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Public Act 101-0231 Public Act 0231 101ST GENERAL ASSEMBLY |
Public Act 101-0231 | HB0386 Enrolled | LRB101 03664 SLF 48672 b |
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| AN ACT concerning criminal law.
| Be it enacted by the People of the State of Illinois, | represented in the General Assembly:
| Section 5. The Illinois Crime Reduction Act of 2009 is | amended by changing Section 10 as follows: | (730 ILCS 190/10)
| Sec. 10. Evidence-Based Programming.
| (a) Purpose. Research and practice have identified new | strategies and policies that can result in a significant | reduction in recidivism rates and the successful local | reintegration of offenders. The purpose of this Section is to | ensure that State and local agencies direct their resources to | services and programming that have been demonstrated to be | effective in reducing recidivism and reintegrating offenders | into the locality. | (b) Evidence-based programming in local supervision. | (1) The Parole Division of the Department of | Corrections and the Prisoner Review Board shall adopt | policies, rules, and regulations that, within the first | year of the adoption, validation, and utilization of the | statewide, standardized risk assessment tool described in | this Act, result in at least 25% of supervised individuals | being supervised in accordance with evidence-based |
| practices; within 3 years of the adoption, validation, and | utilization of the statewide, standardized risk assessment | tool result in at least 50% of supervised individuals being | supervised in accordance with evidence-based practices; | and within 5 years of the adoption, validation, and | utilization of the statewide, standardized risk assessment | tool result in at least 75% of supervised individuals being | supervised in accordance with evidence-based practices. | The policies, rules, and regulations shall: | (A) Provide for a standardized individual case | plan that follows the offender through the criminal | justice system (including in-prison if the supervised | individual is in prison) that is:
| (i) Based on the assets of the individual as | well as his or her risks and needs identified | through the assessment tool as described in this | Act. | (ii) Comprised of treatment and supervision | services appropriate to achieve the purpose of | this Act. | (iii) Consistently updated, based on program | participation by the supervised individual and | other behavior modification exhibited by the | supervised individual. | (B) Concentrate resources and services on | high-risk offenders. |
| (C) Provide for the use of evidence-based | programming related to education, job training, | cognitive behavioral therapy, and other programming | designed to reduce criminal behavior. | (D) Establish a system of graduated responses. | (i) The system shall set forth a menu of | presumptive responses for the most common types of | supervision violations.
| (ii) The system shall be guided by the model | list of intermediate sanctions created by the | Probation Services Division of the State of | Illinois pursuant to subsection (1) of Section 15 | of the Probation and Probation Officers Act and the | system of intermediate sanctions created by the | Chief Judge of each circuit court pursuant to | Section 5-6-1 of the Unified Code of Corrections. | (iii) The system of responses shall take into | account factors such as the severity of the current | violation; the supervised individual's risk level | as determined by a validated assessment tool | described in this Act; the supervised individual's | assets; his or her previous criminal record; and | the number and severity of any previous | supervision violations. | (iv) The system shall also define positive | reinforcements that supervised individuals may |
| receive for compliance with conditions of | supervision. | (v) Response to violations should be swift and | certain and should be imposed as soon as | practicable but no longer than 3 working days of | detection of the violation behavior. | (2) Conditions of local supervision (probation and | mandatory supervised release). Conditions of local | supervision whether imposed by a sentencing judge or the | Prisoner Review Board shall be imposed in accordance with | the offender's risks, assets, and needs as identified | through the assessment tool described in this Act. | (3) The Department of Corrections and the Prisoner | Review Board shall annually publish an exemplar copy of any | evidence-based assessments, questionnaires, or other | instruments used to set conditions of release. | (c) Evidence-based in-prison programming. | (1) The Department of Corrections shall adopt | policies, rules, and regulations that, within the first | year of the adoption, validation, and utilization of the | statewide, standardized risk assessment tool described in | this Act, result in at least 25% of incarcerated | individuals receiving services and programming in | accordance with evidence-based practices; within 3 years | of the adoption, validation, and utilization of the | statewide, standardized risk assessment tool result in at |
| least 50% of incarcerated individuals receiving services | and programming in accordance with evidence-based | practices; and within 5 years of the adoption, validation, | and utilization of the statewide, standardized risk | assessment tool result in at least 75% of incarcerated | individuals receiving services and programming in | accordance with evidence-based practices. The policies, | rules, and regulations shall: | (A) Provide for the use and development of a case | plan based on the risks, assets, and needs identified | through the assessment tool as described in this Act. | The case plan should be used to determine in-prison | programming; should be continuously updated based on | program participation by the prisoner and other | behavior modification exhibited by the prisoner; and | should be used when creating the case plan described in | subsection (b).
