| ||||
| Public Act 104-0516 | ||||
| ||||
AN ACT concerning regulation. | ||||
Be it enacted by the People of the State of Illinois, | ||||
represented in the General Assembly: | ||||
Section 5. The Sales Finance Agency Act is amended by | ||||
changing Sections 2, 4, 6.1, 10.2, 10.6, 12, 13, 15.5, 16.5, | ||||
17, and 19 and by adding Sections 3.5, 4.1, 4.2, 4.3, 4.4, 4.5, | ||||
4.6, 6.2, 6.3, 6.4, 6.5, 6.6, 6.7, 6.8, 10.7, 10.8, 13.5, and | ||||
14.5 as follows: | ||||
(205 ILCS 660/2) (from Ch. 17, par. 5202) | ||||
Sec. 2. Definitions. In this Act, unless the context | ||||
otherwise requires: | ||||
"Sales finance agency" means a person, irrespective of his | ||||
or her state of domicile or place of business, engaged in this | ||||
State, in whole or in part, in the business of purchasing, or | ||||
making loans secured by, retail installment contracts, retail | ||||
charge agreements or the outstanding balances under such | ||||
contracts or agreements entered into in this State. | ||||
"Holder" of a retail installment contract or a retail | ||||
charge agreement means the retail seller of the goods or | ||||
services under the contract or charge agreement, or if the | ||||
outstanding balances thereunder are purchased by or | ||||
transferred as security to a sales finance agency or other | ||||
assignee, the sales finance agency or other assignee. | ||||
"Person" means an individual, corporation, partnership, | ||
limited liability company, joint venture, or any other form of | ||
business association. | ||
"Department" means the Department of Financial and | ||
Professional Regulation Institutions. | ||
"Director" means the Director of Financial Institutions. | ||
"Holder" of a retail installment contract or a retail | ||
charge agreement means the retail seller of the goods or | ||
services under the contract or charge agreement, or if the | ||
outstanding balances thereunder are purchased by or | ||
transferred as security to a sales finance agency or other | ||
assignee, the sales finance agency or other assignee. | ||
"Motor Vehicle Retail Installment Sales Act" and "Retail | ||
Installment Sales Act" refer to the Acts having those titles | ||
enacted by the 75th General Assembly. | ||
"Person" means an individual, corporation, partnership, | ||
limited liability company, joint venture, or any other form of | ||
business association. | ||
"Retail installment contract" and "retail charge | ||
agreement" have the meanings ascribed to them in the Motor | ||
Vehicle Retail Installment Sales Act and the Retail | ||
Installment Sales Act. | ||
"Sales finance agency" means a person, irrespective of the | ||
person's state of domicile or place of business, engaged in | ||
this State, in whole or in part, in the business of purchasing | ||
or making loans secured by retail installment contracts, | ||
retail charge agreements, or the outstanding balances under | ||
such contracts or agreements entered into in this State. | ||
"Secretary" means the Secretary of Financial and | ||
Professional Regulation or the Secretary's designee. The | ||
Director of the Division of Financial Institutions of the | ||
Department of Financial and Professional Regulation is a | ||
designee of the Secretary under this Act. | ||
"Special purpose vehicle" means an entity that, in | ||
connection with a securitization, private placement, or | ||
similar type of investment transaction, is administered by a | ||
State or national bank under a management agreement for the | ||
purpose of purchasing, making loans against, or in pools of, | ||
receivables, general intangibles, and other financial assets | ||
including retail installment contracts, retail charge | ||
agreements, or the outstanding balances or any portion of the | ||
outstanding balances under those contracts or agreements. | ||
"Net Worth" means total assets minus total liabilities. | ||
(Source: P.A. 89-400, eff. 8-20-95; 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/3.5 new) | ||
Sec. 3.5. License application; Nationwide Multistate | ||
Licensing System and Registry. | ||
(a) Applicants for a license shall apply in a form | ||
prescribed by the Secretary. Each form shall contain content | ||
as set forth by rule, instruction, or procedure of the | ||
Department and may be changed or updated as necessary by the | ||
Department to carry out the purposes of this Act. | ||
(b) To fulfill the purposes of this Act, the Secretary is | ||
authorized to establish relationships or contracts with the | ||
Nationwide Multistate Licensing System and Registry or other | ||
entities designated by the Nationwide Multistate Licensing | ||
System and Registry to collect and maintain records and | ||
process transaction fees or other fees related to licensees or | ||
other persons subject to this Act. | ||
(c) In connection with an application for licensing, the | ||
applicant may be required, at a minimum, to furnish to the | ||
Nationwide Multistate Licensing System and Registry | ||
information concerning the applicant's identity, including | ||
personal history and experience in a form prescribed by the | ||
Nationwide Multistate Licensing System and Registry, including | ||
the submission of authorization for the Nationwide Multistate | ||
Licensing System and Registry and the Secretary to obtain: | ||
(1) an independent credit report obtained from a | ||
consumer reporting agency described in Section 603(p) of | ||
the Fair Credit Reporting Act, 15 U.S.C. 1681a(p); and | ||
(2) information related to any administrative, civil, | ||
or criminal findings by any governmental jurisdiction. | ||
(d) For the purposes of this Section, and in order to | ||
reduce the points of contact that the Secretary may have to | ||
maintain for purposes of paragraph (2) of subsection (c), the | ||
Secretary may use the Nationwide Multistate Licensing System | ||
and Registry as a channeling agent for requesting and | ||
distributing information to and from any source as directed by | ||
the Secretary. | ||
(205 ILCS 660/4) (from Ch. 17, par. 5204) | ||
Sec. 4. After December 31, 1967, a person who is required | ||
to be licensed under this Act must display at each of his | ||
places of business, both physical and digital, a | ||
non-transferable and non-assignable license. A licensee who | ||
operates more than one place of business may obtain additional | ||
licenses upon compliance with this Act as to each place of | ||
business. Application for a license must be on a form | ||
prescribed and furnished by the Department. A licensee may | ||
move his place or places of business from one location to | ||
another within a county without obtaining a new license if he | ||
gives the Department at least 10 days' prior written notice of | ||
the relocation. | ||
(Source: P.A. 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/4.1 new) | ||
Sec. 4.1. Licensee name. No person, partnership, | ||
association, corporation, limited liability company, or other | ||
entity engaged in a business regulated by this Act shall | ||
operate the business under a name other than the real names of | ||
the entity and individuals conducting the business. The | ||
business may, in addition, operate under an assumed corporate | ||
name pursuant to the Business Corporation Act of 1983, an | ||
assumed limited liability company name pursuant to the Limited | ||
Liability Company Act, or an assumed business name pursuant to | ||
the Assumed Business Name Act. | ||
(205 ILCS 660/4.2 new) | ||
Sec. 4.2. License application process; investigation. | ||
(a) The Secretary may issue a license upon completion of | ||
all of the following: | ||
(1) the filing of an application for a license with | ||
the Secretary or the Nationwide Multistate Licensing | ||
System and Registry as required by the Secretary; | ||
(2) the filing with the Secretary of a listing of | ||
judgments entered against and bankruptcy petitions by the | ||
license applicant for the preceding 10 years; | ||
(3) the filing of an audited balance sheet, including | ||
all footnotes prepared by a certified public accountant in | ||
accordance with generally accepted accounting principles | ||
and generally accepted auditing standards; notwithstanding | ||
the requirements of this subsection, an applicant that is | ||
a subsidiary may submit audited consolidated financial | ||
statements of its parent, intermediary parent, or ultimate | ||
parent if the consolidated statements are supported by | ||
consolidating statements that include the applicant's | ||
financial statement; if the consolidating statements are | ||
