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Sec. 17-2.11. School board power to levy a tax or to borrow |
money and
issue bonds for fire prevention, safety, energy |
conservation,
accessibility, school security, and specified |
repair purposes. |
(a) Whenever, as a
result of any lawful order of any |
agency,
other than a school board, having authority to enforce |
any school building code
applicable to any facility that houses |
students, or any law or regulation for
the protection and |
safety of the environment, pursuant to the Environmental
|
Protection Act, any school district having a population of less |
than 500,000
inhabitants is required to alter or reconstruct |
any school building or
permanent, fixed equipment; the district |
may, by proper resolution, levy a tax for the purpose of making |
such alteration or reconstruction, based on a survey report by |
an architect or engineer licensed in this State, upon all of |
the taxable property of the district at the value as assessed |
by the Department of Revenue and at a rate not to exceed 0.05% |
per year for a period sufficient to finance such alteration or |
reconstruction, upon the following conditions: |
(1) When there are not sufficient funds available in |
the operations and maintenance fund of the school district, |
the school facility occupation tax fund of the district, or |
the fire prevention and safety fund of the district, as |
determined by the district on the basis of rules adopted by |
the State Board of Education, to make such alteration or |
reconstruction or to purchase and install such permanent, |
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fixed equipment so ordered or determined as necessary. |
Appropriate school district records must be made available |
to the State Superintendent of Education, upon request, to |
confirm this insufficiency. |
(2) When a certified estimate of an architect or |
engineer licensed in this State stating the estimated |
amount necessary to make the alteration or reconstruction |
or to purchase and install the equipment so ordered has |
been secured by the school district, and the estimate has |
been approved by the regional superintendent of schools |
having jurisdiction over the district and the State |
Superintendent of Education. Approval must not be granted |
for any work that has already started without the prior |
express authorization of the State Superintendent of |
Education. If the estimate is not approved or is denied |
approval by the regional superintendent of schools within 3 |
months after the date on which it is submitted to him or |
her, the school board of the district may submit the |
estimate directly to the State Superintendent of Education |
for approval or denial. |
In the case of an emergency situation, where the estimated |
cost to effectuate emergency repairs is less than the amount |
specified in Section 10-20.21 of this Code, the school district |
may proceed with such repairs prior to approval by the State |
Superintendent of Education, but shall comply with the |
provisions of subdivision (2) of this subsection (a) as soon |
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thereafter as may be as well as Section 10-20.21 of this Code. |
If the estimated cost to effectuate emergency repairs is |
greater than the amount specified in Section 10-20.21 of this |
Code, then the school district shall proceed in conformity with |
Section 10-20.21 of this Code and with rules established by the |
State Board of Education to address such situations. The rules |
adopted by the State Board of Education to deal with these |
situations shall stipulate that emergency situations must be |
expedited and given priority consideration. For purposes of |
this paragraph, an emergency is a situation that presents an |
imminent and continuing threat to the health and safety of |
students or other occupants of a facility, requires complete or |
partial evacuation of a building or part of a building, or |
consumes one or more of the 5 emergency days built into the |
adopted calendar of the school or schools or would otherwise be |
expected to cause such school or schools to fall short of the |
minimum school calendar requirements. |
(b) Whenever any such district determines that
it is |
necessary for energy conservation purposes that any school |
building
or permanent, fixed equipment should be altered or |
reconstructed and
that such alterations or reconstruction will |
be made with funds not necessary
for the completion of approved |
and recommended projects contained in any safety
survey report |
or amendments thereto authorized by Section 2-3.12 of this Act; |
the district may levy a tax or issue bonds as provided in |
subsection (a) of this Section. |
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(c) Whenever
any such district determines that it is |
necessary for accessibility purposes and to comply with the |
school building
code that any
school building or equipment |
should be altered or reconstructed and that such
alterations or |
reconstruction will be made with
funds not necessary for the |
completion of approved and recommended projects
contained in |
any safety survey report or amendments thereto authorized under
|
Section 2-3.12 of this Act, the district may levy a tax or |
issue bonds as provided in subsection (a) of this Section. |
(d) Whenever any such district determines that it is
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necessary for school
security purposes and the related |
protection and safety of pupils and school
personnel that any |
school building or property should be altered or
reconstructed |
or that security systems and equipment (including but not |
limited
to intercom, early detection and warning, access |
control and television
monitoring systems) should be purchased |
and installed, and that such
alterations, reconstruction or |
purchase and installation of equipment will be
made with funds |
not necessary for the completion of approved and recommended
|
projects contained in any safety survey report or amendment |
thereto authorized
by Section 2-3.12 of this Act and will deter |
and prevent unauthorized entry or
activities upon school |
property by unknown or dangerous persons, assure early
|
detection and advance warning of any such actual or attempted |
unauthorized
entry or activities and help assure the continued |
safety of pupils and school
staff if any such unauthorized |
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entry or activity is attempted or occurs;
the district may levy |
a tax or issue bonds as provided in subsection (a) of this |
Section. |
(e) If a school district does not need funds for other fire |
prevention and
safety projects, including the completion of |
approved and recommended projects
contained in any safety |
survey report or amendments thereto authorized by
Section |
2-3.12 of this Act, and it is determined after a public hearing |
(which
is preceded by at least one published notice (i) |
occurring at least 7 days
prior to the hearing in a newspaper |
of general circulation within the school
district and (ii) |
setting forth the time, date, place, and general subject
matter |
of the hearing) that there is a
substantial, immediate, and |
otherwise unavoidable threat to the health, safety,
or welfare |
of pupils due to disrepair of school sidewalks, playgrounds, |
parking
lots, or school bus turnarounds and repairs must be |
made; then the district may levy a tax or issue bonds as |
provided in subsection (a) of this Section. |
(f) For purposes of this Section a school district may |
replace a school
building or build additions to replace |
portions of a building when it is
determined that the |
effectuation of the recommendations for the existing
building |
will cost more than the replacement costs. Such determination |
shall
be based on a comparison of estimated costs made by an |
architect or engineer
licensed in the State of Illinois. The |
new building or addition shall be
equivalent in area (square |
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feet) and comparable in purpose and grades served
and may be on |
the same site or another site. Such replacement may only be |
done
upon order of the regional superintendent of schools and |
the approval of the
State Superintendent of Education. |
(g) The filing of a certified copy of the resolution |
levying the tax when
accompanied by the certificates of the |
regional superintendent of schools and
State Superintendent of |
Education shall be the authority of the county clerk to
extend |
such tax. |
(h) The county clerk of the county in which any school |
district levying a
tax under the authority of this Section is |
located, in reducing raised
levies, shall not consider any such |
tax as a part of the general levy
for school purposes and shall |
not include the same in the limitation of
any other tax rate |
which may be extended. |
Such tax shall be levied and collected in like manner as |
all other
taxes of school districts, subject to the provisions |
contained in this Section. |
(i) The tax rate limit specified in this Section may be |
increased to .10%
upon the approval of a proposition to effect |
such increase by a majority
of the electors voting on that |
proposition at a regular scheduled election.
