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1 AN ACT concerning government.
2 Be it enacted by the People of the State of Illinois,
3represented in the General Assembly:
4 Section 1. Short title. This Act may be cited as the
5Professional Limited Liability Company Act.
6 Section 5. Definitions. In this Act:
7 "Department" means the Department of Financial and
8Professional Regulation.
9 "Professional limited liability company" means a limited
10liability company that intends to provide, or does provide,
11professional services that require the individuals engaged in
12the profession to be licensed by the Department of Financial
13and Professional Regulation.
14 Section 10. Application of the Limited Liability Company
15Act. The Limited Liability Company Act, as now or hereafter
16amended, shall be applicable to professional limited liability
17companies, and they shall enjoy the powers and privileges and
18be subject to the duties, restrictions, and liabilities of
19other limited liability companies, except where inconsistent
20with the letter and purpose of this Act. This Act shall take
21precedence in the event of any conflict with the provisions of
22the Limited Liability Company Act or other laws.

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1 Section 15. Certificate of registration.
2 (a) No professional limited liability company may render
3professional services that require the issuance of a license by
4the Department, except through its managers, members, agents,
5or employees who are duly licensed or otherwise legally
6authorized to render such professional services within this
7State. An individual's association with a professional limited
8liability company as a manager, member, agent, or employee,
9shall in no way modify or diminish the jurisdiction of the
10Department that licensed, certified, or registered the
11individual for a particular profession.
12 (b) A professional limited liability company shall not
13open, operate, or maintain an establishment for any of the
14purposes for which a limited liability company may be organized
15without obtaining a certificate of registration from the
16Department.
17 (c) Application for a certificate of registration shall be
18made in writing and shall contain the name and primary mailing
19address of the professional limited liability company, the name
20and address of the company's registered agent, the address of
21the practice location maintained by the company, each assumed
22name being used by the company, and such other information as
23may be required by the Department. All official correspondence
24from the Department shall be mailed to the primary mailing
25address of the company except that the company may elect to

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1have renewal and non-renewal notices sent to the registered
2agent of the company. Upon receipt of such application, the
3Department shall make an investigation of the professional
4limited liability company. If this Act or any Act administered
5by the Department requires the organizers, managers, and
6members to each be licensed in the particular profession or
7related professions related to the professional services
8offered by the company, the Department shall determine that the
9organizers, managers, and members are each licensed pursuant to
10the laws of Illinois to engage in the particular profession or
11related professions involved (except that an initial organizer
12may be a licensed attorney) and that no disciplinary action is
13pending before the Department against any of them before
14issuing a certificate of registration. For all other companies
15submitting an application, the Department shall determine if
16any organizer, manager, or member claiming to hold a
17professional license issued by the Department is currently so
18licensed and that no disciplinary action is pending before the
19Department against any of them before issuing a certificate of
20registration. If it appears that the professional limited
21liability company will be conducted in compliance with the law
22and the rules and regulations of the Department, the Department
23shall issue, upon payment of a registration fee of $50, a
24certificate of registration.
25 (d) A separate application shall be submitted for each
26business location in Illinois. If the professional limited

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1liability company is using more than one fictitious or assumed
2name and has an address different from that of the parent
3company, a separate application shall be submitted for each
4fictitious or assumed name.
5 (e) Upon written application of the holder, the Department
6shall renew the certificate if it finds that the professional
7limited liability company has complied with its regulations and
8the provisions of this Act and the applicable licensing Act.
9This fee for the renewal of a certificate of registration shall
10be calculated at the rate of $40 per year. The certificate of
11registration shall be conspicuously posted upon the premises to
12which it is applicable. A certificate of registration shall not
13be assignable.
14 (f) The Department shall not issue or renew any certificate
15of registration to a professional limited liability company
16during the period of dissolution.
17 Section 20. Failure to obtain a certificate of
18registration. Whenever the Department has reason to believe a
19professional limited liability company has opened, operated,
20or maintained an establishment without a certificate of
21registration, the Department may issue a notice of violation to
22the professional limited liability company. The notice of
23violation shall provide a period of 30 days after the date of
24the notice to either file an answer to the satisfaction of the
25Department or submit an application for a certificate of

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1registration in compliance with this Act. If the professional
2limited liability company submits an application for a
3certificate of registration, it must pay the $50 application
4fee and a late fee of $100 for each year that the professional
5limited liability company opened, operated, or maintained an
6establishment without a certificate of registration for the
7purpose of providing any professional service that requires the
8individuals engaged in the profession to be licensed by the
9Department, with a maximum late fee of $500. If the
10professional limited liability company that is the subject of
11the notice of violation fails to respond, fails to respond to
12the satisfaction of the Department, or fails to submit an
13application for registration, the Department may institute
14disciplinary proceedings against the professional limited
15liability company and may impose a civil penalty up to $1,000
16for violation of this Act after affording the professional
17limited liability company a hearing in conformance with the
18requirements of this Act.
19 Section 25. Suspension, revocation or discipline of
20certificate of registration.
21 (a) The Department may suspend, revoke, or otherwise
22discipline the certificate of registration of a professional
23limited liability company for any of the following reasons:
24 (1) the revocation or suspension of the license to
25 practice the profession of any officer, manager, member,

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1 agent, or employee not promptly removed or discharged by
2 the professional limited liability company;
3 (2) unethical professional conduct on the part of any
4 officer, manager, member, agent, or employee not promptly
5 removed or discharged by the professional limited
6 liability company;
7 (3) the death of the last remaining member;
8 (4) upon finding that the holder of the certificate has
9 failed to comply with the provisions of this Act or the
10 regulations prescribed by the Department; or
11 (5) the failure to file a return, to pay the tax,
12 penalty, or interest shown in a filed return, or to pay any
13 final assessment of tax, penalty, or interest, as required
14 by a tax Act administered by the Illinois Department of
15 Revenue, until such time as the requirements of any such
16 tax Act are satisfied.
17 (b) Before any certificate of registration is suspended or
18revoked, the holder shall be given written notice of the
19proposed action and the reasons for the proposed action and
20shall be provided a public hearing by the Department with the
21right to produce testimony and other evidence concerning the
22charges made. The notice shall also state the place and date of
23the hearing, which shall be at least 10 days after service of
24the notice.
25 (c) All orders of the Department denying an application for
26a certificate of registration or suspending or revoking a

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1certificate of registration or imposing a civil penalty shall
2be subject to judicial review pursuant to the Administrative
3Review Law.
4 (d) The proceedings for judicial review shall be commenced
5in the circuit court of the county in which the party applying
6for review is located. If the party is not currently located in
7Illinois, the venue shall be in Sangamon County. The Department
8shall not be required to certify any record to the court or
9file any answer in court or otherwise appear in any court in a
10judicial review proceeding, unless and until the Department has
11received from the plaintiff payment of the costs of furnishing
12and certifying the record, which costs shall be determined by
13the Department. Exhibits shall be certified without cost.
14Failure on the part of the plaintiff to file a receipt in court
15is grounds for dismissal of the action.
16 Section 30. Confidentiality.
17 (a) All information collected by the Department in the
18course of an examination or investigation of a holder of a
19certificate of registration or an applicant, including, but not
20limited to, any complaint against a holder of a certificate of
21registration filed with the Department and information
22collected to investigate any such complaint, shall be
23maintained for the confidential use of the Department and shall
24not be disclosed.
25 (b) The Department may not disclose the information to

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1anyone other than law enforcement officials, other regulatory
2agencies that have an appropriate regulatory interest as
3determined by the Secretary of the Department, or a party
4presenting a lawful subpoena to the Department. Information and
5documents disclosed to a federal, State, county, or local law
6enforcement agency shall not be disclosed by the agency for any
7purpose to any other agency or person. A formal complaint filed
8against a holder of a certificate of registration by the
9Department or any order issued by the Department against a
10holder of a certificate of registration or an applicant shall
11be a public record, except as otherwise prohibited by law.
12 Section 35. Professional relationship and liability;
13rights and obligations pertaining to communications.
14 (a) Nothing contained in this Act shall be interpreted to
15abolish, repeal, modify, restrict, or limit the law in effect
16in this State on the effective date of this Act that is
17applicable to the professional relationship and liabilities
18between the person furnishing the professional services and the
19person receiving such professional services or the law that is
20applicable to the standards for professional conduct. Any
21manager, member, agent, or employee of a professional limited
22liability company shall remain personally and fully liable and
23accountable for any negligent or wrongful acts or misconduct
24committed by him or her or by any person under his or her
25direct supervision and control while rendering professional

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1services on behalf of the professional limited liability
2company. However, a professional limited liability company
3shall have no greater liability for the conduct of its agents
4than any other limited liability company organized under the
5Limited Liability Company Act. A professional limited
6liability company shall be liable up to the full value of its
7property for any negligence or wrongful acts or misconduct
8committed by any of its managers, members, agents, or employees
9while they are engaged in the rendering of professional
10services on behalf of the professional limited liability
11company.
12 (b) All rights and obligations pertaining to
13communications made to or information received by any qualified
14person or the advice he or she gives on such communications or
15information, shall be extended to the professional limited
16liability company of which he or she is a manager, member,
17agent, or employee, and to the professional limited liability
18company's managers, members, agents, and employees.
19 Section 40. Dissolution. A professional limited liability
20company may, for the purposes of dissolution, have as its
21managers and members individuals who are not licensed by the
22Department to provide professional services notwithstanding
23any provision of this Act or of any professional Act
24administered by the Department, provided that the professional
25limited liability company under these circumstances does not

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1render any professional services nor hold itself out as capable
2or available to render any professional services during the
3period of dissolution. A copy of the certificate of
4dissolution, as issued by the Secretary of State, shall be
5delivered to the Department within 30 days of its receipt by
6the managers or members.
7 Section 45. Dishonored payments. Any professional limited
8liability company that, on 2 occasions, issues or delivers a
9check or other order to the Department that is not honored by
10the financial institution upon which it is drawn because of
11insufficient funds on the account, shall pay to the Department,
12in addition to the amount owing upon such check or other order,
13a fee of $50. If such check or other order was issued or
14delivered in payment of a renewal fee and the professional
15limited liability company whose certificate of registration
16has lapsed continues to practice as a professional limited
17liability company without paying the renewal fee and the $50
18fee required under this Section, an additional fee of $100
19shall be imposed for practicing without a current certificate.
20The Department shall notify the professional limited liability
21company whose certificate of registration has lapsed within 30
22days after the discovery by the Department that such
23professional limited liability company is operating without a
24current certificate of the fact that the professional limited
25liability company is operating without a certificate and of the

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1amount due to the Department, which shall include the lapsed
2renewal fee and all other fees required by this Section. If the
3professional limited liability company whose certification has
4lapsed seeks a current certificate more than 30 days after the
5date it receives notification from the Department, it shall be
6required to apply to the Department for reinstatement of the
7certificate and to pay all fees due to the Department. The
8Department may establish a fee for the processing of an
9application for reinstatement of a certificate that allows the
10Department to pay all costs and expenses related to the
11processing of the application. The Secretary of the Department
12may waive the fees due under this Section in individual cases
13where he or she finds that in the particular case such fees
14would be unreasonable or unnecessarily burdensome.
15 Section 50. Deposit of fees and fines. All fees, civil
16penalties, and fines collected under this Act shall be
17deposited into the General Professions Dedicated Fund.
18 Section 900. The Regulatory Sunset Act is amended by
19changing Section 4.26 and by adding Section 4.36 as follows:
20 (5 ILCS 80/4.26)
21 Sec. 4.26. Acts repealed on January 1, 2016. The following
22Acts are repealed on January 1, 2016:
23 The Illinois Athletic Trainers Practice Act.

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1 The Illinois Roofing Industry Licensing Act.
2 The Illinois Dental Practice Act.
3 The Collection Agency Act.
4 The Barber, Cosmetology, Esthetics, Hair Braiding, and
5Nail Technology Act of 1985.
6 The Respiratory Care Practice Act.
7 The Hearing Instrument Consumer Protection Act.
8 The Illinois Physical Therapy Act.
9 The Professional Geologist Licensing Act.
10(Source: P.A. 95-331, eff. 8-21-07; 95-876, eff. 8-21-08;
1196-1246, eff. 1-1-11.)
12 (5 ILCS 80/4.36 new)
13 Sec. 4.36. Act repealed on January 1, 2026. The following
14Act is repealed on January 1, 2026:
15 The Collection Agency Act.
16 Section 905. The Department of Professional Regulation Law
17of the Civil Administrative Code of Illinois is amended by
18changing Sections 2105-5, 2105-15, 2105-100, 2105-105,
192105-110, 2105-115, 2105-120, 2105-125, 2105-175, 2105-200,
202105-205, 2105-300, 2105-325, and 2105-400 and by adding
21Section 2105-117 as follows:
22 (20 ILCS 2105/2105-5) (was 20 ILCS 2105/60b)
23 Sec. 2105-5. Definitions. (a) In this Law:

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1 "Address of record" means the designated address recorded
2by the Department in the applicant's application file or the
3licensee's license file, as maintained by the Department's
4licensure maintenance unit.
5 "Department" means the Division of Professional Regulation
6of the Department of Financial and Professional Regulation. Any
7reference in this Article to the "Department of Professional
8Regulation" shall be deemed to mean the "Division of
9Professional Regulation of the Department of Financial and
10Professional Regulation".
11 "Director" means the Director of Professional Regulation.
12 (b) In the construction of this Section and Sections
132105-15, 2105-100, 2105-105, 2105-110, 2105-115, 2105-120,
142105-125, 2105-175, and 2105-325, the following definitions
15shall govern unless the context otherwise clearly indicates:
16 "Board" means the board of persons designated for a
17profession, trade, or occupation under the provisions of any
18Act now or hereafter in force whereby the jurisdiction of that
19profession, trade, or occupation is devolved on the Department.
20 "Certificate" means a license, certificate of
21registration, permit, or other authority purporting to be
22issued or conferred by the Department by virtue or authority of
23which the registrant has or claims the right to engage in a
24profession, trade, occupation, or operation of which the
25Department has jurisdiction.
26 "Registrant" means a person who holds or claims to hold a

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1certificate.
2 "Retiree" means a person who has been duly licensed,
3registered, or certified in a profession regulated by the
4Department and who chooses to relinquish or not renew his or
5her license, registration, or certification.
6(Source: P.A. 94-452, eff. 1-1-06.)
7 (20 ILCS 2105/2105-15)
8 Sec. 2105-15. General powers and duties.
9 (a) The Department has, subject to the provisions of the
10Civil Administrative Code of Illinois, the following powers and
11duties:
12 (1) To authorize examinations in English to ascertain
13 the qualifications and fitness of applicants to exercise
14 the profession, trade, or occupation for which the
15 examination is held.
16 (2) To prescribe rules and regulations for a fair and
17 wholly impartial method of examination of candidates to
18 exercise the respective professions, trades, or
19 occupations.
20 (3) To pass upon the qualifications of applicants for
21 licenses, certificates, and authorities, whether by
22 examination, by reciprocity, or by endorsement.
23 (4) To prescribe rules and regulations defining, for
24 the respective professions, trades, and occupations, what
25 shall constitute a school, college, or university, or

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1 department of a university, or other institution,
2 reputable and in good standing, and to determine the
3 reputability and good standing of a school, college, or
4 university, or department of a university, or other
5 institution, reputable and in good standing, by reference
6 to a compliance with those rules and regulations; provided,
7 that no school, college, or university, or department of a
8 university, or other institution that refuses admittance
9 to applicants solely on account of race, color, creed, sex,
10 sexual orientation, or national origin shall be considered
11 reputable and in good standing.
12 (5) To conduct hearings on proceedings to revoke,
13 suspend, refuse to renew, place on probationary status, or
14 take other disciplinary action as authorized in any
15 licensing Act administered by the Department with regard to
16 licenses, certificates, or authorities of persons
17 exercising the respective professions, trades, or
18 occupations and to revoke, suspend, refuse to renew, place
19 on probationary status, or take other disciplinary action
20 as authorized in any licensing Act administered by the
21 Department with regard to those licenses, certificates, or
22 authorities.
23 The Department shall issue a monthly disciplinary
24 report.
25 The Department shall deny any license or renewal
26 authorized by the Civil Administrative Code of Illinois to

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1 any person who has defaulted on an educational loan or
2 scholarship provided by or guaranteed by the Illinois
3 Student Assistance Commission or any governmental agency
4 of this State; however, the Department may issue a license
5 or renewal if the aforementioned persons have established a
6 satisfactory repayment record as determined by the
7 Illinois Student Assistance Commission or other
8 appropriate governmental agency of this State.
9 Additionally, beginning June 1, 1996, any license issued by
10 the Department may be suspended or revoked if the
11 Department, after the opportunity for a hearing under the
12 appropriate licensing Act, finds that the licensee has
13 failed to make satisfactory repayment to the Illinois
14 Student Assistance Commission for a delinquent or
15 defaulted loan. For the purposes of this Section,
16 "satisfactory repayment record" shall be defined by rule.
17 The Department shall refuse to issue or renew a license
18 to, or shall suspend or revoke a license of, any person
19 who, after receiving notice, fails to comply with a
20 subpoena or warrant relating to a paternity or child
21 support proceeding. However, the Department may issue a
22 license or renewal upon compliance with the subpoena or
23 warrant.
24 The Department, without further process or hearings,
25 shall revoke, suspend, or deny any license or renewal
26 authorized by the Civil Administrative Code of Illinois to

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1 a person who is certified by the Department of Healthcare
2 and Family Services (formerly Illinois Department of
3 Public Aid) as being more than 30 days delinquent in
4 complying with a child support order or who is certified by
5 a court as being in violation of the Non-Support Punishment
6 Act for more than 60 days. The Department may, however,
7 issue a license or renewal if the person has established a
8 satisfactory repayment record as determined by the
9 Department of Healthcare and Family Services (formerly
10 Illinois Department of Public Aid) or if the person is
11 determined by the court to be in compliance with the
12 Non-Support Punishment Act. The Department may implement
13 this paragraph as added by Public Act 89-6 through the use
14 of emergency rules in accordance with Section 5-45 of the
15 Illinois Administrative Procedure Act. For purposes of the
16 Illinois Administrative Procedure Act, the adoption of
17 rules to implement this paragraph shall be considered an
18 emergency and necessary for the public interest, safety,
19 and welfare.
20 (6) To transfer jurisdiction of any realty under the
21 control of the Department to any other department of the
22 State Government or to acquire or accept federal lands when
23 the transfer, acquisition, or acceptance is advantageous
24 to the State and is approved in writing by the Governor.
25 (7) To formulate rules and regulations necessary for
26 the enforcement of any Act administered by the Department.

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1 (8) To exchange with the Department of Healthcare and
2 Family Services information that may be necessary for the
3 enforcement of child support orders entered pursuant to the
4 Illinois Public Aid Code, the Illinois Marriage and
5 Dissolution of Marriage Act, the Non-Support of Spouse and
6 Children Act, the Non-Support Punishment Act, the Revised
7 Uniform Reciprocal Enforcement of Support Act, the Uniform
8 Interstate Family Support Act, or the Illinois Parentage
9 Act of 1984. Notwithstanding any provisions in this Code to
10 the contrary, the Department of Professional Regulation
11 shall not be liable under any federal or State law to any
12 person for any disclosure of information to the Department
13 of Healthcare and Family Services (formerly Illinois
14 Department of Public Aid) under this paragraph (8) or for
15 any other action taken in good faith to comply with the
16 requirements of this paragraph (8).
17 (8.5) To accept continuing education credit for
18 mandated reporter training on how to recognize and report
19 child abuse offered by the Department of Children and
20 Family Services and completed by any person who holds a
21 professional license issued by the Department and who is a
22 mandated reporter under the Abused and Neglected Child
23 Reporting Act. The Department shall adopt any rules
24 necessary to implement this paragraph.
25 (9) To perform other duties prescribed by law.
26 (a-5) Except in cases involving default on an educational

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1loan or scholarship provided by or guaranteed by the Illinois
2Student Assistance Commission or any governmental agency of
3this State or in cases involving delinquency in complying with
4a child support order or violation of the Non-Support
5Punishment Act and notwithstanding anything that may appear in
6any individual licensing Act or administrative rule, no person
7or entity whose license, certificate, or authority has been
8revoked as authorized in any licensing Act administered by the
9Department may apply for restoration of that license,
10certification, or authority until 3 years after the effective
11date of the revocation.
12 (b) The Department may, when a fee is payable to the
13Department for a wall certificate of registration provided by
14the Department of Central Management Services, require that
15portion of the payment for printing and distribution costs be
16made directly or through the Department to the Department of
17Central Management Services for deposit into the Paper and
18Printing Revolving Fund. The remainder shall be deposited into
19the General Revenue Fund.
20 (c) For the purpose of securing and preparing evidence, and
21for the purchase of controlled substances, professional
22services, and equipment necessary for enforcement activities,
23recoupment of investigative costs, and other activities
24directed at suppressing the misuse and abuse of controlled
25substances, including those activities set forth in Sections
26504 and 508 of the Illinois Controlled Substances Act, the

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1Director and agents appointed and authorized by the Director
2may expend sums from the Professional Regulation Evidence Fund
3that the Director deems necessary from the amounts appropriated
4for that purpose. Those sums may be advanced to the agent when
5the Director deems that procedure to be in the public interest.
6Sums for the purchase of controlled substances, professional
7services, and equipment necessary for enforcement activities
8and other activities as set forth in this Section shall be
9advanced to the agent who is to make the purchase from the
10Professional Regulation Evidence Fund on vouchers signed by the
11Director. The Director and those agents are authorized to
12maintain one or more commercial checking accounts with any
13State banking corporation or corporations organized under or
14subject to the Illinois Banking Act for the deposit and
15withdrawal of moneys to be used for the purposes set forth in
16this Section; provided, that no check may be written nor any
17withdrawal made from any such account except upon the written
18signatures of 2 persons designated by the Director to write
19those checks and make those withdrawals. Vouchers for those
20expenditures must be signed by the Director. All such
21expenditures shall be audited by the Director, and the audit
22shall be submitted to the Department of Central Management
23Services for approval.
24 (d) Whenever the Department is authorized or required by
25law to consider some aspect of criminal history record
26information for the purpose of carrying out its statutory

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1powers and responsibilities, then, upon request and payment of
2fees in conformance with the requirements of Section 2605-400
3of the Department of State Police Law (20 ILCS 2605/2605-400),
4the Department of State Police is authorized to furnish,
5pursuant to positive identification, the information contained
6in State files that is necessary to fulfill the request.
7 (e) The provisions of this Section do not apply to private
8business and vocational schools as defined by Section 15 of the
9Private Business and Vocational Schools Act of 2012.
10 (f) (Blank). Beginning July 1, 1995, this Section does not
11apply to those professions, trades, and occupations licensed
12under the Real Estate License Act of 2000, nor does it apply to
13any permits, certificates, or other authorizations to do
14business provided for in the Land Sales Registration Act of
151989 or the Illinois Real Estate Time-Share Act.
16 (g) Notwithstanding anything that may appear in any
17individual licensing statute or administrative rule, the
18Department shall deny any license application or renewal
19authorized under any licensing Act administered by the
20Department to any person who has failed to file a return, or to
21pay the tax, penalty, or interest shown in a filed return, or
22to pay any final assessment of tax, penalty, or interest, as
23required by any tax Act administered by the Illinois Department
24of Revenue, until such time as the requirement of any such tax
25Act are satisfied; however, the Department may issue a license
26or renewal if the person has established a satisfactory

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1repayment record as determined by the Illinois Department of
2Revenue. For the purpose of this Section, "satisfactory
3repayment record" shall be defined by rule.
4 In addition, a complaint filed with the Department by the
5Illinois Department of Revenue that includes a certification,
6signed by its Director or designee, attesting to the amount of
7the unpaid tax liability or the years for which a return was
8not filed, or both, is prima facie evidence of the licensee's
9failure to comply with the tax laws administered by the
10Illinois Department of Revenue. Upon receipt of that
11certification, the Department shall, without a hearing,
12immediately suspend all licenses held by the licensee.
13Enforcement of the Department's order shall be stayed for 60
14days. The Department shall provide notice of the suspension to
15the licensee by mailing a copy of the Department's order by
16certified and regular mail to the licensee's last known address
17as registered with the Department. The notice shall advise the
18licensee that the suspension shall be effective 60 days after
19the issuance of the Department's order unless the Department
20receives, from the licensee, a request for a hearing before the
21Department to dispute the matters contained in the order.
22 Any suspension imposed under this subsection (g) shall be
23terminated by the Department upon notification from the
24Illinois Department of Revenue that the licensee is in
25compliance with all tax laws administered by the Illinois
26Department of Revenue.

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1 The Department may shall promulgate rules for the
2administration of this subsection (g).
3 (h) The Department may grant the title "Retired", to be
4used immediately adjacent to the title of a profession
5regulated by the Department, to eligible retirees. The use of
6the title "Retired" shall not constitute representation of
7current licensure, registration, or certification. Any person
8without an active license, registration, or certificate in a
9profession that requires licensure, registration, or
10certification shall not be permitted to practice that
11profession.
12 (i) Within 180 days after December 23, 2009 (the effective
13date of Public Act 96-852), the Department shall promulgate
14rules which permit a person with a criminal record, who seeks a
15license or certificate in an occupation for which a criminal
16record is not expressly a per se bar, to apply to the
17Department for a non-binding, advisory opinion to be provided
18by the Board or body with the authority to issue the license or
19certificate as to whether his or her criminal record would bar
20the individual from the licensure or certification sought,
21should the individual meet all other licensure requirements
22including, but not limited to, the successful completion of the
23relevant examinations.
24(Source: P.A. 97-650, eff. 2-1-12; 98-756, eff. 7-16-14;
2598-850, eff. 1-1-15.)

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1 (20 ILCS 2105/2105-100) (was 20 ILCS 2105/60c)
2 Sec. 2105-100. Disciplinary action with respect to
3certificates; notice citation; hearing.
4 (a) Certificates may be revoked, suspended, placed on
5probationary status, reprimanded, fined, or have other
6disciplinary action taken with regard to them as authorized in
7any licensing Act administered by the Department in the manner
8provided by the Civil Administrative Code of Illinois and not
9otherwise.
10 (b) The Department may upon its own motion and shall upon
11the verified complaint in writing of any person, provided the
12complaint or the complaint together with evidence, documentary
13or otherwise, presented in connection with the complaint makes
14a prima facie case, investigate the actions of any person
15holding or claiming to hold a certificate.
16 (c) Before suspending, revoking, placing on probationary
17status, reprimanding, fining, or taking any other disciplinary
18action that may be authorized in any licensing Act administered
19by the Department with regard to any certificate, the
20Department shall issue a notice informing citation notifying
21the registrant of the time and place when and where a hearing
22of the charges shall be had. The notice citation shall contain
23a statement of the charges or shall be accompanied by a copy of
24the written complaint if such complaint shall have been filed.
25The notice citation shall be served on the registrant at least
2610 days prior to the date set in the notice citation for the

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1hearing, either by delivery of the notice citation personally
2to the registrant or by mailing the notice citation by
3registered mail to the registrant's address of record last
4known place of residence; provided that in any case where the
5registrant is now or may hereafter be required by law to
6maintain a place of business in this State and to notify the
7Department of the location of that place of business, the
8notice citation may be served by mailing it by registered mail
9to the registrant at the place of business last described by
10the registrant in the notification to the Department.
11 (d) At the time and place fixed in the notice citation, the
12Department shall proceed to a hearing of the charges. Both the
13registrant and the complainant shall be accorded ample
14opportunity to present, in person or by counsel, any
15statements, testimony, evidence, and argument that may be
16pertinent to the charges or to any defense to the charges. The
17Department may continue the hearing from time to time.
18(Source: P.A. 91-239, eff. 1-1-00.)
19 (20 ILCS 2105/2105-105) (was 20 ILCS 2105/60d)
20 Sec. 2105-105. Oaths; subpoenas; penalty.
21 (a) The Department, by its Director or a person designated
22by him or her, is empowered, at any time during the course of
23any investigation or hearing conducted pursuant to any Act
24administered by the Department, to administer oaths, subpoena
25witnesses, take evidence, and compel the production of any

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1books, papers, records, or any other documents that the
2Director, or a person designated by him or her, deems relevant
3or material to any such investigation or hearing conducted by
4the Department, with the same fees and mileage and in the same
5manner as prescribed by law in judicial proceedings in civil
6cases in circuit courts of this State. Discovery or evidence
7depositions shall not be taken, except by agreement of the
8Department and registrant.
9 (b) Any person who, without lawful authority, fails to
10appear in response to a subpoena or to answer any question or
11produce any books, papers, records, or any other documents
12relevant or material to the investigation or hearing is guilty
13of a Class A misdemeanor. Each violation shall constitute a
14separate and distinct offense.
15 In addition to initiating criminal proceedings, the
16Department, through the Attorney General, may seek enforcement
17of any such subpoena by any circuit court of this State.
18(Source: P.A. 91-239, eff. 1-1-00.)
19 (20 ILCS 2105/2105-110) (was 20 ILCS 2105/60e)
20 Sec. 2105-110. Court order requiring attendance of
21witnesses or production of materials. Any circuit court, upon
22the application of the registrant or complainant or of the
23Department, may by order duly entered enforce a subpoena issued
24by the Department for require the attendance of witnesses and
25the production of relevant books and papers before the

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1Department in any hearing relative to the application for
2refusal to renew, suspension, revocation, placing on
3probationary status, reprimand, fine, or the taking of any
4other disciplinary action as may be authorized in any licensing
5Act administered by the Department with regard to any
6certificate of registration. The court may compel obedience to
7its order by proceedings for contempt.
8(Source: P.A. 91-239, eff. 1-1-00.)
9 (20 ILCS 2105/2105-115) (was 20 ILCS 2105/60f)
10 Sec. 2105-115. Certified shorthand reporter Stenographer;
11transcript. The Department, at its expense, shall provide a
12certified shorthand reporter stenographer to take down the
13testimony and preserve a record of all proceedings at the
14hearing of any case in which a certificate may be revoked,
15suspended, placed on probationary status, reprimanded, fined,
16or subjected to other disciplinary action with reference to the
17certificate when a disciplinary action is authorized in any
18licensing Act administered by the Department. The notice
19citation, complaint, and all other documents in the nature of
20pleadings and written motions filed in the proceedings, the
21transcript of testimony, the report of the board, and the
22orders of the Department shall be the record of the
23proceedings. The Department shall furnish a transcript of the
24record to any person interested in the hearing upon payment
25therefor of $1 per page. The Department may contract for court

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1reporting services, and, in the event it does so, the
2Department shall provide the name and contact information for
3the certified shorthand reporter who transcribed the testimony
4at a hearing to any person interested, who may obtain a copy of
5the transcript of any proceedings at a hearing upon payment of
6the fee specified by the certified shorthand reporter. This
7charge is in addition to any fee charged by the Department for
8certifying the record.
9(Source: P.A. 91-239, eff. 1-1-00.)
10 (20 ILCS 2105/2105-117 new)
11 Sec. 2105-117. Confidentiality. All information collected
12by the Department in the course of an examination or
13investigation of a licensee, registrant, or applicant,
14including, but not limited to, any complaint against a licensee
15or registrant filed with the Department and information
16collected to investigate any such complaint, shall be
17maintained for the confidential use of the Department and shall
18not be disclosed. The Department may not disclose the
19information to anyone other than law enforcement officials,
20other regulatory agencies that have an appropriate regulatory
21interest as determined by the Director, or a party presenting a
22lawful subpoena to the Department. Information and documents
23disclosed to a federal, State, county, or local law enforcement
24agency shall not be disclosed by the agency for any purpose to
25any other agency or person. A formal complaint filed against a

