100TH GENERAL ASSEMBLY
State of Illinois
2017 and 2018
SB1821

 

Introduced 2/9/2017, by Sen. Pamela J. Althoff

 

SYNOPSIS AS INTRODUCED:
 
See Index

    Repeals the Genetic Counselor Licensing Act, the Illinois Landscape Architecture Act of 1989, the Illinois Athlete Agents Act, the Electrologist Licensing Act, the Detection of Deception Examiners Act, the Professional Geologist Licensing Act, the Land Sales Registration Act of 1999, and the Real Estate Timeshare Act of 1999. Makes conforming changes in the Regulatory Sunset Act and throughout the statutes. Amends the Auction License Act. Repeals provisions requiring Internet auction listing services to be registered with the Department of Financial and Professional Regulation and makes conforming changes. Moves definitions of "Internet auction listing service" and "interactive computer service" to provisions concerning definitions. Effective immediately.


LRB100 09678 SMS 19847 b

FISCAL NOTE ACT MAY APPLY

 

 

A BILL FOR

 

SB1821LRB100 09678 SMS 19847 b

1    AN ACT concerning regulation.
 
2    Be it enacted by the People of the State of Illinois,
3represented in the General Assembly:
 
4    Section 5. The Regulatory Sunset Act is amended by changing
5Sections 4.30, 4.32, 4.34, and 4.36 as follows:
 
6    (5 ILCS 80/4.30)
7    Sec. 4.30. Acts repealed on January 1, 2020. The following
8Acts are repealed on January 1, 2020:
9    The Auction License Act.
10    The Community Association Manager Licensing and
11Disciplinary Act.
12    The Illinois Architecture Practice Act of 1989.
13    The Illinois Landscape Architecture Act of 1989.
14    The Illinois Professional Land Surveyor Act of 1989.
15    The Land Sales Registration Act of 1999.
16    The Orthotics, Prosthetics, and Pedorthics Practice Act.
17    The Perfusionist Practice Act.
18    The Professional Engineering Practice Act of 1989.
19    The Real Estate License Act of 2000.
20    The Structural Engineering Practice Act of 1989.
21(Source: P.A. 96-610, eff. 8-24-09; 96-626, eff. 8-24-09;
2296-682, eff. 8-25-09; 96-726, eff. 7-1-10; 96-730, eff.
238-25-09; 96-855, eff. 12-31-09; 96-856, eff. 12-31-09;

 

 

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196-1000, eff. 7-2-10.)
 
2    (5 ILCS 80/4.32)
3    Sec. 4.32. Acts repealed on January 1, 2022. The following
4Acts are repealed on January 1, 2022:
5    The Boxing and Full-contact Martial Arts Act.
6    The Collateral Recovery Act.
7    The Detection of Deception Examiners Act.
8    The Home Inspector License Act.
9    The Interior Design Title Act.
10    The Massage Licensing Act.
11    The Petroleum Equipment Contractors Licensing Act.
12    The Real Estate Appraiser Licensing Act of 2002.
13    The Water Well and Pump Installation Contractor's License
14Act.
15(Source: P.A. 97-24, eff. 6-28-11; 97-119, eff. 7-14-11;
1697-168, eff. 7-22-11; 97-226, eff. 7-28-11; 97-428, eff.
178-16-11; 97-514, eff. 8-23-11; 97-576, eff. 7-1-12; 97-598,
18eff. 8-26-11; 97-602, eff. 8-26-11; 97-813, eff. 7-13-12.)
 
19    (5 ILCS 80/4.34)
20    Sec. 4.34. Acts and Section repealed on January 1, 2024.
21The following Acts and Section of an Act are repealed on
22January 1, 2024:
23        The Electrologist Licensing Act.
24        The Illinois Certified Shorthand Reporters Act of

 

 

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1    1984.
2        The Illinois Occupational Therapy Practice Act.
3        The Illinois Public Accounting Act.
4        The Private Detective, Private Alarm, Private
5    Security, Fingerprint Vendor, and Locksmith Act of 2004.
6        The Registered Surgical Assistant and Registered
7    Surgical Technologist Title Protection Act.
8        Section 2.5 of the Illinois Plumbing License Law.
9        The Veterinary Medicine and Surgery Practice Act of
10    2004.
11(Source: P.A. 98-140, eff. 12-31-13; 98-253, eff. 8-9-13;
1298-254, eff. 8-9-13; 98-264, eff. 12-31-13; 98-339, eff.
1312-31-13; 98-363, eff. 8-16-13; 98-364, eff. 12-31-13; 98-445,
14eff. 12-31-13; 98-756, eff. 7-16-14.)
 
15    (5 ILCS 80/4.36)
16    Sec. 4.36. Acts repealed on January 1, 2026. The following
17Acts are repealed on January 1, 2026:
18    The Barber, Cosmetology, Esthetics, Hair Braiding, and
19Nail Technology Act of 1985.
20    The Collection Agency Act.
21    The Hearing Instrument Consumer Protection Act.
22    The Illinois Athletic Trainers Practice Act.
23    The Illinois Dental Practice Act.
24    The Illinois Roofing Industry Licensing Act.
25    The Illinois Physical Therapy Act.

 

 

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1    The Professional Geologist Licensing Act.
2    The Respiratory Care Practice Act.
3(Source: P.A. 99-26, eff. 7-10-15; 99-204, eff. 7-30-15;
499-227, eff. 8-3-15; 99-229, eff. 8-3-15; 99-230, eff. 8-3-15;
599-427, eff. 8-21-15; 99-469, eff. 8-26-15; 99-492, eff.
612-31-15; 99-642, eff. 7-28-16.)
 
7    (5 ILCS 80/4.35 rep.)
8    Section 10. The Regulatory Sunset Act is amended by
9repealing Section 4.35.
 
10    Section 15. The Park District Code is amended by changing
11Section 8-50 as follows:
 
12    (70 ILCS 1205/8-50)
13    Sec. 8-50. Definitions. For the purposes of Sections 8-50
14through 8-57, the following terms shall have the following
15meanings, unless the context requires a different meaning:
16    "Delivery system" means the design and construction
17approach used to develop and construct a project.
18    "Design-bid-build" means the traditional delivery system
19used on public projects that incorporates the Local Government
20Professional Services Selection Act and the principles of
21competitive selection.
22    "Design-build" means a delivery system that provides
23responsibility within a single contract for the furnishing of

 

 

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1architecture, engineering, land surveying, and related
2services as required, and the labor, materials, equipment, and
3other construction services for the project.
4    "Design-build contract" means a contract for a public
5project under this Act between any park district and a
6design-build entity to furnish architecture, engineering, land
7surveying, landscape architecture, and related services as
8required, and to furnish the labor, materials, equipment, and
9other construction services for the project. The design-build
10contract may be conditioned upon subsequent refinements in
11scope and price and may allow the park district to make
12modifications in the project scope without invalidating the
13design-build contract.
14    "Design-build entity" means any individual, sole
15proprietorship, firm, partnership, joint venture, corporation,
16professional corporation, or other entity that proposes to
17design and construct any public project under this Act. A
18design-build entity and associated design-build professionals
19shall conduct themselves in accordance with the laws of this
20State and the related provisions of the Illinois Administrative
21Code, as referenced by the licensed design professionals Acts
22of this State.
23    "Design professional" means any individual, sole
24proprietorship, firm, partnership, joint venture, corporation,
25professional corporation, or other entity that offers services
26under the Illinois Architecture Practice Act of 1989, the

 

 

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1Professional Engineering Practice Act of 1989, the Structural
2Engineering Practice Act of 1989, or the Illinois Professional
3Land Surveyor Act of 1989.
4    "Evaluation criteria" means the requirements for the
5separate phases of the selection process for design-build
6proposals as defined in this Act and may include the
7specialized experience, technical qualifications and
8competence, capacity to perform, past performance, experience
9with similar projects, assignment of personnel to the project,
10and other appropriate factors. Price may not be used as a
11factor in the evaluation of Phase I proposals.
12    "Landscape architect design professional" means any
13person, sole proprietorship, or entity including, but not
14limited to, a partnership, professional service corporation,
15or corporation that offers landscape architecture services
16under the Illinois Landscape Architecture Act of 1989.
17    "Proposal" means the offer to enter into a design-build
18contract as submitted by a design-build entity in accordance
19with this Act.
20    "Request for proposal" means the document used by the park
21district to solicit proposals for a design-build contract.
22    "Scope and performance criteria" means the requirements
23for the public project, including, but not limited to: the
24intended usage, capacity, size, scope, quality, and
25performance standards; life-cycle costs; and other
26programmatic criteria that are expressed in performance

 

 

SB1821- 7 -LRB100 09678 SMS 19847 b

1oriented and quantifiable specifications and drawings that can
2be reasonably inferred and are suited to allow a design-build
3entity to develop a proposal.
4(Source: P.A. 97-349, eff. 8-12-11.)
 
5    Section 20. The Chicago Park District Act is amended by
6changing Section 26.10-4 as follows:
 
7    (70 ILCS 1505/26.10-4)
8    Sec. 26.10-4. Definitions. The following terms, whenever
9used or referred to in this Act, have the following meaning
10unless the context requires a different meaning:
11    "Delivery system" means the design and construction
12approach used to develop and construct a project.
13    "Design-bid-build" means the traditional delivery system
14used on public projects that incorporates the Local Government
15Professional Services Selection Act (50 ILCS 510/) and the
16principles of competitive selection.
17    "Design-build" means a delivery system that provides
18responsibility within a single contract for the furnishing of
19architecture, engineering, land surveying and related services
20as required, and the labor, materials, equipment, and other
21construction services for the project.
22    "Design-build contract" means a contract for a public
23project under this Act between the Chicago Park District and a
24design-build entity to furnish architecture, engineering, land

 

 

SB1821- 8 -LRB100 09678 SMS 19847 b

1surveying, landscape architecture, and related services as
2required, and to furnish the labor, materials, equipment, and
3other construction services for the project. The design-build
4contract may be conditioned upon subsequent refinements in
5scope and price and may allow the Chicago Park District to make
6modifications in the project scope without invalidating the
7design-build contract.
8    "Design-build entity" means any individual, sole
9proprietorship, firm, partnership, joint venture, corporation,
10professional corporation, or other entity that proposes to
11design and construct any public project under this Act. A
12design-build entity and associated design-build professionals
13shall conduct themselves in accordance with the laws of this
14State and the related provisions of the Illinois Administrative
15Code, as referenced by the licensed design professionals Acts
16of this State.
17    "Design professional" means any individual, sole
18proprietorship, firm, partnership, joint venture, corporation,
19professional corporation, or other entity that offers services
20under the Illinois Architecture Practice Act of 1989 (225 ILCS
21305/), the Professional Engineering Practice Act of 1989 (225
22ILCS 325/), the Structural Engineering Practice Act of 1989
23(225 ILCS 340/), or the Illinois Professional Land Surveyor Act
24of 1989 (225 ILCS 330/).
25    "Landscape architect design professional" means any
26person, sole proprietorship, or entity such as a partnership,

 

 

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1professional service corporation, or corporation that offers
2landscape architecture services under the Illinois Landscape
3Architecture Act of 1989.
4    "Evaluation criteria" means the requirements for the
5separate phases of the selection process for design-build
6proposals as defined in this Act and may include the
7specialized experience, technical qualifications and
8competence, capacity to perform, past performance, experience
9with similar projects, assignment of personnel to the project,
10and other appropriate factors. Price may not be used as a
11factor in the evaluation of Phase I proposals.
12    "Proposal" means the offer to enter into a design-build
13contract as submitted by a design-build entity in accordance
14with this Act.
15    "Request for proposal" means the document used by the
16Chicago Park District to solicit proposals for a design-build
17contract.
18    "Scope and performance criteria" means the requirements
19for the public project, including but not limited to, the
20intended usage, capacity, size, scope, quality and performance
21standards, life-cycle costs, and other programmatic criteria
22that are expressed in performance-oriented and quantifiable
23specifications and drawings that can be reasonably inferred and
24are suited to allow a design-build entity to develop a
25proposal.
26    "Guaranteed maximum price" means a form of contract in

 

 

SB1821- 10 -LRB100 09678 SMS 19847 b

1which compensation may vary according to the scope of work
2involved but in any case may not exceed an agreed total amount.
3(Source: P.A. 96-777, eff. 8-28-09; 96-1000, eff. 7-2-10.)
 
4    Section 25. The Illinois Clinical Laboratory and Blood Bank
5Act is amended by changing Section 7-101 as follows:
 
6    (210 ILCS 25/7-101)  (from Ch. 111 1/2, par. 627-101)
7    Sec. 7-101. Examination of specimens. A clinical
8laboratory shall examine specimens only at the request of (i) a
9licensed physician, (ii) a licensed dentist, (iii) a licensed
10podiatric physician, (iv) a licensed optometrist, (v) a
11licensed physician assistant, (v-A) a licensed advanced
12practice nurse, (vi) an authorized law enforcement agency or,
13in the case of blood alcohol, at the request of the individual
14for whom the test is to be performed in compliance with
15Sections 11-501 and 11-501.1 of the Illinois Vehicle Code, or
16(vii) a genetic counselor with the specific authority from a
17referral to order a test or tests pursuant to subsection (b) of
18Section 20 of the Genetic Counselor Licensing Act. If the
19request to a laboratory is oral, the physician or other
20authorized person shall submit a written request to the
21laboratory within 48 hours. If the laboratory does not receive
22the written request within that period, it shall note that fact
23in its records. For purposes of this Section, a request made by
24electronic mail or fax constitutes a written request.

 

 

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1(Source: P.A. 98-185, eff. 1-1-14; 98-214, eff. 8-9-13; 98-756,
2eff. 7-16-14; 98-767, eff. 1-1-15; 99-173, eff. 7-29-15.)
 
3    (225 ILCS 135/Act rep.)
4    Section 30. The Genetic Counselor Licensing Act is
5repealed.
 
6    (225 ILCS 315/Act rep.)
7    Section 35. The Illinois Landscape Architecture Act of 1989
8is repealed.
 
9    (225 ILCS 401/Act rep.)
10    Section 40. The Illinois Athlete Agents Act is repealed.
 
11    Section 45. The Auction License Act is amended by changing
12Sections 5-10 and 10-1 as follows:
 
13    (225 ILCS 407/5-10)
14    (Section scheduled to be repealed on January 1, 2020)
15    Sec. 5-10. Definitions. As used in this Act:
16    "Advertisement" means any written, oral, or electronic
17communication that contains a promotion, inducement, or offer
18to conduct an auction or offer to provide an auction service,
19including but not limited to brochures, pamphlets, radio and
20television scripts, telephone and direct mail solicitations,
21electronic media, and other means of promotion.