Such proposition |
may be initiated by resolution of the school board and
shall be |
certified by the secretary to the proper election authorities |
for
submission in accordance with the general election law. |
(j) When taxes are levied by any school district for fire |
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prevention,
safety, energy conservation, and school security |
purposes as specified in this
Section, and the purposes for |
which the taxes have been
levied are accomplished and paid in |
full, and there remain funds on hand in
the Fire Prevention and |
Safety Fund from the proceeds of the taxes levied,
including |
interest earnings thereon, the school board by resolution shall |
use
such excess and other board restricted funds, excluding |
bond proceeds and
earnings from such proceeds, as follows: |
(1) for other authorized fire prevention,
safety, |
energy conservation, required safety inspections, and |
school security purposes , sampling for lead in drinking |
water in schools, and for repair and mitigation due to lead |
levels in the drinking water supply and for required safety |
inspections ;
or |
(2) for transfer to the Operations and Maintenance Fund
|
for the purpose of abating an equal amount of operations |
and maintenance
purposes taxes. |
Notwithstanding subdivision (2) of this subsection (j) and |
subsection (k) of this Section, through June 30, 2019, the |
school board
may, by proper resolution following a public |
hearing set by the
school board or the president of the school |
board (that is
preceded (i) by at least one published notice |
over the name of
the clerk or secretary of the board, occurring |
at least 7 days
and not more than 30 days prior to the hearing, |
in a newspaper
of general circulation within the school |
district and (ii) by
posted notice over the name of the clerk |
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or secretary of the
board, at least 48 hours before the |
hearing, at the principal
office of the school board or at the |
building where the hearing
is to be held if a principal office |
does not exist, with both
notices setting forth the time, date, |
place, and subject matter
of the hearing), transfer surplus |
life safety taxes and interest earnings thereon to the |
Operations and Maintenance Fund for building repair work. |
(k) If any transfer is made to the Operation and |
Maintenance
Fund, the secretary of the school board shall |
within 30 days notify
the county clerk of the amount of that |
transfer and direct the clerk to
abate the taxes to be extended |
for the purposes of operations and
maintenance authorized under |
Section 17-2 of this Act by an amount equal
to such transfer. |
(l) If the proceeds from the tax levy authorized by this
|
Section are insufficient to complete the work approved under |
this
Section, the school board is authorized to sell bonds |
without referendum
under the provisions of this Section in an |
amount that, when added to the
proceeds of the tax levy |
authorized by this Section, will allow completion
of the |
approved work. |
(m) Any bonds issued pursuant to this Section shall bear |
interest at a rate not to exceed the maximum rate
authorized by |
law at the time of the making of the contract, shall mature
|
within 20 years from date, and shall be signed by the president |
of the school
board and the treasurer of the school district. |
(n) In order to authorize and issue such bonds, the school |
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board shall adopt
a resolution fixing the amount of bonds, the |
date thereof, the maturities
thereof, rates of interest |
thereof, place of payment and denomination,
which shall be in |
denominations of not less than $100 and not more than
$5,000, |
and provide for the levy and collection of a direct annual tax |
upon
all the taxable property in the school district sufficient |
to pay the
principal and interest on such bonds to maturity. |
Upon the filing in the
office of the county clerk of the county |
in which the school district is
located of a certified copy of |
the resolution, it is the duty of the
county clerk to extend |
the tax therefor in addition to and in excess of all
other |
taxes heretofore or hereafter authorized to be
levied by such |
school district. |
(o) After the time such bonds are issued as provided for by |
this Section, if
additional alterations or reconstructions are |
required to be made because
of surveys conducted by an |
architect or engineer licensed in the State of
Illinois, the |
district may levy a tax at a rate not to exceed .05% per year
|
upon all the taxable property of the district or issue |
additional bonds,
whichever action shall be the most feasible. |
(p) This Section is cumulative and constitutes complete |
authority for the
issuance of bonds as provided in this Section |
notwithstanding any other
statute or law to the contrary. |
(q) With respect to instruments for the payment of money |
issued under this
Section either before, on, or after the |
effective date of Public Act 86-004
(June 6, 1989), it is, and |
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always has been, the intention of the General
Assembly (i) that |
the Omnibus Bond Acts are, and always have been,
supplementary |
grants of power to issue instruments in accordance with the
|
Omnibus Bond Acts, regardless of any provision of this Act that |
may appear
to be or to have been more restrictive than those |
Acts, (ii) that the
provisions of this Section are not a |
limitation on the supplementary
authority granted by the |
Omnibus Bond Acts, and (iii) that instruments
issued under this |
Section within the supplementary authority granted by the
|
Omnibus Bond Acts are not invalid because of any provision of |
this Act that
may appear to be or to have been more restrictive |
than those Acts. |
(r) When the purposes for which the bonds are issued have |
been accomplished
and paid for in full and there remain funds |
on hand from the proceeds of
the bond sale and interest |
earnings therefrom, the board shall, by
resolution, use such |
excess funds in accordance with the provisions of
Section |
10-22.14 of this Act. |
(s) Whenever any tax is levied or bonds issued for fire |
prevention, safety,
energy conservation, and school security |
purposes, such proceeds shall be
deposited and accounted for |
separately within the Fire Prevention and Safety
Fund. |
(Source: P.A. 98-26, eff. 6-21-13; 98-1066, eff. 8-26-14; |
99-143, eff. 7-27-15; 99-713, eff. 8-5-16.)