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1licensee or registrant by the Department or any order issued by
2the Department against a licensee, registrant, or applicant
3shall be a public record, except as otherwise prohibited by
4law.
5 (20 ILCS 2105/2105-120) (was 20 ILCS 2105/60g)
6 Sec. 2105-120. Board's report; registrant's motion for
7rehearing.
8 (a) The board shall present to the Director its written
9report of its findings and recommendations. A copy of the
10report shall be served upon the registrant, either personally
11or by registered mail as provided in Section 2105-100 for the
12service of the notice citation.
13 (b) Within 20 days after the service required under
14subsection (a), the registrant may present to the Department a
15motion in writing for a rehearing. The written motion shall
16specify the particular grounds for a rehearing. If the
17registrant orders and pays for a transcript of the record as
18provided in Section 2105-115, the time elapsing thereafter and
19before the transcript is ready for delivery to the registrant
20shall not be counted as part of the 20 days.
21(Source: P.A. 91-239, eff. 1-1-00; 91-357, eff. 7-29-99; 92-16,
22eff. 6-28-01.)
23 (20 ILCS 2105/2105-125) (was 20 ILCS 2105/60h)
24 Sec. 2105-125. Restoration of certificate. At any time

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1after the successful completion of any term of suspension,
2revocation, placement on probationary status, or other
3disciplinary action taken by the Department with reference to
4any certificate, including payment of any fine, the Department
5may restore it to the registrant without examination, upon the
6written recommendation of the appropriate board.
7(Source: P.A. 91-239, eff. 1-1-00.)
8 (20 ILCS 2105/2105-175) (was 20 ILCS 2105/60a in part)
9 Sec. 2105-175. Reexaminations or rehearings. Whenever the
10Director is satisfied that substantial justice has not been
11done either in an examination or in the revocation of, refusal
12to renew, suspension, placing on probationary status,
13reprimanding, fining, or taking of other disciplinary action as
14may be authorized in any licensing Act administered by the
15Department with regard to a license, certificate, or authority,
16the Director may order reexaminations or rehearings by the same
17or other examiners or hearing officers.
18(Source: P.A. 91-239, eff. 1-1-00.)
19 (20 ILCS 2105/2105-200) (was 20 ILCS 2105/60.1)
20 Sec. 2105-200. Index of formal decisions regarding
21disciplinary action. The Department shall maintain an index of
22formal decisions regarding the issuance of or refusal to issue
23licenses, the renewal of or refusal to renew licenses, the
24revocation or suspension of licenses, and probationary or other

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1disciplinary action taken by the Department after August 31,
21971 (the effective date of Public Act 77-1400). The decisions
3shall be indexed according to the statutory Section and the
4administrative regulation, if any, that is the basis for the
5decision. The index shall be available to the public during
6regular business hours.
7(Source: P.A. 91-239, eff. 1-1-00.)
8 (20 ILCS 2105/2105-205) (was 20 ILCS 2105/60.3)
9 Sec. 2105-205. Publication of disciplinary actions. The
10Department shall publish on its website, at least monthly,
11final disciplinary actions taken by the Department against a
12licensee or applicant pursuant to any licensing Act
13administered by the Department the Medical Practice Act of
141987. The specific disciplinary action and the name of the
15applicant or licensee shall be listed. This publication shall
16be made available to the public upon request and payment of the
17fees set by the Department. This publication may be made
18available to the public on the Internet through the State of
19Illinois World Wide Web site.
20(Source: P.A. 90-14, eff. 7-1-97; 91-239, eff. 1-1-00.)
21 (20 ILCS 2105/2105-300) (was 20 ILCS 2105/61e)
22 Sec. 2105-300. Professions Indirect Cost Fund;
23allocations; analyses.
24 (a) Appropriations for the direct and allocable indirect

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1costs of licensing and regulating each regulated profession,
2trade, occupation, or industry are intended to be payable from
3the fees and fines that are assessed and collected from that
4profession, trade, occupation, or industry, to the extent that
5those fees and fines are sufficient. In any fiscal year in
6which the fees and fines generated by a specific profession,
7trade, occupation, or industry are insufficient to finance the
8necessary direct and allocable indirect costs of licensing and
9regulating that profession, trade, occupation, or industry,
10the remainder of those costs shall be financed from
11appropriations payable from revenue sources other than fees and
12fines. The direct and allocable indirect costs of the
13Department identified in its cost allocation plans that are not
14attributable to the licensing and regulation of a specific
15profession, trade, or occupation, or industry or group of
16professions, trades, occupations, or industries shall be
17financed from appropriations from revenue sources other than
18fees and fines.
19 (b) The Professions Indirect Cost Fund is hereby created as
20a special fund in the State Treasury. Except as provided in
21subsection (e), the Fund may receive transfers of moneys
22authorized by the Department from the cash balances in special
23funds that receive revenues from the fees and fines associated
24with the licensing of regulated professions, trades,
25occupations, and industries by the Department. For purposes of
26this Section only, until June 30, 2010, the Fund may also

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1receive transfers of moneys authorized by the Department from
2the cash balances in special funds that receive revenues from
3the fees and fines associated with the licensing of regulated
4professions, trades, occupations, and industries by the
5Department of Insurance. Moneys in the Fund shall be invested
6and earnings on the investments shall be retained in the Fund.
7Subject to appropriation, the Department shall use moneys in
8the Fund to pay the ordinary and necessary allocable indirect
9expenses associated with each of the regulated professions,
10trades, occupations, and industries.
11 (c) Before the beginning of each fiscal year, the
12Department shall prepare a cost allocation analysis to be used
13in establishing the necessary appropriation levels for each
14cost purpose and revenue source. At the conclusion of each
15fiscal year, the Department shall prepare a cost allocation
16analysis reflecting the extent of the variation between how the
17costs were actually financed in that year and the planned cost
18allocation for that year. Variations between the planned and
19actual cost allocations for the prior fiscal year shall be
20adjusted into the Department's planned cost allocation for the
21next fiscal year.
22 Each cost allocation analysis shall separately identify
23the direct and allocable indirect costs of each regulated
24profession, trade, occupation, or industry and the costs of the
25Department's general public health and safety purposes. The
26analyses shall determine whether the direct and allocable

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1indirect costs of each regulated profession, trade,
2occupation, or industry and the costs of the Department's
3general public health and safety purposes are sufficiently
4financed from their respective funding sources. The Department
5shall prepare the cost allocation analyses in consultation with
6the respective regulated professions, trades, occupations, and
7industries and shall make copies of the analyses available to
8them in a timely fashion. For purposes of this Section only,
9until June 30, 2010, the Department shall include in its cost
10allocation analysis the direct and allocable indirect costs of
11each regulated profession, trade, occupation, or industry and
12the costs of the general public health and safety purposes of
13the Department of Insurance.
14 (d) Except as provided in subsection (e), the Department
15may direct the State Comptroller and Treasurer to transfer
16moneys from the special funds that receive fees and fines
17associated with regulated professions, trades, occupations,
18and industries into the Professions Indirect Cost Fund in
19accordance with the Department's cost allocation analysis plan
20for the applicable fiscal year. For a given fiscal year, the
21Department shall not direct the transfer of moneys under this
22subsection from a special fund associated with a specific
23regulated profession, trade, occupation, or industry (or group
24of professions, trades, occupations, or industries) in an
25amount exceeding the allocable indirect costs associated with
26that profession, trade, occupation, or industry (or group of

HB3332 Enrolled- 35 -LRB099 00381 MGM 20387 b
1professions, trades, occupations, or industries) as provided
2in the cost allocation analysis for that fiscal year and
3adjusted for allocation variations from the prior fiscal year.
4No direct costs identified in the cost allocation plan shall be
5used as a basis for transfers into the Professions Indirect
6Cost Fund or for expenditures from the Fund.
7 (e) No transfer may be made to the Professions Indirect
8Cost Fund under this Section from the Public Pension Regulation
9Fund.
10(Source: P.A. 95-950, eff. 8-29-08; 96-45, eff. 7-15-09.)
11 (20 ILCS 2105/2105-325) (was 20 ILCS 2105/60a in part)
12 Sec. 2105-325. Board member expenses compensation. Except
13as otherwise provided in any licensing Act, from amounts
14appropriated for compensation and expenses of boards, each
15member of each board shall receive compensation at a rate,
16established by the Director, not to exceed $50 per day, for the
17member's service and shall be reimbursed for the member's
18expenses necessarily incurred in relation to that service in
19accordance with the travel regulations applicable to the
20Department at the time the expenses are incurred.
21(Source: P.A. 91-239, eff. 1-1-00.)
22 (20 ILCS 2105/2105-400)
23 Sec. 2105-400. Emergency Powers.
24 (a) Upon proclamation of a disaster by the Governor, as

HB3332 Enrolled- 36 -LRB099 00381 MGM 20387 b
1provided for in the Illinois Emergency Management Agency Act,
2the Secretary of Financial and Professional Regulation shall
3have the following powers, which shall be exercised only in
4coordination with the Illinois Emergency Management Agency and
5the Department of Public Health:
6 (1) The power to suspend the requirements for permanent
7 or temporary licensure of persons who are licensed in
8 another state and are working under the direction of the
9 Illinois Emergency Management Agency and the Department of
10 Public Health pursuant to a declared disaster.
11 (2) The power to modify the scope of practice
12 restrictions under any licensing act administered by the
13 Department for any person working under the direction of
14 the Illinois Emergency Management Agency and the Illinois
15 Department of Public Health pursuant to the declared
16 disaster.
17 (3) The power to expand the exemption in Section 4(a)
18 of the Pharmacy Practice Act to those licensed
19 professionals whose scope of practice has been modified,
20 under paragraph (2) of subsection (a) of this Section, to
21 include any element of the practice of pharmacy as defined
22 in the Pharmacy Practice Act for any person working under
23 the direction of the Illinois Emergency Management Agency
24 and the Illinois Department of Public Health pursuant to
25 the declared disaster.
26 (b) Persons exempt from licensure under paragraph (1) of

HB3332 Enrolled- 37 -LRB099 00381 MGM 20387 b
1subsection (a) of this Section and persons operating under
2modified scope of practice provisions under paragraph (2) of
3subsection (a) of this Section shall be exempt from licensure
4or be subject to modified scope of practice only until the
5declared disaster has ended as provided by law. For purposes of
6this Section, persons working under the direction of an
7emergency services and disaster agency accredited by the
8Illinois Emergency Management Agency and a local public health
9department, pursuant to a declared disaster, shall be deemed to
10be working under the direction of the Illinois Emergency
11Management Agency and the Department of Public Health.
12 (c) The Secretary or the Director, as his or her designee,
13shall exercise these powers by way of proclamation.
14(Source: P.A. 94-733, eff. 4-27-06; 95-689, eff. 10-29-07.)
15 (20 ILCS 2105/2105-150 rep.)
16 (20 ILCS 2105/2105-350 rep.)
17 Section 910. The Department of Professional Regulation Law
18of the Civil Administrative Code of Illinois is amended by
19repealing Sections 2105-150 and 2105-350.
20 Section 915. The Clinical Psychologist Licensing Act is
21amended by changing Section 3 and by adding Section 24.2 as
22follows:
23 (225 ILCS 15/3) (from Ch. 111, par. 5353)

HB3332 Enrolled- 38 -LRB099 00381 MGM 20387 b
1 (Section scheduled to be repealed on January 1, 2017)
2 Sec. 3. Necessity of license; corporations, professional
3limited liability companies, partnerships, and associations;
4display of license.
5 (a) No individual, partnership, association or corporation
6shall, without a valid license as a clinical psychologist
7issued by the Department, in any manner hold himself or herself
8out to the public as a psychologist or clinical psychologist
9under the provisions of this Act or render or offer to render
10clinical psychological services as defined in paragraph 7 of
11Section 2 of this Act; or attach the title "clinical
12psychologist", "psychologist" or any other name or designation
13which would in any way imply that he or she is able to practice
14as a clinical psychologist; or offer to render or render, to
15individuals, corporations or the public, clinical
16psychological services as defined in paragraph 7 of Section 2
17of this Act.
18 No person may engage in the practice of clinical
19psychology, as defined in paragraph (5) of Section 2 of this
20Act, without a license granted under this Act, except as
21otherwise provided in this Act.
22 (b) No association or partnership shall be granted a
23license and no professional limited liability company shall
24provide, attempt to provide, or offer to provide clinical
25psychological services unless every member, partner, and
26employee of the association, or partnership, or professional

HB3332 Enrolled- 39 -LRB099 00381 MGM 20387 b
1limited liability company who renders clinical psychological
2services holds a currently valid license issued under this Act.
3No license shall be issued by the Department to a corporation
4that (i) has a stated purpose that includes clinical
5psychology, or (ii) practices or holds itself out as available
6to practice clinical psychology, unless it is organized under
7the Professional Service Corporation Act.
8 (c) Individuals, corporations, professional limited
9liability companies, partnerships, and associations may employ
10practicum students, interns or postdoctoral candidates seeking
11to fulfill educational requirements or the professional
12experience requirements needed to qualify for a license as a
13clinical psychologist to assist in the rendering of services,
14provided that such employees function under the direct
15supervision, order, control and full professional
16responsibility of a licensed clinical psychologist in the
17corporation, professional limited liability company,
18partnership, or association. Nothing in this paragraph shall
19prohibit a corporation, professional limited liability
20company, partnership, or association from contracting with a
21licensed health care professional to provide services.
22 (c-5) Nothing in this Act shall preclude individuals
23licensed under this Act from practicing directly or indirectly
24for a physician licensed to practice medicine in all its
25branches under the Medical Practice Act of 1987 or for any
26legal entity as provided under subsection (c) of Section 22.2

HB3332 Enrolled- 40 -LRB099 00381 MGM 20387 b
1of the Medical Practice Act of 1987.
2 Nothing in this Act shall preclude individuals licensed
3under this Act from practicing directly or indirectly for any
4hospital licensed under the Hospital Licensing Act or any
5hospital affiliate as defined in Section 10.8 of the Hospital
6Licensing Act and any hospital authorized under the University
7of Illinois Hospital Act.
8 (d) Nothing in this Act shall prevent the employment, by a
9clinical psychologist, individual, association, partnership,
10professional limited liability company, or a corporation
11furnishing clinical psychological services for remuneration,
12of persons not licensed as clinical psychologists under the
13provisions of this Act to perform services in various
14capacities as needed, provided that such persons are not in any
15manner held out to the public as rendering clinical
16psychological services as defined in paragraph 7 of Section 2
17of this Act. Nothing contained in this Act shall require any
18hospital, clinic, home health agency, hospice, or other entity
19that provides health care services to employ or to contract
20with a clinical psychologist licensed under this Act to perform
21any of the activities under paragraph (5) of Section 2 of this
22Act.
23 (e) Nothing in this Act shall be construed to limit the
24services and use of official title on the part of a person, not
25licensed under the provisions of this Act, in the employ of a
26State, county or municipal agency or other political

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1subdivision insofar that such services are a part of the duties
2in his or her salaried position, and insofar that such services
3are performed solely on behalf of his or her employer.
4 Nothing contained in this Section shall be construed as
5permitting such person to offer their services as psychologists
6to any other persons and to accept remuneration for such
7psychological services other than as specifically excepted
8herein, unless they have been licensed under the provisions of
9this Act.
10 (f) Duly recognized members of any bonafide religious
11denomination shall not be restricted from functioning in their
12ministerial capacity provided they do not represent themselves
13as being clinical psychologists or providing clinical
14psychological services.
15 (g) Nothing in this Act shall prohibit individuals not
16licensed under the provisions of this Act who work in self-help
17groups or programs or not-for-profit organizations from
18providing services in those groups, programs, or
19organizations, provided that such persons are not in any manner
20held out to the public as rendering clinical psychological
21services as defined in paragraph 7 of Section 2 of this Act.
22 (h) Nothing in this Act shall be construed to prevent a
23person from practicing hypnosis without a license issued under
24this Act provided that the person (1) does not otherwise engage
25in the practice of clinical psychology including, but not
26limited to, the independent evaluation, classification, and

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1treatment of mental, emotional, behavioral, or nervous
2disorders or conditions, developmental disabilities,
3alcoholism and substance abuse, disorders of habit or conduct,
4the psychological aspects of physical illness, (2) does not
5otherwise engage in the practice of medicine including, but not
6limited to, the diagnosis or treatment of physical or mental
7ailments or conditions, and (3) does not hold himself or
8herself out to the public by a title or description stating or
9implying that the individual is a clinical psychologist or is
10licensed to practice clinical psychology.
11 (i) Every licensee under this Act shall prominently display
12the license at the licensee's principal office, place of
13business, or place of employment and, whenever requested by any
14representative of the Department, must exhibit the license.
15(Source: P.A. 94-870, eff. 6-16-06.)
16 (225 ILCS 15/24.2 new)
17 Sec. 24.2. Confidentiality. All information collected by
18the Department in the course of an examination or investigation
19of a licensee or applicant, including, but not limited to, any
20complaint against a licensee filed with the Department and
21information collected to investigate any such complaint, shall
22be maintained for the confidential use of the Department and
23shall not be disclosed. The Department may not disclose the
24information to anyone other than law enforcement officials,
25other regulatory agencies that have an appropriate regulatory

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1interest as determined by the Secretary, or a party presenting
2a lawful subpoena to the Department. Information and documents
3disclosed to a federal, State, county, or local law enforcement
4agency shall not be disclosed by the agency for any purpose to
5any other agency or person. A formal complaint filed against a
6licensee by the Department or any order issued by the
7Department against a licensee or applicant shall be a public
8record, except as otherwise prohibited by law.
9 Section 920. The Clinical Social Work and Social Work
10Practice Act is amended by changing Section 10 and by adding
11Section 34.1 as follows:
12 (225 ILCS 20/10) (from Ch. 111, par. 6360)
13 (Section scheduled to be repealed on January 1, 2018)
14 Sec. 10. License restrictions and limitations.
15 (a) No person shall, without a license as a social worker
16issued by the Department: (i) in any manner hold himself or
17herself out to the public as a social worker under this Act;
18(ii) use the title "social worker" or "licensed social worker";
19or (iii) offer to render to individuals, corporations, or the
20public social work services if the words "social work" or
21"licensed social worker" are used to describe the person
22offering to render or rendering the services or to describe the
23services rendered or offered to be rendered.
24 (b) No person shall, without a license as a clinical social

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1worker issued by the Department: (i) in any manner hold himself
2or herself out to the public as a clinical social worker or
3licensed clinical social worker under this Act; (ii) use the
4title "clinical social worker" or "licensed clinical social
5worker"; or (iii) offer to render to individuals, corporations,
6or the public clinical social work services if the words
7"licensed clinical social worker" or "clinical social work" are
8used to describe the person to render or rendering the services
9or to describe the services rendered or offered to be rendered.
10 (c) Licensed social workers may not engage in independent
11practice of clinical social work without a clinical social
12worker license. In independent practice, a licensed social
13worker shall practice at all times under the order, control,
14and full professional responsibility of a licensed clinical
15social worker, a licensed clinical psychologist, or a
16psychiatrist, as defined in Section 1-121 of the Mental Health
17and Developmental Disabilities Code.
18 (d) No association, or partnership, or professional
19limited liability company shall provide, attempt to provide, or
20offer to provide social work or clinical social work services
21be granted a license unless every member, partner, and employee
22of the association, or partnership, or professional limited
23liability company who practices social work or clinical social
24work, or who renders social work or clinical social work
25services, holds a current license issued under this Act. No
26business shall provide, attempt to provide, or offer to provide

HB3332 Enrolled- 45 -LRB099 00381 MGM 20387 b
1social work or clinical social work services license shall be
2issued to a corporation, the stated purpose of which includes
3or that practices or holds itself out as available to practice
4social work or clinical social work unless it is organized
5under the Professional Service Corporation Act, the Medical
6Corporation Act, or the Professional Limited Liability Company
7Act.
8 (e) Nothing in this Act shall preclude individuals licensed
9under this Act from practicing directly or indirectly for a
10physician licensed to practice medicine in all its branches
11under the Medical Practice Act of 1987 or for any legal entity
12as provided under subsection (c) of Section 22.2 of the Medical
13Practice Act of 1987.
14 Nothing in this Act shall preclude individuals licensed
15under this Act from practicing directly or indirectly for any
16hospital licensed under the Hospital Licensing Act or any
17hospital affiliate as defined in Section 10.8 of the Hospital
18Licensing Act and any hospital authorized under the University
19of Illinois Hospital Act.
20(Source: P.A. 90-150, eff. 12-30-97.)
21 (225 ILCS 20/34.1 new)
22 Sec. 34.1. Confidentiality. All information collected by
23the Department in the course of an examination or investigation
24of a licensee or applicant, including, but not limited to, any
25complaint against a licensee filed with the Department and

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1information collected to investigate any such complaint, shall
2be maintained for the confidential use of the Department and
3shall not be disclosed. The Department may not disclose the
4information to anyone other than law enforcement officials,
5other regulatory agencies that have an appropriate regulatory
6interest as determined by the Secretary, or a party presenting
7a lawful subpoena to the Department. Information and documents
8disclosed to a federal, State, county, or local law enforcement
9agency shall not be disclosed by the agency for any purpose to
10any other agency or person. A formal complaint filed against a
11licensee by the Department or any order issued by the
12Department against a licensee or applicant shall be a public
13record, except as otherwise prohibited by law.
14 (225 ILCS 20/18 rep.)
15 Section 925. The Clinical Social Work and Social Work
16Practice Act is amended by repealing Section 18.
17 Section 930. The Marriage and Family Therapy Licensing Act
18is amended by changing Section 75 and by adding Section 156 as
19follows:
20 (225 ILCS 55/75) (from Ch. 111, par. 8351-75)
21 (Section scheduled to be repealed on January 1, 2018)
22 Sec. 75. License restrictions and limitations. Practice by
23corporations. No association, partnership, or professional

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1limited liability company shall provide, attempt to provide, or
2offer to provide marriage and family therapy services unless
3every member, partner, and employee of the association,
4partnership, or professional limited liability company who
5practices marriage and family therapy or who renders marriage
6and family therapy services holds a current license issued
7under this Act. No business shall provide, attempt to provide,
8or offer to provide license shall be issued by the Department
9to any corporation (i) that has a stated purpose that includes,
10or (ii) that practices or holds itself out as available to
11practice, marriage and family therapy services , unless it is
12organized under the Professional Service Corporation Act or
13Professional Limited Liability Company Act. Nothing in this Act
14shall preclude individuals licensed under this Act from
15practicing directly or indirectly for a physician licensed to
16practice medicine in all its branches under the Medical
17Practice Act of 1987 or for any legal entity as provided under
18subsection (c) of Section 22.2 of the Medical Practice Act of
191987.
20(Source: P.A. 87-783.)
21 (225 ILCS 55/156 new)
22 Sec. 156. Confidentiality. All information collected by
23the Department in the course of an examination or investigation
24of a licensee or applicant, including, but not limited to, any
25complaint against a licensee filed with the Department and

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1information collected to investigate any such complaint, shall
2be maintained for the confidential use of the Department and
3shall not be disclosed. The Department may not disclose the
4information to anyone other than law enforcement officials,
5other regulatory agencies that have an appropriate regulatory
6interest as determined by the Secretary, or a party presenting
7a lawful subpoena to the Department. Information and documents
8disclosed to a federal, State, county, or local law enforcement
9agency shall not be disclosed by the agency for any purpose to
10any other agency or person. A formal complaint filed against a
11licensee by the Department or any order issued by the
12Department against a licensee or applicant shall be a public
13record, except as otherwise prohibited by law.
14 Section 935. The Professional Counselor and Clinical
15Professional Counselor Licensing and Practice Act is amended by
16changing Section 20 as follows:
17 (225 ILCS 107/20)
18 (Section scheduled to be repealed on January 1, 2023)
19 Sec. 20. Restrictions and limitations.
20 (a) No person shall, without a valid license as a
21professional counselor issued by the Department: (i) in any
22manner hold himself or herself out to the public as a
23professional counselor under this Act; (ii) attach the title
24"professional counselor" or "licensed professional counselor";

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1or (iii) offer to render or render to individuals,
2corporations, or the public professional counseling services.
3 (b) No person shall, without a valid license as a clinical
4professional counselor issued by the Department: (i) in any
5manner hold himself or herself out to the public as a clinical
6professional counselor or licensed clinical professional
7counselor under this Act; (ii) attach the title "clinical
8professional counselor" or "licensed clinical professional
9counselor"; or (iii) offer to render to individuals,
10corporations, or the public clinical professional counseling
11services.
12 (c) (Blank).
13 (d) No association, limited liability company,
14professional limited liability company, or partnership shall
15provide, attempt to provide, or offer to provide practice
16clinical professional counseling or professional counseling
17services unless every member, partner, and employee of the
18association, limited liability company, professional limited
19liability company, or partnership who practices professional
20counseling or clinical professional counseling, or who renders
21professional counseling or clinical professional counseling
22services, holds a currently valid license issued under this
23Act. No business shall provide, attempt to provide, or offer to
24provide license shall be issued to a corporation, the stated
25purpose of which includes or which practices or which holds
26itself out as available to practice professional counseling or

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1clinical professional counseling services unless it is
2organized under the Professional Service Corporation Act or
3Professional Limited Liability Company Act.
4 (d-5) Nothing in this Act shall preclude individuals
5licensed under this Act from practicing directly or indirectly
6for a physician licensed to practice medicine in all its
7branches under the Medical Practice Act of 1987 or for any
8legal entity as provided under subsection (c) of Section 22.2
9of the Medical Practice Act of 1987.
10 (e) Nothing in this Act shall be construed as permitting
11persons licensed as professional counselors or clinical
12professional counselors to engage in any manner in the practice
13of medicine in all its branches as defined by law in this
14State.
15 (f) When, in the course of providing professional
16counseling or clinical professional counseling services to any
17person, a professional counselor or clinical professional
18counselor licensed under this Act finds indication of a disease
19or condition that in his or her professional judgment requires
20professional service outside the scope of practice as defined
21in this Act, he or she shall refer that person to a physician
22licensed to practice medicine in all of its branches or another
23appropriate health care practitioner.
24(Source: P.A. 97-706, eff. 6-25-12.)
25 Section 940. The Sex Offender Evaluation and Treatment

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1Provider Act is amended by changing Section 40 as follows:
2 (225 ILCS 109/40)
3 Sec. 40. Application; exemptions.
4 (a) No person may act as a sex offender evaluator, sex
5offender treatment provider, or associate sex offender
6provider as defined in this Act for the provision of sex
7offender evaluations or sex offender treatment pursuant to the
8Sex Offender Management Board Act, the Sexually Dangerous
9Persons Act, or the Sexually Violent Persons Commitment Act
10unless the person is licensed to do so by the Department. Any
11evaluation or treatment services provided by a licensed health
12care professional not licensed under this Act shall not be
13valid under the Sex Offender Management Board Act, the Sexually
14Dangerous Persons Act, or the Sexually Violent Persons
15Commitment Act. No business shall provide, attempt to provide,
16or offer to provide sex offender evaluation services unless it
17is organized under the Professional Service Corporation Act,
18the Medical Corporation Act, or the Professional Limited
19Liability Company Act.
20 (b) Nothing in this Act shall be construed to require any
21licensed physician, advanced practice nurse, physician
22assistant, or other health care professional to be licensed
23under this Act for the provision of services for which the
24person is otherwise licensed. This Act does not prohibit a
25person licensed under any other Act in this State from engaging

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1in the practice for which he or she is licensed. This Act only
2applies to the provision of sex offender evaluations or sex
3offender treatment provided for the purposes of complying with
4the Sex Offender Management Board Act, the Sexually Dangerous
5Persons Act, or the Sexually Violent Persons Commitment Act.
6(Source: P.A. 97-1098, eff. 7-1-13.)
7 Section 945. The Collection Agency Act is amended by
8changing Sections 2, 2.03, 2.04, 3, 4, 4.5, 5, 7, 8, 8a, 8b,
98c, 9, 9.1, 9.2, 9.3, 9.4, 9.5, 9.7, 9.22, 11, 13.1, 13.2, 14a,
1014b, 16, 17, 18, 19, 20, 21, 22, 23, 24, 25, 26, and 27 and by
11adding Sections 30, 35, 40, 45, 50, and 55 as follows:
12 (225 ILCS 425/2) (from Ch. 111, par. 2002)
13 (Section scheduled to be repealed on January 1, 2016)
14 Sec. 2. Definitions. In this Act:
15 "Address of record" means the designated address recorded
16by the Department in the applicant's or licensee's application
17file or license file as maintained by the Department's
18licensure maintenance unit. It is the duty of the applicant or
19licensee to inform the Department of any change of address and
20those changes must be made either through the Department's
21website or by contacting the Department.
22 "Board" means the Collection Agency Licensing and
23Disciplinary Board.
24 "Charge-off balance" means an account principal and other

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1legally collectible costs, expenses, and interest accrued
2prior to the charge-off date, less any payments or settlement.
3 "Charge-off date" means the date on which a receivable is
4treated as a loss or expense.
5 "Credit Consumer credit transaction" means a transaction
6between a natural person and another person in which property,
7service, or money is acquired on credit by that natural person
8from such other person primarily for personal, family, or
9household purposes.
10 "Consumer debt" or "consumer credit" means money,
11property, or their equivalent, due or owing or alleged to be
12due or owing from a natural person by reason of a consumer
13credit transaction.
14 "Creditor" means a person who extends consumer credit to a
15debtor.
16 "Current balance" means the charge-off balance plus any
17legally collectible costs, expenses, and interest, less any
18credits or payments.
19 "Debt" means money, property, or their equivalent which is
20due or owing or alleged to be due or owing from a natural
21person to another person.
22 "Debt buyer" means a person or entity that is engaged in
23the business of purchasing delinquent or charged-off consumer
24loans or consumer credit accounts or other delinquent consumer
25debt for collection purposes, whether it collects the debt
26itself or hires a third-party for collection or an

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1attorney-at-law for litigation in order to collect such debt.
2 "Debt collection" means any act or practice in connection
3with the collection of consumer debts.
4 "Debt collector", "collection agency", or "agency" means
5any person who, in the ordinary course of business, regularly,
6on behalf of himself or herself or others, engages in debt
7collection.
8 "Debtor" means a natural person from whom a collection
9agency debt collector seeks to collect a consumer or commercial
10debt that is due and owing or alleged to be due and owing from
11such person.
12 "Department" means Division of Professional Regulation
13within the Department of Financial and Professional
14Regulation.
15 "Director" means the Director of the Division of
16Professional Regulation within the Department of Financial and
17Professional Regulation.
18 "Person" means a natural person, partnership, corporation,
19limited liability company, trust, estate, cooperative,
20association, or other similar entity.
21 "Licensed collection agency" means a person who is licensed
22under this Act to engage in the practice of debt collection in
23Illinois.
24 "Secretary" means the Secretary of Financial and
25Professional Regulation.
26(Source: P.A. 97-1070, eff. 1-1-13.)