 

 

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1    "Advisory Board" or "Board" means the Auctioneer Advisory
2Board.
3    "Associate auctioneer" means a person who conducts an
4auction, but who is under the direct supervision of, and is
5sponsored by, a licensed auctioneer or auction firm.
6    "Auction" means the sale or lease of property, real or
7personal, by means of exchanges between an auctioneer and
8prospective purchasers or lessees, which consists of a series
9of invitations for offers made by the auctioneer and offers by
10prospective purchasers or lessees for the purpose of obtaining
11an acceptable offer for the sale or lease of the property,
12including the sale or lease of property via mail,
13telecommunications, or the Internet.
14    "Auction contract" means a written agreement between an
15auctioneer or auction firm and a seller or sellers.
16    "Auction firm" means any corporation, partnership, or
17limited liability company that acts as an auctioneer and
18provides an auction service.
19    "Auction school" means any educational institution, public
20or private, which offers a curriculum of auctioneer education
21and training approved by the Department.
22    "Auction service" means the service of arranging,
23managing, advertising, or conducting auctions.
24    "Auctioneer" means a person or entity who, for another, for
25a fee, compensation, commission, or any other valuable
26consideration at auction or with the intention or expectation

 

 

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1of receiving valuable consideration by the means of or process
2of an auction or sale at auction or providing an auction
3service, offers, negotiates, or attempts to negotiate an
4auction contract, sale, purchase, or exchange of goods,
5chattels, merchandise, personal property, real property, or
6any commodity that may be lawfully kept or offered for sale by
7or at auction.
8    "Address of Record" means the designated address recorded
9by the Department in the applicant's or licensee's application
10file or license file maintained by the Department. It is the
11duty of the applicant or licensee to inform the Department of
12any change of address, and such changes must be made either
13through the Department's website or by directly contacting the
14Department.
15    "Buyer premium" means any fee or compensation paid by the
16successful purchaser of property sold or leased at or by
17auction, to the auctioneer, auction firms, seller, lessor, or
18other party to the transaction, other than the purchase price.
19    "Department" means the Department of Financial and
20Professional Regulation.
21    "Goods" means chattels, movable goods, merchandise, or
22personal property or commodities of any form or type that may
23be lawfully kept or offered for sale.
24    "Interactive computer service" means any information
25service, system, or access software provider that provides or
26enables computer access by multiple users to a computer server,

 

 

SB1821- 14 -LRB100 09678 SMS 19847 b

1including specifically a service or system that provides access
2to the Internet.
3    "Internet auction listing service" means a website on the
4Internet, or other interactive computer service, that is
5designed to allow or advertise as a means of allowing users to
6offer personal property or services for sale or lease to a
7prospective buyer or lessee through an on-line bid submission
8process using that website or interactive computer service and
9that does not examine, set the price, prepare the description
10of the personal property or service to be offered, or in any
11way utilize the services of a natural person as an auctioneer.
12    "Licensee" means any person licensed under this Act.
13    "Managing auctioneer" means any person licensed as an
14auctioneer who manages and supervises licensees sponsored by an
15auction firm or auctioneer.
16    "Person" means an individual, association, partnership,
17corporation, or limited liability company or the officers,
18directors, or employees of the same.
19    "Pre-renewal period" means the 24 months prior to the
20expiration date of a license issued under this Act.
21    "Real estate" means real estate as defined in Section 1-10
22of the Real Estate License Act of 2000 or its successor Acts.
23    "Secretary" means the Secretary of the Department of
24Financial and Professional Regulation or his or her designee.
25    "Sponsoring auctioneer" means the auctioneer or auction
26firm who has issued a sponsor card to a licensed auctioneer.

 

 

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1    "Sponsor card" means the temporary permit issued by the
2sponsoring auctioneer certifying that the licensee named
3thereon is employed by or associated with the sponsoring
4auctioneer and the sponsoring auctioneer shall be responsible
5for the actions of the sponsored licensee.
6(Source: P.A. 98-553, eff. 1-1-14.)
 
7    (225 ILCS 407/10-1)
8    (Section scheduled to be repealed on January 1, 2020)
9    Sec. 10-1. Necessity of license; exemptions.
10    (a) It is unlawful for any person, corporation, limited
11liability company, partnership, or other entity to conduct an
12auction, provide an auction service, hold himself or herself
13out as an auctioneer, or advertise his or her services as an
14auctioneer in the State of Illinois without a license issued by
15the Department under this Act, except at:
16        (1) an auction conducted solely by or for a
17    not-for-profit organization for charitable purposes in
18    which the individual receives no compensation;
19        (2) an auction conducted by the owner of the property,
20    real or personal;
21        (3) an auction for the sale or lease of real property
22    conducted by a licensee under the Real Estate License Act,
23    or its successor Acts, in accordance with the terms of that
24    Act;
25        (4) an auction conducted by a business registered as a

 

 

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1    market agency under the federal Packers and Stockyards Act
2    (7 U.S.C. 181 et seq.) or under the Livestock Auction
3    Market Law;
4        (5) an auction conducted by an agent, officer, or
5    employee of a federal agency in the conduct of his or her
6    official duties; and
7        (6) an auction conducted by an agent, officer, or
8    employee of the State government or any political
9    subdivision thereof performing his or her official duties.
10    (b) Nothing in this Act shall be construed to apply to a
11new or used vehicle dealer or a vehicle auctioneer licensed by
12the Secretary of State of Illinois, or to any employee of the
13licensee, who is a resident of the State of Illinois, while the
14employee is acting in the regular scope of his or her
15employment for the licensee while conducting an auction that is
16not open to the public, provided that only new or used vehicle
17dealers, rebuilders, automotive parts recyclers, or scrap
18processors licensed by the Secretary of State or licensed by
19another state or jurisdiction may buy property at the auction,
20or to sales by or through the licensee. Out-of-state salvage
21vehicle buyers licensed in another state or jurisdiction may
22also buy property at the auction.
23    (c) Nothing in this Act shall be construed to prohibit a
24person under the age of 18 from selling property under $250 in
25value while under the direct supervision of a licensed
26auctioneer.

 

 

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1    (d) Nothing in this Act, except Section 10-27, shall be
2construed to apply to a person while providing an Internet
3auction listing service as defined in Section 5-10 10-27.
4(Source: P.A. 95-572, eff. 6-1-08; 95-783, eff. 1-1-09; 96-730,
5eff. 8-25-09.)
 
6    (225 ILCS 407/10-27 rep.)
7    Section 50. The Auction License Act is amended by repealing
8Section 10-27.
 
9    (225 ILCS 412/Act rep.)
10    Section 55. The Electrologist Licensing Act is repealed.
 
11    (225 ILCS 430/Act rep.)
12    Section 60. The Detection of Deception Examiners Act is
13repealed.
 
14    Section 65. The Real Estate License Act of 2000 is amended
15by changing Sections 1-10, 5-20, 20-20, and 20-85 as follows:
 
16    (225 ILCS 454/1-10)
17    (Section scheduled to be repealed on January 1, 2020)
18    Sec. 1-10. Definitions. In this Act, unless the context
19otherwise requires:
20    "Act" means the Real Estate License Act of 2000.
21    "Address of record" means the designated address recorded

 

 

SB1821- 18 -LRB100 09678 SMS 19847 b

1by the Department in the applicant's or licensee's application
2file or license file as maintained by the Department's
3licensure maintenance unit. It is the duty of the applicant or
4licensee to inform the Department of any change of address, and
5those changes must be made either through the Department's
6website or by contacting the Department.
7    "Advisory Council" means the Real Estate Education
8Advisory Council created under Section 30-10 of this Act.
9    "Agency" means a relationship in which a broker or
10licensee, whether directly or through an affiliated licensee,
11represents a consumer by the consumer's consent, whether
12express or implied, in a real property transaction.
13    "Applicant" means any person, as defined in this Section,
14who applies to the Department for a valid license as a managing
15broker, broker, or leasing agent.
16    "Blind advertisement" means any real estate advertisement
17that does not include the sponsoring broker's business name and
18that is used by any licensee regarding the sale or lease of
19real estate, including his or her own, licensed activities, or
20the hiring of any licensee under this Act. The broker's
21business name in the case of a franchise shall include the
22franchise affiliation as well as the name of the individual
23firm.
24    "Board" means the Real Estate Administration and
25Disciplinary Board of the Department as created by Section
2625-10 of this Act.

 

 

SB1821- 19 -LRB100 09678 SMS 19847 b

1    "Branch office" means a sponsoring broker's office other
2than the sponsoring broker's principal office.
3    "Broker" means an individual, partnership, limited
4liability company, corporation, or registered limited
5liability partnership other than a leasing agent who, whether
6in person or through any media or technology, for another and
7for compensation, or with the intention or expectation of
8receiving compensation, either directly or indirectly:
9        (1) Sells, exchanges, purchases, rents, or leases real
10    estate.
11        (2) Offers to sell, exchange, purchase, rent, or lease
12    real estate.
13        (3) Negotiates, offers, attempts, or agrees to
14    negotiate the sale, exchange, purchase, rental, or leasing
15    of real estate.
16        (4) Lists, offers, attempts, or agrees to list real
17    estate for sale, rent, lease, or exchange.
18        (5) Buys, sells, offers to buy or sell, or otherwise
19    deals in options on real estate or improvements thereon.
20        (6) Supervises the collection, offer, attempt, or
21    agreement to collect rent for the use of real estate.
22        (7) Advertises or represents himself or herself as
23    being engaged in the business of buying, selling,
24    exchanging, renting, or leasing real estate.
25        (8) Assists or directs in procuring or referring of
26    leads or prospects, intended to result in the sale,

 

 

SB1821- 20 -LRB100 09678 SMS 19847 b

1    exchange, lease, or rental of real estate.
2        (9) Assists or directs in the negotiation of any
3    transaction intended to result in the sale, exchange,
4    lease, or rental of real estate.
5        (10) Opens real estate to the public for marketing
6    purposes.
7        (11) Sells, rents, leases, or offers for sale or lease
8    real estate at auction.
9        (12) Prepares or provides a broker price opinion or
10    comparative market analysis as those terms are defined in
11    this Act, pursuant to the provisions of Section 10-45 of
12    this Act.
13    "Brokerage agreement" means a written or oral agreement
14between a sponsoring broker and a consumer for licensed
15activities to be provided to a consumer in return for
16compensation or the right to receive compensation from another.
17Brokerage agreements may constitute either a bilateral or a
18unilateral agreement between the broker and the broker's client
19depending upon the content of the brokerage agreement. All
20exclusive brokerage agreements shall be in writing.
21    "Broker price opinion" means an estimate or analysis of the
22probable selling price of a particular interest in real estate,
23which may provide a varying level of detail about the
24property's condition, market, and neighborhood and information
25on comparable sales. The activities of a real estate broker or
26managing broker engaging in the ordinary course of business as

 

 

SB1821- 21 -LRB100 09678 SMS 19847 b

1a broker, as defined in this Section, shall not be considered a
2broker price opinion if no compensation is paid to the broker
3or managing broker, other than compensation based upon the sale
4or rental of real estate.
5    "Client" means a person who is being represented by a
6licensee.
7    "Comparative market analysis" is an analysis or opinion
8regarding pricing, marketing, or financial aspects relating to
9a specified interest or interests in real estate that may be
10based upon an analysis of comparative market data, the
11expertise of the real estate broker or managing broker, and
12such other factors as the broker or managing broker may deem
13appropriate in developing or preparing such analysis or
14opinion. The activities of a real estate broker or managing
15broker engaging in the ordinary course of business as a broker,
16as defined in this Section, shall not be considered a
17comparative market analysis if no compensation is paid to the
18broker or managing broker, other than compensation based upon
19the sale or rental of real estate.
20    "Compensation" means the valuable consideration given by
21one person or entity to another person or entity in exchange
22for the performance of some activity or service. Compensation
23shall include the transfer of valuable consideration,
24including without limitation the following:
25        (1) commissions;
26        (2) referral fees;

 

 

SB1821- 22 -LRB100 09678 SMS 19847 b

1        (3) bonuses;
2        (4) prizes;
3        (5) merchandise;
4        (6) finder fees;
5        (7) performance of services;
6        (8) coupons or gift certificates;
7        (9) discounts;
8        (10) rebates;
9        (11) a chance to win a raffle, drawing, lottery, or
10    similar game of chance not prohibited by any other law or
11    statute;
12        (12) retainer fee; or
13        (13) salary.
14    "Confidential information" means information obtained by a
15licensee from a client during the term of a brokerage agreement
16that (i) was made confidential by the written request or
17written instruction of the client, (ii) deals with the
18negotiating position of the client, or (iii) is information the
19disclosure of which could materially harm the negotiating
20position of the client, unless at any time:
21        (1) the client permits the disclosure of information
22    given by that client by word or conduct;
23        (2) the disclosure is required by law; or
24        (3) the information becomes public from a source other
25    than the licensee.
26    "Confidential information" shall not be considered to

 

 

SB1821- 23 -LRB100 09678 SMS 19847 b

1include material information about the physical condition of
2the property.
3    "Consumer" means a person or entity seeking or receiving
4licensed activities.
5    "Continuing education school" means any person licensed by
6the Department as a school for continuing education in
7accordance with Section 30-15 of this Act.
8    "Coordinator" means the Coordinator of Real Estate created
9in Section 25-15 of this Act.
10    "Credit hour" means 50 minutes of classroom instruction in
11course work that meets the requirements set forth in rules
12adopted by the Department.
13    "Customer" means a consumer who is not being represented by
14the licensee but for whom the licensee is performing
15ministerial acts.
16    "Department" means the Department of Financial and
17Professional Regulation.
18    "Designated agency" means a contractual relationship
19between a sponsoring broker and a client under Section 15-50 of
20this Act in which one or more licensees associated with or
21employed by the broker are designated as agent of the client.
22    "Designated agent" means a sponsored licensee named by a
23sponsoring broker as the legal agent of a client, as provided
24for in Section 15-50 of this Act.
25    "Dual agency" means an agency relationship in which a
26licensee is representing both buyer and seller or both landlord

 

 

SB1821- 24 -LRB100 09678 SMS 19847 b

1and tenant in the same transaction. When the agency
2relationship is a designated agency, the question of whether
3there is a dual agency shall be determined by the agency
4relationships of the designated agent of the parties and not of
5the sponsoring broker.
6    "Employee" or other derivative of the word "employee", when
7used to refer to, describe, or delineate the relationship
8between a sponsoring broker and a managing broker, broker, or a
9leasing agent, shall be construed to include an independent
10contractor relationship, provided that a written agreement
11exists that clearly establishes and states the relationship.
12All responsibilities of a broker shall remain.
13    "Escrow moneys" means all moneys, promissory notes or any
14other type or manner of legal tender or financial consideration
15deposited with any person for the benefit of the parties to the
16transaction. A transaction exists once an agreement has been
17reached and an accepted real estate contract signed or lease
18agreed to by the parties. Escrow moneys includes without
19limitation earnest moneys and security deposits, except those
20security deposits in which the person holding the security
21deposit is also the sole owner of the property being leased and
22for which the security deposit is being held.
23    "Electronic means of proctoring" means a methodology
24providing assurance that the person taking a test and
25completing the answers to questions is the person seeking
26licensure or credit for continuing education and is doing so

 

 

SB1821- 25 -LRB100 09678 SMS 19847 b

1without the aid of a third party or other device.
2    "Exclusive brokerage agreement" means a written brokerage
3agreement that provides that the sponsoring broker has the sole
4right, through one or more sponsored licensees, to act as the
5exclusive designated agent or representative of the client and
6that meets the requirements of Section 15-75 of this Act.
7    "Inoperative" means a status of licensure where the
8licensee holds a current license under this Act, but the
9licensee is prohibited from engaging in licensed activities
10because the licensee is unsponsored or the license of the
11sponsoring broker with whom the licensee is associated or by
12whom he or she is employed is currently expired, revoked,
13suspended, or otherwise rendered invalid under this Act.
14    "Interactive delivery method" means delivery of a course by
15an instructor through a medium allowing for 2-way communication
16between the instructor and a student in which either can
17initiate or respond to questions.
18    "Leads" means the name or names of a potential buyer,
19seller, lessor, lessee, or client of a licensee.
20    "Leasing Agent" means a person who is employed by a broker
21to engage in licensed activities limited to leasing residential
22real estate who has obtained a license as provided for in
23Section 5-5 of this Act.
24    "License" means the document issued by the Department
25certifying that the person named thereon has fulfilled all
26requirements prerequisite to licensure under this Act.