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(105 ILCS 5/17-2A) (from Ch. 122, par. 17-2A)
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Sec. 17-2A. Interfund transfers. |
(a) The school board of any district having a population of |
less than
500,000 inhabitants may, by proper resolution |
following a public hearing
set by the school board or the |
president of the school board
(that is preceded (i) by at least |
one published notice over the name of
the clerk
or secretary of |
the board, occurring at least 7 days and not more than 30
days
|
prior to the hearing, in a newspaper of general circulation |
within the
school
district and (ii) by posted notice over the |
name of the clerk or secretary of
the board, at least 48 hours |
before the hearing, at the principal office of the
school board |
or at the building where the hearing is to be held if a |
principal
office does not exist, with both notices setting |
forth the time, date, place,
and subject matter of the
|
hearing), transfer money from (1) the Educational Fund to the |
Operations
and
Maintenance Fund or the Transportation Fund, (2) |
the Operations and
Maintenance Fund to the Educational Fund or |
the Transportation Fund, or (3) the
Transportation Fund to the |
Educational Fund or the Operations and Maintenance
Fund , or (4) |
the Tort Immunity Fund to the Operations and Maintenance Fund |
of said
district,
provided that, except during the period from |
July 1, 2003 through June 30, 2019, such transfer is made |
solely for the purpose of meeting one-time,
non-recurring |
expenses. Except during the period from July 1, 2003 through
|
June 30, 2019 and except as otherwise provided in subsection |
(b) of this Section, any other permanent interfund transfers |
|
authorized
by any provision or judicial interpretation of this |
Code for which the
transferee fund is not precisely and |
specifically set forth in the provision of
this Code |
authorizing such transfer shall be made to the fund of the |
school
district most in need of the funds being transferred, as |
determined by
resolution of the school board. |
(b) (Blank). Notwithstanding subsection (a) of this |
Section or any
other provision of this Code to the contrary, |
the school board
of any school district (i) that is subject to |
the Property Tax
Extension Limitation Law, (ii) that has a |
population of less
than 500,000 inhabitants, (iii) that is |
levying at its maximum
tax rate, (iv) whose total equalized |
assessed valuation has
declined 20% in the prior 2 years, (v) |
in which 80% or more
of its students receive free or |
reduced-price lunch, and (vi) that had an equalized assessed |
valuation of less than $207 million but more than $203 million |
in the 2011 levy year may annually, until July 1, 2016, |
transfer money from any fund of the district, other than the |
Illinois Municipal Retirement Fund and the Bonds and Interest |
Fund, to the educational fund, the operations and maintenance |
fund, or the transportation fund of the district by proper |
resolution following a public hearing set by the school board |
or the president of the school board, with notice as provided |
in subsection (a) of this Section, so long as the district |
meets the qualifications set forth in this subsection (b) on |
the effective date of this amendatory Act of the 98th General |
|
Assembly even if the district does not meet those |
qualifications at the time a given transfer is made.
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(Source: P.A. 98-26, eff. 6-21-13; 98-131, eff. 1-1-14; 99-713, |
eff. 8-5-16.)
