, or scientific value |
for minors.
|
"Knowingly" means having knowledge of the contents of |
the subject matter, or recklessly failing to exercise |
reasonable inspection which would have disclosed the |
contents.
|
"Material" means (i) any picture, photograph, drawing, |
sculpture, film, video game, computer game, video or |
similar visual depiction, including any such |
representation or image which is stored electronically, or |
(ii) any book, magazine, printed matter however |
reproduced, or recorded audio of any sort.
|
"Minor" means any person under the age of 18.
|
"Nudity" means the showing of the human male or female |
genitals, pubic area or buttocks with less than a fully |
opaque covering, or the showing of the female breast with |
less than a fully opaque covering of any portion below the |
top of the nipple, or the depiction of covered male |
genitals in a discernibly discernably turgid state.
|
"Sado-masochistic abuse" means flagellation or torture |
by or upon a person clad in undergarments, a mask or |
bizarre costume, or the condition of being fettered, bound |
or otherwise physically restrained on the part of one |
|
clothed for sexual gratification or stimulation.
|
"Sexual conduct" means acts of masturbation, sexual |
intercourse, or physical contact with a person's clothed or |
unclothed genitals, pubic area, buttocks or, if such person |
be a female, breast.
|
"Sexual excitement" means the condition of human male |
or female genitals when in a state of sexual stimulation or |
arousal.
|
(b) A person is guilty of distributing harmful material to |
a minor when he or she:
|
(1) knowingly sells, lends, distributes, exhibits to, |
depicts to, or gives away to a minor, knowing that the |
minor is under the age of 18 or failing to exercise |
reasonable care in ascertaining the person's true age:
|
(A) any material which depicts nudity, sexual |
conduct or sado-masochistic abuse, or which contains |
explicit and detailed verbal descriptions or narrative |
accounts of sexual excitement, sexual conduct or |
sado-masochistic abuse, and which taken as a whole is |
harmful to minors;
|
(B) a motion picture, show, or other presentation |
which depicts nudity, sexual conduct or |
sado-masochistic abuse and is harmful to minors; or
|
(C) an admission ticket or pass to premises where |
there is exhibited or to be exhibited such a motion |
picture, show, or other presentation; or
|
|
(2) admits a minor to premises where there is exhibited |
or to be exhibited such a motion picture, show, or other |
presentation, knowing that the minor is a person under the |
age of 18 or failing to exercise reasonable care in |
ascertaining the person's true age.
|
(c) In any prosecution arising under this Section, it is an |
affirmative defense:
|
(1) that the minor as to whom the offense is alleged to |
have been committed exhibited to the accused a draft card, |
driver's license, birth certificate or other official or |
apparently official document purporting to establish that |
the minor was 18 years of age or older, which was relied |
upon by the accused;
|
(2) that the defendant was in a parental or |
guardianship relationship with the minor or that the minor |
was accompanied by a parent or legal guardian;
|
(3) that the defendant was a bona fide school, museum, |
or public library, or was a person acting in the course of |
his or her employment as an employee or official of such |
organization or retail outlet affiliated with and serving |
the educational purpose of such organization;
|
(4) that the act charged was committed in aid of |
legitimate scientific or educational purposes; or
|
(5) that an advertisement of harmful material as |
defined in this Section culminated in the sale or |
distribution of such harmful material to a child under |
|
circumstances where there was no personal confrontation of |
the child by the defendant, his or her employees, or |
agents, as where the order or request for such harmful |
material was transmitted by mail, telephone, Internet or |
similar means of communication, and delivery of such |
harmful material to the child was by mail, freight, |
Internet or similar means of transport, which |
advertisement contained the following statement, or a |
substantially similar statement, and that the defendant |
required the purchaser to certify that he or she was not |
under the age of 18 and that the purchaser falsely stated |
that he or she was not under the age of 18: "NOTICE: It is |
unlawful for any person under the age of 18 to purchase the |
matter advertised. Any person under the age of 18 that |
falsely states that he or she is not under the age of 18 |
for the purpose of obtaining the material advertised is |
guilty of a Class B misdemeanor under the laws of the |
State."
|
(d) The predominant appeal to prurient interest of the |
material shall be judged with reference to average children of |
the same general age of the child to whom such material was |
sold, lent, distributed or given, unless it appears from the |
nature of the matter or the circumstances of its dissemination |
or distribution that it is designed for specially susceptible |
groups, in which case the predominant appeal of the material |
shall be judged with reference to its intended or probable |
|
recipient group.
|
(e) Distribution of harmful material in violation of this |
Section is a Class A misdemeanor. A second or subsequent |
offense is a Class 4 felony.
|
(f) Any person under the age of 18 who falsely states, |
either orally or in writing, that he or she is not under the |
age of 18, or who presents or offers to any person any evidence |
of age and identity that is false or not actually his or her |
own with the intent of ordering, obtaining, viewing, or |
otherwise procuring or attempting to procure or view any |
harmful material is guilty of a Class B misdemeanor.
|
(g) A person over the age of 18 who fails to exercise |
reasonable care in ascertaining the true age of a minor, |
knowingly distributes to, or sends, or causes to be sent, or |
exhibits to, or offers to distribute, or exhibits any harmful |
material to a person that he or she believes is a minor is |
guilty of a Class A misdemeanor. If that person utilized a |
computer web camera, cellular telephone, or any other type of |
device to manufacture the harmful material, then each offense |
is a Class 4 felony. |
(h) Telecommunications carriers, commercial mobile service |
providers, and providers of information services, including, |
but not limited to, Internet service providers and hosting |
service providers, are not liable under this Section, except |
for willful and wanton misconduct, by virtue of the |
transmission, storage, or caching of electronic communications |
|
or messages of others or by virtue of the provision of other |
related telecommunications, commercial mobile services, or |
information services used by others in violation of this |
Section. |
(Source: P.A. 95-983, eff. 6-1-09; 96-280, eff. 1-1-10; |
96-1551, eff. 7-1-11; revised 10-16-15.)
|
(720 ILCS 5/12-2) (from Ch. 38, par. 12-2)
|
Sec. 12-2. Aggravated assault.
|
(a) Offense based on location of conduct. A person commits |
aggravated assault when he or she commits an assault against an |
individual who is on or about a public way, public property, a |
public place of accommodation or amusement, or a sports venue. |
(b) Offense based on status of victim. A person commits |
aggravated assault when, in committing an assault, he or she |
knows the individual assaulted to be any of the following: |
(1) A person with a physical disability or a person 60 |
years of age or older and the assault is without legal |
justification. |
(2) A teacher or school employee upon school grounds or |
grounds adjacent to a school or in any part of a building |
used for school purposes. |
(3) A park district employee upon park grounds or |
grounds adjacent to a park or in any part of a building |
used for park purposes. |
(4) A community policing volunteer, private security |
|
officer, or utility worker: |
(i) performing his or her official duties; |
(ii) assaulted to prevent performance of his or her |
official duties; or |
(iii) assaulted in retaliation for performing his |
or her official duties. |
(4.1) A peace officer, fireman, emergency management |
worker, or emergency medical technician: |
(i) performing his or her official duties; |
(ii) assaulted to prevent performance of his or her |
official duties; or |
(iii) assaulted in retaliation for performing his |
or her official duties. |
(5) A correctional officer or probation officer: |
(i) performing his or her official duties; |
(ii) assaulted to prevent performance of his or her |
official duties; or |
(iii) assaulted in retaliation for performing his |
or her official duties. |
(6) A correctional institution employee, a county |
juvenile detention center employee who provides direct and |
continuous supervision of residents of a juvenile |
detention center, including a county juvenile detention |
center employee who supervises recreational activity for |
residents of a juvenile detention center, or a Department |
of Human Services employee, Department of Human Services |
|
officer, or employee of a subcontractor of the Department |
of Human Services supervising or controlling sexually |
dangerous persons or sexually violent persons: |
(i) performing his or her official duties; |
(ii) assaulted to prevent performance of his or her |
official duties; or |
(iii) assaulted in retaliation for performing his |
or her official duties. |
(7) An employee of the State of Illinois, a municipal |
corporation therein, or a political subdivision thereof, |
performing his or her official duties. |
(8) A transit employee performing his or her official |
duties, or a transit passenger. |
(9) A sports official or coach actively participating |
in any level of athletic competition within a sports venue, |
on an indoor playing field or outdoor playing field, or |
within the immediate vicinity of such a facility or field. |
(10) A person authorized to serve process under Section |
2-202 of the Code of Civil Procedure or a special process |
server appointed by the circuit court, while that |
individual is in the performance of his or her duties as a |
process server. |
(c) Offense based on use of firearm, device, or motor |
vehicle. A person commits aggravated assault when, in |
committing an assault, he or she does any of the following: |
(1) Uses a deadly weapon, an air rifle as defined in |
|
Section 24.8-0.1 of this Act, or any device manufactured |
and designed to be substantially similar in appearance to a |
firearm, other than by discharging a firearm. |
(2) Discharges a firearm, other than from a motor |
vehicle. |
(3) Discharges a firearm from a motor vehicle. |
(4) Wears a hood, robe, or mask to conceal his or her |
identity. |
(5) Knowingly and without lawful justification shines |
or flashes a laser gun sight or other laser device attached |
to a firearm, or used in concert with a firearm, so that |
the laser beam strikes near or in the immediate vicinity of |
any person. |
(6) Uses a firearm, other than by discharging the |
firearm, against a peace officer, community policing |
volunteer, fireman, private security officer, emergency |
management worker, emergency medical technician, employee |
of a police department, employee of a sheriff's department, |
or traffic control municipal employee: |
(i) performing his or her official duties; |
(ii) assaulted to prevent performance of his or her |
official duties; or |
(iii) assaulted in retaliation for performing his |
or her official duties. |
(7) Without justification operates a motor vehicle in a |
manner which places a person, other than a person listed in |
|
subdivision (b)(4), in reasonable apprehension of being |
struck by the moving motor vehicle. |
(8) Without justification operates a motor vehicle in a |
manner which places a person listed in subdivision (b)(4), |
in reasonable apprehension of being struck by the moving |
motor vehicle. |
(9) Knowingly video or audio records the offense with |
the intent to disseminate the recording. |
(d) Sentence. Aggravated assault as defined in subdivision |
(a), (b)(1), (b)(2), (b)(3), (b)(4), (b)(7), (b)(8), (b)(9), |
(c)(1), (c)(4), or (c)(9) is a Class A misdemeanor, except that |
aggravated assault as defined in subdivision (b)(4) and (b)(7) |
is a Class 4 felony if a Category I, Category II, or Category |
III weapon is used in the commission of the assault. Aggravated |
assault as defined in subdivision (b)(4.1), (b)(5), (b)(6), |
(b)(10), (c)(2), (c)(5), (c)(6), or (c)(7) is a Class 4 felony. |
Aggravated assault as defined in subdivision (c)(3) or (c)(8) |
is a Class 3 felony. |
(e) For the purposes of this Section, "Category I weapon", |
"Category II weapon, and "Category III weapon" have the |
meanings ascribed to those terms in Section 33A-1 of this Code.
|
(Source: P.A. 98-385, eff. 1-1-14; 99-78, eff. 7-20-15; 99-143, |
eff. 7-27-15; 99-256, eff. 1-1-16; revised 10-19-15.)
|
(720 ILCS 5/12-4.4a)
|
Sec. 12-4.4a. Abuse or criminal neglect of a long term care |
|
facility resident; criminal abuse or neglect of an elderly |
person or person with a disability. |
(a) Abuse or criminal neglect of a long term care facility |
resident. |
(1) A person or an owner or licensee commits abuse of a |
long term care facility resident when he or she knowingly |
causes any physical or mental injury to, or commits any |
sexual offense in this Code against, a resident. |
(2) A person or an owner or licensee commits criminal |
neglect of a long term care facility resident when he or |
she recklessly: |
(A) performs acts that cause a resident's life to |
be endangered, health to be injured, or pre-existing |
physical or mental condition to deteriorate, or that |
create the substantial likelihood
that an elderly |
person's or person with a disability's life
will be |
endangered, health will be injured, or pre-existing
|
physical or mental condition will deteriorate; |
(B) fails to perform acts that he or she knows or |
reasonably should know are necessary to maintain or |
preserve the life or health of a resident, and that |
failure causes the resident's life to be endangered, |
health to be injured, or pre-existing physical or |
mental condition to deteriorate, or that create the |
substantial likelihood
that an elderly person's or |
person with a disability's life
will be endangered, |
|
health will be injured, or pre-existing
physical or |
mental condition will deteriorate; or |
(C) abandons a resident. |
(3) A person or an owner or licensee commits neglect of |
a long term care facility resident when he or she |
negligently fails to provide adequate medical care, |
personal care, or maintenance to the resident which results |
in physical or mental injury or deterioration of the |
resident's physical or mental condition. An owner or |
licensee is guilty under this subdivision (a)(3), however, |
only if the owner or licensee failed to exercise reasonable |
care in the hiring, training, supervising, or providing of |
staff or other related routine administrative |
responsibilities. |
(b) Criminal abuse or neglect of an elderly person or |
person with a disability. |
(1) A caregiver commits criminal abuse or neglect of an |
elderly person or person with a disability when he or she |
knowingly does any of the following: |
(A) performs acts that cause the person's life to |
be endangered, health to be injured, or pre-existing |
physical or mental condition to deteriorate; |
(B) fails to perform acts that he or she knows or |
reasonably should know are necessary to maintain or |
preserve the life or health of the person, and that |
failure causes the person's life to be endangered, |
|
health to be injured, or pre-existing physical or |
mental condition to deteriorate; |
(C) abandons the person; |
(D) physically abuses, harasses, intimidates, or |
interferes with the personal liberty of the person; or |
(E) exposes the person to willful deprivation. |
(2) It is not a defense to criminal abuse or neglect of |
an elderly person or person with a disability that the |
caregiver reasonably believed that the victim was not an |
elderly person or person with a disability. |
(c) Offense not applicable. |
(1) Nothing in this Section applies to a physician |
licensed to practice medicine in all its branches or a duly |
licensed nurse providing care within the scope of his or |
her professional judgment and within the accepted |
standards of care within the community. |
(2) Nothing in this Section imposes criminal liability |
on a caregiver who made a good faith effort to provide for |
the health and personal care of an elderly person or person |
with a disability, but through no fault of his or her own |
was unable to provide such care. |
(3) Nothing in this Section applies to the medical |
supervision, regulation, or control of the remedial care or |
treatment of residents in a long term care facility |
conducted for those who rely upon treatment by prayer or |
spiritual means in accordance with the creed or tenets of |
|
any well-recognized church or religious denomination as |
described in Section 3-803 of the Nursing Home Care Act, |
Section 1-102 of the Specialized Mental Health |
Rehabilitation Act of 2013, Section 3-803 of the ID/DD |
Community Care Act, or Section 3-803 of the MC/DD Act. |
(4) Nothing in this Section prohibits a caregiver from |
providing treatment to an elderly person or person with a |
disability by spiritual means through prayer alone and care |
consistent therewith in lieu of medical care and treatment |
in accordance with the tenets and practices of any church |
or religious denomination of which the elderly person or |
person with a disability is a member. |
(5) Nothing in this Section limits the remedies |
available to the victim under the Illinois Domestic |
Violence Act of 1986. |
(d) Sentence. |
(1) Long term care facility. Abuse of a long term care |
facility resident is a Class 3 felony. Criminal neglect of |
a long term care facility resident is a Class 4 felony, |
unless it results in the resident's death in which case it |
is a Class 3 felony. Neglect of a long term care facility |
resident is a petty offense. |
(2) Caregiver. Criminal abuse or neglect of an elderly |
person or person with a disability is a Class 3 felony, |
unless it results in the person's death in which case it is |
a Class 2 felony, and if imprisonment is imposed it shall |
|
be for a minimum term of 3 years and a maximum term of 14 |
years. |
(e) Definitions. For the purposes of this Section: |
"Abandon" means to desert or knowingly forsake a resident |
or an
elderly person or person with a disability under
|
circumstances in which a reasonable person
would continue to |
provide care and custody. |
"Caregiver" means a person who has a duty to provide for an |
elderly person or person with a
disability's health and |
personal care, at the elderly person or person with a |
disability's place of residence, including, but not limited to, |
food and nutrition, shelter, hygiene, prescribed medication, |
and medical care and treatment, and
includes any of the |
following: |
(1) A parent, spouse, adult child, or other relative by |
blood or marriage
who resides with or resides in the same |
building with or regularly
visits
the elderly person or |
person with a disability, knows
or reasonably should know |
of such person's physical or mental impairment,
and knows |
or reasonably should know that such person is unable to
|
adequately provide for his or her own health and personal |
care. |
(2) A person who is employed by the elderly person or
|
person with a disability or by
another to reside with or |
regularly visit the elderly person or person with a |
disability
and provide for such person's health and |
|
personal care. |
(3) A person who has agreed for consideration to reside |
with or
regularly visit the elderly person or person with a
|
disability and provide for such
person's health and |
personal care. |
(4) A person who has been appointed by a private or |
public agency or by
a court of competent jurisdiction to |
provide for the elderly person or
person with a |
disability's health and personal care. |
"Caregiver" does not include a long-term care facility |
licensed or
certified under the Nursing Home Care Act or a |
facility licensed or certified under the ID/DD Community Care |
Act, the MC/DD Act, or the Specialized Mental Health |
Rehabilitation Act of 2013, or any administrative, medical, or
|
other personnel of such a facility, or a health care provider |
who is licensed
under the Medical Practice Act of 1987 and |
renders care in the ordinary
course of his or her profession. |
"Elderly person" means a person 60
years of age or older |
who is incapable of
adequately providing for his or her own |
health and personal care. |
"Licensee" means the individual or entity licensed to |
operate a
facility under the Nursing Home Care Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the ID/DD |
Community Care Act, the MC/DD Act, or the Assisted Living and |
Shared
Housing Act. |
"Long term care facility" means a private home,
|
|
institution, building, residence, or other place, whether |
operated for
profit or not, or a county home for the infirm and |
chronically ill operated
pursuant to Division 5-21 or 5-22 of |
the Counties Code, or any similar
institution operated by
the |
State of Illinois or a political subdivision thereof, which |
provides,
through its ownership or management, personal care, |
sheltered care, or
nursing for 3 or more persons not related to |
the owner by blood or
marriage. The term also includes skilled |
nursing facilities and
intermediate care facilities as defined |
in Titles XVIII and XIX of the
federal Social Security Act and |
assisted living establishments and shared
housing |
establishments licensed under the Assisted Living and Shared |
Housing
Act. |
"Owner" means the owner of a long term care facility as
|
provided in the Nursing Home Care Act, the owner of a facility |
as provided under the Specialized Mental Health Rehabilitation |
Act of 2013, the owner of a facility as provided in the ID/DD |
Community Care Act, the owner of a facility as provided in the |
MC/DD Act, or the owner of an assisted living or shared
housing |
establishment as provided in the Assisted Living and Shared |
Housing Act. |
"Person with a disability" means a person who
suffers from |
a permanent physical or mental impairment, resulting from
|
disease, injury, functional disorder, or congenital condition, |
which renders
the person incapable of adequately providing for |
his or her own health and personal
care. |
|
"Resident" means a person residing in a long term care |
facility. |
"Willful deprivation" has the meaning ascribed to it in |
paragraph
(15) of Section 103 of the Illinois Domestic Violence |
Act of 1986.
|
(Source: P.A. 98-104, eff. 7-22-13; 99-180, eff. 7-29-15; |
revised 10-16-15.)
|
(720 ILCS 5/24-3) (from Ch. 38, par. 24-3)
|
Sec. 24-3. Unlawful sale or delivery of firearms.
|
(A) A person commits the offense of unlawful sale or |
delivery of firearms when he
or she knowingly does any of the |
following:
|
(a) Sells or gives any firearm of a size which may be |
concealed upon the
person to any person under 18 years of |
age.
|
(b) Sells or gives any firearm to a person under 21 |
years of age who has
been convicted of a misdemeanor other |
than a traffic offense or adjudged
delinquent.
|
(c) Sells or gives any firearm to any narcotic addict.
|
(d) Sells or gives any firearm to any person who has |
been convicted of a
felony under the laws of this or any |
other jurisdiction.
|
(e) Sells or gives any firearm to any person who has |
been a patient in a
mental institution within the past 5 |
years. In this subsection (e): |
|
"Mental institution" means any hospital, |
institution, clinic, evaluation facility, mental |
health center, or part thereof, which is used primarily |
for the care or treatment of persons with mental |
illness. |
"Patient in a mental institution" means the person |
was admitted, either voluntarily or involuntarily, to |
a mental institution for mental health treatment, |
unless the treatment was voluntary and solely for an |
alcohol abuse disorder and no other secondary |
substance abuse disorder or mental illness.
|
(f) Sells or gives any firearms to any person who is a |
person with an intellectual disability.
|
(g) Delivers any firearm of a size which may be |
concealed upon the
person, incidental to a sale, without |
withholding delivery of such firearm
for at least 72 hours |
after application for its purchase has been made, or
|
delivers any rifle, shotgun or other long gun, or a stun |
gun or taser, incidental to a sale,
without withholding |
delivery of such rifle, shotgun or other long gun, or a |
stun gun or taser for
at least 24 hours after application |
for its purchase has been made.
However,
this paragraph (g) |
does not apply to: (1) the sale of a firearm
to a law |
enforcement officer if the seller of the firearm knows that |
the person to whom he or she is selling the firearm is a |
law enforcement officer or the sale of a firearm to a |
|
person who desires to purchase a firearm for
use in |
promoting the public interest incident to his or her |
employment as a
bank guard, armed truck guard, or other |
similar employment; (2) a mail
order sale of a firearm from |
a federally licensed firearms dealer to a nonresident of |
Illinois under which the firearm
is mailed to a federally |
licensed firearms dealer outside the boundaries of |
Illinois; (3) the sale
of a firearm to a nonresident of |
Illinois while at a firearm showing or display
recognized |
by the Illinois Department of State Police; (4) the sale of |
a
firearm to a dealer licensed as a federal firearms dealer |
under Section 923
of the federal Gun Control Act of 1968 |
(18 U.S.C. 923); or (5) the transfer or sale of any rifle, |
shotgun, or other long gun to a resident registered |
competitor or attendee or non-resident registered |
competitor or attendee by any dealer licensed as a federal |
firearms dealer under Section 923 of the federal Gun |
Control Act of 1968 at competitive shooting events held at |
the World Shooting Complex sanctioned by a national |
governing body. For purposes of transfers or sales under |
subparagraph (5) of this paragraph (g), the Department of |
Natural Resources shall give notice to the Department of |
State Police at least 30 calendar days prior to any |
competitive shooting events at the World Shooting Complex |
sanctioned by a national governing body. The notification |
shall be made on a form prescribed by the Department of |
|
State Police. The sanctioning body shall provide a list of |
all registered competitors and attendees at least 24 hours |
before the events to the Department of State Police. Any |
changes to the list of registered competitors and attendees |
shall be forwarded to the Department of State Police as |
soon as practicable. The Department of State Police must |
destroy the list of registered competitors and attendees no |
later than 30 days after the date of the event. Nothing in |
this paragraph (g) relieves a federally licensed firearm |
dealer from the requirements of conducting a NICS |
background check through the Illinois Point of Contact |
under 18 U.S.C. 922(t). For purposes of this paragraph (g), |
"application" means when the buyer and seller reach an |
agreement to purchase a firearm.
For purposes of this |
paragraph (g), "national governing body" means a group of |
persons who adopt rules and formulate policy on behalf of a |
national firearm sporting organization.
|
(h) While holding any license
as a dealer,
importer, |
manufacturer or pawnbroker
under the federal Gun Control |
Act of 1968,
manufactures, sells or delivers to any |
unlicensed person a handgun having
a barrel, slide, frame |
or receiver which is a die casting of zinc alloy or
any |
other nonhomogeneous metal which will melt or deform at a |
temperature
of less than 800 degrees Fahrenheit. For |
purposes of this paragraph, (1)
"firearm" is defined as in |
the Firearm Owners Identification Card Act; and (2)
|
|
"handgun" is defined as a firearm designed to be held
and |
fired by the use of a single hand, and includes a |
combination of parts from
which such a firearm can be |
assembled.
|
(i) Sells or gives a firearm of any size to any person |
under 18 years of
age who does not possess a valid Firearm |
Owner's Identification Card.
|
(j) Sells or gives a firearm while engaged in the |
business of selling
firearms at wholesale or retail without |
being licensed as a federal firearms
dealer under Section |
923 of the federal Gun Control Act of 1968 (18 U.S.C.
923). |
In this paragraph (j):
|
A person "engaged in the business" means a person who |
devotes time,
attention, and
labor to
engaging in the |
activity as a regular course of trade or business with the
|
principal objective of livelihood and profit, but does not |
include a person who
makes occasional repairs of firearms |
or who occasionally fits special barrels,
stocks, or |
trigger mechanisms to firearms.
|
"With the principal objective of livelihood and |
profit" means that the
intent
underlying the sale or |
disposition of firearms is predominantly one of
obtaining |
livelihood and pecuniary gain, as opposed to other intents, |
such as
improving or liquidating a personal firearms |
collection; however, proof of
profit shall not be required |
as to a person who engages in the regular and
repetitive |
|
purchase and disposition of firearms for criminal purposes |
or
terrorism.
|
(k) Sells or transfers ownership of a firearm to a |
person who does not display to the seller or transferor of |
the firearm either: (1) a currently valid Firearm Owner's |
Identification Card that has previously been issued in the |
transferee's name by the Department of State Police under |
the provisions of the Firearm Owners Identification Card |
Act; or (2) a currently valid license to carry a concealed |
firearm that has previously been issued in the transferee's |
name by the
Department of State Police under the Firearm |
Concealed Carry Act. This paragraph (k) does not apply to |
the transfer of a firearm to a person who is exempt from |
the requirement of possessing a Firearm Owner's |
Identification Card under Section 2 of the Firearm Owners |
Identification Card Act. For the purposes of this Section, |
a currently valid Firearm Owner's Identification Card |
means (i) a Firearm Owner's Identification Card that has |
not expired or (ii) an approval number issued in accordance |
with subsection (a-10) of subsection 3 or Section 3.1 of |
the Firearm Owners Identification Card Act shall be proof |
that the Firearm Owner's Identification Card was valid. |
(1) In addition to the other requirements of this |
paragraph (k), all persons who are not federally |
licensed firearms dealers must also have complied with |
subsection (a-10) of Section 3 of the Firearm Owners |
|
Identification Card Act by determining the validity of |
a purchaser's Firearm Owner's Identification Card. |
(2) All sellers or transferors who have complied |
with the requirements of subparagraph (1) of this |
paragraph (k) shall not be liable for damages in any |
civil action arising from the use or misuse by the |
transferee of the firearm transferred, except for |
willful or wanton misconduct on the part of the seller |
or transferor. |
(l) Not
being entitled to the possession of a firearm, |
delivers the
firearm, knowing it to have been stolen or |
converted. It may be inferred that
a person who possesses a |
firearm with knowledge that its serial number has
been |
removed or altered has knowledge that the firearm is stolen |
or converted. |
(B) Paragraph (h) of subsection (A) does not include |
firearms sold within 6
months after enactment of Public
Act |
78-355 (approved August 21, 1973, effective October 1, 1973), |
nor is any
firearm legally owned or
possessed by any citizen or |
purchased by any citizen within 6 months after the
enactment of |
Public Act 78-355 subject
to confiscation or seizure under the |
provisions of that Public Act. Nothing in
Public Act 78-355 |
shall be construed to prohibit the gift or trade of
any firearm |
if that firearm was legally held or acquired within 6 months |
after
the enactment of that Public Act.
|
(C) Sentence.
|
|
(1) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (c), (e), (f), (g), |
or (h) of subsection (A) commits a Class
4
felony.
|
(2) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (b) or (i) of |
subsection (A) commits a Class 3 felony.
|
(3) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (a) of subsection (A) |
commits a Class 2 felony.
|
(4) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (a), (b), or (i) of |
subsection (A) in any school, on the real
property |
comprising a school, within 1,000 feet of the real property |
comprising
a school, at a school related activity, or on or |
within 1,000 feet of any
conveyance owned, leased, or |
contracted by a school or school district to
transport |
students to or from school or a school related activity,
|
regardless of the time of day or time of year at which the |
offense
was committed, commits a Class 1 felony. Any person |
convicted of a second
or subsequent violation of unlawful |
sale or delivery of firearms in violation of paragraph
(a), |
(b), or (i) of subsection (A) in any school, on the real |
property
comprising a school, within 1,000 feet of the real |
property comprising a
school, at a school related activity, |
or on or within 1,000 feet of any
conveyance owned, leased, |
or contracted by a school or school district to
transport |
|
students to or from school or a school related activity,
|
regardless of the time of day or time of year at which the |
offense
was committed, commits a Class 1 felony for which |
the sentence shall be a
term of imprisonment of no less |
than 5 years and no more than 15 years.
|
(5) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (a) or (i) of |
subsection (A) in residential property owned,
operated, or |
managed by a public housing agency or leased by a public |
housing
agency as part of a scattered site or mixed-income |
development, in a public
park, in a
courthouse, on |
residential property owned, operated, or managed by a |
public
housing agency or leased by a public housing agency |
as part of a scattered site
or mixed-income development, on |
the real property comprising any public park,
on the real
|
property comprising any courthouse, or on any public way |
within 1,000 feet
of the real property comprising any |
public park, courthouse, or residential
property owned, |
operated, or managed by a public housing agency or leased |
by a
public housing agency as part of a scattered site or |
mixed-income development
commits a
Class 2 felony.
|
(6) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (j) of subsection (A) |
commits a Class A misdemeanor. A second or
subsequent |
violation is a Class 4 felony. |
(7) Any person convicted of unlawful sale or delivery |
|
of firearms in violation of paragraph (k) of subsection (A) |
commits a Class 4 felony, except that a violation of |
subparagraph (1) of paragraph (k) of subsection (A) shall |
not be punishable as a crime or petty offense. A third or |
subsequent conviction for a violation of paragraph (k) of |
subsection (A) is a Class 1 felony.
|
(8) A person 18 years of age or older convicted of |
unlawful sale or delivery of firearms in violation of |
paragraph (a) or (i) of subsection (A), when the firearm |
that was sold or given to another person under 18 years of |
age was used in the commission of or attempt to commit a |
forcible felony, shall be fined or imprisoned, or both, not |
to exceed the maximum provided for the most serious |
forcible felony so committed or attempted by the person |
under 18 years of age who was sold or given the firearm. |
(9) Any person convicted of unlawful sale or delivery |
of firearms in violation of
paragraph (d) of subsection (A) |
commits a Class 3 felony. |
(10) Any person convicted of unlawful sale or delivery |
of firearms in violation of paragraph (l) of subsection (A) |
commits a Class 2 felony if the delivery is of one firearm. |
Any person convicted of unlawful sale or delivery of |
firearms in violation of paragraph (l) of subsection (A) |
commits a Class 1 felony if the delivery is of not less |
than 2 and not more than 5 firearms at the
same time or |
within a one year period. Any person convicted of unlawful |
|
sale or delivery of firearms in violation of paragraph (l) |
of subsection (A) commits a Class X felony for which he or |
she shall be sentenced
to a term of imprisonment of not |
less than 6 years and not more than 30
years if the |
delivery is of not less than 6 and not more than 10 |
firearms at the
same time or within a 2 year period. Any |
person convicted of unlawful sale or delivery of firearms |
in violation of paragraph (l) of subsection (A) commits a |
Class X felony for which he or she shall be sentenced
to a |
term of imprisonment of not less than 6 years and not more |
than 40
years if the delivery is of not less than 11 and |
not more than 20 firearms at the
same time or within a 3 |
year period. Any person convicted of unlawful sale or |
delivery of firearms in violation of paragraph (l) of |
subsection (A) commits a Class X felony for which he or she |
shall be sentenced
to a term of imprisonment of not less |
than 6 years and not more than 50
years if the delivery is |
of not less than 21 and not more than 30 firearms at the
|
same time or within a 4 year period. Any person convicted |
of unlawful sale or delivery of firearms in violation of |
paragraph (l) of subsection (A) commits a Class X felony |
for which he or she shall be sentenced
to a term of |
imprisonment of not less than 6 years and not more than 60
|
years if the delivery is of 31 or more firearms at the
same |
time or within a 5 year period. |
(D) For purposes of this Section:
|
|
"School" means a public or private elementary or secondary |
school,
community college, college, or university.
|
"School related activity" means any sporting, social, |
academic, or
other activity for which students' attendance or |
participation is sponsored,
organized, or funded in whole or in |
part by a school or school district.
|
(E) A prosecution for a violation of paragraph (k) of |
subsection (A) of this Section may be commenced within 6 years |
after the commission of the offense. A prosecution for a |
violation of this Section other than paragraph (g) of |
subsection (A) of this Section may be commenced within 5 years |
after the commission of the offense defined in the particular |
paragraph.
|
(Source: P.A. 98-508, eff. 8-19-13; 99-29, eff. 7-10-15; |
99-143, eff. 7-27-15; revised 10-16-15.)
|
(720 ILCS 5/26-1) (from Ch. 38, par. 26-1)
|
Sec. 26-1. Disorderly conduct.
|
(a) A person commits disorderly conduct when he or she |
knowingly:
|
(1) Does any act in such unreasonable manner as to |
alarm or disturb
another and to provoke a breach of the |
peace;
|
(2) Transmits or causes to be transmitted in any manner |
to the fire
department of any city,
town, village or fire |
protection district a false alarm of fire, knowing
at the |
|
time of the transmission that there is no reasonable ground |
for
believing that the fire exists;
|
(3) Transmits or causes to be transmitted in any manner |
to another a
false alarm to the effect that a bomb or other |
explosive of any nature or a
container holding poison gas, |
a deadly biological or chemical contaminant, or
|
radioactive substance is concealed in a place where its |
explosion or release
would endanger human life, knowing at |
the time of the transmission that there
is no reasonable |
ground for believing that the bomb, explosive or a |
container
holding poison gas, a deadly biological or |
chemical contaminant, or radioactive
substance is |
concealed in the place;
|
(3.5) Transmits or causes to be transmitted a threat of |
destruction of a school building or school property, or a |
threat of violence, death, or bodily harm directed against |
persons at a school, school function, or school event, |
whether or not school is in session; |
(4) Transmits or causes to be transmitted in any manner |
to any peace
officer, public officer or public employee a |
report to the effect that an
offense will be committed, is |
being committed, or has been committed, knowing
at the time |
of the transmission that there is no reasonable ground for
|
believing that the offense will be committed, is being |
committed, or has
been committed;
|
(5) Transmits or causes to be transmitted a false |
|
report to any public
safety agency without the reasonable |
grounds necessary to believe that
transmitting the report |
is necessary for the safety and welfare of the
public; or
|
(6) Calls the number "911" for the purpose of making or |
transmitting a
false alarm or complaint and reporting |
information when, at the time the call
or transmission is |
made, the person knows there is no reasonable ground for
|
making the call or transmission and further knows that the |
call or transmission
could result in the emergency response |
of any public safety agency;
|
(7) Transmits or causes to be transmitted a false |
report to the
Department of Children and Family Services |
under Section 4 of the " Abused and
Neglected Child |
Reporting Act " ;
|
(8) Transmits or causes to be transmitted a false |
report to the
Department of Public Health under the Nursing |
Home Care Act, the Specialized Mental Health |
Rehabilitation Act of 2013, the ID/DD Community Care Act, |
or the MC/DD Act;
|
(9) Transmits or causes to be transmitted in any manner |
to the police
department or fire department of any |
municipality or fire protection district,
or any privately |
owned and operated ambulance service, a false request for |
an
ambulance, emergency medical technician-ambulance or |
emergency medical
technician-paramedic knowing at the time |
there is no reasonable ground for
believing that the |
|
assistance is required;
|
(10) Transmits or causes to be transmitted a false |
report under
Article II of Public Act 83-1432 "An Act in |
relation to victims of violence and abuse",
approved |
September 16, 1984, as amended ;
|
(11) Enters upon the property of another and for a lewd |
or unlawful
purpose deliberately looks into a dwelling on |
the property through any
window or other opening in it; or
|
(12) While acting as a collection agency as defined in |
the
Collection Agency Act or as an employee of the |
collection agency, and
while attempting to collect an |
alleged debt, makes a telephone call to
the alleged debtor |
which is designed to harass, annoy or intimidate the
|
alleged debtor.
|
(b) Sentence. A violation of subsection (a)(1) of this |
Section
is a Class C misdemeanor. A violation of subsection |
(a)(5) or (a)(11) of this Section is a Class A misdemeanor. A |
violation of subsection
(a)(8) or (a)(10) of this Section is a |
Class B misdemeanor. A violation of
subsection (a)(2), |
(a)(3.5), (a)(4), (a)(6), (a)(7), or (a)(9) of this Section is |
a Class 4
felony. A
violation of subsection (a)(3) of this |
Section is a Class 3 felony, for which
a fine of not less than |
$3,000 and no more than $10,000 shall be assessed in
addition |
to any other penalty imposed.
|
A violation of subsection (a)(12) of this Section is a |
Business Offense and
shall be punished by a fine not to exceed |
|
$3,000. A second or subsequent
violation of subsection (a)(7) |
or (a)(5) of this Section is a Class
4 felony. A third or |
subsequent violation of subsection (a)(11) of this Section
is a |
Class 4 felony.
|
(c) In addition to any other sentence that may be imposed, |
a court shall
order any person convicted of disorderly conduct |
to perform community service
for not less than 30 and not more |
than 120 hours, if community service is
available in the |
jurisdiction and is funded and approved by the county board of
|
the county where the offense was committed. In addition, |
whenever any person
is placed on supervision for an alleged |
offense under this Section, the
supervision shall be |
conditioned upon the performance of the community service.
|
This subsection does not apply when the court imposes a |
sentence of
incarceration. |
(d) In addition to any other sentence that may be imposed, |
the court shall
order any person convicted of disorderly |
conduct under paragraph (3) of subsection (a) involving a false |
alarm of a threat that a bomb or explosive device has been |
placed in a school to reimburse the unit of government that |
employs the emergency response officer or officers that were |
dispatched to the school for the cost of the search for a bomb |
or explosive device. |
(e) In addition to any other sentence that may be imposed, |
the court shall
order any person convicted of disorderly |
conduct under paragraph (6) of subsection (a) to reimburse the |
|
public agency for the reasonable costs of the emergency |
response by the public agency up to $10,000. If the court |
determines that the person convicted of disorderly conduct |
under paragraph (6) of subsection (a) is indigent, the |
provisions of this subsection (e) do not apply. |
(f) For the purposes of this Section, "emergency response" |
means any condition that results in, or could result in, the |
response of a public official in an authorized emergency |
vehicle, any condition that jeopardizes or could jeopardize |
public safety and results in, or could result in, the |
evacuation of any area, building, structure, vehicle, or of any |
other place that any person may enter, or any incident |
requiring a response by a police officer, a firefighter, a |
State Fire Marshal employee, or an ambulance. |
(Source: P.A. 98-104, eff. 7-22-13; 99-160, eff. 1-1-16; |
99-180, eff. 7-29-15; revised 10-16-15.)
|
Section 540. The Illinois Controlled Substances Act is |
amended by changing Sections 102 and 302 as follows:
|
(720 ILCS 570/102) (from Ch. 56 1/2, par. 1102) |
Sec. 102. Definitions. As used in this Act, unless the |
context
otherwise requires:
|
(a) "Addict" means any person who habitually uses any drug, |
chemical,
substance or dangerous drug other than alcohol so as |
to endanger the public
morals, health, safety or welfare or who |
|
is so far addicted to the use of a
dangerous drug or controlled |
substance other than alcohol as to have lost
the power of self |
control with reference to his or her addiction.
|
(b) "Administer" means the direct application of a |
controlled
substance, whether by injection, inhalation, |
ingestion, or any other
means, to the body of a patient, |
research subject, or animal (as
defined by the Humane |
Euthanasia in Animal Shelters Act) by:
|
(1) a practitioner (or, in his or her presence, by his |
or her authorized agent),
|
(2) the patient or research subject pursuant to an |
order, or
|
(3) a euthanasia technician as defined by the Humane |
Euthanasia in
Animal Shelters Act.
|
(c) "Agent" means an authorized person who acts on behalf |
of or at
the direction of a manufacturer, distributor, |
dispenser, prescriber, or practitioner. It does not
include a |
common or contract carrier, public warehouseman or employee of
|
the carrier or warehouseman.
|
(c-1) "Anabolic Steroids" means any drug or hormonal |
substance,
chemically and pharmacologically related to |
testosterone (other than
estrogens, progestins, |
corticosteroids, and dehydroepiandrosterone),
and includes:
|
(i) 3[beta],17-dihydroxy-5a-androstane, |
(ii) 3[alpha],17[beta]-dihydroxy-5a-androstane, |
(iii) 5[alpha]-androstan-3,17-dione, |
|
(iv) 1-androstenediol (3[beta], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(v) 1-androstenediol (3[alpha], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(vi) 4-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-4-ene), |
(vii) 5-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-5-ene), |
(viii) 1-androstenedione |
([5alpha]-androst-1-en-3,17-dione), |
(ix) 4-androstenedione |
(androst-4-en-3,17-dione), |
(x) 5-androstenedione |
(androst-5-en-3,17-dione), |
(xi) bolasterone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xii) boldenone (17[beta]-hydroxyandrost- |
1,4,-diene-3-one), |
(xiii) boldione (androsta-1,4- |
diene-3,17-dione), |
(xiv) calusterone (7[beta],17[alpha]-dimethyl-17 |
[beta]-hydroxyandrost-4-en-3-one), |
(xv) clostebol (4-chloro-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xvi) dehydrochloromethyltestosterone (4-chloro- |
17[beta]-hydroxy-17[alpha]-methyl- |
|
androst-1,4-dien-3-one), |
(xvii) desoxymethyltestosterone |
(17[alpha]-methyl-5[alpha] |
-androst-2-en-17[beta]-ol)(a.k.a., madol), |
(xviii) [delta]1-dihydrotestosterone (a.k.a. |
'1-testosterone') (17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xix) 4-dihydrotestosterone (17[beta]-hydroxy- |
androstan-3-one), |
(xx) drostanolone (17[beta]-hydroxy-2[alpha]-methyl- |
5[alpha]-androstan-3-one), |
(xxi) ethylestrenol (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-ene), |
(xxii) fluoxymesterone (9-fluoro-17[alpha]-methyl- |
1[beta],17[beta]-dihydroxyandrost-4-en-3-one), |
(xxiii) formebolone (2-formyl-17[alpha]-methyl-11[alpha], |
17[beta]-dihydroxyandrost-1,4-dien-3-one), |
(xxiv) furazabol (17[alpha]-methyl-17[beta]- |
hydroxyandrostano[2,3-c]-furazan), |
(xxv) 13[beta]-ethyl-17[beta]-hydroxygon-4-en-3-one) |
(xxvi) 4-hydroxytestosterone (4,17[beta]-dihydroxy- |
androst-4-en-3-one), |
(xxvii) 4-hydroxy-19-nortestosterone (4,17[beta]- |
dihydroxy-estr-4-en-3-one), |
(xxviii) mestanolone (17[alpha]-methyl-17[beta]- |
hydroxy-5-androstan-3-one), |
|
(xxix) mesterolone (1amethyl-17[beta]-hydroxy- |
[5a]-androstan-3-one), |
(xxx) methandienone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-1,4-dien-3-one), |
(xxxi) methandriol (17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-5-ene), |
(xxxii) methenolone (1-methyl-17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xxxiii) 17[alpha]-methyl-3[beta], 17[beta]- |
dihydroxy-5a-androstane), |
(xxxiv) 17[alpha]-methyl-3[alpha],17[beta]-dihydroxy |
-5a-androstane), |
(xxxv) 17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-4-ene), |
(xxxvi) 17[alpha]-methyl-4-hydroxynandrolone (17[alpha]- |
methyl-4-hydroxy-17[beta]-hydroxyestr-4-en-3-one), |
(xxxvii) methyldienolone (17[alpha]-methyl-17[beta]- |
hydroxyestra-4,9(10)-dien-3-one), |
(xxxviii) methyltrienolone (17[alpha]-methyl-17[beta]- |
hydroxyestra-4,9-11-trien-3-one), |
(xxxix) methyltestosterone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xl) mibolerone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(xli) 17[alpha]-methyl-[delta]1-dihydrotestosterone |
(17b[beta]-hydroxy-17[alpha]-methyl-5[alpha]- |
|
androst-1-en-3-one)(a.k.a. '17-[alpha]-methyl- |
1-testosterone'), |
(xlii) nandrolone (17[beta]-hydroxyestr-4-en-3-one), |
(xliii) 19-nor-4-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-4-ene), |
(xliv) 19-nor-4-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-4-ene), |
(xlv) 19-nor-5-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-5-ene), |
(xlvi) 19-nor-5-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-5-ene), |
(xlvii) 19-nor-4,9(10)-androstadienedione |
(estra-4,9(10)-diene-3,17-dione), |
(xlviii) 19-nor-4-androstenedione (estr-4- |
en-3,17-dione), |
(xlix) 19-nor-5-androstenedione (estr-5- |
en-3,17-dione), |
(l) norbolethone (13[beta], 17a-diethyl-17[beta]- |
hydroxygon-4-en-3-one), |
(li) norclostebol (4-chloro-17[beta]- |
hydroxyestr-4-en-3-one), |
(lii) norethandrolone (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liii) normethandrolone (17[alpha]-methyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liv) oxandrolone (17[alpha]-methyl-17[beta]-hydroxy- |
|
2-oxa-5[alpha]-androstan-3-one), |
(lv) oxymesterone (17[alpha]-methyl-4,17[beta]- |
dihydroxyandrost-4-en-3-one), |
(lvi) oxymetholone (17[alpha]-methyl-2-hydroxymethylene- |
17[beta]-hydroxy-(5[alpha]-androstan-3-one), |
(lvii) stanozolol (17[alpha]-methyl-17[beta]-hydroxy- |
(5[alpha]-androst-2-eno[3,2-c]-pyrazole), |
(lviii) stenbolone (17[beta]-hydroxy-2-methyl- |
(5[alpha]-androst-1-en-3-one), |
(lix) testolactone (13-hydroxy-3-oxo-13,17- |
secoandrosta-1,4-dien-17-oic |
acid lactone), |
(lx) testosterone (17[beta]-hydroxyandrost- |
4-en-3-one), |
(lxi) tetrahydrogestrinone (13[beta], 17[alpha]- |
diethyl-17[beta]-hydroxygon- |
4,9,11-trien-3-one), |
(lxii) trenbolone (17[beta]-hydroxyestr-4,9, |
11-trien-3-one).