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1 (225 ILCS 425/2.03) (from Ch. 111, par. 2005)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 2.03. Exemptions. This Act does not apply to persons
4whose collection activities are confined to and are directly
5related to the operation of a business other than that of a
6collection agency, and specifically does not include the
7following:
8 1. Banks, including trust departments, affiliates, and
9 subsidiaries thereof, fiduciaries, and financing and
10 lending institutions (except those who own or operate
11 collection agencies);
12 2. Abstract companies doing an escrow business;
13 3. Real estate brokers when acting in the pursuit of
14 their profession;
15 4. Public officers and judicial officers acting under
16 order of a court;
17 5. Licensed attorneys at law;
18 6. Insurance companies;
19 7. Credit unions, including affiliates and
20 subsidiaries thereof (except those who own or operate
21 collection agencies);
22 8. Loan and finance companies, including entities
23 licensed pursuant to the Residential Mortgage License Act
24 of 1987;
25 9. Retail stores collecting their own accounts;

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1 10. Unit Owner's Associations established under the
2 Condominium Property Act, and their duly authorized
3 agents, when collecting assessments from unit owners; and
4 11. Any person or business under contract with a
5 creditor to notify the creditor's debtors of a debt using
6 only the creditor's name.
7(Source: P.A. 95-437, eff. 1-1-08.)
8 (225 ILCS 425/2.04) (from Ch. 111, par. 2005.1)
9 (Section scheduled to be repealed on January 1, 2016)
10 Sec. 2.04. Child support debt indebtedness.
11 (a) Collection agencies Persons, associations,
12partnerships, corporations, or other legal entities engaged in
13the business of collecting child support debt indebtedness
14owing under a court order as provided under the Illinois Public
15Aid Code, the Illinois Marriage and Dissolution of Marriage
16Act, the Non-Support of Spouse and Children Act, the
17Non-Support Punishment Act, the Illinois Parentage Act of 1984,
18or similar laws of other states are not restricted (i) in the
19frequency of contact with an obligor who is in arrears, whether
20by phone, mail, or other means, (ii) from contacting the
21employer of an obligor who is in arrears, (iii) from publishing
22or threatening to publish a list of obligors in arrears, (iv)
23from disclosing or threatening to disclose an arrearage that
24the obligor disputes, but for which a verified notice of
25delinquency has been served under the Income Withholding for

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1Support Act (or any of its predecessors, Section 10-16.2 of the
2Illinois Public Aid Code, Section 706.1 of the Illinois
3Marriage and Dissolution of Marriage Act, Section 22 4.1 of the
4Non-Support Punishment of Spouse and Children Act, Section 26.1
5of the Revised Uniform Reciprocal Enforcement of Support Act,
6or Section 20 of the Illinois Parentage Act of 1984), or (v)
7from engaging in conduct that would not cause a reasonable
8person mental or physical illness. For purposes of this
9subsection, "obligor" means an individual who owes a duty to
10make periodic payments, under a court order, for the support of
11a child. "Arrearage" means the total amount of an obligor's
12unpaid child support obligations.
13 (a-5) A collection agency may not impose a fee or charge,
14including costs, for any child support payments collected
15through the efforts of a federal, State, or local government
16agency, including but not limited to child support collected
17from federal or State tax refunds, unemployment benefits, or
18Social Security benefits.
19 No collection agency that collects child support payments
20shall (i) impose a charge or fee, including costs, for
21collection of a current child support payment, (ii) fail to
22apply collections to current support as specified in the order
23for support before applying collection to arrears or other
24amounts, or (iii) designate a current child support payment as
25arrears or other amount owed. In all circumstances, the
26collection agency shall turn over to the obligee all support

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1collected in a month up to the amount of current support
2required to be paid for that month.
3 As to any fees or charges, including costs, retained by the
4collection agency, that agency shall provide documentation to
5the obligee demonstrating that the child support payments
6resulted from the actions of the agency.
7 After collection of the total amount or arrearage,
8including statutory interest, due as of the date of execution
9of the collection contract, no further fees may be charged.
10 (a-10) The Department of Professional Regulation shall
11determine a fee rate of not less than 25% but not greater than
1235%, based upon presentation by the licensees as to costs to
13provide the service and a fair rate of return. This rate shall
14be established by administrative rule.
15 Without prejudice to the determination by the Department of
16the appropriate rate through administrative rule, a collection
17agency shall impose a fee of not more than 29% of the amount of
18child support actually collected by the collection agency
19subject to the provisions of subsection (a-5). This interim
20rate is based upon the March 2002 General Account Office report
21"Child Support Enforcement", GAO-02-349. This rate shall apply
22until a fee rate is established by administrative rule.
23 (b) The Department shall adopt rules necessary to
24administer and enforce the provisions of this Section.
25(Source: P.A. 93-896, eff. 8-10-04; 94-414, eff. 12-31-05.)

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1 (225 ILCS 425/3) (from Ch. 111, par. 2006)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 3. A person, association, partnership, corporation,
4or other legal entity acts as a collection agency when he, she,
5or it:
6 (a) Engages in the business of collection for others of
7 any account, bill or other debt indebtedness;
8 (b) Receives, by assignment or otherwise, accounts,
9 bills, or other debt indebtedness from any person owning or
10 controlling 20% or more of the business receiving the
11 assignment, with the purpose of collecting monies due on
12 such account, bill or other debt indebtedness;
13 (c) Sells or attempts to sell, or gives away or
14 attempts to give away to any other person, other than one
15 licensed registered under this Act, any system of
16 collection, letters, demand forms, or other printed matter
17 where the name of any person, other than that of the
18 creditor, appears in such a manner as to indicate, directly
19 or indirectly, that a request or demand is being made by
20 any person other than the creditor for the payment of the
21 sum or sums due or asserted to be due;
22 (d) Buys accounts, bills or other debt indebtedness and
23 engages in collecting the same; or
24 (e) Uses a fictitious name in collecting its own
25 accounts, bills, or debts with the intention of conveying
26 to the debtor that a third party has been employed to make

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1 such collection; or .
2 (f) Engages in the business of collection of a check or
3 other payment that is returned unpaid by the financial
4 institution upon which it is drawn.
5(Source: P.A. 94-414, eff. 12-31-05; 95-437, eff. 1-1-08.)
6 (225 ILCS 425/4) (from Ch. 111, par. 2007)
7 (Section scheduled to be repealed on January 1, 2016)
8 Sec. 4. No collection agency shall operate in this State,
9directly or indirectly engage in the business of collecting
10debt, solicit debt claims for others, have a sales office, a
11client, or solicit a client in this State, exercise the right
12to collect, or receive payment for another of any debt account,
13bill or other indebtedness, without obtaining a license
14registering under this Act except that no collection agency
15shall be required to be licensed or maintain an established
16business address in this State if the agency's activities in
17this State are limited to collecting debts from debtors located
18in this State by means of interstate communication, including
19telephone, mail, or facsimile transmission, electronic mail,
20or any other Internet communication from the agency's location
21in another state provided they are licensed in that state and
22these same privileges are permitted in that licensed state to
23agencies licensed in Illinois.
24(Source: P.A. 88-363; 89-387, eff. 1-1-96.)

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1 (225 ILCS 425/4.5)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 4.5. Unlicensed practice; violation; civil penalty.
4 (a) Any person who practices, offers to practice, attempts
5to practice, or holds oneself out to practice as a collection
6agency without being licensed under this Act shall, in addition
7to any other penalty provided by law, pay a civil penalty to
8the Department in an amount not to exceed $10,000 $5,000 for
9each offense as determined by the Department. The civil penalty
10shall be assessed by the Department after a hearing is held in
11accordance with the provisions set forth in this Act regarding
12the provision of a hearing for the discipline of a licensee.
13 (b) The Department has the authority and power to
14investigate any and all unlicensed activity. In addition to
15taking any other action provided under this Act, whenever the
16Department has reason to believe a person, association,
17partnership, corporation, or other legal entity has violated
18any provision of subsection (a) of this Section, the Department
19may issue a rule to show cause why an order to cease and desist
20should not be entered against that person, association,
21partnership, corporation, or other legal entity. The rule shall
22clearly set forth the grounds relied upon by the Department and
23shall provide a period of 7 days from the date of the rule to
24file an answer to the satisfaction of the Department. Failure
25to answer to the satisfaction of the Department shall cause an
26order to cease and desist to be issued immediately.

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1 (c) The civil penalty shall be paid within 60 days after
2the effective date of the order imposing the civil penalty. The
3order shall constitute a judgment and may be filed and
4execution had thereon in the same manner as any judgment from
5any court of record.
6 (d) All moneys collected under this Section shall be
7deposited into the General Professions Dedicated Fund.
8(Source: P.A. 94-414, eff. 12-31-05.)
9 (225 ILCS 425/5) (from Ch. 111, par. 2008)
10 (Section scheduled to be repealed on January 1, 2016)
11 Sec. 5. Application for original license. Application for
12an original license registration shall be made to the Secretary
13Director on forms provided by the Department, shall be
14accompanied by the required fee and shall state:
15 (1) the applicant's name and address;
16 (2) the names and addresses of the officers of the
17 collection agency and, if the collection agency is a
18 corporation, the names and addresses of all persons owning
19 10% or more of the stock of such corporation, if the
20 collection agency is a partnership, the names and addresses
21 of all partners of the partnership holding a 10% or more
22 interest in the partnership, and, if the collection agency
23 is a limited liability company, the names and addresses of
24 all members holding 10% or more interest in the limited
25 liability company, and if the collection agency is any

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1 other legal business entity, the names and addresses of all
2 persons owning 10% or more interest in the entity; and
3 (3) such other information as the Department may deem
4 necessary.
5(Source: P.A. 94-414, eff. 12-31-05.)
6 (225 ILCS 425/7) (from Ch. 111, par. 2010)
7 (Section scheduled to be repealed on January 1, 2016)
8 Sec. 7. Qualifications for license. In order to be
9qualified to obtain a license or a renewal license certificate
10or a renewal certificate under this Act, a collection agency's
11officers shall:
12 (a) be of good moral character and of the age of 18 years
13or more;
14 (b) (blank); and have had at least one year experience
15working in the credit field or a related area, or be qualified
16for an original license under Section 6 (c) of this Act;
17 (c) have an acceptable credit rating, have no unsatisfied
18judgments; and not have been officers and owners of 10% or more
19interest of a former licensee or registrant under this Act
20whose licenses or certificates were suspended or revoked
21without subsequent reinstatement.
22(Source: P.A. 89-387, eff. 1-1-96.)
23 (225 ILCS 425/8) (from Ch. 111, par. 2011)
24 (Section scheduled to be repealed on January 1, 2016)

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1 Sec. 8. Bond requirement. A Before issuing a certificate or
2renewing one, the Director shall require each collection agency
3shall be required to file and maintain in force a surety bond,
4issued by an insurance company authorized to transact fidelity
5and surety business in the State of Illinois. The bond shall be
6for the benefit of creditors who obtain a judgment from a court
7of competent jurisdiction based on the failure of the agency to
8remit money collected on account and owed to the creditor. No
9action on the bond shall be commenced more than one year after
10the creditor obtains a judgment against the collection agency
11from a court of competent jurisdiction. The bond shall be in
12the form prescribed by the Secretary Director in the sum of
13$25,000. The bond shall be continuous in form and run
14concurrently with the original and each renewal license period
15unless terminated by the insurance company. An insurance
16company may terminate a bond and avoid further liability by
17filing a 60-day notice of termination with the Department and
18at the same time sending the same notice to the agency. A
19license certificate of registration shall be cancelled on the
20termination date of the agency's bond unless a new bond is
21filed with the Department to become effective at the
22termination date of the prior bond. If a license certificate of
23registration has been cancelled under this Section, the agency
24must file a new application and will be considered a new
25applicant if it obtains a new bond.
26(Source: P.A. 84-242.)

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1 (225 ILCS 425/8a) (from Ch. 111, par. 2011a)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 8a. Fees.
4 (a) The Department shall provide by rule for a schedule of
5fees for the administration and enforcement of this Act,
6including but not limited to original licensure, renewal, and
7restoration, shall be set by the Department by rule. The fees
8shall be nonrefundable.
9 (b) All fees collected under this Act shall be deposited
10into the General Professions Dedicated Fund and shall be
11appropriated to the Department for the ordinary and contingent
12expenses of the Department in the administration of this Act.
13(Source: P.A. 91-454, eff. 1-1-00.)
14 (225 ILCS 425/8b) (from Ch. 111, par. 2011b)
15 (Section scheduled to be repealed on January 1, 2016)
16 Sec. 8b. Assignment for collection. An account may be
17assigned to a collection agency for collection with title
18passing to the collection agency to enable collection of the
19account in the agency's name as assignee for the creditor
20provided:
21 (a) The assignment is manifested by a written agreement,
22separate from and in addition to any document intended for the
23purpose of listing a debt with a collection agency. The
24document manifesting the assignment shall specifically state

HB3332 Enrolled- 66 -LRB099 00381 MGM 20387 b
1and include:
2 (i) the effective date of the assignment; and
3 (ii) the consideration for the assignment.
4 (b) The consideration for the assignment may be paid or
5given either before or after the effective date of the
6assignment. The consideration may be contingent upon the
7settlement or outcome of litigation and if the debt claim being
8assigned has been listed with the collection agency as an
9account for collection, the consideration for assignment may be
10the same as the fee for collection.
11 (c) All assignments shall be voluntary and properly
12executed and acknowledged by the corporate authority or
13individual transferring title to the collection agency before
14any action can be taken in the name of the collection agency.
15 (d) No assignment shall be required by any agreement to
16list a debt with a collection agency as an account for
17collection.
18 (e) No litigation shall commence in the name of the
19licensee as plaintiff unless: (i) there is an assignment of the
20account that satisfies the requirements of this Section and
21(ii) the licensee is represented by a licensed attorney at law.
22 (f) If a collection agency takes assignments of accounts
23from 2 or more creditors against the same debtor and commences
24litigation against that debtor in a single action, in the name
25of the collection agency, then (i) the complaint must be stated
26in separate counts for each assignment and (ii) the debtor has

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1an absolute right to have any count severed from the rest of
2the action.
3(Source: P.A. 89-387, eff. 1-1-96.)
4 (225 ILCS 425/8c) (from Ch. 111, par. 2011c)
5 (Section scheduled to be repealed on January 1, 2016)
6 Sec. 8c. (a) Each licensed collection agency office shall
7at all times maintain a separate bank account in which all
8monies received on debts claims shall be deposited, referred to
9as a "Trust Account", except that negotiable instruments
10received may be forwarded directly to a creditor if such
11procedure is provided for by a writing executed by the
12creditor. Monies received shall be so deposited within 5
13business days after posting to the agency's books of account.
14 There shall be sufficient funds in the trust account at all
15times to pay the creditors the amount due them.
16 (b) The trust account shall be established in a bank,
17savings and loan association, or other recognized depository
18which is federally or State insured or otherwise secured as
19defined by rule. Such account may be interest bearing. The
20licensee shall pay to the creditor interest earned on funds on
21deposit after the sixtieth day.
22 (c) Notwithstanding any contractual arrangement, every
23client of a licensee shall within 60 days after the close of
24each calendar month, account and pay to the licensee collection
25agency all sums owed to the collection agency for payments

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1received by the client during that calendar month on debts
2claims in possession of the collection agency. If a client
3fails to pay the licensee any sum due under this Section, the
4licensee shall, in addition to other remedies provided by law,
5have the right to offset any money due the licensee under this
6Section against any moneys due the client.
7 (d) Each collection agency shall keep on file the name of
8the bank, savings and loan association, or other recognized
9depository in which each trust account is maintained, the name
10of each trust account, and the names of the persons authorized
11to withdraw funds from each account.
12 The collection agency, within 30 days of the time of a
13change of depository or person authorized to make withdrawal,
14shall update its files to reflect such change.
15 An examination and audit of an agency's trust accounts may
16be made by the Department as the Department deems appropriate.
17 A trust account financial report shall be submitted
18annually on forms provided by the Department.
19(Source: P.A. 89-387, eff. 1-1-96.)
20 (225 ILCS 425/9) (from Ch. 111, par. 2012)
21 (Section scheduled to be repealed on January 1, 2016)
22 Sec. 9. Disciplinary actions.
23 (a) The Department may refuse to issue or renew, or may
24revoke, suspend, place on probation, reprimand or take other
25disciplinary or non-disciplinary action as the Department may

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1deem proper, including fines not to exceed $5,000 for a first
2violation and not to exceed $10,000 per violation for a second
3or subsequent violation, for any one or any combination of the
4following causes:
5 (1) Material misstatement in furnishing information to
6 the Department.
7 (2) (1) Violations of this Act or of the rules
8 promulgated hereunder.
9 (3) (2) Conviction by plea of guilty or nolo
10 contendere, finding of guilt, jury verdict, or entry of
11 judgment or by sentencing of any crime, including, but not
12 limited to, convictions, preceding sentences of
13 supervision, conditional discharge, or first offender
14 probation of the collection agency or any of the officers
15 or owners of more than 10% interest principals of the
16 agency of any crime under the laws of any U.S. jurisdiction
17 that (i) is a felony, (ii) is a misdemeanor, an essential
18 element of which is dishonesty, or (iii) is directly
19 related to the practice of a collection agency any U.S.
20 jurisdiction which is a felony, a misdemeanor an essential
21 element of which is dishonesty, or of any crime which
22 directly relates to the practice of the profession.
23 (4) Fraud or (3) Making any misrepresentation in
24 applying for, or procuring, a license under this Act or in
25 connection with applying for renewal of for the purpose of
26 obtaining a license under this Act or certificate.

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1 (5) Aiding or assisting another person in violating any
2 provision of this Act or rules adopted under this Act.
3 (6) Failing, within 60 days, to provide information in
4 response to a written request made by the Department.
5 (7) (4) Habitual or excessive use or addiction to
6 alcohol, narcotics, stimulants or any other chemical agent
7 or drug which results in the inability to practice with
8 reasonable judgment, skill, or safety by any of the
9 officers or owners of 10% or more interest principals of a
10 collection agency.
11 (8) (5) Discipline by another state, the District of
12 Columbia, a territory of the United States, U.S.
13 jurisdiction or a foreign nation, if at least one of the
14 grounds for the discipline is the same or substantially
15 equivalent to those set forth in this Act.
16 (9) (6) A finding by the Department that the licensee,
17 after having his license placed on probationary status, has
18 violated the terms of probation.
19 (10) Willfully making or filing false records or
20 reports in his or her practice, including, but not limited
21 to, false records filed with State agencies or departments.
22 (11) (7) Practicing or attempting to practice under a
23 false or, except as provided by law, an assumed name a name
24 other than the name as shown on his or her license or any
25 other legally authorized name.
26 (12) (8) A finding by the Federal Trade Commission that

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1 a licensee violated the federal Federal Fair Debt and
2 Collection Practices Act or its rules.
3 (13) (9) Failure to file a return, or to pay the tax,
4 penalty or interest shown in a filed return, or to pay any
5 final assessment of tax, penalty or interest, as required
6 by any tax Act administered by the Illinois Department of
7 Revenue until such time as the requirements of any such tax
8 Act are satisfied.
9 (14) (10) Using or threatening to use force or violence
10 to cause physical harm to a debtor, his or her family or
11 his or her property.
12 (15) (11) Threatening to instigate an arrest or
13 criminal prosecution where no basis for a criminal
14 complaint lawfully exists.
15 (16) (12) Threatening the seizure, attachment or sale
16 of a debtor's property where such action can only be taken
17 pursuant to court order without disclosing that prior court
18 proceedings are required.
19 (17) (13) Disclosing or threatening to disclose
20 information adversely affecting a debtor's reputation for
21 credit worthiness with knowledge the information is false.
22 (18) (14) Initiating or threatening to initiate
23 communication with a debtor's employer unless there has
24 been a default of the payment of the obligation for at
25 least 30 days and at least 5 days prior written notice, to
26 the last known address of the debtor, of the intention to

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1 communicate with the employer has been given to the
2 employee, except as expressly permitted by law or court
3 order.
4 (19) (15) Communicating with the debtor or any member
5 of the debtor's family at such a time of day or night and
6 with such frequency as to constitute harassment of the
7 debtor or any member of the debtor's family. For purposes
8 of this Section the following conduct shall constitute
9 harassment:
10 (A) Communicating with the debtor or any member of
11 his or her family in connection with the collection of
12 any debt without the prior consent of the debtor given
13 directly to the debt collector, or the express
14 permission of a court of competent jurisdiction, at any
15 unusual time or place or a time or place known or which
16 should be known to be inconvenient to the debtor. In
17 the absence of knowledge of circumstances to the
18 contrary, a debt collector shall assume that the
19 convenient time for communicating with a consumer is
20 after 8 o'clock a.m. and before 9 o'clock p.m. local
21 time at the debtor's location.
22 (B) The threat of publication or publication of a
23 list of consumers who allegedly refuse to pay debts,
24 except to a consumer reporting agency.
25 (C) The threat of advertisement or advertisement
26 for sale of any debt to coerce payment of the debt.

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1 (D) Causing a telephone to ring or engaging any
2 person in telephone conversation repeatedly or
3 continuously with intent to annoy, abuse, or harass any
4 person at the called number.
5 (20) (16) Using profane, obscene or abusive language in
6 communicating with a debtor, his or her family or others.
7 (21) (17) Disclosing or threatening to disclose
8 information relating to a debtor's debt indebtedness to any
9 other person except where such other person has a
10 legitimate business need for the information or except
11 where such disclosure is permitted regulated by law.
12 (22) (18) Disclosing or threatening to disclose
13 information concerning the existence of a debt which the
14 collection agency debt collector knows to be reasonably
15 disputed by the debtor without disclosing the fact that the
16 debtor disputes the debt.
17 (23) (19) Engaging in any conduct that is which the
18 Director finds was intended to cause and did cause mental
19 or physical illness to the debtor or his or her family.
20 (24) (20) Attempting or threatening to enforce a right
21 or remedy with knowledge or reason to know that the right
22 or remedy does not exist.
23 (25) (21) Failing to disclose to the debtor or his or
24 her family the corporate, partnership or proprietary name,
25 or other trade or business name, under which the collection
26 agency debt collector is engaging in debt collections and

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1 which he or she is legally authorized to use.
2 (26) (22) Using any form of communication which
3 simulates legal or judicial process or which gives the
4 appearance of being authorized, issued or approved by a
5 governmental agency or official or by an attorney at law
6 when it is not.
7 (27) (23) Using any badge, uniform, or other indicia of
8 any governmental agency or official except as authorized by
9 law.
10 (28) (24) Conducting business under any name or in any
11 manner which suggests or implies that the collection agency
12 a debt collector is bonded if such collector is or is a
13 branch of or is affiliated in with any way with a
14 governmental agency or court if such collection agency
15 collector is not.
16 (29) (25) Failing to disclose, at the time of making
17 any demand for payment, the name of the person to whom the
18 debt claim is owed and at the request of the debtor, the
19 address where payment is to be made and the address of the
20 person to whom the debt claim is owed.
21 (30) (26) Misrepresenting the amount of the claim or
22 debt alleged to be owed.
23 (31) (27) Representing that an existing debt may be
24 increased by the addition of attorney's fees,
25 investigation fees or any other fees or charges when such
26 fees or charges may not legally be added to the existing

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1 debt.
2 (32) (28) Representing that the collection agency debt
3 collector is an attorney at law or an agent for an attorney
4 if he or she is not.
5 (33) (29) Collecting or attempting to collect any
6 interest or other charge or fee in excess of the actual
7 debt or claim unless such interest or other charge or fee
8 is expressly authorized by the agreement creating the debt
9 or claim unless expressly authorized by law or unless in a
10 commercial transaction such interest or other charge or fee
11 is expressly authorized in a subsequent agreement. If a
12 contingency or hourly fee arrangement (i) is established
13 under an agreement between a collection agency and a
14 creditor to collect a debt and (ii) is paid by a debtor
15 pursuant to a contract between the debtor and the creditor,
16 then that fee arrangement does not violate this Section
17 unless the fee is unreasonable. The Department shall
18 determine what constitutes a reasonable collection fee.
19 (34) (30) Communicating or threatening to communicate
20 with a debtor when the collection agency debt collector is
21 informed in writing by an attorney that the attorney
22 represents the debtor concerning the debt claim, unless
23 authorized by the attorney. If the attorney fails to
24 respond within a reasonable period of time, the collector
25 may communicate with the debtor. The collector may
26 communicate with the debtor when the attorney gives his or

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1 her consent.
2 (35) (31) Engaging in dishonorable, unethical, or
3 unprofessional conduct of a character likely to deceive,
4 defraud, or harm the public.
5 (b) The Department shall deny any license or renewal
6authorized by this Act to any person who has defaulted on an
7educational loan guaranteed by the Illinois State Scholarship
8Commission; however, the Department may issue a license or
9renewal if the person in default has established a satisfactory
10repayment record as determined by the Illinois State
11Scholarship Commission.
12 No collection agency debt collector while collecting or
13attempting to collect a debt shall engage in any of the Acts
14specified in this Section, each of which shall be unlawful
15practice.
16(Source: P.A. 94-414, eff. 12-31-05.)
17 (225 ILCS 425/9.1)
18 (Section scheduled to be repealed on January 1, 2016)
19 Sec. 9.1. Communication with persons other than debtor. Any
20debt collector or collection agency communicating with any
21person other than the debtor for the purpose of acquiring
22location information about the debtor shall:
23 (1) identify himself or herself, state that he or she
24 is confirming or correcting location information
25 concerning the consumer, and, only if expressly requested,

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1 identify his or her employer;
2 (2) not state that the consumer owes any debt;
3 (3) not communicate with any person more than once
4 unless requested to do so by the person or unless the debt
5 collector or collection agency reasonably believes that
6 the earlier response of the person is erroneous or
7 incomplete and that the person now has correct or complete
8 location information;
9 (4) not communicate by postcard;
10 (5) not use any language or symbol on any envelope or
11 in the contents of any communication effected by mail or
12 telegram that indicates that the debt collector or
13 collection agency is in the debt collection business or
14 that the communication relates to the collection of a debt;
15 and
16 (6) not communicate with any person other than the
17 attorney after the debt collector or collection agency
18 knows the debtor is represented by an attorney with regard
19 to the subject debt and has knowledge of or can readily
20 ascertain the attorney's name and address, not communicate
21 with any person other than the attorney, unless the
22 attorney fails to respond within a reasonable period of
23 time, not less than 30 days, to communication from the debt
24 collector or collection agency.
25(Source: P.A. 95-437, eff. 1-1-08; 95-876, eff. 8-21-08.)

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1 (225 ILCS 425/9.2)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 9.2. Communication in connection with debt
4collection.
5 (a) Without the prior consent of the debtor given directly
6to the debt collector or collection agency or the express
7permission of a court of competent jurisdiction, a debt
8collector or collection agency may not communicate with a
9debtor in connection with the collection of any debt in any of
10the following circumstances:
11 (1) At any unusual time, place, or manner that is known
12 or should be known to be inconvenient to the debtor. In the
13 absence of knowledge of circumstances to the contrary, a
14 debt collector or collection agency shall assume that the
15 convenient time for communicating with a debtor is after
16 8:00 8 o'clock a.m. and before 9:00 9 o'clock p.m. local
17 time at the debtor's location.
18 (2) If the debt collector or collection agency knows
19 the debtor is represented by an attorney with respect to
20 such debt and has knowledge of or can readily ascertain,
21 the attorney's name and address, unless the attorney fails
22 to respond within a reasonable period of time to a
23 communication from the debt collector or collection agency
24 or unless the attorney consents to direct communication
25 with the debtor.
26 (3) At the debtor's place of employment, if the debt

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1 collector or collection agency knows or has reason to know
2 that the debtor's employer prohibits the debtor from
3 receiving such communication.
4 (b) Except as provided in Section 9.1 of this Act, without
5the prior consent of the debtor given directly to the debt
6collector or collection agency, or the express permission of a
7court of competent jurisdiction, or as reasonably necessary to
8effectuate a post judgment judicial remedy, a debt collector or
9collection agency may not communicate, in connection with the
10collection of any debt, with any person other than the debtor,
11the debtor's attorney, a consumer reporting agency if otherwise
12permitted by law, the creditor, the attorney of the creditor,
13or the attorney of the collection agency.
14 (c) If a debtor notifies a debt collector or collection
15agency in writing that the debtor refuses to pay a debt or that
16the debtor wishes the debt collector or collection agency to
17cease further communication with the debtor, the debt collector
18or collection agency may not communicate further with the
19debtor with respect to such debt, except to perform any of the
20following tasks:
21 (1) Advise the debtor that the debt collector's or
22 collection agency's further efforts are being terminated.
23 (2) Notify the debtor that the collection agency or
24 creditor may invoke specified remedies that are ordinarily
25 invoked by such collection agency or creditor.
26 (3) Notify the debtor that the collection agency or

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1 creditor intends to invoke a specified remedy.
2 If such notice from the debtor is made by mail,
3notification shall be complete upon receipt.
4 (d) For the purposes of this Section, "debtor" includes the
5debtor's spouse, parent (if the debtor is a minor), guardian,
6executor, or administrator.
7(Source: P.A. 95-437, eff. 1-1-08.)
8 (225 ILCS 425/9.3)
9 (Section scheduled to be repealed on January 1, 2016)
10 Sec. 9.3. Validation of debts.
11 (a) Within 5 days after the initial communication with a
12debtor in connection with the collection of any debt, a debt
13collector or collection agency shall, unless the following
14information is contained in the initial communication or the
15debtor has paid the debt, send the debtor a written notice with
16each of the following disclosures:
17 (1) The amount of the debt.
18 (2) The name of the creditor to whom the debt is owed.
19 (3) That, unless the debtor, within 30 days after
20 receipt of the notice, disputes the validity of the debt,
21 or any portion thereof, the debt will be assumed to be
22 valid by the debt collector or collection agency.
23 (4) That, if the debtor notifies the debt collector or
24 collection agency in writing within the 30-day period that
25 the debt, or any portion thereof, is disputed, the debt

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1 collector or collection agency will obtain verification of
2 the debt or a copy of a judgment against the debtor and a
3 copy of the verification or judgment will be mailed to the
4 debtor by the debt collector or collection agency.
5 (5) The That upon the debtor's written request within
6 the 30-day period, the debt collector or collection agency
7 will provide the debtor with the name and address of the
8 original creditor, if different from the current creditor.
9 If the disclosures required under this subsection (a) are
10 placed on the back of the notice, the front of the notice
11 shall contain a statement notifying debtors of that fact.
12 (b) If the debtor notifies the debt collector or collection
13agency in writing within the 30-day period set forth in
14paragraph (3) of subsection (a) of this Section that the debt,
15or any portion thereof, is disputed or that the debtor requests
16the name and address of the original creditor, the debt
17collector or collection agency shall cease collection of the
18debt, or any disputed portion thereof, until the debt collector
19or collection agency obtains verification of the debt or a copy
20of a judgment or the name and address of the original creditor
21and mails a copy of the verification or judgment or name and
22address of the original creditor to the debtor.
23 (c) The failure of a debtor to dispute the validity of a
24debt under this Section shall not be construed by any court as
25an admission of liability by the debtor.
26(Source: P.A. 95-437, eff. 1-1-08.)