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Section 15. The Public Utilities Act is amended by adding |
Section 9-246 as follows: |
(220 ILCS 5/9-246 new) |
Sec. 9-246. Rates; lead hazard cost recovery by |
investor-owned water utilities. In determining the rates for an |
investor-owned public utility engaged in providing water |
service, the Commission shall allow the utility to recover |
annually any reasonable costs incurred by the utility to comply |
with Section 35.5 of the Illinois Plumbing License Law. |
Section 20. The Child Care Act of 1969 is amended by adding |
Section 5.9 as follows: |
(225 ILCS 10/5.9 new) |
Sec. 5.9. Lead testing of water in licensed day care |
centers, day care homes and group day care homes. |
(a) On or before January 1, 2018, the Department, in |
consultation with the Department of Public Health, shall adopt |
rules that prescribe the procedures and standards to be used by |
the Department in assessing levels of lead in water in licensed |
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day care centers, day care homes, and group day care homes |
constructed on or before January 1, 2000 that serve children |
under the age of 6. Such rules shall, at a minimum, include |
provisions regarding testing parameters, the notification of |
sampling results, training requirements for lead exposure and |
mitigation. |
(b) After adoption of the rules required by subsection (a), |
and as part of an initial application or application for |
renewal of a license for day care centers, day care homes, and |
group day care homes, the Department shall require proof that |
the applicant has complied with all such rules. |
Section 25. The Illinois Plumbing License Law is amended by |
adding Section 35.5 as follows: |
(225 ILCS 320/35.5 new) |
Sec. 35.5. Lead in drinking water prevention. |
(a) The General Assembly finds that lead has been detected |
in the drinking water of schools in this State. The General |
Assembly also finds that infants and young children may suffer |
adverse health effects and developmental delays as a result of |
exposure to even low levels of lead. The General Assembly |
further finds that it is in the best interests of the people of |
the State to require school districts or chief school |
administrators, or the designee of the school district or chief |
school administrator, to test for lead in drinking water in |
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school buildings and provide written notification of the test |
results. |
The purpose of this Section is to require (i) school |
districts or chief school administrators, or the designees of |
the school districts or chief school administrators, to test |
for lead with the goal of providing school building occupants |
with an adequate supply of safe, potable water; and (ii) school |
districts or chief school administrators, or the designees of |
the school districts or chief school administrators, to notify |
the parents and legal guardians of enrolled students of the |
sampling results from their respective school buildings. |
(b) For the purposes of this Section: |
"Community water system" has the meaning provided in 35 |
Ill. Adm. Code 611.101. |
"School building" means any facility or portion thereof |
that was constructed on or before January 1, 2000 and may be |
occupied by more than 10 children or students, pre-kindergarten |
through grade 5, under the control of (a) a school district or |
(b) a public, private, charter, or nonpublic day or residential |
educational institution. |
"Source of potable water" means the point at which |
non-bottled water that may be ingested by children or used for |
food preparation exits any tap, faucet, drinking fountain, wash |
basin in a classroom occupied by children or students under |
grade 1, or similar point of use; provided, however, that all |
(a) bathroom sinks and (b) wash basins used by janitorial staff |
|
are excluded from this definition. |
(c) Each school district or chief school administrator, or |
the designee of each school district or chief school |
administrator, shall test each source of potable water in a |
school building for lead contamination as required in this |
subsection. |
(1) Each school district or chief school |
administrator, or the designee of each school district or |
chief school administrator, shall, at a minimum, (a) |
collect a first-draw 250 milliliter sample of water, (b) |
flush for 30 seconds, and (c) collect a second-draw 250 |
milliliter sample from each source of potable water located |
at each corresponding school building; provided, however, |
that to the extent that multiple sources of potable water |
utilize the same drain, (i) the foregoing collection |
protocol is required for one such source of potable water, |
and (ii) only a first-draw 250 milliliter sample of water |
is required from the remaining such sources of potable |
water. The water corresponding to the first-draw 250 |
milliliter sample from each source of potable water shall |
have been standing in the plumbing pipes for at least 8 |
hours, but not more than 18 hours, without any flushing of |
the source of potable water before sample collection. |
(2) Each school district or chief school |
administrator, or the designee of each school district or |
chief school administrator, shall submit or cause to be |
|
submitted (A) the samples to an Illinois Environmental |
Protection Agency-accredited laboratory for analysis for |
lead in accordance with the instructions supplied by an |
Illinois Environmental Protection Agency-accredited |
laboratory and (B) the written sampling results to the |
Department within 7 business days of receipt of the |
results. |
(3) If any of the samples taken in the school exceed 5 |
parts per billion, the school district or chief school |
administrator, or the designee of the school district or |
chief school administrator, shall promptly provide an |
individual notification of the sampling results, via |
written or electronic communication, to the parents or |
legal guardians of all enrolled students and include the |
following information: the corresponding sampling location |
within the school building and the United States |
Environmental Protection Agency's website for information |
about lead in drinking water. If any of the samples taken |
at the school are at or below 5 parts per billion, |
notification may be made as provided in this paragraph or |
by posting on the school's website. |
(4) Sampling and analysis required under this Section |
shall be completed by the following applicable deadlines: |
for school buildings constructed prior to January 1, 1987, |
by December 31, 2017; and for school buildings constructed |
between January 2, 1987 and January 1, 2000, by December |
|
31, 2018. |
(5) A school district or chief school administrator, or |
the designee of the school district or chief school |
administrator, may seek a waiver of the requirements of |
this subsection from the Department, if (A) the school |
district or chief school administrator, or the designee of |
the school district or chief school administrator, |
collected at least one 250 milliliter or greater sample of |
water from each source of potable water that had been |
standing in the plumbing pipes for at least 6 hours and |
that was collected without flushing the source of potable |
water before collection, (B) an Illinois Environmental |
Protection Agency-accredited laboratory analyzed the |
samples, (C) test results were obtained prior to the |
effective date of this amendatory Act of the 99th General |
Assembly, but after January 1, 2013, and (D) test results |
were submitted to the Department within 120 days of the |
effective date of this amendatory Act of the 99th General |
Assembly. |
(6) The owner or operator of a community water system |
may agree to pay for the cost of the laboratory analysis of |
the samples required under this Section and may utilize the |
lead hazard cost recovery fee under Section 11-150.1-1 of |