|
Any person who is otherwise lawfully in possession of an |
anabolic
steroid, or who otherwise lawfully manufactures, |
distributes, dispenses,
delivers, or possesses with intent to |
deliver an anabolic steroid, which
anabolic steroid is |
expressly intended for and lawfully allowed to be
administered |
through implants to livestock or other nonhuman species, and
|
which is approved by the Secretary of Health and Human Services |
|
for such
administration, and which the person intends to |
administer or have
administered through such implants, shall |
not be considered to be in
unauthorized possession or to |
unlawfully manufacture, distribute, dispense,
deliver, or |
possess with intent to deliver such anabolic steroid for
|
purposes of this Act.
|
(d) "Administration" means the Drug Enforcement |
Administration,
United States Department of Justice, or its |
successor agency.
|
(d-5) "Clinical Director, Prescription Monitoring Program" |
means a Department of Human Services administrative employee |
licensed to either prescribe or dispense controlled substances |
who shall run the clinical aspects of the Department of Human |
Services Prescription Monitoring Program and its Prescription |
Information Library. |
(d-10) "Compounding" means the preparation and mixing of |
components, excluding flavorings, (1) as the result of a |
prescriber's prescription drug order or initiative based on the |
prescriber-patient-pharmacist relationship in the course of |
professional practice or (2) for the purpose of, or incident |
to, research, teaching, or chemical analysis and not for sale |
or dispensing. "Compounding" includes the preparation of drugs |
or devices in anticipation of receiving prescription drug |
orders based on routine, regularly observed dispensing |
patterns. Commercially available products may be compounded |
for dispensing to individual patients only if both of the |
|
following conditions are met: (i) the commercial product is not |
reasonably available from normal distribution channels in a |
timely manner to meet the patient's needs and (ii) the |
prescribing practitioner has requested that the drug be |
compounded. |
(e) "Control" means to add a drug or other substance, or |
immediate
precursor, to a Schedule whether by
transfer from |
another Schedule or otherwise.
|
(f) "Controlled Substance" means (i) a drug, substance, |
immediate
precursor, or synthetic drug in the Schedules of |
Article II of this Act or (ii) a drug or other substance, or |
immediate precursor, designated as a controlled substance by |
the Department through administrative rule. The term does not |
include distilled spirits, wine, malt beverages, or tobacco, as |
those terms are
defined or used in the Liquor Control Act of |
1934 and the Tobacco Products Tax
Act of 1995.
|
(f-5) "Controlled substance analog" means a substance: |
(1) the chemical structure of which is substantially |
similar to the chemical structure of a controlled substance |
in Schedule I or II; |
(2) which has a stimulant, depressant, or |
hallucinogenic effect on the central nervous system that is |
substantially similar to or greater than the stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system of a controlled substance in Schedule I or |
II; or |
|
(3) with respect to a particular person, which such |
person represents or intends to have a stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system that is substantially similar to or greater |
than the stimulant, depressant, or hallucinogenic effect |
on the central nervous system of a controlled substance in |
Schedule I or II. |
(g) "Counterfeit substance" means a controlled substance, |
which, or
the container or labeling of which, without |
authorization bears the
trademark, trade name, or other |
identifying mark, imprint, number or
device, or any likeness |
thereof, of a manufacturer, distributor, or
dispenser other |
than the person who in fact manufactured, distributed,
or |
dispensed the substance.
|
(h) "Deliver" or "delivery" means the actual, constructive |
or
attempted transfer of possession of a controlled substance, |
with or
without consideration, whether or not there is an |
agency relationship.
|
(i) "Department" means the Illinois Department of Human |
Services (as
successor to the Department of Alcoholism and |
Substance Abuse) or its successor agency.
|
(j) (Blank).
|
(k) "Department of Corrections" means the Department of |
Corrections
of the State of Illinois or its successor agency.
|
(l) "Department of Financial and Professional Regulation" |
means the Department
of Financial and Professional Regulation |
|
of the State of Illinois or its successor agency.
|
(m) "Depressant" means any drug that (i) causes an overall |
depression of central nervous system functions, (ii) causes |
impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to alcohol, cannabis and its active principles |
and their analogs, benzodiazepines and their analogs, |
barbiturates and their analogs, opioids (natural and |
synthetic) and their analogs, and chloral hydrate and similar |
sedative hypnotics.
|
(n) (Blank).
|
(o) "Director" means the Director of the Illinois State |
Police or his or her designated agents.
|
(p) "Dispense" means to deliver a controlled substance to |
an
ultimate user or research subject by or pursuant to the |
lawful order of
a prescriber, including the prescribing, |
administering, packaging,
labeling, or compounding necessary |
to prepare the substance for that
delivery.
|
(q) "Dispenser" means a practitioner who dispenses.
|
(r) "Distribute" means to deliver, other than by |
administering or
dispensing, a controlled substance.
|
(s) "Distributor" means a person who distributes.
|
(t) "Drug" means (1) substances recognized as drugs in the |
official
United States Pharmacopoeia, Official Homeopathic |
Pharmacopoeia of the
United States, or official National |
Formulary, or any supplement to any
of them; (2) substances |
|
intended for use in diagnosis, cure, mitigation,
treatment, or |
prevention of disease in man or animals; (3) substances
(other |
than food) intended to affect the structure of any function of
|
the body of man or animals and (4) substances intended for use |
as a
component of any article specified in clause (1), (2), or |
(3) of this
subsection. It does not include devices or their |
components, parts, or
accessories.
|
(t-3) "Electronic health record" or "EHR" means an |
electronic record of health-related information on an |
individual that is created, gathered, managed, and consulted by |
authorized health care clinicians and staff. |
(t-5) "Euthanasia agency" means
an entity certified by the |
Department of Financial and Professional Regulation for the
|
purpose of animal euthanasia that holds an animal control |
facility license or
animal
shelter license under the Animal |
Welfare Act. A euthanasia agency is
authorized to purchase, |
store, possess, and utilize Schedule II nonnarcotic and
|
Schedule III nonnarcotic drugs for the sole purpose of animal |
euthanasia.
|
(t-10) "Euthanasia drugs" means Schedule II or Schedule III |
substances
(nonnarcotic controlled substances) that are used |
by a euthanasia agency for
the purpose of animal euthanasia.
|
(u) "Good faith" means the prescribing or dispensing of a |
controlled
substance by a practitioner in the regular course of |
professional
treatment to or for any person who is under his or |
her treatment for a
pathology or condition other than that |
|
individual's physical or
psychological dependence upon or |
addiction to a controlled substance,
except as provided herein: |
and application of the term to a pharmacist
shall mean the |
dispensing of a controlled substance pursuant to the
|
prescriber's order which in the professional judgment of the |
pharmacist
is lawful. The pharmacist shall be guided by |
accepted professional
standards including, but not limited to |
the following, in making the
judgment:
|
(1) lack of consistency of prescriber-patient |
relationship,
|
(2) frequency of prescriptions for same drug by one |
prescriber for
large numbers of patients,
|
(3) quantities beyond those normally prescribed,
|
(4) unusual dosages (recognizing that there may be |
clinical circumstances where more or less than the usual |
dose may be used legitimately),
|
(5) unusual geographic distances between patient, |
pharmacist and
prescriber,
|
(6) consistent prescribing of habit-forming drugs.
|
(u-0.5) "Hallucinogen" means a drug that causes markedly |
altered sensory perception leading to hallucinations of any |
type. |
(u-1) "Home infusion services" means services provided by a |
pharmacy in
compounding solutions for direct administration to |
a patient in a private
residence, long-term care facility, or |
hospice setting by means of parenteral,
intravenous, |
|
intramuscular, subcutaneous, or intraspinal infusion.
|
(u-5) "Illinois State Police" means the State
Police of the |
State of Illinois, or its successor agency. |
(v) "Immediate precursor" means a substance:
|
(1) which the Department has found to be and by rule |
designated as
being a principal compound used, or produced |
primarily for use, in the
manufacture of a controlled |
substance;
|
(2) which is an immediate chemical intermediary used or |
likely to
be used in the manufacture of such controlled |
substance; and
|
(3) the control of which is necessary to prevent, |
curtail or limit
the manufacture of such controlled |
substance.
|
(w) "Instructional activities" means the acts of teaching, |
educating
or instructing by practitioners using controlled |
substances within
educational facilities approved by the State |
Board of Education or
its successor agency.
|
(x) "Local authorities" means a duly organized State, |
County or
Municipal peace unit or police force.
|
(y) "Look-alike substance" means a substance, other than a |
controlled
substance which (1) by overall dosage unit |
appearance, including shape,
color, size, markings or lack |
thereof, taste, consistency, or any other
identifying physical |
characteristic of the substance, would lead a reasonable
person |
to believe that the substance is a controlled substance, or (2) |
|
is
expressly or impliedly represented to be a controlled |
substance or is
distributed under circumstances which would |
lead a reasonable person to
believe that the substance is a |
controlled substance. For the purpose of
determining whether |
the representations made or the circumstances of the
|
distribution would lead a reasonable person to believe the |
substance to be
a controlled substance under this clause (2) of |
subsection (y), the court or
other authority may consider the |
following factors in addition to any other
factor that may be |
relevant:
|
(a) statements made by the owner or person in control |
of the substance
concerning its nature, use or effect;
|
(b) statements made to the buyer or recipient that the |
substance may
be resold for profit;
|
(c) whether the substance is packaged in a manner |
normally used for the
illegal distribution of controlled |
substances;
|
(d) whether the distribution or attempted distribution |
included an
exchange of or demand for money or other |
property as consideration, and
whether the amount of the |
consideration was substantially greater than the
|
reasonable retail market value of the substance.
|
Clause (1) of this subsection (y) shall not apply to a |
noncontrolled
substance in its finished dosage form that was |
initially introduced into
commerce prior to the initial |
introduction into commerce of a controlled
substance in its |
|
finished dosage form which it may substantially resemble.
|
Nothing in this subsection (y) prohibits the dispensing or |
distributing
of noncontrolled substances by persons authorized |
to dispense and
distribute controlled substances under this |
Act, provided that such action
would be deemed to be carried |
out in good faith under subsection (u) if the
substances |
involved were controlled substances.
|
Nothing in this subsection (y) or in this Act prohibits the |
manufacture,
preparation, propagation, compounding, |
processing, packaging, advertising
or distribution of a drug or |
drugs by any person registered pursuant to
Section 510 of the |
Federal Food, Drug, and Cosmetic Act (21 U.S.C. 360).
|
(y-1) "Mail-order pharmacy" means a pharmacy that is |
located in a state
of the United States that delivers, |
dispenses or
distributes, through the United States Postal |
Service or other common
carrier, to Illinois residents, any |
substance which requires a prescription.
|
(z) "Manufacture" means the production, preparation, |
propagation,
compounding, conversion or processing of a |
controlled substance other than methamphetamine, either
|
directly or indirectly, by extraction from substances of |
natural origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis, and includes any packaging or
repackaging of the |
substance or labeling of its container, except that
this term |
does not include:
|
|
(1) by an ultimate user, the preparation or compounding |
of a
controlled substance for his or her own use; or
|
(2) by a practitioner, or his or her authorized agent |
under his or her
supervision, the preparation, |
compounding, packaging, or labeling of a
controlled |
substance:
|
(a) as an incident to his or her administering or |
dispensing of a
controlled substance in the course of |
his or her professional practice; or
|
(b) as an incident to lawful research, teaching or |
chemical
analysis and not for sale.
|
(z-1) (Blank).
|
(z-5) "Medication shopping" means the conduct prohibited |
under subsection (a) of Section 314.5 of this Act. |
(z-10) "Mid-level practitioner" means (i) a physician |
assistant who has been delegated authority to prescribe through |
a written delegation of authority by a physician licensed to |
practice medicine in all of its branches, in accordance with |
Section 7.5 of the Physician Assistant Practice Act of 1987, |
(ii) an advanced practice nurse who has been delegated |
authority to prescribe through a written delegation of |
authority by a physician licensed to practice medicine in all |
of its branches or by a podiatric physician, in accordance with |
Section 65-40 of the Nurse Practice Act, (iii) an advanced |
practice nurse certified as a nurse practitioner, nurse |
midwife, or clinical nurse specialist who has been granted |
|
authority to prescribe by a hospital affiliate in accordance |
with Section 65-45 of the Nurse Practice Act, (iv) an animal |
euthanasia agency, or (v) a prescribing psychologist. |
(aa) "Narcotic drug" means any of the following, whether |
produced
directly or indirectly by extraction from substances |
of vegetable origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis:
|
(1) opium, opiates, derivatives of opium and opiates, |
including their isomers, esters, ethers, salts, and salts |
of isomers, esters, and ethers, whenever the existence of |
such isomers, esters, ethers, and salts is possible within |
the specific chemical designation; however the term |
"narcotic drug" does not include the isoquinoline |
alkaloids of opium;
|
(2) (blank);
|
(3) opium poppy and poppy straw;
|
(4) coca leaves, except coca leaves and extracts of |
coca leaves from which substantially all of the cocaine and |
ecgonine, and their isomers, derivatives and salts, have |
been removed;
|
(5) cocaine, its salts, optical and geometric isomers, |
and salts of isomers; |
(6) ecgonine, its derivatives, their salts, isomers, |
and salts of isomers; |
(7) any compound, mixture, or preparation which |
|
contains any quantity of any of the substances referred to |
in subparagraphs (1) through (6). |
(bb) "Nurse" means a registered nurse licensed under the
|
Nurse Practice Act.
|
(cc) (Blank).
|
(dd) "Opiate" means any substance having an addiction |
forming or
addiction sustaining liability similar to morphine |
or being capable of
conversion into a drug having addiction |
forming or addiction sustaining
liability.
|
(ee) "Opium poppy" means the plant of the species Papaver
|
somniferum L., except its seeds.
|
(ee-5) "Oral dosage" means a tablet, capsule, elixir, or |
solution or other liquid form of medication intended for |
administration by mouth, but the term does not include a form |
of medication intended for buccal, sublingual, or transmucosal |
administration. |
(ff) "Parole and Pardon Board" means the Parole and Pardon |
Board of
the State of Illinois or its successor agency.
|
(gg) "Person" means any individual, corporation, |
mail-order pharmacy,
government or governmental subdivision or |
agency, business trust, estate,
trust, partnership or |
association, or any other entity.
|
(hh) "Pharmacist" means any person who holds a license or |
certificate of
registration as a registered pharmacist, a local |
registered pharmacist
or a registered assistant pharmacist |
under the Pharmacy Practice Act.
|
|
(ii) "Pharmacy" means any store, ship or other place in |
which
pharmacy is authorized to be practiced under the Pharmacy |
Practice Act.
|
(ii-5) "Pharmacy shopping" means the conduct prohibited |
under subsection (b) of Section 314.5 of this Act. |
(ii-10) "Physician" (except when the context otherwise |
requires) means a person licensed to practice medicine in all |
of its branches. |
(jj) "Poppy straw" means all parts, except the seeds, of |
the opium
poppy, after mowing.
|
(kk) "Practitioner" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, podiatric |
physician,
veterinarian, scientific investigator, pharmacist, |
physician assistant,
advanced practice nurse,
licensed |
practical
nurse, registered nurse, hospital, laboratory, or |
pharmacy, or other
person licensed, registered, or otherwise |
lawfully permitted by the
United States or this State to |
distribute, dispense, conduct research
with respect to, |
administer or use in teaching or chemical analysis, a
|
controlled substance in the course of professional practice or |
research.
|
(ll) "Pre-printed prescription" means a written |
prescription upon which
the designated drug has been indicated |
prior to the time of issuance; the term does not mean a written |
prescription that is individually generated by machine or |
computer in the prescriber's office.
|
|
(mm) "Prescriber" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, |
prescribing psychologist licensed under Section 4.2 of the |
Clinical Psychologist Licensing Act with prescriptive |
authority delegated under Section 4.3 of the Clinical |
Psychologist Licensing Act, podiatric physician, or
|
veterinarian who issues a prescription, a physician assistant |
who
issues a
prescription for a controlled substance
in |
accordance
with Section 303.05, a written delegation, and a |
written supervision agreement required under Section 7.5
of the
|
Physician Assistant Practice Act of 1987, an advanced practice
|
nurse with prescriptive authority delegated under Section |
65-40 of the Nurse Practice Act and in accordance with Section |
303.05, a written delegation,
and a written
collaborative |
agreement under Section 65-35 of the Nurse Practice Act, or an |
advanced practice nurse certified as a nurse practitioner, |
nurse midwife, or clinical nurse specialist who has been |
granted authority to prescribe by a hospital affiliate in |
accordance with Section 65-45 of the Nurse Practice Act and in |
accordance with Section 303.05.
|
(nn) "Prescription" means a written, facsimile, or oral |
order, or an electronic order that complies with applicable |
federal requirements,
of
a physician licensed to practice |
medicine in all its branches,
dentist, podiatric physician or |
veterinarian for any controlled
substance, of an optometrist in |
accordance with Section 15.1 of the Illinois Optometric |
|
Practice Act of 1987, of a prescribing psychologist licensed |
under Section 4.2 of the Clinical Psychologist Licensing Act |
with prescriptive authority delegated under Section 4.3 of the |
Clinical Psychologist Licensing Act, of a physician assistant |
for a
controlled substance
in accordance with Section 303.05, a |
written delegation, and a written supervision agreement |
required under
Section 7.5 of the
Physician Assistant Practice |
Act of 1987, of an advanced practice
nurse with prescriptive |
authority delegated under Section 65-40 of the Nurse Practice |
Act who issues a prescription for a
controlled substance in |
accordance
with
Section 303.05, a written delegation, and a |
written collaborative agreement under Section 65-35 of the |
Nurse Practice Act, or of an advanced practice nurse certified |
as a nurse practitioner, nurse midwife, or clinical nurse |
specialist who has been granted authority to prescribe by a |
hospital affiliate in accordance with Section 65-45 of the |
Nurse Practice Act and in accordance with Section 303.05 when |
required by law.
|
(nn-5) "Prescription Information Library" (PIL) means an |
electronic library that contains reported controlled substance |
data. |
(nn-10) "Prescription Monitoring Program" (PMP) means the |
entity that collects, tracks, and stores reported data on |
controlled substances and select drugs pursuant to Section 316. |
(oo) "Production" or "produce" means manufacture, |
planting,
cultivating, growing, or harvesting of a controlled |
|
substance other than methamphetamine.
|
(pp) "Registrant" means every person who is required to |
register
under Section 302 of this Act.
|
(qq) "Registry number" means the number assigned to each |
person
authorized to handle controlled substances under the |
laws of the United
States and of this State.
|
(qq-5) "Secretary" means, as the context requires, either |
the Secretary of the Department or the Secretary of the |
Department of Financial and Professional Regulation, and the |
Secretary's designated agents. |
(rr) "State" includes the State of Illinois and any state, |
district,
commonwealth, territory, insular possession thereof, |
and any area
subject to the legal authority of the United |
States of America.
|
(rr-5) "Stimulant" means any drug that (i) causes an |
overall excitation of central nervous system functions, (ii) |
causes impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to amphetamines and their analogs, |
methylphenidate and its analogs, cocaine, and phencyclidine |
and its analogs. |
(ss) "Ultimate user" means a person who lawfully possesses |
a
controlled substance for his or her own use or for the use of |
a member of his or her
household or for administering to an |
animal owned by him or her or by a member
of his or her |
household.
|
|
(Source: P.A. 98-214, eff. 8-9-13; 98-668, eff. 6-25-14; |
98-756, eff. 7-16-14; 98-1111, eff. 8-26-14; 99-78, eff. |
7-20-15; 99-173, eff. 7-29-15; 99-371, eff. 1-1-16; 99-480, |
eff. 9-9-15; revised 10-19-15.)
|
(720 ILCS 570/302) (from Ch. 56 1/2, par. 1302) |
Sec. 302. (a) Every person who manufactures, distributes, |
or dispenses
any controlled substances; engages in chemical |
analysis, research, or
instructional activities which utilize |
controlled substances; purchases, stores, or administers |
euthanasia drugs, within this
State; provides canine odor |
detection services; proposes to engage in the
manufacture, |
distribution, or dispensing of any controlled substance; |
proposes to
engage in chemical analysis, research, or |
instructional activities
which utilize controlled substances; |
proposes to engage in purchasing, storing, or
administering |
euthanasia drugs; or proposes to provide canine odor detection |
services within this State, must obtain a
registration issued |
by the Department of Financial and Professional Regulation in
|
accordance with its rules. The rules shall
include, but not be |
limited to, setting the expiration date and renewal
period for |
each registration under this Act. The Department,
any facility |
or service licensed by the Department, and any veterinary |
hospital or clinic operated by a veterinarian or veterinarians |
licensed under the Veterinary Medicine and Surgery Practice Act |
of 2004 or maintained by a State-supported or publicly funded |
|
university or college shall be exempt
from the regulation |
requirements of this Section; however, such exemption shall not |
operate to bar the University of Illinois from requesting, nor |
the Department of Financial and Professional Regulation from |
issuing, a registration to the University of Illinois |
Veterinary Teaching Hospital under this Act. Neither a request |
for such registration nor the issuance of such registration to |
the University of Illinois shall operate to otherwise waive or |
modify the exemption provided in this subsection (a).
|
(b) Persons registered by the Department of Financial and |
Professional Regulation
under this Act to manufacture, |
distribute, or dispense controlled
substances, engage in |
chemical analysis, research, or instructional activities which |
utilize controlled substances, purchase, store, or administer |
euthanasia drugs, or provide canine odor detection services, |
may
possess, manufacture, distribute, engage in chemical |
analysis, research, or instructional activities which utilize |
controlled substances, dispense those
substances, or purchase, |
store, or administer euthanasia drugs, or provide canine odor |
detection services to the
extent authorized by their |
registration and in conformity
with the other provisions of |
this Article.
|
(c) The following persons need not register and may |
lawfully possess
controlled substances under this Act:
|
(1) an agent or employee of any registered |
manufacturer, distributor, or
dispenser of any controlled |
|
substance if he or she is acting in the usual course
of his |
or her employer's lawful business or employment;
|
(2) a common or contract carrier or warehouseman, or an |
agent or
employee thereof, whose possession of any |
controlled substance is in the
usual lawful course of such |
business or employment;
|
(3) an ultimate user or a person in possession of a |
controlled substance prescribed for the ultimate user |
under a lawful prescription of a practitioner, including an |
advanced practice nurse, practical nurse, or registered |
nurse licensed under the Nurse Practice Act, or a physician |
assistant licensed under the Physician Assistant Practice |
Act of 1987, who provides hospice services to a hospice |
patient or who provides home health services to a person, |
or a person in possession of any controlled
substance |
pursuant to a lawful prescription of a practitioner or in |
lawful
possession of a Schedule V substance. In this |
Section, "home health services" has the meaning ascribed to |
it in the Home Health, Home Services, and Home Nursing |
Agency Licensing Act; and "hospice patient" and "hospice |
services" have the meanings ascribed to them in the Hospice |
Program Licensing Act;
|
(4) officers and employees of this State or of the |
United States while
acting in the lawful course of their |
official duties which requires
possession of controlled |
substances;
|
|
(5) a registered pharmacist who is employed in, or the |
owner of, a
pharmacy licensed under this Act and the |
Federal Controlled Substances Act,
at the licensed |
location, or if he or she is acting in the usual course of |
his or her
lawful profession, business, or employment; |
(6) a holder of a temporary license issued under |
Section 17 of the Medical Practice
Act of 1987 practicing |
within the scope of that license and in compliance with the |
rules adopted
under this Act. In addition to possessing |
controlled substances, a temporary license holder may
|
order, administer, and prescribe controlled substances |
when acting within the scope of his or her
license and in |
compliance with the rules adopted under this Act.
|
(d) A separate registration is required at each place of
|
business or professional practice where the applicant |
manufactures,
distributes, or dispenses controlled substances, |
or purchases, stores, or
administers euthanasia drugs.
Persons |
are required to obtain a separate registration for each
place |
of business or professional practice where controlled
|
substances are located or stored. A separate registration is
|
not required for every location at which a controlled substance
|
may be prescribed.
|
(e) The Department of Financial and Professional |
Regulation or the Illinois
State Police may inspect the |
controlled premises, as defined in Section
502 of this Act, of |
a registrant or applicant for registration in
accordance with |
|
this Act and the rules promulgated hereunder and with regard
to |
persons licensed by the Department, in accordance with |
subsection (bb)
of Section 30-5
of the Alcoholism and Other |
Drug Abuse and Dependency Act and
the rules and
regulations |
promulgated thereunder.
|
(Source: P.A. 99-163, eff. 1-1-16; 99-247, eff. 8-3-15; revised |
10-16-15.)
|
Section 545. The Code of Criminal Procedure of 1963 is |
amended by changing Sections 111-8 and 115-17b as follows:
|
(725 ILCS 5/111-8) (from Ch. 38, par. 111-8)
|
Sec. 111-8. Orders of protection to prohibit domestic |
violence.
|
(a) Whenever
a violation of Section 9-1, 9-2, 9-3, 10-3, |
10-3.1, 10-4, 10-5, 11-1.20, 11-1.30, 11-1.40, 11-1.50, |
11-1.60, 11-14.3 that involves soliciting for a prostitute, |
11-14.4 that involves soliciting for a juvenile prostitute, |
11-15, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, 11-20a, 12-1,
|
12-2,
12-3, 12-3.05, 12-3.2, 12-3.3, 12-3.5, 12-4, 12-4.1, |
12-4.3,
12-4.6, 12-5, 12-6, 12-6.3, 12-7.3, 12-7.4, 12-7.5, |
12-11, 12-13, 12-14, 12-14.1, 12-15, 12-16, 19-4, 19-6, 21-1, |
21-2, 21-3, or 26.5-2
of the Criminal Code of 1961 or the |
Criminal Code of 2012 or Section 1-1 of the Harassing and |
Obscene Communications Act is alleged in an information, |
complaint or indictment
on file, and the alleged offender and |
|
victim are family or household members,
as defined in the |
Illinois Domestic Violence Act of 1986 , as now or hereafter |
amended,
the People through the respective State's Attorneys |
may by separate petition
and upon notice to the defendant, |
except as provided in subsection (c) herein,
request the court |
to issue an order of protection.
|
(b) In addition to any other remedies specified in Section |
208 of the
Illinois Domestic Violence Act of 1986 , as now or |
hereafter amended, the order may
direct the defendant
to |
initiate no contact with the alleged victim or victims who are |
family
or household members and to refrain from entering the |
residence, school
or place of business of the alleged victim or |
victims.
|
(c) The court may grant emergency relief without notice |
upon a showing
of immediate and present danger of abuse to the |
victim or minor children of the
victim and may enter a |
temporary order pending notice and full hearing on the
matter.
|
(Source: P.A. 96-1551, Article 1, Section 965, eff. 7-1-11; |
P.A. 96-1551, Article 2, Section 1040, eff. 7-1-11; 97-1108, |
eff. 1-1-13; 97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; |
revised 10-20-15.)
|
(725 ILCS 5/115-17b) |
Sec. 115-17b. Administrative subpoenas. |
(a) Definitions. As used in this Section: |
"Electronic communication services" and "remote |
|
computing services" have the same meaning as provided in |
the Electronic Communications Privacy Act in Chapter 121 |
(commencing with Section 2701) of Part I of Title 18 of the |
United States Code Annotated. |
"Offense involving the sexual exploitation of |
children" means an offense under Section 11-1.20, 11-1.30, |
11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6, 11-9.1, |
11-14.4, 11-15.1, 11-17.1, 11-18.1, 11-19.1, 11-19.2, |
11-20.1, 11-20.1B, 11-20.3, 11-21, 11-23, 11-25, 11-26, |
12-13, 12-14, 12-14.1, 12-15, or 12-16 of the Criminal Code |
of 1961 or the Criminal Code of 2012 or any attempt to |
commit any of these offenses when the victim is under 18 |
years of age. |
(b) Subpoenas duces tecum. In any criminal investigation of |
an offense involving the sexual exploitation of children, the |
Attorney General, or his or her designee, or a State's |
Attorney, or his or her designee, may issue in writing and |
cause to be served subpoenas duces tecum to providers of |
electronic communication services or remote computing services |
requiring the production of records relevant to the |
investigation. Any such request for records shall not extend |
beyond requiring the provider to disclose the information |
specified in 18 U.S.C. 2703(c)(2). Any subpoena duces tecum |
issued under this Section shall be made returnable to the Chief |
Judge of the Circuit Court for the Circuit in which the State's |
Attorney resides, or his or her designee, or for subpoenas |
|
issued by the Attorney General, the subpoena shall be made |
returnable to the Chief Judge of the Circuit Court for the |
Circuit to which the investigation pertains, or his or her |
designee, to determine whether the documents are privileged and |
whether the subpoena is unreasonable or oppressive. |
(c) Contents of subpoena. A subpoena under this Section |
shall describe the records or other things required to be |
produced and prescribe a return date within a reasonable period |
of time within which the objects or records can be assembled |
and made available. |
(c-5) Contemporaneous notice to Chief Judge. Whenever a |
subpoena is issued under this Section, the Attorney General or |
his or her designee or the State's Attorney or his or of her |
designee shall be required to provide a copy of the subpoena to |
the Chief Judge of the county in which the subpoena is |
returnable. |
(d) Modifying or quashing subpoena. At any time before the |
return date specified in the subpoena, the person or entity to |
whom the subpoena is directed may petition for an order |
modifying or quashing the subpoena on the grounds that the |
subpoena is oppressive or unreasonable or that the subpoena |
seeks privileged documents or records. |
(e) Ex parte order. An Illinois circuit court for the |
circuit in which the subpoena is or will be issued, upon |
application of the Attorney General, or his or her designee, or |
State's Attorney, or his or her designee, may issue an ex parte |
|
order that no person or entity disclose to any other person or |
entity (other than persons necessary to comply with the |
subpoena) the existence of such subpoena for a period of up to |
90 days. |
(1) Such order may be issued upon a showing that the |
things being sought may be relevant to the investigation |
and there is reason to believe that such disclosure may |
result in: |
(A) endangerment to the life or physical safety of |
any person; |
(B) flight to avoid prosecution; |
(C) destruction of or tampering with evidence; |
(D) intimidation of potential witnesses; or |
(E) otherwise seriously jeopardizing an |
investigation or unduly delaying a trial. |
(2) An order under this Section may be renewed for |
additional periods of up to 90 days upon a showing that the |
circumstances described in paragraph (1) of this |
subsection (e) continue to exist. |
(f) Enforcement. A witness who is duly subpoenaed who |
neglects or refuses to comply with the subpoena shall be |
proceeded against and punished for contempt of the court. A |
subpoena duces tecum issued under this Section may be enforced |
pursuant to the Uniform Act to Secure the Attendance of |
Witnesses from Within or Without a State in Criminal |
Proceedings. |
|
(g) Immunity from civil liability. Notwithstanding any |
federal, State, or local law, any person, including officers, |
agents, and employees, receiving a subpoena under this Section, |
who complies in good faith with the subpoena and thus produces |
the materials sought, shall not be liable in any court of |
Illinois to any customer or other person for such production or |
for nondisclosure of that production to the customer.
|
(Source: P.A. 97-475, eff. 8-22-11; 97-1150, eff. 1-25-13; |
revised 10-16-15.)
|
Section 550. The Rights of Crime Victims and Witnesses Act |
is amended by changing Section 3 as follows:
|
(725 ILCS 120/3) (from Ch. 38, par. 1403)
|
Sec. 3. The terms used in this Act shall have the following |
meanings:
|
(a) "Crime victim" or "victim" means: (1) any natural |
person determined by the prosecutor or the court to have |
suffered direct physical or psychological harm as a result of a |
violent crime perpetrated or attempted against that person or |
direct physical or psychological harm as a result of (i) a |
violation of Section 11-501 of the Illinois Vehicle Code or |
similar provision of a local ordinance or (ii) a violation of |
Section 9-3 of the Criminal Code of 1961 or the Criminal Code |
of 2012; (2) in the case of a crime victim who is under 18 years |
of age or an adult victim who is incompetent or incapacitated, |
|
both parents, legal guardians, foster parents, or a single |
adult representative; (3) in the case of an adult deceased |
victim, 2 representatives who may be the spouse, parent, child |
or sibling of the victim, or the representative of the victim's |
estate; and (4) an immediate family member of a victim under |
clause (1) of this paragraph (a) chosen by the victim. If the |
victim is 18 years of age or over, the victim may choose any |
person to be the victim's representative. In no event shall the |
defendant or any person who aided and abetted in the commission |
of the crime be considered a victim, a crime victim, or a |
representative of the victim. |
A board, agency, or other governmental entity making |
decisions regarding an offender's release, sentence reduction, |
or clemency can determine additional persons are victims for |
the purpose of its proceedings. person with a disability
|
(a-3) "Advocate" means a person whose communications with |
the victim are privileged under Section 8-802.1 or 8-802.2 of |
the Code of Civil Procedure, or Section 227 of the Illinois |
Domestic Violence Act of 1986. |
(a-5) "Confer" means to consult together, share |
information, compare opinions and carry on a discussion or |
deliberation. |
(a-7) "Sentence" includes, but is not limited to, the |
imposition of sentence, a request for a reduction in sentence, |
parole, mandatory supervised release, aftercare release, early |
release, clemency, or a proposal that would reduce the |
|
defendant's sentence or result in the defendant's release. |
"Early release" refers to a discretionary release. |
(a-9) "Sentencing" includes, but is not limited to, the |
imposition of sentence and a request for a reduction in |
sentence, parole, mandatory supervised release, aftercare |
release, or early release. |
(b) "Witness" means any person who personally observed the |
commission of
a crime and who will testify on behalf of the |
State of Illinois.
|
(c) "Violent crime Crime " means: (1) any felony in which |
force or threat of force was
used against the victim; (2) any |
offense involving sexual exploitation, sexual
conduct , or |
sexual penetration; (3) a violation of Section 11-20.1, |
11-20.1B, 11-20.3, or 11-23.5 of the Criminal Code of 1961 or |
the Criminal Code of 2012; (4) domestic battery or , stalking; |
(5) violation of an order of
protection, a civil no contact |
order, or a stalking no contact order; (6) any misdemeanor |
which results in death or great bodily
harm to the victim; or |
(7) any violation of Section 9-3 of the Criminal Code of
1961 |
or the Criminal Code of 2012, or Section 11-501 of the Illinois |
Vehicle
Code, or a similar provision of a local ordinance, if |
the violation resulted
in personal injury or death. "Violent |
crime" includes any action committed by a juvenile
that would |
be a violent crime if committed by an adult. For the purposes |
of
this paragraph, "personal injury" shall include any Type A |
injury as indicated
on the traffic accident report completed by |
|
a law enforcement officer that
requires immediate professional |
attention in either a doctor's office or
medical facility. A |
type A injury shall include severely bleeding wounds,
distorted |
extremities, and injuries that require the injured party to be
|
carried from the scene.
|
(d) (Blank).
|
(e) "Court proceedings" includes, but is not limited to, |
the preliminary hearing, any post-arraignment hearing the
|
effect of which may be the release of the defendant from |
custody or to alter
the conditions of bond, change of plea |
hearing, the trial, any pretrial or post-trial hearing, |
sentencing, any oral argument or hearing before an Illinois |
appellate court, any hearing under the Mental Health and |
Developmental Disabilities Code after a finding that the |
defendant is not guilty by reason of insanity, any
hearing |
related to a modification of sentence, probation revocation |
hearing, aftercare release or parole hearings, post-conviction |
relief proceedings, habeas corpus proceedings and clemency |
proceedings related to the defendant's conviction or sentence. |
For purposes of the victim's right to be present, "court |
proceedings" does not include (1) hearings under Section 109-1 |
of the Code of Criminal Procedure of 1963, (2) grand jury |
proceedings, (3) status hearings, or (4) the issuance of an |
order or decision of an Illinois court that dismisses a charge, |
reverses a conviction, reduces a sentence, or releases an |
offender under a court rule.
|
|
(f) "Concerned citizen"
includes relatives of the victim, |
friends of the victim, witnesses to the
crime, or any other |
person associated with the victim or prisoner. |
(g) "Victim's attorney" means an attorney retained by the |
victim for the purposes of asserting the victim's |
constitutional and statutory rights. An attorney retained by |
the victim means an attorney who is hired to represent the |
victim at the victim's expense or an attorney who has agreed to |
provide pro bono representation. Nothing in this statute |
creates a right to counsel at public expense for a victim. |
(Source: P.A. 98-558, eff. 1-1-14; 99-143, eff. 7-27-15; |
99-413, eff. 8-20-15; revised 10-19-15.)
|
Section 555. The Witness Protection Act is amended by |
changing Section 2 as follows:
|
(725 ILCS 245/2) (from Ch. 38, par. 155-22)
|
Sec. 2.
The Illinois Law Enforcement Commission with |
respect to federal grant moneys
received by such Commission |
prior to January 1, 1983, may make grants prior
to April 1, |
1983 to the several State's Attorneys
states attorneys of the |
State of Illinois. Such grants may be made to any
State's |
Attorney states attorney who applies for funds to provide for |
protection of
witnesses and the families and property of |
witnesses involved in criminal
investigations and |
prosecutions.
|
|
(Source: P.A. 82-1039; revised 10-16-15.)
|
Section 560. The Unified Code of Corrections is amended by |
changing Sections 3-6-3, 5-4-3b, 5-5-3.1, 5-5-3.2, 5-5.5-5, |
and 5-6-3.1 as follows:
|
(730 ILCS 5/3-6-3) (from Ch. 38, par. 1003-6-3)
|
Sec. 3-6-3. Rules and Regulations for Sentence Credit.
|
(a) (1) The Department of Corrections shall prescribe |
rules
and regulations for awarding and revoking sentence |
credit for persons committed to the Department which shall
|
be subject to review by the Prisoner Review Board.
|
(1.5) As otherwise provided by law, sentence credit may |
be awarded for the following: |
(A) successful completion of programming while in |
custody of the Department or while in custody prior to |
sentencing; |
(B) compliance with the rules and regulations of |
the Department; or |
(C) service to the institution, service to a |
community, or service to the State. |
(2) The rules and regulations on sentence credit shall |
provide, with
respect to offenses listed in clause (i), |
(ii), or (iii) of this paragraph (2) committed on or after |
June 19, 1998 or with respect to the offense listed in |
clause (iv) of this paragraph (2) committed on or after |
|
June 23, 2005 (the effective date of Public Act 94-71) or |
with
respect to offense listed in clause (vi)
committed on |
or after June 1, 2008 (the effective date of Public Act |
95-625)
or with respect to the offense of being an armed |
habitual criminal committed on or after August 2, 2005 (the |
effective date of Public Act 94-398) or with respect to the |
offenses listed in clause (v) of this paragraph (2) |
committed on or after August 13, 2007 (the effective date |
of Public Act 95-134) or with respect to the offense of |
aggravated domestic battery committed on or after July 23, |
2010 (the effective date of Public Act 96-1224) or with |
respect to the offense of attempt to commit terrorism |
committed on or after January 1, 2013 (the effective date |
of Public Act 97-990), the following:
|
(i) that a prisoner who is serving a term of |
imprisonment for first
degree murder or for the offense |
of terrorism shall receive no sentence
credit and shall |
serve the entire
sentence imposed by the court;
|
(ii) that a prisoner serving a sentence for attempt |
to commit terrorism, attempt to commit first
degree |
murder, solicitation of murder, solicitation of murder |
for hire,
intentional homicide of an unborn child, |
predatory criminal sexual assault of a
child, |
aggravated criminal sexual assault, criminal sexual |
assault, aggravated
kidnapping, aggravated battery |
with a firearm as described in Section 12-4.2 or |
|
subdivision (e)(1), (e)(2), (e)(3), or (e)(4) of |
Section 12-3.05, heinous battery as described in |
Section 12-4.1 or subdivision (a)(2) of Section |
12-3.05, being an armed habitual criminal, aggravated
|
battery of a senior citizen as described in Section |
12-4.6 or subdivision (a)(4) of Section 12-3.05, or |
aggravated battery of a child as described in Section |
12-4.3 or subdivision (b)(1) of Section 12-3.05 shall |
receive no
more than 4.5 days of sentence credit for |
each month of his or her sentence
of imprisonment;
|
(iii) that a prisoner serving a sentence
for home |
invasion, armed robbery, aggravated vehicular |
hijacking,
aggravated discharge of a firearm, or armed |
violence with a category I weapon
or category II |
weapon, when the court
has made and entered a finding, |
pursuant to subsection (c-1) of Section 5-4-1
of this |
Code, that the conduct leading to conviction for the |
enumerated offense
resulted in great bodily harm to a |
victim, shall receive no more than 4.5 days
of sentence |
credit for each month of his or her sentence of |
imprisonment;
|
(iv) that a prisoner serving a sentence for |
aggravated discharge of a firearm, whether or not the |
conduct leading to conviction for the offense resulted |
in great bodily harm to the victim, shall receive no |
more than 4.5 days of sentence credit for each month of |
|
his or her sentence of imprisonment;
|
(v) that a person serving a sentence for |
gunrunning, narcotics racketeering, controlled |
substance trafficking, methamphetamine trafficking, |
drug-induced homicide, aggravated |
methamphetamine-related child endangerment, money |
laundering pursuant to clause (c) (4) or (5) of Section |
29B-1 of the Criminal Code of 1961 or the Criminal Code |
of 2012, or a Class X felony conviction for delivery of |
a controlled substance, possession of a controlled |
substance with intent to manufacture or deliver, |
calculated criminal drug conspiracy, criminal drug |
conspiracy, street gang criminal drug conspiracy, |
participation in methamphetamine manufacturing, |
aggravated participation in methamphetamine |
manufacturing, delivery of methamphetamine, possession |
with intent to deliver methamphetamine, aggravated |
delivery of methamphetamine, aggravated possession |
with intent to deliver methamphetamine, |
methamphetamine conspiracy when the substance |
containing the controlled substance or methamphetamine |
is 100 grams or more shall receive no more than 7.5 |
days sentence credit for each month of his or her |
sentence of imprisonment;
|
(vi)
that a prisoner serving a sentence for a |
second or subsequent offense of luring a minor shall |
|
receive no more than 4.5 days of sentence credit for |
each month of his or her sentence of imprisonment; and
|
(vii) that a prisoner serving a sentence for |
aggravated domestic battery shall receive no more than |
4.5 days of sentence credit for each month of his or |
her sentence of imprisonment. |
(2.1) For all offenses, other than those enumerated in |
subdivision (a)(2)(i), (ii), or (iii)
committed on or after |
June 19, 1998 or subdivision (a)(2)(iv) committed on or |
after June 23, 2005 (the effective date of Public Act |
94-71) or subdivision (a)(2)(v) committed on or after |
August 13, 2007 (the effective date of Public Act 95-134)
|
or subdivision (a)(2)(vi) committed on or after June 1, |
2008 (the effective date of Public Act 95-625) or |
subdivision (a)(2)(vii) committed on or after July 23, 2010 |
(the effective date of Public Act 96-1224), and other than |
the offense of aggravated driving under the influence of |
alcohol, other drug or drugs, or
intoxicating compound or |
compounds, or any combination thereof as defined in
|
subparagraph (F) of paragraph (1) of subsection (d) of |
Section 11-501 of the
Illinois Vehicle Code, and other than |
the offense of aggravated driving under the influence of |
alcohol,
other drug or drugs, or intoxicating compound or |
compounds, or any combination
thereof as defined in |
subparagraph (C) of paragraph (1) of subsection (d) of
|
Section 11-501 of the Illinois Vehicle Code committed on or |
|
after January 1, 2011 (the effective date of Public Act |
96-1230),
the rules and regulations shall
provide that a |
prisoner who is serving a term of
imprisonment shall |
receive one day of sentence credit for each day of
his or |
her sentence of imprisonment or recommitment under Section |
3-3-9.