 

 

SB1821- 26 -LRB100 09678 SMS 19847 b

1    "Licensed activities" means those activities listed in the
2definition of "broker" under this Section.
3    "Licensee" means any person, as defined in this Section,
4who holds a valid unexpired license as a managing broker,
5broker, or leasing agent.
6    "Listing presentation" means a communication between a
7managing broker or broker and a consumer in which the licensee
8is attempting to secure a brokerage agreement with the consumer
9to market the consumer's real estate for sale or lease.
10    "Managing broker" means a broker who has supervisory
11responsibilities for licensees in one or, in the case of a
12multi-office company, more than one office and who has been
13appointed as such by the sponsoring broker.
14    "Medium of advertising" means any method of communication
15intended to influence the general public to use or purchase a
16particular good or service or real estate.
17    "Ministerial acts" means those acts that a licensee may
18perform for a consumer that are informative or clerical in
19nature and do not rise to the level of active representation on
20behalf of a consumer. Examples of these acts include without
21limitation (i) responding to phone inquiries by consumers as to
22the availability and pricing of brokerage services, (ii)
23responding to phone inquiries from a consumer concerning the
24price or location of property, (iii) attending an open house
25and responding to questions about the property from a consumer,
26(iv) setting an appointment to view property, (v) responding to

 

 

SB1821- 27 -LRB100 09678 SMS 19847 b

1questions of consumers walking into a licensee's office
2concerning brokerage services offered or particular
3properties, (vi) accompanying an appraiser, inspector,
4contractor, or similar third party on a visit to a property,
5(vii) describing a property or the property's condition in
6response to a consumer's inquiry, (viii) completing business or
7factual information for a consumer on an offer or contract to
8purchase on behalf of a client, (ix) showing a client through a
9property being sold by an owner on his or her own behalf, or
10(x) referral to another broker or service provider.
11    "Office" means a broker's place of business where the
12general public is invited to transact business and where
13records may be maintained and licenses displayed, whether or
14not it is the broker's principal place of business.
15    "Person" means and includes individuals, entities,
16corporations, limited liability companies, registered limited
17liability partnerships, and partnerships, foreign or domestic,
18except that when the context otherwise requires, the term may
19refer to a single individual or other described entity.
20    "Personal assistant" means a licensed or unlicensed person
21who has been hired for the purpose of aiding or assisting a
22sponsored licensee in the performance of the sponsored
23licensee's job.
24    "Pocket card" means the card issued by the Department to
25signify that the person named on the card is currently licensed
26under this Act.

 

 

SB1821- 28 -LRB100 09678 SMS 19847 b

1    "Pre-license school" means a school licensed by the
2Department offering courses in subjects related to real estate
3transactions, including the subjects upon which an applicant is
4examined in determining fitness to receive a license.
5    "Pre-renewal period" means the period between the date of
6issue of a currently valid license and the license's expiration
7date.
8    "Proctor" means any person, including, but not limited to,
9an instructor, who has a written agreement to administer
10examinations fairly and impartially with a licensed
11pre-license school or a licensed continuing education school.
12    "Real estate" means and includes leaseholds as well as any
13other interest or estate in land, whether corporeal,
14incorporeal, freehold, or non-freehold, including timeshare
15interests, and whether the real estate is situated in this
16State or elsewhere. "Real estate" does not include property
17sold, exchanged, or leased as a timeshare or similar vacation
18item or interest, vacation club membership, or other activity
19formerly regulated under the Real Estate Timeshare Act of 1999
20(repealed).
21    "Regular employee" means a person working an average of 20
22hours per week for a person or entity who would be considered
23as an employee under the Internal Revenue Service eleven main
24tests in three categories being behavioral control, financial
25control and the type of relationship of the parties, formerly
26the twenty factor test.

 

 

SB1821- 29 -LRB100 09678 SMS 19847 b

1    "Secretary" means the Secretary of the Department of
2Financial and Professional Regulation, or a person authorized
3by the Secretary to act in the Secretary's stead.
4    "Sponsoring broker" means the broker who has issued a
5sponsor card to a licensed managing broker, broker, or a
6leasing agent.
7    "Sponsor card" means the temporary permit issued by the
8sponsoring broker certifying that the managing broker, broker,
9or leasing agent named thereon is employed by or associated by
10written agreement with the sponsoring broker, as provided for
11in Section 5-40 of this Act.
12(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15;
1399-227, eff. 8-3-15.)
 
14    (225 ILCS 454/5-20)
15    (Section scheduled to be repealed on January 1, 2020)
16    Sec. 5-20. Exemptions from managing broker, broker, or
17leasing agent license requirement. The requirement for holding
18a license under this Article 5 shall not apply to:
19        (1) Any person, partnership, or corporation that as
20    owner or lessor performs any of the acts described in the
21    definition of "broker" under Section 1-10 of this Act with
22    reference to property owned or leased by it, or to the
23    regular employees thereof with respect to the property so
24    owned or leased, where such acts are performed in the
25    regular course of or as an incident to the management,

 

 

SB1821- 30 -LRB100 09678 SMS 19847 b

1    sale, or other disposition of such property and the
2    investment therein, provided that such regular employees
3    do not perform any of the acts described in the definition
4    of "broker" under Section 1-10 of this Act in connection
5    with a vocation of selling or leasing any real estate or
6    the improvements thereon not so owned or leased.
7        (2) An attorney in fact acting under a duly executed
8    and recorded power of attorney to convey real estate from
9    the owner or lessor or the services rendered by an attorney
10    at law in the performance of the attorney's duty as an
11    attorney at law.
12        (3) Any person acting as receiver, trustee in
13    bankruptcy, administrator, executor, or guardian or while
14    acting under a court order or under the authority of a will
15    or testamentary trust.
16        (4) Any person acting as a resident manager for the
17    owner or any employee acting as the resident manager for a
18    broker managing an apartment building, duplex, or
19    apartment complex, when the resident manager resides on the
20    premises, the premises is his or her primary residence, and
21    the resident manager is engaged in the leasing of the
22    property of which he or she is the resident manager.
23        (5) Any officer or employee of a federal agency in the
24    conduct of official duties.
25        (6) Any officer or employee of the State government or
26    any political subdivision thereof performing official

 

 

SB1821- 31 -LRB100 09678 SMS 19847 b

1    duties.
2        (7) Any multiple listing service or other similar
3    information exchange that is engaged in the collection and
4    dissemination of information concerning real estate
5    available for sale, purchase, lease, or exchange for the
6    purpose of providing licensees with a system by which
7    licensees may cooperatively share information along with
8    which no other licensed activities, as defined in Section
9    1-10 of this Act, are provided.
10        (8) Railroads and other public utilities regulated by
11    the State of Illinois, or the officers or full time
12    employees thereof, unless the performance of any licensed
13    activities is in connection with the sale, purchase, lease,
14    or other disposition of real estate or investment therein
15    not needing the approval of the appropriate State
16    regulatory authority.
17        (9) Any medium of advertising in the routine course of
18    selling or publishing advertising along with which no other
19    licensed activities, as defined in Section 1-10 of this
20    Act, are provided.
21        (10) Any resident lessee of a residential dwelling unit
22    who refers for compensation to the owner of the dwelling
23    unit, or to the owner's agent, prospective lessees of
24    dwelling units in the same building or complex as the
25    resident lessee's unit, but only if the resident lessee (i)
26    refers no more than 3 prospective lessees in any 12-month

 

 

SB1821- 32 -LRB100 09678 SMS 19847 b

1    period, (ii) receives compensation of no more than $1,500
2    or the equivalent of one month's rent, whichever is less,
3    in any 12-month period, and (iii) limits his or her
4    activities to referring prospective lessees to the owner,
5    or the owner's agent, and does not show a residential
6    dwelling unit to a prospective lessee, discuss terms or
7    conditions of leasing a dwelling unit with a prospective
8    lessee, or otherwise participate in the negotiation of the
9    leasing of a dwelling unit.
10        (11) The purchase, sale, or transfer of a timeshare or
11    similar vacation item or interest, vacation club
12    membership, or other activity formerly regulated under the
13    Real Estate Timeshare Act of 1999 (repealed) An exchange
14    company registered under the Real Estate Timeshare Act of
15    1999 and the regular employees of that registered exchange
16    company but only when conducting an exchange program as
17    defined in that Act.
18        (12) (Blank). An existing timeshare owner who, for
19    compensation, refers prospective purchasers, but only if
20    the existing timeshare owner (i) refers no more than 20
21    prospective purchasers in any calendar year, (ii) receives
22    no more than $1,000, or its equivalent, for referrals in
23    any calendar year and (iii) limits his or her activities to
24    referring prospective purchasers of timeshare interests to
25    the developer or the developer's employees or agents, and
26    does not show, discuss terms or conditions of purchase or

 

 

SB1821- 33 -LRB100 09678 SMS 19847 b

1    otherwise participate in negotiations with regard to
2    timeshare interests.
3        (13) Any person who is licensed without examination
4    under Section 10-25 (now repealed) of the Auction License
5    Act is exempt from holding a managing broker's or broker's
6    license under this Act for the limited purpose of selling
7    or leasing real estate at auction, so long as:
8            (A) that person has made application for said
9        exemption by July 1, 2000;
10            (B) that person verifies to the Department that he
11        or she has sold real estate at auction for a period of
12        5 years prior to licensure as an auctioneer;
13            (C) the person has had no lapse in his or her
14        license as an auctioneer; and
15            (D) the license issued under the Auction License
16        Act has not been disciplined for violation of those
17        provisions of Article 20 of the Auction License Act
18        dealing with or related to the sale or lease of real
19        estate at auction.
20        (14) A person who holds a valid license under the
21    Auction License Act and a valid real estate auction
22    certification and conducts auctions for the sale of real
23    estate under Section 5-32 of this Act.
24        (15) A hotel operator who is registered with the
25    Illinois Department of Revenue and pays taxes under the
26    Hotel Operators' Occupation Tax Act and rents a room or

 

 

SB1821- 34 -LRB100 09678 SMS 19847 b

1    rooms in a hotel as defined in the Hotel Operators'
2    Occupation Tax Act for a period of not more than 30
3    consecutive days and not more than 60 days in a calendar
4    year.
5(Source: P.A. 98-553, eff. 1-1-14; 99-227, eff. 8-3-15.)
 
6    (225 ILCS 454/20-20)
7    (Section scheduled to be repealed on January 1, 2020)
8    Sec. 20-20. Grounds for discipline.
9    (a) The Department may refuse to issue or renew a license,
10may place on probation, suspend, or revoke any license,
11reprimand, or take any other disciplinary or non-disciplinary
12action as the Department may deem proper and impose a fine not
13to exceed $25,000 upon any licensee or applicant under this Act
14or any person who holds himself or herself out as an applicant
15or licensee or against a licensee in handling his or her own
16property, whether held by deed, option, or otherwise, for any
17one or any combination of the following causes:
18        (1) Fraud or misrepresentation in applying for, or
19    procuring, a license under this Act or in connection with
20    applying for renewal of a license under this Act.
21        (2) The conviction of or plea of guilty or plea of nolo
22    contendere to a felony or misdemeanor in this State or any
23    other jurisdiction; or the entry of an administrative
24    sanction by a government agency in this State or any other
25    jurisdiction. Action taken under this paragraph (2) for a

 

 

SB1821- 35 -LRB100 09678 SMS 19847 b

1    misdemeanor or an administrative sanction is limited to a
2    misdemeanor or administrative sanction that has as an
3    essential element dishonesty or fraud or involves larceny,
4    embezzlement, or obtaining money, property, or credit by
5    false pretenses or by means of a confidence game.
6        (3) Inability to practice the profession with
7    reasonable judgment, skill, or safety as a result of a
8    physical illness, including, but not limited to,
9    deterioration through the aging process or loss of motor
10    skill, or a mental illness or disability.
11        (4) Practice under this Act as a licensee in a retail
12    sales establishment from an office, desk, or space that is
13    not separated from the main retail business by a separate
14    and distinct area within the establishment.
15        (5) Having been disciplined by another state, the
16    District of Columbia, a territory, a foreign nation, or a
17    governmental agency authorized to impose discipline if at
18    least one of the grounds for that discipline is the same as
19    or the equivalent of one of the grounds for which a
20    licensee may be disciplined under this Act. A certified
21    copy of the record of the action by the other state or
22    jurisdiction shall be prima facie evidence thereof.
23        (6) Engaging in the practice of real estate brokerage
24    without a license or after the licensee's license was
25    expired or while the license was inoperative.
26        (7) Cheating on or attempting to subvert the Real

 

 

SB1821- 36 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 37 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 38 -LRB100 09678 SMS 19847 b

1        to the transaction or the principal's duly authorized
2        agent.
3    The account shall be noninterest bearing, unless the
4    character of the deposit is such that payment of interest
5    thereon is otherwise required by law or unless the
6    principals to the transaction specifically require, in
7    writing, that the deposit be placed in an interest bearing
8    account.
9        (18) Failure to make available to the Department all
10    escrow records and related documents maintained in
11    connection with the practice of real estate within 24 hours
12    of a request for those documents by Department personnel.
13        (19) Failing to furnish copies upon request of
14    documents relating to a real estate transaction to a party
15    who has executed that document.
16        (20) Failure of a sponsoring broker to timely provide
17    information, sponsor cards, or termination of licenses to
18    the Department.
19        (21) Engaging in dishonorable, unethical, or
20    unprofessional conduct of a character likely to deceive,
21    defraud, or harm the public.
22        (22) Commingling the money or property of others with
23    his or her own money or property.
24        (23) Employing any person on a purely temporary or
25    single deal basis as a means of evading the law regarding
26    payment of commission to nonlicensees on some contemplated

 

 

SB1821- 39 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 40 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 41 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 42 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 43 -LRB100 09678 SMS 19847 b

1    commission or expenses as a condition for release of the
2    escrow moneys to that party.
3        (40) Disregarding or violating any provision of this
4    Act or the published rules promulgated by the Department to
5    enforce this Act or aiding or abetting any individual,
6    partnership, registered limited liability partnership,
7    limited liability company, or corporation in disregarding
8    any provision of this Act or the published rules
9    promulgated by the Department to enforce this Act.
10        (41) Failing to provide the minimum services required
11    by Section 15-75 of this Act when acting under an exclusive
12    brokerage agreement.
13        (42) Habitual or excessive use or addiction to alcohol,
14    narcotics, stimulants, or any other chemical agent or drug
15    that results in a managing broker, broker, or leasing
16    agent's inability to practice with reasonable skill or
17    safety.
18        (43) Enabling, aiding, or abetting an auctioneer, as
19    defined in the Auction License Act, to conduct a real
20    estate auction in a manner that is in violation of this
21    Act.
22    (b) The Department may refuse to issue or renew or may
23suspend the license of any person who fails to file a return,
24pay the tax, penalty or interest shown in a filed return, or
25pay any final assessment of tax, penalty, or interest, as
26required by any tax Act administered by the Department of

 

 

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1Revenue, until such time as the requirements of that tax Act
2are satisfied in accordance with subsection (g) of Section
32105-15 of the Civil Administrative Code of Illinois.
4    (c) The Department shall deny a license or renewal
5authorized by this Act to a person who has defaulted on an
6educational loan or scholarship provided or guaranteed by the
7Illinois Student Assistance Commission or any governmental
8agency of this State in accordance with item (5) of subsection
9(a) of Section 2105-15 of the Civil Administrative Code of
10Illinois.
11    (d) In cases where the Department of Healthcare and Family
12Services (formerly Department of Public Aid) has previously
13determined that a licensee or a potential licensee is more than
1430 days delinquent in the payment of child support and has
15subsequently certified the delinquency to the Department may
16refuse to issue or renew or may revoke or suspend that person's
17license or may take other disciplinary action against that
18person based solely upon the certification of delinquency made
19by the Department of Healthcare and Family Services in
20accordance with item (5) of subsection (a) of Section 2105-15
21of the Civil Administrative Code of Illinois.
22    (e) In enforcing this Section, the Department or Board upon
23a showing of a possible violation may compel an individual
24licensed to practice under this Act, or who has applied for
25licensure under this Act, to submit to a mental or physical
26examination, or both, as required by and at the expense of the

 

 

SB1821- 45 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 46 -LRB100 09678 SMS 19847 b

1renewed, disciplined or supervised subject to such terms,
2conditions, or restrictions, and who fails to comply with such
3terms, conditions, or restrictions, shall be referred to the
4Secretary for a determination as to whether the individual
5shall have his or her license suspended immediately, pending a
6hearing by the Department.
7    In instances in which the Secretary immediately suspends a
8person's license under this Section, a hearing on that person's
9license must be convened by the Department within 30 days after
10the suspension and completed without appreciable delay. The
11Department and Board shall have the authority to review the
12subject individual's record of treatment and counseling
13regarding the impairment to the extent permitted by applicable
14federal statutes and regulations safeguarding the
15confidentiality of medical records.
16    An individual licensed under this Act and affected under
17this Section shall be afforded an opportunity to demonstrate to
18the Department or Board that he or she can resume practice in
19compliance with acceptable and prevailing standards under the
20provisions of his or her license.
21(Source: P.A. 98-553, eff. 1-1-14; 98-756, eff. 7-16-14;
2299-227, eff. 8-3-15.)
 