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1 (225 ILCS 425/9.4)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 9.4. Debt collection as a result of identity theft.
4 (a) Upon receipt from a debtor of all of the following
5information, a debt collector or collection agency must cease
6collection activities until completion of the review provided
7in subsection (d) of this Section:
8 (1) A copy of a police report filed by the debtor
9 alleging that the debtor is the victim of an identity theft
10 crime for the specific debt being collected by the
11 collection agency debt collector.
12 (2) The debtor's written statement that the debtor
13 claims to be the victim of identity theft with respect to
14 the specific debt being collected by the collection agency
15 debt collector, including (i) a Federal Trade Commission's
16 Affidavit of Identity Theft, (ii) an Illinois Attorney
17 General ID Theft Affidavit, or (iii) a written statement
18 that certifies that the representations are true, correct,
19 and contain no material omissions of fact to the best
20 knowledge and belief of the person submitting the
21 certification. This written statement must contain or be
22 accompanied by, each of the following, to the extent that
23 an item listed below is relevant to the debtor's allegation
24 of identity theft with respect to the debt in question:
25 (A) A statement that the debtor is a victim of

HB3332 Enrolled- 83 -LRB099 00381 MGM 20387 b
1 identity theft.
2 (B) A copy of the debtor's driver's license or
3 identification card, as issued by this State.
4 (C) Any other identification document that
5 supports the statement of identity theft.
6 (D) Specific facts supporting the claim of
7 identity theft, if available.
8 (E) Any explanation showing that the debtor did not
9 incur the debt.
10 (F) Any available correspondence disputing the
11 debt after transaction information has been provided
12 to the debtor.
13 (G) Documentation of the residence of the debtor at
14 the time of the alleged debt, which may include copies
15 of bills and statements, such as utility bills, tax
16 statements, or other statements from businesses sent
17 to the debtor and showing that the debtor lived at
18 another residence at the time the debt was incurred.
19 (H) A telephone number for contacting the debtor
20 concerning any additional information or questions or
21 direction that further communications to the debtor be
22 in writing only, with the mailing address specified in
23 the statement.
24 (I) To the extent the debtor has information
25 concerning who may have incurred the debt, the
26 identification of any person whom the debtor believes

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1 is responsible.
2 (J) An express statement that the debtor did not
3 authorize the use of the debtor's name or personal
4 information for incurring the debt.
5 (b) A written certification submitted pursuant to item
6(iii) of paragraph (2) of subsection (a) of this Section shall
7be sufficient if it is in substantially the following form:
8 "I certify that the representations made are true, correct,
9 and contain no material omissions of fact known to me.
10 (Signature)
11 (Date)"
12 (c) If a debtor notifies a debt collector or collection
13agency orally that he or she is a victim of identity theft, the
14debt collector or collection agency shall notify the debtor
15orally or in writing, that the debtor's claim must be in
16writing. If a debtor notifies a debt collector or collection
17agency in writing that he or she is a victim of identity theft,
18but omits information required pursuant to this Section, and if
19the debt collector or collection agency continues does not
20cease collection activities, the debt collector or collection
21agency must provide written notice to the debtor of the
22additional information that is required or send the debtor a
23copy of the Federal Trade Commission's Affidavit of Identity

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1Theft Affidavit form.
2 (d) Upon receipt of the complete statement and information
3described in subsection (a) of this Section, the collection
4agency debt collector shall review and consider all of the
5information provided by the debtor and other information
6available to the debt collector or collection agency in its
7file or from the creditor. The debt collector or collection
8agency may recommence debt collection activities only upon
9making a good faith determination that the information does not
10establish that the debtor is not responsible for the specific
11debt in question. The debt collector or collection agency must
12notify the debtor consumer in writing of that determination and
13the basis for that determination before proceeding with any
14further collection activities. The debt collector's or
15collection agency's determination shall be based on all of the
16information provided by the debtor and other information
17available to the debt collector or collection agency in its
18file or from the creditor.
19 (e) No inference or presumption that the debt is valid or
20invalid or that the debtor is liable or not liable for the debt
21may arise if the debt collector or collection agency decides
22after the review described in subsection (d) to cease or
23recommence the debt collection activities. The exercise or
24non-exercise of rights under this Section is not a waiver of
25any other right or defense of the debtor or collection agency
26debt collector.

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1 (f) A debt collector or collection agency that (i) ceases
2collection activities under this Section, (ii) does not
3recommence those collection activities, and (iii) furnishes
4adverse information to a consumer credit reporting agency, must
5notify the consumer credit reporting agency to delete that
6adverse information.
7(Source: P.A. 95-437, eff. 1-1-08.)
8 (225 ILCS 425/9.5)
9 (Section scheduled to be repealed on January 1, 2016)
10 Sec. 9.5. Statute of limitations. No action may be filed
11against any licensee registrant for violation of the terms of
12this Act or its rules unless the action is commenced within 5
13years after the occurrence of the alleged violation. A
14continuing violation will be deemed to have occurred on the
15date when the circumstances first existed which gave rise to
16the alleged continuing violation.
17(Source: P.A. 89-387, eff. 1-1-96.)
18 (225 ILCS 425/9.7)
19 (Section scheduled to be repealed on January 1, 2016)
20 Sec. 9.7. Enforcement under the Consumer Fraud and
21Deceptive Business Practices Act. The Attorney General may
22enforce the knowing violation of Section 9 (except for items
23(2) through (4), (7) through (9), (11) through (13), and (23)
24(1) through (9) and (19) of subsection (a)), 9.1, 9.2, 9.3, or

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19.4 of this Act as an unlawful practice under the Consumer
2Fraud and Deceptive Business Practices Act.
3(Source: P.A. 95-437, eff. 1-1-08.)
4 (225 ILCS 425/9.22) (from Ch. 111, par. 2034)
5 (Section scheduled to be repealed on January 1, 2016)
6 Sec. 9.22. Administrative Procedure Act. The Illinois
7Administrative Procedure Act is hereby expressly adopted and
8incorporated herein as if all of the provisions of that Act
9were included in this Act, except that the provision of
10subsection (d) of Section 10-65 of the Illinois Administrative
11Procedure Act that provides that at hearings the licensee has
12the right to show compliance with all lawful requirements for
13retention, continuation or renewal of the license is
14specifically excluded. For the purposes of this Act the notice
15required under Section 10-25 of the Administrative Procedure
16Act is deemed sufficient when mailed to the last known address
17of record of a party.
18(Source: P.A. 88-45.)
19 (225 ILCS 425/11) (from Ch. 111, par. 2036)
20 (Section scheduled to be repealed on January 1, 2016)
21 Sec. 11. Informal conferences. Informal conferences shall
22be conducted with at least one member of the Licensing and
23Disciplinary Board in attendance. Notwithstanding any
24provisions concerning the conduct of hearings and

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1recommendations for disciplinary actions, the Department has
2the authority to negotiate agreements with licensees
3registrants and applicants resulting in disciplinary or
4non-disciplinary consent orders. The consent orders may
5provide for any of the forms of discipline provided in this
6Act. The consent orders shall provide that they were not
7entered into as a result of any coercion by the Department.
8(Source: P.A. 89-387, eff. 1-1-96.)
9 (225 ILCS 425/13.1) (from Ch. 111, par. 2038.1)
10 (Section scheduled to be repealed on January 1, 2016)
11 Sec. 13.1. Collection Agency Licensing and Disciplinary
12Board; members; qualifications; duties.
13 (a) There is created in the Department the Collection
14Agency Licensing and Disciplinary Board composed of 7 members
15appointed by the Secretary Director. Five members of the Board
16shall be employed in a collection agency licensed registered
17under this Act and 2 members of the Board shall represent the
18general public, and shall not be employed by or possess an
19ownership interest in any collection agency licensed
20registered under this Act, and shall have no family or business
21connection with the practice of collection agencies.
22 (b) Each of the members appointed to the Board, except for
23the public members, shall have at least 5 years of active
24collection agency experience.
25 (c) The Board shall annually elect a chairperson chairman

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1from among its members and shall meet at least twice each year.
2The members of the Board shall receive no compensation for
3their services, but shall be reimbursed for their necessary
4actual expenses as authorized by the Department while engaged
5in incurred in the performance of their duties.
6 (d) Members shall serve for a term of 4 years and until
7their successors are appointed and qualified. No Board member,
8after the effective date of this amendatory Act of 1995, shall
9be appointed to more than 2 full consecutive terms. A partial
10term of more than 2 years shall be considered a full term The
11initial terms created by this amendatory Act of 1995 shall
12count as full terms for the purposes of reappointment to the
13Board. Appointments to fill vacancies for the unexpired portion
14of a vacated term shall be made in the same manner as original
15appointments. All members shall serve until their successors
16are appointed and qualified.
17 (e) The Secretary may remove any member of the Board for
18cause at any time before the expiration of his or her term. The
19Secretary shall be the sole arbiter of cause.
20 (f) The majority of the Board shall constitute a quorum. A
21vacancy in the membership of the Board shall not impair the
22right of a quorum to exercise all the duties of the Board.
23 (g) Members of the Board shall be immune from suit in any
24action based upon disciplinary proceedings or other acts
25performed in good faith as members of the Board.
26 The appointments of those Board members currently

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1appointed shall end upon the effective date of this amendatory
2Act of 1995, and those Board members currently sitting at the
3effective date of this amendatory Act of 1995, shall be
4reappointed to the following terms by and in the discretion of
5the Director:
6 (1) one member shall be appointed for one year;
7 (2) two members shall be appointed to serve 2 years;
8 (3) two members shall be appointed to serve 3 years;
9 and
10 (4) two members shall be appointed to serve for 4
11 years.
12All members shall serve until their successors are appointed
13and qualified.
14 The Board members appointed to terms by this amendatory Act
15of 1995 shall be appointed as soon as possible after the
16effective date of this amendatory Act of 1995.
17(Source: P.A. 89-387, eff. 1-1-96.)
18 (225 ILCS 425/13.2) (from Ch. 111, par. 2038.2)
19 (Section scheduled to be repealed on January 1, 2016)
20 Sec. 13.2. Powers and duties of Department. The Department
21shall exercise the powers and duties prescribed by the Civil
22Administrative Code of Illinois for the administration of
23licensing Acts and shall exercise such other powers and duties
24necessary for effectuating the purposes of this Act.
25 The Director shall promulgate rules consistent with the

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1provisions of this Act, for its administration and enforcement,
2and may prescribe forms which shall be issued in connection
3therewith. The rules shall include standards and criteria for
4licensure and certification, and professional conduct and
5discipline.
6 The Department shall consult with the Board in promulgating
7rules.
8 Subject to the provisions of this Act, the Department may:
9 (1) Conduct hearings on proceedings to refuse to issue
10 or renew or to revoke licenses or suspend, place on
11 probation, or reprimand persons licensed under this Act.
12 (2) Formulate rules required for the administration of
13 this Act.
14 (3) Obtain written recommendations from the Board
15 regarding standards of professional conduct, formal
16 disciplinary actions and the formulation of rules
17 affecting these matters. Notice of proposed rulemaking
18 shall be transmitted to the Board and the Department shall
19 review the Board's responses and any recommendations made
20 therein. The Department shall notify the Board in writing
21 with explanations of deviations from the Board's
22 recommendations and responses. The Department may shall
23 solicit the advice of the Board on any matter relating to
24 the administration and enforcement of this Act.
25 (4) Maintain rosters of the names and addresses of all
26 licensees and all persons whose licenses have been

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1 suspended, revoked, or denied renewal for cause within the
2 previous calendar year. These rosters shall be available
3 upon written request and payment of the required fee as
4 established by rule.
5(Source: P.A. 86-615.)
6 (225 ILCS 425/14a) (from Ch. 111, par. 2039a)
7 (Section scheduled to be repealed on January 1, 2016)
8 Sec. 14a. Unlicensed practice; Injunctions. The practice
9as a collection agency by any person entity not holding a valid
10and current license under this Act is declared to be inimical
11to the public welfare, to constitute a public nuisance, and to
12cause irreparable harm to the public welfare. The Secretary
13Director, the Attorney General, the State's Attorney of any
14county in the State, or any person may maintain an action in
15the name of the People of the State of Illinois, and may apply
16for injunctive relief in any circuit court to enjoin such
17entity from engaging in such practice. Upon the filing of a
18verified petition in such court, the court, if satisfied by
19affidavit or otherwise that such entity has been engaged in
20such practice without a valid and current license, may enter a
21temporary restraining order without notice or bond, enjoining
22the defendant from such further practice. Only the showing of
23non-licensure nonlicensure, by affidavit or otherwise, is
24necessary in order for a temporary injunction to issue. A copy
25of the verified complaint shall be served upon the defendant

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1and the proceedings shall thereafter be conducted as in other
2civil cases except as modified by this Section. If it is
3established that the defendant has been or is engaged in such
4unlawful practice, the court may enter an order or judgment
5perpetually enjoining the defendant from further practice. In
6all proceedings hereunder, the court, in its discretion, may
7apportion the costs among the parties interested in the action,
8including cost of filing the complaint, service of process,
9witness fees and expenses, court reporter charges and
10reasonable attorneys' fees. In case of violation of any
11injunctive order entered under the provisions of this Section,
12the court may summarily try and punish the offender for
13contempt of court. Such injunction proceedings shall be in
14addition to, and not in lieu of, all penalties and other
15remedies provided in this Act.
16(Source: P.A. 86-615.)
17 (225 ILCS 425/14b) (from Ch. 111, par. 2039b)
18 (Section scheduled to be repealed on January 1, 2016)
19 Sec. 14b. Penalty of unlawful practice; Second and
20subsequent offenses. Any entity that practices or offers to
21practice as a collection agency in this State without being
22licensed for that purpose, or whose license is has been
23suspended, or revoked, or expired, or that violates any of the
24provisions of this Act for which no specific penalty has been
25provided herein, is guilty of a Class A misdemeanor.

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1 Any entity that has been previously convicted under any of
2the provisions of this Act and that subsequently violates any
3of the provisions of this Act is guilty of a Class 4 felony. In
4addition, whenever any entity is punished as a subsequent
5offender under this Section, the Secretary Director shall
6proceed to obtain a permanent injunction against such entity
7under Section 14a of this Act.
8(Source: P.A. 86-615.)
9 (225 ILCS 425/16)
10 (Section scheduled to be repealed on January 1, 2016)
11 Sec. 16. Investigation; notice and hearing. The Department
12may investigate the actions or qualifications of any applicant
13or of any person rendering or offering to render collection
14agency services or any person or persons holding or claiming to
15hold a license as a collection agency certificate of
16registration. The Department shall, before refusing to issue or
17renew, suspending or revoking, suspending, placing on
18probation, reprimanding, or taking any other disciplinary
19action under Section 9 of this Act any certificate of
20registration, at least 30 days before the date set for the
21hearing, (i) notify the accused in writing of the charges made
22and the time and place for the hearing on the charges, (ii) of
23the charges before the Board, direct him or her to file his or
24her written answer thereto to the charges with the Department
25under oath Board within 20 days after the service on him or her

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1of the notice, and (iii) inform the accused him or her that if
2he or she fails to file an answer default will be taken against
3him or her or and his or her license certificate of
4registration may be suspended, or revoked, or placed on
5probation, or other disciplinary action may be taken with
6regard to the license, including limiting the scope, nature, or
7extent of his or her practice, as the Department may consider
8proper. This written notice may be served by personal delivery
9or certified mail to the respondent at the address of his or
10her last notification to the Department. In case the person
11fails to file an answer after receiving notice, his or her
12license or certificate may, in the discretion of the
13Department, be suspended, revoked, or placed on probationary
14status, or the Department may take whatever disciplinary action
15is considered proper, including limiting the scope, nature, or
16extent of the person's practice or the imposition of a fine,
17without a hearing, if the act or acts charged constitute
18sufficient grounds for such action under this Act. The written
19answer shall be served by personal delivery, certified
20delivery, or certified or registered mail to the Department. At
21the time and place fixed in the notice, the Department shall
22proceed to hear the charges. The parties or their counsel shall
23be accorded ample opportunity to present any pertinent
24statements, testimony, evidence, and arguments as may be
25pertinent to the charges or to the defense thereto. The
26Department may continue the hearing from time to time Board

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1shall be notified and may attend. Nothing in this Section shall
2be construed to require that a hearing be commenced and
3completed in one day. At the discretion of the Secretary
4Director, after having first received the recommendation of the
5Board, the accused person's license certificate of
6registration may be suspended or revoked, if the evidence
7constitutes sufficient grounds for such action under this Act.
8If the person fails to file an answer after receiving notice,
9his or her license may, in the discretion of the Department, be
10suspended, revoked, or placed on probation, or the Department
11may take whatever disciplinary action it considers proper,
12including limiting the scope, nature, or extent of the person's
13practice or the imposition of a fine, without a hearing, if the
14act or acts charged constitute sufficient grounds for such
15action under this Act. This written notice may be served by
16personal delivery or certified mail to the respondent at the
17address of record.
18(Source: P.A. 89-387, eff. 1-1-96.)
19 (225 ILCS 425/17)
20 (Section scheduled to be repealed on January 1, 2016)
21 Sec. 17. Record of hearing; transcript. The Department, at
22its expense, shall preserve a record of all proceedings at the
23formal hearing of any case. The notice of hearing, complaint,
24all and other documents in the nature of pleadings, and written
25motions filed in the proceedings, the transcript of testimony,

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1the report of the Board, and orders of the Department shall be
2in the record of the proceedings. If the respondent orders from
3the reporting service and pays for a transcript of the record
4within the time for filing a motion for rehearing under Section
520, the 20 calendar day period within which a motion may be
6filed shall commence upon the delivery of the transcript to the
7respondent The Department shall furnish a transcript of the
8record to any person interested in the hearing upon payment of
9the fee required under Section 2105-115 of the Department of
10Professional Regulation Law (20 ILCS 2105/2105-115).
11(Source: P.A. 91-239, eff. 1-1-00.)
12 (225 ILCS 425/18)
13 (Section scheduled to be repealed on January 1, 2016)
14 Sec. 18. Subpoenas; oaths; attendance of witnesses.
15 (a) The Department has shall have the power to subpoena
16documents, books, records, or other materials and to bring
17before it any person and to take testimony either orally or by
18deposition, or both, with the same fees and mileage and in the
19same manner as prescribed in civil cases in the courts of this
20State.
21 (b) The Secretary Director, the designated hearing
22officer, and every member of the Board has shall have power to
23administer oaths to witnesses at any hearing that the
24Department is authorized to conduct and any other oaths
25authorized in any Act administered by the Department.

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1 (c) Any circuit court may, upon application of the
2Department or designee or of the applicant or licensee ,
3registrant, or person holding a certificate of registration
4against whom proceedings under this Act are pending, enter an
5order requiring the attendance of witnesses and their
6testimony, and the production of documents, papers, files,
7books, and records in connection with any hearing or
8investigations. The court may compel obedience to its order by
9proceedings for contempt.
10(Source: P.A. 89-387, eff. 1-1-96.)
11 (225 ILCS 425/19)
12 (Section scheduled to be repealed on January 1, 2016)
13 Sec. 19. Findings and recommendations Board report. At the
14conclusion of the hearing, the Board shall present to the
15Secretary Director a written report of its findings of fact,
16conclusions of law, and recommendations. The report shall
17contain a finding whether or not the accused person violated
18this Act or the rules adopted under this Act or failed to
19comply with the conditions required in this Act or those rules.
20The Board shall specify the nature of the violation or failure
21to comply and shall make its recommendations to the Secretary
22Director.
23 The report of findings of fact, conclusions of law, and
24recommendation of the Board shall be the basis for the
25Department's order for refusing to issue, restore, or renew a

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1license, or otherwise disciplining a licensee, refusal or for
2the granting of a license certificate of registration. If the
3Secretary Director disagrees in any regard with the report,
4findings of fact, conclusions of law, and recommendations
5report of the Board, the Secretary Director may issue an order
6in contravention of the Board's recommendations report. The
7Director shall provide a written report to the Board on any
8deviation and shall specify with particularity the reasons for
9that action in the final order. The finding is not admissible
10in evidence against the person in a criminal prosecution
11brought for the violation of this Act, but the hearing and
12finding are is not a bar to a criminal prosecution brought for
13the violation of this Act.
14(Source: P.A. 89-387, eff. 1-1-96.)
15 (225 ILCS 425/20)
16 (Section scheduled to be repealed on January 1, 2016)
17 Sec. 20. Board; rehearing Motion for rehearing. At the
18conclusion of the hearing In any hearing involving the
19discipline of a registrant, a copy of the Board's report shall
20be served upon the applicant or licensee respondent by the
21Department, either personally or as provided in this Act for
22the service of the notice of hearing. Within 20 calendar days
23after the service, the applicant or licensee respondent may
24present to the Department a motion in writing for a rehearing
25which shall specify the particular grounds for rehearing. The

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1Department may respond to the motion for rehearing within 20
2days after its service on the Department, and the applicant or
3licensee may reply within 7 days thereafter. If no motion for
4rehearing is filed, then upon the expiration of the time
5specified for filing a motion, or if a motion for rehearing is
6denied, then upon denial, the Secretary Director may enter an
7order in accordance with the recommendations of the Board,
8except as provided for in Section 19. If the applicant or
9licensee respondent orders a transcript of the record from the
10reporting service and pays for it within the time for filing a
11motion for rehearing, the 20 calendar day period within which a
12motion for rehearing may be filed shall commence upon the
13delivery of the transcript to the applicant or licensee
14respondent.
15(Source: P.A. 89-387, eff. 1-1-96.)
16 (225 ILCS 425/21)
17 (Section scheduled to be repealed on January 1, 2016)
18 Sec. 21. Secretary; rehearing Rehearing. Whenever the
19Secretary Director is not satisfied that substantial justice
20has been done in the revocation, suspension, or refusal to
21issue, restore, or renew a license, or other discipline of an
22applicant or licensee a certificate of registration, the
23Secretary Director may order a rehearing by the same or other
24examiners.
25(Source: P.A. 89-387, eff. 1-1-96.)

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1 (225 ILCS 425/22)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 22. Appointment of a hearing Hearing officer. The
4Secretary has Director shall have the authority to appoint any
5attorney duly licensed to practice law in the State of Illinois
6to serve as the hearing officer in any action for refusal to
7issue, restore, or renew a license certificate of registration
8or to discipline a licensee registrant or person holding a
9certificate of registration. The hearing officer shall have
10full authority to conduct the hearing. A Board member or
11members may, but are not required to, attend hearings. The
12hearing officer shall report his or her findings of fact,
13conclusions of law, and recommendations to the Board and the
14Director. The Board shall have 60 calendar days from receipt of
15the report to review the report of the hearing officer and
16present its findings of fact, conclusions of law, and
17recommendations to the Secretary and to all parties to the
18proceeding Director. If the Board fails to present its report
19within the 60 calendar day period, the Director may issue an
20order based on the report of the hearing officer. If the
21Secretary Director disagrees with the recommendation of the
22Board or of the hearing officer, the Secretary Director may
23issue an order in contravention of the recommendation.
24(Source: P.A. 89-387, eff. 1-1-96.)

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1 (225 ILCS 425/23)
2 (Section scheduled to be repealed on January 1, 2016)
3 Sec. 23. Order or ; certified copy; prima facie proof. An
4order or a certified copy thereof of an order, over the seal of
5the Department and purporting to be signed by the Secretary
6Director, shall be prima facie proof that of the following:
7 (1) That the signature is the genuine signature of the
8Secretary; Director.
9 (2) That the Secretary Director is duly appointed and
10qualified; and .
11 (3) That the Board and its the Board members are qualified
12to act.
13(Source: P.A. 89-387, eff. 1-1-96.)
14 (225 ILCS 425/24)
15 (Section scheduled to be repealed on January 1, 2016)
16 Sec. 24. Restoration of license from discipline
17certificate of registration. At any time after the successful
18completion of a term of indefinite probation, suspension, or
19revocation of any license certificate of registration, the
20Department may restore the license certificate of registration
21to the licensee, accused person upon the written recommendation
22of the Board, unless after an investigation and a hearing the
23Secretary Board determines that restoration is not in the
24public interest. No person whose license or authority has been
25revoked as authorized in this Act may apply for restoration of

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1that license or authority until such time as provided for in
2the Department of Professional Regulation Law of the Civil
3Administrative Code of Illinois.
4(Source: P.A. 89-387, eff. 1-1-96.)
5 (225 ILCS 425/25)
6 (Section scheduled to be repealed on January 1, 2016)
7 Sec. 25. Surrender of license certificate of registration.
8Upon the revocation or suspension of any license, certificate
9of registration the licensee registrant shall immediately
10surrender the license certificate of registration to the
11Department. If the licensee registrant fails to do so, the
12Department shall have the right to seize the license
13certificate of registration.
14(Source: P.A. 89-387, eff. 1-1-96.)"; and
15 (225 ILCS 425/26)
16 (Section scheduled to be repealed on January 1, 2016)
17 Sec. 26. Administrative review; venue Review Law.
18 (a) All final administrative decisions of the Department
19are subject to judicial review under the Administrative Review
20Law and its rules. The term "administrative decision" is
21defined as in Section 3-101 of the Code of Civil Procedure.
22 (b) Proceedings for judicial review shall be commenced in
23the circuit court of the county in which the party applying for
24review resides, but if the party is not a resident of Illinois

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1this State, the venue shall be in Sangamon County.
2(Source: P.A. 89-387, eff. 1-1-96.)
3 (225 ILCS 425/27)
4 (Section scheduled to be repealed on January 1, 2016)
5 Sec. 27. Certifications Certification of record; costs
6receipt. The Department shall not be required to certify any
7record to the court or file any answer in court or otherwise
8appear in any court in a judicial review proceeding, unless and
9until there is filed in the court, with the complaint, a
10receipt from the Department has received from the plaintiff
11acknowledging payment of the costs of furnishing and certifying
12the record, which costs shall be determined by the Department.
13Failure on the part of the plaintiff to file a receipt in court
14shall be grounds for dismissal of the action.
15(Source: P.A. 89-387, eff. 1-1-96.)
16 (225 ILCS 425/30 new)
17 Sec. 30. Expiration, renewal, and restoration of license.
18The expiration date and renewal period for each license shall
19be set by rule. A collection agency whose license has expired
20may reinstate its license at any time within 5 years after the
21expiration thereof, by making a renewal application and by
22paying the required fee.
23 However, any licensed collection agency whose license has
24expired while the individual licensed or while a shareholder,

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1partner, or member owning 50% or more of the interest in the
2collection agency whose license has expired while he or she was
3(i) on active duty with the Armed Forces of the United States
4or called into service or training by the State militia; or
5(ii) in training or education under the supervision of the
6United States preliminary to induction into the military
7service, may have his or her license renewed, restored, or
8reinstated without paying any lapsed renewal fee, restoration
9fee, or reinstatement fee if, within 2 years after termination
10of the service, training, or education, he or she furnishes the
11Department with satisfactory evidence of service, training, or
12education and it has been terminated under honorable
13conditions.
14 Any collection agency whose license has expired for more
15than 5 years may have it restored by applying to the
16Department, paying the required fee, and filing acceptable
17proof of fitness to have the license restored as set by rule.
18 (225 ILCS 425/35 new)
19 Sec. 35. Returned checks; fines. Any person who delivers a
20check or other payment to the Department that is returned to
21the Department unpaid by the financial institution upon which
22it is drawn shall pay to the Department, in addition to the
23amount already owed to the Department, a fine of $50. The fines
24imposed by this Section are in addition to any other discipline
25provided under this Act for unlicensed practice or practice on

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1a non-renewed license. The Department shall notify the entity
2that payment of fees and fines shall be paid to the Department
3by certified check or money order within 30 calendar days of
4the notification. If, after the expiration of 30 days from the
5date of notification, the person has failed to submit the
6necessary remittance, the Department shall automatically
7terminate the license or deny the application, without hearing.
8If, after the termination or denial, the entity seeks a
9license, it shall apply to the Department for restoration or
10issuance of the license and pay all fees and fines due to the
11Department. The Department may establish a fee for the
12processing of an application for restoration of a license to
13pay all expenses of processing this application. The Secretary
14may waive the fines due under this Section in individual cases
15where the Secretary finds that the fines would be unreasonable
16or unnecessarily burdensome.
17 (225 ILCS 425/40 new)
18 Sec. 40. Unlicensed practice; cease and desist. Whenever,
19in the opinion of the Department, a person violates any
20provision of this Act, the Department may issue a rule to show
21cause why an order to cease and desist should not be entered
22against that person. The rule shall clearly set forth the
23grounds relied upon by the Department and shall allow at least
247 days from the date of the rule to file an answer satisfactory
25to the Department. Failure to answer to the satisfaction of the

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1Department shall cause an order to cease and desist to be
2issued.
3 (225 ILCS 425/45 new)
4 Sec. 45. Summary suspension of license. The Secretary may
5summarily suspend the license of a licensed collection agency
6without a hearing, simultaneously with the institution of
7proceedings for a hearing provided for in Section 16 of this
8Act, if the Secretary finds that evidence in the Secretary's
9possession indicates that the continuation of practice by a
10licensed collection agency would constitute an imminent danger
11to the public. In the event that the Secretary summarily
12suspends the license of a licensed collection agency without a
13hearing, a hearing must be commenced within 30 days after the
14suspension has occurred and concluded as expeditiously as
15practical.
16 (225 ILCS 425/50 new)
17 Sec. 50. Consent order. At any point in the proceedings as
18provided in Sections 9.5, 11, 14a, 16, and 45, both parties may
19agree to a negotiated consent order. The consent order shall be
20final upon signature of the Secretary.
21 (225 ILCS 425/55 new)
22 Sec. 55. Confidentiality. All information collected by the
23Department in the course of an examination or investigation of

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1a licensee or applicant, including, but not limited to, any
2complaint against a licensee filed with the Department and
3information collected to investigate any such complaint, shall
4be maintained for the confidential use of the Department and
5shall not be disclosed other than in the course of a formal
6hearing as determined by the Department. The Department may not
7disclose the information to anyone other than law enforcement
8officials, other regulatory agencies that have an appropriate
9regulatory interest as determined by the Secretary, or a party
10presenting a lawful subpoena to the Department. Information and
11documents disclosed to a federal, State, county, or local law
12enforcement agency shall not be disclosed by the agency for any
13purpose to any other agency or person. A formal complaint filed
14against the licensee by the Department or any order issued by
15the Department against a licensee or applicant shall be a
16public record, except as otherwise prohibited by law.
17 (225 ILCS 425/6 rep.)
18 (225 ILCS 425/6a rep.)
19 (225 ILCS 425/10 rep.)
20 (225 ILCS 425/13 rep.)
21 (225 ILCS 425/13.3 rep.)
22 (225 ILCS 425/14 rep.)
23 Section 950. The Collection Agency Act is amended by
24repealing Sections 6, 6a, 10, 13, 13.3, and 14.