Each day of sentence credit shall reduce by one day |
the prisoner's period
of imprisonment or recommitment |
under Section 3-3-9.
|
(2.2) A prisoner serving a term of natural life |
imprisonment or a
prisoner who has been sentenced to death |
shall receive no sentence
credit.
|
(2.3) The rules and regulations on sentence credit |
shall provide that
a prisoner who is serving a sentence for |
aggravated driving under the influence of alcohol,
other |
drug or drugs, or intoxicating compound or compounds, or |
any combination
thereof as defined in subparagraph (F) of |
paragraph (1) of subsection (d) of
Section 11-501 of the |
Illinois Vehicle Code, shall receive no more than 4.5
days |
of sentence credit for each month of his or her sentence of
|
imprisonment.
|
(2.4) The rules and regulations on sentence credit |
shall provide with
respect to the offenses of aggravated |
battery with a machine gun or a firearm
equipped with any |
device or attachment designed or used for silencing the
|
report of a firearm or aggravated discharge of a machine |
gun or a firearm
equipped with any device or attachment |
|
designed or used for silencing the
report of a firearm, |
committed on or after
July 15, 1999 (the effective date of |
Public Act 91-121),
that a prisoner serving a sentence for |
any of these offenses shall receive no
more than 4.5 days |
of sentence credit for each month of his or her sentence
of |
imprisonment.
|
(2.5) The rules and regulations on sentence credit |
shall provide that a
prisoner who is serving a sentence for |
aggravated arson committed on or after
July 27, 2001 (the |
effective date of Public Act 92-176) shall receive no more |
than
4.5 days of sentence credit for each month of his or |
her sentence of
imprisonment.
|
(2.6) The rules and regulations on sentence credit |
shall provide that a
prisoner who is serving a sentence for |
aggravated driving under the influence of alcohol,
other |
drug or drugs, or intoxicating compound or compounds or any |
combination
thereof as defined in subparagraph (C) of |
paragraph (1) of subsection (d) of
Section 11-501 of the |
Illinois Vehicle Code committed on or after January 1, 2011 |
(the effective date of Public Act 96-1230) shall receive no |
more than 4.5
days of sentence credit for each month of his |
or her sentence of
imprisonment. |
(3) The rules and regulations shall also provide that
|
the Director may award up to 180 days additional sentence
|
credit for good conduct in specific instances as the
|
Director deems proper. The good conduct may include, but is |
|
not limited to, compliance with the rules and regulations |
of the Department, service to the Department, service to a |
community, or service to the State. However, the Director |
shall not award more than 90 days
of sentence credit for |
good conduct to any prisoner who is serving a sentence for
|
conviction of first degree murder, reckless homicide while |
under the
influence of alcohol or any other drug,
or |
aggravated driving under the influence of alcohol, other |
drug or drugs, or
intoxicating compound or compounds, or |
any combination thereof as defined in
subparagraph (F) of |
paragraph (1) of subsection (d) of Section 11-501 of the
|
Illinois Vehicle Code, aggravated kidnapping, kidnapping,
|
predatory criminal sexual assault of a child,
aggravated |
criminal sexual assault, criminal sexual assault, deviate |
sexual
assault, aggravated criminal sexual abuse, |
aggravated indecent liberties
with a child, indecent |
liberties with a child, child pornography, heinous
battery |
as described in Section 12-4.1 or subdivision (a)(2) of |
Section 12-3.05, aggravated battery of a spouse, |
aggravated battery of a spouse
with a firearm, stalking, |
aggravated stalking, aggravated battery of a child as |
described in Section 12-4.3 or subdivision (b)(1) of |
Section 12-3.05,
endangering the life or health of a child, |
or cruelty to a child. Notwithstanding the foregoing, |
sentence credit for
good conduct shall not be awarded on a
|
sentence of imprisonment imposed for conviction of: (i) one |
|
of the offenses
enumerated in subdivision (a)(2)(i), (ii), |
or (iii) when the offense is committed on or after
June 19, |
1998 or subdivision (a)(2)(iv) when the offense is |
committed on or after June 23, 2005 (the effective date of |
Public Act 94-71) or subdivision (a)(2)(v) when the offense |
is committed on or after August 13, 2007 (the effective |
date of Public Act 95-134)
or subdivision (a)(2)(vi) when |
the offense is committed on or after June 1, 2008 (the |
effective date of Public Act 95-625) or subdivision |
(a)(2)(vii) when the offense is committed on or after July |
23, 2010 (the effective date of Public Act 96-1224), (ii) |
aggravated driving under the influence of alcohol, other |
drug or drugs, or
intoxicating compound or compounds, or |
any combination thereof as defined in
subparagraph (F) of |
paragraph (1) of subsection (d) of Section 11-501 of the
|
Illinois Vehicle Code, (iii) one of the offenses enumerated |
in subdivision
(a)(2.4) when the offense is committed on or |
after
July 15, 1999 (the effective date of Public Act |
91-121),
(iv) aggravated arson when the offense is |
committed
on or after July 27, 2001 (the effective date of |
Public Act 92-176), (v) offenses that may subject the |
offender to commitment under the Sexually Violent Persons |
Commitment Act, or (vi) aggravated driving under the |
influence of alcohol,
other drug or drugs, or intoxicating |
compound or compounds or any combination
thereof as defined |
in subparagraph (C) of paragraph (1) of subsection (d) of
|
|
Section 11-501 of the Illinois Vehicle Code committed on or |
after January 1, 2011 (the effective date of Public Act |
96-1230).
|
Eligible inmates for an award of sentence credit under
this |
paragraph (3) may be selected to receive the credit at
the |
Director's or his or her designee's sole discretion.
|
Consideration may be based on, but not limited to, any
|
available risk assessment analysis on the inmate, any history |
of conviction for violent crimes as defined by the Rights of |
Crime Victims and Witnesses Act, facts and circumstances of the |
inmate's holding offense or offenses, and the potential for |
rehabilitation. |
The Director shall not award sentence credit under this |
paragraph (3) to an inmate unless the inmate has served a |
minimum of 60 days of the sentence; except nothing in this |
paragraph shall be construed to permit the Director to extend |
an inmate's sentence beyond that which was imposed by the |
court. Prior to awarding credit under this paragraph (3), the |
Director shall make a written determination that the inmate: |
(A) is eligible for the sentence credit; |
(B) has served a minimum of 60 days, or as close to |
60 days as the sentence will allow; and |
(C) has met the eligibility criteria established |
by rule. |
The Director shall determine the form and content of |
the written determination required in this subsection. |
|
(3.5) The Department shall provide annual written |
reports to the Governor and the General Assembly on the |
award of sentence credit for good conduct, with the first |
report due January 1, 2014. The Department must publish |
both reports on its website within 48 hours of transmitting |
the reports to the Governor and the General Assembly. The |
reports must include: |
(A) the number of inmates awarded sentence credit |
for good conduct; |
(B) the average amount of sentence credit for good |
conduct awarded; |
(C) the holding offenses of inmates awarded |
sentence credit for good conduct; and |
(D) the number of sentence credit for good conduct |
revocations. |
(4) The rules and regulations shall also provide that |
the sentence
credit accumulated and retained under |
paragraph (2.1) of subsection (a) of
this Section by any |
inmate during specific periods of time in which such
inmate |
is engaged full-time in substance abuse programs, |
correctional
industry assignments, educational programs, |
behavior modification programs, life skills courses, or |
re-entry planning provided by the Department
under this |
paragraph (4) and satisfactorily completes the assigned |
program as
determined by the standards of the Department, |
shall be multiplied by a factor
of 1.25 for program |
|
participation before August 11, 1993
and 1.50 for program |
participation on or after that date.
The rules and |
regulations shall also provide that sentence credit, |
subject to the same offense limits and multiplier provided |
in this paragraph, may be provided to an inmate who was |
held in pre-trial detention prior to his or her current |
commitment to the Department of Corrections and |
successfully completed a full-time, 60-day or longer |
substance abuse program, educational program, behavior |
modification program, life skills course, or re-entry |
planning provided by the county department of corrections |
or county jail. Calculation of this county program credit |
shall be done at sentencing as provided in Section |
5-4.5-100 of this Code and shall be included in the |
sentencing order. However, no inmate shall be eligible for |
the additional sentence credit
under this paragraph (4) or |
(4.1) of this subsection (a) while assigned to a boot camp
|
or electronic detention, or if convicted of an offense |
enumerated in
subdivision (a)(2)(i), (ii), or (iii) of this |
Section that is committed on or after June 19,
1998 or |
subdivision (a)(2)(iv) of this Section that is committed on |
or after June 23, 2005 (the effective date of Public Act |
94-71) or subdivision (a)(2)(v) of this Section that is |
committed on or after August 13, 2007 (the effective date |
of Public Act 95-134)
or subdivision (a)(2)(vi) when the |
offense is committed on or after June 1, 2008 (the |
|
effective date of Public Act 95-625) or subdivision |
(a)(2)(vii) when the offense is committed on or after July |
23, 2010 (the effective date of Public Act 96-1224), or if |
convicted of aggravated driving under the influence of |
alcohol, other drug or drugs, or
intoxicating compound or |
compounds or any combination thereof as defined in
|
subparagraph (F) of paragraph (1) of subsection (d) of |
Section 11-501 of the
Illinois Vehicle Code, or if |
convicted of aggravated driving under the influence of |
alcohol,
other drug or drugs, or intoxicating compound or |
compounds or any combination
thereof as defined in |
subparagraph (C) of paragraph (1) of subsection (d) of
|
Section 11-501 of the Illinois Vehicle Code committed on or |
after January 1, 2011 (the effective date of Public Act |
96-1230), or if convicted of an offense enumerated in |
paragraph
(a)(2.4) of this Section that is committed on or |
after
July 15, 1999 (the effective date of Public Act |
91-121),
or first degree murder, a Class X felony, criminal |
sexual
assault, felony criminal sexual abuse, aggravated |
criminal sexual abuse,
aggravated battery with a firearm as |
described in Section 12-4.2 or subdivision (e)(1), (e)(2), |
(e)(3), or (e)(4) of Section 12-3.05, or any predecessor or |
successor offenses
with the same or substantially the same |
elements, or any inchoate offenses
relating to the |
foregoing offenses. No inmate shall be eligible for the
|
additional good conduct credit under this paragraph (4) who |
|
(i) has previously
received increased good conduct credit |
under this paragraph (4) and has
subsequently been |
convicted of a
felony, or (ii) has previously served more |
than one prior sentence of
imprisonment for a felony in an |
adult correctional facility.
|
Educational, vocational, substance abuse, behavior |
modification programs, life skills courses, re-entry |
planning, and correctional
industry programs under which |
sentence credit may be increased under
this paragraph (4) |
and paragraph (4.1) of this subsection (a) shall be |
evaluated by the Department on the basis of
documented |
standards. The Department shall report the results of these
|
evaluations to the Governor and the General Assembly by |
September 30th of each
year. The reports shall include data |
relating to the recidivism rate among
program |
participants.
|
Availability of these programs shall be subject to the
|
limits of fiscal resources appropriated by the General |
Assembly for these
purposes. Eligible inmates who are |
denied immediate admission shall be
placed on a waiting |
list under criteria established by the Department.
The |
inability of any inmate to become engaged in any such |
programs
by reason of insufficient program resources or for |
any other reason
established under the rules and |
regulations of the Department shall not be
deemed a cause |
of action under which the Department or any employee or
|
|
agent of the Department shall be liable for damages to the |
inmate.
|
(4.1) The rules and regulations shall also provide that |
an additional 90 days of sentence credit shall be awarded |
to any prisoner who passes high school equivalency testing |
while the prisoner is committed to the Department of |
Corrections. The sentence credit awarded under this |
paragraph (4.1) shall be in addition to, and shall not |
affect, the award of sentence credit under any other |
paragraph of this Section, but shall also be pursuant to |
the guidelines and restrictions set forth in paragraph (4) |
of subsection (a) of this Section.
The sentence credit |
provided for in this paragraph shall be available only to |
those prisoners who have not previously earned a high |
school diploma or a high school equivalency certificate. |
If, after an award of the high school equivalency testing |
sentence credit has been made, the Department determines |
that the prisoner was not eligible, then the award shall be |
revoked.
The Department may also award 90 days of sentence |
credit to any committed person who passed high school |
equivalency testing while he or she was held in pre-trial |
detention prior to the current commitment to the Department |
of Corrections. |
(4.5) The rules and regulations on sentence credit |
shall also provide that
when the court's sentencing order |
recommends a prisoner for substance abuse treatment and the
|
|
crime was committed on or after September 1, 2003 (the |
effective date of
Public Act 93-354), the prisoner shall |
receive no sentence credit awarded under clause (3) of this |
subsection (a) unless he or she participates in and
|
completes a substance abuse treatment program. The |
Director may waive the requirement to participate in or |
complete a substance abuse treatment program and award the |
sentence credit in specific instances if the prisoner is |
not a good candidate for a substance abuse treatment |
program for medical, programming, or operational reasons. |
Availability of
substance abuse treatment shall be subject |
to the limits of fiscal resources
appropriated by the |
General Assembly for these purposes. If treatment is not
|
available and the requirement to participate and complete |
the treatment has not been waived by the Director, the |
prisoner shall be placed on a waiting list under criteria
|
established by the Department. The Director may allow a |
prisoner placed on
a waiting list to participate in and |
complete a substance abuse education class or attend |
substance
abuse self-help meetings in lieu of a substance |
abuse treatment program. A prisoner on a waiting list who |
is not placed in a substance abuse program prior to release |
may be eligible for a waiver and receive sentence credit |
under clause (3) of this subsection (a) at the discretion |
of the Director.
|
(4.6) The rules and regulations on sentence credit |
|
shall also provide that a prisoner who has been convicted |
of a sex offense as defined in Section 2 of the Sex |
Offender Registration Act shall receive no sentence credit |
unless he or she either has successfully completed or is |
participating in sex offender treatment as defined by the |
Sex Offender Management Board. However, prisoners who are |
waiting to receive treatment, but who are unable to do so |
due solely to the lack of resources on the part of the |
Department, may, at the Director's sole discretion, be |
awarded sentence credit at a rate as the Director shall |
determine. |
(5) Whenever the Department is to release any inmate |
earlier than it
otherwise would because of a grant of |
sentence credit for good conduct under paragraph (3) of |
subsection (a) of this Section given at any time during the |
term, the Department shall give
reasonable notice of the |
impending release not less than 14 days prior to the date |
of the release to the State's
Attorney of the county where |
the prosecution of the inmate took place, and if |
applicable, the State's Attorney of the county into which |
the inmate will be released. The Department must also make |
identification information and a recent photo of the inmate |
being released accessible on the Internet by means of a |
hyperlink labeled "Community Notification of Inmate Early |
Release" on the Department's World Wide Web homepage.
The |
identification information shall include the inmate's: |
|
name, any known alias, date of birth, physical |
characteristics, commitment offense and county where |
conviction was imposed. The identification information |
shall be placed on the website within 3 days of the |
inmate's release and the information may not be removed |
until either: completion of the first year of mandatory |
supervised release or return of the inmate to custody of |
the Department.
|
(b) Whenever a person is or has been committed under
|
several convictions, with separate sentences, the sentences
|
shall be construed under Section 5-8-4 in granting and
|
forfeiting of sentence credit.
|
(c) The Department shall prescribe rules and regulations
|
for revoking sentence credit, including revoking sentence |
credit awarded for good conduct under paragraph (3) of |
subsection (a) of this Section. The Department shall prescribe |
rules and regulations for suspending or reducing
the rate of |
accumulation of sentence credit for specific
rule violations, |
during imprisonment. These rules and regulations
shall provide |
that no inmate may be penalized more than one
year of sentence |
credit for any one infraction.
|
When the Department seeks to revoke, suspend or reduce
the |
rate of accumulation of any sentence credits for
an alleged |
infraction of its rules, it shall bring charges
therefor |
against the prisoner sought to be so deprived of
sentence |
credits before the Prisoner Review Board as
provided in |
|
subparagraph (a)(4) of Section 3-3-2 of this
Code, if the |
amount of credit at issue exceeds 30 days or
when during any 12 |
month period, the cumulative amount of
credit revoked exceeds |
30 days except where the infraction is committed
or discovered |
within 60 days of scheduled release. In those cases,
the |
Department of Corrections may revoke up to 30 days of sentence |
credit.
The Board may subsequently approve the revocation of |
additional sentence credit, if the Department seeks to revoke |
sentence credit in
excess of 30 days. However, the Board shall |
not be empowered to review the
Department's decision with |
respect to the loss of 30 days of sentence
credit within any |
calendar year for any prisoner or to increase any penalty
|
beyond the length requested by the Department.
|
The Director of the Department of Corrections, in |
appropriate cases, may
restore up to 30 days of sentence |
credits which have been revoked, suspended
or reduced. Any |
restoration of sentence credits in excess of 30 days shall
be |
subject to review by the Prisoner Review Board. However, the |
Board may not
restore sentence credit in excess of the amount |
requested by the Director.
|
Nothing contained in this Section shall prohibit the |
Prisoner Review Board
from ordering, pursuant to Section |
3-3-9(a)(3)(i)(B), that a prisoner serve up
to one year of the |
sentence imposed by the court that was not served due to the
|
accumulation of sentence credit.
|
(d) If a lawsuit is filed by a prisoner in an Illinois or |
|
federal court
against the State, the Department of Corrections, |
or the Prisoner Review Board,
or against any of
their officers |
or employees, and the court makes a specific finding that a
|
pleading, motion, or other paper filed by the prisoner is |
frivolous, the
Department of Corrections shall conduct a |
hearing to revoke up to
180 days of sentence credit by bringing |
charges against the prisoner
sought to be deprived of the |
sentence credits before the Prisoner Review
Board as provided |
in subparagraph (a)(8) of Section 3-3-2 of this Code.
If the |
prisoner has not accumulated 180 days of sentence credit at the
|
time of the finding, then the Prisoner Review Board may revoke |
all
sentence credit accumulated by the prisoner.
|
For purposes of this subsection (d):
|
(1) "Frivolous" means that a pleading, motion, or other |
filing which
purports to be a legal document filed by a |
prisoner in his or her lawsuit meets
any or all of the |
following criteria:
|
(A) it lacks an arguable basis either in law or in |
fact;
|
(B) it is being presented for any improper purpose, |
such as to harass or
to cause unnecessary delay or |
needless increase in the cost of litigation;
|
(C) the claims, defenses, and other legal |
contentions therein are not
warranted by existing law |
or by a nonfrivolous argument for the extension,
|
modification, or reversal of existing law or the |
|
establishment of new law;
|
(D) the allegations and other factual contentions |
do not have
evidentiary
support or, if specifically so |
identified, are not likely to have evidentiary
support |
after a reasonable opportunity for further |
investigation or discovery;
or
|
(E) the denials of factual contentions are not |
warranted on the
evidence, or if specifically so |
identified, are not reasonably based on a lack
of |
information or belief.
|
(2) "Lawsuit" means a motion pursuant to Section
116-3 |
of the Code of Criminal Procedure of 1963, a habeas corpus |
action under
Article X of the Code of Civil Procedure or |
under federal law (28 U.S.C. 2254),
a petition for claim |
under the Court of Claims Act, an action under the
federal |
Civil Rights Act (42 U.S.C. 1983), or a second or |
subsequent petition for post-conviction relief under |
Article 122 of the Code of Criminal Procedure of 1963 |
whether filed with or without leave of court or a second or |
subsequent petition for relief from judgment under Section |
2-1401 of the Code of Civil Procedure.
|
(e) Nothing in Public Act 90-592 or 90-593 affects the |
validity of Public Act 89-404.
|
(f) Whenever the Department is to release any inmate who |
has been convicted of a violation of an order of protection |
under Section 12-3.4 or 12-30 of the Criminal Code of 1961 or |
|
the Criminal Code of 2012, earlier than it
otherwise would |
because of a grant of sentence credit, the Department, as a |
condition of release, shall require that the person, upon |
release, be placed under electronic surveillance as provided in |
Section 5-8A-7 of this Code. |
(Source: P.A. 98-718, eff. 1-1-15; 99-241, eff. 1-1-16; 99-275, |
eff. 1-1-16; revised 10-19-15.)
|
(730 ILCS 5/5-4-3b) |
Sec. 5-4-3b. Electronic Laboratory Information Management |
System. |
(a) The Department of State Police shall obtain, implement, |
and maintain an Electronic Laboratory Information Management |
System (LIMS) , to efficiently and effectively track all |
evidence submitted for forensic testing. At a minimum, the LIMS |
shall record: |
(1) the criminal offense or suspected criminal offense |
for which the evidence is being submitted; |
(2) the law enforcement agency submitting the |
evidence; |
(3) the name of the victim; |
(4) the law enforcement agency case number; |
(5) the State Police Laboratory case number; |
(6) the date the evidence was received by the State |
Police Laboratory; |
(7) if the State Police Laboratory sent the evidence |
|
for analysis to another designated laboratory, the name of |
the laboratory and the date the evidence was sent to that |
laboratory; and |
(8) the date and description of any results or |
information regarding the analysis sent to the submitting |
law enforcement agency by the State Police Laboratory or |
any other designated laboratory. |
The LIMS shall also link multiple forensic evidence |
submissions pertaining to a single criminal investigation such |
that evidence submitted to confirm a previously reported |
Combined DNA Index System (CODIS) hit in a State or federal |
database can be linked to the initial evidence submission. The |
LIMS shall be such that the system provides ease of |
interoperability with law enforcement agencies for evidence |
submission and reporting, as well as supports expansion |
capabilities for future internal networking and laboratory |
operations. |
(b) The Department of State Police, in consultation with |
and subject to the approval of the Chief Procurement Officer, |
may procure a single contract or multiple contracts to |
implement the provisions of this Section. A contract or |
contracts under this subsection are not subject to the |
provisions of the Illinois Procurement Code, except for |
Sections 20-60, 20-65, 20-70, and 20-160 and Article 50 of that |
Code, provided that the Chief Procurement Officer may, in |
writing with justification, waive any certification required |
|
under Article 50 of the Illinois Procurement Code. This |
exemption is inoperative 2 years from January 1, 2016 ( the |
effective date of Public Act 99-352) this amendatory Act of the |
99th General Assembly .
|
(Source: P.A. 99-352, eff. 1-1-16; revised 10-20-15.)
|
(730 ILCS 5/5-5-3.1) (from Ch. 38, par. 1005-5-3.1)
|
Sec. 5-5-3.1. Factors in Mitigation.
|
(a) The following
grounds shall be accorded weight in favor |
of withholding or
minimizing a sentence of imprisonment:
|
(1) The defendant's criminal conduct neither caused |
nor
threatened serious physical harm to another.
|
(2) The defendant did not contemplate that his criminal |
conduct would
cause or threaten serious physical harm to |
another.
|
(3) The defendant acted under a strong provocation.
|
(4) There were substantial grounds tending to excuse or |
justify
the defendant's criminal conduct, though failing |
to establish a
defense.
|
(5) The defendant's criminal conduct was induced or |
facilitated
by someone other than the defendant.
|
(6) The defendant has compensated or will compensate |
the victim
of his criminal conduct for the damage or injury |
that he sustained.
|
(7) The defendant has no history of prior delinquency |
or
criminal activity or has led a law-abiding life for a |
|
substantial
period of time before the commission of the |
present crime.
|
(8) The defendant's criminal conduct was the result of
|
circumstances unlikely to recur.
|
(9) The character and attitudes of the defendant |
indicate that he is
unlikely to commit another crime.
|
(10) The defendant is particularly likely to comply |
with the terms of
a period of probation.
|
(11) The imprisonment of the defendant would entail |
excessive
hardship to his dependents.
|
(12) The imprisonment of the defendant would endanger |
his or her medical
condition.
|
(13) The defendant was a person with an intellectual |
disability as defined in Section 5-1-13 of
this Code.
|
(14) The defendant sought or obtained emergency |
medical assistance for an overdose and was convicted of a |
Class 3 felony or higher possession, manufacture, or |
delivery of a controlled, counterfeit, or look-alike |
substance or a controlled substance analog under the |
Illinois Controlled Substances Act or a Class 2 felony or |
higher possession, manufacture or delivery of |
methamphetamine under the Methamphetamine Control and |
Community Protection Act. |
(15) At the time of the offense, the defendant is or |
had been the victim of domestic violence and the effects of |
the domestic violence tended to excuse or justify the |
|
defendant's criminal conduct. As used in this paragraph |
(15), "domestic violence" means abuse as defined in Section |
103 of the Illinois Domestic Violence Act of 1986. |
(b) If the court, having due regard for the character of |
the
offender, the nature and circumstances of the offense and |
the
public interest finds that a sentence of imprisonment is |
the
most appropriate disposition of the offender, or where |
other
provisions of this Code mandate the imprisonment of the |
offender,
the grounds listed in paragraph (a) of this |
subsection shall be
considered as factors in mitigation of the |
term imposed.
|
(Source: P.A. 98-463, eff. 8-16-13; 99-143, eff. 7-27-15; |
99-384, eff. 1-1-16; revised 10-16-15.)
|
(730 ILCS 5/5-5-3.2)
|
Sec. 5-5-3.2. Factors in Aggravation and Extended-Term |
Sentencing.
|
(a) The following factors shall be accorded weight in favor |
of
imposing a term of imprisonment or may be considered by the |
court as reasons
to impose a more severe sentence under Section |
5-8-1 or Article 4.5 of Chapter V:
|
(1) the defendant's conduct caused or threatened |
serious harm;
|
(2) the defendant received compensation for committing |
the offense;
|
(3) the defendant has a history of prior delinquency or |
|
criminal activity;
|
(4) the defendant, by the duties of his office or by |
his position,
was obliged to prevent the particular offense |
committed or to bring
the offenders committing it to |
justice;
|
(5) the defendant held public office at the time of the |
offense,
and the offense related to the conduct of that |
office;
|
(6) the defendant utilized his professional reputation |
or
position in the community to commit the offense, or to |
afford
him an easier means of committing it;
|
(7) the sentence is necessary to deter others from |
committing
the same crime;
|
(8) the defendant committed the offense against a |
person 60 years of age
or older or such person's property;
|
(9) the defendant committed the offense against a |
person who has a physical disability or such person's |
property;
|
(10) by reason of another individual's actual or |
perceived race, color,
creed, religion, ancestry, gender, |
sexual orientation, physical or mental
disability, or |
national origin, the defendant committed the offense |
against (i)
the person or property
of that individual; (ii) |
the person or property of a person who has an
association |
with, is married to, or has a friendship with the other |
individual;
or (iii) the person or property of a relative |
|
(by blood or marriage) of a
person described in clause (i) |
or (ii). For the purposes of this Section,
"sexual |
orientation" has the meaning ascribed to it in paragraph |
(O-1) of Section 1-103 of the Illinois Human Rights Act;
|
(11) the offense took place in a place of worship or on |
the
grounds of a place of worship, immediately prior to, |
during or immediately
following worship services. For |
purposes of this subparagraph, "place of
worship" shall |
mean any church, synagogue or other building, structure or
|
place used primarily for religious worship;
|
(12) the defendant was convicted of a felony committed |
while he was
released on bail or his own recognizance |
pending trial for a prior felony
and was convicted of such |
prior felony, or the defendant was convicted of a
felony |
committed while he was serving a period of probation,
|
conditional discharge, or mandatory supervised release |
under subsection (d)
of Section 5-8-1
for a prior felony;
|
(13) the defendant committed or attempted to commit a |
felony while he
was wearing a bulletproof vest. For the |
purposes of this paragraph (13), a
bulletproof vest is any |
device which is designed for the purpose of
protecting the |
wearer from bullets, shot or other lethal projectiles;
|
(14) the defendant held a position of trust or |
supervision such as, but
not limited to, family member as |
defined in Section 11-0.1 of the Criminal Code
of 2012, |
teacher, scout leader, baby sitter, or day care worker, in
|
|
relation to a victim under 18 years of age, and the |
defendant committed an
offense in violation of Section |
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11, |
11-14.4 except for an offense that involves keeping a place |
of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
|
11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15 |
or 12-16 of the Criminal Code of 1961 or the Criminal Code |
of 2012
against
that victim;
|
(15) the defendant committed an offense related to the |
activities of an
organized gang. For the purposes of this |
factor, "organized gang" has the
meaning ascribed to it in |
Section 10 of the Streetgang Terrorism Omnibus
Prevention |
Act;
|
(16) the defendant committed an offense in violation of |
one of the
following Sections while in a school, regardless |
of the time of day or time of
year; on any conveyance |
owned, leased, or contracted by a school to transport
|
students to or from school or a school related activity; on |
the real property
of a school; or on a public way within |
1,000 feet of the real property
comprising any school: |
Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40, |
11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1,
|
11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, 12-4.3, |
12-6, 12-6.1, 12-6.5, 12-13,
12-14, 12-14.1, 12-15, 12-16, |
18-2, or 33A-2, or Section 12-3.05 except for subdivision |
(a)(4) or (g)(1), of the Criminal Code of
1961 or the |
|
Criminal Code of 2012;
|
(16.5) the defendant committed an offense in violation |
of one of the
following Sections while in a day care |
center, regardless of the time of day or
time of year; on |
the real property of a day care center, regardless of the |
time
of day or time of year; or on a public
way within |
1,000 feet of the real property comprising any day care |
center,
regardless of the time of day or time of year:
|
Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40, |
11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1, |
11-19.1, 11-19.2, 12-2,
12-4, 12-4.1, 12-4.2, 12-4.3, |
12-6,
12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16, |
18-2, or 33A-2, or Section 12-3.05 except for subdivision |
(a)(4) or (g)(1), of the Criminal
Code of 1961 or the |
Criminal Code of 2012;
|
(17) the defendant committed the offense by reason of |
any person's
activity as a community policing volunteer or |
to prevent any person from
engaging in activity as a |
community policing volunteer. For the purpose of
this |
Section, "community policing volunteer" has the meaning |
ascribed to it in
Section 2-3.5 of the Criminal Code of |
2012;
|
(18) the defendant committed the offense in a nursing |
home or on the
real
property comprising a nursing home. For |
the purposes of this paragraph (18),
"nursing home" means a |
skilled nursing
or intermediate long term care facility |
|
that is subject to license by the
Illinois Department of |
Public Health under the Nursing Home Care
Act, the |
Specialized Mental Health Rehabilitation Act of 2013, the |
ID/DD Community Care Act, or the MC/DD Act;
|
(19) the defendant was a federally licensed firearm |
dealer
and
was
previously convicted of a violation of |
subsection (a) of Section 3 of the
Firearm Owners |
Identification Card Act and has now committed either a |
felony
violation
of the Firearm Owners Identification Card |
Act or an act of armed violence while
armed
with a firearm; |
(20) the defendant (i) committed the offense of |
reckless homicide under Section 9-3 of the Criminal Code of |
1961 or the Criminal Code of 2012 or the offense of driving |
under the influence of alcohol, other drug or
drugs, |
intoxicating compound or compounds or any combination |
thereof under Section 11-501 of the Illinois Vehicle Code |
or a similar provision of a local ordinance and (ii) was |
operating a motor vehicle in excess of 20 miles per hour |
over the posted speed limit as provided in Article VI of |
Chapter 11 of the Illinois Vehicle Code;
|
(21) the defendant (i) committed the offense of |
reckless driving or aggravated reckless driving under |
Section 11-503 of the Illinois Vehicle Code and (ii) was |
operating a motor vehicle in excess of 20 miles per hour |
over the posted speed limit as provided in Article VI of |
Chapter 11 of the Illinois Vehicle Code; |
|
(22) the defendant committed the offense against a |
person that the defendant knew, or reasonably should have |
known, was a member of the Armed Forces of the United |
States serving on active duty. For purposes of this clause |
(22), the term "Armed Forces" means any of the Armed Forces |
of the United States, including a member of any reserve |
component thereof or National Guard unit called to active |
duty;
|
(23)
the defendant committed the offense against a |
person who was elderly or infirm or who was a person with a |
disability by taking advantage of a family or fiduciary |
relationship with the elderly or infirm person or person |
with a disability;
|
(24)
the defendant committed any offense under Section |
11-20.1 of the Criminal Code of 1961 or the Criminal Code |
of 2012 and possessed 100 or more images;
|
(25) the defendant committed the offense while the |
defendant or the victim was in a train, bus, or other |
vehicle used for public transportation; |
(26) the defendant committed the offense of child |
pornography or aggravated child pornography, specifically |
including paragraph (1), (2), (3), (4), (5), or (7) of |
subsection (a) of Section 11-20.1 of the Criminal Code of |
1961 or the Criminal Code of 2012 where a child engaged in, |
solicited for, depicted in, or posed in any act of sexual |
penetration or bound, fettered, or subject to sadistic, |
|
masochistic, or sadomasochistic abuse in a sexual context |
and specifically including paragraph (1), (2), (3), (4), |
(5), or (7) of subsection (a) of Section 11-20.1B or |
Section 11-20.3 of the Criminal Code of 1961 where a child |
engaged in, solicited for, depicted in, or posed in any act |
of sexual penetration or bound, fettered, or subject to |
sadistic, masochistic, or sadomasochistic abuse in a |
sexual context; |
(27) the defendant committed the offense of first |
degree murder, assault, aggravated assault, battery, |
aggravated battery, robbery, armed robbery, or aggravated |
robbery against a person who was a veteran and the |
defendant knew, or reasonably should have known, that the |
person was a veteran performing duties as a representative |
of a veterans' organization. For the purposes of this |
paragraph (27), "veteran" means an Illinois resident who |
has served as a member of the United States Armed Forces, a |
member of the Illinois National Guard, or a member of the |
United States Reserve Forces; and "veterans' organization" |
means an organization comprised of members of
which |
substantially all are individuals who are veterans or |
spouses,
widows, or widowers of veterans, the primary |
purpose of which is to
promote the welfare of its members |
and to provide assistance to the general
public in such a |
way as to confer a public benefit; |
(28) the defendant committed the offense of assault, |
|
aggravated assault, battery, aggravated battery, robbery, |
armed robbery, or aggravated robbery against a person that |
the defendant knew or reasonably should have known was a |
letter carrier or postal worker while that person was |
performing his or her duties delivering mail for the United |
States Postal Service; or |
(29) the defendant committed the offense of criminal |
sexual assault, aggravated criminal sexual assault, |
criminal sexual abuse, or aggravated criminal sexual abuse |
against a victim with an intellectual disability, and the |
defendant holds a position of trust, authority, or |
supervision in relation to the victim ; or |
(30) (29) the defendant committed the offense of |
promoting juvenile prostitution, patronizing a prostitute, |
or patronizing a minor engaged in prostitution and at the |
time of the commission of the offense knew that the |
prostitute or minor engaged in prostitution was in the |
custody or guardianship of the Department of Children and |
Family Services. |
For the purposes of this Section:
|
"School" is defined as a public or private
elementary or |
secondary school, community college, college, or university.
|
"Day care center" means a public or private State certified |
and
licensed day care center as defined in Section 2.09 of the |
Child Care Act of
1969 that displays a sign in plain view |
stating that the
property is a day care center.
|
|
"Intellectual disability" means significantly subaverage |
intellectual functioning which exists concurrently
with |
impairment in adaptive behavior. |
"Public transportation" means the transportation
or |
conveyance of persons by means available to the general public, |
and includes paratransit services. |
(b) The following factors, related to all felonies, may be |
considered by the court as
reasons to impose an extended term |
sentence under Section 5-8-2
upon any offender:
|
(1) When a defendant is convicted of any felony, after |
having
been previously convicted in Illinois or any other |
jurisdiction of the
same or similar class felony or greater |
class felony, when such conviction
has occurred within 10 |
years after the
previous conviction, excluding time spent |
in custody, and such charges are
separately brought and |
tried and arise out of different series of acts; or
|
(2) When a defendant is convicted of any felony and the |
court
finds that the offense was accompanied by |
exceptionally brutal
or heinous behavior indicative of |
wanton cruelty; or
|
(3) When a defendant is convicted of any felony |
committed against:
|
(i) a person under 12 years of age at the time of |
the offense or such
person's property;
|
(ii) a person 60 years of age or older at the time |
of the offense or
such person's property; or
|
|
(iii) a person who had a physical disability at the |
time of the offense or
such person's property; or
|
(4) When a defendant is convicted of any felony and the |
offense
involved any of the following types of specific |
misconduct committed as
part of a ceremony, rite, |
initiation, observance, performance, practice or
activity |
of any actual or ostensible religious, fraternal, or social |
group:
|
(i) the brutalizing or torturing of humans or |
animals;
|
(ii) the theft of human corpses;
|
(iii) the kidnapping of humans;
|
(iv) the desecration of any cemetery, religious, |
fraternal, business,
governmental, educational, or |
other building or property; or
|
(v) ritualized abuse of a child; or
|
(5) When a defendant is convicted of a felony other |
than conspiracy and
the court finds that
the felony was |
committed under an agreement with 2 or more other persons
|
to commit that offense and the defendant, with respect to |
the other
individuals, occupied a position of organizer, |
supervisor, financier, or any
other position of management |
or leadership, and the court further finds that
the felony |
committed was related to or in furtherance of the criminal
|
activities of an organized gang or was motivated by the |
defendant's leadership
in an organized gang; or
|
|
(6) When a defendant is convicted of an offense |
committed while using a firearm with a
laser sight attached |
to it. For purposes of this paragraph, "laser sight"
has |
the meaning ascribed to it in Section 26-7 of the Criminal |
Code of
2012; or
|
(7) When a defendant who was at least 17 years of age |
at the
time of
the commission of the offense is convicted |
of a felony and has been previously
adjudicated a |
delinquent minor under the Juvenile Court Act of 1987 for |
an act
that if committed by an adult would be a Class X or |
Class 1 felony when the
conviction has occurred within 10 |
years after the previous adjudication,
excluding time |
spent in custody; or
|
(8) When a defendant commits any felony and the |
defendant used, possessed, exercised control over, or |
otherwise directed an animal to assault a law enforcement |
officer engaged in the execution of his or her official |
duties or in furtherance of the criminal activities of an |
organized gang in which the defendant is engaged; or
|
(9) When a defendant commits any felony and the |
defendant knowingly video or audio records the offense with |
the intent to disseminate the recording. |
(c) The following factors may be considered by the court as |
reasons to impose an extended term sentence under Section 5-8-2 |
(730 ILCS 5/5-8-2) upon any offender for the listed offenses: |
(1) When a defendant is convicted of first degree |
|
murder, after having been previously convicted in Illinois |
of any offense listed under paragraph (c)(2) of Section |
5-5-3 (730 ILCS 5/5-5-3), when that conviction has occurred |
within 10 years after the previous conviction, excluding |
time spent in custody, and the charges are separately |
brought and tried and arise out of different series of |
acts. |
(1.5) When a defendant is convicted of first degree |
murder, after having been previously convicted of domestic |
battery (720 ILCS 5/12-3.2) or aggravated domestic battery |
(720 ILCS 5/12-3.3) committed on the same victim or after |
having been previously convicted of violation of an order |
of protection (720 ILCS 5/12-30) in which the same victim |
was the protected person. |
(2) When a defendant is convicted of voluntary |
manslaughter, second degree murder, involuntary |
manslaughter, or reckless homicide in which the defendant |
has been convicted of causing the death of more than one |
individual. |
(3) When a defendant is convicted of aggravated |
criminal sexual assault or criminal sexual assault, when |
there is a finding that aggravated criminal sexual assault |
or criminal sexual assault was also committed on the same |
victim by one or more other individuals, and the defendant |
voluntarily participated in the crime with the knowledge of |
the participation of the others in the crime, and the |
|
commission of the crime was part of a single course of |
conduct during which there was no substantial change in the |
nature of the criminal objective. |
(4) If the victim was under 18 years of age at the time |
of the commission of the offense, when a defendant is |
convicted of aggravated criminal sexual assault or |
predatory criminal sexual assault of a child under |
subsection (a)(1) of Section 11-1.40 or subsection (a)(1) |
of Section 12-14.1 of the Criminal Code of 1961 or the |
Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1). |
(5) When a defendant is convicted of a felony violation |
of Section 24-1 of the Criminal Code of 1961 or the |
Criminal Code of 2012 (720 ILCS 5/24-1) and there is a |
finding that the defendant is a member of an organized |
gang. |
(6) When a defendant was convicted of unlawful use of |
weapons under Section 24-1 of the Criminal Code of 1961 or |
the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing |
a weapon that is not readily distinguishable as one of the |
weapons enumerated in Section 24-1 of the Criminal Code of |
1961 or the Criminal Code of 2012 (720 ILCS 5/24-1). |
(7) When a defendant is convicted of an offense |
involving the illegal manufacture of a controlled |
substance under Section 401 of the Illinois Controlled |
Substances Act (720 ILCS 570/401), the illegal manufacture |
of methamphetamine under Section 25 of the Methamphetamine |
|
Control and Community Protection Act (720 ILCS 646/25), or |
the illegal possession of explosives and an emergency |
response officer in the performance of his or her duties is |
killed or injured at the scene of the offense while |
responding to the emergency caused by the commission of the |
offense. In this paragraph, "emergency" means a situation |
in which a person's life, health, or safety is in jeopardy; |
and "emergency response officer" means a peace officer, |
community policing volunteer, fireman, emergency medical |
technician-ambulance, emergency medical |
technician-intermediate, emergency medical |
technician-paramedic, ambulance driver, other medical |
assistance or first aid personnel, or hospital emergency |
room personnel.
|
(8) When the defendant is convicted of attempted mob |
action, solicitation to commit mob action, or conspiracy to |
commit mob action under Section 8-1, 8-2, or 8-4 of the |
Criminal Code of 2012, where the criminal object is a |
violation of Section 25-1 of the Criminal Code of 2012, and |
an electronic communication is used in the commission of |
the offense. For the purposes of this paragraph (8), |
"electronic communication" shall have the meaning provided |
in Section 26.5-0.1 of the Criminal Code of 2012. |
(d) For the purposes of this Section, "organized gang" has |
the meaning
ascribed to it in Section 10 of the Illinois |
Streetgang Terrorism Omnibus
Prevention Act.
|
|
(e) The court may impose an extended term sentence under |
Article 4.5 of Chapter V upon an offender who has been |
convicted of a felony violation of Section 11-1.20, 11-1.30, |
11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or |
12-16 of the Criminal Code of 1961 or the Criminal Code of 2012 |
when the victim of the offense is under 18 years of age at the |
time of the commission of the offense and, during the |
commission of the offense, the victim was under the influence |
of alcohol, regardless of whether or not the alcohol was |
supplied by the offender; and the offender, at the time of the |
commission of the offense, knew or should have known that the |
victim had consumed alcohol. |
(Source: P.A. 98-14, eff. 1-1-14; 98-104, eff. 7-22-13; 98-385, |
eff. 1-1-14; 98-756, eff. 7-16-14; 99-77, eff. 1-1-16; 99-143, |
eff. 7-27-15; 99-180, eff. 7-29-15; 99-283, eff. 1-1-16; |
99-347, eff. 1-1-16; revised 10-19-15.)
|
(730 ILCS 5/5-5.5-5)
|
Sec. 5-5.5-5. Definition Definitions and rules of |
construction . In this Article , "eligible : "Eligible offender" |
means a person who has been
convicted of a crime in this State |
or of an offense in any other jurisdiction that does not |
include any offense or attempted offense that would subject a |
person to registration under the Sex Offender Registration Act, |
the Arsonist Registration Act, or the Murderer and Violent |
Offender Against Youth Registration Act. "Eligible offender" |
|
does not include a person who has been convicted of arson, |
aggravated arson, kidnapping, aggravated kidnaping, aggravated |
driving under the influence of alcohol, other drug or drugs, or |
intoxicating compound or compounds, or any combination |
thereof, or aggravated domestic battery.
|
(Source: P.A. 99-381, eff. 1-1-16; revised 10-19-15.)
|
(730 ILCS 5/5-6-3.1) (from Ch. 38, par. 1005-6-3.1)
|
Sec. 5-6-3.1. Incidents and Conditions of Supervision.
|
(a) When a defendant is placed on supervision, the court |
shall enter
an order for supervision specifying the period of |
such supervision, and
shall defer further proceedings in the |
case until the conclusion of the
period.
|
(b) The period of supervision shall be reasonable under all |
of the
circumstances of the case, but may not be longer than 2 |
years, unless the
defendant has failed to pay the assessment |
required by Section 10.3 of the
Cannabis Control Act,
Section |
411.2 of the Illinois Controlled
Substances Act, or Section 80 |
of the Methamphetamine Control and Community Protection Act, in |
which case the court may extend supervision beyond 2 years.
|
Additionally, the court shall order the defendant to perform no |
less than 30
hours of community service and not more than 120 |
hours of community service, if
community service is available |
in the
jurisdiction and is funded and approved by the county |
board where the offense
was committed,
when the offense (1) was
|
related to or in furtherance of the criminal activities of an |
|
organized gang or
was motivated by the defendant's membership |
in or allegiance to an organized
gang; or (2) is a violation of |
any Section of Article 24 of the Criminal
Code of 1961 or the |
Criminal Code of 2012 where a disposition of supervision is not |
prohibited by Section
5-6-1 of this Code.