unaudited, the applicant's chief financial officer shall | ||
attest to the applicant's financial statements disclosed | ||
in the consolidating statements; and | ||
(4) an investigation of the averments required by | ||
Section 4.4 which investigation must allow the Secretary | ||
to issue positive findings stating that the financial | ||
responsibility, experience, character, and general fitness | ||
of the license applicant; of the members if the license | ||
applicant is a partnership or association; of the officers | ||
and directors if the license applicant is a corporation; | ||
and of the managers and members that retain any authority | ||
or responsibility under the operating agreement if the | ||
license applicant is a limited liability company are such | ||
as to command the confidence of the community and to | ||
warrant belief that the business will be operated | ||
honestly, fairly, and efficiently within the purpose of | ||
this Act; if the Secretary does not so find, the Secretary | ||
shall not issue the license and shall notify the license | ||
applicant of the denial. The Secretary may impose | ||
conditions on a license if the Secretary determines that | ||
those conditions are necessary or appropriate. These | ||
conditions shall be imposed in writing and shall continue | ||
in effect for a period prescribed by the Secretary. | ||
(b) All licenses shall be issued to the license applicant. | ||
Upon receipt of the license, a sales finance agency licensee | ||
shall be authorized to engage in the business regulated by | ||
this Act. The license shall remain in full force and effect | ||
until it expires, it is surrendered by the licensee, or it is | ||
revoked or suspended as provided by this Act. | ||
(c) The Secretary may, for good cause shown, waive, in | ||
part, any of the requirements of this Section. | ||
(205 ILCS 660/4.3 new) | ||
Sec. 4.3. License application form. | ||
(a) An application for a sales finance agency license must | ||
be made in accordance with Section 4.2 and, if applicable, in | ||
accordance with requirements of the Nationwide Multistate | ||
Licensing System and Registry. The application shall be in | ||
writing, under oath, and on a form obtained from and | ||
prescribed by the Secretary, or may be submitted | ||
electronically with attestation to the Nationwide Multistate | ||
Licensing System and Registry. | ||
(b) The application shall contain the name and complete | ||
business and residential address or addresses of the license | ||
applicant. If the license applicant is a partnership, | ||
association, corporation, or other form of business | ||
organization, the application shall contain the names and | ||
complete business and residential addresses of each member, | ||
director, and principal officer of the business. The | ||
application shall also include a description of the activities | ||
of the license applicant in such detail and for such periods as | ||
the Secretary may require, including all of the following: | ||
(1) an affirmation of financial solvency noting such | ||
capitalization requirements as may be required by the | ||
Secretary and access to such credit as may be required by | ||
the Secretary; | ||
(2) proof in a form satisfactory to the Secretary that | ||
the applicant has and will maintain a positive net worth | ||
of a minimum of $30,000; | ||
(3) an applicant shall submit to the Secretary with | ||
the application for a license and every licensee shall | ||
maintain a bond to be approved by the Secretary in which | ||
the applicant shall be the obligor, in the sum of $50,000 | ||
or such additional amount as required by the Secretary | ||
based on the sales finance agency activity of the licensee | ||
in the previous year, and in which an insurance company | ||
that is duly authorized by this State to transact the | ||
business of fidelity and surety insurance shall be a | ||
surety. The surety bond shall run to the Secretary and | ||
shall be for the benefit of the Department and of any | ||
consumer who incurs damages as a result of any violation | ||
of this Act or rules adopted pursuant to this Act by a | ||
licensee; | ||
(4) an affirmation that the license applicant or its | ||
members, directors, or principals, as may be appropriate, | ||
are at least 18 years of age; | ||
(5) information as to the character, fitness, | ||
financial and business responsibility, background, | ||
experience, and criminal record of any: | ||
(A) person, entity, or ultimate equitable owner | ||
that owns or controls, directly or indirectly, 10% or | ||
more of any class of stock of the license applicant; | ||
(B) person, entity, or ultimate equitable owner | ||
that is not a depository institution, as defined in | ||
Section 1007.50 of the Savings Bank Act, that lends, | ||
provides, or infuses, directly or indirectly, in any | ||
way, funds to or into a license applicant in an amount | ||
equal to or more than 10% of the license applicant's | ||
net worth; | ||
(C) person, entity, or ultimate equitable owner | ||
that controls, directly or indirectly, the election of | ||
25% or more of the members of the board of directors of | ||
a license applicant; and | ||
(D) person, entity, or ultimate equitable owner | ||
that the Secretary finds influences management of the | ||
license applicant; the provisions of this subparagraph | ||
shall not apply to a public official serving on the | ||
board of directors of a State guaranty agency; and | ||
(6) any other information the Secretary reasonably | ||
deems necessary to include in the application. | ||
(205 ILCS 660/4.4 new) | ||
Sec. 4.4. Averments of applicant. Each application for | ||
license shall be accompanied by the following averments | ||
stating that the applicant: | ||
(1) will file with the Secretary or Nationwide | ||
Multistate Licensing System and Registry, as applicable, | ||
any report or reports that it is required to file under any | ||
of the provisions of this Act when due; | ||
(2) has not committed a crime against the law of this | ||
State, any other state, or of the United States involving | ||
moral turpitude or fraudulent or dishonest dealing, and | ||
that no final judgment has been entered against it in a | ||
civil action upon grounds of fraud, misrepresentation, or | ||
deceit that has not been previously reported to the | ||
Secretary; | ||
(3) has not engaged in any conduct that would be cause | ||
for denial of a license; | ||
(4) has not become insolvent; | ||
(5) has not submitted an application for a license | ||
under this Act that contains a material misstatement; | ||
(6) has not demonstrated by course of conduct, | ||
negligence or incompetence in performing any act for which | ||
it is required to hold a license under this Act; | ||
(7) will advise the Secretary in writing or the | ||
Nationwide Multistate Licensing System and Registry, as | ||
applicable, of any changes to the information submitted on | ||
the most recent application for license or averments of | ||
record within 30 days after the change; the written notice | ||
must be signed in the same form as the application for the | ||
license being amended; | ||
(8) will comply with the provisions of this Act and | ||
with any lawful order, rule, or regulation made or issued | ||
under the provisions of this Act; | ||
(9) will submit to periodic examination by the | ||
Secretary as required by this Act; and | ||
(10) will advise the Secretary in writing of judgments | ||
entered against and bankruptcy petitions by the license | ||
applicant within 5 days after the occurrence. | ||
A licensee who fails to fulfill the obligations of an | ||
averment, fails to comply with averments made, or otherwise | ||
violates any of the averments made under this Section shall be | ||
subject to the penalties of this Act. | ||
(205 ILCS 660/4.5 new) | ||
Sec. 4.5. Refusal to issue license. The Secretary may | ||
refuse to issue or renew a license if: | ||
(1) it is determined that the applicant is not in | ||
compliance with any provisions of this Act; | ||
(2) there is substantial continuity between the | ||
applicant and any violator of this Act; or | ||
(3) the Secretary cannot make the findings specified | ||
in Section 4.4. | ||
(205 ILCS 660/4.6 new) | ||
Sec. 4.6. License renewal; fees. | ||
(a) Licenses shall be renewed every year using the common | ||
renewal date of the Nationwide Multistate Licensing System and | ||
Registry, as required by the Secretary. Properly completed | ||
renewal application forms and filing fees may be received by | ||
the Secretary 60 days before the license expiration date, but | ||