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1 Section 955. The Real Estate License Act of 2000 is amended
2by changing Sections 1-10, 5-5, 5-10, 5-15, 5-20, 5-26, 5-27,
35-28, 5-32, 5-35, 5-41, 5-50, 5-60, 5-70, 10-10, 10-15, 15-5,
420-10, 20-20, 20-21, 20-22, 20-85, 25-10, 25-25, 30-15, and
535-5 as follows:
6 (225 ILCS 454/1-10)
7 (Section scheduled to be repealed on January 1, 2020)
8 Sec. 1-10. Definitions. In this Act, unless the context
9otherwise requires:
10 "Act" means the Real Estate License Act of 2000.
11 "Address of Record" means the designated address recorded
12by the Department in the applicant's or licensee's application
13file or license file as maintained by the Department's
14licensure maintenance unit. It is the duty of the applicant or
15licensee to inform the Department of any change of address, and
16those changes must be made either through the Department's
17website or by contacting the Department.
18 "Advisory Council" means the Real Estate Education
19Advisory Council created under Section 30-10 of this Act.
20 "Agency" means a relationship in which a real estate broker
21or licensee, whether directly or through an affiliated
22licensee, represents a consumer by the consumer's consent,
23whether express or implied, in a real property transaction.
24 "Applicant" means any person, as defined in this Section,
25who applies to the Department for a valid license as a managing

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1real estate broker, broker real estate salesperson, or leasing
2agent.
3 "Blind advertisement" means any real estate advertisement
4that does not include the sponsoring broker's business name and
5that is used by any licensee regarding the sale or lease of
6real estate, including his or her own, licensed activities, or
7the hiring of any licensee under this Act. The broker's
8business name in the case of a franchise shall include the
9franchise affiliation as well as the name of the individual
10firm.
11 "Board" means the Real Estate Administration and
12Disciplinary Board of the Department as created by Section
1325-10 of this Act.
14 "Branch office" means a sponsoring broker's office other
15than the sponsoring broker's principal office.
16 "Broker" means an individual, partnership, limited
17liability company, corporation, or registered limited
18liability partnership other than a real estate salesperson or
19leasing agent who, whether in person or through any media or
20technology, for another and for compensation, or with the
21intention or expectation of receiving compensation, either
22directly or indirectly:
23 (1) Sells, exchanges, purchases, rents, or leases real
24 estate.
25 (2) Offers to sell, exchange, purchase, rent, or lease
26 real estate.

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1 (3) Negotiates, offers, attempts, or agrees to
2 negotiate the sale, exchange, purchase, rental, or leasing
3 of real estate.
4 (4) Lists, offers, attempts, or agrees to list real
5 estate for sale, rent, lease, or exchange.
6 (5) Buys, sells, offers to buy or sell, or otherwise
7 deals in options on real estate or improvements thereon.
8 (6) Supervises the collection, offer, attempt, or
9 agreement to collect rent for the use of real estate.
10 (7) Advertises or represents himself or herself as
11 being engaged in the business of buying, selling,
12 exchanging, renting, or leasing real estate.
13 (8) Assists or directs in procuring or referring of
14 leads or prospects, intended to result in the sale,
15 exchange, lease, or rental of real estate.
16 (9) Assists or directs in the negotiation of any
17 transaction intended to result in the sale, exchange,
18 lease, or rental of real estate.
19 (10) Opens real estate to the public for marketing
20 purposes.
21 (11) Sells, rents, leases, or offers for sale or lease
22 real estate at auction.
23 (12) Prepares or provides a broker price opinion or
24 comparative market analysis as those terms are defined in
25 this Act, pursuant to the provisions of Section 10-45 of
26 this Act.

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1 "Brokerage agreement" means a written or oral agreement
2between a sponsoring broker and a consumer for licensed
3activities to be provided to a consumer in return for
4compensation or the right to receive compensation from another.
5Brokerage agreements may constitute either a bilateral or a
6unilateral agreement between the broker and the broker's client
7depending upon the content of the brokerage agreement. All
8exclusive brokerage agreements shall be in writing.
9 "Broker price opinion" means an estimate or analysis of the
10probable selling price of a particular interest in real estate,
11which may provide a varying level of detail about the
12property's condition, market, and neighborhood and information
13on comparable sales. The activities of a real estate broker or
14managing broker engaging in the ordinary course of business as
15a broker, as defined in this Section, shall not be considered a
16broker price opinion if no compensation is paid to the broker
17or managing broker, other than compensation based upon the sale
18or rental of real estate.
19 "Client" means a person who is being represented by a
20licensee.
21 "Comparative market analysis" is an analysis or opinion
22regarding pricing, marketing, or financial aspects relating to
23a specified interest or interests in real estate that may be
24based upon an analysis of comparative market data, the
25expertise of the real estate broker or managing broker, and
26such other factors as the broker or managing broker may deem

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1appropriate in developing or preparing such analysis or
2opinion. The activities of a real estate broker or managing
3broker engaging in the ordinary course of business as a broker,
4as defined in this Section, shall not be considered a
5comparative market analysis if no compensation is paid to the
6broker or managing broker, other than compensation based upon
7the sale or rental of real estate.
8 "Compensation" means the valuable consideration given by
9one person or entity to another person or entity in exchange
10for the performance of some activity or service. Compensation
11shall include the transfer of valuable consideration,
12including without limitation the following:
13 (1) commissions;
14 (2) referral fees;
15 (3) bonuses;
16 (4) prizes;
17 (5) merchandise;
18 (6) finder fees;
19 (7) performance of services;
20 (8) coupons or gift certificates;
21 (9) discounts;
22 (10) rebates;
23 (11) a chance to win a raffle, drawing, lottery, or
24 similar game of chance not prohibited by any other law or
25 statute;
26 (12) retainer fee; or

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1 (13) salary.
2 "Confidential information" means information obtained by a
3licensee from a client during the term of a brokerage agreement
4that (i) was made confidential by the written request or
5written instruction of the client, (ii) deals with the
6negotiating position of the client, or (iii) is information the
7disclosure of which could materially harm the negotiating
8position of the client, unless at any time:
9 (1) the client permits the disclosure of information
10 given by that client by word or conduct;
11 (2) the disclosure is required by law; or
12 (3) the information becomes public from a source other
13 than the licensee.
14 "Confidential information" shall not be considered to
15include material information about the physical condition of
16the property.
17 "Consumer" means a person or entity seeking or receiving
18licensed activities.
19 "Continuing education school" means any person licensed by
20the Department as a school for continuing education in
21accordance with Section 30-15 of this Act.
22 "Coordinator" means the Coordinator of Real Estate created
23in Section 25-15 of this Act.
24 "Credit hour" means 50 minutes of classroom instruction in
25course work that meets the requirements set forth in rules
26adopted by the Department.

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1 "Customer" means a consumer who is not being represented by
2the licensee but for whom the licensee is performing
3ministerial acts.
4 "Department" means the Department of Financial and
5Professional Regulation.
6 "Designated agency" means a contractual relationship
7between a sponsoring broker and a client under Section 15-50 of
8this Act in which one or more licensees associated with or
9employed by the broker are designated as agent of the client.
10 "Designated agent" means a sponsored licensee named by a
11sponsoring broker as the legal agent of a client, as provided
12for in Section 15-50 of this Act.
13 "Dual agency" means an agency relationship in which a
14licensee is representing both buyer and seller or both landlord
15and tenant in the same transaction. When the agency
16relationship is a designated agency, the question of whether
17there is a dual agency shall be determined by the agency
18relationships of the designated agent of the parties and not of
19the sponsoring broker.
20 "Employee" or other derivative of the word "employee", when
21used to refer to, describe, or delineate the relationship
22between a sponsoring real estate broker and a managing broker,
23a real estate salesperson, another real estate broker, or a
24leasing agent, shall be construed to include an independent
25contractor relationship, provided that a written agreement
26exists that clearly establishes and states the relationship.

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1All responsibilities of a broker shall remain.
2 "Escrow moneys" means all moneys, promissory notes or any
3other type or manner of legal tender or financial consideration
4deposited with any person for the benefit of the parties to the
5transaction. A transaction exists once an agreement has been
6reached and an accepted real estate contract signed or lease
7agreed to by the parties. Escrow moneys includes without
8limitation earnest moneys and security deposits, except those
9security deposits in which the person holding the security
10deposit is also the sole owner of the property being leased and
11for which the security deposit is being held.
12 "Electronic means of proctoring" means a methodology
13providing assurance that the person taking a test and
14completing the answers to questions is the person seeking
15licensure or credit for continuing education and is doing so
16without the aid of a third party or other device.
17 "Exclusive brokerage agreement" means a written brokerage
18agreement that provides that the sponsoring broker has the sole
19right, through one or more sponsored licensees, to act as the
20exclusive designated agent or representative of the client and
21that meets the requirements of Section 15-75 of this Act.
22 "Inoperative" means a status of licensure where the
23licensee holds a current license under this Act, but the
24licensee is prohibited from engaging in licensed activities
25because the licensee is unsponsored or the license of the
26sponsoring broker with whom the licensee is associated or by

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1whom he or she is employed is currently expired, revoked,
2suspended, or otherwise rendered invalid under this Act.
3 "Interactive delivery method" means delivery of a course by
4an instructor through a medium allowing for 2-way communication
5between the instructor and a student in which either can
6initiate or respond to questions.
7 "Leads" means the name or names of a potential buyer,
8seller, lessor, lessee, or client of a licensee.
9 "Leasing Agent" means a person who is employed by a real
10estate broker to engage in licensed activities limited to
11leasing residential real estate who has obtained a license as
12provided for in Section 5-5 of this Act.
13 "License" means the document issued by the Department
14certifying that the person named thereon has fulfilled all
15requirements prerequisite to licensure under this Act.
16 "Licensed activities" means those activities listed in the
17definition of "broker" under this Section.
18 "Licensee" means any person, as defined in this Section,
19who holds a valid unexpired license as a managing real estate
20broker, broker real estate salesperson, or leasing agent.
21 "Listing presentation" means a communication between a
22managing real estate broker or broker salesperson and a
23consumer in which the licensee is attempting to secure a
24brokerage agreement with the consumer to market the consumer's
25real estate for sale or lease.
26 "Managing broker" means a broker who has supervisory

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1responsibilities for licensees in one or, in the case of a
2multi-office company, more than one office and who has been
3appointed as such by the sponsoring broker.
4 "Medium of advertising" means any method of communication
5intended to influence the general public to use or purchase a
6particular good or service or real estate.
7 "Ministerial acts" means those acts that a licensee may
8perform for a consumer that are informative or clerical in
9nature and do not rise to the level of active representation on
10behalf of a consumer. Examples of these acts include without
11limitation (i) responding to phone inquiries by consumers as to
12the availability and pricing of brokerage services, (ii)
13responding to phone inquiries from a consumer concerning the
14price or location of property, (iii) attending an open house
15and responding to questions about the property from a consumer,
16(iv) setting an appointment to view property, (v) responding to
17questions of consumers walking into a licensee's office
18concerning brokerage services offered or particular
19properties, (vi) accompanying an appraiser, inspector,
20contractor, or similar third party on a visit to a property,
21(vii) describing a property or the property's condition in
22response to a consumer's inquiry, (viii) completing business or
23factual information for a consumer on an offer or contract to
24purchase on behalf of a client, (ix) showing a client through a
25property being sold by an owner on his or her own behalf, or
26(x) referral to another broker or service provider.

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1 "Office" means a real estate broker's place of business
2where the general public is invited to transact business and
3where records may be maintained and licenses displayed, whether
4or not it is the broker's principal place of business.
5 "Person" means and includes individuals, entities,
6corporations, limited liability companies, registered limited
7liability partnerships, and partnerships, foreign or domestic,
8except that when the context otherwise requires, the term may
9refer to a single individual or other described entity.
10 "Personal assistant" means a licensed or unlicensed person
11who has been hired for the purpose of aiding or assisting a
12sponsored licensee in the performance of the sponsored
13licensee's job.
14 "Pocket card" means the card issued by the Department to
15signify that the person named on the card is currently licensed
16under this Act.
17 "Pre-license school" means a school licensed by the
18Department offering courses in subjects related to real estate
19transactions, including the subjects upon which an applicant is
20examined in determining fitness to receive a license.
21 "Pre-renewal period" means the period between the date of
22issue of a currently valid license and the license's expiration
23date.
24 "Proctor" means any person, including, but not limited to,
25an instructor, who has a written agreement to administer
26examinations fairly and impartially with a licensed

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1pre-license school or a licensed continuing education school.
2 "Real estate" means and includes leaseholds as well as any
3other interest or estate in land, whether corporeal,
4incorporeal, freehold, or non-freehold, including timeshare
5interests, and whether the real estate is situated in this
6State or elsewhere.
7 "Regular employee" means a person working an average of 20
8hours per week for a person or entity who would be considered
9as an employee under the Internal Revenue Service eleven main
10tests in three categories being behavioral control, financial
11control and the type of relationship of the parties, formerly
12the twenty factor test.
13 "Salesperson" means any individual, other than a real
14estate broker or leasing agent, who is employed by a real
15estate broker or is associated by written agreement with a real
16estate broker as an independent contractor and participates in
17any activity described in the definition of "broker" under this
18Section.
19 "Secretary" means the Secretary of the Department of
20Financial and Professional Regulation, or a person authorized
21by the Secretary to act in the Secretary's stead.
22 "Sponsoring broker" means the broker who has issued a
23sponsor card to a licensed managing broker salesperson, another
24licensed broker, or a leasing agent.
25 "Sponsor card" means the temporary permit issued by the
26sponsoring real estate broker certifying that the managing real

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1estate broker, broker real estate salesperson, or leasing agent
2named thereon is employed by or associated by written agreement
3with the sponsoring real estate broker, as provided for in
4Section 5-40 of this Act.
5(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15.)
6 (225 ILCS 454/5-5)
7 (Section scheduled to be repealed on January 1, 2020)
8 Sec. 5-5. Leasing agent license.
9 (a) The purpose of this Section is to provide for a limited
10scope license to enable persons who wish to engage in
11activities limited to the leasing of residential real property
12for which a license is required under this Act, and only those
13activities, to do so by obtaining the license provided for
14under this Section.
15 (b) Notwithstanding the other provisions of this Act, there
16is hereby created a leasing agent license that shall enable the
17licensee to engage only in residential leasing activities for
18which a license is required under this Act. Such activities
19include without limitation leasing or renting residential real
20property, or attempting, offering, or negotiating to lease or
21rent residential real property, or supervising the collection,
22offer, attempt, or agreement to collect rent for the use of
23residential real property. Nothing in this Section shall be
24construed to require a licensed managing real estate broker or
25broker salesperson to obtain a leasing agent license in order

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1to perform leasing activities for which a license is required
2under this Act. Licensed leasing agents must be sponsored and
3employed by a sponsoring broker.
4 (c) The Department, by rule shall provide for the licensing
5of leasing agents, including the issuance, renewal, and
6administration of licenses.
7 (d) Notwithstanding any other provisions of this Act to the
8contrary, a person may engage in residential leasing activities
9for which a license is required under this Act, for a period of
10120 consecutive days without being licensed, so long as the
11person is acting under the supervision of a sponsoring licensed
12real estate broker and the sponsoring broker has notified the
13Department that the person is pursuing licensure under this
14Section. During the 120 day period all requirements of Sections
155-10 and 5-65 of this Act with respect to education, successful
16completion of an examination, and the payment of all required
17fees must be satisfied. The Department may adopt rules to
18ensure that the provisions of this subsection are not used in a
19manner that enables an unlicensed person to repeatedly or
20continually engage in activities for which a license is
21required under this Act.
22(Source: P.A. 96-856, eff. 12-31-09.)
23 (225 ILCS 454/5-10)
24 (Section scheduled to be repealed on January 1, 2020)
25 Sec. 5-10. Requirements for license as leasing agent.

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1 (a) Every applicant for licensure as a leasing agent must
2meet the following qualifications:
3 (1) be at least 18 years of age;
4 (2) be of good moral character;
5 (3) successfully complete a 4-year course of study in a
6 high school or secondary school or an equivalent course of
7 study approved by the Illinois State Board of Education;
8 (4) personally take and pass a written examination
9 authorized by the Department sufficient to demonstrate the
10 applicant's knowledge of the provisions of this Act
11 relating to leasing agents and the applicant's competence
12 to engage in the activities of a licensed leasing agent;
13 (5) provide satisfactory evidence of having completed
14 15 hours of instruction in an approved course of study
15 relating to the leasing of residential real property. The
16 course of study shall, among other topics, cover the
17 provisions of this Act applicable to leasing agents; fair
18 housing issues relating to residential leasing;
19 advertising and marketing issues; leases, applications,
20 and credit reports; owner-tenant relationships and
21 owner-tenant laws; the handling of funds; and
22 environmental issues relating to residential real
23 property;
24 (6) complete any other requirements as set forth by
25 rule; and
26 (7) present a valid application for issuance of an

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1 initial license accompanied by a sponsor card and the fees
2 specified by rule.
3 (b) No applicant shall engage in any of the activities
4covered by this Act until a valid sponsor card has been issued
5to such applicant. The sponsor card shall be valid for a
6maximum period of 45 days after the date of issuance unless
7extended for good cause as provided by rule.
8 (c) Successfully completed course work, completed pursuant
9to the requirements of this Section, may be applied to the
10course work requirements to obtain a managing real estate
11broker's or broker's salesperson's license as provided by rule.
12The Advisory Council may recommend through the Board to the
13Department and the Department may adopt requirements for
14approved courses, course content, and the approval of courses,
15instructors, and schools, as well as school and instructor
16fees. The Department may establish continuing education
17requirements for licensed leasing agents, by rule, with the
18advice of the Advisory Council and Board.
19(Source: P.A. 96-856, eff. 12-31-09.)
20 (225 ILCS 454/5-15)
21 (Section scheduled to be repealed on January 1, 2020)
22 Sec. 5-15. Necessity of managing broker, broker,
23salesperson, or leasing agent license or sponsor card;
24ownership restrictions.
25 (a) It is unlawful for any person, corporation, limited

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1liability company, registered limited liability partnership,
2or partnership to act as a managing broker, real estate broker,
3real estate salesperson, or leasing agent or to advertise or
4assume to act as such managing broker, broker, salesperson, or
5leasing agent without a properly issued sponsor card or a
6license issued under this Act by the Department, either
7directly or through its authorized designee.
8 (b) No corporation shall be granted a license or engage in
9the business or capacity, either directly or indirectly, of a
10real estate broker, unless every officer of the corporation who
11actively participates in the real estate activities of the
12corporation holds a license as a managing broker or broker and
13unless every employee who acts as a managing broker, broker,
14salesperson, or leasing agent for the corporation holds a
15license as a managing broker, broker, salesperson, or leasing
16agent.
17 (c) No partnership shall be granted a license or engage in
18the business or serve in the capacity, either directly or
19indirectly, of a real estate broker, unless every general
20partner in the partnership holds a license as a managing broker
21or broker and unless every employee who acts as a managing
22broker, broker, salesperson or leasing agent for the
23partnership holds a license as a managing broker, broker,
24salesperson, or leasing agent. In the case of a registered
25limited liability partnership (LLP), every partner in the LLP
26must hold a license as a managing broker or broker and every

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1employee who acts as a managing broker, broker, salesperson or
2leasing agent must hold a license as a managing broker, broker,
3salesperson, or leasing agent.
4 (d) No limited liability company shall be granted a license
5or engage in the business or serve in the capacity, either
6directly or indirectly, of a broker unless every manager in the
7limited liability company or every member in a member managed
8limited liability company holds a license as a managing broker
9or broker and unless every other member and employee who acts
10as a managing broker, broker, salesperson or leasing agent for
11the limited liability company holds a license as a managing
12broker, broker, salesperson, or leasing agent.
13 (e) No partnership, limited liability company, or
14corporation shall be licensed to conduct a brokerage business
15where an individual salesperson or leasing agent, or group of
16salespersons or leasing agents, owns or directly or indirectly
17controls more than 49% of the shares of stock or other
18ownership in the partnership, limited liability company, or
19corporation.
20(Source: P.A. 96-856, eff. 12-31-09.)
21 (225 ILCS 454/5-20)
22 (Section scheduled to be repealed on January 1, 2020)
23 Sec. 5-20. Exemptions from managing broker, broker,
24salesperson, or leasing agent license requirement. The
25requirement for holding a license under this Article 5 shall

HB3332 Enrolled- 127 -LRB099 00381 MGM 20387 b
1not apply to:
2 (1) Any person, partnership, or corporation that as
3 owner or lessor performs any of the acts described in the
4 definition of "broker" under Section 1-10 of this Act with
5 reference to property owned or leased by it, or to the
6 regular employees thereof with respect to the property so
7 owned or leased, where such acts are performed in the
8 regular course of or as an incident to the management,
9 sale, or other disposition of such property and the
10 investment therein, provided that such regular employees
11 do not perform any of the acts described in the definition
12 of "broker" under Section 1-10 of this Act in connection
13 with a vocation of selling or leasing any real estate or
14 the improvements thereon not so owned or leased.
15 (2) An attorney in fact acting under a duly executed
16 and recorded power of attorney to convey real estate from
17 the owner or lessor or the services rendered by an attorney
18 at law in the performance of the attorney's duty as an
19 attorney at law.
20 (3) Any person acting as receiver, trustee in
21 bankruptcy, administrator, executor, or guardian or while
22 acting under a court order or under the authority of a will
23 or testamentary trust.
24 (4) Any person acting as a resident manager for the
25 owner or any employee acting as the resident manager for a
26 broker managing an apartment building, duplex, or

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1 apartment complex, when the resident manager resides on the
2 premises, the premises is his or her primary residence, and
3 the resident manager is engaged in the leasing of the
4 property of which he or she is the resident manager.
5 (5) Any officer or employee of a federal agency in the
6 conduct of official duties.
7 (6) Any officer or employee of the State government or
8 any political subdivision thereof performing official
9 duties.
10 (7) Any multiple listing service or other similar
11 information exchange that is engaged in the collection and
12 dissemination of information concerning real estate
13 available for sale, purchase, lease, or exchange for the
14 purpose of providing licensees with a system by which
15 licensees may cooperatively share information along with
16 which no other licensed activities, as defined in Section
17 1-10 of this Act, are provided.
18 (8) Railroads and other public utilities regulated by
19 the State of Illinois, or the officers or full time
20 employees thereof, unless the performance of any licensed
21 activities is in connection with the sale, purchase, lease,
22 or other disposition of real estate or investment therein
23 not needing the approval of the appropriate State
24 regulatory authority.
25 (9) Any medium of advertising in the routine course of
26 selling or publishing advertising along with which no other

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1 licensed activities, as defined in Section 1-10 of this
2 Act, are provided.
3 (10) Any resident lessee of a residential dwelling unit
4 who refers for compensation to the owner of the dwelling
5 unit, or to the owner's agent, prospective lessees of
6 dwelling units in the same building or complex as the
7 resident lessee's unit, but only if the resident lessee (i)
8 refers no more than 3 prospective lessees in any 12-month
9 period, (ii) receives compensation of no more than $1,500
10 or the equivalent of one month's rent, whichever is less,
11 in any 12-month period, and (iii) limits his or her
12 activities to referring prospective lessees to the owner,
13 or the owner's agent, and does not show a residential
14 dwelling unit to a prospective lessee, discuss terms or
15 conditions of leasing a dwelling unit with a prospective
16 lessee, or otherwise participate in the negotiation of the
17 leasing of a dwelling unit.
18 (11) An exchange company registered under the Real
19 Estate Timeshare Act of 1999 and the regular employees of
20 that registered exchange company but only when conducting
21 an exchange program as defined in that Act.
22 (12) An existing timeshare owner who, for
23 compensation, refers prospective purchasers, but only if
24 the existing timeshare owner (i) refers no more than 20
25 prospective purchasers in any calendar year, (ii) receives
26 no more than $1,000, or its equivalent, for referrals in

HB3332 Enrolled- 130 -LRB099 00381 MGM 20387 b
1 any calendar year and (iii) limits his or her activities to
2 referring prospective purchasers of timeshare interests to
3 the developer or the developer's employees or agents, and
4 does not show, discuss terms or conditions of purchase or
5 otherwise participate in negotiations with regard to
6 timeshare interests.
7 (13) Any person who is licensed without examination
8 under Section 10-25 (now repealed) of the Auction License
9 Act is exempt from holding a managing broker's or broker's
10 salesperson's license under this Act for the limited
11 purpose of selling or leasing real estate at auction, so
12 long as:
13 (A) that person has made application for said
14 exemption by July 1, 2000;
15 (B) that person verifies to the Department that he
16 or she has sold real estate at auction for a period of
17 5 years prior to licensure as an auctioneer;
18 (C) the person has had no lapse in his or her
19 license as an auctioneer; and
20 (D) the license issued under the Auction License
21 Act has not been disciplined for violation of those
22 provisions of Article 20 of the Auction License Act
23 dealing with or related to the sale or lease of real
24 estate at auction.
25 (14) A person who holds a valid license under the
26 Auction License Act and a valid real estate auction

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1 certification and conducts auctions for the sale of real
2 estate under Section 5-32 of this Act.
3 (15) A hotel operator who is registered with the
4 Illinois Department of Revenue and pays taxes under the
5 Hotel Operators' Occupation Tax Act and rents a room or
6 rooms in a hotel as defined in the Hotel Operators'
7 Occupation Tax Act for a period of not more than 30
8 consecutive days and not more than 60 days in a calendar
9 year.
10(Source: P.A. 98-553, eff. 1-1-14.)
11 (225 ILCS 454/5-26)
12 (Section scheduled to be repealed on January 1, 2020)
13 Sec. 5-26. License Requirements for license as a
14salesperson.
15 (a) Every applicant for licensure as a salesperson must
16meet the following qualifications:
17 (1) Be at least 21 years of age. The minimum age of 21
18 years shall be waived for any person seeking a license as a
19 real estate salesperson who has attained the age of 18 and
20 can provide evidence of the successful completion of at
21 least 4 semesters of post-secondary school study as a
22 full-time student or the equivalent, with major emphasis on
23 real estate courses, in a school approved by the
24 Department;
25 (2) Be of good moral character;

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1 (3) Successfully complete a 4-year course of study in a
2 high school or secondary school approved by the Illinois
3 State Board of Education or an equivalent course of study
4 as determined by an examination conducted by the Illinois
5 State Board of Education, which shall be verified under
6 oath by the applicant;
7 (4) Provide satisfactory evidence of having completed
8 at least 45 hours of instruction in real estate courses
9 approved by the Advisory Council, except applicants who are
10 currently admitted to practice law by the Supreme Court of
11 Illinois and are currently in active standing;
12 (5) Personally take and pass a written examination
13 authorized by the Department; and
14 (6) Present a valid application for issuance of a
15 license accompanied by a sponsor card and the fees
16 specified by rule.
17 (b) No applicant shall engage in any of the activities
18covered by this Act until a valid sponsor card has been issued
19to the applicant. The sponsor card shall be valid for a maximum
20period of 45 days after the date of issuance unless extended
21for good cause as provided by rule.
22 (c) All licenses should be readily available to the public
23at their sponsoring place of business.
24 (d) No new salesperson licenses shall be issued after April
2530, 2011 and all existing salesperson licenses shall terminate
26on May 1, 2012.

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1(Source: P.A. 96-856, eff. 12-31-09; 97-333, eff. 8-12-11.)
2 (225 ILCS 454/5-27)
3 (Section scheduled to be repealed on January 1, 2020)
4 Sec. 5-27. Requirements for licensure as a broker.
5 (a) Every applicant for licensure as a broker must meet the
6following qualifications:
7 (1) Be at least 21 years of age. After April 30, 2011,
8 the minimum age of 21 years shall be waived for any person
9 seeking a license as a broker who has attained the age of
10 18 and can provide evidence of the successful completion of
11 at least 4 semesters of post-secondary school study as a
12 full-time student or the equivalent, with major emphasis on
13 real estate courses, in a school approved by the
14 Department;
15 (2) Be of good moral character;
16 (3) Successfully complete a 4-year course of study in a
17 high school or secondary school approved by the Illinois
18 State Board of Education or an equivalent course of study
19 as determined by an examination conducted by the Illinois
20 State Board of Education which shall be verified under oath
21 by the applicant;
22 (4) (Blank); Prior to May 1, 2011, provide (i)
23 satisfactory evidence of having completed at least 120
24 classroom hours, 45 of which shall be those hours required
25 to obtain a salesperson's license plus 15 hours in

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1 brokerage administration courses, in real estate courses
2 approved by the Advisory Council or (ii) for applicants who
3 currently hold a valid real estate salesperson's license,
4 give satisfactory evidence of having completed at least 75
5 hours in real estate courses, not including the courses
6 that are required to obtain a salesperson's license,
7 approved by the Advisory Council;
8 (5) After April 30, 2011, provide satisfactory
9 evidence of having completed 90 hours of instruction in
10 real estate courses approved by the Advisory Council, 15
11 hours of which must consist of situational and case studies
12 presented in the classroom or by other interactive delivery
13 method between the instructor and the students;
14 (6) Personally take and pass a written examination
15 authorized by the Department;
16 (7) Present a valid application for issuance of a
17 license accompanied by a sponsor card and the fees
18 specified by rule.
19 (b) The requirements specified in items (3) (4) and (5) of
20subsection (a) of this Section do not apply to applicants who
21are currently admitted to practice law by the Supreme Court of
22Illinois and are currently in active standing.
23 (c) No applicant shall engage in any of the activities
24covered by this Act until a valid sponsor card has been issued
25to such applicant. The sponsor card shall be valid for a
26maximum period of 45 days after the date of issuance unless

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1extended for good cause as provided by rule.
2 (d) All licenses should be readily available to the public
3at their place of business.
4 (e) An individual holding an active license as a managing
5broker may return the license to the Department along with a
6form provided by the Department and shall be issued a broker's
7license in exchange. Any individual obtaining a broker's
8license under this subsection (e) shall be considered as having
9obtained a broker's license by education and passing the
10required test and shall be treated as such in determining
11compliance with this Act.
12(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15.)
13 (225 ILCS 454/5-28)
14 (Section scheduled to be repealed on January 1, 2020)
15 Sec. 5-28. Requirements for licensure as a managing broker.
16 (a) Effective May 1, 2012, every applicant for licensure as
17a managing broker must meet the following qualifications:
18 (1) be at least 21 years of age;
19 (2) be of good moral character;
20 (3) have been licensed at least 2 out of the preceding
21 3 years as a real estate broker or salesperson;
22 (4) successfully complete a 4-year course of study in
23 high school or secondary school approved by the Illinois
24 State Board of Education or an equivalent course of study
25 as determined by an examination conducted by the Illinois

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1 State Board of Education, which shall be verified under
2 oath by the applicant;
3 (5) provide satisfactory evidence of having completed
4 at least 165 hours, 120 of which shall be those hours
5 required pre and post-licensure to obtain a broker's
6 license, and 45 additional hours completed within the year
7 immediately preceding the filing of an application for a
8 managing broker's license, which hours shall focus on
9 brokerage administration and management and include at
10 least 15 hours in the classroom or by other interactive
11 delivery method between the instructor and the students;
12 (6) personally take and pass a written examination
13 authorized by the Department; and
14 (7) present a valid application for issuance of a
15 license accompanied by a sponsor card, an appointment as a
16 managing broker, and the fees specified by rule.
17 (b) The requirements specified in item (5) of subsection
18(a) of this Section do not apply to applicants who are
19currently admitted to practice law by the Supreme Court of
20Illinois and are currently in active standing.
21 (c) No applicant shall act as a managing broker for more
22than 90 days after an appointment as a managing broker has been
23filed with the Department without obtaining a managing broker's
24license.
25(Source: P.A. 98-531, eff. 8-23-13.)