The
community service |
shall include, but not be limited to, the cleanup and repair
of |
any damage caused by violation of Section 21-1.3 of the |
Criminal Code of
1961 or the Criminal Code of 2012 and similar |
damages to property located within the municipality or county
|
in which the violation occurred. Where possible and reasonable, |
the community
service should be performed in the offender's |
neighborhood.
|
For the purposes of this
Section, "organized gang" has the |
meaning ascribed to it in Section 10 of the
Illinois Streetgang |
Terrorism Omnibus Prevention Act.
|
(c) The court may in addition to other reasonable |
conditions
relating to the nature of the offense or the |
rehabilitation of the
defendant as determined for each |
defendant in the proper discretion of
the court require that |
the person:
|
(1) make a report to and appear in person before or |
participate with
the court or such courts, person, or |
social service agency as directed
by the court in the order |
of supervision;
|
(2) pay a fine and costs;
|
(3) work or pursue a course of study or vocational |
|
training;
|
(4) undergo medical, psychological or psychiatric |
treatment; or
treatment for drug addiction or alcoholism;
|
(5) attend or reside in a facility established for the |
instruction
or residence of defendants on probation;
|
(6) support his dependents;
|
(7) refrain from possessing a firearm or other |
dangerous weapon;
|
(8) and in addition, if a minor:
|
(i) reside with his parents or in a foster home;
|
(ii) attend school;
|
(iii) attend a non-residential program for youth;
|
(iv) contribute to his own support at home or in a |
foster home; or
|
(v) with the consent of the superintendent of the
|
facility, attend an educational program at a facility |
other than the school
in which the
offense was |
committed if he
or she is placed on supervision for a |
crime of violence as
defined in
Section 2 of the Crime |
Victims Compensation Act committed in a school, on the
|
real
property
comprising a school, or within 1,000 feet |
of the real property comprising a
school;
|
(9) make restitution or reparation in an amount not to |
exceed actual
loss or damage to property and pecuniary loss |
or make restitution under Section
5-5-6 to a domestic |
violence shelter. The court shall
determine the amount and |
|
conditions of payment;
|
(10) perform some reasonable public or community |
service;
|
(11) comply with the terms and conditions of an order |
of protection
issued by the court pursuant to the Illinois |
Domestic Violence Act of 1986 or
an order of protection |
issued by the court of another state, tribe, or United
|
States territory.
If the court has ordered the defendant to |
make a report and appear in
person under paragraph (1) of |
this subsection, a copy of the order of
protection shall be |
transmitted to the person or agency so designated
by the |
court;
|
(12) reimburse any "local anti-crime program" as |
defined in Section 7 of
the Anti-Crime Advisory Council Act |
for any reasonable expenses incurred by the
program on the |
offender's case, not to exceed the maximum amount of the
|
fine authorized for the offense for which the defendant was |
sentenced;
|
(13) contribute a reasonable sum of money, not to
|
exceed the maximum amount of the fine authorized for the |
offense for which
the defendant was sentenced, (i) to a |
"local anti-crime program", as defined
in Section 7 of the |
Anti-Crime Advisory Council Act, or (ii) for offenses under |
the jurisdiction of the Department of Natural Resources, to |
the fund established by the Department of Natural Resources |
for the purchase of evidence for investigation purposes and |
|
to conduct investigations as outlined in Section 805-105 of |
the Department of Natural Resources (Conservation) Law;
|
(14) refrain from entering into a designated |
geographic area except
upon such terms as the court finds |
appropriate. Such terms may include
consideration of the |
purpose of the entry, the time of day, other persons
|
accompanying the defendant, and advance approval by a |
probation officer;
|
(15) refrain from having any contact, directly or |
indirectly, with
certain specified persons or particular |
types of person, including but not
limited to members of |
street gangs and drug users or dealers;
|
(16) refrain from having in his or her body the |
presence of any illicit
drug prohibited by the Cannabis |
Control Act, the Illinois Controlled
Substances Act, or the |
Methamphetamine Control and Community Protection Act, |
unless prescribed by a physician, and submit samples of
his |
or her blood or urine or both for tests to determine the |
presence of any
illicit drug;
|
(17) refrain from operating any motor vehicle not |
equipped with an
ignition interlock device as defined in |
Section 1-129.1 of the Illinois
Vehicle Code; under this |
condition the court may allow a defendant who is not
|
self-employed to operate a vehicle owned by the defendant's |
employer that is
not equipped with an ignition interlock |
device in the course and scope of the
defendant's |
|
employment; and
|
(18) if placed on supervision for a sex offense as |
defined in subsection (a-5) of Section 3-1-2 of this Code, |
unless the offender is a parent or guardian of the person |
under 18 years of age present in the home and no |
non-familial minors are present, not participate in a |
holiday event involving
children
under 18 years of age, |
such as distributing candy or other items to children on
|
Halloween,
wearing a Santa Claus costume on or preceding |
Christmas, being employed as a
department store Santa |
Claus, or wearing an Easter Bunny costume on or
preceding
|
Easter. |
(c-5) If payment of restitution as ordered has not been |
made, the victim shall file a
petition notifying the sentencing |
court, any other person to whom restitution is owed, and
the |
State's Attorney of the status of the ordered restitution |
payments unpaid at least 90
days before the supervision |
expiration date. If payment as ordered has not been made, the
|
court shall hold a review hearing prior to the expiration date, |
unless the hearing
is voluntarily waived by the defendant with |
the knowledge that waiver may result in an
extension of the |
supervision period or in a revocation of supervision. If the |
court does not
extend supervision, it shall issue a judgment |
for the unpaid restitution and direct the clerk
of the circuit |
court to file and enter the judgment in the judgment and lien |
docket, without
fee, unless it finds that the victim has |
|
recovered a judgment against the
defendant for the amount |
covered by the restitution order. If the court issues a
|
judgment for the unpaid restitution, the court shall send to |
the defendant at his or her last known
address written |
notification that a civil judgment has been issued for the |
unpaid
restitution. |
(d) The court shall defer entering any judgment on the |
charges
until the conclusion of the supervision.
|
(e) At the conclusion of the period of supervision, if the |
court
determines that the defendant has successfully complied |
with all of the
conditions of supervision, the court shall |
discharge the defendant and
enter a judgment dismissing the |
charges.
|
(f) Discharge and dismissal upon a successful conclusion of |
a
disposition of supervision shall be deemed without |
adjudication of guilt
and shall not be termed a conviction for |
purposes of disqualification or
disabilities imposed by law |
upon conviction of a crime. Two years after the
discharge and |
dismissal under this Section, unless the disposition of
|
supervision was for a violation of Sections 3-707, 3-708, |
3-710, 5-401.3, or 11-503 of the Illinois Vehicle Code or a |
similar
provision of a local ordinance, or for a violation of |
Sections 12-3.2, 16-25,
or 16A-3 of the Criminal Code of 1961 |
or the Criminal Code of 2012, in which case it shall be 5
years |
after discharge and dismissal, a person may have his record
of |
arrest sealed or expunged as may be provided by law. However, |
|
any
defendant placed on supervision before January 1, 1980, may |
move for
sealing or expungement of his arrest record, as |
provided by law, at any
time after discharge and dismissal |
under this Section.
A person placed on supervision for a sexual |
offense committed against a minor
as defined in clause |
(a)(1)(L) of Section 5.2 of the Criminal Identification Act
or |
for a violation of Section 11-501 of the Illinois Vehicle Code |
or a
similar provision of a local ordinance
shall not have his |
or her record of arrest sealed or expunged.
|
(g) A defendant placed on supervision and who during the |
period of
supervision undergoes mandatory drug or alcohol |
testing, or both, or is
assigned to be placed on an approved |
electronic monitoring device, shall be
ordered to pay the costs |
incidental to such mandatory drug or alcohol
testing, or both, |
and costs incidental to such approved electronic
monitoring in |
accordance with the defendant's ability to pay those costs.
The |
county board with the concurrence of the Chief Judge of the |
judicial
circuit in which the county is located shall establish |
reasonable fees for
the cost of maintenance, testing, and |
incidental expenses related to the
mandatory drug or alcohol |
testing, or both, and all costs incidental to
approved |
electronic monitoring, of all defendants placed on |
supervision.
The concurrence of the Chief Judge shall be in the |
form of an
administrative order.
The fees shall be collected by |
the clerk of the circuit court. The clerk of
the circuit court |
shall pay all moneys collected from these fees to the county
|
|
treasurer who shall use the moneys collected to defray the |
costs of
drug testing, alcohol testing, and electronic |
monitoring.
The county treasurer shall deposit the fees |
collected in the
county working cash fund under Section 6-27001 |
or Section 6-29002 of the
Counties Code, as the case may be.
|
(h) A disposition of supervision is a final order for the |
purposes
of appeal.
|
(i) The court shall impose upon a defendant placed on |
supervision
after January 1, 1992 or to community service under |
the supervision of a
probation or court services department |
after January 1, 2004, as a condition
of supervision or |
supervised community service, a fee of $50 for
each month of |
supervision or supervised community service ordered by the
|
court, unless after
determining the inability of the person |
placed on supervision or supervised
community service to pay |
the
fee, the court assesses a lesser fee. The court may not |
impose the fee on a
minor who is made a ward of the State under |
the Juvenile Court Act of 1987
while the minor is in placement.
|
The fee shall be imposed only upon a
defendant who is actively |
supervised by the
probation and court services
department. The |
fee shall be collected by the clerk of the circuit court.
The |
clerk of the circuit court shall pay all monies collected from |
this fee
to the county treasurer for deposit in the probation |
and court services
fund pursuant to Section 15.1 of the |
Probation and
Probation Officers Act.
|
A circuit court may not impose a probation fee in excess of |
|
$25
per month unless the circuit court has adopted, by |
administrative
order issued by the chief judge, a standard |
probation fee guide
determining an offender's ability to pay. |
Of the
amount collected as a probation fee, not to exceed $5 of |
that fee
collected per month may be used to provide services to |
crime victims
and their families. |
The Court may only waive probation fees based on an |
offender's ability to pay. The probation department may |
re-evaluate an offender's ability to pay every 6 months, and, |
with the approval of the Director of Court Services or the |
Chief Probation Officer, adjust the monthly fee amount. An |
offender may elect to pay probation fees due in a lump sum.
Any |
offender that has been assigned to the supervision of a |
probation department, or has been transferred either under |
subsection (h) of this Section or under any interstate compact, |
shall be required to pay probation fees to the department |
supervising the offender, based on the offender's ability to |
pay.
|
(j) All fines and costs imposed under this Section for any
|
violation of Chapters 3, 4, 6, and 11 of the Illinois Vehicle |
Code, or a
similar provision of a local ordinance, and any |
violation of the Child
Passenger Protection Act, or a similar |
provision of a local ordinance, shall
be collected and |
disbursed by the circuit clerk as provided under Section
27.5 |
of the Clerks of Courts Act.
|
(k) A defendant at least 17 years of age who is placed on |
|
supervision
for a misdemeanor in a county of 3,000,000 or more |
inhabitants
and who has not been previously convicted of a |
misdemeanor or felony
may as a condition of his or her |
supervision be required by the court to
attend educational |
courses designed to prepare the defendant for a high school
|
diploma and to work toward a high school diploma or to work |
toward passing high school equivalency testing or to work
|
toward completing a vocational training program approved by the |
court. The
defendant placed on supervision must attend a public |
institution of education
to obtain the educational or |
vocational training required by this subsection
(k). The |
defendant placed on supervision shall be required to pay for |
the cost
of the educational courses or high school equivalency |
testing if a fee is charged for those courses
or testing. The |
court shall revoke the supervision of a person who wilfully |
fails
to comply with this subsection (k). The court shall |
resentence the defendant
upon revocation of supervision as |
provided in Section 5-6-4. This subsection
(k) does not apply |
to a defendant who has a high school diploma or has
|
successfully passed high school equivalency testing. This |
subsection (k) does not apply to a
defendant who is determined |
by the court to be developmentally disabled or
otherwise |
mentally incapable of completing the
educational or vocational |
program.
|
(l) The court shall require a defendant placed on |
supervision for
possession of a substance
prohibited by the |
|
Cannabis Control Act, the Illinois Controlled Substances Act, |
or the Methamphetamine Control and Community Protection Act
|
after a previous conviction or disposition of supervision for |
possession of a
substance prohibited by the Cannabis Control |
Act, the Illinois Controlled
Substances Act, or the |
Methamphetamine Control and Community Protection Act or a |
sentence of probation under Section 10 of the Cannabis
Control |
Act or Section 410 of the Illinois Controlled Substances Act
|
and after a finding by the court that the person is addicted, |
to undergo
treatment at a substance abuse program approved by |
the court.
|
(m) The Secretary of State shall require anyone placed on |
court supervision
for a
violation of Section 3-707 of the |
Illinois Vehicle Code or a similar provision
of a local |
ordinance
to give proof of his or her financial
responsibility |
as
defined in Section 7-315 of the Illinois Vehicle Code. The |
proof shall be
maintained by the individual in a manner |
satisfactory to the Secretary of State
for
a
minimum period of |
3 years after the date the proof is first filed.
The proof |
shall be limited to a single action per arrest and may not be
|
affected by any post-sentence disposition. The Secretary of |
State shall
suspend the driver's license of any person
|
determined by the Secretary to be in violation of this |
subsection. |
(n) Any offender placed on supervision for any offense that |
the court or probation department has determined to be sexually |
|
motivated as defined in the Sex Offender Management Board Act |
shall be required to refrain from any contact, directly or |
indirectly, with any persons specified by the court and shall |
be available for all evaluations and treatment programs |
required by the court or the probation department.
|
(o) An offender placed on supervision for a sex offense as |
defined in the Sex Offender
Management Board Act shall refrain |
from residing at the same address or in the same condominium |
unit or apartment unit or in the same condominium complex or |
apartment complex with another person he or she knows or |
reasonably should know is a convicted sex offender or has been |
placed on supervision for a sex offense. The provisions of this |
subsection (o) do not apply to a person convicted of a sex |
offense who is placed in a Department of Corrections licensed |
transitional housing facility for sex offenders. |
(p) An offender placed on supervision for an offense |
committed on or after June 1, 2008
(the effective date of |
Public Act 95-464)
that would qualify the accused as a child |
sex offender as defined in Section 11-9.3 or 11-9.4 of the |
Criminal Code of 1961 or the Criminal Code of 2012 shall |
refrain from communicating with or contacting, by means of the |
Internet, a person who is not related to the accused and whom |
the accused reasonably believes to be under 18 years of age. |
For purposes of this subsection (p), "Internet" has the meaning |
ascribed to it in Section 16-0.1 of the Criminal Code of 2012; |
and a person is not related to the accused if the person is |
|
not: (i) the spouse, brother, or sister of the accused; (ii) a |
descendant of the accused; (iii) a first or second cousin of |
the accused; or (iv) a step-child or adopted child of the |
accused.
|
(q) An offender placed on supervision for an offense |
committed on or after June 1, 2008
(the effective date of |
Public Act 95-464)
that would qualify the accused as a child |
sex offender as defined in Section 11-9.3 or 11-9.4 of the |
Criminal Code of 1961 or the Criminal Code of 2012 shall, if so |
ordered by the court, refrain from communicating with or |
contacting, by means of the Internet, a person who is related |
to the accused and whom the accused reasonably believes to be |
under 18 years of age. For purposes of this subsection (q), |
"Internet" has the meaning ascribed to it in Section 16-0.1 of |
the Criminal Code of 2012; and a person is related to the |
accused if the person is: (i) the spouse, brother, or sister of |
the accused; (ii) a descendant of the accused; (iii) a first or |
second cousin of the accused; or (iv) a step-child or adopted |
child of the accused.
|
(r) An offender placed on supervision for an offense under |
Section 11-6, 11-9.1, 11-14.4 that involves soliciting for a |
juvenile prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or |
11-21 of the Criminal Code of 1961 or the Criminal Code of |
2012, or any attempt to commit any of these offenses, committed |
on or after the effective date of this amendatory Act of the |
95th General Assembly shall: |
|
(i) not access or use a computer or any other device |
with Internet capability without the prior written |
approval of the court, except in connection with the |
offender's employment or search for employment with the |
prior approval of the court; |
(ii) submit to periodic unannounced examinations of |
the offender's computer or any other device with Internet |
capability by the offender's probation officer, a law |
enforcement officer, or assigned computer or information |
technology specialist, including the retrieval and copying |
of all data from the computer or device and any internal or |
external peripherals and removal of such information, |
equipment, or device to conduct a more thorough inspection; |
(iii) submit to the installation on the offender's |
computer or device with Internet capability, at the |
offender's expense, of one or more hardware or software |
systems to monitor the Internet use; and |
(iv) submit to any other appropriate restrictions |
concerning the offender's use of or access to a computer or |
any other device with Internet capability imposed by the |
court. |
(s) An offender placed on supervision for an offense that |
is a sex offense as defined in Section 2 of the Sex Offender |
Registration Act that is committed on or after January 1, 2010 |
(the effective date of Public Act 96-362) that requires the |
person to register as a sex offender under that Act, may not |
|
knowingly use any computer scrub software on any computer that |
the sex offender uses. |
(t) An offender placed on supervision for a sex offense as |
defined in the Sex Offender
Registration Act committed on or |
after January 1, 2010 (the effective date of Public Act 96-262) |
shall refrain from accessing or using a social networking |
website as defined in Section 17-0.5 of the Criminal Code of |
2012. |
(u) Jurisdiction over an offender may be transferred from |
the sentencing court to the court of another circuit with the |
concurrence of both courts. Further transfers or retransfers of |
jurisdiction are also authorized in the same manner. The court |
to which jurisdiction has been transferred shall have the same |
powers as the sentencing court. The probation department within |
the circuit to which jurisdiction has been transferred may |
impose probation fees upon receiving the transferred offender, |
as provided in subsection (i). The probation department from |
the original sentencing court shall retain all probation fees |
collected prior to the transfer. |
(Source: P.A. 97-454, eff. 1-1-12; 97-597, eff. 1-1-12; |
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-718, eff. |
1-1-15; 98-940, eff. 1-1-15; revised 10-1-14.)
|
Section 565. The Code of Civil Procedure is amended by |
changing Sections 2-1401, 3-102, and 12-654 as follows:
|
|
(735 ILCS 5/2-1401) (from Ch. 110, par. 2-1401)
|
Sec. 2-1401. Relief from judgments.
|
(a) Relief from final orders and judgments, after 30 days |
from the
entry thereof, may be had upon petition as provided in |
this Section.
Writs of error coram nobis and coram vobis, bills |
of review and bills
in the nature of bills of review are |
abolished. All relief heretofore
obtainable and the grounds for |
such relief heretofore available,
whether by any of the |
foregoing remedies or otherwise, shall be
available in every |
case, by proceedings hereunder, regardless of the
nature of the |
order or judgment from which relief is sought or of the
|
proceedings in which it was entered. Except as provided in the |
Illinois Parentage Act of 2015, there shall be no distinction
|
between actions and other proceedings, statutory or otherwise, |
as to
availability of relief, grounds for relief or the relief |
obtainable.
|
(b) The petition must be filed in the same proceeding in |
which the
order or judgment was entered but is not a |
continuation thereof. The
petition must be supported by |
affidavit or other appropriate showing as
to matters not of |
record. All parties to the petition shall be notified
as |
provided by rule.
|
(b-5) A movant may present a meritorious claim under this |
Section if the allegations in the petition establish each of |
the following by a preponderance of the evidence: |
(1) the movant was convicted of a forcible felony; |
|
(2) the movant's participation in the offense was |
related to him or her previously having been a victim of |
domestic violence as perpetrated by an intimate partner; |
(3) no evidence of domestic violence against the movant |
was presented at the movant's sentencing hearing; |
(4) the movant was unaware of the mitigating nature of |
the evidence of the domestic violence at the time of |
sentencing and could not have learned of its significance |
sooner through diligence; and |
(5) the new evidence of domestic violence against the |
movant is material and noncumulative to other evidence |
offered at the sentencing hearing, and is of such a |
conclusive character that it would likely change the |
sentence imposed by the original trial court. |
Nothing in this subsection (b-5) shall prevent a movant |
from applying for any other relief under this Section or any |
other law otherwise available to him or her. |
As used in this subsection (b-5): |
"Domestic violence" means abuse as defined in Section |
103
of the Illinois Domestic Violence Act of 1986. |
"Forcible felony" has the meaning ascribed to the term |
in
Section 2-8 of the Criminal Code of 2012. |
"Intimate partner" means a spouse or former spouse, |
persons
who have or allegedly have had a child in common, |
or persons who
have or have had a dating or engagement |
relationship. |
|
(c) Except as provided in Section 20b of the Adoption Act |
and Section
2-32 of the Juvenile Court Act of 1987 or in a |
petition based
upon Section 116-3 of the Code of Criminal |
Procedure of 1963, the petition
must be filed not later than 2 |
years after the entry of the order or judgment.
Time during |
which the person seeking relief is under legal disability or
|
duress or the ground for relief is fraudulently concealed shall |
be excluded
in computing the period of 2 years.
|
(d) The filing of a petition under this Section does not |
affect the
order or judgment, or suspend its operation.
|
(e) Unless lack of jurisdiction affirmatively appears from |
the
record proper, the vacation or modification of an order or |
judgment
pursuant to the provisions of this Section does not |
affect the right,
title or interest in or to any real or |
personal property of any person,
not a party to the original |
action, acquired for value after the entry
of the order or |
judgment but before the filing of the petition, nor
affect any |
right of any person not a party to the original action under
|
any certificate of sale issued before the filing of the |
petition,
pursuant to a sale based on the order or judgment.
|
(f) Nothing contained in this Section affects any existing |
right to
relief from a void order or judgment, or to employ any |
existing method
to procure that relief.
|
(Source: P.A. 99-85, eff. 1-1-16; 99-384, eff. 1-1-16; revised |
10-19-15.)
|
|
(735 ILCS 5/3-102) (from Ch. 110, par. 3-102)
|
Sec. 3-102. Scope of Article. This Article III of this Act |
shall apply to and
govern every action to review judicially a |
final decision of any administrative
agency where the Act |
creating or conferring power on such agency, by express
|
reference, adopts the provisions of this Article III of this |
Act or its predecessor,
the Administrative Review Act. This |
Article shall be known as the
"Administrative Review Law". In |
all such cases, any other statutory, equitable
or common law |
mode of review of decisions of administrative agencies |
heretofore
available shall not hereafter be employed.
|
Unless review is sought of an administrative decision |
within the time
and in the manner herein provided, the parties |
to the proceeding before
the administrative agency shall be |
barred from obtaining judicial review
of such administrative |
decision. In an action to review any final
decision of any |
administrative agency brought under this Article III, if a
|
judgment is reversed or entered against the plaintiff, or the |
action is
voluntarily dismissed by the plaintiff, or the action |
is dismissed for want
of prosecution, or the action is |
dismissed by a United States District
Court for lack of |
jurisdiction, neither the plaintiff nor his or her heirs,
|
executors, or administrators may commence a new action within |
one year or
within the remaining period of limitation, |
whichever is greater. All
proceedings in the court for revision |
of such final decision shall terminate
upon the date of the |
|
entry of any Order under either Section 2-1009 or
Section |
13-217. Such Order shall cause the final administrative |
decision of
any administrative agency to become immediately |
enforceable. If under the
terms of the Act governing the |
procedure before an administrative agency an
administrative |
decision has become final because of the failure to file any
|
document in the nature of objections, protests, petition for |
hearing or
application for administrative review within the |
time allowed by such Act, such
decision shall not be subject to |
judicial review hereunder excepting only for
the purpose of |
questioning the jurisdiction of the administrative agency over
|
the person or subject matter.
|
(Source: P.A. 88-1; revised 10-19-15.)
|
(735 ILCS 5/12-654) (from Ch. 110, par. 12-654)
|
Sec. 12-654. Stay.
|
(a) If the judgment debtor shows the circuit court that an |
appeal from
the foreign judgment is pending or will be taken, |
or that a stay of
execution has been granted, the court shall |
stay enforcement of the foreign
judgment until the appeal is |
concluded, the time for appeal expires, or the
stay of |
execution expires or is vacated, upon proof that the judgment
|
debtor has furnished the security for the satisfaction of the |
judgment
required by the state in which it is was rendered.
|
(b) If the judgment debtor shows the circuit court any |
ground upon which
enforcement of a judgment of any circuit |
|
court for any county of this State
would be stayed, the court |
shall stay enforcement of the foreign judgment
for an |
appropriate period, upon requiring the same security for
|
satisfaction of the judgment which is required in this State.
|
(Source: P.A. 87-358; 87-895; revised 10-19-15.)
|
Section 570. The Mental Health and Developmental |
Disabilities Confidentiality Act is amended by changing |
Section 12 as follows:
|
(740 ILCS 110/12) (from Ch. 91 1/2, par. 812)
|
Sec. 12. (a) If the United States Secret Service or the |
Department of
State Police requests information from a mental |
health or developmental
disability facility, as defined in |
Section 1-107 and 1-114 of the Mental
Health and Developmental |
Disabilities Code, relating to a specific
recipient and the |
facility director determines that disclosure of such
|
information may be necessary to protect the life of, or to |
prevent
the infliction of great bodily harm to, a public |
official,
or a person under the protection of the United
States |
Secret Service, only the following information
may be |
disclosed: the recipient's name, address, and age and the date |
of
any admission to or discharge from a facility; and any |
information which
would indicate whether or not the recipient |
has a history of violence or
presents a danger of violence to |
the person under protection. Any information
so disclosed shall |
|
be used for investigative purposes only and shall not
be |
publicly disseminated.
Any person participating in good faith |
in the disclosure of such
information in accordance with this |
provision shall have immunity from any
liability, civil, |
criminal or otherwise, if such information is disclosed
relying |
upon the representation of an officer of the United States |
Secret
Service or the Department of State Police that a person |
is under the
protection of the United States Secret Service or |
is a public official.
|
For the purpose of this subsection (a), the term "public |
official" means
the Governor, Lieutenant Governor, Attorney |
General, Secretary of State,
State Comptroller, State |
Treasurer, member of the General Assembly, member of the United |
States Congress, Judge of the United States as defined in 28 |
U.S.C. 451, Justice of the United States as defined in 28 |
U.S.C. 451, United States Magistrate Judge as defined in 28 |
U.S.C. 639, Bankruptcy Judge appointed under 28 U.S.C. 152, or |
Supreme, Appellate, Circuit, or Associate Judge of the State of |
Illinois. The
term shall also include the spouse, child or |
children of a public official.
|
(b) The Department of Human Services (acting as successor |
to the
Department of Mental Health and Developmental |
Disabilities) and all
public or private hospitals and mental |
health facilities are required, as hereafter described in this |
subsection,
to furnish the Department of State Police only such |
information as may
be required for the sole purpose of |
|
determining whether an individual who
may be or may have been a |
patient is disqualified because of that status
from receiving |
or retaining a Firearm Owner's Identification Card or falls |
within the federal prohibitors under subsection (e), (f), (g), |
(r), (s), or (t) of Section 8 of the Firearm Owners |
Identification Card Act, or falls within the federal |
prohibitors in 18 U.S.C. 922(g) and (n). All physicians, |
clinical psychologists, or qualified examiners at public or |
private mental health facilities or parts thereof as defined in |
this subsection shall, in the form and manner required
by the |
Department, provide notice directly to the Department of Human |
Services, or to his or her employer who shall then report to |
the Department, within 24 hours after determining that a person |
poses a clear and present danger to himself, herself, or |
others, or within 7 days after a person 14 years or older is |
determined to be a person with a developmental disability by a |
physician, clinical psychologist, or qualified examiner as |
described in Section 1.1 of the Firearm Owners Identification |
Card Act. If a person is a patient as described in clause (1) |
of the definition of "patient" in Section 1.1 of the Firearm |
Owners Identification Card Act, this information shall be |
furnished within 7 days after
admission to a public or private |
hospital or mental health facility or the provision of |
services. Any such information disclosed under
this subsection |
shall
remain privileged and confidential, and shall not be |
redisclosed, except as required by subsection (e) of Section |
|
3.1 of the Firearm Owners Identification Card Act, nor utilized
|
for any other purpose. The method of requiring the providing of |
such
information shall guarantee that no information is |
released beyond what
is necessary for this purpose. In |
addition, the information disclosed
shall be provided
by the |
Department within the time period established by Section 24-3 |
of the
Criminal Code of 2012 regarding the delivery of |
firearms. The method used
shall be sufficient to provide the |
necessary information within the
prescribed time period, which |
may include periodically providing
lists to the Department of |
Human Services
or any public or private hospital or mental |
health facility of Firearm Owner's Identification Card |
applicants
on which the Department or hospital shall indicate |
the identities of those
individuals who are to its knowledge |
disqualified from having a Firearm
Owner's Identification Card |
for reasons described herein. The Department
may provide for a |
centralized source
of information for the State on this subject |
under its jurisdiction. The identity of the person reporting |
under this subsection shall not be disclosed to the subject of |
the report. For the purposes of this subsection, the physician, |
clinical psychologist, or qualified examiner making the |
determination and his or her employer shall not be held |
criminally, civilly, or professionally liable for making or not |
making the notification required under this subsection, except |
for willful or wanton misconduct.
|
Any person, institution, or agency, under this Act, |
|
participating in
good faith in the reporting or disclosure of |
records and communications
otherwise in accordance with this |
provision or with rules, regulations or
guidelines issued by |
the Department shall have immunity from any
liability, civil, |
criminal or otherwise, that might result by reason of the
|
action. For the purpose of any proceeding, civil or criminal,
|
arising out of a report or disclosure in accordance with this |
provision,
the good faith of any person,
institution, or agency |
so reporting or disclosing shall be presumed. The
full extent |
of the immunity provided in this subsection (b) shall apply to
|
any person, institution or agency that fails to make a report |
or disclosure
in the good faith belief that the report or |
disclosure would violate
federal regulations governing the |
confidentiality of alcohol and drug abuse
patient records |
implementing 42 U.S.C. 290dd-3 and 290ee-3.
|
For purposes of this subsection (b) only, the following |
terms shall have
the meaning prescribed:
|
(1) (Blank).
|
(1.3) "Clear and present danger" has the meaning as |
defined in Section 1.1 of the Firearm Owners Identification |
Card Act. |
(1.5) "Person with a developmental disability" has the |
meaning as defined in Section 1.1 of the Firearm Owners |
Identification Card Act.
|
(2) "Patient" has the meaning as defined in Section 1.1 |
of the Firearm Owners Identification Card Act.
|
|
(3) "Mental health facility" has the meaning as defined |
in Section 1.1 of the Firearm Owners Identification Card |
Act.
|
(c) Upon the request of a peace officer who takes a person |
into custody
and transports such person to a mental health or |
developmental disability
facility pursuant to Section 3-606 or |
4-404 of the Mental Health and
Developmental Disabilities Code |
or who transports a person from such facility,
a facility |
director shall furnish said peace officer the name, address, |
age
and name of the nearest relative of the person transported |
to or from the
mental health or developmental disability |
facility. In no case shall the
facility director disclose to |
the peace officer any information relating to the
diagnosis, |
treatment or evaluation of the person's mental or physical |
health.
|
For the purposes of this subsection (c), the terms "mental |
health or
developmental disability facility", "peace officer" |
and "facility director"
shall have the meanings ascribed to |
them in the Mental Health and
Developmental Disabilities Code.
|
(d) Upon the request of a peace officer or prosecuting |
authority who is
conducting a bona fide investigation of a |
criminal offense, or attempting to
apprehend a fugitive from |
justice,
a facility director may disclose whether a person is |
present at the facility.
Upon request of a peace officer or |
prosecuting authority who has a valid
forcible felony warrant |
issued, a facility director shall disclose: (1) whether
the |
|
person who is the subject of the warrant is present at the |
facility and (2)
the
date of that person's discharge or future |
discharge from the facility.
The requesting peace officer or |
prosecuting authority must furnish a case
number and the |
purpose of the investigation or an outstanding arrest warrant |
at
the time of the request. Any person, institution, or agency
|
participating in good faith in disclosing such information in |
accordance with
this subsection (d) is immune from any |
liability, civil, criminal or
otherwise, that might result by |
reason of the action.
|
(Source: P.A. 98-63, eff. 7-9-13; 99-29, eff. 7-10-15; 99-143, |
eff. 7-27-15; revised 10-22-15.)
|
Section 575. The Premises Liability Act is amended by |
changing Section 4.1 as follows:
|
(740 ILCS 130/4.1)
|
Sec. 4.1. Off-road riding facilities; liability.
|
(a) As used in this Section, "off-road riding
facility" |
means:
|
(1) an area of land, consisting of a closed course, |
designed for
use of off-highway vehicles in events such as, |
but not limited to, dirt track,
short track, flat track, |
speedway, drag racing, grand prix, hare scrambles,
hill
|
climb, ice racing, observed trails, mud and snow scrambles, |
tractor pulls,
sled pulls, truck pulls, mud runs, or other |
|
contests of a side-by-side nature
in
a
sporting event for |
practice, instruction, testing, or competition of
|
off-highway
vehicles; or
|
(2) a thoroughfare or track across land or snow used |
for
off-highway motorcycles or all-terrain vehicles.
|
(b) An owner or operator of an off-road riding facility in |
existence on
January 1, 2002 is immune from any criminal |
liability arising out of or as a
consequence of noise or sound |
emissions resulting from the use of
the off-road riding |
facility.
An owner or operator of an a off-road
riding facility |
is not subject to any
action for public or private nuisance or |
trespass, and no court in this State
may enjoin the use or |
operation of an a off-road riding facility
on the basis of |
noise or sound emissions resulting from the
use of the off-road |
riding facility.
|
(c) An owner or operator of an a off-road riding facility |
placed in operation
after January 1, 2002 is immune from any |
criminal liability and is not subject
to
any action for public |
or private nuisance or trespass arising out of or as a
|
consequence of noise or sound emissions resulting from the use |
of
the off-road riding facility, if the off-road riding |
facility conforms to any
one of
the following requirements:
|
(1) All areas from which an off-road vehicle may be |
properly operated
are at least 1,000 feet from any occupied |
permanent dwelling on
adjacent property at the time the |
facility was placed into operation.
|
|
(2) The off-road riding facility is situated on land |
otherwise subject to
land use zoning, and the off-road |
riding facility was not prohibited by
the zoning authority |
at the time the facility was placed into operation.
|
(3) The off-road riding facility is operated by a |
governmental
entity or
the off-road riding facility was the |
recipient of grants
under the Recreational Trails of |
Illinois Act.
|
(d) The civil immunity in subsection (c) does not apply if |
there is
willful or wanton misconduct outside the normal use of |
the off-road riding
facility.
|
(Source: P.A. 98-847, eff. 1-1-15; revised 10-19-15.)
|
Section 580. The Illinois Marriage and Dissolution of |
Marriage Act is amended by changing Section 513 as follows:
|
(750 ILCS 5/513) (from Ch. 40, par. 513)
|
Sec. 513. Educational Expenses for a Non-minor Child.
|
(a) The court may award sums of money out of the property |
and income of
either or both parties or the estate of a |
deceased parent, as equity may
require, for the educational |
expenses of any child of the parties. Unless otherwise agreed |
to by the parties, all educational expenses which are the |
subject of a petition brought pursuant to this Section shall be |
incurred no later than the student's 23rd birthday, except for |
good cause shown, but in no event later than the child's 25th |
|
birthday. |
(b) Regardless of whether an award has been made under |
subsection (a), the court may require both parties and the |
child to complete the Free Application for Federal Student Aid |
(FAFSA) and other financial aid forms and to submit any form of |
that type prior to the designated submission deadline for the |
form. The court may require either or both parties to provide |
funds for the child so as to pay for the cost of up to 5 college |
applications, the cost of 2 standardized college entrance |
examinations, and the cost of one standardized college entrance |
examination preparatory course. |
(c) The authority under this Section to make provision for |
educational expenses extends not only to periods of college |
education or vocational or professional or other training after |
graduation from high school, but also to any period during |
which the child of the parties is still attending high school, |
even though he or she attained the age of 19. |
(d) Educational expenses may include, but shall not be |
limited to, the following: |
(1) except for good cause shown, the actual cost of the |
child's post-secondary expenses, including tuition and |
fees, provided that the cost for tuition and fees does not |
exceed the amount of tuition and fees paid by a student at |
the University of Illinois at Urbana-Champaign for the same |
academic year; |
(2) except for good cause shown, the actual costs of |
|
the child's housing expenses, whether on-campus or |
off-campus, provided that the housing expenses do not |
exceed the cost for the same academic year of a |
double-occupancy student room, with a standard meal plan, |
in a residence hall operated by the University of Illinois |
at Urbana-Champaign; |
(3) the actual costs of the child's medical expenses, |
including medical insurance, and dental expenses; |
(4) the reasonable living expenses of the child during |
the academic year and periods of recess: |
(A) if the child is a resident student attending a |
post-secondary educational program; or |
(B) if the child is living with one party at that |
party's home and attending a post-secondary |
educational program as a non-resident student, in |
which case the living expenses include an amount that |
pays for the reasonable cost of the child's food, |
utilities, and transportation; and |
(5) the cost of books and other supplies necessary to |
attend college. |
(e) Sums may be ordered payable to the child, to either |
party, or to the educational institution, directly or through a |
special account or trust created for that purpose, as the court |
sees fit. |
(f) If educational expenses are ordered payable, each party |
and the child shall sign any consent necessary for the |
|
educational institution to provide a supporting party with |
access to the child's academic transcripts, records, and grade |
reports. The consent shall not apply to any non-academic |
records. Failure to execute the required consent may be a basis |
for a modification or termination of any order entered under |
this Section. Unless the court specifically finds that the |
child's safety would be jeopardized, each party is entitled to |
know the name of the educational institution the child attends. |
(g) The authority under this Section to make provision for |
educational expenses terminates when the child either: fails to |
maintain a cumulative "C" grade point average, except in the |
event of illness or other good cause shown; attains the age of |
23; receives a baccalaureate degree; or marries. A child's |
enlisting in the armed forces, being incarcerated, or becoming |
pregnant does not terminate the court's authority to make |
provisions for the educational expenses for the child under |
this Section. |
(h) An account established prior to the dissolution that is |
to be used for the child's post-secondary education, that is an |
account in a state tuition program under Section 529 of the |
Internal Revenue Code, or that is some other college savings |
plan, is to be considered by the court to be a resource of the |
child, provided that any post-judgment contribution made by a |
party to such an account is to be considered a contribution |
from that party. |
(i) The child is not a third party beneficiary to the |
|
settlement agreement or judgment between the parties after |
trial and is not entitled to file a petition for contribution. |
If the parties' settlement agreement describes the manner in |
which a child's educational expenses will be paid, or if the |
court makes an award pursuant to this Section, then the parties |
are responsible pursuant to that agreement or award for the |
child's educational expenses, but in no event shall the court |
consider the child a third party beneficiary of that provision. |
In the event of the death or legal disability of a party who |
would have the right to file a petition for contribution, the |
child of the party may file a petition for contribution. a |
person with a mental or physical disability a person with a |
mental or physical disability
|
(j) In making awards under this Section, or
pursuant to a |
petition or motion to decrease, modify, or terminate any such
|
award, the court shall consider all relevant factors that |
appear reasonable
and necessary, including:
|
(1) The present and future financial resources of both |
parties to meet their needs, including, but not limited to, |
savings for retirement.
|
(2) The standard of living the child would have enjoyed |
had the marriage not been dissolved.
|
(3) The financial resources of the child.
|
(4) The child's academic performance.
|
(k) The establishment of an obligation to pay under this |
Section is retroactive only to the date of filing a petition. |
|
The right to enforce a prior obligation to pay may be enforced |
either before or after the obligation is incurred. |
(Source: P.A. 99-90, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-22-15.)
|
Section 585. The Uniform Interstate Family Support Act is |
amended by changing Section 102 as follows:
|
(750 ILCS 22/102) (was 750 ILCS 22/101)
|
Sec. 102. Definitions. In this Act:
|
(1) "Child" means an individual, whether over or under the
|
age of majority, who is or is alleged to be owed a duty of |
support by the
individual's parent or who is or is alleged to |
be the beneficiary of a
support order directed to the parent.
|
(2) "Child-support order" means a support order for a |
child,
including a child who has attained the age of majority |
under the law of the issuing state or foreign country.
|
(3) "Convention" means the Convention on the International |
Recovery of Child Support and Other Forms of Family |
Maintenance, concluded at The Hague on November 23, 2007. |
(4) "Duty of support" means an obligation imposed or |
imposable
by law to provide support for a child, spouse, or |
former
spouse including an unsatisfied obligation to provide |
support.
|
(5) "Foreign country" means a country, including a |
political subdivision thereof, other than the United States, |
|
that authorizes the issuance of support orders and: |
(A) which has been declared under the law of the United |
States to be a foreign reciprocating country; |
(B) which has established a reciprocal arrangement for |
child support with this State as provided in Section 308; |
(C) which has enacted a law or established procedures |
for the issuance and enforcement of support orders which |
are substantially similar to the procedures under this Act; |
or |
(D) in which the Convention is in force with respect to |
the United States. |
(6) "Foreign support order" means a support order of a |
foreign tribunal. |
(7) "Foreign tribunal" means a court, administrative |
agency, or quasi-judicial entity of a foreign country which is |
authorized to establish, enforce, or modify support orders or |
to determine parentage of a child. The term includes a |
competent authority under the Convention. |
(8) "Home state" means the state or foreign country in |
which a child lived with a
parent or a person acting as parent |
for at least 6 consecutive months
immediately preceding the |
time of filing of a petition or comparable
pleading for |
support, and if a child is less than 6 months old, the state or |
foreign country
in which the child lived from birth with any of |
them. A period of
temporary absence of any of them is counted |
as part of the 6-month or
other period.
|
|
(9) "Income" includes earnings or other periodic |
entitlements to
money from any source and any other property |
subject to withholding for
support under the law of this State.
|
(10) "Income-withholding order" means an order or other |
legal
process directed to an obligor's employer or other |
debtor, as
defined by the Income Withholding for Support Act , |
2015 , to
withhold support from the income of the obligor. |
(11) "Initiating tribunal" means the tribunal of a state or |
foreign country from which a petition or comparable pleading is
|
forwarded or in which a petition or comparable pleading is |
filed for forwarding to another state or foreign country.
|
(12) "Issuing foreign country" means the foreign country in |
which a tribunal issues a support order or a judgment |
determining parentage of a child. |
(13) "Issuing state" means the state in which a tribunal |
issues a
support order or a judgment determining parentage of a |
child.
|
(14) "Issuing tribunal" means the tribunal of a state or |
foreign country that issues a support
order or a judgment |
determining parentage of a child.