the Illinois Municipal Code or other available funds to |
defray said costs. |
(7) Lead sampling results obtained shall not be used |
|
for purposes of determining compliance with the Board's |
rules that implement the national primary drinking water |
regulations for lead and copper. |
(d) By no later than June 30, 2019, the Department shall |
determine whether it is necessary and appropriate to protect |
public health to require schools constructed in whole or in |
part after January 1, 2000 to conduct testing for lead from |
sources of potable water, taking into account, among other |
relevant information, the results of testing conducted |
pursuant to this Section. |
(e) Within 90 days of the effective date of this amendatory |
Act of the 99th General Assembly, the Department shall post on |
its website guidance on mitigation actions for lead in drinking |
water, and ongoing water management practices, in schools. In |
preparing such guidance, the Department may, in part, reference |
the United States Environmental Protection Agency's 3Ts for |
Reducing Lead in Drinking Water in Schools. |
Section 30. The Environmental Protection Act is amended by |
changing Section 19.3 and by adding Section 17.11 as follows: |
(415 ILCS 5/17.11 new) |
Sec. 17.11. Lead in drinking water notifications and |
inventories. |
(a) The purpose of this Section is to require the owners |
and operators of community water systems to (i) create a |
|
comprehensive lead service line inventory; and (ii) provide |
notice to occupants of potentially affected residences of |
construction or repair work on water mains, lead service lines, |
or water meters. |
(b) For the purposes of this Section: |
"Community water system" has the meaning provided in 35 |
Ill. Adm. Code 611.101. |
"Potentially affected residence" means any residence |
where water service is or may be temporarily interrupted or |
shut off by or on behalf of an owner or operator of a |
community water system because construction or repair work |
is to be performed by or on behalf of the owner or operator |
of a community water system on or affecting a water main, |
service line, or water meter. |
"Small system" has the meaning provided in 35 Ill. Adm. |
Code 611.350. |
(c) The owner or operator of each community water system in |
the State shall develop a water distribution system material |
inventory that shall be submitted in written or electronic form |
to the Agency on an annual basis commencing on April 15, 2018 |
and continuing on each April 15 thereafter until the water |
distribution system material inventory is completed. In |
addition to meeting the requirements for water distribution |
system material inventories that are mandated by the United |
States Environmental Protection Agency, each water |
distribution system material inventory shall identify: |
|
(1) the total number of service lines within or |
connected to the distribution system, including privately |
owned service lines; |
(2) the number of all known lead service lines within |
or connected to the distribution system, including |
privately owned lead service lines; and |
(3) the number of the lead service lines that were |
added to the inventory after the previous year's |
submission. |
Nothing in this subsection shall be construed to require |
that service lines be unearthed. |
(d) Beginning on January 1, 2018, when conducting routine |
inspections of community water systems as required under this |
Act, the Agency may conduct a separate audit to identify |
progress that the community water system has made toward |
completing the water distribution system material inventories |
required under subsection (c) of this Section. |
(e) The owner or operator of the community water system |
shall provide notice of construction or repair work on a water |
main service line, or water meter in accordance with the |
following requirements: |
(1) At least 14 days prior to beginning planned work to |
repair or replace any water mains or lead service lines, |
the owner or operator of a community water system shall |
notify, through an individual written notice, each |
potentially affected residence of the planned work. In |
|
cases where a community water system must perform |
construction or repair work on an emergency basis or where |
such work is not scheduled at least 14 days prior to work |
taking place, the community water system shall notify each |
potentially affected residence as soon as reasonably |
possible. When work is to repair or replace a water meter, |
the notification shall be provided at the time the work is |
initiated. |
(2) Such notification shall include, at a minimum: |
(A) a warning that the work may result in sediment, |
possibly containing lead, in the residence's water |
supply; and |
(B) information concerning best practices for |
preventing the consumption of any lead in drinking |
water, including a recommendation to flush water lines |
during and after the completion of the repair or |
replacement work and to clean faucet aerator screens; |
and |
(C) information regarding the dangers of lead in |
young children. |
(3) To the extent that the owner or operator of a |
community water system serves a significant proportion of |
non-English speaking consumers, the notification must |
contain information in the appropriate languages regarding |
the importance of the notice, and it must contain a |
telephone number or address where a person served may |
|
contact the owner or operator of the community water system |
to obtain a translated copy of the notification or to |
request assistance in the appropriate language. |
(4) Notwithstanding anything to the contrary set forth |
in this Section, to the extent that (a) notification is |
required for the entire community served by a community |
water system, (b) notification is required for |
construction or repairs occurring on an emergency basis, or |
(c) the community water system is a small system, |
publication notification, through a local media, social |
media or other similar means, may be utilized in lieu of an |
individual written notification. |
(5) If an owner or operator is required to provide an |
individual written notification to a residence that is a |
multidwelling building, posting a written notification on |
the primary entrance way to the building shall be |
sufficient. |
(6) The notification requirements in this subsection |
(e) do not apply to work performed on water mains that are |
used to transmit treated water between community water |
systems and have no service connections. |
(7) The owner or operator of a community water system |
may seek a full or partial waiver of the requirements of |
this subsection from the Agency if (i) the community water |
system was originally constructed without lead, (ii) the |
residential structures were constructed under local |
|
building codes that categorically prohibited lead |
construction materials or the owner or operator of a |
community water system certifies that any residential |
structures requiring notification were constructed without |
lead, and (iii) no lead sediment is likely to be present |
within the community water system or residential |
structures. The owner or operator of a community water |
system may seek a time-limited or permanent waiver. |
(8) The owner and operator of a community water system |
shall not be required to comply with this subsection (e) to |
the extent that the corresponding water distribution |
system material inventory has been completed that |
demonstrates the water distribution system does not |
contain any lead.
|
(415 ILCS 5/19.3) (from Ch. 111 1/2, par. 1019.3)
|
Sec. 19.3. Water Revolving Fund.
|
(a) There is hereby created within the State Treasury a |
Water Revolving
Fund, consisting of 3 interest-bearing special |
programs to be known as the
Water Pollution Control Loan |
Program, the Public Water Supply Loan Program, and
the Loan |
Support Program, which shall be used and administered by the |
Agency.