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1 (225 ILCS 454/5-32)
2 (Section scheduled to be repealed on January 1, 2020)
3 Sec. 5-32. Real estate auction certification.
4 (a) An auctioneer licensed under the Auction License Act
5who does not possess a valid and active broker's or managing
6broker's license under this Act, or who is not otherwise exempt
7from licensure, may not engage in the practice of auctioning
8real estate, except as provided in this Section.
9 (b) The Department shall issue a real estate auction
10certification to applicants who:
11 (1) possess a valid auctioneer's license under the
12 Auction License Act;
13 (2) successfully complete a real estate auction course
14 of at least 30 hours approved by the Department, which
15 shall cover the scope of activities that may be engaged in
16 by a person holding a real estate auction certification and
17 the activities for which a person must hold a real estate
18 license, as well as other material as provided by the
19 Department;
20 (3) provide documentation of the completion of the real
21 estate auction course; and
22 (4) successfully complete any other reasonable
23 requirements as provided by rule.
24 (c) The auctioneer's role shall be limited to establishing
25the time, place, and method of the real estate auction, placing
26advertisements regarding the auction, and crying or calling the

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1auction; any other real estate brokerage activities must be
2performed by a person holding a valid and active real estate
3broker's or managing broker's license under the provisions of
4this Act or by a person who is exempt from holding a license
5under paragraph (13) of Section 5-20 who has a certificate
6under this Section.
7 (d) An auctioneer who conducts any real estate auction
8activities in violation of this Section is guilty of unlicensed
9practice under Section 20-10 of this Act.
10 (e) The Department may revoke, suspend, or otherwise
11discipline the real estate auction certification of an
12auctioneer who is adjudicated to be in violation of the
13provisions of this Section or Section 20-15 of the Auction
14License Act.
15 (f) Advertising for the real estate auction must contain
16the name and address of the licensed real estate broker,
17managing broker, or a licensed auctioneer under paragraph (13)
18of Section 5-20 of this Act who is providing brokerage services
19for the transaction.
20 (g) The requirement to hold a real estate auction
21certification shall not apply to a person exempt from this Act
22under the provisions of paragraph (13) of Section 5-20 of this
23Act, unless that person is performing licensed activities in a
24transaction in which a licensed auctioneer with a real estate
25certification is providing the limited services provided for in
26subsection (c) of this Section.

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1 (h) Nothing in this Section shall require a person licensed
2under this Act as a real estate broker or managing broker to
3obtain a real estate auction certification in order to auction
4real estate.
5 (i) The Department may adopt rules to implement this
6Section.
7(Source: P.A. 98-553, eff. 1-1-14; 98-756, eff. 7-16-14.)
8 (225 ILCS 454/5-35)
9 (Section scheduled to be repealed on January 1, 2020)
10 Sec. 5-35. Examination; managing broker, broker,
11salesperson, or leasing agent.
12 (a) The Department shall authorize examinations at such
13times and places as it may designate. The examination shall be
14of a character to give a fair test of the qualifications of the
15applicant to practice as a managing broker, broker,
16salesperson, or leasing agent. Applicants for examination as a
17managing broker, broker, salesperson, or leasing agent shall be
18required to pay, either to the Department or the designated
19testing service, a fee covering the cost of providing the
20examination. Failure to appear for the examination on the
21scheduled date, at the time and place specified, after the
22applicant's application for examination has been received and
23acknowledged by the Department or the designated testing
24service, shall result in the forfeiture of the examination fee.
25An applicant shall be eligible to take the examination only

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1after successfully completing the education requirements and
2attaining the minimum age provided for in Article 5 of this
3Act. Each applicant shall be required to establish compliance
4with the eligibility requirements in the manner provided by the
5rules promulgated for the administration of this Act.
6 (b) If a person who has received a passing score on the
7written examination described in this Section fails to file an
8application and meet all requirements for a license under this
9Act within one year after receiving a passing score on the
10examination, credit for the examination shall terminate. The
11person thereafter may make a new application for examination.
12 (c) If an applicant has failed an examination 4 times, the
13applicant must repeat the pre-license education required to sit
14for the examination. For the purposes of this Section, the
15fifth attempt shall be the same as the first. Approved
16education, as prescribed by this Act for licensure as a
17managing broker, salesperson or broker, or leasing agent, shall
18be valid for 4 years after the date of satisfactory completion
19of the education.
20 (d) The Department may employ consultants for the purposes
21of preparing and conducting examinations.
22(Source: P.A. 96-856, eff. 12-31-09.)
23 (225 ILCS 454/5-41)
24 (Section scheduled to be repealed on January 1, 2020)
25 Sec. 5-41. Change of address. A licensee shall notify the

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1Department of the address or addresses, and of every change of
2address, where the licensee practices as a leasing agent,
3salesperson, broker or managing broker.
4(Source: P.A. 96-856, eff. 12-31-09.)
5 (225 ILCS 454/5-50)
6 (Section scheduled to be repealed on January 1, 2020)
7 Sec. 5-50. Expiration and renewal of managing broker,
8broker, salesperson, or leasing agent license; sponsoring
9broker; register of licensees; pocket card.
10 (a) The expiration date and renewal period for each license
11issued under this Act shall be set by rule, except that the
12first renewal period ending after the effective date of this
13Act for those licensed as a salesperson shall be extended
14through April 30, 2012. Except as otherwise provided in this
15Section, the holder of a license may renew the license within
1690 days preceding the expiration date thereof by completing the
17continuing education required by this Act and paying the fees
18specified by rule.
19 (b) An individual whose first license is that of a broker
20received after April 30, 2011, must provide evidence of having
21completed 30 hours of post-license education in courses
22approved by the Advisory Council, 15 hours of which must
23consist of situational and case studies presented in the
24classroom or by other interactive delivery method between the
25instructor and the students, and personally take and pass an

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1examination approved by the Department prior to the first
2renewal of their broker's license.
3 (c) Any salesperson until April 30, 2011 or any managing
4broker, broker, or leasing agent whose license under this Act
5has expired shall be eligible to renew the license during the
62-year period following the expiration date, provided the
7managing broker, broker, salesperson, or leasing agent pays the
8fees as prescribed by rule and completes continuing education
9and other requirements provided for by the Act or by rule.
10Beginning on May 1, 2012, a managing broker licensee, broker,
11or leasing agent whose license has been expired for more than 2
12years but less than 5 years may have it restored by (i)
13applying to the Department, (ii) paying the required fee, (iii)
14completing the continuing education requirements for the most
15recent pre-renewal period that ended prior to the date of the
16application for reinstatement, and (iv) filing acceptable
17proof of fitness to have his or her license restored, as set by
18rule. A managing broker, broker, or leasing agent whose license
19has been expired for more than 5 years shall be required to
20meet the requirements for a new license.
21 (d) Notwithstanding any other provisions of this Act to the
22contrary, any managing broker, broker, salesperson, or leasing
23agent whose license expired while he or she was (i) on active
24duty with the Armed Forces of the United States or called into
25service or training by the state militia, (ii) engaged in
26training or education under the supervision of the United

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1States preliminary to induction into military service, or (iii)
2serving as the Coordinator of Real Estate in the State of
3Illinois or as an employee of the Department may have his or
4her license renewed, reinstated or restored without paying any
5lapsed renewal fees if within 2 years after the termination of
6the service, training or education by furnishing the Department
7with satisfactory evidence of service, training, or education
8and it has been terminated under honorable conditions.
9 (e) The Department shall establish and maintain a register
10of all persons currently licensed by the State and shall issue
11and prescribe a form of pocket card. Upon payment by a licensee
12of the appropriate fee as prescribed by rule for engagement in
13the activity for which the licensee is qualified and holds a
14license for the current period, the Department shall issue a
15pocket card to the licensee. The pocket card shall be
16verification that the required fee for the current period has
17been paid and shall indicate that the person named thereon is
18licensed for the current renewal period as a managing broker,
19broker, salesperson, or leasing agent as the case may be. The
20pocket card shall further indicate that the person named
21thereon is authorized by the Department to engage in the
22licensed activity appropriate for his or her status (managing
23broker, broker, salesperson, or leasing agent). Each licensee
24shall carry on his or her person his or her pocket card or, if
25such pocket card has not yet been issued, a properly issued
26sponsor card when engaging in any licensed activity and shall

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1display the same on demand.
2 (f) The Department shall provide to the sponsoring broker a
3notice of renewal for all sponsored licensees by mailing the
4notice to the sponsoring broker's address of record, or, at the
5Department's discretion, by an electronic means as provided for
6by rule.
7 (g) Upon request from the sponsoring broker, the Department
8shall make available to the sponsoring broker, either by mail
9or by an electronic means at the discretion of the Department,
10a listing of licensees under this Act who, according to the
11records of the Department, are sponsored by that broker. Every
12licensee associated with or employed by a broker whose license
13is revoked, suspended, terminated, or expired shall be
14considered as inoperative until such time as the sponsoring
15broker's license is reinstated or renewed, or the licensee
16changes employment as set forth in subsection (c) of Section
175-40 of this Act.
18(Source: P.A. 98-531, eff. 8-23-13.)
19 (225 ILCS 454/5-60)
20 (Section scheduled to be repealed on January 1, 2020)
21 Sec. 5-60. Managing broker licensed in another state;
22broker licensed in another state; salesperson licensed in
23another state; reciprocal agreements; agent for service of
24process.
25 (a) Effective May 1, 2011, a managing broker's license may

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1be issued by the Department to a managing broker or its
2equivalent licensed under the laws of another state of the
3United States, under the following conditions:
4 (1) the managing broker holds a managing broker's
5 license in a state that has entered into a reciprocal
6 agreement with the Department;
7 (2) the standards for that state for licensing as a
8 managing broker are substantially equal to or greater than
9 the minimum standards in the State of Illinois;
10 (3) the managing broker has been actively practicing as
11 a managing broker in the managing broker's state of
12 licensure for a period of not less than 2 years,
13 immediately prior to the date of application;
14 (4) the managing broker furnishes the Department with a
15 statement under seal of the proper licensing authority of
16 the state in which the managing broker is licensed showing
17 that the managing broker has an active managing broker's
18 license, that the managing broker is in good standing, and
19 that no complaints are pending against the managing broker
20 in that state;
21 (5) the managing broker passes a test on Illinois
22 specific real estate brokerage laws; and
23 (6) the managing broker was licensed by an examination
24 in the state that has entered into a reciprocal agreement
25 with the Department.
26 (b) A broker's license may be issued by the Department to a

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1broker or its equivalent licensed under the laws of another
2state of the United States, under the following conditions:
3 (1) the broker holds a broker's license in a state that
4 has entered into a reciprocal agreement with the
5 Department;
6 (2) the standards for that state for licensing as a
7 broker are substantially equivalent to or greater than the
8 minimum standards in the State of Illinois;
9 (3) if the application is made prior to May 1, 2012,
10 then the broker has been actively practicing as a broker in
11 the broker's state of licensure for a period of not less
12 than 2 years, immediately prior to the date of application;
13 (4) the broker furnishes the Department with a
14 statement under seal of the proper licensing authority of
15 the state in which the broker is licensed showing that the
16 broker has an active broker's license, that the broker is
17 in good standing, and that no complaints are pending
18 against the broker in that state;
19 (5) the broker passes a test on Illinois specific real
20 estate brokerage laws; and
21 (6) the broker was licensed by an examination in a
22 state that has entered into a reciprocal agreement with the
23 Department.
24 (c) (Blank). Prior to May 1, 2011, a salesperson may, in
25the discretion of the Department, be issued a salesperson's
26license provided all of the following conditions are met:

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1 (1) the salesperson maintains an active license in the
2 state that has entered into a reciprocal agreement with the
3 Department;
4 (2) the salesperson passes a test on Illinois specific
5 real estate brokerage laws; and
6 (3) the salesperson was licensed by an examination in
7 the state that has entered into a reciprocal agreement with
8 the Department.
9 The broker with whom the salesperson is associated shall
10comply with the provisions of this Act and issue the
11salesperson a sponsor card upon the form provided by the
12Department.
13 (d) As a condition precedent to the issuance of a license
14to a managing broker, or broker, or salesperson pursuant to
15this Section, the managing broker or broker salesperson shall
16agree in writing to abide by all the provisions of this Act
17with respect to his or her real estate activities within the
18State of Illinois and submit to the jurisdiction of the
19Department as provided in this Act. The agreement shall be
20filed with the Department and shall remain in force for so long
21as the managing broker, or broker or salesperson is licensed by
22this State and thereafter with respect to acts or omissions
23committed while licensed as a managing broker or broker
24salesperson in this State.
25 (e) Prior to the issuance of any license to any managing
26broker, or broker, or salesperson licensed pursuant to this

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1Section, verification of active licensure issued for the
2conduct of such business in any other state must be filed with
3the Department by the managing broker, or broker, or
4salesperson, and the same fees must be paid as provided in this
5Act for the obtaining of a managing broker's, or broker's or
6salesperson's license in this State.
7 (f) Licenses previously granted under reciprocal
8agreements with other states shall remain in force so long as
9the Department has a reciprocal agreement with the state that
10includes the requirements of this Section, unless that license
11is suspended, revoked, or terminated by the Department for any
12reason provided for suspension, revocation, or termination of a
13resident licensee's license. Licenses granted under reciprocal
14agreements may be renewed in the same manner as a resident's
15license.
16 (g) Prior to the issuance of a license to a nonresident
17managing broker, or broker or salesperson, the managing broker,
18or broker or salesperson shall file with the Department a
19designation in writing that appoints the Secretary to act as
20his or her agent upon whom all judicial and other process or
21legal notices directed to the managing broker, or broker or
22salesperson may be served. Service upon the agent so designated
23shall be equivalent to personal service upon the licensee.
24Copies of the appointment, certified by the Secretary, shall be
25deemed sufficient evidence thereof and shall be admitted in
26evidence with the same force and effect as the original thereof

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1might be admitted. In the written designation, the managing
2broker, or broker or salesperson shall agree that any lawful
3process against the licensee that is served upon the agent
4shall be of the same legal force and validity as if served upon
5the licensee and that the authority shall continue in force so
6long as any liability remains outstanding in this State. Upon
7the receipt of any process or notice, the Secretary shall
8forthwith mail a copy of the same by certified mail to the last
9known business address of the licensee.
10 (h) Any person holding a valid license under this Section
11shall be eligible to obtain a resident managing broker's
12license, or a broker's license, or, prior to May 1, 2011, a
13salesperson's license without examination should that person
14change their state of domicile to Illinois and that person
15otherwise meets the qualifications for licensure under this
16Act.
17(Source: P.A. 96-856, eff. 12-31-09.)
18 (225 ILCS 454/5-70)
19 (Section scheduled to be repealed on January 1, 2020)
20 Sec. 5-70. Continuing education requirement; managing
21broker, or broker, or salesperson.
22 (a) The requirements of this Section apply to all managing
23brokers, and brokers, and salespersons.
24 (b) Except as otherwise provided in this Section, each
25person who applies for renewal of his or her license as a

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1managing broker, or real estate broker, or real estate
2salesperson must successfully complete 6 hours of real estate
3continuing education courses approved by the Advisory Council
4for each year of the pre-renewal period. Broker licensees must
5successfully complete a 6-hour broker management continuing
6education course approved by the Department for the pre-renewal
7period ending April 30, 2010. In addition, beginning with the
8pre-renewal period for managing broker licensees that begins
9after the effective date of this Act, those licensees renewing
10or obtaining a managing broker's license must successfully
11complete a 12-hour broker management continuing education
12course approved by the Department each pre-renewal period. The
13broker management continuing education course must be
14completed in the classroom or by other interactive delivery
15method between the instructor and the students. Successful
16completion of the course shall include achieving a passing
17score as provided by rule on a test developed and administered
18in accordance with rules adopted by the Department. No license
19may be renewed except upon the successful completion of the
20required courses or their equivalent or upon a waiver of those
21requirements for good cause shown as determined by the
22Secretary with the recommendation of the Advisory Council. The
23requirements of this Article are applicable to all managing
24brokers, and brokers, and salespersons except those managing
25brokers and brokers salespersons who, during the pre-renewal
26period:

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1 (1) serve in the armed services of the United States;
2 (2) serve as an elected State or federal official;
3 (3) serve as a full-time employee of the Department; or
4 (4) are admitted to practice law pursuant to Illinois
5 Supreme Court rule.
6 (c) (Blank). A person licensed as a salesperson as of April
730, 2011 shall not be required to complete the 18 hours of
8continuing education for the pre-renewal period ending April
930, 2012 if that person takes the 30-hour post-licensing course
10to obtain a broker's license. A person licensed as a broker as
11of April 30, 2011 shall not be required to complete the 12
12hours of broker management continuing education for the
13pre-renewal period ending April 30, 2012, unless that person
14passes the proficiency exam provided for in Section 5-47 of
15this Act to qualify for a managing broker's license.
16 (d) A person receiving an initial license during the 90
17days before the renewal date shall not be required to complete
18the continuing education courses provided for in subsection (b)
19of this Section as a condition of initial license renewal.
20 (e) The continuing education requirement for salespersons,
21brokers and managing brokers shall consist of a core curriculum
22and an elective curriculum, to be established by the Advisory
23Council. In meeting the continuing education requirements of
24this Act, at least 3 hours per year or their equivalent, 6
25hours for each two-year pre-renewal period, shall be required
26to be completed in the core curriculum. In establishing the

HB3332 Enrolled- 152 -LRB099 00381 MGM 20387 b
1core curriculum, the Advisory Council shall consider subjects
2that will educate licensees on recent changes in applicable
3laws and new laws and refresh the licensee on areas of the
4license law and the Department policy that the Advisory Council
5deems appropriate, and any other areas that the Advisory
6Council deems timely and applicable in order to prevent
7violations of this Act and to protect the public. In
8establishing the elective curriculum, the Advisory Council
9shall consider subjects that cover the various aspects of the
10practice of real estate that are covered under the scope of
11this Act. However, the elective curriculum shall not include
12any offerings referred to in Section 5-85 of this Act.
13 (f) The subject areas of continuing education courses
14approved by the Advisory Council may include without limitation
15the following:
16 (1) license law and escrow;
17 (2) antitrust;
18 (3) fair housing;
19 (4) agency;
20 (5) appraisal;
21 (6) property management;
22 (7) residential brokerage;
23 (8) farm property management;
24 (9) rights and duties of sellers, buyers, and brokers;
25 (10) commercial brokerage and leasing; and
26 (11) real estate financing.

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1 (g) In lieu of credit for those courses listed in
2subsection (f) of this Section, credit may be earned for
3serving as a licensed instructor in an approved course of
4continuing education. The amount of credit earned for teaching
5a course shall be the amount of continuing education credit for
6which the course is approved for licensees taking the course.
7 (h) Credit hours may be earned for self-study programs
8approved by the Advisory Council.
9 (i) A managing broker or broker salesperson may earn credit
10for a specific continuing education course only once during the
11prerenewal period.
12 (j) No more than 6 hours of continuing education credit may
13be taken or earned in one calendar day.
14 (k) To promote the offering of a uniform and consistent
15course content, the Department may provide for the development
16of a single broker management course to be offered by all
17continuing education providers who choose to offer the broker
18management continuing education course. The Department may
19contract for the development of the 12-hour broker management
20continuing education course with an outside vendor or
21consultant and, if the course is developed in this manner, the
22Department or the outside consultant shall license the use of
23that course to all approved continuing education providers who
24wish to provide the course.
25 (l) Except as specifically provided in this Act, continuing
26education credit hours may not be earned for completion of pre

HB3332 Enrolled- 154 -LRB099 00381 MGM 20387 b
1or post-license courses. The approved 30-hour post-license
2course for broker licensees shall satisfy the continuing
3education requirement for the pre-renewal period in which the
4course is taken. The approved 45-hour brokerage administration
5and management course shall satisfy the 12-hour broker
6management continuing education requirement for the
7pre-renewal period in which the course is taken.
8(Source: P.A. 97-1002, eff. 8-17-12; 98-531, eff. 8-23-13.)
9 (225 ILCS 454/10-10)
10 (Section scheduled to be repealed on January 1, 2020)
11 Sec. 10-10. Disclosure of compensation.
12 (a) A licensee must disclose to a client the sponsoring
13broker's compensation and policy with regard to cooperating
14with brokers who represent other parties in a transaction.
15 (b) A licensee must disclose to a client all sources of
16compensation related to the transaction received by the
17licensee from a third party.
18 (c) If a licensee refers a client to a third party in which
19the licensee has greater than a 1% ownership interest or from
20which the licensee receives or may receive dividends or other
21profit sharing distributions, other than a publicly held or
22traded company, for the purpose of the client obtaining
23services related to the transaction, then the licensee shall
24disclose that fact to the client at the time of making the
25referral.

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1 (d) If in any one transaction a sponsoring broker receives
2compensation from both the buyer and seller or lessee and
3lessor of real estate, the sponsoring broker shall disclose in
4writing to a client the fact that the compensation is being
5paid by both buyer and seller or lessee and lessor.
6 (e) Nothing in the Act shall prohibit the cooperation with
7or a payment of compensation to a person not domiciled in this
8State or country who is licensed as a real estate broker in his
9or her state or country of domicile or to a resident of a
10country that does not require a person to be licensed to act as
11a real estate broker if the person complies with the laws of
12the country in which that person resides and practices there as
13a real estate broker.
14(Source: P.A. 91-245, eff. 12-31-99; 92-217, eff. 8-2-01.)
15 (225 ILCS 454/10-15)
16 (Section scheduled to be repealed on January 1, 2020)
17 Sec. 10-15. No compensation to persons in violation of Act;
18compensation to unlicensed persons; consumer.
19 (a) No compensation may be paid to any unlicensed person in
20exchange for the person performing licensed activities in
21violation of this Act.
22 (b) No action or suit shall be instituted, nor recovery
23therein be had, in any court of this State by any person,
24partnership, registered limited liability partnership, limited
25liability company, or corporation for compensation for any act

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1done or service performed, the doing or performing of which is
2prohibited by this Act to other than licensed managing brokers,
3brokers, salespersons, or leasing agents unless the person,
4partnership, registered limited liability partnership, limited
5liability company, or corporation was duly licensed hereunder
6as a managing broker, broker, salesperson, or leasing agent
7under this Act at the time that any such act was done or
8service performed that would give rise to a cause of action for
9compensation.
10 (c) A licensee may offer compensation, including prizes,
11merchandise, services, rebates, discounts, or other
12consideration to an unlicensed person who is a party to a
13contract to buy or sell real estate or is a party to a contract
14for the lease of real estate, so long as the offer complies
15with the provisions of subdivision (35) of subsection (a) of
16Section 20-20 of this Act.
17 (d) A licensee may offer cash, gifts, prizes, awards,
18coupons, merchandise, rebates or chances to win a game of
19chance, if not prohibited by any other law or statute, to a
20consumer as an inducement to that consumer to use the services
21of the licensee even if the licensee and consumer do not
22ultimately enter into a broker-client relationship so long as
23the offer complies with the provisions of subdivision (35) of
24subsection (a) of Section 20-20 of this Act.
25(Source: P.A. 96-856, eff. 12-31-09.)

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1 (225 ILCS 454/15-5)
2 (Section scheduled to be repealed on January 1, 2020)
3 Sec. 15-5. Legislative intent.
4 (a) The General Assembly finds that application of the
5common law of agency to the relationships among managing real
6estate brokers and brokers salespersons and consumers of real
7estate brokerage services has resulted in misunderstandings
8and consequences that have been contrary to the best interests
9of the public. The General Assembly further finds that the real
10estate brokerage industry has a significant impact upon the
11economy of the State of Illinois and that it is in the best
12interest of the public to provide codification of the
13relationships between managing real estate brokers and brokers
14salespersons and consumers of real estate brokerage services in
15order to prevent detrimental misunderstandings and
16misinterpretations of the relationships by consumers, managing
17real estate brokers, and brokers salespersons and thus promote
18and provide stability in the real estate market. This Article
1915 is enacted to govern the relationships between consumers of
20real estate brokerage services and managing real estate brokers
21and brokers salespersons to the extent not governed by an
22individual written agreement between a sponsoring broker and a
23consumer, providing that there is a relationship other than
24designated agency. This Article 15 applies to the exclusion of
25the common law concepts of principal and agent and to the
26fiduciary duties, which have been applied to managing real

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1estate brokers, brokers salespersons, and real estate
2brokerage services.
3 (b) The General Assembly further finds that this Article 15
4is not intended to prescribe or affect contractual
5relationships between managing brokers and real estate brokers
6and the broker's affiliated licensees.
7 (c) This Article 15 may serve as a basis for private rights
8of action and defenses by sellers, buyers, landlords, tenants,
9managing brokers, and real estate brokers, and real estate
10salespersons. The private rights of action, however, do not
11extend to the provisions of any other Articles of this Act.
12(Source: P.A. 91-245, eff. 12-31-99.)
13 (225 ILCS 454/20-10)
14 (Section scheduled to be repealed on January 1, 2020)
15 Sec. 20-10. Unlicensed practice; civil penalty.
16 (a) Any person who practices, offers to practice, attempts
17to practice, or holds oneself out to practice as a managing
18real estate broker, broker real estate salesperson, or leasing
19agent without being licensed under this Act shall, in addition
20to any other penalty provided by law, pay a civil penalty to
21the Department in an amount not to exceed $25,000 for each
22offense as determined by the Department. The civil penalty
23shall be assessed by the Department after a hearing is held in
24accordance with the provisions set forth in this Act regarding
25the provision of a hearing for the discipline of a license.

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1 (b) The Department has the authority and power to
2investigate any and all unlicensed activity.
3 (c) The civil penalty shall be paid within 60 days after
4the effective date of the order imposing the civil penalty. The
5order shall constitute a judgment and may be filed and
6execution had thereon in the same manner from any court of
7record.
8(Source: P.A. 96-856, eff. 12-31-09.)
9 (225 ILCS 454/20-20)
10 (Section scheduled to be repealed on January 1, 2020)
11 Sec. 20-20. Grounds for discipline.
12 (a) The Department may refuse to issue or renew a license,
13may place on probation, suspend, or revoke any license,
14reprimand, or take any other disciplinary or non-disciplinary
15action as the Department may deem proper and impose a fine not
16to exceed $25,000 upon any licensee or applicant under this Act
17or any person who holds himself or herself out as an applicant
18or licensee or against a licensee in handling his or her own
19property, whether held by deed, option, or otherwise, for any
20one or any combination of the following causes:
21 (1) Fraud or misrepresentation in applying for, or
22 procuring, a license under this Act or in connection with
23 applying for renewal of a license under this Act.
24 (2) The conviction of or plea of guilty or plea of nolo
25 contendere to a felony or misdemeanor in this State or any

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1 other jurisdiction; or the entry of an administrative
2 sanction by a government agency in this State or any other
3 jurisdiction. Action taken under this paragraph (2) for a
4 misdemeanor or an administrative sanction is limited to a
5 misdemeanor or administrative sanction that has as an
6 essential element dishonesty or fraud or involves larceny,
7 embezzlement, or obtaining money, property, or credit by
8 false pretenses or by means of a confidence game.
9 (3) Inability to practice the profession with
10 reasonable judgment, skill, or safety as a result of a
11 physical illness, including, but not limited to,
12 deterioration through the aging process or loss of motor
13 skill, or a mental illness or disability.
14 (4) Practice under this Act as a licensee in a retail
15 sales establishment from an office, desk, or space that is
16 not separated from the main retail business by a separate
17 and distinct area within the establishment.
18 (5) Having been disciplined by another state, the
19 District of Columbia, a territory, a foreign nation, or a
20 governmental agency authorized to impose discipline if at
21 least one of the grounds for that discipline is the same as
22 or the equivalent of one of the grounds for which a
23 licensee may be disciplined under this Act. A certified
24 copy of the record of the action by the other state or
25 jurisdiction shall be prima facie evidence thereof.
26 (6) Engaging in the practice of real estate brokerage

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1 without a license or after the licensee's license was
2 expired or while the license was inoperative.
3 (7) Cheating on or attempting to subvert the Real
4 Estate License Exam or continuing education exam.
5 (8) Aiding or abetting an applicant to subvert or cheat
6 on the Real Estate License Exam or continuing education
7 exam administered pursuant to this Act.
8 (9) Advertising that is inaccurate, misleading, or
9 contrary to the provisions of the Act.
10 (10) Making any substantial misrepresentation or
11 untruthful advertising.
12 (11) Making any false promises of a character likely to
13 influence, persuade, or induce.
14 (12) Pursuing a continued and flagrant course of
15 misrepresentation or the making of false promises through
16 licensees, employees, agents, advertising, or otherwise.
17 (13) Any misleading or untruthful advertising, or
18 using any trade name or insignia of membership in any real
19 estate organization of which the licensee is not a member.
20 (14) Acting for more than one party in a transaction
21 without providing written notice to all parties for whom
22 the licensee acts.
23 (15) Representing or attempting to represent a broker
24 other than the sponsoring broker.
25 (16) Failure to account for or to remit any moneys or
26 documents coming into his or her possession that belong to

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1 others.
2 (17) Failure to maintain and deposit in a special
3 account, separate and apart from personal and other
4 business accounts, all escrow moneys belonging to others
5 entrusted to a licensee while acting as a real estate
6 broker, escrow agent, or temporary custodian of the funds
7 of others or failure to maintain all escrow moneys on
8 deposit in the account until the transactions are
9 consummated or terminated, except to the extent that the
10 moneys, or any part thereof, shall be:
11 (A) disbursed prior to the consummation or
12 termination (i) in accordance with the written
13 direction of the principals to the transaction or their
14 duly authorized agents, (ii) in accordance with
15 directions providing for the release, payment, or
16 distribution of escrow moneys contained in any written
17 contract signed by the principals to the transaction or
18 their duly authorized agents, or (iii) pursuant to an
19 order of a court of competent jurisdiction; or
20 (B) deemed abandoned and transferred to the Office
21 of the State Treasurer to be handled as unclaimed
22 property pursuant to the Uniform Disposition of
23 Unclaimed Property Act. Escrow moneys may be deemed
24 abandoned under this subparagraph (B) only: (i) in the
25 absence of disbursement under subparagraph (A); (ii)
26 in the absence of notice of the filing of any claim in

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1 a court of competent jurisdiction; and (iii) if 6
2 months have elapsed after the receipt of a written
3 demand for the escrow moneys from one of the principals
4 to the transaction or the principal's duly authorized
5 agent.
6 The account shall be noninterest bearing, unless the
7 character of the deposit is such that payment of interest
8 thereon is otherwise required by law or unless the
9 principals to the transaction specifically require, in
10 writing, that the deposit be placed in an interest bearing
11 account.
12 (18) Failure to make available to the Department all
13 escrow records and related documents maintained in
14 connection with the practice of real estate within 24 hours
15 of a request for those documents by Department personnel.
16 (19) Failing to furnish copies upon request of
17 documents relating to a real estate transaction to a party
18 who has executed that document.
19 (20) Failure of a sponsoring broker to timely provide
20 information, sponsor cards, or termination of licenses to
21 the Department.
22 (21) Engaging in dishonorable, unethical, or
23 unprofessional conduct of a character likely to deceive,
24 defraud, or harm the public.
25 (22) Commingling the money or property of others with
26 his or her own money or property.