to be deemed timely, the completed renewal application forms | ||
and filing fees must be received by the Secretary no later than | ||
30 days before the license expiration date. | ||
(b) It shall be the responsibility of each licensee to | ||
accomplish renewal of its license. Failure by a licensee to | ||
submit a properly completed renewal application form and fees | ||
in a timely fashion, absent a written extension from the | ||
Secretary, shall result in the license becoming inactive. | ||
(c) No activity regulated by this Act shall be conducted | ||
by the licensee when a license becomes inactive. An inactive | ||
license may be reactivated by the Secretary, at the | ||
Secretary's discretion, upon payment of a renewal fee, payment | ||
of a reactivation fee equal to the renewal fee, and proof of | ||
good cause for failure to renew. Request for reactivation of a | ||
license must be submitted no more than 90 days after | ||
expiration of license. | ||
(d) A licensee ceasing an activity or activities regulated | ||
by this Act and desiring to no longer be licensed shall inform | ||
the Secretary in writing and, at the same time, convey any | ||
license issued and all other symbols or indicia of licensure. | ||
The licensee shall include a plan for the withdrawal from the | ||
regulated business, including a timetable for the disposition | ||
of the business, and comply with the surrender guidelines or | ||
rules of the Department. Upon receipt of such written notice, | ||
the Secretary shall post the cancellation or issue a certified | ||
statement canceling the license. | ||
(e) The expenses of administering this Act, including | ||
investigations and examinations provided for in this Act, | ||
shall be borne by and assessed against entities regulated by | ||
this Act. The fees listed in this Section shall be payable to | ||
the Department or to the Nationwide Multistate Licensing | ||
System and Registry for transfer to the required recipients by | ||
the Secretary. The Secretary shall specify the form of payment | ||
to the Department or to the Nationwide Multistate Licensing | ||
System and Registry, which may include certified check, money | ||
order, credit card, or other forms of payment authorized by | ||
the Secretary. The Nationwide Multistate Licensing System and | ||
Registry shall be authorized to collect and process | ||
transaction fees or other fees related to licensees or other | ||
persons subject to this Act. | ||
(f) Applicants and licensees shall be subject to the | ||
following fees: | ||
(1) For each application for an initial company | ||
license, the applicant shall pay a nonrefundable initial | ||
application fee of $1,000 and a nonrefundable background | ||
investigation fee of $800. | ||
(2) For each application for an annual renewal of a | ||
company license, the applicant shall pay a nonrefundable | ||
renewal fee of $300. | ||
(3) For each application for an initial branch | ||
license, the applicant shall pay a nonrefundable initial | ||
application fee of $100. | ||
(4) For each application for an annual renewal of a | ||
branch license, the applicant shall pay a nonrefundable | ||
renewal fee of $100. | ||
(5) The licensee shall pay a nonrefundable fee of | ||
$1,000 for each notice of change of ownership or control | ||
filed. | ||
(6) The licensee shall pay a nonrefundable fee of $50 | ||
for each notice of change of officers or directors or | ||
change of name or address filed. | ||
(7) Any licensee or person who delivers a check or | ||
other payment to the Department that is returned unpaid by | ||
the financial institution upon which it is drawn shall pay | ||
to the Department, in addition to the amount already owed, | ||
a fee of $50. | ||
(8) Time expended in the conduct of any examination of | ||
the affairs of any licensee or its affiliates shall be | ||
billed by the Department at a rate of $1,200 per examiner | ||
day. Examination fees shall be billed following completion | ||
of the examination and shall be paid within 30 days after | ||
receipt of the billing. | ||
(9) If out-of-state travel occurs in the conduct of | ||
any examination, the licensee shall make arrangements to | ||
reimburse the Department for all charges for services, | ||
including travel expenses such as airfare, hotel, and per | ||
diem expenses incurred by the employee. These expenses are | ||
to be in accord with applicable travel regulations | ||
published by the Department of Central Management Services | ||
and approved by the Governor's Travel Control Board. | ||
(10) Each licensee shall pay to the Department its pro | ||
rata share of the cost for administration of this Act that | ||
exceeds other fees listed in this Section, as estimated by | ||
the Department, for the current year and any deficit | ||
actually incurred in the administration of this Act in the | ||
previous 3 years. The calculation method for each | ||
licensee's pro rata share shall be established by rule. | ||
(g) The expenses of administering this Act, including | ||
licensing, investigations, and examinations provided for in | ||
this Act, shall be borne by and assessed against persons and | ||
entities regulated by this Act in such proportions and in such | ||
manner as the Secretary deems appropriate. The Secretary may | ||
establish by rule the category and amount of any fees that such | ||
persons and entities must pay to the Department. | ||
(h) Any fees set forth in this Act may be amended by rule. | ||
(205 ILCS 660/6.1) | ||
Sec. 6.1. Financial Institution Fund. All moneys received | ||
by the Secretary under this Act in conjunction with the | ||
provisions relating to sales finance agencies shall be paid | ||
into the Financial Institution Fund, and all expenses incurred | ||
by the Secretary under this Act in conjunction with the | ||
provisions relating to sales finance agencies shall be paid | ||
from the Financial Institution Fund. All moneys received by | ||
the Department of Financial Institutions under this Act shall | ||
be deposited in the Financial Institution Fund created under | ||
Section 6z-26 of the State Finance Act. | ||
(Source: P.A. 98-463, eff. 8-16-13.) | ||
(205 ILCS 660/6.2 new) | ||
Sec. 6.2. Secretary of Financial and Professional | ||
Regulation; functions and powers. The functions and powers of | ||
the Secretary shall include the following: | ||
(1) to issue or refuse to issue any license as | ||
provided by this Act; | ||
(2) to revoke or suspend for cause any license issued | ||
under this Act; | ||
(3) to keep records of all licenses issued under this | ||
Act; | ||
(4) to receive, consider, investigate, and act upon | ||
complaints made by any person in connection with any | ||
licensed sales finance agency in this State or unlicensed | ||
sales finance agency activity; | ||
(5) to prescribe the forms of and receive: | ||
(A) applications for licenses; and | ||
(B) all reports and all books and records required | ||
to be made by any licensee under this Act, including | ||
annual audited financial statements and annual reports | ||
of sales finance agency activity; | ||
(6) to subpoena documents and witnesses and compel | ||
their attendance and production of documents, to | ||
administer oaths, and to require the production of any | ||
books, papers, written reports, or other materials | ||
relevant to any inquiry authorized by this Act; | ||
(7) to issue orders against any person: | ||
(A) if the Secretary has reasonable cause to | ||
believe that an unsafe, unsound, or unlawful practice | ||
has occurred, is occurring, or is about to occur; | ||
(B) if any person has violated, is violating, or | ||
is about to violate any law, rule, or written | ||
agreement with the Secretary; or | ||
(C) for the purpose of administering the | ||
provisions of this Act and any rule adopted in | ||
accordance with this Act; | ||
(8) to address any inquiries to any licensee, or the | ||
officers of the licensee, in relation to the licensee's | ||
activities and conditions or any other matter connected | ||
with its affairs, and it shall be the duty of any licensee | ||
or person so addressed to promptly reply in writing to | ||
those inquiries; the Secretary may also require reports | ||
from any licensee at any time the Secretary chooses; | ||
(9) to examine the books and records of every licensee | ||
under this Act; | ||
(10) to enforce the provisions of this Act; | ||
(11) to levy fees, fines, and charges for services | ||
performed in administering this Act; the aggregate of all | ||
fees collected by the Secretary on and after the effective | ||