23    (225 ILCS 454/20-85)
24    (Section scheduled to be repealed on January 1, 2020)
25    Sec. 20-85. Recovery from Real Estate Recovery Fund. The

 

 

SB1821- 47 -LRB100 09678 SMS 19847 b

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

 

 

SB1821- 48 -LRB100 09678 SMS 19847 b

1aggrieved persons, if any. The maximum liability against the
2Fund arising out of the activities of any one licensee or one
3unlicensed employee of a licensee, since January 1, 1974, shall
4be $100,000. Nothing in this Section shall be construed to
5authorize recovery from the Fund unless the loss of the
6aggrieved person results from an act or omission of a licensee
7under this Act who was at the time of the act or omission
8acting in such capacity or was apparently acting in such
9capacity or their unlicensed employee and unless the aggrieved
10person has obtained a valid judgment and post-judgment order of
11the court as provided for in Section 20-90 of this Act. No
12person aggrieved by an act, representation, or transaction that
13is in violation of the Illinois Real Estate Time-Share Act or
14the Land Sales Registration Act of 1989 may recover from the
15Fund.
16(Source: P.A. 99-227, eff. 8-3-15.)
 
17    (225 ILCS 745/Act rep.)
18    Section 70. The Professional Geologist Licensing Act is
19repealed.
 
20    Section 75. The Tattoo and Body Piercing Establishment
21Registration Act is amended by changing Section 10 as follows:
 
22    (410 ILCS 54/10)
23    Sec. 10. Definitions. In this Act:

 

 

SB1821- 49 -LRB100 09678 SMS 19847 b

1    "Aseptic technique" means a practice that prevents and
2hinders the transmission of disease-producing microorganisms
3from one person or place to another.
4    "Body piercing" means penetrating the skin to make a hole,
5mark, or scar that is generally permanent in nature. "Body
6piercing" does not include practices that are considered
7medical procedures or the puncturing of the outer perimeter or
8lobe of the ear using a pre-sterilized, single-use stud and
9clasp ear piercing system.
10    "Client" means the person, customer, or patron whose skin
11will be tattooed or pierced.
12    "Communicable disease" means a disease that can be
13transmitted from person to person directly or indirectly,
14including diseases transmitted via blood or body fluids.
15    "Department" means the Department of Public Health or other
16health authority designated as its agent.
17    "Director" means the Director of Public Health or his or
18her designee.
19    "Establishment" means a body-piercing operation, a
20tattooing operation, or a combination of both operations in a
21multiple-type establishment.
22    "Ink cup" means a small container for an individual portion
23of pigment that may be installed in a holder or palette and in
24which a small amount of pigment of a given color is placed.
25    "Multi-type establishment" means an operation encompassing
26both body piercing and tattooing on the same premises and under

 

 

SB1821- 50 -LRB100 09678 SMS 19847 b

1the same management.
2    "Person" means any individual, group of individuals,
3association, trust, partnership, corporation, or limited
4liability company.
5    "Procedure area" means the immediate area where
6instruments and supplies are placed during a procedure.
7    "Operator" means an individual, partnership, corporation,
8association, or other entity engaged in the business of owning,
9managing, or offering services of body piercing or tattooing.
10    "Sanitation" means the effective bactericidal and
11veridical treatment of clean equipment surfaces by a process
12that effectively destroys pathogens.
13    "Single use" means items that are intended for one time and
14one person use only and are to then be discarded.
15    "Sterilize" means to destroy all living organisms
16including spores.
17    "Tattooing" means making permanent marks on the skin of a
18live human being by puncturing the skin and inserting indelible
19colors. "Tattooing" includes imparting permanent makeup on the
20skin, such as permanent lip coloring and permanent eyeliner.
21"Tattooing" does not include any of the following:
22        (1) The practice of electrology (the practice or
23    teaching of services for permanent hair removal utilizing
24    only solid probe electrode type epilation, which may
25    include thermolysis (shortwave, high frequency),
26    electrolysis (galvanic), or a combination of both

 

 

SB1821- 51 -LRB100 09678 SMS 19847 b

1    (superimposed or sequential blend)) as defined in the
2    Electrology Licensing Act.
3        (2) The practice of acupuncture as defined in the
4    Acupuncture Licensing Act.
5        (3) The use, by a physician licensed to practice
6    medicine in all its branches, of colors, dyes, or pigments
7    for the purpose of obscuring scar tissue or imparting color
8    to the skin for cosmetic, medical, or figurative purposes.
9(Source: P.A. 99-117, eff. 1-1-16.)
 
10    Section 80. The Genetic Information Privacy Act is amended
11by changing Sections 10 and 25 as follows:
 
12    (410 ILCS 513/10)
13    Sec. 10. Definitions. As used in this Act:
14    "Authority" means the Illinois Health Information Exchange
15Authority established pursuant to the Illinois Health
16Information Exchange and Technology Act.
17    "Business associate" has the meaning ascribed to it under
18HIPAA, as specified in 45 CFR 160.103.
19    "Covered entity" has the meaning ascribed to it under
20HIPAA, as specified in 45 CFR 160.103.
21    "De-identified information" means health information that
22is not individually identifiable as described under HIPAA, as
23specified in 45 CFR 164.514(b).
24    "Disclosure" has the meaning ascribed to it under HIPAA, as

 

 

SB1821- 52 -LRB100 09678 SMS 19847 b

1specified in 45 CFR 160.103.
2    "Employer" means the State of Illinois, any unit of local
3government, and any board, commission, department,
4institution, or school district, any party to a public
5contract, any joint apprenticeship or training committee
6within the State, and every other person employing employees
7within the State.
8    "Employment agency" means both public and private
9employment agencies and any person, labor organization, or
10labor union having a hiring hall or hiring office regularly
11undertaking, with or without compensation, to procure
12opportunities to work, or to procure, recruit, refer, or place
13employees.
14    "Family member" means, with respect to an individual, (i)
15the spouse of the individual; (ii) a dependent child of the
16individual, including a child who is born to or placed for
17adoption with the individual; (iii) any other person qualifying
18as a covered dependent under a managed care plan; and (iv) all
19other individuals related by blood or law to the individual or
20the spouse or child described in subsections (i) through (iii)
21of this definition.
22    "Genetic information" has the meaning ascribed to it under
23HIPAA, as specified in 45 CFR 160.103.
24    "Genetic monitoring" means the periodic examination of
25employees to evaluate acquired modifications to their genetic
26material, such as chromosomal damage or evidence of increased

 

 

SB1821- 53 -LRB100 09678 SMS 19847 b

1occurrence of mutations that may have developed in the course
2of employment due to exposure to toxic substances in the
3workplace in order to identify, evaluate, and respond to
4effects of or control adverse environmental exposures in the
5workplace.
6    "Genetic services" has the meaning ascribed to it under
7HIPAA, as specified in 45 CFR 160.103.
8    "Genetic testing" and "genetic test" have the meaning
9ascribed to "genetic test" under HIPAA, as specified in 45 CFR
10160.103.
11    "Health care operations" has the meaning ascribed to it
12under HIPAA, as specified in 45 CFR 164.501.
13    "Health care professional" means (i) a licensed physician,
14(ii) a licensed physician assistant, (iii) a licensed advanced
15practice nurse, (iv) a licensed dentist, (v) a licensed
16podiatrist, (vi) a licensed genetic counselor, or (vii) an
17individual certified to provide genetic testing by a state or
18local public health department.
19    "Health care provider" has the meaning ascribed to it under
20HIPAA, as specified in 45 CFR 160.103.
21    "Health facility" means a hospital, blood bank, blood
22center, sperm bank, or other health care institution, including
23any "health facility" as that term is defined in the Illinois
24Finance Authority Act.
25    "Health information exchange" or "HIE" means a health
26information exchange or health information organization that

 

 

SB1821- 54 -LRB100 09678 SMS 19847 b

1exchanges health information electronically that (i) is
2established pursuant to the Illinois Health Information
3Exchange and Technology Act, or any subsequent amendments
4thereto, and any administrative rules promulgated thereunder;
5(ii) has established a data sharing arrangement with the
6Authority; or (iii) as of August 16, 2013, was designated by
7the Authority Board as a member of, or was represented on, the
8Authority Board's Regional Health Information Exchange
9Workgroup; provided that such designation shall not require the
10establishment of a data sharing arrangement or other
11participation with the Illinois Health Information Exchange or
12the payment of any fee. In certain circumstances, in accordance
13with HIPAA, an HIE will be a business associate.
14    "Health oversight agency" has the meaning ascribed to it
15under HIPAA, as specified in 45 CFR 164.501.
16    "HIPAA" means the Health Insurance Portability and
17Accountability Act of 1996, Public Law 104-191, as amended by
18the Health Information Technology for Economic and Clinical
19Health Act of 2009, Public Law 111-05, and any subsequent
20amendments thereto and any regulations promulgated thereunder.
21    "Insurer" means (i) an entity that is subject to the
22jurisdiction of the Director of Insurance and (ii) a managed
23care plan.
24    "Labor organization" includes any organization, labor
25union, craft union, or any voluntary unincorporated
26association designed to further the cause of the rights of

 

 

SB1821- 55 -LRB100 09678 SMS 19847 b

1union labor that is constituted for the purpose, in whole or in
2part, of collective bargaining or of dealing with employers
3concerning grievances, terms or conditions of employment, or
4apprenticeships or applications for apprenticeships, or of
5other mutual aid or protection in connection with employment,
6including apprenticeships or applications for apprenticeships.
7    "Licensing agency" means a board, commission, committee,
8council, department, or officers, except a judicial officer, in
9this State or any political subdivision authorized to grant,
10deny, renew, revoke, suspend, annul, withdraw, or amend a
11license or certificate of registration.
12    "Limited data set" has the meaning ascribed to it under
13HIPAA, as described in 45 CFR 164.514(e)(2).
14    "Managed care plan" means a plan that establishes,
15operates, or maintains a network of health care providers that
16have entered into agreements with the plan to provide health
17care services to enrollees where the plan has the ultimate and
18direct contractual obligation to the enrollee to arrange for
19the provision of or pay for services through:
20        (1) organizational arrangements for ongoing quality
21    assurance, utilization review programs, or dispute
22    resolution; or
23        (2) financial incentives for persons enrolled in the
24    plan to use the participating providers and procedures
25    covered by the plan.
26    A managed care plan may be established or operated by any

 

 

SB1821- 56 -LRB100 09678 SMS 19847 b

1entity including a licensed insurance company, hospital or
2medical service plan, health maintenance organization, limited
3health service organization, preferred provider organization,
4third party administrator, or an employer or employee
5organization.
6    "Minimum necessary" means HIPAA's standard for using,
7disclosing, and requesting protected health information found
8in 45 CFR 164.502(b) and 164.514(d).
9    "Nontherapeutic purpose" means a purpose that is not
10intended to improve or preserve the life or health of the
11individual whom the information concerns.
12    "Organized health care arrangement" has the meaning
13ascribed to it under HIPAA, as specified in 45 CFR 160.103.
14    "Patient safety activities" has the meaning ascribed to it
15under 42 CFR 3.20.
16    "Payment" has the meaning ascribed to it under HIPAA, as
17specified in 45 CFR 164.501.
18    "Person" includes any natural person, partnership,
19association, joint venture, trust, governmental entity, public
20or private corporation, health facility, or other legal entity.
21    "Protected health information" has the meaning ascribed to
22it under HIPAA, as specified in 45 CFR 164.103.
23    "Research" has the meaning ascribed to it under HIPAA, as
24specified in 45 CFR 164.501.
25    "State agency" means an instrumentality of the State of
26Illinois and any instrumentality of another state which

 

 

SB1821- 57 -LRB100 09678 SMS 19847 b

1pursuant to applicable law or a written undertaking with an
2instrumentality of the State of Illinois is bound to protect
3the privacy of genetic information of Illinois persons.
4    "Treatment" has the meaning ascribed to it under HIPAA, as
5specified in 45 CFR 164.501.
6    "Use" has the meaning ascribed to it under HIPAA, as
7specified in 45 CFR 160.103, where context dictates.
8(Source: P.A. 98-1046, eff. 1-1-15; 99-173, eff. 7-29-15.)
 
9    (410 ILCS 513/25)
10    Sec. 25. Use of genetic testing information by employers.
11    (a) An employer, employment agency, labor organization,
12and licensing agency shall treat genetic testing and genetic
13information in such a manner that is consistent with the
14requirements of federal law, including but not limited to the
15Genetic Information Nondiscrimination Act of 2008, the
16Americans with Disabilities Act, Title VII of the Civil Rights
17Act of 1964, the Family and Medical Leave Act of 1993, the
18Occupational Safety and Health Act of 1970, the Federal Mine
19Safety and Health Act of 1977, or the Atomic Energy Act of
201954.
21    (b) An employer may release genetic testing information
22only in accordance with this Act.
23    (c) An employer, employment agency, labor organization,
24and licensing agency shall not directly or indirectly do any of
25the following:

 

 

SB1821- 58 -LRB100 09678 SMS 19847 b

1        (1) solicit, request, require or purchase genetic
2    testing or genetic information of a person or a family
3    member of the person, or administer a genetic test to a
4    person or a family member of the person as a condition of
5    employment, preemployment application, labor organization
6    membership, or licensure;
7        (2) affect the terms, conditions, or privileges of
8    employment, preemployment application, labor organization
9    membership, or licensure, or terminate the employment,
10    labor organization membership, or licensure of any person
11    because of genetic testing or genetic information with
12    respect to the employee or family member, or information
13    about a request for or the receipt of genetic testing by
14    such employee or family member of such employee;
15        (3) limit, segregate, or classify employees in any way
16    that would deprive or tend to deprive any employee of
17    employment opportunities or otherwise adversely affect the
18    status of the employee as an employee because of genetic
19    testing or genetic information with respect to the employee
20    or a family member, or information about a request for or
21    the receipt of genetic testing or genetic information by
22    such employee or family member of such employee; and
23        (4) retaliate through discharge or in any other manner
24    against any person alleging a violation of this Act or
25    participating in any manner in a proceeding under this Act.
26    (d) An agreement between a person and an employer,

 

 

SB1821- 59 -LRB100 09678 SMS 19847 b

1prospective employer, employment agency, labor organization,
2or licensing agency, or its employees, agents, or members
3offering the person employment, labor organization membership,
4licensure, or any pay or benefit in return for taking a genetic
5test is prohibited.
6    (e) An employer shall not use genetic information or
7genetic testing in furtherance of a workplace wellness program
8benefiting employees unless (1) health or genetic services are
9offered by the employer, (2) the employee provides written
10authorization in accordance with Section 30 of this Act, (3)
11only the employee or family member if the family member is
12receiving genetic services and the licensed health care
13professional or licensed genetic counselor involved in
14providing such services receive individually identifiable
15information concerning the results of such services, and (4)
16any individually identifiable information is only available
17for purposes of such services and shall not be disclosed to the
18employer except in aggregate terms that do not disclose the
19identity of specific employees.
20    (f) Nothing in this Act shall be construed to prohibit
21genetic testing of an employee who requests a genetic test and
22who provides written authorization, in accordance with Section
2330 of this Act, from taking a genetic test for the purpose of
24initiating a workers' compensation claim under the Workers'
25Compensation Act.
26    (g) A purchase of commercially and publicly available

 

 

SB1821- 60 -LRB100 09678 SMS 19847 b

1documents, including newspapers, magazines, periodicals, and
2books but not including medical databases or court records or
3inadvertently requesting family medical history by an
4employer, employment agency, labor organization, and licensing
5agency does not violate this Act.
6    (h) Nothing in this Act shall be construed to prohibit an
7employer that conducts DNA analysis for law enforcement
8purposes as a forensic laboratory and that includes such
9analysis in the Combined DNA Index System pursuant to the
10federal Violent Crime Control and Law Enforcement Act of 1994
11from requesting or requiring genetic testing or genetic
12information of such employer's employees, but only to the
13extent that such genetic testing or genetic information is used
14for analysis of DNA identification markers for quality control
15to detect sample contamination.
16    (i) Nothing in this Act shall be construed to prohibit an
17employer from requesting or requiring genetic information to be
18used for genetic monitoring of the biological effects of toxic
19substances in the workplace, but only if (1) the employer
20provides written notice of the genetic monitoring to the
21employee; (2) the employee provides written authorization
22under Section 30 of this Act or the genetic monitoring is
23required by federal or State law; (3) the employee is informed
24of individual monitoring results; (4) the monitoring is in
25compliance with any federal genetic monitoring regulations or
26State genetic monitoring regulations under the authority of the

 

 

SB1821- 61 -LRB100 09678 SMS 19847 b

1federal Occupational Safety and Health Act of 1970; and (5) the
2employer, excluding any health care provider, health care
3professional, or health facility that is involved in the
4genetic monitoring program, receives the results of the
5monitoring only in aggregate terms that do not disclose the
6identity of specific employees.
7    (j) Despite lawful acquisition of genetic testing or
8genetic information under subsections (e) through (i) of this
9Section, an employer, employment agency, labor organization,
10and licensing agency still may not use or disclose the genetic
11test or genetic information in violation of this Act.
12    (k) Except as provided in subsections (e), (f), (h), and
13(i) of this Section, a person shall not knowingly sell to or
14interpret for an employer, employment agency, labor
15organization, or licensing agency, or its employees, agents, or
16members, a genetic test of an employee, labor organization
17member, or license holder, or of a prospective employee,
18member, or license holder.
19(Source: P.A. 98-1046, eff. 1-1-15.)
 