|
(15) "Law" includes decisional and statutory law and rules |
and regulations having the force of law. |
(16) "Obligee" means:
|
(A) an individual to whom a duty of support is or is |
alleged to
be owed or in whose favor a support order or a |
judgment
determining parentage of a child has been issued;
|
|
(B) a foreign country, state, or political subdivision |
of a state to which the rights under a
duty of support or |
support order have been assigned or which has
independent |
claims based on financial assistance provided to an
|
individual obligee in place of child support;
|
(C) an individual seeking a judgment determining |
parentage of
the individual's child; or
|
(D) a person that is a creditor in a proceeding under |
Article 7. |
(17) "Obligor" means an individual, or the estate of a |
decedent that:
|
(A) owes or is alleged to owe a duty of support;
|
(B) is alleged but has not been adjudicated to be
a |
parent of a child;
|
(C) is liable under a support order; or
|
(D) is a debtor in a proceeding under Article 7. |
(18) "Outside this State" means a location in another state |
or a country other than the United States, whether or not the |
country is a foreign country. |
(19) "Person" means an individual, corporation, business |
trust, estate, trust,
partnership, limited liability company, |
association, joint venture, public corporation, government or
|
governmental subdivision, agency, or instrumentality, or any
|
other legal or commercial entity.
|
(20) "Record" means information that is inscribed on a |
tangible medium or that
is stored in an electronic or other |
|
medium and is retrievable in perceivable
form.
|
(21) "Register" means to record or file in a tribunal of |
this State a support order or judgment determining parentage of |
a child issued in another state or a foreign country.
|
(22) "Registering tribunal" means a tribunal in which a |
support
order or judgment determining parentage of a child is |
registered.
|
(23) "Responding state" means a state in which a petition |
or comparable pleading for support or to determine parentage of |
a child is filed or to
which a petition or comparable pleading |
is forwarded for filing from another state or a foreign |
country.
|
(24) "Responding tribunal" means the authorized tribunal |
in a responding state or foreign country.
|
(25) "Spousal-support order" means a support order for a |
spouse
or former spouse of the obligor.
|
(26) "State" means a state of the United States, the |
District of Columbia, Puerto
Rico, the United States Virgin |
Islands, or any territory or insular possession under
the |
jurisdiction of the United States. The term includes an Indian |
nation or tribe.
|
(27) "Support enforcement agency" means a public official, |
governmental entity, or private
agency authorized to:
|
(A) seek enforcement of support orders or laws relating |
to the duty
of support;
|
(B) seek establishment or modification of child |
|
support;
|
(C) request determination of parentage of a child;
|
(D) attempt to locate obligors or their assets; or
|
(E) request determination of the controlling |
child-support order.
|
(28) "Support order" means a judgment, decree, order, |
decision, or directive, whether
temporary, final, or subject to |
modification, issued in a state or foreign country for the
|
benefit of a child, a spouse, or a former spouse, which |
provides for monetary
support, health care, arrearages, |
retroactive support, or reimbursement for financial assistance |
provided to an individual obligee in place of child support. |
The term may include related
costs and fees, interest, income |
withholding, automatic adjustment, reasonable attorney's fees, |
and other
relief.
|
(29) "Tribunal" means a court, administrative agency, or
|
quasi-judicial entity authorized to establish, enforce, or
|
modify support orders or to determine parentage of a child.
|
(Source: P.A. 99-78, eff. 7-20-15; 99-85, eff. 1-1-16; 99-119, |
eff. 1-1-16; revised 10-22-15.)
|
Section 590. The Adoption Act is amended by changing |
Sections 1 and 18.06 as follows:
|
(750 ILCS 50/1) (from Ch. 40, par. 1501)
|
Sec. 1. Definitions. When used in this Act, unless the |
|
context
otherwise requires:
|
A. "Child" means a person under legal age subject to |
adoption under
this Act.
|
B. "Related child" means a child subject to adoption where |
either or both of
the adopting parents stands in any of the |
following relationships to the child
by blood, marriage, |
adoption, or civil union: parent, grand-parent, |
great-grandparent, brother, sister, step-parent,
|
step-grandparent, step-brother, step-sister, uncle, aunt, |
great-uncle,
great-aunt, first cousin, or second cousin. A |
person is related to the child as a first cousin or second |
cousin if they are both related to the same ancestor as either |
grandchild or great-grandchild. A child whose parent has |
executed
a consent to adoption, a surrender, or a waiver |
pursuant to Section 10 of this Act or whose parent has signed a |
denial of paternity pursuant to Section 12 of the Vital Records |
Act or Section 12a of this Act, or whose parent has had his or |
her parental rights
terminated, is not a related child to that |
person, unless (1) the consent is
determined to be void or is |
void pursuant to subsection O of Section 10 of this Act;
or (2) |
the parent of the child executed a consent to adoption by a |
specified person or persons pursuant to subsection A-1 of |
Section 10 of this Act and a court of competent jurisdiction |
finds that such consent is void; or (3) the order terminating |
the parental rights of the parent is vacated by a court of |
competent jurisdiction.
|
|
C. "Agency" for the purpose of this Act means a public |
child welfare agency
or a licensed child welfare agency.
|
D. "Unfit person" means any person whom the court shall |
find to be unfit
to have a child, without regard to the |
likelihood that the child will be
placed for adoption. The |
grounds of unfitness are any one or more
of the following, |
except that a person shall not be considered an unfit
person |
for the sole reason that the person has relinquished a child in
|
accordance with the Abandoned Newborn Infant Protection Act:
|
(a) Abandonment of the child.
|
(a-1) Abandonment of a newborn infant in a hospital.
|
(a-2) Abandonment of a newborn infant in any setting |
where the evidence
suggests that the parent intended to |
relinquish his or her parental rights.
|
(b) Failure to maintain a reasonable degree of |
interest, concern or
responsibility as to the child's |
welfare.
|
(c) Desertion of the child for more than 3 months next |
preceding the
commencement of the Adoption proceeding.
|
(d) Substantial neglect
of the
child if continuous or |
repeated.
|
(d-1) Substantial neglect, if continuous or repeated, |
of any child
residing in the household which resulted in |
the death of that child.
|
(e) Extreme or repeated cruelty to the child.
|
(f) There is a rebuttable presumption, which can be |
|
overcome only by clear and convincing evidence, that a |
parent is unfit if:
|
(1) Two or more findings of physical abuse have |
been entered regarding any children under Section 2-21 |
of the Juvenile Court Act
of 1987, the most recent of |
which was determined by the juvenile court
hearing the |
matter to be supported by clear and convincing |
evidence; or |
(2) The parent has been convicted or found not |
guilty by reason of insanity and the conviction or |
finding resulted from the death of any child by |
physical abuse; or
|
(3) There is a finding of physical child abuse |
resulting from the death of any
child under Section |
2-21 of the
Juvenile Court Act of 1987. |
No conviction or finding of delinquency pursuant |
to Article V of the Juvenile Court Act of 1987 shall be |
considered a criminal conviction for the purpose of |
applying any presumption under this item (f).
|
(g) Failure to protect the child from conditions within |
his environment
injurious to the child's welfare.
|
(h) Other neglect of, or misconduct toward the child; |
provided that in
making a finding of unfitness the court |
hearing the adoption proceeding
shall not be bound by any |
previous finding, order or judgment affecting
or |
determining the rights of the parents toward the child |
|
sought to be adopted
in any other proceeding except such |
proceedings terminating parental rights
as shall be had |
under either this Act, the Juvenile Court Act or
the |
Juvenile Court Act of 1987.
|
(i) Depravity. Conviction of any one of the following
|
crimes shall create a presumption that a parent is depraved |
which can be
overcome only by clear and convincing |
evidence:
(1) first degree murder in violation of paragraph |
1 or
2 of subsection (a) of Section 9-1 of the Criminal |
Code of 1961 or the Criminal Code of 2012 or conviction
of |
second degree murder in violation of subsection (a) of |
Section 9-2 of the
Criminal Code of 1961 or the Criminal |
Code of 2012 of a parent of the child to be adopted; (2)
|
first degree murder or second degree murder of any child in
|
violation of the Criminal Code of 1961 or the Criminal Code |
of 2012; (3)
attempt or conspiracy to commit first degree |
murder or second degree murder
of any child in violation of |
the Criminal Code of 1961 or the Criminal Code of 2012; (4)
|
solicitation to commit murder of any child, solicitation to
|
commit murder of any child for hire, or solicitation to |
commit second
degree murder of any child in violation of |
the Criminal Code of 1961 or the Criminal Code of 2012; (5)
|
predatory criminal sexual assault of a child in violation |
of
Section 11-1.40 or 12-14.1 of the Criminal Code of 1961 |
or the Criminal Code of 2012; (6) heinous battery of any |
child in violation of the Criminal Code of 1961; or (7) |
|
aggravated battery of any child in violation of the |
Criminal Code of 1961 or the Criminal Code of 2012.
|
There is a rebuttable presumption that a parent is |
depraved if the parent
has been criminally convicted of at |
least 3 felonies under the laws of this
State or any other |
state, or under federal law, or the criminal laws of any
|
United States territory; and at least
one of these
|
convictions took place within 5 years of the filing of the |
petition or motion
seeking termination of parental rights.
|
There is a rebuttable presumption that a parent is |
depraved if that
parent
has
been criminally convicted of |
either first or second degree murder of any person
as |
defined in the Criminal Code of 1961 or the Criminal Code |
of 2012 within 10 years of the filing date of
the petition |
or motion to terminate parental rights. |
No conviction or finding of delinquency pursuant to |
Article 5 of the Juvenile Court Act of 1987 shall be |
considered a criminal conviction for the purpose of |
applying any presumption under this item (i).
|
(j) Open and notorious adultery or fornication.
|
(j-1) (Blank).
|
(k) Habitual drunkenness or addiction to drugs, other |
than those
prescribed by a physician, for at least one year |
immediately
prior to the commencement of the unfitness |
proceeding.
|
There is a rebuttable presumption that a parent is |
|
unfit under this
subsection
with respect to any child to |
which that parent gives birth where there is a
confirmed
|
test result that at birth the child's blood, urine, or |
meconium contained any
amount of a controlled substance as |
defined in subsection (f) of Section 102 of
the Illinois |
Controlled Substances Act or metabolites of such |
substances, the
presence of which in the newborn infant was |
not the result of medical treatment
administered to the |
mother or the newborn infant; and the biological mother of
|
this child is the biological mother of at least one other |
child who was
adjudicated a neglected minor under |
subsection (c) of Section 2-3 of the
Juvenile Court Act of |
1987.
|
(l) Failure to demonstrate a reasonable degree of |
interest, concern or
responsibility as to the welfare of a |
new born child during the first 30
days after its birth.
|
(m) Failure by a parent (i) to make reasonable efforts |
to correct the
conditions that were the basis for the |
removal of the child from the
parent during any 9-month |
period following the adjudication of neglected or abused |
minor under Section 2-3 of the Juvenile Court Act of 1987 |
or dependent minor under Section 2-4 of that Act, or (ii) |
to make reasonable progress
toward the return of the
child |
to the parent during any 9-month period following the |
adjudication of
neglected or abused minor under Section 2-3 |
of the Juvenile Court
Act of 1987 or dependent minor under |
|
Section 2-4 of that Act.
If a service plan has been |
established as
required under
Section 8.2 of the Abused and |
Neglected Child Reporting Act to correct the
conditions |
that were the basis for the removal of the child from the |
parent
and if those services were available,
then, for |
purposes of this Act, "failure to make reasonable progress |
toward the
return of the child to the parent" includes the |
parent's failure to substantially fulfill his or her |
obligations
under
the service plan and correct the |
conditions that brought the child into care
during any |
9-month period
following the adjudication under Section |
2-3 or 2-4 of the Juvenile Court
Act of 1987. |
Notwithstanding any other provision, when a petition or |
motion seeks to terminate parental rights on the basis of |
item (ii) of this subsection (m), the petitioner shall file |
with the court and serve on the parties a pleading that |
specifies the 9-month period or periods relied on. The |
pleading shall be filed and served on the parties no later |
than 3 weeks before the date set by the court for closure |
of discovery, and the allegations in the pleading shall be |
treated as incorporated into the petition or motion. |
Failure of a respondent to file a written denial of the |
allegations in the pleading shall not be treated as an |
admission that the allegations are true.
|
(m-1) Pursuant to the Juvenile Court Act of 1987, a |
child
has been in foster care for 15 months out of any 22 |
|
month period which begins
on or after the effective date of |
this amendatory Act of 1998 unless the
child's parent can |
prove
by a preponderance of the evidence that it is more |
likely than not that it will
be in the best interests of |
the child to be returned to the parent within 6
months of |
the date on which a petition for termination of parental |
rights is
filed under the Juvenile Court Act of 1987. The |
15 month time limit is tolled
during
any period for which |
there is a court finding that the appointed custodian or
|
guardian failed to make reasonable efforts to reunify the |
child with his or her
family, provided that (i) the finding |
of no reasonable efforts is made within
60 days of the |
period when reasonable efforts were not made or (ii) the |
parent
filed a motion requesting a finding of no reasonable |
efforts within 60 days of
the period when reasonable |
efforts were not made. For purposes of this
subdivision |
(m-1), the date of entering foster care is the earlier of: |
(i) the
date of
a judicial finding at an adjudicatory |
hearing that the child is an abused,
neglected, or |
dependent minor; or (ii) 60 days after the date on which |
the
child is removed from his or her parent, guardian, or |
legal custodian.
|
(n) Evidence of intent to forgo his or her parental |
rights,
whether or
not the child is a ward of the court, |
(1) as manifested
by his or her failure for a period of 12 |
months: (i) to visit the child,
(ii) to communicate with |
|
the child or agency, although able to do so and
not |
prevented from doing so by an agency or by court order, or |
(iii) to
maintain contact with or plan for the future of |
the child, although physically
able to do so, or (2) as |
manifested by the father's failure, where he
and the mother |
of the child were unmarried to each other at the time of |
the
child's birth, (i) to commence legal proceedings to |
establish his paternity
under the Illinois Parentage Act of |
1984, the Illinois Parentage Act of 2015, or the law of the |
jurisdiction of
the child's birth within 30 days of being |
informed, pursuant to Section 12a
of this Act, that he is |
the father or the likely father of the child or,
after |
being so informed where the child is not yet born, within |
30 days of
the child's birth, or (ii) to make a good faith |
effort to pay a reasonable
amount of the expenses related |
to the birth of the child and to provide a
reasonable |
amount for the financial support of the child, the court to
|
consider in its determination all relevant circumstances, |
including the
financial condition of both parents; |
provided that the ground for
termination provided in this |
subparagraph (n)(2)(ii) shall only be
available where the |
petition is brought by the mother or the husband of
the |
mother.
|
Contact or communication by a parent with his or her |
child that does not
demonstrate affection and concern does |
not constitute reasonable contact
and planning under |
|
subdivision (n). In the absence of evidence to the
|
contrary, the ability to visit, communicate, maintain |
contact, pay
expenses and plan for the future shall be |
presumed. The subjective intent
of the parent, whether |
expressed or otherwise, unsupported by evidence of
the |
foregoing parental acts manifesting that intent, shall not |
preclude a
determination that the parent has intended to |
forgo his or her
parental
rights. In making this |
determination, the court may consider but shall not
require |
a showing of diligent efforts by an authorized agency to |
encourage
the parent to perform the acts specified in |
subdivision (n).
|
It shall be an affirmative defense to any allegation |
under paragraph
(2) of this subsection that the father's |
failure was due to circumstances
beyond his control or to |
impediments created by the mother or any other
person |
having legal custody. Proof of that fact need only be by a
|
preponderance of the evidence.
|
(o) Repeated or continuous failure by the parents, |
although physically
and financially able, to provide the |
child with adequate food, clothing,
or shelter.
|
(p) Inability to discharge parental responsibilities |
supported by
competent evidence from a psychiatrist, |
licensed clinical social
worker, or clinical psychologist |
of mental
impairment, mental illness or an intellectual |
disability as defined in Section
1-116 of the Mental Health |
|
and Developmental Disabilities Code, or
developmental |
disability as defined in Section 1-106 of that Code, and
|
there is sufficient justification to believe that the |
inability to
discharge parental responsibilities shall |
extend beyond a reasonable
time period. However, this |
subdivision (p) shall not be construed so as to
permit a |
licensed clinical social worker to conduct any medical |
diagnosis to
determine mental illness or mental |
impairment.
|
(q) (Blank).
|
(r) The child is in the temporary custody or |
guardianship of the
Department of Children and Family |
Services, the parent is incarcerated as a
result of |
criminal conviction at the time the petition or motion for
|
termination of parental rights is filed, prior to |
incarceration the parent had
little or no contact with the |
child or provided little or no support for the
child, and |
the parent's incarceration will prevent the parent from |
discharging
his or her parental responsibilities for the |
child for a period in excess of 2
years after the filing of |
the petition or motion for termination of parental
rights.
|
(s) The child is in the temporary custody or |
guardianship of the
Department of Children and Family |
Services, the parent is incarcerated at the
time the |
petition or motion for termination of parental rights is |
filed, the
parent has been repeatedly incarcerated as a |
|
result of criminal convictions,
and the parent's repeated |
incarceration has prevented the parent from
discharging |
his or her parental responsibilities for the child.
|
(t) A finding that at birth the child's blood,
urine, |
or meconium contained any amount of a controlled substance |
as
defined in subsection (f) of Section 102 of the Illinois |
Controlled Substances
Act, or a metabolite of a controlled |
substance, with the exception of
controlled substances or |
metabolites of such substances, the presence of which
in |
the newborn infant was the result of medical treatment |
administered to the
mother or the newborn infant, and that |
the biological mother of this child is
the biological |
mother of at least one other child who was adjudicated a
|
neglected minor under subsection (c) of Section 2-3 of the |
Juvenile Court Act
of 1987, after which the biological |
mother had the opportunity to enroll in
and participate in |
a clinically appropriate substance abuse
counseling, |
treatment, and rehabilitation program.
|
E. "Parent" means a person who is the legal mother or legal |
father of the child as defined in subsection X or Y of this |
Section. For the purpose of this Act, a parent who has executed |
a consent to adoption, a surrender, or a waiver pursuant to |
Section 10 of this Act, who has signed a Denial of Paternity |
pursuant to Section 12 of the Vital Records Act or Section 12a |
of this Act, or whose parental rights have been terminated by a |
court, is not a parent of the child who was the subject of the |
|
consent, surrender, waiver, or denial unless (1) the consent is |
void pursuant to subsection O of Section 10 of this Act; or (2) |
the person executed a consent to adoption by a specified person |
or persons pursuant to subsection A-1 of Section 10 of this Act |
and a court of competent jurisdiction finds that the consent is |
void; or (3) the order terminating the parental rights of the |
person is vacated by a court of competent jurisdiction.
|
F. A person is available for adoption when the person is:
|
(a) a child who has been surrendered for adoption to an |
agency and to
whose adoption the agency has thereafter |
consented;
|
(b) a child to whose adoption a person authorized by |
law, other than his
parents, has consented, or to whose |
adoption no consent is required pursuant
to Section 8 of |
this Act;
|
(c) a child who is in the custody of persons who intend |
to adopt him
through placement made by his parents;
|
(c-1) a child for whom a parent has signed a specific |
consent pursuant
to subsection O of Section 10;
|
(d) an adult who meets the conditions set forth in |
Section 3 of this
Act; or
|
(e) a child who has been relinquished as defined in |
Section 10 of the
Abandoned Newborn Infant Protection Act.
|
A person who would otherwise be available for adoption |
shall not be
deemed unavailable for adoption solely by reason |
of his or her death.
|
|
G. The singular includes the plural and the plural includes
|
the singular and the "male" includes the "female", as the |
context of this
Act may require.
|
H. (Blank).
|
I. "Habitual residence" has the meaning ascribed to it in |
the federal Intercountry Adoption Act of 2000 and regulations |
promulgated thereunder.
|
J. "Immediate relatives" means the biological parents, the |
parents of
the biological parents and siblings of the |
biological parents.
|
K. "Intercountry adoption" is a process by which a child |
from a country
other than the United States is adopted by |
persons who are habitual residents of the United States, or the |
child is a habitual resident of the United States who is |
adopted by persons who are habitual residents of a country |
other than the United States.
|
L. (Blank).
|
M. "Interstate Compact on the Placement of Children" is a |
law enacted by all
states and certain territories for the |
purpose of establishing uniform procedures for handling
the |
interstate placement of children in foster homes, adoptive |
homes, or
other child care facilities.
|
N. (Blank).
|
O. "Preadoption requirements" means any conditions or |
standards established by the laws or administrative rules of |
this State that must be met by a prospective adoptive parent
|
|
prior to the placement of a child in an adoptive home.
|
P. "Abused child" means a child whose parent or immediate |
family member,
or any person responsible for the child's |
welfare, or any individual
residing in the same home as the |
child, or a paramour of the child's parent:
|
(a) inflicts, causes to be inflicted, or allows to be |
inflicted upon
the child physical injury, by other than |
accidental means, that causes
death, disfigurement, |
impairment of physical or emotional health, or loss
or |
impairment of any bodily function;
|
(b) creates a substantial risk of physical injury to |
the child by
other than accidental means which would be |
likely to cause death,
disfigurement, impairment of |
physical or emotional health, or loss or
impairment of any |
bodily function;
|
(c) commits or allows to be committed any sex offense |
against the child,
as sex offenses are defined in the |
Criminal Code of 2012
and extending those definitions of |
sex offenses to include children under
18 years of age;
|
(d) commits or allows to be committed an act or acts of |
torture upon
the child; or
|
(e) inflicts excessive corporal punishment.
|
Q. "Neglected child" means any child whose parent or other |
person
responsible for the child's welfare withholds or denies |
nourishment or
medically indicated treatment including food or |
care denied solely on the
basis of the present or anticipated |
|
mental or physical impairment as determined
by a physician |
acting alone or in consultation with other physicians or
|
otherwise does not provide the proper or necessary support, |
education
as required by law, or medical or other remedial care |
recognized under State
law as necessary for a child's |
well-being, or other care necessary for his
or her well-being, |
including adequate food, clothing and shelter; or who
is |
abandoned by his or her parents or other person responsible for |
the child's
welfare.
|
A child shall not be considered neglected or abused for the
|
sole reason that the child's parent or other person responsible |
for his
or her welfare depends upon spiritual means through |
prayer alone for the
treatment or cure of disease or remedial |
care as provided under Section 4
of the Abused and Neglected |
Child Reporting Act.
A child shall not be considered neglected |
or abused for the sole reason that
the child's parent or other |
person responsible for the child's welfare failed
to vaccinate, |
delayed vaccination, or refused vaccination for the child
due |
to a waiver on religious or medical grounds as permitted by |
law.
|
R. "Putative father" means a man who may be a child's |
father, but who (1) is
not married to the child's mother on or |
before the date that the child was or
is to be born and (2) has |
not established paternity of the child in a court
proceeding |
before the filing of a petition for the adoption of the child. |
The
term includes a male who is less than 18 years of age. |
|
"Putative father" does
not mean a man who is the child's father |
as a result of criminal sexual abuse
or assault as defined |
under Article 11 of the Criminal Code of 2012.
|
S. "Standby adoption" means an adoption in which a parent
|
consents to custody and termination of parental rights to |
become
effective upon the occurrence of a future event, which |
is either the death of
the
parent or the request of the parent
|
for the entry of a final judgment of adoption.
|
T. (Blank).
|
T-5. "Biological parent", "birth parent", or "natural |
parent" of a child are interchangeable terms that mean a person |
who is biologically or genetically related to that child as a |
parent. |
U. "Interstate adoption" means the placement of a minor |
child with a prospective adoptive parent for the purpose of |
pursuing an adoption for that child that is subject to the |
provisions of the Interstate Compact on Placement of Children. |
V. (Blank). |
W. (Blank). |
X. "Legal father" of a child means a man who is recognized |
as or presumed to be that child's father: |
(1) because of his marriage to or civil union with the |
child's parent at the time of the child's birth or within |
300 days prior to that child's birth, unless he signed a |
denial of paternity pursuant to Section 12 of the Vital |
Records Act or a waiver pursuant to Section 10 of this Act; |
|
or |
(2) because his paternity of the child has been |
established pursuant to the Illinois Parentage Act, the |
Illinois Parentage Act of 1984, or the Gestational |
Surrogacy Act; or |
(3) because he is listed as the child's father or |
parent on the child's birth certificate, unless he is |
otherwise determined by an administrative or judicial |
proceeding not to be the parent of the child or unless he |
rescinds his acknowledgment of paternity pursuant to the |
Illinois Parentage Act of 1984; or |
(4) because his paternity or adoption of the child has |
been established by a court of competent jurisdiction. |
The definition in this subsection X shall not be construed |
to provide greater or lesser rights as to the number of parents |
who can be named on a final judgment order of adoption or |
Illinois birth certificate that otherwise exist under Illinois |
law. |
Y. "Legal mother" of a child means a woman who is |
recognized as or presumed to be that child's mother: |
(1) because she gave birth to the child except as |
provided in the Gestational Surrogacy Act; or |
(2) because her maternity of the child has been |
established pursuant to the Illinois Parentage Act of 1984 |
or the Gestational Surrogacy Act; or |
(3) because her maternity or adoption of the child has |
|
been established by a court of competent jurisdiction; or |
(4) because of her marriage to or civil union with the |
child's other parent at the time of the child's birth or |
within 300 days prior to the time of birth; or |
(5) because she is listed as the child's mother or |
parent on the child's birth certificate unless she is |
otherwise determined by an administrative or judicial |
proceeding not to be the parent of the child. |
The definition in this subsection Y shall not be construed |
to provide greater or lesser rights as to the number of parents |
who can be named on a final judgment order of adoption or |
Illinois birth certificate that otherwise exist under Illinois |
law. |
Z. "Department" means the Illinois Department of Children |
and Family Services. |
AA. "Placement disruption" means a circumstance where the |
child is removed from an adoptive placement before the adoption |
is finalized. |
BB. "Secondary placement" means a placement, including but |
not limited to the placement of a ward of the Department, that |
occurs after a placement disruption or an adoption dissolution. |
"Secondary placement" does not mean secondary placements |
arising due to the death of the adoptive parent of the child. |
CC. "Adoption dissolution" means a circumstance where the |
child is removed from an adoptive placement after the adoption |
is finalized. |
|
DD. "Unregulated placement" means the secondary placement |
of a child that occurs without the oversight of the courts, the |
Department, or a licensed child welfare agency. |
EE. "Post-placement and post-adoption support services" |
means support services for placed or adopted children and |
families that include, but are not limited to, counseling for |
emotional, behavioral, or developmental needs. |
(Source: P.A. 98-455, eff. 1-1-14; 98-532, eff. 1-1-14; 98-804, |
eff. 1-1-15; 99-49, eff. 7-15-15; 99-85, eff. 1-1-16; revised |
8-4-15.)
|
(750 ILCS 50/18.06)
|
Sec. 18.06. Definitions. When used in Sections
18.05 |
through Section 18.6, for the purposes of the Registry:
|
"Adopted person" means a person who was adopted
pursuant to |
the laws in effect at the time of the adoption.
|
"Adoptive parent" means a person who has become a parent |
through the legal
process of adoption.
|
"Adult child" means the biological child 21 years of age or |
over of a deceased adopted or surrendered person.
|
"Adult grandchild" means the biological grandchild 21 |
years of age or over of a deceased adopted or surrendered |
person. |
"Adult adopted or surrendered person" means an adopted or |
surrendered person 21 years of age or over. |
"Agency" means a public child welfare agency or a licensed |
|
child welfare
agency.
|
"Birth aunt" means the adult full or half sister of a |
deceased birth parent.
|
"Birth father" means the biological father of an adopted or |
surrendered
person who is named on the original certificate of |
live birth or on a consent
or surrender document, or a |
biological father whose paternity has been
established by a |
judgment or order of the court, pursuant to the Illinois
|
Parentage Act of 1984 or the Illinois Parentage Act of 2015.
|
"Birth grandparent" means the biological parent of: (i) a |
non-surrendered person who is a deceased birth mother; or (ii) |
a non-surrendered person who is a deceased birth father. |
"Birth mother" means the biological mother of an adopted or |
surrendered
person.
|
"Birth parent" means a birth mother or birth father of an |
adopted or
surrendered person.
|
"Birth Parent Preference Form" means the form prepared by |
the Department of Public Health pursuant to Section 18.2 |
completed by a birth parent registrant and filed with the |
Registry that indicates the birth parent's preferences |
regarding contact and, if applicable, the release of his or her |
identifying information on the non-certified copy of the |
original birth certificate released to an adult adopted or |
surrendered person or to the surviving adult child or surviving |
spouse of a deceased adopted or surrendered person who has |
filed a Request for a Non-Certified Copy of an Original Birth |
|
Certificate. |
"Birth relative" means a birth mother, birth father, birth |
grandparent, birth sibling, birth aunt, or birth uncle.
|
"Birth sibling" means the adult full or half sibling
of an |
adopted or
surrendered person.
|
"Birth uncle" means the adult full or half brother of a |
deceased birth parent.
|
"Confidential intermediary" means an individual certified |
by the Department of Children and Family Services pursuant to |
Section 18.3a(e). |
"Denial of Information Exchange" means an affidavit |
completed by a
registrant with the Illinois Adoption Registry |
and Medical Information Exchange
denying the release of |
identifying information which has been filed with the Registry.
|
"Information Exchange Authorization" means
an affidavit |
completed by a registrant with the Illinois Adoption Registry |
and
Medical Information Exchange authorizing the release of |
identifying
information which has been filed with the Registry.
|
"Medical Information Exchange Questionnaire" means the |
medical
history
questionnaire completed by a registrant of the |
Illinois Adoption Registry and
Medical Information Exchange.
|
"Non-certified Copy of the Original Birth Certificate" |
means a non-certified copy of the original certificate of live |
birth of an adult adopted or surrendered person who was born in |
Illinois. |
"Proof of death" means a death certificate.
|
|
"Registrant" or "Registered Party" means a birth parent, |
birth grandparent, birth sibling,
birth aunt, birth uncle, |
adopted or surrendered person 21 years of age or over, adoptive |
parent or legal
guardian of an adopted or surrendered person |
under the age of 21, or adoptive parent, surviving spouse, or |
adult child of a deceased adopted or surrendered person who has |
filed
an Illinois Adoption Registry Application or |
Registration Identification Form
with the Registry.
|
"Registry" means the Illinois Adoption Registry and |
Medical Information Exchange. |
"Request for a Non-Certified Copy of an Original Birth |
Certificate" means an affidavit completed by an adult adopted |
or surrendered person or by the surviving adult child or |
surviving spouse of a deceased adopted or surrendered person |
and filed with the Registry requesting a non-certified copy of |
an adult adopted or surrendered person's original certificate |
of live birth in Illinois. |
"Surrendered person" means a person whose parents' rights |
have been
surrendered or terminated but who has not been |
adopted.
|
"Surviving spouse" means the wife or husband, 21 years of |
age or older, of a deceased adopted or surrendered person who |
would be 21 years of age or older if still alive and who has one |
or more surviving biological children who are under the age of |
21.
|
"18.3 statement" means a statement regarding the |
|
disclosure of identifying information signed by a birth parent |
under Section 18.3 of this Act as it existed immediately prior |
to May 21, 2010 ( the effective date of Public Act 96-895) this |
amendatory Act of the 96th General Assembly . |
(Source: P.A. 98-704, eff. 1-1-15; 99-85, eff. 1-1-16; 99-345, |
eff. 1-1-16; revised 10-22-15.)
|
Section 595. The Illinois Domestic Violence Act of 1986 is |
amended by changing Sections 214 and 227 as follows:
|
(750 ILCS 60/214) (from Ch. 40, par. 2312-14)
|
Sec. 214. Order of protection; remedies.
|
(a) Issuance of order. If the court finds that petitioner |
has been
abused by a family or household member or that |
petitioner is a high-risk
adult who has been abused, neglected, |
or exploited, as defined in this Act,
an order of protection |
prohibiting the abuse, neglect, or exploitation
shall issue; |
provided that petitioner must also satisfy the requirements of
|
one of the following Sections, as appropriate: Section 217 on |
emergency
orders, Section 218 on interim orders, or Section 219 |
on plenary orders.
Petitioner shall not be denied an order of |
protection because petitioner or
respondent is a minor. The |
court, when determining whether or not to issue
an order of |
protection, shall not require physical manifestations of abuse
|
on the person of the victim. Modification and extension of |
prior
orders of protection shall be in accordance with this |
|
Act.
|
(b) Remedies and standards. The remedies to be included in |
an order of
protection shall be determined in accordance with |
this Section and one of
the following Sections, as appropriate: |
Section 217 on emergency orders,
Section 218 on interim orders, |
and Section 219 on plenary orders. The
remedies listed in this |
subsection shall be in addition to other civil or
criminal |
remedies available to petitioner.
|
(1) Prohibition of abuse, neglect, or exploitation. |
Prohibit
respondent's harassment, interference with |
personal liberty, intimidation
of a dependent, physical |
abuse, or willful deprivation, neglect or
exploitation, as |
defined in this Act, or stalking of the petitioner, as |
defined
in Section 12-7.3 of the Criminal Code of 2012, if |
such abuse, neglect,
exploitation, or stalking has |
occurred or otherwise appears likely to occur if
not |
prohibited.
|
(2) Grant of exclusive possession of residence. |
Prohibit respondent from
entering or remaining in any |
residence, household, or premises of the petitioner,
|
including one owned or leased by respondent, if petitioner |
has a right to
occupancy thereof. The grant of exclusive |
possession of the residence, household, or premises shall |
not
affect title to real property, nor shall the court be |
limited by the standard
set forth in Section 701 of the |
Illinois Marriage and Dissolution of Marriage
Act.
|
|
(A) Right to occupancy. A party has a right to |
occupancy of a
residence or household if it is solely |
or jointly owned or leased by that
party, that party's |
spouse, a person with a legal duty to support that |
party or
a minor child in that party's care, or by any |
person or entity other than the
opposing party that |
authorizes that party's occupancy (e.g., a domestic
|
violence shelter). Standards set forth in subparagraph |
(B) shall not preclude
equitable relief.
|
(B) Presumption of hardships. If petitioner and |
respondent
each has the right to occupancy of a |
residence or household, the court
shall balance (i) the |
hardships to respondent and any minor child or
|
dependent adult in respondent's care resulting from |
entry of this remedy with
(ii) the hardships to |
petitioner and any minor child or dependent adult in
|
petitioner's care resulting from continued exposure to |
the risk of abuse
(should petitioner remain at the |
residence or household) or from loss of
possession of |
the residence or household (should petitioner leave to |
avoid the
risk of abuse). When determining the balance |
of hardships, the court shall
also take into account |
the accessibility of the residence or household.
|
Hardships need not be balanced if respondent does not |
have a right to
occupancy.
|
The balance of hardships is presumed to favor |
|
possession by
petitioner unless the presumption is |
rebutted by a preponderance of the
evidence, showing |
that the hardships to respondent substantially |
outweigh
the hardships to petitioner and any minor |
child or dependent adult in
petitioner's care. The |
court, on the request of petitioner or on its own
|
motion, may order respondent to provide suitable, |
accessible, alternate housing
for petitioner instead |
of excluding respondent from a mutual residence or
|
household.
|
(3) Stay away order and additional prohibitions.
Order |
respondent to stay away from petitioner or any other person
|
protected by the order of protection, or prohibit |
respondent from entering
or remaining present at |
petitioner's school, place of employment, or other
|
specified places at times when petitioner is present, or |
both, if
reasonable, given the balance of hardships. |
Hardships need not be balanced for
the court to enter a |
stay away order or prohibit entry if respondent has no
|
right to enter the premises.
|
(A) If an order of protection grants petitioner |
exclusive possession
of the residence, or prohibits |
respondent from entering the residence,
or orders |
respondent to stay away from petitioner or other
|
protected persons, then the court may allow respondent |
access to the
residence to remove items of clothing and |
|
personal adornment
used exclusively by respondent, |
medications, and other items as the court
directs. The |
right to access shall be exercised on only one occasion |
as the
court directs and in the presence of an |
agreed-upon adult third party or law
enforcement |
officer.
|
(B) When the petitioner and the respondent attend |
the same public, private, or non-public elementary, |
middle, or high school, the court when issuing an order |
of protection and providing relief shall consider the |
severity of the act, any continuing physical danger or |
emotional distress to the petitioner, the educational |
rights guaranteed to the petitioner and respondent |
under federal and State law, the availability of a |
transfer of the respondent to another school, a change |
of placement or a change of program of the respondent, |
the expense, difficulty, and educational disruption |
that would be caused by a transfer of the respondent to |
another school, and any other relevant facts of the |
case. The court may order that the respondent not |
attend the public, private, or non-public elementary, |
middle, or high school attended by the petitioner, |
order that the respondent accept a change of placement |
or change of program, as determined by the school |
district or private or non-public school, or place |
restrictions on the respondent's movements within the |
|
school attended by the petitioner.
The respondent |
bears the burden of proving by a preponderance of the |
evidence that a transfer, change of placement, or |
change of program of the respondent is not available. |
The respondent also bears the burden of production with |
respect to the expense, difficulty, and educational |
disruption that would be caused by a transfer of the |
respondent to another school. A transfer, change of |
placement, or change of program is not unavailable to |
the respondent solely on the ground that the respondent |
does not agree with the school district's or private or |
non-public school's transfer, change of placement, or |
change of program or solely on the ground that the |
respondent fails or refuses to consent or otherwise |
does not take an action required to effectuate a |
transfer, change of placement, or change of program.
|
When a court orders a respondent to stay away from the |
public, private, or non-public school attended by the |
petitioner and the respondent requests a transfer to |
another attendance center within the respondent's |
school district or private or non-public school, the |
school district or private or non-public school shall |
have sole discretion to determine the attendance |
center to which the respondent is transferred.
In the |
event the court order results in a transfer of the |
minor respondent to another attendance center, a |
|
change in the respondent's placement, or a change of |
the respondent's program, the parents, guardian, or |
legal custodian of the respondent is responsible for |
transportation and other costs associated with the |
transfer or change. |
(C) The court may order the parents, guardian, or |
legal custodian of a minor respondent to take certain |
actions or to refrain from taking certain actions to |
ensure that the respondent complies with the order. In |
the event the court orders a transfer of the respondent |
to another school, the parents, guardian, or legal |
custodian of the respondent is responsible for |
transportation and other costs associated with the |
change of school by the respondent.
|
(4) Counseling. Require or recommend the respondent to |
undergo
counseling for a specified duration with a social |
worker, psychologist,
clinical psychologist, psychiatrist, |
family service agency, alcohol or
substance abuse program, |
mental health center guidance counselor, agency
providing |
services to elders, program designed for domestic violence
|
abusers or any other guidance service the court deems |
appropriate. The Court may order the respondent in any |
intimate partner relationship to report to an Illinois |
Department of Human Services protocol approved partner |
abuse intervention program for an assessment and to follow |
all recommended treatment.
|
|
(5) Physical care and possession of the minor child. In |
order to protect
the minor child from abuse, neglect, or |
unwarranted separation from the person
who has been the |
minor child's primary caretaker, or to otherwise protect |
the
well-being of the minor child, the court may do either |
or both of the
following: (i) grant petitioner physical |
care or possession of the minor child,
or both, or (ii) |
order respondent to return a minor child to, or not remove |
a
minor child from, the physical care of a parent or person |
in loco parentis.
|
If a court finds, after a hearing, that respondent has |
committed abuse
(as defined in Section 103) of a minor |
child, there shall be a
rebuttable presumption that |
awarding physical care to respondent would not
be in the |
minor child's best interest.
|
(6) Temporary allocation of parental responsibilities: |
significant decision-making. Award temporary |
decision-making responsibility to petitioner
in accordance |
with this Section, the Illinois Marriage and Dissolution of
|
Marriage Act, the Illinois Parentage Act of 2015, and this |
State's Uniform
Child-Custody Jurisdiction and Enforcement |
Act.
|
If a court finds, after a hearing, that respondent has |
committed abuse (as
defined in Section 103) of a minor |
child, there shall be a rebuttable
presumption that |
awarding temporary significant decision-making |
|
responsibility to respondent would not be in
the child's |
best interest.
|
(7) Parenting time. Determine the parenting time, if |
any, of respondent in
any case in which the court awards |
physical care or allocates temporary significant |
decision-making responsibility of
a minor child to |
petitioner. The court shall restrict or deny respondent's |
parenting time
with a minor child if the court finds that |
respondent has done or is
likely to do any of the |
following: (i) abuse or endanger the minor child during |
parenting time; (ii) use the parenting time as an |
opportunity to abuse or harass
petitioner or petitioner's |
family or household members; (iii) improperly
conceal or |
detain the minor child; or (iv) otherwise act in a manner |
that is
not in the best interests of the minor child. The |
court shall not be limited
by the standards set forth in |
Section 603.10 of the Illinois Marriage and
Dissolution of |
Marriage Act. If the court grants parenting time, the order |
shall
specify dates and times for the parenting time to |
take place or other specific
parameters or conditions that |
are appropriate. No order for parenting time shall
refer |
merely to the term "reasonable parenting time".
|
Petitioner may deny respondent access to the minor |
child if, when
respondent arrives for parenting time, |
respondent is under the influence of drugs
or alcohol and |
constitutes a threat to the safety and well-being of
|
|
petitioner or petitioner's minor children or is behaving in |
a violent or
abusive manner.
|
If necessary to protect any member of petitioner's |
family or
household from future abuse, respondent shall be |
prohibited from coming to
petitioner's residence to meet |
the minor child for parenting time, and the
parties shall |
submit to the court their recommendations for reasonable
|
alternative arrangements for parenting time. A person may |
be approved to
supervise parenting time only after filing |
an affidavit accepting
that responsibility and |
acknowledging accountability to the court.
|
(8) Removal or concealment of minor child. Prohibit |
respondent from
removing a minor child from the State or |
concealing the child within the State.
|
(9) Order to appear. Order the respondent to appear in |
court, alone
or with a minor child, to prevent abuse, |
neglect, removal or concealment of
the child, to return the |
child to the custody or care of the petitioner or
to permit |
any court-ordered interview or examination of the child or |
the
respondent.
|
(10) Possession of personal property. Grant petitioner |
exclusive
possession of personal property and, if |
respondent has possession or
control, direct respondent to |
promptly make it available to petitioner, if:
|
(i) petitioner, but not respondent, owns the |
property; or
|
|
(ii) the parties own the property jointly; sharing |
it would risk
abuse of petitioner by respondent or is |
impracticable; and the balance of
hardships favors |
temporary possession by petitioner.
|
If petitioner's sole claim to ownership of the property |
is that it is
marital property, the court may award |
petitioner temporary possession
thereof under the |
standards of subparagraph (ii) of this paragraph only if
a |
proper proceeding has been filed under the Illinois |
Marriage and
Dissolution of Marriage Act, as now or |
hereafter amended.
|
No order under this provision shall affect title to |
property.
|
(11) Protection of property. Forbid the respondent |
from taking,
transferring, encumbering, concealing, |
damaging or otherwise disposing of
any real or personal |
property, except as explicitly authorized by the
court, if:
|
(i) petitioner, but not respondent, owns the |
property; or
|
(ii) the parties own the property jointly,
and the |
balance of hardships favors granting this remedy.
|
If petitioner's sole claim to ownership of the property |
is that it is
marital property, the court may grant |
petitioner relief under subparagraph
(ii) of this |
paragraph only if a proper proceeding has been filed under |
the
Illinois Marriage and Dissolution of Marriage Act, as |
|
now or hereafter amended.
|
The court may further prohibit respondent from |
improperly using the
financial or other resources of an |
aged member of the family or household
for the profit or |
advantage of respondent or of any other person.
|
(11.5) Protection of animals. Grant the petitioner the |
exclusive care, custody, or control of any animal owned, |
possessed, leased, kept, or held by either the petitioner |
or the respondent or a minor child residing in the |
residence or household of either the petitioner or the |
respondent and order the respondent to stay away from the |
animal and forbid the respondent from taking, |
transferring, encumbering, concealing, harming, or |
otherwise disposing of the animal.
|
(12) Order for payment of support. Order respondent to |
pay temporary
support for the petitioner or any child in |
the petitioner's care or over whom the petitioner has been |
allocated parental responsibility, when the respondent has |
a legal obligation to support that person,
in accordance |
with the Illinois Marriage and Dissolution
of Marriage Act, |
which shall govern, among other matters, the amount of
|
support, payment through the clerk and withholding of |
income to secure
payment. An order for child support may be |
granted to a petitioner with
lawful physical care of a |
child, or an order or agreement for
physical care of a |
child, prior to entry of an order allocating significant |
|
decision-making responsibility.
Such a support order shall |
expire upon entry of a valid order allocating parental |
responsibility differently and vacating the petitioner's |
significant decision-making authority, unless otherwise |
provided in the order.
|
(13) Order for payment of losses. Order respondent to |
pay petitioner for
losses suffered as a direct result of |
the abuse, neglect, or exploitation.