date of this amendatory Act of the 104th General Assembly | ||
shall be paid promptly after receipt, accompanied by a | ||
detailed statement of fees paid, into the Financial | ||
Institutions Fund; the amounts deposited into that Fund | ||
shall be used for the ordinary and contingent expenses of | ||
the Department; nothing in this Act shall prevent the | ||
continuation of the practice of paying expenses involving | ||
salaries, retirement, social security, and State-paid | ||
insurance of State officers by appropriation from the | ||
General Revenue Fund or any other fund; | ||
(12) to appoint examiners, supervisors, experts, and | ||
special assistants as needed to effectively and | ||
efficiently administer this Act; | ||
(13) to conduct hearings for the purpose of: | ||
(A) appeals of orders of the Secretary; | ||
(B) suspensions or revocations of licenses; | ||
(C) fining of licensees or unlicensed persons or | ||
entities; | ||
(D) investigating complaints against licensees or | ||
unlicensed persons or entities; or | ||
(E) carrying out the purposes of this Act; | ||
(14) to exercise visitorial power over a licensee; | ||
(15) to enter into cooperative agreements with state | ||
regulatory authorities of other states to provide for | ||
examination of corporate offices or branches of those | ||
states and to accept reports of those examinations; | ||
(16) to assign an examiner or examiners to monitor the | ||
affairs of a licensee with whatever frequency the | ||
Secretary determines appropriate and to charge the | ||
licensee for reasonable and necessary expenses of the | ||
Secretary if in the opinion of the Secretary an emergency | ||
exists or appears likely to occur; | ||
(17) to impose civil penalties of up to $50 per day | ||
against a licensee for failing to respond to a regulatory | ||
request or reporting requirement; and | ||
(18) to enter into agreements necessary to implement, | ||
administer, or enforce this Act, including in connection | ||
with the Nationwide Multistate Licensing System and | ||
Registry. | ||
(205 ILCS 660/6.3 new) | ||
Sec. 6.3. Examination; prohibited activities. | ||
(a) The business affairs of a licensee under this Act | ||
shall be examined for compliance with this Act as often as the | ||
Secretary deems necessary and proper. The Department may adopt | ||
rules with respect to the frequency and manner of examination. | ||
The Secretary shall appoint a suitable person to perform an | ||
examination. The Secretary and the Secretary's appointees may | ||
examine the entire books, records, documents, and operations | ||
of each licensee and its subsidiary, affiliate, or agent and | ||
may examine any of the licensee's or its subsidiaries', | ||
affiliates', or agents' officers, directors, employees, and | ||
agents under oath. | ||
(b) The Secretary shall prepare a sufficiently detailed | ||
report of each licensee's examination, shall issue a copy of | ||
the report to the licensee, and shall take appropriate steps | ||
to ensure correction of violations of this Act. | ||
(c) Affiliates of a licensee shall be subject to | ||
examination by the Secretary on the same terms as the | ||
licensee, but only when reports from or examination of a | ||
licensee provides for documented evidence of unlawful activity | ||
between a licensee and affiliate benefiting, affecting, or | ||
deriving from the activities regulated by this Act. | ||
(d) The expenses of any examination of the licensee and | ||
affiliates shall be borne by the licensee and assessed by the | ||
Secretary as set forth in this Act or by rule. | ||
(e) All confidential supervisory information, including | ||
the examination report and the work papers of the report, | ||
shall belong to the Secretary's office and may not be | ||
disclosed to anyone other than the licensee, law enforcement | ||
officials, or other regulatory agencies that have an | ||
appropriate regulatory interest as determined by the Secretary | ||
or to a party presenting a lawful subpoena to the Department. | ||
The Secretary may, through the Attorney General, immediately | ||
appeal to the court of jurisdiction the disclosure of such | ||
confidential supervisory information and seek a stay of the | ||
subpoena pending the outcome of the appeal. Reports required | ||
of licensees by the Secretary under this Act and results of | ||
examinations performed by the Secretary under this Act shall | ||
be the property of only the Secretary, but may be shared with | ||
the licensee. Access under this Act to the books and records of | ||
each licensee shall be limited to the Secretary and the | ||
Secretary's agents as provided in this Act and to the licensee | ||
and its authorized agents and designees. No other person shall | ||
have access to the books and records of a licensee under this | ||
Act. Any person upon whom a demand for production of | ||
confidential supervisory information is made, whether by | ||
subpoena, order, or other judicial or administrative process, | ||
must withhold production of the confidential supervisory | ||
information and must notify the Secretary of the demand, at | ||
which time the Secretary is authorized to intervene for the | ||
purpose of enforcing the limitations of this Section or | ||
seeking the withdrawal or termination of the attempt to compel | ||
production of the confidential supervisory information. The | ||
Secretary may impose any conditions and limitations on the | ||
disclosure of confidential supervisory information that are | ||
necessary to protect the confidentiality of that information. | ||
Except as authorized by the Secretary, no person obtaining | ||
access to confidential supervisory information may make a copy | ||
of the confidential supervisory information. The Secretary may | ||
condition a decision to disclose confidential supervisory | ||
information on entry of a protective order by the court or | ||
administrative tribunal presiding in the particular case or on | ||
a written agreement of confidentiality. In a case in which a | ||
protective order or agreement has already been entered between | ||
parties other than the Secretary, the Secretary may | ||
nevertheless condition approval for release of confidential | ||
supervisory information upon the inclusion of additional or | ||
amended provisions in the protective order. The Secretary may | ||
authorize a party who obtained the records for use in one case | ||
to provide them to another party in another case, subject to | ||
any conditions that the Secretary may impose on either or both | ||
parties. The requester shall promptly notify other parties to | ||
a case of the release of confidential supervisory information | ||
obtained and, upon entry of a protective order, shall provide | ||
copies of confidential supervisory information to the other | ||
parties. | ||
(205 ILCS 660/6.4 new) | ||
Sec. 6.4. Retail Installment Sales Act; Motor Vehicle | ||
Retail Installment Sales Act. | ||
(a) A sales finance agency may not aid or seek to aid any | ||
person in the violation of the Retail Installment Sales Act or | ||
the Motor Vehicle Retail Installment Sales Act. | ||
(b) A sales finance agency may not purchase any retail | ||
installment contract, any retail charge agreement, or evidence | ||
of indebtedness thereunder that violates the Retail | ||
Installment Sales Act or the Motor Vehicle Retail Installment | ||
Sales Act. | ||
(c) A sales finance agency may not purchase any retail | ||
installment contract, any retail charge agreement, or evidence | ||
of indebtedness thereunder with actual knowledge that the | ||
contract, agreement, or indebtedness violates the Retail | ||
Installment Sales Act or the Motor Vehicle Retail Installment | ||
Sales Act. | ||
(d) A sales finance agency may not purchase a retail | ||
installment contract creating or providing for a security | ||
interest in a motor vehicle that qualifies as consumer goods | ||
under the Uniform Commercial Code, or purchase of the evidence | ||
of indebtedness under such a contract, from a person who is not | ||
licensed under the Illinois Vehicle Code, not licensed under | ||
this Act, and not exempt from licensure under this Act. | ||
(205 ILCS 660/6.5 new) | ||
Sec. 6.5. Investigation of complaints. The Secretary may | ||
receive, record, and investigate complaints and inquiries made | ||
by any person concerning this Act and any licensees under this | ||
Act. Each licensee shall open its books, records, documents, | ||
and offices wherever situated to the Secretary or the | ||