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1 (23) Employing any person on a purely temporary or
2 single deal basis as a means of evading the law regarding
3 payment of commission to nonlicensees on some contemplated
4 transactions.
5 (24) Permitting the use of his or her license as a
6 broker to enable a leasing agent salesperson or unlicensed
7 person to operate a real estate business without actual
8 participation therein and control thereof by the broker.
9 (25) Any other conduct, whether of the same or a
10 different character from that specified in this Section,
11 that constitutes dishonest dealing.
12 (26) Displaying a "for rent" or "for sale" sign on any
13 property without the written consent of an owner or his or
14 her duly authorized agent or advertising by any means that
15 any property is for sale or for rent without the written
16 consent of the owner or his or her authorized agent.
17 (27) Failing to provide information requested by the
18 Department, or otherwise respond to that request, within 30
19 days of the request.
20 (28) Advertising by means of a blind advertisement,
21 except as otherwise permitted in Section 10-30 of this Act.
22 (29) Offering guaranteed sales plans, as defined in
23 clause (A) of this subdivision (29), except to the extent
24 hereinafter set forth:
25 (A) A "guaranteed sales plan" is any real estate
26 purchase or sales plan whereby a licensee enters into a

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1 conditional or unconditional written contract with a
2 seller, prior to entering into a brokerage agreement
3 with the seller, by the terms of which a licensee
4 agrees to purchase a property of the seller within a
5 specified period of time at a specific price in the
6 event the property is not sold in accordance with the
7 terms of a brokerage agreement to be entered into
8 between the sponsoring broker and the seller.
9 (B) A licensee offering a guaranteed sales plan
10 shall provide the details and conditions of the plan in
11 writing to the party to whom the plan is offered.
12 (C) A licensee offering a guaranteed sales plan
13 shall provide to the party to whom the plan is offered
14 evidence of sufficient financial resources to satisfy
15 the commitment to purchase undertaken by the broker in
16 the plan.
17 (D) Any licensee offering a guaranteed sales plan
18 shall undertake to market the property of the seller
19 subject to the plan in the same manner in which the
20 broker would market any other property, unless the
21 agreement with the seller provides otherwise.
22 (E) The licensee cannot purchase seller's property
23 until the brokerage agreement has ended according to
24 its terms or is otherwise terminated.
25 (F) Any licensee who fails to perform on a
26 guaranteed sales plan in strict accordance with its

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1 terms shall be subject to all the penalties provided in
2 this Act for violations thereof and, in addition, shall
3 be subject to a civil fine payable to the party injured
4 by the default in an amount of up to $25,000.
5 (30) Influencing or attempting to influence, by any
6 words or acts, a prospective seller, purchaser, occupant,
7 landlord, or tenant of real estate, in connection with
8 viewing, buying, or leasing real estate, so as to promote
9 or tend to promote the continuance or maintenance of
10 racially and religiously segregated housing or so as to
11 retard, obstruct, or discourage racially integrated
12 housing on or in any street, block, neighborhood, or
13 community.
14 (31) Engaging in any act that constitutes a violation
15 of any provision of Article 3 of the Illinois Human Rights
16 Act, whether or not a complaint has been filed with or
17 adjudicated by the Human Rights Commission.
18 (32) Inducing any party to a contract of sale or lease
19 or brokerage agreement to break the contract of sale or
20 lease or brokerage agreement for the purpose of
21 substituting, in lieu thereof, a new contract for sale or
22 lease or brokerage agreement with a third party.
23 (33) Negotiating a sale, exchange, or lease of real
24 estate directly with any person if the licensee knows that
25 the person has an exclusive brokerage agreement with
26 another broker, unless specifically authorized by that

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1 broker.
2 (34) When a licensee is also an attorney, acting as the
3 attorney for either the buyer or the seller in the same
4 transaction in which the licensee is acting or has acted as
5 a managing broker or broker salesperson.
6 (35) Advertising or offering merchandise or services
7 as free if any conditions or obligations necessary for
8 receiving the merchandise or services are not disclosed in
9 the same advertisement or offer. These conditions or
10 obligations include without limitation the requirement
11 that the recipient attend a promotional activity or visit a
12 real estate site. As used in this subdivision (35), "free"
13 includes terms such as "award", "prize", "no charge", "free
14 of charge", "without charge", and similar words or phrases
15 that reasonably lead a person to believe that he or she may
16 receive or has been selected to receive something of value,
17 without any conditions or obligations on the part of the
18 recipient.
19 (36) Disregarding or violating any provision of the
20 Land Sales Registration Act of 1989, the Illinois Real
21 Estate Time-Share Act, or the published rules promulgated
22 by the Department to enforce those Acts.
23 (37) Violating the terms of a disciplinary order issued
24 by the Department.
25 (38) Paying or failing to disclose compensation in
26 violation of Article 10 of this Act.

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1 (39) Requiring a party to a transaction who is not a
2 client of the licensee to allow the licensee to retain a
3 portion of the escrow moneys for payment of the licensee's
4 commission or expenses as a condition for release of the
5 escrow moneys to that party.
6 (40) Disregarding or violating any provision of this
7 Act or the published rules promulgated by the Department to
8 enforce this Act or aiding or abetting any individual,
9 partnership, registered limited liability partnership,
10 limited liability company, or corporation in disregarding
11 any provision of this Act or the published rules
12 promulgated by the Department to enforce this Act.
13 (41) Failing to provide the minimum services required
14 by Section 15-75 of this Act when acting under an exclusive
15 brokerage agreement.
16 (42) Habitual or excessive use or addiction to alcohol,
17 narcotics, stimulants, or any other chemical agent or drug
18 that results in a managing broker, broker, salesperson, or
19 leasing agent's inability to practice with reasonable
20 skill or safety.
21 (43) Enabling, aiding, or abetting an auctioneer, as
22 defined in the Auction License Act, to conduct a real
23 estate auction in a manner that is in violation of this
24 Act.
25 (b) The Department may refuse to issue or renew or may
26suspend the license of any person who fails to file a return,

HB3332 Enrolled- 169 -LRB099 00381 MGM 20387 b
1pay the tax, penalty or interest shown in a filed return, or
2pay any final assessment of tax, penalty, or interest, as
3required by any tax Act administered by the Department of
4Revenue, until such time as the requirements of that tax Act
5are satisfied in accordance with subsection (g) of Section
62105-15 of the Civil Administrative Code of Illinois.
7 (c) The Department shall deny a license or renewal
8authorized by this Act to a person who has defaulted on an
9educational loan or scholarship provided or guaranteed by the
10Illinois Student Assistance Commission or any governmental
11agency of this State in accordance with item (5) of subsection
12(a) of Section 2105-15 of the Civil Administrative Code of
13Illinois.
14 (d) In cases where the Department of Healthcare and Family
15Services (formerly Department of Public Aid) has previously
16determined that a licensee or a potential licensee is more than
1730 days delinquent in the payment of child support and has
18subsequently certified the delinquency to the Department may
19refuse to issue or renew or may revoke or suspend that person's
20license or may take other disciplinary action against that
21person based solely upon the certification of delinquency made
22by the Department of Healthcare and Family Services in
23accordance with item (5) of subsection (a) of Section 2105-15
24of the Civil Administrative Code of Illinois.
25 (e) In enforcing this Section, the Department or Board upon
26a showing of a possible violation may compel an individual

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1licensed to practice under this Act, or who has applied for
2licensure under this Act, to submit to a mental or physical
3examination, or both, as required by and at the expense of the
4Department. The Department or Board may order the examining
5physician to present testimony concerning the mental or
6physical examination of the licensee or applicant. No
7information shall be excluded by reason of any common law or
8statutory privilege relating to communications between the
9licensee or applicant and the examining physician. The
10examining physicians shall be specifically designated by the
11Board or Department. The individual to be examined may have, at
12his or her own expense, another physician of his or her choice
13present during all aspects of this examination. Failure of an
14individual to submit to a mental or physical examination, when
15directed, shall be grounds for suspension of his or her license
16until the individual submits to the examination if the
17Department finds, after notice and hearing, that the refusal to
18submit to the examination was without reasonable cause.
19 If the Department or Board finds an individual unable to
20practice because of the reasons set forth in this Section, the
21Department or Board may require that individual to submit to
22care, counseling, or treatment by physicians approved or
23designated by the Department or Board, as a condition, term, or
24restriction for continued, reinstated, or renewed licensure to
25practice; or, in lieu of care, counseling, or treatment, the
26Department may file, or the Board may recommend to the

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1Department to file, a complaint to immediately suspend, revoke,
2or otherwise discipline the license of the individual. An
3individual whose license was granted, continued, reinstated,
4renewed, disciplined or supervised subject to such terms,
5conditions, or restrictions, and who fails to comply with such
6terms, conditions, or restrictions, shall be referred to the
7Secretary for a determination as to whether the individual
8shall have his or her license suspended immediately, pending a
9hearing by the Department.
10 In instances in which the Secretary immediately suspends a
11person's license under this Section, a hearing on that person's
12license must be convened by the Department within 30 days after
13the suspension and completed without appreciable delay. The
14Department and Board shall have the authority to review the
15subject individual's record of treatment and counseling
16regarding the impairment to the extent permitted by applicable
17federal statutes and regulations safeguarding the
18confidentiality of medical records.
19 An individual licensed under this Act and affected under
20this Section shall be afforded an opportunity to demonstrate to
21the Department or Board that he or she can resume practice in
22compliance with acceptable and prevailing standards under the
23provisions of his or her license.
24(Source: P.A. 97-813, eff. 7-13-12; 97-1002, eff. 8-17-12;
2598-553, eff. 1-1-14; 98-756, eff. 7-16-14.)

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1 (225 ILCS 454/20-21)
2 (Section scheduled to be repealed on January 1, 2020)
3 Sec. 20-21. Injunctions; cease and desist order.
4 (a) If any person violates the provisions of this Act, the
5Secretary may, in the name of the People of the State of
6Illinois, through the Attorney General of the State of Illinois
7or the State's Attorney for any county in which the action is
8brought, petition for an order enjoining the violation or for
9an order enforcing compliance with this Act. Upon the filing of
10a verified petition in court, the court may issue a temporary
11restraining order, without notice or condition, and may
12preliminarily and permanently enjoin the violation. If it is
13established that the person has violated or is violating the
14injunction, the Court may punish the offender for contempt of
15court. Proceedings under this Section shall be in addition to,
16and not in lieu of, all other remedies and penalties provided
17by this Act.
18 (b) Whenever in the opinion of the Department a person
19violates a provision of this Act, the Department may issue a
20ruling to show cause why an order to cease and desist should
21not be entered against that person. The rule shall clearly set
22forth the grounds relied upon by the Department and shall allow
23at least 7 days from the date of the rule to file an answer to
24the satisfaction of the Department. Failure to answer to the
25satisfaction of the Department shall cause an order to cease
26and desist to be issued immediately.

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1 (c) Other than as provided in Section 5-20 of this Act, if
2any person practices as a managing real estate broker, broker,
3real estate salesperson or leasing agent or holds himself or
4herself out as a licensed sponsoring broker, managing broker,
5real estate broker, real estate salesperson or leasing agent
6under this Act without being issued a valid existing license by
7the Department, then any licensed sponsoring broker, managing
8broker, real estate broker, real estate salesperson, leasing
9agent, any interested party, or any person injured thereby may,
10in addition to the Secretary, petition for relief as provided
11in subsection (a) of this Section.
12(Source: P.A. 96-856, eff. 12-31-09.)
13 (225 ILCS 454/20-22)
14 (Section scheduled to be repealed on January 1, 2020)
15 Sec. 20-22. Violations. Any person who is found working or
16acting as a managing broker, real estate broker, real estate
17salesperson, or leasing agent or holding himself or herself out
18as a licensed sponsoring broker, managing broker, real estate
19broker, real estate salesperson, or leasing agent without being
20issued a valid existing license is guilty of a Class A
21misdemeanor and on conviction of a second or subsequent offense
22the violator shall be guilty of a Class 4 felony.
23(Source: P.A. 96-856, eff. 12-31-09.)
24 (225 ILCS 454/20-85)

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1 (Section scheduled to be repealed on January 1, 2020)
2 Sec. 20-85. Recovery from Real Estate Recovery Fund. The
3Department shall maintain a Real Estate Recovery Fund from
4which any person aggrieved by an act, representation,
5transaction, or conduct of a licensee or unlicensed employee of
6a licensee that is in violation of this Act or the rules
7promulgated pursuant thereto, constitutes embezzlement of
8money or property, or results in money or property being
9unlawfully obtained from any person by false pretenses,
10artifice, trickery, or forgery or by reason of any fraud,
11misrepresentation, discrimination, or deceit by or on the part
12of any such licensee or the unlicensed employee of a licensee
13and that results in a loss of actual cash money, as opposed to
14losses in market value, may recover. The aggrieved person may
15recover, by a post-judgment order of the circuit court of the
16county where the violation occurred in a proceeding described
17in Section 20-90 of this Act, an amount of not more than
18$25,000 from the Fund for damages sustained by the act,
19representation, transaction, or conduct, together with costs
20of suit and attorney's fees incurred in connection therewith of
21not to exceed 15% of the amount of the recovery ordered paid
22from the Fund. However, no person licensee may recover from the
23Fund unless the court finds that the person suffered a loss
24resulting from intentional misconduct. The post-judgment order
25shall not include interest on the judgment. The maximum
26liability against the Fund arising out of any one act shall be

HB3332 Enrolled- 175 -LRB099 00381 MGM 20387 b
1as provided in this Section, and the post-judgment order shall
2spread the award equitably among all co-owners or otherwise
3aggrieved persons, if any. The maximum liability against the
4Fund arising out of the activities of any one licensee or one
5unlicensed employee of a licensee, since January 1, 1974, shall
6be $100,000. Nothing in this Section shall be construed to
7authorize recovery from the Fund unless the loss of the
8aggrieved person results from an act or omission of a licensee
9under this Act who was at the time of the act or omission
10acting in such capacity or was apparently acting in such
11capacity or their unlicensed employee and unless the aggrieved
12person has obtained a valid judgment and post-judgment order of
13the court as provided for in Section 20-90 of this Act. No
14person aggrieved by an act, representation, or transaction that
15is in violation of the Illinois Real Estate Time-Share Act or
16the Land Sales Registration Act of 1989 may recover from the
17Fund.
18(Source: P.A. 96-856, eff. 12-31-09; 97-1002, eff. 8-17-12.)
19 (225 ILCS 454/25-10)
20 (Section scheduled to be repealed on January 1, 2020)
21 Sec. 25-10. Real Estate Administration and Disciplinary
22Board; duties. There is created the Real Estate Administration
23and Disciplinary Board. The Board shall be composed of 9
24persons appointed by the Governor. Members shall be appointed
25to the Board subject to the following conditions:

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1 (1) All members shall have been residents and citizens
2 of this State for at least 6 years prior to the date of
3 appointment.
4 (2) Six members shall have been actively engaged as
5 managing brokers or brokers salespersons or both for at
6 least the 10 years prior to the appointment.
7 (3) Three members of the Board shall be public members
8 who represent consumer interests.
9 None of these members shall be (i) a person who is licensed
10under this Act or a similar Act of another jurisdiction, (ii)
11the spouse or family member of a licensee, (iii) a person who
12has an ownership interest in a real estate brokerage business,
13or (iv) a person the Department determines to have any other
14connection with a real estate brokerage business or a licensee.
15The members' terms shall be 4 years or until their successor is
16appointed, and the expiration of their terms shall be
17staggered. Appointments to fill vacancies shall be for the
18unexpired portion of the term. The membership of the Board
19should reasonably reflect the geographic distribution of the
20licensee population in this State. In making the appointments,
21the Governor shall give due consideration to the
22recommendations by members and organizations of the
23profession. The Governor may terminate the appointment of any
24member for cause that in the opinion of the Governor reasonably
25justifies the termination. Cause for termination shall include
26without limitation misconduct, incapacity, neglect of duty, or

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1missing 4 board meetings during any one calendar year. Each
2member of the Board may receive a per diem stipend in an amount
3to be determined by the Secretary. Each member shall be paid
4his or her necessary expenses while engaged in the performance
5of his or her duties. Such compensation and expenses shall be
6paid out of the Real Estate License Administration Fund. The
7Secretary shall consider the recommendations of the Board on
8questions involving standards of professional conduct,
9discipline, and examination of candidates under this Act. The
10Department, after notifying and considering the
11recommendations of the Board, if any, may issue rules,
12consistent with the provisions of this Act, for the
13administration and enforcement thereof and may prescribe forms
14that shall be used in connection therewith. Five Board members
15shall constitute a quorum. A quorum is required for all Board
16decisions.
17(Source: P.A. 98-1109, eff. 1-1-15.)
18 (225 ILCS 454/25-25)
19 (Section scheduled to be repealed on January 1, 2020)
20 Sec. 25-25. Real Estate Research and Education Fund. A
21special fund to be known as the Real Estate Research and
22Education Fund is created and shall be held in trust in the
23State Treasury. Annually, on September 15th, the State
24Treasurer shall cause a transfer of $125,000 to the Real Estate
25Research and Education Fund from the Real Estate License

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1Administration Fund. The Real Estate Research and Education
2Fund shall be administered by the Department. Money deposited
3in the Real Estate Research and Education Fund may be used for
4research and education at state institutions of higher
5education or other organizations for research and the
6advancement of education in the real estate industry. Of the
7$125,000 annually transferred into the Real Estate Research and
8Education Fund, $15,000 shall be used to fund a scholarship
9program for persons of minority racial origin who wish to
10pursue a course of study in the field of real estate. For the
11purposes of this Section, "course of study" means a course or
12courses that are part of a program of courses in the field of
13real estate designed to further an individual's knowledge or
14expertise in the field of real estate. These courses shall
15include without limitation courses that a salesperson licensed
16under this Act must complete to qualify for a real estate
17broker's license, courses that a broker licensed under this Act
18must complete to qualify for a managing broker's license,
19courses required to obtain the Graduate Realtors Institute
20designation, and any other courses or programs offered by
21accredited colleges, universities, or other institutions of
22higher education in Illinois. The scholarship program shall be
23administered by the Department or its designee. Moneys in the
24Real Estate Research and Education Fund may be invested and
25reinvested in the same manner as funds in the Real Estate
26Recovery Fund and all earnings, interest, and dividends

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1received from such investments shall be deposited in the Real
2Estate Research and Education Fund and may be used for the same
3purposes as moneys transferred to the Real Estate Research and
4Education Fund. Moneys in the Real Estate Research and
5Education Fund may be transferred to the Professions Indirect
6Cost Fund as authorized under Section 2105-300 of the
7Department of Professional Regulation Law of the Civil
8Administrative Code of Illinois.
9(Source: P.A. 96-856, eff. 12-31-09.)
10 (225 ILCS 454/30-15)
11 (Section scheduled to be repealed on January 1, 2020)
12 Sec. 30-15. Licensing of continuing education schools;
13approval of courses.
14 (a) Only continuing education schools in possession of a
15valid continuing education school license may provide real
16estate continuing education courses that will satisfy the
17requirements of this Act. Pre-license schools licensed to offer
18pre-license education courses for salespersons, brokers, and
19managing brokers, or leasing agents shall qualify for a
20continuing education school license upon completion of an
21application and the submission of the required fee. Every
22entity that desires to obtain a continuing education school
23license shall make application to the Department in writing in
24forms prescribed by the Department and pay the fee prescribed
25by rule. In addition to any other information required to be

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1contained in the application, every application for an original
2or renewed license shall include the applicant's Social
3Security number.
4 (b) The criteria for a continuing education license shall
5include the following:
6 (1) A sound financial base for establishing,
7 promoting, and delivering the necessary courses. Budget
8 planning for the School's courses should be clearly
9 projected.
10 (2) A sufficient number of qualified, licensed
11 instructors as provided by rule.
12 (3) Adequate support personnel to assist with
13 administrative matters and technical assistance.
14 (4) Maintenance and availability of records of
15 participation for licensees.
16 (5) The ability to provide each participant who
17 successfully completes an approved program with a
18 certificate of completion signed by the administrator of a
19 licensed continuing education school on forms provided by
20 the Department.
21 (6) The continuing education school must have a written
22 policy dealing with procedures for the management of
23 grievances and fee refunds.
24 (7) The continuing education school shall maintain
25 lesson plans and examinations for each course.
26 (8) The continuing education school shall require a 70%

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1 passing grade for successful completion of any continuing
2 education course.
3 (9) The continuing education school shall identify and
4 use instructors who will teach in a planned program.
5 Suggested criteria for instructor selections include:
6 (A) appropriate credentials;
7 (B) competence as a teacher;
8 (C) knowledge of content area; and
9 (D) qualification by experience.
10 (10) The continuing education school shall provide a
11 proctor or an electronic means of proctoring for each
12 examination. The continuing education school shall be
13 responsible for the conduct of the proctor. The duties and
14 responsibilities of a proctor shall be established by rule.
15 (11) The continuing education school must provide for
16 closed book examinations for each course unless the
17 Advisory Council excuses this requirement based on the
18 complexity of the course material.
19 (c) Advertising and promotion of continuing education
20activities must be carried out in a responsible fashion,
21clearly showing the educational objectives of the activity, the
22nature of the audience that may benefit from the activity, the
23cost of the activity to the participant and the items covered
24by the cost, the amount of credit that can be earned, and the
25credentials of the faculty.
26 (d) The Department may or upon request of the Advisory

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1Council shall, after notice, cause a continuing education
2school to attend an informal conference before the Advisory
3Council for failure to comply with any requirement for
4licensure or for failure to comply with any provision of this
5Act or the rules for the administration of this Act. The
6Advisory Council shall make a recommendation to the Board as a
7result of its findings at the conclusion of any such informal
8conference.
9 (e) All continuing education schools shall maintain these
10minimum criteria and pay the required fee in order to retain
11their continuing education school license.
12 (f) All continuing education schools shall submit, at the
13time of initial application and with each license renewal, a
14list of courses with course materials to be offered by the
15continuing education school. The Department, however, shall
16establish a mechanism whereby continuing education schools may
17apply for and obtain approval for continuing education courses
18that are submitted after the time of initial application or
19renewal. The Department shall provide to each continuing
20education school a certificate for each approved continuing
21education course. All continuing education courses shall be
22valid for the period coinciding with the term of license of the
23continuing education school. All continuing education schools
24shall provide a copy of the certificate of the continuing
25education course within the course materials given to each
26student or shall display a copy of the certificate of the

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1continuing education course in a conspicuous place at the
2location of the class.
3 (g) Each continuing education school shall provide to the
4Department a monthly report in a format determined by the
5Department, with information concerning students who
6successfully completed all approved continuing education
7courses offered by the continuing education school for the
8prior month.
9 (h) The Department, upon the recommendation of the Advisory
10Council, may temporarily suspend a licensed continuing
11education school's approved courses without hearing and refuse
12to accept successful completion of or participation in any of
13these continuing education courses for continuing education
14credit from that school upon the failure of that continuing
15education school to comply with the provisions of this Act or
16the rules for the administration of this Act, until such time
17as the Department receives satisfactory assurance of
18compliance. The Department shall notify the continuing
19education school of the noncompliance and may initiate
20disciplinary proceedings pursuant to this Act. The Department
21may refuse to issue, suspend, revoke, or otherwise discipline
22the license of a continuing education school or may withdraw
23approval of a continuing education course for good cause.
24Failure to comply with the requirements of this Section or any
25other requirements established by rule shall be deemed to be
26good cause. Disciplinary proceedings shall be conducted by the

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1Board in the same manner as other disciplinary proceedings
2under this Act.
3(Source: P.A. 96-856, eff. 12-31-09.)
4 (225 ILCS 454/35-5)
5 (Section scheduled to be repealed on January 1, 2020)
6 Sec. 35-5. Savings provisions.
7 (a) This Act is intended to replace the Real Estate License
8Act of 1983 in all respects.
9 (b) The Beginning December 31, 1999, the rights, powers,
10and duties exercised by the Office of Banks and Real Estate
11under the Real Estate License Act of 1983 shall continue to be
12vested in, be the obligation of, and shall be exercised by the
13Division of Real Estate of the Department of Financial and
14Professional Regulation Office of Banks and Real Estate under
15the provisions of this Act.
16 (c) This Act does not affect any act done, ratified, or
17cancelled, or any right occurring or established, or any action
18or proceeding had or commenced in an administrative, civil, or
19criminal cause before December 31, 1999, by the Office of Banks
20and Real Estate under the Real Estate License Act of 1983, and
21those actions or proceedings may be prosecuted and continued by
22the Division of Real Estate of the Department of Financial and
23Professional Regulation Office of Banks and Real Estate under
24this Act.
25 (d) This Act does not affect any license, certificate,

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1permit, or other form of licensure or authorization issued by
2the Office of Banks and Real Estate under the Real Estate
3License Act of 1983 or by the Division of Professional
4Regulation of the Department of Financial and Professional
5Regulation under this Act, and all such licenses, certificates,
6permits, or other form of licensure or authorization shall
7continue to be valid under the terms and conditions of this
8Act.
9 (e) The rules adopted by the Office of Banks and Real
10Estate relating to the Real Estate License Act of 1983, unless
11inconsistent with the provisions of this Act, are not affected
12by this Act, and on December 31, 1999 those rules become the
13rules under this Act. The Office of Banks and Real Estate
14shall, as soon as practicable, adopt new or amended rules
15consistent with the provisions of this Act.
16 (f) This Act does not affect any discipline, suspension, or
17termination taken under the Real Estate License Act of 1983 and
18that discipline, suspension, or termination shall be continued
19under this Act.
20 (g) This Act does not affect any appointments, term
21limitations, years served, or other matters relating to
22individuals serving on any board or council under the Real
23Estate License Act of 1983, and these appointments, term
24limitations, years served, and other matters shall be continued
25under this Act.
26(Source: P.A. 91-245, eff. 12-31-99.)

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1 (225 ILCS 454/5-46 rep.)
2 (225 ILCS 454/5-47 rep.)
3 Section 960. The Real Estate License Act of 2000 is amended
4by repealing Sections 5-46 and 5-47.
5 Section 965. The Professional Service Corporation Act is
6amended by changing Sections 2, 3.1, 3.2, 3.6, 12, 12.1, and 13
7and by adding Sections 13.5 and 15.5 as follows:
8 (805 ILCS 10/2) (from Ch. 32, par. 415-2)
9 Sec. 2. It is the legislative intent to provide for the
10incorporation of an individual or group of individuals to
11render the same professional service or related professional
12services to the public for which such individuals are required
13by law to be licensed or to obtain other legal authorization,
14while preserving the established professional aspects of the
15personal relationship between the professional person and
16those he or she serves professionally.
17(Source: P.A. 78-783.)
18 (805 ILCS 10/3.1) (from Ch. 32, par. 415-3.1)
19 Sec. 3.1. "Ancillary personnel" means such person acting in
20their customary capacities, employed by those rendering a
21professional service who:
22 (1) Are not licensed to engage in the category of

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1professional service for which a professional corporation was
2formed; and
3 (2) Work at the direction or under the supervision of those
4who are so licensed; and
5 (3) Do not hold themselves out to the public generally as
6being authorized to engage in the practice of the profession
7for which the corporation is licensed; and
8 (4) Are not prohibited by the regulating licensing
9authority, regulating the category of professional service
10rendered by the corporation from being so employed and includes
11clerks, secretaries, technicians and other assistants who are
12not usually and ordinarily considered by custom and practice to
13be rendering the professional services for which the
14corporation was formed.
15(Source: P.A. 77-565.)
16 (805 ILCS 10/3.2) (from Ch. 32, par. 415-3.2)
17 Sec. 3.2. "Regulating authority" means the State board,
18department, agency or the Supreme Court of Illinois (in the
19case of attorneys at law), the Department of Financial and
20Professional Regulation, or other State board, department, or
21agency having jurisdiction to grant a license to render the
22category of professional service for which a professional
23corporation has been organized, or the United States Patent
24Office, or the Internal Revenue Service of the United States
25Treasury Department.

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1(Source: P.A. 78-561.)
2 (805 ILCS 10/3.6) (from Ch. 32, par. 415-3.6)
3 Sec. 3.6. "Related professions" and "related professional
4services" mean more than one personal service which requires as
5a condition precedent to the rendering thereof the obtaining of
6a license and which prior to October 1, 1973 could not be
7performed by a corporation by reason of law; provided, however,
8that these terms shall be restricted to:
9 (1) a combination of 2 two or more of the following
10 personal services: (a) "architecture" as defined in
11 Section 5 of the Illinois Architecture Practice Act of
12 1989, (b) "professional engineering" as defined in Section
13 4 of the Professional Engineering Practice Act of 1989, (c)
14 "structural engineering" as defined in Section 5 of the
15 Structural Engineering Practice Act of 1989, (d) "land
16 surveying" as defined in Section 2 of the Illinois
17 Professional Land Surveyor Act of 1989; or
18 (2) a combination of the following personal services:
19 (a) the practice of medicine by persons licensed under the
20 Medical Practice Act of 1987, (b) the practice of podiatry
21 as defined in Section 5 of the Podiatric Medical Practice
22 Act of 1987, (c) the practice of dentistry as defined in
23 the Illinois Dental Practice Act, (d) the practice of
24 optometry as defined in the Illinois Optometric Practice
25 Act of 1987; .

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1 (3) a combination of 2 or more of the following
2 personal services: (a) the practice of clinical psychology
3 by persons licensed under the Clinical Psychologist
4 Licensing Act, (b) the practice of social work or clinical
5 social work by persons licensed under the Clinical Social
6 Work and Social Work Practice Act, (c) the practice of
7 marriage and family therapy by persons licensed under the
8 Marriage and Family Therapy Licensing Act, (d) the practice
9 of professional counseling or clinical professional
10 counseling by persons licensed under the Professional
11 Counselor and Clinical Professional Counselor Licensing
12 and Practice Act, or (e) the practice of sex offender
13 evaluations by persons licensed under the Sex Offender
14 Evaluation and Treatment Provider Act; or
15 (4) a combination of 2 or more of the following
16 personal services: (a) the practice of acupuncture by
17 persons licensed under the Acupuncture Practice Act, (b)
18 the practice of massage by persons licensed under the
19 Massage Licensing Act, (c) the practice of naprapathy by
20 persons licensed under the Naprapathic Practice Act, (d)
21 the practice of occupational therapy by persons licensed
22 under the Illinois Occupational Therapy Practice Act, or
23 (e) the practice of physical therapy by persons licensed
24 under the Illinois Physical Therapy Act.
25(Source: P.A. 95-738, eff. 1-1-09.)