| (B) Provide for the use of evidence-based | programming related to education, job training, | cognitive behavioral therapy and other evidence-based | programming. | (C) Establish education programs based on a | teacher to student ratio of no more than 1:30. | (D) Expand the use of drug prisons, modeled after | the Sheridan Correctional Center, to provide | sufficient drug treatment and other support services |
| to non-violent inmates with a history of substance | abuse. | (2) Participation and completion of programming by | prisoners can impact earned time credit as determined under | Section 3-6-3 of the Unified Code of Corrections. | (3) The Department of Corrections shall provide its | employees with intensive and ongoing training and | professional development services to support the | implementation of evidence-based practices. The training | and professional development services shall include | assessment techniques, case planning, cognitive behavioral | training, risk reduction and intervention strategies, | effective communication skills, substance abuse treatment | education and other topics identified by the Department or | its employees. | (d) The Parole Division of the Department of Corrections | and the Prisoner Review Board shall provide their employees | with intensive and ongoing training and professional | development services to support the implementation of | evidence-based practices. The training and professional | development services shall include assessment techniques, case | planning, cognitive behavioral training, risk reduction and | intervention strategies, effective communication skills, | substance abuse treatment education, and other topics | identified by the agencies or their employees.
| (e) The Department of Corrections, the Prisoner Review |
| Board, and other correctional entities referenced in the | policies, rules, and regulations of this Act shall design, | implement, and make public a system to evaluate the | effectiveness of evidence-based practices in increasing public | safety and in successful reintegration of those under | supervision into the locality. Annually, each agency shall | submit to the Sentencing Policy Advisory Council a | comprehensive report on the success of implementing | evidence-based practices. The data compiled and analyzed by the | Council shall be delivered annually to the Governor and the | General Assembly.
| (f) The Department of Corrections and the Prisoner Review | Board shall release a report annually published on their | websites that reports the following information about the usage | of electronic monitoring and GPS monitoring as a condition of | parole and mandatory supervised release during the prior | calendar year: | (1) demographic data of individuals on electronic | monitoring and GPS monitoring, separated by the following | categories: | (A) race or ethnicity; | (B) gender; and | (C) age; | (2) incarceration data of individuals subject to | conditions of electronic or GPS monitoring, separated by | the following categories: |
| (A) highest class of offense for which the | individuals is currently serving a term of release; and | (B) length of imprisonment served prior to the | current release period; | (3) the number of individuals subject to conditions of | electronic or GPS monitoring, separated by the following | categories: | (A) the number of individuals subject to | monitoring under Section 5-8A-6 of the Unified Code of | Corrections; | (B) the number of individuals subject monitoring | under Section 5-8A-7 of the Unified Code of | Corrections; | (C) the number of individuals subject to | monitoring under a discretionary order of the Prisoner | Review Board at the time of their release; and | (D) the number of individuals subject to | monitoring as a sanction for violations of parole or | mandatory supervised release, separated by the | following categories: | (i) the number of individuals subject to | monitoring as part of a graduated sanctions | program; and | (ii) the number of individuals subject to | monitoring as a new condition of re-release after a | revocation hearing before the Prisoner Review |
| Board; | (4) the number of discretionary monitoring orders | issued by the Prisoner Review Board, separated by the | following categories: | (A) less than 30 days; | (B) 31 to 60 days; | (C) 61 to 90 days; | (D) 91 to 120 days; | (E) 121 to 150 days; | (F) 151 to 180 days; | (G) 181 to 364 days; | (H) 365 days or more; and | (I) duration of release term; | (5) the number of discretionary monitoring orders by | the Board which removed or terminated monitoring prior to | the completion of the original period ordered; | (6) the number and severity category for sanctions | imposed on individuals on electronic or GPS monitoring, | separated by the following categories: | (A) absconding from electronic monitoring or GPS; | (B) tampering or removing the electronic | monitoring or GPS device; | (C) unauthorized leaving of the residence; | (D) presence of the individual in a prohibited | area; or | (E) other violations of the terms of the electronic |
| monitoring program; | (7) the number of individuals for whom a parole | revocation case was filed for failure to comply with the | terms of electronic or GPS monitoring, separated by the | following categories: | (A) cases when failure to comply with the terms of | monitoring was the sole violation alleged; and | (B) cases when failure to comply with the terms of | monitoring was alleged in conjunction with other | alleged violations; | (8) residential data for individuals subject to | electronic or GPS monitoring, separated by the following | categories: | (A) the county of the residence address for | individuals subject to electronic or GPS monitoring as | a condition of their release; and | (B) for counties with a population over 3,000,000, | the zip codes of the residence address for individuals | subject to electronic or GPS monitoring as a condition | of their release; | (9) the number of individuals for whom parole | revocation cases were filed due to violations of paragraph | (1) of subsection (a) of Section 3-3-7 of the Unified Code | of Corrections, separated by the following categories: | (A) the number of individuals whose violation of | paragraph (1) of subsection (a) of Section 3-3-7 of the |
| Unified Code of Corrections allegedly occurred while | the individual was subject to conditions of electronic | or GPS monitoring; | (B) the number of individuals who had violations of | paragraph (1) of subsection (a) of Section 3-3-7 of the | Unified Code of Corrections alleged against them who | were never subject to electronic or GPS monitoring | during their current term of release; and | (C) the number of individuals who had violations of | paragraph (1) of subsection (a) of Section 3-3-7 of the | Unified Code of Corrections alleged against them who | were subject to electronic or GPS monitoring for any | period of time during their current term of their | release, but who were not subject to such monitoring at | the time of the alleged violation of paragraph (1) of | subsection (a) of Section 3-3-7 of the Unified Code of | Corrections. | (Source: P.A. 96-761, eff. 1-1-10.)
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Effective Date: 1/1/2020
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