Secretary's appointees as needed to facilitate such | ||
investigations. | ||
(205 ILCS 660/6.6 new) | ||
Sec. 6.6. Additional investigation and examination | ||
authority. In addition to any authority allowed under this | ||
Act, the Secretary shall have the authority to conduct | ||
investigations and examinations as follows: | ||
(1) For purposes of initial licensing, license | ||
renewal, license suspension, license conditioning, license | ||
revocation or termination, or general or specific inquiry | ||
or investigation to determine compliance with this Act, | ||
the Secretary shall have the authority to access, receive, | ||
and use any books, accounts, records, files, documents, | ||
information, or evidence, including, but not limited to, | ||
the following: | ||
(A) criminal, civil, and administrative history | ||
information, including nonconviction data as specified | ||
in the Criminal Code of 2012; | ||
(B) personal history and experience information, | ||
including independent credit reports obtained from a | ||
consumer reporting agency described in Section 603(p) | ||
of the federal Fair Credit Reporting Act; and | ||
(C) any other documents, information, or evidence | ||
the Secretary deems relevant to the inquiry or | ||
investigation, regardless of the location, possession, | ||
control, or custody of the documents, information, or | ||
evidence. | ||
(2) For the purposes of investigating violations or | ||
complaints arising under this Act or for the purposes of | ||
examination, the Secretary may review, investigate, or | ||
examine any licensee, individual, or person subject to | ||
this Act as often as necessary in order to carry out the | ||
purposes of this Act. The Secretary may direct, subpoena, | ||
or order the attendance of and examine under oath all | ||
persons whose testimony may be required about the business | ||
or subject matter of any such examination or investigation | ||
and may direct, subpoena, or order the person to produce | ||
books, accounts, records, files, and any other documents | ||
the Secretary deems relevant to the inquiry. | ||
(3) Each licensee, individual, or person subject to | ||
this Act shall make available to the Secretary upon | ||
request the books and records relating to the operations | ||
of the licensee, individual, or person subject to this | ||
Act. The Secretary shall have access to those books and | ||
records and may interview the officers, principals, | ||
employees, independent contractors, agents, and customers | ||
of the licensee, individual, or person subject to this Act | ||
concerning the business of the licensee, individual, or | ||
person. | ||
(4) Each licensee, individual, or person subject to | ||
this Act shall make or compile reports or prepare other | ||
information as directed by the Secretary in order to carry | ||
out the purposes of this Section, including, but not | ||
limited to: | ||
(A) accounting compilations; | ||
(B) information lists and data concerning sales | ||
finance agency activity in a format prescribed by the | ||
Secretary; or | ||
(C) other information deemed necessary to carry | ||
out the purposes of this Section. | ||
(5) In making any examination or investigation | ||
authorized by this Act, the Secretary may control access | ||
to any documents and records of the licensee or person | ||
under examination or investigation. The Secretary may take | ||
possession of the documents and records or place a person | ||
in exclusive charge of the documents and records in the | ||
place where they are usually kept. During the period of | ||
control, no person shall remove or attempt to remove any | ||
of the documents or records, except pursuant to a court | ||
order or with the consent of the Secretary. Unless the | ||
Secretary has reasonable grounds to believe the documents | ||
or records of the licensee have been or are at risk of | ||
being altered or destroyed for purposes of concealing a | ||
violation of this Act, the licensee or owner of the | ||
documents and records shall have access to the documents | ||
or records as necessary to conduct its ordinary business | ||
affairs. | ||
(6) In order to carry out the purposes of this | ||
Section, the Secretary may: | ||
(A) retain attorneys, accountants, or other | ||
professionals and specialists as examiners, auditors, | ||
or investigators to conduct or assist in the conduct | ||
of examinations or investigations; | ||
(B) enter into agreements or relationships with | ||
other government officials or regulatory associations | ||
in order to improve efficiencies and reduce regulatory | ||
burden by sharing resources, standardized or uniform | ||
methods or procedures, and documents, records, | ||
information, or evidence obtained under this Section; | ||
(C) use, hire, contract, or employ publicly or | ||
privately available analytical systems, methods, or | ||
software to examine or investigate the licensee, | ||
individual, or person subject to this Act; | ||
(D) accept and rely on examination or | ||
investigation reports made by other government | ||
officials within or outside this State; or | ||
(E) accept audit reports made by an independent | ||
certified public accountant for the licensee, | ||
individual, or person subject to this Act in the | ||
course of that part of the examination covering the | ||
same general subject matter as the audit and may | ||
incorporate the audit report in the report of the | ||
examination, report of investigation, or other writing | ||
of the Secretary. | ||
(7) The authority of this Section shall remain in | ||
effect if a licensee, individual, or person subject to | ||
this Act acts or claims to act under any licensing or | ||
registration law of this State or claims to act without | ||
the authority. | ||
(8) No licensee, individual, or person subject to | ||
investigation or examination under this Section may | ||
knowingly withhold, abstract, remove, mutilate, destroy, | ||
or secrete any books, records, computer records, or other | ||
information. | ||
(205 ILCS 660/6.7 new) | ||
Sec. 6.7. Confidential information. In hearings conducted | ||
under this Act, information presented into evidence that was | ||
acquired by the licensee when serving any individual in | ||
connection with sales finance agency activity, including all | ||
financial information of the individual, shall be deemed | ||
strictly confidential and shall be made available only as part | ||
of the record of a hearing under this Act or otherwise: (i) | ||
when the record is required, in its entirety, for purposes of | ||
judicial review or (ii) upon the express written consent of | ||
the individual served, or in the case of the individual's | ||
death or disability, the consent of the individual's personal | ||
representative. | ||
(205 ILCS 660/6.8 new) | ||
Sec. 6.8. Information sharing. In order to promote more | ||
effective regulation and reduce regulatory burden through | ||
supervisory information sharing: | ||
(1) Except as otherwise provided in any federal law or | ||
State law regarding the privacy or confidentiality of any | ||
information or material provided to the Nationwide | ||
Multistate Licensing System and Registry, any privilege | ||
arising under federal or State law, including the rules of | ||
any federal or State court, with respect to such | ||
information or material shall continue to apply to | ||
information or material after the information or material | ||
has been disclosed to the Nationwide Multistate Licensing | ||
System and Registry. The information and material may be | ||
shared with all State and federal regulatory officials | ||
with relevant oversight authority without the loss of | ||
privilege or the loss of confidentiality protections | ||
provided by federal law or State law. | ||
(2) The Secretary is authorized to enter into | ||
agreements or sharing arrangements with other governmental | ||
agencies, the Conference of State Bank Supervisors, or | ||
other associations representing governmental agencies as | ||
established by rule or order of the Department. The | ||
sharing of confidential supervisory information or any | ||
information or material described in paragraph (1) | ||
pursuant to an agreement or sharing arrangement shall not | ||
result in the loss of privilege or the loss of | ||
confidentiality protections provided by federal law or | ||
State law. | ||
(3) Information or material that is subject to a | ||
privilege or confidentiality under paragraph (1) shall not | ||
be subject to the following: | ||
(A) disclosure under any State law governing the | ||