20    Section 85. The Environmental Protection Act is amended by
21changing Sections 22.51, 22.51a, 57.2, 57.8, 57.10, 58.2, 58.6,
22and 58.7 as follows:
 
23    (415 ILCS 5/22.51)
24    Sec. 22.51. Clean Construction or Demolition Debris Fill

 

 

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1Operations.
2    (a) No person shall conduct any clean construction or
3demolition debris fill operation in violation of this Act or
4any regulations or standards adopted by the Board.
5    (b)(1)(A) Beginning August 18, 2005 but prior to July 1,
62008, no person shall use clean construction or demolition
7debris as fill material in a current or former quarry, mine, or
8other excavation, unless they have applied for an interim
9authorization from the Agency for the clean construction or
10demolition debris fill operation.
11    (B) The Agency shall approve an interim authorization upon
12its receipt of a written application for the interim
13authorization that is signed by the site owner and the site
14operator, or their duly authorized agent, and that contains the
15following information: (i) the location of the site where the
16clean construction or demolition debris fill operation is
17taking place, (ii) the name and address of the site owner,
18(iii) the name and address of the site operator, and (iv) the
19types and amounts of clean construction or demolition debris
20being used as fill material at the site.
21    (C) The Agency may deny an interim authorization if the
22site owner or the site operator, or their duly authorized
23agent, fails to provide to the Agency the information listed in
24subsection (b)(1)(B) of this Section. Any denial of an interim
25authorization shall be subject to appeal to the Board in
26accordance with the procedures of Section 40 of this Act.

 

 

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1    (D) No person shall use clean construction or demolition
2debris as fill material in a current or former quarry, mine, or
3other excavation for which the Agency has denied interim
4authorization under subsection (b)(1)(C) of this Section. The
5Board may stay the prohibition of this subsection (D) during
6the pendency of an appeal of the Agency's denial of the interim
7authorization brought under subsection (b)(1)(C) of this
8Section.
9    (2) Beginning September 1, 2006, owners and operators of
10clean construction or demolition debris fill operations shall,
11in accordance with a schedule prescribed by the Agency, submit
12to the Agency applications for the permits required under this
13Section. The Agency shall notify owners and operators in
14writing of the due date for their permit application. The due
15date shall be no less than 90 days after the date of the
16Agency's written notification. Owners and operators who do not
17receive a written notification from the Agency by October 1,
182007, shall submit a permit application to the Agency by
19January 1, 2008. The interim authorization of owners and
20operators who fail to submit a permit application to the Agency
21by the permit application's due date shall terminate on (i) the
22due date established by the Agency if the owner or operator
23received a written notification from the Agency prior to
24October 1, 2007, or (ii) or January 1, 2008, if the owner or
25operator did not receive a written notification from the Agency
26by October 1, 2007.

 

 

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1    (3) On and after July 1, 2008, no person shall use clean
2construction or demolition debris as fill material in a current
3or former quarry, mine, or other excavation (i) without a
4permit granted by the Agency for the clean construction or
5demolition debris fill operation or in violation of any
6conditions imposed by such permit, including periodic reports
7and full access to adequate records and the inspection of
8facilities, as may be necessary to assure compliance with this
9Act and with Board regulations and standards adopted under this
10Act or (ii) in violation of any regulations or standards
11adopted by the Board under this Act.
12    (4) This subsection (b) does not apply to:
13        (A) the use of clean construction or demolition debris
14    as fill material in a current or former quarry, mine, or
15    other excavation located on the site where the clean
16    construction or demolition debris was generated;
17        (B) the use of clean construction or demolition debris
18    as fill material in an excavation other than a current or
19    former quarry or mine if this use complies with Illinois
20    Department of Transportation specifications; or
21        (C) current or former quarries, mines, and other
22    excavations that do not use clean construction or
23    demolition debris as fill material.
24    (c) In accordance with Title VII of this Act, the Board may
25adopt regulations to promote the purposes of this Section. The
26Agency shall consult with the mining and construction

 

 

SB1821- 65 -LRB100 09678 SMS 19847 b

1industries during the development of any regulations to promote
2the purposes of this Section.
3        (1) No later than December 15, 2005, the Agency shall
4    propose to the Board, and no later than September 1, 2006,
5    the Board shall adopt, regulations for the use of clean
6    construction or demolition debris as fill material in
7    current and former quarries, mines, and other excavations.
8    Such regulations shall include, but shall not be limited
9    to, standards for clean construction or demolition debris
10    fill operations and the submission and review of permits
11    required under this Section.
12        (2) Until the Board adopts rules under subsection
13    (c)(1) of this Section, all persons using clean
14    construction or demolition debris as fill material in a
15    current or former quarry, mine, or other excavation shall:
16            (A) Assure that only clean construction or
17        demolition debris is being used as fill material by
18        screening each truckload of material received using a
19        device approved by the Agency that detects volatile
20        organic compounds. Such devices may include, but are
21        not limited to, photo ionization detectors. All
22        screening devices shall be operated and maintained in
23        accordance with manufacturer's specifications.
24        Unacceptable fill material shall be rejected from the
25        site; and
26            (B) Retain for a minimum of 3 years the following

 

 

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1        information:
2                (i) The name of the hauler, the name of the
3            generator, and place of origin of the debris or
4            soil;
5                (ii) The approximate weight or volume of the
6            debris or soil; and
7                (iii) The date the debris or soil was received.
8    (d) This Section applies only to clean construction or
9demolition debris that is not considered "waste" as provided in
10Section 3.160 of this Act.
11    (e) For purposes of this Section:
12        (1) The term "operator" means a person responsible for
13    the operation and maintenance of a clean construction or
14    demolition debris fill operation.
15        (2) The term "owner" means a person who has any direct
16    or indirect interest in a clean construction or demolition
17    debris fill operation or in land on which a person operates
18    and maintains a clean construction or demolition debris
19    fill operation. A "direct or indirect interest" does not
20    include the ownership of publicly traded stock. The "owner"
21    is the "operator" if there is no other person who is
22    operating and maintaining a clean construction or
23    demolition debris fill operation.
24        (3) The term "clean construction or demolition debris
25    fill operation" means a current or former quarry, mine, or
26    other excavation where clean construction or demolition

 

 

SB1821- 67 -LRB100 09678 SMS 19847 b

1    debris is used as fill material.
2        (4) The term "uncontaminated soil" shall have the same
3    meaning as uncontaminated soil under Section 3.160 of this
4    Act.
5    (f)(1) No later than one year after the effective date of
6this amendatory Act of the 96th General Assembly, the Agency
7shall propose to the Board, and, no later than one year after
8the Board's receipt of the Agency's proposal, the Board shall
9adopt, rules for the use of clean construction or demolition
10debris and uncontaminated soil as fill material at clean
11construction or demolition debris fill operations. The rules
12must include standards and procedures necessary to protect
13groundwater, which may include, but shall not be limited to,
14the following: requirements regarding testing and
15certification of soil used as fill material, surface water
16runoff, liners or other protective barriers, monitoring
17(including, but not limited to, groundwater monitoring),
18corrective action, recordkeeping, reporting, closure and
19post-closure care, financial assurance, post-closure land use
20controls, location standards, and the modification of existing
21permits to conform to the requirements of this Act and Board
22rules. The rules may also include limits on the use of
23recyclable concrete and asphalt as fill material at clean
24construction or demolition debris fill operations, taking into
25account factors such as technical feasibility, economic
26reasonableness, and the availability of markets for such

 

 

SB1821- 68 -LRB100 09678 SMS 19847 b

1materials.
2    (2) Until the effective date of the Board rules adopted
3under subdivision (f)(1) of this Section, and in addition to
4any other requirements, owners and operators of clean
5construction or demolition debris fill operations must do all
6of the following in subdivisions (f)(2)(A) through (f)(2)(D) of
7this Section for all clean construction or demolition debris
8and uncontaminated soil accepted for use as fill material. The
9requirements in subdivisions (f)(2)(A) through (f)(2)(D) of
10this Section shall not limit any rules adopted by the Board.
11        (A) Document the following information for each load of
12    clean construction or demolition debris or uncontaminated
13    soil received: (i) the name of the hauler, the address of
14    the site of origin, and the owner and the operator of the
15    site of origin of the clean construction or demolition
16    debris or uncontaminated soil, (ii) the weight or volume of
17    the clean construction or demolition debris or
18    uncontaminated soil, and (iii) the date the clean
19    construction or demolition debris or uncontaminated soil
20    was received.
21        (B) For all soil, obtain either (i) a certification
22    from the owner or operator of the site from which the soil
23    was removed that the site has never been used for
24    commercial or industrial purposes and is presumed to be
25    uncontaminated soil or (ii) a certification from a licensed
26    Professional Engineer or a professional geologist licensed

 

 

SB1821- 69 -LRB100 09678 SMS 19847 b

1    Professional Geologist that the soil is uncontaminated
2    soil. Certifications required under this subdivision
3    (f)(2)(B) must be on forms and in a format prescribed by
4    the Agency.
5        (C) Confirm that the clean construction or demolition
6    debris or uncontaminated soil was not removed from a site
7    as part of a cleanup or removal of contaminants, including,
8    but not limited to, activities conducted under the
9    Comprehensive Environmental Response, Compensation, and
10    Liability Act of 1980, as amended; as part of a Closure or
11    Corrective Action under the Resource Conservation and
12    Recovery Act, as amended; or under an Agency remediation
13    program, such as the Leaking Underground Storage Tank
14    Program or Site Remediation Program, but excluding sites
15    subject to Section 58.16 of this Act where there is no
16    presence or likely presence of a release or a substantial
17    threat of a release of a regulated substance at, on, or
18    from the real property.
19        (D) Document all activities required under subdivision
20    (f)(2) of this Section. Documentation of any chemical
21    analysis must include, but is not limited to, (i) a copy of
22    the lab analysis, (ii) accreditation status of the
23    laboratory performing the analysis, and (iii)
24    certification by an authorized agent of the laboratory that
25    the analysis has been performed in accordance with the
26    Agency's rules for the accreditation of environmental

 

 

SB1821- 70 -LRB100 09678 SMS 19847 b

1    laboratories and the scope of accreditation.
2    (3) Owners and operators of clean construction or
3demolition debris fill operations must maintain all
4documentation required under subdivision (f)(2) of this
5Section for a minimum of 3 years following the receipt of each
6load of clean construction or demolition debris or
7uncontaminated soil, except that documentation relating to an
8appeal, litigation, or other disputed claim must be maintained
9until at least 3 years after the date of the final disposition
10of the appeal, litigation, or other disputed claim. Copies of
11the documentation must be made available to the Agency and to
12units of local government for inspection and copying during
13normal business hours. The Agency may prescribe forms and
14formats for the documentation required under subdivision
15(f)(2) of this Section.
16    Chemical analysis conducted under subdivision (f)(2) of
17this Section must be conducted in accordance with the
18requirements of 35 Ill. Adm. Code 742, as amended, and "Test
19Methods for Evaluating Solid Waste, Physical/Chemical
20Methods", USEPA Publication No. SW-846, as amended.
21    (g)(1) No person shall use soil other than uncontaminated
22soil as fill material at a clean construction or demolition
23debris fill operation.
24    (2) No person shall use construction or demolition debris
25other than clean construction or demolition debris as fill
26material at a clean construction or demolition debris fill

 

 

SB1821- 71 -LRB100 09678 SMS 19847 b

1operation.
2(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.)
 
3    (415 ILCS 5/22.51a)
4    Sec. 22.51a. Uncontaminated Soil Fill Operations.
5    (a) For purposes of this Section:
6        (1) The term "uncontaminated soil" shall have the same
7    meaning as uncontaminated soil under Section 3.160 of this
8    Act.
9        (2) The term "uncontaminated soil fill operation"
10    means a current or former quarry, mine, or other excavation
11    where uncontaminated soil is used as fill material, but
12    does not include a clean construction or demolition debris
13    fill operation.
14    (b) No person shall use soil other than uncontaminated soil
15as fill material at an uncontaminated soil fill operation.
16    (c) Owners and operators of uncontaminated soil fill
17operations must register the fill operations with the Agency.
18Uncontaminated soil fill operations that received
19uncontaminated soil prior to the effective date of this
20amendatory Act of the 96th General Assembly must be registered
21with the Agency no later than March 31, 2011. Uncontaminated
22soil fill operations that first receive uncontaminated soil on
23or after the effective date of this amendatory Act of the 96th
24General Assembly must be registered with the Agency prior to
25the receipt of any uncontaminated soil. Registrations must be

 

 

SB1821- 72 -LRB100 09678 SMS 19847 b

1submitted on forms and in a format prescribed by the Agency.
2    (d)(1) No later than one year after the effective date of
3this amendatory Act of the 96th General Assembly, the Agency
4shall propose to the Board, and, no later than one year after
5the Board's receipt of the Agency's proposal, the Board shall
6adopt, rules for the use of uncontaminated soil as fill
7material at uncontaminated soil fill operations. The rules must
8include standards and procedures necessary to protect
9groundwater, which shall include, but shall not be limited to,
10testing and certification of soil used as fill material and
11requirements for recordkeeping.
12    (2) Until the effective date of the Board rules adopted
13under subdivision (d)(1) of this Section, owners and operators
14of uncontaminated soil fill operations must do all of the
15following in subdivisions (d)(2)(A) through (d)(2)(F) of this
16Section for all uncontaminated soil accepted for use as fill
17material. The requirements in subdivisions (d)(2)(A) through
18(d)(2)(F) of this Section shall not limit any rules adopted by
19the Board.
20        (A) Document the following information for each load of
21    uncontaminated soil received: (i) the name of the hauler,
22    the address of the site of origin, and the owner and the
23    operator of the site of origin of the uncontaminated soil,
24    (ii) the weight or volume of the uncontaminated soil, and
25    (iii) the date the uncontaminated soil was received.
26        (B) Obtain either (i) a certification from the owner or

 

 

SB1821- 73 -LRB100 09678 SMS 19847 b

1    operator of the site from which the soil was removed that
2    the site has never been used for commercial or industrial
3    purposes and is presumed to be uncontaminated soil or (ii)
4    a certification from a licensed Professional Engineer or a
5    professional geologist licensed Professional Geologist
6    that the soil is uncontaminated soil. Certifications
7    required under this subdivision (d)(2)(B) must be on forms
8    and in a format prescribed by the Agency.
9        (C) Confirm that the uncontaminated soil was not
10    removed from a site as part of a cleanup or removal of
11    contaminants, including, but not limited to, activities
12    conducted under the Comprehensive Environmental Response,
13    Compensation, and Liability Act of 1980, as amended; as
14    part of a Closure or Corrective Action under the Resource
15    Conservation and Recovery Act, as amended; or under an
16    Agency remediation program, such as the Leaking
17    Underground Storage Tank Program or Site Remediation
18    Program, but excluding sites subject to Section 58.16 of
19    this Act where there is no presence or likely presence of a
20    release or a substantial threat of a release of a regulated
21    substance at, on, or from the real property.
22        (D) Visually inspect each load to confirm that only
23    uncontaminated soil is being accepted for use as fill
24    material.
25        (E) Screen each load of uncontaminated soil using a
26    device that is approved by the Agency and detects volatile

 

 

SB1821- 74 -LRB100 09678 SMS 19847 b

1    organic compounds. Such a device may include, but is not
2    limited to, a photo ionization detector or a flame
3    ionization detector. All screening devices shall be
4    operated and maintained in accordance with the
5    manufacturer's specifications. Unacceptable soil must be
6    rejected from the fill operation.
7        (F) Document all activities required under subdivision
8    (d)(2) of this Section. Documentation of any chemical
9    analysis must include, but is not limited to, (i) a copy of
10    the lab analysis, (ii) accreditation status of the
11    laboratory performing the analysis, and (iii)
12    certification by an authorized agent of the laboratory that
13    the analysis has been performed in accordance with the
14    Agency's rules for the accreditation of environmental
15    laboratories and the scope of accreditation.
16    (3) Owners and operators of uncontaminated soil fill
17operations must maintain all documentation required under
18subdivision (d)(2) of this Section for a minimum of 3 years
19following the receipt of each load of uncontaminated soil,
20except that documentation relating to an appeal, litigation, or
21other disputed claim must be maintained until at least 3 years
22after the date of the final disposition of the appeal,
23litigation, or other disputed claim. Copies of the
24documentation must be made available to the Agency and to units
25of local government for inspection and copying during normal
26business hours. The Agency may prescribe forms and formats for

 

 

SB1821- 75 -LRB100 09678 SMS 19847 b

1the documentation required under subdivision (d)(2) of this
2Section.
3    Chemical analysis conducted under subdivision (d)(2) of
4this Section must be conducted in accordance with the
5requirements of 35 Ill. Adm. Code 742, as amended, and "Test
6Methods for Evaluating Solid Waste, Physical/Chemical
7Methods", USEPA Publication No. SW-846, as amended.
8(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.)
 