|
(b) The Water Pollution Control Loan Program shall be used |
and administered
by the Agency to provide assistance for the |
following purposes:
|
|
(1) to accept and retain funds from grant awards, |
appropriations,
transfers, and payments of interest and |
principal;
|
(2) to make direct loans at or below market interest |
rates and to provide additional subsidization, including, |
but not limited to, forgiveness of principal, negative |
interest rates, and grants, to any
eligible local |
government unit to finance the construction of
treatments |
works, including storm water treatment systems that are |
treatment works, and projects that fulfill federal State |
Revolving Fund grant requirements for a green project |
reserve;
|
(2.5) with respect to funds provided under the American |
Recovery and Reinvestment Act of 2009: |
(A) to make direct loans at or below market |
interest rates to any eligible local government unit |
and to provide additional subsidization to any |
eligible local government unit, including, but not |
limited to, forgiveness of principal, negative |
interest rates, and grants; |
(B) to make direct loans at or below market |
interest rates to any eligible local government unit to |
buy or refinance debt obligations for treatment works |
incurred on or after October 1, 2008; and |
(C) to provide additional subsidization, |
including, but not limited to, forgiveness of |
|
principal, negative interest rates, and grants for |
treatment works incurred on or after October 1, 2008; |
(3) to make direct loans at or below market interest |
rates and to provide additional subsidization, including, |
but not limited to, forgiveness of principal, negative |
interest rates, and grants, to any
eligible local |
government unit to buy or refinance debt obligations for |
costs
incurred after March 7, 1985, for the construction of |
treatment works, including storm water treatment systems |
that are treatment works, and projects that fulfill federal |
State Revolving Fund grant requirements for a green project |
reserve;
|
(3.5) to make loans, including, but not limited to, |
loans through a linked deposit program, at or below market |
interest rates for the
implementation of a management |
program established under Section 319 of the
Federal Water |
Pollution Control Act, as amended;
|
(4) to guarantee or purchase insurance for local |
obligations
where such action would improve credit market |
access or reduce interest rates;
|
(5) as a source of revenue or security for the payment |
of principal and
interest on revenue or general obligation |
bonds issued by the State or any
political subdivision or |
instrumentality thereof, if the proceeds of such
bonds will |
be deposited in the Fund;
|
(6) to finance the reasonable costs incurred by the |
|
Agency in the
administration of the Fund;
|
(7) to transfer funds to the Public Water Supply Loan |
Program; and
|
(8) notwithstanding any other provision of this |
subsection (b), to provide, in accordance with rules |
adopted under this Title, any other financial assistance |
that may be provided under Section 603 of the Federal Water |
Pollution Control Act for any other projects or activities |
eligible for assistance under that Section or federal rules |
adopted to implement that Section. |
(c) The Loan Support Program shall be used and administered |
by the Agency
for the following purposes:
|
(1) to accept and retain funds from grant awards and |
appropriations;
|
(2) to finance the reasonable costs incurred by the |
Agency in the
administration of the Fund, including |
activities under Title III of this
Act, including the |
administration of the State
construction grant program;
|
(3) to transfer funds to the Water Pollution Control |
Loan
Program and the Public Water Supply Loan Program;
|
(4) to accept and retain a portion of the loan |
repayments;
|
(5) to finance the development of the low interest loan
|
programs for water pollution control and public water |
supply projects;
|
(6) to finance the reasonable costs incurred by the |
|
Agency to provide
technical assistance for public water |
supplies; and
|
(7) to finance the reasonable costs incurred by the |
Agency for
public water system supervision programs, to |
administer or provide for
technical assistance through |
source water protection programs, to develop and
implement |
a capacity development strategy, to delineate and assess |
source water
protection areas, and for an operator |
certification program in accordance with
Section 1452 of |
the federal Safe Drinking Water Act.
|
(d) The Public Water Supply Loan Program shall be used and |
administered by
the Agency to provide assistance to local |
government units and privately owned
community water supplies |
for public water
supplies for the following public purposes:
|
(1) to accept and retain funds from grant awards, |
appropriations,
transfers, and payments of interest and |
principal;
|
(2) to make direct loans at or below market interest |
rates and to provide additional subsidization, including, |
but not limited to, forgiveness of principal, negative |
interest rates, and grants, to any eligible
local |
government unit or to any eligible privately owned |
community water supply
to finance the construction of water |
supplies and projects that fulfill federal State Revolving |
Fund grant requirements for a green project reserve;
|
(2.5) with respect to funds provided under the American |
|
Recovery and Reinvestment Act of 2009: |
(A) to make direct loans at or below market |
interest rates to any eligible local government unit or |
to any eligible privately owned community water |
supply, and to provide additional subsidization to any |
eligible local government unit or to any eligible |
privately owned community water supply, including, but |
not limited to, forgiveness of principal, negative |
interest rates, and grants; |
(B) to buy or refinance the debt obligation of a |
local government unit for costs incurred on or after |
October 1, 2008; and
|
(C) to provide additional subsidization, |
including, but not limited to, forgiveness of |
principal, negative interest rates, and grants for a |
local government unit for costs incurred on or after |
October 1, 2008; |
(3) to make direct loans at or below market interest |
rates and to provide additional subsidization, including, |
but not limited to, forgiveness of principal, negative |
interest rates, and grants, to any eligible local |
government unit or to any eligible privately owned |
community water supply to buy or refinance debt obligations |
for
costs incurred on or after July 17, 1997, for the |
construction of water supplies and projects that fulfill |
federal State Revolving Fund requirements for a green |
|
project reserve;
|
(4) to guarantee local obligations where such action |
would improve credit
market access or reduce interest |
rates;
|
(5) as a source of revenue or security for the payment |
of principal and
interest on revenue or general obligation |
bonds issued by the State or any
political subdivision or |
instrumentality thereof, if the proceeds of such
bonds will |
be deposited into the Fund; and
|
(6) to transfer funds to the Water Pollution Control |
Loan Program ; and .