disclosure to the public of information held by an | ||
officer or an agency of the State; or | ||
(B) subpoena, discovery, or admission into | ||
evidence in any private civil action or administrative | ||
process, unless with respect to any privilege held by | ||
the Nationwide Multistate Licensing System and | ||
Registry with respect to the information or material, | ||
the person to whom such information or material | ||
pertains waives, in whole or in part, in the | ||
discretion of that person, that privilege. | ||
(4) Any other law relating to the disclosure of | ||
confidential supervisory information or any information or | ||
material described in paragraph (1) that is inconsistent | ||
with paragraph (1) shall be superseded by the requirements | ||
of this Section to the extent the other law provides less | ||
confidentiality or a weaker privilege. | ||
(205 ILCS 660/10.2) (from Ch. 17, par. 5225) | ||
Sec. 10.2. Closing of business; surrender of license. At | ||
least 10 days prior to a licensee ceasing operations, closing | ||
business, or filing for bankruptcy, the licensee shall: | ||
(a) Notify the Department of its action in writing. | ||
(b) With the exception of filing for bankruptcy, surrender | ||
its license to the Secretary Director for cancellation. The | ||
surrender of the license shall not affect the licensee's civil | ||
or criminal liability for acts committed prior to surrender or | ||
entitle the licensee to a return of any part of the annual | ||
license fee. | ||
(c) The licensee shall notify the department of the | ||
location where the books, accounts, contracts, and records | ||
will be maintained and the procedure to ensure prompt return | ||
of contracts, titles, and releases to the customers. | ||
(d) The accounts, books, records, and contracts shall be | ||
maintained and serviced by the licensee or another licensee | ||
under this Act, or an entity exempt from licensure under this | ||
Act. | ||
(e) The Department shall have the authority to conduct | ||
examinations of the books, records, and loan documents at any | ||
time after surrender of the license, filing of bankruptcy, or | ||
the cessation of operations. | ||
(Source: P.A. 90-437, eff. 1-1-98; 90-575, eff. 3-20-98.) | ||
(205 ILCS 660/10.6) | ||
Sec. 10.6. Companion animals. | ||
(a) No sales finance agency shall purchase: | ||
(1) a retail installment contract for the sale of a | ||
canine or feline; | ||
(2) a retail charge agreement for the sale of a canine | ||
or feline; or | ||
(3) the outstanding balance under a retail installment | ||
contract or a retail charge agreement for the sale of a | ||
canine or feline. | ||
(b) No sales finance agency shall make a loan secured by: | ||
(1) a retail installment contract for the sale of a | ||
canine or feline; | ||
(2) a retail charge agreement for the sale of a canine | ||
or feline; or | ||
(3) the outstanding balance under a retail installment | ||
contract or a retail charge agreements for the sale of a | ||
canine or feline. | ||
(c) Any sales finance agency that purchases a contract or | ||
agreement subject to subsection (a) or makes a loan subject to | ||
subsection (b) has no right to collect, receive, or retain any | ||
principal, interest, or charges related to the contract, | ||
agreement, or loan, and any such loan is null and void. | ||
(d) The changes made to this Section by this amendatory | ||
Act of the 103rd General Assembly shall apply prospectively | ||
and shall not apply retroactively. This Section shall not | ||
impair or affect the obligation of any retail installment | ||
transaction or secured loan entered into before the effective | ||
date of this amendatory Act of the 103rd General Assembly. | ||
(Source: P.A. 102-128, eff. 1-1-22; 103-339, eff. 1-1-24.) | ||
(205 ILCS 660/10.7 new) | ||
Sec. 10.7. Subpoenas; other remedies. | ||
(a) The Secretary shall have the power to issue and to | ||
serve subpoenas and subpoenas duces tecum to compel the | ||
attendance of witnesses and the production of all books, | ||
accounts, records, and other documents and materials relevant | ||
to an examination or investigation. The Secretary, or the | ||
Secretary's duly authorized representative, shall have power | ||
to administer oaths and affirmations to any person. | ||
(b) In the event of noncompliance with a subpoena or | ||
subpoena duces tecum issued or caused to be issued by the | ||
Secretary, the Secretary may, through the Attorney General, | ||
petition the circuit court of the county in which the person | ||
subpoenaed resides or has its principal place of business for | ||
an order requiring the subpoenaed person to appear and testify | ||
and to produce such books, accounts, records, and other | ||
documents as are specified in the subpoena duces tecum. The | ||
court may grant injunctive relief restraining the person from | ||
advertising, promoting, soliciting, entering into, offering to | ||
enter into, continuing, or completing any sales finance agency | ||
transaction. The court may grant other relief, including, but | ||
not limited to, the restraint, by injunction or appointment of | ||
a receiver, of any transfer, pledge, assignment, or other | ||
disposition of the person's assets or any concealment, | ||
alteration, destruction, or other disposition of books, | ||
accounts, records, or other documents and materials as the | ||
court deems appropriate, until the person has fully complied | ||
with the subpoena or subpoena duces tecum and the Secretary | ||
has completed an investigation or examination. | ||
(c) The Secretary may, in addition to the other remedies | ||
provided for in this Act, through the Attorney General, apply | ||
for relief to the circuit court of the county in which the | ||
subpoenaed person resides or has its principal place of | ||
business. The court shall thereupon direct the issuance of an | ||
order against the subpoenaed person requiring sufficient bond | ||
conditioned on compliance with the subpoena or subpoena duces | ||
tecum. The court shall cause to be endorsed on the order a | ||
suitable amount of bond or payment pursuant to which the | ||
person named in the order shall be freed, having a due regard | ||
to the nature of the case. | ||
(d) In addition, the Secretary may, through the Attorney | ||
General, seek a writ of attachment or an equivalent order from | ||
the circuit court having jurisdiction over the person who has | ||
refused to obey a subpoena, who has refused to give testimony, | ||
or who has refused to produce the matters described in the | ||
subpoena duces tecum. | ||
(205 ILCS 660/10.8 new) | ||
Sec. 10.8. Suspension; revocation of licenses; fines. | ||
(a) If the Secretary finds any person in violation of the | ||
grounds set forth in this Section, the Secretary may enter an | ||
order imposing one or more of the following penalties: | ||
(1) revocation of license; | ||
(2) suspension of a license subject to reinstatement | ||
upon satisfying all reasonable conditions the Secretary | ||
may specify; | ||
(3) placement of the licensee or applicant on | ||
probation for a period of time and subject to all | ||
reasonable conditions as the Secretary may specify; | ||
(4) issuance of a reprimand; | ||
(5) imposition of a fine not to exceed $25,000 per | ||
violation; except that a fine may be imposed that shall | ||
not exceed $75,000 per violation in violation of paragraph | ||
(2) or (15) of subsection (b); | ||
(6) denial of a license; or | ||
(7) restitution for the benefit of consumers. | ||
(b) The following acts shall constitute grounds for which | ||
the disciplinary actions specified in subsection (a) may be | ||
taken: | ||
(1) being convicted or found guilty, regardless of | ||
pendency of an appeal, of a crime in any jurisdiction that | ||
involves fraud, dishonest dealing, or any other act of | ||
moral turpitude; | ||
(2) fraud, misrepresentation, deceit, or negligence in | ||
any relation to any sales finance agency activity; | ||
(3) a material or intentional misstatement of fact on | ||
an initial or renewal application; | ||
(4) any fact or condition exists that, if it had | ||
existed at the time of the original application for the | ||
license, would have warranted the Secretary in refusing to | ||
originally issue the license; | ||
(5) insolvency or filing under any provision of the | ||
United States Bankruptcy Code as a debtor; | ||
(6) failure to account or deliver to any person any | ||
property, such as any money, fund, deposit, check, draft, | ||
or other document or thing of value, that has come into the | ||