9    (415 ILCS 5/57.2)
10    Sec. 57.2. Definitions. As used in this Title:
11    "Audit" means a systematic inspection or examination of
12plans, reports, records, or documents to determine the
13completeness and accuracy of the data and conclusions contained
14therein.
15    "Bodily injury" means bodily injury, sickness, or disease
16sustained by a person, including death at any time, resulting
17from a release of petroleum from an underground storage tank.
18    "Release" means any spilling, leaking, emitting,
19discharging, escaping, leaching or disposing of petroleum from
20an underground storage tank into groundwater, surface water or
21subsurface soils.
22    "Fill material" means non-native or disturbed materials
23used to bed and backfill around an underground storage tank.
24    "Fund" means the Underground Storage Tank Fund.
25    "Heating Oil" means petroleum that is No. 1, No. 2, No. 4 -

 

 

SB1821- 76 -LRB100 09678 SMS 19847 b

1light, No. 4 - heavy, No. 5 - light, No. 5 - heavy or No. 6
2technical grades of fuel oil; and other residual fuel oils
3including Navy Special Fuel Oil and Bunker C.
4    "Indemnification" means indemnification of an owner or
5operator for the amount of any judgment entered against the
6owner or operator in a court of law, for the amount of any
7final order or determination made against the owner or operator
8by an agency of State government or any subdivision thereof, or
9for the amount of any settlement entered into by the owner or
10operator, if the judgment, order, determination, or settlement
11arises out of bodily injury or property damage suffered as a
12result of a release of petroleum from an underground storage
13tank owned or operated by the owner or operator.
14    "Corrective action" means activities associated with
15compliance with the provisions of Sections 57.6 and 57.7 of
16this Title.
17    "Occurrence" means an accident, including continuous or
18repeated exposure to conditions, that results in a sudden or
19nonsudden release from an underground storage tank.
20    When used in connection with, or when otherwise relating
21to, underground storage tanks, the terms "facility", "owner",
22"operator", "underground storage tank", "(UST)", "petroleum"
23and "regulated substance" shall have the meanings ascribed to
24them in Subtitle I of the Hazardous and Solid Waste Amendments
25of 1984 (P.L. 98-616), of the Resource Conservation and
26Recovery Act of 1976 (P.L. 94-580); provided however that the

 

 

SB1821- 77 -LRB100 09678 SMS 19847 b

1term "underground storage tank" shall also mean an underground
2storage tank used exclusively to store heating oil for
3consumptive use on the premises where stored and which serves
4other than a farm or residential unit; provided further however
5that the term "owner" shall also mean any person who has
6submitted to the Agency a written election to proceed under
7this Title and has acquired an ownership interest in a site on
8which one or more registered tanks have been removed, but on
9which corrective action has not yet resulted in the issuance of
10a "no further remediation letter" by the Agency pursuant to
11this Title.
12    "Licensed Professional Engineer" means a person,
13corporation, or partnership licensed under the laws of the
14State of Illinois to practice professional engineering.
15    "Licensed Professional Geologist" means a person licensed
16under the laws of the State of Illinois to practice as a
17professional geologist.
18    "Site" means any single location, place, tract of land or
19parcel of property including contiguous property not separated
20by a public right-of-way.
21    "Site investigation" means activities associated with
22compliance with the provisions of subsection (a) of Section
2357.7.
24    "Property damage" means physical injury to, destruction
25of, or contamination of tangible property, including all
26resulting loss of use of that property; or loss of use of

 

 

SB1821- 78 -LRB100 09678 SMS 19847 b

1tangible property that is not physically injured, destroyed, or
2contaminated, but has been evacuated, withdrawn from use, or
3rendered inaccessible because of a release of petroleum from an
4underground storage tank.
5    "Class I Groundwater" means groundwater that meets the
6Class I: Potable Resource Groundwater criteria set forth in the
7Board regulations adopted pursuant to the Illinois Groundwater
8Protection Act.
9    "Class III Groundwater" means groundwater that meets the
10Class III: Special Resource Groundwater criteria set forth in
11the Board regulations adopted pursuant to the Illinois
12Groundwater Protection Act.
13(Source: P.A. 94-274, eff. 1-1-06.)
 
14    (415 ILCS 5/57.8)
15    Sec. 57.8. Underground Storage Tank Fund; payment; options
16for State payment; deferred correction election to commence
17corrective action upon availability of funds. If an owner or
18operator is eligible to access the Underground Storage Tank
19Fund pursuant to an Office of State Fire Marshal
20eligibility/deductible final determination letter issued in
21accordance with Section 57.9, the owner or operator may submit
22a complete application for final or partial payment to the
23Agency for activities taken in response to a confirmed release.
24An owner or operator may submit a request for partial or final
25payment regarding a site no more frequently than once every 90

 

 

SB1821- 79 -LRB100 09678 SMS 19847 b

1days.
2    (a) Payment after completion of corrective action
3measures. The owner or operator may submit an application for
4payment for activities performed at a site after completion of
5the requirements of Sections 57.6 and 57.7, or after completion
6of any other required activities at the underground storage
7tank site.
8        (1) In the case of any approved plan and budget for
9    which payment is being sought, the Agency shall make a
10    payment determination within 120 days of receipt of the
11    application. Such determination shall be considered a
12    final decision. The Agency's review shall be limited to
13    generally accepted auditing and accounting practices. In
14    no case shall the Agency conduct additional review of any
15    plan which was completed within the budget, beyond auditing
16    for adherence to the corrective action measures in the
17    proposal. If the Agency fails to approve the payment
18    application within 120 days, such application shall be
19    deemed approved by operation of law and the Agency shall
20    proceed to reimburse the owner or operator the amount
21    requested in the payment application. However, in no event
22    shall the Agency reimburse the owner or operator an amount
23    greater than the amount approved in the plan.
24        (2) If sufficient funds are available in the
25    Underground Storage Tank Fund, the Agency shall, within 60
26    days, forward to the Office of the State Comptroller a

 

 

SB1821- 80 -LRB100 09678 SMS 19847 b

1    voucher in the amount approved under the payment
2    application.
3        (3) In the case of insufficient funds, the Agency shall
4    form a priority list for payment and shall notify persons
5    in such priority list monthly of the availability of funds
6    and when payment shall be made. Payment shall be made to
7    the owner or operator at such time as sufficient funds
8    become available for the costs associated with site
9    investigation and corrective action and costs expended for
10    activities performed where no proposal is required, if
11    applicable. Such priority list shall be available to any
12    owner or operator upon request. Priority for payment shall
13    be determined by the date the Agency receives a complete
14    request for partial or final payment. Upon receipt of
15    notification from the Agency that the requirements of this
16    Title have been met, the Comptroller shall make payment to
17    the owner or operator of the amount approved by the Agency,
18    if sufficient money exists in the Fund. If there is
19    insufficient money in the Fund, then payment shall not be
20    made. If the owner or operator appeals a final Agency
21    payment determination and it is determined that the owner
22    or operator is eligible for payment or additional payment,
23    the priority date for the payment or additional payment
24    shall be the same as the priority date assigned to the
25    original request for partial or final payment.
26        (4) Any deductible, as determined pursuant to the

 

 

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1    Office of the State Fire Marshal's eligibility and
2    deductibility final determination in accordance with
3    Section 57.9, shall be subtracted from any payment invoice
4    paid to an eligible owner or operator. Only one deductible
5    shall apply per underground storage tank site.
6        (5) In the event that costs are or will be incurred in
7    addition to those approved by the Agency, or after payment,
8    the owner or operator may submit successive plans
9    containing amended budgets. The requirements of Section
10    57.7 shall apply to any amended plans.
11        (6) For purposes of this Section, a complete
12    application shall consist of:
13            (A) A certification from a Licensed Professional
14        Engineer or a professional geologist Licensed
15        Professional Geologist as required under this Title
16        and acknowledged by the owner or operator.
17            (B) A statement of the amounts approved in the
18        budget and the amounts actually sought for payment
19        along with a certified statement by the owner or
20        operator that the amounts so sought were expended in
21        conformance with the approved budget.
22            (C) A copy of the Office of the State Fire
23        Marshal's eligibility and deductibility determination.
24            (D) Proof that approval of the payment requested
25        will not result in the limitations set forth in
26        subsection (g) of this Section being exceeded.

 

 

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1            (E) A federal taxpayer identification number and
2        legal status disclosure certification on a form
3        prescribed and provided by the Agency.
4            (F) If the Agency determined under subsection
5        (c)(3) of Section 57.7 of this Act that corrective
6        action must include a project labor agreement, a
7        certification from the owner or operator that the
8        corrective action was (i) performed under a project
9        labor agreement that meets the requirements of Section
10        25 of the Project Labor Agreements Act and (ii)
11        implemented in a manner consistent with the terms and
12        conditions of the Project Labor Agreements Act and in
13        full compliance with all statutes, regulations, and
14        Executive Orders as required under that Act and the
15        Prevailing Wage Act.
16    (b) Commencement of site investigation or corrective
17action upon availability of funds. The Board shall adopt
18regulations setting forth procedures based on risk to human
19health or the environment under which the owner or operator who
20has received approval for any budget plan submitted pursuant to
21Section 57.7, and who is eligible for payment from the
22Underground Storage Tank Fund pursuant to an Office of the
23State Fire Marshal eligibility and deductibility
24determination, may elect to defer site investigation or
25corrective action activities until funds are available in an
26amount equal to the amount approved in the budget. The

 

 

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1regulations shall establish criteria based on risk to human
2health or the environment to be used for determining on a
3site-by-site basis whether deferral is appropriate. The
4regulations also shall establish the minimum investigatory
5requirements for determining whether the risk based criteria
6are present at a site considering deferral and procedures for
7the notification of owners or operators of insufficient funds,
8Agency review of request for deferral, notification of Agency
9final decisions, returning deferred sites to active status, and
10earmarking of funds for payment.
11    (c) When the owner or operator requests indemnification for
12payment of costs incurred as a result of a release of petroleum
13from an underground storage tank, if the owner or operator has
14satisfied the requirements of subsection (a) of this Section,
15the Agency shall forward a copy of the request to the Attorney
16General. The Attorney General shall review and approve the
17request for indemnification if:
18        (1) there is a legally enforceable judgment entered
19    against the owner or operator and such judgment was entered
20    due to harm caused by a release of petroleum from an
21    underground storage tank and such judgment was not entered
22    as a result of fraud; or
23        (2) a settlement with a third party due to a release of
24    petroleum from an underground storage tank is reasonable.
25    (d) Notwithstanding any other provision of this Title, the
26Agency shall not approve payment to an owner or operator from

 

 

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1the Fund for costs of corrective action or indemnification
2incurred during a calendar year in excess of the following
3aggregate amounts based on the number of petroleum underground
4storage tanks owned or operated by such owner or operator in
5Illinois.
6        Amount                           Number of Tanks
7        $2,000,000........................fewer than 101
8        $3,000,000................................101 or more
9        (1) Costs incurred in excess of the aggregate amounts
10    set forth in paragraph (1) of this subsection shall not be
11    eligible for payment in subsequent years.
12        (2) For purposes of this subsection, requests
13    submitted by any of the agencies, departments, boards,
14    committees or commissions of the State of Illinois shall be
15    acted upon as claims from a single owner or operator.
16        (3) For purposes of this subsection, owner or operator
17    includes (i) any subsidiary, parent, or joint stock company
18    of the owner or operator and (ii) any company owned by any
19    parent, subsidiary, or joint stock company of the owner or
20    operator.
21    (e) Costs of corrective action or indemnification incurred
22by an owner or operator which have been paid to an owner or
23operator under a policy of insurance, another written
24agreement, or a court order are not eligible for payment under
25this Section. An owner or operator who receives payment under a
26policy of insurance, another written agreement, or a court

 

 

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1order shall reimburse the State to the extent such payment
2covers costs for which payment was received from the Fund. Any
3monies received by the State under this subsection (e) shall be
4deposited into the Fund.
5    (f) (Blank.)
6    (g) The Agency shall not approve any payment from the Fund
7to pay an owner or operator:
8        (1) for costs of corrective action incurred by such
9    owner or operator in an amount in excess of $1,500,000 per
10    occurrence; and
11        (2) for costs of indemnification of such owner or
12    operator in an amount in excess of $1,500,000 per
13    occurrence.
14    (h) Payment of any amount from the Fund for corrective
15action or indemnification shall be subject to the State
16acquiring by subrogation the rights of any owner, operator, or
17other person to recover the costs of corrective action or
18indemnification for which the Fund has compensated such owner,
19operator, or person from the person responsible or liable for
20the release.
21    (i) If the Agency refuses to pay or authorizes only a
22partial payment, the affected owner or operator may petition
23the Board for a hearing in the manner provided for the review
24of permit decisions in Section 40 of this Act.
25    (j) Costs of corrective action or indemnification incurred
26by an owner or operator prior to July 28, 1989, shall not be

 

 

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1eligible for payment or reimbursement under this Section.
2    (k) The Agency shall not pay costs of corrective action or
3indemnification incurred before providing notification of the
4release of petroleum in accordance with the provisions of this
5Title.
6    (l) Corrective action does not include legal defense costs.
7Legal defense costs include legal costs for seeking payment
8under this Title unless the owner or operator prevails before
9the Board in which case the Board may authorize payment of
10legal fees.
11    (m) The Agency may apportion payment of costs for plans
12submitted under Section 57.7 if:
13        (1) the owner or operator was deemed eligible to access
14    the Fund for payment of corrective action costs for some,
15    but not all, of the underground storage tanks at the site;
16    and
17        (2) the owner or operator failed to justify all costs
18    attributable to each underground storage tank at the site.
19    (n) The Agency shall not pay costs associated with a
20corrective action plan incurred after the Agency provides
21notification to the owner or operator pursuant to item (7) of
22subsection (b) of Section 57.7 that a revised corrective action
23plan is required. Costs associated with any subsequently
24approved corrective action plan shall be eligible for
25reimbursement if they meet the requirements of this Title.
26(Source: P.A. 98-109, eff. 7-25-13.)
 