Such losses shall |
include, but not be limited to, medical expenses, lost
|
earnings or other support, repair or replacement of |
property damaged or taken,
reasonable attorney's fees, |
court costs and moving or other travel expenses,
including |
additional reasonable expenses for temporary shelter and |
restaurant
meals.
|
(i) Losses affecting family needs. If a party is |
entitled to seek
maintenance, child support or |
property distribution from the other party
under the |
Illinois Marriage and Dissolution of Marriage Act, as |
now or
hereafter amended, the court may order |
respondent to reimburse petitioner's
actual losses, to |
the extent that such reimbursement would be |
"appropriate
temporary relief", as authorized by |
subsection (a)(3) of Section 501 of
that Act.
|
(ii) Recovery of expenses. In the case of an |
improper concealment
or removal of a minor child, the |
court may order respondent to pay the
reasonable |
|
expenses incurred or to be incurred in the search for |
and recovery
of the minor child, including but not |
limited to legal fees, court costs,
private |
investigator fees, and travel costs.
|
(14) Prohibition of entry. Prohibit the respondent |
from entering or
remaining in the residence or household |
while the respondent is under the
influence of alcohol or |
drugs and constitutes a threat to the safety and
well-being |
of the petitioner or the petitioner's children.
|
(14.5) Prohibition of firearm possession.
|
(a) Prohibit a respondent against whom an order of |
protection was issued from possessing any firearms |
during the duration of the order if the order: |
(1) was issued after a hearing of which such |
person received
actual notice, and at which such |
person had an opportunity to
participate; |
(2) restrains such person from harassing, |
stalking, or
threatening an intimate partner of |
such person or child of such
intimate partner or |
person, or engaging in other conduct that
would |
place an intimate partner in reasonable fear of |
bodily
injury to the partner or child; and |
(3)(i) includes a finding that such person |
represents a
credible threat to the physical |
safety of such intimate partner
or child; or
(ii) |
by its terms explicitly prohibits the use, |
|
attempted
use, or threatened use of physical force |
against such intimate
partner or child that would |
reasonably be expected to cause
bodily injury. |
Any Firearm Owner's Identification Card in the
|
possession of the respondent, except as provided in |
subsection (b), shall be ordered by the court to be |
turned
over to the local law enforcement agency. The |
local law enforcement agency shall immediately mail |
the card to the Department of State Police Firearm |
Owner's Identification Card Office
for safekeeping. |
The court shall
issue a warrant for seizure of any |
firearm in the possession of the respondent, to be kept |
by the local law enforcement agency for safekeeping, |
except as provided in subsection (b).
The period of |
safekeeping shall be for the duration of the order of |
protection. The firearm or firearms and Firearm |
Owner's Identification Card, if unexpired, shall at |
the respondent's request, be returned to the |
respondent at the end
of the order of protection. It is |
the respondent's responsibility to notify the |
Department of State Police Firearm Owner's |
Identification Card Office.
|
(b) If the respondent is a peace officer as defined |
in Section 2-13 of
the
Criminal Code of 2012, the court |
shall order that any firearms used by the
respondent in |
the performance of his or her duties as a
peace officer |
|
be surrendered to
the chief law enforcement executive |
of the agency in which the respondent is
employed, who |
shall retain the firearms for safekeeping for the |
duration of the order of protection.
|
(c) Upon expiration of the period of safekeeping, |
if the firearms or Firearm Owner's Identification Card |
cannot be returned to respondent because respondent |
cannot be located, fails to respond to requests to |
retrieve the firearms, or is not lawfully eligible to |
possess a firearm, upon petition from the local law |
enforcement agency, the court may order the local law |
enforcement agency to destroy the firearms, use the |
firearms for training purposes, or for any other |
application as deemed appropriate by the local law |
enforcement agency; or that the firearms be turned over |
to a third party who is lawfully eligible to possess |
firearms, and who does not reside with respondent.
|
(15) Prohibition of access to records. If an order of |
protection
prohibits respondent from having contact with |
the minor child,
or if petitioner's address is omitted |
under subsection (b) of
Section 203, or if necessary to |
prevent abuse or wrongful removal or
concealment of a minor |
child, the order shall deny respondent access to, and
|
prohibit respondent from inspecting, obtaining, or |
attempting to
inspect or obtain, school or any other |
records of the minor child
who is in the care of |
|
petitioner.
|
(16) Order for payment of shelter services. Order |
respondent to
reimburse a shelter providing temporary |
housing and counseling services to
the petitioner for the |
cost of the services, as certified by the shelter
and |
deemed reasonable by the court.
|
(17) Order for injunctive relief. Enter injunctive |
relief necessary
or appropriate to prevent further abuse of |
a family or household member
or further abuse, neglect, or |
exploitation of a high-risk adult with
disabilities or to |
effectuate one of the granted remedies, if supported by the
|
balance of hardships. If the harm to be prevented by the |
injunction is abuse
or any other harm that one of the |
remedies listed in paragraphs (1) through
(16) of this |
subsection is designed to prevent, no further evidence is
|
necessary that the harm is an irreparable injury.
|
(c) Relevant factors; findings.
|
(1) In determining whether to grant a specific remedy, |
other than
payment of support, the court shall consider
|
relevant factors, including but not limited to the |
following:
|
(i) the nature, frequency, severity, pattern and |
consequences of the
respondent's past abuse, neglect |
or exploitation of the petitioner or
any family or |
household member, including the concealment of his or |
her
location in order to evade service of process or |
|
notice, and the likelihood of
danger of future abuse, |
neglect, or exploitation to petitioner or any member of
|
petitioner's or respondent's family or household; and
|
(ii) the danger that any minor child will be abused |
or neglected or
improperly relocated from the |
jurisdiction, improperly concealed within the
State or |
improperly separated from the child's primary |
caretaker.
|
(2) In comparing relative hardships resulting to the |
parties from loss
of possession of the family home, the |
court shall consider relevant
factors, including but not |
limited to the following:
|
(i) availability, accessibility, cost, safety, |
adequacy, location and
other characteristics of |
alternate housing for each party and any minor child
or |
dependent adult in the party's care;
|
(ii) the effect on the party's employment; and
|
(iii) the effect on the relationship of the party, |
and any minor
child or dependent adult in the party's |
care, to family, school, church
and community.
|
(3) Subject to the exceptions set forth in paragraph |
(4) of this
subsection, the court shall make its findings |
in an official record or in
writing, and shall at a minimum |
set forth the following:
|
(i) That the court has considered the applicable |
relevant factors
described in paragraphs (1) and (2) of |
|
this subsection.
|
(ii) Whether the conduct or actions of respondent, |
unless
prohibited, will likely cause irreparable harm |
or continued abuse.
|
(iii) Whether it is necessary to grant the |
requested relief in order
to protect petitioner or |
other alleged abused persons.
|
(4) For purposes of issuing an ex parte emergency order |
of protection,
the court, as an alternative to or as a |
supplement to making the findings
described in paragraphs |
(c)(3)(i) through (c)(3)(iii) of this subsection, may
use |
the following procedure:
|
When a verified petition for an emergency order of |
protection in
accordance with the requirements of Sections |
203 and 217 is
presented to the court, the court shall |
examine petitioner on oath or
affirmation. An emergency |
order of protection shall be issued by the court
if it |
appears from the contents of the petition and the |
examination of
petitioner that the averments are |
sufficient to indicate abuse by
respondent and to support |
the granting of relief under the issuance of the
emergency |
order of protection.
|
(5) Never married parties. No rights or |
responsibilities for a minor
child born outside of marriage |
attach to a putative father until a father and
child |
relationship has been established under the Illinois |
|
Parentage Act of
1984, the Illinois Parentage Act of 2015, |
the Illinois Public Aid Code, Section 12 of the Vital |
Records Act, the
Juvenile Court Act of 1987, the Probate |
Act of 1985, the Revised Uniform
Reciprocal Enforcement of |
Support Act, the Uniform Interstate Family Support
Act, the |
Expedited Child Support Act of 1990, any judicial, |
administrative, or
other act of another state or territory, |
any other Illinois statute, or by any
foreign nation |
establishing the father and child relationship, any other
|
proceeding substantially in conformity with the Personal |
Responsibility and
Work Opportunity Reconciliation Act of |
1996 (Pub. L. 104-193), or where both
parties appeared in |
open court or at an administrative hearing acknowledging
|
under
oath or admitting by affirmation the existence of a |
father and child
relationship.
Absent such an |
adjudication, finding, or acknowledgement, no putative
|
father shall be granted
temporary allocation of parental |
responsibilities, including parenting time with the minor |
child, or
physical care and possession of the minor child, |
nor shall an order of payment
for support of the minor |
child be entered.
|
(d) Balance of hardships; findings. If the court finds that |
the balance
of hardships does not support the granting of a |
remedy governed by
paragraph (2), (3), (10), (11), or (16) of |
subsection (b) of this Section,
which may require such |
balancing, the court's findings shall so
indicate and shall |
|
include a finding as to whether granting the remedy will
result |
in hardship to respondent that would substantially outweigh the |
hardship
to petitioner from denial of the remedy. The findings |
shall be an official
record or in writing.
|
(e) Denial of remedies. Denial of any remedy shall not be |
based, in
whole or in part, on evidence that:
|
(1) Respondent has cause for any use of force, unless |
that cause
satisfies the standards for justifiable use of |
force provided by Article
7 of the Criminal Code of 2012;
|
(2) Respondent was voluntarily intoxicated;
|
(3) Petitioner acted in self-defense or defense of |
another, provided
that, if petitioner utilized force, such |
force was justifiable under
Article 7 of the Criminal Code |
of 2012;
|
(4) Petitioner did not act in self-defense or defense |
of another;
|
(5) Petitioner left the residence or household to avoid |
further abuse,
neglect, or exploitation by respondent;
|
(6) Petitioner did not leave the residence or household |
to avoid further
abuse, neglect, or exploitation by |
respondent;
|
(7) Conduct by any family or household member excused |
the abuse,
neglect, or exploitation by respondent, unless |
that same conduct would have
excused such abuse, neglect, |
or exploitation if the parties had not been
family or |
household members.
|
|
(Source: P.A. 99-85, eff. 1-1-16; 99-90, eff. 1-1-16; revised |
10-19-15.)
|
(750 ILCS 60/227) (from Ch. 40, par. 2312-27)
|
Sec. 227. Privileged communications between domestic |
violence
counselors and victims. |
(a) As used in this Section:
|
(1) "Domestic violence program" means any unit
of
local |
government, organization, or association whose major |
purpose is to
provide one or more of the following: |
information,
crisis intervention, emergency shelter, |
referral, counseling,
advocacy, or emotional support to |
victims of domestic violence.
|
(2) "Domestic violence advocate or counselor" means |
any person (A)
who has undergone
a minimum of forty hours |
of training in domestic violence advocacy, crisis
|
intervention, and related areas, and (B) who provides |
services to victims
through a domestic violence program |
either on an employed or volunteer basis.
|
(3) "Confidential communication" means any |
communication between an
alleged victim of domestic |
violence and a domestic violence advocate or
counselor in |
the course of providing information, counseling, or |
advocacy.
The term includes all records kept by the |
advocate or counselor or by the
domestic violence program |
in the course of providing services to an alleged
victim |
|
concerning the alleged victim and the services provided. |
The
confidential nature of the communication is not waived |
by the presence at
the time of the communication of any |
additional persons, including but
not limited to an |
interpreter, to further express the
interests of the |
domestic violence victim or by the advocate's or
|
counselor's disclosure to such an additional
person with |
the consent of the victim when reasonably necessary to
|
accomplish the purpose for which the advocate or counselor |
is consulted.
|
(4) "Domestic violence victim" means any person who |
consults a domestic
violence counselor for the purpose of |
securing advice, counseling or
assistance related to one or |
more alleged incidents of domestic violence.
|
(5) "Domestic violence" means abuse as defined in this |
Act the Illinois Domestic Violence Act .
|
(b) No domestic violence advocate or counselor shall |
disclose any
confidential communication or be examined as a |
witness in any civil or criminal
case or proceeding or in any |
legislative or administrative proceeding
without the written |
consent of the domestic violence victim except (1) in |
accordance with the
provisions of the Abused and Neglected |
Child Reporting Act or (2) in
cases where failure to disclose |
is likely to result in an imminent risk of
serious bodily harm |
or death of the victim or another person.
|
(c) A domestic violence advocate or counselor who
knowingly |
|
discloses any confidential communication in violation of this |
Act
commits a Class A misdemeanor.
|
(d) When a domestic violence victim is deceased or has been |
adjudged
incompetent by a court of competent jurisdiction, the |
guardian of the
domestic violence victim or the executor or |
administrator of the estate of the
domestic
violence victim
may |
waive the privilege established by this
Section, except where |
the guardian, executor or administrator of the estate
has been |
charged with a violent crime against the domestic violence |
victim
or has had an Order of Protection entered against him or |
her at the request
of or on behalf of the domestic violence |
victim or otherwise has an
interest adverse to that of the |
domestic violence victim with respect to
the waiver of the |
privilege.
In that case, the court shall appoint an attorney |
for the estate of the
domestic violence victim.
|
(e) A minor may knowingly waive the privilege established |
by this
Section. Where a minor is, in the opinion of the court, |
incapable of
knowingly waiving the privilege, the parent or |
guardian of the minor may
waive the privilege on behalf of the |
minor, except where such parent or
guardian has been charged |
with a violent crime against the minor or has had
an Order of |
Protection entered against him or her on request of or on
|
behalf of the minor or otherwise has any interest adverse to |
that of the
minor with respect to the waiver of the privilege.
|
In that case, the court shall appoint an attorney for the minor |
child who
shall be compensated in accordance with Section 506 |
|
of the Illinois
Marriage and Dissolution of Marriage Act.
|
(f) Nothing in this Section shall be construed to limit in |
any way any
privilege that might otherwise exist under statute |
or common law.
|
(g) The assertion of any privilege under this Section shall |
not result in an inference unfavorable to
the State's cause or |
to the cause of the domestic violence victim.
|
(Source: P.A. 87-1186; revised 10-20-15.)
|
Section 600. The Probate Act of 1975 is amended by changing |
Sections 11a-4, 11a-10, and 11a-18 as follows:
|
(755 ILCS 5/11a-4) (from Ch. 110 1/2, par. 11a-4)
|
Sec. 11a-4. Temporary guardian. |
(a) Prior to the appointment of a guardian
under this |
Article, pending an appeal in relation to the
appointment, or
|
pending the
completion of a citation proceeding brought |
pursuant to Section 23-3 of this
Act,
or upon a guardian's |
death, incapacity, or resignation, the court may appoint a |
temporary guardian upon a showing of the necessity
therefor for |
the immediate welfare and protection of the alleged
person with |
a disability or his or her estate
on such notice and subject to |
such conditions as the court may prescribe.
In determining the |
necessity for temporary guardianship, the immediate
welfare |
and protection of the alleged person with a disability and his |
or her estate
shall be
of paramount concern, and the interests |
|
of the petitioner, any care provider,
or any other party shall |
not outweigh the interests of the alleged person with a |
disability.
The temporary guardian shall have the limited |
powers and duties of a guardian
of the person or of the estate |
which are specifically enumerated by court
order. The court |
order shall state the actual harm identified by the court
that |
necessitates temporary guardianship or any extension thereof. |
(b) The temporary guardianship shall
expire within 60 days |
after the
appointment or whenever a guardian is regularly |
appointed, whichever occurs
first. No extension shall be |
granted except:
|
(1) In a case where there has been an adjudication of |
disability, an extension shall be granted: |
(i) pending the disposition on appeal of an |
adjudication of disability; |
(ii) pending the completion of a citation |
proceeding brought pursuant to Section 23-3; |
(iii) pending the appointment of a successor |
guardian in a case where the former guardian has |
resigned, has become incapacitated, or is deceased; or |
(iv) where the guardian's powers have been |
suspended pursuant to a court order. |
(2) In a case where there has not been an adjudication |
of disability, an extension shall be granted pending the |
disposition of a petition brought pursuant to Section 11a-8 |
so long as the court finds it is in the best interest of |
|
the alleged person with a disability to extend the |
temporary guardianship so as to protect the alleged person |
with a disability from any potential abuse, neglect, |
self-neglect, exploitation, or other harm and such |
extension lasts no more than 120 days from the date the |
temporary guardian was originally appointed. |
The ward shall have the right any time after the |
appointment
of a temporary guardian is made to petition the |
court to revoke the appointment
of the temporary guardian.
|
(Source: P.A. 99-70, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
10-21-15.)
|
(755 ILCS 5/11a-10) (from Ch. 110 1/2, par. 11a-10)
|
Sec. 11a-10. Procedures preliminary to hearing.
|
(a) Upon the filing of a petition pursuant to Section |
11a-8, the court shall
set a date and place for hearing to take |
place within 30 days. The court
shall appoint a guardian ad |
litem to report to the court concerning the
respondent's best |
interests consistent with the provisions of this Section,
|
except that
the appointment of a guardian ad litem shall not be |
required when
the court determines that such appointment is not |
necessary for the protection
of the respondent or a reasonably |
informed decision on the petition.
If the guardian ad litem is |
not a licensed attorney, he or she shall be
qualified,
by
|
training or experience, to work with or advocate for persons |
with developmental disabilities, the mentally ill, persons |
|
with physical disabilities, the elderly, or persons with a |
disability due to mental deterioration, depending on the type |
of disability that is
alleged in the petition.
The court may |
allow the guardian ad litem reasonable compensation. The
|
guardian ad litem may consult with a person who by training or |
experience is
qualified to work with persons with a |
developmental disability, persons with
mental illness, persons |
with physical disabilities, or persons with a disability due to
|
mental deterioration, depending on the type of disability that |
is alleged.
The guardian ad litem shall personally observe the |
respondent prior to the
hearing and shall inform
him orally and |
in writing of the contents of the petition and of his rights
|
under Section 11a-11.
The guardian ad litem shall also attempt |
to elicit the respondent's position
concerning the |
adjudication of disability, the proposed guardian, a proposed
|
change in residential placement, changes in care that might |
result from the
guardianship, and other areas of inquiry deemed |
appropriate by the court.
Notwithstanding any provision in the |
Mental Health and Developmental Disabilities Confidentiality |
Act or any other law, a guardian ad litem shall have the right |
to inspect and copy any medical or mental health record of the |
respondent which the guardian ad litem deems necessary, |
provided that the information so disclosed shall not be |
utilized for any other purpose nor be redisclosed except in |
connection with the proceedings. At or before the hearing, the |
guardian ad litem shall file a written report
detailing his or |
|
her observations of the respondent, the responses of the
|
respondent to any of the inquiries inquires detailed in this |
Section, the opinion of the
guardian
ad litem or other |
professionals with whom the guardian ad litem consulted
|
concerning the appropriateness of guardianship, and any other |
material issue
discovered by the guardian ad litem. The |
guardian ad litem shall appear at the
hearing and testify as to |
any issues presented in his or her report.
|
(b) The court (1) may appoint counsel for the respondent, |
if the court finds
that the interests of the respondent will be |
best served by the appointment,
and (2) shall appoint counsel |
upon respondent's request or if the respondent
takes a position |
adverse to that of the guardian ad litem. The respondent
shall |
be permitted to obtain the appointment of counsel either at the |
hearing
or by any written or oral request communicated to the |
court prior to the
hearing. The summons shall inform the |
respondent of this right to obtain
appointed counsel. The court |
may allow counsel for the respondent reasonable
compensation.
|
(c) If the respondent is unable to pay the fee of the |
guardian ad litem or
appointed counsel, or both, the court may |
enter an order for
the petitioner to
pay all
such
fees or such |
amounts as the respondent or the respondent's estate may be |
unable
to pay.
However, in cases where the Office of State |
Guardian is the petitioner,
consistent with Section 30 of the |
Guardianship and Advocacy Act, where the public guardian is the |
petitioner, consistent with Section 13-5 of this Act the |
|
Probate Act of 1975 ,
where an adult protective services agency |
is the petitioner, pursuant to
Section 9 of the Adult |
Protective Services Act, or where the Department of Children |
and Family Services is the petitioner under subparagraph (d) of |
subsection (1) of Section 2-27 of the Juvenile Court Act of |
1987, no guardian ad litem or legal fees shall be assessed |
against the Office of
State Guardian, the public guardian, the |
adult protective services agency, or the Department of Children |
and Family Services.
|
(d) The hearing may be held at such convenient place as the |
court directs,
including at a facility in which the respondent |
resides.
|
(e) Unless he is the petitioner, the respondent shall be |
personally
served with a copy of the petition and a summons not |
less than 14 days
before the hearing.
The summons shall be |
printed in large, bold type and shall include the
following |
notice:
|
NOTICE OF RIGHTS OF RESPONDENT
|
You have been named as a respondent in a guardianship |
petition asking that
you be declared a person with a |
disability. If the court grants the petition, a
guardian will |
be appointed for you. A copy of the guardianship petition is
|
attached for your convenience.
|
The date and time of the hearing are:
|
The place where the hearing will occur is:
|
The Judge's name and phone number is:
|
|
If a guardian is appointed for you, the guardian may be |
given the right to
make all
important personal decisions for |
you, such as where you may live, what medical
treatment you may |
receive, what places you may visit, and who may visit you. A
|
guardian may also be given the right to control and manage your |
money and other
property, including your home, if you own one. |
You may lose the right to make
these decisions for yourself.
|
You have the following legal rights:
|
(1) You have the right to be present at the court |
hearing.
|
(2) You have the right to be represented by a lawyer, |
either one that you
retain, or one appointed by the Judge.
|
(3) You have the right to ask for a jury of six persons |
to hear your case.
|
(4) You have the right to present evidence to the court |
and to confront
and
cross-examine witnesses.
|
(5) You have the right to ask the Judge to appoint an |
independent expert
to examine you and give an opinion about |
your need for a guardian.
|
(6) You have the right to ask that the court hearing be |
closed to the
public.
|
(7) You have the right to tell the court whom you |
prefer to have for your
guardian.
|
You do not have to attend the court hearing if you do not |
want to be there.
If you do not attend, the Judge may appoint a |
guardian if the Judge finds that
a guardian would be of benefit |
|
to you. The hearing will not be postponed or
canceled if you do |
not attend.
|
IT IS VERY IMPORTANT THAT YOU ATTEND THE HEARING IF YOU DO |
NOT WANT A
GUARDIAN OR IF YOU WANT SOMEONE OTHER THAN THE |
PERSON NAMED IN THE GUARDIANSHIP
PETITION TO BE YOUR GUARDIAN. |
IF YOU DO NOT WANT A GUARDIAN OF IF YOU HAVE ANY
OTHER |
PROBLEMS, YOU SHOULD CONTACT AN ATTORNEY OR COME TO COURT AND |
TELL THE
JUDGE.
|
Service of summons and the petition may be made by a |
private person 18
years
of
age or over who is not a party to the |
action.
|
(f) Notice of the time and place of the hearing shall be |
given by the
petitioner by mail or in person to those persons, |
including the proposed
guardian, whose names and addresses
|
appear in the petition and who do not waive notice, not less |
than 14 days
before the hearing.
|
(Source: P.A. 98-49, eff. 7-1-13; 98-89, eff. 7-15-13; 98-756, |
eff. 7-16-14; 99-143, eff. 7-27-15; revised 10-19-15.)
|
(755 ILCS 5/11a-18) (from Ch. 110 1/2, par. 11a-18)
|
Sec. 11a-18. Duties of the estate guardian.
|
(a) To the extent
specified in the order establishing the |
guardianship, the guardian of
the estate shall have the care, |
management and
investment of the estate, shall manage the |
estate frugally and shall
apply the income and principal of the |
estate so far as necessary for the
comfort and suitable support |
|
and education of the ward, his minor and adult
dependent |
children, and persons related by blood or marriage
who are |
dependent upon or entitled to support from him, or for any |
other
purpose which the court deems to be for the best |
interests of the ward,
and the court may approve the making on |
behalf of the ward of such
agreements as the court determines |
to be for the ward's best interests.
The guardian may make |
disbursement of his ward's
funds and estate directly to the |
ward or other distributee or in such
other manner and in such |
amounts as the court directs. If the estate of
a ward is |
derived in whole or in part from payments of compensation,
|
adjusted compensation, pension, insurance or other similar |
benefits made
directly to the estate by the Veterans |
Administration, notice of the
application for leave to invest |
or expend the ward's funds or estate,
together with a copy of |
the petition and proposed order, shall be given
to the |
Veterans' Administration Regional Office in this State at least |
7
days before the hearing on the application.
|
(a-5) The probate court, upon petition of a guardian, other |
than the
guardian of a minor, and after notice to all other |
persons interested as the
court directs, may authorize the |
guardian to exercise any or all powers over
the estate and |
business affairs of the ward that the ward could exercise if
|
present and not under disability. The court may authorize the |
taking of an
action or the application of funds not required |
for the ward's current and
future maintenance
and support in |
|
any manner approved by the court as being in keeping with the
|
ward's wishes so far as they can be ascertained. The court must |
consider the
permanence of the ward's disabling condition and |
the natural objects of the
ward's bounty. In ascertaining and |
carrying
out the ward's wishes the court may consider, but |
shall not be limited to,
minimization of State or federal |
income, estate, or inheritance taxes; and
providing gifts to |
charities, relatives, and friends that would be likely
|
recipients of donations from the ward. The ward's wishes as |
best they can be
ascertained shall be carried out, whether or |
not tax savings are involved.
Actions or applications of funds |
may include, but shall not be limited to, the
following:
|
(1) making gifts of income or principal, or both, of |
the estate, either
outright or in trust;
|
(2) conveying, releasing, or disclaiming his or her |
contingent and
expectant interests in property, including |
marital property rights and any
right of survivorship |
incident to joint tenancy or tenancy by the entirety;
|
(3) releasing or disclaiming his or her powers as |
trustee, personal
representative, custodian for minors, or |
guardian;
|
(4) exercising, releasing, or disclaiming his or her |
powers as donee
of a power of appointment;
|
(5) entering into contracts;
|
(6) creating for the benefit of the ward or others, |
revocable or
irrevocable trusts of his or her property that |
|
may extend beyond his or her
disability or life;
|
(7) exercising options of the ward to purchase or |
exchange
securities or other property;
|
(8) exercising the rights of the ward to elect benefit |
or payment
options, to terminate, to change beneficiaries |
or ownership, to assign
rights, to borrow, or to receive |
cash value in return for a surrender of
rights under any |
one or more of the following:
|
(i) life insurance policies, plans, or benefits,
|
(ii) annuity policies, plans, or benefits,
|
(iii) mutual fund and other dividend investment |
plans,
|
(iv) retirement, profit sharing, and employee |
welfare plans and
benefits;
|
(9) exercising his or her right to claim or disclaim an |
elective share
in the estate of his or her deceased spouse |
and to renounce any interest by
testate or intestate |
succession or by inter vivos transfer;
|
(10) changing the ward's residence or domicile; or
|
(11) modifying by means of codicil or trust amendment |
the terms of the
ward's will or any revocable trust created |
by the ward, as the court may
consider advisable in light |
of changes in applicable tax laws.
|
The guardian in his or her petition shall briefly outline |
the action or
application of funds for which he or she seeks |
approval, the results expected
to be accomplished thereby, and |
|
the tax savings, if any, expected to accrue.
The proposed |
action or application of funds may include gifts of the ward's
|
personal property or real estate, but transfers of real estate |
shall be subject
to the requirements of Section 20 of this Act. |
Gifts may be for
the benefit of prospective legatees, devisees, |
or heirs apparent of the ward
or may be made to individuals or |
charities in which the ward is believed to
have an interest. |
The guardian shall also indicate in the petition that any
|
planned disposition is consistent with the intentions of the |
ward insofar as
they can be ascertained, and if the ward's |
intentions cannot be ascertained,
the ward will be presumed to |
favor reduction in the incidents of various forms
of taxation |
and the partial distribution of his or her estate as provided |
in
this subsection. The guardian shall not, however, be |
required to include as
a beneficiary or fiduciary any person |
who he has reason to believe would be
excluded by the ward. A |
guardian shall be required to investigate and pursue
a ward's |
eligibility for governmental benefits.
|
(b) Upon the direction of the court which issued his |
letters,
a guardian may perform the contracts of his ward which |
were
legally subsisting at the time of the commencement of the |
ward's
disability. The court may authorize the guardian to |
execute and deliver
any bill of sale, deed or other instrument.
|
(c) The guardian of the estate of a ward shall
appear for |
and represent the ward in all legal proceedings unless another
|
person is appointed for that purpose as guardian or next |
|
friend. This does not
impair the power of any court to appoint |
a guardian ad litem or next friend
to defend the interests of |
the ward in that court, or to appoint or allow any
person as |
the next friend of a ward to commence, prosecute or defend any
|
proceeding in his behalf. Without impairing the power of the |
court in any
respect, if the guardian of the estate of a ward |
and another person as next
friend shall appear for and |
represent the ward in a legal proceeding in which
the |
compensation of the attorney or attorneys representing the |
guardian and
next friend is solely determined under a |
contingent fee arrangement, the
guardian of the estate of the |
ward shall not participate in or have any duty
to review the |
prosecution of the action, to participate in or review the
|
appropriateness of any settlement of the action, or to |
participate in or review
any determination of the |
appropriateness of any fees awarded to the attorney or
|
attorneys employed in the prosecution of the action.
|
(d) Adjudication of disability shall not revoke or
|
otherwise terminate a trust which is revocable by the ward. A |
guardian of the
estate shall have no authority to revoke a |
trust that is revocable by the
ward, except that the court may |
authorize a guardian to revoke a Totten trust
or similar |
deposit or withdrawable capital account in trust to the extent
|
necessary to provide funds for the purposes specified in |
paragraph (a) of
this Section. If the trustee of any trust for |
the benefit of the ward has
discretionary power to apply income |
|
or principal for the ward's benefit,
the trustee shall not be |
required to distribute any of the income or principal
to the |
guardian of the ward's estate, but the guardian may
bring an |
action on behalf of the ward to compel
the trustee to exercise |
the trustee's discretion or to seek relief from
an abuse of |
discretion. This paragraph shall not limit the right of a
|
guardian of the estate to receive accountings from the trustee
|
on behalf of the ward.
|
(d-5) Upon a verified petition by the plenary or limited |
guardian of the estate or the request of the ward that is |
accompanied by a current physician's report that states the |
ward possesses testamentary capacity, the court may enter an |
order authorizing the ward to execute a will or codicil. In so |
ordering, the court shall authorize the guardian to retain |
independent counsel for the ward with whom the ward may execute |
or modify a will or codicil. |
(e) Absent court order pursuant to the Illinois Power of |
Attorney
Act directing a guardian to exercise
powers of the |
principal under an agency that survives disability, the
|
guardian will have no power, duty or liability with respect to |
any property
subject to the agency. This subsection (e) applies |
to all agencies,
whenever and wherever executed.
|
(f) Upon petition by any interested person (including the |
standby or
short-term guardian), with such notice to interested |
persons as the court
directs and a finding by the court that it |
is in the best interest of the
person with a disability, the |
|
court may terminate or limit the authority of a standby or
|
short-term guardian or may enter such other orders as the court |
deems necessary
to provide for the best interest of the person |
with a disability. The petition for
termination or limitation |
of the authority of a standby or short-term guardian
may, but |
need not, be combined with a petition to have another guardian
|
appointed for the person with a disability.
|
(Source: P.A. 99-143, eff. 7-27-15; 99-302, eff. 1-1-16; |
revised 10-21-15.)
|
Section 605. The Condominium Property Act is amended by |
changing Section 18 as follows:
|
(765 ILCS 605/18) (from Ch. 30, par. 318)
|
(Text of Section before amendment by P.A. 99-472 ) |
Sec. 18. Contents of bylaws. The bylaws shall provide for |
at least
the following:
|
(a)(1) The election from among the unit owners of a board |
of managers,
the number of persons constituting such board, and |
that the terms of at
least one-third of the members of the |
board shall expire annually and that
all members of the board |
shall be elected at large ; if .
If there are multiple owners of |
a single unit, only one of the multiple
owners shall be |
eligible to serve as a member of the board at any one time ; .
|
(2) the powers and duties of the board;
|
(3) the compensation, if any, of the members of the board;
|
|
(4) the method of removal from office of members of the |
board;
|
(5) that the board may engage the services of a manager or |
managing agent;
|
(6) that each unit owner shall receive, at least 30 days |
prior to the
adoption thereof by the board of managers, a copy |
of the proposed annual
budget together with an indication of |
which portions are intended for
reserves, capital expenditures |
or repairs or payment of real estate taxes;
|
(7) that the board of managers shall annually supply to
all |
unit owners an itemized accounting of the common expenses
for |
the preceding year actually incurred or paid, together
with an |
indication of which portions were for reserves, capital
|
expenditures or repairs or payment of real estate taxes and
|
with a tabulation of the amounts collected pursuant to the
|
budget or assessment, and showing the net excess or
deficit of |
income over expenditures plus reserves;
|
(8)(i) that each unit owner shall receive notice, in the |
same manner
as is provided in this Act for membership meetings, |
of any meeting of the
board of managers concerning the adoption |
of the proposed annual budget and
regular assessments pursuant |
thereto or to adopt a separate (special)
assessment, (ii) that |
except as provided in subsection (iv) below, if an
adopted
|
budget or any separate assessment adopted by the board would |
result in the
sum of all regular and separate assessments |
payable in the current fiscal year
exceeding 115% of the sum of |
|
all regular and separate
assessments payable during the
|
preceding fiscal year, the
board of managers, upon written |
petition by unit owners with 20 percent of
the votes of the |
association delivered to the board within 14
days of the board |
action,
shall call a meeting of the unit owners within 30 days |
of the date of
delivery of the petition to consider the budget |
or separate
assessment; unless a
majority of
the total votes of |
the unit owners are cast at the meeting to reject the
budget or |
separate assessment,
it is ratified, (iii) that any common |
expense not set forth in the budget or
any increase in |
assessments over the amount adopted in the budget shall be
|
separately assessed against all unit owners, (iv) that separate |
assessments for
expenditures relating to emergencies or |
mandated by law may be adopted by the
board of managers without |
being subject to unit owner approval or the
provisions of item |
(ii) above or item (v) below. As used
herein, "emergency" means |
an immediate danger to the structural integrity of
the
common |
elements or to the life, health, safety or property of the unit |
owners,
(v) that assessments
for additions and alterations to |
the common elements or to association-owned
property not |
included in the adopted annual budget, shall be separately
|
assessed and are subject to approval of two-thirds of the total |
votes of all
unit owners, (vi) that the board of managers may |
adopt separate assessments
payable over more than one fiscal |
year. With respect to multi-year assessments
not governed by |
items (iv) and (v), the entire amount of the multi-year
|
|
assessment shall be deemed considered and authorized in the |
first fiscal year
in which the assessment is approved;
|
(9) that meetings of the board of managers shall be open to |
any unit
owner, except for the portion of any meeting held (i) |
to discuss litigation
when an action against or on behalf of |
the particular association has been
filed and is pending in a |
court or administrative tribunal,
or when the board of managers |
finds that such an action is probable
or imminent, (ii) to |
consider information regarding appointment, employment
or |
dismissal of an employee, or (iii) to discuss violations of |
rules and
regulations of the association or a unit owner's |
unpaid share of common
expenses; that any vote on these matters |
shall be taken at a meeting or
portion thereof open to any unit |
owner; that any unit owner may record the
proceedings at |
meetings or portions thereof required to be open by this
Act by |
tape, film or other means; that the board may prescribe |
reasonable
rules and regulations to govern the right to make |
such recordings, that
notice of such meetings shall be mailed |
or delivered at least 48 hours
prior thereto, unless a written |
waiver of such notice is signed by the
person or persons |
entitled to such notice pursuant to the declaration,
bylaws, |
other condominium instrument, or provision of law other than |
this
subsection before the meeting is convened, and that copies |
of notices of
meetings of the board of managers shall be posted |
in entranceways,
elevators, or other conspicuous places in the |
condominium at least 48 hours
prior to the meeting of the board |
|
of managers except where there is no
common entranceway for 7 |
or more units, the board of managers may designate
one or more |
locations in the proximity of these units where the notices of
|
meetings shall be posted;
|
(10) that the board shall meet at least 4 times annually;
|
(11) that no member of the board or officer shall be |
elected for a term
of more than 2 years, but that officers and |
board members may succeed
themselves;
|
(12) the designation of an officer to mail and receive all |
notices and
execute amendments to condominium instruments as |
provided for in this Act
and in the condominium instruments;
|
(13) the method of filling vacancies on the board
which |
shall include authority for the remaining members of the board |
to
fill the vacancy by two-thirds vote until the next annual |
meeting of unit
owners or for a period terminating no later |
than 30 days following the
filing of a petition signed by unit |
owners holding 20% of the votes of the
association requesting a |
meeting of the unit owners to fill the vacancy for
the balance |
of the term, and that a meeting of the unit owners shall be
|
called for purposes of filling a vacancy on the board no later |
than 30 days
following the filing of a petition signed by unit |
owners holding 20% of the
votes of the association requesting |
such a meeting, and the method of filling
vacancies among the |
officers that shall include the authority for the members
of |
the board to fill the vacancy for the unexpired portion of the |
term;
|
|
(14) what percentage of the board of managers, if other |
than a majority,
shall constitute a quorum;
|
(15) provisions concerning notice of board meetings to |
members of the
board;
|
(16) the board of managers may not enter into a contract |
with a
current board member
or with a corporation or |
partnership in which a board
member or a member of the board |
member's immediate family has 25% or
more interest, unless |
notice of intent to enter the
contract is given to unit owners |
within 20 days after a decision is made
to enter into the |
contract and the unit owners are
afforded an opportunity by |
filing a petition, signed by 20% of the unit
owners, for an |
election to approve or disapprove the contract;
such petition |
shall be filed within 20 days after such notice and such
|
election shall be held within 30 days after filing the |
petition; for purposes
of this subsection, a board member's |
immediate family means the board member's
spouse, parents, and |
children;
|
(17) that the board of managers may disseminate
to unit |
owners biographical and background information about |
candidates for
election to the board if (i) reasonable efforts |
to identify all candidates are
made and all candidates are |
given an opportunity to include biographical and
background |
information in the information to be disseminated; and (ii) the
|
board does not express a preference in favor of any candidate;
|
(18) any proxy distributed for board elections
by the board |
|
of managers gives unit owners the
opportunity to designate any |
person as the proxy holder, and gives the unit
owner the |
opportunity to express a preference for any of the known
|
candidates for the board or to write in a name;
|
(19) that special meetings of the board of managers can be |
called by
the president or 25% of the members of the board; and
|
(20) that the board of managers may establish
and maintain |
a system of master metering of public utility services and
|
collect payments in connection therewith, subject to the |
requirements of the
Tenant Utility Payment Disclosure Act.
|
(b)(1) What percentage of the unit owners, if other than |
20%, shall
constitute a quorum provided that, for condominiums |
with 20 or more units,
the percentage of unit owners |
constituting a quorum shall be 20% unless the
unit owners |
holding a majority of the percentage interest in the
|
association provide for a higher percentage, provided that in |
voting on amendments to the association's bylaws, a unit owner |
who is in arrears on the unit owner's regular or separate |
assessments for 60 days or more, shall not be counted for |
purposes of determining if a quorum is present, but that unit |
owner retains the right to vote on amendments to the |
association's bylaws;
|
(2) that the association shall have one class of |
membership;
|
(3) that the members shall hold an annual meeting, one of |
the purposes
of which shall be to elect members of the board of |
|
managers;
|
(4) the method of calling meetings of the unit owners;
|
(5) that special meetings of the members can be called by |
the president,
board of managers, or by 20% of unit owners;
|
(6) that written notice of any membership meeting shall be |
mailed
or delivered giving members no less than 10 and no more |
than 30 days
notice of the time, place and purpose of such |
meeting except that notice may be sent, to the extent the |
condominium instruments or rules adopted thereunder expressly |
so provide, by electronic transmission consented to by the unit |
owner to whom the notice is given, provided the director and |
officer or his agent certifies in writing to the delivery by |
electronic transmission;
|
(7) that voting shall be on a percentage basis, and that |
the percentage
vote to which each unit is entitled is the |
percentage interest of the
undivided ownership of the common |
elements appurtenant thereto, provided
that the bylaws may |
provide for approval by unit owners in connection with
matters |
where the requisite approval on a percentage basis is not |
specified
in this Act, on the basis of one vote per unit;
|
(8) that, where there is more than one owner of a unit, if |
only one
of the multiple owners is present at a meeting of the |
association, he is
entitled to cast all the votes allocated to |
that unit, if more than one of
the multiple owners are present, |
the votes allocated to that unit may be
cast only in accordance |
with the agreement of a majority in interest of the
multiple |
|
owners, unless the declaration expressly provides otherwise, |
that
there is majority agreement if any one of the multiple |
owners cast the
votes allocated to that unit without protest |
being made promptly to the
person presiding over the meeting by |
any of the other owners of the unit;
|
(9)(A) except as provided in subparagraph (B) of this |
paragraph (9) in
connection with board elections, that
a unit |
owner may vote by proxy executed in writing by the unit
owner |
or by his duly authorized attorney in fact; that the proxy must |
bear the date of
execution
and, unless the condominium |
instruments or the written proxy itself provide
otherwise, is
|
invalid after 11 months from the date of its execution; to the |
extent the condominium instruments or rules adopted thereunder |
expressly so provide, a vote or proxy may be submitted by |
electronic transmission, provided that any such electronic |
transmission shall either set forth or be submitted with |
information from which it can be determined that the electronic |
transmission was authorized by the unit owner or the unit |
owner's proxy;
|
(B) that if a rule adopted at least 120 days before a board |
election
or the
declaration or bylaws provide for balloting as |
set forth in this subsection,
unit
owners may not vote by proxy |
in board elections, but may vote only (i) by
submitting an |
association-issued ballot in person at the election meeting or
|
(ii) by
submitting an association-issued ballot to the |
association or its designated
agent
by mail or other means of |
|
delivery specified in the declaration, bylaws, or
rule; that
|
the ballots shall be mailed or otherwise distributed to unit |
owners not less
than 10
and not more than 30 days before the |
election meeting, and the board shall give
unit owners not less |
than 21 days' prior written notice of the deadline for
|
inclusion of a candidate's name on the ballots; that the |
deadline shall be no
more
than 7 days before the ballots are |
mailed or otherwise distributed to unit
owners; that
every such |
ballot must include the names of all candidates who have given |
the
board or its authorized agent timely written notice of |
their candidacy and must
give the person casting the ballot the |
opportunity to cast votes for candidates
whose names do not |
appear on the ballot; that a ballot received by the
association
|
or
its designated agent after the close of voting shall not be |
counted; that a
unit
owner
who submits a ballot by mail or |
other means of delivery specified in the
declaration, bylaws, |
or rule may request and cast a ballot in person at the
election
|
meeting, and thereby void any ballot previously submitted by |
that unit owner; |
(B-5) that if a rule adopted at least 120 days before a |
board election or the declaration or bylaws provide for |
balloting as set forth in this subparagraph, unit owners may |
not vote by proxy in board elections, but may vote only (i) by |
submitting an association-issued ballot in person at the |
election meeting; or (ii) by any acceptable technological means |
as defined in Section 2 of this Act; instructions regarding the |
|
use of electronic means for voting shall be distributed to all |
unit owners not less than 10 and not more than 30 days before |
the election meeting, and the board shall give unit owners not |
less than 21 days' prior written notice of the deadline for |
inclusion of a candidate's name on the ballots; the deadline |
shall be no more than 7 days before the instructions for voting |
using electronic or acceptable technological means is |
distributed to unit owners; every instruction notice must |
include the names of all candidates who have given the board or |
its authorized agent timely written notice of their candidacy |
and must give the person voting through electronic or |
acceptable technological means the opportunity to cast votes |
for candidates whose names do not appear on the ballot; a unit |
owner who submits a vote using electronic or acceptable |
technological means may request and cast a ballot in person at |
the election meeting, thereby voiding any vote previously |
submitted by that unit owner;
|
(C) that if a written petition by unit owners with at least |
20% of the
votes of
the association is delivered to the board |
within 14 days after the board's
approval
of a rule adopted |
pursuant to subparagraph (B) or subparagraph (B-5) of this |
paragraph (9), the board
shall call a meeting of the unit |
owners within 30 days after the date of
delivery of
the |
petition; that unless a majority of the total votes of the unit |
owners are
cast
at the
meeting to reject the rule, the rule is |
ratified;
|
|
(D) that votes cast by ballot under subparagraph (B) or |
electronic or acceptable technological means under |
subparagraph (B-5) of this paragraph (9) are valid for the |
purpose of establishing a quorum;
|
(10) that the association may, upon adoption of the |
appropriate rules by
the board of managers, conduct elections |
by secret ballot whereby the voting
ballot is marked only with |
the percentage interest for the unit and the vote
itself, |
provided that the board further adopt rules to verify the |
status of the
unit owner issuing a proxy or casting a ballot; |
and further, that a candidate
for election to the board of |
managers or such
candidate's representative shall have the |
right to be present at the
counting of ballots at such |
election;
|
(11) that in the event of a resale of a condominium unit |
the purchaser
of a unit from a seller other than the developer |
pursuant to an installment
contract for purchase shall during |
such times as he or she resides in the
unit be counted toward a |
quorum for purposes of election of members of the
board of |
managers at any meeting of the unit owners called for purposes |
of
electing members of the board, shall have the right to vote |
for the
election of members of the board of managers and to be |
elected to and serve
on the board of managers unless the seller |
expressly retains in writing any
or all of such rights. In no |
event may the seller and purchaser both be
counted toward a |
quorum, be permitted to vote for a particular office or be
|
|
elected and serve on the board. Satisfactory evidence of the |
installment contract
contact shall be made available to the |
association or its agents. For
purposes of this subsection, |
"installment contract" contact" shall have the same
meaning as |
set forth in Section 1 (e) of the Dwelling Unit Installment |
Contract Act "An Act relating to installment
contracts to sell |
dwelling structures", approved August 11, 1967, as amended ;
|
(12) the method by which matters subject to the approval of |
unit owners
set forth in this Act, or in the condominium |
instruments, will be
submitted to the unit owners at special |
membership meetings called for such
purposes; and
|
(13) that matters subject to the affirmative vote of not |
less than 2/3
of the votes of unit owners at a meeting duly |
called for that purpose,
shall include, but not be limited to:
|
(i) merger or consolidation of the association;
|
(ii) sale, lease, exchange, or other disposition |
(excluding the mortgage
or pledge) of all, or substantially |
all of the property and assets of the
association; and
|
(iii) the purchase or sale of land or of units on |
behalf of all unit owners.