|
(7) notwithstanding any other provision of this |
subsection (d), to provide to local government units and |
privately owned community water supplies any other |
financial assistance that may be provided under Section |
1452 of the federal Safe Drinking Water Act for any |
expenditures eligible for assistance under that Section or |
federal rules adopted to implement that Section. |
(e) The Agency is designated as the administering agency of |
the Fund.
The Agency shall submit to the Regional Administrator |
of the United States
Environmental Protection Agency an |
intended use plan which outlines the
proposed use of funds |
available to the State. The Agency shall take all
actions |
necessary to secure to the State the benefits of the federal
|
Water Pollution Control Act and the federal Safe Drinking Water |
Act, as now
or hereafter amended.
|
|
(f) The Agency shall have the power to enter into |
intergovernmental
agreements with the federal government or |
the State, or any instrumentality
thereof, for purposes of |
capitalizing the Water Revolving Fund.
Moneys on deposit in the |
Water Revolving Fund may be used for the
creation of reserve |
funds or pledged funds that secure the obligations
of repayment |
of loans made pursuant to this Section. For the purpose
of |
obtaining capital for deposit into the Water Revolving Fund, |
the
Agency may also enter into agreements with financial |
institutions and other
persons for the purpose of selling loans |
and developing a secondary market
for such loans. The Agency |
shall have the power to create and establish such
reserve funds |
and accounts as may be necessary or desirable to accomplish its
|
purposes under this subsection and to allocate its available |
moneys into such
funds and accounts. Investment earnings on |
moneys held in the Water Revolving
Fund, including any reserve |
fund or pledged fund, shall be deposited into the
Water |
Revolving Fund.
|
(Source: P.A. 98-782, eff. 7-23-14; 99-187, eff. 7-29-15.)
|
Section 35. The Local Governmental and Governmental |
Employees Tort
Immunity Act is amended by changing Section |
9-107 as follows:
|
(745 ILCS 10/9-107) (from Ch. 85, par. 9-107)
|
Sec. 9-107. Policy; tax levy.
|
|
(a) The General Assembly finds that the purpose of this |
Section is to
provide an extraordinary tax for funding expenses |
relating to (i) tort liability,
(ii) liability relating to |
actions brought under the federal Comprehensive Environmental |
Response, Compensation, and Liability Act of 1980 or the |
Environmental Protection Act, but only until December 31, 2010, |
(iii) insurance, and (iv) risk management programs. Thus, the |
tax has been excluded from
various limitations otherwise |
applicable to tax levies. Notwithstanding the
extraordinary |
nature of the tax authorized by this Section, however, it has
|
become apparent that some units of
local government are using |
the tax revenue to fund expenses more properly paid
from |
general operating funds. These uses of the revenue are |
inconsistent with
the limited purpose of the tax authorization.
|
Therefore, the General Assembly declares, as a matter of |
policy, that (i) the
use of the tax revenue authorized by this |
Section for purposes not expressly
authorized under this Act is |
improper and (ii) the provisions of this Section
shall be |
strictly construed
consistent with this declaration and the |
Act's express purposes.
|
(b) A local public entity may annually levy or have levied |
on
its behalf taxes upon all taxable property within its |
territory at
a rate that will produce a sum that will be |
sufficient to:
(i) pay the cost
of insurance, individual or |
joint self-insurance (including
reserves thereon), including |
all operating and administrative costs and
expenses directly |
|
associated therewith, claims services and risk management
|
directly attributable to loss prevention and loss reduction, |
legal services
directly attributable
to the insurance, |
self-insurance, or joint self-insurance program, and
|
educational, inspectional, and supervisory
services directly |
relating to loss prevention and loss reduction, participation
|
in a reciprocal
insurer as provided in Sections 72, 76, and 81 |
of the Illinois Insurance Code,
or participation in a
|
reciprocal insurer, all as provided in settlements or judgments |
under
Section 9-102, including all costs and reserves directly |
attributable to
being a member of an insurance
pool, under |
Section 9-103; (ii) pay the costs of and principal
and interest |
on bonds issued under Section 9-105; (iii) pay judgments
and |
settlements under Section 9-104 of this Act; (iv) discharge
|
obligations under Section 34-18.1 of the School
Code or make |
transfers under Section 17-2A of the School Code ; (v) pay |
judgments and settlements under the federal Comprehensive |
Environmental Response, Compensation, and Liability Act of |
1980 and the Environmental Protection Act, but only until |
December 31, 2010; (vi) pay the costs authorized by the |
Metro-East Sanitary District Act of 1974 as provided in |
subsection (a) of Section 5-1 of that Act (70 ILCS 2905/5-1) ; |
and (vii)
pay the cost of
risk management programs.