 

 

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1    (415 ILCS 5/57.10)
2    Sec. 57.10. Professional Engineer or professional
3geologist Professional Geologist certification; presumptions
4against liability.
5    (a) Within 120 days of the Agency's receipt of a corrective
6action completion report, the Agency shall issue to the owner
7or operator a "no further remediation letter" unless the Agency
8has requested a modification, issued a rejection under
9subsection (d) of this Section, or the report has been rejected
10by operation of law.
11    (b) By certifying such a statement, a Licensed Professional
12Engineer or a professional geologist Licensed Professional
13Geologist shall in no way be liable thereon, unless the
14engineer or geologist gave such certification despite his or
15her actual knowledge that the performed measures were not in
16compliance with applicable statutory or regulatory
17requirements or any plan submitted to the Agency.
18    (c) The Agency's issuance of a no further remediation
19letter shall signify, based on the certification of the
20Licensed Professional Engineer, that:
21        (1) all statutory and regulatory corrective action
22    requirements applicable to the occurrence have been
23    complied with;
24        (2) all corrective action concerning the remediation
25    of the occurrence has been completed; and

 

 

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1        (3) no further corrective action concerning the
2    occurrence is necessary for the protection of human health,
3    safety and the environment.
4This subsection (c) does not apply to off-site contamination
5related to the occurrence that has not been remediated due to
6denial of access to the off-site property.
7    (d) The no further remediation letter issued under this
8Section shall apply in favor of the following parties:
9        (1) The owner or operator to whom the letter was
10    issued.
11        (2) Any parent corporation or subsidiary of such owner
12    or operator.
13        (3) Any co-owner or co-operator, either by joint
14    tenancy, right-of-survivorship, or any other party sharing
15    a legal relationship with the owner or operator to whom the
16    letter is issued.
17        (4) Any holder of a beneficial interest of a land trust
18    or inter vivos trust whether revocable or irrevocable.
19        (5) Any mortgagee or trustee of a deed of trust of such
20    owner or operator.
21        (6) Any successor-in-interest of such owner or
22    operator.
23        (7) Any transferee of such owner or operator whether
24    the transfer was by sale, bankruptcy proceeding,
25    partition, dissolution of marriage, settlement or
26    adjudication of any civil action, charitable gift, or

 

 

SB1821- 89 -LRB100 09678 SMS 19847 b

1    bequest.
2        (8) Any heir or devisee or such owner or operator.
3        (9) An owner of a parcel of real property to the extent
4    that the no further remediation letter under subsection (c)
5    of this Section applies to the occurrence on that parcel.
6    (e) If the Agency notifies the owner or operator that the
7"no further remediation" letter has been rejected, the grounds
8for such rejection shall be described in the notice. Such a
9decision shall be a final determination which may be appealed
10by the owner or operator.
11    (f) The Board shall adopt rules setting forth the criteria
12under which the Agency may require an owner or operator to
13conduct further investigation or remediation related to a
14release for which a no further remediation letter has been
15issued.
16    (g) Holders of security interests in sites subject to the
17requirements of this Title XVI shall be entitled to the same
18protections and subject to the same responsibilities provided
19under general regulations promulgated under Subtitle I of the
20Hazardous and Solid Waste Amendments of 1984 (P.L. 98-616) of
21the Resource Conservation and Recovery Act of 1976 (P.L.
2294-580).
23(Source: P.A. 94-276, eff. 1-1-06.)
 
24    (415 ILCS 5/58.2)
25    Sec. 58.2. Definitions. The following words and phrases

 

 

SB1821- 90 -LRB100 09678 SMS 19847 b

1when used in this Title shall have the meanings given to them
2in this Section unless the context clearly indicates otherwise:
3    "Agrichemical facility" means a site on which agricultural
4pesticides are stored or handled, or both, in preparation for
5end use, or distributed. The term does not include basic
6manufacturing facility sites.
7    "ASTM" means the American Society for Testing and
8Materials.
9    "Area background" means concentrations of regulated
10substances that are consistently present in the environment in
11the vicinity of a site that are the result of natural
12conditions or human activities, and not the result solely of
13releases at the site.
14    "Brownfields site" or "brownfields" means a parcel of real
15property, or a portion of the parcel, that has actual or
16perceived contamination and an active potential for
17redevelopment.
18    "Class I groundwater" means groundwater that meets the
19Class I Potable Resource groundwater criteria set forth in the
20Board rules adopted under the Illinois Groundwater Protection
21Act.
22    "Class III groundwater" means groundwater that meets the
23Class III Special Resource Groundwater criteria set forth in
24the Board rules adopted under the Illinois Groundwater
25Protection Act.
26    "Carcinogen" means a contaminant that is classified as a

 

 

SB1821- 91 -LRB100 09678 SMS 19847 b

1Category A1 or A2 Carcinogen by the American Conference of
2Governmental Industrial Hygienists; or a Category 1 or 2A/2B
3Carcinogen by the World Health Organizations International
4Agency for Research on Cancer; or a "Human Carcinogen" or
5"Anticipated Human Carcinogen" by the United States Department
6of Health and Human Service National Toxicological Program; or
7a Category A or B1/B2 Carcinogen by the United States
8Environmental Protection Agency in Integrated Risk Information
9System or a Final Rule issued in a Federal Register notice by
10the USEPA as of the effective date of this amendatory Act of
111995.
12    "Licensed Professional Engineer" (LPE) means a person,
13corporation, or partnership licensed under the laws of this
14State to practice professional engineering.
15    "Licensed Professional Geologist" means a person licensed
16under the laws of the State of Illinois to practice as a
17professional geologist.
18    "RELPEG" means a Licensed Professional Engineer or a
19professional geologist Licensed Professional Geologist engaged
20in review and evaluation under this Title.
21    "Man-made pathway" means constructed routes that may allow
22for the transport of regulated substances including, but not
23limited to, sewers, utility lines, utility vaults, building
24foundations, basements, crawl spaces, drainage ditches, or
25previously excavated and filled areas.
26    "Municipality" means an incorporated city, village, or

 

 

SB1821- 92 -LRB100 09678 SMS 19847 b

1town in this State. "Municipality" does not mean a township,
2town when that term is used as the equivalent of a township,
3incorporated town that has superseded a civil township, county,
4or school district, park district, sanitary district, or
5similar governmental district.
6    "Natural pathway" means natural routes for the transport of
7regulated substances including, but not limited to, soil,
8groundwater, sand seams and lenses, and gravel seams and
9lenses.
10    "Person" means individual, trust, firm, joint stock
11company, joint venture, consortium, commercial entity,
12corporation (including a government corporation), partnership,
13association, State, municipality, commission, political
14subdivision of a State, or any interstate body including the
15United States Government and each department, agency, and
16instrumentality of the United States.
17    "Regulated substance" means any hazardous substance as
18defined under Section 101(14) of the Comprehensive
19Environmental Response, Compensation, and Liability Act of
201980 (P.L. 96-510) and petroleum products including crude oil
21or any fraction thereof, natural gas, natural gas liquids,
22liquefied natural gas, or synthetic gas usable for fuel (or
23mixtures of natural gas and such synthetic gas).
24    "Remedial action" means activities associated with
25compliance with the provisions of Sections 58.6 and 58.7.
26    "Remediation Applicant" (RA) means any person seeking to

 

 

SB1821- 93 -LRB100 09678 SMS 19847 b

1perform or performing investigative or remedial activities
2under this Title, including the owner or operator of the site
3or persons authorized by law or consent to act on behalf of or
4in lieu of the owner or operator of the site.
5    "Remediation costs" means reasonable costs paid for
6investigating and remediating regulated substances of concern
7consistent with the remedy selected for a site.
8    For purposes of Section 58.14, "remediation costs" shall
9not include costs incurred prior to January 1, 1998, costs
10incurred after the issuance of a No Further Remediation Letter
11under Section 58.10 of this Act, or costs incurred more than 12
12months prior to acceptance into the Site Remediation Program.
13    For the purpose of Section 58.14a, "remediation costs" do
14not include any costs incurred before January 1, 2007, any
15costs incurred after the issuance of a No Further Remediation
16Letter under Section 58.10, or any costs incurred more than 12
17months before acceptance into the Site Remediation Program.
18    "Residential property" means any real property that is used
19for habitation by individuals and other property uses defined
20by Board rules such as education, health care, child care and
21related uses.
22    "River Edge Redevelopment Zone" has the meaning set forth
23under the River Edge Redevelopment Zone Act.
24    "Site" means any single location, place, tract of land or
25parcel of property, or portion thereof, including contiguous
26property separated by a public right-of-way.

 

 

SB1821- 94 -LRB100 09678 SMS 19847 b

1    "Regulated substance of concern" means any contaminant
2that is expected to be present at the site based upon past and
3current land uses and associated releases that are known to the
4Remediation Applicant based upon reasonable inquiry.
5(Source: P.A. 95-454, eff. 8-27-07.)
 
6    (415 ILCS 5/58.6)
7    Sec. 58.6. Remedial investigations and reports.
8    (a) Any RA who proceeds under this Title may elect to seek
9review and approval for any of the remediation objectives
10provided in Section 58.5 for any or all regulated substances of
11concern. The RA shall conduct investigations and remedial
12activities for regulated substances of concern and prepare
13plans and reports in accordance with this Section and rules
14adopted hereunder. The RA shall submit the plans and reports
15for review and approval in accordance with Section 58.7. All
16investigations, plans, and reports conducted or prepared under
17this Section shall be under the supervision of a Licensed
18Professional Engineer (LPE) or, in the case of a site
19investigation only, a professional geologist Licensed
20Professional Geologist in accordance with the requirements of
21this Title.
22    (b) (1) Site investigation and Site Investigation Report.
23    The RA shall conduct a site investigation to determine the
24    significant physical features of the site and vicinity that
25    may affect contaminant transport and risk to human health,

 

 

SB1821- 95 -LRB100 09678 SMS 19847 b

1    safety, and the environment and to determine the nature,
2    concentration, direction and rate of movement, and extent
3    of the contamination at the site.
4        (2) The RA shall compile the results of the
5    investigations into a Site Investigation Report. At a
6    minimum, the reports shall include the following, as
7    applicable:
8            (A) Executive summary;
9            (B) Site history;
10            (C) Site-specific sampling methods and results;
11            (D) Documentation of field activities, including
12        quality assurance project plan;
13            (E) Interpretation of results; and
14            (F) Conclusions.
15    (c) Remediation Objectives Report.
16        (1) If a RA elects to determine remediation objectives
17    appropriate for the site using the Tier II or Tier III
18    procedures under subsection (d) of Section 58.5, the RA
19    shall develop such remediation objectives based on
20    site-specific information. In support of such remediation
21    objectives, the RA shall prepare a Remediation Objectives
22    Report demonstrating how the site-specific objectives were
23    calculated or otherwise determined.
24        (2) If a RA elects to determine remediation objectives
25    appropriate for the site using the area background
26    procedures under subsection (b) of Section 58.5, the RA

 

 

SB1821- 96 -LRB100 09678 SMS 19847 b

1    shall develop such remediation objectives based on
2    site-specific literature review, sampling protocol, or
3    appropriate statistical methods in accordance with Board
4    rules. In support of such remediation objectives, the RA
5    shall prepare a Remediation Objectives Report
6    demonstrating how the area background remediation
7    objectives were determined.
8    (d) Remedial Action Plan. If the approved remediation
9objectives for any regulated substance established under
10Section 58.5 are less than the levels existing at the site
11prior to any remedial action, the RA shall prepare a Remedial
12Action Plan. The Remedial Action Plan shall describe the
13selected remedy and evaluate its ability and effectiveness to
14achieve the remediation objectives approved for the site. At a
15minimum, the reports shall include the following, as
16applicable:
17        (1) Executive summary;
18        (2) Statement of remediation objectives;
19        (3) Remedial technologies selected;
20        (4) Confirmation sampling plan;
21        (5) Current and projected future use of the property;
22    and
23        (6) Applicable preventive, engineering, and
24    institutional controls including long-term reliability,
25    operating, and maintenance plans, and monitoring
26    procedures.

 

 

SB1821- 97 -LRB100 09678 SMS 19847 b

1    (e) Remedial Action Completion Report.
2        (1) Upon completion of the Remedial Action Plan, the RA
3    shall prepare a Remedial Action Completion Report. The
4    report shall demonstrate whether the remedial action was
5    completed in accordance with the approved Remedial Action
6    Plan and whether the remediation objectives, as well as any
7    other requirements of the plan, have been attained.
8        (2) If the approved remediation objectives for the
9    regulated substances of concern established under Section
10    58.5 are equal to or above the levels existing at the site
11    prior to any remedial action, notification and
12    documentation of such shall constitute the entire Remedial
13    Action Completion Report for purposes of this Title.
14    (f) Ability to proceed. The RA may elect to prepare and
15submit for review and approval any and all reports or plans
16required under the provisions of this Section individually,
17following completion of each such activity; concurrently,
18following completion of all activities; or in any other
19combination. In any event, the review and approval process
20shall proceed in accordance with Section 58.7 and rules adopted
21thereunder.
22    (g) Nothing in this Section shall prevent an RA from
23implementing or conducting an interim or any other remedial
24measure prior to election to proceed under Section 58.6.
25    (h) In accordance with Section 58.11, the Agency shall
26propose and the Board shall adopt rules to carry out the

 

 

SB1821- 98 -LRB100 09678 SMS 19847 b

1purposes of this Section.
2(Source: P.A. 92-735, eff. 7-25-02.)
 
3    (415 ILCS 5/58.7)
4    Sec. 58.7. Review and approvals.
5    (a) Requirements. All plans and reports that are submitted
6pursuant to this Title shall be submitted for review or
7approval in accordance with this Section.
8    (b) Review and evaluation by the Agency.
9        (1) Except for sites excluded under subdivision (a) (2)
10    of Section 58.1, the Agency shall, subject to available
11    resources, agree to provide review and evaluation services
12    for activities carried out pursuant to this Title for which
13    the RA requested the services in writing. As a condition
14    for providing such services, the Agency may require that
15    the RA for a site:
16            (A) Conform with the procedures of this Title;
17            (B) Allow for or otherwise arrange site visits or
18        other site evaluation by the Agency when so requested;
19            (C) Agree to perform the Remedial Action Plan as
20        approved under this Title;
21            (D) Agree to pay any reasonable costs incurred and
22        documented by the Agency in providing such services;
23            (E) Make an advance partial payment to the Agency
24        for such anticipated services in an amount, acceptable
25        to the Agency, but not to exceed $5,000 or one-half of

 

 

SB1821- 99 -LRB100 09678 SMS 19847 b

1        the total anticipated costs of the Agency, whichever
2        sum is less; and
3            (F) Demonstrate, if necessary, authority to act on
4        behalf of or in lieu of the owner or operator.
5        (2) Any moneys received by the State for costs incurred
6    by the Agency in performing review or evaluation services
7    for actions conducted pursuant to this Title shall be
8    deposited in the Hazardous Waste Fund.
9        (3) An RA requesting services under subdivision (b) (1)
10    of this Section may, at any time, notify the Agency, in
11    writing, that Agency services previously requested are no
12    longer wanted. Within 180 days after receipt of the notice,
13    the Agency shall provide the RA with a final invoice for
14    services provided until the date of such notifications.
15        (4) The Agency may invoice or otherwise request or
16    demand payment from a RA for costs incurred by the Agency
17    in performing review or evaluation services for actions by
18    the RA at sites only if:
19            (A) The Agency has incurred costs in performing
20        response actions, other than review or evaluation
21        services, due to the failure of the RA to take response
22        action in accordance with a notice issued pursuant to
23        this Act;
24            (B) The RA has agreed in writing to the payment of
25        such costs;
26            (C) The RA has been ordered to pay such costs by

 

 