person's hands and that is not the person's property or | ||
that the person is not in law or equity entitled to retain, | ||
under the circumstances and at the time which has been | ||
agreed upon or is required by law or, in the absence of a | ||
fixed time, upon demand of the person entitled to such | ||
accounting and delivery; | ||
(7) failure to disburse funds in accordance with | ||
agreements; | ||
(8) having a license, or the equivalent, to practice | ||
any profession or occupation revoked, suspended, or | ||
otherwise acted against, including the denial of licensure | ||
by a licensing authority of this State or another state, | ||
territory, or country for fraud, dishonest dealing, or any | ||
other act of moral turpitude; | ||
(9) failure to comply with an order of the Secretary | ||
or rule adopted under the provisions of this Act; | ||
(10) engaging in activities regulated by this Act | ||
without a current, active license unless specifically | ||
exempted by this Act; | ||
(11) failure to pay in a timely manner any fee, | ||
charge, or fine under this Act; | ||
(12) failure to maintain, preserve, and keep available | ||
for examination all books, accounts, or other documents | ||
required by the provisions of this Act and the rules of the | ||
Department; | ||
(13) refusing, obstructing, evading, or unreasonably | ||
delaying an investigation, information request, or | ||
examination authorized under this Act or refusing, | ||
obstructing, evading, or unreasonably delaying compliance | ||
with the Secretary's subpoena or subpoena duces tecum; | ||
(14) failure to comply with or a violation of any | ||
provision of this Act; and | ||
(15) any unfair, deceptive, or abusive business | ||
practice. | ||
(c) No license shall be suspended or revoked, except as | ||
provided in this Section, nor shall any licensee be fined | ||
without notice of the licensee's right to a hearing as | ||
provided in subsection (n). | ||
(d) The Secretary, on good cause shown that an emergency | ||
exists, may suspend any license for a period not exceeding 180 | ||
days, pending investigation. | ||
(e) The provisions of subsection (d) of Section 4.6 shall | ||
not affect a licensee's civil or criminal liability for acts | ||
committed before surrender of a license. | ||
(f) No revocation, suspension, or surrender of any license | ||
shall impair or affect the obligation of any preexisting | ||
lawful contract between the licensee and any person. | ||
(g) Every license issued under this Act shall remain in | ||
force and effect until the license expires without renewal, is | ||
surrendered, is revoked, or is suspended in accordance with | ||
the provisions of this Act, but the Secretary shall have | ||
authority to reinstate a suspended license or to issue a new | ||
license to a licensee whose license has been revoked if no fact | ||
or condition then exists which would have warranted the | ||
Secretary in refusing originally to issue that license under | ||
this Act. | ||
(h) Whenever the Secretary revokes or suspends a license | ||
issued pursuant to this Act or fines a licensee under this Act, | ||
the Secretary shall execute a written order to that effect. | ||
The Secretary shall serve a copy of the order upon the | ||
licensee. Any such order may be reviewed as provided for in | ||
this Act. | ||
(i) The Secretary may fine, suspend, or revoke only the | ||
particular license with respect to which grounds for the fine, | ||
revocation, or suspension occur or exist, but if the Secretary | ||
finds that grounds for revocation are of general application | ||
to all offices or to more than one office of the licensee, the | ||
Secretary shall fine, suspend, or revoke every license to | ||
which the grounds apply. | ||
(j) No revocation, suspension, or surrender of any license | ||
shall impair or affect the obligation of any preexisting | ||
lawful contract between the licensee and any obligor. | ||
(k) The Secretary may issue a new license to a licensee | ||
whose license has been revoked when facts or conditions which | ||
clearly would have warranted the Secretary in refusing | ||
originally to issue the license no longer exist. | ||
(l) In every case in which a license is suspended or | ||
revoked or an application for a license or renewal of a license | ||
is denied, the Secretary shall serve the licensee with notice | ||
of the Secretary's action, including a statement of the | ||
reasons for the actions, either personally or by certified | ||
mail. Service by certified mail shall be deemed completed when | ||
the notice is deposited in the United States mail. | ||
(m) An order assessing a fine, an order revoking or | ||
suspending a license, or an order denying renewal of a license | ||
shall take effect upon service of the order unless the | ||
licensee requests a hearing, in writing, within 15 days after | ||
the date of service. If a hearing is requested, the order shall | ||
be stayed until a final administrative order is entered. | ||
(1) If the licensee requests a hearing, the Secretary | ||
shall schedule a preliminary hearing within 30 days after | ||
the request for a hearing unless otherwise agreed to by | ||
the parties. | ||
(2) The hearing shall be held at the time and place | ||
designated by the Secretary. The Secretary and any | ||
administrative law judge designated by the Secretary shall | ||
have the power to administer oaths and affirmations, | ||
subpoena witnesses and compel their attendance, take | ||
evidence, and require the production of books, papers, | ||
correspondence, and other records or information that the | ||
Secretary considers relevant or material to the inquiry. | ||
(n) The costs of administrative hearings conducted | ||
pursuant to this Section shall be paid by the licensee. | ||
(o) A licensee shall be subject to the disciplinary | ||
actions specified in this Act for violations of subsection (b) | ||
by any officer, director, shareholder, joint venture, partner, | ||
ultimate equitable owner, or employee of the licensee. | ||
(p) A licensee shall be subject to suspension or | ||
revocation for unauthorized employee actions only if there is | ||
a pattern of repeated violations by employees, the licensee | ||
has knowledge of the violations, or there is substantial harm | ||
to a consumer. A licensee may be subject to fines for employee | ||
actions, whether authorized or unauthorized, whether there is | ||
a pattern of repeated violations or no pattern of repeated | ||
violations. | ||
(q) Any licensee may submit an application to surrender a | ||
license, but, upon the Secretary approving the surrender, it | ||
shall not affect the licensee's civil or criminal liability | ||
for acts committed before surrender or entitle the licensee to | ||
a return of any part of the license fee. | ||
(205 ILCS 660/12) (from Ch. 17, par. 5230) | ||
Sec. 12. Every licensee shall retain such records as are | ||
required by the Department. Every licensee shall preserve the | ||
records of each of its transactions for at least 2 years after | ||
making the final entry for that transaction. | ||
With the Secretary's Director's approval, a licensee may | ||
maintain these records at a location other than the licensed | ||
facility. | ||
With the Secretary's Director's approval, a licensee may | ||
contract for servicing of these accounts. | ||
(Source: P.A. 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/13) (from Ch. 17, par. 5231) | ||
Sec. 13. Rules. | ||
(a) In addition to such powers as may be prescribed by this | ||
Act, the Department is hereby authorized and empowered to | ||
adopt rules consistent with the purposes of this Act, | ||
including, but not limited to: | ||
(1) rules in connection with the activities of | ||
licensees or unlicensed sales finance agencies as may be | ||
necessary and appropriate for the protection of consumers | ||
in this State; | ||
(2) rules as may be necessary and appropriate to | ||
define improper or fraudulent business practices in | ||
connection with the activities of licensees in servicing | ||
retail installment contracts or retail charge agreements; | ||
(3) rules that define the terms used in this Act and as | ||
may be necessary and appropriate to interpret and | ||
implement the provisions of this Act; and | ||
(4) rules as may be necessary for the enforcement and | ||
administration of this Act. | ||
(b) The Secretary is authorized and empowered to make | ||
specific rulings, demands, and findings that the Secretary | ||
deems necessary for the proper conduct of the sales finance | ||
agency industry. | ||