Provided it |
complies with any other applicable
statutory requirements, the |
local public entity may self-insure and
establish reserves for |
expected losses for any property damage or for any
liability or |
|
loss for which
the local public entity is authorized to levy or |
have levied on its behalf
taxes for the purchase of insurance |
or the payment of judgments or
settlements under this Section. |
The decision of the board to establish a
reserve shall be based |
on reasonable actuarial or insurance underwriting
evidence and |
subject to the limits and reporting provisions in Section
|
9-103.
|
If a school district was a member of a |
joint-self-health-insurance
cooperative that had more |
liability in outstanding claims than revenue to pay
those |
claims, the school board of that district may by resolution
|
make a one-time transfer from any fund in which tort immunity |
moneys are
maintained to the fund
or funds from which
payments |
to a joint-self-health-insurance
cooperative can
be or have |
been made of an amount not to exceed the amount of the
|
liability claim that the school district
owes to the |
joint-self-health-insurance cooperative or that the school |
district
paid within the 2 years immediately preceding the |
effective date of this
amendatory Act
of the 92nd General |
Assembly.
|
Funds raised pursuant to this Section shall , unless |
lawfully transferred as provided in Section 17-2A of the School |
Code, only be used for the purposes
specified in this Act, |
including protection against and reduction of any
liability or |
loss described
hereinabove and under
Federal or State common or |
statutory law, the Workers' Compensation Act,
the Workers' |
|
Occupational Diseases Act and the Unemployment Insurance Act.
|
Funds
raised pursuant to this Section may be invested in any |
manner in which
other funds of local public entities may be |
invested under Section 2 of the
Public Funds Investment Act. |
Interest on such
funds shall be used only for purposes for |
which the funds can be used or,
if surplus, must be used for |
abatement of property
taxes levied by the local taxing entity.
|
A local public entity may enter into intergovernmental |
contracts with a
term of not to exceed 12 years for the |
provision of joint self-insurance
which contracts may include |
an obligation to pay a proportional share of a
general |
obligation or revenue bond or other debt instrument issued by a
|
local public entity which is a party to the intergovernmental |
contract and
is authorized by the terms of the contract to |
issue the bond or other debt
instrument. Funds due under such |
contracts shall not be considered debt
under any constitutional |
or statutory limitation and the local public
entity may levy or |
have levied on its behalf taxes to pay for its
proportional |
share under the contract. Funds raised pursuant to
|
intergovernmental contracts for the provision of joint |
self-insurance may
only be used for the payment of any cost, |
liability or loss against which
a local public entity may |
protect itself or self-insure pursuant to Section
9-103 or for |
the payment of which such entity may levy a tax pursuant to
|
this Section, including tort judgments or settlements, costs
|
associated with the issuance, retirement or refinancing of the |
|
bonds or
other debt instruments, the repayment of the principal |
or interest of the
bonds or other debt instruments, the costs |
of the administration of the
joint self-insurance fund, |
consultant, and risk care management programs or
the costs of |
insurance. Any surplus returned to the local public entity
|
under the terms of the intergovernmental contract shall be used |
only for
purposes set forth in subsection (a) of Section 9-103 |
and Section 9-107 or for
abatement of property
taxes levied by |
the local taxing entity.
|
Any tax levied under this Section shall be levied and |
collected in
like manner with the general taxes of the entity |
and shall be exclusive
of and in addition to the amount of tax |
that entity is now or may
hereafter be authorized to levy for |
general purposes under any statute
which may limit the amount |
of tax which that entity may levy for general
purposes. The |
county clerk of the county in which any part of the
territory |
of the local taxing entity is located, in reducing tax levies
|
under the provisions of any Act concerning the levy and |
extension of
taxes, shall not consider any tax provided for by |
this Section as a part
of the general tax levy for the purposes |
of the entity nor include such
tax within any limitation of the |
percent of the assessed valuation upon
which taxes are required |
to be extended for such entity.
|
With respect to taxes levied under this Section, either |
before, on, or
after the effective date of this amendatory Act |
of 1994:
|
|
(1) Those taxes
are excepted from and shall not be |
included within the rate limitation imposed
by law on taxes |
levied for general corporate purposes by the local public
|
entity authorized to levy a tax under this Section.
|
(2) Those taxes that a local public entity has levied |
in reliance on this
Section and that are excepted under |
paragraph (1) from
the
rate limitation imposed by law on |
taxes levied for general corporate purposes
by the local |
public entity are not
invalid because of any provision of
|
the law authorizing the local public entity's tax levy for |
general corporate
purposes that may be construed or may |
have been construed to restrict or limit
those taxes |
levied, and those taxes are hereby validated.
This |
validation of taxes levied applies to all cases pending on |
or after the
effective date of this amendatory Act of 1994.
|
(3) Paragraphs (1) and (2) do not apply to a hospital |
organized under
Article 170 or 175 of the Township Code, |
under the Town Hospital Act, or under
the Township |
Non-Sectarian Hospital Act and do not give any authority to |
levy
taxes on behalf of such a hospital in excess of the |
rate limitation imposed by
law on taxes levied for general |
corporate purposes. A hospital organized under
Article 170 |
or 175 of the Township Code, under the Town Hospital Act, |
or under
the Township Non-Sectarian Hospital Act is not
|
prohibited from levying taxes in support of tort liability |
bonds if the taxes
do not cause the hospital's aggregate |
|
tax rate from exceeding the rate
limitation imposed by law |
on taxes levied for general corporate purposes.
|
Revenues derived from such tax shall be paid to the |
treasurer of the
local taxing entity as collected and used for |
the purposes of this
Section and of Section 9-102, 9-103, 9-104 |
or 9-105, as the case may
be. If payments on account of such |
taxes are insufficient during any
year to meet such purposes, |
the entity may issue tax anticipation
warrants against the |
current tax levy in the manner provided by statute.
|
(Source: P.A. 95-244, eff. 8-17-07; 95-723, eff. 6-23-08.)
|
Section 99. Effective date. This Act takes effect upon |
becoming law.
|