|
(c) Election of a president from among the board of |
managers, who shall
preside over the meetings of the board of |
managers and of the unit owners.
|
(d) Election of a secretary from among the board of |
managers, who shall
keep the minutes of all meetings
of the |
board of managers and of the unit owners and who shall, in |
|
general,
perform all the duties incident to the office of |
secretary.
|
(e) Election of a treasurer from among the board of |
managers, who shall
keep the financial records and
books of |
account.
|
(f) Maintenance, repair and replacement of the common |
elements and
payments therefor, including the method of |
approving payment vouchers.
|
(g) An association with 30 or more units shall obtain and |
maintain
fidelity insurance covering persons who control or |
disburse funds of the
association for the maximum amount of |
coverage available to protect funds
in the custody or control |
of the association plus the association reserve
fund. All |
management companies which are responsible for the funds held |
or
administered by the association shall maintain and furnish |
to the
association a fidelity bond for the maximum amount of |
coverage available to
protect funds in the custody of the |
management company at any time. The
association shall bear the |
cost of the fidelity insurance and fidelity
bond, unless |
otherwise provided by contract between the association and a
|
management company. The association shall be the direct obligee |
of any
such fidelity bond. A management company holding reserve |
funds of an
association shall at all times maintain a separate |
account for each
association, provided, however, that for |
investment purposes, the Board of
Managers of an association |
may authorize a management company to maintain
the |
|
association's reserve funds in a single interest bearing |
account with
similar funds of other associations. The |
management company shall at all
times maintain records |
identifying all moneys of each association in such
investment |
account. The management company may hold all operating funds of
|
associations which it manages in a single operating account but |
shall at
all times maintain records identifying all moneys of |
each association in
such operating account. Such operating and |
reserve funds held by the
management company for the |
association shall not be subject to attachment
by any creditor |
of the management company.
|
For the purpose of this subsection , a management company |
shall be
defined as a person, partnership, corporation, or |
other legal entity
entitled to transact business on behalf of |
others, acting on behalf of or
as an agent for a unit owner, |
unit owners or association of unit owners for
the purpose of |
carrying out the duties, responsibilities, and other
|
obligations necessary for the day to day operation and |
management of any
property subject to this Act. For purposes of |
this subsection, the term
"fiduciary insurance coverage" shall |
be defined as both a fidelity bond and
directors and officers |
liability coverage, the fidelity bond in the full
amount of |
association funds and association reserves that will be in the
|
custody of the association, and the directors and officers |
liability
coverage at a level as shall be determined to be |
reasonable by the board of
managers, if not otherwise |
|
established by the declaration or by laws.
|
Until one year after September 21, 1985 ( the effective date |
of Public Act 84-722) this amendatory Act of 1985 ,
if a |
condominium association has reserves plus assessments in |
excess of
$250,000 and cannot reasonably obtain 100% fidelity |
bond coverage for such
amount, then it must obtain a fidelity |
bond coverage of $250,000.
|
(h) Method of estimating the amount of the annual budget, |
and the manner
of assessing and collecting from the unit owners |
their respective shares of
such estimated expenses, and of any |
other expenses lawfully agreed upon.
|
(i) That upon 10 days notice to the manager or board of |
managers and
payment of a reasonable fee, any unit owner shall |
be furnished a statement
of his account setting forth the |
amount of any unpaid assessments or other
charges due and owing |
from such owner.
|
(j) Designation and removal of personnel necessary for the |
maintenance,
repair and replacement of the common elements.
|
(k) Such restrictions on and requirements respecting the |
use and
maintenance of the units and the use of the common |
elements, not set forth
in the declaration, as are designed to |
prevent unreasonable interference
with the use of their |
respective units and of the common elements by the
several unit |
owners.
|
(l) Method of adopting and of amending administrative rules |
and
regulations governing the operation and use of the common |
|
elements.
|
(m) The percentage of votes required to modify or amend the |
bylaws, but
each one of the particulars set forth in this |
section shall always be
embodied in the bylaws.
|
(n)(i) The provisions of this Act, the declaration, bylaws, |
other
condominium instruments, and rules and regulations that |
relate to the use
of the individual unit or the common elements |
shall be applicable to
any person leasing a unit and shall be |
deemed to be incorporated in any
lease executed or renewed on |
or after August 30, 1984 ( the effective date of Public Act |
83-1271) this amendatory
Act of 1984 . |
(ii) With regard to any lease entered into subsequent to |
July 1, 1990 ( the
effective date of Public Act 86-991) this |
amendatory Act of 1989 , the unit owner leasing the
unit shall |
deliver a copy of the signed lease to the board or if the
lease |
is oral, a memorandum of the lease, not later than the date of
|
occupancy or 10 days after the lease is signed, whichever |
occurs first. In
addition to any other remedies, by filing an |
action jointly against the
tenant and the unit owner, an |
association may seek to enjoin a tenant from
occupying a unit |
or seek to evict a tenant under the provisions of Article
IX of |
the Code of Civil Procedure for failure of the lessor-owner to
|
comply with the leasing requirements prescribed by
this Section |
or by the declaration, bylaws, and
rules and regulations. The |
board of managers may proceed directly against a
tenant, at law |
or in equity, or under the provisions of Article IX of the
Code |
|
of Civil Procedure, for any other breach by tenant of any
|
covenants, rules, regulations or bylaws.
|
(o) The association shall have no authority to forbear the |
payment
of assessments by any unit owner.
|
(p) That when 30% or fewer of the units, by number,
possess |
over 50% in the aggregate of the votes in the association,
any |
percentage vote of members specified herein or in the |
condominium
instruments shall require the specified percentage |
by number of units
rather than by percentage of interest in the |
common elements allocated
to units that would otherwise be |
applicable and garage units or storage units, or both, shall |
have, in total, no more votes than their aggregate percentage |
of ownership in the common elements; this shall mean that if |
garage units or storage units, or both, are to be given a vote, |
or portion of a vote, that the association must add the total |
number of votes cast of garage units, storage units, or both, |
and divide the total by the number of garage units, storage |
units, or both, and multiply by the aggregate percentage of |
ownership of garage units and storage units to determine the |
vote, or portion of a vote, that garage units or storage units, |
or both, have. For purposes of this subsection (p), when making |
a determination of whether 30% or fewer of the units, by |
number, possess over 50% in the aggregate of the votes in the |
association, a unit shall not include a garage unit or a |
storage unit.
|
(q) That a unit owner may not assign, delegate, transfer, |
|
surrender, or
avoid the duties, responsibilities, and |
liabilities of a unit owner under this
Act, the condominium |
instruments, or the rules and regulations of the
Association; |
and that such an attempted assignment, delegation, transfer,
|
surrender, or avoidance shall be deemed void.
|
The provisions of this Section are applicable to all |
condominium
instruments recorded under this Act. Any portion of |
a condominium
instrument which contains provisions contrary to |
these provisions shall be
void as against public policy and |
ineffective. Any such instrument which
fails to contain the |
provisions required by this Section shall be deemed to
|
incorporate such provisions by operation of law.
|
(Source: P.A. 98-1042, eff. 1-1-15; revised 10-19-15.)
|
(Text of Section after amendment by P.A. 99-472 ) |
Sec. 18. Contents of bylaws. The bylaws shall provide for |
at least
the following:
|
(a)(1) The election from among the unit owners of a board |
of managers,
the number of persons constituting such board, and |
that the terms of at
least one-third of the members of the |
board shall expire annually and that
all members of the board |
shall be elected at large ; if .
If there are multiple owners of |
a single unit, only one of the multiple
owners shall be |
eligible to serve as a member of the board at any one time ; .
|
(2) the powers and duties of the board;
|
(3) the compensation, if any, of the members of the board;
|
|
(4) the method of removal from office of members of the |
board;
|
(5) that the board may engage the services of a manager or |
managing agent;
|
(6) that each unit owner shall receive, at least 25 days |
prior to the
adoption thereof by the board of managers, a copy |
of the proposed annual
budget together with an indication of |
which portions are intended for
reserves, capital expenditures |
or repairs or payment of real estate taxes;
|
(7) that the board of managers shall annually supply to
all |
unit owners an itemized accounting of the common expenses
for |
the preceding year actually incurred or paid, together
with an |
indication of which portions were for reserves, capital
|
expenditures or repairs or payment of real estate taxes and
|
with a tabulation of the amounts collected pursuant to the
|
budget or assessment, and showing the net excess or
deficit of |
income over expenditures plus reserves;
|
(8)(i) that each unit owner shall receive notice, in the |
same manner
as is provided in this Act for membership meetings, |
of any meeting of the
board of managers concerning the adoption |
of the proposed annual budget and
regular assessments pursuant |
thereto or to adopt a separate (special)
assessment, (ii) that |
except as provided in subsection (iv) below, if an
adopted
|
budget or any separate assessment adopted by the board would |
result in the
sum of all regular and separate assessments |
payable in the current fiscal year
exceeding 115% of the sum of |
|
all regular and separate
assessments payable during the
|
preceding fiscal year, the
board of managers, upon written |
petition by unit owners with 20 percent of
the votes of the |
association delivered to the board within 14
days of the board |
action,
shall call a meeting of the unit owners within 30 days |
of the date of
delivery of the petition to consider the budget |
or separate
assessment; unless a
majority of
the total votes of |
the unit owners are cast at the meeting to reject the
budget or |
separate assessment,
it is ratified, (iii) that any common |
expense not set forth in the budget or
any increase in |
assessments over the amount adopted in the budget shall be
|
separately assessed against all unit owners, (iv) that separate |
assessments for
expenditures relating to emergencies or |
mandated by law may be adopted by the
board of managers without |
being subject to unit owner approval or the
provisions of item |
(ii) above or item (v) below. As used
herein, "emergency" means |
an immediate danger to the structural integrity of
the
common |
elements or to the life, health, safety or property of the unit |
owners,
(v) that assessments
for additions and alterations to |
the common elements or to association-owned
property not |
included in the adopted annual budget, shall be separately
|
assessed and are subject to approval of two-thirds of the total |
votes of all
unit owners, (vi) that the board of managers may |
adopt separate assessments
payable over more than one fiscal |
year. With respect to multi-year assessments
not governed by |
items (iv) and (v), the entire amount of the multi-year
|
|
assessment shall be deemed considered and authorized in the |
first fiscal year
in which the assessment is approved;
|
(9)(A) that every meeting of the board of managers shall be |
open to any unit
owner, except for the portion of any meeting |
held to discuss or consider information relating to: (i) |
litigation
when an action against or on behalf of the |
particular association has been
filed and is pending in a court |
or administrative tribunal,
or when the board of managers finds |
that such an action is probable
or imminent, (ii) appointment, |
employment
or dismissal of an employee, (iii) violations of |
rules and
regulations of the association, or (iv) a unit |
owner's unpaid share of common
expenses; that any vote on these |
matters discussed or considered in closed session shall take |
place at a meeting of the board of managers or
portion thereof |
open to any unit owner; |
(B) that board members may participate in and act at any |
meeting of the board of managers in person, by telephonic |
means, or by use of any acceptable technological means whereby |
all persons participating in the meeting can communicate with |
each other; that participation constitutes attendance and |
presence in person at the meeting; |
(C) that any unit owner may record the
proceedings at |
meetings of the board of managers or portions thereof required |
to be open by this
Act by tape, film or other means, and that |
the board may prescribe reasonable
rules and regulations to |
govern the right to make such recordings; |
|
(D) that
notice of every meeting of the board of managers |
shall be given to every board member at least 48 hours
prior |
thereto, unless the board member waives notice of the meeting |
pursuant to subsection (a) of Section 18.8; and |
(E) that notice of every meeting
of the board of managers |
shall be posted in entranceways,
elevators, or other |
conspicuous places in the condominium at least 48 hours
prior |
to the meeting of the board of managers except where there is |
no
common entranceway for 7 or more units, the board of |
managers may designate
one or more locations in the proximity |
of these units where the notices of
meetings shall be posted; |
that notice of every meeting of the board of managers shall |
also be given at least 48 hours prior to the meeting, or such |
longer notice as this Act may separately require, to: (i) each |
unit owner who has provided the association with written |
authorization to conduct business by acceptable technological |
means, and (ii) to the extent that the condominium instruments |
of an association require, to each other unit owner, as |
required by subsection (f) of Section 18.8, by mail or |
delivery, and that no other notice of a meeting of the board of |
managers need be given to any unit owner;
|
(10) that the board shall meet at least 4 times annually;
|
(11) that no member of the board or officer shall be |
elected for a term
of more than 2 years, but that officers and |
board members may succeed
themselves;
|
(12) the designation of an officer to mail and receive all |
|
notices and
execute amendments to condominium instruments as |
provided for in this Act
and in the condominium instruments;
|
(13) the method of filling vacancies on the board
which |
shall include authority for the remaining members of the board |
to
fill the vacancy by two-thirds vote until the next annual |
meeting of unit
owners or for a period terminating no later |
than 30 days following the
filing of a petition signed by unit |
owners holding 20% of the votes of the
association requesting a |
meeting of the unit owners to fill the vacancy for
the balance |
of the term, and that a meeting of the unit owners shall be
|
called for purposes of filling a vacancy on the board no later |
than 30 days
following the filing of a petition signed by unit |
owners holding 20% of the
votes of the association requesting |
such a meeting, and the method of filling
vacancies among the |
officers that shall include the authority for the members
of |
the board to fill the vacancy for the unexpired portion of the |
term;
|
(14) what percentage of the board of managers, if other |
than a majority,
shall constitute a quorum;
|
(15) provisions concerning notice of board meetings to |
members of the
board;
|
(16) the board of managers may not enter into a contract |
with a
current board member
or with a corporation or |
partnership in which a board
member or a member of the board |
member's immediate family has 25% or
more interest, unless |
notice of intent to enter the
contract is given to unit owners |
|
within 20 days after a decision is made
to enter into the |
contract and the unit owners are
afforded an opportunity by |
filing a petition, signed by 20% of the unit
owners, for an |
election to approve or disapprove the contract;
such petition |
shall be filed within 20 days after such notice and such
|
election shall be held within 30 days after filing the |
petition; for purposes
of this subsection, a board member's |
immediate family means the board member's
spouse, parents, and |
children;
|
(17) that the board of managers may disseminate
to unit |
owners biographical and background information about |
candidates for
election to the board if (i) reasonable efforts |
to identify all candidates are
made and all candidates are |
given an opportunity to include biographical and
background |
information in the information to be disseminated; and (ii) the
|
board does not express a preference in favor of any candidate;
|
(18) any proxy distributed for board elections
by the board |
of managers gives unit owners the
opportunity to designate any |
person as the proxy holder, and gives the unit
owner the |
opportunity to express a preference for any of the known
|
candidates for the board or to write in a name;
|
(19) that special meetings of the board of managers can be |
called by
the president or 25% of the members of the board;
|
(20) that the board of managers may establish
and maintain |
a system of master metering of public utility services and
|
collect payments in connection therewith, subject to the |
|
requirements of the
Tenant Utility Payment Disclosure Act; and
|
(21) that the board may ratify and confirm actions of the
|
members of the board taken in response to an emergency, as that
|
term is defined in subdivision (a)(8)(iv) of this Section; that
|
the board shall give notice to the unit owners of: (i) the
|
occurrence of the emergency event within 7 business days after
|
the emergency event, and (ii) the general description of the
|
actions taken to address the event within 7 days after the
|
emergency event. |
The intent of the provisions of Public Act 99-472 this |
amendatory Act of the 99th General
Assembly adding this |
paragraph (21) is to empower and support boards to act in
|
emergencies.
|
(b)(1) What percentage of the unit owners, if other than |
20%, shall
constitute a quorum provided that, for condominiums |
with 20 or more units,
the percentage of unit owners |
constituting a quorum shall be 20% unless the
unit owners |
holding a majority of the percentage interest in the
|
association provide for a higher percentage, provided that in |
voting on amendments to the association's bylaws, a unit owner |
who is in arrears on the unit owner's regular or separate |
assessments for 60 days or more, shall not be counted for |
purposes of determining if a quorum is present, but that unit |
owner retains the right to vote on amendments to the |
association's bylaws;
|
(2) that the association shall have one class of |
|
membership;
|
(3) that the members shall hold an annual meeting, one of |
the purposes
of which shall be to elect members of the board of |
managers;
|
(4) the method of calling meetings of the unit owners;
|
(5) that special meetings of the members can be called by |
the president,
board of managers, or by 20% of unit owners;
|
(6) that written notice of any membership meeting shall be |
mailed
or delivered giving members no less than 10 and no more |
than 30 days
notice of the time, place and purpose of such |
meeting except that notice may be sent, to the extent the |
condominium instruments or rules adopted thereunder expressly |
so provide, by electronic transmission consented to by the unit |
owner to whom the notice is given, provided the director and |
officer or his agent certifies in writing to the delivery by |
electronic transmission;
|
(7) that voting shall be on a percentage basis, and that |
the percentage
vote to which each unit is entitled is the |
percentage interest of the
undivided ownership of the common |
elements appurtenant thereto, provided
that the bylaws may |
provide for approval by unit owners in connection with
matters |
where the requisite approval on a percentage basis is not |
specified
in this Act, on the basis of one vote per unit;
|
(8) that, where there is more than one owner of a unit, if |
only one
of the multiple owners is present at a meeting of the |
association, he is
entitled to cast all the votes allocated to |
|
that unit, if more than one of
the multiple owners are present, |
the votes allocated to that unit may be
cast only in accordance |
with the agreement of a majority in interest of the
multiple |
owners, unless the declaration expressly provides otherwise, |
that
there is majority agreement if any one of the multiple |
owners cast the
votes allocated to that unit without protest |
being made promptly to the
person presiding over the meeting by |
any of the other owners of the unit;
|
(9)(A) except as provided in subparagraph (B) of this |
paragraph (9) in
connection with board elections, that
a unit |
owner may vote by proxy executed in writing by the unit
owner |
or by his duly authorized attorney in fact; that the proxy must |
bear the date of
execution
and, unless the condominium |
instruments or the written proxy itself provide
otherwise, is
|
invalid after 11 months from the date of its execution; to the |
extent the condominium instruments or rules adopted thereunder |
expressly so provide, a vote or proxy may be submitted by |
electronic transmission, provided that any such electronic |
transmission shall either set forth or be submitted with |
information from which it can be determined that the electronic |
transmission was authorized by the unit owner or the unit |
owner's proxy;
|
(B) that if a rule adopted at least 120 days before a board |
election
or the
declaration or bylaws provide for balloting as |
set forth in this subsection,
unit
owners may not vote by proxy |
in board elections, but may vote only (i) by
submitting an |
|
association-issued ballot in person at the election meeting or
|
(ii) by
submitting an association-issued ballot to the |
association or its designated
agent
by mail or other means of |
delivery specified in the declaration, bylaws, or
rule; that
|
the ballots shall be mailed or otherwise distributed to unit |
owners not less
than 10
and not more than 30 days before the |
election meeting, and the board shall give
unit owners not less |
than 21 days' prior written notice of the deadline for
|
inclusion of a candidate's name on the ballots; that the |
deadline shall be no
more
than 7 days before the ballots are |
mailed or otherwise distributed to unit
owners; that
every such |
ballot must include the names of all candidates who have given |
the
board or its authorized agent timely written notice of |
their candidacy and must
give the person casting the ballot the |
opportunity to cast votes for candidates
whose names do not |
appear on the ballot; that a ballot received by the
association
|
or
its designated agent after the close of voting shall not be |
counted; that a
unit
owner
who submits a ballot by mail or |
other means of delivery specified in the
declaration, bylaws, |
or rule may request and cast a ballot in person at the
election
|
meeting, and thereby void any ballot previously submitted by |
that unit owner; |
(B-5) that if a rule adopted at least 120 days before a |
board election or the declaration or bylaws provide for |
balloting as set forth in this subparagraph, unit owners may |
not vote by proxy in board elections, but may vote only (i) by |
|
submitting an association-issued ballot in person at the |
election meeting; or (ii) by any acceptable technological means |
as defined in Section 2 of this Act; instructions regarding the |
use of electronic means for voting shall be distributed to all |
unit owners not less than 10 and not more than 30 days before |
the election meeting, and the board shall give unit owners not |
less than 21 days' prior written notice of the deadline for |
inclusion of a candidate's name on the ballots; the deadline |
shall be no more than 7 days before the instructions for voting |
using electronic or acceptable technological means is |
distributed to unit owners; every instruction notice must |
include the names of all candidates who have given the board or |
its authorized agent timely written notice of their candidacy |
and must give the person voting through electronic or |
acceptable technological means the opportunity to cast votes |
for candidates whose names do not appear on the ballot; a unit |
owner who submits a vote using electronic or acceptable |
technological means may request and cast a ballot in person at |
the election meeting, thereby voiding any vote previously |
submitted by that unit owner;
|
(C) that if a written petition by unit owners with at least |
20% of the
votes of
the association is delivered to the board |
within 14 days after the board's
approval
of a rule adopted |
pursuant to subparagraph (B) or subparagraph (B-5) of this |
paragraph (9), the board
shall call a meeting of the unit |
owners within 30 days after the date of
delivery of
the |
|
petition; that unless a majority of the total votes of the unit |
owners are
cast
at the
meeting to reject the rule, the rule is |
ratified;
|
(D) that votes cast by ballot under subparagraph (B) or |
electronic or acceptable technological means under |
subparagraph (B-5) of this paragraph (9) are valid for the |
purpose of establishing a quorum;
|
(10) that the association may, upon adoption of the |
appropriate rules by
the board of managers, conduct elections |
by secret ballot whereby the voting
ballot is marked only with |
the percentage interest for the unit and the vote
itself, |
provided that the board further adopt rules to verify the |
status of the
unit owner issuing a proxy or casting a ballot; |
and further, that a candidate
for election to the board of |
managers or such
candidate's representative shall have the |
right to be present at the
counting of ballots at such |
election;
|
(11) that in the event of a resale of a condominium unit |
the purchaser
of a unit from a seller other than the developer |
pursuant to an installment
contract for purchase shall during |
such times as he or she resides in the
unit be counted toward a |
quorum for purposes of election of members of the
board of |
managers at any meeting of the unit owners called for purposes |
of
electing members of the board, shall have the right to vote |
for the
election of members of the board of managers and to be |
elected to and serve
on the board of managers unless the seller |
|
expressly retains in writing any
or all of such rights. In no |
event may the seller and purchaser both be
counted toward a |
quorum, be permitted to vote for a particular office or be
|
elected and serve on the board. Satisfactory evidence of the |
installment contract
contact shall be made available to the |
association or its agents. For
purposes of this subsection, |
"installment contract" contact" shall have the same
meaning as |
set forth in Section 1 (e) of the Dwelling Unit Installment |
Contract Act "An Act relating to installment
contracts to sell |
dwelling structures", approved August 11, 1967, as amended ;
|
(12) the method by which matters subject to the approval of |
unit owners
set forth in this Act, or in the condominium |
instruments, will be
submitted to the unit owners at special |
membership meetings called for such
purposes; and
|
(13) that matters subject to the affirmative vote of not |
less than 2/3
of the votes of unit owners at a meeting duly |
called for that purpose,
shall include, but not be limited to:
|
(i) merger or consolidation of the association;
|
(ii) sale, lease, exchange, or other disposition |
(excluding the mortgage
or pledge) of all, or substantially |
all of the property and assets of the
association; and
|
(iii) the purchase or sale of land or of units on |
behalf of all unit owners.
|
(c) Election of a president from among the board of |
managers, who shall
preside over the meetings of the board of |
managers and of the unit owners.
|
|
(d) Election of a secretary from among the board of |
managers, who shall
keep the minutes of all meetings
of the |
board of managers and of the unit owners and who shall, in |
general,
perform all the duties incident to the office of |
secretary.
|
(e) Election of a treasurer from among the board of |
managers, who shall
keep the financial records and
books of |
account.
|
(f) Maintenance, repair and replacement of the common |
elements and
payments therefor, including the method of |
approving payment vouchers.
|
(g) An association with 30 or more units shall obtain and |
maintain
fidelity insurance covering persons who control or |
disburse funds of the
association for the maximum amount of |
coverage available to protect funds
in the custody or control |
of the association plus the association reserve
fund. All |
management companies which are responsible for the funds held |
or
administered by the association shall maintain and furnish |
to the
association a fidelity bond for the maximum amount of |
coverage available to
protect funds in the custody of the |
management company at any time. The
association shall bear the |
cost of the fidelity insurance and fidelity
bond, unless |
otherwise provided by contract between the association and a
|
management company. The association shall be the direct obligee |
of any
such fidelity bond. A management company holding reserve |
funds of an
association shall at all times maintain a separate |
|
account for each
association, provided, however, that for |
investment purposes, the Board of
Managers of an association |
may authorize a management company to maintain
the |
association's reserve funds in a single interest bearing |
account with
similar funds of other associations. The |
management company shall at all
times maintain records |
identifying all moneys of each association in such
investment |
account. The management company may hold all operating funds of
|
associations which it manages in a single operating account but |
shall at
all times maintain records identifying all moneys of |
each association in
such operating account. Such operating and |
reserve funds held by the
management company for the |
association shall not be subject to attachment
by any creditor |
of the management company.
|
For the purpose of this subsection , a management company |
shall be
defined as a person, partnership, corporation, or |
other legal entity
entitled to transact business on behalf of |
others, acting on behalf of or
as an agent for a unit owner, |
unit owners or association of unit owners for
the purpose of |
carrying out the duties, responsibilities, and other
|
obligations necessary for the day to day operation and |
management of any
property subject to this Act. For purposes of |
this subsection, the term
"fiduciary insurance coverage" shall |
be defined as both a fidelity bond and
directors and officers |
liability coverage, the fidelity bond in the full
amount of |
association funds and association reserves that will be in the
|
|
custody of the association, and the directors and officers |
liability
coverage at a level as shall be determined to be |
reasonable by the board of
managers, if not otherwise |
established by the declaration or by laws.
|
Until one year after September 21, 1985 ( the effective date |
of Public Act 84-722) this amendatory Act of 1985 ,
if a |
condominium association has reserves plus assessments in |
excess of
$250,000 and cannot reasonably obtain 100% fidelity |
bond coverage for such
amount, then it must obtain a fidelity |
bond coverage of $250,000.
|
(h) Method of estimating the amount of the annual budget, |
and the manner
of assessing and collecting from the unit owners |
their respective shares of
such estimated expenses, and of any |
other expenses lawfully agreed upon.
|
(i) That upon 10 days notice to the manager or board of |
managers and
payment of a reasonable fee, any unit owner shall |
be furnished a statement
of his account setting forth the |
amount of any unpaid assessments or other
charges due and owing |
from such owner.
|
(j) Designation and removal of personnel necessary for the |
maintenance,
repair and replacement of the common elements.
|
(k) Such restrictions on and requirements respecting the |
use and
maintenance of the units and the use of the common |
elements, not set forth
in the declaration, as are designed to |
prevent unreasonable interference
with the use of their |
respective units and of the common elements by the
several unit |
|
owners.
|
(l) Method of adopting and of amending administrative rules |
and
regulations governing the operation and use of the common |
elements.
|
(m) The percentage of votes required to modify or amend the |
bylaws, but
each one of the particulars set forth in this |
section shall always be
embodied in the bylaws.
|
(n)(i) The provisions of this Act, the declaration, bylaws, |
other
condominium instruments, and rules and regulations that |
relate to the use
of the individual unit or the common elements |
shall be applicable to
any person leasing a unit and shall be |
deemed to be incorporated in any
lease executed or renewed on |
or after August 30, 1984 ( the effective date of Public Act |
83-1271) this amendatory
Act of 1984 . |
(ii) With regard to any lease entered into subsequent to |
July 1, 1990 ( the
effective date of Public Act 86-991) this |
amendatory Act of 1989 , the unit owner leasing the
unit shall |
deliver a copy of the signed lease to the board or if the
lease |
is oral, a memorandum of the lease, not later than the date of
|
occupancy or 10 days after the lease is signed, whichever |
occurs first. In
addition to any other remedies, by filing an |
action jointly against the
tenant and the unit owner, an |
association may seek to enjoin a tenant from
occupying a unit |
or seek to evict a tenant under the provisions of Article
IX of |
the Code of Civil Procedure for failure of the lessor-owner to
|
comply with the leasing requirements prescribed by
this Section |
|
or by the declaration, bylaws, and
rules and regulations. The |
board of managers may proceed directly against a
tenant, at law |
or in equity, or under the provisions of Article IX of the
Code |
of Civil Procedure, for any other breach by tenant of any
|
covenants, rules, regulations or bylaws.
|
(o) The association shall have no authority to forbear the |
payment
of assessments by any unit owner.
|
(p) That when 30% or fewer of the units, by number,
possess |
over 50% in the aggregate of the votes in the association,
any |
percentage vote of members specified herein or in the |
condominium
instruments shall require the specified percentage |
by number of units
rather than by percentage of interest in the |
common elements allocated
to units that would otherwise be |
applicable and garage units or storage units, or both, shall |
have, in total, no more votes than their aggregate percentage |
of ownership in the common elements; this shall mean that if |
garage units or storage units, or both, are to be given a vote, |
or portion of a vote, that the association must add the total |
number of votes cast of garage units, storage units, or both, |
and divide the total by the number of garage units, storage |
units, or both, and multiply by the aggregate percentage of |
ownership of garage units and storage units to determine the |
vote, or portion of a vote, that garage units or storage units, |
or both, have. For purposes of this subsection (p), when making |
a determination of whether 30% or fewer of the units, by |
number, possess over 50% in the aggregate of the votes in the |
|
association, a unit shall not include a garage unit or a |
storage unit.
|
(q) That a unit owner may not assign, delegate, transfer, |
surrender, or
avoid the duties, responsibilities, and |
liabilities of a unit owner under this
Act, the condominium |
instruments, or the rules and regulations of the
Association; |
and that such an attempted assignment, delegation, transfer,
|
surrender, or avoidance shall be deemed void.
|
The provisions of this Section are applicable to all |
condominium
instruments recorded under this Act. Any portion of |
a condominium
instrument which contains provisions contrary to |
these provisions shall be
void as against public policy and |
ineffective. Any such instrument which
fails to contain the |
provisions required by this Section shall be deemed to
|
incorporate such provisions by operation of law.
|
(Source: P.A. 98-1042, eff. 1-1-15; 99-472, eff. 6-1-16; |
revised 10-19-15.)
|
Section 610. The Illinois Human Rights Act is amended by |
changing Sections 2-104, 3-102, 3-105, 8-101, and 9-102 as |
follows:
|
(775 ILCS 5/2-104) (from Ch. 68, par. 2-104)
|
Sec. 2-104. Exemptions.
|
(A) Nothing contained in this Act shall prohibit an |
employer, employment
agency , or labor organization from:
|
|
(1) Bona Fide Qualification. Hiring or selecting |
between persons
for bona fide occupational qualifications |
or any reason except those
civil-rights violations |
specifically identified in this Article.
|
(2) Veterans. Giving preferential treatment to |
veterans and their
relatives as required by the laws or |
regulations of the United States or
this State or a unit of |
local government, or pursuant to a private employer's |
voluntary veterans' preference employment policy |
authorized by the Veterans Preference in Private |
Employment Act.
|
(3) Unfavorable Discharge From Military Service. |
(a) Using unfavorable
discharge from military |
service as a valid employment criterion when
|
authorized by federal law or regulation or when a |
position of employment
involves the exercise of |
fiduciary responsibilities as defined by rules
and |
regulations which the Department shall adopt; or |
(b) Participating in a bona fide recruiting |
incentive program, sponsored by a branch of the United |
States Armed Forces, a reserve component of the United |
States Armed Forces, or any National Guard or Naval |
Militia, where participation in the program is limited |
by the sponsoring branch based upon the service |
member's discharge status.
|
(4) Ability Tests. Giving or acting upon the results of |
|
any
professionally developed ability test provided that |
such test, its
administration, or action upon the results, |
is not used as a subterfuge
for or does not have the effect |
of unlawful discrimination.
|
(5) Merit and Retirement Systems.
|
(a) Applying different standards of compensation, |
or different
terms, conditions or privileges of |
employment pursuant to a merit or
retirement system |
provided that such system or its administration is not
|
used as a subterfuge for or does not have the effect of |
unlawful
discrimination.
|
(b) Effecting compulsory retirement of any |
employee who has
attained 65 years of age and who, for |
the 2-year period immediately
preceding retirement, is |
employed in a bona fide executive or a high
|
policymaking position, if such employee is entitled to |
an immediate
nonforfeitable annual retirement benefit |
from a pension, profit-sharing,
savings, or deferred |
compensation plan, or any combination of such plans of
|
the employer of such employee, which equals, in the |
aggregate, at least
$44,000. If any such retirement |
benefit is in a form other than a straight
life annuity |
(with no ancillary benefits) or if the employees |
contribute to
any such plan or make rollover |
contributions, the retirement benefit shall
be |
adjusted in accordance with regulations prescribed by |
|
the Department, so
that the benefit is the equivalent |
of a straight life annuity (with no
ancillary benefits) |
under a plan to which employees do not contribute and
|
under which no rollover contributions are made.
|
(c) Until January 1, 1994, effecting compulsory |
retirement of any
employee who has attained 70 years of |
age, and who is serving under a
contract of unlimited |
tenure (or similar arrangement providing for
unlimited |
tenure) at an institution of higher education as |
defined by
Section 1201(a) of the Higher Education Act |
of 1965.
|
(6) Training and Apprenticeship programs. Establishing |
an educational
requirement as a prerequisite to selection |
for a training or apprenticeship
program, provided such |
requirement does not operate to discriminate on the
basis |
of any prohibited classification except age.
|
(7) Police and Firefighter/Paramedic Retirement. |
Imposing a mandatory
retirement age for |
firefighters/paramedics or law enforcement officers
and
|
discharging or retiring such individuals pursuant to the |
mandatory retirement
age if such action is taken pursuant |
to a bona fide retirement plan provided
that the law |
enforcement officer or firefighter/paramedic
has attained:
|
(a) the age of retirement in effect under |
applicable State or local
law
on
March 3, 1983; or
|
(b) if the applicable State or local law was |
|
enacted
after the date of enactment of the federal Age |
Discrimination in Employment
Act
Amendments of 1996 |
(P.L. 104-208),
the age of retirement in effect on the |
date of such discharge
under
such law.
|
This paragraph (7) shall not apply with respect to
any |
cause of action arising under the Illinois Human Rights Act |
as in
effect prior to the effective date of this amendatory |
Act of 1997.
|
(8) Police and Firefighter/Paramedic Appointment. |
Failing or
refusing to hire any individual because of such
|
individual's age if such action is taken with respect to |
the employment of
an individual as a firefighter/paramedic |
or as a law enforcement officer
and the individual has |
attained:
|
(a) the age of hiring or appointment in effect
|
under applicable State or local law on March 3,
1983; |
or
|
(b) the age of hiring in effect on the date of such |
failure or refusal
to
hire under applicable State or |
local law enacted after the date of
enactment of the |
federal Age Discrimination in Employment Act |
Amendments of
1996 (P.L. 104-208).
|
As used in paragraph (7) or (8):
|
"Firefighter/paramedic" means an employee, the duties |
of whose
position are primarily to perform work directly |
connected with the control
and extinguishment of fires or |
|
the maintenance and use of firefighting
apparatus and |
equipment, or to provide emergency medical services,
|
including an employee engaged in this activity who is |
transferred to a
supervisory or administrative position.
|
"Law enforcement officer" means an employee, the |
duties of whose
position are primarily the investigation, |
apprehension, or detention of
individuals suspected or |
convicted of criminal offenses, including an
employee |
engaged in this activity who is transferred to a |
supervisory or
administrative position.
|
(9) Citizenship Status. Making legitimate distinctions |
based on
citizenship status if specifically authorized or |
required by State or federal
law.
|
(B) With respect to any employee who is subject to a |
collective
bargaining agreement:
|
(a) which is in effect on June 30, 1986,
|
(b) which terminates after January 1, 1987,
|
(c) any provision of which was entered into by a labor |
organization as
defined by Section 6(d)(4) of the Fair |
Labor Standards Act of 1938 (29
U.S.C. 206(d)(4)), and
|
(d) which contains any provision that would be |
superseded by this
amendatory Act of 1987 ( Public Act |
85-748 ) ,
|
Public Act 85-748 such amendatory Act of 1987 shall not apply |
until the termination of such
collective bargaining agreement |
or January 1, 1990, whichever occurs first.
|
|
(C)(1) For purposes of this Act, the term "disability" |
shall not include
any employee or applicant who is currently |
engaging in the illegal use of
drugs, when an employer acts on |
the basis of such use.
|
(2) Paragraph (1) shall not apply where an employee or |
applicant for
employment:
|
(a) has successfully completed a supervised drug |
rehabilitation program
and is no longer engaging in the |
illegal use of drugs, or has otherwise been
rehabilitated |
successfully and is no longer engaging in such use;
|
(b) is participating in a supervised rehabilitation |
program and is no
longer engaging in such use; or
|
(c) is erroneously regarded as engaging in such use, |
but is not engaging
in such use.
|
It shall not be a violation of this Act for an employer to |
adopt or
administer reasonable policies or procedures, |
including but not limited to drug
testing, designed to ensure |
that an individual described in subparagraph (a) or
(b) is no |
longer engaging in the illegal use of drugs.
|
(3) An employer:
|
(a) may prohibit the illegal use of drugs and the use |
of alcohol at the
workplace by all employees;
|
(b) may require that employees shall not be under the |
influence of alcohol
or be engaging in the illegal use of |
drugs at the workplace;
|
(c) may require that employees behave in conformance |
|
with the requirements
established under the federal |
Drug-Free Workplace Act of 1988 (41 U.S.C. 701 et
seq.) and |
the Drug Free Workplace Act;
|
(d) may hold an employee who engages in the illegal use |
of drugs or who is
an alcoholic to the same qualification |
standards for employment or job
performance and behavior |
that such employer holds other employees, even if any
|
unsatisfactory performance or behavior is related to the |
drug use or alcoholism
of such employee; and
|
(e) may, with respect to federal regulations regarding |
alcohol and the
illegal use of drugs, require that:
|
(i) employees comply with the standards |
established in such regulations
of the United States |
Department of Defense, if the employees of the employer
|
are employed in an industry subject to such |
regulations, including complying
with regulations (if |
any) that apply to employment in sensitive positions in
|
such an industry, in the case of employees of the |
employer who are employed in
such positions (as defined |
in the regulations of the Department of Defense);
|
(ii) employees comply with the standards |
established in such regulations
of the Nuclear |
Regulatory Commission, if the employees of the |
employer are
employed in an industry subject to such |
regulations, including complying with
regulations (if |
any) that apply to employment in sensitive positions in |
|
such an
industry, in the case of employees of the |
employer who are employed in such
positions (as defined |
in the regulations of the Nuclear Regulatory |
Commission);
and
|
(iii) employees comply with the standards |
established in such
regulations of the United States |
Department of Transportation, if the employees
of the |
employer are employed in a transportation industry |
subject to such
regulations, including complying with |
such regulations (if any) that apply to
employment in |
sensitive positions in such an industry, in the case of |
employees
of the employer who are employed in such |
positions (as defined in the
regulations of the United |
States Department of Transportation).
|
(4) For purposes of this Act, a test to determine the |
illegal use of drugs
shall not be considered a medical |
examination. Nothing in this Act shall be
construed to |
encourage, prohibit, or authorize the conducting of drug |
testing
for the illegal use of drugs by job applicants or |
employees or making
employment decisions based on such test |
results.
|
(5) Nothing in this Act shall be construed to encourage, |
prohibit, restrict,
or authorize the otherwise lawful exercise |
by an employer subject to the
jurisdiction of the United States |
Department of Transportation of authority to:
|
(a) test employees of such employer in, and applicants |
|
for, positions
involving safety-sensitive duties for the |
illegal use of drugs and for
on-duty impairment by alcohol; |
and
|
(b) remove such persons who test positive for illegal |
use of drugs and
on-duty impairment by alcohol pursuant to |
subparagraph (a) from
safety-sensitive duties in |
implementing paragraph (3).
|
(Source: P.A. 99-152, eff. 1-1-16, 99-165, eff. 7-28-15; |
revised 10-29-15.)
|
(775 ILCS 5/3-102) (from Ch. 68, par. 3-102)
|
Sec. 3-102. Civil Rights Violations; Real Estate |
Transactions . ) It
is a civil rights violation for an owner or |
any other person engaging in
a real estate transaction, or for |
a real estate broker or salesman,
because of unlawful |
discrimination or familial status, to
|
(A) Transaction. Refuse to engage in a real estate |
transaction with
a person or to discriminate in making |
available such a transaction;
|
(B) Terms. Alter the terms, conditions or privileges of |
a real
estate transaction or in the furnishing of |
facilities or services in
connection therewith;
|
(C) Offer. Refuse to receive or to fail to transmit a |
bona fide
offer to engage in a real estate transaction from |
a person;
|
(D) Negotiation. Refuse to negotiate for a real estate |
|
transaction
with a person;
|
(E) Representations. Represent to a person that real |
property is
not available for inspection, sale, rental, or |
lease when in fact it is
so available, or to fail to bring |
a property listing to his or her
attention, or to refuse to |
permit him or her to inspect real property;
|
(F) Publication of Intent. Make, print, circulate, |
post, mail, publish or cause to be made, printed, |
circulated, posted, mailed, or published any notice, |
statement, advertisement or sign, or use a form of |
application for a real estate transaction, or make a record |
or inquiry in connection with a prospective real estate |
transaction, that indicates any preference, limitation, or |
discrimination based on unlawful discrimination or |
unlawful discrimination based on familial status, or an |
intention to make any such preference, limitation, or |
discrimination;
|
(G) Listings. Offer, solicit, accept, use or retain a |
listing of
real property with knowledge that unlawful |
discrimination or
discrimination on the basis of familial |
status in a real estate
transaction is intended.
|
(Source: P.A. 99-196, eff. 7-30-15; revised 10-20-15.)
|
(775 ILCS 5/3-105) (from Ch. 68, par. 3-105)
|
Sec. 3-105. Restrictive Covenants. ) |
(A) Agreements. Every provision in an oral agreement or a |
|
written instrument
relating to real property which purports to |
forbid or restrict the conveyance,
encumbrance, occupancy , or |
lease thereof on the basis of race, color, religion,
or |
national origin is void.
|
(B) Limitations. (1) Every condition, restriction or |
prohibition, including
a right of entry or possibility of |
reverter, which directly or indirectly
limits the use or |
occupancy of real property on the basis of race, color,
|
religion, or national origin is void.
|
(2) This Section shall not apply to a limitation of use on |
the basis of
religion of real property held by a religious |
institution or organization
or by a religious or charitable |
organization operated, supervised, or controlled
by a |
religious institution or organization, and used for religious |
or charitable
purposes.
|
(C) Civil Rights Violations. It is a civil rights violation |
to insert
in a written instrument relating to real property a |
provision that is void
under this Section or to honor or |
attempt to honor such a provision in the
chain of title.
|
(Source: P.A. 81-1216; revised 10-21-15.)
|
(775 ILCS 5/8-101) (from Ch. 68, par. 8-101)
|
Sec. 8-101. Illinois Human Rights Commission . )
|
(A) Creation; appointments. The Human Rights Commission is |
created to consist
of 13 members appointed by the Governor with |
the advice and consent of the
Senate. No more than 7 members |
|
shall be of the same political party. The
Governor shall |
designate one member as chairperson. All appointments shall
be |
in writing and filed with the Secretary of State as a public |
record.
|
(B) Terms. Of the members first appointed, 4 shall be |
appointed for a
term to expire on the third Monday of January, |
1981, and 5 (including the
Chairperson) shall be appointed for |
a term to expire on the third Monday
of January, 1983.
|
Notwithstanding any provision of this Section to the |
contrary, the term
of office of each member of the Illinois |
Human Rights Commission is
abolished on July 29, 1985, but the
|
incumbent members shall continue to exercise all of the powers |
and be
subject to all of the duties of members of the |
Commission until
their respective successors are appointed and |
qualified. Subject to the
provisions of subsection (A), of the |
9 members appointed under Public Act
84-115, effective July 29, |
1985, 5 members shall be appointed for terms to
expire on the |
third Monday of January, 1987, and 4 members shall be
appointed |
for terms to expire on the third Monday of January, 1989; and
|
of the 4 additional members appointed under Public Act 84-1084,
|
effective December 2, 1985, two shall be
appointed for a term |
to expire on the third Monday of January, 1987, and
two members |
shall be appointed for a term to expire on the third Monday
of |
January, 1989.
|
Thereafter, each member shall serve for a term of 4 years
|
and until his or her successor is appointed and qualified; |
|
except that any
member chosen to fill a vacancy occurring |
otherwise than by expiration of
a term shall be appointed only |
for the unexpired term of the member whom
he or she shall |
succeed and until his or her successor is appointed and
|
qualified.
|
(C) Vacancies. |
(1) In the case of vacancies on the Commission during
a |
recess of the Senate, the Governor shall make a temporary |
appointment
until the next meeting of the Senate when he or |
she shall appoint a person
to fill the vacancy. Any person |
so nominated and confirmed by the Senate
shall hold office |
for the remainder of the term and until his or her |
successor
is appointed and qualified.
|
(2) If the Senate is not in session at the time this |
Act takes effect,
the Governor shall make temporary |
appointments to the Commission as in the
case of vacancies.
|
(3) Vacancies in the Commission shall not impair the |
right of the remaining
members to exercise all the powers |
of the Commission. Except when authorized
by this Act to |
proceed through a 3 member panel, a majority of the members
|
of the Commission then in office shall constitute a quorum.
|
(D) Compensation. The Chairperson of the Commission shall |
be compensated
at the rate of $22,500 per year, or as set by |
the Compensation Review
Board, whichever is greater, during his |
or her service as Chairperson,
and each other member shall be |
compensated at the rate of $20,000 per
year, or as set by the |
|
Compensation Review Board, whichever is greater.