SB1821- 100 -LRB100 09678 SMS 19847 b

1        the Board or a court of competent jurisdiction pursuant
2        to this Act; or
3            (D) The RA has requested or has consented to Agency
4        review or evaluation services under subdivision
5        (b)  (1) of this Section.
6        (5) The Agency may, subject to available resources,
7    agree to provide review and evaluation services for
8    response actions if there is a written agreement among
9    parties to a legal action or if a notice to perform a
10    response action has been issued by the Agency.
11    (c) Review and evaluation by a Licensed Professional
12Engineer or a professional geologist Licensed Professional
13Geologist. A RA may elect to contract with a Licensed
14Professional Engineer or, in the case of a site investigation
15report only, a professional geologist Licensed Professional
16Geologist, who will perform review and evaluation services on
17behalf of and under the direction of the Agency relative to the
18site activities.
19        (1) Prior to entering into the contract with the
20    RELPEG, the RA shall notify the Agency of the RELPEG to be
21    selected. The Agency and the RA shall discuss the potential
22    terms of the contract.
23        (2) At a minimum, the contract with the RELPEG shall
24    provide that the RELPEG will submit any reports directly to
25    the Agency, will take his or her directions for work
26    assignments from the Agency, and will perform the assigned

 

 

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1    work on behalf of the Agency.
2        (3) Reasonable costs incurred by the Agency shall be
3    paid by the RA directly to the Agency in accordance with
4    the terms of the review and evaluation services agreement
5    entered into under subdivision (b) (1) of Section 58.7.
6        (4) In no event shall the RELPEG acting on behalf of
7    the Agency be an employee of the RA or the owner or
8    operator of the site or be an employee of any other person
9    the RA has contracted to provide services relative to the
10    site.
11    (d) Review and approval. All reviews required under this
12Title shall be carried out by the Agency or a RELPEG, both
13under the direction of a Licensed Professional Engineer or, in
14the case of the review of a site investigation only, a
15professional geologist Licensed Professional Geologist.
16        (1) All review activities conducted by the Agency or a
17    RELPEG shall be carried out in conformance with this Title
18    and rules promulgated under Section 58.11.
19        (2) Subject to the limitations in subsection (c) and
20    this subsection (d), the specific plans, reports, and
21    activities that the Agency or a RELPEG may review include:
22            (A) Site Investigation Reports and related
23        activities;
24            (B) Remediation Objectives Reports;
25            (C) Remedial Action Plans and related activities;
26        and

 

 

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1            (D) Remedial Action Completion Reports and related
2        activities.
3        (3) Only the Agency shall have the authority to
4    approve, disapprove, or approve with conditions a plan or
5    report as a result of the review process including those
6    plans and reports reviewed by a RELPEG. If the Agency
7    disapproves a plan or report or approves a plan or report
8    with conditions, the written notification required by
9    subdivision (d) (4) of this Section shall contain the
10    following information, as applicable:
11            (A) An explanation of the Sections of this Title
12        that may be violated if the plan or report was
13        approved;
14            (B) An explanation of the provisions of the rules
15        promulgated under this Title that may be violated if
16        the plan or report was approved;
17            (C) An explanation of the specific type of
18        information, if any, that the Agency deems the
19        applicant did not provide the Agency;
20            (D) A statement of specific reasons why the Title
21        and regulations might not be met if the plan or report
22        were approved; and
23            (E) An explanation of the reasons for conditions if
24        conditions are required.
25        (4) Upon approving, disapproving, or approving with
26    conditions a plan or report, the Agency shall notify the RA

 

 

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1    in writing of its decision. In the case of approval or
2    approval with conditions of a Remedial Action Completion
3    Report, the Agency shall prepare a No Further Remediation
4    Letter that meets the requirements of Section 58.10 and
5    send a copy of the letter to the RA.
6        (5) All reviews undertaken by the Agency or a RELPEG
7    shall be completed and the decisions communicated to the RA
8    within 60 days of the request for review or approval. The
9    RA may waive the deadline upon a request from the Agency.
10    If the Agency disapproves or approves with conditions a
11    plan or report or fails to issue a final decision within
12    the 60 day period and the RA has not agreed to a waiver of
13    the deadline, the RA may, within 35 days, file an appeal to
14    the Board. Appeals to the Board shall be in the manner
15    provided for the review of permit decisions in Section 40
16    of this Act.
17    (e) Standard of review. In making determinations, the
18following factors, and additional factors as may be adopted by
19the Board in accordance with Section 58.11, shall be considered
20by the Agency when reviewing or approving plans, reports, and
21related activities, or the RELPEG, when reviewing plans,
22reports, and related activities:
23        (1) Site Investigation Reports and related activities:
24    Whether investigations have been conducted and the results
25    compiled in accordance with the appropriate procedures and
26    whether the interpretations and conclusions reached are

 

 

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1    supported by the information gathered. In making the
2    determination, the following factors shall be considered:
3            (A) The adequacy of the description of the site and
4        site characteristics that were used to evaluate the
5        site;
6            (B) The adequacy of the investigation of potential
7        pathways and risks to receptors identified at the site;
8        and
9            (C) The appropriateness of the sampling and
10        analysis used.
11        (2) Remediation Objectives Reports: Whether the
12    remediation objectives are consistent with the
13    requirements of the applicable method for selecting or
14    determining remediation objectives under Section 58.5. In
15    making the determination, the following factors shall be
16    considered:
17            (A) If the objectives were based on the
18        determination of area background levels under
19        subsection (b) of Section 58.5, whether the review of
20        current and historic conditions at or in the immediate
21        vicinity of the site has been thorough and whether the
22        site sampling and analysis has been performed in a
23        manner resulting in accurate determinations;
24            (B) If the objectives were calculated on the basis
25        of predetermined equations using site specific data,
26        whether the calculations were accurately performed and

 

 

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1        whether the site specific data reflect actual site
2        conditions; and
3            (C) If the objectives were determined using a site
4        specific risk assessment procedure, whether the
5        procedure used is nationally recognized and accepted,
6        whether the calculations were accurately performed,
7        and whether the site specific data reflect actual site
8        conditions.
9        (3) Remedial Action Plans and related activities:
10    Whether the plan will result in compliance with this Title,
11    and rules adopted under it and attainment of the applicable
12    remediation objectives. In making the determination, the
13    following factors shall be considered:
14            (A) The likelihood that the plan will result in the
15        attainment of the applicable remediation objectives;
16            (B) Whether the activities proposed are consistent
17        with generally accepted engineering practices; and
18            (C) The management of risk relative to any
19        remaining contamination, including but not limited to,
20        provisions for the long-term enforcement, operation,
21        and maintenance of institutional and engineering
22        controls, if relied on.
23        (4) Remedial Action Completion Reports and related
24    activities: Whether the remedial activities have been
25    completed in accordance with the approved Remedial Action
26    Plan and whether the applicable remediation objectives

 

 

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1    have been attained.
2    (f) All plans and reports submitted for review shall
3include a Licensed Professional Engineer's certification that
4all investigations and remedial activities were carried out
5under his or her direction and, to the best of his or her
6knowledge and belief, the work described in the plan or report
7has been completed in accordance with generally accepted
8engineering practices, and the information presented is
9accurate and complete. In the case of a site investigation
10report prepared or supervised by a professional geologist
11Licensed Professional Geologist, the required certification
12may be made by the professional geologist Licensed Professional
13Geologist (rather than a Licensed Professional Engineer) and
14based upon generally accepted principles of professional
15geology.
16    (g) In accordance with Section 58.11, the Agency shall
17propose and the Board shall adopt rules to carry out the
18purposes of this Section. At a minimum, the rules shall detail
19the types of services the Agency may provide in response to
20requests under subdivision (b) (1) of this Section and the
21recordkeeping it will utilize in documenting to the RA the
22costs incurred by the Agency in providing such services.
23    (h) Public participation.
24        (1) The Agency shall develop guidance to assist RA's in
25    the implementation of a community relations plan to address
26    activity at sites undergoing remedial action pursuant to

 

 

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1    this Title.
2        (2) The RA may elect to enter into a services agreement
3    with the Agency for Agency assistance in community outreach
4    efforts.
5        (3) The Agency shall maintain a registry listing those
6    sites undergoing remedial action pursuant to this Title.
7        (4) Notwithstanding any provisions of this Section,
8    the RA of a site undergoing remedial activity pursuant to
9    this Title may elect to initiate a community outreach
10    effort for the site.
11(Source: P.A. 95-331, eff. 8-21-07.)
 
12    Section 90. The Unified Code of Corrections is amended by
13changing Section 5-5-5 as follows:
 
14    (730 ILCS 5/5-5-5)  (from Ch. 38, par. 1005-5-5)
15    Sec. 5-5-5. Loss and Restoration of Rights.
16    (a) Conviction and disposition shall not entail the loss by
17the defendant of any civil rights, except under this Section
18and Sections 29-6 and 29-10 of The Election Code, as now or
19hereafter amended.
20    (b) A person convicted of a felony shall be ineligible to
21hold an office created by the Constitution of this State until
22the completion of his sentence.
23    (c) A person sentenced to imprisonment shall lose his right
24to vote until released from imprisonment.

 

 

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1    (d) On completion of sentence of imprisonment or upon
2discharge from probation, conditional discharge or periodic
3imprisonment, or at any time thereafter, all license rights and
4privileges granted under the authority of this State which have
5been revoked or suspended because of conviction of an offense
6shall be restored unless the authority having jurisdiction of
7such license rights finds after investigation and hearing that
8restoration is not in the public interest. This paragraph (d)
9shall not apply to the suspension or revocation of a license to
10operate a motor vehicle under the Illinois Vehicle Code.
11    (e) Upon a person's discharge from incarceration or parole,
12or upon a person's discharge from probation or at any time
13thereafter, the committing court may enter an order certifying
14that the sentence has been satisfactorily completed when the
15court believes it would assist in the rehabilitation of the
16person and be consistent with the public welfare. Such order
17may be entered upon the motion of the defendant or the State or
18upon the court's own motion.
19    (f) Upon entry of the order, the court shall issue to the
20person in whose favor the order has been entered a certificate
21stating that his behavior after conviction has warranted the
22issuance of the order.
23    (g) This Section shall not affect the right of a defendant
24to collaterally attack his conviction or to rely on it in bar
25of subsequent proceedings for the same offense.
26    (h) No application for any license specified in subsection

 

 

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1(i) of this Section granted under the authority of this State
2shall be denied by reason of an eligible offender who has
3obtained a certificate of relief from disabilities, as defined
4in Article 5.5 of this Chapter, having been previously
5convicted of one or more criminal offenses, or by reason of a
6finding of lack of "good moral character" when the finding is
7based upon the fact that the applicant has previously been
8convicted of one or more criminal offenses, unless:
9        (1) there is a direct relationship between one or more
10    of the previous criminal offenses and the specific license
11    sought; or
12        (2) the issuance of the license would involve an
13    unreasonable risk to property or to the safety or welfare
14    of specific individuals or the general public.
15    In making such a determination, the licensing agency shall
16consider the following factors:
17        (1) the public policy of this State, as expressed in
18    Article 5.5 of this Chapter, to encourage the licensure and
19    employment of persons previously convicted of one or more
20    criminal offenses;
21        (2) the specific duties and responsibilities
22    necessarily related to the license being sought;
23        (3) the bearing, if any, the criminal offenses or
24    offenses for which the person was previously convicted will
25    have on his or her fitness or ability to perform one or
26    more such duties and responsibilities;

 

 

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1        (4) the time which has elapsed since the occurrence of
2    the criminal offense or offenses;
3        (5) the age of the person at the time of occurrence of
4    the criminal offense or offenses;
5        (6) the seriousness of the offense or offenses;
6        (7) any information produced by the person or produced
7    on his or her behalf in regard to his or her rehabilitation
8    and good conduct, including a certificate of relief from
9    disabilities issued to the applicant, which certificate
10    shall create a presumption of rehabilitation in regard to
11    the offense or offenses specified in the certificate; and
12        (8) the legitimate interest of the licensing agency in
13    protecting property, and the safety and welfare of specific
14    individuals or the general public.
15    (i) A certificate of relief from disabilities shall be
16issued only for a license or certification issued under the
17following Acts:
18        (1) the Animal Welfare Act; except that a certificate
19    of relief from disabilities may not be granted to provide
20    for the issuance or restoration of a license under the
21    Animal Welfare Act for any person convicted of violating
22    Section 3, 3.01, 3.02, 3.03, 3.03-1, or 4.01 of the Humane
23    Care for Animals Act or Section 26-5 or 48-1 of the
24    Criminal Code of 1961 or the Criminal Code of 2012;
25        (2) the Illinois Athletic Trainers Practice Act;
26        (3) the Barber, Cosmetology, Esthetics, Hair Braiding,

 

 

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1    and Nail Technology Act of 1985;
2        (4) the Boiler and Pressure Vessel Repairer Regulation
3    Act;
4        (5) the Boxing and Full-contact Martial Arts Act;
5        (6) the Illinois Certified Shorthand Reporters Act of
6    1984;
7        (7) the Illinois Farm Labor Contractor Certification
8    Act;
9        (8) the Interior Design Title Act;
10        (9) the Illinois Professional Land Surveyor Act of
11    1989;
12        (10) (blank) the Illinois Landscape Architecture Act
13    of 1989;
14        (11) the Marriage and Family Therapy Licensing Act;
15        (12) the Private Employment Agency Act;
16        (13) the Professional Counselor and Clinical
17    Professional Counselor Licensing and Practice Act;
18        (14) the Real Estate License Act of 2000;
19        (15) the Illinois Roofing Industry Licensing Act;
20        (16) the Professional Engineering Practice Act of
21    1989;
22        (17) the Water Well and Pump Installation Contractor's
23    License Act;
24        (18) (blank) the Electrologist Licensing Act;
25        (19) the Auction License Act;
26        (20) the Illinois Architecture Practice Act of 1989;

 

 

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1        (21) the Dietitian Nutritionist Practice Act;
2        (22) the Environmental Health Practitioner Licensing
3    Act;
4        (23) the Funeral Directors and Embalmers Licensing
5    Code;
6        (24) (blank) the Land Sales Registration Act of 1999;
7        (25) (blank) the Professional Geologist Licensing Act;
8        (26) the Illinois Public Accounting Act; and
9        (27) the Structural Engineering Practice Act of 1989.
10(Source: P.A. 97-119, eff. 7-14-11; 97-706, eff. 6-25-12;
1197-1108, eff. 1-1-13; 97-1141, eff. 12-28-12; 97-1150, eff.
121-25-13; 98-756, eff. 7-16-14.)
 
13    (765 ILCS 86/Act rep.)
14    Section 95. The Land Sales Registration Act of 1999 is
15repealed.
 
16    (765 ILCS 101/Act rep.)
17    Section 100. The Real Estate Timeshare Act of 1999 is
18repealed.
 
19    Section 999. Effective date. This Act takes effect upon
20becoming law.

 

 

SB1821- 113 -LRB100 09678 SMS 19847 b

1 INDEX
2 Statutes amended in order of appearance
3    5 ILCS 80/4.30
4    5 ILCS 80/4.32
5    5 ILCS 80/4.34
6    5 ILCS 80/4.36
7    5 ILCS 80/4.35 rep.
8    70 ILCS 1205/8-50
9    70 ILCS 1505/26.10-4
10    210 ILCS 25/7-101from Ch. 111 1/2, par. 627-101
11    225 ILCS 135/Act rep.
12    225 ILCS 315/Act rep.
13    225 ILCS 401/Act rep.
14    225 ILCS 407/5-10
15    225 ILCS 407/10-1
16    225 ILCS 407/10-27 rep.
17    225 ILCS 412/Act rep.
18    225 ILCS 430/Act rep.
19    225 ILCS 454/1-10
20    225 ILCS 454/5-20
21    225 ILCS 454/20-20
22    225 ILCS 454/20-85
23    225 ILCS 745/Act rep.
24    410 ILCS 54/10
25    410 ILCS 513/10

 

 

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1    410 ILCS 513/25
2    415 ILCS 5/22.51
3    415 ILCS 5/22.51a
4    415 ILCS 5/57.2
5    415 ILCS 5/57.8
6    415 ILCS 5/57.10
7    415 ILCS 5/58.2
8    415 ILCS 5/58.6
9    415 ILCS 5/58.7
10    730 ILCS 5/5-5-5from Ch. 38, par. 1005-5-5
11    765 ILCS 86/Act rep.
12    765 ILCS 101/Act rep.