The Department may make and enforce such reasonable rules, | ||
regulations, directions, orders, decisions and findings as the | ||
execution and enforcement of this Act require, and as are not | ||
inconsistent therewith. In addition, the Department may | ||
promulgate rules in connection with the activities of | ||
licensees that are necessary and appropriate for the | ||
protection of consumers in this State. All rules and | ||
regulations shall be sent electronically to all licensees. | ||
(Source: P.A. 98-44, eff. 6-28-13.) | ||
(205 ILCS 660/13.5 new) | ||
Sec. 13.5. Appeal and review. | ||
(a) The Department may, in accordance with the Illinois | ||
Administrative Procedure Act, adopt rules to provide for | ||
review within the Department of the Secretary's decisions | ||
affecting the rights of persons or entities under this Act. | ||
The review shall provide for, at a minimum: | ||
(1) appointment of a hearing officer other than a | ||
regular employee of the Division of Financial | ||
Institutions; | ||
(2) appropriate procedural rules, specific deadlines | ||
for filings, and standards of evidence and of proof; and | ||
(3) provision for apportioning costs among parties to | ||
the appeal. | ||
(b) All final agency determinations of appeals to | ||
decisions of the Secretary may be reviewed in accordance with | ||
and under the provisions of the Administrative Review Law. | ||
Appeals from all final orders and judgments entered by a court | ||
in review of any final administrative decision of the | ||
Secretary or of any final agency review of a decision of the | ||
Secretary may be taken as in other civil cases. | ||
(205 ILCS 660/14.5 new) | ||
Sec. 14.5. Collection of compensation. Unless exempt from | ||
licensure under this Act, no person engaged in or offering to | ||
engage in any act or service for which a license under this Act | ||
is required may bring or maintain any action in any court of | ||
this State to collect compensation for the performance of the | ||
licensable services without alleging and proving that the | ||
person was the holder of a valid sales finance agency license | ||
under this Act at all times during the performance of those | ||
services. | ||
(205 ILCS 660/15.5) | ||
Sec. 15.5. Civil action. A claim of violation of this Act | ||
may be asserted in a civil action. Additionally, a court may | ||
award reasonable attorney's fees and court costs to a person | ||
asserting a claim under this Section. | ||
(Source: P.A. 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/16.5) | ||
Sec. 16.5. Cease and desist orders. | ||
(a) The Secretary Director may issue a cease and desist | ||
order to a sales finance agency or other person doing business | ||
without the required license when, in the opinion of the | ||
Secretary director, the licensee or other person is violating | ||
or is about to violate any provision of this Act or any law, | ||
rule, or requirement imposed in writing by the Department. | ||
(b) The Secretary Director may issue a cease and desist | ||
order prior to a hearing. | ||
(c) The Secretary Director shall serve notice of the | ||
Secretary's his or her action, designated as a cease and | ||
desist order made pursuant to this Section, including a | ||
statement of the reasons for the action, either personally or | ||
by certified mail, return receipt requested. Service by | ||
certified mail shall be deemed completed when the notice is | ||
deposited in the U.S. mail. | ||
(d) Within 15 days of service of the cease and desist | ||
order, the sales finance agency or other person may request, | ||
in writing, a hearing. | ||
(e) The Secretary Director shall schedule a hearing within | ||
30 days after the request for a hearing unless otherwise | ||
agreed to by the parties. | ||
(f) The Secretary Director shall have the authority to | ||
prescribe rules for the administration of this Section. | ||
(g) If it is determined that the Secretary Director had | ||
the authority to issue the cease and desist order, the | ||
Secretary he or she may issue such orders as may be reasonably | ||
necessary to correct, eliminate, or remedy such conduct. | ||
(h) The powers vested in the Secretary Director by this | ||
Section are additional to any and all other powers and | ||
remedies vested in the Secretary Director by law, and nothing | ||
in this Section shall be construed as requiring that the | ||
Secretary Director shall employ the powers conferred in this | ||
Section instead of or as a condition precedent to the exercise | ||
of any other power or remedy vested in the Secretary Director. | ||
(i) The cost for the administrative hearing shall be set | ||
by rule. | ||
(Source: P.A. 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/17) (from Ch. 17, par. 5235) | ||
Sec. 17. Application of Act. | ||
(a) This Act does not apply to any credit union, bank, | ||
banking association, trust company, savings bank, or savings | ||
and loan association authorized to do business under the laws | ||
of this State, any other state, or of the United States. | ||
(b) This Act does not apply to a person or entity that, in | ||
connection with a securitization, private placement, or | ||
similar type of investment transaction, lends against or | ||
purchases from an Illinois licensed sales finance agency | ||
retail installment contracts, retail charge agreements, or the | ||
outstanding balances or any portion of the outstanding | ||
balances under those contracts or agreements, provided that | ||
the licensed sales finance agency retains the servicing of the | ||
agreements or contracts and maintains the records for those | ||
agreements and contracts. | ||
(c) This Act does not apply to a special purpose vehicle. | ||
In this subsection, "special purpose vehicle" means an entity | ||
that, in connection with a securitization, private placement, | ||
or similar type of investment transaction, is administered by | ||
a State or national bank under a management agreement for the | ||
purpose of purchasing, making loans against, or in pools of, | ||
receivables, general intangibles, and other financial assets | ||
including retail installment contracts, retail charge | ||
agreements, or the outstanding balances or any portion of the | ||
outstanding balances under those contracts or agreements. | ||
(Source: P.A. 89-400, eff. 8-20-95.) | ||
(205 ILCS 660/19) | ||
Sec. 19. Injunction; civil penalty; costs. If it appears | ||
to the Secretary Director that a person has committed or is | ||
about to commit a violation of this Act, a rule promulgated | ||
under this Act, or an order of the Secretary Director, the | ||
Secretary Director may apply to the circuit court for an order | ||
enjoining the person from violating or continuing to violate | ||
this Act, the rule, or order and for injunctive or other relief | ||
that the nature of the case may require and may, in addition, | ||
request the court to assess a civil penalty up to $10,000 | ||
$1,000 along with costs and attorney's fees. | ||
(Source: P.A. 90-437, eff. 1-1-98.) | ||
(205 ILCS 660/5 rep.) | ||
(205 ILCS 660/6 rep.) | ||
(205 ILCS 660/7 rep.) | ||
(205 ILCS 660/8 rep.) | ||
(205 ILCS 660/8.1 rep.) | ||
(205 ILCS 660/8.2 rep.) | ||
(205 ILCS 660/8.3 rep.) | ||
(205 ILCS 660/8.4 rep.) | ||
(205 ILCS 660/8.5 rep.) | ||
(205 ILCS 660/8.6 rep.) | ||
(205 ILCS 660/8.8 rep.) | ||
(205 ILCS 660/8.9 rep.) | ||
(205 ILCS 660/8.10 rep.) | ||
(205 ILCS 660/8.11 rep.) | ||
(205 ILCS 660/8.12 rep.) | ||
(205 ILCS 660/8.13 rep.) | ||
(205 ILCS 660/8.14 rep.) | ||
(205 ILCS 660/10 rep.) | ||
(205 ILCS 660/10.1 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
(205 ILCS 660/10.3 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
(205 ILCS 660/10.4 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
(205 ILCS 660/11 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
(205 ILCS 660/14 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
(205 ILCS 660/18 rep.) | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Section 10. The Sales Finance Agency Act is amended by | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
repealing Sections 5, 6, 7, 8, 8.1, 8.2, 8.3, 8.4, 8.5, 8.6, | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
8.8, 8.9, 8.10, 8.11, 8.12, 8.13, 8.14, 10, 10.1, 10.3, 10.4, | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
11, 14, and 18. | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Section 99. Effective date. This Act takes effect upon | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
becoming law. | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||