In addition, |
all members of the Commission shall be reimbursed for expenses
|
actually and necessarily incurred by them
in the performance of |
their duties.
|
(Source: P.A. 84-1308; revised 10-20-15.)
|
(775 ILCS 5/9-102) (from Ch. 68, par. 9-102)
|
Sec. 9-102. Pending Matters . ) |
(A) Charges; Complaints; Causes of Action. This Act shall
|
not affect or abate any cause of action, charge, complaint or |
other
matter pending before or accrued under the jurisdiction |
of
the Fair Employment Practices Commission or the Department |
of Equal
Employment Opportunity. Each charge, complaint, or |
matter shall be
assumed by the Department or Commission, as |
provided in this Act, at the
same stage, or a parallel stage, |
of proceeding to which it had
progressed prior to the effective |
date of this Act.
|
(B) Special Cases. The Human Rights Act shall not in any |
way affect or
abate any right,
claim or cause of action under |
the "Equal Opportunities for the Handicapped
Act", approved |
August 23, 1971, as amended, which accrued or arose prior
to |
July 1, 1980.
|
(Source: P.A. 84-1084; revised 10-19-15.)
|
Section 615. The General Not For Profit Corporation Act of |
1986 is amended by changing Section 113.50 as follows:
|
|
(805 ILCS 105/113.50) (from Ch. 32, par. 113.50)
|
Sec. 113.50. Grounds for revocation of
authority. |
(a) The authority of a foreign
corporation to conduct |
affairs in this State may be revoked
by the Secretary of State:
|
(1) Upon the failure of an officer or director to whom
|
interrogatories have been propounded by the Secretary of
|
State, as provided in this Act, to answer the same fully |
and
to file such answer in the office of the Secretary of |
State;
|
(2) If the authority of the corporation was
procured |
through fraud practiced upon the State;
|
(3) If the corporation has continued to exceed or abuse |
the
authority conferred upon it by this Act;
|
(4) Upon the failure of the corporation to keep on file |
in
the office of the Secretary of State duly authenticated
|
copies of each amendment to its articles of or |
incorporation;
|
(5) Upon the failure of the corporation to appoint and
|
maintain a registered agent in this State;
|
(6) Upon the failure of the corporation to file any |
report
after the period prescribed by this Act for the |
filing of
such report;
|
(7) Upon the failure of the corporation to pay any fees |
or
charges prescribed by this Act;
|
(8) For misrepresentation of any material matter in any
|
|
application, report, affidavit, or other document filed by
|
such corporation pursuant to this Act;
|
(9) Upon the failure of the corporation to renew its
|
assumed name or to apply to change its assumed name |
pursuant
to the provisions of this Act, when the |
corporation can only
conduct affairs within this State |
under its assumed name in
accordance with the provisions of |
Section 104.05 of this
Act;
|
(10) Upon notification from the local liquor |
commissioner,
pursuant to Section 4-4(3) of the "The Liquor |
Control Act of
1934, " as now or hereafter amended, that a |
foreign
corporation functioning as a club in this State has |
violated
that Act by selling or offering for sale at retail |
alcoholic
liquors without a retailer's license; or
|
(11) When, in an action by the Attorney General, under |
the
provisions of the " Consumer Fraud and Deceptive |
Business
Practices Act , the Solicitation for Charity Act ", |
or "An Act to regulate solicitation and collection of funds |
for
charitable purposes, providing for violations thereof, |
and making an
appropriation therefor", approved July 26, |
1963, as amended ,
or the " Charitable Trust Act " , a court |
has found that the
corporation substantially and willfully |
violated any of such
Acts.
|
(b) The enumeration of grounds for revocation in paragraphs
|
(1) through
(11) of subsection (a) shall not preclude any |
action by
the Attorney General
which is authorized by any other |
|
statute of the State of Illinois or the common
law.
|
(Source: P.A. 92-33, eff. 7-1-01; 93-59, eff. 7-1-03; revised |
10-20-15.)
|
Section 620. The High Risk Home Loan Act is amended by |
changing Section 10 as follows:
|
(815 ILCS 137/10)
|
Sec. 10. Definitions. As used in this Act:
|
"Approved credit counselor" means a credit counselor |
approved by the
Director of Financial Institutions.
|
"Bona fide discount points" means loan discount points that |
are knowingly paid by the consumer for the purpose of reducing, |
and that in fact result in a bona fide reduction of, the
|
interest rate or time price differential applicable to the |
mortgage. |
"Borrower" means a natural person who seeks or obtains a |
high risk
home loan.
|
"Commissioner" means the Commissioner of the Office of |
Banks and Real
Estate.
|
"Department" means the Department of Financial |
Institutions.
|
"Director" means the Director of Financial Institutions.
|
"Good faith" means honesty in fact in the conduct or |
transaction concerned.
|
"High risk home loan"
means a consumer credit transaction, |
|
other than a reverse mortgage, that is secured by the |
consumer's principal dwelling if: (i) at the time of |
origination, the annual
percentage rate
exceeds by more than 6 |
percentage points in the case of a first lien mortgage,
or
by |
more than 8 percentage points in the case of a junior mortgage, |
the average prime offer rate, as defined in Section |
129C(b)(2)(B) of the federal Truth in Lending Act, for a |
comparable transaction as of the date on which the interest |
rate for the transaction is set, or if the dwelling is personal |
property, then as provided under 15 U.S.C. 1602(bb), as |
amended, and any corresponding regulation, as amended, (ii) the |
loan documents permit the creditor to charge or collect |
prepayment fees or penalties more than 36 months after the |
transaction closing or such fees exceed, in the aggregate, more |
than 2% of the amount prepaid, or (iii) the total
points
and |
fees payable in connection with the transaction, other than |
bona fide third-party charges not retained by the mortgage |
originator, creditor, or an affiliate of the mortgage |
originator or creditor, will exceed (1)
5% of the total loan |
amount in the case of a transaction for $20,000 (or such other |
dollar amount as prescribed by federal regulation pursuant to |
the federal Dodd-Frank Act) or more or (2) the lesser of 8% of |
the total loan amount or $1,000 (or such other dollar amount as |
prescribed by federal regulation pursuant to the federal |
Dodd-Frank Act) in the case of a transaction for less than |
$20,000 (or such other dollar amount as prescribed by federal |
|
regulation pursuant to the federal Dodd-Frank Act), except |
that, with respect to all transactions, bona fide loan discount |
points may be excluded as provided for in Section 35 of this |
Act.
"High risk home loan"
does
not include a loan that is made |
primarily for a business purpose unrelated to
the
residential |
real property securing the loan or a consumer credit |
transaction made by a natural person who provides seller |
financing secured by a principal residence no more than 3 times |
in a 12-month period, provided such consumer credit transaction |
is not made by a person that has constructed or acted as a |
contractor for the construction of the residence in the |
ordinary course of business of such person.
|
"Lender" means a natural or artificial person who |
transfers, deals in,
offers, or makes a high risk home loan. |
"Lender" includes, but is not limited
to,
creditors and
brokers |
who transfer, deal in, offer, or make high risk home loans. |
"Lender"
does not include purchasers, assignees, or subsequent |
holders of high risk home
loans.
|
"Office" means the Office of Banks and Real Estate.
|
"Points and fees" means all items considered to be points |
and
fees under 12 CFR 226.32 (2000, or as initially amended |
pursuant to Section 1431 of the federal Dodd-Frank Act with no |
subsequent amendments or editions
included, whichever is |
later); compensation paid directly or indirectly by a consumer |
or creditor to a
mortgage
broker from any source, including a |
broker that originates a loan in its own name in a
table-funded
|
|
transaction, not otherwise included in 12 CFR 226.4; the |
maximum prepayment fees and penalties that may be charged or |
collected under the terms of the credit transaction; all |
prepayment fees or penalties that are incurred by the consumer |
if the loan refinances a previous loan made or currently held |
by the same creditor or an affiliate of the creditor; and |
premiums or other charges payable at or before closing or |
financed directly or indirectly into the loan for any credit |
life, credit disability, credit unemployment, credit property, |
other accident, loss of income, life, or health insurance or |
payments directly or indirectly for any debt cancellation or |
suspension agreement or contract, except that insurance |
premiums or debt cancellation or suspension fees calculated and |
paid in full on a monthly basis shall not be considered |
financed by the creditor. "Points and fees" does not include |
any insurance premium provided by an agency of the federal |
government or an agency of a state; any insurance premium paid |
by the consumer after closing; and any amount of a premium, |
charge, or fee that is not in excess of the amount payable |
under policies in effect at the time of origination under |
Section 203(c)(2)(A) of the National Housing Act (12 U.S.C. |
1709(c)(2)(A)), provided that the premium, charge, or fee is |
required to be refundable on a pro-rated basis and the refund |
is automatically issued upon notification of the satisfaction |
of the underlying mortgage loan. |
"Prepayment penalty" and "prepayment fees or penalties" |
|
mean: (i) for a closed-end credit transaction, a charge imposed |
for paying all or part of the transaction's principal before |
the date on which the principal is due, other than a waived, |
bona fide third-party charge that the creditor imposes if the |
consumer prepays all of the transactions's principal sooner |
than 36 months after consummation and (ii) for an open-end |
credit plan, a charge imposed by the creditor if the consumer |
terminates the open-end credit plan prior to the end of its |
term, other than a waived, bona fide third-party charge that |
the creditor imposes if the consumer terminates the open-end |
credit plan sooner than 36 months after account opening.
|
"Reasonable" means fair, proper, just, or prudent under the |
circumstances.
|
"Servicer" means any entity chartered under the Illinois |
Banking Act, the
Savings Bank Act, the Illinois Credit Union |
Act, or the Illinois Savings and
Loan Act of 1985 and any |
person or entity licensed under the Residential
Mortgage |
License Act of 1987, the Consumer Installment Loan Act, or the |
Sales
Finance Agency Act who
is responsible for the collection |
or remittance for, or has the right or
obligation to collect or |
remit for, any lender, note owner, or note holder or
for a |
licensee's own account, of payments, interest, principal, and |
trust items
(such as hazard
insurance and taxes on a |
residential mortgage loan) in accordance with the
terms of the |
residential mortgage loan, including loan payment follow-up,
|
delinquency loan follow-up, loan analysis, and any |
|
notifications to
the borrower that are necessary to enable the |
borrower to keep the loan current
and in good
standing.
|
"Total loan amount" has the same meaning as that term is |
given in 12
CFR 226.32 and shall be calculated in accordance |
with the Federal Reserve
Board's Official Staff Commentary to |
that regulation.
|
(Source: P.A. 99-150, eff. 7-28-15; 99-288, eff. 8-5-15; |
revised 10-19-15.)
|
Section 625. The Motor Fuel Sales Act is amended by |
changing Section 2 as follows:
|
(815 ILCS 365/2) (from Ch. 121 1/2, par. 1502)
|
Sec. 2. Assistance at stations with self-service and |
full-service islands.
|
(a) Any attendant on duty at a gasoline station or service |
station offering to the public retail sales of motor fuel at |
both self-service and full-service islands shall, upon |
request, dispense motor fuel for the driver of a car which is
|
parked at a self-service island and displays: (1) registration |
plates issued to
a person with a physical disability pursuant |
to Section 3-616 of the Illinois Vehicle
Code; (2) registration |
plates issued to a veteran with a disability pursuant
to |
Section 3-609 or 3-609.01 of such Code; or (3) a special decal |
or device issued pursuant
to Section 11-1301.2 of such Code; |
and shall only charge such driver prices
as offered to the |
|
general public for motor fuel dispensed at the self-service
|
island. However, such attendant shall not be required to |
perform other
services which are offered at the full-service |
island.
|
(b) Gasoline stations and service stations in this State |
are subject to the federal Americans with Disabilities Act and |
must: |
(1) provide refueling assistance upon the request of an |
individual with a disability (A gasoline station or service |
station is not required to provide such service at any time |
that it is operating on a remote control basis with a |
single employee on duty at the motor fuel site, but is |
encouraged to do so, if feasible.); |
(2) by January 1, 2014, provide and display at least |
one ADA compliant motor fuel dispenser with a direct |
telephone number to the station that allows an operator of |
a motor vehicle who has a disability to request refueling |
assistance, with the telephone number posted in close |
proximity to the International Symbol of Accessibility |
required by the federal Americans with Disabilities Act, |
however, if the station does not have at least one ADA |
compliant motor fuel dispenser, the station must display on |
at least one motor fuel dispenser a direct telephone number |
to the station that allows an operator of a motor vehicle |
who has a disability to request refueling assistance; and |
(3) provide the refueling assistance without any |
|
charge beyond the self-serve price.
|
(c) The signage required under paragraph (2) of subsection |
(b) shall be designated by the station owner and shall be |
posted in a prominently visible place. The sign shall be |
clearly visible to customers. |
(d) The Secretary of State shall provide to persons with |
disabilities information regarding the availability of |
refueling assistance under this Section by the following |
methods: |
(1) by posting information about that availability on |
the Secretary of State's Internet website, along with a |
link to the Department of Human Services website; and |
(2) by publishing a brochure containing information |
about that availability, which shall be made available at |
all Secretary of State offices throughout the State. |
(d-5) On its Internet website, the Department of |
Agriculture shall maintain a list of gasoline and service |
stations that are required to report to the Department of |
Agriculture's Bureau of Weights and Measures. The list shall |
include the addresses and telephone numbers of the gasoline and |
service stations. The Department of Agriculture shall provide |
the Department of Human Services with a link to this website |
information. |
(e) The Department of Human Services shall post on its |
Internet website information regarding the availability of |
refueling assistance for persons with disabilities and the link |
|
to the list of gasoline and service stations provided by the |
Department of Agriculture. |
(f) A person commits a Class C misdemeanor if he or she |
telephones
a gasoline station or service station to request |
refueling assistance and he or she: |
(1) is not actually physically present at the gasoline |
or service station; or |
(2) is physically present at the gasoline or service |
station but does not actually require refueling |
assistance. |
(g) The Department of Transportation shall work in |
cooperation with appropriate representatives of gasoline and |
service station trade associations and the petroleum industry |
to increase the signage at gasoline and service stations on |
interstate highways in this State with regard to the |
availability of refueling assistance for persons with |
disabilities.
|
(h) If an owner of a gas station or service station is |
found by the Illinois Department of Agriculture, Bureau of |
Weights and Measures, to be in violation of this Act, the owner |
shall pay an administrative fine of $250. Any moneys collected |
by the Department shall be deposited into the Motor Fuel and |
Petroleum Standards Fund. The Department of Agriculture shall |
have the same authority and powers as provided for in the Motor |
Fuel and Petroleum Standards Act in enforcing this Act. |
(Source: P.A. 99-44, eff. 1-1-16; 99-143, eff. 7-27-15; revised |
|
10-21-15.)
|
Section 630. The Used Lubricant Act is amended by changing |
Section 2 as follows:
|
(815 ILCS 435/2) (from Ch. 96 1/2, par. 5802)
|
Sec. 2.
Any person dealing in previously used or previously |
used and
reclaimed, re-refined, recleaned, or reconditioned |
lubricating oils,
lubricants or mixtures of lubricants without |
having each and every
container or item of equipment in or |
through which any of such products
are sold, kept for sale, |
displayed or dispensed plainly labeled as
required in this Act, |
or advertising any of such products for sale
without inserting |
in such advertising a statement as required in this
Act may |
upon proper hearing be enjoined from selling any of such
|
products or offering, displaying or advertising any of the same |
for
sale. Action for such injunction may be brought in the |
circuit court in
the county in which the defendant resides, and |
may be brought either by
the Attorney General of this State |
state or by the State's States Attorney in and for
such county. |
The authority granted by this Section shall be in addition
to |
and not in lieu of authority to prosecute criminally any person |
for a
violation of this Act. The granting or enforcing of any |
injunction
under this Act is a preventive measure for the |
protection of the people
of this State state , not a punitive |
measure, and the fact that a person has
been charged or |
|
convicted of a violation of this Act shall not prevent
the |
ordering of an injunction to prevent further
unlawful dealing
|
in previously used or previously used and reclaimed, |
re-refined,
recleaned or reconditioned lubricating oils, |
lubricants or mixtures of
lubricants, nor shall the fact that |
an injunction has been
granted under this Act preclude the |
institution of criminal prosecution
or punishment. Upon |
promulgation of labeling standards applicable to recycled
oil |
by the Federal Trade Commission as prescribed pursuant to Title |
V, Section
383 of the federal " Energy Policy and Conservation |
Act (P.L. " (P.A.
94-163 ) the provisions of this Section shall |
no longer be in effect.
|
(Source: P.A. 83-346; revised 10-21-15.)
|
Section 635. The Consumer Fraud and Deceptive Business |
Practices Act is amended by changing Sections 2Z and 2MM as |
follows:
|
(815 ILCS 505/2Z) (from Ch. 121 1/2, par. 262Z)
|
Sec. 2Z. Violations of other Acts. Any person who knowingly |
violates
the Automotive Repair Act, the Automotive Collision |
Repair Act,
the Home Repair and Remodeling Act,
the Dance |
Studio Act,
the Physical Fitness Services Act,
the Hearing |
Instrument Consumer Protection Act,
the Illinois Union Label |
Act,
the Job Referral and Job Listing Services Consumer |
Protection Act,
the Travel Promotion Consumer Protection Act,
|
|
the Credit Services Organizations Act,
the Automatic Telephone |
Dialers Act,
the Pay-Per-Call Services Consumer Protection |
Act,
the Telephone Solicitations Act,
the Illinois Funeral or |
Burial Funds Act,
the Cemetery Oversight Act, the Cemetery Care |
Act,
the Safe and Hygienic Bed Act,
the Pre-Need Cemetery Sales |
Act,
the High Risk Home Loan Act, the Payday Loan Reform Act, |
the Mortgage Rescue Fraud Act, subsection (a) or (b) of Section |
3-10 of the
Cigarette Tax Act, subsection
(a) or (b) of Section |
3-10 of the Cigarette Use Tax Act, the Electronic
Mail Act, the |
Internet Caller Identification Act, paragraph (6)
of
|
subsection (k) of Section 6-305 of the Illinois Vehicle Code, |
Section 11-1431, 18d-115, 18d-120, 18d-125, 18d-135, 18d-150, |
or 18d-153 of the Illinois Vehicle Code, Article 3 of the |
Residential Real Property Disclosure Act, the Automatic |
Contract Renewal Act, the Reverse Mortgage Act, Section 25 of |
the Youth Mental Health Protection Act, or the Personal |
Information Protection Act commits an unlawful practice within |
the meaning of this Act.
|
(Source: P.A. 99-331, eff. 1-1-16; 99-411, eff. 1-1-16; revised |
10-21-15.)
|
(815 ILCS 505/2MM)
|
Sec. 2MM. Verification of accuracy of consumer reporting |
information used to
extend consumers credit and security freeze |
on credit reports. |
(a) A credit card issuer who mails an offer or solicitation |
|
to apply for a
credit card and who receives a completed |
application in response to the offer
or
solicitation which |
lists an address that is not substantially the same as the
|
address on the offer or solicitation may not issue a credit |
card based on that
application until reasonable steps have been |
taken to verify the applicant's
change of address.
|
(b) Any person who uses a consumer credit report in |
connection with the
approval of credit based on the application |
for an extension of credit, and who
has received notification |
of a police report filed with a consumer reporting
agency that |
the applicant has been a victim of financial
identity theft, as |
defined in Section 16-30 or 16G-15 of the Criminal Code of 1961 |
or the Criminal Code of 2012, may
not lend money or extend |
credit without taking reasonable steps to verify the
consumer's |
identity and confirm that the application for an extension of
|
credit
is not the result of financial identity theft.
|
(c) A consumer may request that a security freeze be placed |
on his or her credit report by sending a request in writing by |
certified mail to a consumer reporting agency at an address |
designated by the consumer reporting agency to receive such |
requests. |
The following persons may request that a security freeze be |
placed on the credit report of a person with a disability: |
(1) a guardian of the person with a disability who that |
is the subject of the request, appointed under Article XIa |
of the Probate Act of 1975; and |
|
(2) an agent of the person with a disability who that |
is the subject of the request, under a written durable |
power of attorney that complies with the Illinois Power of |
Attorney Act. |
The following persons may request that a security freeze |
be placed on the credit report of a minor: |
(1) a guardian of the minor who that is the subject of |
the request, appointed under Article XI of the Probate Act |
of 1975; |
(2) a parent of the minor who that is the subject of |
the request; and |
(3) a guardian appointed under the Juvenile Court Act |
of 1987 for a minor under the age of 18 who is the subject |
of the request or, with a court order authorizing the |
guardian consent power, for a youth who is the subject of |
the request who has attained the age of 18, but who is |
under the age of 21. |
This subsection (c) does not prevent a consumer reporting |
agency from advising a third party that a security freeze is in |
effect with respect to the consumer's credit report.
|
(d) A consumer reporting agency shall place a security |
freeze on a consumer's credit report no later than 5 business |
days after receiving a written request from the consumer:
|
(1) a written request described in subsection (c); |
(2) proper identification; and |
(3) payment of a fee, if applicable.
|
|
(e) Upon placing the security freeze on the consumer's |
credit report, the consumer reporting agency shall send to the |
consumer within 10 business days a written confirmation of the |
placement of the security freeze and a unique personal |
identification number or password or similar device, other than |
the consumer's Social Security number, to be used by the |
consumer when providing authorization for the release of his or |
her credit report for a specific party or period of time.
|
(f) If the consumer wishes to allow his or her credit |
report to be accessed for a specific party or period of time |
while a freeze is in place, he or she shall contact the |
consumer reporting agency using a point of contact designated |
by the consumer reporting agency, request that the freeze be |
temporarily lifted, and provide the following:
|
(1) Proper identification;
|
(2) The unique personal identification number or |
password or similar device provided by the consumer |
reporting agency;
|
(3) The proper information regarding the third party or |
time period for which the report shall be available to |
users of the credit report; and
|
(4) A fee, if applicable.
|
A security freeze for a minor may not be temporarily |
lifted. This Section does not require a consumer reporting |
agency to provide to a minor or a parent or guardian of a minor |
on behalf of the minor a unique personal identification number, |
|
password, or similar device provided by the consumer reporting |
agency for the minor, or parent or guardian of the minor, to |
use to authorize the consumer reporting agency to release |
information from a minor. |
(g) A consumer reporting agency shall develop a contact |
method to receive and process a request from a consumer to |
temporarily lift a freeze on a credit report pursuant to |
subsection (f) in an expedited manner.
|
A contact method under this subsection shall include:
(i) a |
postal address; and (ii) an electronic contact method chosen by |
the consumer reporting agency, which may include the use of |
telephone, fax, Internet, or other electronic means.
|
(h) A consumer reporting agency that receives a request |
from a consumer to temporarily lift a freeze on a credit report |
pursuant to subsection (f), shall comply with the request no |
later than 3 business days after receiving the request.
|
(i) A consumer reporting agency shall remove or temporarily |
lift a freeze placed on a consumer's credit report only in the |
following cases:
|
(1) upon consumer request, pursuant to subsection (f) |
or subsection (l) of this Section; or
|
(2) if the consumer's credit report was frozen due to a |
material misrepresentation of fact by the consumer.
|
If a consumer reporting agency intends to remove a freeze |
upon a consumer's credit report pursuant to this subsection, |
the consumer reporting agency shall notify the consumer in |
|
writing prior to removing the freeze on the consumer's credit |
report.
|
(j) If a third party requests access to a credit report on |
which a security freeze is in effect, and this request is in |
connection with an application for credit or any other use, and |
the consumer does not allow his or her credit report to be |
accessed for that specific party or period of time, the third |
party may treat the application as incomplete.
|
(k) If a consumer requests a security freeze, the credit |
reporting agency shall disclose to the consumer the process of |
placing and temporarily lifting a security freeze, and the |
process for allowing access to information from the consumer's |
credit report for a specific party or period of time while the |
freeze is in place.
|
(l) A security freeze shall remain in place until the |
consumer or person authorized under subsection (c) to act on |
behalf of the minor or person with a disability who that is the |
subject of the security freeze requests, using a point of |
contact designated by the consumer reporting agency, that the |
security freeze be removed. A credit reporting agency shall |
remove a security freeze within 3 business days of receiving a |
request for removal from the consumer, who provides:
|
(1) Proper identification;
|
(2) The unique personal identification number or |
password or similar device provided by the consumer |
reporting agency; and
|
|
(3) A fee, if applicable.
|
(m) A consumer reporting agency shall require proper |
identification of the person making a request to place or |
remove a security freeze and may require proper identification |
and proper authority from the person making the request to |
place or remove a freeze on behalf of the person with a |
disability or minor.
|
(n) The provisions of subsections (c) through (m) of this |
Section do not apply to the use of a consumer credit report by |
any of the following:
|
(1) A person or entity, or a subsidiary, affiliate, or |
agent of that person or entity, or an assignee of a |
financial obligation owing by the consumer to that person |
or entity, or a prospective assignee of a financial |
obligation owing by the consumer to that person or entity |
in conjunction with the proposed purchase of the financial |
obligation, with which the consumer has or had prior to |
assignment an account or contract, including a demand |
deposit account, or to whom the consumer issued a |
negotiable instrument, for the purposes of reviewing the |
account or collecting the financial obligation owing for |
the account, contract, or negotiable instrument. For |
purposes of this subsection, "reviewing the account" |
includes activities related to account maintenance, |
monitoring, credit line increases, and account upgrades |
and enhancements.
|
|
(2) A subsidiary, affiliate, agent, assignee, or |
prospective assignee of a person to whom access has been |
granted under subsection (f) of this Section for purposes |
of facilitating the extension of credit or other |
permissible use.
|
(3) Any state or local agency, law enforcement agency, |
trial court, or private collection agency acting pursuant |
to a court order, warrant, or subpoena.
|
(4) A child support agency acting pursuant to Title |
IV-D of the Social Security Act.
|
(5) The State or its agents or assigns acting to |
investigate fraud.
|
(6) The Department of Revenue or its agents or assigns |
acting to investigate or collect delinquent taxes or unpaid |
court orders or to fulfill any of its other statutory |
responsibilities.
|
(7) The use of credit information for the purposes of |
prescreening as provided for by the federal Fair Credit |
Reporting Act.
|
(8) Any person or entity administering a credit file |
monitoring subscription or similar service to which the |
consumer has subscribed.
|
(9) Any person or entity for the purpose of providing a |
consumer with a copy of his or her credit report or score |
upon the consumer's request.
|
(10) Any person using the information in connection |
|
with the underwriting of insurance.
|
(n-5) This Section does not prevent a consumer reporting |
agency from charging a fee of no more than $10 to a consumer |
for each freeze, removal, or temporary lift of the freeze, |
regarding access to a consumer credit report, except that a |
consumer reporting agency may not charge a fee to: (i) a |
consumer 65 years of age or over for placement and removal of a |
freeze; (ii) a victim of identity theft who has submitted to |
the consumer reporting agency a valid copy of a police report, |
investigative report, or complaint that the consumer has filed |
with a law enforcement agency about unlawful use of his or her |
personal information by another person; or (iii) an active duty |
military service member who has submitted to the consumer |
reporting agency a copy of his or her orders calling the |
service member to military service and any orders further |
extending the service member's period of service if currently |
active.
|
(o) If a security freeze is in place, a consumer reporting |
agency shall not change any of the following official |
information in a credit report without sending a written |
confirmation of the change to the consumer within 30 days of |
the change being posted to the consumer's file: (i) name, (ii) |
date of birth, (iii) Social Security number, and (iv) address. |
Written confirmation is not required for technical |
modifications of a consumer's official information, including |
name and street abbreviations, complete spellings, or |
|
transposition of numbers or letters. In the case of an address |
change, the written confirmation shall be sent to both the new |
address and to the former address.
|
(p) The following entities are not required to place a |
security freeze in a consumer report, however, pursuant to |
paragraph (3) of this subsection, a consumer reporting agency |
acting as a reseller shall honor any security freeze placed on |
a consumer credit report by another consumer reporting agency:
|
(1) A check services or fraud prevention services |
company, which issues reports on incidents of fraud or |
authorizations for the purpose of approving or processing |
negotiable instruments, electronic funds transfers, or |
similar methods of payment.
|
(2) A deposit account information service company, |
which issues reports regarding account closures due to |
fraud, substantial overdrafts, ATM abuse, or similar |
negative information regarding a consumer to inquiring |
banks or other financial institutions for use only in |
reviewing a consumer request for a deposit account at the |
inquiring bank or financial institution.
|
(3) A consumer reporting agency that:
|
(A) acts only to resell credit information by |
assembling and merging information contained in a |
database of one or more consumer reporting agencies; |
and
|
(B) does not maintain a permanent database of |
|
credit information from which new credit reports are |
produced.
|
(q) For purposes of this Section: |
"Credit report" has the same meaning as "consumer report", |
as ascribed to it in 15 U.S.C. Sec. 1681a(d). |
"Consumer reporting agency" has the meaning ascribed to it |
in 15 U.S.C. Sec. 1681a(f). |
"Security freeze" means
a notice placed in a consumer's |
credit report, at the request of the consumer and subject to |
certain exceptions, that prohibits the consumer reporting |
agency from releasing the consumer's credit report or score |
relating to an extension of credit, without the express |
authorization of the consumer.
|
"Extension of credit" does not include
an increase in an |
existing open-end credit plan, as defined in Regulation Z of
|
the Federal Reserve System (12 C.F.R. 226.2), or any change to |
or review of an
existing credit account.
|
"Proper authority" means documentation that shows that a |
parent, guardian, or agent has authority to act on behalf of a |
minor or person with a disability. "Proper authority" includes |
(1) an order issued by a court of law that shows that a |
guardian has authority to act on behalf of a minor or person |
with a disability, (2) a written, notarized statement signed by |
a parent that expressly describes the authority of the parent |
to act on behalf of the minor, or (3) a durable power of |
attorney that complies with the Illinois Power of Attorney Act. |
|
"Proper identification" means information generally deemed |
sufficient to identify a person. Only if the consumer is unable |
to reasonably identify himself or herself with the information |
described above, may a consumer reporting agency require |
additional information concerning the consumer's employment |
and personal or family history in order to verify his or her |
identity.
|
"Military service member" means a resident of Illinois who |
is a member of any component of the U.S. Armed Forces or the |
National Guard of any state, the District of Columbia, a |
commonwealth, or a territory of the United States who has |
entered any full-time training or duty for which the service |
member was ordered to report by the President, the governor of |
a state, commonwealth, or territory of the United States, or |
another appropriate military authority. |
(r) Any person who violates this Section commits an
|
unlawful practice within the meaning of this Act.
|
(Source: P.A. 98-486, eff. 1-1-14; 98-756, eff. 7-16-14; |
99-143, eff. 7-27-15; 99-373, eff. 1-1-16; revised 10-21-15.)
|
Section 640. The Job Referral and Job Listing Services |
Consumer Protection Act is amended by changing Sections 5 and |
12 as follows:
|
(815 ILCS 630/5) (from Ch. 121 1/2, par. 2005)
|
Sec. 5.
Every Service shall be required to:
|
|
(1) Keep and make available to the Attorney General |
during regular
business hours, and to the State's States |
Attorney of any county in which the
Service conducts |
business the following records:
|
(a) All job listing authorizations received by the |
Service during the
immediate past year. Each such |
authorization shall include:
|
(i) the date when such authorization was |
received.
|
(ii) the name of the person recording the |
authorization.
|
(iii) the name and address of the employer or |
agent of the employer,
making the authorization.
|
(iv) the job title and the qualifications |
therefor.
|
(v) the salary offered or to be paid for such |
job, if known.
|
(vi) the The duration of the job.
|
(b) Copies of all contracts, agreements or other |
documents signed by job
seekers, pursuant to Section 6 |
of this Act, for the immediate past year.
|
(c) Copies of all receipts for fee payments given |
to each job seeker,
pursuant to this Act, for the |
immediate past year.
|
(d) A current schedule of fees charged.
|
(e) All other written information relative to the |
|
services provided
to the job seeker.
|
(2) Furnish to each job seeker a copy of every written |
instrument the job
seeker has signed.
|
(3) Obtain a bona fide job order for employment prior |
to collecting any
fee from a job seeker or sending out a |
job seeker to any place of employment.
|
(4) Furnish to each job seeker from whom a fee is |
received, at the time
payment is received, a receipt in |
which shall be stated the name of the
job seeker, the name |
and address of the Service and its agent, the date and
|
amount of the fee and the purpose for which it was paid.
|
(5) Furnish to each job seeker, who is sent to a |
prospective employer,
with a card or similar paper stating |
the nature of the prospective
employment, the names of the |
job seeker and prospective employer, and the
address of the |
employer.
|
(6) Verify each job listing authorization received |
from the authorizing
employer within 7 days following the |
receipt or such authorization.
|
(7) Meet in person with a potential job seeker and |
enter into a written
contract before a job seeker provides |
payment for a job list. A job list
shall include, at a |
minimum, the following information:
|
(a) name Name and address of the employer or agent |
of the employer, making
the authorization;
|
(b) job Job title and the qualifications therefor;
|
|
(c) salary Salary offered or to be paid for such |
job, if known;
|
(d) the The duration of the job;
|
(e) location Location of the job; and
|
(f) certification Certification that the position |
has not been filled as of the date
that such a list is |
made available to the job seeker. |
Said job list shall
be considered deliverable under the |
contract.
|
(Source: P.A. 87-293; revised 10-19-15.)
|
(815 ILCS 630/12) (from Ch. 121 1/2, par. 2012)
|
Sec. 12.
Violation of any of the provisions of this Act
is |
an unlawful practice pursuant to Section 2 of the
Deceptive |
Business Practices Act, as now or hereafter
amended. All |
remedies, penalties and authority granted to
the Attorney |
General or a State's States Attorney by that Act shall
be |
available to them for the enforcement of this Act. In
any |
action brought by the Attorney General or a State's States
|
Attorney to enforce this Act, the court may order that
persons |
who incurred actual damages be awarded the amount
of actual |
damages assessed.
|
(Source: P.A. 85-1367; revised 10-21-15.)
|
Section 645. The Victims' Economic Security and Safety Act |
is amended by changing Section 905 as follows:
|
|
(820 ILCS 180/905)
|
Sec. 905. Severability. If any provision of this Act
or the |
application of such
provision to any person or circumstance is |
held
to be in violation of the United Unites States |
Constitution or Illinois
Constitution, the
remainder of the |
provisions of this Act and the application of those
provisions |
to any person or circumstance shall not be affected.
|
(Source: P.A. 93-591, eff. 8-25-03; revised 10-21-15.)
|
Section 650. The Workers' Compensation Act is amended by |
changing Section 14 as follows:
|
(820 ILCS 305/14) (from Ch. 48, par. 138.14)
|
Sec. 14. The Commission shall appoint a secretary, an |
assistant
secretary, and arbitrators and shall employ such
|
assistants and clerical help as may be necessary. Arbitrators |
shall be appointed pursuant to this Section, notwithstanding |
any provision of the Personnel Code.
|
Each arbitrator appointed after June 28, 2011 shall be |
required
to demonstrate in writing his or
her knowledge of and |
expertise in the law of and judicial processes of
the Workers' |
Compensation Act and the Workers' Occupational Diseases Act.
|
A formal training program for newly-hired arbitrators |
shall be
implemented. The training program shall include the |
following:
|
|
(a) substantive and procedural aspects of the |
arbitrator position;
|
(b) current issues in workers' compensation law and |
practice;
|
(c) medical lectures by specialists in areas such as |
orthopedics,
ophthalmology, psychiatry, rehabilitation |
counseling;
|
(d) orientation to each operational unit of the |
Illinois Workers' Compensation Commission;
|
(e) observation of experienced arbitrators conducting |
hearings of cases,
combined with the opportunity to discuss |
evidence presented and rulings made;
|
(f) the use of hypothetical cases requiring the trainee |
to issue
judgments as a means to evaluating knowledge and |
writing ability;
|
(g) writing skills;
|
(h) professional and ethical standards pursuant to |
Section 1.1 of this Act; |
(i) detection of workers' compensation fraud and |
reporting obligations of Commission employees and |
appointees; |
(j) standards of evidence-based medical treatment and |
best practices for measuring and improving quality and |
health care outcomes in the workers' compensation system, |
including but not limited to the use of the American |
Medical Association's "Guides to the Evaluation of |
|
Permanent Impairment" and the practice of utilization |
review; and |
(k) substantive and procedural aspects of coal |
workers' pneumoconiosis (black lung) cases. |
A formal and ongoing professional development program |
including, but not
limited to, the above-noted areas shall be |
implemented to keep arbitrators
informed of recent |
developments and issues and to assist them in
maintaining and |
enhancing their professional competence. Each arbitrator shall |
complete 20 hours of training in the above-noted areas during |
every 2 years such arbitrator shall remain in office.
|
Each
arbitrator shall devote full time to his or her duties |
and shall serve when
assigned as
an acting Commissioner when a |
Commissioner is unavailable in accordance
with the provisions |
of Section 13 of this Act. Any
arbitrator who is an |
attorney-at-law shall not engage in the practice of
law, nor |
shall any arbitrator hold any other office or position of
|
profit under the United States or this State or any municipal
|
corporation or political subdivision of this State.
|
Notwithstanding any other provision of this Act to the |
contrary, an arbitrator
who serves as an acting Commissioner in |
accordance with the provisions of
Section 13 of this Act shall |
continue to serve in the capacity of Commissioner
until a |
decision is reached in every case heard by that arbitrator |
while
serving as an acting Commissioner.
|
Notwithstanding any other provision of this Section, the |
|
term of all arbitrators serving on June 28, 2011 ( the effective |
date of Public Act 97-18) this amendatory Act of the 97th |
General Assembly , including any arbitrators on administrative |
leave, shall terminate at the close of business on July 1, |
2011, but the incumbents shall continue to exercise all of |
their duties until they are reappointed or their successors are |
appointed. |
On and after June 28, 2011 ( the effective date of Public |
Act 97-18) this amendatory Act of the 97th General Assembly , |
arbitrators shall be appointed to 3-year terms as follows: |
(1) All appointments shall be made by the Governor with |
the advice and consent of the Senate. |
(2) For their initial appointments, 12 arbitrators |
shall be appointed to terms expiring July 1, 2012; 12 |
arbitrators shall be appointed to terms expiring July 1, |
2013; and all additional arbitrators shall be appointed to |
terms expiring July 1, 2014. Thereafter, all arbitrators |
shall be appointed to 3-year terms. |
Upon the expiration of a term, the Chairman shall evaluate |
the performance of the arbitrator and may recommend to the |
Governor that he or she be reappointed to a second or |
subsequent term by the Governor with the advice and consent of |
the Senate. |
Each arbitrator appointed on or after June 28, 2011 ( the |
effective date of Public Act 97-18) this amendatory Act of the |
97th General Assembly and who has not previously served as an |
|
arbitrator for the Commission shall be required to be |
authorized to practice law in this State by the Supreme Court, |
and to maintain this authorization throughout his or her term |
of employment.
|
The performance of all arbitrators shall be reviewed by the |
Chairman on
an annual basis. The Chairman shall allow input |
from the Commissioners in
all such reviews.
|
The Commission shall assign no fewer than 3 arbitrators to |
each hearing site. The Commission shall establish a procedure |
to ensure that the arbitrators assigned to each hearing site |
are assigned cases on a random basis. No arbitrator shall hear |
cases in any county, other than Cook County, for more than 2 |
years in each 3-year term. |
The Secretary and each arbitrator shall receive a per annum |
salary of
$4,000 less than the per annum salary of members of |
The
Illinois Workers' Compensation Commission as
provided in |
Section 13 of this Act, payable in equal monthly installments.
|
The members of the Commission, Arbitrators and other |
employees whose
duties require them to travel, shall have |
reimbursed to them their
actual traveling expenses and |
disbursements made or incurred by them in
the discharge of |
their official duties while away from their place of
residence |
in the performance of their duties.
|
The Commission shall provide itself with a seal for the
|
authentication of its orders, awards and proceedings upon which |
shall be
inscribed the name of the Commission and the words |
|
"Illinois--Seal".
|
The Secretary or Assistant Secretary, under the direction |
of the
Commission, shall have charge and custody of the seal of |
the Commission
and also have charge and custody of all records, |
files, orders,
proceedings, decisions, awards and other |
documents on file with the
Commission. He shall furnish |
certified copies, under the seal of the
Commission, of any such |
records, files, orders, proceedings, decisions,
awards and |
other documents on file with the Commission as may be
required. |
Certified copies so furnished by the Secretary or Assistant
|
Secretary shall be received in evidence before the Commission |
or any
Arbitrator thereof, and in all courts, provided that the |
original of
such certified copy is otherwise competent and |
admissible in evidence.
The Secretary or Assistant Secretary |
shall perform such other duties as
may be prescribed from time |
to time by the Commission.
|
(Source: P.A. 97-18, eff. 6-28-11; 97-719, eff. 6-29-12; 98-40, |
eff. 6-28-13; revised 10-21-15.)
|
Section 995. No acceleration or delay. Where this Act makes |
changes in a statute that is represented in this Act by text |
that is not yet or no longer in effect (for example, a Section |
represented by multiple versions), the use of that text does |
not accelerate or delay the taking effect of (i) the changes |
made by this Act or (ii) provisions derived from any other |
Public Act.
|