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1 (805 ILCS 10/12) (from Ch. 32, par. 415-12)
2 Sec. 12. (a) No corporation shall open, operate or maintain
3an establishment for any of the purposes for which a
4corporation may be organized under this Act without a
5certificate of registration from the regulating authority
6authorized by law to license individuals to engage in the
7profession or related professions concerned. Application for
8such registration shall be made in writing, and shall contain
9the name and primary mailing address of the corporation, the
10name and address of the corporation's registered agent, the
11address of the practice location maintained by the corporation,
12each assumed name being used by the corporation, and such other
13information as may be required by the regulating authority. All
14official correspondence from the regulating authority shall be
15mailed to the primary mailing address of the corporation except
16that the corporation may elect to have renewal and non-renewal
17notices sent to the registered agent of the corporation. Upon
18receipt of such application, the regulating authority, or some
19administrative agency of government designated by it, shall
20make an investigation of the corporation. If the regulating
21authority is the Supreme Court it may designate the bar or
22legal association which investigates and prefers charges
23against lawyers to it for disciplining. If such authority finds
24that the incorporators, officers, directors and shareholders
25are each licensed pursuant to the laws of Illinois to engage in
26the particular profession or related professions involved

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1(except that the secretary of the corporation need not be so
2licensed), and if no disciplinary action is pending before it
3against any of them, and if it appears that the corporation
4will be conducted in compliance with the law and the
5regulations and rules of the regulating authority, such
6authority, shall issue, upon payment of a registration fee of
7$50, a certificate of registration.
8 A separate application shall be submitted for each business
9location in Illinois. If the corporation is using more than one
10fictitious or assumed name and has an address different from
11that of the parent company, a separate application shall be
12submitted for each fictitious or assumed name.
13 Upon written application of the holder, the regulating
14authority which originally issued the certificate of
15registration shall renew the certificate if it finds that the
16corporation has complied with its regulations and the
17provisions of this Act.
18 The fee for the renewal of a certificate of registration
19shall be calculated at the rate of $40 per year.
20 The certificate of registration shall be conspicuously
21posted upon the premises to which it is applicable, and the
22professional corporation shall have only those offices which
23are designated by street address in the articles of
24incorporation, or as changed by amendment of such articles. No
25certificate of registration shall be assignable.
26 (b) Moneys collected under this Section from a professional

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1corporation organized to practice law shall be deposited into
2the Supreme Court Special Purposes Fund.
3 (c) After the effective date of this amendatory Act of the
498th General Assembly, the amount of any fee collected under
5this Section from a professional corporation organized to
6practice law may be set by Supreme Court rule, except that the
7amount of the fees shall remain as set by statute until the
8Supreme Court adopts rules specifying a higher or lower fee
9amount.
10(Source: P.A. 98-324, eff. 10-1-13.)
11 (805 ILCS 10/12.1) (from Ch. 32, par. 415-12.1)
12 Sec. 12.1. Any corporation which on 2 occasions issues or
13delivers a check or other order to the Department of Financial
14and Professional Regulation which is not honored by the
15financial institution upon which it is drawn because of
16insufficient funds on account, shall pay to the Department, in
17addition to the amount owing upon such check or other order, a
18fee of $50. If such check or other order was issued or
19delivered in payment of a renewal fee and the corporation whose
20certificate of registration has lapsed continues to practice as
21a corporation without paying the renewal fee and the $50 fee
22required under this Section, an additional fee of $100 shall be
23imposed for practicing without a current license. The
24Department shall notify the corporation whose certificate of
25registration has lapsed, within 30 days after the discovery by

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1the Department that such corporation is operating without a
2current certificate, that the corporation is operating without
3a certificate, and of the amount due to the Department, which
4shall include the lapsed renewal fee and all other fees
5required by this Section. If after the expiration of 30 days
6from the date of such notification, the corporation whose
7certificate has lapsed seeks a current certificate, it shall
8thereafter apply to the Department for reinstatement of the
9certificate and pay all fees due to the Department. The
10Department may establish a fee for the processing of an
11application for reinstatement of a certificate which allows the
12Department to pay all costs and expenses incident to the
13processing of this application. The Director may waive the fees
14due under this Section in individual cases where he finds that
15in the particular case such fees would be unreasonable or
16unnecessarily burdensome.
17(Source: P.A. 85-1209.)
18 (805 ILCS 10/13) (from Ch. 32, par. 415-13)
19 Sec. 13. The regulating authority which issued the
20certificate of registration may suspend or revoke the
21certificate or may otherwise discipline the certificate holder
22it for any of the following reasons:
23 (a) The revocation or suspension of the license to practice
24the profession of any officer, director, shareholder or
25employee not promptly removed or discharged by the corporation;

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1(b) unethical professional conduct on the part of any officer,
2director, shareholder or employee not promptly removed or
3discharged by the corporation; (c) the death of the last
4remaining shareholder; (d) upon finding that the holder of a
5certificate has failed to comply with the provisions of this
6Act or the regulations prescribed by the regulating authority
7that issued it; or (e) the failure to file a return, or to pay
8the tax, penalty or interest shown in a filed return, or to pay
9any final assessment of tax, penalty or interest, as required
10by any tax Act administered by the Illinois Department of
11Revenue, until such time as the requirements of any such tax
12Act are satisfied.
13 Before any certificate of registration is suspended or
14revoked, the holder shall be given written notice of the
15proposed action and the reasons therefor, and shall provide a
16public hearing by the regulating authority, with the right to
17produce testimony and other evidence concerning the charges
18made. The notice shall also state the place and date of the
19hearing which shall be at least 10 days after service of said
20notice.
21 All orders of regulating authorities denying an
22application for a certificate of registration, or suspending or
23revoking a certificate of registration, or imposing a civil
24penalty shall be subject to judicial review pursuant to the
25provisions of the Administrative Review Law, as now or
26hereafter amended, and the rules adopted pursuant thereto then

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1in force.
2 The proceedings for judicial review shall be commenced in
3the circuit court of the county in which the party applying for
4review is located. If the party is not currently located in
5Illinois, the venue shall be in Sangamon County. The regulating
6authority shall not be required to certify any record to the
7court or file any answer in court or otherwise appear in any
8court in a judicial review proceeding, unless and until the
9regulating authority has received from the plaintiff payment of
10the costs of furnishing and certifying the record, which costs
11shall be determined by the regulating authority. Exhibits shall
12be certified without cost. Failure on the part of the plaintiff
13to file a receipt in court is grounds for dismissal of the
14action.
15(Source: P.A. 85-1222.)
16 (805 ILCS 10/13.5 new)
17 Sec. 13.5. Notice of violation. Whenever the regulating
18authority has reason to believe a corporation has opened,
19operated, or maintained an establishment for any of the
20purposes for which a corporation may be organized under this
21Act without a certificate of registration from the regulating
22authority authorized by law to license individuals to engage in
23the profession or related professions, the regulating
24authority may issue a notice of violation to the corporation.
25The notice of violation shall provide a period of 30 days from

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1the date of the notice to either file an answer to the
2satisfaction of the regulating authority or submit an
3application for registration in compliance with this Act,
4including payment of the $50 application fee and a late fee of
5$100 for each year that the corporation opened, operated, or
6maintained an establishment for any of the purposes for which a
7corporation may be organized under this Act without having been
8issued a certificate of registration, with a maximum late fee
9of $500. If the corporation that is the subject of the notice
10of violation fails to respond, fails to respond to the
11satisfaction of the regulating authority, or fails to submit an
12application for registration, the regulating authority may
13institute disciplinary proceedings against the corporation and
14may impose a civil penalty up to $1,000 for violation of this
15Act after affording the corporation a hearing in conformance
16with the requirements of this Act.
17 (805 ILCS 10/15.5 new)
18 Sec. 15.5. Confidentiality. All information collected by
19the regulating authority in the course of an examination or
20investigation of a holder of a certificate of registration or
21an applicant, including, but not limited to, any complaint
22against a holder of a certificate of registration filed with
23the regulating authority and information collected to
24investigate any such complaint, shall be maintained for the
25confidential use of the regulating authority and shall not be

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1disclosed. The regulating authority may not disclose the
2information to anyone other than law enforcement officials,
3other regulatory agencies that have an appropriate regulatory
4interest as determined by the regulating authority, or a party
5presenting a lawful subpoena to the regulating authority.
6Information and documents disclosed to a federal, State,
7county, or local law enforcement agency shall not be disclosed
8by the agency for any purpose to any other agency or person. A
9formal complaint filed against a holder of a certificate of
10registration or an applicant shall be a public record, except
11as otherwise prohibited by law.
12 Section 970. The Medical Corporation Act is amended by
13changing Sections 2, 5, 5.1, 8, 10, 11, 12, 13, and 15 and by
14adding Sections 13.5 and 16.5 as follows:
15 (805 ILCS 15/2) (from Ch. 32, par. 632)
16 Sec. 2. One or more persons licensed pursuant to the
17Medical Practice Act of 1987, as heretofore or hereafter
18amended, may form a corporation pursuant to the "Business
19Corporation Act of 1983", as amended, to own, operate and
20maintain an establishment for the study, diagnosis and
21treatment of human ailments and injuries, whether physical or
22mental, and to promote medical, surgical and scientific
23research and knowledge; provided that medical or surgical
24treatment, consultation or advice may be given by shareholders,

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1directors, officers, agents, and employees of the corporation
2only if they are licensed pursuant to the Medical Practice Act
3of 1987; and provided further, however, that nothing herein
4shall prohibit an attorney licensed to practice law in Illinois
5from signing and acting as initial incorporator on behalf of
6such corporation.
7(Source: P.A. 85-1209.)
8 (805 ILCS 15/5) (from Ch. 32, par. 635)
9 Sec. 5. No corporation shall open, operate or maintain an
10establishment for any of the purposes set forth in Section 2 of
11this Act without a certificate of registration from the
12Department of Financial and Professional Regulation,
13hereinafter called the Department. Application for such
14registration shall be made to the Department in writing and
15shall contain the name and primary mailing address of the
16corporation, the name and address of the corporation's
17registered agent, the address of the practice location
18maintained by the corporation, each assumed name being used by
19the corporation, and such other information as may be required
20by the Department. All official correspondence from the
21Department shall be mailed to the primary mailing address of
22the corporation except that the corporation may elect to have
23renewal and non-renewal notices sent to the registered agent of
24the corporation. A separate application shall be submitted for
25each business location in Illinois. If the corporation is using

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1more than one fictitious or assumed name and has an address
2different from that of the parent company, a separate
3application shall be submitted for each fictitious or assumed
4name. Upon receipt of such application, the Department shall
5make an investigation of the corporation. If the Department
6finds that the incorporators, officers, directors and
7shareholders are all licensed pursuant to the Medical Practice
8Act of 1987 and if no disciplinary action is pending before the
9Department against any of them, and if it appears that the
10corporation will be conducted in compliance with law and the
11regulations of the Department, the Department shall issue, upon
12payment of a registration fee of $50, a certificate of
13registration.
14(Source: P.A. 85-1209.)
15 (805 ILCS 15/5.1)
16 Sec. 5.1. Deposit of fees and fines. Beginning July 1,
172003, all of the fees, civil penalties, and fines collected
18under this Act shall be deposited into the General Professions
19Dedicated Fund.
20(Source: P.A. 93-32, eff. 7-1-03.)
21 (805 ILCS 15/8) (from Ch. 32, par. 638)
22 Sec. 8. In the event of a change of location of the
23registered establishment, the corporation shall notify the
24Department, in accordance with its regulations, and the

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1Department shall amend the certificate of registration so that
2it shall apply to the new location.
3(Source: Laws 1963, p. 3513.)
4 (805 ILCS 15/10) (from Ch. 32, par. 640)
5 Sec. 10. The Department may suspend or revoke any
6certificate of registration or may otherwise discipline the
7certificate holder for any of the following reasons: (a) the
8revocation or suspension of the license to practice medicine of
9any officer, director, shareholder or employee not promptly
10removed or discharged by the corporation; (b) unethical
11professional conduct on the part of any officer, director,
12shareholder or employee not promptly removed or discharged by
13the corporation; (c) the death of the last remaining
14shareholder; or (d) upon finding that the holder of a
15certificate has failed to comply with the provisions of this
16Act or the regulations prescribed by the Department.
17 The Department may refuse to issue or renew or may suspend
18the certificate of any corporation which fails to file a
19return, or to pay the tax, penalty or interest shown in a filed
20return, or to pay any final assessment of tax, penalty or
21interest, as required by any tax Act administered by the
22Illinois Department of Revenue, until such time as the
23requirements of any such tax Act are satisfied.
24(Source: P.A. 85-1222.)

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1 (805 ILCS 15/11) (from Ch. 32, par. 641)
2 Sec. 11. Before any certificate of registration is
3suspended or revoked, the holder shall be given written notice
4of the proposed action and the reasons therefor, and shall be
5given a public hearing by the Department with the right to
6produce testimony concerning the charges made. The notice shall
7also state the place and date of the hearing which shall be at
8least 10 5 days after service of said notice.
9(Source: Laws 1963, p. 3513.)
10 (805 ILCS 15/12) (from Ch. 32, par. 642)
11 Sec. 12. The provisions of the Administrative Review Law,
12as heretofore or hereafter amended, and all rules adopted
13pursuant thereto, shall apply to and govern all proceedings for
14the judicial review of final administrative decisions of the
15Department hereunder. The term "administrative decision" is
16defined as in Section 3-101 of the Code of Civil Procedure.
17 The proceedings for judicial review shall be commenced in
18the circuit court of the county in which the party applying for
19review is located. If the party is not currently located in
20Illinois, the venue shall be in Sangamon County. The Department
21shall not be required to certify any record to the court or
22file any answer in court or otherwise appear in any court in a
23judicial review proceeding, unless and until the Department has
24received from the plaintiff payment of the costs of furnishing
25and certifying the record, which costs shall be determined by

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1the Department. Exhibits shall be certified without cost.
2Failure on the part of the plaintiff to file a receipt in court
3is grounds for dismissal of the action.
4(Source: P.A. 82-783.)
5 (805 ILCS 15/13) (from Ch. 32, par. 643)
6 Sec. 13. (a) All of the officers, directors and
7shareholders of a corporation subject to this Act shall at all
8times be persons licensed pursuant to the Medical Practice Act
9of 1987. No person who is not so licensed shall have any part
10in the ownership, management, or control of such corporation,
11nor may any proxy to vote any shares of such corporation be
12given to a person who is not so licensed. Notwithstanding any
13provisions to the contrary in the "Business Corporation Act of
141983", as now or hereafter amended, if all of the shares of a
15corporation subject to this Act are owned by one shareholder,
16the office of president and secretary may be held by the same
17person.
18 (b) No corporation may issue any of its capital stock to
19anyone other than an individual who is duly licensed under the
20Medical Practice Act of 1987. No shareholder shall enter into a
21voting trust agreement or any other type of agreement vesting
22another person with the authority to exercise the voting power
23of any of his or her stock.
24 (c) A corporation may, for purposes of dissolution, have as
25its shareholders, directors, officers, agents, and employees

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1individuals who are not licensed under the Medical Practice Act
2of 1987, provided that the corporation does not render any
3medical services nor hold itself out as capable of or available
4to render medical services during the period of dissolution.
5The Department shall not issue or renew any certificate of
6authority to a corporation during the period of dissolution. A
7copy of the certificate of dissolution, as issued by the
8Secretary of State, shall be delivered to the Department within
930 days after its receipt by the incorporators.
10(Source: P.A. 85-1209.)
11 (805 ILCS 15/13.5 new)
12 Sec. 13.5. Notice of violation. Whenever the Department has
13reason to believe a corporation has opened, operated, or
14maintained an establishment for any of the purposes for which a
15corporation may be organized under this Act without a
16certificate of registration from the Department, the
17Department may issue a notice of violation to the corporation.
18The notice of violation shall provide a period of 30 days from
19the date of the notice to either file an answer to the
20satisfaction of the Department or submit an application for
21registration in compliance with this Act, including payment of
22the $50 application fee and a late fee of $100 for each year
23that the corporation opened, operated, or maintained an
24establishment for any of the purposes for which a corporation
25may be organized under this Act without having been issued a

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1certification of registration, with a maximum late fee of $500.
2If the corporation that is the subject of the notice of
3violation fails to respond, fails to respond to the
4satisfaction of the Department, or fails to submit an
5application for registration, the Department may institute
6disciplinary proceedings against the corporation and may
7impose a civil penalty up to $1,000 for violation of this Act
8after affording the corporation a hearing in conformance with
9the requirements of this Act.
10 (805 ILCS 15/15) (from Ch. 32, par. 645)
11 Sec. 15. Each individual shareholder, director, officer,
12agent, or employee licensed pursuant to the Medical Practice
13Act of 1987 who is employed by a corporation subject to this
14Act shall remain subject to reprimand or discipline for his
15conduct under the provisions of the Medical Practice Act of
161987.
17(Source: P.A. 85-1209.)
18 (805 ILCS 15/16.5 new)
19 Sec. 16.5. Confidentiality. All information collected by
20the Department in the course of an examination or investigation
21of a holder of a certificate of registration or an applicant,
22including, but not limited to, any complaint against a holder
23of a certificate of registration filed with the Department and
24information collected to investigate any such complaint, shall

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1be maintained for the confidential use of the Department and
2shall not be disclosed. The Department may not disclose the
3information to anyone other than law enforcement officials,
4other regulatory agencies that have an appropriate regulatory
5interest as determined by the Secretary, or a party presenting
6a lawful subpoena to the Department. Information and documents
7disclosed to a federal, State, county, or local law enforcement
8agency shall not be disclosed by the agency for any purpose to
9any other agency or person. A formal complaint filed against a
10holder of a certificate of registration by the Department or
11any order issued by the Department against a holder of a
12certificate of registration or an applicant shall be a public
13record, except as otherwise prohibited by law.
14 Section 975. The Limited Liability Company Act is amended
15by changing Sections 1-10, 1-25, 1-28, 5-5, and 5-55 as
16follows:
17 (805 ILCS 180/1-10)
18 Sec. 1-10. Limited liability company name.
19 (a) The name of each limited liability company or foreign
20limited liability company organized, existing, or subject to
21the provisions of this Act:
22 (1) shall contain the terms "limited liability
23 company", "L.L.C.", or "LLC", or, if organized as a
24 low-profit limited liability company under Section 1-26 of

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1 this Act, shall contain the term "L3C";
2 (2) may not contain a word or phrase, or an
3 abbreviation or derivation thereof, the use of which is
4 prohibited or restricted by any other statute of this State
5 unless the restriction has been complied with;
6 (3) shall consist of letters of the English alphabet,
7 Arabic or Roman numerals, or symbols capable of being
8 readily reproduced by the Office of the Secretary of State;
9 (4) shall not contain any of the following terms:
10 "Corporation," "Corp.," "Incorporated," "Inc.," "Ltd.,"
11 "Co.," "Limited Partnership" or "L.P.";
12 (5) shall be the name under which the limited liability
13 company transacts business in this State unless the limited
14 liability company also elects to adopt an assumed name or
15 names as provided in this Act; provided, however, that the
16 limited liability company may use any divisional
17 designation or trade name without complying with the
18 requirements of this Act, provided the limited liability
19 company also clearly discloses its name;
20 (6) shall not contain any word or phrase that indicates
21 or implies that the limited liability company is authorized
22 or empowered to be in the business of a corporate fiduciary
23 unless otherwise permitted by the Secretary of Financial
24 and Professional Regulation Commissioner of the Office of
25 Banks and Real Estate under Section 1-9 of the Corporate
26 Fiduciary Act. The word "trust", "trustee", or "fiduciary"

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1 may be used by a limited liability company only if it has
2 first complied with Section 1-9 of the Corporate Fiduciary
3 Act; and
4 (7) shall contain the word "trust", if it is a limited
5 liability company organized for the purpose of accepting
6 and executing trusts. ; and
7 (8) shall not, as to any limited liability company
8 organized or amending its company name on or after April 3,
9 2009 (the effective date of Public Act 96-7), without the
10 express written consent of the United States Olympic
11 Committee, contain the words: (i) "Olympic"; (ii)
12 "Olympiad"; (iii) "Paralympic"; (iv) "Paralympiad"; (v)
13 "Citius Altius Fortius"; or (vi) "CHICOG".
14 (b) Nothing in this Section or Section 1-20 shall abrogate
15or limit the common law or statutory law of unfair competition
16or unfair trade practices, nor derogate from the common law or
17principles of equity or the statutes of this State or of the
18United States of America with respect to the right to acquire
19and protect copyrights, trade names, trademarks, service
20marks, service names, or any other right to the exclusive use
21of names or symbols.
22 (c) (Blank).
23 (d) The name shall be distinguishable upon the records in
24the Office of the Secretary of State from all of the following:
25 (1) Any limited liability company that has articles of
26 organization filed with the Secretary of State under

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1 Section 5-5.
2 (2) Any foreign limited liability company admitted to
3 transact business in this State.
4 (3) Any name for which an exclusive right has been
5 reserved in the Office of the Secretary of State under
6 Section 1-15.
7 (4) Any assumed name that is registered with the
8 Secretary of State under Section 1-20.
9 (5) Any corporate name or assumed corporate name of a
10 domestic or foreign corporation subject to the provisions
11 of Section 4.05 of the Business Corporation Act of 1983 or
12 Section 104.05 of the General Not For Profit Corporation
13 Act of 1986.
14 (e) The provisions of subsection (d) of this Section shall
15not apply if the organizer files with the Secretary of State a
16certified copy of a final decree of a court of competent
17jurisdiction establishing the prior right of the applicant to
18the use of that name in this State.
19 (f) The Secretary of State shall determine whether a name
20is "distinguishable" from another name for the purposes of this
21Act. Without excluding other names that may not constitute
22distinguishable names in this State, a name is not considered
23distinguishable, for purposes of this Act, solely because it
24contains one or more of the following:
25 (1) The word "limited", "liability" or "company" or an
26 abbreviation of one of those words.

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1 (2) Articles, conjunctions, contractions,
2 abbreviations, or different tenses or number of the same
3 word.
4(Source: P.A. 98-720, eff. 7-16-14.)
5 (805 ILCS 180/1-25)
6 Sec. 1-25. Nature of business.
7 (a) A limited liability company may be formed for any
8lawful purpose or business except:
9 (1) (blank);
10 (2) insurance unless, for the purpose of carrying on
11 business as a member of a group including incorporated and
12 individual unincorporated underwriters, the Director of
13 Insurance finds that the group meets the requirements of
14 subsection (3) of Section 86 of the Illinois Insurance Code
15 and the limited liability company, if insolvent, is subject
16 to liquidation by the Director of Insurance under Article
17 XIII of the Illinois Insurance Code;
18 (3) the practice of dentistry unless all the members
19 and managers are licensed as dentists under the Illinois
20 Dental Practice Act; or
21 (4) the practice of medicine unless all the managers,
22 if any, are licensed to practice medicine under the Medical
23 Practice Act of 1987 and each member is either:
24 (A) licensed to practice medicine under the
25 Medical Practice Act of 1987; or

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1 (B) a registered medical corporation or
2 corporations organized pursuant to the Medical
3 Corporation Act; or
4 (C) a professional corporation organized pursuant
5 to the Professional Service Corporation Act of
6 physicians licensed to practice under the Medical
7 Practice Act of 1987; or
8 (C-5) a hospital or hospital affiliate as defined
9 in Section 10.8 of the Hospital Licensing Act; or
10 (D) a limited liability company that satisfies the
11 requirements of subparagraph (A), (B), or (C), or
12 (C-5); .
13 (5) the practice of real estate unless all the
14 managers, if any, or every member in a member-managed
15 company are licensed to practice as a managing broker or
16 broker pursuant to the Real Estate License Act of 2000;
17 (6) the practice of clinical psychology unless all the
18 managers and members are licensed to practice as a clinical
19 psychologist under the Clinical Psychologist Licensing
20 Act;
21 (7) the practice of social work unless all the managers
22 and members are licensed to practice as a clinical social
23 worker or social worker under the Clinical Social Work and
24 Social Work Practice Act;
25 (8) the practice of marriage and family therapy unless
26 all the managers and members are licensed to practice as a

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1 marriage and family therapist under the Marriage and Family
2 Therapy Licensing Act;
3 (9) the practice of professional counseling unless all
4 the managers and members are licensed to practice as a
5 clinical professional counselor or a professional
6 counselor under the Professional Counselor and Clinical
7 Professional Counselor Licensing and Practice Act;
8 (10) the practice of sex offender evaluations unless
9 all the managers and members are licensed to practice as a
10 sex offender evaluator under the Sex Offender Evaluation
11 and Treatment Provider Act; or
12 (11) the practice of veterinary medicine unless all the
13 managers and members are licensed to practice as a
14 veterinarian under the Veterinary Medicine and Surgery
15 Practice Act of 2004.
16 (b) Notwithstanding any provision of this Section, any of
17the following professional services may be combined and offered
18within a single company provided that each professional service
19is only offered by persons licensed to provide that
20professional service and all managers and members are licensed
21in at least one of the professional services offered by the
22company:
23 (1) the practice of medicine by physicians licensed
24 under the Medical Practice Act of 1987, the practice of
25 podiatry by podiatrists licensed under the Podiatric
26 Medical Practice Act of 1987, the practice of dentistry by

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1 dentists licensed under the Illinois Dental Practice Act,
2 and the practice of optometry by optometrists licensed
3 under the Illinois Optometric Practice Act of 1987; or
4 (2) the practice of clinical psychology by clinical
5 psychologists licensed under the Clinical Psychologist
6 Licensing Act, the practice of social work by clinical
7 social workers or social workers licensed under the
8 Clinical Social Work and Social Work Practice Act, the
9 practice of marriage and family counseling by marriage and
10 family therapists licensed under the Marriage and Family
11 Therapy Licensing Act, the practice of professional
12 counseling by professional counselors and clinical
13 professional counselors licensed under the Professional
14 Counselor and Clinical Professional Counselor Licensing
15 and Practice Act, and the practice of sex offender
16 evaluations by sex offender evaluators licensed under the
17 Sex Offender Evaluation and Treatment Provider Act.
18 (c) Professional limited liability companies may be
19organized under this Act.
20(Source: P.A. 95-331, eff. 8-21-07; 95-738, eff. 1-1-09.)
21 (805 ILCS 180/1-28)
22 Sec. 1-28. Certificate of Registration; Department of
23Financial and Professional Regulation. This Section applies
24only to a limited liability company that intends to provide, or
25does provide, professional services that require the

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1individuals engaged in the profession to be licensed by the
2Department of Financial and Professional Regulation. A limited
3liability company covered by this Section shall not open,
4operate, or maintain an establishment for any of the purposes
5for which a limited liability company may be organized under
6this Act without obtaining a certificate of registration from
7the Department pursuant to the Professional Limited Liability
8Company Act.
9 Application for such registration shall be made in writing
10and shall contain the name and address of the limited liability
11company and such other information as may be required by the
12Department. Upon receipt of such application, the Department
13shall make an investigation of the limited liability company.
14If the Department finds that the organizers, managers, and
15members are each licensed pursuant to the laws of Illinois to
16engage in the particular profession or related professions
17involved (except that an initial organizer may be a licensed
18attorney) and if no disciplinary action is pending before the
19Department against any of them and if it appears that the
20limited liability company will be conducted in compliance with
21the law and the rules and regulations of the Department, the
22Department shall issue, upon payment of a registration fee of
23$50, a certificate of registration.
24 Upon written application of the holder, the Department
25shall renew the certificate if it finds that the limited
26liability company has complied with its regulations and the

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1provisions of this Act and the applicable licensing Act. This
2fee for the renewal of a certificate of registration shall be
3calculated at the rate of $40 per year. The certificate of
4registration shall be conspicuously posted upon the premises to
5which it is applicable, and the limited liability company shall
6have only those offices which are designated by street address
7in the articles of organization, or as changed by amendment of
8such articles. A certificate of registration shall not be
9assignable.
10 All fees collected under this Section shall be deposited
11into the General Professions Dedicated Fund.
12(Source: P.A. 96-679, eff. 8-25-09; 96-984, eff. 1-1-11;
1396-1000, eff. 7-2-10.)
14 (805 ILCS 180/5-5)
15 Sec. 5-5. Articles of organization.
16 (a) The articles of organization shall set forth all of the
17following:
18 (1) The name of the limited liability company and the
19 address of its principal place of business which may, but
20 need not be a place of business in this State.
21 (2) The purposes for which the limited liability
22 company is organized, which may be stated to be, or to
23 include, the transaction of any or all lawful businesses
24 for which limited liability companies may be organized
25 under this Act.

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1 (3) The name of its registered agent and the address of
2 its registered office.
3 (4) If the limited liability company is to be managed
4 by a manager or managers, the names and business addresses
5 of the initial manager or managers.
6 (5) If management of the limited liability company is
7 to be vested in the members under Section 15-1, then the
8 names and addresses of the initial member or members.
9 (5.5) The duration of the limited liability company,
10 which shall be perpetual unless otherwise stated.
11 (6) (Blank).
12 (7) The name and address of each organizer.
13 (8) Any other provision, not inconsistent with law,
14 that the members elect to set out in the articles of
15 organization for the regulation of the internal affairs of
16 the limited liability company, including any provisions
17 that, under this Act, are required or permitted to be set
18 out in the operating agreement of the limited liability
19 company.
20 (b) A limited liability company is organized at the time
21articles of organization are filed by the Secretary of State or
22at any later time, not more than 60 days after the filing of
23the articles of organization, specified in the articles of
24organization.
25 (c) Articles of organization for the organization of a
26limited liability company for the purpose of accepting and

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1executing trusts shall not be filed by the Secretary of State
2until there is delivered to him or her a statement executed by
3the Secretary of Financial and Professional Regulation
4Commissioner of the Office of Banks and Real Estate that the
5organizers of the limited liability company have made
6arrangements with the Secretary of Financial and Professional
7Regulation Commissioner of the Office of Banks and Real Estate
8to comply with the Corporate Fiduciary Act.
9 (d) Articles of organization for the organization of a
10limited liability company as a bank or a savings bank must be
11filed with the Department of Financial and Professional
12Regulation Commissioner of Banks and Real Estate or, if the
13bank or savings bank will be organized under federal law, with
14the appropriate federal banking regulator.
15(Source: P.A. 98-171, eff. 8-5-13.)
16 (805 ILCS 180/5-55)
17 Sec. 5-55. Filing in Office of Secretary of State.
18 (a) Whenever any provision of this Act requires a limited
19liability company to file any document with the Office of the
20Secretary of State, the requirement means that:
21 (1) the original document, executed as described in
22 Section 5-45, and, if required by this Act to be filed in
23 duplicate, one copy (which may be a signed carbon or
24 photocopy) shall be delivered to the Office of the
25 Secretary of State;

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1 (2) all fees and charges authorized by law to be
2 collected by the Secretary of State in connection with the
3 filing of the document shall be tendered to the Secretary
4 of State; and
5 (3) unless the Secretary of State finds that the
6 document does not conform to law, he or she shall, when all
7 fees have been paid:
8 (A) endorse on the original and on the copy the
9 word "Filed" and the month, day, and year of the filing
10 thereof;
11 (B) file in his or her office the original of the
12 document; and
13 (C) return the copy to the person who filed it or
14 to that person's representative.
15 (b) If another Section of this Act specifically prescribes
16a manner of filing or signing a specified document that differs
17from the corresponding provisions of this Section, then the
18provisions of the other Section shall govern.
19 (c) Whenever any provision of this Act requires a limited
20liability company that is a bank or a savings bank to file any
21document, that requirement means that the filing shall be made
22exclusively with the Department of Financial and Professional
23Regulation Commissioner of Banks and Real Estate or, if the
24bank or savings bank is organized under federal law, with the
25appropriate federal banking regulator at such times and in such
26manner as required by the Department Commissioner or federal

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1regulator.
2(Source: P.A. 92-33, eff. 7-1-01; 93-561, eff. 1-1-04.)